EX-99.(H)(3)(III) 3 exh3iiiamendmenttothefunda.htm AMENDMENT TO THE FUND ACCOUNTING SERVICING AGREEMENT Document

PRIMECAP ODYSSEY FUNDS
AMENDMENT TO THE
FUND ACCOUNTING SERVICING AGREEMENT

    THIS AMENDMENT to the Fund Accounting Servicing Agreement dated as of March 25, 2013, as amended (the “Agreement”), is entered into as of the last date on the signature page by and between PRIMECAP ODYSSEY FUNDS, a Delaware trust (the "Trust") and U.S. BANCORP FUND SERVICES, LLC, a Wisconsin limited liability company ("USBFS" and together with the Trust the “Parties”).

RECITALS

WHEREAS, the Parties have entered into the Agreement and desire to modify the Fund Accounting Pricing Services fee for Foreign Equities and Currencies; and

WHEREAS, Section 15 of the Agreement allows for its amendment by a written instrument executed by both Parties and authorized or approved by the Board of Trustees.

    NOW, THEREFORE, the Parties agree to amend the Agreement as following:

1.Effective January 1, 2021 the Accounting Pricing Services fee for Foreign Equities and Currencies reduces from $0.50 to $0.12.

2.Exhibit B of the Agreement is hereby superseded and replaced with Exhibit B attached hereto.


Except to the extent supplemented hereby, the Agreement shall remain in full force and effect.


IN WITNESS WHEREOF, the Parties hereto have caused this Amendment to be executed by a duly authorized officer on one or more counterparts as of the date and year last written below.


PRIMECAP ODYSSEY FUNDS
U.S. BANCORP FUND SERVICES, LLC

By: /s/ Michael RicksBy:/s/ Anita Zagrodnik
Name:Michael RicksName:Anita Zagrodnik
Title:CFOTitle:Senior Vice President
Date:1/27/21Date:1/27/21






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EXHIBIT B to the Fund Accounting Servicing Agreement - PRIMECAP Odyssey Funds
Combined Fund Administration & Portfolio Compliance, Fund Accounting, Transfer Agent, Shareholder & Account Services, and Custody Services Fee Schedule effective January 1, 20211
Fund Administration, Fund Accounting, and Transfer Agent Annual Fee Based Upon Average Net Assets in the Fund Complex*:
$[…] base fee on the first $[…] billion
[…] basis points on the next $[…] billion
[…] basis points on the next $[…] billion
[…] basis points on the remaining balance
Fund Accounting Pricing Services:
$[…] Domestic Equities and ADRs
$[…] Foreign Equities and Currencies

Other security types added to the Funds after the date of this agreement will be negotiated at that time.


Transfer Agent Annual Service Charges to the Funds:
No Load Open Accounts            $[…] per open account
Level 0 Trust Accounts            $[…] per open account
NSCC Level 3 Accounts            $[…] per open account
Closed (zero balance) Accounts        $[…] per closed account

The monthly fee for an open account shall be charged in the month during which an account is opened through the month in which such account is closed. The monthly fee for a closed account shall be charged in the month following the month during which such account is closed.


Charges Paid by Investors:
Shareholder accounts will be charged based upon the type of activity and type of account, including the following:

Qualified Plan Fees
$[…] per qualified plan account or Coverdell ESA account (Cap at $[…] per SSN)
$[…] per transfer to successor trustee
$[…] per participant distribution (Excluding SWPs)
$[…] per refund of excess contribution
$[…] per reconversion/re-characterization

Additional Shareholder Paid Fees
$[…] per outgoing wire transfer or overnight delivery
$ […] per telephone exchange
$[…] per return check or ACH or stop payment
$[…] per statement year requested per account (applies to research requests for statements older than the prior year)

*Subject to annual CPI increase – All Urban Consumers – U.S. City Average

Fees are calculated pro rata and billed monthly.

1 This Exhibit B is a combined fee schedule that will cover all services provided by USBFS to the Trust pursuant to the Fund Administration Agreement, the Fund Accounting Agreement, and the TA Agreement, as well as the services provided by U.S. Bank, N.A to the Trust pursuant to the Custody Agreement.
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Custody Annual Fee Based Upon Market Value of the Fund Complex*:
[…] basis points on the first $[…] billion**
[…] basis points on the remaining balance up to $[…] billion**
([…] basis point fees on assets in excess of $[…] billion)
Plus portfolio transaction fees

Custody Portfolio Transaction Fees:
$[…]– Book entry DTC transaction, Federal Reserve transaction, principal paydown
$[…]– Repurchase agreement, reverse repurchase agreement, time deposit/CD or other non-depository transaction
$[…]– Option/SWAPS/future contract written, exercised or expired
$[…]– Mutual fund trade, Margin Variation Wire and outbound Fed wire
$[…]– Physical security transaction
$[…]– Check disbursement (waived if U.S. Bancorp is Administrator)

A transaction is a purchase/sale of a security, free receipt/free delivery, maturity, tender or exchange.


Miscellaneous Expenses Charged to the Funds:
GICS Code Usage in Fund Fact Sheets
GICS Code Usage in Schedule of Investments
FTP Transmission
IDC Fair Value Pricing
NSCC Processing Charges
NSCC Service Interface Fee
BRM Permit
Literature Fulfillment
Application/Disclosure Statement Revisions
NRS Blue Sky Data Feed
Customized Envelopes (Western States invoices)


Miscellaneous Custody Expenses Charged to the Funds:
All other miscellaneous fees and expenses, including but not limited to the following, will be separately billed as incurred: expenses incurred in the safekeeping, delivery and receipt of securities, shipping, transfer fees, deposit withdrawals at custodian (DWAC) fees, SWIFT charges, negative interest charges and extraordinary expenses based upon complexity.


Additional Custody Services:
See Additional Services fee schedule for global servicing.
No charge for the initial conversion free receipt.
Overdrafts – charged to the account at prime interest rate plus 2 unless a line of credit is in place.


Services added after the date of this agreement will be at then current standard USBFS fee schedule rates.


In addition to the fees described above, additional fees may be charged to the extent that changes to applicable laws, rules or regulations require additional work or expenses related to services provided (e.g., compliance with new liquidity risk management and reporting requirements).






*Subject to annual CPI increase – All Urban Consumers – U.S. City Average
**average daily market value of all long securities and cash held in the portfolio

Fees are calculated pro rata and billed monthly.

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EXHIBIT B (continued) to the Fund Accounting Servicing Agreement
Additional Global Sub-Custodial Services Annual Fee Schedule

Fee Schedule has been excluded because it is both (1) not material and (2) would likely cause competitive harm to the registrant if publicly disclosed


Euroclear – Eurobonds only. Eurobonds are held in Euroclear at a standard rate, but other types of securities (including but not limited to equities, domestic market debt and mutual funds) will be subject to a surcharge. In addition, certain transactions that are delivered within Euroclear or from a Euroclear account to a third party depository or settlement system, will be subject to a surcharge.
For all other markets specified in above grid, surcharges may apply if a security is held outside of the local market.

Miscellaneous Expenses
Tax reclaims that have been outstanding for more than 6 (six) months with the client will be charged $50 per claim.
Charges incurred by U.S. Bank, N.A. directly or through sub-custodians for account opening fees, local taxes, stamp duties or other local duties and assessments, stock exchange fees, foreign exchange transactions, postage and insurance for shipping, facsimile reporting, extraordinary telecommunications fees, proxy services and other shareholder communications, recurring administration fees, negative interest charges, overdraft charges or other expenses which are unique to a country in which the client or its clients is investing will be passed along as incurred.
A surcharge may be added to certain miscellaneous expenses listed herein to cover handling, servicing and other administrative costs associated with the activities giving rise to such expenses. Also, certain expenses are charged at a predetermined flat rate.
SWIFT reporting and message fees.

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EXHIBIT B (continued) to the Fund Accounting Servicing Agreement

Services Included in Annual Fund Complex Fees


Fund Administration and Fund Accounting Services Included in Annual Fund Complex Fees:

Chief Compliance Officer Support
Advisor Information Source
Daily Performance Reporting
PFIC Monitoring
GainsKeeper Wash Sales Reporting
EDGAR/XBRL Filing
Legal Administration Services for current Funds
Customized Reporting
N-Port & N-CEN
Corporate Action and Factor Services (security paydown)
All Miscellaneous Fund Accounting Expenses except those noted on page 5
All Miscellaneous Fund Administration Expenses except those noted on page 5


Custody Services Included in Annual Fund Complex Fees:

Chief Compliance Officer Support


Transfer Agent Services Included in Annual Fund Complex Fees and Per Account Fees:

Chief Compliance Officer Support
Telephone Calls
Manual Shareholder Transaction & Correspondence
Voice Response Unit (VRU) Calls
Voice Response Unit (VRU) Monthly Maintenance Fee
Omnibus Account Transaction
Daily Valuation/Manual 401k Trade
Cost Basis Reporting
eConnect Delivery
FAN Web shareholder e-commerce
Vision Intermediary e-Commerce
PRIMECAP, as a non-participating Management Company, is limited to 25 Vision IDs.
Informa Electronic Statements/Confirmations
Standard two years of storage applies. Longer term storage available at an additional charge.
Digital Investor
The basis point fee covers the initial setup and implementation of:
Standard Digital Investor site
Out-of-band two factor authentication
Ongoing transactional monthly costs
Additional features and site customization added after initial setup are available at additional charge.
Mutual Fund Profile II Services
In the event that additional CUSIPs are added to the management company or the load structure of the existing three funds changes, a review of the contract and applicable charges related to Mutual Fund Profile II support will be required.
Dealer Reclaim Services
Losses of $[…] and more created by an intermediary will be billed through this process.

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Transfer Agent Services Included in Annual Fund Complex Fees and Per Account Fees (Continued):

MARS Sales Reporting & 22c-2 Reporting
The basis point fee covers the initial setup and implementation of:
MARS Sales Reporting Module, CRM Module and/or 22c-2 Compliance Module system setup (included up to one year of DST/TA2000 data).
MARS Sales & Compliance Reporting monthly service license fee (Includes 5 Sales & 5 Compliance Users)
Setup and transmission of the following Dealer files:
National Financial Services
Charles Schwab
Merrill Lynch Pierce Fenner & Smith
Pershing
TD Ameritrade
LPL Financial
Standard Version 8i Products & Services
OmniSERV
Daily Transaction Load from Sales Portal
Monthly Asset Load from Sales Portal
Merrill Lynch Compliance Interface (Required for 22c-2 Compliance)
NSCC DTTC SDR Data Line Fee (Required for 22c-2 Compliance)
Additional services and charges listed in Appendix A are not included in the annual fund complex fees.
Live Chat Services
The basis point fee covers the initial setup and implementation of:
Basic setup of portal
Setup of standard frequently used sayings
Setup of customized incoming chat questionnaire
Setup of branded chat portal
The basis point fee covers the monthly license cost which includes:
7 year record retention program
Error-free, redundant transfer of chat transcripts to archive
Error-free, redundant transfer of all disposition (wrap-up) codes, notes, and incoming information from questionnaire
The basis point fee covers the per chat cost which includes:
Chat coverage from 8am to 5pm Central
General maintenance of chat portals and systems
Regular quality reviews of chats
Monthly disposition code reporting
Additional services and charges listed in Appendix A are not included in the annual fund complex fees.
Contact Center Shareholder Survey Service
Once this service becomes available with the Transfer Agent, the implementation and standard service offering will be discussed with the advisor at that time.
Please note: this product will be leased from year to year, and USBFS may choose to halt the service depending on degree of implementation by Transfer Agent clients.
Miscellaneous Transfer Agent Expenses listed below are included in the basis point fee except those noted on page 5
Telephone toll-free lines, mailing, sorting and postage, stationery, envelopes, service/data conversion, AML verification services, special reports, record retention, lost shareholder search, disaster recovery charges, ACH fees, Fed wire charges, shareholder/dealer print out (daily confirms, investor confirms, tax, check printing and writing and commissions), voice response (VRU) maintenance and development, data communication and implementation charges, specialized programming, omnibus conversions, excess history, FATCA and other compliance mailings, electronic document archiving.

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EXHIBIT B (continued) to the Fund Accounting Servicing Agreement

Appendix A – Additional Transfer Agent Services & Charges


MARS – Additional Services and Charges

Standard MARS Version 8i Products & Services (Monthly fees)
$[…]– Enhanced Services*

*Includes up to […] hours per month of support services. Support includes file import assistance, data scrubbing (cleaning of firm, office and rep information), database query requests, compliance report monitoring/review/analysis, and business requirement analysis. Additional Enhanced Services support can be negotiated.

Standard Version 8i Additional Licenses (Monthly Fee Per User)
$[…] – Sales Reporting
$[…] – 22c-2 Compliance
$[…] – CRM

Additional Version 8i Products & Services Setup & Implementation Fees
$[…]– SalesForce.com Integration
$[…]– MARS iPad and/or iPhone Integration
$[…]– Custom Data Interface
$[…]– Albridge Analytics
$[…]– RIA Module Integration
$[…]– Standard Interface
$[…]– OmniSERV Interface

Additional Version 8i Products & Services Monthly Fees
$[…]– Albridge Analytics
$[…]– RIA Module (monthly load)
$[…] – SalesForce.com (plus $75/user)
$[…] – MARS iPad/iPhone (plus $250/user)

Any System Upgrades & Enhancements
Quoted separately through a Statement of Work.

MARS Training
$[…]/day plus travel and out-of-pocket expenses.

Note: Any additional costs that may be charged by intermediaries/NSCC for data fees are not included.


Chat Services – Additional Services and Charges

Customization ($[…]/hour)
Coding and provision of HTML code necessary to add chat widget to existing fund webpage
Customization to look and feel of incoming chat questionnaire and shareholder facing chat window
Chat button customization or other graphic design work related to chat service @ $[…]/ hour



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