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
    STANDARD
CLASS II
EXPENSE
LIMIT
    SERVICE
CLASS
EXPENSE
LIMIT
    EFFECTIVE
DATE
     TERMINATION
DATE
 

Lincoln Hedged Nasdaq-100 Fund

     0.62     N/A       0.97     May 1, 2026        April 30, 2027  

Lincoln Hedged S&P 500 Conservative Fund

     0.58     N/A       0.93     May 1, 2026        April 30, 2027  

Lincoln Hedged S&P 500 Fund

     0.58     N/A       0.93     May 1, 2026        April 30, 2027  

Lincoln Opportunistic Hedged Equity Fund

     0.59     N/A       0.94     May 1, 2026        April 30, 2027  

LVIP American Century Balanced Fund

     0.67     0.77     1.02     May 1, 2026        April 30, 2027  

LVIP American Century Capital Appreciation Fund

     0.57     0.79     0.94     May 1, 2026        April 30, 2027  

LVIP American Century Inflation Protection Fund

     0.36     0.46     0.71     May 1, 2026        April 30, 2027  

LVIP American Century International Fund

     0.85     0.95     1.10     May 1, 2026        April 30, 2027  

LVIP American Century Large Company Value Fund

     0.60     0.70     0.85     May 1, 2026        April 30, 2027  

LVIP American Century Mid Cap Value Fund

     0.76     0.86     1.01     May 1, 2026        April 30, 2027  

LVIP American Century Ultra Fund

     0.65     0.75     0.90     May 1, 2026        April 30, 2027  

LVIP American Century Value Fund

     0.60     0.70     0.85     June 1, 2026        June 1, 2028  

LVIP American Funds Vanguard Active Passive Growth Fund

     0.42     N/A       0.77     May 1, 2025        July 1, 2027  

 

*

May be amended only with Board approval.

1

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


LVIP FUND NAME

   STANDARD
CLASS
EXPENSE
LIMIT
    STANDARD
CLASS II
EXPENSE
LIMIT
    SERVICE
CLASS
EXPENSE
LIMIT
    EFFECTIVE
DATE
     TERMINATION
DATE
 

LVIP Avantis Large Cap Value Fund

     0.61     0.71     0.96     May 1, 2026        April 30, 2027  

LVIP BlackRock Dividend Value Managed Volatility Fund

     0.63     N/A       0.88     August 1, 2025        August 1, 2027  

LVIP BlackRock Equity Dividend Fund*

     0.67     N/A       0.97     May 1, 2026        April 30, 2027  

LVIP BlackRock Global Allocation Fund*

     0.71     N/A       0.96     May 1, 2026        April 30, 2027  

LVIP BlackRock Global Growth ETF Allocation Managed Risk Fund

     0.31     N/A       0.66     October 9, 2026        October 9, 2028  

LVIP Channing Small Cap Value Fund

     0.88     N/A       1.13     May 1, 2026        April 30, 2027  

LVIP ClearBridge Franklin Select Large Cap Managed Volatility Fund

     0.645     N/A       0.995     May 1, 2026        April 30, 2027  

LVIP ClearBridge Appreciation Fund

     0.70     N/A       0.95     May 1, 2026        April 30, 2028  

LVIP ClearBridge Dividend Strategy Fund

     0.75     N/A       1.00     May 1, 2026        April 30, 2028  

LVIP ClearBridge Large Cap Growth Fund

     0.74     N/A       0.99     May 1, 2026        April 30, 2028  

LVIP ClearBridge Large Cap Value Fund

     0.72     N/A       0.97     May 1, 2026        April 30, 2028  

LVIP Dimensional International Core Equity Fund

     0.62     N/A       0.87     May 1, 2026        April 30, 2027  

LVIP Fidelity Institutional AM® Select Core Equity Managed Volatility Fund

     0.095     N/A       0.445     May 1, 2026        April 30, 2027  

LVIP Fidelity Institutional AM® Total Bond Fund*

     0.51     N/A       0.81     May 1, 2026        April 30, 2027  

 

*

May be amended only with Board approval.

1

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


LVIP Franklin Templeton Core Bond Fund

     0.37     N/A        0.72     October 31, 2025        October 31, 2027  

LVIP Global Equity Managed Volatility Fund, formerly LVIP Franklin Templeton Global Equity Managed Volatility Fund

     0.70     N/A        0.95     June 1, 2026        June 1, 2028  

LVIP Global Aggressive Growth Allocation Managed Risk Fund

     0.325     N/A        0.575     May 1, 2026        April 30, 2027  

LVIP JPMorgan Retirement Income Fund *

     0.38     N/A        0.63     May 1, 2026        April 30, 2027  

LVIP JPMorgan Short Duration Bond Fund*

     0.47     N/A        0.77     May 1, 2026        April 30, 2027  

LVIP Loomis Sayles Global Growth Fund

     0.77     N/A        1.12     May 1, 2026        April 30, 2027  

LVIP Nomura High Yield Fund*

     0.72     N/A        1.02     April 1, 2026        April 30, 2028  

LVIP Nomura SMID Cap Core Fund*

     0.80     N/A        1.10     May 1, 2026        April 30, 2027  

 

*

May be amended only with Board approval.

1

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


LVIP FUND NAME

   STANDARD
CLASS
EXPENSE
LIMIT
    STANDARD
CLASS II
EXPENSE
LIMIT
     SERVICE
CLASS
EXPENSE
LIMIT
    EFFECTIVE DATE      TERMINATION
DATE
 

LVIP Nomura U.S. Growth Fund

     0.73     N/A        1.03     May 1, 2026        April 30, 2027  

LVIP Nomura U.S. REIT Fund*

     0.83     N/A        1.13     May 1, 2026        April 30, 2027  

LVIP MFS International Growth Fund

     0.79     N/A        1.04     October 9, 2026        October 9, 2028  

LVIP Multi-Manager Global Equity Managed Volatility Fund

     0.21     N/A        0.56     May 1, 2026        April 30, 2027  

LVIP Multi-Manager International Equity Managed Volatility Fund

     0.185     N/A        0.435     May 1, 2026        April 30, 2027  

LVIP PIMCO Low Duration Bond Fund

     0.50     N/A        0.75     May 1, 2026        April 30, 2027  

LVIP State Street Conservative Index Allocation Fund

     0.20     N/A        0.45     May 1, 2026        April 30, 2027  

LVIP State Street Emerging Markets Equity Index Fund

     0.50     N/A        0.75     May 1, 2026        April 30, 2027  

LVIP State Street International Managed Volatility Fund

     0.245     N/A        0.495     May 1, 2026        April 30, 2027  

LVIP State Street Large Cap Managed Volatility Fund

     0.245     N/A        0.495     May 1, 2026        April 30, 2027  

LVIP State Street Nasdaq- 100 Index Fund

     0.45     N/A        0.70     May 1, 2026        April 30, 2027  

LVIP State Street Short- Term Bond Index Fund

     0.3625     N/A        0.6125     May 1, 2026        April 30, 2027  

LVIP State Street SMID Cap Managed Volatility Fund

     0.245     N/A        0.495     May 1, 2026        April 30, 2027  

LVIP Structured Moderate Allocation Fund

     0.21     N/A        0.46     November 1, 2025        October 31, 2027  

 

*

May be amended only with Board approval.

1

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


LVIP T. Rowe Price 2020 Fund

     0.24%        N/A        0.49     May 1, 2026        April 30, 2027  

LVIP T. Rowe Price 2030 Fund

     0.25%        N/A        0.50     May 1, 2026        April 30, 2027  

LVIP T. Rowe Price 2040 Fund

     0.26%        N/A        0.51     May 1, 2026        April 30, 2027  

LVIP T. Rowe Price 2050 Fund

     0.27%        N/A        0.52     May 1, 2026        April 30, 2027  

LVIP T. Rowe Price 2060 Fund

     0.27%        N/A        0.52     May 1, 2026        April 30, 2027  

LVIP U.S. Aggressive Growth Allocation Managed Risk Fund

     0.315%        N/A        0.565     May 1, 2026        April 30, 2027  

 

*

May be amended only with Board approval.

1

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


The parties hereto have caused this SCHEDULE A to be signed by their duly authorized officers as of July 8, 2026 and effective in accordance with the dates noted above.

 

LINCOLN FINANCIAL INVESTMENTS CORPORATION     LINCOLN VARIABLE INSURANCE PRODUCTS TRUST, on behalf of each of its Funds listed on Schedule A
By:  

/s/ Gordon Huellmantel

    By:  

/s/ Gordon Huellmantel

Name: Gordon Huellmantel     Name: Gordon Huellmantel
Title: Senior Vice President     Title: Senior Vice President