Administrative Services AgreementAdministrative Services Agreement • April 30th, 2014 • College Retirement Equities Fund
Contract Type FiledApril 30th, 2014 CompanyFor the services rendered and expenses incurred in connection with the Administrative Services as provided in this Agreement, the amount currently payable from the net assets of each Account each Valuation Day for each Calendar Day of the Valuation Period (May 1, 2014 through April 30, 2015) ending on that Valuation Day will be 0.00066% (corresponding to an annual rate of 0.240% of average daily net assets).
Principal Underwriting and Distribution Services AgreementPrincipal Underwriting and Distribution Services Agreement • April 30th, 2014 • College Retirement Equities Fund
Contract Type FiledApril 30th, 2014 CompanyFor the services rendered and expenses incurred in connection with the Distribution Services as provided in the Agreement, the amount currently payable from the net assets of each Account each Valuation Day for each Calendar Day of the Valuation Period (May 1, 2014 through April 30, 2015) ending on that Valuation Day will be 0.00026% (corresponding to an annual rate of 0.095% of average daily net assets).