SECURITY EQUITY FUND Sample Clauses

SECURITY EQUITY FUND. By: Xxxxx X. Xxxxxxx -------------------------------- Xxxxx X. Xxxxxxx, Vice President and Treasurer ATTEST: By: Xxx X. Xxx ------------------------- Xxx X. Xxx, Secretary SECURITY DISTRIBUTORS, INC. By: Xxxxxxx X Xxxx -------------------------------- Xxxxxxx X Xxxx, President ATTEST: By: Xxx X. Xxx ------------------------- Xxx X. Xxx, Secretary AMENDMENT TO CLASS B DISTRIBUTION AGREEMENT
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SECURITY EQUITY FUND. By: James R. Schmank -------------------------------- James R. Schmank, Vice President and Treasurer ATTEST: By: Amy J. Lee ------------------------- Amy J. Lee, Secretary SECURITY DISTRIBUTORS, INC. By: Richard K Ryan -------------------------------- Richard K Ryan, President ATTEST: Bx: Xxx X. Xxx ------------------------- Amy J. Lee, Secretary XXXXXMENT TO CLASS B DISTRIBUTION AGREEMENT
SECURITY EQUITY FUND. By XXXX X. XXXXXXX --------------------------------- Title: President
SECURITY EQUITY FUND. By JOHN D. CLELAND --------------------------------- Title: President
SECURITY EQUITY FUND. By: XXXXX X. XXXXXXX ----------------------------- Name: Xxxxx X. Xxxxxxx Title: Vice President Date: January 27, 2000 ATTEST: By: XXX X. XXX -------------------------- Xxx X. Xxx, Secretary SECURITY DISTRIBUTORS, INC. By: XXXXXXX X XXXX ----------------------------- Name: Xxxxxxx X Xxxx Title: President Date: January 27, 2000 ATTEST: By: XXX X. XXX -------------------------- Xxx X. Xxx, Secretary FORM OF AMENDMENT TO DISTRIBUTION AGREEMENT
SECURITY EQUITY FUND. Equity Series January 1, 1995 Social Awareness Series September 24, 1998 Mid Cap Value Series (formerly Value Series) September 24, 1998 Small Cap Growth Series (formerly Small Company Series) September 24, 1998 Enhanced Index Series January 27, 1999 Select 25 Series January 27, 1999 Total Return Series July 1999 Security Growth and Income Fund January 1, 1995 Security Ultra Fund January 1, 1995 SBL Fund Series A January 1, 1995 Series B January 1, 1995 Series C January 1, 1995 Series E January 1, 1995 Series H April 26, 1999 Series J January 1, 1995 Series P September 24, 1998 Series S January 1, 1995 Series V September 24, 1998 Series X September 24, 1998 Series Y April 26, 1999 Security Income Fund Diversified Income Series (formerly U.S. Government Series; Corporate Bond Series and Limited Maturity Bond Series merged into Diversified Income Series) January 1, 1995 High Yield Series September 24, 1998 Capital Preservation Series April 26, 1999 Security Municipal Bond Fund January 1, 1995 Security Cash Fund January 1, 1995
SECURITY EQUITY FUND. By: JAMES R. SCHMANK ----------------------------- Name: James R. Schmank Title: Vice President Date: January 27, 2000 ATTEST: By: AMY J. LEE -------------------------- Amy J. Lee, Secretary SECURITY DISTRIBUTORS, INC. By: RICHARD K RYAN ----------------------------- Name: Richard K Ryan Title: President Date: January 27, 2000 ATTEST: By: AMY J. LEE -------------------------- Amy J. Lee, Secretary AMENDMENT TO DISTRIBUTION AGREEMENT
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  • PAY EQUITY 23.01 The parties agree that there are no female dominated job classes within the bargaining unit and therefore, there are no pay equity adjustments required. This statement is deemed to constitute the Pay Equity Plan for the Employer Bargaining Agency and the Employee Bargaining Agency.

  • HUMANITY FUND The Company agrees to deduct on a weekly basis the amount of forty (40) cents per week from the wages of all employees in the bargaining unit for all hours worked and, prior to the 15th day of the month following, to pay the amount so deducted to the "Humanity Fund" and to forward such payment to United Steelworkers National Office, 000 Xxxxxxxx Xxxxxx Xxxx, Xxxxxxx, Xxxxxxx, X0X 0X0 and to advise in writing both the Humanity Fund at the aforementioned address and the local union that such payment has been made, the amount of such payment and the names of all employees in the bargaining unit on whose behalf such payment has been made. All employee deductions are voluntary and may be cancelled upon request.

  • Company Funds The funds of the Company shall be deposited in such bank or other financial institution account or accounts, or invested in such interest-bearing or non-interest-bearing investments, as shall be designated by the Board of Managers. All withdrawals from any such accounts shall be made only by the Board of Managers or by individuals duly appointed by the Board of Managers.

  • Investment Securities and Commodities (a) Each of the Company and its Subsidiaries has good title in all material respects to all securities and commodities owned by it (except those sold under repurchase agreements), free and clear of any Lien, except as set forth in the financial statements included in the Company Reports or to the extent such securities or commodities are pledged in the ordinary course of business to secure obligations of the Company or its Subsidiaries. Such securities and commodities are valued on the books of the Company in accordance with GAAP in all material respects.

  • Group Life Insurance The Hospital shall contribute one hundred percent (100%) toward the monthly premium of HOOGLIP or other equivalent group life insurance plan in effect for eligible full-time employees in the active employ of the Hospital on the eligibility conditions set out in the existing Agreements.

  • 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.

  • Collateral Accounts Evidence that the Collateral Accounts have been established;

  • Equity Investment “Equity Investment” shall mean pursuant to IRC § 45D(b)(6) and 26

  • Deposit Accounts; Securities Accounts The only Deposit Accounts or Securities Accounts maintained by any Grantor on the date hereof are those listed on Schedule 6 (Bank Accounts; Control Accounts), which sets forth such information separately for each Grantor.

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