Exhibit (d)(1)(A)(i)
May 1, 2026
Todd Modic
Senior Vice President
Voya Investments, LLC
7337 E. Doubletree Ranch Road
Suite 100
Scottsdale, AZ 85258-2034
Re: Modification of Management Fees for Voya Limited Maturity Bond Portfolio
Dear Mr. Modic:
Pursuant to the Investment Management Agreement, dated May 1, 2017, between Voya Investors Trust (“VIT”) and Voya Investments, LLC (the “Agreement”), we hereby notify you of our intention to modify the annual investment management fees for Voya Limited Maturity Bond Portfolio (the “Portfolio”) effective on May 1, 2026, upon all of the terms and conditions set forth in the Agreement.
Upon your acceptance, the Agreement will be modified to give effect to the foregoing by modifying the fees of the Portfolio in Amended Schedule B of the Agreement. The Amended Schedule A and the Amended Schedule B are attached hereto.
Please signify your acceptance of the modifications to this Agreement with respect to the aforementioned Portfolio by signing below where indicated.
Very sincerely,
By: _/s/ Kimberly A. Anderson
Name: Kimberly A. Anderson
Title: Senior Vice President
Voya Investors Trust
ACCEPTED AND AGREED TO:
Voya Investments, LLC
By: /s/ Todd Modic___________
Name: Todd Modic
Title: Senior Vice President, Duly Authorized
AMENDED SCHEDULE A
The Series of Voya Investors Trust, as described in the attached Investment Management Agreement, to which Voya Investments, LLC shall act as Manager, are as follows:
Series
Voya Government Liquid Assets Portfolio
Voya High Yield Portfolio
Voya Limited Maturity Bond Portfolio
Voya U.S. Stock Index Portfolio
Voya VACS Index Series S Portfolio
VY® Invesco Growth and Income Portfolio
VY® JPMorgan Emerging Markets Equity Portfolio
VY® JPMorgan Small Cap Core Equity Portfolio
VY® Morgan Stanley Global Franchise Portfolio
VY® T. Rowe Price Capital Appreciation Portfolio
Effective Date: February 6, 2026, to reflect the removal of VY® T. Rowe Price Equity Income Portfolio.
A-1
AMENDED SCHEDULE B
COMPENSATION FOR SERVICES TO SERIES
For the services provided by Voya Investments, LLC (the “Manager”) to the following Series of the Voya Investors Trust (the “Trust”), pursuant to the attached Investment Management Agreement, the Trust will pay the Manager a fee, payable monthly, based on the average daily net assets of the Series at the following annual rates of the average daily net assets of that Series.
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Series |
Annual Investment Management Fee |
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(as a percentage of average daily net assets) |
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0.350% on first $200 million in combined assets of |
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Voya Government Liquid Assets Portfolio1 |
these Series; |
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0.300% on next $300 million; and |
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0.250% on assets in excess of $500 million |
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0.490% on first $1 billion; |
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Voya High Yield Portfolio |
0.480% on next $1 billion; and |
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0.470% on assets in excess of $2 billion |
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0.330% on first $200 million in combined assets of |
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Voya Limited Maturity Bond Portfolio1 |
these Series; |
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0.280% on next $300 million; and |
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0.230% on assets in excess of $500 million |
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Voya U.S. Stock Index Portfolio |
0.260% |
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Voya VACS Index Series S Portfolio |
0.150% |
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VY® Invesco Growth and Income Portfolio2 |
0.750% first $750 million in combined assets of these |
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VY® T. Rowe Price Capital Appreciation |
Series; |
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0.700% next $1.25 billion; |
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Portfolio2 |
0.650% next $1.5 billion; and |
1For purposes of calculating the fees under this Agreement, the assets of Voya Government Liquid Assets Portfolio and Voya Limited Maturity Bond Portfolio shall be aggregated. The aggregated assets will be applied to the above schedule and the resulting fee shall be prorated back to each Series and its respective Adviser/Manager based on relative net assets.
2For purposes of calculating fees under this Agreement, the assets for VY® Invesco Growth and Income Portfolio and VY® T. Rowe Price Capital Appreciation Portfolio shall be aggregated with the assets of the VY® Columbia Real Estate Portfolio, a series of Voya Investors Trust, which is not a party to this Agreement. The aggregated assets will be applied to the above
B-1
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Series |
Annual Investment Management Fee |
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(as a percentage of average daily net assets) |
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0.600% on assets in excess of $3.5 billion |
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VY® JPMorgan Emerging Markets Equity |
1.250% |
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Portfolio |
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0.900% on first $200 million; |
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VY® JPMorgan Small Cap Core Equity |
0.850% on next $300 million; |
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0.800% on next $250 million; and |
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Portfolio |
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0.750% on assets in excess of $750 million |
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VY® Morgan Stanley Global Franchise |
0.8800% on first $250 million; |
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0.7800% on next $250 million; and |
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Portfolio |
0.6300% on assets thereafter |
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Effective Date: May 1, 2026, to reflect the management fee rate modifications to Voya Limited Maturity Bond Portfolio.
schedule and the resulting fee shall be prorated back to each Series and its respective Adviser/Manager based on relative net assets.
B-2