AMENDED AND RESTATED AGREEMENT AND DECLARATION OF TRUST OF VANGUARD WELLINGTON FUND SCHEDULE A VANGUARD WELLINGTON FUND SERIES AND CLASSES OF THE TRUSTAgreement and Declaration of Trust • February 13th, 2018 • Vanguard Wellington Fund • Delaware
Contract Type FiledFebruary 13th, 2018 Company JurisdictionDECLARATION OF TRUST of Vanguard Wellington Fund (the "Trusr) is made and entered into as of the date set forth below by the Trustees named hereunder for the purpose of continuing the Trust as a Delaware statutory trust in accordance with the provisions hereinafter set forth;
AMENDED AND RESTATED GLOBAL CUSTODY AGREEMENTGlobal Custody Agreement • February 13th, 2018 • Vanguard Wellington Fund • New York
Contract Type FiledFebruary 13th, 2018 Company JurisdictionThis Amended and Restated Agreement, dated August 14, 2017, is between JPMorgan Chase Bank, N.A. (“Bank”), a national banking association with a place of business at 383 Madison Avenue, New York, NY 10179; and each of the open-end management investment companies listed on Exhibit 1 of this Agreement, registered with the U.S. Securities and Exchange Commission under the Investment Company Act of 1940, as amended (the “1940 Act”), organized as Delaware statutory trusts (each a “Trust”), severally and for and on behalf of certain of their respective portfolios listed on Exhibit 1 (each a “Fund”), each Trust and their respective Funds with a place of business at P.O. Box 2600 Valley Forge, PA 19482. Each Trust for which Bank serves as custodian under this Agreement, shall individually be referred to as “Customer.”
VANGUARD ETF SHARES AUTHORIZED PARTICIPANT AGREEMENT BANK OF NEW YORK MELLON VERSIONAuthorized Participant Agreement • February 13th, 2018 • Vanguard Wellington Fund • New York
Contract Type FiledFebruary 13th, 2018 Company JurisdictionThis Authorized Participant Agreement (the “Agreement”) is entered into by and between Vanguard Marketing Corporation (the “Distributor”) and __________________ _______________________ (the “Participant”) and is subject to acceptance by Bank of New York Mellon (the “Bank”), an index receipt agent for the ETF Shares listed in Annex I to the Agreement.