{"component": "clause", "props": {"groups": [{"size": 1180, "snippet_links": [{"key": "agreements-and-conditions", "type": "clause", "offset": [15, 40]}, {"key": "agreement-to-be", "type": "clause", "offset": [59, 74]}, {"key": "by-the-company", "type": "clause", "offset": [85, 99]}, {"key": "prior-to-the-closing-date", "type": "clause", "offset": [106, 131]}, {"key": "in-all-material-respects", "type": "definition", "offset": [175, 199]}], "snippet": "All covenants, agreements and conditions contained in this Agreement to be performed by the Company on or prior to the Closing Date shall have been performed or complied with in all material respects.", "samples": [{"hash": "lDgQdOPReel", "uri": "/contracts/lDgQdOPReel#covenants", "label": "Securities Purchase Agreement (Spruce Biosciences, Inc.)", "score": 36.7672843933, "published": true}, {"hash": "kEmGBrvSpye", "uri": "/contracts/kEmGBrvSpye#covenants", "label": "Securities Purchase Agreement (Regulus Therapeutics Inc.)", "score": 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"offset": [3910, 3944]}, {"key": "trust-a", "type": "definition", "offset": [3985, 3992]}, {"key": "written-assessment", "type": "clause", "offset": [3993, 4011]}, {"key": "rule-38a-1", "type": "definition", "offset": [4150, 4160]}], "snippet": "In the performance of its duties under this Agreement, the Advisor:\n(a) shall at all times conform to, and act in accordance with, any requirements imposed by: (i) the provisions of the 1940 Act and the Investment Advisers Act of 1940, as amended (the \u201cAdvisers Act\u201d), and all applicable Rules and Regulations of the Securities and Exchange Commission (the \u201cSEC\u201d); (ii) any other applicable provision of law; (iii) the provisions of the Agreement and Declaration of Trust and By-Laws of the Trust, as such documents are amended from time to time; (iv) the investment objectives and policies of each Fund as set forth in its Registration Statement on Form N-1A; and (v) compliance policies and procedures of the Trust adopted by the Board of Trustees of the Trust;\n(b) will, with respect to each Fund\u2019s assets not managed by an investment sub-advisor, place orders either directly with the issuer or with any broker or dealer. Subject to the other provisions of this paragraph, in placing orders with brokers and dealers, the Advisor will attempt to obtain the best price and the most favorable execution of its orders. In placing orders, the Advisor will consider the experience and skill of the firm\u2019s securities traders as well as the firm\u2019s financial responsibility and administrative efficiency. Consistent with this obligation, the Advisor may select brokers on the basis of the research, statistical and pricing services they provide to the Fund and other clients of the Advisor. Information and research received from such brokers will be in addition to, and not in lieu of, the services required to be performed by the Advisor hereunder. A commission paid to such brokers may be higher than that which another qualified broker would have charged for effecting the same transaction, provided that the Advisor determines in good faith that such commission is reasonable in terms either of the transaction or the overall responsibility of the Advisor to the Fund and its other clients and that the total commissions paid by the Fund will be reasonable in relation to the benefits to the Fund over the long term. In no instance, however, will the Fund\u2019s securities be purchased from or sold to the Advisor, or any affiliated person thereof, except to the extent permitted by the SEC or by applicable law;\n(c) will treat confidentially and as proprietary information of each Fund all records and other information relative to the Fund, and the Fund\u2019s prior, current or potential shareholders, and will not use such records and information for any purpose other than performance of its responsibilities and duties hereunder, except after prior notification to and approval in writing by the Fund, which approval shall not be unreasonably withheld and may not be withheld when the Advisor may be exposed to civil or criminal contempt proceedings for failure to comply, when requested to divulge such information by duly constituted authorities, or when so requested by the Fund;\n(d) will maintain errors and omissions insurance in an amount at least equal to that disclosed to the Board of Trustees in 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These may include commitments such as maintaining certain standards, refraining from specific actions, or performing particular duties, like keeping insurance in force or complying with applicable laws. By clearly outlining these continuing responsibilities, the clause helps ensure that both parties understand and fulfill their obligations, thereby reducing the risk of disputes and promoting smooth contract performance."}, "json": true, "cursor": ""}}