EXHIBIT A
To the AAL Variable Product Series Fund, Inc.
Second Amended and Restated INVESTMENT ADVISORY AGREEMENT
dated January 1, 2002
1. The Bond Index Portfolio
The management fee for this Portfolio, calculated in accordance with section 6 of The AAL Variable Product Series Fund,
Inc. Investment Advisory Agreement, shall be at the annual rate of 0.35 of 1% on the first $250 million of average daily net
assets and 0.30 of 1% on average daily net assets over $250 million.
2. The High Yield Bond Portfolio
The management fee for this Portfolio, calculated in accordance with section 6 of The AAL Variable Product Series Fund,
Inc. Investment Advisory Agreement, shall be at the annual rate of 0.40 of 1% on the average daily net assets.
3. The Balanced Portfolio
The management fee for this Portfolio, calculated in accordance with section 6 of The AAL Variable Product Series Fund,
Inc. Investment Advisory Agreement, shall be at the annual rate of 0.35 of 1% on the first $250 million of average daily net
assets and 0.30 of 1% on average daily net assets over $250 million.
4. The Large Company Index Portfolio
The management fee for this Portfolio, calculated in accordance with section 6 of The AAL Variable Product Series Fund,
Inc. Investment Advisory Agreement, shall be at the annual rate of 0.35 of 1% on the first $250 million of average daily net
assets and 0.30 of 1% on average daily net assets over $250 million.
5. The International Portfolio
The management fee for this Portfolio, calculated in accordance with section 6 of The AAL Variable Product Series Fund,
Inc. Investment Advisory Agreement, shall be at the annual rate of 0.80 of 1% on the average daily net assets.
6. The Small Cap Index Portfolio
The management fee for this Portfolio, calculated in accordance with section 6 of The AAL Variable Product Series Fund,
Inc. Investment Advisory Agreement, shall be at the annual rate of 0.35 of 1% on the first $250 million of average daily net
assets and 0.30 of 1% on average daily net assets over $250 million.
7. The Technology Stock Portfolio
The management fee for this Portfolio, calculated in accordance with section 6 of The AAL Variable Product Series Fund, Inc.
Investment Advisory Agreement, shall be at the annual rate of 0.75 of 1% on the average daily net assets.
8. The Capital Growth Portfolio
The management fee for this Portfolio, calculated in accordance with section 6 of The AAL Variable Product Series Fund, Inc.
Investment Advisory Agreement, shall be at the annual rate of 0.65 of 1% on the first $500 million of average daily net assets,
0.575 of 1% on the next $500 million of average daily net assets, 0.50 of 1% on the next $4 billion of average daily net assets
and .45 of 1% on average daily net assets over $5 billion.
9. The Small Cap Stock Portfolio
The management fee for this Portfolio, calculated in accordance with section 6 of The AAL Variable Product Series Fund, Inc.
Investment Advisory Agreement, shall be at the annual rate of 0.70 of 1% on the first $200 million of average daily net assets and
0.65 of 1% on average daily net assets over $200 million.
10. The Mid Cap Stock Portfolio
The management fee for this Portfolio, calculated in accordance with section 6 of The AAL Variable Product Series Fund, Inc.
Investment Advisory Agreement, shall be at the annual rate of 0.70 of 1% on the first $200 million of average daily net assets,
0.65 of 1% on the next $800 million of average daily net assets and .60 of 1% on average daily net assets over $1 billion.
11. The Mid Cap Index Portfolio
The management fee for this Portfolio, calculated in accordance with section 6 of The AAL Variable Product Series Fund, Inc.
Investment Advisory Agreement, shall be at the annual rate of 0.35 of 1% on the first $250 million of average daily net assets and
0.30 of 1% on average daily net assets over $250 million.
12. The Small Cap Value Portfolio
The management fee for this Portfolio, calculated in accordance with section 6 of The AAL Variable Product Series Fund, Inc.
Investment Advisory Agreement, shall be at the annual rate of 0.80 of 1% on the average daily net assets.
13. The Real Estate Securities Portfolio
The management fee for this Portfolio, calculated in accordance with section 6 of The AAL Variable Product Series Fund, Inc.
Investment Advisory Agreement, shall be at the annual rate of 0.80 of 1% on the average daily net assets.
14. The Mortgage Securities Portfolio
The management fee for this Portfolio, calculated in accordance with section 6 of The AAL Variable Product Series Fund, Inc.
Investment Advisory Agreement, shall be at the annual rate of 0.50 of 1% on the average daily net assets.