AMENDMENT TO THE ADVISORS SERIES TRUST FUND ACCOUNTING SERVICING AGREEMENT
AMENDMENT TO THE
FUND ACCOUNTING SERVICING AGREEMENT
THIS AMENDMENT dated as of the 3rd day of June, 2021, to the Fund Accounting Servicing Agreement, dated as of June 8, 2006, as amended (the “Agreement”), is entered into by and between Advisors Series Trust, a Delaware statutory trust (the “Trust”) and U.S. Bancorp Fund Services, LLC, a Wisconsin limited liability company (“USBFS”).
RECITALS
WHEREAS, the parties have entered into a Fund Accounting Servicing Agreement (“Agreement”); and
WHEREAS, the parties desire to amend the series of the Trust to add the Pzena International Value Fund; and
WHEREAS, Section 15 of the Agreement allows for its amendment by a written instrument executed by both parties.
NOW, THEREFORE, the parties agree as follows:
Exhibit HH is hereby superseded and replaced with Exhibit HH attached hereto.
Except to the extent amended hereby, the Agreement shall remain in full force and effect.
IN WITNESS WHEREOF, the parties hereto have caused this Amendment to be executed by a duly authorized officer on one or more counterparts as of the date and year first written above.
ADVISORS SERIES TRUST U.S. BANCORP FUND SERVICES, LLC
By: ______________________________ By: ________________________________
Printed Name: Xxxx Xxxxxxx Printed Name: _______________________
Title: President Title: Senior Vice President
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Exhibit HH to the Advisors Series Trust Fund Accounting Servicing Agreement
Name of Series Date Added
Pzena Mid Cap Value Fund On or after Xxxxx 00, 0000
Xxxxx Emerging Markets Value Fund On or after Xxxxx 00, 0000
Xxxxx Long/Short Value Fund On or after Xxxxx 00, 0000
Xxxxx Small Cap Value Fund On or after Xxxxx 0, 0000
Xxxxx International Small Cap Value Fund On or after June 14, 2018
Pzena International Value Fund On or after June 3, 2021
Multiple Series Trust FUND ACCOUNTING, FUND ADMINISTRATION & PORTFOLIO COMPLIANCE, AND CHIEF COMPLIANCE OFFICER (CCO) SERVICES FEE SCHEDULE at January, 2020 | ||
Annual Fee Based Upon Average Net Assets on a Fund Complex Level* 6 basis points on the first $[ ] million 5 basis points on the next $[ ] million 4 basis points on the balance above $[ ] million Minimum annual fee: $[ ]per fund (normally $[ ] per fund) •Additional fee of $[ ]for each additional class •Additional fee of $[ ] per manager/sub-advisor per fund Services Included in Annual Fee Per Fund •Daily Performance Reporting •Advisor Information Source Web Portal •USBFS Legal Administration (e.g., registration statement update) Section 15(c) Reporting •$[ ] /fund per report – first class •$[ ] /additional class report CCO Annual Fees (Per Advisor Relationship/Fund)* •$[ ] for the first advisor managed fund •$[ ] for funds 2-5 managed by the advisor •$[ ]/fund over 5 funds managed by the advisor •$[ ] / sub-advisor per fund Miscellaneous Expenses All other miscellaneous fees and expenses, including but not limited to the following, will be separately billed as incurred: Fair Value Services, SWIFT processing and customized reporting. Additional Services Additional services not included above shall be mutually agreed upon at the time of the service being added. Master/Feeder structures and additional services mutually agreed upon. In addition to the fees described above, additional fees may be charged to the extent that changes to applicable laws, rules or regulations require additional work or expenses related to services provided (e.g., compliance with new liquidity risk management and reporting requirements). *Subject to annual CPI increase – All Urban Consumers – U.S. City Average Fees are calculated pro rata and billed monthly. |
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Exhibit HH to the Advisors Series Trust Fund Accounting Servicing Agreement
FUND ACCOUNTING SERVICES SUPPLEMENTAL SERVICES FEE SCHEDULE at January, 2020 | ||
Pricing Services •$[ ] Domestic and Canadian Equities/Options •$[ ] Corp/Gov/Agency Bonds/International Equities/Futures/Currency Rates •$[ ] CMOs/Municipal Bonds/Money Market Instruments/International Bonds •$[ ] - Bank Loans •$[ ]- Credit Default Swaps/Swaptions •$[ ] - Basic Interest Rate Swaps •$[ ] /Fund per Month - Mutual Fund Pricing •$[ ] /Foreign Equity Security per Month for Corporate Action Service •$[ ] /Domestic Equity Security per Month for Corporate Action Service •$[ ] /Month Manual Security Pricing (>10/day) Factor Services (BondBuyer) •$[ ] /CMO/Month •$[ ] /Mortgage Backed/Month •$[ ] /Month Minimum/Fund Group Fair Value Services (Interactive Data) •$[ ] on the First 100 Securities/Day •$[ ] on the Balance of Securities/Day NOTE: Prices above are based on using IDC as the primary pricing service and are subject to change. Use of alternative sources may result in additional fees. |
Advisor’s Signature is not needed, as fee schedule is not changing.
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