EXHIBIT E(4) DISTRIBUTION AGREEMENTDistribution Agreement • April 1st, 2005 • Credit Suisse Opportunity Funds
Contract Type FiledApril 1st, 2005 CompanyThis is to confirm that Credit Suisse Asset Management Securities, Inc. shall be the distributor of shares of beneficial interest, par value $.001 per share, issued by the Credit Suisse Strategic Allocation Fund -- Conservative, Credit Suisse Strategic Allocation Fund -- Moderate and Credit Suisse Strategic Allocation Fund -- Aggressive of Credit Suisse Opportunity Funds (the "Trust") under terms of the Distribution Agreement between the Trust and Credit Suisse Asset Management Securities, Inc., dated December 18, 2000.
EXHIBIT H(12) TRANSFER AGENCY AND SERVICE AGREEMENT Boston Financial Data Services, Inc. 1250 Hancock Street Suite 300N Quincy, Massachusetts 02169 Dear Ladies and Gentlemen: In accordance with Article 17 of the Transfer Agency and Service Agreement,...Transfer Agency and Service Agreement • April 1st, 2005 • Credit Suisse Opportunity Funds
Contract Type FiledApril 1st, 2005 CompanyIn accordance with Article 17 of the Transfer Agency and Service Agreement, dated February 1, 2001 (the "Agreement"), between Credit Suisse Opportunity Funds (the "Trust") and Boston Financial Data Services, Inc. ("BFDS"), the Trust hereby notifies BFDS of the Trust's desire to have BFDS render services as transfer agent under the terms of the Agreement with respect to the Credit Suisse Strategic Allocation Fund -- Conservative, Credit Suisse Strategic Allocation Fund -- Moderate and Credit Suisse Strategic Allocation Fund -- Aggressive, each a series of shares of beneficial interest of the Trust.
EXHIBIT G(5) CUSTODIAN SERVICES AGREEMENT State Street Bank and Trust Company 225 Franklin Street Boston, Massachusetts 02110 Dear Ladies and Gentlemen: In accordance with Article 20 of the Custodian Services Agreement Terms and Conditions, dated...Custodian Services Agreement • April 1st, 2005 • Credit Suisse Opportunity Funds
Contract Type FiledApril 1st, 2005 CompanyIn accordance with Article 20 of the Custodian Services Agreement Terms and Conditions, dated October 20, 2000, as amended (the "Agreement"), between Credit Suisse Opportunity Funds (the "Trust") and State Street Bank and Trust Company (the "Bank"), the Trust hereby notifies the Bank of the Trust's desire to amend Exhibit 1 of the Agreement to include the Credit Suisse Strategic Allocation Fund -- Conservative, Credit Suisse Strategic Allocation Fund -- Moderate and Credit Suisse Strategic Allocation Fund -- Aggressive, each a series of shares of beneficial interest of the Trust (the "Funds"), and to have the Bank render services as custodian under the terms of the Agreement with respect to the Funds.
EXHIBIT L PURCHASE AGREEMENT Credit Suisse Opportunity Funds (the "Trust"), a statutory trust organized under the laws of the State of Delaware, with respect to the Credit Suisse Strategic Allocation Fund -- Conservative, Credit Suisse Strategic...Purchase Agreement • April 1st, 2005 • Credit Suisse Opportunity Funds
Contract Type FiledApril 1st, 2005 Company
EXHIBIT H(7) CO-ADMINISTRATION AGREEMENT Credit Suisse Asset Management Securities, Inc. 466 Lexington Avenue New York, New York 10017-3147 Dear Ladies and Gentlemen: In accordance with Section 7 of the Co-Administration Agreement, dated March 18,...Co-Administration Agreement • April 1st, 2005 • Credit Suisse Opportunity Funds
Contract Type FiledApril 1st, 2005 CompanyIn accordance with Section 7 of the Co-Administration Agreement, dated March 18, 2002 (the "Agreement"), between Credit Suisse Opportunity Funds (the "Trust"), and Credit Suisse Asset Management Securities, Inc. ("CSAMSI"), the Trust hereby notifies CSAMSI of the Trust's desire to amend Exhibit A of the Agreement to include the Credit Suisse Strategic Allocation Fund -- Conservative, Credit Suisse Strategic Allocation Fund -- Moderate and Credit Suisse Strategic Allocation Fund -- Aggressive (the "the Funds"), and to have CSAMSI render services as Co-Administrator under the terms of the Agreement with respect to the Funds.