Reporting Requirements. The Foreign Custody Manager shall report the withdrawal of the Foreign Assets from an Eligible Foreign Custodian and the placement of such Foreign Assets with another Eligible Foreign Custodian by providing to the Board an amended Schedule A at the end of the calendar quarter in which an amendment to such Schedule has occurred. The Foreign Custody Manager shall make written reports notifying the Board of any other material change in the foreign custody arrangements of the Portfolios described in this Section 3.2 after the occurrence of the material change.
Appears in 516 contracts
Sources: Master Custodian Agreement (Allspring Master Trust), Master Custodian Agreement (Allspring Funds Trust), Master Custodian Agreement (Allspring Funds Trust)
Reporting Requirements. The Foreign Custody Manager shall report the withdrawal of the Foreign Assets from an Eligible Foreign Custodian and the placement of such Foreign Assets with another Eligible Foreign Custodian by providing to the Board an amended Schedule A at the end of the calendar quarter in which an amendment to such Schedule has occurred. The Foreign Custody Manager shall make written reports notifying the Board of any other material change in the foreign custody arrangements of the Portfolios Fund described in this Section 3.2 after the occurrence of the material change.
Appears in 180 contracts
Sources: Master Custodian Agreement (AB Private Lending Fund), Custodian Agreement (Owl Rock Technology Finance Corp. II), Custodian Agreement (Owl Rock Technology Income Corp.)
Reporting Requirements. The Foreign Custody Manager shall report the withdrawal of the Foreign Assets from an Eligible any Foreign Sub-Custodian and the placement of such Foreign Assets with another Eligible Foreign Sub-Custodian by providing to the Board an amended Schedule A at the end of the calendar quarter in which an amendment to such Schedule schedule has occurred. The Foreign Custody Manager shall make reasonably prompt written reports notifying to the Board of any other material change in the foreign custody arrangements of the Portfolios described in this Section 3.2 4 after the occurrence of the material change.
Appears in 106 contracts
Sources: Custodian Services Agreement (Western Asset Municipal High Income Fund Inc.), Custodian Services Agreement (LMP Capital & Income Fund Inc.), Custodian Services Agreement (Western Asset Global High Income Fund Inc.)
Reporting Requirements. The Foreign Custody Manager shall (a) report the withdrawal of the Foreign Assets from an Eligible Foreign Custodian and the placement of such Foreign Assets with another Eligible Foreign Custodian by providing to the Fund’s Board an amended Schedule A at the end of the calendar quarter in which an amendment to such Schedule the action has occurred. The Foreign Custody Manager shall make written reports notifying , and (b) after the Board occurrence of any other material change in the foreign custody arrangements of the Portfolios described in this Section 3.2 after 4.2, make a written report to the occurrence Board containing a notification of the material change.
Appears in 89 contracts
Sources: Master Custodian Agreement (T. Rowe Price Exchange-Traded Funds, Inc.), Master Custodian Agreement (T. Rowe Price Exchange-Traded Funds, Inc.), Master Custodian Agreement (T. Rowe Price Exchange-Traded Funds, Inc.)
Reporting Requirements. The Foreign Custody Manager shall report the withdrawal of the Foreign Assets from an Eligible Foreign Custodian and the placement of such Foreign Assets with another Eligible Foreign Custodian by providing to the Board an amended Schedule A at the end of the calendar quarter in which an amendment to such Schedule has occurred. The Foreign Custody Manager shall make written reports notifying the Board of any other material change in the foreign custody arrangements of the Portfolios Funds described in this Section 3.2 with reasonable promptness after the occurrence of the material change.
Appears in 53 contracts
Sources: Custodian Contract (E Trade Trust), Custodian Contract (Morgan Stanley Institutional Fund Inc), Custodian Contract (Morgan Stanley Institutional Fund Inc)
Reporting Requirements. The Foreign Custody Manager shall will (i) report the withdrawal of the Foreign Assets from an Eligible Foreign Custodian and the placement of such Foreign Assets with another Eligible Foreign Custodian by providing to the Board Client an amended updated Schedule A at the end of the calendar quarter in which an amendment to such Schedule the action has occurred. The Foreign Custody Manager shall make written reports notifying , and (ii) after the Board occurrence of any other material change in the foreign custody arrangements of the Portfolios described in this Section 3.2 after Client, make a written report available to the occurrence Client containing a notification of the material change.
Appears in 38 contracts
Sources: Custodian Agreement (New Mountain Private Credit Fund), Custody Agreement (Diamond Hill Securitized Credit Fund), Custody Agreement (PGIM Private Credit Fund)
Reporting Requirements. The Foreign Custody Manager shall report the withdrawal of the Foreign Assets from an Eligible Foreign Custodian and the placement of such Foreign Assets with another Eligible Foreign Custodian by providing to the each Board an amended Schedule A at the end of the calendar quarter in which an amendment to such Schedule has occurred. The Foreign Custody Manager shall make written reports notifying the each Board of any other material change in the foreign custody arrangements of the Portfolios described in this Section 3.2 after the occurrence of the material change.
Appears in 28 contracts
Sources: Master Custodian Contract (Aim Variable Insurance Funds (Invesco Variable Insurance Funds)), Master Custodian Contract (Aim Counselor Series Trust (Invesco Counselor Series Trust)), Master Custodian Contract (Invesco High Income 2024 Target Term Fund)
Reporting Requirements. The Foreign Custody Manager shall report the withdrawal of the Foreign Assets from an Eligible Foreign Custodian and the placement of such Foreign Assets with another Eligible Foreign Custodian by providing to the Board an amended Schedule A at the end of the each calendar quarter in which an amendment to such Schedule has occurred. The Foreign Custody Manager shall make written reports notifying the Board of any other material change in the foreign custody arrangements of the Portfolios described in this Section 3.2 reasonably promptly after the occurrence of the material change.
Appears in 23 contracts
Sources: Master Custodian Agreement (Putnam Pennsylvania Tax Exempt Income Fund), Master Custodian Agreement (Putnam Variable Trust), Master Custodian Agreement (Putnam ETF Trust)
Reporting Requirements. The Foreign Custody Manager shall report the withdrawal of the Foreign Assets from an Eligible Foreign Custodian and the placement of such Foreign Assets with another Eligible Foreign Custodian by providing to the Board an of Trustees amended Schedule Schedules A or B at the end of the calendar quarter in which an amendment to such either Schedule has occurred. The Foreign Custody Manager shall make written reports notifying the Board of Trustees of any other material change in the foreign custody arrangements of the Portfolios described in this Section 3.2 Article 3 after the occurrence of the material change.
Appears in 23 contracts
Sources: Custodian Agreement (American Beacon Select Funds), Custodian Agreement (Evergreen Municipal Trust /De/), Custodian Agreement (Evergreen Municipal Trust /De/)
Reporting Requirements. The Foreign Custody Manager shall report the withdrawal of the Foreign Assets from an Eligible Foreign Custodian and the placement of such Foreign Assets with another Eligible Foreign Custodian by providing to the Board an amended Schedule Schedules A or B at the end of the calendar quarter in which an amendment to such either Schedule has occurred. The Foreign Custody Manager shall make written reports notifying the Board of any other material change in the foreign custody arrangements of the Portfolios described in this Section 3.2 3 after the occurrence of the material change.
Appears in 19 contracts
Sources: Custodian Agreement (Security Equity Fund), Custodian Agreement (Security Equity Fund), Custodian Agreement (White Elk Funds)
Reporting Requirements. The Foreign Custody Manager shall report the withdrawal of the Foreign Assets from an Eligible Foreign Custodian and the placement of such Foreign Assets with another Eligible Foreign Custodian by providing to the Board an amended Schedule A at the end of the calendar quarter in which an amendment to such Schedule has occurred. The Foreign Custody Manager shall make written reports notifying the Board of any other material change in the foreign custody arrangements of the Portfolios Fund described in this Section 3.2 after the occurrence of the material changechange as required by Rule 17f-5(b)(2).
Appears in 16 contracts
Sources: Custodian Agreement (Tekla World Healthcare Fund), Custodian Agreement (Tekla Healthcare Opportunities Fund), Custodian Agreement (H&q Healthcare Investors)
Reporting Requirements. The Foreign Custody Manager shall report the withdrawal of the Foreign Assets from an Eligible Foreign Custodian and the placement of such Foreign Assets with another Eligible Foreign Custodian not previously reported to the Board by providing to the Board an amended Schedule A at the end of the calendar quarter in which an amendment to such Schedule has occurred. The Foreign Custody Manager shall make written reports notifying the Board of any other material change in the foreign custody arrangements of the Portfolios described in this Section 3.2 after the occurrence of the material change.
Appears in 15 contracts
Sources: Custodian and Investment Accounting Agreement (Voya FUNDS TRUST), Custodian and Investment Accounting Agreement (Ing Funds Trust), Custodian and Investment Accounting Agreement (Aetna Income Shares)
Reporting Requirements. The Foreign Custody Manager shall report the withdrawal of the Foreign Assets from an Eligible Foreign Custodian and the placement of such Foreign Assets with another Eligible Foreign Custodian by providing to the Board an amended Schedule A at the end of the calendar quarter in which an amendment to such Schedule has occurred. The Foreign Custody Manager shall make written reports notifying the Board of any other material change in the foreign custody arrangements of the Portfolios Company described in this Section 3.2 after the occurrence of the material change.
Appears in 13 contracts
Sources: Custodian Agreement (KKR FS Income Trust Select), Master Custodian Agreement (TCG BDC II, Inc.), Custodian Agreement (TCG Bdc, Inc.)
Reporting Requirements. The Foreign Custody Manager shall report the withdrawal of the Foreign Assets from an Eligible Foreign Custodian and the placement of such Foreign Assets with another Eligible Foreign Custodian by providing to the Board an amended Schedule A at the end of the calendar quarter in which an amendment to such Schedule has occurred. The Foreign Custody Manager shall make written quarterly reports notifying the Board of any other material change in the foreign custody arrangements of the Portfolios Fund described in this Section 3.2 4.2 after the occurrence of the material change.
Appears in 12 contracts
Sources: Custodian and Investment Accounting Agreement (Pimco High Income Fund), Custodian and Investment Accounting Agreement (Pimco Income Strategy Fund), Custodian and Investment Accounting Agreement (PIMCO Income Strategy Fund II)
Reporting Requirements. The Foreign Custody Manager shall (a) report the withdrawal of the Foreign Assets from an Eligible Foreign Custodian and the placement of such Foreign Assets with another Eligible Foreign Custodian by providing making available to the Board Fund an amended Schedule A at the end of the calendar quarter in which an amendment to such Schedule the action has occurred. The Foreign Custody Manager shall make written reports notifying , and (b) after the Board occurrence of any other material change in the foreign custody arrangements of the Portfolios described in this Section 3.2 after 4.2, make a written report to the occurrence Board containing a notification of the material change.
Appears in 12 contracts
Sources: Master Custodian Agreement (BlackRock 2037 Municipal Target Term Trust), Master Custodian Agreement (Blackrock Municipal Income Fund, Inc.), Master Custodian Agreement (BlackRock Private Investments Fund)
Reporting Requirements. The Foreign Custody Manager shall (a) report the withdrawal of the Foreign Assets from an Eligible Foreign Custodian and the placement of such Foreign Assets with another Eligible Foreign Custodian by providing to the Fund’s Board an amended Schedule A at the end of the calendar quarter in which an amendment to such Schedule the action has occurred. The Foreign Custody Manager shall make written reports notifying , and (b) after the Board occurrence of any other material change in the foreign custody arrangements of the Portfolios Fund described in this Section 3.2 after 4.2, make a written report to the occurrence Board containing a notification of the material change.
Appears in 11 contracts
Sources: Custodian Agreement (New Mountain Guardian IV Income Fund, L.L.C.), Custodian Agreement (New Mountain Guardian IV Unlevered BDC, L.L.C.), Custodian Agreement (Silver Spike Investment Corp.)
Reporting Requirements. The Foreign Custody Manager shall report the withdrawal of the Foreign Assets from an Eligible Foreign Custodian and or the placement of such Foreign Assets with another an Eligible Foreign Custodian not previously reported to the Board by providing to the Board an amended Schedule A at the end of the calendar quarter in which an amendment to such Schedule has occurred. The Foreign Custody Manager shall make written reports notifying the Board of any other material change in the foreign custody arrangements of the Portfolios described in this Section 3.2 after the occurrence of the material change.
Appears in 11 contracts
Sources: Custodian Contract (State Street Research Equity Trust), Custodian Contract (State Street Research Master Investment Trust), Custodian Contract (State Street Research Income Trust)
Reporting Requirements. The Foreign Custody Manager shall report the withdrawal of the Foreign Assets from an Eligible Foreign Custodian and the placement of such Foreign Assets with another Eligible Foreign Custodian by providing to the Board an amended Schedule A at the end of the calendar quarter in which an amendment to such Schedule has occurred. The Foreign Custody Manager shall make written reports notifying the Board and the investment adviser of any other material change in the foreign custody arrangements of the Portfolios Fund described in this Section 3.2 after the occurrence of the material change.
Appears in 11 contracts
Sources: Master Custodian Agreement (Sunamerica Income Funds), Master Custodian Agreement (Sunamerica Money Market Funds Inc), Master Custodian Agreement (Sunamerica Equity Funds)
Reporting Requirements. The Foreign Custody Manager shall report the withdrawal of the Foreign Assets from an Eligible Foreign Custodian and the placement of such Foreign Assets with another Eligible Foreign Custodian by providing to the Board an amended Schedule A at the end of the calendar quarter in which an amendment to such Schedule has occurred. The Foreign Custody Manager shall make written reports notifying the Board of any other material change in the foreign custody arrangements of the Portfolios Funds described in this Section 3.2 after the occurrence of the material change.
Appears in 11 contracts
Sources: Master Custodian Agreement (FS Multi-Alternative Income Fund), Master Custodian Agreement (FS Series Trust), Master Custodian Agreement (FS Series Trust)
Reporting Requirements. The Foreign Custody Manager shall report ---------------------- the withdrawal of the Foreign Assets from an Eligible Foreign Custodian and the placement of such Foreign Assets with another Eligible Foreign Custodian by providing to the Board an amended Schedule A at the end of the calendar quarter in which an amendment to such Schedule has occurred. The Foreign Custody Manager shall make written reports notifying the Board of any other material change in the foreign custody arrangements of the Portfolios described in this Section 3.2 after the occurrence of the material change.
Appears in 10 contracts
Sources: Custodian Contract (Cigna Funds Group), Custodian Contract (North American Funds), Custodian Contract (Safeco Managed Bond Trust)
Reporting Requirements. The Foreign Custody Manager shall report the withdrawal of the Foreign Assets from an Eligible Foreign Custodian and the placement of such Foreign Assets with another Eligible Foreign Custodian by providing to the Board an amended Schedule A at the end of the calendar quarter in which an amendment to such Schedule has occurred. The Foreign Custody Manager shall make written reports notifying the Board of any other material change in the foreign custody arrangements of the Portfolios described in this Section 3.2 within a reasonable time after the occurrence of the material change.
Appears in 10 contracts
Sources: Custodian Contract (Janus Aspen Series), Custodian Contract (Janus Investment Fund), Custodian Contract (Clayton Street Trust)
Reporting Requirements. The Foreign Custody Manager shall report the withdrawal of the Foreign Assets from an Eligible Foreign Custodian and the placement of such Foreign Assets with another Eligible Foreign Custodian by providing to the Board an amended Schedule A at the end of the calendar quarter in which an amendment to such Schedule has occurredoccurred or at such other times as reasonably requested by the Board. The Foreign Custody Manager shall make written reports notifying the Board of any other material change in the foreign custody arrangements of the Portfolios described in this Section 3.2 after the occurrence of the material change.
Appears in 10 contracts
Sources: Master Custodian Agreement (Jackson Real Assets Fund), Master Custodian Agreement (Jackson Credit Opportunities Fund), Master Custodian Agreement (JNL Series Trust)
Reporting Requirements. The Foreign Custody Manager shall report the withdrawal of the Foreign Assets from an Eligible Foreign Custodian and the placement of such Foreign Assets with another Eligible Foreign Custodian by providing to the applicable Board an amended Schedule A at the end of the calendar quarter in which an amendment to such Schedule has occurred. The Foreign Custody Manager shall make written quarterly reports notifying the Board of any other material change in the foreign custody arrangements of the Portfolios described in this Section 3.2 3.Q after the occurrence of the material change.
Appears in 9 contracts
Sources: Custody and Investment Accounting Agreement (PIMCO California Flexible Municipal Income Fund), Custody and Investment Accounting Agreement (PIMCO Access Income Fund), Custody and Investment Accounting Agreement (PIMCO Flexible Emerging Markets Income Fund)
Reporting Requirements. The Foreign Custody Manager shall report the withdrawal of the Foreign Assets from an Eligible Foreign Custodian and the placement of such Foreign Assets with another Eligible Foreign Custodian by providing to the Board an amended Schedule Schedules A or B at the end of the calendar quarter in which an amendment to such either Schedule has occurred. The Foreign Custody Manager shall make written reports notifying the Board of any other material change in the foreign custody arrangements of the Portfolios a Portfolio described in this Section 3.2 Article 3 after the occurrence of the material change.
Appears in 9 contracts
Sources: Custodian Contract (Northstar NWNL Trust), Custodian Contract (Northstar Advantage Growth Fund), Custodian Contract (Northstar Advantage Special Fund)
Reporting Requirements. The Foreign Custody Manager shall (a) report the withdrawal of the Foreign Assets from an Eligible Foreign Custodian and the placement of such Foreign Assets with another Eligible Foreign Custodian by providing to the a Fund’s Board an amended Schedule A at the end of the calendar quarter in which an amendment to such Schedule the action has occurred. The Foreign Custody Manager shall make written reports notifying , and (b) after the Board occurrence of any other material change in the foreign custody arrangements of the Portfolios Funds described in this Section 3.2 after 4.2, make a written report to the occurrence Board containing a notification of the material change.
Appears in 7 contracts
Sources: Master Custodian Agreement (North Haven Private Income Fund LLC), Master Custodian Agreement (T Series Middle Market Loan Fund LLC), Master Custodian Agreement (SL Investment Corp.)
Reporting Requirements. The Foreign Custody Manager shall report the withdrawal of the Foreign Assets from an Eligible Foreign Custodian and the placement of such Foreign Assets with another Eligible Foreign Custodian by providing to the Board an amended Schedule A at the end of the calendar quarter in which an amendment to such Schedule has occurred. The Foreign Custody Manager shall make written reports notifying the Board of any other material change in the foreign custody arrangements of the Portfolios described in this Section 3.2 4.2 after the occurrence of the material change.
Appears in 7 contracts
Sources: Custody Agreement (Seligman Municipal Series Trust), Custody Agreement (Seligman New Jersey Municipal Fund Inc), Custody Agreement (Seligman Frontier Fund Inc)
Reporting Requirements. The Foreign Custody Manager shall (a) report the withdrawal of the Foreign Assets from an Eligible Foreign Custodian and the placement of such Foreign Assets with another Eligible Foreign Custodian by providing to the a Fund’s Board an amended Schedule A at the end of the calendar quarter in which an amendment to such Schedule the action has occurred. The Foreign Custody Manager shall make written reports notifying , and (b) after the Board occurrence of any other material change in the foreign custody arrangements of the Portfolios described in this Section 3.2 after 4.2, make a written report to the occurrence Board containing a notification of the material change.
Appears in 6 contracts
Sources: Master Custodian Agreement (Aim Sector Funds (Invesco Sector Funds)), Master Custodian Agreement (Aim Tax-Exempt Funds (Invesco Tax-Exempt Funds)), Master Custodian Agreement (Invesco Senior Loan Fund)
Reporting Requirements. The Foreign Custody Manager shall report the withdrawal of the Foreign Assets from an Eligible Foreign Custodian and the placement of such Foreign Assets with another Eligible Foreign Custodian by providing to the Board an amended Schedule A at the end of the calendar quarter in which an amendment to such Schedule has occurred. The Foreign Custody Manager shall make reasonably prompt written reports notifying the Board of any other material change in the foreign custody arrangements of the Portfolios described in this Section 3.2 after the occurrence of the material change.
Appears in 6 contracts
Sources: Master Custodian Agreement (Schwab Strategic Trust), Master Custodian Agreement (Schwab Capital Trust), Master Custodian Agreement (Forward Funds)
Reporting Requirements. The Foreign Custody Manager shall will (i) report the withdrawal of the Foreign Assets from an Eligible Foreign Custodian and the placement of such Foreign Assets with another Eligible Foreign Custodian by providing to the Board Client an amended updated Schedule A at the end of the calendar quarter in which an amendment to such Schedule the action has occurred. The Foreign Custody Manager shall make written reports notifying , and (ii) after the Board occurrence of any other material change by the Foreign Custody Manager in the foreign custody arrangements of the Portfolios described in this Section 3.2 after Client, make a written report available to the occurrence Client containing a notification of the material change.
Appears in 6 contracts
Sources: Custody Agreement (Cohen & Steers ETF Trust), Custody Agreement (Northern Lights Fund Trust IV), Custody Agreement (MassMutual Access Pine Point Fund)
Reporting Requirements. The Foreign Custody Manager shall report the withdrawal of the Foreign Assets from an Eligible Foreign Custodian and the placement of such Foreign Assets with another Eligible Foreign Custodian by providing to the Board an amended Schedule A at the end of the calendar quarter in which an amendment to such Schedule has occurred. The Foreign Custody Manager shall make written reports notifying the Board of any other material change in the foreign custody arrangements of the Portfolios described in this Section 3.2 reasonably promptly after the occurrence of the material change.
Appears in 6 contracts
Sources: Master Custodian Agreement (Aberdeen Standard Global Infrastructure Income Fund), Master Custodian Agreement (Aberdeen Income Credit Strategies Fund), Master Custodian Agreement (Aberdeen Greater China Fund, Inc.)
Reporting Requirements. The Foreign Custody Manager ---------------------- shall report the withdrawal of the Foreign Assets from an Eligible Foreign Custodian and the placement of such Foreign Assets with another Eligible Foreign Custodian by providing to the Board an amended Schedule A at the end of the calendar quarter in which an amendment to such Schedule has occurred. The Foreign Custody Manager shall make written reports notifying the Board of any other material change in the foreign custody arrangements of the Portfolios described in this Section 3.2 after the occurrence of the material change.
Appears in 5 contracts
Sources: Master Custodian Agreement (Smith Barney Intermediate Municipal Fund Inc), Custodian Agreement (General American Capital Co), Master Custodian Agreement (Smith Barney Investment Funds Inc /Md/)
Reporting Requirements. The Foreign Custody Manager shall report the withdrawal of the Foreign Assets from an Eligible Foreign Custodian and the placement of such Foreign Assets with another Eligible Foreign Custodian by providing to the Board an amended Schedule Schedules A or B at the end of the calendar quarter in which an amendment to such either Schedule has occurred. The Foreign Custody Manager shall make written reports notifying the Board of any other material change in the foreign custody arrangements of the Portfolios Fund described in this Section 3.2 3 after the occurrence of the material change.
Appears in 5 contracts
Sources: Custodian Agreement (Davis Variable Account Fund Inc), Custodian Agreement (Mevc Draper Fisher Jurveston Fund I Inc), Custodian Agreement (Warburg Pincus Intern Small Co Fd Inc)
Reporting Requirements. The Foreign Custody Manager shall ---------------------- report the withdrawal of the Foreign Assets from an Eligible Foreign Custodian and the placement of such Foreign Assets with another Eligible Foreign Custodian by providing to the Board an amended Schedule A at the end of the calendar quarter in which an amendment to such Schedule has occurred. The Foreign Custody Manager shall make written reports notifying the Board of any other material change in the foreign custody arrangements of the Portfolios described in this Section 3.2 after the occurrence of the material change.
Appears in 5 contracts
Sources: Custodian and Remote Access Agreement (J&b Funds), Custodian and Remote Access Agreement (J&b Funds), Custodian Agreement (One Group Investment Trust)
Reporting Requirements. The Foreign Custody Manager shall report the withdrawal of the Non-Chase Foreign Assets from an Eligible Foreign Custodian and the placement of such Non-Chase Foreign Assets with another Eligible Foreign Custodian by providing to the Board an amended Schedule A at the end of the calendar quarter in which an amendment to such Schedule has occurred. The Foreign Custody Manager shall make written reports notifying the Board of any other material change in the foreign custody arrangements of the Non-Chase Foreign Assets of the Portfolios described in this Section 3.2 after the occurrence of the material change.
Appears in 5 contracts
Sources: Custodian Agreement (Evergreen Fixed Income Trust /De/), Custodian Agreement (Evergreen Select Equity Trust), Custodian Agreement (Evergreen Variable Annuity Trust /De/)
Reporting Requirements. The Foreign Custody Manager shall report the withdrawal of the Foreign Assets from an Eligible Foreign Custodian and the placement of such Foreign Assets with another Eligible Foreign Custodian by providing to the Board an amended Schedule A at the end of the calendar quarter in which an amendment to such Schedule has occurred. The Foreign Custody Manager shall make written reports notifying the Board of any other material change in the foreign custody arrangements of the Portfolios described in this Section 3.2 promptly after the occurrence of the material change.
Appears in 4 contracts
Sources: Master Custodian Agreement (Tiaa Separate Account Va 1), Master Custodian Agreement (Tiaa Cref Institutional Mutual Funds), Master Custodian Agreement (College Retirement Equities Fund)
Reporting Requirements. The Foreign Custody Manager shall report the withdrawal of the Foreign Assets from an Eligible Foreign Custodian and the placement of such Foreign Assets with another Eligible Foreign Custodian by providing to the Board of Directors an amended Schedule A at the end of the calendar quarter in which an amendment to such Schedule has occurred. The Foreign Custody Manager shall make written reports notifying the Board of Directors of any other material change in the foreign custody arrangements of the Portfolios Fund described in this Section 3.2 as soon as is reasonably practicable after the occurrence of the material change.
Appears in 4 contracts
Sources: Custodian Contract (Royce Fund), Custodian Contract (Royce Micro Cap Trust Inc /Md/), Custodian Contract (Royce Focus Trust Inc)
Reporting Requirements. The Foreign Custody Manager shall report the placement and withdrawal of the Foreign Assets with and from an Eligible Foreign Custodian and the placement of such Foreign Assets with another Eligible Foreign Custodian by providing to the Board an amended Schedule A at the end of the calendar quarter in which an amendment to such Schedule has occurred. The Foreign Custody Manager shall make written reports notifying the Board of any other material change in the foreign custody arrangements of the Portfolios Fund described in this Section 3.2 after the occurrence of the material change.
Appears in 4 contracts
Sources: Custodian Agreement (Clough Global Opportunities Fund), Custodian Agreement (Clough Global Equity Fund), Custodian Agreement (Clough Global Dividend & Income Fund)
Reporting Requirements. The Foreign Custody Manager shall report the withdrawal of the Foreign Assets from an Eligible any Foreign Sub-Custodian and the placement of such Foreign Assets with another Eligible Foreign Sub-Custodian by providing to the Board an amended Schedule SCHEDULE A at the end of the calendar quarter in which an amendment to such Schedule schedule has occurred. The Foreign Custody Manager shall make reasonably prompt written reports notifying to the Board of any other material change in the foreign custody arrangements of the Portfolios described in this Section 3.2 4 after the occurrence of the material change.
Appears in 4 contracts
Sources: Custodian Services Agreement (Citifunds Institutional Trust), Custodian Services Agreement (Institutional Portfolio), Custodian Services Agreement (Citifunds Trust Iii)
Reporting Requirements. The Foreign Custody Manager shall ---------------------- report the withdrawal of the Foreign Assets from an Eligible Foreign Custodian and the placement of such Foreign Assets with another Eligible Foreign Custodian by providing to the Board an amended Schedule Schedules A or B at the end of the calendar quarter in which an amendment to such either Schedule has occurred. The Foreign Custody Manager shall make written reports notifying the Board of any other material change in the foreign custody arrangements of the Portfolios described in this Section 3.2 3 after the occurrence of the material change.
Appears in 4 contracts
Sources: Custodian Agreement (Holland Series Fund Inc), Custodian Agreement (Security Capital U S Real Estate Shares Inc), Custodian Agreement (Security Capital U S Real Estate Shares Inc)
Reporting Requirements. The Foreign Custody Manager shall report the withdrawal of the Foreign Assets from an Eligible Foreign Custodian and the placement of such Foreign Assets with another Eligible Foreign Custodian by providing to the Board an amended Schedule A at the end of the calendar quarter in which an amendment to such Schedule has occurred. The Foreign Custody Manager shall make written quarterly reports notifying the Board of any other material change in the foreign custody arrangements of the Portfolios described in this Section 3.2 3 after the occurrence of the material change.
Appears in 4 contracts
Sources: Custodian Agreement (Security Equity Fund), Custodian Agreement (Security Equity Fund), Custodian Agreement (Security Equity Fund)
Reporting Requirements. The Foreign Custody Manager shall report the withdrawal of the Foreign Assets from an Eligible Foreign Custodian and the placement of such Foreign Assets with another Eligible Foreign Custodian by providing to the Board an amended Schedule Appendix A at the end of the calendar quarter in which an amendment to such Schedule Appendix has occurred. The Foreign Custody Manager shall make written reports notifying the Board of any other material change in the foreign custody arrangements of the Portfolios Client described in this Section 3.2 1.2 after the occurrence of the material change.
Appears in 4 contracts
Sources: Custody Agreement (Lincoln National Capital Appreciation Fund Inc), Custody Agreement (Lincoln National Aggressive Growth Fund Inc), Custody Agreement (Lincoln National Variable Annuity Fund A)
Reporting Requirements. The Foreign Custody Manager shall report the withdrawal of the Foreign Assets from an Eligible Foreign Custodian and the placement of such Foreign Assets with another Eligible Foreign Custodian by providing to the Board an amended Schedule A at the end of the calendar quarter in which an amendment to such Schedule has occurred. The Foreign Custody Manager shall make written quarterly reports notifying the Board of any other material change in the foreign custody arrangements of the Portfolios Fund described in this Section 3.2 after the occurrence of the material change.
Appears in 4 contracts
Sources: Custodian Agreement (Korea Fund Inc), Custodian Agreement (PIMCO Dynamic Income Fund), Custodian Agreement (PIMCO Dynamic Credit Income Fund)
Reporting Requirements. The Foreign Custody Manager shall report the withdrawal of the Foreign Assets from an Eligible Foreign Custodian and the placement of such Foreign Assets with another Eligible Foreign Custodian by providing to the Board an amended Schedule A at the end of the calendar quarter in which an amendment to such Schedule has occurred. The Foreign Custody Manager shall make written quarterly reports notifying the Board of any other material change in the foreign custody arrangements of the Portfolios Trust described in this Section 3.2 4.2 after the occurrence of the material change.. State Street: Limited Access
Appears in 4 contracts
Sources: Custodian Agreement (AllianzGI Artificial Intelligence & Technology Opportunities Fund), Custodian Agreement (AllianzGI Convertible & Income Fund), Custodian Agreement (AllianzGI Convertible & Income Fund II)
Reporting Requirements. The Foreign Custody Manager shall report the withdrawal of the Foreign Assets from an Eligible Foreign Custodian and the placement of such Foreign Assets with another Eligible Foreign Custodian by providing to the Board an amended Schedule A or B at the end of the calendar quarter in which an amendment to such either Schedule has occurred. The Foreign Custody Manager shall make written reports notifying the Board of any other material change in the foreign custody arrangements of the Portfolios Fund described in this Section 3.2 3 after the occurrence of the material change.
Appears in 3 contracts
Sources: Custodian Agreement (RMK Advantage Income Fund, Inc.), Custodian Agreement (RMK Multi-Sector High Income Fund Inc), Custodian Agreement (RMK Strategic Income Fund Inc)
Reporting Requirements. The Foreign Custody Manager shall report the withdrawal of the Foreign Assets from an Eligible Foreign Custodian and the placement of such Foreign Assets with another Eligible Foreign Custodian by providing to the Board an amended Schedule A at the end of the calendar quarter in which an amendment to such Schedule has occurred. The Foreign Custody Manager shall make written reports notifying the Board of any other material change in the foreign custody arrangements of the Portfolios described in this Section 3.2 after the occurrence of the material change, as required by Rule 17f-5(b)(2).
Appears in 3 contracts
Sources: Master Custodian Contract (Munder Series Trust), Custodian Contract (Preferred Group of Mutual Funds), Master Custodian Contract (Munder Funds Inc)
Reporting Requirements. The Foreign Custody Manager shall report the withdrawal of the Foreign Assets from an Eligible Foreign Custodian and the placement of such Foreign Assets with another Eligible Foreign Custodian by providing to the Board an amended Schedule Schedules A or B at the end of the calendar quarter in which an amendment to such either Schedule has occurred. The Foreign Custody Manager shall make written reports notifying the Board of any other material change in the foreign custody arrangements of the Portfolios described in this Section 3.2 Article 3 reasonably promptly after the occurrence of the material change.
Appears in 3 contracts
Sources: Custodian Contract (RS Variable Products Trust), Custodian Contract (Rs Investment Trust), Custodian Contract (RS Variable Products Trust)
Reporting Requirements. The Foreign Custody Manager shall report the withdrawal of the Foreign Assets from an Eligible Foreign Custodian and the placement of such Foreign Assets with another Eligible Foreign Custodian by providing to the Board an amended Schedule A at the end of the calendar quarter in which an amendment to such Schedule has occurred. The Foreign Custody Manager shall make written reports notifying the Board of any other material change in the foreign custody arrangements of the Portfolios Company described in this Section 3.2 after the occurrence of the material change.. Information Classification: Limited Access
Appears in 3 contracts
Sources: Custodian Agreement (New FS Specialty Lending Fund), Custodian Agreement (New FS Specialty Lending Fund), Custodian Agreement (KKR FS Income Trust)
Reporting Requirements. The Foreign Custody Manager shall report the withdrawal of the Foreign Assets from an Eligible Foreign Custodian and the placement of such Foreign Assets with another Eligible Foreign Custodian by providing to the Board an of Directors amended Schedule Schedules A or B at the end of the calendar quarter in which an amendment to such either Schedule has occurred. The Foreign Custody Manager shall make written reports notifying the Board of Directors of any other material change in the foreign custody arrangements of the Portfolios described in this Section 3.2 Article 3 after the occurrence of the material change.
Appears in 3 contracts
Sources: Custodian Contract (Munder Funds Inc), Custodian Contract (St Clair Funds Inc), Custodian Contract (St Clair Funds Inc)
Reporting Requirements. The Foreign Custody Manager shall will (i) report the withdrawal of the Foreign Assets from an Eligible Foreign Custodian and the placement of such Foreign Assets with another Eligible Foreign Custodian by providing to the Board Client an amended updated Schedule A at the end of the calendar quarter in which an amendment to such Schedule the action has occurred. The Foreign Custody Manager shall make written reports notifying , and (ii) after the Board occurrence of any other material change in the foreign custody arrangements of the Portfolios described in this Section 3.2 after Client, make a written report available to the occurrence Client containing a notification of the material change.. Information Classification: Limited Access
Appears in 3 contracts
Sources: Custody Agreement (Russell Investments Strategic Credit Fund), Custody Agreement (Russell Investments Exchange Traded Funds), Custody Agreement (2023 ETF Series Trust II)
Reporting Requirements. The Foreign Custody Manager shall report the withdrawal of the Foreign Assets of a Series from an Eligible a Selected Foreign Custodian and the placement of such Foreign Assets with another Eligible Selected Foreign Custodian by providing to the applicable Board an amended Schedule A C at the end of the calendar quarter in which an amendment to such Schedule C has occurred. The Foreign Custody Manager shall make written reports notifying the applicable Board of any other material change in the foreign custody arrangements of the Portfolios a Fund described in this Section 3.2 promptly after the occurrence of the material change.
Appears in 2 contracts
Sources: Master Custodian Agreement (Elfun Income Fund), Master Custodian Agreement (Ge Institutional Funds)
Reporting Requirements. The Foreign Custody Manager shall report the withdrawal of the Foreign Assets from an Eligible Foreign Custodian and the placement of such Foreign Assets with another Eligible Foreign Custodian by providing to the Board an amended Schedule A at the end of the calendar quarter in which an amendment to such Schedule has occurred. The Foreign Custody Manager shall make written reports notifying the Board of any other material change in the foreign custody arrangements of the Portfolios such Fund described in this Section 3.2 after the occurrence of the material change.
Appears in 2 contracts
Sources: Master Custodian Agreement (Ironwood Institutional Multi-Strategy Fund LLC), Master Custodian Agreement (Ironwood Multi-Strategy Fund LLC)
Reporting Requirements. The Foreign Custody Manager shall report the withdrawal of the Foreign Assets from an Eligible Foreign Custodian and the placement of such Foreign Assets with another Eligible Foreign Custodian by providing to the Board an amended Schedule A at the end of the each calendar quarter in which an amendment to such Schedule has occurred. The Foreign Custody Manager shall make written reports notifying the Board of any other material change in the foreign custody arrangements of the Portfolios described in this Section 3.2 after the occurrence of the material change.
Appears in 2 contracts
Sources: Master Custodian Agreement (RS Variable Products Trust), Master Custodian Agreement (Rs Investment Trust)
Reporting Requirements. The Foreign Custody Manager shall report the withdrawal of the Foreign Assets from an Eligible Foreign Custodian and the placement of such Foreign Assets with another Eligible Foreign Custodian by providing to the Board an amended Schedule A at the end of the calendar quarter in which an amendment to such Schedule has occurred. The Foreign Custody Manager shall make written quarterly reports notifying the Board of any other material change in the foreign custody arrangements of the Portfolios Trust described in this Section 3.2 4.2 after the occurrence of the material change.
Appears in 2 contracts
Sources: Custodian Agreement (AllianzGI Institutional Multi-Series Trust), Custodian and Investment Accounting Agreement (Allianz Funds Multi-Strategy Trust)
Reporting Requirements. The Foreign Custody Manager shall report the withdrawal of the Foreign Assets from an Eligible Foreign Custodian and the placement of such Foreign Assets with another Eligible Foreign Custodian by providing to the Board an amended Schedule A at the end of the calendar quarter in which an amendment to such Schedule has occurred. The Foreign Custody Manager shall make written reports notifying the Board of any other material change in the foreign custody arrangements of the Portfolios described in this Section 3.2 after the occurrence of the material change.has
Appears in 2 contracts
Sources: Custodian Contract (North American Funds Variable Product Series Ii), Custodian Contract (North American Funds Variable Product Series Co I)
Reporting Requirements. The Foreign Custody Manager shall ---------------------- report the withdrawal of the Foreign Assets from an Eligible Foreign Custodian and the placement of such Foreign Assets with another Eligible Foreign Custodian by providing to the Board an amended Schedule A at the end of the calendar quarter in which an amendment to such Schedule has occurred. The Foreign Custody Manager shall make written reports notifying the Board of any other material change in the foreign custody arrangements of the Portfolios Partnership described in this Section 3.2 after the occurrence of the material change.
Appears in 2 contracts
Sources: Custodian Agreement (Morgan Stanley Institutional Fund of Hedge Funds Lp), Custodian Agreement (Morgan Stanley Institutional Fund of Hedge Funds Lp)
Reporting Requirements. The Foreign Custody Manager shall report the withdrawal of the Foreign Assets from an Eligible Foreign Custodian and the placement of such Foreign Assets with another Eligible Foreign Custodian by providing to the Board Boards an amended Schedule A at the end of the calendar quarter in which an amendment to such Schedule has occurred. The Foreign Custody Manager shall make written reports notifying the Board Boards of any other material change in the foreign custody arrangements of the Portfolios described in this Section 3.2 after the occurrence of the material change.
Appears in 2 contracts
Sources: Master Custodian Agreement (Carlyle Select Trust), Custodian Contract (Fortis Equity Portfolios Inc)
Reporting Requirements. The Foreign Custody Manager shall report the withdrawal of the Foreign Assets from an Eligible Foreign Custodian and the placement of such Foreign Assets with another Eligible Foreign Custodian by providing to the Board an amended Schedule A at the end of the calendar quarter in which an amendment to such Schedule has occurred. The Foreign Custody Manager shall make written quarterly reports notifying the Board of any other material change in the foreign custody arrangements of the Portfolios described in this Section 3.2 3.Q after the occurrence of the material change.
Appears in 2 contracts
Sources: Custody and Investment Accounting Agreement (PIMCO Equity Series VIT), Custody and Investment Accounting Agreement (Pimco Variable Insurance Trust)
Reporting Requirements. The Foreign Custody Manager shall report the withdrawal of the Foreign Assets from an Eligible Foreign Custodian and the placement of such Foreign Assets with another Eligible Foreign Custodian by providing to the Board an amended Schedule A Exhibit B at the end of the calendar quarter in which an amendment to such Schedule has occurred. The Foreign Custody Manager shall make written reports notifying the Board of any other material change in the foreign custody arrangements of the Portfolios described in this Section 3.2 3.Q after the occurrence of the material change.
Appears in 2 contracts
Sources: Custody Agreement (Seligman Tax Aware Fund Inc), Custody, Investment Accounting and Data Access Agreement (Seligman Investment Grade Fixed Income Fund Inc)
Reporting Requirements. The Foreign Custody Manager shall report the ---------------------- withdrawal of the Foreign Assets from an Eligible Foreign Custodian and the placement of such Foreign Assets with another Eligible Foreign Custodian by providing to the Board an amended Schedule A at the end of the calendar quarter in which an amendment to such Schedule has occurred. The Foreign Custody Manager shall make written quarterly reports notifying the Board of any other material change in the foreign custody arrangements of the Portfolios Fund described in this Section 3.2 4.2 after the occurrence of the material change.
Appears in 2 contracts
Sources: Custodian and Investment Accounting Agreement (Pimco Corporate Opportunity Fund), Custodian and Investment Accounting Agreement (Pimco Corporate Income Fund)
Reporting Requirements. The Foreign Custody Manager shall report the withdrawal of the Foreign Assets from an Eligible Foreign Custodian and the placement of such Foreign Assets with another Eligible Foreign Custodian by providing to the Board an amended Schedule A at the end of the calendar quarter in which an amendment to such Schedule has occurred. The Foreign Custody Manager shall make written quarterly reports notifying the Board of any other material change in the foreign custody arrangements of the Portfolios Portfolio described in this Section 3.2 3.Q after the occurrence of the material change.
Appears in 2 contracts
Sources: Custody and Investment Accounting Agreement (Fixed Income Shares), Custody and Investment Accounting Agreement (Fixed Income Shares)
Reporting Requirements. The Foreign Custody Manager shall report the withdrawal of the Foreign Assets from an Eligible Foreign Custodian and the placement of such Foreign Assets with another Eligible Foreign Custodian by providing to the Board an amended Schedule Schedules A or B at the end of the calendar quarter in which an amendment to such either Schedule has occurred. The Foreign Custody Manager shall make written reports notifying the Board of any other material change in the foreign custody arrangements of the Portfolios Fund described in this Section 3.2 Article 3 after the occurrence of the material change.
Appears in 2 contracts
Sources: Custodian Contract (Royce Fund), Custodian Contract (Royce Value Trust Inc)
Reporting Requirements. The Foreign Custody Manager shall report the withdrawal of the Foreign Assets from an Eligible Foreign Custodian and the placement of such Foreign Assets with another Eligible Foreign Custodian by providing to the Board an amended Schedule Schedules A or B at the end of the calendar quarter in which an amendment to such either Schedule has occurred. The Foreign Custody Manager shall make written reports notifying the Board of any other material change in the foreign custody arrangements of the Portfolios Fund described in this Section 3.2 Article 3 reasonably promptly after the occurrence of the material change.
Appears in 2 contracts
Sources: Custodian Contract (RS Variable Products Trust), Custodian Contract (RS Variable Products Trust)
Reporting Requirements. The Foreign Custody Manager shall (a) report the withdrawal of the Foreign Assets from an Eligible Foreign Custodian and the placement of such Foreign Assets with another Eligible Foreign Custodian by providing to the Fund's Board an amended Schedule A at the end of the calendar quarter in which an amendment to such Schedule the action has occurred. The Foreign Custody Manager shall make written reports notifying , and (b) after the Board occurrence of any other material change in the foreign custody arrangements of the Portfolios described in this Section 3.2 after 4.2, make a written report to the occurrence Board containing a notification of the material change.
Appears in 2 contracts
Sources: Master Custodian Agreement (Value Line Asset Allocation Fund Inc), Master Custodian Agreement (Forum Funds)
Reporting Requirements. The Foreign Custody Manager shall report the withdrawal of the Foreign Assets from an Eligible Foreign Custodian and the placement of such Foreign Assets with another Eligible Foreign Custodian by providing to the Board an amended Schedule Schedules A or B at the end of the calendar quarter in which an amendment to such either Schedule has occurred. The Foreign Custody Manager shall make written reports notifying the Board of any other material change in the foreign custody arrangements of the Portfolios described in this Section 3.2 Article 3 after the occurrence of the material change.
Appears in 2 contracts
Sources: Sub Custodian Contract (Munder Framlington Funds Trust), Custodian Agreement (Hancock John Variable Series Trust I)
Reporting Requirements. The Foreign Custody Manager shall report the withdrawal of the Foreign Assets from an Eligible Foreign Custodian and the placement of such Foreign Assets with another Eligible Foreign Custodian by providing to the Board an amended Schedule Schedules A or B at the end of the calendar quarter in which an amendment to such either Schedule has occurredoccurred or at such other times as the Board deems reasonable or appropriate. The Foreign Custody Manager shall make written reports notifying the Board of any other material change in the foreign custody arrangements of the Portfolios described in this Section 3.2 Article 3 as soon as practicable after the occurrence of the material change.
Appears in 2 contracts
Sources: Custodian Contract (Schroder Series Trust Ii), Custodian Contract (Schroder Capital Funds /Delaware/)
Reporting Requirements. The Foreign Custody Manager shall report the withdrawal of the Foreign Assets from an Eligible Foreign Custodian and the placement of such Foreign Assets with another Eligible Foreign Custodian by providing to the Board an amended Schedule A at the end of the calendar quarter in which an amendment to such Schedule has occurred. The Foreign Custody Manager shall make written reports notifying the Board of any other material change in the foreign custody arrangements of the Portfolios described in this Section 3.2 prior to or as soon as practicable after the occurrence of the material change.
Appears in 2 contracts
Sources: Master Custodian Agreement (BMO LGM Frontier Markets Equity Fund), Master Custodian Agreement (BMO Lloyd George Frontier Markets Equity Fund)
Reporting Requirements. The Foreign Custody Manager shall report the ---------------------- withdrawal of the Foreign Assets from an Eligible Foreign Custodian and the placement of such Foreign Assets with another Eligible Foreign Custodian by providing to the Board an amended Schedule A at the end of the calendar quarter in which an amendment to such Schedule has occurred. The Foreign Custody Manager shall make written reports notifying the Board of any other material change in the foreign custody arrangements of the Portfolios Fund described in this Section 3.2 after the occurrence of the material change.
Appears in 1 contract
Sources: Custodian Agreement (North American Senior Floating Rate Fund Inc)
Reporting Requirements. The Foreign Custody Manager shall report the withdrawal of the me Foreign Assets from an Eligible Foreign Custodian and the placement of such Foreign Assets with another Eligible Foreign Custodian by providing to the Board an amended Schedule A at the We end of the calendar quarter in which an amendment to such Schedule has occurred. The Foreign Custody Manager shall make written reports notifying the Board of any other material change in the foreign custody arrangements of the Portfolios described in this Section 3.2 after the occurrence of the material change.
Appears in 1 contract
Sources: Master Custodian Agreement (Ned Davis Research Funds)
Reporting Requirements. The Foreign Custody Manager shall report the withdrawal of the Foreign Assets from an Eligible Foreign Custodian and the placement of such Foreign Assets with another Eligible Foreign Custodian by providing to the Board an amended Schedule Schedules A or B at the end of the calendar quarter in which an amendment to such either Schedule has occurred. The Foreign Custody Manager shall make written reports notifying the Board of any other material change in the foreign custody arrangements of the Portfolios Fund described in this Section 3.2 3 after the occurrence of the material change.
Appears in 1 contract
Reporting Requirements. The Foreign Custody Manager ------------------------ shall report the withdrawal of the Foreign Assets from an Eligible Foreign Custodian and the placement of such Foreign Assets with another Eligible Foreign Custodian by providing to the Board an amended Schedule A at the end of the calendar quarter in which an amendment to such Schedule has occurred. The Foreign Custody Manager shall make written reports notifying the Board of any other material change in the foreign custody arrangements of the Portfolios described in this Section 3.2 after the occurrence of the material change.
Appears in 1 contract
Sources: Master Custodian Agreement (Smith Barney Appreciation Fund Inc)
Reporting Requirements. The Foreign Custody Manager shall report the withdrawal of the Foreign Assets from an Eligible Foreign Custodian and the placement of such Foreign Assets with another Eligible Foreign Custodian by providing to the Board an amended Schedule A at the end of the calendar quarter in which an amendment to such Schedule has occurred. The Foreign Custody Manager shall make written reports certifying compliance with Rule l7f-5 and Rule l7f-7 and notifying the Board of any other material change in the foreign custody arrangements of the Portfolios Funds described in this Section 3.2 after the occurrence of the material change.
Appears in 1 contract
Reporting Requirements. The Foreign Custody Manager shall report the withdrawal of the Foreign Assets from an Eligible Foreign Custodian and the placement of such Foreign Assets with another Eligible Foreign Custodian by providing to the Board an amended Schedule Schedules A at or Bat the end of the calendar quarter in which an amendment to such either Schedule has occurred. The Foreign Custody Manager shall make written reports notifying the Board of any other material change in the foreign custody arrangements of the Portfolios described in this Section 3.2 Article 3 after the occurrence of the material change.
Appears in 1 contract
Sources: Custodian Contract (Aberdeen Global Income Fund Inc)
Reporting Requirements. The Foreign Custody Manager shall ---------------------- report the withdrawal of the Foreign Assets from an Eligible Foreign Custodian and the placement of such Foreign Assets with another Eligible Foreign Custodian by providing to the Board an of Trustees amended Schedule Schedules A or B at the end of the calendar quarter in which an amendment to such either Schedule has occurred. The Foreign Custody Manager shall will make written reports notifying the Board of Trustees of any other material change in the foreign custody arrangements of the Portfolios described Fund set forth in this Section 3.2 3 within a reasonable period of time after the occurrence of the such material change.
Appears in 1 contract
Reporting Requirements. The Foreign Custody Manager shall (a) report the withdrawal of the Foreign Assets from an Eligible Foreign Custodian and the placement of such State Street: General Foreign Assets with another Eligible Foreign Custodian by providing to the Fund’s Board an amended Schedule A at the end of the calendar quarter in which an amendment to such Schedule the action has occurred. The Foreign Custody Manager shall make written reports notifying , and (b) after the Board occurrence of any other material change in the foreign custody arrangements of the Portfolios described in this Section 3.2 after 4.2, make a written report to the occurrence Board containing a notification of the material change.
Appears in 1 contract
Sources: Master Custodian Agreement (Centerstone Investors Trust)
Reporting Requirements. The Foreign Custody Manager shall report ---------------------- the withdrawal of the Foreign Assets from an Eligible Foreign Custodian and the placement of such Foreign Assets with another Eligible Foreign Custodian by providing to the Board an amended Schedule A at the end of the calendar quarter in which an amendment to such Schedule has occurred. The Foreign Custody Manager shall make written reports notifying the Board of any other material change in the foreign custody arrangements of the Portfolios described in this Section 3.2 after the occurrence of the material change.this
Appears in 1 contract
Reporting Requirements. The Foreign Custody Manager shall ---------------------- report the withdrawal of the Foreign Assets from an Eligible Foreign Custodian and the placement of such Foreign Assets with another Eligible Foreign Custodian by providing to the Board an amended Schedule Schedules A or B at the end of the calendar quarter in which an amendment to such either Schedule has occurred. The Foreign Custody Manager shall make written reports notifying the Board of any other material change in the foreign custody arrangements of the Portfolios Fund described in this Section 3.2 3 after the occurrence of the material change.
Appears in 1 contract
Reporting Requirements. The Foreign Custody Manager shall report the withdrawal of the Foreign Assets from an Eligible Foreign Custodian and the placement of such Foreign Assets with another Eligible Foreign Custodian by providing to the Board an amended Schedule A at the end of the calendar quarter in which an amendment to such Schedule has occurred. The Foreign Custody Manager shall make written reports notifying the Board of any other material change in the foreign custody arrangements of the Portfolios Fund described in this Section 3.2 after the occurrence of the material change, as required by Rule 17f-5(b)(2).
Appears in 1 contract
Reporting Requirements. The Foreign Custody Manager shall report the withdrawal of the Foreign Assets from an Eligible any Foreign Sub-Custodian and the placement of such Foreign Assets with another Eligible Foreign Sub-Custodian by providing to the Board an amended Schedule A at the end of the calendar quarter in which an amendment to such Schedule schedule has occurred. The Foreign Custody Manager shall make reasonably prompt written reports notifying to the Board of any other material change in the foreign custody arrangements of the Portfolios described in this Section 3.2 4 after the occurrence of the material change.. 13
Appears in 1 contract
Sources: Custodian Services Agreement (Smith Barney Investment Funds Inc)
Reporting Requirements. The Foreign Custody Manager shall report the withdrawal of the Foreign Assets from an Eligible Foreign Custodian and the placement of such Foreign Assets with another Eligible Foreign Custodian by providing to the Board an amended Schedule A at the end of the calendar quarter in which an amendment to such Schedule has occurred. The Foreign Custody Manager shall make written reports notifying the Board of any other material change in the foreign custody arrangements of the Portfolios described in this Section 3.2 after the occurrence of the material change, and at such other times as the Board requests in writing.
Appears in 1 contract
Sources: Custodian and Investment Accounting Agreement (American Century Investment Trust)
Reporting Requirements. The Foreign Custody Manager shall (a) report the withdrawal of the Foreign Assets from an Eligible Foreign Custodian and the placement of such Foreign Assets with another Eligible Foreign Custodian by providing to the Fund’s Board an amended Schedule A at the end of the calendar quarter in which an amendment to such Schedule the action has occurred. The Foreign Custody Manager shall make written reports notifying , and (b) after the Board occurrence of any other material change in the foreign custody arrangements of the Portfolios described in this Section 3.2 after 4.2, make a written report to the occurrence Board containing a notification of the material change.. Information Classification: Limited Access
Appears in 1 contract
Sources: Master Custodian Agreement (Aberdeen Standard Investments ETFs)
Reporting Requirements. The Foreign Custody Manager shall report the ---------------------- withdrawal of the Foreign Assets from an Eligible Foreign Custodian and the placement of such Foreign Assets with another Eligible Foreign Custodian by providing to the applicable Board an amended Schedule A at the end of the calendar quarter in which an amendment to such Schedule has occurred. The Foreign Custody Manager shall make written quarterly reports notifying the Board of any other material change in the foreign custody arrangements of the Portfolios described in this Section 3.2 3.Q after the occurrence of the material change.
Appears in 1 contract
Sources: Custody and Investment Accounting Agreement (Pimco Funds Multi Manager Series)
Reporting Requirements. The Foreign Custody Manager shall report the withdrawal of the Foreign Assets from an Eligible Foreign Custodian and the placement of such Foreign Assets with another Eligible Foreign Custodian by providing to the Board Company an amended Schedule A at the end of the calendar quarter in which an amendment to such Schedule has occurred. The Foreign Custody Manager shall make written reports notifying the Board Company of any other material change in the foreign custody arrangements of the Portfolios described in this Section 3.2 after the occurrence of the material change.
Appears in 1 contract
Sources: Custodian Agreement (Dividend Capital Strategic Global Realty Fund)
Reporting Requirements. The Foreign Custody Manager shall report the withdrawal of the Foreign Assets from an Eligible Foreign Custodian and the placement of such Foreign Assets with another Eligible Foreign Custodian by providing to the Board an amended Schedule Schedules A or B at the end of the calendar quarter in which an amendment to such either Schedule has occurred. The Foreign Custody Manager shall make written reports notifying the Board of any other material change in the foreign custody arrangements of the Portfolios described in this Section 3.2 Article 3 within a reasonable period of time after the occurrence of the material change.
Appears in 1 contract
Reporting Requirements. The Foreign Custody Manager shall report the withdrawal of the Foreign Assets from an Eligible Foreign Custodian and the placement of such Foreign Assets with another Eligible Foreign Custodian by providing to the Board an of Trustees amended Schedule Schedules A or B at the end of the calendar quarter in which an amendment to such either Schedule has occurred. The Foreign Custody Manager shall make written reports notifying the Board of Trustees of any other material change in the foreign custody arrangements of the Portfolios Trust described in this Section 3.2 Article 3 after the occurrence of the material change.
Appears in 1 contract
Sources: Custodian Agreement (Evergreen Income Advantage Fund)
Reporting Requirements. The Foreign Custody Manager shall report the withdrawal of the Foreign Assets from an Eligible Foreign Custodian and the placement of -11- such Foreign Assets with another Eligible Foreign Custodian by providing to the Board an amended Schedule A at the end of the calendar quarter in which an amendment to such Schedule has occurred. The Foreign Custody Manager shall make written reports notifying the Board of any other material change in the foreign custody arrangements of the Portfolios described in this Section 3.2 after the occurrence of the material change.
Appears in 1 contract
Reporting Requirements. The Foreign Custody Manager shall (a) report the withdrawal of the Foreign Assets from an Eligible Foreign Custodian and the placement of such Foreign Assets with another Eligible Foreign Custodian by providing to the Fund’s Board an amended Schedule A at the end of the calendar quarter in which an amendment to such Schedule the action has occurred. The Foreign Custody Manager shall make written reports notifying , and (b) after the Board occurrence of any other material change in the foreign custody arrangements of the Portfolios described in this Section 3.2 after 3.2, make a written report to the occurrence Board containing a notification of the material change.
Appears in 1 contract
Reporting Requirements. The Foreign Custody Manager shall report the withdrawal of the Foreign Assets from an Eligible Foreign Custodian and the placement of such Foreign Assets with another Eligible Foreign Custodian by providing to the Board an amended Schedule A Exhibit B at the end of the calendar quarter in which an amendment to such Schedule Exhibit has occurred. The Foreign Custody Manager shall make written reports notifying the Board of any other material change in the foreign custody arrangements of the Portfolios described in this Section 3.2 3.Q. after the occurrence of the material change.
Appears in 1 contract
Sources: Custody and Investment Accounting Agreement (Seligman Lasalle Real Estate Fund Series Inc)
Reporting Requirements. The Foreign Custody Manager shall report ---------------------- the withdrawal of the Foreign Assets from an Eligible Foreign Custodian and or the placement of such Foreign Assets with another an Eligible Foreign Custodian not previously reported to the Board by providing to the Board an amended Schedule A at the end of the calendar quarter in which an amendment to such Schedule has occurred. The Foreign Custody Manager shall make written reports notifying the Board of any other material change in the foreign custody arrangements of the Portfolios described in this Section 3.2 after the occurrence of the material change.
Appears in 1 contract
Reporting Requirements. The Foreign Custody Manager shall report the withdrawal of the Foreign Assets from an Eligible Foreign Custodian and the placement of such Foreign Assets with another Eligible Foreign Custodian by providing to the Board of the applicable Fund an amended Schedule A at the end of the calendar quarter in which an amendment to such Schedule has occurred. The Foreign Custody Manager shall make written reports notifying the Board of any other material change in the foreign custody arrangements of the Portfolios Fund described in this Section 3.2 after the occurrence of the material change.
Appears in 1 contract
Sources: Master Custodian Agreement (Neuberger Berman ETF Trust)
Reporting Requirements. The Foreign Custody Manager shall report the withdrawal of the Foreign Assets from an Eligible Foreign Custodian and the placement of such Foreign Assets with another Eligible Foreign Custodian by providing to the Board an amended Schedule A at the end of the calendar quarter in which an amendment to such Schedule has occurred. The Foreign Custody Manager shall make written reports notifying the Board of any other material change in the foreign custody arrangements of the Portfolios described in this Section 3.2 3,2 after the occurrence of the material change.
Appears in 1 contract
Reporting Requirements. The Foreign Custody Manager shall report the withdrawal of the Foreign Assets from an Eligible Foreign Custodian and the placement of such Foreign Assets with another Eligible Foreign Custodian by providing to the Board an amended Schedule Schedules A or B at the end of the calendar quarter in which an amendment to such either Schedule has occurred. The Foreign Custody Manager shall make written reports notifying the Board of any other material change in the foreign custody arrangements of the Portfolios Portfolio(s) described in this Section 3.2 3 after the occurrence of the material change.
Appears in 1 contract
Sources: Custodian Agreement (Bb&t Funds /)
Reporting Requirements. The Foreign Custody Manager shall report the ---------------------- withdrawal of the Foreign Assets from an Eligible Foreign Custodian and the placement of such Foreign Assets with another Eligible Foreign Custodian by providing to the Board an amended Schedule A at the end of the calendar quarter in which an amendment to such Schedule has occurredoccurred or at such times as the Board may reasonably request. The Foreign Custody Manager shall make written reports notifying the Board of any other material change in the foreign custody arrangements of the Portfolios described in this Section 3.2 within a reasonable time after the occurrence of the material change.
Appears in 1 contract
Sources: Custodian Contract (Loomis Sayles Investment Trust)
Reporting Requirements. The Foreign Custody Manager shall report the ---------------------- withdrawal of the Foreign Assets from an Eligible Foreign Custodian and the placement of such Foreign Assets with another Eligible Foreign Custodian by providing to the Board an amended Schedule Schedules A or B at the end of the calendar quarter in which an amendment to such either Schedule has occurred. The Foreign Custody Manager shall make written reports notifying the Board of any other material change in the foreign custody arrangements of the Portfolios Fund described in this Section 3.2 3 after the occurrence of the material change.
Appears in 1 contract
Reporting Requirements. The Foreign Custody Manager shall report the withdrawal of the Foreign Assets from an Eligible Foreign Custodian and the placement of such Foreign Assets with another Eligible Foreign Custodian by providing to the Board an amended Schedule A at the end of the calendar quarter in which an amendment to such Schedule has occurred. The Foreign Custody Manager shall make written reports notifying the Board of any other material change in the foreign custody arrangements of the Portfolios described in this Section 3.2 3.7 after the occurrence of the material change.
Appears in 1 contract
Sources: Custodian Agreement (American Beacon Sound Point Enhanced Income Fund)
Reporting Requirements. The Foreign Custody Manager shall promptly report the withdrawal of the Foreign Assets from an Eligible Foreign Custodian and the placement of such Foreign Assets with another Eligible Foreign Custodian by providing to the Board an amended Schedule A at the end of the calendar quarter in which an amendment to such Schedule has occurred. The Foreign Custody Manager shall promptly make written reports notifying the Board of any other material change in the foreign custody arrangements of the Portfolios described in this Section 3.2 after the occurrence of the material change.
Appears in 1 contract
Reporting Requirements. The Foreign Custody Manager shall report the withdrawal of the Foreign Assets from an Eligible Foreign Custodian and the placement of such Foreign Assets with another Eligible Foreign Custodian by providing to the Board an amended Schedule A at the end of the calendar quarter in which an amendment to such Schedule has occurred. The Foreign Custody Manager shall make written reports notifying the Board of any other material change in the foreign custody arrangements of the Portfolios described in this Section 3.2 3.Q after the occurrence of the material change.
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Reporting Requirements. The Foreign Custody Manager shall report the withdrawal of the Foreign Assets from an Eligible Foreign Custodian and the placement of such Foreign Assets with another Eligible Foreign Custodian by providing to the Board an amended Schedule A at the end of the calendar quarter in which an amendment to such Schedule has occurred. The Foreign Custody Manager shall make written reports notifying the Board of any other material change in the foreign custody arrangements of the Portfolios described in this Section 3.2 after the occurrence of the material change.this
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Reporting Requirements. The Foreign Custody Manager shall report the withdrawal of the Foreign Assets from an Eligible Foreign Custodian and the placement of such Foreign Assets with another Eligible Foreign Custodian by providing to the Board an amended Schedule A Exhibit B at the end of the calendar quarter in which an amendment to such Schedule Exhibit has occurred. The Foreign Custody Manager shall make written reports notifying the Board of any other material change in the foreign custody arrangements of the Portfolios described in this Section 3.2 3.Q after the occurrence of the material change.
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Sources: Custody Agreement (Firsthand Funds)
Reporting Requirements. The Foreign Custody Manager shall report the withdrawal of the Foreign Assets from an Eligible Foreign Custodian and the placement of such Foreign Assets with another Eligible Foreign Custodian by providing to the Board an of Trustees amended Schedule Schedules A or B at the end of the calendar quarter in which an amendment to such either Schedule has occurred. The Foreign Custody Manager shall will make written reports notifying the Board of Trustees of any other material change in the foreign custody arrangements of the Portfolios described set forth in this Section 3.2 3 within a reasonable period of time after the occurrence of the such material change.
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Sources: Custodian Agreement (Flex Partners/)
Reporting Requirements. The Foreign Custody Manager shall report the withdrawal of the Foreign Assets from an Eligible Foreign Custodian and the placement of such Foreign Assets with another Eligible Foreign Custodian by providing to the Board an amended Schedule A at the end of the calendar quarter in which an amendment to such Schedule has occurred. The Foreign Custody Manager shall make written reports notifying the Board of any other material change in the foreign custody arrangements of the Portfolios described in this Section 3.2 3.Q.2 after the occurrence of the material change.
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Sources: Custody, Investment Accounting and Data Access Agreement (Homestead Funds Inc)