HEI Exhibit 99.2 ---------------- SECOND AMENDMENT TO TRUST AGREEMENT BETWEEN HAWAIIAN ELECTRIC INDUSTRIES, INC. AND FIDELITY MANAGEMENT TRUST COMPANY THIS SECOND AMENDMENT TO TRUST AGREEMENT, is made and entered into November 1, 2000, by and between Fidelity Management Trust Company (the "Trustee") and Hawaiian Electric Industries, Inc. (the "Sponsor"); WITNESSETH: WHEREAS, the Trustee and the Sponsor heretofore entered into a trust agreement dated February 1, 2000, and amended August 1, 2000 (the "Trust Agreement"), for the Hawaiian Electric Industries Retirement Savings Plan (the "Plan") which restated the existing trust agreement; and WHEREAS, the Sponsor wishes to add the INVESCO Dynamics Fund and Fidelity Freedom 2040 Fund as investment options under the Trust; and WHEREAS, in furtherance of the foregoing, the Trustee and the Sponsor desire to amend said Trust Agreement as provided for in Section 13 thereunder; NOW THEREFORE, in consideration of the above premises, the Trustee and the Sponsor hereby amend the Trust Agreement by: (1) Amending and restating Schedules "A", "B" and "C", in their entirety, as attached. IN WITNESS WHEREOF, the Trustee and the Sponsor have caused this Second Amendment to be executed by their duly authorized officers effective as of the day and year first above written. HAWAIIAN ELECTRIC INDUSTRIES, INC. FIDELITY MANAGEMENT TRUST COMPANY BY: HAWAIIAN ELECTRIC INDUSTRIES, INC. PENSION INVESTMENT COMMITTEE By: /s/ Peter C. Lewis 9/28/00 By: /s/ Carolyn Redden 10/10/00 ------------------------------- ----------------------------- Peter C. Lewis Date Vice President Date Member By: /s/ Edwina H. Kawamoto 9/28/00 ------------------------------- Edwina H. Kawamoto Date Secretary and Member Schedule "A" ADMINISTRATIVE SERVICES ----------------------- Administration - -------------- * Establishment and maintenance of participant account and election percentages. * Maintenance of the following plan investment options: - Fidelity Retirement Money Market Portfolio - ASB Money Market Account - HEI Common Stock Fund - Fidelity Puritan Fund - Fidelity Magellan Fund - Fidelity Overseas Fund - Fidelity Freedom 2000 Fund - Fidelity Freedom 2010 Fund - Fidelity Freedom 2020 Fund - Fidelity Freedom 2030 Fund - Fidelity Freedom 2040 Fund - Fidelity Freedom Income Fund - Spartan U.S. Equity Index Fund - MAS Value Portfolio Adviser - Neuberger Berman Partners Trust - PBHG Emerging Growth Fund - Fidelity U.S. Bond Index Fund - INVESCO Dynamics Fund * Maintenance of the following money classifications: - Salary Reduction - Participant Voluntary - Rollover - HEI Diversified Plan - Employer ASB - Employer Supplemental - IRA - Voluntary HEISOP - Employer HEISOP * Processing of investment option trades. The Trustee will provide only the recordkeeping and administrative services set forth on this Schedule "A" and no others. 2 Processing - ---------- * Weekly processing of contribution data and contributions * Daily processing of transfers and changes of future allocations via the telephone exchange system * Daily processing of withdrawals Other - ----- * Monthly trial balance * Monthly loan reports * Quarterly administrative reports * Quarterly participant statements * 1099Rs * Account segregation for Qualified Domestic Relations Orders ("QDRO") as directed by Sponsor * Excess contributions report * Participant loans * Periodic meetings with Sponsor * Educational services as needed and mutually agreed upon by the Trustee and the Sponsor * Minimum Required Distribution ("MRD") service * Provide employee communications describing available investment options, including multimedia informational materials and group presentations. * Fidelity PortfolioPlanner(SM), an internet-based educational service for participants that generates target asset allocations and model portfolios customized to investment options in the Plan(s) based upon methodology provided by Strategic Advisers, Inc., an affiliate of the Trustee. The Sponsor acknowledges that it has received the ADV Part II for Strategic Advisers, Inc. more than 48 hours prior to executing the Trust amendment. HAWAIIAN ELECTRIC FIDELITY MANAGEMENT TRUST INDUSTRIES, INC. COMPANY BY: HAWAIIAN ELECTRIC INDUSTRIES, INC. PENSION INVESTMENT COMMITTEE By: /s/ Peter C. Lewis 9/28/00 By: /s/ Carolyn Redden 10/10/00 ------------------------------- ------------------------------ Peter C. Lewis Date Vice President Date Member By: /s/ Edwina H. Kawamoto 9/28/00 ------------------------------- Edwina H. Kawamoto Date Secretary and Member 3 Schedule "B" FEE SCHEDULE ------------ Recordkeeping Fees - ------------------ * Annual Participation Fee: $5.00 per participant** per year, billed and payable quarterly. * Minimum Required Distribution (MRD): $25.00 per MRD recipient per year. * Plan Establishment Fee: $2,500.00 * Loan Fee: Establishment fee of $35.00 per loan account; annual fee of $15.00 per loan account.** * Plan Sponsor WebStation (PSW): All User ID fees waived. * NetBenefits: All User ID fees waived. * Non-Fidelity Mutual Funds: .35% annual administrative fee on the following Non-Fidelity Mutual Fund assets which are equity/balanced funds: MAS Value Portfolio Adviser; Neuberger Berman Partners Trust and the PBHG Emerging Growth Fund; .25% annual administration fee plus an $8.00 per participant fee on all INVESCO Dynamics Fund assets (to be paid by the Non- Fidelity Mutual Fund vendor). * Other Fees: separate charges for optional non-discrimination testing, extraordinary expenses resulting from large numbers of simultaneous manual transactions, from errors not caused by Fidelity, reports not contemplated in this Agreement, corporate actions, or the provision of communications materials in hard copy which are also accessible to participants via electronic services in the event that the provision of such material in hard copy would result in an additional expense deemed to be material. ** This fee will be imposed pro rata for each calendar quarter, or any part -------- thereof, that it remains necessary to keep a participant's account(s) and/or loans(s) as part of the Plan's records, e.g. vested, deferred, forfeiture, top- heavy and terminated participants, if applicable, who must remain on file through the calendar year-end for 1099R reporting. Trustee Fee - ----------- Investment Options * Sponsor Stock: 0.10% per annum of such assets in the Trust payable quarterly on the basis of such assets as of the average market value for each calendar quarter. In no event will the fee be less than $10,000 nor more than $35,000 per year. * Others: None. 4 HAWAIIAN ELECTRIC FIDELITY MANAGEMENT TRUST INDUSTRIES, INC. COMPANY BY: HAWAIIAN ELECTRIC INDUSTRIES, INC. PENSION INVESTMENT COMMITTEE By: /s/ Peter C. Lewis 9/28/00 By: /s/ Carolyn Redden 10/10/00 ------------------------------- ------------------------------- Peter C. Lewis Date Vice President Date Member By: /s/ Edwina H. Kawamoto 9/28/00 ------------------------------- Edwina H. Kawamoto Date Secretary and Member 5 Schedule "C" INVESTMENT OPTIONS ------------------ In accordance with Section 4(b), the PIC hereby directs the Trustee that participants' individual accounts may be invested in the following investment options: - Fidelity Retirement Money Market Portfolio - ASB Money Market Account - HEI Common Stock Fund - Fidelity Puritan Fund - Fidelity Magellan Fund - Fidelity Overseas Fund - Fidelity Freedom 2000 Fund - Fidelity Freedom 2010 Fund - Fidelity Freedom 2020 Fund - Fidelity Freedom 2030 Fund - Fidelity Freedom 2040 Fund - Fidelity Freedom Income Fund - Spartan U.S. Equity Index Fund - MAS Value Portfolio Adviser - Neuberger Berman Partners Trust - PBHG Emerging Growth Fund - Fidelity U.S. Bond Index Fund - INVESCO Dynamics Fund The investment option referred to in Section 4(c) and Section 4(d)(v)(B)(5) shall be the ASB Money Market Account. HAWAIIAN ELECTRIC INDUSTRIES, INC. BY: HAWAIIAN ELECTRIC INDUSTRIES, INC. PENSION INVESTMENT COMMITTEE By: /s/ Peter C. Lewis 9/28/00 ------------------------------- Peter C. Lewis Date Member By: /s/ Edwina H. Kawamoto 9/28/00 ------------------------------- Edwina H. Kawamoto Date Secretary and Member 6