Valuation of Accounts. The Trustee shall value each investment Fund as of the close of each business day (the "Valuation Date"), which valuation shall reflect the then fair market value of the assets comprising such investment Fund (including income accumulations therein). A "
Appears in 3 contracts
Sources: Defined Contribution Plans Trust (Kimberly Clark Corp), Defined Contribution Plans Trust Agreement (Kimberly Clark Corp), Defined Contribution Plans Trust Agreement (Kimberly Clark Corp)