Exhibit (g)(8)
XXXXXX INSIGHT FUNDS TRUST
0000 Xxxxxxx Xxxxx
Xxxx xx Xxxxxxx, XX 00000
September 9, 2002
PFPC Trust Company
0000 Xxxxxxx Xxxxxxxxx
Xxxxxxxxxxxx, XX 00000
To Whom It May Concern:
Reference is made to the notice provisions of the following agreements
on behalf of Xxxxxx Insight Funds Trust (the "Trust"): the Investment Advisory
Contract between Xxxxxx Investment Management, Inc. ("HIM") and the Trust dated
April 28, 2000; the Distribution Agreement between PFPC Distributors, Inc.
("PFPC-DI") and the Trust dated March 16, 2001; the Administration Agreement
between Xxxxxx Trust and Savings Bank ("Xxxxxx") and the Trust dated July 1,
1996; the Sub-Administration and Accounting Services Agreement between Xxxxxx
and PFPC Inc. ("PFPC") dated July 1, 1996; the Transfer Agency Services
Agreement between Xxxxxx and the Trust dated July 1, 1996; the Sub-Transfer
Agency Services Agreement between Xxxxxx and PFPC dated July 1, 1996; the
Custodian Services Agreement (the "Custodian Agreement") between the Trust and
PFPC Trust Company ("PFPC-TC"), dated February 23, 1996; and the Sub-Custodian
Services Agreement (the "Sub-Custody Agreement") among PFPC-TC, PNC Bank, N.A.
("PNC") and the Trust dated February 18, 1999.
This writing is to provide notice of the addition of a new series under
the Trust: Xxxxxx Insight High Yield Bond Fund (the "New Portfolio"). The New
Portfolio is to be considered a Portfolio under each of the Custodian Agreement
and the Sub-Custody Agreement, and shall be subject to the terms set forth under
such Agreements unless otherwise provided herein. PFPC-TC shall be compensated
for services rendered under the Custodian Agreement as is consistent with such
Agreement and the related Fee Letter Agreement dated August 1, 2002.
The Trust requests that you act in the capacity of Custodian with
respect to the New Portfolio while continuing to act as Custodian with respect
to the Portfolios named in the Custodian Agreement and the Sub-Custody
Agreement.
If the foregoing is in accordance with your understanding, please so
indicate by signing and returning to us the enclosed copy hereof.
Sincerely,
Xxxxxx Insight Funds Trust
/s/ Xxxxx X. Xxxxxxxx
-------------------------
Xxxxx X. Xxxxxxxx
President
PFPC Trust Company
Accepted: /s/ Xxxxxx X. Xxxxxxxx
-------------------------------
Xxxxxx X. Xxxxxxxx
Vice President and Managing Director
cc: PNC Bank, N.A.
EXHIBIT A
This Exhibit A, dated as of September 9, 2002, is Exhibit A to the
Custodian Services Agreement dated February 23, 1996 between Xxxxxx Insight
Funds Trust and PFPC Trust Company.
XXXXXX INSIGHT FUNDS
Xxxxxx Insight Government Money Market Fund
Xxxxxx Insight Money Market Fund
Xxxxxx Insight Tax-Exempt Money Market Fund
Xxxxxx Insight Short/Intermediate Bond Fund
Xxxxxx Insight Bond Fund
Xxxxxx Insight High Yield Bond Fund
Xxxxxx Insight Intermediate Government Bond Fund
Xxxxxx Insight Intermediate Tax-Exempt Bond Fund
Xxxxxx Insight Tax-Exempt Bond Fund
Xxxxxx Insight Convertible Securities Fund
Xxxxxx Insight Equity Fund
Xxxxxx Insight Large-Cap Aggressive Growth Fund
Xxxxxx Insight Small-Cap Aggressive Growth Fund
Xxxxxx Insight Technology Fund
Xxxxxx Insight Equity Income Fund
Xxxxxx Insight Growth Fund
Xxxxxx Insight Small-Cap Opportunity Fund
Xxxxxx Insight Small-Cap Value Fund
Xxxxxx Insight Index Fund
Xxxxxx Insight Balanced Fund
Xxxxxx Insight International Fund
Xxxxxx Insight Emerging Markets Fund
XXXXXX INSIGHT FUNDS TRUST
By: /s/ Xxxxx X. Xxxxxxxx
-------------------------
Xxxxx X. Xxxxxxxx
President
PFPC TRUST COMPANY
By: /s/ Xxxxxx X. Xxxxxxxx
-----------------------------
Xxxxxx X. Xxxxxxxx
Title: Vice President and Managing Director