MANAGED FUTURES PREMIER GRAHAM L.P. Contracts & Agreements
28 Contracts & Agreements
- Business Finance (7 contracts)
- Business Operations (12)
- Uncategorized (9)
- Description of Securities (Filed With SEC on March 25, 2021)
- Amended and Restated Management Agreement, dated as of July 3, 2014, among the Partnership, the General Partner, Winton Capital Management Limited and CMF Winton Master L.P (Filed With SEC on March 25, 2021)
- Amendment No. 2, dated as of December 31, 2020 and effective as of January 1, 2021, to the Management Agreement, by and among the Registrant, the General Partner, CMF Winton... (Filed With SEC on January 8, 2021)
- Management Agreement, dated as of December 18, 2020 and effective as of January 1, 2021, by and among the Registrant, the General Partner and Campbell (Filed With SEC on January 7, 2021)
- Management Agreement, dated as of December 16, 2020 and effective as of January 1, 2021, by and among the Registrant, the General Partner and EMC (Filed With SEC on January 7, 2021)
- Amendment to the Management Agreement, dated as of December 22, 2020 and effective as of January 1, 2021, by and among the Registrant, the General Partner, CMF Winton Master L.P.,... (Filed With SEC on January 7, 2021)
- Amendment No. 3, dated December 16, 2020 and effective as of January 1, 2021, to the Management Agreement, by and among the Registrant, the General Partner and Graham (Filed With SEC on January 7, 2021)
- Amendment to the Amended and Restated Alternative Investment Selling Agreement, dated as of December 31, 2020 and effective as of January 1, 2021, by and among the Registrant, the... (Filed With SEC on January 7, 2021)
- Amendment to the Harbor Agreement, dated as of December 31, 2020 and effective as of January 1, 2021, by and among the Registrant, the General Partner, MSDI and Harbor (Filed With SEC on January 7, 2021)
- Amendment to the Amended and Restated Alternative Investment Selling Agreement, dated as of July 1, 2020, by and among the Registrant, the General Partner and MSSB (Filed With SEC on July 8, 2020)
- Amendment to the Harbor Agreement, dated as of July 1, 2020, by and among the Registrant, the General Partner, MSDI and Harbor (Filed With SEC on July 8, 2020)
- Description of Securities (Filed With SEC on March 26, 2020)
- Amendment No. 2, dated as of February 1, 2019, to the Management Agreement, by and among the Registrant, the General Partner and Graham (Filed With SEC on February 7, 2019)
- Alternative Investment Selling Agent Agreement, dated as of November 1, 2018, by and among Ceres Managed Futures LLC, Harbor Investment Advisory, LLC, Morgan Stanley Distribution... (Filed With SEC on November 8, 2018)
- Alternative Investment Placement Agent Agreement, dated as of January 19, 2018, by and among Ceres Managed Futures LLC, Harbor Investment Advisory, LLC, and the limited... (Filed With SEC on January 25, 2018)
- Escrow Agreement, dated August 17, 2017, by and among Ceres Managed Futures LLC, the funds listed on Schedule A thereto, UMB Fund Services, Inc., and UMB Bank, N.A., as amended,... (Filed With SEC on September 8, 2017)
- Transfer Agency Agreement, dated as of August 17, 2017, by and between Ceres Managed Futures LLC, the funds listed on Schedule A thereto, and UMB Fund Services, Inc., as amended,... (Filed With SEC on September 8, 2017)
- SUPPLEMENT TO THE COMMODITY FUTURES CUSTOMERAGREEMENT (Filed With SEC on July 31, 2017)
- AMENDEDAND RESTATED ALTERNATIVE INVESTMENT SELLING AGENT AGREEMENT (Filed With SEC on March 8, 2016)
- U.S. TREASURY SECURITIES PURCHASE AUTHORIZATION AGREEMENT (Filed With SEC on November 4, 2015)
- Amended & Restated Master Services Agreement (Filed With SEC on August 6, 2015)
- ALTERNATIVE INVESTMENT PLACEMENT AGENT AGREEMENT (Filed With SEC on August 13, 2014)
- AMENDMENT NO. 1 TO MANAGEMENT AGREEMENT (Filed With SEC on May 13, 2014)
- ALTERNATIVE INVESTMENT PLACEMENT AGENT AGREEMENT (Filed With SEC on May 13, 2014)
- AMENDED AND RESTATED COMMODITY FUTURES CUSTOMER AGREEMENT (Filed With SEC on November 13, 2013)
- CERTIFICATIONS (Filed With SEC on November 13, 2009)
- CERTIFICATIONS (Filed With SEC on November 13, 2009)
- CERTIFICATIONOF CHIEF FINANCIAL OFFICER PURSUANT TO 18 U.S.C.SECTION 1350, ASADOPTED PURSUANT TO SECTION906 OF THE SARBANES-OXLEY ACT OF 2002 (Filed With SEC on November 13, 2009)