PACIFIC SELECT FUND Sample Clauses

PACIFIC SELECT FUND. Attest: By:_______________________________ ----------------------------- Name: Xxxxxx X. Milfs Name: Xxxxxx X. Xxxxxx Title: Secretary Chairman of the Board & Trustee PACIFIC LIFE INSURANCE COMPANY Attest: By:______________________________ ----------------------------- Name: Xxxxxxx X. XxxXxxxx Name: Xxxxxx X. Xxxxxx Title: Assistant Vice President Title: Chairman of the Board & Chief Executive Officer Attest: By:______________________________ ----------------------------- Name: Xxxxxxx X. XxxXxxxx Name: Xxxxxx X. Milfs Title: Assistant Vice President Title: Vice President and Secretary
AutoNDA by SimpleDocs
PACIFIC SELECT FUND. Attest: By: ---------------------------------- --------------------------------- Name: Name: Xxxxxx X. Xxxxxx Title: President PACIFIC MUTUAL DISTRIBUTORS, INC. Attest: By: ---------------------------------- --------------------------------- Name: Name: Title: President PM GROUP LIFE INSURANCE COMPANY [PACIFIC LIFE & ANNUITY COMPANY] Attest: By: ---------------------------------- --------------------------------- Name: Name: Title: President EXHIBIT A PACIFIC SELECT EXEC SEPARATE ACCOUNT SEPARATE ACCOUNT A
PACIFIC SELECT FUND. By: Name: /s/ Mxxx Xxx Xxxxx Mxxx Xxx Xxxxx Attested By: Name: /s/ Axxxxx X. Milfs Axxxxx X. Milfs Title: Senior Vice President Title: Vice President & Secretary Pacific Life Fund Advisors LLC By: Name: /s/ Hxxxxx Xxxxxxxx Hxxxxx Xxxxxxxx Attested By: Name: /s/ Axxxxx X. Milfs Axxxxx X. Milfs Title: Vice President Title: Vice President & Secretary BlackRock Investment Management, LLC By: Name: /s/ Dxxxx X. Xxxxxxx Dxxxx X. Xxxxxxx Attested By: Name: /s/ Dxxxx X. Moong Dxxxx X. Moong Title: Managing Director Title: Director
PACIFIC SELECT FUND on behalf of each of the Fund of Funds listed on Schedule A By: /s/ Xxxxxx X. Xxxxxxxx Name: Xxxxxx X. Xxxxxxxx Title: Senior Vice President By: /s/ Xxxxxxx X. XxxXxxxx Name: Xxxxxxx X. XxxXxxxx Title: VP & Assistant Secretary Pacific Life Fund Advisors LLC By: /s/ Xxxxxx X. Xxxxxxxx Name: Xxxxxx X. Xxxxxxxx Title: SVP, Fund Advisor Operations By: /s/ Xxxxxxx X. XxxXxxxx Name: Xxxxxxx X. XxxXxxxx Title: VP & Assistant Secretary Pacific Life Insurance Company, on behalf of itself and each of its Accounts listed on Schedule C By: /s/ Xxxxxx X. Xxxxxxxx Name: Xxxxxx X. Xxxxxxxx Title: SVP, Fund Advisor Operations By: /s/ Xxxx X. Xxxxxxxx Name: Xxxx X. Xxxxxxxx Title: Assistant Secretary Pacific Life & Annuity Company, on behalf of itself and each of its Accounts listed on Schedule C By: /s/ Xxxxx Xxxx Name: Xxxxx Xxxx Title: VP, Corporate Financial By: /s/ Xxxx X. Xxxxxxxx Name: Xxxx X. Xxxxxxxx Title: Assistant Xxxxxxxxx XXX Xxxxxxxxxx Dimensions Group Inc., on behalf of each of its Portfolios listed on Schedule B By: /s/ Xxxxxxx O Name: Xxxxxxx O Title: Vice President Dimensional Investment Group Inc., on behalf of each of its Portfolios listed on Schedule B By: /s/ Xxxxxxx X. Xxxxx Name: Xxxxxxx X. Xxxxx Title: Vice President Dimensional Fund Advisors LP By: Dimensional Holdings Inc., General Partner By: /s/ Xxxxxxx X. Xxxxxx Name: Xxxxxxx X. Xxxxxx Title: VP & Controller SCHEDULE A PACIFIC SELECT FUND OF FUNDS PSF DFA Balanced Allocation Portfolio SCHEDULE B LIST OF PORTFOLIOS OF DFA INVESTMENT DIMENSIONS GROUP INC. (“DFAIDG”) AND DIMENSIONAL INVESTMENT GROUP INC. (“DIG”) (EACH AN “ACQUIRED FUND”) DFAIDG U.S. Core Equity 1 Portfolio* Large Cap International Portfolio* U.S. Large Company Portfolio DFA Intermediate Government Fixed Income Portfolio* DFA Intermediate-Term Extended Quality Portfolio* DFA Short-Term Extended Quality Portfolio* U.S. Large Cap Growth Portfolio* U.S. Core Equity 2 Portfolio* U.S. Small Cap Growth Portfolio* DFA Real Estate Securities Portfolio* VA U.S. Large Value Portfolio* VA U.S. Targeted Value Portfolio* VA International Small Portfolio* VA Short-Term Fixed Portfolio* VA Global Bond Portfolio* * A Stand Alone Portfolio in which a Fund of Funds and the members of the Fund of Funds Advisory Group may own up to 25% of the Stand Alone Portfolio’s total outstanding voting securities. SCHEDULE C LIST OF SEPARATE ACCOUNTS Insurance Company Separate Account(s) Pacific Life Insurance Company Separate Account A of Pacific Life Insuranc...
PACIFIC SELECT FUND. ESG Diversified Portfolio ESG Diversified Growth Portfolio

Related to PACIFIC SELECT FUND

  • Federated Hermes Global Equity Fund Federated Hermes Global Small Cap Fund Federated Hermes SDG Engagement Equity Fund Federated Hermes Unconstrained Credit Fund Federated International Bond Strategy Portfolio Federated International Dividend Strategy Portfolio Federated International Leaders Fund Federated International Small-Mid Company Fund Federated International Strategic Value Dividend Fund Federated MDT Large Cap Value Fund Federated Michigan Intermediate Municipal Trust Federated Muni and Stock Advantage Fund Federated Municipal High Yield Advantage Fund Federated Municipal Ultrashort Fund Federated Municipal Bond Fund, Inc. Federated Ohio Municipal Income Fund Federated Pennsylvania Municipal Income Fund Federated Premier Municipal Income Fund Federated Short-Intermediate Duration Municipal Trust

  • Equity Funds X. Xxxx Price International Funds, Inc. on behalf of: X. Xxxx Price Global Industrials Fund Income Funds

  • Use of Funds in Trust Account During the period prior to the Company’s initial Business Combination or Liquidation, the Company may instruct the Trustee to release from the Trust Account, (i) solely from interest income earned on the funds held in the Trust Account, the amounts necessary to pay taxes, if any, and (ii) to pay Public Stockholders who properly redeem their Public Shares (as defined below) in connection with a stockholder vote to approve an amendment to the Company’s Amended and Restated Certificate of Incorporation (x) to modify the substance or timing of the Company’s obligation to allow redemption in connection with its initial Business Combination or to redeem 100% of the outstanding Public Shares if the Company has not consummated an initial Business Combination within 24 months from the closing of the Offering or (y) with respect to any other provision relating to stockholders’ rights or pre-initial Business Combination activity. Otherwise, all funds held in the Trust Account (including any interest income earned on the amounts held in the Trust Account (net of taxes payable thereon in accordance with the preceding sentence)) will remain in the Trust Account until the earlier of the consummation of the Company’s initial Business Combination and the Liquidation; provided, however, that in the event of the Liquidation, up to $100,000 of interest income may be released to the Company if the proceeds of the Offering held by the Company outside of the Trust Account are not sufficient to cover the costs and expenses associated with implementing the Company’s plan of dissolution.

  • Deposit of Fund Assets in U.S. Securities Systems The Custodian may deposit and/or maintain securities owned by a Portfolio in a U.S. Securities System in compliance with the conditions of Rule 17f-4 under the 1940 Act, as amended from time to time.

  • Company Funds All funds of the Company shall be deposited in its name, or in such name as may be designated by the Board, in such checking, savings or other accounts, or held in its name in the form of such other investments as shall be designated by the Board. The funds of the Company shall not be commingled with the funds of any other Person. All withdrawals of such deposits or liquidations of such investments by the Company shall be made exclusively upon the signature or signatures of such Officer or Officers as the Board may designate.

  • Application of Foreclosure Sale Proceeds Mortgagee shall apply the proceeds of any Foreclosure Sale in the following manner:

  • Separate Lots The Property is comprised of one (1) or more parcels which constitute a separate tax lot or lots and does not constitute a portion of any other tax lot not a part of the Property.

  • NCL CORPORATION LTD an exempted company incorporated under the laws of Bermuda with its registered office at Park Xxxxx, 00 Xxx-xx-Xxxxx Xxxx, Xxxxxxxx XX 00, Bermuda (the "Guarantor")

  • Subsidiaries and Owners; Investment Companies Schedule 6.1.2 states (i) the name of each of the Borrowers' Subsidiaries, its jurisdiction of organization and the amount, percentage and type of equity interests in such Subsidiary (the "Subsidiary Equity Interests"), (ii) the name of each holder of an equity interest in the Borrowers (except for Parent), and the amount, percentage and type of such equity interest, and (iii) any options, warrants or other rights outstanding to purchase any such equity interests referred to in clause (i) or (ii). The Borrowers and each Subsidiary of the Borrowers have good and marketable title to all of the Subsidiary Equity Interests it purports to own, free and clear in each case of any Lien and all such Subsidiary Equity Interests have been validly issued, fully paid and nonassessable. None of the Loan Parties or Subsidiaries of any Loan Party is an "investment company" registered or required to be registered under the Investment Company Act of 1940 or under the "control" of an "investment company" as such terms are defined in the Investment Company Act of 1940 and shall not become such an "investment company" or under such "control."

  • General Account All assets of SBL other than those allocated to the Separate Account or any other separate account of SBL. GUARANTEE PERIOD Current Interest, if declared, is fixed for rolling periods of one or more years, referred to as Guarantee Periods. SBL may offer Guarantee Periods of different durations. The Guarantee Period that applies to any Fixed Account Contract Value:

Time is Money Join Law Insider Premium to draft better contracts faster.