Changes in Equipment, Systems, Etc. Fund Services reserves the right to make changes from time to time, as it deems advisable, relating to its systems, programs, rules, operating schedules and equipment, so long as such changes do not adversely affect the services provided to the Trust under this Agreement. Separate Series of ETF Managers Trust ETFMG Prime Junior Silver Miners ETF ETFMG Prime Cyber Security ETF ETFMG Prime Mobile Payments ETF BlueStar Israel Technology ETF Etho Climate Leadership U.S. ETF Wedbush ETFMG Global Cloud Technology ETF Wedbush ETFMG Video Game Tech ETF AI Powered Equity ETF ETFMG Sit Ultra Short ETF ETFMG Travel Tech ETF ETFMG Treatments, Testing and Advancements ETF ETFMG Alternative Harvest ETFMG U.S. Alternative Harvest ETF ETFMG 2X Alternative Harvest ETF ETFMG Prime 2X Daily Junior Silver Miners ETF ETFMG Prime 2X Daily Inverse Junior Silver Miners ETF ETFMG 2X Daily Travel Tech ETF ETFMG 2X Daily Video Game Tech ETF U.S. Bank Global Fund Services (“GFS”) and U.S. Bank National Association Combined Fee schedule1 for: Annual Minimum Per Fund3 Basis Points on AUM of the Funds3 Per Fund $[ ] $0 - $2 billion [ ] bps $2 - $3 billion [ ] bps $3 - $4 billion [ ] bps $4 - $5 billion [ ] bps greater than$5 billion [ ] bps Each month, fees will initially be calculated (the “Initial Amount”) based on the net assets of the series of ETF Managers Trust and the above “Basis Points on AUM of the Funds” schedule. The Initial Amount will be allocated to each fund pro rata based on its month-end net assets (the “Pro Rata Amount”). Each fund will be charged the greater of the fund’s Pro Rata Amount or 1/12 of the “Annual Minimum Per Fund”. 1 This is a combined fee schedule that will cover all services provided by U.S. Bank Global Fund Services (“GFS”) pursuant to the applicable Fund Servicing Agreement, as well as the services provided by U.S. Bank National Association to the Trust pursuant to the Custody Servicing Agreement. Fees with respect to services provided by U.S. Bank National Association to the Trust pursuant to the Securities Lending Agreement are in addition to this fee schedule and as set forth in such agreement, as amended. Fees are calculated and billed monthly - Extraordinary services quoted separately
Appears in 1 contract
Changes in Equipment, Systems, Etc. Fund Services reserves the right to make changes from time to time, as it deems advisable, relating to its systems, programs, rules, operating schedules and equipment, so long as such changes do not adversely affect the services provided to the Trust under this Agreement. Separate Series of ETF Managers Trust ETFMG Prime Junior Silver Miners ETF ETFMG Prime Cyber Security ETF ETFMG Prime Mobile Payments ETF BlueStar Israel Technology ETF Etho Climate Leadership U.S. ETF Wedbush ETFMG Global Cloud Technology ETF Wedbush ETFMG Video Game Tech ETF AI Powered Equity ETF ETFMG Sit Ultra Short ETF ETFMG Travel Tech ETF ETFMG Treatments, Testing and Advancements ETF ETFMG Alternative Harvest ETFMG U.S. Alternative Harvest ETF ETFMG 2X Alternative Harvest ETF ETFMG Prime 2X Daily Junior Silver Miners ETF ETFMG Prime 2X Daily Inverse Junior Silver Miners ETF ETFMG 2X Daily Travel Tech ETF ETFMG 2X Daily Video Game Tech ETF 30 U.S. Bank Global Fund Services (“GFS”) and U.S. Bank National Association Combined Fee schedule1 for: Annual Minimum Per Fund3 Basis Points on AUM of the Funds3 Per Fund $[ ] $0 - $2 billion [ ] bps $2 - $3 billion [ ] bps $3 - $4 billion [ ] bps $4 - $5 billion [ ] bps greater than$5 billion [ ] bps $ Each month, fees will initially be calculated (the “Initial Amount”) based on the net assets of the series of ETF Managers Trust and the above “Basis Points on AUM of the Funds” schedule. The Initial Amount will be allocated to each fund pro rata based on its month-end net assets (the “Pro Rata Amount”). Each fund will be charged the greater of the fund’s Pro Rata Amount or 1/12 of the “Annual Minimum Per Fund”. 1 This is a combined fee schedule that will cover all services provided by U.S. Bank Global Fund Services (“GFS”) pursuant to the applicable Fund Servicing Agreement, as well as the services provided by U.S. Bank National Association to the Trust pursuant to the Custody Servicing Agreement. Fees with respect to services provided by U.S. Bank National Association to the Trust pursuant to the Securities Lending Agreement are in addition to this fee schedule and as set forth in such agreement, as amended. Fees are calculated and billed monthly - Extraordinary services quoted separately
Appears in 1 contract