standard Portfolio Management Agreement Template

This investment management agreement (the “agreement” reached on this day in 2019 (the “effective date”) is between (the “client”) and Panthera Capital LLC (the “consultant”). This agreement sets the terms for the investment management services Advisor will provide client and responsibilities of the parties. INVESTMENT MANAGEMENT AGREEMENT, made on the 5th day of September 2014, between each private investment firm listed in schedule a Schedule A and has been part of it, as this calendar A may be changed from time to time, including the addition or withdrawal of funds (a “fund” and, together, the “funds”), and pacific Investment Management Company LLC (“PIMCO”). This is an agreement between [Client Name” and RFG Global Asset Management, LLC, which is, a Delaware company (“consultant”). Through this agreement, the client retains consultants to provide investment management services to the client on the following terms: This amendment of July 1, 2020, applies to the amended and revised investment management agreement from July 1, 2020. October 2017 (the “agreement”), by and between FRANKLIN ALTERNATIVE STRATEGIES FUNDS, a delaware statutory trust (the Trust), on behalf of FRANKLIN K2 LONG SHORT CREDIT FUND (the “Fund”), a number of trusts, and K 2/D S MANAGEMENT CO., L.L.C., a limited liability company (the “manager”). . . . This December 29, 2017 Investment Management ACCORD is between THE MONEY MARKET PORTFOLIOS, a Delaware legal trust fund (the “Trust”) and ADVISORS, INC., a California company (the “manager”), and amends and reaffirms the pre-management agreement between the trust and the manager of August 1, 1992 and amended on August 1, 1995. INVESTMENT MANAGEMENT AGREEMENT, received on October 8, 2020 between the PIMCO Dynamic Income Opportunities Fund (the Fund) and the Pacific Investment Management Company LLC (“PIMCO”), valid october 8, 2020 (effective date). This amendment of May 1, 2020 relates to the investment management agreement reached on December 29, 2017 (“the agreement”) between Franklin Templeton Investment Management Limited, created under the laws of England (the “consultant”) and Franklin Global Trust on behalf of the Franklin Emerging Markets Debt Opportunities Fund (the “Fund”).