EXHIBIT (D)(3)
THE CATHOLIC FUNDS, INC.
MANAGEMENT AGREEMENT
REVISED SCHEDULE A
TO AMENDMENT NO. 2 TO THE INVESTMENT ADVISORY AGREEMENT WITH
CATHOLIC FINANCIAL SERVICES CORPORATION
(AS OF NOVEMBER 15, 2005)
The mutual fund series of The Catholic Funds, Inc. currently subject to
this Agreement is as follows:
CATHOLIC EQUITY FUND
A. Effective Date: April 2, 2002.
B. Management Fee: The management fee for this Fund, calculated
in accordance with Paragraph 8 of the Investment Advisory
Agreement, shall be at an annual rate of 0.50 of 1% on the
first $500 million of average daily net assets and 0.45 of 1%
of average daily net assets in excess of $500 million.