CUSTODY AGREEMENT AGREEMENT dated as of July 11, 2001 between THE CHASE MANHATTAN BANK, N.A. ("Chase"), having its principal place of business at 270 Park Ave., New York, N.Y. 10017-2070, and FRANKLIN TEMPLETON INTERNATIONAL TRUST, a Massachusetts...Custody Agreement • February 26th, 2002 • Franklin Templeton International Trust • New York
Contract Type FiledFebruary 26th, 2002 Company Jurisdiction
AMENDMENTFranklin Templeton International Trust • January 11th, 2008
Company FiledJanuary 11th, 2008
OFAgreement and Declaration • September 27th, 2007 • Franklin Templeton International Trust • Delaware
Contract Type FiledSeptember 27th, 2007 Company Jurisdiction
SCHEDULE 1Franklin Templeton International Trust • December 30th, 2009
Company FiledDecember 30th, 2009The following is a list of the Investment Companies and their respective Series for which the Custodian shall serve under the Foreign Custody Manager Agreement dated as of May 16, 2001.
DEALER AGREEMENT Effective: March 1, 1998 Dear Securities Dealer: Franklin/Templeton Distributors, Inc. ("we" or "us") invites you to participate in the distribution of shares of the Franklin Templeton investment companies (the "Funds") for which we...Dealer Agreement • December 29th, 1998 • Franklin Templeton International Trust • California
Contract Type FiledDecember 29th, 1998 Company Jurisdiction
FRANKLIN TEMPLETON INTERNATIONAL TRUST on behalf of FRANKLIN INDIA GROWTH FUNDInvestment Management Agreement • January 11th, 2008 • Franklin Templeton International Trust • California
Contract Type FiledJanuary 11th, 2008 Company Jurisdiction
Amendment to Master Custody Agreement Effective February 27, 1998, The Bank of New York and each of the Investment Companies listed in the Attachment appended to this Amendment, for themselves and each series listed in the Attachment, hereby amend the...Master Custody Agreement • January 11th, 2008 • Franklin Templeton International Trust
Contract Type FiledJanuary 11th, 2008 Company
FORM OFSub-Advisory Agreement • February 27th, 2006 • Franklin Templeton International Trust • Florida
Contract Type FiledFebruary 27th, 2006 Company Jurisdiction
AMENDED AND RESTATED INVESTMENT MANAGEMENT AGREEMENTInvestment Management Agreement • September 27th, 2013 • Franklin Templeton International Trust • California
Contract Type FiledSeptember 27th, 2013 Company JurisdictionTHIS INVESTMENT MANAGEMENT AGREEMENT, dated as of May 1, 2013, is made between FRANKLIN TEMPLETON INTERNATIONAL TRUST, a Delaware statutory trust (the “Trust”), on behalf of FRANKLIN WORLD PERSPECTIVES FUND (the “Fund”), a series of the Trust, and FRANKLIN ADVISERS, INC., a California corporation (the “Manager”), and amends and restates the prior Investment Management Agreement between the Trust, on behalf of the Fund, and the Manager, dated as of December 13, 2010.
FOREIGN CUSTODY MANAGER AGREEMENT AGREEMENT made as of July 30, 1998, effective as of February 27, 1998 (the "Effective Date"), between Each of the Investment Companies Listed on Schedule I attached hereto (each a "Fund") and The Bank of New York...Foreign Custody Manager Agreement • December 29th, 1998 • Franklin Templeton International Trust • New York
Contract Type FiledDecember 29th, 1998 Company Jurisdiction
SUB-ADVISORY AGREEMENT ---------------------- FRANKLIN TEMPLETON INTERNATIONAL TRUST on behalf of the TEMPLETON PACIFIC GROWTH FUND THIS SUBADVISORY AGREEMENT made as of October 9, 2001, by and between FRANKLIN ADVISERS, INC. ("Advisers"), a...Sub-Advisory Agreement • February 26th, 2002 • Franklin Templeton International Trust • California
Contract Type FiledFebruary 26th, 2002 Company Jurisdiction
MASTER CUSTODY AGREEMENTMaster Custody Agreement • February 27th, 2017 • Franklin Templeton International Trust
Contract Type FiledFebruary 27th, 2017 CompanyThe following is a list of the Investment Companies and their respective Series for which the Custodian shall serve under the Master Custody Agreement dated as of February 16, 1996.
Revised: 8/30/00 MASTER CUSTODY AGREEMENT EXHIBIT A The following is a list of the Investment Companies and their respective Series for which the Custodian shall serve under the Master Custody Agreement dated as of February 16, 1996.Franklin Templeton International Trust • February 28th, 2001
Company FiledFebruary 28th, 2001The following is a list of the Investment Companies and their respective Series for which the Custodian shall serve under the Master Custody Agreement dated as of February 16, 1996.
MASTER CUSTODY AGREEMENTMaster Custody Agreement • February 27th, 2014 • Franklin Templeton International Trust
Contract Type FiledFebruary 27th, 2014 CompanyThe following is a list of the Investment Companies and their respective Series for which the Custodian shall serve under the Master Custody Agreement dated as of February 16, 1996.
FRANKLIN TEMPLETON INTERNATIONAL TRUST on behalf of FRANKLIN INDIA GROWTH FUNDInvestment Management Agreement • February 26th, 2008 • Franklin Templeton International Trust • California
Contract Type FiledFebruary 26th, 2008 Company Jurisdiction
TERMINAL LINK AGREEMENT EXHIBIT A (Effective as of June 1, 2018)Terminal Link Agreement • February 26th, 2019 • Franklin Templeton International Trust
Contract Type FiledFebruary 26th, 2019 CompanyThe following is a list of the Investment Companies and their respective Series for which the Custodian shall serve under the Master Custody Agreement dated as of February 16, 1996.
AMENDED AND RESTATED FUND ADMINISTRATION AGREEMENTFund Administration Agreement • September 27th, 2012 • Franklin Templeton International Trust • California
Contract Type FiledSeptember 27th, 2012 Company JurisdictionThis Agreement, dated as of April 17, 2012, is between FRANKLIN TEMPLETON INTERNATIONAL TRUST (the “Trust”), a Delaware statutory trust on behalf of FRANKLIN TEMPLETON GLOBAL ALLOCATION FUND (the “Fund”), and FRANKLIN TEMPLETON SERVICES, LLC (“Administrator”), and amends and restates the prior Fund Administration Agreement between the Trust on behalf of the Fund and Administrator.
AMENDMENT TO MASTER CUSTODY AGREEMENTMaster Custody Agreement • February 26th, 2019 • Franklin Templeton International Trust
Contract Type FiledFebruary 26th, 2019 CompanyThis Amendment is dated as of the first day of June, 2018, by and between Each of the Investment Companies Listed on Exhibit A hereto for itself and for Each of its Series listed on Exhibit A hereto (the “Client”), and The Bank of New York Mellon (formerly The Bank of New York) (the “Custodian”).
FORM OFSub-Advisory Agreement • February 27th, 2006 • Franklin Templeton International Trust • California
Contract Type FiledFebruary 27th, 2006 Company Jurisdiction
FRANKLIN TEMPLETON INTERNATIONAL TRUST on behalf of TEMPLETON GLOBAL LONG-SHORT FUNDInvestment Advisory Agreement • February 26th, 2002 • Franklin Templeton International Trust • California
Contract Type FiledFebruary 26th, 2002 Company Jurisdiction
FUND ADMINISTRATION AGREEMENT AGREEMENT dated as of January 31, 2008 between FRANKLIN TEMPLETON INTERNATIONAL TRUST (the "Investment Company"), an investment company registered under the Investment Company Act of 1940, as amended ("1940 Act"), on...Fund Administration Agreement • February 26th, 2008 • Franklin Templeton International Trust
Contract Type FiledFebruary 26th, 2008 Company
AMENDED AND RESTATED FOREIGN CUSTODY MANAGER AGREEMENTForeign Custody Manager Agreement • February 24th, 2012 • Franklin Templeton International Trust
Contract Type FiledFebruary 24th, 2012 CompanyThe following is a list of the Investment Companies and their respective Series for which the Custodian shall serve under the Foreign Custody Manager Agreement dated as of May 16, 2001.
AMENDMENT TO MASTER CUSTODY AGREEMENTMaster Custody Agreement • February 26th, 2016 • Franklin Templeton International Trust
Contract Type FiledFebruary 26th, 2016 CompanyThe following is a list of the Investment Companies and their respective Series for which the Custodian shall serve under the Amendment dated May 16, 2001 to that certain Master Custody Agreement dated as of February 16, 1996.
SUBCONTRACT FOR FUND ADMINISTRATIVE SERVICES This Subcontract for Fund Administrative Services ("Subcontract") is made as of October 1, 1996 between FRANKLIN ADVISERS, INC., a California corporation, hereinafter called the "Investment Manager," and...Administrative Services • December 29th, 1998 • Franklin Templeton International Trust
Contract Type FiledDecember 29th, 1998 Company
TRANSFER AGENT AND SHAREHOLDER SERVICES AGREEMENTTransfer Agent and Shareholder Services Agreement • September 26th, 2014 • Franklin Templeton International Trust • California
Contract Type FiledSeptember 26th, 2014 Company JurisdictionThe parties to this Agreement are the Investment Company named above ("Investment Company"), an open-end investment company registered as such under the Investment Company Act of 1940 (" 1940 Act"), on behalf of each class of shares of each series of the Investment Company which now exists or may hereafter be created (individually, a "Fund" and collectively, the "Funds") and FRANKLIN TEMPLETON INVESTOR SERVICES, LLC ("FTIS"), a registered transfer agent formerly known as Franklin Administrative Services, Inc. This Agreement supersedes prior Shareholder Services Agreements between the parties, as stated below in section 16(d).
TERMINAL LINK AGREEMENTTerminal Link Agreement • February 27th, 2014 • Franklin Templeton International Trust
Contract Type FiledFebruary 27th, 2014 CompanyThe following is a list of the Investment Companies and their respective Series for which the Custodian shall serve under the Master Custody Agreement dated as of February 16, 1996.
FRANKLIN TEMPLETON INVESTOR SERVICES, LLC AMENDED AND RESTATEDTransfer Agent and Shareholder Services Agreement • February 26th, 2018 • Franklin Templeton International Trust • California
Contract Type FiledFebruary 26th, 2018 Company JurisdictionAs the registered transfer agent and shareholder servicing agent for the Funds, FTIS is responsible for providing overall support for the customers of each Fund, including shareholders, financial advisors, distribution intermediaries, and other authorized representatives. FTIS controls the flow of the customer interactions, processes transactions, and handles inquiries while ensuring mitigation of operational, financial, regulatory, and reputational risk. FTIS is responsible for affecting activity in accordance with fund policies, (e.g. Rule 12b-1 payments, fund openings, reorganizations, closings), as well as required trade confirmations, statements, and tax reporting. FTIS maintains relationships with the back offices of intermediaries and ensures appropriate payments to intermediaries and other service vendors in accordance with this Agreement.
AMENDMENT TO FOREIGN CUSTODY MANAGER AGREEMENTForeign Custody Manager Agreement • February 27th, 2017 • Franklin Templeton International Trust
Contract Type FiledFebruary 27th, 2017 CompanyThe following is a list of the Investment Companies and their respective Series for which the Custodian shall serve under the Foreign Custody Manager Agreement dated as of May 16, 2001.
AMENDMENT TO MASTER CUSTODY AGREEMENTMaster Custody Agreement • April 30th, 2013 • Franklin Templeton International Trust
Contract Type FiledApril 30th, 2013 CompanyThe following is a list of the Investment Companies and their respective Series for which the Custodian shall serve under the Amendment dated May 16, 2001 to that certain Master Custody Agreement dated as of February 16, 1996.
TERMINAL LINK AGREEMENT AGREEMENT made as of February 16, 1996 between The Bank of New York as custodian (the "Custodian") and each Investment Company listed on Exhibit A, for itself and for each of Series listed on Exhibit A (each, a "Fund")....Terminal Link Agreement • February 26th, 1998 • Franklin Templeton International Trust
Contract Type FiledFebruary 26th, 1998 Company
FORM OF Selling Agreement May 1, 2010Selling Agreement • September 29th, 2010 • Franklin Templeton International Trust • California
Contract Type FiledSeptember 29th, 2010 Company JurisdictionFranklin Templeton Distributors, Inc. (“we” or “us”) invites you to participate in the distribution of shares of the Franklin Templeton investment companies (the “Funds”) for which we now or in the future serve as principal underwriter, subject to the terms of this Agreement. We will notify you from time to time of the Funds that are eligible for distribution and the terms of compensation under this Agreement. This Agreement supersedes any prior dealer or selling agreements between us, as stated in Section 21, below.
AMENDED AND RESTATED AGREEMENT AND DECLARATION OF TRUST of Franklin TEMPLETON INTERNATIONAL TRUST a Delaware Statutory TrustAnd Restated Agreement and Declaration of Trust • February 26th, 2019 • Franklin Templeton International Trust • Delaware
Contract Type FiledFebruary 26th, 2019 Company JurisdictionWHEREAS Franklin Templeton International Trust (the “Trust”) was formed on March 22, 1991 under the name “Franklin International Trust” by its Trustees by the filing of the Certificate of Trust with the Office of the Secretary of State of the State of Delaware pursuant to an Agreement and Declaration of Trust dated as of March 19, 1991 (the “Original Declaration of Trust”), and the name of the Trust was changed to “Franklin Templeton International Trust” pursuant to the filing of a Certificate of Amendment to the Certificate of Trust with the Office of the Secretary of State of the State of Delaware on February 1, 1996; and
AMENDMENT TO MASTER CUSTODY AGREEMENTMaster Custody Agreement • February 27th, 2017 • Franklin Templeton International Trust
Contract Type FiledFebruary 27th, 2017 CompanyThe following is a list of the Investment Companies and their respective Series for which the Custodian shall serve under the Amendment dated May 16, 2001 to that certain Master Custody Agreement dated as of February 16, 1996.
FRANKLIN TEMPLETON INTERNATIONAL TRUST on behalf of FRANKLIN INDIA FUNDInvestment Managment Agreement • September 27th, 2007 • Franklin Templeton International Trust • California
Contract Type FiledSeptember 27th, 2007 Company Jurisdiction
AMENDED AND RESTATED SUBCONTRACT FOR FUND ADMINISTRATIVE SERVICESFund Administrative Services • September 27th, 2012 • Franklin Templeton International Trust • California
Contract Type FiledSeptember 27th, 2012 Company JurisdictionThis Subcontract, dated as of February 28, 2012, is between Franklin Advisers, Inc., a California corporation (the “Investment Manager”), and Franklin Templeton Services, LLC (“Administrator”) and amends and restates the prior Subcontract for Fund Administrative Services between the parties dated as of March 1, 2008.