SCHEDULE A
TO THE
INVESTMENT ADVISORY AGREEMENT
DATED MAY 7, 2010 BETWEEN
THE ADVISORS' INNER CIRCLE FUND
AND
AVIVA INVESTORS NORTH AMERICA, INC.
The Trust will pay to the Adviser as compensation for the Adviser's services
rendered, a fee, computed daily at an annual rate based on the average daily net
assets of the respective Fund in accordance the following fee schedule:
FUND RATE
Aviva Investors Emerging Markets Local Currency Bond Fund ................0.60%
Aviva Investors High Yield Bond Fund .....................................0.50%
Aviva Investors Core Aggregate Fixed Income Fund ........................0.30%