EX-99.28(D)(1)(I) 2 d50855dex9928d1i.htm REVISED SCHEDULE A, DATED OCTOBER 1, 2020, TO THE INVESTMENT MANAGEMENT AGREEMEN Revised Schedule A, dated October 1, 2020, to the Investment Management Agreemen

AIM/AZL Funds Materials - AIM LLC Investment Management Agreements

AIM/AZL Funds Materials - AIM LLC Investment Management Agreements

REVISED SCHEDULE A

To the Investment Management Agreement, dated December 2, 2004, by and between Allianz Life Advisers, LLC (now Allianz Investment Management LLC) and Allianz Variable Insurance Products Fund of Funds Trust.

Fees payable to the Manager pursuant to Section 4 hereof shall be at the following annual rates for each Fund:

 

AZL Balanced Index Strategy Fund

     0.05  

AZL DFA Multi-Strategy Fund

     0.05  

AZL MVP Balanced Index Strategy Fund

     0.10  

AZL MVP Global Balanced Index Strategy Fund

     0.10  

AZL MVP DFA Multi-Strategy Fund

     0.20  

AZL MVP Fidelity Inst. Asset Mgmt.  Multi-Strategy Fund          

     0.10  

AZL MVP Fusion Dynamic Balanced Fund

     0.20  

AZL MVP Fusion Dynamic Conservative Fund

     0.20  

AZL MVP Fusion Dynamic Moderate Fund

     0.20  

AZL MVP Growth Index Strategy Fund

     0.10  

AZL MVP Moderate Index Strategy Fund

     0.10  

AZL MVP T. Rowe Price Capital Appreciation Plus Fund

     0.10  

The management fee shall be accrued and paid to the Manager pursuant to Section 4 of the Investment Management Agreement.

Acknowledged:

 

Allianz Variable Insurance Products Fund of Funds Trust
By:        LOGO
Name:   Michael J. Tanski
Title:     Vice President, Operations

 

Allianz Investment Management LLC
By:            LOGO
Name:     Brian J. Muench
Title:       President

Updated: 10/1/2020

 

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