Fidelity Municipal Trust Sample Contracts

GENERAL DISTRIBUTION AGREEMENT between FIDELITY MUNICIPAL TRUST and FIDELITY DISTRIBUTORS CORPORATION
General Distribution Agreement • October 10th, 2017 • Fidelity Municipal Trust • Massachusetts

AGREEMENT made this 20th day of July, 2017, between Fidelity Municipal Trust, a Massachusetts business trust having its principal place of business in Boston, Massachusetts and which may issue one or more series of beneficial interest (“Issuer”), with respect to shares of Fidelity Flex Conservative Income Municipal Bond Fund, a series of the Issuer, and Fidelity Distributors Corporation, a Massachusetts corporation having its principal place of business in Smithfield, Rhode Island (“Distributors”).

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AMENDED and RESTATED MANAGEMENT CONTRACT BETWEEN FIDELITY MUNICIPAL TRUST: FIDELITY LIMITED TERM MUNICIPAL INCOME FUND AND FIDELITY MANAGEMENT & RESEARCH COMPANY
Management Contract • March 3rd, 2014 • Fidelity Municipal Trust • Massachusetts

AGREEMENT AMENDED and RESTATED as of this 1st day of October 2013, by and between Fidelity Municipal Trust, a Massachusetts business trust which may issue one or more series of shares of beneficial interest (hereinafter called the "Fund"), on behalf of Fidelity Limited Term Municipal Income Fund (hereinafter called the "Portfolio"), and Fidelity Management & Research Company, a Massachusetts corporation (hereinafter called the "Adviser") as set forth in its entirety below.

SUB-ADVISORY AGREEMENT between FIDELITY MANAGEMENT & RESEARCH COMPANY and FIDELITY MANAGEMENT & RESEARCH (Japan), INC.
Sub-Advisory Agreement • March 2nd, 2009 • Fidelity Municipal Trust • Massachusetts

AGREEMENT made this 29th day of September, 2008, by and between Fidelity Management & Research Company, a Massachusetts corporation with principal offices at 82 Devonshire Street, Boston, Massachusetts (hereinafter called the "Advisor"), and Fidelity Management & Research (Japan), Inc. (hereinafter called the "Sub-Advisor").

SUB-ADVISORY AGREEMENT between FIDELITY INVESTMENTS MONEY MANAGEMENT, INC. and FIDELITY MANAGEMENT & RESEARCH COMPANY
Sub-Advisory Agreement • February 27th, 2003 • Fidelity Municipal Trust • Massachusetts

AGREEMENT made this 1st day of January, 1999, by and between Fidelity Investments Money Management, Inc., a New Hampshire corporation with principal offices at Contra Way, P.O. Box 9600, Merrimack, New Hampshire (hereinafter called the ´´Sub-Adviser") and Fidelity Management & Research Company, a Massachusetts corporation with principal offices at 82 Devonshire Street, Boston, Massachusetts (hereinafter called the ´´Adviser").

AMENDED and RESTATED MANAGEMENT CONTRACT between FIDELITY MUNICIPAL TRUST: FIDELITY FLEX CONSERVATIVE INCOME MUNICIPAL BOND FUND and
Management Contract • February 27th, 2020 • Fidelity Municipal Trust • Massachusetts

AGREEMENT AMENDED and RESTATED as of this 1st day of January, 2020, by and between Fidelity Municipal Trust, a Massachusetts business trust which may issue one or more series of shares of beneficial interest (hereinafter called the “Trust”), on behalf of Fidelity Flex Conservative Income Municipal Bond Fund (hereinafter called the “Fund”), and Fidelity Management & Research Company LLC, a Delaware limited liability company (hereinafter called the “Adviser”) as set forth in its entirety below.

AMENDED and RESTATED GENERAL DISTRIBUTION AGREEMENT between FIDELITY MUNICIPAL TRUST and FIDELITY DISTRIBUTORS CORPORATION
General Distribution Agreement • February 28th, 2006 • Fidelity Municipal Trust • Massachusetts

Agreement made this 19th day of May, 2005, between Fidelity Municipal Trust, a Massachusetts business trust having its principal place of business in Boston, Massachusetts and which may issue one or more series of beneficial interest ("Issuer"), with respect to shares of Spartan Pennsylvania Municipal Income Fund, a series of the Issuer, and Fidelity Distributors Corporation, a Massachusetts corporation having its principal place of business in Boston, Massachusetts ("Distributors").

AMENDED and RESTATED GENERAL DISTRIBUTION AGREEMENT between FIDELITY MUNICIPAL TRUST and FIDELITY DISTRIBUTORS COMPANY LLC
General Distribution Agreement • February 27th, 2020 • Fidelity Municipal Trust • Massachusetts

Agreement AMENDED and RESTATED as of this 1st day of January, 2020, between Fidelity Municipal Trust, a Massachusetts business trust having its principal place of business in Boston, Massachusetts and which may issue one or more series of beneficial interest (“Issuer”), with respect to shares of Fidelity Michigan Municipal Income Fund, a series of the Issuer, and Fidelity Distributors Company LLC, a Delaware limited liability company having its principal place of business in Smithfield, Rhode Island (“Distributors”).

AMENDED and RESTATED MANAGEMENT CONTRACT between FIDELITY MUNICIPAL TRUST: FIDELITY OHIO MUNICIPAL INCOME FUND and FIDELITY MANAGEMENT & RESEARCH COMPANY LLC
Fidelity Municipal Trust • February 27th, 2020 • Massachusetts

AGREEMENT AMENDED and RESTATED as of this 1st day of January, 2020, by and between Fidelity Municipal Trust, a Massachusetts business trust which may issue one or more series of shares of beneficial interest (hereinafter called the “Fund”), on behalf of Fidelity Ohio Municipal Income Fund (hereinafter called the “Portfolio”), and Fidelity Management & Research Company LLC, a Delaware limited liability company (hereinafter called the “Adviser”) as set forth in its entirety below.

AMENDED and RESTATED GENERAL DISTRIBUTION AGREEMENT between FIDELITY MUNICIPAL TRUST and FIDELITY DISTRIBUTORS CORPORATION
General Distribution Agreement • February 28th, 2008 • Fidelity Municipal Trust • Massachusetts

Agreement made this 1st day of May, 2006, between Fidelity Municipal Trust, a Massachusetts business trust having its principal place of business in Boston, Massachusetts and which may issue one or more series of beneficial interest ("Issuer"), with respect to shares of Fidelity Pennsylvania Municipal Income Fund, a series of the Issuer, and Fidelity Distributors Corporation, a Massachusetts corporation having its principal place of business in Boston, Massachusetts ("Distributors").

Exhibit e(7) [FORM OF] SELLING DEALER AGREEMENT We at Fidelity Distributors Corporation invite you (______________________________) to distribute shares of the mutual funds, or the separate series or classes of the mutual funds, listed on Schedule A...
Selling Dealer Agreement • December 14th, 1998 • Fidelity Municipal Trust

Exhibit e(7) [FORM OF] SELLING DEALER AGREEMENT We at Fidelity Distributors Corporation invite you (______________________________) to distribute shares of the mutual funds, or the separate series or classes of the mutual funds, listed on Schedule A attached to this Agreement (the "Portfolios"). We may periodically change the list of Portfolios by giving you written notice of the change. We are the Portfolios' principal underwriter and, as agent for the Portfolios, we offer to sell Portfolio shares to you on the following terms: 1. Certain Defined Terms: As used in this Agreement, the term "Prospectus" means the applicable Portfolio's prospectus and related statement of additional information, whether in paper format or electronic format, included in the Portfolio's then currently effective registration statement (or post-effective amendment thereto), and any information that we or the Portfolio may issue to you as a supplement to such prospectus or statement of additional information

FORM OF SELLING DEALER AGREEMENT
Selling Dealer Agreement • December 15th, 2006 • Fidelity Municipal Trust • Massachusetts

We at Fidelity Distributors Corporation invite you (______________________________) to distribute shares of the mutual funds, or the separate series or classes of the mutual funds, listed on Schedule A attached to this Agreement (the "Portfolios"). We may periodically change the list of Portfolios by giving you written notice of the change. We are the Portfolios' principal underwriter and, as agent for the Portfolios, we offer to sell Portfolio shares to you on the following terms:

SUB-ADVISORY AGREEMENT between FIDELITY INVESTMENTS MONEY MANAGEMENT, INC. and FIDELITY MANAGEMENT & RESEARCH COMPANY
Sub-Advisory Agreement • March 3rd, 2014 • Fidelity Municipal Trust • Massachusetts

AGREEMENT made this 18th day of July, 2013, by and between Fidelity Investments Money Management, Inc., a New Hampshire corporation with principal offices at 245 Summer Street, Boston, Massachusetts (hereinafter called the ´´Sub-Adviser") and Fidelity Management & Research Company, a Massachusetts corporation with principal offices at 245 Summer Street, Boston, Massachusetts (hereinafter called the ´´Adviser").

SUB-ADVISORY AGREEMENT between
Sub-Advisory Agreement • February 27th, 2018 • Fidelity Municipal Trust • Massachusetts

AGREEMENT made this 20th day of July, 2017, by and between Fidelity Investments Money Management, Inc., a New Hampshire corporation with principal offices at 245 Summer Street, Boston, Massachusetts (hereinafter called the “Sub-Adviser”) and Fidelity Management & Research Company, a Massachusetts corporation with principal offices at 245 Summer Street, Boston, Massachusetts (hereinafter called the “Adviser”).

SUB-ADVISORY AGREEMENT between FIDELITY INVESTMENTS MONEY MANAGEMENT, INC. and FIDELITY MANAGEMENT & RESEARCH COMPANY
Sub-Advisory Agreement • February 28th, 2018 • Fidelity Municipal Trust • Massachusetts

AGREEMENT made this 20th day of July, 2017, by and between Fidelity Investments Money Management, Inc., a New Hampshire corporation with principal offices at 245 Summer Street, Boston, Massachusetts (hereinafter called the “Sub-Adviser”) and Fidelity Management & Research Company, a Massachusetts corporation with principal offices at 245 Summer Street, Boston, Massachusetts (hereinafter called the “Adviser”).

AMENDED and RESTATED MANAGEMENT CONTRACT between FIDELITY MUNICIPAL TRUST: FIDELITY LIMITED TERM MUNICIPAL INCOME FUND and FIDELITY MANAGEMENT & RESEARCH COMPANY LLC
Management Contract • February 27th, 2020 • Fidelity Municipal Trust • Massachusetts

AGREEMENT AMENDED and RESTATED as of this 1st day of January, 2020, by and between Fidelity Municipal Trust, a Massachusetts business trust which may issue one or more series of shares of beneficial interest (hereinafter called the “Fund”), on behalf of Fidelity Limited Term Municipal Income Fund (hereinafter called the “Portfolio”), and Fidelity Management & Research Company LLC, a Delaware limited liability company (hereinafter called the “Adviser”) as set forth in its entirety below.

FORM OF BANK AGENCY AGREEMENT
Bank Agency Agreement • December 15th, 2006 • Fidelity Municipal Trust • Massachusetts

We at Fidelity Distributors Corporation offer to make available to your customers shares of the mutual funds, or the separate series or classes of the mutual funds, listed on Schedule A attached to this Agreement (the "Portfolios"). We may periodically change the list of Portfolios by giving you written notice of the change. We are the Portfolios' principal underwriter and act as agent for the Portfolios. You (____________________________________) are a division or affiliate of a bank (____________________________________) and desire to make Portfolio shares available to your customers on the following terms:

Exhibit 6(j) FORM OF SELLING DEALER AGREEMENT We at Fidelity Distributors Corporation invite you (______________________________) to distribute shares of the mutual funds, or the separate series or classes of the mutual funds, listed on Schedule A...
Selling Dealer Agreement • August 21st, 1997 • Fidelity Municipal Trust

Exhibit 6(j) FORM OF SELLING DEALER AGREEMENT We at Fidelity Distributors Corporation invite you (______________________________) to distribute shares of the mutual funds, or the separate series or classes of the mutual funds, listed on Schedule A attached to this Agreement (the "Portfolios"). We may periodically change the list of Portfolios by giving you written notice of the change. We are the Portfolios' principal underwriter and, as agent for the Portfolios, we offer to sell Portfolio shares to you on the following terms: 1. Certain Defined Terms: As used in this Agreement, the term "Prospectus" means the applicable Portfolio's prospectus and related statement of additional information, whether in paper format or electronic format, included in the Portfolio's then currently effective registration statement (or post-effective amendment thereto), and any information that we or the Portfolio may issue to you as a supplement to such prospectus or statement of additional information (a

GENERAL DISTRIBUTION AGREEMENT between FIDELITY MUNICIPAL TRUST and FIDELITY DISTRIBUTORS CORPORATION
General Distribution Agreement • February 27th, 2003 • Fidelity Municipal Trust • Massachusetts

Agreement made this 28th day of February, 2001, between Fidelity Municipal Trust, a Massachusetts business trust having its principal place of business in Boston, Massachusetts and which may issue one or more series of beneficial interest ("Issuer"), with respect to shares of Spartan Short-Intermediate Municipal Income Fund, a series of the Issuer, and Fidelity Distributors Corporation, a Massachusetts corporation having its principal place of business in Boston, Massachusetts ("Distributors").

GENERAL RESEARCH SERVICES AGREEMENT
General Research • August 29th, 2006 • Fidelity Municipal Trust • Massachusetts

This AGREEMENT is effective as of January 20, 2006, by and among Fidelity Management & Research Company ("FMR"), a Massachusetts corporation with its principal offices at 82 Devonshire Street, Boston, Massachusetts, FMR Co., Inc. ("FMR Co"), a Massachusetts corporation with its principal offices at 82 Devonshire Street, Boston, Massachusetts, Fidelity Investments Money Management Inc. ("FIMM"), a New Hampshire corporation with its principal offices at One Spartan Way, Merrimack, New Hampshire and Fidelity Research & Analysis Company ("FRAC"), a Massachusetts corporation with its principal offices at 82 Devonshire Street, Boston, Massachusetts.

AMENDED and RESTATED MANAGEMENT CONTRACT between FIDELITY MUNICIPAL TRUST: FIDELITY LIMITED TERM MUNICIPAL INCOME FUND and FIDELITY MANAGEMENT & RESEARCH COMPANY LLC
Management Contract • May 19th, 2023 • Fidelity Municipal Trust

AGREEMENT AMENDED and RESTATED as of this 1st day of April, 2023, by and between Fidelity Municipal Trust, a Massachusetts business trust which may issue one or more series of shares of beneficial interest (hereinafter called the “Fund”), on behalf of Fidelity Limited Term Municipal Income Fund (hereinafter called the “Portfolio”), and Fidelity Management & Research Company LLC, a Delaware limited liability company (hereinafter called the “Adviser”) as set forth in its entirety below.

Exhibit e(6) [FORM OF] BANK AGENCY AGREEMENT We at Fidelity Distributors Corporation offer to make available to your customers shares of the mutual funds, or the separate series or classes of the mutual funds, listed on Schedules A and B attached to...
Fidelity Municipal Trust • December 14th, 1998

Exhibit e(6) [FORM OF] BANK AGENCY AGREEMENT We at Fidelity Distributors Corporation offer to make available to your customers shares of the mutual funds, or the separate series or classes of the mutual funds, listed on Schedules A and B attached to this Agreement (the "Portfolios"). We may periodically change the list of Portfolios by giving you written notice of the change. We are the Portfolios' principal underwriter and act as agent for the Portfolios. You (____________________________________) are a division or affiliate of a bank (____________________________________) and desire to make Portfolio shares available to your customers on the following terms: 1. Certain Defined Terms: As used in this Agreement, the term "Prospectus" means the applicable Portfolio's prospectus and related statement of additional information, whether in paper format or electronic format, included in the Portfolio's then currently effective registration statement (or post-effective amendment thereto), an

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Exhibit 6(i) FORM OF BANK AGENCY AGREEMENT We at Fidelity Distributors Corporation offer to make available to your customers shares of the mutual funds, or the separate series or classes of the mutual funds, listed on Schedules A and B attached to...
Fidelity Municipal Trust • August 21st, 1997

Exhibit 6(i) FORM OF BANK AGENCY AGREEMENT We at Fidelity Distributors Corporation offer to make available to your customers shares of the mutual funds, or the separate series or classes of the mutual funds, listed on Schedules A and B attached to this Agreement (the "Portfolios"). We may periodically change the list of Portfolios by giving you written notice of the change. We are the Portfolios' principal underwriter and act as agent for the Portfolios. You (____________________________________) are a division or affiliate of a bank (____________________________________) and desire to make Portfolio shares available to your customers on the following terms: 1. Certain Defined Terms: As used in this Agreement, the term "Prospectus" means the applicable Portfolio's prospectus and related statement of additional information, whether in paper format or electronic format, included in the Portfolio's then currently effective registration statement (or post-effective amendment thereto), and

MANAGEMENT CONTRACT between FIDELITY MUNICIPAL TRUST: FIDELITY FLEX CONSERVATIVE INCOME MUNICIPAL BOND FUNDand FIDELITY MANAGEMENT & RESEARCH COMPANY
Management Contract • February 28th, 2018 • Fidelity Municipal Trust • Massachusetts

AGREEMENT made this 20th day of July, 2017, by and between Fidelity Municipal Trust, a Massachusetts business trust which may issue one or more series of shares of beneficial interest (hereinafter called the “Trust”), on behalf of Fidelity Flex Conservative Income Municipal Bond Fund (hereinafter called the “Fund”), and Fidelity Management & Research Company, a Massachusetts corporation (hereinafter called the “Adviser”) as set forth in its entirety below.

AMENDED and RESTATED MANAGEMENT CONTRACT
Management Contract • February 28th, 2018 • Fidelity Municipal Trust • Massachusetts

AGREEMENT AMENDED and RESTATED this 1st day of October, 2017, by and between Fidelity Municipal Trust, a Massachusetts business trust which may issue one or more series of shares of beneficial interest (hereinafter called the “Fund”), on behalf of Fidelity Municipal Income Fund (hereinafter called the “Portfolio”), and Fidelity Management & Research Company, a Massachusetts corporation (hereinafter called the “Adviser”) as set forth in its entirety below.

AMENDED AND RESTATED MASTER INTERNATIONAL FIXED-INCOME RESEARCH AGREEMENT between FIDELITY INTERNATIONAL INVESTMENT ADVISORS and FIDELITY INVESTMENTS MONEY MANAGEMENT, INC.
Research Agreement • March 2nd, 2009 • Fidelity Municipal Trust • Massachusetts

AGREEMENT made this 1st day of August, 2007 by and between Fidelity Investments Money Management, Inc., a New Hampshire corporation with principal offices at Contra Way, P.O. Box 9600, Merrimack, New Hampshire (hereinafter called the "U.S. Sub-Advisor") and Fidelity International Investment Advisors, a Bermuda company with principal offices at Pembroke Hall, Pembroke, Bermuda (hereinafter called the "Foreign Sub-Advisor").

AMENDED AND RESTATED FIXED-INCOME SUB-RESEARCH AGREEMENT between FIDELITY INTERNATIONAL INVESTMENT ADVISORS (U.K.) LIMITED and FIDELITY INTERNATIONAL INVESTMENT ADVISORS
Fixed-Income Sub-Research Agreement • March 2nd, 2009 • Fidelity Municipal Trust • Massachusetts

AGREEMENT made this 1st of August, 2007, by and between Fidelity International Investment Advisors (U.K.) Limited, 27-28 Lovat Lane, London, England (hereinafter called the "U.K. Sub-Advisor") and Fidelity International Investment Advisors, a Bermuda company with principal offices at Pembroke Hall, Pembroke, Bermuda (hereinafter called the "Foreign Sub-Advisor").

MANAGEMENT CONTRACT between FIDELITY MUNICIPAL TRUST: SPARTAN MUNICIPAL INCOME FUND and FIDELITY MANAGEMENT & RESEARCH COMPANY
Management Contract • February 23rd, 2001 • Fidelity Municipal Trust • Massachusetts

AGREEMENT made this 28th day of February 2000, by and between Fidelity Municipal Trust, a Massachusetts business trust which may issue one or more series of shares of beneficial interest (hereinafter called the "Fund"), on behalf of Spartan Municipal Income Fund (hereinafter called the "Portfolio"), and Fidelity Management & Research Company, a Massachusetts corporation (hereinafter called the "Adviser") as set forth in its entirety below.

Exhibit 6(j) FORM OF SELLING DEALER AGREEMENT As the principal underwriter of the shares of the Fidelity Advisor Funds and the Money Funds (the "Portfolios"), we (Fidelity Distributors Corporation) agree to sell to you...
Fidelity Municipal Trust • December 16th, 1996

Exhibit 6(j) FORM OF SELLING DEALER AGREEMENT As the principal underwriter of the shares of the Fidelity Advisor Funds and the Money Funds (the "Portfolios"), we (Fidelity Distributors Corporation) agree to sell to you (___________________________________________) shares of each of the Portfolios purchased by us as principal from the Portfolios for resale by you as principal upon the following terms and conditions: 1. As used herein the following terms shall have the meaning hereinafter set forth (unless a different meaning is plainly required by the context): (a) "Fidelity Advisor Funds" shall mean the open-end investment companies, series, or (in the case of companies or series offering multiple classes of shares) classes of one or more of the foregoing, the shares of which from time to time shall be offered by us as principal underwriter to you hereunder and which are designated by us as such by telephonic or written notice to you. This Agreement shall apply only to such companies,

Exhibit 6(k) FORM OF SELLING DEALER AGREEMENT (For Bank-Related Transactions) You _____________________________________ are registered as a broker-dealer under the Securities Exchange Act of 1934 and have executed a written agreement with a bank or...
Selling Dealer Agreement • December 16th, 1996 • Fidelity Municipal Trust

Exhibit 6(k) FORM OF SELLING DEALER AGREEMENT (For Bank-Related Transactions) You _____________________________________ are registered as a broker-dealer under the Securities Exchange Act of 1934 and have executed a written agreement with a bank or bank affiliate to provide brokerage services to that bank, bank affiliate and/or their customers. As principal underwriter of the Fidelity Advisor Funds and the Fidelity Funds (the "Portfolios"), we (Fidelity Distributors Corporation) agree to sell to you shares of each of the Portfolios purchased by us as principal from the Portfolios for resale by you as principal to Bank Clients (as hereinafter defined) upon the following terms and conditions: 1. As used herein the following terms shall have the meaning hereinafter set forth (unless a different meaning is plainly required by the context): (a) "Bank" shall mean a bank as defined in Section 3(a)(6) of the Securities Exchange Act of 1934, as amended, or an affiliate of such a bank, with whic

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