FIFTEENTH AMENDMENT TO ADMINISTRATIVE SERVICES AGREEMENT
Exhibit (h)(2)(xvii)
FIFTEENTH AMENDMENT TO
ADMINISTRATIVE SERVICES AGREEMENT
This Amendment made as of December 14, 2010, by and between Natixis Asset Management Advisors, L.P. (“Natixis Advisors”), Natixis Funds Trust I, Natixis Funds Trust II, Natixis Funds Trust IV, Natixis Cash Management Trust, Xxxxxx Xxxxxx Funds I, Xxxxxx Xxxxxx Funds II, Gateway Trust and Xxxxxxxxxx International Series (collectively, the “Trusts”).
WHEREAS, Natixis Advisors and the Trusts are parties to an Administrative Services Agreement dated January 3, 2005, as amended November 1, 2005, January 1, 2006, July 1, 2007, September 17, 2007, February 1, 2008, February 19, 2008, July 1, 2008, September 29, 2008, October 31, 2008, January 9, 2009, July 27, 2009, February 25, 2010, July 1, 2010 and September 21, 2010 (together with the amendments, the “Agreement”), governing the terms and conditions under which Natixis Advisors provides certain administrative services to the series of the Trusts; and
WHEREAS, Natixis Advisors and the Trusts desire to amend Schedule A of the Agreement to reflect changes in Trust Portfolios;
NOW THEREFORE, in consideration of the premises and covenants contained herein, Natixis Advisors and the Trusts hereby agree as follows:
1. | Schedule A of the Agreement is deleted in its entirety and replaced with Schedule A attached hereto. |
2. | Except as specifically superseded or modified herein, the terms and provisions of the Agreement shall continue to apply with full force and effect. |
3. | This Amendment may be executed in one or more counter parts, each of which shall be deemed an original but all of which together will constitute one and the same instrument. |
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IN WITNESS WHEREOF, each of the parties has caused this instrument to be executed as a sealed instrument in its name and behalf by its duly authorized representative as of the date first above written.
NATIXIS ASSET MANAGEMENT ADVISORS, L.P. | ||||
By Natixis Distribution Corporation, its general partner | ||||
By: |
/s/Xxxxx X. Xxxxxx | |||
Xxxxx X. Xxxxxx, President and Chief Executive Officer | ||||
NATIXIS FUNDS TRUST I NATIXIS FUNDS TRUST II NATIXIS FUNDS TRUST IV NATIXIS CASH MANAGEMENT TRUST XXXXXX XXXXXX FUNDS I XXXXXX XXXXXX FUNDS II GATEWAY TRUST XXXXXXXXXX INTERNATIONAL SERIES | ||||
By: | /s/ Xxxxxxx X. Xxxxxx | |||
Xxxxxxx X. Xxxxxx, Treasurer |
Schedule A
Trust Portfolios
As of: December 15, 2010
Natixis Funds Trust I |
Absolute Asia Dynamic Equity Fund |
CGM Advisor Targeted Equity Fund |
Xxxxxxxxxx International Fund |
Xxxxxx Xxxxxx Core Plus Bond Fund |
Natixis Income Diversified Portfolio |
Natixis Oakmark Global Fund |
Natixis Oakmark International Fund |
Natixis U.S. Diversified Portfolio |
Xxxxxxx Xxxxxx Small Cap Value Fund |
Natixis Funds Trust II |
ASG Diversifying Strategies Fund |
ASG Global Alternatives Fund |
ASG Managed Futures Strategy Fund |
Xxxxxx Associates Large Cap Value Fund |
Xxxxxx Xxxxxx Absolute Strategies Fund |
Xxxxxx Xxxxxx Multi-Asset Real Return Fund |
Xxxxxxx Xxxxxx Value Opportunity Fund |
Westpeak ActiveBeta® Equity Fund |
Natixis Funds Trust IV |
AEW Real Estate Fund |
Natixis Cash Management Trust |
Natixis Cash Management Trust – Money Market Series |
Xxxxxx Xxxxxx Funds I |
Xxxxxx Xxxxxx Bond Fund |
Xxxxxx Xxxxxx Fixed Income Fund |
Xxxxxx Xxxxxx Global Bond Fund |
Xxxxxx Xxxxxx High Income Opportunities Fund* |
Xxxxxx Xxxxxx Inflation Protected Securities Fund |
Xxxxxx Xxxxxx Institutional High Income Fund |
Xxxxxx Xxxxxx Intermediate Duration Bond Fund |
Xxxxxx Xxxxxx Investment Grade Fixed Income Fund |
Xxxxxx Xxxxxx Securitized Asset Fund* |
Xxxxxx Xxxxxx Small Cap Value Fund |
* | With respect to these Funds only, paragraph 3 of the Agreement is revised to provide that Natixis Advisors shall be entitled to reasonable compensation for its services and expenses as Administrator, but Xxxxxx, Xxxxxx & Company, L.P. (“Xxxxxx Xxxxxx), the adviser to the Funds, and not Xxxxxx Xxxxxx Funds I, shall be |
responsible for payment of such compensation and expenses relating to the Funds, as agreed upon by Xxxxxx Xxxxxx in separate Letter Agreements dated January 3, 2005 and July 1, 2005, respectively. |
Xxxxxx Xxxxxx Funds II |
Xxxxxx Xxxxxx Disciplined Equity Fund |
Xxxxxx Xxxxxx Global Markets Fund |
Xxxxxx Xxxxxx Growth Fund |
Xxxxxx Xxxxxx High Income Fund |
Xxxxxx Xxxxxx International Bond Fund |
Xxxxxx Xxxxxx Investment Grade Bond Fund |
Xxxxxx Xxxxxx Limited Term Government and Agency Fund |
Xxxxxx Xxxxxx Mid Cap Growth Fund |
Xxxxxx Xxxxxx Small Cap Growth Fund |
Xxxxxx Xxxxxx Strategic Income Fund |
Xxxxxx Xxxxxx Value Fund |
Xxxxxxxxxx International Series |
Xxxxxxxxxx All Countries Fund (not operational) |
Xxxxxxxxxx Emerging Markets Fund |
Xxxxxxxxxx International Growth Fund |
Xxxxxxxxxx International Value Fund |
Gateway Trust |
Gateway Fund |