INVESTMENT MANAGEMENT SERVICES AGREEMENTInvestment Management Services Agreement • April 29th, 2014 • Columbia Funds Variable Series Trust II • Massachusetts
Contract Type FiledApril 29th, 2014 Company JurisdictionThis Agreement, dated as of March 1, 2011, is by and between Columbia Management Investment Advisers, LLC (the “Investment Manager”), a Minnesota limited liability company and RiverSource Variable Series Trust (the “Registrant”), on behalf of its separate underlying series, listed in Schedule A and as applicable and effective as of the date listed in Schedule A, as may be separately amended from time to time. The terms “Fund” or “Funds” are used to refer to either the Registrant or its underlying series, as context requires).
TRANSFER AND DIVIDEND DISBURSING AGENT AGREEMENTTransfer and Dividend Disbursing Agent Agreement • April 29th, 2014 • Columbia Funds Variable Series Trust II • Massachusetts
Contract Type FiledApril 29th, 2014 Company JurisdictionThis agreement (the “Agreement”) is made as of September 7, 2010, by and between the trust or corporation acting on behalf of its series all as listed on Schedule A hereto (as the same may from time to time be amended to add or delete one or more series of such trusts or corporations) (each such trust and corporation being hereinafter referred to as a “Trust” and each series of a Trust, if any, being hereinafter referred to as a “Fund” with respect to that Trust, but for any Trust that does not have any separate series, then any reference to the “Fund” is a reference to that Trust), and Columbia Management Investment Services Corp., a Minnesota corporation (“CMISC”).
DISTRIBUTION AGREEMENTDistribution Agreement • April 29th, 2014 • Columbia Funds Variable Series Trust II • Massachusetts
Contract Type FiledApril 29th, 2014 Company JurisdictionTHIS AGREEMENT is made as of September 7, 2010, by and between each trust or corporation (each such trust being hereinafter referred to as a “Trust” and each series of a Trust, if any, as listed on Schedule I, if any, being hereinafter referred to as a “Fund” with respect to that Trust, but for any Trust that does not have any separate series, then any reference to the “Fund” is a reference to that Trust, as relevant), and Columbia Management Investment Distributors, Inc., a Delaware corporation (the “Distributor”). Absent written notification to the contrary by either the Trust or the Distributor, each new investment portfolio of the Trust established in the future shall automatically become a “Fund” for all purposes hereunder and shares of each new class established in the future shall automatically become “Shares” for all purposes hereunder as if set forth on Schedule I. For the avoidance of doubt, the provisions of this Agreement shall apply separately with respect to each Trust an
PLAN OF DISTRIBUTION AND AGREEMENT OF DISTRIBUTION AMENDED AND RESTATEDPlan of Distribution and Agreement of Distribution • April 29th, 2014 • Columbia Funds Variable Series Trust II • Minnesota
Contract Type FiledApril 29th, 2014 Company JurisdictionThe Plan of Distribution (“Plan”) and Agreement of Distribution (“Agreement”), effective May 1, 2009, amended and restated March 7, 2011 (together “Plan and Agreement”), is by and between Columbia Management Investment Distributors, Inc. (“Columbia Management Investment Distributors” or the “Distributor”), a Delaware corporation, principle underwriter of RiverSource Variable Series Trust and Seligman Portfolios, Inc. pursuant to a separate distribution agreement (“Distribution Agreement”), for distribution services to the funds, and RiverSource Variable Series Trust, a Massachusetts business trust, and Seligman Portfolios, Inc., a Maryland corporation (“Registrant” or “Registrants”), on behalf of their underlying series (each a “fund” and collectively the “funds”) and share classes, listed in Schedule A. The terms “Fund” or “Funds” are used to refer to either the Registrants or the underlying series as context requires.
COLUMBIA FUNDS VARIABLE SERIES TRUST II AMENDMENT NO. 14 TO THE AGREEMENT AND DECLARATION OF TRUSTAgreement and Declaration of Trust • April 29th, 2014 • Columbia Funds Variable Series Trust II
Contract Type FiledApril 29th, 2014 CompanyWHEREAS, Section 5 of Article III of the Agreement and Declaration of Trust (the “Declaration of Trust”) of Columbia Funds Variable Series Trust II (the “Trust”), dated September 11, 2007, as amended from time to time, a copy of which is on file in the Office of the Secretary of The Commonwealth of Massachusetts, authorizes the Trustees of the Trust to amend the Declaration of Trust to change the designation of any Series or class of Shares without authorization by vote of the Shareholders of the Trust.