TRANSFER AGENCY AND SERVICE AGREEMENTTransfer Agency and Service Agreement • October 11th, 2024 • BNY Mellon ETF Trust II
Contract Type FiledOctober 11th, 2024 CompanyTHIS AGREEMENT is made as of the 3rd day of October, 2024, by and among each Trust including any underlying Series (hereinafter each a “Trust”, and collectively the “Trusts” as applicable) listed on Appendix A hereto (as such Appendix may be amended from time to time), THE BANK OF NEW YORK MELLON, a New York corporation authorized to do a banking business having its principal office and place of business at 240 Greenwich Street, New York, New York 10286 (the “Bank”), and, solely for purposes of payment pursuant to Section 2 hereof, BNY Mellon ETF Investment Adviser, LLC (the “Adviser”).
CUSTODY AGREEMENT By and Between THE BANK OF NEW YORK MELLON And BNY MELLON ETF TRUST IICustody Agreement • October 11th, 2024 • BNY Mellon ETF Trust II
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FUND ADMINISTRATION AND ACCOUNTING AGREEMENTFund Administration and Accounting Agreement • October 11th, 2024 • BNY Mellon ETF Trust II • New York
Contract Type FiledOctober 11th, 2024 Company JurisdictionTHIS AGREEMENT is made as of October 11, 2024 by and between each Trust listed on the signature page hereto (each a “Fund”, and collectively the “Funds” as applicable) The Bank of New York Mellon, a New York corporation authorized to do a banking business (“BNY Mellon”) and, solely for purposes of payment pursuant to Sections 6(d), 7, 11 and 15(c) hereof, BNY Mellon ETF Investment Adviser, LLC (the “Adviser”).
AMENDED AND RESTATED AGREEMENT AND DECLARATION OF TRUST OF BNY MELLON ETF TRUST II (a Massachusetts Business Trust) Dated as of October 7, 2024Agreement and Declaration of Trust • October 11th, 2024 • BNY Mellon ETF Trust II • Massachusetts
Contract Type FiledOctober 11th, 2024 Company JurisdictionWHEREAS, the Trust was formed by an AGREEMENT AND DECLARATION OF TRUST dated June 24, 2024 (the “Initial Declaration”) by the initial Trustee (“Initial Trustee”);
BNY MELLON ETF INVESTMENT ADVISER, LLC FORM FUND OF FUNDS INVESTMENT AGREEMENTFund of Funds Investment Agreement • October 11th, 2024 • BNY Mellon ETF Trust II
Contract Type FiledOctober 11th, 2024 CompanyTHIS AGREEMENT, is made this [day] of [Month], 20[--], by and among each registrant identified on Schedule A (each, an "Acquiring Trust"), on behalf of itself and its current and future series identified on Schedule A, severally and not jointly (each, an "Acquiring Fund" and collectively, the "Acquiring Funds"), and each registrant identified on Schedule B (each, an "Acquired Trust"), on behalf of itself and its respective series identified on Schedule B, severally and not jointly (each, an "Acquired Fund" and collectively the "Acquired Funds" and together with the Acquiring Funds, the "Funds"), and shall become effective on [day] [Month], 20[--] (the "Effective Date").
SUB-SUB-INVESTMENT ADVISORY AGREEMENT NEWTON INVESTMENT MANAGEMENT NORTH AMERICA, LLC BNY Mellon Center 201 Washington Street Boston, Massachusetts 02108Investment Advisory Agreement • October 11th, 2024 • BNY Mellon ETF Trust II
Contract Type FiledOctober 11th, 2024 Company
SUB-INVESTMENT ADVISORY AGREEMENT BNY MELLON ETF INVESTMENT ADVISER, LLC 201 Washington Street Boston, Massachusetts 02108Sub-Investment Advisory Agreement • October 11th, 2024 • BNY Mellon ETF Trust II
Contract Type FiledOctober 11th, 2024 Company
MANAGEMENT AGREEMENT BNY Mellon ETF Trust IIManagement Agreement • October 11th, 2024 • BNY Mellon ETF Trust II
Contract Type FiledOctober 11th, 2024 CompanyThe above-named investment company (the “Trust”) consisting of the series named on Schedule 1 hereto, as such Schedule may be revised from time to time (each, a “Fund”), herewith confirms its agreement with you as follows:
DISTRIBUTION AGREEMENTDistribution Agreement • October 11th, 2024 • BNY Mellon ETF Trust II
Contract Type FiledOctober 11th, 2024 CompanyThis is to confirm that, in consideration of the agreements hereinafter contained, each investment company identified on Exhibit A hereto, as such Exhibit may be amended from time to time, has agreed that you shall be, for the period of this agreement, the distributor of (a) shares of each series of each investment company set forth on Exhibit A hereto, as such Exhibit may be revised from time to time (each, the “Fund”). For purposes of this agreement the term “Shares” shall mean the authorized shares of the Fund. The Fund intends to create and redeem Shares on a continuous basis at their net asset value only in aggregations constituting a Creation Unit, as such term is defined in the registration statement filed from time to time by the Fund with the Securities and Exchange Commission (the “Commission”) and effective under the Securities Act of 1933, as amended (the “1933 Act”), and the Investment Company Act of 1940, as amended (the “1940 Act”) (the “Registration Statement,” which co
SUB-INVESTMENT ADVISORY AGREEMENT BNY MELLON ETF INVESTMENT ADVISER, LLC 201 Washington Street Boston, Massachusetts 02108Sub-Investment Advisory Agreement • October 11th, 2024 • BNY Mellon ETF Trust II
Contract Type FiledOctober 11th, 2024 CompanyBNY Mellon Concentrated Growth ETF (the “Fund”), a series of BNY Mellon ETF Trust II (the “Trust”), a Massachusetts business trust, desires to employ its capital by investing and reinvesting the same in investments of the type and in accordance with the limitations specified in the Fund’s Prospectus and Statement of Additional Information as from time to time in effect, copies of which have been or will be submitted to you, and in such manner and to such extent as from time to time may be approved by the Trust’s Board of Trustees. The Trust employs BNY Mellon ETF Investment Adviser, LLC (the “Adviser”) to act as the Fund’s investment adviser pursuant to a written agreement with the Trust (the “Management Agreement”), a copy of which has been furnished to you. The Adviser is authorized to and desires to retain you, and you hereby agree to accept such retention, to act as the Fund’s sub-investment adviser as of the date set forth above (the “Effective Date”).