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EX-99.D1A 2 d436717dex99d1a.htm AMENDMENT TO SCHEDULE A TO INVESTMENT AGREEMENT, LVIP & LFI LINCOLN VARIABLE INSURANCE PRODUCTS TRUST - Amendment to Schedule A to the Investment Management Agreement, dated June 17, 2022, between LVIP Trust and LFI, previously filed with PEA 233 on May 1, 2023.

AMENDMENT TO

INVESTMENT MANAGEMENT AGREEMENT

This Amendment (the “Amendment”), effective as of the dates indicated on Schedule A, shall be between Lincoln Investment Advisors Corporation and Lincoln Variable Insurance Products Trust, a Delaware statutory trust (“Trust”), on behalf of each series (each, a “Fund”) set forth in Schedule A.

WHEREAS, the parties hereto entered into the Investment Management Agreement (the “Agreement”), executed and effective as of April 30, 2007; and

WHEREAS, effective March 13, 2023, Lincoln Investment Advisors Corporation underwent a name change to “Lincoln Financial Investments Corporation.”

NOW, THEREFORE, in consideration of the promises and mutual covenants hereinafter contained, the parties, intending to be legally bound, agree as follows:

 

  1.

Schedule A shall be deleted in its entirety and replaced with the amended Schedule A attached below.

 

  2.

All references in the Agreement to “Lincoln Investment Advisors Corporation” are hereby changed to “Lincoln Financial Investments Corporation.”

The parties hereto have caused this Amendment to be signed by their duly authorized officers as of March 28, 2023 and effective in accordance with the dates noted above.

 

LINCOLN FINANCIAL INVESTMENTS CORPORATION    LINCOLN VARIABLE INSURANCE PRODUCTS TRUST, on behalf of each of its Funds listed on Schedule A
   By:      /s/William P. Flory, Jr.                                
By:     /s/Benjamin A. Richer                Name: William P. Flory, Jr.
Name: Benjamin A. Richer    Title:  Vice President & Chief Accounting Officer
Title:   Senior Vice President   

 

1


THIS AMENDED SCHEDULE A lists the Funds for which the Investment Manager provides investment management services pursuant to the Investment Management Agreement dated April 30, 2007, as amended.

 

     
Fund Name  

Management Fee Schedule

(as a percentage of average daily  

net assets)

  Effective Date
     
Lincoln Nasdaq-100 Buffer Fund Jun  

0.55%

 

June 18, 2021

     
Lincoln Nasdaq-100 Buffer Fund Sep  

0.55%

 

September 17, 2021

     
Lincoln Nasdaq-100 Buffer Fund Dec  

0.55%

 

December 17, 2021

     
Lincoln Nasdaq-100 Buffer Fund Mar  

0.55%

 

March 18, 2022

     
Lincoln S&P 500 Buffer Fund Feb  

0.55%

 

February 18, 2022

     
Lincoln S&P 500 Ultra Buffer Fund Feb  

0.55%

 

February 18, 2022

     
Lincoln S&P 500 Buffer Fund May  

0.55%

 

May 21, 2021

     
Lincoln S&P 500 Ultra Buffer Fund May  

0.55%

 

May 21, 2021

     
Lincoln S&P 500 Buffer Fund August  

0.55%

 

August 20, 2021

     
Lincoln S&P 500 Ultra Buffer Fund August  

0.55%

 

August 20, 2021

     
Lincoln S&P 500 Buffer Fund November  

0.55%

 

November 19, 2021

     
Lincoln S&P 500 Ultra Buffer Fund November  

0.55%

 

November 19, 2021

     
Lincoln U.S. Hedged Equity Fund  

0.55%

 

June 1, 2023

     
LVIP American Balanced Allocation Fund  

0.25%

 

July 30, 2010

     
LVIP American Century Select Mid Cap Managed Volatility Fund  

0.75%

 

October 1, 2013

     
LVIP American Global Balanced Allocation Managed Risk Fund  

0.25%

 

March 15, 2012

     
LVIP American Global Growth Allocation Managed Risk Fund  

0.25%

 

March 15, 2012

     
LVIP American Global Growth Fund1  

0.80%

 

April 30, 2010

     
LVIP American Global Small Capitalization Fund1  

1.00%

 

April 30, 2010

     
LVIP American Growth Fund1  

0.75%

 

April 30, 2010

     
LVIP American Growth-Income Fund1  

0.75%

 

April 30, 2010

     
LVIP American Growth Allocation Fund  

0.25%

 

July 30, 2010

     
LVIP American Income Allocation Fund  

0.25%

 

July 30, 2010

     
LVIP American International Fund1  

0.85%

 

April 30, 2010

     
LVIP American Preservation Fund  

0.25%

 

August 27, 2012

 

2


     
Fund Name  

Management Fee Schedule

(as a percentage of average daily  

net assets)

  Effective Date
     
LVIP Baron Growth Opportunities Fund   1.00%  

June 5, 2007

     
LVIP BlackRock Dividend Value Managed Volatility Fund  

0.75% of the first $500 million; and

0.70% of the excess over $500 million

 

October 1, 2009

     
LVIP BlackRock Global Allocation Fund   0.64% on the first $1.5 billion; and 0.60% of the excess over $1.5 billon  

October 1, 2022

     
LVIP BlackRock Global Allocation Managed Risk Fund   0.15%  

May 1, 2019

     
LVIP BlackRock Global Growth ETF Allocation Managed Risk Fund   0.25%  

May 1, 2016

     
LVIP BlackRock Inflation Protected Bond Fund  

0.45% of the first $500 million; and

0.40% of the excess over $500 million

 

April 30, 2010

     
LVIP BlackRock Real Estate Fund  

0.73% on assets up to $250 million;

0.63% on assets over $250 million

 

May 1, 2014

     
LVIP BlackRock U.S. Growth ETF Allocation Managed Risk Fund   0.25%  

May 1, 2016

     
LVIP Blended Large Cap Growth Managed Volatility Fund  

0.75% of the first $500 million; and

0.70% of the excess over $500 million

 

April 30, 2007

     
LVIP Blended Mid Cap Managed Volatility Fund   0.65%  

May 1, 2019

     
LVIP Channing Small Cap Value Fund   0.75%  

July 18, 2022

     
LVIP ClearBridge Franklin Select Large Cap Managed Volatility Fund   0.64%  

October 1, 2013

     
LVIP Delaware Bond Fund  

0.48% of the first $200 million;

0.40% of the next $200 million; and

0.30% of the excess over $400 million

 

April 30, 2007

     
LVIP Delaware Diversified Floating Rate Fund  

0.60% of the first $500 million; and

0.55% of the excess over $500 million

 

April 30, 2010

     
LVIP Delaware Diversified Income Fund  

First $500M                               0.65%

Next $500M to $1B                   0.60%

Next $1B to $2.5B                     0.55%

Over $2.5B                                  0.50%

 

May 1, 2021

     
LVIP Delaware High Yield Fund  

First $500M                                 0.65%

Next $500M to $1B                    0.60%

Next $1B to $2.5B                      0.55%

Over $2.5B                                  0.50%

 

May 1, 2021

 

3


     
Fund Name  

Management Fee Schedule

(as a percentage of average daily  

net assets)

  Effective Date
LVIP Delaware Limited-Term Diversified Income Fund  

First $500M                              0.500%

Next $500M to $1B                  0.475%

Next $1B to $2.5B                    0.450%

Over $2.5B                                0.425%

 

May 1, 2021

     
LVIP Delaware Mid Cap Value Fund  

0.48% of the first $200 million;

0.40% of the next $200 million; and

0.30% of the excess over $400 million

 

April 30, 2007

     
LVIP Delaware SMID Cap Core Fund  

First $500M                               0.75%

Next $500M to $1B                   0.70%

Next $1B to $2.5B                     0.65%

Over $2.5B                                  0.60%

 

May 1, 2021

LVIP Delaware Social Awareness Fund  

0.48% of the first $200 million;

0.40% of the next $200 million; and

0.30% of the excess over $400 million

 

April 30, 2007

LVIP Delaware U.S. Growth Fund  

First $500M                                 0.65%

Next $500M to $1B                    0.60%

Next $1B to $2.5B                      0.55%

Over $2.5B                                   0.50%

 

May 1, 2021

LVIP Delaware U.S. REIT Fund  

First $500M                                0.75%

Next $500M to $1B                     0.70%

Next $1B to $2.5B                      0.65%

Over $2.5B                                  0.60%

 

May 1, 2021

LVIP Delaware Value Fund  

First $500M                                 0.65%

Next $500M to $1B                    0.60%

Next $1B to $2.5B                      0.55%

Over $2.5B                                  0.50%

 

May 1, 2021

LVIP Delaware Wealth Builder Fund  

0.63%

 

May 1, 2019

LVIP Dimensional International Core Equity Fund  

0.58%

 

March 4, 2020

LVIP Dimensional International Equity Managed Volatility Fund  

0.25%

 

April 29, 2011

LVIP Dimensional U.S. Core Equity 1 Fund  

0.48% of the first $200 million;

0.40% of the next $200 million; and

0.30% of the excess of $400 million

 

April 30, 2007

LVIP Dimensional U.S. Core Equity 2 Fund  

0.42%

 

May 1, 2022

LVIP Dimensional U.S. Equity Managed Volatility Fund  

0.25%

 

April 29, 2011

LVIP Fidelity Institutional AM® Select Core Equity Managed Volatility Fund  

0.70%

 

April 30, 2013

LVIP Franklin Templeton Global Equity Managed Volatility Fund  

0.75% of the first $200 million;

0.65% of the next $300 million; and

0.60% of the excess over $500 million

 

April 30, 2007

 

4


     
Fund Name  

Management Fee Schedule

(as a percentage of average daily  

net assets)

  Effective Date
LVIP Global Aggressive Growth Allocation Managed Risk Fund   0.25%  

November 1, 2018

LVIP Global Conservative Allocation Managed Risk Fund   0.25%  

April 30, 2007

LVIP Global Growth Allocation Managed Risk Fund   0.25%  

April 30, 2007

LVIP Global Income Fund   0.65%  

May 1, 2009

LVIP Global Moderate Allocation Managed Risk Fund   0.25%  

April 30, 2007

LVIP Government Money Market Fund  

0.48% of the first $200 million;

0.40% of the next $200 million; and 0.30% of the excess over $400 million

 

April 30, 2007

LVIP Invesco Select Equity Income Managed Volatility Fund   0.565%  

May 1, 2020

LVIP JPMorgan Core Bond Fund   0.40%  

May 1, 2023

LVIP JPMorgan High Yield Fund  

0.65% of the first $500 million; and

0.60% of the excess over $500 million

 

April 30, 2010

LVIP JPMorgan Mid Cap Value Fund   0.65%  

May 1, 2023

LVIP JPMorgan Retirement Income Fund   0.75%  

May 1, 2009

LVIP JPMorgan Select Mid Cap Value Managed Volatility Fund  

1.05% of the first $60 million;

0.75% of the next $90 million; and

0.65% of the excess over $150 million

 

April 30, 2007

     
LVIP JPMorgan Small Cap Core Fund   0.65%  

May 1, 2023

     
LVIP JPMorgan U.S. Equity Fund   0.55%  

May 1, 2023

     
LVIP Loomis Sayles Global Growth Fund   0.68%  

April 30, 2018

     
LVIP MFS International Equity Managed Volatility Fund   0.85%  

April 30, 2013

LVIP MFS International Growth Fund  

1.00% of the first $50 million;

0.95% of the next $50 million;

0.90% of the next $50 million;

0.85% of the next $100 million; and

0.80% of the excess over $250 million

 

October 1, 2010

 

5


     
Fund Name  

Management Fee Schedule

(as a percentage of average daily  

net assets)

  Effective Date
LVIP MFS Value Fund  

0.75% of the first $75 million;

0.70% of the next $75 million;

0.65% of the next $50 million;

0.60% of the next $300 million;

0.5875% of the next $1 billion; and

0.5625% on assets over $1.5 billion

 

May 1, 2014

LVIP Mondrian International Value Fund  

0.90% of the first $200 million;

0.75% of the next $200 million; and 0.60% of the excess over $400 million

 

April 30, 2007

LVIP Multi-Manager Global Equity Managed Volatility Fund   0.20%  

May 1, 2023

     
LVIP PIMCO Low Duration Bond Fund   0.50%  

May 1, 2014

LVIP SSGA Bond Index Fund   0.40%  

May 1, 2008

     
LVIP SSGA Conservative Index Allocation Fund   0.15%  

May 1, 2019

LVIP SSGA Developed International 150 Fund  

0.40% on assets up to $100 million;

0.32% on assets above $100 million

 

May 1, 2014

LVIP SSGA Emerging Markets Equity Index Fund   0.34%  

November 1, 2018

LVIP SSGA Emerging Markets 100 Fund  

0.40% on assets up to $100 million;

0.33% on assets above $100 million

 

May 1, 2014

LVIP SSGA Global Tactical Allocation Managed Volatility Fund   0.40%  

November 1, 2013

LVIP SSGA International Index Fund   0.40%  

May 1, 2008

LVIP SSGA International Managed Volatility Fund   0.23%  

May 1, 2019

LVIP SSGA Large Cap 100 Fund  

0.40% on assets up to $100 million;

0.30% on assets above $100 million

 

May 1, 2014

LVIP SSGA Large Cap Managed Volatility Fund   0.23%  

May 1, 2019

LVIP SSGA Mid-Cap Index Fund   0.27%  

September 1, 2014

LVIP SSGA Moderate Index Allocation Fund   0.15%  

May 1, 2019

LVIP SSGA Moderately Aggressive Index Allocation Fund   0.15%  

May 1, 2019

LVIP SSGA Nasdaq-100 Index Fund   0.29%  

February 1, 2021

 

6


     
Fund Name  

Management Fee Schedule

(as a percentage of average daily  

net assets)

  Effective Date
LVIP SSGA S&P 500 Index Fund  

0.24% of the first $500 million;

0.20% of the next $500 million; and

0.16% of the excess over $1 billion

 

April 30, 2007

LVIP SSGA Short-Term Bond Index Fund   0.28%  

April 30, 2018

LVIP SSGA SMID Cap Managed Volatility Fund   0.23%  

May 1, 2019

LVIP SSGA Small-Cap Index Fund   0.32%  

April 30, 2007

LVIP SSGA Small-Mid Cap 200 Fund  

0.40% on assets up to $100 million;

0.30% on assets over $100 million

 

May 1, 2014

LVIP Structured Conservative Allocation Fund   0.15%  

May 1, 2019

LVIP Structured Moderate Allocation Fund   0.15%  

May 1, 2019

LVIP Structured Moderately Aggressive Allocation Fund   0.15%  

May 1, 2019

LVIP T. Rowe Price 2020 Fund   0.19%  

May 1, 2019

LVIP T. Rowe Price 2030 Fund   0.19%  

May 1, 2019

LVIP T. Rowe Price 2040 Fund   0.19%  

May 1, 2019

LVIP T. Rowe Price 2050 Fund   0.19%  

May 1, 2019

LVIP T. Rowe Price 2060 Fund   0.19%  

May 1, 2020

LVIP T. Rowe Price Growth Stock Fund  

0.80% of the first $50 million;

0.75% of the next $50 million;

0.70% of the next $150 million;

0.65% of the next $250 million; and

0.60% of the excess over $500 million

 

April 30, 2007

LVIP T. Rowe Price Structured Mid-Cap Growth Fund  

0.75% of the first $200 million;

0.70% of the next $200 million; and

0.65% of the excess over $400 million

 

April 30, 2007

     
LVIP U.S. Aggressive Growth Allocation Managed Risk Fund   0.25%  

November 1, 2018

     
LVIP U.S. Growth Allocation Managed Risk Fund   0.25%  

May 1, 2019

     
LVIP Vanguard Bond Allocation Fund   0.25%  

April 29, 2011

     
LVIP Vanguard Domestic Equity ETF Fund   0.25%  

April 29, 2011

     
LVIP Vanguard International Equity ETF Fund   0.25%  

April 29, 2011

 

7


     
Fund Name  

Management Fee Schedule

(as a percentage of average daily  

net assets)

  Effective Date

LVIP Wellington Capital Growth Fund

 

0.75% of the first $100 million;

0.70% of the next $150 million;

0.65% of the next $750 million; and

0.60% of the excess over $1 billion

 

April 30, 2007

LVIP Wellington SMID Cap Value Fund

 

1.05% of the first $25 million;

0.95% of the next $25 million;

0.85% of the next $50 million;

0.75% of the next $150 million; and

0.70% of the excess over $250 million

 

April 30, 2007

LVIP Western Asset Core Bond Fund

 

0.45% of the first $2 billion; and

0.35% of the excess over $2 billion

 

July 1, 2016

1 To the extent that a Fund invests all its investable assets (e.g., securities and cash) in another registered investment company, the Trust will not pay the Investment Manager any fee pursuant to Section 4) of the Agreement.

 

8