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Alger Funds II, et al. – ‘485BPOS’ on 2/27/23 – ‘EX-99.(H-11)’

On:  Monday, 2/27/23, at 5:00pm ET   ·   Effective:  2/28/23   ·   Accession #:  1193125-23-50922   ·   File #s:  33-98102, 811-01743

Previous ‘485BPOS’:  ‘485BPOS’ on 2/25/22   ·   Next:  ‘485BPOS’ on 4/6/23   ·   Latest:  ‘485BPOS’ on 2/27/24   ·   16 References:   

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  As Of               Filer                 Filing    For·On·As Docs:Size             Issuer                      Filing Agent

 2/27/23  Alger Funds II                    485BPOS     2/28/23   29:11M                                    Donnelley … Solutions/FAAlger Dynamic Opportunities Fund 3 Classes/ContractsAlger Emerging Markets Fund 4 Classes/ContractsAlger Responsible Investing Fund 4 Classes/ContractsAlger Spectra Fund 5 Classes/Contracts

Post-Effective Amendment of a Form N-1 or N-1A Registration   —   Rule 485(b)

Filing Table of Contents

Document/Exhibit                   Description                      Pages   Size 

 1: 485BPOS     The Alger Funds Ii 485BPOS                          HTML   4.34M 
 7: EX-99.(D-4)  Fee Waiver Agreement 9.13.22                       HTML     19K 
 8: EX-99.(D-8)  Weatherbie Sub-Iaa Amendment (Enduring Growth      HTML     17K 
                Etf)                                                             
 9: EX-99.(G-8)  Amendment to Custody Agreement                     HTML     19K 
10: EX-99.(H-11)  Ta Agreement Amendment                            HTML     42K 
11: EX-99.(J)   Dt Consent - the Alger Funds Ii                     HTML     11K 
12: R1          Document and Entity Information                     HTML     66K 
13: R2          Risk/Return Detail Data- Alger Spectra Fund - AC    HTML    228K 
                (Class A C Shares)                                               
14: R3          Risk/Return Detail Data- Alger Responsible          HTML    226K 
                Investing Fund - AC (Class A C Shares)                           
15: R4          Risk/Return Detail Data- Alger Dynamic              HTML    245K 
                Opportunities Fund - AC (Class A C Shares)                       
16: R5          Risk/Return Detail Data- Alger Emerging Markets     HTML    243K 
                Fund - AC (Class A C Shares)                                     
17: R6          Risk/Return Detail Data- Alger Spectra Fund - I     HTML    194K 
                (Class I Shares)                                                 
18: R7          Risk/Return Detail Data- Alger Spectra Fund - Y     HTML    182K 
                (Class Y Shares)                                                 
19: R8          Risk/Return Detail Data- Alger Spectra Fund - Z     HTML    199K 
                (Class Z Shares)                                                 
20: R9          Risk/Return Detail Data- Alger Responsible          HTML    192K 
                Investing Fund - I (Class I Shares)                              
21: R10         Risk/Return Detail Data- Alger Responsible          HTML    189K 
                Investing Fund - Z (Class Z Shares)                              
22: R11         Risk/Return Detail Data- Alger Dynamic              HTML    210K 
                Opportunities Fund - Z (Class Z Shares)                          
23: R12         Risk/Return Detail Data- Alger Emerging Markets     HTML    204K 
                Fund - I (Class I Shares)                                        
24: R13         Risk/Return Detail Data- Alger Emerging Markets     HTML    199K 
                Fund - Z (Class Z Shares)                                        
25: R14         Risk/Return Detail Data                             HTML     17K 
27: XML         IDEA XML File -- Filing Summary                      XML     47K 
26: XML         XBRL Instance -- d440536d485bpos_htm                 XML    994K 
 3: EX-101.CAL  XBRL Calculations -- af-20230227_cal                 XML     22K 
 4: EX-101.DEF  XBRL Definitions -- af-20230227_def                  XML   2.54M 
 5: EX-101.LAB  XBRL Labels -- af-20230227_lab                       XML    478K 
 6: EX-101.PRE  XBRL Presentations -- af-20230227_pre                XML   2.35M 
 2: EX-101.SCH  XBRL Schema -- af-20230227                           XSD     51K 
28: JSON        XBRL Instance as JSON Data -- MetaLinks              168±   477K 
29: ZIP         XBRL Zipped Folder -- 0001193125-23-050922-xbrl      Zip   1.04M 


‘EX-99.(H-11)’   —   Ta Agreement Amendment


This Exhibit is an HTML Document rendered as filed.  [ Alternative Formats ]



  TA Agreement Amendment  

Exhibit (h-11)

AMENDMENT AGREEMENT

THIS AMENDMENT AGREEMENT (this “Amendment”) is effective as of this 5th day of October, 2022, by and between The Alger Funds, The Alger Institutional Funds, The Alger Portfolios, The Alger Funds II, and Alger Global Focus Fund, each a Massachusetts Business Trust (each a “Trust” and collectively, the “Trusts”), and UMB Fund Services, Inc., a Wisconsin corporation (“UMBFS”).

WHEREAS, The Trusts and UMBFS have entered into a Transfer Agency Agreement, dated as of October 5, 2019 (as amended and supplemented to date, the “Agreement”); and

WHEREAS, the parties wish to amend the Agreement as set forth herein by entering into this Amendment.

NOW THEREFORE, for and in consideration of the mutual promises hereinafter set forth, and such other good and valuable consideration, the receipt and sufficiency of which are hereby acknowledged, the parties hereto agree as follows:

1. Schedule C to the Agreement shall hereby be amended and restated in its entirety to read as the Schedule C attached hereto.

2. The parties hereby agree to extend the Initial Term of the Agreement (as defined in Section 8(a) of the Agreement) shall be extended to October 5, 2025. Notwithstanding anything to the contrary in the Agreement, the Agreement shall continue in effect for the aforementioned term and may not be terminated by the Trusts prior to October 5, 2025. After that date, the Agreement shall automatically renew for additional twelve (12) month terms unless earlier terminated as provided for in the Agreement.

3. Any reference to the Agreement shall be a reference to the Agreement as amended hereby. All rights, obligations and liabilities in respect of the Agreement shall continue to exist save as varied herein. In the event of any conflict or inconsistency between the provisions of this Amendment and the Agreement, the terms of this Amendment shall prevail. All other terms of the Agreement are hereby ratified and confirmed.

4. This Amendment may be executed in any number of counterparts, each of which shall constitute an original but which together shall constitute one instrument.

5. This Amendment shall be governed by and construed in accordance with the laws of the State of Wisconsin, excluding the laws on conflicts of laws.

[Signature page follows.]

 

1


IN WITNESS WHEREOF, the parties hereto have caused this Amendment to be executed in counterparts by their respective officers, thereunto duly authorized, as of the date first above written.

 

THE ALGER FUNDS
THE ALGER INSTITUTIONAL FUNDS
THE ALGER PORTFOLIOS
THE ALGER FUNDS II
ALGER GLOBAL FOCUS FUND
(the “Trusts”)
By:  

/s/ Tina Payne

  Tina Payne
  Secretary
UMB FUND SERVICES, INC.
(“Transfer Agent”)
By:  

/s/ Maureen A. Quill

  Maureen A. Quill
  Executive Vice President

 

2


Amended and Restated

Schedule C

to the

Transfer Agency Agreement

by and between

The Alger Funds

The Alger Institutional Funds

The Alger Portfolios

The Alger Funds II

Alger Global Focus Fund

and

UMB Fund Services, Inc.

FEES

 

USA PATRIOT Act

     Included  

Aggregate Annual Complex Base Fee for Funds Referenced on Schedule A*

  

*  Fees will be allocated across the Funds on a prorated basis.

   $ 650,000  

Annual Per-Account Fees

  

∎   Open account fee

  

❑  Non-Matrix level 3 accounts

   $ 9.50  

❑  Matrix level 3 accounts

   $ 5.25  

∎   Closed account fee (per year)

   $ 1.50  

Shareholder Services

  

❑  Telephone calls (per minute)

   $ 1.059  

❑  Letters/e-mails, research shareholder (per occurrence)

   $ 2.108  

CCO Support Services

  

Annual fee per fund family Waived

  

Retirement Accounts (IRA / Roth / Others)

  

∎   Annual maintenance fee per account type/SSN (may be charged to shareholders)

   $ 10.54  

∎   IRA transfer/rollover/recharacterization/RMD fee (per occurrence)

   $ 10.54  

Advanced Reporting Solutions

  

∎   Annual maintenance fee*

     Waived  

∎   Additional interactive user license (per license per year)

   $ 1,054  

*  Annual maintenance fee includes initial setup costs plus five interactive user licenses

  

Document Services

  

∎   Conversion of Statements/Confirms to Pinnacle*

     Waived  

∎   Standard applications and forms in electronic format

     no charge  

∎   Customized forms

     as quoted  

∎   Pre-printed, machine-ready statement inserts (per item)*

   $ .03162  

∎   Standard single-sided statement/confirm/tax form/check (per item including .pdf)*

  

❑  First page

   $ .2108  

❑  Each additional page

   $ .1054  

 

*

Charges specific to Pinnacle Data Systems

 

3


Programming and Special Project Fees

Additional fees at $184.45 per hour, or as quoted by project, may apply for special programming or projects to meet your servicing requirements or to create custom reports.

Out-of-Pocket Expenses

Out-of-pocket expenses include but are not limited to annual year-end programming fees, copying charges, facsimile charges, inventory and record storage and reprocessing, statement paper, check stock, envelopes, tax forms, postage and direct delivery charges, tape/disk storage, travel, CPU usage, telephone and long distance charges, VPN/VNET fees, retirement plan documents, proxies and proxy services, DTCC/NSCC participant billing, manual cost basis processing, P.O. box rental, toll-free number, customer identity check fees, bank account service fees and any other bank charges, termination of service fees, and expenses, including but not limited to attorney’s fees, incurred in connection with responding to and complying with SEC or other regulatory investigations, inquiries or subpoenas, excluding routine examinations of UMB in its capacity as a service provider.

All fees, other than basis point fees, are subject to an annual escalation equal to the increase in the Consumer Price Index–Urban Wage Earners (CPI) minus five percent. If the CPI is less than five percent, no escalation shall be applied. Such escalations shall be effective commencing one year from the effective date of each Fund and the corresponding date each year thereafter. No amendment of this fee schedule shall be required with each escalation. CPI will be determined by reference to the Consumer Price Index News Release issued by the Bureau of Labor Statistics, U.S. Department of Labor.

Transfer Agency Fees – Optional Services

 

NSCC’s Mutual Fund Profile II Services*   

∎   Tier 1: Activate Mutual Fund Profile II – Advisor populates data

     No fee  

∎   Tier 2: Activate Mutual Fund Profile II – UMBFS supports Advisor in populating data

  

❑  One-time set-up fee, per fund family

     N/A  

❑  Monthly maintenance fee – up to 25 CUSIPs

     N/A  

❑  Monthly maintenance fee – more than 25 CUSIPs

     N/A  

*   Funds using Mutual Fund Profile II services will also pay out-of-pocket fees charged by DTCC of $850/mo. for up to 25 CUSIPs or $2,000/mo. for 26+ CUSIPs.

  
Broker Dealer – Standard Data Transmissions   

∎   Platform Daily/Sales Reporting trade activity and position file

  

❑  One-time set-up fee per vendor/platform

     Waived  

❑  Monthly Maintenance fee per vendor/platform

   $ 52.70  

❑  DST FANMail/Vision or Advisor Central*One-time set-up fee

     Waived  

❑  Monthly Maintenance fee

   $ 790.50  

*  In addition to vendors fees

  

 

4


Internet Services: Broker Dealer Access   

∎   Online Access – FundsAUM Dealer and Asset Manager per fund family

  

❑  Monthly maintenance fee

   $ 1,000  

Internet Services: Shareholder Access & E-Delivery

  

∎   Online Access and Web-based document mailing – per fund family

  

❑  One-time set-up fee

     Waived  

❑  Annual maintenance fee – up to 50,000 accounts

   $ 9,486  

❑  Annual maintenance fee – over 50,000 accounts

   $ 17,391  

❑  Per shareholder, per inquiry and mailing*

   $ 0.1581  

❑  Transactions and account maintenance, per occurrence

   $ 0.4216  

❑  Per shareholder, per bank validation

   $ 2.635  

*   statements, prospectuses, financial reports, etc.

  

VRU Services

  

∎   One-time VRU set-up fee

     Waived  

∎   Annual VRU maintenance fee

   $ 2,635  

∎   VRU charge (per call)

   $ 0.4216  

FATCA Services

  

Annual FATCA services fee $2,635

  

 

5


Dates Referenced Herein

This ‘485BPOS’ Filing    Date    Other Filings
10/5/25None on these Dates
Effective on:2/28/23
Filed on:2/27/23
10/5/19
 List all Filings 


2 Subsequent Filings that Reference this Filing

  As Of               Filer                 Filing    For·On·As Docs:Size             Issuer                      Filing Agent

 2/27/24  Alger Funds II                    485BPOS     2/28/24   32:17M                                    Donnelley … Solutions/FA
 4/06/23  Alger Funds II                    485BPOS     4/06/23   25:11M                                    Donnelley … Solutions/FA


14 Previous Filings that this Filing References

  As Of               Filer                 Filing    For·On·As Docs:Size             Issuer                      Filing Agent

12/29/22  Alger Funds II                    N-CSR      10/31/22    4:3.2M                                   Broadridge Fin’l So… Inc
 2/25/22  Alger Funds II                    485BPOS     2/28/22   32:10M                                    Donnelley … Solutions/FA
 2/25/22  Alger Institutional Funds         485BPOS     2/28/22   30:9.5M                                   Donnelley … Solutions/FA
 2/26/21  Alger Funds II                    485BPOS     2/28/21  114:15M                                    Donnelley … Solutions/FA
 2/28/20  Alger Funds II                    485BPOS     2/28/20   23:4.2M                                   Donnelley … Solutions/FA
 2/23/18  Alger Funds II                    485BPOS     2/28/18    5:4.4M                                   Toppan Merrill/FA
 3/01/17  Alger Funds II                    485APOS¶               4:2.8M                                   Toppan Merrill/FA
 2/21/17  Alger Funds II                    485BPOS     2/28/17    6:11M                                    Toppan Merrill/FA
10/23/15  Alger Funds II                    485APOS10/22/15    5:1.8M                                   Toppan Merrill/FA
 2/22/13  Alger Funds II                    485BPOS     2/28/13    5:3.8M                                   Toppan Merrill/FA
 2/22/12  Alger Funds II                    485BPOS     2/28/12   17:4.3M                                   Toppan Merrill/FA
 8/03/09  Alger Funds II                    485BPOS9/02/09    6:1.4M                                   Toppan Merrill/FA
 6/26/08  Alger Funds II                    485APOS¶               6:2.8M                                   Toppan Merrill/FA
 2/18/05  Alger Funds II                    485BPOS     2/18/05    7:425K                                   Command Financial
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Filing Submission 0001193125-23-050922   –   Alternative Formats (Word / Rich Text, HTML, Plain Text, et al.)

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