AMENDMENT NO. 2 TO PARTICIPATION AGREEMENT
EXHIBIT (8)(m)(2)
AMENDMENT NO. 2 TO PARTICIPATION AGREEMENT (PIONEER)
AMENDMENT NO. 2 TO PARTICIPATION AGREEMENT
THIS AMENDMENT, dated as of May 1, 2008 to the Participation Agreement dated March 1, 2005, as amended, among Pioneer Variable Contracts Trust (the “Trust”), ML Life Insurance Company of New York (the “Company”), on its own behalf and on behalf of each of the segregated asset accounts of the Company set forth in Schedule A hereto, as may be revised from time to time (the “Account”), Pioneer Investment Management, Inc. (“PIM”), and Pioneer Funds Distributor, Inc. (“PFD”) (the “Agreement”).
WITNESSETH:
WHEREAS, the Trust, the Company, PIM and PFD desire to amend the aforesaid Agreement to add additional funds, among other reasons;
NOW, THEREFORE, in consideration of the above premises, the Trust, the Company, PIM, and PFD hereby agree:
1. | Amendments. |
(a) | Schedule A to the Agreement is amended in its entirety and is replaced by the Schedule A attached hereto. |
(b) | Article XII of the Agreement is hereby amended as follows: |
If to the Company: | Xxxxxx X. Xxxxxxxxx, Esq. | |
Transamerica Asset Management, Inc. | ||
000 Xxxxxxxx Xxxxxxx | ||
Xx. Xxxxxxxxxx, XX 00000 |
(c) | Section 2. Administrative Services Fees set forth in Schedule B to this Agreement is hereby amended in its entirety and replaced by the following: |
2. | Administrative Service Fees |
For the administrative services set forth above, PIM or any of its affiliates shall pay a servicing fee based on the annual rate of 0.20% of the average aggregate net daily assets invested in the Class I Shares of the Portfolios and 0.20% of the average aggregate net daily assets invested in the Class II Shares of the Portfolios, with the following exceptions: 1) Pioneer High Yield VCT Portfolio Class II and Pioneer Small Cap Value VCT Portfolio Class II for which PIM or any of its affiliates shall pay a servicing fee based on the annual rate of 0.15% of the average aggregate net daily assets invested in the Class II Shares of the Portfolios, through the Accounts at the end of each calendar quarter; and 2) Pioneer Real Estate Shares VCT Portfolio Class II for which PIM or any of its affiliates shall pay a servicing fee based on the annual rate of 0.25% of the average aggregate net daily assets invested in the Class II Shares of the Portfolio, through the Accounts at the end of each calendar quarter. Such payments will be made to the Company within thirty (30) days after the end of each calendar quarter. Such fees shall be paid quarterly in arrears. Each payment will be accompanied by a statement showing the calculation of the fee payable to the Company for the quarter and such other supporting data as may be reasonably requested by the Company. The Company will calculate the asset balance on each day on which the fee is to be paid pursuant to this Agreement with respect to each Portfolio for the purpose of reconciling its calculation of average aggregate net daily assets with PIM’s calculation. Annually (as of December 31) or upon reasonable request of PIM, Company will provide PIM a statement showing the number of subaccount in each Class of Shares of each Portfolio as of the most recent calendar quarter end.
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3. | Effectiveness. This Amendment shall be effective as of the date first above written. |
3. | Continuation. Except as set forth above, the Agreement shall remain in full force and effect in accordance with its terms. |
4. | Counterparts. This Amendment may be executed in one or more counterparts, each of which shall be deemed to be an original. |
(Signature located on following page)
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IN WITNESS WHEREOF, the Trust, the Company, PIM, and PFD caused the Amendment to be executed by their duly authorized officers effective as of the day and year first above written.
ML LIFE INSURANCE COMPANY OF NEW YORK | ||||
By: | /s/ Xxxxxx X. Xxxxx |
|||
Name: | Xxxxxx X. Xxxxx | |||
Title: | Vice President | |||
PIONEER VARIABLE CONTRACTS TRUST, on behalf of the Portfolios | ||||
By: | /s/ Xxxxxxxxxxx X. Xxxxxx |
|||
Name:: | Xxxxxxxxxxx X. Xxxxxx | |||
Title: | Assistant Secretary | |||
PIONEER INVESTMENT MANAGEMENT, INC. | ||||
By: | /s/ Xxxx X. Xxxxxxx |
|||
Name: | Xxxx X. Xxxxxxx | |||
Title: | EVP & CCO | |||
PIONEER FUNDS DISTRIBUTOR, INC. | ||||
By: | /s/ Xxxxxx X. Xxxxxxx |
|||
Name: | Xxxxxx X. Xxxxx | |||
Title: | Executive Vice President |
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SCHEDULE A
ACCOUNTS, CONTRACTS AND PORTFOLIOS
SUBJECT TO THE PARTICIPATION AGREEMENT
Name of Separate Account And Date Established by Board of Directors |
Contract Funded by Separate Account |
Portfolios and Class of Shares Available to Contracts | ||
ML of New York Variable Annuity Separate Account A |
ML-NY-VA-010 Xxxxxxx Xxxxx Investor Choice Variable AnnuitySM |
As of March 1, 2005:
Pioneer High Yield VCT Portfolio (Class II)
Pioneer Fund VCT Portfolio (Class II)
Pioneer Small Cap Value VCT Portfolio (Class II)
As of May 1, 2006:
Pioneer Emerging Markets VCT Portfolio (Class II)
As of May 1, 2008:
Pioneer Real Estate Shares VCT Portfolio (Class II) |
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