Exhibit (d)(6)
Xxxxxxxx-Xxxxxxxxx Institutional Funds
000 Xxxx Xxxxxxxx
Xxx Xxxxx, Xxxxxxxxxx 00000
February 14, 2001
Xxxxxxxx-Xxxxxxxxx Capital Management
000 Xxxx Xxxxxxxx
Xxx Xxxxx, Xxxxxxxxxx 00000
Ladies and Gentlemen:
This will confirm our agreement that the Investment Advisory
Agreement between us dated May 8, 1999, as amended, is hereby amended by adding
thereto the Xxxxxxxx-Xxxxxxxxx International Structured Fund and
Xxxxxxxx-Xxxxxxxxx Small Cap Value Fund as Funds thereunder. The full list of
Funds covered by the Agreement and the annual advisory fee with respect to each
such Fund shall be as set forth on Exhibit A.
In all other respects, the Investment Advisory Agreement will
remain in full force and effect. Please sign this letter below to confirm your
agreement with this amendment.
Very truly yours,
--------------------
Xxxxxxx X. Xxxxx, Xx.
Assistant Secretary
AGREED:
Xxxxxxxx-Xxxxxxxxx Capital Management
By: _____________________
Xxxxxxx X. Xxxxx, Xx.
Deputy General Counsel
EXHIBIT A
XXXXXXXX-XXXXXXXXX MID CAP GROWTH FUND: 0.75% of the first $500 million of
the Fund's average net assets, 0.675% of the next $500 million of net assets,
and 0.65% of net assets in excess of $1 billion.
XXXXXXXX-XXXXXXXXX LARGE CAP GROWTH FUND: 0.75% of the first $500 million of
the Fund's average net assets, 0.675% of the next $500 million of net assets,
and 0.65% of net assets in excess of $1 billion.
XXXXXXXX-XXXXXXXXX MINI CAP GROWTH FUND: 1.25% of the Fund's average net
assets.
XXXXXXXX-XXXXXXXXX SMALL CAP GROWTH: 1.00% of the Fund's average net assets.
XXXXXXXX-XXXXXXXXX CONVERTIBLE FUND : 0.75% of the first $500 million of the
Fund's average net assets, 0.675% of the next $500 million of net assets, and
0.65% of net assets in excess of $1 billion.
XXXXXXXX-XXXXXXXXX WORLDWIDE GROWTH FUND: 1.00% of the first $500 million of
the Fund's average net assets, .90% of the next $500 million of net assets,
and .85% of net assets in excess of $1 billion.
XXXXXXXX-XXXXXXXXX INTERNATIONAL CORE GROWTH FUND: 1.00% of the first $500
million of the Fund's average net assets, 0.90% of the next $500 million of
net assets, and 0.80% of net assets in excess of $1 billion.
XXXXXXXX-XXXXXXXXX INTERNATIONAL STRUCTURED FUND: 0.85% of the Fund's
average net assets.
XXXXXXXX-XXXXXXXXX EMERGING COUNTRIES FUND: 1.25% of the Fund's average net
assets.
XXXXXXXX-XXXXXXXXX GLOBAL GROWTH & INCOME FUND: 0.85% of the Fund's average
net assets.
XXXXXXXX-XXXXXXXXX INTERNATIONAL SMALL CAP GROWTH FUND: 1.00% of the first
$500 million of the Fund's average net assets, .90% of the next $500 million
of net assets, and .85% of net assets in excess of $1 billion.
XXXXXXXX-XXXXXXXXX VALUE FUND: 0.75% of the first $500 million of the Fund's
average net assets, 0.675% of the next $500 million of net assets, and 0.65%
of net assets in excess of $1 billion.
XXXXXXXX-XXXXXXXXX SMALL CAP VALUE FUND: 1.00% of the Fund's average net
assets.
XXXXXXXX-XXXXXXXXX HIGH YIELD BOND FUND: 0.60% of the Fund's average net
assets.
XXXXXXXX-XXXXXXXXX SHORT-INTERMEDIATE FIXED INCOME FUND: 0.30% of the first
$250 million of the Fund's average net assets and 0.25% of the net assets in
excess of $250 million.
XXXXXXXX-XXXXXXXXX HIGH QUALITY BOND FUND: 0.45% of the first $500 million of
the Fund's average net assets, 0.40% of the next $250 million of net assets,
and 0.35% of net assets in excess of $750 million.
XXXXXXXX-XXXXXXXXX GLOBAL BLUE CHIP FUND: 0.80% of the Fund's average net
assets.
XXXXXXXX-XXXXXXXXX PACIFIC RIM FUND: 1.00% of Fund's average net assets.
XXXXXXXX-XXXXXXXXX LATIN AMERICA FUND: 1.25% of the Fund's average net
assets.
XXXXXXXX-XXXXXXXXX GLOBAL TECHNOLOGY FUND: 1.00% of the Fund's average net
assets.
XXXXXXXX-XXXXXXXXX GLOBAL HEALTH CARE FUND: 1.00% of the Fund's average net
assets.