July 1, 2007 JPMorgan Trust I 235 Park Avenue New York, NY 10167 Dear Sirs:
July 1, 2007
JPMorgan Trust
I
000 Xxxx Xxxxxx
Xxx Xxxx, XX 00000
Dear Sirs:
X.X. Xxxxxx Investment Management Inc, JPMorgan Funds Management, Inc. and JPMorgan Distribution Services, Inc. (collectively, “JPMorgan Service Providers”) hereby agree to waive fees owed to each JPMorgan Service Provider or to reimburse each Fund listed on Schedule A until June 30, 2008. The JPMorgan Service Providers will waive fees or reimburse to the extent total operating expenses exceed the rate of average daily net assets also indicated on Schedule A. This expense limitation does not include acquired fund fees and expenses, dividend expenses on securities sold short, interest, taxes, extraordinary expenses and expenses related to the JPMorgan Funds’ Board of Trustees’ deferred compensation plan.
The JPMorgan Service Providers understand and intend that the Funds will rely on this agreement in preparing and filing their registration statements on Form N-1A and in accruing the Funds’ expenses for purposes of calculating net asset value and for other purposes, and expressly permit the Funds to do so.
Please acknowledge acceptance on the enclosed copy of this letter.
Very truly yours,
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X.X. Xxxxxx Investment Management Inc. |
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JPMorgan Funds Management, Inc. |
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JPMorgan Distribution Services, Inc. |
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By: |
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By: |
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Accepted by: |
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By: |
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JPMTI Fee Waiver Agreement
Page 2
SCHEDULE A
Variable NAV Funds
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Class A |
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Class B |
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Class C |
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Select |
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Institutional |
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Ultra |
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R Class |
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JPMorgan Bond Fund1 |
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0.75 |
% |
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1.50 |
% |
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1.50 |
% |
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0.69 |
% |
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0.49 |
% |
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0.40 |
% |
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JPMorgan California Tax Free Bond Fund1 |
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0.60 |
% |
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1.10 |
% |
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0.55 |
% |
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0.50 |
% |
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JPMorgan Emerging Markets Debt Fund1 |
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1.50 |
% |
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2.00 |
% |
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1.25 |
% |
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1.05 |
% |
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JPMorgan Enhanced Income Fund1 |
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0.25 |
% |
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JPMorgan Intermediate Tax Free Bond Fund1 |
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0.75 |
% |
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1.43 |
% |
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1.43 |
% |
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0.59 |
% |
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0.50 |
% |
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JPMorgan New York Tax Free Bond Fund1 |
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0.75 |
% |
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1.55 |
% |
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1.55 |
% |
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0.72 |
% |
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0.50 |
% |
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JPMorgan Real Return Fund1 |
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0.90 |
% |
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1.40 |
% |
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0.65 |
% |
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0.50 |
% |
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JPMorgan Short Term Bond Fund1 |
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0.75 |
% |
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0.60 |
% |
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0.30 |
% |
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JPMorgan Strategic Income Fund1 |
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1.15 |
% |
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1.65 |
% |
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1.65 |
% |
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0.90 |
% |
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0.65 |
% |
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1 |
Expense limitation is in place until at least 6/30/08. |
Money Market Funds
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Capital |
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Institutional |
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Agency |
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Premier |
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Xxxxxx |
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Reserve |
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Class B |
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Class C |
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Cash |
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E* |
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JPMorgan 100% U.S. Treasury Securities Money Market Fund2 |
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0.16 |
% |
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0.20 |
% |
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0.26 |
% |
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0.45 |
% |
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0.59 |
% |
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0.70 |
% |
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JPMorgan California Municipal Money Market Fund2 |
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0.55 |
% |
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1.00 |
% |
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JPMorgan Federal Money Market Fund2 |
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0.20 |
% |
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0.26 |
% |
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0.45 |
% |
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0.59 |
% |
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0.70 |
% |
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JPMorgan New York Municipal Money Market Fund2 |
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0.59 |
% |
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0.70 |
% |
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1.00 |
% |
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JPMorgan Prime Money Market Fund2 |
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0.16 |
% |
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0.20 |
% |
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0.26 |
% |
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0.45 |
% |
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0.52 |
% |
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0.70 |
% |
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0.97 |
% |
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0.97 |
% |
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0.96 |
% |
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JPMorgan Tax Free Money Market Fund2 |
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0.20 |
% |
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0.26 |
% |
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0.45 |
% |
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0.59 |
% |
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0.70 |
% |
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2 |
Expense limitation is in place until at least 6/30/08. |