EX-99.N 18F-3 PLAN 2 exn2.htm

Exhibit (n)(2)

SCHEDULE I (EQUITY), DATED JANUARY 20, 2010, TO MULTIPLE CLASS OF SHARES PLAN FOR VIP FUNDS, DATED MAY 19, 2005

Variable Insurance Products Fund

FUND/CLASS

SALES
CHARGE

DISTRIBUTION
FEE

(as a percentage of
average net assets)

SHAREHOLDER
SERVICE FEE
(as a percentage of
average net assets)

CLASS LEVEL
REDEMPTION FEE
(as a percentage of
amount redeemed)

Equity-Income
Portfolio:

 

 

 

 

Investor Class

none

none

none

none

Initial Class

none

none

none

none

Service Class

none

0.00

0.10

none

Service Class 2

none

0.00

0.25

none

Service Class 2 R

none

0.00

0.25

1.00*

Growth Portfolio:

 

 

 

 

Investor Class

none

none

none

none

Initial Class

none

none

none

none

Service Class

none

0.00

0.10

none

Service Class 2

none

0.00

0.25

none

Service Class 2 R

none

0.00

0.25

1.00*

High Income Portfolio:

 

 

 

 

Investor Class

none

none

none

none

Initial Class

none

none

none

none

Service Class

none

0.00

0.10

none

Service Class 2

none

0.00

0.25

none

Initial Class R

none

none

none

1.00*

Service Class R

none

0.00

0.10

1.00*

Service Class 2 R

none

0.00

0.25

1.00*

FUND/CLASS

SALES
CHARGE

DISTRIBUTION
FEE

(as a percentage of
average net assets)

SHAREHOLDER
SERVICE FEE
(as a percentage of
average net assets)

CLASS LEVEL
REDEMPTION FEE
(as a percentage of
amount redeemed)

Overseas Portfolio:

 

 

 

 

Initial Class

none

none

none

none

Service Class

none

0.00

0.10

none

Service Class 2

none

0.00

0.25

none

Investor Class R

none

none

none

1.00*

Initial Class R

none

none

none

1.00*

Service Class R

none

0.00

0.10

1.00*

Service Class 2 R

none

0.00

0.25

1.00*

 

Value Portfolio:

 

 

 

 

Investor Class

none

none

none

none

Initial Class

none

none

none

none

Service Class

none

0.00

0.10

none

Service Class 2

none

0.00

0.25

none

* On shares held for less than 60 days.

Variable Insurance Products Fund II

FUND/CLASS

SALES
CHARGE

DISTRIBUTION
FEE

(as a percentage of
average net assets)

SHAREHOLDER
SERVICE FEE
(as a percentage of
average net assets)

CLASS LEVEL
REDEMPTION FEE
(as a percentage of
amount redeemed)

Contrafund Portfolio:

 

 

 

 

Investor Class

none

none

none

none

Initial Class

none

none

none

none

Service Class

none

0.00

0.10

none

Service Class 2

none

0.00

0.25

none

Service Class 2 R

none

0.00

0.25

1.00*

Disciplined Small Cap Portfolio:

 

 

 

 

Investor Class

none

none

none

none

Initial Class

none

none

none

none

Service Class

none

0.00

0.10

none

Service Class 2

none

0.00

0.25

none

Index 500 Portfolio:

 

 

 

 

Initial Class

none

none

none

none

Service Class

none

0.00

0.10

none

Service Class 2

none

0.00

0.25

none

* On shares held for less than 60 days.

Variable Insurance Products Fund III

FUND/CLASS

SALES
CHARGE

DISTRIBUTION
FEE

(as a percentage of
average net assets)

SHAREHOLDER
SERVICE FEE
(as a percentage of
average net assets)

CLASS LEVEL
REDEMPTION FEE
(as a percentage of
amount redeemed)

Aggressive Growth
Portfolio:

 

 

 

 

Investor Class

none

none

none

none

Initial Class

none

none

none

none

Service Class

none

0.00

0.10

none

Service Class 2

none

0.00

0.25

none

 

Balanced Portfolio:

 

 

 

 

Investor Class

none

none

none

none

Initial Class

none

none

none

none

Service Class

none

0.00

0.10

none

Service Class 2

none

0.00

0.25

none

Dynamic Capital
Appreciation Portfolio:

 

 

 

 

Investor Class

none

none

none

none

Initial Class

none

none

none

none

Service Class

none

0.00

0.10

none

Service Class 2

none

0.00

0.25

none

Growth & Income
Portfolio:

 

 

 

 

Investor Class

none

none

none

none

Initial Class

none

none

none

none

Service Class

none

0.00

0.10

none

Service Class 2

none

0.00

0.25

none

FUND/CLASS

SALES
CHARGE

DISTRIBUTION
FEE

(as a percentage of
average net assets)

SHAREHOLDER
SERVICE FEE
(as a percentage of
average net assets)

CLASS LEVEL
REDEMPTION FEE
(as a percentage of
amount redeemed)

Growth Opportunities
Portfolio:

 

 

 

 

Investor Class

none

none

none

none

Initial Class

none

none

none

none

Service Class

none

0.00

0.10

none

Service Class 2

none

0.00

0.25

none

Mid Cap Portfolio:

 

 

 

 

Investor Class

none

none

none

none

Initial Class

none

none

none

none

Service Class

none

0.00

0.10

none

Service Class 2

none

0.00

0.25

none

 

Value Strategies
Portfolio:

 

 

 

 

Investor Class

none

none

none

none

Initial Class

none

none

none

none

Service Class

none

0.00

0.10

none

Service Class 2

none

0.00

0.25

none

Variable Insurance Products Fund IV

FUND/CLASS

SALES
CHARGE

DISTRIBUTION
FEE

(as a percentage of
average net assets)

SHAREHOLDER
SERVICE FEE
(as a percentage of
average net assets)

CLASS LEVEL
REDEMPTION FEE
(as a percentage of
amount redeemed)

Consumer Discretionary Portfolio:

 

 

 

 

Investor Class

none

none

none

none

Initial Class

none

none

none

none

Consumer Staples Portfolio:

 

 

 

 

Investor Class

none

none

none

none

Initial Class

none

none

none

none

Energy Portfolio:

 

 

 

 

Investor Class

none

none

none

none

Initial Class

none

none

none

none

Service Class 2

none

0.00

0.25

none

Financial Services
Portfolio:

 

 

 

 

Investor Class

none

none

none

none

Initial Class

none

none

none

none

Growth Stock Portfolio:

 

 

 

 

Investor Class

none

none

none

none

Initial Class

none

none

none

none

Service Class

none

0.00

0.10

none

Service Class 2

none

0.00

0.25

none

Health Care Portfolio:

 

 

 

 

Investor Class

none

none

none

none

Initial Class

none

none

none

none

FUND/CLASS

SALES
CHARGE

DISTRIBUTION
FEE

(as a percentage of
average net assets)

SHAREHOLDER
SERVICE FEE
(as a percentage of
average net assets)

CLASS LEVEL
REDEMPTION FEE
(as a percentage of
amount redeemed)

Industrials Portfolio:

 

 

 

 

Investor Class

none

none

none

none

Initial Class

none

none

none

none

International Capital
Appreciation Portfolio:

 

 

 

 

Initial Class

none

none

none

none

Service Class

none

0.00

0.10

none

Service Class 2

none

0.00

0.25

none

Investor Class R

none

none

none

1.00*

Initial Class R

none

none

none

1.00*

Service Class R

none

0.00

0.10

1.00*

Service Class 2 R

none

0.00

0.25

1.00*

Materials Portfolio:

 

 

 

 

Investor Class

none

none

none

none

Initial Class

none

none

none

none

Real Estate Portfolio:

 

 

 

 

Investor Class

none

none

none

none

Initial Class

none

none

none

none

Service Class

none

0.00

0.10

none

Service Class 2

none

0.00

0.25

none

Technology Portfolio:

 

 

 

 

Investor Class

none

none

none

none

Initial Class

none

none

none

none

FUND/CLASS

SALES
CHARGE

DISTRIBUTION
FEE

(as a percentage of
average net assets)

SHAREHOLDER
SERVICE FEE
(as a percentage of
average net assets)

CLASS LEVEL
REDEMPTION FEE
(as a percentage of
amount redeemed)

Telecommunications
Portfolio:

 

 

 

 

Investor Class

none

none

none

none

Initial Class

none

none

none

none

Utilities Portfolio:

 

 

 

 

Investor Class

none

none

none

none

Initial Class

none

none

none

none

Value Leaders Portfolio:

 

 

 

 

Investor Class

none

none

none

none

Initial Class

none

none

none

none

Service Class

none

0.00

0.10

none

Service Class 2

none

0.00

0.25

none

Emerging Markets
Portfolio:

 

 

 

 

Initial Class

none

none

none

none

Service Class

none

0.00

0.10

none

Service Class 2

none

0.00

0.25

none

Initial Class R

none

none

none

1.00*

Service Class 2 R

none

0.00

0.25

1.00*

Investor Class R

none

none

none

1.00*

* On shares held for less than 60 days.