Stein Roe Municipal Trust Sample Contracts

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Underwriting Agreement • October 28th, 2003 • Liberty Stein Roe Funds Municipal Trust
FORM OF DISTRIBUTION AGREEMENT COLUMBIA FUNDS
Columbia Funds Series Trust I • March 24th, 2006 • Massachusetts
COLUMBIA TAX-EXEMPT FUND COLUMBIA TAX-EXEMPT INSURED FUND MANAGEMENT AGREEMENT
Management Agreement • March 24th, 2006 • Columbia Funds Series Trust I
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Agreement and Plan of Reorganization • October 18th, 2000 • Liberty Stein Roe Funds Municipal Trust • Massachusetts
MANAGEMENT AGREEMENT
Management Agreement • March 29th, 2007 • Columbia Funds Series Trust I
FORM OF
Agreement and Declaration of Trust • July 14th, 2000 • Liberty Stein Roe Funds Municipal Trust • Massachusetts
AMENDMENT TO THE AGREEMENT AND DECLARATION OF TRUST OF LIBERTY-STEIN ROE FUNDS MUNICIPAL TRUST
The Agreement • October 28th, 2003 • Liberty Stein Roe Funds Municipal Trust
SUBADVISORY AGREEMENT
Subadvisory Agreement • February 26th, 2024 • Columbia Funds Series Trust I • Massachusetts

Agreement made as of the 21st day of September, 2023, by and between Columbia Management Investment Advisers, LLC, a Minnesota limited liability company (“Investment Manager”), and Los Angeles Capital Management LLC, a California limited liability company (“Subadviser”).

COLUMBIA FUNDS TRUST VIII COLUMBIA FUNDS TRUST IX COLUMBIA FUNDS TRUST XI AMENDED AND RESTATED ACCOUNTING & BOOKKEEPING AGREEMENT SCHEDULE A
Liberty Stein Roe Funds Municipal Trust • October 28th, 2003

COLUMBIA FUNDS TRUST II Columbia Newport Japan Opportunities Fund Fund Columbia Newport Greater China Fund Fund Columbia Money Market Fund Fund

MANAGEMENT AGREEMENT BETWEEN COLUMBIA FUNDS TRUST IX AND COLUMBIA MANAGEMENT ADVISORS, INC.
Management Agreement • October 28th, 2003 • Liberty Stein Roe Funds Municipal Trust
MANAGEMENT AGREEMENT BETWEEN COLUMBIA FUNDS TRUST IX AND COLUMBIA MANAGEMENT ADVISORS, INC.
Management Agreement • October 28th, 2004 • Columbia Funds Trust Ix
MANAGEMENT AGREEMENT BETWEEN SR&F BASE TRUST AND STEIN ROE & FARNHAM INCORPORATED
Management Agreement • July 12th, 2002 • Liberty Stein Roe Funds Municipal Trust
Agreement and Plan of Reorganization
Agreement and Plan of Reorganization • December 22nd, 2021 • Columbia Funds Series Trust I • Delaware

THIS AGREEMENT AND PLAN OF REORGANIZATION dated as of October 5, 2021 (the “Agreement”), is by and among the Target Company, as defined below, on behalf of each of its series that is a Target Fund, as defined below, the Acquiring Company, as defined below, on behalf of each of its series that is an Acquiring Fund, as defined below, and, for purposes of paragraphs 6.8, 10.2, 12.2 and 15 of this Agreement only, BMO Asset Management Corp. (“BMO AM”), the investment adviser of each Target Fund and Bank of Montreal (“BMO Parent” and, together with BMO AM, “BMO”), and for purposes of paragraphs 10.2, 12.2 and 15 of this Agreement only, Columbia Management Investment Advisers, LLC (“Columbia Threadneedle”), the investment adviser to each Acquiring Fund.

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MANAGEMENT AGREEMENT
Management Agreement • July 26th, 2023 • Columbia Funds Series Trust I

This Amended and Restated Management Agreement (“Agreement”), dated as of June 1, 2023, is by and between Columbia Management Investment Advisers, LLC (the “Investment Manager”), a Minnesota limited liability company, and Columbia Funds Series Trust I and Columbia Funds Variable Insurance Trust (each a Trust and collectively, the Trusts), each a Massachusetts business trust, on behalf of their series listed in Schedule A, amends and restates the Management Agreement, dated October 25, 2016 and is effective with respect to each Fund specified in Schedule A on the date indicated thereon. The terms “Fund” and “Funds” are used to refer to either the Trusts or their underlying series, as context requires.

INVESTMENT MANAGEMENT SERVICES AGREEMENT
Investment Management Services Agreement • January 27th, 2015 • Columbia Funds Series Trust I • Massachusetts

This Agreement, dated as of December 19, 2014, is by and between Columbia Management Investment Advisers, LLC (the “Investment Manager”), a Minnesota limited liability company, and CDARF1 Offshore Fund, Ltd. (“Subsidiary” or “Fund”), a wholly-owned subsidiary of Columbia Diversified Absolute Return Fund (“Parent Fund”), a series of Columbia Funds Series Trust I.

CUSTODIAN AGREEMENT
Custodian Agreement • December 21st, 2022 • Columbia Funds Series Trust I • Massachusetts

AGREEMENT made as of this 1st day of September, 2004, between Marshall Funds, Inc., a Wisconsin corporation (the “Fund”), and INVESTORS BANK & TRUST COMPANY, a Massachusetts trust company (the “Bank”).

ADMINISTRATIVE SERVICES AGREEMENT
Administrative Services Agreement • January 27th, 2015 • Columbia Funds Series Trust I • Massachusetts

This Administrative Services Agreement (“Agreement”), dated as of December 19, 2014, is by and between Columbia Management Investment Advisers, LLC (“Administrator”), a Minnesota limited liability company, and CDARF2 Offshore Fund, Ltd. (“Subsidiary” or “Fund”), a wholly-owned subsidiary of Columbia Diversified Absolute Return Fund (“Parent Fund”), a series of Columbia Funds Series Trust I.

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Accounting and Bookkeeping Agreement • October 28th, 2003 • Liberty Stein Roe Funds Municipal Trust • Illinois
FORM OF
Management Agreement • March 24th, 2006 • Columbia Funds Series Trust I
COLUMBIA FUNDS AMENDED AND RESTATED CREDIT AGREEMENT Dated as of October 27, 2022 among THE FUNDS LISTED FROM TIME TO TIME ON SCHEDULE I HERETO, VARIOUS BANKS, JPMORGAN CHASE BANK, N.A., as Administrative Agent, JPMORGAN CHASE BANK, N.A., CITIBANK,...
Credit Agreement • November 22nd, 2022 • Columbia Funds Series Trust I • New York

AMENDED AND RESTATED CREDIT AGREEMENT, dated as of October 27, 2022 (as amended, restated, supplemented or otherwise modified from time to time, this “Agreement”) among (i) the trusts listed on Schedule I (the “Registrants”), each of which is executing this Agreement on behalf of its respective underlying series set forth beneath such Registrant’s name on Schedule I (each such series, individually, a “Borrower” or “Fund” and, collectively, the “Borrowers” or “Funds”), (ii) the several banks and other financial institutions from time to time parties to this Agreement (the “Lenders”), and (iii) JPMORGAN CHASE BANK, N.A., a national banking association, as administrative agent for the Lenders hereunder (in such capacity, the “Administrative Agent”);

COLUMBIA FUNDS
Columbia Funds Series Trust I • September 28th, 2005 • Massachusetts
DISTRIBUTION AGREEMENT
Distribution Agreement • July 28th, 2021 • Columbia Funds Series Trust I • Massachusetts

THIS AGREEMENT is made as of June 15, 2021, by and between each trust being hereinafter referred to as a “Trust” and collectively the “Trusts” and each series of a Trust, if any, as listed on Schedule I, if any, being hereinafter referred to as a “Fund” with respect to that Trust, but for any Trust that does not have any separate series, then any reference to the “Fund” is a reference to that Trust, as relevant), and Columbia Management Investment Distributors, Inc., a Delaware corporation (the “Distributor”). Absent written notification to the contrary by either the applicable Trust or the Distributor, each new investment portfolio of the Trust established in the future shall automatically become a “Fund” for all purposes hereunder and shares of each new class established in the future shall automatically become “Shares” for all purposes hereunder as if set forth on Schedule I as applicable and effective as of the date listed in Schedule I, as it may be separately amended from time to

JOINT BLANKET BOND ALLOCATION AGREEMENT
Joint Blanket Bond Allocation Agreement • August 5th, 2015 • Columbia Funds Series Trust I

This Joint Blanket Bond Allocation Agreement (the “Agreement”) is entered into as of June 30, 2015, by and among, individually and not jointly, each of the registered investment companies listed on Schedule A, each on behalf of each of its series (each such registered investment company being referred to herein individually as a “Company” and collectively as the “Companies” and each series of a Company being referred to herein individually as a “Fund” and collectively as the “Funds”).

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