ATTACHMENT 1
To Schedule A dated May 1, 2007 of the Investment Management Agreement, dated
April 27, 2001, by and between Allianz Investment Management LLC (formerly
USAllianz Advisers, LLC) and Allianz Variable Insurance Products Trust (formerly
USAllianz Variable Insurance Products Trust).
FEES PAYABLE TO THE MANAGER PURSUANT TO SCHEDULE A TO THE INVESTMENT MANAGEMENT
AGREEMENT SHALL BE CALCULATED AT THE FOLLOWING ANNUAL RATES THROUGH APRIL 30,
2009.
FUND
RATE
(Average Net Assets in Millions (M) for Funds with Breakpoints)
ALL ASSETS
AZL BlackRock Capital Appreciation Fund* ...................0.75%
FIRST $100M
THEREAFTER
XXX Xxxxx NY Venture Fund * ........................................................0.75%...................0.70%
ALL ASSETS
AZL Dreyfus Founders Equity Growth Fund.....................0.70%
AZL Dreyfus Premier Small Cap Value Fund....................0.85%
AZL First Trust Target Double Play Fund.....................0.45%
FIRST $100M
THEREAFTER
XXX Xxxxxxxx 20/20 Fund.............................................................0.75%...................0.70%
FIRST $200M THEREAFTER
AZL Xxxx Xxxxx Growth Fund..........................................................0.70%...................0.65%
FIRST $100M
NEXT $100M
THEREAFTER
AZL LMP Large Cap Growth Fund....................................0.80%..............0.75%....................0.70%
FIRST $250M
NEXT $250M
THEREAFTER
AZL OCC Value Fund...............................................0.75%..............0.70%....................0.65%
ALL ASSETS
AZL Xxxxxxxxxxx Global Fund.................................0.80%
AZL Xxxxxxxxxxx Main Street Fund............................0.75%
AZL Xxxxxxxx Emerging Markets Equity Fund...................0.95%
AZL TargetPLUS Equity Fund..................................0.45%
FIRST $100M
NEXT $400M
THEREAFTER
XXX Xxx Xxxxxx Xxxxxxxx Fund.....................................0.75%..............0.70%....................0.65%
FIRST $100M
NEXT $100M
THEREAFTER
AZL Xxx Xxxxxx Equity and Income Fund............................0.70%..............0.675%...................0.65%
AZL Xxx Xxxxxx Global Franchise Fund.............................0.95%...............0.90%...................0.85%
FIRST $100M
THEREAFTER
AZL Xxx Xxxxxx Growth and Income Fund...............................................0.675%...................0.65%
AZL Xxx Xxxxxx Mid Cap Growth Fund...................................................0.80%...................0.75%
____________________
*Effective November 24, 2008.
Date: September 3, 2008
Allianz Variable Insurance Products Trust
By: /s/ Xxxxxxx X. Xxxxxx
Name: Xxxxxxx X. Xxxxxx
Title: President
Allianz Investment Management LLC
By: /s/ Xxxxx Xxxxxx
Name: Xxxxx Xxxxxx
Title: Vice President