Pimco Funds Multi Manager Series Sample Contracts

WITNESSETH:
Management Agreement • May 25th, 1999 • Pimco Funds Multi Manager Series
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WITNESSETH:
Administration Agreement • June 18th, 2003 • Pimco Funds Multi Manager Series
Exhibit (d)(2)(vi) ------------------ FORM OF PORTFOLIO MANAGEMENT AGREEMENT
Pimco Funds Multi Manager Series • September 28th, 2001 • California
Exhibit (h)(8)(iii) ------------------- TRANSFER AGENCY AND SERVICE AGREEMENT
Transfer Agency and Service Agreement • December 28th, 2001 • Pimco Funds Multi Manager Series • Massachusetts
WITNESSETH
Transfer Agency Agreement • August 17th, 2000 • Pimco Funds Multi Manager Series • Massachusetts
EXHIBIT 13 Pacific Financial Asset Management Corporation 700 Newport Center Drive Newport Beach, California 92660 INITIAL CAPITAL AGREEMENT
Pimco Funds Multi Manager Series • October 31st, 1997

It is our understanding that PFAMCo Fund (the "Fund") proposes to sell shares of beneficial interest (the "Shares") of the various investment portfolios (the "Portfolios") of the Fund pursuant to a registration statement on Form N1-A filed with the Securities and Exchange Commission. In order to provide the Fund with a net worth of at least $100,000 as required by Section 14 of the Investment Company Act of 1940, as amended, we hereby offer to purchase the number of Shares of each Portfolio as indicated below at the price per share indicated ("Initial Capital").

WITNESSETH:
Agency Agreement • October 31st, 1997 • Pimco Funds Multi Manager Series
AMENDMENT NO. 1 TO ADMINISTRATION AGREEMENT
Administration Agreement • October 30th, 1998 • Pimco Funds Multi Manager Series
WITNESSETH
Pimco Funds Equity Advisors Series • January 13th, 1997 • California
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AMENDMENT NO. 1 to AMENDED AND RESTATED ADMINISTRATION AGREEMENT
Administration Agreement • October 29th, 1999 • Pimco Funds Multi Manager Series
WITNESSETH:
Investment Accounting Agreement • August 17th, 2000 • Pimco Funds Multi Manager Series • Massachusetts
VIRTUS INVESTMENT TRUST FORM OF SUBADVISORY AGREEMENT
Subadvisory Agreement • February 1st, 2021 • Allianz Funds • Massachusetts

Virtus Investment Trust (the “Trust”) is an open-end investment company of the series type registered under the Investment Company Act of 1940, as amended (the “Act”), and is subject to the rules and regulations promulgated thereunder. The shares of the Trust are offered or may be offered in several series (sometimes hereafter referred to as the “Series”).

Custodian Agreement
Custodian Agreement • February 15th, 2012 • Allianz Funds • Massachusetts

This Agreement, dated as of February 17, 2012, is between Allianz Funds, a business trust organized and existing under the laws of The Commonwealth of Massachusetts (the “Trust”), on behalf of its series Allianz Global Investors Money Market Fund, (the “Fund”), and State Street Bank and Trust Company, a Massachusetts trust company (the “Custodian”).

Exhibit (h)(1)(i) ----------------- Exhibit A --------- Schedule to Administration Agreement as of December 6, 2001
H) • December 28th, 2001 • Pimco Funds Multi Manager Series

___________________ * Core Expenses include custody, portfolio accounting and tax preparation expenses. ** The Total fee rate for Class A, B and C shares shall be reduced by 0.05% per annum on a Fund's average daily net assets attributable in the aggregate to Class A, B and C shares in excess of $2.5 billion. For example, Class A, B and C shares of PIMCO Capital Appreciation Fund shall pay an annual fee rate of 0.40% on the Fund's first $2.5 billion of average daily net assets attributable in the aggregate to Class A, B and C shares, and 0.35% on such assets in excess of $2.5 billion.

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