0001104659-13-015845 Sample Contracts

CUSTODIAN AGREEMENT
Custodian Agreement • February 28th, 2013 • PowerShares India Exchange-Traded Fund Trust • New York

THIS CUSTODIAN AGREEMENT (“Agreement”), dated as of February 22, 2008, between POWERSHARES INDIA EXCHANGE-TRADED FUND TRUST, a management investment company organized under the laws of the Commonwealth of Massachusetts and registered with the Securities and Exchange Commission under the Investment Company Act of 1940, as amended (the “1940 Act”) on behalf of itself and its wholly-owned subsidiary in Mauritius, POWERSHARES MAURITIUS (collectively, the “Fund”), and BROWN BROTHERS HARRIMAN & CO., a limited partnership formed under the laws of the State of New York (“BBH&Co.” or the “Custodian”),

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AMENDED AND RESTATED MASTER DISTRIBUTION AGREEMENT
Master Distribution Agreement • February 28th, 2013 • PowerShares India Exchange-Traded Fund Trust

AMENDED AND RESTATED MASTER DISTRIBUTION AGREEMENT made as of the 30th day of April, 2009, by and between POWERSHARES INDIA EXCHANGE-TRADED FUND TRUST, Massachusetts business trust (the “Trust”), on behalf of each of its series of beneficial interest set forth on Schedule A to this Agreement (each individually referred to as “Fund”, or collectively as “Funds”) and INVESCO AIM DISTRIBUTORS, INC., a Delaware corporation (the “Distributor”).

FORM OF PARTICIPANT AGREEMENT PowerShares India Exchange-Traded Fund Trust
Participant Agreement • February 28th, 2013 • PowerShares India Exchange-Traded Fund Trust • New York

This Certificate supersedes any prior certificate of Authorized Persons the Custodian may have on file. Any updates to the above list of Authorized Persons will be provided by the Authorized Participant as changes occur.

FORM OF SUBLICENSE AGREEMENT
Form of Sublicense Agreement • February 28th, 2013 • PowerShares India Exchange-Traded Fund Trust • Illinois

This Sublicense Agreement (“Agreement”) is entered into as of February 22, 2008, by and between PowerShares Capital Management, LLC, a Delaware limited liability company with offices at 301 West Roosevelt Road, Wheaton, IL 60187 (“PowerShares”), and PowerShares India Exchange-Traded Fund Trust (“Licensee”).

FUND ADMINISTRATION AND ACCOUNTING AGREEMENT
Fund Administration and Accounting Agreement • February 28th, 2013 • PowerShares India Exchange-Traded Fund Trust • Massachusetts

The Fund hereby acknowledges that the Administrator is authorized to use the following authorized sources and their successors and assigns for financial reporting, compliance monitoring, performance measurement, pricing (including corporate actions, dividends and rights offering), and foreign exchange quotations, to assist it in fulfilling its obligations under the aforementioned Agreement.

POWERSHARES MAURITIUS (the “Fund”) and POWERSHARES CAPITAL MANAGEMENT LLC (the “Fund Manager”) MANAGEMENT AGREEMENT relating to POWERSHARES MAURITIUS Dated this 22nd of February 2008
Management Agreement • February 28th, 2013 • PowerShares India Exchange-Traded Fund Trust

THIS MANAGEMENT AGREEMENT, dated as of February 22, 2008 (this “Agreement”), by and between PowerShares Mauritius, a private Category 1 Global Business Company organised under the laws of Mauritius and licensed as a Collective Investment Scheme (the “Fund”) and PowerShares Capital Management LLC, (the “Fund Manager”), a limited liability company organized in Delaware in the United States of America and registered as an investment adviser under the Investment Advisers Act of 1940, as amended, under the laws of the United States of America;

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