EXHIBIT A to the Expense Limitation Agreement between ABERDEEN FUNDS and ABERDEEN ASSET MANAGEMENT INC. Effective as of February 7, 2008*Expense Limitation Agreement • October 28th, 2009 • Aberdeen Funds
Contract Type FiledOctober 28th, 2009 Company* Effective for two years from the commencement of operations of the Funds, as most recently approved at the September 9, 2009 Board Meeting. These expense limitations may be revised, after the expiration of the agreed upon term, if mutually agreed upon by the parties. They may also be revised to increase the limitations at anytime if mutually agreed upon by the parties.
EXHIBIT A* SUBADVISORY AGREEMENT AMONG ABERDEEN ASSET MANAGEMENT INC., ABERDEEN FUNDS AND ABERDEEN ASSET MANAGEMENT ASIA LIMITEDSubadvisory Agreement • October 28th, 2009 • Aberdeen Funds
Contract Type FiledOctober 28th, 2009 CompanyIn the event that Subadviser is allocated a portion of a Fund to manage, for management services provided under this Subadvisory Agreement, the Subadviser would receive an annual fee paid monthly based on average daily net assets of the applicable Fund according to the following schedule:
EXHIBIT A* INVESTMENT ADVISORY AGREEMENT BETWEEN ABERDEEN ASSET MANAGEMENT INC. AND ABERDEEN FUNDSInvestment Advisory Agreement • October 28th, 2009 • Aberdeen Funds
Contract Type FiledOctober 28th, 2009 Company
EXHIBIT B ABERDEEN FUNDS Fund Administration AgreementFund Administration Agreement • October 28th, 2009 • Aberdeen Funds
Contract Type FiledOctober 28th, 2009 CompanyThe Trust shall pay fees to the Administrator, as set forth in the schedule directly below, for the provision of services covered by this Agreement. Fees will be computed daily and payable monthly at an annual rate based on the aggregate amount of the Trust's average daily net assets. The Trust will also be responsible for out-of-pocket expenses (including, but not limited to, the cost of the pricing services that the Administrator utilizes and any networking fees paid as out-of-pocket expenses) reasonably incurred by the Administrator and in providing services to the Trust. All fees and expenses shall be paid by the Trust to the Administrator on behalf of the Administrator.
FORM OF MASTER CUSTODIAN AGREEMENTMaster Custodian Agreement • October 28th, 2009 • Aberdeen Funds • Massachusetts
Contract Type FiledOctober 28th, 2009 Company Jurisdiction
SCHEDULE A* Underwriting Agreement between Aberdeen Mutual Funds and Aberdeen Fund Distributors, LLC NAME OF FUND Aberdeen U.S. Equity Fund Aberdeen Select Worldwide Fund Aberdeen China Opportunities Fund Aberdeen Developing Markets Fund Aberdeen...Underwriting Agreement • October 28th, 2009 • Aberdeen Funds
Contract Type FiledOctober 28th, 2009 CompanyAberdeen U.S. Equity Fund Aberdeen Select Worldwide Fund Aberdeen China Opportunities Fund Aberdeen Developing Markets Fund Aberdeen International Equity Fund Aberdeen Equity Long-Short Fund Aberdeen Global Financial Services Fund Aberdeen Health Sciences Fund Aberdeen Natural Resources Fund Aberdeen Technology and Communications Fund Aberdeen Global Utilities Fund Aberdeen Optimal Allocations Fund: Growth Aberdeen Optimal Allocations Fund: Moderate Growth Aberdeen Optimal Allocations Fund: Moderate Aberdeen Optimal Allocations Fund: Defensive Aberdeen Optimal Allocations Fund: Specialty Aberdeen Small Cap Fund Aberdeen Tax-Free Income Fund Aberdeen Core Income Fund Aberdeen Core Plus Income Fund Aberdeen Global Fixed Income Fund Aberdeen Global Small Cap Fund Aberdeen Asia Bond Institutional Fund Aberdeen International Equity Institutional Fund Aberdeen Emerging Markets Institutional Fund Aberdeen Asia-Pacific (ex-Japan) Equity Institutional Fund