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Exhibit n(3)
FORM OF SCHEDULE I, DATED ________, TO MULTIPLE CLASS OF SHARES PLAN
FOR VIP FUNDS, DATED DECEMBER 16, 1999
Variable Insurance Products Fund
FUND/CLASS |
SALES CHARGE |
12B-1 FEE AS A PERCENTAGE OF AVERAGE NET ASSETS |
Money Market Portfolio: |
|
|
Initial Class |
none |
none |
Service Class |
none |
0.10 |
Service Class 2 |
none |
0.25 |
High Income Portfolio: |
|
|
Initial Class |
none |
none |
Service Class |
none |
0.10 |
Service Class 2 |
none |
0.25 |
Equity-Income Portfolio: |
|
|
Service Class |
none |
0.10 |
Initial Class |
none |
none |
Service Class 2 |
none |
0.25 |
Equity-Income Portfolio: |
|
|
Initial Class |
none |
none |
Service Class |
none |
0.10 |
Service Class 2 |
none |
0.25 |
Overseas Portfolio: |
|
|
Initial Class |
none |
none |
Service Class |
none |
0.10 |
Service Class 2 |
none |
0.25 |
Variable Insurance Products Fund II
FUND/CLASS |
SALES CHARGE |
12B-1 FEE AS A PERCENTAGE OF AVERAGE NET ASSETS |
Investment Grade Bond Portfolio: |
|
|
Initial Class |
none |
none |
Service Class |
none |
0.10 |
Service Class 2 |
none |
0.25 |
Asset Manager Portfolio: |
|
|
Initial Class |
none |
none |
Service Class |
none |
0.10 |
Service Class 2 |
none |
0.25 |
Asset Manager: Growth Portfolio: |
|
|
Initial Class |
none |
none |
Service Class |
none |
0.10 |
Service Class 2 |
none |
0.25 |
Variable Insurance Products Fund III
FUND/CLASS |
SALES CHARGE |
12B-1 FEE AS A PERCENTAGE OF AVERAGE NET ASSETS |
Index 500 Portfolio: |
|
|
Initial Class |
none |
none |
Service Class |
none |
0.10 |
Service Class 2 |
none |
0.25 |
Contrafund Portfolio:
|
|
|
Initial Class |
none |
none |
Service Class |
none |
0.10 |
Service Class 2 |
none |
0.25 |
Balanced Portfolio:
|
|
|
Initial Class |
none |
none |
Service Class |
none |
0.10 |
Service Class 2 |
none |
0.25 |
Growth & Income Portfolio: |
|
|
Initial Class |
none |
none |
Service Class |
none |
0.10 |
Service Class 2 |
none |
0.25 |
Growth Opportunities Portfolio: |
|
|
Initial Class |
none |
none |
Service Class |
none |
0.10 |
Service Class 2 |
none |
0.25 |
Mid Cap Portfolio: |
|
|
Initial Class |
none |
none |
Service Class |
none |
0.10 |
Service Class 2 |
none |
0.25 |
Dynamic Capital Appreciation Portfolio:
|
|
|
Initial Class |
none |
none |
Service Class |
none |
0.10 |
Service Class 2 |
none |
0.25 |
Aggressive Growth Portfolio: |
|
|
Initial Class |
none |
none |
Service Class |
none |
0.10 |
Service Class 2 |
none |
0.25 |
Variable Insurance Products Fund IV
FUND/CLASS |
SALES CHARGE |
12B-1 FEE AS A PERCENTAGE OF AVERAGE NET ASSETS |
Consumer Industries Portfolio: |
|
|
Initial Class |
none |
none |
Service Class |
none |
0.10 |
Service Class 2 |
none |
0.25 |
Cyclical Industries Portfolio:
|
|
|
Initial Class |
none |
none |
Service Class |
none |
0.10 |
Service Class 2 |
none |
0.25 |
Financial Services Portfolio:
|
|
|
Initial Class |
none |
none |
Service Class |
none |
0.10 |
Service Class 2 |
none |
0.25 |
HealthCare Portfolio:
|
|
|
Initial Class |
none |
none |
Service Class |
none |
0.10 |
Service Class 2 |
none |
0.25 |
Natural Resources Portfolio: |
|
|
Initial Class |
none |
none |
Service Class |
none |
0.10 |
Service Class 2 |
none |
0.25 |
Technology Portfolio: |
|
|
Initial Class |
none |
none |
Service Class |
none |
0.10 |
Service Class 2 |
none |
0.25 |
Utilities Growth Portfolio: |
|
|
Initial Class |
none |
none |
Service Class |
none |
0.10 |
Service Class 2 |
none |
0.25 |
|