Separate Account I of Integrity Life Insurance Co Sample Contracts

Ex8d) PARTICIPATION AGREEMENT -----------------------
Participation Agreement • May 1st, 1997 • Separate Account I of Integrity Life Insurance Co • Massachusetts
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Participation Agreement • November 13th, 2000 • Separate Account I of Integrity Life Insurance Co • Illinois
PARTICIPATION AGREEMENT Among THE UNIVERSAL INSTITUTIONAL FUNDS, INC., MORGAN STANLEY & CO. INCORPORATED, MORGAN STANLEY INVESTMENT MANAGEMENT INC. and INTEGRITY LIFE INSURANCE COMPANY Dated as of January 2, 2003
Participation Agreement • April 25th, 2012 • Separate Account I of Integrity Life Insurance Co • New York

(This and related steps may occur later in the chronological process due to possible uncertainties relating to the proposals.)

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Participation Agreement • December 5th, 2007 • Separate Account I of Integrity Life Insurance Co • Delaware
FUND PARTICIPATION AGREEMENT
Fund Participation Agreement • April 25th, 2012 • Separate Account I of Integrity Life Insurance Co • Massachusetts

This Fund Participation Agreement (the “Agreement”), effective as of April 24, 2009, is made by and among Integrity Life Insurance Company (“Company”), JPMorgan Insurance Trust (the “Trust”), the Trust’s investment advisors, JPMorgan Investment Advisors Inc. and J. P. Morgan Investment Management Inc. (the “Advisers”), and the Trust’s administrator, JPMorgan Funds Management, Inc. (the “Administrator”).

FUND PARTICIPATION AGREEMENT
Fund Participation Agreement • April 25th, 2013 • Separate Account I of Integrity Life Insurance Co • New York

THIS AGREEMENT is effective as of May 1, 2013, among Northern Lights Variable Trust, an open-end management investment company organized as a Delaware business trust (the “Trust”), ValMark Advisers, Inc., an Ohio corporation (“Adviser”), Northern Lights Distributors, LLC, a Nebraska limited liability company (“Distributor” and collectively with the Trust and Adviser, “Trust Parties”) and Integrity Life Insurance Company, a life insurance company organized under the laws of the State of Ohio (the “Company”), on its own behalf and on behalf of each segregated asset account of the Company set forth on Schedule A, as the parties hereto may amend it from time to time, (the “Accounts”) (individually, a “Party”, and collectively, the “Parties”).

PARTICIPATION AGREEMENT Among VANGUARD VARIABLE INSURANCE FUND and THE VANGUARD GROUP, INC. and VANGUARD MARKETING CORPORATION and INTEGRITY LIFE INSURANCE COMPANY
Participation Agreement • April 27th, 2011 • Separate Account I of Integrity Life Insurance Co • Ohio

THIS AGREEMENT, made and entered into as of the 10th day of December 2010, by and among VANGUARD VARIABLE INSURANCE FUND (hereinafter the “Fund”), a Delaware business trust, THE VANGUARD GROUP, INC. (hereinafter the “Sponsor”), a Pennsylvania corporation, VANGUARD MARKETING CORPORATION (hereinafter the “Distributor”), a Pennsylvania corporation, and INTEGRITY LIFE INSURANCE COMPANY (hereinafter the “Company”), an Ohio corporation, on its own behalf and on behalf of each segregated asset account of the Company named in Schedule A hereto as may be amended from time to time (each such account hereinafter referred to as the “Account”).

FUND PARTICIPATION AND SERVICE AGREEMENT
Fund Participation and Service Agreement • April 25th, 2014 • Separate Account I of Integrity Life Insurance Co • New York

Integrity Life Insurance Company (“Insurance Company”), an Ohio domiciled insurance company for itself and on behalf of one or more separate accounts of the Insurance Company (“Separate Accounts”), American Funds Distributors, Inc. (“AFD”), a California corporation, American Funds Service Company (“Transfer Agent”), a California corporation, Capital Research and Management Company (“CRMC”), a Delaware corporation, and the American Funds Insurance Series (the “Series”), an open-end investment company for which AFD, CRMC and Transfer Agent provide services and which is divided into funds (hereinafter collectively called the “Funds” and, individually, a “Fund”), for good and valuable consideration, hereby agree on this 13th day of December 2013, that Class 4 shares of the Funds (“Class 4 Shares”) and Class P2 shares of the Funds (“Class P2 Shares” and together with Class 4 Shares, the “shares”) shall be made available to serve as underlying investment media for certain variable annuity co

Amendment No. 6 to Participation Agreement Franklin Templeton Variable Insurance Products Trust Franklin/Templeton Distributors, Inc. Integrity Life Insurance Company Touchstone Securities, Inc.
Participation Agreement • April 25th, 2014 • Separate Account I of Integrity Life Insurance Co

Franklin Templeton Variable Insurance Products Trust (the “Trust”), Franklin/Templeton Distributors, Inc. (the “Underwriter,” and together with the Trust, “we,” “our,” or “us”), Integrity Life Insurance Company, and Touchstone Securities, Inc., your distributor (collectively, the “Company” “you” or “your”), on your behalf and on behalf of certain Accounts, (individually a “Party”, collectively, the “Parties”) have previously entered into a Participation Agreement dated January 6, 2003, and subsequently amended May 3, 2004, January 1, 2006, May 1, 2007, November 5, 2007 and November 29, 2010 (the “Agreement”). The parties now desire to amend the Agreement by this amendment (the “Amendment”). Unless otherwise indicated, the terms defined in the Agreement shall have the same meaning in this Amendment.

BUSINESS AGREEMENT
Business Agreement • April 25th, 2014 • Separate Account I of Integrity Life Insurance Co • New York

THIS AGREEMENT is entered into as of the 13th day of December 2013 (the “Effective Date”) by and among Integrity Life Insurance Company (“Insurance Company”), a life insurance company organized under the laws of the State of Ohio (on behalf of itself and certain of its separate accounts); Touchstone Securities, Inc. (the “Distributor”), a corporation organized under the laws of the State of Nebraska; American Funds Distributors, Inc. (“AFD”), a corporation organized under the laws of the State of California; and Capital Research and Management Company (“CRMC”), a corporation organized under the laws of the State of Delaware.

RULE 22C-2 AMENDMENT TO PARTICIPATION AGREEMENT BETWEEN THE UNIVERSAL INSTITUTIONAL FUNDS, INC., MORGAN STANLEY & CO. INCORPORATED, MORGAN STANLEY INVESTMENT MANAGEMENT INC. AND INTEGRITY LIFE INSURANCE COMPANY
Participation Agreement • April 23rd, 2008 • Separate Account I of Integrity Life Insurance Co

This AMENDMENT entered into as of March 16, 2007, by and among The Universal Institutional Funds, Inc., Morgan Stanley & Co. Incorporated, Morgan Stanley Investment Management Inc. (collectively “Trust”) and Integrity Life Insurance Company (“Intermediary”).

FUND PARTICIPATION AGREEMENT
Fund Participation Agreement • December 28th, 2011 • Separate Account I of Integrity Life Insurance Co • New York

THIS AGREEMENT is executed as of 4/15/2011, and effective as of 4/29/2011, by and among BLACKROCK VARIABLE SERIES FUNDS, INC. an open-end management investment company organized as a Maryland corporation (the “Fund”), BLACKROCK INVESTMENTS, LLC (“BRIL”), a broker-dealer registered as such under the Securities Exchange Act of 1934, as amended (the “Underwriter”), BLACKROCK ADVISORS, LLC (“BAL”) and INTEGRITY LIFE INSURANCE COMPANY, a life insurance company organized under the laws of the state of Ohio (“Company”), on its own behalf and on behalf of each separate account of the Company set forth on Schedule A, as may be amended from time to time (the “Accounts”).

ADMINISTRATIVE SERVICES AGREEMENT
Administrative Services Agreement • April 25th, 2012 • Separate Account I of Integrity Life Insurance Co • Delaware

INTEGRITY LIFE INSURANCE COMPANY (“INSURER”) and INVESCO ADVISERS, INC. (“INVESCO”) (collectively, the “Parties”) mutually agree to the arrangements set forth in this Administrative Services Agreement (the “Agreement”) dated as of June 1, 2010.

Amendment No. 5 to Participation Agreement Franklin Templeton Variable Insurance Products Trust Franklin/Templeton Distributors, Inc. Integrity Life Insurance Company Touchstone Securities, Inc.
Participation Agreement • April 25th, 2012 • Separate Account I of Integrity Life Insurance Co

Franklin Templeton Variable Insurance Products Trust (the “Trust”), Franklin/Templeton Distributors, Inc. (the “Underwriter,” and together with the Trust, “we” or “us”), Integrity Life Insurance Company (the “Company” or “you”), and Touchstone Securities, Inc., your distributor, on your behalf and on behalf of certain Accounts, have previously entered into a Participation Agreement dated January 6, 2003, and subsequently amended May 3, 2004, January 1, 2006, May 1, 2007 and November 5, 2007 (the “Agreement”). The parties now desire to amend the Agreement by this amendment (the “Amendment”). Unless otherwise indicated, the terms defined in the Agreement shall have the same meaning in this Amendment.

DISTRIBUTION SERVICES AGREEMENT
Distribution Services Agreement • April 25th, 2012 • Separate Account I of Integrity Life Insurance Co • Delaware

INTEGRITY LIFE INSURANCE COMPANY, (“Insurer”) and INVESCO DISTRIBUTORS, INC. (“Distributor”) (collectively, the “Parties”) mutually agree to the arrangements set forth in this Distribution Services Agreement (this “Agreement”) dated June 1, 2010.

FUND PARTICIPATION AGREEMENT
Fund Participation Agreement • April 25th, 2012 • Separate Account I of Integrity Life Insurance Co • New York

THIS AGREEMENT made as of the 2nd day of October, 1997 by and among BT Insurance Funds Trust (“TRUST”), a Massachusetts business trust, Bankers Trust Company (“ADVISER”), a New York banking corporation, and Integrity Life Insurance Company (“LIFE COMPANY”), a life insurance company organized under the laws of the State of Ohio.

PARTICIPATION AGREEMENT BY AND AMONG AIM VARIABLE INSURANCE FUNDS (INVESCO VARIABLE INSURANCE FUNDS), INVESCO DISTRIBUTORS, INC., INTEGRITY LIFE INSURANCE COMPANY, ON BEHALF OF ITSELF AND ITS SEPARATE ACCOUNTS, AND TOUCHSTONE SECURITIES, INC.,...
Participation Agreement • April 25th, 2012 • Separate Account I of Integrity Life Insurance Co • Delaware

THIS AGREEMENT, made and entered into as of the 1st day of June 2010 (“Agreement”), by and among AIM Variable Insurance Funds (Invesco Variable Insurance Funds), a Delaware Trust (“AVIF”), INVESCO Distributors, Inc., a Delaware corporation (“INVESCO”), Integrity Life Insurance Company, an Ohio life insurance company (“LIFE COMPANY”), on behalf of itself and each of its segregated asset accounts listed in Schedule A hereto, as the parties hereto may amend from time to time (each, an “Account,” and collectively, the “Accounts”), and Touchstone Securities, Inc., a Nebraska Corporation, an affiliate of LIFE COMPANY and the principal underwriter of the Contracts (“UNDERWRITER”) (collectively, the “Parties”).

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THE VANGUARD GROUP, INC. DAILY VALUATION AGENCY AGREEMENT
Daily Valuation Agency Agreement • April 27th, 2011 • Separate Account I of Integrity Life Insurance Co • Pennsylvania

THIS AGREEMENT, made this 10th day of December, 2010, by and between THE VANGUARD GROUP, INC. (“Vanguard”), a Pennsylvania corporation with its principal place of business in Pennsylvania, and INTEGRITY LIFE INSURANCE COMPANY (the “Agent”), a New York corporation with its principal place of business in Cincinnati, Ohio.

DISTRIBUTION AND SERVICES AGREEMENT
Distribution and Services Agreement • April 25th, 2012 • Separate Account I of Integrity Life Insurance Co • Massachusetts

We have an agreement (the “Distribution Agreement”) with the Deutsche Asset Management VIT Funds and the series thereof, (the “Funds”). Pursuant to the Distribution Agreement, we, PFPC Distributors, Inc. (the “Distributor”), act as the distributor of units of beneficial interest of the Funds designated “Class B Shares” (collectively, the “Shares”). You maintain various separate accounts (“Accounts”) organized as unit investment trusts under the Investment Company Act of 1940, as amended (the “1940 Act”) that are funded by variable life insurance and/or variable annuity contracts (“Contracts”) purchased by individual contract owners who from time to time beneficially own Shares (“Customers”). The Accounts include or propose to include certain of the Funds as an investment alternative offered to Customers. The terms “Prospectus” and “Statement” as used herein refer respectively to the then-current prospectus and statement of additional information relating to the Shares forming parts of

Invesco Intermediary Agreement Regarding Compliance with SEC Rule 22c-2
Intermediary Agreement • April 25th, 2012 • Separate Account I of Integrity Life Insurance Co • Ohio

This Agreement is made and entered into by and between Invesco Aim Investment Services, Inc(1). (the “Transfer Agent”), a Delaware corporation and the transfer agent for certain management investment companies (each, a “mutual fund”) registered with the U.S. Securities and Exchange Commission (the “SEC”) and regulated under the Investment Company Act of 1940, as amended (the “1940 Act”), and the Intermediary identified below.

SELLING AGREEMENT
Selling Agreement • December 12th, 2011 • Separate Account I of Integrity Life Insurance Co • Ohio

THIS SELLING AGREEMENT (Agreement) is made and entered into by and between Integrity Life Insurance Company (Company) and Touchstone Securities, Inc. (herein jointly and severally referred to as DISTRIBUTOR) and (Broker- Dealer Name), (herein referred to as Broker-Dealer) and its affiliated insurance agencies, if any (herein separately referred to as Insurance Agency). Said Broker-Dealer and its affiliated Insurance Agency, if applicable, may be collectively referred to as Broker-Dealer or Agent.

VARIABLE CONTRACT PRINCIPAL UNDERWRITER AGREEMENT
Variable Contract Principal Underwriter Agreement • December 12th, 2011 • Separate Account I of Integrity Life Insurance Co • Ohio

THIS AGREEMENT made as of January 1, 2006, by and between Integrity Life Insurance Company, an Ohio stock life insurance company (the “Company”) and Touchstone Securities, Inc., a Nebraska corporation and a registered broker-dealer (the “Distributor”).

MORGAN STANLEY DISTRIBUTION, INC. ADMINISTRATIVE SERVICE AGREEMENT
Administrative Service Agreement • April 23rd, 2008 • Separate Account I of Integrity Life Insurance Co • New York

This ADMINISTRATIVE SERVICE AGREEMENT (“Agreement”) is made and entered into as of this 1st day of May, 2008, by and between MORGAN STANLEY DISTRIBUTION, INC. (successor to Morgan Stanley & Co. Incorporated) (the “Distributor”) and INTEGRITY LIFE INSURANCE COMPANY (the “Company”).

Amendment No. 1 to Participation Agreement As of May 3, 2004 by and among Franklin Templeton Variable Insurance Products Trust Franklin/Templeton Distributors, Inc. Integrity Life Insurance Company Touchstone Securities, Inc.
Participation Agreement • April 25th, 2012 • Separate Account I of Integrity Life Insurance Co • California

Franklin Templeton Variable Insurance Products Trust (the “Trust”), Franklin/Templeton Distributors, Inc. (the “Underwriter,” and together with the Trust, “we or “us”), Integrity Life Insurance Company (“you”), and Touchstone Securities, Inc., your distributor, on your behalf and on behalf of certain Accounts, have previously entered into a Participation Agreement dated January 6, 2003, (the “Agreement”). The parties now desire to amend the Agreement in this amendment (the “Amendment”).

TERMINATION, NEW AGREEMENTS AND AMENDMENTS RELATING TO INTERMEDIARY AGREEMENTS FOR PIMCO VARIABLE INSURANCE TRUST
Termination, Agreement • April 25th, 2012 • Separate Account I of Integrity Life Insurance Co

THIS TERMINATION, AGREEMENT AND AMENDMENT made this 1st day of April 2011, (the “Effective Date”) by and among Allianz Global Investors Distributors LLC (“AGID”), PIMCO Investments LLC (“PI”) and Integrity Life Insurance Company (the “Intermediary”).

NOVATION OF AND AMENDMENT TO PARTICIPATION AGREEMENT
Participation Agreement • April 25th, 2012 • Separate Account I of Integrity Life Insurance Co

THIS NOVATION OF AND AMENDMENT TO PARTICIPATION AGREEMENT made this 1st day of April, 2011 (the “Effective Date”), by and among Allianz Global Investors Distributors LLC (“AGID”), PIMCO Investments LLC (“PI”), PIMCO Variable Insurance Trust (the “Fund”) and Integrity Life Insurance Company (the “Company”).

WITNESSETH:
Variable Contract Principal Underwriter Agreement • April 28th, 2000 • Separate Account I of Integrity Life Insurance Co • Ohio
Columbia Management Distributors, Inc.
Agreement • April 25th, 2012 • Separate Account I of Integrity Life Insurance Co

This agreement is made as of the 1st day of May, 2009 between Columbia Management Distributors, Inc., a Massachusetts corporation (“CMDI”) and Integrity Life Insurance Company, an Ohio corporation (“Company”).

COLUMBIA MANAGEMENT DISTRIBUTORS, INC. MUTUAL FUND SALES AGREEMENT
Sales Agreement • April 25th, 2012 • Separate Account I of Integrity Life Insurance Co • Massachusetts

We are the exclusive distributor of the shares of the funds set forth on Schedule A hereto (collectively, together with any funds that may hereafter become part of such fund families, the “CMD Distributed Funds”). We desire to enter into this agreement with you for activities in connection with (i) the distribution of shares of the CMD Distributed Funds (or classes thereof) (each a “Fund” and collectively the “Funds”) and (ii) the servicing of holders of shares of the Funds and existing and prospective holders of Variable Insurance Products (as defined below) on the terms set forth below.

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Participation Agreement • December 5th, 2007 • Separate Account I of Integrity Life Insurance Co • California
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