MANAGEMENT AGREEMENTManagement Agreement • September 28th, 2015 • Columbia Funds Series Trust I • Massachusetts
Contract Type FiledSeptember 28th, 2015 Company JurisdictionThis Management Agreement (“Agreement”), effective October 1, 2015, is by and between Columbia Management Investment Advisers, LLC (the “Investment Manager”), a Minnesota limited liability company, and CDARF3 Offshore Fund, Ltd. (the “Subsidiary” or “Fund”), a wholly-owned subsidiary of Columbia Diversified Absolute Return Fund (the “Parent Fund”), a series of Columbia Funds Series Trust I.
SCHEDULE A As of October 1, 2015Management Agreement • September 28th, 2015 • Columbia Funds Series Trust I
Contract Type FiledSeptember 28th, 2015 CompanyFor the following funds, the asset charge for each calendar day of each year shall be equal to the total of 1/365th (1/366th in each leap year) of the amount computed in accordance with the fee schedule in the table below: