STATE STREET GLOBAL ADVISORS TRUST COMPANY INVESTMENT FUNDS FOR TAX EXEMPT RETIREMENT PLANS AMENDED CLASS DESCRIPTION (CLASS A)

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STATE STREET GLOBAL ADVISORS TRUST COMPANY INVESTMENT FUNDS FOR TAX EXEMPT RETIREMENT PLANS AMENDED CLASS DESCRIPTION (CLASS A) STATE STREET S&P 500 INDEX NON-LENDING SERIES FUND (the Fund ) Pursuant to Article 2 of the Sixth Amended and Restated Declaration of Trust for the State Street Global Advisors Trust Company Investment Funds for Tax Exempt Retirement Plans, dated April 1, 2017 (the Declaration of Trust ), which authorizes State Street Global Advisors Trust Company (the Trustee ) to divide an investment fund established thereunder, including the Fund, into one or more Classes of Units representing beneficial interests in such Fund with differing fee and expense obligations, each of which may charge different fees that may be lower or higher than another Class, the Trustee hereby declares that the Fund shall have the authority to issue Units in the following Class Class A. Class A shall have the rights, privileges and obligations set forth below. This Class Description should be read in conjunction with the Fund Declaration of the Fund (the Fund Declaration ) and the Declaration of Trust, each of which is incorporated herein by reference. Capitalized terms used and not otherwise defined shall have the meanings set forth in the Fund Declaration and Declaration of Trust. Any Qualified Investor (as such term is defined in the Declaration of Trust) is eligible to invest in Class A. Class A Total Annual Operating Expense Ratio. Class A will be charged an administration fee (the Administration Fee ) equal to either (i) its proportional share of the administration fee of the Fund as set forth on the schedule attached to the Fund Declaration or (ii) if the Fund invests more than 50% of its assets directly in other Commingled Funds, an administration fee equal to $25,000. Additionally, Class A will be charged (i) any other direct fees and expenses of the Fund, to the extent applicable, including, among others, any audit, index, service and legal fees, and (ii) any indirect fees and expenses of the Fund s investment in the Core Fund and/or any Commingled Funds, to the extent applicable, including among others, such Funds administration, audit, index, and legal fees (together, and including the Administration Fee, the Class A Total Annual Operating Expense Ratio ). The Class A Total Annual Operating Expense Ratio excludes any investment management or other fees charged directly to a Participant. Transaction costs (including, for example, brokerage costs and taxes, if any) are not reflected in the Class A Total Annual Operating Expense Ratio but are reflected in the net performance of the Fund. The Class A Total Annual Operating Expense Ratio will equal 0.003% annually. Effective Date: April 1, 2017 STATE STREET GLOBAL ADVISORS TRUST COMPANY By: Name: Ellen M. Needham Title: Senior Managing Director

STATE STREET GLOBAL ADVISORS TRUST COMPANY INVESTMENT FUNDS FOR TAX EXEMPT RETIREMENT PLANS AMENDED AND RESTATED FUND DECLARATION STATE STREET S&P 500 INDEX NON-LENDING SERIES FUND (the Fund ) Pursuant to Article 2 of the Sixth Amended and Restated Declaration of Trust for the State Street Global Advisors Trust Company Investment Funds for Tax Exempt Retirement Plans, dated April 1, 2017 (the Declaration of Trust ), State Street Global Advisors Trust Company (the Trustee ), by its execution of this Amended and Restated Fund Declaration, hereby amends and restates the Fund Declaration of the Fund. The Trustee agrees that it will hold, administer and deal with all money and property received by it as Trustee of the Fund in accordance with the terms of the Declaration of Trust, subject to the additional terms and conditions set forth in this Amended and Restated Fund Declaration. Capitalized terms used and not otherwise defined shall have the meanings set forth in the Declaration of Trust. 1. Name of the Fund: State Street S&P 500 Index Non-Lending Series Fund 2. Effective Date of the Amended and Restated Fund Declaration: April 1, 2017 3. Investment Objective of the Fund: The Fund seeks an investment return that approximates as closely as practicable, before expenses, the performance of the S&P 500 (the Index ) over the long term, while providing participants the ability to purchase and redeem units on an as of basis. In seeking to accomplish this investment objective, the Fund may invest directly or indirectly in securities and other instruments, including in other pooled investment vehicles sponsored or managed by, or otherwise affiliated with the Trustee ( Commingled Funds ). Due to the uncertainty in all investments, there can be no assurance that the Fund will achieve its investment objective. For more information about investment policies, principal investment strategy and associated risks, please see the US Equity Index Strategy Disclosure Document (as may be amended, modified, or supplemented from time to time, the Strategy Disclosure Document ). 4. Operating Features: Each Business Day shall be a Valuation Date (as defined in the Declaration of Trust). The Fund shall provide Participants the ability to purchase and redeem units on an as of basis. The Trustee may establish procedures, including prior notice periods, for deposits to and withdrawals from the Fund which may differ from other funds maintained by the Trustee. The Trustee will notify Participants of such procedures and notice periods. The Trustee reserves the right to delay the processing of a Participant s requested deposit to or withdrawal from the Fund in order to ensure that securities transactions will be carried out in an orderly manner. The

Trustee, furthermore, may suspend valuation and withdrawal rights under certain circumstances, as may be more fully described in this Fund Declaration or the Declaration of Trust. Please refer to Section 3.03 of the Declaration of Trust for information pertaining to the Trustee s authority to suspend valuation and withdrawal rights. The Trustee values the Fund in accordance with the provisions of Article 5 of the Declaration of Trust. Due to the operating characteristics of the Fund, the Trustee does not generally adjust securities valuations from market prices or quotations to estimate a security s fair value. There may be limited circumstances where the Trustee, in its sole discretion, determines that market prices or quotations for a security are either not readily available or are not reliable and that it is necessary to calculate a security s fair value. In these circumstances, the fair value of such security will be determined in good faith by the Trustee in accordance with the Trustee s valuation procedures. To the extent applicable, the Trustee s decision to fair value may cause unanticipated tracking error as the index may not reflect these fair value determinations. The Fund is subject to the valuation procedures of any Commingled Fund in which it invests and may be impacted if an underlying Commingled Fund s securities are priced in accordance with the Trustee s fair value procedures. The number of and value of Units issued in connection with a contribution of assets to the Fund or redeemed in connection with a withdrawal from the Fund shall be determined on the basis of the value of the Fund as of the Fund s last preceding Valuation Date to the date on which such order to contribute assets or order to withdraw assets (an Order ) is received; provided, however, that the Trustee, in its sole discretion, reserves the right to value any contribution or withdrawal as of the next succeeding Valuation Date, or another date as the Trustee reasonably deems appropriate when (i) an Order is not received within the time period which the Trustee establishes for receipt of Orders, (ii) market conditions are such that the processing of an Order as of the last preceding Valuation Date would be financially detrimental to remaining participants in the Fund, or (iii) the Trustee otherwise determines that such a valuation is appropriate. Due to the combination of the effects of as of pricing and cash inflows to and outflows from this Fund, as well as other commingled funds maintained by the Trustee which directly or indirectly purchase units of the Commingled Funds, and the effects of any fair value pricing which may occur, the Fund may not precisely track the Index. 5. Fees and Expenses: The Fund will be charged an administration fee and transaction costs as set forth on the attached schedule. The administration fee includes fees and expenses paid by the Fund to the Trustee or its affiliates relating to the provision of custody, bookkeeping and accounting services, shareholder servicing, transfer agency and other services that the Trustee may from time to time consider necessary or appropriate, as permitted by the provisions of the Declaration of Trust and as may be more fully described in the Strategy Disclosure Document. Alternatively, should the Fund, in the discretion of the Trustee, invest more than 50% of its assets directly in Commingled Funds, the Trustee will instead charge the Fund an administration fee equal to $25,000. The Fund will also be charged an annual audit fee and may, in the discretion of the Trustee, be charged an index fee, and any other fees and expenses of the Fund as provided in the Declaration of Trust. The Fund will bear its pro rata share of the following costs of any Commingled Fund in which the Fund invests: administration fee, annual audit fee, index fee, transaction costs and fees relating to - 2 -

the provision of other services that the Trustee may from time to time consider necessary or appropriate. The Trustee, in its discretion, may invest Fund assets in shares of one or more registered mutual funds for which an affiliate of the Trustee acts as investment advisor (a Mutual Fund ). With respect to Fund assets invested in a Mutual Fund, the Fund will indirectly incur management fees and other charges which do not currently exceed twelve (12) basis points. The Trustee will waive the allocable portion of the Fund s management fee that is attributable to any investment in the Mutual Fund. 6. Incorporation of Strategy Disclosure Document: The Strategy Disclosure Document is incorporated herein by reference and given the same force and effect as though fully set forth herein and, from the date designated by the Trustee in such Strategy Disclosure Document, has become part of the Fund Declaration, until such time as the Trustee shall provide to the Participants of the Fund another Strategy Disclosure Document terminating such incorporation by reference or revising, amending, or supplementing all or any part of the provisions previously so incorporated by reference into the Fund Declaration. STATE STREET GLOBAL ADVISORS TRUST COMPANY By: Name: Ellen M. Needham Title: Senior Managing Director S&P 500 IS A TRADEMARK OF STANDARD & POOR S FINANCIAL SERVICES LLC AND HAS BEEN LICENSED FOR USE BY STATE STREET BANK AND TRUST. THE STATE STREET S&P 500 INDEX NON- LENDING SERIES FUND IS NOT SPONSORED, ENDORSED, SOLD OR PROMOTED BY STANDARD & POOR S AND STANDARD & POOR S MAKES NO REPRESENTATION REGARDING THE ADVISABILITY OF INVESTING IN THE STATE STREET S&P 500 INDEX NON-LENDING SERIES FUND. - 3 -

Schedule of Administration Fees and Transaction Costs The Trustee will charge the Fund an annual administration fee equal to 0.25 basis point of the net asset value of the Fund and transaction fees equal to $5 per Fund transaction. - 4 -