0000894189-21-009317 Sample Contracts

LISTED FUNDS TRUST INVESTMENT SUB-ADVISORY AGREEMENT with RIVERNORTH CAPITAL MANAGEMENT, LLC
Investment Sub-Advisory Agreement • December 29th, 2021 • Listed Funds Trust • Delaware

INVESTMENT SUB-ADVISORY AGREEMENT (the “Agreement”) is made as of this 9th day of December, 2021 by and between TrueMark Investments, LLC, and a Delaware limited liability company with its principal place of business at 9450 West Bryn Mawr, Suite 700, Rosemont, Illinois 60018 (the “Adviser”), LISTED FUNDS TRUST (the “Trust”), and RiverNorth Capital Management, LLC, a Delaware limited liability company with its principal place of business located at 433 West Van Buren Street, 1150-E, Chicago, Illinois 60607 (the “Sub-Adviser”).

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AMENDMENT TO THE LISTED FUNDS TRUST FUND SERVICING AGREEMENT
Fund Servicing Agreement • December 29th, 2021 • Listed Funds Trust

THIS AMENDMENT to the Fund Servicing Agreement, dated as of April 9, 2019 (the “Agreement”), is entered into by and between LISTED FUNDS TRUST, a Delaware statutory trust (the “Trust”), and U.S. BANCORP FUND SERVICES, LLC d/b/a U.S. BANK GLOBAL FUND SERVICES, a Wisconsin limited liability company (“Fund Services”), and is effective as of the last date on the signature block.

AMENDMENT TO THE LISTED FUNDS TRUST CUSTODY AGREEMENT
Custody Agreement • December 29th, 2021 • Listed Funds Trust

THIS AMENDMENT to the Custody Agreement, dated as of April 9, 2019 (the “Agreement”), is entered into by and between LISTED FUNDS TRUST, a Delaware statutory trust (the “Trust”), and U.S. BANK NATIONAL ASSOCIATION, a national banking association (the “Custodian”), and is effective as of the last date on the signature block.

SCHEDULE A to the INVESTMENT ADVISORY AGREEMENT Dated January 27, 2020 between LISTED FUNDS TRUST and TRUEMARK INVESTMENTS, LLC
Investment Advisory Agreement • December 29th, 2021 • Listed Funds Trust

The Trust will pay to the Adviser as compensation for the Adviser’s services rendered, a fee, computed daily at an annual rate based on the average daily net assets of the respective Fund in accordance with the following fee schedule:

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