Calculate the Reinvestment Pavrnents Sample Clauses

Calculate the Reinvestment Pavrnents. The"Reinvestment Payments" shall be the monthly interest payments that would be received by Holder through the Maturity Date, if the principal amount prepaid or deemed prepaid were to be invested at the Reinvestment Yield.
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  • Investment Management Fee For services provided under subparagraph (b) of paragraph 1 of this Agreement, the Advisor agrees to pay the Sub-Advisor a monthly Investment Management Fee. The Investment Management Fee shall be equal to: (i) 50% of the monthly management fee rate (including performance adjustments, if any) that the Portfolio is obligated to pay the Advisor under its Management Contract with the Advisor, multiplied by: (ii) the fraction equal to the net assets of the Portfolio as to which the Sub-Advisor shall have provided investment management services divided by the net assets of the Portfolio for that month. If in any fiscal year the aggregate expenses of the Portfolio exceed any applicable expense limitation imposed by any state or federal securities laws or regulations, and the Advisor waives all or a portion of its management fee or reimburses the Portfolio for expenses to the extent required to satisfy such limitation, the Investment Management Fee paid to the Sub-Advisor will be reduced by 50% of the amount of such waivers or reimbursements multiplied by the fraction determined in (ii). If the Sub-Advisor reduces its fees to reflect such waivers or reimbursements and the Advisor subsequently recovers all or any portion of such waivers and reimbursements, then the Sub-Advisor shall be entitled to receive from the Advisor a proportionate share of the amount recovered. To the extent that waivers and reimbursements by the Advisor required by such limitations are in excess of the Advisor's management fee, the Investment Management Fee paid to the Sub-Advisor will be reduced to zero for that month, but in no event shall the Sub-Advisor be required to reimburse the Advisor for all or a portion of such excess reimbursements.

  • PIPE Investment (a) Acquiror has delivered to the Company true, correct and complete copies of each of the Subscription Agreements entered into by Acquiror with the applicable PIPE Investors named therein, pursuant to which the PIPE Investors have committed to provide equity financing to Acquiror solely for purposes of consummating the Transactions in the aggregate amount of not less than $225,000,000 (the “PIPE Investment Amount”). To the knowledge of Acquiror, with respect to each PIPE Investor, the Subscription Agreement with such PIPE Investor is in full force and effect and has not been withdrawn or terminated, or otherwise amended or modified, in any respect, and no withdrawal, termination, amendment or modification is contemplated by Acquiror. Each Subscription Agreement is a legal, valid and binding obligation of Acquiror and, to the knowledge of Acquiror, each PIPE Investor, and neither the execution or delivery by any party thereto nor the performance of any party’s obligations under any such Subscription Agreement violates or will violate any Laws. There are no other agreements, side letters, or arrangements between Acquiror and any PIPE Investor that could affect the obligation of such PIPE Investors to contribute to Acquiror the applicable portion of the PIPE Investment Amount set forth in the Subscription Agreement of such PIPE Investors, and, as of the date hereof, Acquiror does not know of any facts or circumstances that may reasonably be expected to result in any of the conditions set forth in any Subscription Agreement not being satisfied, or the PIPE Investment Amount not being available to Acquiror, on the Closing Date. No event has occurred that, with or without notice, lapse of time or both, would constitute a default or breach on the part of Acquiror under any material term or condition of any Subscription Agreement and, as of the date hereof, Acquiror has no reason to believe that it will be unable to satisfy in all respects on a timely basis any condition to closing or material term to be satisfied by it contained in any Subscription Agreement. The Subscription Agreements contain all of the conditions precedent (other than the conditions contained in this Agreement) to the obligations of the PIPE Investors to contribute to Acquiror the applicable portion of the PIPE Investment Amount set forth in the Subscription Agreements on the terms therein.

  • Asset Management Fee The fee payable to the Advisor for day-to-day professional management services in connection with the Company and its investments in Assets pursuant to Section 3.01(a) of this Agreement.

  • DATE INVESTMENT COMPANY 11/1/03 Federated Hermes Adjustable Rate Securities Trust 11/1/03 Federated Hermes Adjustable Rate Fund Institutional Shares 11/1/03 Service Shares 6/1/17 Federated Hermes Adviser Series 6/1/19 Federated Hermes Emerging Markets Equity Fund Class A Shares 6/1/19 Class C Shares 6/1/19 Institutional Shares 6/1/19 Class R6 Shares 12/1/18 Federated Hermes Absolute Return Credit Fund 12/1/18 Class A Shares 12/1/18 Class C Shares 12/1/18 Institutional Shares 12/1/18 Class R6 Shares 12/1/20 Federated Hermes Conservative Microshort Fund Class A Shares 12/1/20 Institutional Shares 12/1/20 Federated Hermes Conservative Municipal Microshort Fund Class A Shares 12/1/20 Institutional Shares 12/1/18 Federated Hermes Global Equity Fund 12/1/18 Class A Shares 12/1/18 Class C Shares 12/1/18 Institutional Shares 12/1/18 Class R6 Shares 12/1/18 Federated Hermes Global Small Cap Fund 12/1/18 Class A Shares 12/1/18 Class C Shares 12/1/18 Institutional Shares 12/1/18 Class R6 Shares 3/1/19 Federated Hermes International Developed Equity Fund 3/1/19 Class A Shares 3/1/19 Class C Shares 3/1/19 Institutional Shares 3/1/19 Class R6 Shares 9/1/18 Federated Hermes SDG Engagement Equity Fund 9/1/18 Class A Shares 9/1/18 Class C Shares 9/1/18 Class R6 Shares 9/1/18 Institutional Shares 9/1/18 Federated Hermes SDG Engagement High Yield Credit Fund 9/1/18 Class A Shares 9/1/18 Class R6 Shares 9/1/18 Institutional Shares 12/1/18 Federated Hermes Unconstrained Credit Fund 12/1/18 Class A Shares 12/1/18 Class C Shares 12/1/18 Institutional Shares 12/1/18 Class R6 Shares 3/1/20 Federated Hermes US XXXX Fund 3/1/20 Class A Shares 3/1/20 Institutional Share 3/1/20 Class R6 Shares 6/1/19 Federated Hermes International Equity Fund 6/1/19 Class A Shares 6/1/19 Class C Shares 6/1/19 Class R6 Shares Institutional Shares 6/1/19 Federated Hermes International Growth Fund 6/1/19 Class A Shares 6/1/19 Class C Shares 6/1/19 Class R6 Shares Institutional Shares 6/1/19 6/1/17 Federated Hermes MDT Large Cap Value Fund 6/1/17 Class A Shares 6/1/17 Class R Shares 6/1/17 Class R6 Shares 6/1/17 Institutional Shares 6/1/17 Service Shares 3/1/21 ** Federated Hermes MDT Market Neutral Fund Class A Shares 3/1/21 Institutional Shares 11/1/03 Federated Hermes Core Trust 03/1/16 Emerging Markets Core Fund 9/1/10 Bank Loan Core Fund 11/1/03 Mortgage Core Fund 11/1/03 High-Yield Bond Core Fund 3/1/08 Federated Hermes Core Trust III Project and Trade Finance Core Fund 11/1/03 Federated Hermes Equity Funds 12/1/08 Federated Hermes Clover Small Value Fund 12/1/08 Class A Shares 12/1/08 Class C Shares 12/1/08 Institutional Shares 12/29/10 Class R Shares 3/1/16 Class R6 Shares 3/1/08 Federated Hermes International Strategic Value Dividend Fund 3/1/08 Class A Shares 3/1/08 Class C Shares 9/1/16 Class R6 Shares 9/1/16 Institutional Shares 11/1/03 Federated Hermes Xxxxxxxx Fund 11/1/03 Class A Shares 11/1/03 Class B Shares 11/1/03 Class C Shares 11/1/03 Class R Shares 9/1/16 Institutional Shares 9/17/07 Federated Hermes Xxxxxxxx Large Cap Fund 9/17/07 Class A Shares 9/17/07 Class C Shares 9/17/07 Class R Shares 12/30/13 Class R6 Shares 9/17/07 Institutional Shares 11/1/03 Federated Hermes Xxxxxxxx Small Cap Fund 11/1/03 Class A Shares 11/1/03 Class B Shares 11/1/03 Class C Shares 9/1/05 Class R Shares 9/1/17 Class R6 Shares 9/1/15 Institutional Shares 11/1/03 Federated Hermes MDT Mid Cap Growth Fund 11/1/03 Class A Shares 11/1/03 Class C Shares 9/1/06 Class R6 Shares 12/1/09 Institutional Shares 9/1/08 Federated Hermes Prudent Bear Fund 9/1/08 Class A Shares 9/1/08 Class C Shares 9/1/08 Institutional Shares 12/1/04 Federated Hermes Strategic Value Dividend Fund 12/1/04 Class A Shares 12/1/04 Class C Shares 3/1/05 Class R6 Shares 6/1/16 Institutional Shares 11/1/03 Federated Hermes Equity Income Fund, Inc. 11/1/03 Class A Shares 11/1/03 Class B Shares 11/1/03 Class C Shares 11/1/03 Class F Shares 1/25/13 Class R Shares 3/1/12 Institutional Shares 11/1/03 Federated Hermes Fixed Income Securities, Inc. 11/1/03 Federated Hermes Strategic Income Fund 11/1/03 Class A Shares 11/1/03 Class B Shares 11/1/03 Class C Shares 11/1/03 Class F Shares 1/27/17 Class R6 Shares 9/1/07 Institutional Shares 11/1/03 Federated Hermes Municipal Ultrashort Fund 11/1/03 Class A Shares 11/1/03 Institutional Shares 3/1/19 Class R6 Shares 6/1/08 Federated Hermes Global Allocation Fund 6/1/08 Class A Shares 6/1/08 Class B Shares 6/1/08 Class C Shares 6/1/08 Class R Shares 3/1/16 Class R6 Shares 3/1/09 Institutional Shares 11/1/03 Federated Hermes Government Income Securities, Inc. 11/1/03 Class A Shares 11/1/03 Class C Shares 11/1/03 Class F Shares 3/1/20 Institutional Shares 11/1/03 Federated Hermes Government Income Trust 11/1/03 Federated Hermes Government Income Fund Institutional Shares 11/1/03 Service Shares 11/1/03 Federated Hermes High Income Bond Fund, Inc. 11/1/03 Class A Shares 11/1/03 Class B Shares 11/1/03 Class C Shares 1/27/17 Class R6 Shares 1/27/17 Institutional Shares 11/1/03 Federated Hermes High Yield Trust 3/1/14 Federated Hermes Opportunistic High Yield Bond Fund Class A Shares 3/1/14 Class C Shares 4/30/10 Service Shares 6/1/13 Institutional Shares 9/1/16 Class R6 Shares 11/1/03 Federated Hermes Income Securities Trust 11/1/03 Federated Hermes Capital Income Fund 11/1/03 Class A Shares 11/1/03 Class B Shares 11/1/03 Class C Shares 11/1/03 Class F Shares 6/1/13 Class R Shares 3/1/12 Institutional Shares 9/1/10 Federated Hermes Floating Rate Strategic Income Fund 9/1/10 Class A Shares 9/1/10 Class C Shares 9/1/10 Institutional Shares 9/1/16 Class R6 Shares 11/1/03 Federated Hermes Fund for U.S. Government Securities 11/1/03 Class A Shares 11/1/03 Class B Shares 11/1/03 Class C Shares 3/1/20 Institutional Shares 11/1/03 Federated Hermes Intermediate Corporate Bond Fund 11/1/03 Institutional Shares 11/1/03 Service Shares 11/1/03 Federated Hermes Muni and Stock Advantage Fund 11/1/03 Class A Shares 11/1/03 Class B Shares 11/1/03 Class C Shares 5/29/07 Class F Shares 12/1/10 Institutional Shares 12/1/05 Federated Hermes Real Return Bond Fund 12/1/05 Class A Shares 12/1/05 Class C Shares 12/1/05 Institutional Shares 11/1/03 Federated Hermes Short-Term Income Fund 12/1/03 Class A Shares 11/1/03 Institutional Shares 11/1/03 Service Shares 9/1/16 Class R6 Shares 11/1/03 Federated Hermes Institutional Trust 11/1/03 Federated Hermes Government Ultrashort Fund 11/1/03 Class A Shares 11/1/03 Institutional Shares 11/1/03 Service Shares 3/1/16 Class R6 Shares 11/1/03 Federated Hermes Institutional High Yield Bond Fund 12/1/07 Institutional Shares 03/1/16 R6 Shares 6/1/05 Federated Hermes Short-Intermediate Total Return Bond Fund 9/1/16 Class R6 Shares 6/1/05 Institutional Shares 6/1/05 Service Shares 11/1/03 Federated Hermes Insurance Series 11/1/03 Federated Hermes Fund for U.S. Government Securities II 11/1/03 Federated Hermes High Income Bond Fund II 11/1/03 Primary Shares 11/1/03 Service Shares 11/1/03 Federated Hermes Xxxxxxxx Fund II 11/1/03 Primary Shares 11/1/03 Service Shares 11/1/03 Federated Hermes Managed Volatility Fund II 6/1/18 Primary Shares 6/1/18 Service Shares 11/1/03 Federated Hermes Government Money Fund II 9/1/15 Primary Shares 9/1/15 Service Shares 11/1/03 Federated Hermes Quality Bond Fund II 11/1/03 Primary Shares 11/1/03 Service Shares 11/1/03 Federated Hermes International Series, Inc. 11/1/03 Federated Hermes Global Total Return Bond Fund 11/1/03 Class A Shares 11/1/03 Class C Shares 9/1/16 Institutional Shares 11/1/03 Federated Hermes Investment Series Funds, Inc. 11/1/03 Federated Hermes Corporate Bond Fund 11/1/03 Class A Shares 11/1/03 Class B Shares 11/1/03 Class C Shares 11/1/03 9/1/16 Class F Shares Class R6 Shares 9/1/07 Institutional Shares 12/1/05 Federated Hermes Managed Pool Series 12/1/05 Federated Hermes Corporate Bond Strategy Portfolio 12/1/05 Federated Hermes High-Yield Strategy Portfolio 12/1/05 Federated Hermes International Bond Strategy Portfolio 12/1/14 Federated Hermes International Dividend Strategy Portfolio 12/1/05 Federated Hermes Mortgage Strategy Portfolio 7/31/06 Federated Hermes MDT Series 7/31/06 Federated Hermes MDT All Cap Core Fund 7/31/06 Class A Shares 9/1/16 Class R6 Shares 7/31/06 Institutional Shares 7/31/06 Federated Hermes MDT Balanced Fund 7/31/06 Class A Shares 7/31/06 Class C Shares 9/1/16 Class R6 Shares 7/31/06 Institutional Shares 7/31/06 Federated Hermes MDT Large Cap Growth Fund 7/31/06 Class A Shares 3/1/07 Class B Shares 7/31/06 Class C Shares 7/31/06 Institutional Shares 7/31/06 Federated Hermes MDT Small Cap Core Fund 7/31/06 Class A Shares 7/31/06 Class C Shares 7/31/06 Institutional Shares 3/1/16 Class R6 Shares 7/31/06 Federated Hermes MDT Small Cap Growth Fund 7/31/06 Class A Shares 7/31/06 Class C Shares 7/31/06 Institutional Shares 3/1/16 Class R6 Shares 11/1/03 Federated Hermes Municipal Bond Fund, Inc. 11/1/03 Class A Shares 11/1/03 Class B Shares 11/1/03 Class C Shares 5/29/07 Class F Shares 6/1/17 Institutional Shares 11/1/03 Federated Hermes Municipal Securities Income Trust 11/1/03 Federated Hermes Michigan Intermediate Municipal Fund 12/1/04 Class A Shares 3/1/20 Institutional Shares 6/1/06 Federated Hermes Municipal High Yield Advantage Fund 6/1/06 Class A Shares 6/1/06 Class F Shares 6/1/13 Institutional Shares 11/1/03 Federated Hermes Ohio Municipal Income Fund 9/1/08 Class A Shares 11/1/03 Class F Shares 3/1/20 Institutional Shares 11/1/03 Federated Hermes Pennsylvania Municipal Income Fund 11/1/03 Class A Shares 3/1/20 Institutional Shares 11/1/03 Federated Hermes Premier Municipal Income Fund (limited purpose of Administrative Services) 11/1/03 Common Shares Auction Market Preferred Shares 10/1/16 Federated Hermes Project and Trade Finance Tender Fund (limited purpose of Administrative Services) 11/1/03 Federated Hermes Short-Intermediate Municipal Fund 7/1/06 Class A Shares 11/1/03 Institutional Shares 11/1/03 Service Shares 11/1/03 Federated Hermes Total Return Government Bond Fund 11/1/03 Institutional Shares 11/1/03 Service Shares 3/1/16 R6 Shares 11/1/03 Federated Hermes Total Return Series, Inc. 11/1/03 Federated Hermes Core Bond Fund (formerly, Federated Hermes Select Total Return Bond Fund) 11/1/03 Institutional Shares 11/1/03 Class A Shares 6/1/21 Class R6 Shares 11/1/03 Federated Hermes Total Return Bond Fund 11/1/03 Class A Shares 11/1/03 Class B Shares 11/1/03 Class C Shares 11/1/03 Class R Shares 4/17/15 Class R6 Shares 11/1/03 Institutional Shares 11/1/03 Service Shares 11/1/03 Federated Hermes Ultrashort Bond Fund 11/1/03 Class A Shares 11/1/03 Institutional Shares 11/1/03 Service Shares 3/1/19 Class R6 Shares 11/1/03 Federated Hermes Short-Term Government Fund 11/1/03 Class Y Shares 11/1/03 Institutional Shares 11/1/03 Service Shares 11/1/03 Federated Hermes Short-Intermediate Government Fund 11/1/03 Class R Shares 11/1/03 Institutional Shares 11/1/03 Service Shares 11/1/03 Federated Hermes World Investment Series, Inc. 11/1/03 Federated Hermes Emerging Market Debt Fund 11/1/03 Class A Shares 11/1/03 Class C Shares 3/1/12 Institutional Shares 11/1/03 Federated Hermes International Leaders Fund 11/1/03 Class A Shares 11/1/03 Class B Shares 11/1/03 Class C Shares 6/1/13 Class R Shares 6/1/13 Class R6 Shares 6/15/10 Institutional Shares 11/1/03 Federated Hermes International Small-Mid Company Fund 11/1/03 Class A Shares 11/1/03 Class C Shares 3/1/08 Institutional Shares 11/1/03 Federated Hermes Intermediate Municipal Trust 11/1/03 Federated Hermes Intermediate Municipal Fund 11/1/03 Institutional Shares 11/1/03 Service Shares 11/1/03 Federated Hermes Money Market Obligations Trust 11/1/03 Federated Hermes California Municipal Cash Trust 12/1/04 Capital Shares 11/1/03 Cash II Shares 12/1/04 Cash Series Shares 11/1/03 Wealth Shares 11/1/03 Service Shares 12/1/04 Federated Hermes Capital Reserves Fund 11/1/03 Federated Hermes Government Obligations Fund 9/1/17 Administrative Shares 6/1/17 Advisor Shares 12/1/04 Capital Shares 6/1/15 Cash II Shares 6/1/15 Cash Series Shares 12/1/15 Class R Shares 11/1/03 Institutional Shares 12/1/14 Premier Shares 11/1/03 Service Shares 11/1/03 Trust Shares 11/1/03 Federated Hermes Government Obligations Tax Managed Fund 6/1/15 Automated Shares 11/1/03 Institutional Shares 11/1/03 Service Shares 12/1/04 Federated Hermes Government Reserves Fund 6/1/15 Class A Shares 6/1/15 Class B Shares 6/1/15 Class C Shares 6/1/15 Class F Shares 6/1/15 Class P Shares 11/1/03 Federated Hermes Institutional Money Market Management 3/1/14 Capital Shares 9/1/07 Eagle Shares 9/1/07 Institutional Shares 3/1/14 Service Shares 11/1/03 Federated Hermes Institutional Prime Obligations Fund 11/1/03 Capital Shares 11/1/03 Institutional Shares 11/1/03 Service Shares 11/1/03 Federated Hermes Institutional Prime Value Obligations Fund 11/1/03 Capital Shares 11/1/03 Institutional Shares 11/1/03 Service Shares 11/1/03 Federated Hermes Institutional Tax-Free Cash Trust 12/1/15 Premier Shares 12/1/15 Institutional Shares 11/1/03 Federated Hermes Municipal Obligations Fund 10/27/17 Automated Shares 11/1/03 Capital Shares 6/1/15 Cash II Shares 6/1/15 Cash Series Shares 6/1/15 Investment Shares 11/1/03 Service Shares 11/1/03 Wealth Shares 11/1/03 Federated Hermes New York Municipal Cash Trust 11/1/03 Cash II Shares 12/1/04 Cash Series Shares 12/1/04 Wealth Shares 11/1/03 Service Shares 11/1/03 Federated Hermes Prime Cash Obligations Fund 6/1/17 Advisor Shares 6/1/15 Automated Shares 11/1/03 Capital Shares 6/1/15 Cash II Shares 6/1/15 Cash Series Shares 6/1/15 Class R Shares 11/1/03 Wealth Shares 11/1/03 Service Shares 6/1/15 Trust Shares 11/1/03 Federated Hermes Tax-Free Obligations Fund 6/1/17 Advisor Shares 11/1/03 Service Shares 11/1/03 Wealth Shares 11/1/03 Federated Hermes Treasury Obligations Fund 6/13/14 Automated Shares 11/1/03 Capital Shares 11/1/03 Institutional Shares Service Shares 11/1/03 Trust Shares 11/1/03 Federated Hermes Trust for U.S. Treasury Obligations 6/1/15 Cash II Shares 6/1/15 Cash Series Shares 6/1/15 Institutional Shares 11/1/03 Federated Hermes U.S. Treasury Cash Reserves 11/1/03 Institutional Shares 11/1/03 Service Shares ** Not effective yet EXHIBIT B FUNDS NOT CHARGED AN ADMINISTRATIVE SERVICES FEE Emerging Markets Core Fund Mortgage Core Fund High Yield Bond Core Fund Bank Loan Core Fund Project and Trade Finance Core Fund

  • Investment Portfolio All investment securities held by Seller or its Subsidiaries, as reflected in the consolidated balance sheets of Seller included in the Seller Financial Statements, are carried in accordance with GAAP, specifically including but not limited to, FAS 115.

  • Asset Management Fees (i) Except as provided in Section 8.03(ii) hereof, the Company shall pay the Advisor as compensation for the services described in Section 3.03 hereof a monthly fee (the “Asset Management Fee”) in an amount equal to one-twelfth of 0.75% of the sum of the Cost of Real Estate Investments and the Cost of Loans and other Permitted Investments. The Advisor shall submit a monthly invoice to the Company, accompanied by a computation of the Asset Management Fee for the applicable period. The Asset Management Fee shall be payable on the last day of such month, or the first business day following the last day of such month. The Asset Management Fee may or may not be taken, in whole or in part, as to any period in the sole discretion of the Advisor. All or any portion of the Asset Management Fees not taken as to any period shall be deferred without interest and may be paid in such other fiscal period as the Advisor shall determine.

  • Discretionary Investment Management Services The Adviser shall act as investment adviser with respect to each Fund. In such capacity, the Adviser shall, subject to the supervision of the Board, regularly provide each Fund with investment research, advice and supervision and shall furnish continuously an investment program for each Fund, consistent with the respective investment objectives and policies of each Fund. The Adviser shall determine, from time to time, what securities shall be purchased for each Fund, what securities shall be held or sold by each Fund and what portion of each Fund’s assets shall be held uninvested in cash, subject always to the provisions of the Trust’s Agreement and Declaration of Trust (“Declaration of Trust”), as amended and supplemented (the “Declaration of Trust”), Bylaws and its registration statement on Form N-1A (the “Registration Statement”) under the 1940 Act, and under the Securities Act of 1933, as amended (the “1933 Act”), as filed with the Securities and Exchange Commission (the “Commission”), and with the investment objectives, policies and restrictions of each Fund, as each of the same shall be from time to time in effect. To carry out such obligations, and to the extent not prohibited by any of the foregoing, the Adviser shall exercise full discretion and act for each Fund in the same manner and with the same force and effect as each Fund itself might or could do with respect to purchases, sales or other transactions, as well as with respect to all other such things necessary or incidental to the furtherance or conduct of such purchases, sales or other transactions. No reference in this Agreement to the Adviser having full discretionary authority over each Fund’s investments shall in any way limit the right of the Board, in its sole discretion, to establish or revise policies in connection with the management of a Fund’s assets or to otherwise exercise its right to control the overall management of a Fund.

  • Investment Management If and to the extent requested by the Advisor, the Sub-Advisor shall, subject to the supervision of the Advisor, manage all or a portion of the investments of the Portfolio in accordance with the investment objective, policies and limitations provided in the Portfolio's Prospectus or other governing instruments, as amended from time to time, the Investment Company Act of 1940 (the "1940 Act") and rules thereunder, as amended from time to time, and such other limitations as the Trust or Advisor may impose with respect to the Portfolio by notice to the Sub-Advisor. With respect to the portion of the investments of the Portfolio under its management, the Sub-Advisor is authorized to make investment decisions on behalf of the Portfolio with regard to any stock, bond, other security or investment instrument, and to place orders for the purchase and sale of such securities through such broker-dealers as the Sub-Advisor may select. The Sub-Advisor may also be authorized, but only to the extent such duties are delegated in writing by the Advisor, to provide additional investment management services to the Portfolio, including but not limited to services such as managing foreign currency investments, purchasing and selling or writing futures and options contracts, borrowing money or lending securities on behalf of the Portfolio. All investment management and any other activities of the Sub-Advisor shall at all times be subject to the control and direction of the Advisor and the Trust's Board of Trustees.

  • Investment Program The Subadviser is hereby authorized and directed and hereby agrees, subject to the stated investment objective and policies of the Fund as set forth in the Trust’s current Registration Statement and subject to the supervision of the Adviser and the Board of Trustees of the Trust, to (i) develop and furnish continuously an investment program and strategy for the Fund in compliance with the Fund’s investment objective and policies as set forth in the Trust’s current Registration Statement, (ii) provide research and analysis relative to the investment program and investments of the Fund, (iii) determine (subject to the overall supervision of the Board of Trustees of the Trust) what investments shall be purchased, held, sold or exchanged by the Fund and what portion, if any, of the assets of the Fund shall be held in cash or cash equivalents, and (iv) make changes on behalf of the Trust in the investments of the Fund. In accordance with paragraph 2(ii)(b), the Subadviser shall arrange for the placing of all orders for the purchase and sale of securities and other investments for the Fund’s account and will exercise full discretion and act for the Trust in the same manner and with the same force and effect as the Trust might or could do with respect to such purchases, sales or other transactions, as well as with respect to all other things necessary or incidental to the furtherance or conduct of such purchases, sales or transactions. The Subadviser will make its officers and employees available to meet with the Adviser’s officers and directors on due notice at reasonable times to review the investments and investment program of the Fund in light of current and prospective economic and market conditions. The Subadviser is authorized on behalf of the Fund to enter into agreements and execute any documents required to make investments pursuant to the Prospectus as may be amended from time to time. The Subadviser’s responsibility for providing portfolio management services hereunder shall be limited to only those assets of the Fund which the Adviser determines to allocate to the Subadviser (those assets being referred to as the “Fund Account”), and the Subadviser agrees that it shall not consult with any investment advisor(s) (within the meaning of the 0000 Xxx) to the Fund or any other registered investment company or portfolio series thereof under common control with the Fund concerning transactions for the Fund Account in securities or other assets such that the exemptions under Rule 10f-3, Rule 12d-3 and/or Rule 17a-10 under the 1940 Act would not be available with respect to the Fund. The Subadviser shall exercise voting authority with respect to proxies that the Fund is entitled to vote by virtue of the ownership of assets attributable to that portion of the Fund for which the Subadviser has investment management responsibility; provided that the exercise of such authority shall be subject to periodic review by the Adviser and the Trustees of the Trust; provided, further that such authority may be revoked in whole or in part by the Adviser if required by applicable law. The Subadviser shall exercise its proxy voting authority hereunder in accordance with such proxy voting policies and procedures as the Trust may designate from time to time. The Subadviser shall provide such information relating to its exercise of proxy voting authority hereunder (including the manner in which it has voted proxies and its resolution of conflicts of interest) as reasonably requested by the Adviser from time to time. In the performance of its duties hereunder, the Subadviser is and shall be an independent contractor and except as expressly provided for herein or otherwise expressly provided or authorized shall have no authority to act for or represent the Fund or the Trust in any way or otherwise be deemed to be an agent of the Fund, the Trust or of the Adviser. If any occasion should arise in which the Subadviser gives any advice to its clients concerning the shares of a Fund, the Subadviser will act solely as investment counsel for such clients and not in any way on behalf of the Trust or the Fund.

  • Investment Management Services (a) The Manager shall manage the Fund’s assets subject to and in accordance with the investment objectives and policies of the Fund and any directions which the Trust’s Board of Trustees may issue from time to time. In pursuance of the foregoing, the Manager shall make all determinations with respect to the investment of the Fund’s assets and the purchase and sale of its investment securities, and shall take such steps as may be necessary to implement the same. Such determinations and services shall include determining the manner in which any voting rights, rights to consent to corporate action and any other rights pertaining to the Fund’s investment securities shall be exercised. The Manager shall render or cause to be rendered regular reports to the Trust, at regular meetings of its Board of Trustees and at such other times as may be reasonably requested by the Trust’s Board of Trustees, of (i) the decisions made with respect to the investment of the Fund’s assets and the purchase and sale of its investment securities, (ii) the reasons for such decisions and (iii) the extent to which those decisions have been implemented.

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