Exhibit 23(n)
Plan under Section 18f-3(d)
as of April ____, 2009
Filed pursuant to Item 23(n) of Form N-1A
| SECTION I. FOR THE FUNDS LISTED IN SCHEDULE I (THOSE WITH CLASSES 1 AND 2) |
Separate Arrangements
Each class of shares will represent interests in the same portfolio of investments of the Fund and be identical except those differences that relate to (a) the impact of the disproportionate payments made under the Rule 12b-1 plan; (b) the impact of the disproportionate payments made because of service fees; (c) the differences in class expenses including transfer agent fees and any other expense determined by the board to be a class expense; and (d) the difference in voting rights on the 12b-1 plan, exchange privileges and class designations. The current classes of shares are as follows:
Class 1 shares
Class 2 shares
Expense Allocation Procedures
Ameriprise Financial, Inc. (Ameriprise Financial), as the Fund’s administrator, on a daily basis shall allocate the income, expenses, and realized and unrealized gains and losses of the Fund on the basis of the relative percentage of net assets of each class of shares, 12b-1 fees, transfer agent fees, and any other class specific fee, which shall be paid directly by the applicable class as follows:
12B-1 FEE:
| Class 1 |
None | |
| Class 2 |
25 basis points of average daily net assets |
TRANSFER AGENCY SERVICES FEE:
For Class 1 and Class 2, the fee is 6 basis points based on average daily net assets of the applicable class.
Should an expense of a class be waived or reimbursed, Ameriprise Financial first will determine that the waiver or reimbursement will not result in another class subsidizing the class, is fair and equitable to all classes and does not operate to the detriment of another class and then shall monitor the implementation and operation to assure the waiver or reimbursement operates consistent with the determination. The board shall monitor the actions of Ameriprise Financial.
Exchange Privileges
Shares of a class may be exchanged for shares of the same class of another fund that is part of the RiverSource Funds.
Schedule I
| FUNDS WITH CLASSES 1 AND 2 |
Seligman Portfolios, Inc.
Seligman Capital Portfolio
Seligman Cash Management Portfolio
Seligman Common Stock Portfolio
Seligman Communications and Information Portfolio
Seligman Global Technology Portfolio
Seligman International Growth Portfolio
Seligman Investment Grade Fixed Income Portfolio
Seligman Large-Cap Value Portfolio
Seligman Smaller-Cap Value Portfolio
| Funds |
Classes | |||
| Class 1 | Class 2 | |||
| Seligman Portfolios, Inc. |
||||
| Seligman Capital Portfolio |
Class 1 | Class 2 | ||
| Seligman Cash Management Portfolio |
Class 1 | — | ||
| Seligman Common Stock Portfolio |
Class 1 | — | ||
| Seligman Communications and Information Portfolio |
Class 1 | Class 2 | ||
| Seligman Global Technology Portfolio |
Class 1 | Class 2 | ||
| Seligman International Growth Portfolio |
Class 1 | — | ||
| Seligman Investment Grade Fixed Income Portfolio |
Class 1 | — | ||
| Seligman Large-Cap Value Portfolio |
Class 1 | Class 2 | ||
| Seligman Smaller-Cap Value Portfolio |
Class 1 | Class 2 | ||
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