EXHIBIT NO. EX-99.g.1.e
AMENDMENT
[JPMORGAN LOGO]
JPMORGAN CHASE BANK
0 Xxx Xxxx Xxxxx
Xxx Xxxx, XX 00000
March __, 2006
UBS Relationship Funds
Xxx Xxxxx Xxxxxx Xxxxx
Xxxxxxx, XX 00000
RE: AMENDMENT TO MULTIPLE SERVICES AGREEMENT EFFECTIVE MAY 9, 1997
SCHEDULES B1 AND F TO REFLECT THE ADDITION OF SERIES
Dear Sirs:
We refer to the Multiple Services Agreement effective May 9, 1997 (the "MSA")
between Xxxxxx Xxxxxxx Trust Company, which was succeeded by JPMorgan Chase
Bank, and the UBS Relationship Funds.
The parties hereby agree as follows:
1. "Schedule B1 - List of Series of UBS Relationship Funds as last
amended on October __, 2005" IS REPLACED in its entirety with
"Schedule B1 - List of Series of UBS Relationship Funds as last
amended on March __, 2006" attached hereto.
2. "Schedule F - Fee Schedule for UBS Relationship Funds as last
amended on October __, 2005" IS REPLACED in its entirety with
"Schedule F - Fee Schedule for UBS Relationship Funds as last
amended on March __, 2006," attached hereto.
The MSA, as amended by this letter amendment, shall continue in full
force and effect.
Please evidence your acceptance of the terms of this letter by signing
below and returning one copy to Xxxxx Xxxxxxxxxx, X.X. Xxxxxx Investor Services
Co., 00 Xxxxxxx, Xxxxxx, XX 00000.
Very truly yours,
JPMORGAN CHASE BANK
By: _________________________
Name:
Title:
Accepted and Agreed:
UBS RELATIONSHIP FUNDS
By: _________________________
Name:
Title:
SCHEDULE B1
LIST OF SERIES OF UBS RELATIONSHIP FUNDS
AS LAST AMENDED MARCH __, 2006
UBS Global Securities Relationship Fund
UBS Global Aggregate Bond Relationship Fund
UBS U.S. Large Cap Equity Relationship Fund
UBS Large-Cap Select Equity Relationship Fund
UBS U.S. Intermediate Cap Equity Relationship Fund
UBS U.S. Large-Cap Value Equity Relationship Fund
UBS Small-Cap Equity Relationship Fund
UBS International Equity Relationship Fund
UBS Emerging Markets Equity Relationship Fund
UBS U.S. Core Plus Relationship Fund
UBS U.S. Bond Relationship Fund
UBS Short Duration Relationship Fund
UBS Enhanced Yield Relationship Fund
UBS Short-Term Relationship Fund
UBS U.S. Treasury Inflation Protected Securities Relationship Fund
UBS U.S. Cash Management Prime Relationship Fund
UBS High Yield Relationship Fund
UBS Emerging Markets Debt Relationship Fund
UBS U.S. Securitized Mortgage Relationship Fund
UBS Opportunistic Emerging Markets Debt Relationship Fund
UBS Opportunistic High Yield Relationship Fund
UBS Corporate Bond Relationship Fund
UBS All Country World Ex US Equity Relationship Fund
UBS Absolute Return Investment Grade Bond Relationship (Formerly, UBS Absolute
Return Bond Relationship Fund)
UBS Emerging Markets Equity Completion Relationship Fund
UBS U.S. Small-Mid Cap Core Equity Relationship Fund
UBS U.S. Small-Mid Cap Growth Equity Relationship Fund
UBS U.S. Equity Alpha Relationship Fund
UBS Global Equity Relationship Fund
UBS U.S. Smaller Cap Equity Completion Relationship Fund
UBS Global ex U.S. Smaller Cap Equity Completion Relationship Fund
UBS U.S. Large Cap Growth Equity Relationship Fund
UBS U.S. Large-Cap Select Growth Equity Relationship Fund
UBS Absolute Return Bond Relationship Fund
UBS Global (ex-US) Bond Relationship Fund
SCHEDULE F
FEE SCHEDULE FOR UBS RELATIONSHIP FUNDS
AS LAST AMENDED ON MARCH __, 2006
ACCOUNTING, ADMINISTRATION, TRANSFER AGENCY AND
CUSTODY SERVICES ANNUAL FEE SCHEDULE
1. On an annual basis, 4.00 basis points of the average weekly U.S.
net assets of the Customer, 9.00 basis points of the average
weekly non-U.S. net assets of the Customer, 32.50 basis points
of the average weekly emerging markets equity net assets of the
Customer, 9.00 basis points of the average weekly emerging
markets debt non-U.S. dollar denominated net assets of the
Customer, and 4.00 basis points of the average weekly emerging
markets debt U.S. dollar denominated net assets of the Customer.
A $10,000 per fund fixed fee will also apply for any fund of
funds arrangements.
There will be an annual fee of $25 for each shareholder account
within UBS Relationship Funds.
An additional fee of 7.50 basis points will be charged for
administrative duties. PLEASE NOTE: The additional fee of 7.50
basis points can ONLY be charged up to the extent it does not
make a fund exceed its expense cap. Please see below for the
expense caps of each fund within the UBS Relationship Funds:
FUND EXPENSE CAP
---- -----------
UBS Global Securities Relationship Fund 8.75 basis points
UBS Global Aggregate Bond Relationship Fund 8.75 basis points
UBS U.S. Large Cap Equity Relationship Fund 4.75 basis points
UBS Large-Cap Select Equity Relationship Fund 4.75 basis points
UBS U.S. Intermediate Cap Equity Relationship Fund 4.75 basis points
UBS U.S. Large-Cap Value Equity Relationship Fund 4.75 basis points
UBS Small-Cap Equity Relationship Fund 3.75 basis points
UBS International Equity Relationship Fund 9 basis points
UBS Emerging Markets Equity Relationship Fund 50 basis points
UBS U.S. Core Plus Relationship Fund 8.75 basis points
UBS U.S. Bond Relationship Fund 4.75 basis points
UBS Short Duration Relationship Fund 4.75 basis points
UBS Enhanced Yield Relationship Fund 4.75 basis points
UBS Short-Term Relationship Fund 8.75 basis points
UBS U.S. Treasury Inflation Protected Securities
Relationship Fund 4.75 basis points
UBS U.S. Cash Management Prime Relationship Fund 1.00 basis point
UBS High Yield Relationship Fund 3.75 basis points
UBS Emerging Markets Debt Relationship Fund 50 basis points
UBS U.S. Securitized Mortgage Relationship Fund 13.75 basis points
UBS Opportunistic Emerging Markets Debt Relationship Fund 50 basis points
UBS Opportunistic High Yield Relationship Fund 13.75 basis points
UBS Corporate Bond Relationship Fund 10 basis points
UBS All Country World Ex US Equity Relationship Fund 23 basis points
UBS Absolute Return Investment Grade Bond Relationship
Fund (Formerly, UBS Absolute Return Bond Relationship Fund) __ basis points
UBS Emerging Markets Equity Completion Relationship Fund __ basis points
UBS U.S. Small-Mid Cap Core Equity Relationship Fund __ basis points
UBS U.S. Small-Mid Cap Growth Equity Relationship Fund __ basis points
UBS U.S. Equity Alpha Relationship Fund __ basis points
UBS Global Equity Relationship Fund __ basis points
UBS U.S. Smaller Cap Equity Completion Relationship Fund __ basis points
UBS Global ex U.S. Smaller Cap Equity Completion
Relationship Fund __ basis points
UBS U.S. Large Cap Growth Equity Relationship Fund __ basis points
UBS U.S. Large-Cap Select Growth Equity Relationship Fund __ basis points
UBS Absolute Return Bond Relationship Fund __ basis points
UBS Global (ex-US) Bond Relationship Fund __ basis points
For purposes of this Schedule F, the "AVERAGE WEEKLY U.S. ASSETS
OF THE CUSTOMER" means the average weekly U.S. assets custodied
within the United States of the Customer as calculated by the
Accounting Agent for the month for which the statement
reflecting the charges for a given month relates. For purposes
of this Schedule F, the "AVERAGE WEEKLY NON-U.S. ASSETS OF THE
CUSTOMER" means the average weekly balance of countries included
in the Xxxxxx Xxxxxxx Capital World Ex-U.S.A. (Free) Index or
the Salomon Non-U.S. Government Bond Index (including assets
with a country of issue of the European Economic Community and
held in Euroclear or CEDEL) custodied outside the United States
of the Customer as calculated by the Accounting Agent for the
month for which the statement reflecting the charges for a given
month relates. For purposes of this Schedule F, the "AVERAGE
WEEKLY EMERGING MARKETS EQUITY ASSETS OF THE CUSTOMER" means the
average weekly balance of the countries included in the
International Finance Corporation Global Index (excluding
countries included in the Xxxxxx Xxxxxxx Capital World Ex-U.S.A.
(Free) Index or the Salmon Non-U.S. Government Bond Index, but
including assets with a country of issue in the local market
contained in such index that are held in Euroclear or CEDEL)
custodied outside the United States of the UBS Emerging Markets
Equity Relationship Fund as calculated by the Accounting Agent
for the month for which the statement reflecting the charges for
a given month relates. For purposes of this Schedule F, the
"AVERAGE WEEKLY EMERGING MARKETS DEBT ASSETS OF THE CUSTOMER"
means the average weekly balance of the countries included in
the X.X. Xxxxxx
Emerging Markets Bond Index Plus custodied outside the United
States of the UBS Emerging Markets Debt Relationship Fund
(including assets with a country of issue in the local market
contained in such index that are held in Euroclear or CEDEL) as
calculated by the Accounting Agent for the month for which the
statement reflecting the charges for a given month relates.
Those fees include all out-of-pocket expenses or transaction
charges incurred by the accountant, administrator, transfer
agent and custodian with the exception of the following.
The Customer will be billed directly by Other Parties for the
following direct Customer expenses or transaction charges:
(1) taxes;
(2) salaries and other fees of officers and directors who are
not officers, directors, shareholders or employees of
Other Parties, or the Customer's investment adviser;
(3) SEC and state Blue Sky registration and qualification
fees, levies, fines and other charges;
(4) XXXXX filing fees;
(5) independent public accountants;
(6) insurance premiums including fidelity bond premiums;
(7) outside legal expenses;
(8) costs of maintenance of corporate existence;
(9) expenses of typesetting and printing of prospectuses for
regulatory purposes and for distribution to current
shareholders of the Customer;
(10) expenses of printing and production costs of
shareholders' reports and proxy statements and materials;
(11) trade association dues and expenses; and
(12) travel and lodging expenses of the Customer's directors
and officers who are not directors, officers and/or
employees of Other Parties.
Customer will not be billed directly for any direct Customer
Expenses or pay any other direct Customer expenses, unless the
payment of such direct expenses is agreed to in writing by
Customer.
2. Upon termination of the provision of services under this
Agreement before the end of any month, the fee for the part of
the month before such termination or the date after which the
provision of services ceases, whichever is later, shall be
prorated according to the proportion which such part bears to
the full monthly period and shall be payable upon the date of
such termination or the date after which the provision of the
services ceases, whichever is later.