AMENDED AND RESTATED GLOBAL CUSTODY AND FUND ACCOUNTING AGREEMENTGlobal Custody and Fund Accounting Agreement • November 3rd, 2017 • J.P. Morgan Exchange-Traded Fund Trust • New York
Contract Type FiledNovember 3rd, 2017 Company JurisdictionThis Amended and Restated Global Custody and Fund Accounting Agreement (this “Agreement”) is dated as of October 1, 2017 and is between JPMORGAN CHASE BANK, N.A. (“Bank”), with a place of business at 4 Chase Metrotech Center, 6th Floor, Brooklyn, NY 11245; and J.P. Morgan Exchange-Traded Fund Trust (the “Trust”) severally and on behalf of its series listed on Schedule A hereto (each, a “Fund” and together the “Funds”), as may be amended from time to time, with a place of business at 270 Park Avenue, New York, NY 10017. For purposes of this Agreement, each individual Fund is a separate “Customer.”
AGENCY SERVICES AGREEMENT EXHIBIT A LIST OF ETF SERIES (Amended as of September 19, 2017)Agency Services Agreement • November 3rd, 2017 • J.P. Morgan Exchange-Traded Fund Trust
Contract Type FiledNovember 3rd, 2017 Company
DISTRIBUTION AGREEMENTDistribution Agreement • November 3rd, 2017 • J.P. Morgan Exchange-Traded Fund Trust • New York
Contract Type FiledNovember 3rd, 2017 Company JurisdictionTHIS DISTRIBUTION AGREEMENT (this “Agreement’) is made as of this 1st day of October, 2017, by and between J.P. Morgan Exchange-Traded Fund Trust (the “Company”), a Delaware statutory trust, on behalf of itself and each of the series of the Company (each a “Fund” and collectively, the “Funds”) identified on Schedule A hereto, and JPMorgan Distribution Services, Inc. (the “Distributor”), a Pennsylvania corporation.
Schedule A to Investment Advisory Agreement of Advisory Fee Rates (Amended as of November 3, 2017)Investment Advisory Agreement • November 3rd, 2017 • J.P. Morgan Exchange-Traded Fund Trust
Contract Type FiledNovember 3rd, 2017 Company