Plan of Distribution and Agreement of Distribution Sample Contracts

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PLAN OF DISTRIBUTION AND AMENDED AND RESTATED AGREEMENT OF DISTRIBUTION
Plan of Distribution and Agreement of Distribution • April 7th, 2011 • Columbia Funds Series Trust II • Minnesota

For Class A and Class W shares, the fee shall be paid to the Distributor in cash within five (5) business days after the last day of each month.

PLAN OF DISTRIBUTION AND AMENDED AND RESTATED AGREEMENT OF DISTRIBUTION
Plan of Distribution and Agreement of Distribution • November 29th, 2011 • Columbia Funds Series Trust II • Minnesota

For Class A and Class W shares, the fee shall be paid to the Distributor in cash within five (5) business days after the last day of each month.

PLAN OF DISTRIBUTION AND AMENDED AND RESTATED AGREEMENT OF DISTRIBUTION
Plan of Distribution and Agreement of Distribution • March 29th, 2012 • Columbia Funds Series Trust II • Minnesota

For Class A and Class W shares, the fee shall be paid to the Distributor in cash within five (5) business days after the last day of each month.

PLAN OF DISTRIBUTION AND AGREEMENT OF DISTRIBUTION AMENDED AND RESTATED
Plan of Distribution and Agreement of Distribution • April 29th, 2014 • Columbia Funds Variable Series Trust II • Minnesota

The Plan of Distribution (“Plan”) and Agreement of Distribution (“Agreement”), effective May 1, 2009, amended and restated March 7, 2011 (together “Plan and Agreement”), is by and between Columbia Management Investment Distributors, Inc. (“Columbia Management Investment Distributors” or the “Distributor”), a Delaware corporation, principle underwriter of RiverSource Variable Series Trust and Seligman Portfolios, Inc. pursuant to a separate distribution agreement (“Distribution Agreement”), for distribution services to the funds, and RiverSource Variable Series Trust, a Massachusetts business trust, and Seligman Portfolios, Inc., a Maryland corporation (“Registrant” or “Registrants”), on behalf of their underlying series (each a “fund” and collectively the “funds”) and share classes, listed in Schedule A. The terms “Fund” or “Funds” are used to refer to either the Registrants or the underlying series as context requires.

PLAN OF DISTRIBUTION AND AGREEMENT OF DISTRIBUTION
Plan of Distribution and Agreement of Distribution • April 30th, 2009 • Seligman Portfolios Inc/Ny • Minnesota

The Plan of Distribution (“Plan”) and Agreement of Distribution (“Agreement”), effective April , 2009, (together “Plan and Agreement”), is by and between RiverSource Fund Distributors, Inc. (“RiverSource Fund Distributors” or the “Distributor”), a Delaware corporation, principle underwriter of RiverSource Variable Series Trust and Seligman Portfolios, Inc. pursuant to a separate distribution agreement (“Distribution Agreement”), for distribution services to the funds, and RiverSource Variable Series Trust, a Massachusetts business trust, and Seligman Portfolios, Inc., a Maryland corporation (“Registrant” or “Registrants”), on behalf of their underlying series, listed in Schedule A (each a “fund” and collectively the “funds”). The terms “Fund” or “Funds” are used to refer to either the Registrants or the underlying series as context requires.

FORM OF PLAN OF DISTRIBUTION AND AGREEMENT OF DISTRIBUTION
Plan of Distribution and Agreement of Distribution • April 26th, 2013 • Columbia Funds Variable Series Trust II • Minnesota

The Plan of Distribution (“Plan”) and Agreement of Distribution (“Agreement”), effective May 1, 2009 (together “Plan and Agreement”), is by and between Columbia Management Investment Distributors, Inc. (“Columbia Management Investment Distributors” or the “Distributor”), a Delaware corporation, principle underwriter of Columbia Funds Variable Series Trust II, a Massachusetts business trust (“Registrant”), pursuant to a separate distribution agreement (“Distribution Agreement”), for distribution services to the funds and the Registrant, on behalf of its underlying series (each a “fund” and collectively the “funds”) and share classes, listed in Schedule A as applicable and effective as of the date listed in Schedule A, as it may be separately amended from time to time. The terms “Fund” or “Funds” are used to refer to the Registrant or the underlying series as context requires.

PLAN OF DISTRIBUTION AND AMENDED AND RESTATED AGREEMENT OF DISTRIBUTION
Plan of Distribution and Agreement of Distribution • April 23rd, 2014 • Columbia Funds Series Trust II • Minnesota

The Plan of Distribution (“Plan”) and the Agreement of Distribution (“Agreement”) effective November 7, 2008, amended and restated Sept. 27, 2010 (together “Plan and Agreement”), is by and between Columbia Management Investment Distributors, Inc. (“Columbia Management Investment Distributors” or the “Distributor”), a Delaware corporation, principal underwriter of the Corporations and Trusts (“Registrants”) listed in Schedule A pursuant to a separate distribution agreement (“Distribution Agreement”), for distribution services to the Funds, and the Registrants, each acting separately on behalf of its underlying series (each a “fund” and collectively the “funds”) and share classes, listed in Schedule A. The terms “Fund” or “Funds” are used to refer to either the Registrants or the underlying series as context requires.

PLAN OF DISTRIBUTION AND AGREEMENT OF DISTRIBUTION AMENDED AND RESTATED
Plan of Distribution and Agreement of Distribution • April 29th, 2011 • Columbia Funds Variable Series Trust II • Minnesota

The Plan of Distribution (“Plan”) and Agreement of Distribution (“Agreement”), effective May 1, 2009, amended and restated March 11, 2011 (together “Plan and Agreement”), is by and between Columbia Management Investment Distributors, Inc. (“Columbia Management Investment Distributors” or the “Distributor”), a Delaware corporation, principle underwriter of RiverSource Variable Series Trust and Seligman Portfolios, Inc. pursuant to a separate distribution agreement (“Distribution Agreement”), for distribution services to the funds, and RiverSource Variable Series Trust, a Massachusetts business trust, and Seligman Portfolios, Inc., a Maryland corporation (“Registrant” or “Registrants”), on behalf of their underlying series (each a “fund” and collectively the “funds”) and share classes, listed in Schedule A. The terms “Fund” or “Funds” are used to refer to either the Registrants or the underlying series as context requires.

PLAN OF DISTRIBUTION AND AGREEMENT OF DISTRIBUTION AMENDED AND RESTATED
Plan of Distribution and Agreement of Distribution • April 2nd, 2012 • Columbia Funds Variable Series Trust II • Minnesota

The Plan of Distribution (“Plan”) and Agreement of Distribution (“Agreement”), effective May 1, 2009 (together “Plan and Agreement”), is by and between Columbia Management Investment Distributors, Inc. (“Columbia Management Investment Distributors” or the “Distributor”), a Delaware corporation, principle underwriter of Columbia Funds Variable Series Trust II, a Massachusetts business trust (“Registrant”), pursuant to a separate distribution agreement (“Distribution Agreement”), for distribution services to the funds and the Registrant, on behalf of its underlying series (each a “fund” and collectively the “funds”) and share classes, listed in Schedule A as applicable and effective as of the date listed in Schedule A, as it may be separately amended from time to time. The terms “Fund” or “Funds” are used to refer to the Registrant or the underlying series as context requires.

FORM OF PLAN OF DISTRIBUTION AND AGREEMENT OF DISTRIBUTION
Plan of Distribution and Agreement of Distribution • November 7th, 2012 • Columbia Funds Series Trust II • Minnesota

The Plan of Distribution (“Plan”) and the Agreement of Distribution (“Agreement”) effective November 7, 2008 (together “Plan and Agreement”), is by and between Columbia Management Investment Distributors, Inc. (“Columbia Management Investment Distributors” or the “Distributor”), a Delaware corporation, principal underwriter of Columbia Funds Series Trust II (“Registrant”) pursuant to a separate distribution agreement (“Distribution Agreement”), for distribution services to the Funds (each a “fund” and collectively the “funds”), and the Registrant and share classes, listed in Schedule which may be separately amended from time to time to reflect the addition of each new Fund and Shares. The terms “Fund” or “Funds” are used to refer to either the Registrants or the underlying series as context requires.

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