FUND AGREEMENTFund Agreement • April 27th, 2011 • Nationwide Variable Account • Delaware
Contract Type FiledApril 27th, 2011 Company JurisdictionThis Agreement dated as of the 1st day of July, 2004 is made by and among Nationwide Financial Services, Inc., on behalf of its subsidiaries listed on Exhibit A (collectively "Nationwide"), and the current and any future Nationwide separate accounts ("Variable Accounts") and the Nationwide trust accounts ("Trust Accounts"), and Delaware Service Company, Inc. ("Agent"), and Delaware Distributors, L.P. ("Distributor") (collectively "the Company") which serve, respectively, as transfer agent and distributor to the mutual funds (the "Funds") listed on Exhibit B.
DEALER AGREEMENTDealer Agreement • April 27th, 2011 • Nationwide Variable Account • Pennsylvania
Contract Type FiledApril 27th, 2011 Company JurisdictionThis Agreement is entered into between the registered broker/dealer executing this Agreement ("Dealer") and Federated Securities Corp. ("FSC"), as distributor for the Funds subject to this Agreement, pursuant to Distributor's Contracts between FSC and each Fund. Unless otherwise defined, Section 19 of this Agreement sets forth the definitions for capitalized terms used in this Agreement.
FUND AGREEMENTFund Agreement • April 27th, 2011 • Nationwide Variable Account • Ohio
Contract Type FiledApril 27th, 2011 Company JurisdictionThis Agreement dated as of the 17th day of June, 2008 is made by and among Nationwide Financial Services, Inc., on behalf of its subsidiaries listed on Exhibit A (collectively, "Nationwide"), and Aberdeen Fund Distributors LLC (the "Company") which serves as distributor] to the mutual funds (the "Funds") listed on Exhibit B.
FUND AGREEMENTFund Agreement • April 27th, 2011 • Nationwide Variable Account • Ohio
Contract Type FiledApril 27th, 2011 Company JurisdictionNationwide Financial Services, Inc., on behalf of it subsidiaries listed on Exhibit A (collectively "Nationwide"), and the current and any future Nationwide separate accounts ("Variable Accounts") and the Nationwide trust accounts ("Trust Accounts"), and Wells Fargo Funds Management, LLC ("Adviser"), and Wells Fargo Funds Trust (the "Trust") (the Adviser and the Trust collectively hereafter referred to as the "Wells Fargo Companies").
SERVICES AGREEMENTServices Agreement • April 27th, 2011 • Nationwide Variable Account
Contract Type FiledApril 27th, 2011 CompanyTHIS SERVICES AGREEMENT is made and entered into as of September 15, 2004 by and between NATIONWIDE FINANCIAL SERVICES, INC., on behalf of its subsidiaries who may offer the Funds (as defined below), including but not limited to those listed on EXHIBIT A (collectively, the "Company"), and AMERICAN CENTURY INVESTMENT SERVICES, ENC. (the "Distributor").
RETIREMENT PLAN SERVICE PROVIDER AGREEMENTRetirement Plan Service Provider Agreement • April 27th, 2011 • Nationwide Variable Account • New York
Contract Type FiledApril 27th, 2011 Company JurisdictionThis Retirement Plan Service Provider Agreement is entered into as of this 27th day of February 2009, by and among Nationwide Financial Services, Inc., a corporation organized and existing under the laws of the state of Delaware and on behalf of its subsidiaries listed on Appendix A (collectively “Service Provider”), OppenheimerFunds Distributor, Inc., a New York corporation (“OFDI”), OppenheimerFunds, Inc., a Colorado corporation (“OFI”), on behalf of itself and its division, OppenheimerFunds Services (“OFS”) (this “Agreement”) (collectively “Company”) which serve, respectively, as distributor of, investment manager to, and transfer agent for the mutual funds (the “Funds”) listed on or otherwise described in Appendix B.
Master Shareholder Services Agreement for the Franklin Templeton FundsMaster Shareholder Services Agreement • April 27th, 2011 • Nationwide Variable Account • New York
Contract Type FiledApril 27th, 2011 Company JurisdictionTHIS AGREEMENT is made effective as of the 1st day of October, 2007 by and among NATIONWIDE FINANCIAL SERVICES, INC., on behalf of its subsidiaries and affiliates listed on Exhibit B (collectively "you"), FRANKLIN TEMPLETON DISTRIBUTORS, INC. ("Distributors") and FRANKLIN TEMPLETON INVESTOR SERVICES, LLC ("Transfer Agent," together, Distributors and Transfer Agent shall be referred to as "we" or "us").
RESTATED SERVICE AGREEMENTService Agreement • April 27th, 2011 • Nationwide Variable Account • New York
Contract Type FiledApril 27th, 2011 Company JurisdictionThis Restated Service Agreement replaces those agreements listed on Schedule A and is entered into as of June 1, 2003 among Nationwide Financial Services, Inc., an Ohio corporation, Nationwide Investment Services Corporation, an Oklahoma corporation, Nationwide Life Insurance Company, an Ohio corporation, Nationwide Life and Annuity Insurance Company, a New York corporation (collectively the "Service Provider"), The Dreyfus Corporation, a New York corporation ("TDC"), and Dreyfus Service Corporation, a New York corporation ("Dreyfus"), on behalf of itself and those registered investment companies distributed by Dreyfus that are identified on Schedule B attached hereto (the "Funds").
ADMINISTRATIVE SERVICES AGREEMENTAdministrative Services Agreement • April 27th, 2011 • Nationwide Variable Account • Ohio
Contract Type FiledApril 27th, 2011 Company JurisdictionThis Agreement dated as of the 1st day of January, 2006 is made by and among Nationwide Financial Services, Inc., on behalf of its affiliates and subsidiaries listed on Exhibit A (collectively "Nationwide"), the Nationwide separate accounts and the current and any future Nationwide separate accounts as applicable ("Variable Accounts"), and Neuberger Berman Management Inc. ("NBMI"), which serves as administrator to the mutual funds (the "Funds") listed on Exhibit B. In addition, Neuberger Berman Equity Funds is added as a party solely with respect to Exhibit B.
FUND AGREEMENTAgreement • April 27th, 2011 • Nationwide Variable Account • Ohio
Contract Type FiledApril 27th, 2011 Company JurisdictionThis Agreement dated as of the 3rd day of May, 2006 is made by and among Nationwide Financial Services, Inc., on behalf of its subsidiaries listed on Exhibit A (collectively, "Nationwide"), and Lazard Asset Management, LLC and Lazard Asset Management Securities LLC (collectively, the "Company") which serves as adviser and distributor to the mutual funds, respectively (the "Funds") listed on Exhibit B.
FUND AGREEMENTFund Agreement • April 27th, 2011 • Nationwide Variable Account • Ohio
Contract Type FiledApril 27th, 2011 Company JurisdictionThis Agreement dated as of the first day of October 1, 2002 is made by and among Nationwide Financial Services, Inc. (including any affiliates and/or subsidiaries listed on Exhibit A), Gartmore Mutual Fund Capital Trust, which serves as adviser, Gartmore Morley Capital Management, Inc., which serves as adviser, Gartmore Distribution Services, Inc., which services as distributor to Gartmore Mutual Fund (the "Trust") and the Trust's mutual funds (the "Funds"). In this Agreement, Gartmore Mutual Fund Capital Trust, Gartmore Morley Capital Management, Inc., Gartmore Distribution Services, Inc., and Gartmore Mutual Funds are collectively referred to as "Gartmore."
FINANCIAL SUPPORT AGREEMENT (AIM Investments®)Financial Support Agreement • April 27th, 2011 • Nationwide Variable Account • Delaware
Contract Type FiledApril 27th, 2011 Company JurisdictionThis Financial Support Agreement (“Agreement”) is entered into as of January 1, 2005 between Nationwide Financial Services, Inc., and all current and future subsidiaries (the “Financial Intermediary”) and A I M Distributors, Inc. (“Distributor”).
FUND AGREEMENTFund Agreement • April 27th, 2011 • Nationwide Variable Account • Ohio
Contract Type FiledApril 27th, 2011 Company JurisdictionThis Agreement dated as of the 7th day of March, 2007 is made by and among Nationwide Financial Services, Inc., on behalf of its subsidiaries listed on Exhibit A (collectively, “Nationwide”), and Phoenix Equity Planning Corporation (“PEPCO”) (the “Company") which serves as distributor to the mutual funds (the “Funds”) listed on Exhibit B.
FUND AGREEMENTFund Agreement • April 27th, 2011 • Nationwide Variable Account • New York
Contract Type FiledApril 27th, 2011 Company JurisdictionThis Agreement dated as of the 23 day of July, 2009 is made by and among Nationwide Financial Services, Inc., on behalf of its subsidiaries listed on Exhibit A (collectively, “Nationwide”), and Janus Distributors LLC (the “Distributor”) and Janus Services LLC (“Janus Services”), each a Delaware limited liability company and (collectively the “Company”). This Agreement is made with respect to the series and classes of shares (the “Shares”) of any open-end investment company as set forth on Exhibit B, as amended from time to time, (each a “Fund” and collectively, the “Funds”).
PARTICIPATION AGREEMENT BetweenParticipation Agreement • April 27th, 2011 • Nationwide Variable Account • Massachusetts
Contract Type FiledApril 27th, 2011 Company JurisdictionTHIS AGREEMENT, made and entered into as of this 1st day of September 1992 by and between Nationwide Life Insurance Company, (hereinafter the “Company"), an Ohio corporation, on its own behalf and on behalf of each segregated asset account of the Company set forth on Schedule A hereto, as may be amended from time to time, (each such account hereinafter referred to as an "Account" and collectively as the "Accounts"), and FIDELITY DISTRIBUTORS CORPORATION (hereinafter the "Underwriter"), a Massachusetts corporation.