AMENDED AND RESTATED EXPENSE LIMITATION AGREEMENT
Exhibit h 5 a
AMENDED AND RESTATED
THIS AMENDED AND RESTATED EXPENSE LIMITATION AGREEMENT, dated February 27, 2015, between The MainStay Funds and MainStay Funds Trust (each a “Trust” and collectively, the “Trusts”), on behalf of each series of the Trusts asset Forth on Schedule A (each a “Fund” and collectively, “Funds”), and New York Life Investment Management LLC (the “Manager”) (“Agreement”).
WHEREAS, the Manager has been appointed the investment adviser of each of the Funds pursuant to a Agreement between each Trust, on behalf of the Funds, and the Manager; and
WHEREAS, each Trust and the Manager desire to enter into the arrangements described herein relating to certain expenses of the Funds;
NOW, THEREFORE, each Trust and the Manager hereby agrees as follows:
1. | The Manager hereby agrees to waive fees and/or reimburse Fund expenses, excluding taxes, interest, litigation, extraordinary expenses, brokerage and other transaction expenses relating to the purchase or sale of portfolio investments, and acquired (underlying) fund fees and expenses), to the extent necessary to maintain Total Annual Operation Expenses specified for the class of shares of each Fund listed on Schedule A for the period commencing February 28, 2015 through February 28, 2016, except as provided below. |
2. | The waivers and/or reimbursements described in Section 1 above are not subject to recoupment by the Adviser. |
3. | The Manager understand and intends that the Funds will rely on this Agreement (1) in preparing and filing amendments to the registration statements for the Trusts on Form N-1A with the Securities and Exchange Commission, (2) in accruing each Fund’s expenses for purposes of calculating its net asset value per share and (3) for certain other purposes and expressly permits the Funds to do so. |
4. | This agreement shall renew automatically for one-year terms unless the Manager provides written notice of termination prior to the start of the next term or upon approval of the Board of Trustees of the Fund. |
IN WITNESS WHEREOF, the parties hereto have executed this Agreement as of the date first above written.
THE MAINSTAY FUNDS
By: | /s/ Xxxx X. Xxxxxxxxxx |
Name: | Xxxx X. Xxxxxxxxxx |
Title: | Treasurer
and Principal Financial and Accounting Officer |
By: | /s/ Xxxx X. Xxxxxxxxxx |
Name: | Xxxx X. Xxxxxxxxxx |
Title: | Treasurer
and Principal Financial and Accounting Officer |
NEW YORK LIFE INVESTMENT MANAGEMENT LLC
By: | /s/ Xxxxxxx X. Xxxxxx |
Name: | Xxxxxxx X. Xxxxxx |
Title: | Senior Managing Director and Co-President |
SCHEDULE A
FUND | Total Annual Operating Expense Limit (as a percent of average daily net asset) |
MainStay California Tax Free Bond Fund |
Class A: 0.75% Class C: The Adviser will apply an equivalent waiver or reimbursement,
in an equal number of basis points waived for Class A Shares. |
MainStay Conservative Allocation Fund | Class A: 0.50% Class B: 1.30% Class C: 1.30% Class I: 0.25% Investor Class: 0.55% |
MainStay Cornerstone Growth Fund |
Class A: 1.34% Class I: 1.09% |
MainStay Xxxxxxx MLP Premier Fund |
Expense Limitation until July 11, 2016: Class A: 1.60% |
MainStay Xxxxxxx Renaissance Advantage Fund |
Expense Limitation until July 11, 2016: Class A: 1.90%
Supplemental Expense Limitation until April 1, 2016: Class A: 1.75% Class C: The Adviser will apply an equivalent waiver or reimbursement, in an equal number of basis points waived for Class A Shares. Class I: The Adviser will apply an equivalent waiver or reimbursement, in an equal number of basis points waived for Class A Shares. Investor Class: The Advisor will apply and equivalent waiver or reimbursement, in an equal number of basis points waived for Class A Shares. |
MainStay Xxxxxxx Royalty Energy Income Fund |
Expense Limitation until July 11, 2016: Class A: 1.90% Supplemental Expense Limitation until April 1, 2016: Class A: 1.73% Class C: The Adviser will apply an equivalent waiver or reimbursement, in an equal number of basis points waived for Class A Shares. Class I: The Adviser will apply an equivalent waiver or reimbursement, in an equal number of basis points waived for Class A Shares. Investor Class: The Advisor will apply and equivalent waiver or reimbursement, in an equal number of basis points waived for Class A Shares. |
FUND | Total Annual Operating Expense Limit (as a percent of average daily net asset) |
MainStay Emerging Markets Opportunities Fund |
Class A: 1.60% Class I: The Adviser will apply an equivalent waiver or reimbursement,
in an equal number of basis points waived for Class A Shares. |
MainStay Epoch International Small Cap Fund | Class A: 1.65% Class C: The Adviser will apply an equivalent waiver or reimbursement, in an equal number of basis points waived for Class A Shares. Class I: The Adviser will apply an equivalent waiver or reimbursement, in an equal number of basis points waived for Class A Shares. Investor Class: The Adviser will apply an equivalent waiver or reimbursement, in an equal number of basis points waived for Class A Shares. |
MainStay Epoch U.S. Equity Yield Fund |
Class A: 1.24% Class C: The Adviser will apply an equivalent waiver or reimbursement,
in an equal number of basis points waived for Class A Shares. |
MainStay Government Fund | Class A: 1.00% Class B: The Adviser will apply an equivalent waiver or reimbursement, in an equal number of basis points waived for Class A Shares. Class C: The Adviser will apply an equivalent waiver or reimbursement, in an equal number of basis points waived for Class A Shares. Class I: The Adviser will apply an equivalent waiver or reimbursement, in an equal number of basis points waived for Class A Shares. Investor Class: The Adviser will apply an equivalent waiver or reimbursement, in an equal number of basis points waived for Class A Shares. |
MainStay Growth Allocation Fund | Class A: 0.50% Class B: 1.30% Class C: 1.30% Class I: 0.25% Investor Class: 0.55% |
MainStay High Yield Municipal Bond Fund |
Class A: 0.875% Class C: The Adviser will apply an equivalent waiver or reimbursement,
in an equal number of basis points waived for Class A Shares. |
FUND | Total Annual Operating Expense Limit (as a percent of average daily net asset) |
MainStay High Yield Opportunities Fund |
Class A: 1.30% Investor Class: The Adviser will apply an equivalent waiver or reimbursement, in an equal number of basis points waived for Class A Shares. |
MainStay ICAP Equity Fund | Class I: 0.90% |
MainStay ICAP Global Fund | Class A: 1.15% Class C: 1.95% Class I: 0.90% Investor Class: 1.20% |
MainStay ICAP International Fund | Class I: 0.95% |
MainStay ICAP Select Equity Fund | Class
A: 1.18% Class I: 0.90% |
MainStay Indexed Bond Fund |
Class A: 0.82% Class I: 0.40% |
MainStay International Opportunities Fund | Class A: 1.60% Class C: The Adviser will apply an equivalent waiver or reimbursement, in an equal number of basis points waived for Class A Shares. Class I: The Adviser will apply an equivalent waiver or reimbursement, in an equal number of basis points waived for Class A Shares. Investor Class: The Adviser will apply an equivalent waiver or reimbursement, in an equal number of basis points waived for Class A Shares. |
MainStay Large Cap Growth Fund | Class I: 0.88% |
MainStay Marketfield Fund |
Class I: 1.56% |
MainStay Moderate Allocation Fund | Class A: 0.50% Class B: 1.30% Class C: 1.30% Class I: 0.25% Investor Class: 0.55% |
MainStay Moderate Growth Allocation Fund | Class A: 0.50% Class B: 1.30% Class C: 1.30% Class I: 0.25% Investor Class: 0.55% |
MainStay Money Market Fund | Class A: 0.70% Class B: 0.80% Class C: 0.80% Investor Class: 0.80% |
FUND | Total Annual Operating Expense Limit (as a percent of average daily net asset) |
MainStay New York Tax Free Opportunities Fund |
Class A: 0.75% Class C: The Adviser will apply an equivalent waiver or reimbursement,
in an equal number of basis points waived for Class A Shares. |
MainStay Retirement 2010 Fund | Class A: 0.375% Class I: 0.125% Investor Class: 0.475% Class R1: 0.225% Class R2: 0.475% Class R3: 0.725% |
MainStay Retirement 2020 Fund | Class A: 0.375% Class I: 0.125% Investor Class: 0.475% Class R1: 0.225% Class R2: 0.475% Class R3: 0.725% |
MainStay Retirement 2030 Fund | Class A: 0.375% Class I: 0.125% Investor Class: 0.475% Class R1: 0.225% Class R2: 0.475% Class R3: 0.725% |
MainStay Retirement 2040 Fund | Class A: 0.375% Class I: 0.125% Investor Class: 0.475% Class R1: 0.225% Class R2: 0.475% Class R3: 0.725% |
MainStay Retirement 2050 Fund |
Class A: 0.375% Class R3: 0.725%. |
MainStay S&P 500 Index Fund | Class A: 0.60% Class I: The Adviser will apply an equivalent waiver or reimbursement, in an equal number of basis points waived for Class A Shares. Investor Class: The Adviser will apply an equivalent waiver or reimbursement, in an equal number of basis points waived for Class A Shares. |
MainStay Short Duration High Yield Fund |
Class A: 1.05% Class C: The Adviser will apply an equivalent waiver or reimbursement,
in an equal number of basis points waived for Class A Shares. |
FUND | Total Annual Operating Expense Limit (as a percent of average daily net asset) |
MainStay Short Term Bond Fund | Class A: 0.86% Class I: The Adviser will apply an equivalent waiver or reimbursement, in an equal number of basis points waived for Class A Shares. Investor Class: The Adviser will apply an equivalent waiver or reimbursement, in an equal number of basis points waived for Class A Shares. |
MainStay Tax Free Bond Fund |
Class A: 0.82% Class B: The Adviser will apply an equivalent waiver or reimbursement,
in an equal number of basis points waived for Class A Shares. Investor Class: The Adviser will apply an equivalent waiver or reimbursement, in an equal number of basis points waived for Class A Shares. |
Mainstay Total Return Bond Fund | Class I: 0.60% |
MainStay U.S. Equity Opportunities Fund |
Class A: 1.50% Investor Class: The Adviser will apply an equivalent waiver or reimbursement, in an equal number of basis points waived for Class A Shares. |