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Exhibit 5(b)(ii)
DATED: NOVEMBER 8, 1995
SCHEDULE A
TO THE
INVESTMENT ADVISORY AGREEMENT
BETWEEN THE PARKSTONE GROUP OF FUNDS AND
FIRST OF AMERICA INVESTMENT CORPORATION
(FORMERLY SECURITIES COUNSEL, INC.)
DATED SEPTEMBER 8, 1988
NAME OF FUND COMPENSATION* DATE
------------ ------------ ----
Parkstone Bond Fund Annual rate of seventy four one- September 8, 1988
Parkstone Limited Maturity Bond Fund hundredths of one percent (.74%) of
Parkstone Intermediate the average daily net assets of each
Government Obligations Fund Fund
Parkstone Municipal Bond Fund
Parkstone Equity Fund Annual rate of one percent (1%) of the September 8, 1988
Parkstone Small Capitalization average daily net assets of each Fund
Value Fund
Parkstone High Income Equity Fund
Parkstone Michigan Annual rate of seventy four one- June 29, 1990
Municipal Bond Fund hundredths of one percent (.74%) of
the average daily net assets of such
Fund
Parkstone Balanced Fund Annual rate of one percent (1.00%) of January 21, 1992
the average daily net assets of such
Fund
Parkstone U.S. Government Annual rate of seventy-four one- October 27, 1992
Income Fund hundredths of one percent (.74%) of
the average daily net assets of such
Fund
Parkstone Large Capitalization Fund Annual rate of eighty one-hundredths November 8, 1995
of one percent (.80%) of the average
daily net assets of such Fund
THE PARKSTONE GROUP OF FUNDS
By: /s/ XXXXXX X. XXXXXXXX
---------------------------
Xxxxxx X. Xxxxxxxx
President
FIRST OF AMERICA INVESTMENT CORPORATION
(formerly known as Securities Counsel, Inc.)
By: /s/ XXXXXXX X. XXXX
---------------------------
Xxxxxxx X. Xxxx
President
__________________________________
* All fees are computed daily and paid monthly.