CERTAIN INFORMATION IN THIS EXHIBIT HAS BEEN REDACTED BECAUSE IT IS BOTH NOT MATERIAL AND WOULD BE COMPETITIVELY HARMFUL IF PUBLICLY DISCLOSED. MUTUAL FUND ADMINISTRATIVE SERVICES AGREEMENTMutual Fund Administrative Services Agreement • October 14th, 2022 • Nationwide Variable Account 4 • Delaware
Contract Type FiledOctober 14th, 2022 Company JurisdictionThis Mutual Fund Administrative Services Agreement dated as of the 1st day of February, 2022 (“Agreement”) is made by and among Nationwide Financial Services, Inc. (“NFS”), on behalf of its subsidiaries listed on Exhibit A (collectively, “Nationwide” unless otherwise indicated) and the current and any future Nationwide separate accounts as applicable (“Variable Accounts”), PGIM Investments LLC (the “Adviser”), a New Jersey company, and Prudential Mutual Fund Services LLC (the “Company”), which serves as the administrator and transfer agent to The Prudential Series Fund, an open-end management investment company organized under the laws of Maryland (“Trust”) and the mutual funds listed on Exhibit B (each a “Fund” and collectively, the “Funds”).
CERTAIN INFORMATION IN THIS EXHIBIT HAS BEEN REDACTED BECAUSE IT IS BOTH NOT MATERIAL AND WOULD BE COMPETITIVELY HARMFUL IF PUBLICLY DISCLOSED. FUND PARTICIPATION AGREEMENTFund Participation Agreement • October 14th, 2022 • Nationwide Variable Account 4 • Delaware
Contract Type FiledOctober 14th, 2022 Company JurisdictionThis Fund Participation Agreement dated as of the 1st day of February, 2022 (“Agreement”) is made by and among Nationwide Financial Services, Inc. (“NFS”), on behalf of its subsidiaries listed on Exhibit A (collectively, “Nationwide” unless otherwise indicated) and the current and any future Nationwide separate accounts as applicable (“Variable Accounts”), The Prudential Series Fund, an open-end management investment company organized under the laws of Maryland (“Trust”), PGIM Investments LLC (the “Adviser”), a New Jersey company, and Prudential Investment Management Services LLC (the “Company”) which serves as distributor to the mutual funds listed on Exhibit B (each a “Fund” and collectively, the “Funds”).