Company: SRV
Filing Date: 2025-03-10
Form Type: PRE 14A
Source: 0001398344-25-005333
Chunk: 45

Company: NXG Cushing Midstream Energy Fund
Filing Date: 2025-03-10
Form: PRE 14A
Chunk 45
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 time by the Board of Trustees; (vii) overseeing the preparation and filing of the Fund’s federal, state                 
 and local income tax returns and any other required tax returns; (viii) reviewing the appropriateness of and arranging for payment of           
 the Fund’s expenses; (ix) preparing (or overseeing the preparation) for review and approval by officers of the Fund financial information       
 for the Fund’s semi-annual and annual reports, proxy statements and other communications with shareholders required or otherwise                
 to be sent to Fund shareholders, and arrange for the printing and dissemination of such reports and communications to shareholders; (x)         
 preparing (or overseeing the preparation) for review by an officer of the Fund the Fund’s periodic financial reports required to                
 be filed with the SEC on Form N-SAR, N-CSR and such other reports, forms and filings, as may be mutually agreed upon; (xi) preparing reports    
 relating to the business and affairs of the Fund as may be mutually agreed upon and not otherwise appropriately prepared by the Fund’s          
 custodian, counsel or auditors; (xii) preparing (or overseeing the preparation of) such information and reports as may be required by           
 any stock exchange or exchanges on which the Fund’s shares are listed; (xiii) making such reports and recommendations to the Board              
 of Trustees concerning the performance of the independent accountants as the Board of Trustees may reasonably request or deems appropriate;     
 (xiv) making such reports and recommendations to the Board of Trustees concerning the performance and fees of the Fund’s custodian,             
 transfer agent, administrator and dividend disbursing agent as the Board of Trustees may reasonably request or deems appropriate; (xv)          
 overseeing and reviewing calculations of fees paid to the Fund’s service providers; (xvi) reviewing implementation of any share                 
 purchase programs authorized by the Board of Trustees; (xvii) determining the amounts available for distribution as dividends and distributions 
 to be paid by the Fund to its shareholders; (xviii) preparing and arranging for the printing of dividend notices to shareholders; (xix)         
 providing the Fund’s dividend disbursing agent and custodian with such information as is required for such parties to effect the                
 payment of dividends and distributions and to implement the Fund’s dividend reinvestment plan; (xx) preparing such information and              
 reports as may be required by any party from which the Fund borrows funds; (xxi) providing such assistance to the custodian and the Fund’s      
 counsel and aud