ATTACHMENT 1
ATTACHMENT 1
To Revised Schedule A of the Investment Management Agreement, dated December 2, 2004, by and between Allianz Life Advisers, LLC (now Allianz Investment Management LLC) and Allianz Variable Insurance Products Fund of Funds Trust.
Fees payable to the Manager pursuant to Revised Schedule A to the Investment Management Agreement shall be calculated at the following annual rates until such time as this Attachment 1 is further revised. The following reduced rates may not be increased or terminated prior to April 30, 2023.
Fund | Rate | ||||
(Average Net Assets in Millions (M) for Funds with Breakpoints) | |||||
All Assets | |||||
AZL MVP DFA Multi-Strategy Fund |
0.10% | ||||
All Assets | |||||
AZL MVP Fusion Balanced Fund |
0.15% | ||||
All Assets | |||||
AZL MVP Fusion Conservative Fund |
0.15% | ||||
All Assets | |||||
AZL MVP Fusion Moderate Fund |
0.15% |
Acknowledged: | ||
By: |
/s/ Xxxx Xxxxxx | |
Name: |
Xxxx Xxxxxx | |
Title: |
VP Operations | |
Allianz Investment Management LLC | ||
By: |
/s/ Xxxxx Xxxxxx | |
Name: |
Xxxxx Xxxxxx | |
Title: |
President |
Updated: 10/1/2021