EX-99.H.3.A 30 d91169dex99h3a.htm AMENDMENT TO SCHEDULE A OF AMENDED AND RESTATED EXPENSE LIMITATION AGREEMENT Amendment to Schedule A of Amended and Restated Expense Limitation Agreement

EX-(h)(3)(a)

AMENDMENT TO

SCHEDULE A

AMENDED AND RESTATED

EXPENSE LIMITATION AGREEMENT

THIS AMENDED SCHEDULE A lists the Funds and the Expense Limitation Amounts which are established pursuant to the Amended and Restated Expense Limitation Agreement dated April 26, 2019.

 

LVIP FUND NAME

STANDARD

CLASS

EXPENSE

LIMIT

SERVICE

CLASS

EXPENSE

LIMIT

EFFECTIVE DATE TERMINATION DATE
Lincoln iShares® Fixed Income Allocation Fund

0.15%

N/A

May 1, 2020

April 30, 2021

Lincoln iShares® Global Growth Allocation Fund

0.20%

N/A

May 1, 2020

April 30, 2021

Lincoln iShares® U.S. Moderate Allocation Fund

0.19%

N/A

May 1, 2020

April 30, 2021

LVIP American Century Select Mid Cap Value Managed Volatility Fund

0.895%

1.245%

May 1, 2020

April 30, 2021

LVIP Baron Growth Opportunities Fund

0.93%

1.18%

May 1, 2020

April 30, 2021

LVIP BlackRock Advantage Allocation Fund

0.73%

0.98%

May 1, 2020

April 30, 2021

LVIP BlackRock Dividend Value Managed Volatility Fund1

0.675%

0.925%

May 1, 2020

November 22, 2021

LVIP BlackRock Global Allocation Fund

0.73%

0.98%

May 1, 2020

April 30, 2021

LVIP ClearBridge QS Select Large Cap Managed Volatility Fund2

0.675%

1.025%

May 1, 2020

May 25, 2021

 

1 Effective upon the reorganization of the LVIP Franklin Templeton Value Managed Volatility Fund into LVIP BlackRock Dividend Managed Volatility Fund (the “Fund”) on November 22, 2019, LIAC agreed to limit the Fund’s Operating Expenses at the levels shown above for two years following the reorganization. The intended effect of this limit is to limit the Fund’s net annual fund operating expense ratio to 0.68% (for Standard class) and 0.93% (for Service class) until at least November 22, 2021. After November 22, 2021, LIAC may amend this expense limit only with the Board’s consent. Effective May 1, 2020, LIAC will reduce the Fund’s expense limit to 0.675% (for Standard class) and 0.925% (for Service Class) until at least November 22,2021.

2 Effective upon the reorganization of the LVIP ClearBridge Large Cap Managed Volatility Fund into LVIP ClearBridge QS Select Large Cap Managed Volatility Fund (the “Fund”) on May 24, 2019, LIAC agreed to limit the Fund’s Operating Expenses at the levels shown above for two years following the reorganization. The intended effect of this limit is to limit the Fund’s net annual fund operating expense ratio to 0.68% (for Standard class) and 1.03% (for Service class) until at least May 25, 2021. Effective May 1, 2020, LIAC will reduce the Fund’s expense limit to 0.675% (for Standard class) and 1.025% (for Service class) until at least May 25, 2021.

 

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EX-(h)(3)(a)

 

LVIP FUND NAME    STANDARD CLASS EXPENSE LIMIT   

SERVICE CLASS

EXPENSE LIMIT

   EFFECTIVE DATE    TERMINATION DATE
LVIP Dimensional International Core Equity Fund   

0.64%

  

0.89%

  

March 4, 2020

  

April 30, 2021

LVIP Franklin Templeton Multi-Asset Opportunities Fund   

0.42%

  

0.67%

  

May 1, 2020

  

April 30, 2021

LVIP Fidelity Institutional AM® Select Core Equity Managed Volatility Fund   

0.095%

  

0.445%

  

May 1, 2020

  

April 30, 2021

LVIP Global Aggressive Growth Allocation Managed Risk Fund   

0.325%

  

0.575%

  

May 1, 2020

  

April 30, 2021

LVIP Invesco Select Equity Income Managed Volatility Fund3   

0.565%

  

0.915%

  

May 1, 2020

  

May 24, 2021

LVIP JPMorgan Retirement Income Fund   

0.507%

  

0.757%

  

May 1, 2020

  

April 30, 2021

LVIP Loomis Sayles Global Growth Fund   

0.77%

  

1.12%

  

May 1, 2020

  

April 30, 2021

LVIP MFS International Equity Managed Volatility Fund   

0.135%

  

0.385%

  

October 1, 2020

  

April 30, 2021

LVIP Multi-Manager Global Equity Managed Volatility Fund   

0.21%

  

0.56%

  

May 1, 2020

  

April 30, 2021

LVIP PIMCO Low Duration Bond Fund   

0.54%

  

0.79%

  

May 1, 2020

  

April 30, 2021

LVIP SSGA Conservative Index Allocation Fund   

0.20%

  

0.45%

  

May 1, 2020

  

April 30, 2021

LVIP SSGA Emerging Markets Equity Index Fund   

0.50%

  

0.75%

  

May 1, 2020

  

April 30, 2021

 

3 Effective upon the reorganization of the Invesco Diversified Equity-Income Managed Volatility Fund into the LVIP Invesco Select Equity Income Managed Volatility Fund (the “Fund”) on May 24, 2019, LIAC agreed to limit the Fund’s Operating Expenses at the levels shown above for two years following the reorganization. The intended effect of this limit is to limit the Fund’s net annual fund operating expense ratio to 0.57% (for Standard class) and 0.92% (for Service class) until May 24, 2021. Effective May 1, 2020, LIAC will reduce the Fund’s expense limit to 0.565% (for Standard class) and 0.915% (for Service class) until at least May 24, 2021. After May 24, 2021, LIAC may amend this expense limit only with the Board’s consent.

 

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EX-(h)(3)(a)

 

LVIP FUND NAME    STANDARD CLASS EXPENSE LIMIT   

SERVICE

CLASS

EXPENSE

LIMIT

   EFFECTIVE DATE    TERMINATION DATE
                     
LVIP SSGA International Index Fund   

0.40%

  

0.65%

  

May 1, 2020

  

April 30, 2021

LVIP SSGA International Managed Volatility Fund   

0.245%

  

0.495%

  

May 1, 2020

  

April 30, 2021

LVIP SSGA Large Cap Managed Volatility Fund   

0.245%

  

0.495%

  

May 1, 2020

  

April 30, 2021

LVIP SSGA Short-Term Bond Index Fund   

0.3625%

  

0.6125%

  

May 1, 2020

  

April 30, 2021

LVIP SSGA Nasdaq-100 Index Fund   

0.45%

  

0.70%

  

October 1, 2021

  

April 30, 2022

LVIP SSGA SMID Cap Managed Volatility Fund   

0.245%

  

0.495%

  

May 1, 2020

  

April 30, 2021

LVIP T. Rowe Price 2010 Fund   

0.27%

  

0.52%

  

May 1, 2020

  

April 30, 2021

LVIP T. Rowe Price 2020 Fund   

0.24%

  

0.49%

  

May 1, 2020

  

April 30, 2021

LVIP T. Rowe Price 2030 Fund   

0.25%

  

0.50%

  

May 1, 2020

  

April 30, 2021

LVIP T. Rowe Price 2040 Fund   

0.26%

  

0.51%

  

May 1, 2020

  

April 30, 2021

LVIP T. Rowe Price 2050 Fund   

0.27%

  

0.52%

  

May 1, 2020

  

April 30, 2021

LVIP T. Rowe Price 2060 Fund   

0.27%

  

0.52%

  

May 1, 2020

  

April 30, 2021

LVIP U.S. Aggressive Growth Allocation Managed Risk Fund   

0.315%

  

0.565%

  

May 1, 2020

  

April 30, 2021

MASTER-FEEDER FUNDS

                   
LVIP American Global Small Capitalization Fund   

0.10% 4

Service II Class

  

N/A

  

May 1, 2020

  

April 30, 2021

 

4 Applies only to “Other Expenses” as such term is used in the Fund’s prospectus.

 

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EX-(h)(3)(a)

 

The parties hereto have caused this SCHEDULE A to be signed by their duly authorized officers as of September 22, 2020 and effective in accordance with the dates noted above.

 

LINCOLN INVESTMENT ADVISORS           LINCOLN VARIABLE INSURANCE
CORPORATION      PRODUCTS TRUST, on behalf of each of its Funds
     listed on Schedule A
By:    /s/ Jayson R. Bronchetti      By:     /s/ William P. Flory, Jr.
Name: Jayson R. Bronchetti      Name: William P. Flory, Jr.
Title: President      Title: Vice President & Chief Accounting Officer

 

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