Distribution and Service Plan and Agreement WithPlan and Agreement • July 19th, 2013 • Oppenheimer Senior Floating Rate Plus Fund
Contract Type FiledJuly 19th, 2013 CompanyThis Distribution and Service Plan and Agreement (the “Plan”) is dated as of the 23rd day of May, 2013, by and between Oppenheimer Senior Floating Rate Plus Fund (the “Fund”) and OppenheimerFunds Distributor, Inc. (the “Distributor”).
INVESTMENT SUBADVISORY AGREEMENTInvestment Subadvisory Agreement • July 19th, 2013 • Oppenheimer Senior Floating Rate Plus Fund • New York
Contract Type FiledJuly 19th, 2013 Company JurisdictionTHIS AGREEMENT is made and entered into as of the 23rd day of May 2013 between OFI Global Asset Management, Inc., a Delaware corporation (the “Adviser”), and OppenheimerFunds, Inc., a Colorado corporation (the “SubAdviser”)
OPPENHEIMER SENIOR FLOATING RATE PLUS FUND INVESTMENT ADVISORY AGREEMENTInvestment Advisory Agreement • July 19th, 2013 • Oppenheimer Senior Floating Rate Plus Fund
Contract Type FiledJuly 19th, 2013 CompanyAGREEMENT made as of the 23rd day of May 2013, by and between Oppenheimer SENIOR FLOATING RATE PLUS Fund (the “Fund”), and OFI GLOBAL ASSET MANAGEMENT, INC. (“OFI GLOBAL”).
SERVICE PLAN AND AGREEMENT with OppenheimerFunds Distributor, Inc. For Class A Shares of Oppenheimer Senior Floating Rate Plus FundService Plan and Agreement • July 19th, 2013 • Oppenheimer Senior Floating Rate Plus Fund
Contract Type FiledJuly 19th, 2013 CompanyThis Service Plan and Agreement (the “Plan”) is dated as of the 23RD day of May, 2013, by and between Oppenheimer Senior Floating Rate Plus Fund (the “Fund”) and OppenheimerFunds Distributor, Inc. (the “Distributor”).
BETWEEN OPPENHEIMER SENIOR FLOATING RATE PLUS FUND AND OPPENHEIMERFUNDS DISTRIBUTOR, INC.S Agreement • July 19th, 2013 • Oppenheimer Senior Floating Rate Plus Fund
Contract Type FiledJuly 19th, 2013 CompanyOPPENHEIMER SENIOR FLOATING RATE PLUS FUND, a Delaware statutory trust (the “Fund”), is registered as an investment company under the Investment Company Act of 1940 (the “1940 Act”), consisting of one or more series (“Series”) and an indefinite number of one or more classes of its shares of beneficial interest for each Series (“Shares”) have been registered under the Securities Act of 1933 (the “1933 Act”) to be offered for sale to the public in a continuous public offering in accordance with the terms and conditions set forth in the Prospectus and Statement of Additional Information (“SAI”) included in the Fund’s Registration Statement as it may be amended from time to time (the “current Prospectus and/or SAI”).
CUSTODIAN AGREEMENTCustodian Agreement • July 19th, 2013 • Oppenheimer Senior Floating Rate Plus Fund • New York
Contract Type FiledJuly 19th, 2013 Company JurisdictionAGREEMENT dated as of ____________, 2013, between DEUTSCHE BANK TRUST COMPANY AMERICAS (the “Custodian”) and OPPENHEIMER SENIOR FLOATING RATE PLUS FUND (the “Customer”).