FORM OF ADMINISTRATIVE SERVICES AGREEMENT AMENDED AND RESTATED This Administrative Services Agreement ("Agreement"), effective as of April __, 2006 is by and between Ameriprise Financial, Inc. ("Administrator"), a Delaware corporation, and the...Administrative Services Agreement • April 21st, 2006 • RiverSource Retirement Series Trust • Minnesota
Contract Type FiledApril 21st, 2006 Company Jurisdiction
DISTRIBUTION AGREEMENT This Distribution Agreement ("Agreement"), effective as of May 1, 2009, is by and between RiverSource Fund Distributors, Inc. ("Distributor"), a Delaware corporation, and RiverSource Variable Series Trust, a Massachusetts...Distribution Agreement • April 29th, 2010 • Riversource Series Trust • Minnesota
Contract Type FiledApril 29th, 2010 Company Jurisdiction
TRANSFER AGENT AGREEMENT AMENDED AND RESTATED This Transfer Agent Agreement, effective as of October 1, 2005, amended and restated June 15, 2009 ("Agreement"), is by and between RiverSource Service Corporation ("Transfer Agent"), a Minnesota...Transfer Agent Agreement • June 25th, 2009 • Riversource Series Trust • Minnesota
Contract Type FiledJune 25th, 2009 Company Jurisdiction
INVESTMENT MANAGEMENT SERVICES AGREEMENT AMENDED AND RESTATED This Agreement dated as of May 1, 2006, amended and restated April 9, 2009, is by and between RiverSource Investments, LLC (the "Investment Manager"), a Minnesota limited liability company...Investment Management Services Agreement • April 29th, 2010 • Riversource Series Trust • Minnesota
Contract Type FiledApril 29th, 2010 Company Jurisdiction
ARTICLE IAgreement and Declaration of Trust • February 9th, 2006 • RiverSource Retirement Series Trust • Massachusetts
Contract Type FiledFebruary 9th, 2006 Company Jurisdiction
SUBADVISORY AGREEMENTSubadvisory Agreement • December 7th, 2021 • Columbia Funds Series Trust II • Massachusetts
Contract Type FiledDecember 7th, 2021 Company JurisdictionAgreement made as of the 16th day of August, 2021 by and between Columbia Management Investment Advisers, LLC, a Minnesota limited liability company (“Investment Manager”), and Pyrford International Limited, a limited liability company incorporated under the laws of England and Wales with registered number 02096061 (“Subadviser”).
FORM OF CUSTODIAN AGREEMENT AMENDED AND RESTATED This Custodian Agreement, first entered into as of April __, 2006 ("Agreement"), is by and between Ameriprise Trust Company, a corporation organized under the laws of the state of Minnesota with its...Form of Custodian Agreement • April 21st, 2006 • RiverSource Retirement Series Trust • Minnesota
Contract Type FiledApril 21st, 2006 Company Jurisdiction
Agreement and Plan of ReorganizationAgreement and Plan of Reorganization • December 22nd, 2021 • Columbia Funds Series Trust II • Delaware
Contract Type FiledDecember 22nd, 2021 Company JurisdictionTHIS AGREEMENT AND PLAN OF REORGANIZATION dated as of October 5, 2021 (the “Agreement”), is by and among the Target Company, as defined below, on behalf of each of its series that is a Target Fund, as defined below, each Acquiring Company, as defined below, on behalf of each of its series that is an Acquiring Fund, as defined below, and, for purposes of paragraphs 6.8, 10.2, 12.2 and 15 of this Agreement only, BMO Asset Management Corp. (“BMO AM”), the investment adviser of each Target Fund and Bank of Montreal (“BMO Parent” and, together with BMO AM, “BMO”), and for purposes of paragraphs 10.2, 12.2 and 15 of this Agreement only, Columbia Management Investment Advisers, LLC (“Columbia Threadneedle”), the investment adviser to each Acquiring Fund.
MANAGEMENT AGREEMENTManagement Agreement • September 28th, 2015 • Columbia Funds Series Trust II • Massachusetts
Contract Type FiledSeptember 28th, 2015 Company JurisdictionThis Management Agreement (“Agreement”), effective October 1, 2015, is by and between Columbia Management Investment Advisers, LLC (the “Investment Manager”), a Minnesota limited liability company, and CCSF Offshore Fund, Ltd. (the “Subsidiary” or “Fund”), a wholly-owned subsidiary of Columbia Commodity Strategy Fund (the “Parent Fund”), a series of Columbia Funds Series Trust II.
INVESTMENT MANAGEMENT SERVICES AGREEMENTInvestment Management Services Agreement • May 30th, 2014 • Columbia Funds Series Trust II • Massachusetts
Contract Type FiledMay 30th, 2014 Company JurisdictionThis Agreement, dated as of April 12, 2012, is by and between Columbia Management Investment Advisers, LLC (the “Investment Manager”), a Minnesota limited liability company, and CCSF Offshore Fund, Ltd. (“Subsidiary” or “Fund”), a wholly-owned subsidiary of Columbia Commodity Strategy Fund (“Parent Fund”), a series of Columbia Funds Series Trust II.
RIVERSOURCE SERIES TRUST AMENDMENT NO. 2 TO THE AGREEMENT AND DECLARATION OF TRUSTRiversource Series Trust • January 28th, 2009
Company FiledJanuary 28th, 2009
LICENSE AGREEMENT AMENDED AND RESTATED This Agreement, effective May 1, 2006, amended and restated November 12, 2008, by and between Ameriprise Financial, Inc. (hereinafter called "Licensor"), a corporation organized and existing under the laws of the...License Agreement • January 28th, 2009 • Riversource Series Trust
Contract Type FiledJanuary 28th, 2009 Company
INVESTMENT MANAGEMENT SERVICES AGREEMENT This Agreement dated as of May 1, 2006, is by and between RiverSource Investments, LLC (the "Investment Manager"), a Minnesota limited liability company and RiverSource Retirement Series Trust (the...Investment Management Services Agreement • September 19th, 2006 • Riversource Retirement Series Trust • Minnesota
Contract Type FiledSeptember 19th, 2006 Company Jurisdiction
COLUMBIA FUNDS AMENDED AND RESTATED CREDIT AGREEMENT Dated as of October 27, 2022 among THE FUNDS LISTED FROM TIME TO TIME ON SCHEDULE I HERETO, VARIOUS BANKS, JPMORGAN CHASE BANK, N.A., as Administrative Agent, JPMORGAN CHASE BANK, N.A., CITIBANK,...Credit Agreement • November 22nd, 2022 • Columbia Funds Series Trust II • New York
Contract Type FiledNovember 22nd, 2022 Company JurisdictionAMENDED AND RESTATED CREDIT AGREEMENT, dated as of October 27, 2022 (as amended, restated, supplemented or otherwise modified from time to time, this “Agreement”) among (i) the trusts listed on Schedule I (the “Registrants”), each of which is executing this Agreement on behalf of its respective underlying series set forth beneath such Registrant’s name on Schedule I (each such series, individually, a “Borrower” or “Fund” and, collectively, the “Borrowers” or “Funds”), (ii) the several banks and other financial institutions from time to time parties to this Agreement (the “Lenders”), and (iii) JPMORGAN CHASE BANK, N.A., a national banking association, as administrative agent for the Lenders hereunder (in such capacity, the “Administrative Agent”);
DISTRIBUTION AGREEMENTDistribution Agreement • May 27th, 2016 • Columbia Funds Series Trust II • Massachusetts
Contract Type FiledMay 27th, 2016 Company JurisdictionTHIS AGREEMENT is made as of March 1, 2016, by and between each trust (each such trust and corporation being hereinafter referred to as a “Trust” and each series of a Trust, if any, as listed on Schedule I, if any, being hereinafter referred to as a “Fund” with respect to that Trust, but for any Trust that does not have any separate series, then any reference to the “Fund” is a reference to that Trust, as relevant), and Columbia Management Investment Distributors, Inc., a Delaware corporation (the “Distributor”) and amends and restates the Distribution Agreement dated September 7, 2010, by and between the Trust on behalf of each Fund and the Distributor. Absent written notification to the contrary by either the Trust or the Distributor, each new investment portfolio of the Trust established in the future shall automatically become a “Fund” for all purposes hereunder and shares of each new class established in the future shall automatically become “Shares” for all purposes hereunder as
WITNESSETH:Plan Administration Services Agreement • April 29th, 2010 • Riversource Series Trust • Minnesota
Contract Type FiledApril 29th, 2010 Company Jurisdiction
PLAN OF DISTRIBUTION AND AMENDED AND RESTATED AGREEMENT OF DISTRIBUTION The Plan of Distribution ("Plan") and the Agreement of Distribution ("Agreement") effective November 7, 2008, amended and restated April 9, 2009 (together "Plan and Agreement"),...Plan of Distribution And • June 25th, 2009 • Riversource Series Trust • Minnesota
Contract Type FiledJune 25th, 2009 Company Jurisdiction
ADMINISTRATIVE SERVICES AGREEMENT AMENDED AND RESTATED This Administrative Services Agreement ("Agreement"), effective as of October 1, 2005, amended and restated April 6, 2010, is by and between Ameriprise Financial, Inc. ("Administrator"), a...Administrative Services Agreement Amended And • April 29th, 2010 • Riversource Series Trust • Minnesota
Contract Type FiledApril 29th, 2010 Company Jurisdiction
TRANSFER AND DIVIDEND DISBURSING AGENT AGREEMENTTransfer and Dividend Disbursing Agent Agreement • May 27th, 2016 • Columbia Funds Series Trust II
Contract Type FiledMay 27th, 2016 CompanyThis agreement (the “Agreement”) is made as of March 1, 2016, by and between the trust or the corporation acting on behalf of their series all as listed on Schedule A hereto (as the same may from time to time be amended to add or delete one or more series of such trusts or corporations) (each such trust and corporation being hereinafter referred to as a “Trust” and each series of a Trust, if any, being hereinafter referred to as a “Fund” with respect to that Trust, but for any Trust that does not have any separate series, then any reference to the “Fund” is a reference to that Trust), and Columbia Management Investment Services Corp., a Minnesota corporation (“CMISC”) and amends and restates the Transfer and Dividend Disbursing Agent Agreement dated September 7, 2010, by and between the Trust on behalf of each Fund and CMISC.
Agreement and Plan of ReorganizationAgreement and Plan of Reorganization • December 29th, 2010 • Riversource Series Trust • Massachusetts
Contract Type FiledDecember 29th, 2010 Company JurisdictionTHIS AGREEMENT AND PLAN OF REORGANIZATION dated as of December 20, 2010, is by and among each entity identified in Exhibits A, B and C hereto as an Acquired Company (each an “Acquired Company”), on behalf of each series thereof, as applicable, identified in Exhibits A, B and C hereto as an Acquired Fund (each an “Acquired Fund”), each entity identified in Exhibits A, B and C hereto as an Acquiring Company (the “Acquiring Company”), on behalf of each series thereof identified in Exhibits A, B and C hereto as an Acquiring Fund (each an “Acquiring Fund”), and, for purposes of Sections 6.3 and 9.2 of this Agreement, Columbia Management Investment Advisers, LLC (“Columbia”).
FORM OF LICENSE AGREEMENT AMENDED AND RESTATEDForm of License Agreement • April 21st, 2006 • RiverSource Retirement Series Trust
Contract Type FiledApril 21st, 2006 Company
Schedule I As of December 7, 2021Distribution Agreement • December 7th, 2021 • Columbia Funds Series Trust II
Contract Type FiledDecember 7th, 2021 CompanyCOMPENSATION TO DISTRIBUTOR. In connection with the distribution of Shares, Distributor will be entitled to receive (i) payments pursuant to any Distribution Plan and related agreement from time to time in effect between any Fund and Distributor or any particular class of shares of a Fund (“12b-1 Plan”), (ii) any CDSC applicable to the redemption of a Fund’s Shares, determined in the manner set forth in the then current prospectus and Statement of Additional Information of that Fund, and (iii) any applicable front-end sales charges applicable to the sale of Shares, less any applicable dealer discount.
TRANSFER AND DIVIDEND DISBURSING AGENT AGREEMENTTa Agreement • May 30th, 2017 • Columbia Funds Series Trust II
Contract Type FiledMay 30th, 2017 CompanyThis agreement (the “Agreement”) is made as of March 1, 2016, by and between the trust or the corporation acting on behalf of their series all as listed on Schedule A hereto (as the same may from time to time be amended to add or delete one or more series of such trusts or corporations) (each such trust and corporation being hereinafter referred to as a “Trust” and each series of a Trust, if any, being hereinafter referred to as a “Fund” with respect to that Trust, but for any Trust that does not have any separate series, then any reference to the “Fund” is a reference to that Trust), and Columbia Management Investment Services Corp., a Minnesota corporation (“CMISC”) and amends and restates the Transfer and Dividend Disbursing Agent Agreement dated September 7, 2010, by and between the Trust on behalf of each Fund and CMISC.
TRANSFER AND DIVIDEND DISBURSING AGENT AGREEMENT AMENDED AND RESTATEDTransfer and Dividend Disbursing Agent Agreement • March 29th, 2012 • Columbia Funds Series Trust II • Massachusetts
Contract Type FiledMarch 29th, 2012 Company JurisdictionThis agreement (the “Agreement”) is made as of September 7, 2010, by and between the trust or the corporation acting on behalf of their series all as listed on Schedule A hereto (as the same may from time to time be amended to add or delete one or more series of such trusts or corporations) (each such trust and corporation being hereinafter referred to as a “Trust” and each series of a Trust, if any, being hereinafter referred to as a “Fund” with respect to that Trust, but for any Trust that does not have any separate series, then any reference to the “Fund” is a reference to that Trust), and Columbia Management Investment Services Corp., a Minnesota corporation (“CMISC”).
WITNESSETH:Custody Agreement • June 26th, 2008 • Riversource Series Trust • New York
Contract Type FiledJune 26th, 2008 Company Jurisdiction
COLUMBIA MANAGEMENT INVESTMENT DISTRIBUTORS, INC. AGREEMENT RELATING TO TRANSACTIONS IN MUTUAL FUND SHARESColumbia Funds Series Trust II • June 27th, 2023 • Massachusetts
Company FiledJune 27th, 2023 JurisdictionWe are the exclusive distributor of the shares of the funds of the fund families set forth on Schedule A hereto (collectively, together with any funds that may hereafter become part of such fund families, the “CMID Distributed Funds”). We invite you to participate in the offer and sale of the shares of those CMID Distributed Funds (or classes thereof) as we may determine from time to time (each a “Fund” and collectively the “Funds”) on the terms set forth below.
MASTER FEE CAP/FEE WAIVER AGREEMENT AMENDED AND RESTATED This Agreement, dated Oct. 1, 2005, as amended April 17, 2006, is between RiverSource Investments, LLC. (RiverSource Investments), in its capacity as investment manager, Ameriprise Financial,...Master Agreement • April 21st, 2006 • RiverSource Retirement Series Trust
Contract Type FiledApril 21st, 2006 Company
AMENDMENT NO. 1 TO THE AGREEMENT AND DECLARATION OF TRUSTRiversource Series Trust • October 2nd, 2007
Company FiledOctober 2nd, 2007
Agreement and Plan of ReorganizationAgreement and Plan of Reorganization • December 22nd, 2021 • Columbia Funds Series Trust II • Massachusetts
Contract Type FiledDecember 22nd, 2021 Company JurisdictionTHIS AGREEMENT AND PLAN OF REORGANIZATION dated as of October 7, 2021 (the “Agreement”), is by and among the Target Company, as defined below, on behalf of each of its series that is a Target Fund, as defined below, the Acquiring Company, as defined below, on behalf of the Acquiring Fund, as defined below, and, for purposes of paragraphs 6.8, 10.2, 12.2 and 15 of this Agreement only, BMO Asset Management Corp. (“BMO AM”), the investment adviser of each Target Fund and Bank of Montreal (“BMO Parent” and, together with BMO AM, “BMO”), and for purposes of paragraphs 10.2, 12.2 and 15 of this Agreement only, Columbia Management Investment Advisers, LLC (“Columbia Threadneedle”), the investment adviser to the Acquiring Fund.
Exhibit (d) INVESTMENT MANAGEMENT SERVICES AGREEMENT This Agreement dated as of May 1, 2006, amended and restated September 11, 2007, is by and between RiverSource Investments, LLC (the "Investment Manager"), a Minnesota limited liability company and...Investment Management Services Agreement • June 26th, 2008 • Riversource Series Trust • Minnesota
Contract Type FiledJune 26th, 2008 Company Jurisdiction
Funds Classes A C R Columbia Funds Series Trust II Columbia Capital Allocation Aggressive A C R Columbia Capital Allocation Conservative A C R Columbia Capital Allocation Moderate A C R Columbia Commodity Strategy Fund A C R Columbia Disciplined Core...Columbia Funds Series Trust II • September 26th, 2023
Company FiledSeptember 26th, 2023For Class A shares, the fee shall be paid to the Distributor in cash within five (5) business days after the last day of each month.
AMENDED AND RESTATED FEE WAIVER AND EXPENSE CAP AGREEMENTFee Waiver and Expense Cap Agreement • June 27th, 2016 • Columbia Funds Series Trust II
Contract Type FiledJune 27th, 2016 CompanyTHIS AMENDED AND RESTATED FEE WAIVER AND EXPENSE CAP AGREEMENT is made as of this 1st day of July, 2016 (as may be amended, modified, supplemented and in effect from time to time, the Agreement) by and among each of the investment companies (each a Registrant), on behalf of its underlying series funds, as listed in Schedule A (the term “Fund” is used to refer to either the Registrant or the series, as the context requires), and each of Columbia Management Investment Advisers, LLC, a Minnesota limited liability company (CMIA), Columbia Management Investment Distributors, Inc., a Delaware corporation (CMID), and Columbia Management Investment Services Corp., a Minnesota corporation (CMISC) (CMIA, CMID, and CMISC, collectively referred to as the Service Providers).
JOINT INSURANCE AGREEMENTJoint Insurance Agreement • July 21st, 2023 • Columbia Funds Series Trust II
Contract Type FiledJuly 21st, 2023 CompanyThis Joint Insurance Agreement (the “Agreement”) is entered into as of June 30, 2023, by and among, individually and not jointly, each of the investment companies (each a “Registrant”) listed on Schedule A, which are Massachusetts business trusts, Delaware statutory trusts or Maryland corporations, each on behalf of its underlying series (if any) ( the term “Fund” is used to refer to either the Registrant or the series, as the context requires).
FORM OF CLASS Y SHAREHOLDER SERVICE AGREEMENT AMENDED AND RESTATED This Class Y Shareholder Service Agreement ("Agreement"), dated as of April __, 2006, is by and between the Corporations ("Registrants"), each on behalf of its underlying series listed...Shareholder Service Agreement • April 21st, 2006 • RiverSource Retirement Series Trust • Minnesota
Contract Type FiledApril 21st, 2006 Company JurisdictionThis Class Y Shareholder Service Agreement ("Agreement"), dated as of April __, 2006, is by and between the Corporations ("Registrants"), each on behalf of its underlying series listed in Schedule A, and Ameriprise Financial Services, Inc. ("Ameriprise Financial Services"), a Delaware corporation and principal underwriter of the Funds, for services to be provided to shareholders of Class Y of the Funds by Ameriprise Financial Services and other servicing agents. The terms "Fund" or "Funds" are used to refer to either the Registrants or the underlying series as context requires.
Amendment Three to Amended and Restated Subadvisory AgreementSubadvisory Agreement • August 26th, 2011 • Columbia Funds Series Trust II
Contract Type FiledAugust 26th, 2011 CompanyThe Amended and Restated Subadvisory Agreement between Columbia Management Investment Advisers, LLC (“Columbia Management”) and Threadneedle International Limited (“TINTL”) dated June 11, 2008, is amended as follows: