Exhibit 23(m)(iii) AMENDED AND RESTATED DISTRIBUTION AND SERVICE PLAN AND AGREEMENTDistribution And • April 28th, 2006 • Oppenheimer Variable Account Funds
Contract Type FiledApril 28th, 2006 Company
SECOND AMENDMENT TO DISTRIBUTION AND SHAREHOLDER SERVICES AGREEMENT AMONG NORTHERN LIGHTS VARIABLE TRUST, AND MINNESOTA LIFE INSURANCE COMPANYDistribution And • September 16th, 2021 • Variable Annuity Account
Contract Type FiledSeptember 16th, 2021 CompanyThis Second Amendment is incorporated in and made a part of the Distribution and Shareholder Services Agreement (the “Agreement”) made as of the 10th of June, 2021, by and among Minnesota Life Insurance Company (hereinafter the “Company”), on its own behalf and on behalf of one or more segregated asset accounts of the Company (hereinafter the “Account”) and Northern Lights Variable Trust (hereinafter the “Trust”). The following terms and conditions amend the terms of the Agreement and, in the case of any conflict between the terms and conditions of the Agreement and the terms and conditions of this Addendum, the language of this Addendum shall control and govern. All capitalized and abbreviated terms defined in the Agreement shall have the same definitions apply in this Addendum.
DISTRIBUTION ANDDistribution And • November 6th, 2013 • Oppenheimer Variable Account Funds
Contract Type FiledNovember 6th, 2013 CompanyThis Distribution and Service Plan and Agreement (the "Plan") dated the 20th day of August, 2013, by and between Oppenheimer Variable Account Funds (the “Trust”) for the account of its Oppenheimer Diversified Alternatives Fund/VA (the "Fund") and OppenheimerFunds Distributor, Inc. (the "Distributor").
FORM OF PLAN OF DISTRIBUTION AND AGREEMENT OF DISTRIBUTIONDistribution And • November 7th, 2012 • Columbia Funds Series Trust II • Minnesota
Contract Type FiledNovember 7th, 2012 Company JurisdictionThe Plan of Distribution (“Plan”) and the Agreement of Distribution (“Agreement”) effective November 7, 2008 (together “Plan and Agreement”), is by and between Columbia Management Investment Distributors, Inc. (“Columbia Management Investment Distributors” or the “Distributor”), a Delaware corporation, principal underwriter of Columbia Funds Series Trust II (“Registrant”) pursuant to a separate distribution agreement (“Distribution Agreement”), for distribution services to the Funds (each a “fund” and collectively the “funds”), and the Registrant and share classes, listed in Schedule which may be separately amended from time to time to reflect the addition of each new Fund and Shares. The terms “Fund” or “Funds” are used to refer to either the Registrants or the underlying series as context requires.
DISTRIBUTION AND SERVICE PLAN AND AGREEMENT with OppenheimerFunds Distributor, Inc. and Oppenheimer Variable Account Funds For Service Shares of Oppenheimer International Growth Fund/VADistribution And • November 25th, 2013 • Oppenheimer Variable Account Funds
Contract Type FiledNovember 25th, 2013 CompanyThis Distribution and Service Plan and Agreement (the "Plan") dated the 12th day of November, 2013, by and between Oppenheimer Variable Account Funds (the “Trust”) for the account of its Oppenheimer International Growth Fund/VA (the "Fund") and OppenheimerFunds Distributor, Inc. (the "Distributor").
SECOND AMENDMENT TO DISTRIBUTION AND SHAREHOLDER SERVICES AGREEMENT AMONG NORTHERN LIGHTS VARIABLE TRUST, AND MINNESOTA LIFE INSURANCE COMPANYDistribution And • September 16th, 2021 • Variable Annuity Account
Contract Type FiledSeptember 16th, 2021 CompanyThis Second Amendment is incorporated in and made a part of the Distribution and Shareholder Services Agreement (the “Agreement”) made as of the 10th of June, 2021, by and among Minnesota Life Insurance Company (hereinafter the “Company”), on its own behalf and on behalf of one or more segregated asset accounts of the Company (hereinafter the “Account”) and Northern Lights Variable Trust (hereinafter the “Trust”). The following terms and conditions amend the terms of the Agreement and, in the case of any conflict between the terms and conditions of the Agreement and the terms and conditions of this Addendum, the language of this Addendum shall control and govern. All capitalized and abbreviated terms defined in the Agreement shall have the same definitions apply in this Addendum.
DISTRIBUTION AND/OR SERVICE (12b-1) FEE AGREEMENTDistribution And • April 17th, 2017 • Separate Account a of Pacific Life Insurance Co • New York
Contract Type FiledApril 17th, 2017 Company JurisdictionPacific Select Distributors, LLC (“Product Distributor”) and Legg Mason Investor Services, LLC (“Fund Distributor”) (collectively, the “Parties”) mutually agree to the arrangements set forth in this Distribution and/or Service (12b-1) Fee Agreement (this “Agreement”) dated December15, 2016.