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Allianz Variable Insurance Products Trust, et al. – ‘485APOS’ on 2/12/16 – ‘EX-99.D21I’

On:  Friday, 2/12/16, at 4:52pm ET   ·   Private-to-Public:  Document/Exhibit  –  Release Delayed   ·   Accession #:  1091439-16-40   ·   File #s:  333-83423, 811-09491

Previous ‘485APOS’:  ‘485APOS’ on 2/4/15   ·   Next:  ‘485APOS’ on 7/29/16   ·   Latest:  ‘485APOS’ on 2/15/17   ·   40 References:   

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  As Of                Filer                Filing    For·On·As Docs:Size

 2/12/16  Allianz Var Ins Products Trust    485APOS¶              16:2.0M
          → AZL Government Money Market FundAZL Multi-Manager Mid Cap Growth Fund

Post-Effective Amendment
Filing Table of Contents

Document/Exhibit                   Description                      Pages   Size 

 1: 485APOS     Post-Effective Amendment -- vip485afeb122016        HTML    996K 
16: COVER     ¶ Comment-Response or Cover Letter to the SEC         HTML     11K 
 5: EX-99.D10II  Rev Sched A to Subadv Agmt - Fma 11-1-15           HTML     15K 
 6: EX-99.D12I  Rev Sched A to Subadv Agmt - Invesco 11-1-15        HTML     13K 
15: EX-99.D13I  Rev Sched A to Jpmorgan Subadv Agmt 11-1-15         HTML     13K 
 7: EX-99.D16I  Rev Sched A to Subadv Agmt - Morgan Stanley         HTML     13K 
                11-1-15                                                          
 8: EX-99.D17I  Rev Sched A to Subadv Agmt Nfj 11-1-15              HTML     15K 
 2: EX-99.D1II  Revised Att 1 to Ima 11-1-15                        HTML     22K 
 9: EX-99.D20I  Rev Sched A to Subadv Agmt - Schroder 11-1-15       HTML     14K 
10: EX-99.D21I  Rev Sched A to Subadv Agmt - Tga 11-1-15            HTML     15K 
 3: EX-99.D6I   Rev Sched A to Subadv Agmt Boston Co 11-1-15        HTML     13K 
 4: EX-99.D9I   Rev Sched A to Subadv Agmt - Frk 11-1-15            HTML     17K 
11: EX-99.E2    Amended & Restated Part Agmt Azna 11-1-15           HTML    104K 
12: EX-99.E3    Amended & Restated Part Agmt Azny 11-1-15           HTML    104K 
13: EX-99.G1V   Amendment to Mut Fund Custody Agmt 10-30-15         HTML     45K 
14: EX-99.H5I   Rev Exh A to Exp Limit Agmt 11-1-15                 HTML     22K 


‘EX-99.D21I’   —   Rev Sched A to Subadv Agmt – Tga 11-1-15


This Exhibit is an HTML Document rendered as filed.  [ Alternative Formats ]



 C: 
REVISED SCHEDULE A
To the Subadvisory Agreement made as of the 26th day of October, 2009, by and between Allianz Investment Management LLC, a Minnesota limited liability company ("Manager"), and Templeton Global Advisors Limited, a company limited by shares organized under the laws of the Bahamas ("Subadviser").
Compensation pursuant to Section 4 of the Subadvisory Agreement shall be calculated at the rate or rates shown below based on the average daily net assets that are subject to the Subadviser's investment discretion in the relevant subportfolios of the AZL Franklin Templeton Founding Strategy Plus Fund.
Rate*
Templeton Growth Strategy                                                                                                                     0.410% on the first $100 million
0.390% on the next $150 million
0.380% on the next $250 million
0.370% on the next $250 million
0.360% thereafter
__________________
* For purposes of determining the effective rate applied to the average daily net assets in the Strategy for computation of the fee payable to Subadviser under Section 4, the total assets of the AZL Franklin Templeton Founding Strategy Plus Fund (the "Fund Assets") will be combined with the average daily net assets for the same period in both Class 1 and Class 2 of (i) the Franklin Income VIP Fund, (ii) the Templeton Global Bond VIP Fund, (iii) the Templeton Growth VIP Fund, and (iv) the Franklin Mutual Shares VIP Fund, each a series of the Franklin Templeton Variable Insurance Products Trust, held of record by one or more separate accounts of Allianz Life Insurance Company of North America and/or Allianz Life Insurance Company of New York, computed at the times and in the manner specified in the applicable prospectus or Statement of Additional Information as from time to time in effect ("FTVIPT Assets"). The Fund Assets and the FTVIPT Assets together are the "Combined Assets". The fee payable to Subadviser with respect to the Strategy will be paid at the effective rate applicable to the Combined Assets under the applicable schedule above, although such fee will be paid only with respect to the Strategy assets. No compensation will be calculated or paid to Subadviser under this Agreement with respect to FTVIPT Assets. When the Combined Assets exceed the first breakpoint, multiple rates may apply, resulting in a blended effective rate.
For example, if the Fund Assets are $300 million, Growth Strategy assets are $100 million and FTVIPT Assets are $600 million, then the fees payable to Subadviser under Section 4 would be calculated as follows:
·
A rate of 41 bps would apply to the first $100 million, a rate of 39 bps would apply to the next $150 million, a rate of 38 bps would apply to the next $250 million, a rate of 37 bps would apply to the next $250 million, and a rate of 36 bps would apply to the remaining $150 million, resulting in a blended effective rate of 37.9 bps.
·
The blended effective rate (37.9 bps) is applied to the Growth Strategy assets ($100 million), resulting in a fee of $379,000 payable to Subadviser under Section 4.



Acknowledged:

ALLIANZ INVESTMENT                               TEMPLETON GLOBAL MANAGEMENT LLC  ADVISORS LIMITED


By: /s/ Brian Muench                                                   By:   /s/ Norman Boersma
Name:  Brian Muench                                                Name:       Norman Boersma
Title: President                                                                     Title:   President & CEO


Effective as of November 1, 2015, the schedule is revised to reflect a fee change to the Fund.

Dates Referenced Herein

This ‘485APOS’ Filing    Date    Other Filings
Filed on:2/12/16None on these Dates
11/1/15
 List all Filings 


40 Subsequent Filings that Reference this Filing

  As Of               Filer                 Filing    For·On·As Docs:Size             Issuer                      Filing Agent

 4/29/24  Allianz Var Ins Products Trust    485BPOS     5/01/24   34:16M                                    Donnelley … Solutions/FA
 4/26/24  Allianz Life of NY Var Account C  485BPOS     5/01/24    8:7.4M
 4/26/24  Allianz Life of NY Var Account C  485BPOS     5/01/24    8:7.4M
 4/26/24  Allianz Life of NY Var Account C  485BPOS     5/01/24    8:5.4M
 4/26/24  Allianz Life Variable Account B   485BPOS     5/01/24    6:3.2M
 4/26/24  Allianz Life Variable Account B   485BPOS     5/01/24    6:3M
 4/26/24  Allianz Life Variable Account B   485BPOS     5/01/24    6:3M
 4/26/24  Allianz Life Variable Account B   485BPOS     5/01/24    6:4.6M
 4/26/24  Allianz Life Variable Account B   485BPOS     5/01/24    6:3.8M
 4/26/24  Allianz Life Variable Account B   485BPOS     5/01/24    6:6.1M
 4/26/24  Allianz Life Variable Account B   485BPOS     5/01/24    6:6.1M
 4/26/24  Allianz Life Variable Account B   485BPOS     5/01/24    6:4M
 4/17/24  Allianz Life of NY Var Account C  N-4/A       4/17/24   14:12M                                    Donnelley … Solutions/FA
 4/17/24  Allianz Life Variable Account B   485BPOS     5/01/24   12:17M                                    Donnelley … Solutions/FA
 4/17/24  Allianz Life Variable Account B   485BPOS     5/01/24   12:15M                                    Donnelley … Solutions/FA
 4/17/24  Allianz Life Variable Account B   485BPOS     5/01/24   12:15M                                    Donnelley … Solutions/FA
 4/17/24  Allianz Life Variable Account B   485BPOS     5/01/24   12:17M                                    Donnelley … Solutions/FA
 4/17/24  Allianz Life Variable Account B   485BPOS     5/01/24   12:16M                                    Donnelley … Solutions/FA
 4/17/24  Allianz Life Variable Account B   485BPOS     5/01/24   12:13M                                    Donnelley … Solutions/FA
 4/17/24  Allianz Life Variable Account B   485BPOS     5/01/24   12:13M                                    Donnelley … Solutions/FA
 4/17/24  Allianz Life Variable Account B   485BPOS     5/01/24   12:14M                                    Donnelley … Solutions/FA
12/20/23  Allianz Life Variable Account B   485APOS                1:3.2M
12/20/23  Allianz Life Variable Account B   485APOS                1:2.5M
12/20/23  Allianz Life Variable Account B   485APOS                1:2.5M
12/20/23  Allianz Life Variable Account B   485APOS                1:3.3M
12/05/23  Allianz Life of NY Var Account C  N-4                    6:2.7M
10/11/23  Allianz Life Variable Account B   485BPOS    10/23/23   13:17M                                    Donnelley … Solutions/FA
10/11/23  Allianz Life Variable Account B   485BPOS    10/23/23   13:16M                                    Donnelley … Solutions/FA
10/11/23  Allianz Life Variable Account B   485BPOS    10/23/23   13:15M                                    Donnelley … Solutions/FA
10/11/23  Allianz Life Variable Account B   485BPOS    10/23/23   13:17M                                    Donnelley … Solutions/FA
 8/22/23  Allianz Life Variable Account B   485APOS                1:2.9M
 8/22/23  Allianz Life Variable Account B   485APOS                1:2.4M
 8/22/23  Allianz Life Variable Account B   485APOS                1:2.3M
 8/22/23  Allianz Life Variable Account B   485APOS                1:3M
 4/27/23  Allianz Var Ins Products Trust    485BPOS     5/01/23   32:15M                                    Donnelley … Solutions/FA
 3/14/23  Allianz Var Ins Products Trust    POS EX      3/14/23    3:638K
12/20/22  Allianz Var Ins Products Trust    N-14                   7:4.4M
 4/28/22  Allianz Var Ins Products Trust    485BPOS     4/29/22   55:21M                                    Donnelley … Solutions/FA
 4/29/21  Allianz Var Ins Products Trust    485BPOS     4/30/21  169:27M                                    Donnelley … Solutions/FA
 8/26/20  Allianz Var Ins Products Trust    POS EX      8/26/20    3:666K
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Filing Submission 0001091439-16-000040   –   Alternative Formats (Word / Rich Text, HTML, Plain Text, et al.)

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