EX-99.(H)(9)O 3 ex99h-partagrmtxftasaamdt6.htm FT AMENDMENT 6 TO ADMIN SRVCS AGMT 083016 Exhibit


Amendment No. 6 to
Administrative Services Agreement
Franklin Templeton Services, LLC
Principal Life Insurance Company
Principal National Life Insurance Company

THIS AMENDMENT is made by and between Franklin Templeton Services, .LLC (the ''Fund Administrator"), Principal Life Insurance Company and Principal National Life Insurance Company (collectively, the "Company").

WHEREAS, the Company and the Fund Administrator have entered into an Administrative Services Agreement, dated as of December 14, 2007, as may be amended from time to time (the "Agreement"), concerning certain administrative services with respect to each series ("Fund" or "Funds") of Franklin Templeton Variable Insurance Products Trust (the "Trust") listed on Schedule B of the Agreement;

WHEREAS, the Company and the Fund Administrator wish to amend the Agreement for the purpose of updating schedule and portfolios of variable life and annuity contracts covered by the Agreement.

NOW, THEREFORE, in · consideration of past and prospective business relations, the Fund Administrator and the Company hereby amend the Agreement as follows:

1.Schedule B of the Agreement is hereby deleted in its entirety and replaced with the Schedule B attached hereto.

2.All other terms and provisions of the Agreement not amended herein shall remain in full force and effect.

This amendment is executed as of August 30, 2016.

Fund Administrator:
 
 
FRANKLIN TEMPLETON SERVICES, LLC
 
 
 
 
 
 
 
 
By:
/s/ Laura Fergerson
 
 
 
Name:
Laura Fergerson
 
 
 
Title:
Senior Vice President
 
 
 
 
 
The Company:
 
 
PRINCIPAL LIFE INSURANCE COMPANY
 
 
 
PRINCIPAL NATIONAL LIFE INSURANCE COMPANY
 
 
 
 
 
 
 
 
By:
/s/ Todd A. Jones
 
 
 
Name:
Todd A. Jones
 
 
 
Title:
Asst. Dir. -- Product Management










Schedule B Administrative Expense Payment
With respect to each Contract listed below underneath the column titled "Product Name/Registration No.", the Fund Administrator agrees to pay the corresponding Company a fee, computed daily and paid quarterly in arrears, equal to an annual rate as set forth below, applied to the average daily net assets of the shares of the Funds held in the subaccounts of the Accounts. The payment will be computed and paid in the manner described more completely in the Agreement.
#
Company Name
Separate Account/ Registration Yes/No.
Class/Funds of the Trust
Fee Rate
Date of beginning of period for computation of fee
1.
Principal Life Insurance Company
Principal Life Insurance Company Separate Account B Yes
Class 2 Shares:
Franklin Small Cap Value VIP Fund
0.10%
11/01/09
Class 2 Shares:
Franklin Global Real Estate VIP Fund

Class 4 Shares:
Franklin Rising Dividends VIP Fund Templeton Global Bond VIP Fund
0.10%
10/01/14
2.
Principal Life Insurance Company
Principal Life Insurance Company Variable Life Separate Account Yes
Class 2 Shares:
Franklin Income VIP Fund
Franklin Mutual Global Discovery VIP Fund
Franklin Mutual Shares VIP Fund
Franklin Rising Dividends VIP Fund
Franklin Small Cap Value VIP Fund
Franklin Strategic Income VIP Fund
Templeton Developing Markets VIP Fund
Templeton Foreign VIP Fund
Templeton Global Bond VIP Fund
Templeton Growth VIP Fund
0.10%
11/01/07
Class 2 Shares:
Franklin U,S. Government Securities VIP Fund
0.10%
11/01/09
3.
Principal National Life Insurance Company
Principal National Life Insurance Company Variable Life Separate Account
Yes
Class 2 Shares:
Franklin Rising Dividends VIP Fund
Franklin Small Cap Value VIP Fund
Templeton Global Bond VIP Fund
Franklin Mutual Global Discovery VIP Fund
0.10%
02/01/15