WITNESSETHDistribution Agreement • November 24th, 2004 • Delaware Group Government Fund • Pennsylvania
Contract Type FiledNovember 24th, 2004 Company Jurisdiction
AMENDMENT TO THE AMENDED AND RESTATED MUTUAL FUND CUSTODY AND SERVICES AGREEMENT This Amendment is made effective as of November 28, 2003 to the Amended and Restated Mutual Fund Custody and Services Agreement made as of May 16, 2002 (the "Agreement")...Mutual Fund Custody and Services Agreement • November 24th, 2004 • Delaware Group Government Fund
Contract Type FiledNovember 24th, 2004 Company
EX 99(g)(2)(i) AMENDMENT TO SECURITIES LENDING AGREEMENT AMENDMENT {"Amendment"), dated October 3, 2001, to the securities lending agreement ("Lending Agreement"), dated December 22, 1998, between The Chase Manhattan Bank ("Chase") and each of the...Securities Lending Agreement • November 24th, 2004 • Delaware Group Government Fund • New York
Contract Type FiledNovember 24th, 2004 Company Jurisdiction
WITNESSETHFinancial Intermediary Distribution Agreement • November 24th, 2004 • Delaware Group Government Fund • Pennsylvania
Contract Type FiledNovember 24th, 2004 Company Jurisdiction
GRAPHIC OMITTED] DELAWARE INVESTMENTS FAMILY OF FUNDS BANK/TRUST AGREEMENT ---------------------------- --------------------------------------------------- We are the national distributor for all of the shares of all of the Classes (now existing or...Bank/Trust Agreement • November 24th, 2004 • Delaware Group Government Fund • Delaware
Contract Type FiledNovember 24th, 2004 Company JurisdictionWe are the national distributor for all of the shares of all of the Classes (now existing or hereafter added) of all of the Funds in the Delaware Group of Investment Companies which retain us, Delaware Distributors, L.P., to act as exclusive national distributor. The term "Fund" as used in this Agreement refers to each Fund in the Delaware Investments Family of Funds that retains us to promote and sell its shares, and any Fund that may hereafter be added to the Delaware Group to retain us as national distributor. The term "Class" as used in this Agreement refers to a class of shares of a Fund as described in the Fund's prospectus. You, a Bank/Trust ("you") have indicated that you wish to act as agent for your customer(s) wishing to purchase, sell and redeem Fund shares ("Customer(s)") and/or desire to provide certain services to your Customers relating to their ownership of Fund shares, all in accordance with the terms of this Agreement.