ACCESSOR FUNDS INC
485BXT, EX-99.(H)(1), 2000-11-28
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                                    AMENDED
                                    EXHIBIT A
                                    ---------

                          FUNDS OF ACCESSOR FUNDS, INC.

     THIS AMENDED  EXHIBIT A, dated as of November 16, 2000, is Exhibit A to the
Fund Accounting and Services Agreement dated as of October 4, 1996, by and among
Accessor Capital  Management LP (formerly  Bennington  Capital Management L.P.),
Fifth Third Bank and Accessor Funds, Inc. This Amended Exhibit A shall supersede
all previous forms of Exhibit A.

Name of Fund                                              Date
------------                                             ----

Growth Fund                                          November 18, 1996
Value Fund                                           November 18, 1996
Small to Mid Cap Fund                                November 18, 1996
International Equity Fund                            November 18, 1996
Intermediate Fixed-Income Fund                       October 7, 1996
Short-Intermediate Fixed-Income Fund                 October 7, 1996
High Yield Bond Fund                                 May 1, 2000
Mortgage Securities Fund                             November 18, 1996
U.S. Government Money Fund                           October 7, 1996
Accessor Income Allocation Fund
Accessor Income and Growth Allocation Fund
Accessor Balanced Allocation Fund
Accessor Growth and Income Allocation Fund
Accessor Growth Allocation Fund
Accessor Aggressive Growth Allocation Fund


                                     ACCESSOR FUNDS, INC.

                                     By:/s/Ravindra A. Deo
                                        Ravindra A. Deo
                                        Vice President

                                     ACCESSOR CAPITAL MANAGEMENT LP
                                     By:  Accessor Capital Corporation
                                     Its: Managing General Partner

                                     By:/s/J. Anthony Whatley III
                                           J. Anthony Whatley III
                                           President

                                     THE FIFTH THIRD BANK

                                     By:/s/Christine Ok
                                        Christine Ok
                                        Trust Officer


<PAGE>

                                     AMENDED
                                    EXHIBIT B
                                    ---------

                                  FEE SCHEDULE

     THIS AMENDED  EXHIBIT B, dated as of November 16, 2000, is Exhibit B to the
Fund Accounting and Services Agreement dated as of October 4, 1996, by and among
Accessor Capital  Management LP (formerly  Bennington  Capital Management L.P.),
Fifth Third Bank ("Fifth Third") and Accessor Funds,  Inc.  ("Accessor  Funds").
This Amended Exhibit B shall supersede all previous forms of Exhibit B.

         Accessor  Funds  will pay Fifth  Third an annual  fund  accounting  and
service fee (the "Fee"), to be calculated daily and paid monthly. The annual Fee
for each Fund shall be the  greater of a monthly  minimum or an asset based fee,
as follows:

<TABLE>
<CAPTION>
                                    Monthly Mimumum     Or                Asset Based Fees
------------------------------------------------------------------------------------------------------------
                                                                First            Next          Assets over
Fund                                                         $100,000,000    $150,000,000     $250,000,000
------------------------------------------------------------------------------------------------------------
<S>                                       <C>                    <C>             <C>               <C>
Growth                                  $1,500                  .03%            .02%              .01%
Value                                   $1,500                  .03%            .02%              .01%
Small to Mid Cap                        $1,500                  .03%            .02%              .01%
International Equity                    $3,000                  .04%            .03%              .02%
Intermediate Fixed-Income               $2,000                  .03%            .02%              .01%
Short-Intermediate Fixed Income         $2,000                  .03%            .02%              .01%
High Yield Bond                         $2,000                  .03%            .02%              .01%
Mortgage Securities                     $2,000                  .03%            .02%              .01%
U.S. Government Money                   $1,500                  .03%            .02%              .01%
</TABLE>

The annual Fee for each  Accessor  Allocation  Fund,  listed  below shall be the
greater of a monthly minimum or an asset based fee, as follows:

<TABLE>
<CAPTION>
                                    Monthly Mimumum     Or                Asset Based Fees
------------------------------------------------------------------------------------------------------------------------------------
                                                                First            Next             Next        Everything over
Fund                                                         $100,000,000    $100,000,000     $300,000,000     $500,000,000
------------------------------------------------------------------------------------------------------------------------------------
<S>                                      <C>                    <C>             <C>               <C>               <C>
Accessor Income Allocation             $1,500                  .03%             .02%             .01%               .01%
Accessor Income and Growth Allocation  $1,500                  .03%             .02%             .01%               .01%
Accessor Balanced Allocation           $1,500                  .03%             .02%             .01%               .01%
Accessor Growth and Income Allocation  $1,500                  .03%             .02%             .01%               .01%
Accessor Growth Allocation Fund        $1,500                  .03%             .02%             .01%               .01%
Accessor Aggressive Growth Allocation  $1,500                  .03%             .02%             .01%               .01%
</TABLE>

     Accessor  Funds  will pay an  additional  annual Fee of $2,000 per Fund for
other administrative  services rendered, to be charged monthly.  Should Accessor
Funds add additional share classes, there will be an annual charge of $7,000 per
additional  class per Fund,  also to be charged  monthly (For the Fund of Funds,
this  additional  class  fee  will be  waived  for the  first 12  months  of the
additional  class's  operations).  Finally,  Accessor Funds will reimburse Fifth
Third for its  out-of-pocket  expenses incurred in performing its services under
this Agreement,  including, but not limited to: postage and mailing,  telephone,
facsimile,  overnight courier services and outside  independent  pricing service
charges, and record retention/storage.

ACCESSOR FUNDS, INC.                  ACCESSOR CAPITAL MANAGEMENT LP

                                      By:  Accessor Capital Corporation
                                      Its: Managing General Partner

By:/s/Ravindra A. Deo                 By:/s/J. Anthony Whatley III
   Ravindra A. Deo                       J. Anthony Whatley III
   Vice President                        President

                                       THE FIFTH THIRD BANK

                                        By:/s/Christine Ok
                                           Christine Ok
                                           Trust Officer



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