REVISED ATTACHMENT 1
To Revised Schedule A of the Investment Management Agreement, dated December 2,
2004, by and between USAllianz Advisers, LLC (now Allianz Investment Management
LLC) and USAllianz Variable Insurance Products Fund of Funds Trust (now 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 EFFECTIVE
THROUGH APRIL 30, 2010.
AZL Fusion Balanced Fund......................0.15%
AZL Fusion Conservative Fund..................0.15%
AZL Fusion Growth Fund........................0.15%
AZL Fusion Moderate Fund......................0.15%
Allianz Variable Insurance Products Fund of Funds Trust
By: /s/ Xxxxx Xxxxxx
_______________________________
Name: Xxxxx Xxxxxx
Title: Vice President
Allianz Investment Management LLC
By: /s/ Xxxxxxx Xxxxxx
_______________________________
Name: Xxxxxxx Xxxxxx
Title: Vice President
Updated: 10/26/2009