Common use of Performance of Daily Accounting Services Clause in Contracts

Performance of Daily Accounting Services. Service Provider shall perform the following accounting services daily for each Fund, each in accordance with the Fund’s prospectus and statement of additional information: 1.1 calculate the net asset value per share utilizing prices obtained from the sources described in subsection 1.2 below;

Appears in 6 contracts

Sources: Master Fund Services Agreement (IDX Funds), Master Services Agreement (360 Funds), Master Fund Services Agreement (IDX Funds)

Performance of Daily Accounting Services. Service Provider shall perform the following accounting services daily for each the Fund, each in accordance with the Fund’s prospectus and statement of additional information: 1.1 calculate the net asset value per share utilizing prices obtained from the sources described in subsection 1.2 below;

Appears in 2 contracts

Sources: Master Services Agreement (Jetstream Venture Fund), Master Fund Services Agreement (SKK Access Income Fund LP)

Performance of Daily Accounting Services. Service Provider ▇▇▇▇▇▇▇ shall perform the following accounting services daily for each Fund, each in accordance with the Fund’s prospectus and statement of additional information: 1.1 calculate the net asset value per share utilizing prices obtained from the sources described in subsection 1.2 below;

Appears in 1 contract

Sources: Master Services Agreement (Unified Series Trust)

Performance of Daily Accounting Services. Service Provider shall perform the following accounting services daily for each FundFund , each in accordance with the Fund’s prospectus and statement of additional information: 1.1 calculate the net asset value per share utilizing prices obtained from the sources described in subsection 1.2 below;

Appears in 1 contract

Sources: Master Fund Services Agreement (360 Funds)

Performance of Daily Accounting Services. Service Provider shall perform the following accounting services daily for each to the Fund, each in accordance with the Fund’s prospectus and statement of additional information: 1.1 calculate the net asset value per share utilizing prices obtained from the sources described in subsection 1.2 below;

Appears in 1 contract

Sources: Master Services Agreement (Connetic Venture Capital Access Fund)