Exhibit (d)(xxxv)
May 1, 2025
William Blair Investment Management, LLC
150 North Riverside Plaza
Chicago, IL 60606
Re: | Management Agreement with William Blair Funds dated |
December 15, 1999 (the Management Agreement) |
Ladies and Gentlemen:
Pursuant to Section 7 of the Management Agreement, William Blair Investment Management, LLC proposes to amend the Management Agreement to reduce the management fee for the Funds below effective May 1, 2025 as follows:
FROM: |
TO: | |
William Blair International Growth Fund 0.94% on the first $3 billion of average daily net assets; 0.90% of the next $2 billion of average daily net assets; 0.85% of the next $5 billion of average daily net assets; 0.825% of the next $5 billion of average daily net assets; 0.80% of average daily net assets over $15 billion |
0.85% of the first $10 billion of average daily net assets; 0.825% of the next $5 billion of average daily net assets; 0.80% of average daily net assets over $15 billion | |
William Blair Institutional International Growth Fund 0.94% of the first $1.875 billion of average daily net assets; 0.90% of the next $625 million of average daily net assets; 0.875% of the next $2.5 billion of average daily net assets; 0.85% of the next $5 billion of average daily net assets; 0.825% of the next $5 billion of average daily net assets; 0.80% of average daily net assets over $15 billion |
0.85% of the first $10 billion of average daily net assets; 0.825% of the next $5 billion of average daily net assets; 0.80% of average daily net assets over $15 billion |
Attached hereto is Appendix A to the Management Agreement to reflect the revised management fees.
By signing below, William Blair Investment Management, LLC acknowledges that this amendment to the Management Agreement may be enforced against it.
WILLIAM BLAIR FUNDS | ||
By: | /s/ John M. Raczek | |
Name: | John M. Raczek | |
Title: | Treasurer, William Blair Funds |
Accepted this 1st day of May, 2025.
WILLIAM BLAIR INVESTMENT MANAGEMENT, LLC | ||
By: | /s/ Cissie Citardi | |
Name: | Cissie Citardi | |
Title: | Partner |
APPENDIX A
MANAGEMENT FEES
William Blair China Growth Fund:
0.94% of average daily net assets
William Blair Emerging Markets Debt Fund:
0.65% of average daily net assets
William Blair Emerging Markets ex China Growth Fund:
0.94% of average daily net assets
William Blair Emerging Markets Growth Fund:
0.94% of average daily net assets
William Blair Emerging Markets Leaders Fund:
0.94% of average daily net assets
William Blair Emerging Markets Small Cap Growth Fund:
1.10% of average daily net assets
William Blair Global Leaders Fund:
0.85% of average daily net assets
William Blair Growth Fund:
0.75% of average daily net assets
William Blair Institutional International Growth Fund:
0.85% of the first $10 billion of average daily net assets;
0.825% of the next $5 billion of average daily net assets; plus
0.80% of average daily net assets over $15 billion
William Blair International Growth Fund:
0.85% of the first $10 billion of average daily net assets;
0.825% of the next $5 billion of average daily net assets; plus
0.80% of average daily net assets over $15 billion
William Blair International Leaders Fund:
0.85% of average daily net assets
William Blair International Small Cap Growth Fund:
1.00% of average daily net assets
William Blair Large Cap Growth Fund:
0.60% of average daily net assets
William Blair Mid Cap Value Fund:
0.70% of average daily net assets
William Blair Small Cap Growth Fund:
0.94% of average daily net assets
William Blair Small Cap Value Fund:
0.75% of average daily net assets
William Blair Small-Mid Cap Core Fund:
0.90% of average daily net assets
William Blair Small-Mid Cap Growth Fund:
0.94% of average daily net assets
William Blair Small-Mid Cap Value Fund:
0.80% of average daily net assets