AMENDED and RESTATED GENERAL DISTRIBUTION AGREEMENT between FIDELITY CALIFORNIA MUNICIPAL TRUST II and FIDELITY DISTRIBUTORS CORPORATIONGeneral Distribution Agreement • April 27th, 2007 • Fidelity California Municipal Trust Ii • Massachusetts
Contract Type FiledApril 27th, 2007 Company JurisdictionAgreement made this 1st day of May, 2006, between Fidelity California Municipal Trust II, a Delaware statutory trust having its principal place of business in Boston, Massachusetts and which may issue one or more series of beneficial interest ("Issuer"), with respect to shares of Fidelity California Municipal Money Market Fund, a series of the Issuer, and Fidelity Distributors Corporation, a Massachusetts corporation having its principal place of business in Boston, Massachusetts ("Distributors").
FORM OF SELLING DEALER AGREEMENT (for Bank Related Transactions)Selling Dealer Agreement • April 27th, 2007 • Fidelity California Municipal Trust Ii • Massachusetts
Contract Type FiledApril 27th, 2007 Company JurisdictionWe at Fidelity Distributors Corporation invite you to distribute shares of the mutual funds, or the separate series or classes of the mutual funds, listed on Schedule A and B attached to this Agreement (the "Portfolios"). We may periodically change the list of Portfolios by giving you written notice of the change. We are the Portfolios' principal underwriter and, as agent for the Portfolios, we offer to sell Portfolio shares to you on the following terms:
FORM OF BANK AGENCY AGREEMENTBank Agency Agreement • April 27th, 2007 • Fidelity California Municipal Trust Ii • Massachusetts
Contract Type FiledApril 27th, 2007 Company JurisdictionWe at Fidelity Distributors Corporation offer to make available to your customers shares of the mutual funds, or the separate series or classes of the mutual funds, listed on Schedule A attached to this Agreement (the "Portfolios"). We may periodically change the list of Portfolios by giving you written notice of the change. We are the Portfolios' principal underwriter and act as agent for the Portfolios. You (____________________________________) are a division or affiliate of a bank (____________________________________) and desire to make Portfolio shares available to your customers on the following terms: