FORM OF INVESTMENT MANAGEMENT AGREEMENTInvestment Management Agreement • April 27th, 2001 • MML Series Investment Fund
Contract Type FiledApril 27th, 2001 CompanyThis INVESTMENT MANAGEMENT AGREEMENT (the “Agreement”), dated May 1, 2001 by and between MML Series Investment Fund (the “Trust”) on behalf of MML Enhanced Index Core Equity Fund (the “Fund”) and Massachusetts Mutual Life Insurance Company (the “Adviser”).
EXHIBIT D(22) FORM OF INVESTMENT SUB-ADVISORY AGREEMENTInvestment Sub-Advisory Agreement • April 27th, 2001 • MML Series Investment Fund • Massachusetts
Contract Type FiledApril 27th, 2001 Company JurisdictionThis Investment Sub-Advisory Agreement (this “Sub-Advisory Agreement”), is by and between David L. Babson & Company Inc. (the “Sub-Adviser”) and Massachusetts Mutual Life Insurance Company, a mutual life insurance company organized under the laws of the Commonwealth of Massachusetts (“MassMutual”), for the MML Small Company Opportunities Fund (the “Fund”), a series of MML Series Investment Fund (the “Trust”), a Massachusetts business trust which is an open-end diversified management investment company registered as such with the Securities and Exchange Commission (the “Commission”) pursuant to the Investment Company Act of 1940, as amended (the “Act”), effective as of the 1st day of May, 2001.
EXHIBIT D(21) FORM OF INVESTMENT SUB-ADVISORY AGREEMENTAdvisory Agreement • April 27th, 2001 • MML Series Investment Fund • Massachusetts
Contract Type FiledApril 27th, 2001 Company JurisdictionThis Investment Sub-Advisory Agreement (this “Sub-Advisory Agreement”), is by and between David L. Babson & Company Inc. (the “Sub-Adviser”) and Massachusetts Mutual Life Insurance Company, a mutual life insurance company organized under the laws of the Commonwealth of Massachusetts (“MassMutual”), for the MML Enhanced Index Core Equity Fund (the “Fund”), a series of MML Series Investment Fund (the “Trust”), a Massachusetts business trust which is an open-end diversified management investment company registered as such with the Securities and Exchange Commission (the “Commission”) pursuant to the Investment Company Act of 1940, as amended (the “Act”), effective as of the 1st day of May, 2001.