SHAREHOLDER SERVICING AGREEMENT IVY FUNDS, INC. EXHIBIT B COMPENSATION Class A Shares-Asset Strategy Fund ("Fund")
EX-99.B(h)ifissaexb |
IVY FUNDS, INC. |
EXHIBIT B |
COMPENSATION |
Class A Shares-Asset Strategy Fund ("Fund")
An amount payable on the first day of each month of $1.5792 for each account of the Fund which was in existence during any portion of the immediately preceding month.
Class A Shares- High Income Fund and Municipal Bond Fund (each a "Fund")
An amount payable on the first day of each month of $1.6958 for each account of the Fund which was in existence during any portion of the immediately preceding month.
Class A Shares-Energy Fund, International Growth Fund, Large Cap Growth Fund, Mid Cap Growth Fund, Science and Technology Fund, Small Cap Growth Fund, Tax-Managed Equity Fund and Core Equity Fund (each a "Fund")
An amount payable on the first day of each month of $1.5042 for each account of the Fund which was in existence during any portion of the immediately preceding month.
Class A shares of Limited-Term Bond Fund ("Fund")
An amount payable on the first day of each month of $1.6958 for each account of the Fund which was in existence during any portion of the immediately preceding month and, in addition, the Fund also pays the Agent a monthly fee of $0.75 for each shareholder check it processes.
Class A Shares-Money Market Fund ("Fund")
An amount payable on the first day of each month of $1.75 for each account of the Fund which was in existence during any portion of the immediately preceding month and, in addition, the Fund also pays the Agent a monthly fee of $0.75 for each shareholder check it processes.
Class B Shares-Asset Strategy Fund ("Fund")An amount payable on the first day of each month of $1.5792 for each account of the Fund which was in existence during any portion of the immediately preceding month.
Class B Shares-High Income Fund, Limited-Term Bond Fund and Municipal Bond Fund (each a "Fund")
An amount payable on the first day of each month of $1.6958 for each account of the Fund which was in existence during any portion of the immediately preceding month.
Class B Shares-Energy Fund, International Growth Fund, Large Cap Growth Fund, Mid Cap Growth Fund, Science and Technology Fund, Small Cap Growth Fund, Tax-Managed Equity Fund and Core Equity Fund (each a "Fund")
An amount payable on the first day of each month of $1.5042 for each account of the Fund which was in existence during any portion of the immediately preceding month.
Class B Shares-Money Market Fund ("Fund")
An amount payable on the first day of each month of $1.75 for each account of the Fund which was in existence during any portion of the immediately preceding month.
Class C-Asset Strategy Fund ("Fund")An amount payable on the first day of each month of $1.5792 for each account of the Fund which was in existence during any portion of the immediately preceding month.Class C Shares-High Income Fund, Limited-Term Bond Fund and Municipal Bond Fund (each a "Fund")
An amount payable on the first day of each month of $1.6958 for each account of the Fund which was in existence during any portion of the immediately preceding month.
Class C Shares-Energy Fund, International Growth Fund, Large Cap Growth Fund, Mid Cap Growth Fund, Science and Technology, Small Cap Growth Fund, Tax-Managed Equity Fund and Core Equity Fund (each a "Fund")
An amount payable on the first day of each month of $1.5042 for each account of the Fund which was in existence during any portion of the immediately preceding month.
Class C Shares-Money Market Fund ("Fund")
An amount payable on the first day of each month of $1.75 for each account of the Fund which was in existence during any portion of the immediately preceding month.
Class R Shares- Large Cap Growth Fund, Mid Cap Growth Fund, Science and Technology Fund and Small Cap Growth Fund (each a "Fund")
An amount payable on the first day of each month equal to 1/12 of .20 of 1% of the average daily net assets of the Class for the preceding month.
Class Y Shares-All Funds
An amount payable on the first day of each month equal to 1/12 of .15 of 1% of the average daily net assets of the Class for the preceding month.
Effective July 15, 2003. As ratified July 23, 2003.
As amended to add Class R shares, and Energy Fund and effective November 16, 2005.