EX-99.(M)(1)(I) 10 d322316dex99m1i.htm (M)(1)(I) SCHEDULE A (3-11-2022) TO 12B-1 PLAN (m)(1)(i) Schedule A (3-11-2022) to 12b-1 Plan

SCHEDULE A

COLUMBIA ETF TRUST I

The following series of the Trust are subject to this Plan, at the fee rates specified:

 

Fund

   Fee (as a Percentage of
Average Daily Net Assets of
the Fund)*
 

Columbia Diversified Fixed Income ETF

     0.25

Columbia Multi-Sector Municipal Income ETF

     0.25

Columbia Research Enhanced Core ETF

     0.25

Columbia Research Enhanced Value ETF

     0.25

Columbia Seligman Semiconductor and Technology ETF

     0.25

Columbia Short Duration Bond ETF

     0.25

Columbia Sustainable International Equity Income ETF

     0.25

Columbia Sustainable U.S. Equity Income ETF

     0.25

 

*

The determination of daily net assets shall be made at the close of business each day throughout the month and computed in the manner specified in the then current Prospectus for the determination of the net asset value of Creation Units. Plan payments shall be made within ten (10) days of the end of each calendar month unless otherwise agreed by the parties and approved or ratified by the Trustees.

Adopted April 19, 2016, amended and restated March 11, 20212