EX-99.D.1.I 2 mimgltgf3868391-ex99d1i.htm EXECUTED AMENDMENT NO. 2 (DECEMBER 4, 2020) TO EXHIBIT A OF THE INVESTMENT MANAGEMENT AGREEMENT

EX-99.d.1.i

AMENDMENT NO. 2 TO

EXHIBIT A

OF THE INVESTMENT MANAGEMENT AGREEMENT

THIS EXHIBIT to the Investment Management Agreement dated January 4, 2010 (the “Agreement”) between DELAWARE GROUP LIMITED-TERM GOVERNMENT FUNDS and DELAWARE MANAGEMENT COMPANY, a series of Macquarie Investment Management Business Trust (the “Investment Manager”), amended as of the 4th day of December, 2020, lists the Funds for which the Investment Manager provides investment management services pursuant to this Agreement, along with the management fee rate schedule for each Fund and the date on which the Agreement became effective for each Fund.

Management Fee Schedule (as a
percentage of average daily net assets)
Fund Name Effective Date Annual Rate
Delaware Limited-Term Diversified Income Fund January 4, 2010

0.50% on first $500 million
0.475% on next $500 million
0.45% on next $1.5 billion
0.425% on assets in excess of $2.5 billion

Delaware Tax-Free New Jersey Fund July 19, 2019 0.55% on first $500 million
0.50% on next $500 million
0.45% on next $1.5 billion
0.425% on assets in excess of $2.5 billion
Delaware Tax-Free Oregon Fund July 19, 2019 0.55% on first $500 million
0.50% on next $500 million
0.45% on next $1.5 billion
0.425% on assets in excess of $2.5 billion





DELAWARE MANAGEMENT COMPANY, DELAWARE GROUP LIMITED-TERM
A series of Macquarie Investment Management GOVERNMENT FUNDS
Business Trust
 
 
By: /s/ David F. Connor                                                        By:   /s/ Shawn K. Lytle                                                       
Name:    David F. Connor Name:    Shawn K. Lytle
Title: Senior Vice President Title: President and Chief Executive Officer