AIM FUNDS GROUP/DE
485APOS, EX-99.D4.C, 2000-09-29
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<PAGE>   1
                                                                 EXHIBIT d(4)(c)


                                 AMENDMENT NO. 2
                                       TO
                      MASTER INVESTMENT ADVISORY AGREEMENT


         This Amendment dated as of December ____, 2000, amends the Master
Investment Advisory Agreement (the "Agreement"), dated June 1, 2000, between AIM
Funds Group, a Delaware business trust, and A I M Advisors, Inc., a Delaware
corporation.

                                   WITNESSETH:

         WHEREAS, the parties desire to amend the Agreement to add a new
portfolio, the AIM Explorer Fund;

         NOW, THEREFORE, the parties agree as follows;

         1.       Appendix A and Appendix B to the Agreement are hereby deleted
                  in their entirety and replaced with the following:

                                   "APPENDIX A
                            FUNDS AND EFFECTIVE DATES



<TABLE>
<CAPTION>
NAME OF FUND                                                        EFFECTIVE DATE OF ADVISORY AGREEMENT
------------                                                        ------------------------------------


<S>                                                                 <C>
AIM Balanced Fund                                                               June 1, 2000

AIM Global Utilities Fund                                                       June 1, 2000

AIM Select Growth Fund                                                          June 1, 2000

AIM Value Fund                                                                  June 1, 2000

AIM European Small Company Fund                                                August 30, 2000

AIM International Emerging Growth Fund                                         August 30, 2000

AIM New Technology Fund                                                        August 30, 2000

AIM Small Cap Equity Fund                                                      August 30, 2000

AIM Value II Fund                                                              August 30, 2000

AIM Explorer Fund                                                            December ___, 2000
</TABLE>


<PAGE>   2



                                   APPENDIX B
                           COMPENSATION TO THE ADVISOR


         The Trust shall pay the Advisor, out of the assets of a Fund, as full
compensation for all services rendered, an advisory fee for such Fund set forth
below. Such fee shall be calculated by applying the following annual rates to
the average daily net assets of such Fund for the calendar year computed in the
manner used for the determination of the net asset value of shares of such Fund.


                                AIM BALANCED FUND

<TABLE>
<CAPTION>
NET ASSETS                                                          ANNUAL RATE
----------                                                          -----------

<S>                                                                 <C>
First $150 million..................................................... 0.75%
Over $150 million...................................................... 0.50%
</TABLE>


                            AIM GLOBAL UTILITIES FUND

<TABLE>
<CAPTION>
NET ASSETS                                                          ANNUAL RATE
----------                                                          -----------

<S>                                                                 <C>
First $200 million..................................................... 0.60%
Next $300 million...................................................... 0.50%
Next $500 million...................................................... 0.40%
Over $1 billion........................................................ 0.30%
</TABLE>


                             AIM SELECT GROWTH FUND

<TABLE>
<CAPTION>
NET ASSETS                                                          ANNUAL RATE
----------                                                          -----------

<S>                                                                 <C>
First $150 million..................................................... 0.80%
Over $150 million...................................................... 0.625%
</TABLE>


                                 AIM VALUE FUND

<TABLE>
<CAPTION>
NET ASSETS                                                          ANNUAL RATE
----------                                                          -----------

<S>                                                                 <C>
First $150 million..................................................... 0.80%
Over $150 million...................................................... 0.625%
</TABLE>


                         AIM EUROPEAN SMALL COMPANY FUND
                     AIM INTERNATIONAL EMERGING GROWTH FUND

<TABLE>
<CAPTION>
NET ASSETS                                                          ANNUAL RATE
----------                                                          -----------

<S>                                                                 <C>
All Assets............................................................. 0.95%
</TABLE>


                                       2
<PAGE>   3

                             AIM NEW TECHNOLOGY FUND

<TABLE>
<CAPTION>
NET ASSETS                                                          ANNUAL RATE
----------                                                          -----------

<S>                                                                 <C>
All Assets............................................................. 1.00%
</TABLE>


                            AIM SMALL CAP EQUITY FUND

<TABLE>
<CAPTION>
NET ASSETS                                                          ANNUAL RATE
----------                                                          -----------

<S>                                                                 <C>
All Assets............................................................. 0.85%
</TABLE>


                                AIM VALUE II FUND

<TABLE>
<CAPTION>
NET ASSETS                                                          ANNUAL RATE
----------                                                          -----------

<S>                                                                 <C>
All Assets............................................................  0.75%
</TABLE>

                                AIM EXPLORER FUND

<TABLE>
<CAPTION>
NET ASSETS                                                          ANNUAL RATE
----------                                                          -----------

<S>                                                                 <C>
First $1 billion...................................................... 0.85%
Over $1 billion....................................................... 0.80%"
</TABLE>


         2.       In all other respects, the Agreement is hereby confirmed and
                  remains in full force and effect.

         IN WITNESS WHEREOF, the parties have caused this Agreement to be
executed by their respective officers on the date first written above.


<TABLE>
<CAPTION>
                                          AIM FUNDS GROUP


<S>                                      <C>
Attest:                                   By:
          -----------------------------         -----------------------------
              Assistant Secretary               Robert H. Graham
                                                President


(SEAL)

                                          A I M ADVISORS, INC.


Attest:                                   By:
          -----------------------------         -----------------------------
              Assistant Secretary               Robert H. Graham
                                                President


(SEAL)
</TABLE>


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