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State Street Corp – ‘10-K’ for 12/31/18 – ‘EX-10.25’

On:  Thursday, 2/21/19, at 4:21pm ET   ·   For:  12/31/18   ·   Accession #:  93751-19-336   ·   File #:  1-07511

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  As Of               Filer                 Filing    For·On·As Docs:Size

 2/21/19  State Street Corp                 10-K       12/31/18  163:49M

Annual Report   —   Form 10-K   —   Sect. 13 / 15(d) – SEA’34
Filing Table of Contents

Document/Exhibit                   Description                      Pages   Size 

 1: 10-K        Annual Report                                       HTML   3.36M 
 4: EX-10.13    Material Contract                                   HTML     70K 
 5: EX-10.15    Material Contract                                   HTML     44K 
 6: EX-10.20    Material Contract                                   HTML    131K 
 7: EX-10.24    Material Contract                                   HTML     54K 
 8: EX-10.25    Material Contract                                   HTML     56K 
 2: EX-10.4     Material Contract                                   HTML     42K 
 3: EX-10.6     Material Contract                                   HTML     42K 
 9: EX-21       Subsidiaries List                                   HTML     48K 
10: EX-23       Consent of Experts or Counsel                       HTML     44K 
11: EX-31.1     Certification -- §302 - SOA'02                      HTML     50K 
12: EX-31.2     Certification -- §302 - SOA'02                      HTML     50K 
13: EX-32       Certification -- §906 - SOA'02                      HTML     47K 
20: R1          Document And Entity Information                     HTML     77K 
21: R2          Consolidated Statement of Income                    HTML    144K 
22: R3          Consolidated Statement of Comprehensive Income      HTML     74K 
23: R4          Consolidated Statement of Comprehensive Income      HTML     57K 
                (Parenthetical)                                                  
24: R5          Consolidated Statement of Condition                 HTML    153K 
25: R6          Consolidated Statement of Condition                 HTML     91K 
                (Parenthetical)                                                  
26: R7          Consolidated Statement of Changes In Shareholders'  HTML    112K 
                Equity                                                           
27: R8          Consolidated Statement of Changes In Shareholders'  HTML     48K 
                Equity (Parenthetical)                                           
28: R9          Consolidated Statement of Cash Flows                HTML    168K 
29: R10         Summary of Significant Accounting Policies          HTML    111K 
30: R11         Fair Value                                          HTML    764K 
31: R12         Investment Securities                               HTML    737K 
32: R13         Loans and Leases                                    HTML    169K 
33: R14         Goodwill and Other Intangible Assets                HTML    136K 
34: R15         Other Assets                                        HTML     67K 
35: R16         Deposits                                            HTML     49K 
36: R17         Short-Term Borrowings                               HTML     97K 
37: R18         Long-Term Debt                                      HTML    133K 
38: R19         Derivative Financial Instruments                    HTML    311K 
39: R20         Offsetting Arrangements                             HTML    251K 
40: R21         Commitments and Guarantees                          HTML     71K 
41: R22         Contingencies                                       HTML     63K 
42: R23         Variable Interest Entities                          HTML     58K 
43: R24         Shareholders' Equity                                HTML    234K 
44: R25         Regulatory Capital                                  HTML    235K 
45: R26         Net Interest Income                                 HTML     82K 
46: R27         Equity-Based Compensation                           HTML    104K 
47: R28         Employee Benefits                                   HTML     55K 
48: R29         Occupancy Expense and Information Systems and       HTML    137K 
                Communications Expense                                           
49: R30         Expenses                                            HTML    136K 
50: R31         Income Taxes                                        HTML    164K 
51: R32         Earnings Per Common Share                           HTML     78K 
52: R33         Line of Business Information                        HTML    192K 
53: R34         Revenue from Contracts with Customers               HTML    134K 
54: R35         Non-U.S. Activities                                 HTML     73K 
55: R36         Parent Company Financial Statements                 HTML    148K 
56: R37         Summary of Significant Accounting Policies          HTML    124K 
                (Policies)                                                       
57: R38         Summary of Significant Accounting Policies          HTML     89K 
                (Tables)                                                         
58: R39         Fair Value (Tables)                                 HTML    792K 
59: R40         Investment Securities (Tables)                      HTML    706K 
60: R41         Loans and Leases (Tables)                           HTML    160K 
61: R42         Goodwill and Other Intangible Assets (Tables)       HTML    138K 
62: R43         Other Assets (Tables)                               HTML     66K 
63: R44         Short-Term Borrowings (Tables)                      HTML     93K 
64: R45         Long-Term Debt (Tables)                             HTML    137K 
65: R46         Derivative Financial Instruments (Tables)           HTML    334K 
66: R47         Offsetting Arrangements (Tables)                    HTML    252K 
67: R48         Commitments and Guarantees (Tables)                 HTML     67K 
68: R49         Shareholders' Equity (Tables)                       HTML    247K 
69: R50         Regulatory Capital (Tables)                         HTML    228K 
70: R51         Net Interest Income (Tables)                        HTML     81K 
71: R52         Equity-Based Compensation (Tables)                  HTML     94K 
72: R53         Occupancy Expense and Information Systems and       HTML     66K 
                Communications Expense (Tables)                                  
73: R54         Expenses (Tables)                                   HTML    107K 
74: R55         Income Taxes (Tables)                               HTML    165K 
75: R56         Earnings Per Common Share (Tables)                  HTML     77K 
76: R57         Line of Business Information (Tables)               HTML    181K 
77: R58         Revenue from Contracts with Customers (Tables)      HTML    120K 
78: R59         Non-U.S. Activities (Tables)                        HTML     71K 
79: R60         Parent Company Financial Statements (Tables)        HTML    150K 
80: R61         Summary of Significant Accounting Policies - Basis  HTML     44K 
                of Presentation (Details)                                        
81: R62         Summary of Significant Accounting Policies -        HTML     71K 
                Acquisitions and Dispositions (Details)                          
82: R63         Summary of Significant Accounting Policies - New    HTML    104K 
                Accounting Pronouncement (Details)                               
83: R64         Fair Value - Schedule of Fair Value Measurements    HTML    255K 
                on a Recurring Basis (Details)                                   
84: R65         Fair Value - Schedule of Fair Value Measurements,   HTML    145K 
                Assets, Using Significant Unobservable Inputs                    
                (Details)                                                        
85: R66         Fair Value - Fair Value Inputs, Assets and          HTML     68K 
                Liabilities, Quantitative Information (Details)                  
86: R67         Fair Value - Carrying Value and Estimated Fair      HTML    120K 
                Value of Financial Instruments (Details)                         
87: R68         Investment Securities - Narrative (Details)         HTML    113K 
88: R69         Investment Securities - Schedule of Marketable      HTML    150K 
                Securities (Details)                                             
89: R70         Investment Securities - Schedule of Gross Pre-Tax   HTML    162K 
                Unrealized Losses on Investment Securities                       
                (Details)                                                        
90: R71         Investment Securities - Schedule of Contractual     HTML    156K 
                Maturities of Debt Securities (Details)                          
91: R72         Investment Securities - Gains and Losses Related    HTML     62K 
                to Investment Securities (Details) (Details)                     
92: R73         Investment Securities - Schedule of Credit-Related  HTML     53K 
                Loss Activity Recognized In Earnings (Details)                   
93: R74         Loans and Leases - Narrative (Details)              HTML     62K 
94: R75         Loans and Leases - Net Loans (Details)              HTML     74K 
95: R76         Loans and Leases - Recorded Investment in Each      HTML     86K 
                Class of Total Loans and Leases by Credit Quality                
                Indicator (Details)                                              
96: R77         Loans and Leases - Schedule of Activity In The      HTML     52K 
                Allowance For Loan Losses (Details)                              
97: R78         Goodwill and Other Intangible Assets - Narrative    HTML     61K 
                (Details)                                                        
98: R79         Goodwill and Other Intangible Assets - Changes In   HTML     61K 
                The Carrying Amount Of Goodwill (Details)                        
99: R80         Goodwill and Other Intangible Assets - Changes In   HTML     64K 
                The Carrying Amount Of Other Intangible Assets                   
                (Details)                                                        
100: R81         Goodwill and Other Intangible Assets - Gross        HTML     63K  
                Carrying Amount, Accumulated Amortization And Net                
                Carrying Amount Of Other Intangible Assets                       
                (Details)                                                        
101: R82         Goodwill and Other Intangible Assets -              HTML     55K  
                Amortization Expense (Details)                                   
102: R83         Other Assets (Details)                              HTML     76K  
103: R84         Deposits - Narrative (Details)                      HTML     53K  
104: R85         Short-Term Borrowings - Narrative (Details)         HTML     58K  
105: R86         Short-Term Borrowings - Outstanding and             HTML     67K  
                weighted-average interest rates of short-term                    
                borrowings (Details)                                             
106: R87         Short-Term Borrowings - Overnight maturity          HTML     49K  
                (Details)                                                        
107: R88         Long-Term Debt - Schedule of Long Term Debt         HTML    118K  
                (Details)                                                        
108: R89         Long-Term Debt - Narrative (Details)                HTML     49K  
109: R90         Derivative Financial Instruments - Narrative        HTML     62K  
                (Details)                                                        
110: R91         Derivative Financial Instruments - Schedule of      HTML     74K  
                Outstanding Hedges (Notional Amount) (Details)                   
111: R92         Derivative Financial Instruments - Schedule of The  HTML     75K  
                Fair Values of Derivative Financial Instruments                  
                (Details)                                                        
112: R93         Derivative Financial Instruments - Impact of        HTML     69K  
                Derivatives on Consolidated Statement of Income                  
                (Details)                                                        
113: R94         Derivative Financial Instruments - Carrying Amount  HTML     64K  
                and Cumulative Basis Adjustments for Hedge                       
                Accounting (Details)                                             
114: R95         Derivative Financial Instruments - Impact on        HTML     71K  
                Derivatives and Hedged Items on Consolidated                     
                Statement of Income (Details)                                    
115: R96         Derivative Financial Instruments - Schedule of      HTML     67K  
                Differences Between the Gains (Losses) on the                    
                Derivative and The Gains (Losses) on the Hedged                  
                Item (Details)                                                   
116: R97         Offsetting Arrangements - Narrative (Details)       HTML     47K  
117: R98         Offsetting Arrangements - Assets With Offsetting    HTML    107K  
                Arrangements (Details)                                           
118: R99         Offsetting Arrangements - Liabilities With          HTML    106K  
                Offsetting Arrangements (Details)                                
119: R100        Offsetting Arrangements - Repo, Sec Lending         HTML     77K  
                Transactions Maturity By Category (Details)                      
120: R101        Commitments and Guarantees - Narrative (Details)    HTML     53K  
121: R102        Commitments and Guarantees - Contractual Amounts    HTML     48K  
                of Credit-Related Off-Balance Sheet Financial                    
                Instruments (Details)                                            
122: R103        Commitments and Guarantees - Schedule Of            HTML     51K  
                Repurchase Agreements (Details)                                  
123: R104        Contingencies - Narrative (Details)                 HTML     59K  
124: R105        Variable Interest Entities (Details)                HTML     63K  
125: R106        Shareholders' Equity - Preferred Stock (Details)    HTML    145K  
126: R107        Shareholders' Equity - Schedule of Preferred Stock  HTML    103K  
                (Details)                                                        
127: R108        Shareholders' Equity - Schedule of Dividends        HTML     82K  
                Declared (Details)                                               
128: R109        Shareholders' Equity - Common Stock (Details)       HTML     62K  
129: R110        Shareholders' Equity - Schedule of Common Stock     HTML     54K  
                (Details)                                                        
130: R111        Shareholders' Equity - Schedule of Accumulated      HTML     71K  
                Other Comprehensive (Loss) Income (Details)                      
131: R112        Shareholders' Equity - Accumulated Other            HTML     82K  
                Comprehensive Income by Component (Details)                      
132: R113        Shareholders' Equity - Adjustments to Accumulated   HTML     81K  
                Other Comprehensive Income (Details)                             
133: R114        Regulatory Capital (Details)                        HTML    137K  
134: R115        Net Interest Income - Components of Interest        HTML     79K  
                Revenue and Interest Expenses (Details)                          
135: R116        Equity-Based Compensation - Narrative (Details)     HTML    112K  
136: R117        Equity-Based Compensation - Stock Options and       HTML     69K  
                Stock Appreciation Rights (Details)                              
137: R118        Equity-Based Compensation - Deferred Stock Awards   HTML     69K  
                (Details)                                                        
138: R119        Equity-Based Compensation - Performance Awards      HTML     67K  
                (Details)                                                        
139: R120        Employee Benefits - Narrative (Details)             HTML     62K  
140: R121        Occupancy Expense and Information Systems and       HTML     72K  
                Communications Expense - Narrative (Details)                     
141: R122        Occupancy Expense and Information Systems and       HTML    100K  
                Communications Expense - Summary of Future Minimum               
                Lease Payments Under Non-Cancelable Capital and                  
                Operating Leases (Details)                                       
142: R123        Expenses - Schedule of Expenses (Details)           HTML     61K  
143: R124        Expenses - Narrative (Details)                      HTML     69K  
144: R125        Expenses - Restructuring Reserve (Details)          HTML     79K  
145: R126        Income Taxes - Schedule of Components of Income     HTML     74K  
                Tax Expense (Details)                                            
146: R127        Income Taxes - Schedule of Reconciliation of the    HTML     79K  
                U.S. Statutory Income Tax Rate to the Effective                  
                Tax Rate (Details)                                               
147: R128        Income Taxes - Narrative (Details)                  HTML     69K  
148: R129        Income Taxes - Schedule of Components of Deferred   HTML     86K  
                Tax Liabilities and Assets (Details)                             
149: R130        Income Taxes - Deferred Tax Asset Valuation         HTML     67K  
                Allowances (Details)                                             
150: R131        Income Taxes - Summary of Activity Related to       HTML     57K  
                Unrecognized Tax Benefits (Details)                              
151: R132        Earnings Per Common Share (Details)                 HTML     78K  
152: R133        Line of Business Information - Narrative (Details)  HTML     77K  
153: R134        Line of Business Information - Summary of Line of   HTML    103K  
                Business (Details)                                               
154: R135        Revenue from Contracts with Customers -             HTML    150K  
                Disaggregation of Revenues (Details)                             
155: R136        Revenue from Contracts with Customers - Narrative   HTML     48K  
                (Details)                                                        
156: R137        Non-U.S. Activities - Schedule Of Results From      HTML     55K  
                Non-U.S. Operations (Details)                                    
157: R138        Non-U.S. Activities - Narrative (Details)           HTML     48K  
158: R139        Parent Company Financial Statements - Statement of  HTML     77K  
                Income (Details)                                                 
159: R140        Parent Company Financial Statements - Statement of  HTML     93K  
                Condition (Details)                                              
160: R141        Parent Company Financial Statements - Statement of  HTML    107K  
                Cash Flows (Details)                                             
162: XML         IDEA XML File -- Filing Summary                      XML    301K  
161: EXCEL       IDEA Workbook of Financial Reports                  XLSX    234K  
14: EX-101.INS  XBRL Instance -- stt-20181231                        XML  12.69M 
16: EX-101.CAL  XBRL Calculations -- stt-20181231_cal                XML    622K 
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18: EX-101.LAB  XBRL Labels -- stt-20181231_lab                      XML   3.67M 
19: EX-101.PRE  XBRL Presentations -- stt-20181231_pre               XML   2.47M 
15: EX-101.SCH  XBRL Schema -- stt-20181231                          XSD    408K 
163: ZIP         XBRL Zipped Folder -- 0000093751-19-000336-xbrl      Zip    740K  


‘EX-10.25’   —   Material Contract


This Exhibit is an HTML Document rendered as filed.  [ Alternative Formats ]



 C: 
  exhibit1025statestreetco  
STATE STREET CORPORATION CASH AWARD PLAN Effective for performance periods beginning on or after January 1, 2019 1. PURPOSES OF THE PLAN The purposes of the Plan are to (i) link total compensation opportunities to organizational, business line, risk management and individual performance goals and (ii) attract, retain, reward and motivate professionals of the highest caliber. 2. DEFINITIONS 2.1. “Award” means the cash bonus awarded to a Participant under the Plan that the Plan Administrator determines, in its discretion, is to be paid in accordance with the terms of the Plan. 2.2. “Award Pool” means the final aggregate amount available for payment of Awards under the Plan for the applicable Performance Period. 2.3. “Board” means the Board of Directors of the Company. 2.4. “Code” means the Internal Revenue Code of 1986, as amended, and its implementing regulations from time to time. 2.5. “Committee” means the Executive Compensation Committee of the Board. 2.6. “Company” means State Street Corporation, its subsidiaries and affiliates as determined by the Plan Administrator in its discretion. 2.7. “Effective Date” means the effective date specified in Section 5.13. 2.8. “Eligible Employee” means (i) any employee of an Employer (including an officer or director who is also an employee) and (ii) any individual (a) who is no longer an employee of an Employer due to retirement or otherwise, (b) who the Plan Administrator determines, in its discretion, is eligible to receive a cash bonus or other compensation earned while in the employment of an Employer, and (c) whose cash bonus or other compensation the Plan Administrator determines, in its discretion, be paid, in whole or in part, in the form of an Award under this Plan. 2.9. “Employer” means any or all, as the context requires in order to refer to the employing entity of a Participant, of State Street Corporation and any other entity (or branch) that would be treated as a member of the same controlled group of corporations, as trades or businesses under common control, with State Street Corporation, under Code sections 414(b) and (c). 2.10. “Participant” means an Eligible Employee who is issued an Award pursuant to Article 4.


 
2.11. “Performance Period” means the Company’s fiscal year or any other period selected by the Plan Administrator. 2.12. “Plan” means this State Street Corporation Cash Award Plan, as it may be amended from time to time. 2.13. “Plan Administrator” means the Plan Administrator appointed pursuant to Section 3.1. 3. ADMINISTRATION 3.1. Plan Administrator. Except with respect to any authority the Committee retains for itself to act as Plan Administrator with respect to some or all of the Participants and/or some or all of the provisions of the Plan and except as the Committee may otherwise determine, the Plan Administrator shall be jointly or severally the most senior Global Human Resources officer (as of the date of this document, the Executive Vice President-Chief Human Resources and Citizenship Officer) as from time to time in office and the most senior Global Total Rewards Officer (as of the date of this document, the Senior Vice President-Head of Global Total Rewards). The Plan Administrator shall have complete discretionary authority to interpret the Plan and to decide all matters under the Plan. Such interpretation and decision shall be final, conclusive and binding on all Participants and any person claiming under or through any Participant, in the absence of clear and convincing evidence that the Plan Administrator acted arbitrarily and capriciously. However, no individual acting, directly or by delegation, as the Plan Administrator may determine his or her own rights or entitlements under the Plan. The Plan Administrator shall establish such rules and procedures, maintain such records and prepare such reports as it considers, in its discretion, necessary or appropriate to carry out the purposes of the Plan. The Plan Administrator may, in its discretion, delegate to such employees or other persons as it determines such of its duties or responsibilities as it deems appropriate. For the avoidance of doubt, and notwithstanding anything herein to the contrary, the Plan Administrator with respect to any Participant who has been designated as an officer of the Company for purposes of Section 16 of the Securities Exchange Act of 1934, as amended, shall be the Committee. 3.2. Outside Services. The Plan Administrator may engage counsel and such clerical, financial, investment, accounting and other specialized services, whether internal or external to the Company, as the Plan Administrator may deem necessary or appropriate in the administration of the Plan. The Plan Administrator shall be entitled to rely upon any opinions, reports, or other advice furnished by such counsel or other specialist engaged for that purpose and, in so relying, shall be fully protected in any action, determination, or omission made in good faith. 3.3. Indemnification. To the extent permitted by law and not prohibited by its charter and bylaws, State Street Corporation will indemnify and hold harmless every person serving (directly or by delegation) as Plan Administrator and the estate of such individual if he or she is deceased from and against all claims, loss, damages, liability and reasonable costs and expenses incurred in carrying out his or her responsibilities as Plan Administrator, unless due to gross negligence, bad faith or willful misconduct of such individual; provided, that counsel fees and Information Classification: Limited Access - 2 - ActiveUS 169720774v.3


 
amounts paid in settlement must be approved by State Street Corporation; and further provided, that this Section 3.3 will not apply to any claims, loss, damages, liability or costs and expenses which are covered by a liability insurance policy maintained by State Street Corporation or by the individual. The provisions of the preceding sentence shall not apply to any corporate trustee, insurance company, investment manager or outside service provider (or to any employee of any of the foregoing) unless the Company otherwise specifies in writing. 4. AWARD POOL FUNDING; ELIGIBILITY AND AWARDS 4.1. Establishment of Award Pool. The Committee will establish the Award Pool, if any, for the Performance Period in its discretion based on such performance and other measures as it determines in its discretion. 4.2. Awards. Awards, if any, shall be issued to Eligible Employees as determined by the Plan Administrator in its discretion. 4.3. Payment. Awards will be paid in a lump sum in cash, unless otherwise determined by the Plan Administrator in its discretion and will be paid no later than the last day of the calendar year in which the Committee makes a final determination of the Award Pool for the Performance Period. Awards will be paid on such terms, and subject to such conditions as the Plan Administrator shall determine in its discretion. 4.4. Forfeiture; Clawback. Awards made under the Plan are subject to any forfeiture, compensation recovery or similar requirements under applicable law and related implementing regulations and guidance, and to other forfeiture, compensation recovery or similar requirements under plans, policies and practices of the Company in effect from time to time. In the event that under any applicable law or related implementing regulations, or guidance, or pursuant to any Company plans, policies or practices, the Company is required or permitted to reduce or cancel any amount remaining to be paid, or to recover any amount previously paid, with respect to an Award, it shall, in its discretion, be authorized to do so. 5. MISCELLANEOUS 5.1. Limitation on Rights Conferred Under Plan. Awards under the Plan are discretionary. Neither the Plan nor any action taken hereunder will be construed as (i) giving any Participant or other person the right to continue in the employ or service of the Company, (ii) interfering in any way with the right of the Company to terminate any Participant’s or other person’s employment or service (or to demote or to exclude any Participant or other person from future Awards under the Plan) at any time for any reason or (iii) giving any Participant or other person any claim or right to be granted any Award under the Plan or to be treated uniformly with other Participants and employees. Except as specifically provided by the Plan Administrator, the Company shall not be liable for the loss of any actual or potential payments related to an Award in the event of the termination of employment of any Participant. The Plan will not confer on any person other than the Company and the Participant any rights or remedies thereunder, except as expressly provided in the Plan. Information Classification: Limited Access - 3 -


 
5.2. Inalienability of Awards. Except as required by law, no Award hereunder, or interest in, the Plan shall be subject in any manner to anticipation, alienation, sale, transfer, assignment, pledge, encumbrance, or charge, and any attempt to do so shall be void. 5.3. Tax Withholding. All payments under the Plan shall be subject to reduction for applicable tax and other legally and contractually required withholdings. Withholding will be made in accordance with such procedures and standards as the Company shall establish in its discretion. 5.4. Nature of Payments. All Awards made pursuant to the Plan are in consideration of services performed or to be performed for the Company. Any income or gain realized pursuant to Awards under the Plan constitutes a special award payment to the Participant and shall not be taken into account, to the extent permissible under applicable law, as compensation for purposes of any of the employee benefit plans of the Company except as may be determined by the Plan Administrator. 5.5. Unfunded Status of the Plan. All payments hereunder to Participants shall be paid from the general assets of the Company. The Plan is intended to constitute an “unfunded” plan for award compensation. With respect to any payments not yet made to a Participant by the Company, nothing contained herein shall give any such Participant any rights that are greater than those of a general creditor of the Company. 5.6. ERISA. The Plan is intended to be an award plan which is not subject to the Employee Retirement Income Security Act of 1974, as amended. 5.7. Amendment of the Plan. By action of the Committee or its delegate, the Company reserves the absolute right at any time and from time to time to amend or suspend the Plan or any outstanding Award for any purpose which may at the time be permitted by law. The Plan Administrator reserves the right to vary the terms of the Plan or an Award for one or more Participants to the extent that it determines, in its discretion, that doing so is necessary or advisable (i) to comply with applicable laws, rules, regulations or guidance, including the laws of any non-U.S. jurisdiction, (ii) to facilitate the administration of the Plan or (iii) for other reasons. 5.8. Section 409A. Awards under the Plan are intended to be exempt from Section 409A of the Code. In any event, the Company makes no representations or warranties and will have no liability to any Participant or any other person if any provisions of or payments under this Plan are determined to constitute deferred compensation subject to Section 409A but not to satisfy the conditions of that section. 5.9. Application of Local Law. Participation in the Plan and payment of an Award under the Plan shall be subject to any special terms and conditions for the Participant’s country of residence (and country of employment, if different), as determined by the Plan Administrator in its discretion. The Plan Administrator reserves the right to impose other requirements on participation in the Plan, to the extent the Plan Administrator, in its discretion, determines that such other requirements are necessary or advisable in order to comply with local law. To the Information Classification: Limited Access - 4 - ActiveUS 169720774v.3


 
extent a court or tribunal of competent jurisdiction determines that any provision of the Plan is invalid or unenforceable, in whole or in part, the Plan Administrator, in its discretion, shall have the power and authority to revise or strike such provision to the extent it determines, in its discretion, necessary to make it and the other provisions of the Plan valid and enforceable to the full extent permitted under local law. 5.10. Construction. The Plan shall be construed, regulated and administered in accordance with the laws of the Commonwealth of Massachusetts and applicable federal laws. 5.11. Headings. The headings of the sections in the Plan are placed herein for convenience of reference, and, in the case of conflict, the text of the Plan, rather than such heading, shall control. 5.12. Term. The Plan will commence as of the Effective Date. The Plan shall continue in effect until terminated by the Committee. 5.13. Effective Date of Plan. The Plan shall become effective on the date the Plan is approved by the Committee. IN WITNESS WHEREOF, the Company has caused this instrument to be executed by its duly authorized officer on the 20th day of February, 2019. STATE STREET CORPORATION By: /s/ Kathryn M. Horgan Information Classification: Limited Access - 5 -


 

4 Subsequent Filings that Reference this Filing

  As Of               Filer                 Filing    For·On·As Docs:Size             Issuer                      Filing Agent

 2/15/24  State Street Corp.                10-K       12/31/23  165:106M
 2/16/23  State Street Corp.                10-K       12/31/22  162:37M
 2/17/22  State Street Corp.                10-K       12/31/21  163:43M
 2/19/21  State Street Corp.                10-K       12/31/20  166:59M
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Filing Submission 0000093751-19-000336   –   Alternative Formats (Word / Rich Text, HTML, Plain Text, et al.)

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