ADMINISTRATION AGREEMENT Agreement dated as of October 1, 2007 by and between State Street Bank and Trust Company, a Massachusetts trust company (the "Administrator"), and The Japan Fund, Inc. (the "Company"). The effective date of this Agreement is...Administration Agreement • January 28th, 2008 • Japan Fund Inc • Massachusetts
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THE JAPAN FUND, INC. COMPLIANCE SERVICES AGREEMENT AGREEMENT made as of the 26th day of April, 2007 by and among THE JAPAN FUND, INC., a Maryland corporation, with its principal office and place of business at c/o SEI, One Freedom Valley Drive, Oaks,...Services Agreement • January 28th, 2008 • Japan Fund Inc • Delaware
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Exhibit (h)(4) ADMINISTRATIVE SERVICES AGREEMENT AGREEMENT dated this 1st day of May, 2000, by and between THE JAPAN FUND, INC., a Maryland corporation (the "Fund"), and KEMPER DISTRIBUTORS, INC., a Delaware corporation ("KDI"). In consideration of...Administrative Services Agreement • May 12th, 2000 • Japan Fund Inc • Illinois
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THE JAPAN FUND, INC. 345 Park Avenue New York, New York 10154Japan Fund Inc • May 1st, 2002
Company FiledMay 1st, 2002
Exhbit 5(f) SCUDDER, STEVENS & CLARK, INC. 345 Park Avenue New York, NY 10154-0004 January 1, 1994 NIKKO INTERNATIONAL CAPITAL MANAGEMENT CO., LTD. 17-9, Nihanbashi-Hakozakicho Chuo-ku, Tokyo 103 Japan RESEARCH AGREEMENT Dear Sirs: We have entered...Investment Management Agreement • October 15th, 1997 • Japan Fund Inc • New York
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THE JAPAN FUND, INC. 345 Park Avenue New York, New York 10154Japan Fund Inc • May 12th, 2000
Company FiledMay 12th, 2000
EXECUTION COPY TRANSFER AGENCY AND SERVICE AGREEMENTTransfer Agency and Service Agreement • January 28th, 2008 • Japan Fund Inc • Massachusetts
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Exhibit (h)(5) AGENCY AGREEMENT AGREEMENT dated the 1st day of May, 2000, by and between THE JAPAN FUND, INC. a Maryland corporation ("Fund"), and KEMPER SERVICE COMPANY, a Delaware corporation ("Service Company"). WHEREAS, Fund wants to appoint...Agency Agreement • May 12th, 2000 • Japan Fund Inc • Illinois
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August 14, 1987 Scudder Fund Distributors, Inc. 175 Federal Street Boston, Massachusetts 02110 Underwriting Agreement Dear Sirs: The Japan Fund, Inc. (hereinafter called the "Fund") is a corporation organized under the laws of Maryland and is engaged...Japan Fund Inc • October 15th, 1997
Company FiledOctober 15th, 1997
SHAREHOLDER SERVICES AGREEMENT FOR THE JAPAN FUND, INC.Shareholder Services Agreement • April 30th, 2003 • Japan Fund Inc • Delaware
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April 5, 2002 Deutsche Investment Management Americas Inc. 345 Park Avenue New York, New York 10154 Interim Investment Management Agreement Ladies and Gentlemen: The Japan Fund, Inc. (the "Corporation") has been established as a Maryland corporation...Japan Fund Inc • May 1st, 2002 • Maryland
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January 1, 1994 Scudder, Stevens & Clark, Inc. 345 Park Avenue New York, NY 10154 Investment Management Agreement Dear Sirs: The Japan Fund, Inc. (the "Fund") has been established as a Maryland Corporation to engage in the business of an investment...Management Agreement • October 15th, 1997 • Japan Fund Inc • Maryland
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ARTICLE I DEFINITIONS -----------Agreement • January 28th, 2008 • Japan Fund Inc • Missouri
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ADMINISTRATION AGREEMENT THIS AGREEMENT is made this 17TH day of October 2007 and is effective as of the 1ST day of October 2007, by and between The Japan Fund, Inc., a Maryland corporation (the "Fund"), and SEI Investments Global Funds Services (the...Administration Agreement • January 28th, 2008 • Japan Fund Inc • Delaware
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September 7, 1998 Scudder Kemper Investments, Inc. 345 Park Avenue New York, New York 10154 Investment Management Agreement Ladies and Gentlemen: The Japan Fund, Inc. (the "Corporation") has been established as a Maryland corporation to engage in the...Japan Fund Inc • March 1st, 1999 • Maryland
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DISTRIBUTION AGREEMENTDistribution Agreement • May 20th, 2009 • Nomura Partners Funds, Inc. • New York
Contract Type FiledMay 20th, 2009 Company JurisdictionTHIS AGREEMENT is made and entered into as of this 22nd day of December 2008, by and between Nomura Partners Funds, Inc., a Maryland corporation (the “Client”) on behalf of each of its series listed on Exhibit A as may be amended from time to time and Foreside Fund Services, LLC, a Delaware limited liability company (the “Distributor”).
FORESIDE FUND SERVICES, LLC MUTUAL FUND SALES AND SERVICE AGREEMENTSales and Service Agreement • January 28th, 2008 • Japan Fund Inc • Delaware
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Exhibit No. Ex-99.g(2) Custodian Agreement Dated as of: January 22, 2003Custodian Agreement • April 30th, 2003 • Japan Fund Inc
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September 7, 1998 Scudder Investor Services, Inc. Two International Place Boston, Massachusetts 02110 Underwriting Agreement ---------------------- Dear Ladies and Gentlemen: The Japan Fund, Inc. (hereinafter called the "Fund") is a corporation...Japan Fund Inc • March 10th, 1999
Company FiledMarch 10th, 1999
SECURITIES LENDING AGENCY AGREEMENT dated as of May , 2004 among The Japan Fund, Inc., an investment company organized under the laws of the United States (the "Fund"), and Brown Brothers Harriman & Co., a New York limited partnership with an office...Securities Lending Agency Agreement • January 29th, 2007 • Japan Fund Inc • New York
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Exhibit (e)(4) UNDERWRITING AND DISTRIBUTION SERVICES AGREEMENT AGREEMENT made this 5th day of April, 2002, between THE JAPAN FUND, INC., a Maryland Corporation (the "Fund"), and SCUDDER DISTRIBUTORS, INC., a Delaware corporation ("SDI"). In...Underwriting and Distribution Services Agreement • May 1st, 2002 • Japan Fund Inc • Maryland
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ASIA MANAGEMENT CORPORATION 345 Park Avenue New York, NY 10154-0004Investment Management Agreement • October 15th, 1997 • Japan Fund Inc • New York
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AMENDED AND RESTATED FEE WAIVER/EXPENSE REIMBURSEMENT AGREEMENTReimbursement Agreement • January 28th, 2013 • Nomura Partners Funds, Inc.
Contract Type FiledJanuary 28th, 2013 CompanyTHIS AMENDED AND RESTATED FEE WAIVER/EXPENSE REIMBURSEMENT AGREEMENT (the “Agreement”) is made as of January 27, 2012 by and between Nomura Asset Management U.S.A. Inc. (“NAM USA”) and Nomura Partners Funds, Inc. (the “Corporation”), on behalf of itself and the International Equity Fund, a series of the Corporation, (the “Fund”).
AMENDED AND RESTATED DISTRIBUTION AGREEMENT THIS AGREEMENT is made as of this 28th day of July, 2004 between The Japan Fund, Inc. (the "Fund"), a Maryland corporation and SEI Investments Distribution Co. (the "Distributor"), a Pennsylvania...Distribution Agreement • May 2nd, 2005 • Japan Fund Inc • Delaware
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BETWEEN FMR CO., INC. ANDSub-Advisory Agreement • April 30th, 2003 • Japan Fund Inc • Massachusetts
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FEE WAIVER/EXPENSE REIMBURSEMENT AGREEMENTFee Waiver/Expense • May 20th, 2009 • Nomura Partners Funds, Inc.
Contract Type FiledMay 20th, 2009 CompanyTHIS FEE WAIVER/EXPENSE REIMBURSEMENT AGREEMENT (the “Agreement”) is made as of December 22, 2008 by and between Nomura Asset Management U.S.A. Inc. (“NAM USA”) and Nomura Partners Funds, Inc. (the “Corporation”), on behalf of itself and the Greater China Fund, a series of the Corporation, (the “Fund”).
Signature Required MUTUAL FUND RULE 22C-2 INFORMATION SHARING AGREEMENT A. According to the applicable mutual fund(s) records, your firm ("you" or "Firm") is a shareholder of record of one or more of the mutual funds listed on Schedule A hereto (each,...Japan Fund Inc • January 29th, 2007
Company FiledJanuary 29th, 2007
Sub-Advisory Agreement between Nomura Asset Management U.S.A. Inc. and Nomura Corporate Research and Asset Management Inc.Sub-Advisory Agreement • January 28th, 2013 • Nomura Partners Funds, Inc. • Maryland
Contract Type FiledJanuary 28th, 2013 Company JurisdictionAGREEMENT made this 10th day of December, 2012 by and between Nomura Asset Management U.S.A. Inc., a New York corporation with its principal office located at Two World Financial Center, New York, New York (hereinafter called the “Advisor”) and Nomura Corporate Research and Asset Management Inc., a New York corporation with its principal office located at Two World Financial Center, New York, New York (hereinafter called the “Sub-Advisor”).
SELLING GROUP MEMBER AGREEMENTSelling Group Member Agreement • December 23rd, 2008 • Nomura Partners Funds, Inc. • Delaware
Contract Type FiledDecember 23rd, 2008 Company JurisdictionAs the distributor of the shares (“Shares”) of each investment company portfolio (“Fund”), of the investment company or companies referenced above and covered hereunder (collectively, “Company”) which may be amended by us from time to time, Foreside Fund Services, LLC (“Distributor”) hereby invites you to participate in the selling group on the following terms and conditions. In this letter, the terms “we,” “us,” and similar words refer to the Distributor, and the terms “you,” “your,” and similar words refer to the intermediary executing this agreement, including its associated persons.
Sub-Advisory Agreement between Nomura Asset Management U.S.A. Inc. and Martin Currie IncSub-Advisory Agreement • May 20th, 2009 • Nomura Partners Funds, Inc. • Maryland
Contract Type FiledMay 20th, 2009 Company JurisdictionAGREEMENT made this 22nd day of December, 2008 by and between Nomura Asset Management U.S.A. Inc., a New York corporation with its principal offices at Two World Financial Center, New York, New York (hereinafter called the “Advisor”) and Martin Currie Inc, a New York corporation with its principal offices at Saltire Court, 20 Castle Terrace, Edinburgh EH1 2ES (hereinafter called the “Sub-Advisor”).
WITNESSETH:Master Subcustodian Agreement • October 15th, 1997 • Japan Fund Inc • New York
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TABLE OF CONTENTSShareholder Service Agreement • October 15th, 1997 • Japan Fund Inc • Massachusetts
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Investment Advisory AgreementInvestment Advisory Agreement • January 28th, 2013 • Nomura Partners Funds, Inc. • Maryland
Contract Type FiledJanuary 28th, 2013 Company JurisdictionNomura Partners Funds, Inc. (the “Corporation”) has been established as a Maryland corporation to engage in the business of an investment company. Pursuant to the Corporation’s Articles of Incorporation, as amended from time to time (the “Articles”), the Board of Directors may divide the Corporation’s shares of capital stock, par value $.33 1/3 per share (the “Shares”), into separate series, or funds. Series may be abolished and dissolved, and additional series established, from time to time by action of the Directors.
ADMINISTRATION AGREEMENT THIS AGREEMENT is made as of this 28th day of June 2002, by and between The Japan Fund, Inc., a Maryland corporation (the "Fund"), and SEI Investments Mutual Funds Services (the "Administrator"), a Delaware business trust....Administration Agreement • August 2nd, 2002 • Japan Fund Inc • Delaware
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FORM OF TRANSITIONAL INVESTMENT MANAGEMENT AGREEMENTJapan Fund Inc • August 2nd, 2002 • Maryland
Company FiledAugust 2nd, 2002 Jurisdiction