MATURITY GUIDELINES. 1. FIXED RATE INSTRUMENTS: shall have a Final Maturity at the time of purchase that does not exceed 397 days. 2. FLOATING RATE INSTRUMENTS: U.S. Government Securities shall have a Final Maturity that does not exceed 397 days.
Appears in 3 contracts
Sources: Securities Lending Agreement (Jp Morgan Mutual Fund Investment Trust), Securities Lending Agreement (Jp Morgan Fleming Mutual Fund Group Inc), Securities Lending Agreement (JPMorgan Trust I)