SCHEDULE D TO THE AMENDED AND RESTATED ADMINISTRATION AND TRANSFER AGENCY AGREEMENT BETWEEN SEI INSTITUTIONAL INTERNATIONAL TRUST AND SEI INVESTMENTS GLOBAL FUNDS SERVICES (formerly, SEI INVESTMENTS FUND MANAGEMENT) DATED AS OF DECEMBER 10, 2003 AS...
Exhibit 99.B(h)(2)
SCHEDULE
D
TO THE AMENDED AND RESTATED
ADMINISTRATION AND TRANSFER AGENCY AGREEMENT
BETWEEN
SEI INSTITUTIONAL INTERNATIONAL TRUST
AND SEI INVESTMENTS GLOBAL FUNDS SERVICES
(formerly, SEI INVESTMENTS FUND MANAGEMENT)
DATED AS OF DECEMBER 10, 2003
AS AMENDED AUGUST 7, 2014, SEPTEMBER 15, 2014, JANUARY 1, 2017
and JULY 1, 2023
Portfolios: | This Agreement shall apply with respect to all portfolios of the Trust, either now existing or in the future created. The following is a listing of the current portfolios of the Trust (each, a "Fund" and collectively, the "Funds"): |
International
Equity Fund
Emerging Markets Equity Fund
International Fixed Income
Fund
Emerging Markets Debt Fund
Fees: | Pursuant to Article 5, the Trust shall pay the Administrator the following fees, at the annual rate set forth below calculated based upon the average daily net assets of each Fund: |
For each of the Funds listed above:
0.400%
on the first $1.5 billion of Assets;
0.340% on the next $500 million
of Assets;
0.280% on the next $500 million
of Assets;
0.235% on the next
$500 million of Assets;
0.200% on Assets over
$3 billion.
SEI Institutional International Trust | SEI Investments Global Funds Services | |||
By: | /s/ Xxxxxxx X. XxxXxx | By: | /s/ Xxxx Xxxxxxxxx | |
Name: | Xxxxxxx X. XxxXxx | Name: | Xxxx Xxxxxxxxx | |
Title: | Vice President | Title: | SVP |
[END OF SCHEDULE D]