EX-99.B(G)(3)(II) 5 a18-7650_1ex99dbg3ii.htm EX-99.B(G)(3)(II)

Exhibit (g)(3)(ii)

 

AMENDMENT TO

SECURITIES LENDING AGREEMENT AND GUARANTY

 

THIS AMENDMENT TO SECURITIES LENDING AGREEMENT AND GUARANTY (“Amendment”) is made effective as of the 1st day of October, 2011 (the “Effective Date”), by and between THE BANK OF NEW YORK MELLON, formerly known as The Bank of New York (the “Bank”) and each Investment Company and each Series thereof listed on Exhibit  A (each a “Lender”).

 

WHEREAS, the Lender and the Bank have entered into a certain Securities Lending Agreement and Guaranty dated as of August 7, 2003 (as amended, modified or supplemented from time to time, the “Agreement”); and

 

WHEREAS, The Bank of New York is now known as The Bank of New York Mellon; and

 

WHEREAS, the Lender and the Bank desire to amend the Agreement in certain respects as hereinafter provided:

 

NOW, THEREFORE, the parties hereto, each intending to be legally bound, do hereby agree as follows:

 

1.             From and after the Effective Date, the Agreement is hereby amended by deleting Schedule I therefrom in its entirety and substituting in lieu thereof a new Schedule I identical to that which is attached hereto as Attachment 1.

 

2.             From and after the Effective Date, the terms of this Amendment shall supersede and replace terms of the Custody & Fund Accounting Fee Schedule for ING Funds effective October, 1, 2008 relating to Securities Lending.

 

3.             From and after the Effective Date, the Agreement is hereby amended by deleting Article V, Section 8 (entitled “Agent’s Fee”) and substituting in lieu thereof the following:

 

8.             AGENT’S FEE  In consideration for the securities lending services to be provided by the Bank hereunder, the Bank shall be entitled to retain 3% of the net securities lending revenues generated under this Agreement as compensation for its securities lending services (the “Agent’s Fee”) and Lender shall be entitled to the remainder of such net securities lending revenues.  For purposes hereof, net securities lending revenues shall mean (i) all Securities Loan Fees; plus (ii) all Proceeds and earnings from the investment and reinvestment of Cash Collateral minus Rebate.  Bank is hereby authorized to charge such compensation against and collect and or retain such compensation from the revenues derived from the securities lending activities conducted on behalf of Lender pursuant to this Agreement.”

 

Unless this Agreement is sooner terminated in accordance with the provisions  hereof or unless otherwise agreed in writing by the parties hereto, the Agent’s Fee set forth herein shall remain in effect for a period of three years commencing on the Effective Date after which the parties hereto agree to renegotiate the applicable agent’s fee in good faith.

 

4.             Except as expressly amended hereby, all of the provisions of the Agreement shall continue in full force and effect; and are hereby ratified and confirmed in all respects.  Upon the effectiveness of this Amendment, all references in the Agreement to “this Agreement” (and all indirect references such as “herein”, “hereby”, “hereunder” and “hereof”) shall be deemed to refer to the Agreement as amended by this Amendment.

 



 

IN WITNESS WHEREOF, the parties have executed this Amendment as of the date set forth above.

 

 

THE BANK OF NEW YORK MELLON

 

ING Asia Pacific High Dividend Equity Income Fund, ING Emerging Markets High Dividend Equity Fund, ING Equity Trust, ING Funds Trust, ING Global Advantage and Premium Opportunity Fund, ING Global Equity Dividend and Premium Opportunity Fund, ING Infrastructure, Industrials and Materials Fund, ING International High Dividend Equity Income Fund, ING Investors Trust, ING Mayflower Trust, ING Mutual Funds, ING Partners, Inc., ING Risk Managed Natural Resources Fund, ING Separate Portfolios Trust, ING Series Fund, Inc., ING Strategic Allocation Portfolios, Inc., ING Variable Funds, ING Variable Portfolios, Inc., ING Variable Products Trust, ING Balanced Portfolio, Inc., ING Intermediate Bond Portfolio, and ING Money Market Portfolio on behalf of each Investment Company and each Series thereof listed on Exhibit A hereto.

 

 

By:

/s/William P. Kelly

 

Name:

William P. Kelly

 

Title:

Managing Director

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

By:

/s/Todd Modic

 

 

 

Todd Modic

 

 

 

Senior Vice President

 

2



 

EXHIBIT A

 

Lenders

 

Fund

 

BNY Account Number
(domestic/global)

 

 

 

ING Asia Pacific High Dividend Equity Income Fund

 

470269

 

 

 

ING Emerging Markets High Dividend Equity Fund

 

471840

 

 

 

ING Equity Trust

 

 

ING Equity Dividend Fund

 

471164

ING Growth Opportunities Fund

 

464733

ING MidCap Opportunities Fund

 

464741

ING Mid Cap Value Fund

 

472138 composite
472391 RBC
472393  Wellington

ING Real Estate Fund

 

464746

ING SmallCap Opportunities Fund

 

464743

ING Value Choice Fund

 

464786

 

 

 

ING Funds Trust

 

 

ING GNMA Income Fund

 

464012

ING High Yield Bond Fund

 

464010

ING Intermediate Bond Fund

 

464006

 

 

 

ING Global Advantage and Premium Opportunity Fund

 

464792 domestic
464790 global
464791 composite

 

 

 

ING Global Equity Dividend and Premium Opportunity Fund

 

464767

 

 

 

ING Infrastructure, Industrials and Materials Fund

 

Equity — 471149
Composite — 471153
Derivative — 471155

 

 

 

ING International High Dividend Equity Income Fund

 

IIM — 471086
IIMA Europe — 471088
IIM Asia/Pacific — 471090

 

 

 

ING Investors Trust

 

 

ING American Funds Asset Allocation Portfolio

 

471146

ING American Funds Bond Portfolio

 

471173

ING American Funds Global Growth and Income Portfolio

 

471338

 

3



 

Fund

 

BNY Account Number
(domestic/global)

ING American Funds Growth Portfolio

 

464755

ING American Funds International Growth and Income Portfolio

 

471326

ING American Funds International Portfolio

 

464761

ING American Funds World Allocation Portfolio

 

471391

ING Artio Foreign Portfolio

 

279606

ING BlackRock Health Sciences Opportunities Portfolio

 

464704

ING BlackRock Inflation Protected Bond Portfolio

 

470551

ING BlackRock Large Cap Growth Portfolio

 

279607

ING Clarion Global Real Estate Portfolio

 

464280

ING Clarion Real Estate Portfolio

 

058086

ING Core Growth and Income Portfolio

 

058401/279601

ING DFA Global Allocation Portfolio

 

471616

ING DFA World Equity Portfolio

 

Composite — 471087
Large Cap Market 10 — 471096
U.S. Blue-Chip 10 — 471094
Int’l Blue-Chip 75 — 471144
Small Cap 40 — 471170
25 Fund — 471098

ING FMR® Diversified Mid Cap Portfolio

 

058404

ING Franklin Income Portfolio

 

464703

ING Franklin Mutual Shares Portfolio

 

470549

ING Franklin Templeton Founding Strategy Portfolio

 

470550

ING Global Resources Portfolio

 

058085

ING Goldman Sachs Commodity Strategy Portfolio

 

471201

ING Invesco Van Kampen Growth and Income Portfolio

 

058090

ING JPMorgan Emerging Markets Equity Portfolio

 

058096

ING JPMorgan Small Cap Core Equity Portfolio

 

279610

ING Large Cap Growth Portfolio

 

464706

ING Large Cap Value Portfolio

 

470567

ING Limited Maturity Bond Portfolio

 

058082

ING Liquid Assets Portfolio

 

058081

ING Marsico Growth Portfolio

 

058101

ING MFS Total Return Portfolio

 

058100

ING MFS Utilities Portfolio

 

464584

ING Morgan Stanley Global Franchise Portfolio

 

279605

ING Oppenheimer Active Allocation Portfolio

 

471395

ING PIMCO High Yield Portfolio

 

464018

ING PIMCO Total Return Bond Portfolio

 

058103

ING Pioneer Fund Portfolio

 

464578

ING Pioneer Mid Cap Value Portfolio

 

464580

ING Retirement Conservative Portfolio

 

471092

 

4



 

Fund

 

BNY Account Number
(domestic/global)

ING Retirement Growth Portfolio

 

464996

ING Retirement Moderate Growth Portfolio

 

464994

ING Retirement Moderate Portfolio

 

464992

ING T. Rowe Price Capital Appreciation Portfolio

 

058084

ING T. Rowe Price Equity Income Portfolio

 

058087

ING T. Rowe Price International Stock Portfolio

 

464576

ING Templeton Global Growth Portfolio

 

058095

ING U.S. Stock Index Portfolio

 

464701

 

 

 

ING Mayflower Trust

 

 

ING International Value Fund

 

Brandes Sleeve — 464212
del Rey Sleeve — 472491
IIM Sleeve — 471400
Composite - 471399

 

 

 

ING Mutual Funds

 

 

ING Diversified International Fund

 

464292

ING Emerging Countries Fund

 

464214

ING Emerging Markets Equity Fund

 

Composite — 472158
JPM — 472392
Delaware — 472394

ING Global Bond Fund

 

464773

ING Global Equity Dividend Fund

 

464751

ING Global Natural Resources Fund

 

464210

ING Global Opportunities Fund

 

464202

ING Global Real Estate Fund

 

464220

ING Global Value Choice Fund

 

464218

ING Greater China Fund

 

464286

ING Index Plus International Equity Fund

 

464282

ING International Capital Appreciation Fund

 

464282

ING International Core Fund

 

Composite — 472496
Thornburg Sleeve — 472502
Wellington Sleeve — 472498

ING International Growth Fund

 

Composite — 472499
Baillie Gifford Sleeve — 472492
T. Rowe Price Sleeve — 472500

ING International Real Estate Fund

 

464298

ING International SmallCap Multi-Manager Fund

 

464216

ING International Value Choice Fund

 

464278

ING Russia Fund

 

464208

 

5



 

Fund

 

BNY Account Number
(domestic/global)

ING Partners, Inc.

 

 

ING American Century Small-Mid Cap Value Portfolio

 

464515/464521
Composite - 464501

ING Baron Small Cap Growth Portfolio

 

464504

ING Columbia Small Cap Value II Portfolio

 

Team II, Sleeve 1 — 464785
Team I, Sleeve II — 471330
Composite — 471329

ING Davis New York Venture Portfolio

 

464546

ING Fidelity® VIP Contrafund® Portfolio

 

464564

ING Fidelity® VIP Equity-Income Portfolio

 

464568

ING Fidelity® VIP Mid Cap Portfolio

 

464566

ING Global Bond Portfolio

 

464548

ING Index Solution 2015 Portfolio

 

471152

ING Index Solution 2020 Portfolio

 

472397

ING Index Solution 2025 Portfolio

 

471154

ING Index Solution 2030 Portfolio

 

472495

ING Index Solution 2035 Portfolio

 

471158

ING Index Solution 2040 Portfolio

 

472399

ING Index Solution 2045 Portfolio

 

471159

ING Index Solution 2050 Portfolio

 

472493

ING Index Solution 2055 Portfolio

 

471368

ING Index Solution Income Portfolio

 

471151

ING Invesco Van Kampen Comstock Portfolio

 

464512

ING Invesco Van Kampen Equity and Income Portfolio

 

464536

ING JPMorgan Mid Cap Value Portfolio

 

464506

ING Oppenheimer Global Portfolio

 

464508

ING PIMCO Total Return Portfolio

 

464510

ING Pioneer High Yield Portfolio

 

464032

ING Solution 2015 Portfolio

 

464590

ING Solution 2020 Portfolio

 

472588

ING Solution 2025 Portfolio

 

464594

ING Solution 2030 Portfolio

 

472590

ING Solution 2035 Portfolio

 

464596

ING Solution 2040 Portfolio

 

472398

ING Solution 2045 Portfolio

 

464574

ING Solution 2050 Portfolio

 

472589

ING Solution 2055 Portfolio

 

471370

ING Solution Aggressive Growth Portfolio

 

471926

ING Solution Conservative Portfolio

 

471928

ING Solution Growth Portfolio

 

471083

 

6



 

Fund

 

BNY Account Number
(domestic/global)

ING Solution Income Portfolio

 

464586

ING Solution Moderate Portfolio

 

471082

ING T. Rowe Price Diversified Mid Cap Growth Portfolio

 

464534

ING T. Rowe Price Growth Equity Portfolio

 

464530

ING Templeton Foreign Equity Portfolio

 

464200

ING Thornburg Value Portfolio

 

464522

ING UBS U.S. Large Cap Equity Portfolio

 

464520

 

 

 

ING Risk Managed Natural Resources Fund

 

464763

 

 

 

ING Separate Portfolios Trust

 

 

ING SPorts Core Fixed Income Fund

 

470568

ING Series Fund, Inc.

 

 

ING Alternative Beta Fund

 

471392

ING Capital Allocation Fund

 

464722

ING Core Equity Research Fund

 

464723

ING Corporate Leaders 100 Fund

 

471161

ING Global Target Payment Fund

 

471174

ING Index Plus LargeCap Fund

 

464726

ING Index Plus MidCap Fund

 

464727

ING Index Plus SmallCap Fund

 

464725

ING Money Market Fund

 

464064

ING Small Company Fund

 

464729

ING Tactical Asset Allocation Fund

 

471160

 

 

 

ING Strategic Allocation Portfolios, Inc.

 

 

ING Strategic Allocation Conservative Portfolio

 

464420

ING Strategic Allocation Growth Portfolio

 

464418

ING Strategic Allocation Moderate Portfolio

 

464416

 

 

 

ING Variable Funds

 

 

ING Growth and Income Portfolio

 

464402

 

 

 

ING Variable Portfolios, Inc.

 

 

ING Australia Index Portfolio

 

472489

ING BlackRock Science and Technology Opportunities Portfolio

 

464422

ING Euro STOXX 50® Index Portfolio

 

471356

ING FTSE 100 Index® Portfolio

 

471369

ING Hang Seng Index Portfolio

 

471349

 

7



 

Fund

 

BNY Account Number
(domestic/global)

ING Index Plus LargeCap Portfolio

 

464406

ING Index Plus MidCap Portfolio

 

464408

ING Index Plus SmallCap Portfolio

 

464410

ING International Index Portfolio

 

471167

ING Japan TOPIX Index® Portfolio

 

471417

ING RussellTM Large Cap Growth Index Portfolio

 

471346

ING Russell™ Large Cap Index Portfolio

 

471172

ING RussellTM Large Cap Value Index Portfolio

 

471352

ING RussellTM Mid Cap Growth Index Portfolio

 

471354

ING Russell™ Mid Cap Index Portfolio

 

471168

ING Russell™ Small Cap Index Portfolio

 

471166

ING Small Company Portfolio

 

464414

ING U.S. Bond Index Portfolio

 

471169

ING WisdomTreeSM Global High-Yielding Equity Index Portfolio

 

471145

 

 

 

ING Variable Products Trust

 

 

ING International Value Portfolio

 

464464

ING MidCap Opportunities Portfolio

 

464444

ING SmallCap Opportunities Portfolio

 

464450

 

 

 

ING Balanced Portfolio, Inc.

 

464428

ING Balanced Portfolio

 

 

 

 

 

ING Intermediate Bond Portfolio

 

464400

 

 

 

ING Money Market Portfolio

 

464412

 

8



 

ATTACHMENT 1

to

AMENDMENT TO SECURITIES LENDING AGREEMENT AND GUARANTY

dated August 7, 2003

 

which Amendment is made and effective as of October 1, 2011, by and between THE BANK OF NEW YORK MELLON, formerly known as The Bank of New York (the “Bank”) and each Investment Company and each Series thereof listed on Exhibit A hereto (each a “Lender”)

 

SCHEDULE I

 

to

 

SECURITIES LENDING AUTHORIZATION AGREEMENT AND GUARANTY

THE BANK OF NEW YORK MELLON,  formerly known as The Bank of New York (the “Bank”) and each Investment Company and each Series thereof listed on Exhibit A thereto (each a “Lender”) (the “Agreement”)

 

APPROVED INVESTMENTS

 

In accordance with the Agreement, Cash Collateral received by Bank on behalf of Lender shall be held in a the Collateral Account established and maintained by Bank for Lender and shall be invested and maintained in accordance with the following guidelines:

 

Amortized Cost

 

Cash collateral which is invested on behalf of the Lender by Bank will be held and maintained by the Bank in the Collateral Account on an amortized cost, rather than market value basis.  If non-cash assets are to be sold prior to their maturity for purposes of effecting a withdrawal from the Collateral Account, it is possible that a loss may be realized.  In addition, there is no guarantee that the Collateral Account will continue to be maintained on a cost, rather than a market value basis.  The amortized or book value of the Collateral Account’s assets and underlying fair market value of its assets may differ to a certain degree, and accordingly, deposits or withdrawals to or from the Collateral Account utilizing such amortized or book value may be made when the fair market value of the underlying assets of the Collateral Account is less than, or exceeds, such amortized or book value.

 

Allowable Investments:  The Bank is hereby Authorized to invest and reinvest Cash Collateral in the following U.S. Dollar denominated investments:

 

1.                                      The BNY Mellon Overnight Government Fund, a series of the BNY Institutional Cash Reserves Trust; and

 

2.             Repurchase Transactions subject to the following:

 

·                  Repurchase Transactions shall be entered into pursuant to one or more written agreements between the Bank, as agent for the Lender, as buyer, and each counterparty, as seller (each a “Counterparty”) substantially in the form of the Bond Market Association Master Repurchase Agreement (“Repurchase Agreement”).

 

·                  Repurchase obligations of each Counterparty shall be collateralized at not less than 102% and shall be collateralized with (i.e., Purchased Securities, as defined in the Repurchase Agreement, shall consist of) securities issued or fully guaranteed by the

 



 

United States Treasury; United States government or any agency, instrumentality or authority of the  of the United States government

 

·                  Repurchase Transactions shall not have a final maturity date (i.e., Repurchase Date) longer than one business day as of the date of initiation of any Repurchase Transaction.

 

·                  Notwithstanding any other provision of the Agreement if for any reason a Counterparty to any Repurchase Transaction (as defined below) entered into by the Bank, as Buyer, on behalf of the Lender pursuant hereto shall fail to redeliver to the Bank the Purchase Price upon the termination of such Repurchase Transaction (i.e., the Repurchase Date) as and when required, the Bank shall promptly sell the Purchased Securities held by the Bank in respect of such Repurchase Transaction in a commercially reasonable manner and immediately deposit the proceeds of such sale (“Proceeds”) to the Collateral Account.  If the Proceeds are less than the Purchase Price required to have been redelivered by the Counterparty to the Bank on the Repurchase Date, the Bank shall, at Bank’s cost and expense, promptly deposit the amount of such difference to the Collateral Account.  The term “Repurchase Transaction” means each transaction entered into between the Bank, as agent for the Lender, and a Counterparty under the terms of a Repurchase Agreement  pursuant to which the Counterparty initially transfers securities to the Bank (the “Purchased Securities”), for the account of the Lender and the Bank transfers cash to the Counterparty (the “Purchase Price”).  Lender agrees, without the execution of any documents or the giving of any notice, that Bank is and will remain subrogated to all of Lender’s rights under the relevant Repurchase Agreement to the extent of any payment, loss or expense or credit by the Bank pursuant hereto including, but not limited to, Lender’s rights with respect to Purchased Securities held in respect of any such Repurchase Transaction.  Lender agrees to execute and deliver to Bank such documents as Bank may reasonably require and otherwise to co-operate reasonably with Bank to effectuate the forgoing subrogation.  If for any reason the Bank cannot assert any such rights and remedies against the Counterparty to any such Repurchase Transaction and/or its successors and assigns in its own right, the Lender shall, at the expense of the Bank, file and prosecute such complaints and lawsuits and take such action as the Bank may reasonably request in connection with the recovery of any such payment, loss or expense and shall otherwise cooperate reasonably with the Bank in any such claim or litigation.

 

2