Solutions Fund definition

Solutions Fund means a Fund, the policy of which has been formulated with a view to providing solutions over a specific timeframe.

Examples of Solutions Fund in a sentence

  • The entities comprising the Companies are: DoubleLine Group LP (“Group”) DoubleLine Capital LP (“Adviser”, “DoubleLine”, “Capital”) DoubleLine Equity LP (“Adviser”, “DoubleLine”, “Equity”) DoubleLine Alternatives LP (“Adviser”, “DoubleLine”, “Alternatives”) DoubleLine Opportunistic Credit Fund (“DBL”) DoubleLine Funds Trust (“Trust”) DoubleLine Income Solutions Fund (“DSL”) DoubleLine Investment Management Asia Ltd.

  • Cash Management Shares: Xxxxxxx Sachs Financial Square Federal Instruments Fund, Xxxxxxx Xxxxx Investor Money Market Fund, Xxxxxxx Sachs Financial Square Treasury Solutions Fund, Xxxxxxx Xxxxx Financial Square Money Market Fund, Xxxxxxx Sachs Financial Square Prime Obligations Fund, Xxxxxxx Xxxxx Financial Square Government Fund, Xxxxxxx Sachs Investor Tax-Exempt Money Market Fund, Xxxxxxx Xxxxx Financial Square Treasury Instruments Fund and Xxxxxxx Sachs Financial Square Treasury Obligations Fund.

  • The entities comprising the Companies are: DoubleLine Group LP (“Group”) DoubleLine Capital LP (“Adviser”, “Capital”) DoubleLine Equity LP (“Adviser”, “Equity”) DoubleLine Commodity LP (“Adviser”, “Commodity”) DoubleLine Opportunistic Credit Fund (“DBL”) DoubleLine Funds Trust (“Trust”) DoubleLine Equity Funds (“Equity Funds”) DoubleLine Income Solutions Fund (“DSL”) Together, the series of funds within the Trust and Equity Funds are known as the “DoubleLine Funds”.

  • Premier Shares: Xxxxxxx Xxxxx Financial Square Federal Instruments Fund, Xxxxxxx Sachs Investor Money Market Fund, Xxxxxxx Xxxxx Financial Square Treasury Solutions Fund, Xxxxxxx Sachs Financial Square Money Market Fund, Xxxxxxx Xxxxx Financial Square Prime Obligations Fund, Xxxxxxx Sachs Financial Square Government Fund, Xxxxxxx Xxxxx Investor Tax-Exempt Money Market Fund, Xxxxxxx Sachs Financial Square Treasury Instruments Fund, and Xxxxxxx Xxxxx Financial Square Treasury Obligations Fund.

  • Cash Management Shares: Xxxxxxx Xxxxx Financial Square Federal Instruments Fund, Xxxxxxx Sachs Investor Money Market Fund, Xxxxxxx Xxxxx Financial Square Treasury Solutions Fund, Xxxxxxx Sachs Financial Square Money Market Fund, Xxxxxxx Xxxxx Financial Square Prime Obligations Fund, Xxxxxxx Sachs Financial Square Government Fund, Xxxxxxx Xxxxx Investor Tax-Exempt Money Market Fund, Xxxxxxx Sachs Financial Square Treasury Instruments Fund and Xxxxxxx Xxxxx Financial Square Treasury Obligations Fund.

  • The LACM ESG Solutions Fund – U.S. includes environmental and social characteristics as well as the considerations set out below, but is currently categorised as an Article 6 for SFDR.The Funds are therefore not subject to the additional disclosure requirements for financial products referred to in Article 8 or Article 9 of the SFDR.

  • Capital Shares: Xxxxxxx Sachs Financial Square Federal Instruments Fund, Xxxxxxx Xxxxx Investor Money Market Fund, Xxxxxxx Sachs Financial Square Prime Obligations Fund, Xxxxxxx Xxxxx Financial Square Government Fund, Xxxxxxx Sachs Financial Square Treasury Obligations Fund, Xxxxxxx Xxxxx Financial Square Money Market Fund, Xxxxxxx Sachs Investor Tax-Exempt Money Market Fund, Xxxxxxx Xxxxx Financial Square Treasury Solutions Fund, and Xxxxxxx Sachs Financial Square Treasury Instruments Fund.

  • Effective February 27, 2017, Custom Solutions changed its name from Morgan Stanley Managed Futures Custom Solutions Fund LP - Series A to Managed Futures Custom Solutions Fund LP - Series A.

  • Premier Shares: Xxxxxxx Sachs Financial Square Federal Instruments Fund, Xxxxxxx Xxxxx Investor Money Market Fund, Xxxxxxx Sachs Financial Square Treasury Solutions Fund, Xxxxxxx Xxxxx Financial Square Money Market Fund, Xxxxxxx Sachs Financial Square Prime Obligations Fund, Xxxxxxx Xxxxx Financial Square Government Fund, Xxxxxxx Sachs Investor Tax-Exempt Money Market Fund, Xxxxxxx Xxxxx Financial Square Treasury Instruments Fund, and Xxxxxxx Sachs Financial Square Treasury Obligations Fund.

  • Select Shares: Xxxxxxx Xxxxx Financial Square Federal Instruments Fund, Xxxxxxx Sachs Investor Money Market Fund, Xxxxxxx Xxxxx Financial Square Prime Obligations Fund, Xxxxxxx Sachs Financial Square Government Fund, Xxxxxxx Xxxxx Financial Square Treasury Obligations Fund, Xxxxxxx Sachs Financial Square Money Market Fund, Xxxxxxx Xxxxx Investor Tax-Exempt Money Market Fund, Xxxxxxx Sachs Financial Square Treasury Solutions Fund, and Xxxxxxx Xxxxx Financial Square Treasury Instruments Fund.

Related to Solutions Fund

  • Infrastructure fund means the renewable fuel infrastructure fund created in section 159A.16.

  • Provident Fund means any fund (other than a pension fund, benefit fund or retirement annuity fund) which is approved by the Minister in respect of the year of assessment in question: Provided that the Minister may approve a fund subject to such limitations or conditions as he or she may determine, and shall not approve a fund in respect of any year of assessment unless he or she is in respect of that year of assessment satisfied -

  • Program fund means the program fund established under section 12D.4.

  • Endowment fund means an institutional fund or part thereof that, under the terms of a gift instrument, is not wholly expendable by the institution on a current basis. The term does not include assets that an institution designates as an endowment fund for its own use.

  • Solutions means Products and Services provided under this “CPE Products & Services; Professional Services” Section.

  • Fresh Funds means funds that:

  • breeder s right” means the right of the breeder provided for in this Convention;

  • Sub-Fund means a segregated pool of assets and liabilities into which the Trust Fund is divided, established under the Trust Deed and the relevant supplemental deed as a separate trust as described in the relevant Appendix.

  • Feeder means a high voltage circuit served by automatic switchgear at 3.3kV and above, and for which the Distributor can reasonably aggregate network interruption statistics to monitor average feeder performance;

  • Revenue Fund means the fund so designated in, and created pursuant to, Section 502 hereof.

  • BCP means BCP Asset Management Limited and its successors, assigns and transferees.

  • Program Funds means all funds that are required to be deposited into the Non-profit School Food Service Account.

  • Public fund means the state treasurer or a retirement system.

  • Insight as used in this clause, means technical visibility into the Program, maintained through audit, surveillance, assessment of trends and metrics, software independent verification and validation, the flight readiness review process, and review or independent assessment of out-of-family anomalies occurring in any phase of the program.

  • Fund of Funds means a registered investment company or series of a Fund which is managed and administered by Service Company and which invests substantially all of its assets in shares of two or more Funds (or series thereof).

  • Drug therapy management means the review of a drug therapy regimen of a patient by one or more pharmacists for the purpose of evaluating and rendering advice to one or more practitioners regarding adjustment of the regimen.

  • Member Services are hereby defined as any products or services now or hereafter provided or sponsored by the Credit Union or otherwise made available to Credit Union members, which services include, but are not limited to: loans, deposit accounts, ATM services, online banking services, and other electronic fund transfer services.

  • Subsidy Funds With respect to any Subsidy Loans, funds contributed by the employer of a Mortgagor in order to reduce the payments required from the Mortgagor for a specified period in specified amounts.

  • Client Funds means money deposited by the Client in his/her Trading Account, plus or minus any unrealized or realized profit or loss, plus or minus any amount that is due by the Client to the Company and vice versa.

  • Distribution Company means a distribution company as defined in Section 1 of Chapter 164 of the Massachusetts General Laws.3

  • Asset Management Plan means a plan created by the department and approved by the state transportation commission or a plan created by a local road agency and approved by the local road agency's governing body that includes provisions for asset inventory, performance goals, risk of failure analysis, anticipated revenues and expenses, performance outcomes, and coordination with other infrastructure owners.

  • Loan Fund means the special fund created by the RECIPIENT for the repayment of the principal of and interest on the loan. “Loan Security” means the mechanism by which the RECIPIENT pledges to repay the loan.

  • Surplus Fund means the fund by that name established pursuant to the Second Resolution.

  • Pharmacy benefits management means the administration or management of prescription drug

  • Investment Fund has the same meaning as in National Instrument 81-106 Investment Fund Continuous Disclosure;

  • Behavioral therapy means interactive therapies derived from evidence-based research, including applied behavior analysis, which includes discrete trial training, pivotal response training, intensive intervention programs, and early intensive behavioral intervention.