0001752724-20-061576.txt : 20200327 0001752724-20-061576.hdr.sgml : 20200327 20200326190047 ACCESSION NUMBER: 0001752724-20-061576 CONFORMED SUBMISSION TYPE: NPORT-P PUBLIC DOCUMENT COUNT: 2 CONFORMED PERIOD OF REPORT: 20200131 FILED AS OF DATE: 20200327 PERIOD START: 20201031 FILER: COMPANY DATA: COMPANY CONFORMED NAME: T. Rowe Price International Index Fund, Inc. CENTRAL INDEX KEY: 0001120925 IRS NUMBER: 522278495 FISCAL YEAR END: 1231 FILING VALUES: FORM TYPE: NPORT-P SEC ACT: 1940 Act SEC FILE NUMBER: 811-10063 FILM NUMBER: 20747477 BUSINESS ADDRESS: STREET 1: 100 EAST PRATT STREET CITY: BALTIMORE STATE: MD ZIP: 21202 BUSINESS PHONE: 410-345-2000 MAIL ADDRESS: STREET 1: 100 EAST PRATT STREET CITY: BALTIMORE STATE: MD ZIP: 21202 FORMER COMPANY: FORMER CONFORMED NAME: T ROWE PRICE INTERNATIONAL INDEX FUND INC DATE OF NAME CHANGE: 20000802 0001120925 S000002099 T. Rowe Price International Equity Index Fund C000005467 T. 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Co Ltd 000000000 1900.00000000 NS 32290.82000000 0.005424675818 Long EC CORP JP N 2 N N N Remy Cointreau SA 5493004V6A3Z027YT216 Remy Cointreau SA 000000000 915.00000000 NS 96362.12000000 0.016188293210 Long EC CORP FR N 2 N N Air Liquide SA 969500MMPQVHK671GT54 Air Liquide SA 000000000 16844.00000000 NS 2435475.08000000 0.409146090833 Long EC CORP FR N 2 N N N Kuehne + Nagel International A 529900Q0YED3805QXQ66 Kuehne + Nagel International AG 000000000 1848.00000000 NS 298677.08000000 0.050176066553 Long EC CORP CH N 2 N N N Infrastrutture Wireless Italia 81560066183FE361C071 Infrastrutture Wireless Italiane SpA 000000000 8886.00000000 NS 92359.28000000 0.015515838644 Long EC CORP IT N 2 N N N 1&1 Drillisch AG 5299003VKVDCUPSS5X23 1&1 Drillisch AG 000000000 1680.00000000 NS 41187.19000000 0.006919215852 Long EC CORP DE N 2 N N N Hyundai Motor Co 9884004RQX8PRBXQ8S60 Hyundai Motor Co 000000000 1542.00000000 NS 103473.35000000 0.017382939782 Long EP CORP KR N 2 N N N UOL Group Ltd 254900O9PRCWTMR86R25 UOL Group Ltd 000000000 17352.00000000 NS 100799.03000000 0.016933669091 Long EC CORP SG N 2 N N N Barratt Developments PLC 2138006R85VEOF5YNK29 Barratt Developments PLC 000000000 37212.00000000 NS 393983.09000000 0.066186939234 Long EC CORP GB N 2 N N N Contact Energy Ltd 549300FT5JOXS1PZ1I32 Contact Energy Ltd 000000000 26307.00000000 NS 125919.63000000 0.021153788349 Long EC CORP NZ N 2 N N N Nippon Kayaku Co Ltd N/A Nippon Kayaku Co Ltd 000000000 6000.00000000 NS 70357.17000000 0.011819608134 Long EC CORP JP N 2 N N N DeNA Co Ltd 529900T9JQP7I5LDY154 DeNA Co Ltd 000000000 3800.00000000 NS 62494.54000000 0.010498730596 Long EC CORP JP N 2 N N N Coles Group Ltd 549300OHQRG2HN8LZ793 Coles Group Ltd 000000000 42002.00000000 NS 460888.39000000 0.077426652659 Long EC CORP AU N 2 N N N Direct Line Insurance Group PL 213800FF2R23ALJQOP04 Direct Line Insurance Group PLC 000000000 50809.00000000 NS 226295.86000000 0.038016429423 Long EC CORP GB N 2 N N N Toyota Industries Corp 35380000WKGEAHEMW830 Toyota Industries Corp 000000000 6000.00000000 NS 324525.27000000 0.054518416832 Long EC CORP JP N 2 N N N Shufersal Ltd N/A Shufersal Ltd 000000000 4129.00000000 NS 25769.60000000 0.004329147602 Long EC CORP IL N 2 N N N Medy-Tox Inc N/A Medy-Tox Inc 000000000 153.47000000 NS 41194.79000000 0.006920492609 Long EC CORP KR N 2 N N N Orora Ltd 549300WFEQJK35VDF789 Orora Ltd 000000000 44662.00000000 NS 95344.77000000 0.016017384142 Long EC CORP AU N 2 N N N DIC Corp 549300F1YB9ARLPUKB67 DIC Corp 000000000 3000.00000000 NS 78644.42000000 0.013211819440 Long EC CORP JP N 2 N N N Acciona SA 54930002KP75TLLLNO21 Acciona SA 000000000 799.00000000 NS 90691.89000000 0.015235726519 Long EC CORP ES N 2 N N N NS Solutions Corp N/A NS Solutions Corp 000000000 1200.00000000 NS 35247.22000000 0.005921334360 Long EC CORP JP N 2 N N N Yamazaki Baking Co Ltd N/A Yamazaki Baking Co Ltd 984632109 4700.00000000 NS 89443.37000000 0.015025982194 Long EC CORP JP N 2 N N N Marubeni Corp 4P4N3ORD02UGQT1T1W12 Marubeni Corp 000000000 58100.00000000 NS 417484.50000000 0.070135043697 Long EC CORP JP N 2 N N N Hyundai Engineering & Construc 988400CEQG9N710HN313 Hyundai Engineering & Construction Co Ltd 000000000 2700.00000000 NS 85240.10000000 0.014319856517 Long EC CORP KR N 2 N N N Helvetia Holding AG 529900SUJBXTORH0LT80 Helvetia Holding AG 000000000 1200.00000000 NS 172507.36000000 0.028980264492 Long EC CORP CH N 2 N N N Jardine Matheson Holdings Ltd 2138009KENVUNWOLPK41 Jardine Matheson Holdings Ltd 000000000 7700.00000000 NS USD 429213.32000000 0.072105419371 Long EC CORP HK N 2 N N N Yamato Holdings Co Ltd N/A Yamato Holdings Co Ltd 000000000 13200.00000000 NS 211375.34000000 0.035509866132 Long EC CORP JP N 2 N N N Doosan Bobcat Inc N/A Doosan Bobcat Inc 000000000 894.00000000 NS 22987.69000000 0.003861802396 Long EC CORP KR N 2 N N N SK Holdings Co Ltd N/A SK Holdings Co Ltd 000000000 1233.00000000 NS 241040.14000000 0.040493385387 Long EC CORP KR N 2 N N N Pigeon Corp N/A Pigeon Corp 000000000 4000.00000000 NS 141168.49000000 0.023715510910 Long EC CORP JP N 2 N N Trelleborg AB 213800XY16PAWG2PAD14 Trelleborg AB 000000000 8824.00000000 NS 144878.27000000 0.024338733048 Long EC CORP SE N 2 N N N Kesko Oyj 743700OX6HSVMCAHPB95 Kesko Oyj 000000000 2511.00000000 NS 169759.25000000 0.028518597496 Long EC CORP FI N 2 N N N Sumitomo Corp V82KK8NH1P0JS71FJC05 Sumitomo Corp 000000000 41600.00000000 NS 618786.76000000 0.103952689145 Long EC CORP JP N 2 N N N Johnson Matthey PLC 2138001AVBSD1HSC6Z10 Johnson Matthey PLC 000000000 7081.00000000 NS 242779.48000000 0.040785584706 Long EC CORP GB N 2 N N N Fletcher Building Ltd 549300UPHQTT2LG75045 Fletcher Building Ltd 000000000 31675.00000000 NS 113055.36000000 0.018992663473 Long EC CORP NZ N 2 N N N Experian PLC 635400RXXHHYT1JTSZ26 Experian PLC 000000000 33398.00000000 NS 1162514.88000000 0.195295949687 Long EC CORP IE N 2 N N N Beiersdorf AG L47NHHI0Z9X22DV46U41 Beiersdorf AG 000000000 3708.00000000 NS 420391.58000000 0.070623416757 Long EC CORP DE N 2 N N N Brambles Ltd N/A Brambles Ltd 000000000 58634.00000000 NS 489734.49000000 0.082272634926 Long EC CORP AU N 2 N N N Mitsubishi Logistics Corp 529900GJKGNRLQBJUH32 Mitsubishi Logistics Corp 000000000 2500.00000000 NS 63339.08000000 0.010640608557 Long EC CORP JP N 2 N N N Kagome Co Ltd 549300QC5KRGKXSZKO90 Kagome Co Ltd 000000000 2800.00000000 NS 69005.73000000 0.011592573829 Long EC CORP JP N 2 N N N FUCHS PETROLUB SE 529900SNF9E1P5ZO4P98 FUCHS PETROLUB SE 000000000 2882.00000000 NS 116971.07000000 0.019650480690 Long EC CORP DE N 2 N N N Ricoh Co Ltd 549300HFIB2GRUMDID72 Ricoh Co Ltd 000000000 25300.00000000 NS 287064.98000000 0.048225299181 Long EC CORP JP N 2 N N N Hiroshima Bank Ltd/The 54930051TFGW2KIXPU60 Hiroshima Bank Ltd/The 000000000 10500.00000000 NS 47142.25000000 0.007919632378 Long EC CORP JP N 2 N N N Rational AG 529900K139N6UFJ1A758 Rational AG 000000000 122.00000000 NS 91491.56000000 0.015370066573 Long EC CORP DE N 2 N N N Shimizu Corp 353800BRAE0QFP3ZLY22 Shimizu Corp 000000000 21100.00000000 NS 216419.36000000 0.036357233072 Long EC CORP JP N 2 N N N Lion Corp 529900MPGS2GM7VPG855 Lion Corp 000000000 9300.00000000 NS 176669.34000000 0.029679453682 Long EC CORP JP N 2 N N N Kaken Pharmaceutical Co Ltd N/A Kaken Pharmaceutical Co Ltd 000000000 1300.00000000 NS 68551.15000000 0.011516206950 Long EC CORP JP N 2 N N N Societe Generale SA O2RNE8IBXP4R0TD8PU41 Societe Generale SA 000000000 27952.00000000 NS 904521.10000000 0.151954448304 Long EC CORP FR N 2 N N N Sankyo Co Ltd 3538009H2R9ZBZAOAK48 Sankyo Co Ltd 000000000 1900.00000000 NS 63832.81000000 0.010723552416 Long EC CORP JP N 2 N N N Hokuhoku Financial Group Inc N/A Hokuhoku Financial Group Inc 000000000 4800.00000000 NS 46011.77000000 0.007729718108 Long EC CORP JP N 2 N N N Dah Sing Banking Group Ltd 529900DXBMKJOLLQOM66 Dah Sing Banking Group Ltd 000000000 7040.00000000 NS 8965.16000000 0.001506096366 Long EC CORP HK N 2 N N N ICA Gruppen AB 549300ZEFN8VKPK9I111 ICA Gruppen AB 000000000 2863.00000000 NS 125884.61000000 0.021147905187 Long EC CORP SE N 2 N N N Wilmar International Ltd 549300H2EAI4YRLWBB20 Wilmar International Ltd 000000000 71500.00000000 NS 203603.04000000 0.034204163525 Long EC CORP SG N 2 N N N Square Enix Holdings Co Ltd 529900KCRNRDF8DIA489 Square Enix Holdings Co Ltd 000000000 2800.00000000 NS 137450.61000000 0.023090928018 Long EC CORP JP N 2 N N Shiseido Co Ltd 5299008QCD0YDT5OF506 Shiseido Co Ltd 000000000 14100.00000000 NS 907766.59000000 0.152499672338 Long EC CORP JP N 2 N N Tadano Ltd N/A Tadano Ltd 000000000 4000.00000000 NS 33723.20000000 0.005665307587 Long EC CORP JP N 2 N N N Chugai Pharmaceutical Co Ltd 529900T9LAII161DCN95 Chugai Pharmaceutical Co Ltd 000000000 8000.00000000 NS 819430.37000000 0.137659685105 Long EC CORP JP N 2 N N N Nemetschek SE 529900R0S2IX1S358J38 Nemetschek SE 000000000 2006.00000000 NS 136071.06000000 0.022859171391 Long EC CORP DE N 2 N N N Champion REIT N/A Champion REIT 000000000 71000.00000000 NS 42604.84000000 0.007157373064 Long EC CORP HK N 2 N N N Ono Pharmaceutical Co Ltd N/A Ono Pharmaceutical Co Ltd 000000000 16200.00000000 NS 373034.92000000 0.062667764706 Long EC CORP JP N 2 N N N NMC Health PLC 2138008YQEVWBE1V2M52 NMC Health PLC 000000000 3218.00000000 NS 54726.03000000 0.009193664687 Long EC CORP AE N 2 N N N S-Oil Corp 988400QTUXYDN8W3MZ32 S-Oil Corp 000000000 1527.00000000 NS 96136.49000000 0.016150388642 Long EC CORP KR N 2 N N N Domino's Pizza Enterprises Ltd 54930034RFI409JZ3179 Domino's Pizza Enterprises Ltd 000000000 2288.00000000 NS 83177.17000000 0.013973295900 Long EC CORP AU N 2 N N N Naturgy Energy Group SA TL2N6M87CW970S5SV098 Naturgy Energy Group SA 000000000 11317.00000000 NS 298484.19000000 0.050143662120 Long EC CORP ES N 2 N N N Ibiden Co Ltd 52990051DBFIQEY37C91 Ibiden Co Ltd 000000000 3800.00000000 NS 87529.55000000 0.014704471217 Long EC CORP JP N 2 N N N Doosan Fuel Cell Co Ltd N/A Doosan Fuel Cell Co Ltd 000000000 627.00000000 NS 3866.77000000 0.000649595572 Long EC CORP KR N 2 N N N 2020-03-25 T. ROWE PRICE INTERNATIONAL INDEX FUND, INC. Alan S. Dupski Alan S. Dupski Treasurer & Vice President XXXX NPORT-EX 2 70J3IntEqtyIndexFd.htm trowepriceinternationalequit.htm - Generated by SEC Publisher for SEC Filing

T. ROWE PRICE INTERNATIONAL EQUITY INDEX FUND
January 31, 2020 (Unaudited)

Portfolio of Investments Shares/Par $ Value
(Cost and value in $000s)    
ARGENTINA 0.0%    
 
Common Stocks 0.0%    
Tenaris (EUR) 17,375 180
Total Argentina (Cost $313)   180
 
AUSTRALIA 6.7%    
 
Common Stocks 6.6%    
Adelaide Brighton 16,890 41
Afterpay Touch Group (1) 6,829 171
AGL Energy 24,042 319
ALS 17,291 110
Altium 4,019 105
Alumina 93,325 134
AMP 107,762 130
Ansell 5,313 112
APA Group 44,011 330
Aristocrat Leisure 23,501 560
ASX 7,216 408
Atlas Arteria 35,588 192
Aurizon Holdings 70,295 252
AusNet Services 62,483 74
Australia & New Zealand Banking Group 102,777 1,749
Bank of Queensland 14,692 75
Beach Energy 65,323 114
Bendigo & Adelaide Bank 17,761 123
BHP Group 108,418 2,780
BlueScope Steel 18,693 175
Boral 42,105 139
Brambles 58,634 490
Caltex Australia 9,420 215
Challenger 20,577 122
Charter Hall Group 17,208 147
CIMIC Group 3,461 67
Cleanaway Waste Management 50,108 68


The accompanying notes are an integral part of this Portfolio of Investments.


 

T. ROWE PRICE INTERNATIONAL EQUITY INDEX FUND

  Shares/Par $ Value
(Cost and value in $000s)    
 
Coca-Cola Amatil 19,721 157
Cochlear 2,087 332
Coles Group 42,002 461
Commonwealth Bank of Australia 64,553 3,655
Computershare 18,127 214
Crown Resorts 13,680 106
CSL 16,457 3,385
CSR 18,692 60
Dexus 39,734 335
Domain Holdings Australia 8,454 21
Domino's Pizza Enterprises 2,288 83
Downer EDI 22,540 110
Evolution Mining 39,046 99
Flight Centre Travel Group 2,060 54
Fortescue Metals Group 59,957 444
Goodman Group 65,303 646
GPT Group 67,040 267
Harvey Norman Holdings 19,274 54
IDP Education 4,719 55
Iluka Resources 15,394 98
Incitec Pivot 60,953 132
Insurance Australia Group 86,141 405
IOOF Holdings 12,818 67
James Hardie Industries, CDI 16,097 338
LendLease Group 21,623 260
Macquarie Group 11,824 1,130
Magellan Financial Group 4,635 204
Medibank 102,729 211
Metcash 35,041 61
Mirvac Group 138,072 311
National Australia Bank 104,859 1,791
Newcrest Mining 28,223 565
Northern Star Resources 26,149 225
Nufarm (1) 10,940 40
Oil Search 48,714 233
Orica 13,996 211

 

The accompanying notes are an integral part of this Portfolio of Investments.


 

T. ROWE PRICE INTERNATIONAL EQUITY INDEX FUND

  Shares/Par $ Value
(Cost and value in $000s)    
 
Origin Energy 65,638 355
Orora 44,662 95
OZ Minerals 11,045 74
Perpetual 1,590 45
Platinum Asset Management 8,157 26
Qantas Airways 21,164 90
QBE Insurance Group 48,166 438
Qube Holdings 45,982 105
Ramsay Health Care 5,805 305
REA Group 1,940 147
Rio Tinto 13,448 873
Santos 65,051 373
Scentre Group 190,661 489
SEEK 12,806 192
Seven Group Holdings 5,047 67
Shopping Centres Australasia Property Group 27,298 53
Sims 5,867 41
Sonic Healthcare 17,231 361
South32 183,925 316
Star Entertainment Group 29,898 83
Stockland 88,905 291
Suncorp Group 46,678 399
Sydney Airport 39,926 222
Tabcorp Holdings 69,058 215
Telstra 153,298 391
TPG Telecom 13,415 67
Transurban Group 98,589 1,028
Treasury Wine Estates 26,476 227
Vicinity Centres 116,897 197
Vocus Group (1) 21,283 48
Washington H. Soul Pattinson 3,829 55
Wesfarmers 41,182 1,236
Westpac Banking 129,374 2,162
Whitehaven Coal 24,690 41
Wisetech Global 2,890 47
Woodside Petroleum 33,976 778

 

The accompanying notes are an integral part of this Portfolio of Investments.


 

T. ROWE PRICE INTERNATIONAL EQUITY INDEX FUND

  Shares/Par $ Value
(Cost and value in $000s)    
 
Woolworths Group 45,799 1,272
Worley 12,500 125
    39,351
Equity Mutual Funds 0.1%    
iShares MSCI Australia Fund, ETF (USD) 27,000 601
    601
Total Australia (Cost $34,919)   39,952
 
AUSTRIA 0.2%    
 
Common Stocks 0.2%    
ANDRITZ 2,554 101
Erste Group Bank 10,667 392
OMV 5,270 262
Raiffeisen Bank International 4,718 107
Telekom Austria 5,012 40
Verbund 2,459 130
Vienna Insurance Group 1,396 38
voestalpine (2) 4,136 100
Total Austria (Cost $1,421)   1,170
 
BELGIUM 1.0%    
 
Common Stocks 1.0%    
Ackermans & Van Haaren 818 131
Ageas 6,804 375
Anheuser-Busch InBev 28,012 2,113
Argenx (1) 1,398 202
Colruyt 1,858 93
Galapagos (1) 1,721 385
Groupe Bruxelles Lambert 2,709 272
KBC Group 10,155 745
Proximus 4,980 142
Sofina 551 126
Solvay 2,557 265
Telenet Group Holding 1,736 81
UCB 4,492 413
   

 

The accompanying notes are an integral part of this Portfolio of Investments.

 

T. ROWE PRICE INTERNATIONAL EQUITY INDEX FUND

  Shares/Par $ Value
(Cost and value in $000s)    
 
Umicore (2) 7,643 352
Total Belgium (Cost $4,125)   5,695
 
CAMBODIA 0.0%    
 
Common Stocks 0.0%    
NagaCorp (HKD) 54,000 76
Total Cambodia (Cost $71)   76
 
CHILE 0.0%    
 
Common Stocks 0.0%    
Antofagasta (GBP) 12,588 136
Total Chile (Cost $102)   136
 
CHINA 0.3%    
 
Common Stocks 0.3%    
AAC Technologies Holdings (HKD) (2) 26,000 183
BOC Aviation (HKD) 7,400 68
China Mengniu Dairy (HKD) 99,000 363
China Travel International Investment Hong Kong (HKD) 90,000 14
FIH Mobile (HKD) (1) 103,000 16
Huabao International Holdings (HKD) 31,000 10
Lenovo Group (HKD) 278,000 181
Minth Group (HKD) 26,000 80
MMG (HKD) (1) 80,000 18
Nexteer Automotive Group (HKD) 30,000 22
Semiconductor Manufacturing International (HKD) (1) 111,000 203
Shougang Fushan Resources Group (HKD) 132,000 26
Shui On Land (HKD) 121,933 24
Sun Art Retail Group (HKD) 80,000 95
Tingyi Cayman Islands Holding (HKD) 68,000 115
Towngas China (HKD) 36,000 22
Uni-President China Holdings (HKD) 48,600 50
Want Want China Holdings (HKD) 202,000 167
Wharf Holdings (HKD) 45,100 111

 

The accompanying notes are an integral part of this Portfolio of Investments.


 

T. ROWE PRICE INTERNATIONAL EQUITY INDEX FUND

  Shares/Par $ Value
(Cost and value in $000s)    
 
Xinyi Solar Holdings (HKD) 112,200 78
Total China (Cost $1,791)   1,846
 
DENMARK 1.7%    
 
Common Stocks 1.7%    
Ambu, Class B 5,416 99
AP Moller - Maersk, Class A 170 191
AP Moller - Maersk, Class B 234 280
Carlsberg, Class B 3,914 572
Chr Hansen Holding 3,634 270
Coloplast, Class B 4,938 623
Danske Bank 24,854 415
Demant (1) 4,090 133
DSV 7,500 814
Genmab (1) 2,176 501
GN Store Nord 4,900 243
H Lundbeck 2,208 94
ISS 6,805 165
Jyske Bank (1) 2,497 95
Novo Nordisk, B Shares 60,118 3,659
Novozymes, B Shares 7,577 395
Orsted 6,760 737
Pandora 3,293 170
ROCKWOOL International, B Shares 219 51
Tryg 4,504 136
Vestas Wind Systems 7,004 695
Total Denmark (Cost $5,555)   10,338
 
EGYPT 0.0%    
 
Common Stocks 0.0%    
OCI (EUR) (1) 3,517 61
Total Egypt (Cost $131)   61

 

The accompanying notes are an integral part of this Portfolio of Investments.


 

T. ROWE PRICE INTERNATIONAL EQUITY INDEX FUND

  Shares/Par $ Value
(Cost and value in $000s)    
EUROPE/FAR EAST 0.2%    
 
Equity Mutual Funds 0.2%    
iShares Core MSCI EAFE, ETF (USD) (2) 16,595 1,053
Total Europe/Far East (Cost $1,066)   1,053
 
FINLAND 1.0%    
 
Common Stocks 1.0%    
Elisa 5,247 316
Fortum 16,134 391
Huhtamaki 3,394 151
Kesko, B Shares 2,511 170
Kone, Class B 14,332 925
Metso 3,837 136
Neste 15,303 609
Nokia 149,567 582
Nokia, Ordinary Shares 57,926 226
Nokian Renkaat 5,022 135
Orion, Class B 3,608 171
Sampo, A Shares 18,184 823
Stora Enso, R Shares 20,817 270
UPM-Kymmene 19,621 618
Wartsila 16,743 205
Total Finland (Cost $6,074)   5,728
 
FOREIGN/EUROPE 0.5%    
 
Equity Mutual Funds 0.5%    
iShares MSCI Eurozone, ETF (USD) (2) 67,900 2,749
Total Foreign/Europe (Cost $2,824)   2,749
 
FRANCE 9.9%    
 
Common Stocks 9.9%    
Accor 6,950 285
Aeroports de Paris 1,056 200
Air France-KLM (1) 7,855 73
   

 

The accompanying notes are an integral part of this Portfolio of Investments.

 

T. ROWE PRICE INTERNATIONAL EQUITY INDEX FUND

  Shares/Par $ Value
(Cost and value in $000s)    
 
Air Liquide 16,844 2,435
Airbus 20,021 2,940
ALD 3,000 44
Alstom 6,823 362
Amundi 2,122 172
ArcelorMittal 22,342 328
Arkema 2,690 247
Atos 3,388 281
AXA 69,830 1,857
BioMerieux 1,512 150
BNP Paribas 39,338 2,088
Bollore 36,513 148
Bouygues 7,625 301
Bureau Veritas 10,209 281
Capgemini 5,745 713
Carrefour 20,617 349
Casino Guichard Perrachon (2) 1,998 81
Cie de Saint-Gobain 17,703 668
Cie Generale des Etablissements Michelin 6,481 752
Cie Plastic Omnium 2,044 52
CNP Assurances 5,863 106
Covivio 1,640 195
Credit Agricole 42,316 572
Danone 21,752 1,741
Dassault Aviation 84 102
Dassault Systemes 4,876 844
Edenred 8,805 476
Eiffage 2,763 320
Electricite de France 18,367 227
Elis 7,055 137
Engie 60,794 1,046
Engie (1)(3) 2,058
EssilorLuxottica 10,677 1,581
Eurazeo 1,810 130
Eurofins Scientific (2) 419 225
Euronext 2,267 197

 

The accompanying notes are an integral part of this Portfolio of Investments.


 

T. ROWE PRICE INTERNATIONAL EQUITY INDEX FUND

  Shares/Par $ Value
(Cost and value in $000s)    
 
Eutelsat Communications 6,241 94
Faurecia 2,732 130
Gecina 1,921 362
Getlink 16,366 289
Hermes International 1,134 847
ICADE 1,253 140
Iliad 239 31
Imerys 1,329 57
Ingenico Group 2,324 270
Ipsen 1,271 94
JCDecaux 2,620 70
Kering 2,697 1,648
Klepierre 7,014 238
L'Oreal 8,753 2,435
Lagardere 4,079 77
Legrand 9,799 784
LVMH Moet Hennessy Louis Vuitton 9,055 3,943
Natixis 30,635 129
Orange 69,575 984
Orpea 1,656 216
Pernod Ricard 7,690 1,331
Peugeot 20,208 416
Publicis Groupe 7,792 345
Remy Cointreau (2) 915 96
Renault (2) 6,768 265
Rexel 11,264 135
Rubis 3,122 193
Safran 11,987 1,933
Sanofi 39,414 3,801
Sartorius Stedim Biotech 849 152
Schneider Electric 19,068 1,902
SCOR 5,788 246
SEB 1,005 129
Societe BIC 946 64
Societe Generale 27,952 905
Sodexo (2) 3,247 340

 

The accompanying notes are an integral part of this Portfolio of Investments.


 

T. ROWE PRICE INTERNATIONAL EQUITY INDEX FUND

  Shares/Par $ Value
(Cost and value in $000s)    
 
STMicroelectronics 23,235 647
Suez 13,485 221
Teleperformance 2,105 528
Thales 3,681 404
TOTAL 87,750 4,273
Ubisoft Entertainment (1) 3,139 238
Unibail-Rodamco-Westfield 3,676 499
Unibail-Rodamco-Westfield, CDI (AUD) 26,273 179
Valeo 8,759 260
Veolia Environnement 18,620 549
Vinci 16,897 1,872
Vivendi 29,919 818
Wendel 1,059 141
Worldline (1) 3,110 219
Total France (Cost $48,325)   58,645
 
GERMANY 7.9%    
 
Common Stocks 7.4%    
1&1 Drillisch 1,680 41
adidas 7,111 2,248
Allianz 15,108 3,607
Aroundtown 32,876 311
BASF 33,291 2,247
Bayer 33,945 2,724
Beiersdorf 3,708 420
BMW 11,757 838
Brenntag 5,763 298
Carl Zeiss Meditec 1,361 166
Commerzbank 38,410 220
Continental 3,979 454
Covestro 5,858 247
Daimler 28,915 1,339
Delivery Hero (1) 4,031 310
Deutsche Bank 76,151 697
Deutsche Boerse 6,772 1,099
Deutsche Lufthansa 8,641 132
   

 

The accompanying notes are an integral part of this Portfolio of Investments.

 

T. ROWE PRICE INTERNATIONAL EQUITY INDEX FUND

  Shares/Par $ Value
(Cost and value in $000s)    
 
Deutsche Post 35,453 1,237
Deutsche Telekom 117,434 1,902
Deutsche Wohnen 13,066 553
DWS Group GmbH & KGaA 1,284 51
E. ON 78,885 894
Evonik Industries 6,134 168
Fielmann 893 71
Fraport Frankfurt Airport Services Worldwide 1,308 97
Fresenius 15,039 768
Fresenius Medical Care 7,821 601
FUCHS PETROLUB 2,882 117
GEA Group 6,122 183
GRENKE 995 99
Hannover Rueck 2,216 430
Hapag-Lloyd 997 82
HeidelbergCement 5,543 374
Hella GmbH & KGaA 1,576 74
Henkel 2,415 223
HOCHTIEF 675 78
HUGO BOSS 2,391 113
Infineon Technologies 45,199 971
K+S 7,140 69
KION Group 2,616 164
Knorr-Bremse 1,594 174
LANXESS 3,071 184
LEG Immobilien 2,335 288
Merck 4,821 618
METRO 5,880 82
MTU Aero Engines 1,883 570
Munich Re 5,238 1,544
Nemetschek 2,006 136
OSRAM Licht 3,246 163
ProSiebenSat. 1 Media 7,503 99
Puma 3,010 241
QIAGEN (1) 8,101 271
Rational 122 92

 

The accompanying notes are an integral part of this Portfolio of Investments.


 

T. ROWE PRICE INTERNATIONAL EQUITY INDEX FUND

  Shares/Par $ Value
(Cost and value in $000s)    
 
Rheinmetall 1,571 168
Rocket Internet (1) 2,416 57
RTL Group 1,377 63
RWE 21,025 729
SAP 35,228 4,588
Scout24 3,995 275
Siemens 27,541 3,397
Siemens Healthineers 4,800 226
Suedzucker 2,911 49
Symrise 4,509 463
Talanx 1,391 69
Telefonica Deutschland Holding 24,887 75
thyssenkrupp (1) 17,278 212
Uniper 7,281 239
United Internet 4,301 139
Volkswagen 1,075 197
Vonovia 19,739 1,127
Wacker Chemie 546 39
Wirecard 4,206 617
Zalando (1) 5,038 241
    44,149
Preferred Stocks 0.5%    
BMW (4) 1,941 108
FUCHS PETROLUB (4) 1,048 46
Henkel (4) 7,518 765
Porsche Automobil Holding (4) 5,712 385
Sartorius (4) 1,275 297
Volkswagen (4) 6,747 1,211
    2,812
Total Germany (Cost $38,949)   46,961
 
HONG KONG 3.1%    
 
Common Stocks 3.0%    
AIA Group 440,000 4,360
ASM Pacific Technology 11,400 154

 

The accompanying notes are an integral part of this Portfolio of Investments.


 

T. ROWE PRICE INTERNATIONAL EQUITY INDEX FUND

  Shares/Par $ Value
(Cost and value in $000s)    
 
Bank of East Asia 44,780 97
BOC Hong Kong Holdings 133,500 441
Brightoil Petroleum Holdings (1)(3) 109,000 20
Budweiser Brewing APAC, Series B (1) 43,500 132
Cafe de Coral Holdings 12,000 27
Cathay Pacific Airways 22,000 28
Champion 71,000 43
Chow Tai Fook Jewellery Group 39,000 35
CK Asset Holdings 99,300 634
CK Hutchison Holdings 97,300 860
CK Infrastructure Holdings 23,000 160
CLP Holdings 60,400 628
Dah Sing Banking Group 7,040 9
Dah Sing Financial Holdings 7,400 27
Dairy Farm International Holdings (USD) 11,000 57
First Pacific 86,750 27
Galaxy Entertainment Group 79,000 517
Guotai Junan International Holdings 89,000 15
Guotai Junan International Holdings, Rights, 2/24/20 (1) 29,667
Haitong International Securities Group 74,000 21
Hang Lung Group 31,000 77
Hang Lung Properties 75,000 157
Hang Seng Bank 26,700 540
Henderson Land Development 47,773 214
Hong Kong & China Gas 363,518 696
Hong Kong Exchanges & Clearing 45,800 1,505
Hongkong Land Holdings (USD) 43,400 230
Hutchison Telecommunications Hong Kong Holdings 43,000 8
Hysan Development 22,000 82
Jardine Matheson Holdings (USD) 7,700 429
Jardine Strategic Holdings (USD) 6,600 202
Johnson Electric Holdings 13,625 30
Kerry Logistics Network 19,750 31
Kerry Properties 21,500 60
L'occitane International 16,250 34
Li & Fung 209,200 18

 

The accompanying notes are an integral part of this Portfolio of Investments.


 

T. ROWE PRICE INTERNATIONAL EQUITY INDEX FUND

  Shares/Par $ Value
(Cost and value in $000s)    
 
Lifestyle International Holdings 17,000 17
Link 76,500 774
Melco International Development 28,000 60
MGM China Holdings 28,000 39
MTR 52,000 292
New World Development 210,500 263
NWS Holdings 51,000 66
PCCW 147,000 87
Power Assets Holdings 48,500 350
Sa Sa International Holdings (2) 36,000 6
Samsonite International 47,100 88
Sands China 89,200 430
Shangri-La Asia 39,500 36
Shun Tak Holdings 70,500 30
Sino Land 111,800 152
SJM Holdings 69,000 77
Sun Hung Kai Properties 52,500 731
Swire Pacific, Class A 19,500 171
Swire Pacific, Class B 30,000 42
Swire Properties 38,800 120
Techtronic Industries 46,500 371
Television Broadcasts 10,600 16
United Energy Group 280,000 49
Vitasoy International Holdings (2) 28,000 101
VTech Holdings 5,700 52
WH Group 304,500 287
Wharf Real Estate Investment 45,100 233
Wheelock 30,000 183
Wynn Macau 54,400 113
Xinyi Glass Holdings 70,000 88
Yue Yuen Industrial Holdings 26,500 74
    18,003
Equity Mutual Funds 0.1%    
iShares MSCI Hong Kong Fund, ETF (USD) 14,500 332
    332
Total Hong Kong (Cost $13,056)   18,335

 

The accompanying notes are an integral part of this Portfolio of Investments.

 

T. ROWE PRICE INTERNATIONAL EQUITY INDEX FUND

  Shares/Par $ Value
(Cost and value in $000s)    
 
IRELAND 0.6%    
 
Common Stocks 0.6%    
AIB Group 29,344 86
Bank of Ireland Group 33,808 165
CRH 28,926 1,086
DCC (GBP) 3,629 293
Flutter Entertainment (GBP) 2,860 325
Glanbia 7,220 84
Kerry Group, Class A 5,415 692
Kingspan Group 5,450 336
Smurfit Kappa Group 8,712 301
Total Ireland (Cost $2,577)   3,368
 
ISRAEL 0.5%    
 
Common Stocks 0.5%    
Airport City (1) 2,769 49
Alony Hetz Properties & Investments 3,456 57
Amot Investments 3,739 27
Azrieli Group 1,368 101
Bank Hapoalim 37,816 325
Bank Leumi Le-Israel 56,052 403
Bezeq the Israeli Telecommunication (1) 72,578 56
Delek Group 172 22
Elbit Systems 872 133
First International Bank of Israel 1,924 54
Gazit-Globe 3,440 40
Harel Insurance Investments & Financial Services 3,700 25
Israel Chemicals 25,161 106
Israel Corporation (1) 137 24
Israel Discount Bank, Class A 43,420 197
Mehadrin (1) 24 1
Melisron 491 32
Migdal Insurance & Financial Holding 11,700 9
Mizrahi Tefahot Bank 4,791 130

 

The accompanying notes are an integral part of this Portfolio of Investments.


 

T. ROWE PRICE INTERNATIONAL EQUITY INDEX FUND

  Shares/Par $ Value
(Cost and value in $000s)    
 
Nice (1) 2,280 393
Oil Refineries 55,658 24
Paz Oil 380 46
Phoenix Holdings 4,515 25
Shufersal 4,129 26
Strauss Group 1,508 44
Teva Pharmaceutical Industries (1) 37,134 383
Tower Semiconductor (1) 3,421 77
Total Israel (Cost $3,225)   2,809
 
ITALY 2.3%    
 
Common Stocks 2.3%    
A2A 57,530 115
Amplifon 4,410 125
Assicurazioni Generali 47,253 921
Atlantia 17,374 426
Banca Mediolanum 9,105 82
Banco BPM (1) 56,316 115
Buzzi Unicem 3,214 75
CNH Industrial 37,137 354
Davide Campari-Milano 21,114 204
DiaSorin 843 104
Enel 282,789 2,465
Eni 90,997 1,275
EXOR 3,929 289
Ferrari 4,617 779
Fiat Chrysler Automobiles 40,534 528
FinecoBank Banca Fineco 22,378 262
Hera 27,915 127
Infrastrutture Wireless Italiane 8,886 92
Intesa Sanpaolo 544,036 1,351
Italgas 13,995 93
Leonardo 14,177 174
Mediaset (1) 12,579 33
Mediobanca Banca di Credito Finanziario 27,943 279
Moncler 6,321 272

 

The accompanying notes are an integral part of this Portfolio of Investments.

 

T. ROWE PRICE INTERNATIONAL EQUITY INDEX FUND

  Shares/Par $ Value
(Cost and value in $000s)    
 
Nexi (1) 8,944 127
Pirelli & C 15,951 77
Poste Italiane 17,200 197
PRADA (HKD) 18,200 70
Prysmian 9,221 205
Recordati 3,619 155
Saipem (1) 20,365 84
Salvatore Ferragamo 1,584 29
Snam 84,822 455
Telecom Italia (1) 386,246 207
Telecom Italia 240,704 127
Terna Rete Elettrica Nazionale 52,470 366
UniCredit 81,296 1,086
Unione di Banche Italiane (2) 36,026 108
UnipolSai Assicurazioni 21,529 58
    13,891
Preferred Stocks 0.0%    
Buzzi Unicem (4) 364 5
    5
Total Italy (Cost $15,644)   13,896
 
JAPAN 23.9%    
 
Common Stocks 23.5%    
77 Bank 2,600 39
ABC-Mart 900 58
Acom 14,200 67
Advantest 7,300 381
Aeon 25,700 526
Aeon Financial Service 4,200 66
Aeon Mall 4,140 69
AGC 6,900 233
Aica Kogyo 1,900 59
Ain Holdings 1,000 61
Air Water 5,400 74
Aisin Seiki 6,400 213

 

The accompanying notes are an integral part of this Portfolio of Investments.


 

T. ROWE PRICE INTERNATIONAL EQUITY INDEX FUND

  Shares/Par $ Value
(Cost and value in $000s)    
 
Ajinomoto 18,100 298
Alfresa Holdings 6,600 133
Alps Alpine 7,200 129
Amada Holdings 12,000 125
Amano 2,500 72
ANA Holdings 4,200 131
Anritsu (2) 5,100 98
Aozora Bank 4,400 119
Ariake Japan 600 41
Asahi Group Holdings 14,000 649
Asahi Intecc 7,200 198
Asahi Kasei 46,000 471
Asics 6,300 92
ASKUL 800 26
Astellas Pharma 68,080 1,203
Autobacs Seven 2,200 32
Azbil 5,000 135
Bandai Namco Holdings 7,300 424
Bank of Kyoto 2,600 104
Benefit One 2,400 42
Benesse Holdings 2,600 71
Bic Camera 5,700 62
Bridgestone 21,300 754
Brother Industries 8,700 168
Calbee 2,700 88
Canon 36,800 965
Canon Marketing Japan 1,700 41
Capcom 3,600 102
Casio Computer 8,300 154
Central Japan Railway 6,600 1,295
Chiba Bank 24,000 130
Chubu Electric Power 26,000 353
Chugai Pharmaceutical 8,000 819
Chugoku Bank (2) 6,400 61
Chugoku Electric Power (2) 10,800 143
Citizen Watch 11,000 53

 

The accompanying notes are an integral part of this Portfolio of Investments.


 

T. ROWE PRICE INTERNATIONAL EQUITY INDEX FUND

  Shares/Par $ Value
(Cost and value in $000s)    
 
Coca-Cola Bottlers Japan Holdings 5,250 138
COMSYS Holdings 4,200 122
Concordia Financial Group 43,000 162
Cosmo Energy Holdings 2,400 46
Cosmos Pharmaceutical 300 66
Credit Saison 5,900 95
CyberAgent (2) 3,600 143
Dai Nippon Printing 11,000 303
Dai-ichi Life Holdings 39,800 591
Daicel 11,100 105
Daido Steel 1,300 50
Daifuku 3,600 217
Daiichi Sankyo 23,100 1,561
Daiichikosho 1,500 73
Daikin Industries 9,600 1,353
Daishi Hokuetsu Financial Group 1,600 39
Daito Trust Construction 2,400 283
Daiwa House Industry 24,100 759
Daiwa Securities Group 59,000 298
DeNA 3,800 62
Denka 3,200 86
Denso 16,500 677
Dentsu 8,200 272
DIC 3,000 79
Disco 1,000 230
DMG Mori 3,700 51
Dowa Holdings (2) 1,650 59
East Japan Railway 13,100 1,153
Ebara 3,700 102
Eisai 9,800 739
Electric Power Development 6,000 135
Ezaki Glico 1,900 81
FamilyMart 8,560 187
Fancl 2,500 65
FANUC 7,100 1,293
Fast Retailing (2) 1,900 1,022

 

The accompanying notes are an integral part of this Portfolio of Investments.


 

T. ROWE PRICE INTERNATIONAL EQUITY INDEX FUND

  Shares/Par $ Value
(Cost and value in $000s)    
 
FP 800 49
Fuji Electric 4,600 135
Fuji Oil Holdings 1,600 41
Fuji Seal International 1,500 31
FUJIFILM Holdings 13,100 651
Fujikura 10,000 37
Fujitsu 7,000 740
Fujitsu General 2,000 45
Fukuoka Financial Group 5,200 90
Fukuyama Transporting 1,200 40
Furukawa Electric (2) 2,300 53
Fuyo General Lease 700 44
Glory 2,100 60
GMO Internet 2,500 48
GMO Payment Gateway 1,200 77
Goldwin (2) 1,400 85
GS Yuasa 2,800 55
GungHo Online Entertainment (1) 1,310 24
Gunma Bank 16,200 52
H2O Retailing 3,200 29
Hachijuni Bank 16,800 64
Hakuhodo DY Holdings 8,800 125
Hamamatsu Photonics 4,700 199
Hankyu Hanshin Holdings 8,200 333
Haseko 10,000 130
Heiwa 2,000 41
Hikari Tsushin 800 197
Hino Motors 9,600 90
Hirose Electric 1,218 151
Hiroshima Bank 10,500 47
HIS (2) 1,300 30
Hisamitsu Pharmaceutical 2,600 131
Hitachi 33,600 1,280
Hitachi Capital 1,500 41
Hitachi Chemical 3,800 159
Hitachi Construction Machinery 3,900 105

 

The accompanying notes are an integral part of this Portfolio of Investments.


 

T. ROWE PRICE INTERNATIONAL EQUITY INDEX FUND

  Shares/Par $ Value
(Cost and value in $000s)    
 
Hitachi High-Technologies 2,300 164
Hitachi Metals 7,000 108
Hitachi Transport System 1,500 43
Hokkaido Electric Power 6,500 30
Hokuhoku Financial Group 4,800 46
Hokuriku Electric Power (1) 6,200 46
Honda Motor 63,300 1,619
Horiba 1,400 87
Hoshizaki 1,900 175
House Foods Group 2,700 86
Hoya 13,400 1,282
Hulic 12,700 154
Ibiden 3,800 88
Ichigo 7,400 28
Idemitsu Kosan 8,052 201
IHI 4,800 114
Iida Group Holdings 5,200 88
Inpex 34,000 317
Isetan Mitsukoshi Holdings 13,220 103
Isuzu Motors 18,900 185
Ito En 2,100 102
ITOCHU 49,400 1,154
Itochu Techno-Solutions 3,600 106
Itoham Yonekyu Holdings 4,900 31
Iyo Bank 9,700 50
Izumi (2) 1,400 44
J. Front Retailing 8,800 106
Japan Airlines 4,300 121
Japan Airport Terminal 1,700 78
Japan Aviation Electronics Industry 2,000 35
Japan Exchange Group 20,000 358
Japan Petroleum Exploration 1,100 27
Japan Post Bank (2) 14,700 136
Japan Post Holdings 48,800 444
Japan Post Insurance 7,300 123
Japan Steel Works 2,200 39

 

The accompanying notes are an integral part of this Portfolio of Investments.


 

T. ROWE PRICE INTERNATIONAL EQUITY INDEX FUND

  Shares/Par $ Value
(Cost and value in $000s)    
 
Japan Tobacco 43,000 909
JFE Holdings 19,075 226
JGC Holdings 7,700 111
JSR 6,700 119
JTEKT 8,000 85
Justsystems 1,300 71
JXTG Holdings 112,420 478
K's Holdings 6,900 84
Kagome 2,800 69
Kajima 17,000 216
Kakaku. com 4,900 128
Kaken Pharmaceutical 1,300 69
Kamigumi 4,000 85
Kandenko 4,000 38
Kaneka 2,000 61
Kansai Electric Power 27,000 303
Kansai Mirai Financial Group 6,300 36
Kansai Paint 6,900 165
Kao 17,000 1,356
Kawasaki Heavy Industries 5,400 106
Kawasaki Kisen Kaisha (1)(2) 3,099 41
KDDI 63,100 1,907
Keihan Holdings 3,600 163
Keikyu 9,000 166
Keio 4,200 240
Keisei Electric Railway 5,000 181
Kewpie 4,100 86
Keyence 6,556 2,204
Kikkoman 6,800 330
Kinden 4,900 84
Kintetsu Group Holdings 6,700 353
Kirin Holdings 29,900 657
Kissei Pharmaceutical 1,200 34
Kobayashi Pharmaceutical 2,300 185
Kobe Steel 10,600 48
Koei Tecmo Holdings 2,160 57

 

The accompanying notes are an integral part of this Portfolio of Investments.


 

T. ROWE PRICE INTERNATIONAL EQUITY INDEX FUND

  Shares/Par $ Value
(Cost and value in $000s)    
 
Koito Manufacturing 4,300 187
Kokuyo 2,900 43
Komatsu 33,200 734
Konami Holdings 3,400 132
Konica Minolta 16,800 103
Kose 1,100 142
Kubota 41,300 647
Kuraray 13,100 157
Kurita Water Industries 4,100 120
Kusuri no Aoki Holdings 600 36
Kyocera 11,200 736
Kyoritsu Maintenance (2) 1,100 44
Kyowa Exeo 3,600 90
Kyowa Kirin 9,200 216
Kyudenko 1,500 43
Kyushu Electric Power (2) 17,300 142
Kyushu Financial Group (2) 14,060 59
Kyushu Railway 5,800 190
Lawson 1,700 98
LINE (1) 1,900 94
Lintec 1,800 39
Lion 9,300 177
LIXIL Group 9,700 161
M3 15,000 437
Mabuchi Motor 1,900 69
Maeda 5,000 48
Maeda Road Construction (2) 2,000 68
Makita 9,100 348
Mani 2,300 58
Marubeni 58,100 417
Maruha Nichiro 1,600 38
Marui Group 7,900 183
Maruichi Steel Tube (2) 2,300 64
Matsui Securities 3,900 32
Matsumotokiyoshi Holdings 2,800 112
Mazda Motor 21,100 177

 

The accompanying notes are an integral part of this Portfolio of Investments.


 

T. ROWE PRICE INTERNATIONAL EQUITY INDEX FUND

  Shares/Par $ Value
(Cost and value in $000s)    
 
Mebuki Financial Group 36,700 81
Medipal Holdings 5,600 119
Megmilk Snow Brand 1,500 35
MEIJI Holdings 4,940 348
MINEBEA MITSUMI 15,200 295
Miraca Holdings (2) 2,100 55
MISUMI Group 10,300 256
Mitsubishi 45,500 1,166
Mitsubishi Chemical Holdings 48,100 348
Mitsubishi Electric 71,800 996
Mitsubishi Estate 43,500 852
Mitsubishi Gas Chemical 7,000 106
Mitsubishi Heavy Industries 10,600 387
Mitsubishi Logistics 2,500 63
Mitsubishi Materials 4,500 113
Mitsubishi Motors 22,500 84
Mitsubishi Shokuhin 500 14
Mitsubishi UFJ Financial Group 453,690 2,330
Mitsubishi UFJ Lease & Finance 15,600 98
Mitsui 61,500 1,094
Mitsui Chemicals 6,600 145
Mitsui Fudosan 34,200 906
Mitsui Mining & Smelting 2,000 47
Mitsui OSK Lines 4,000 96
Miura 3,500 121
Mizuho Financial Group 923,100 1,369
Mochida Pharmaceutical 1,000 37
MonotaRO 4,400 106
Morinaga 1,500 72
Morinaga Milk Industry 1,500 57
MS&AD Insurance Group Holdings 17,900 595
Murata Manufacturing 20,700 1,172
Nabtesco 4,200 120
Nagase 4,100 56
Nagoya Railroad 7,000 205
Nankai Electric Railway 4,000 103

 

The accompanying notes are an integral part of this Portfolio of Investments.


 

T. ROWE PRICE INTERNATIONAL EQUITY INDEX FUND

  Shares/Par $ Value
(Cost and value in $000s)    
 
NEC 9,400 418
NET One Systems 3,100 51
Nexon (1) 15,200 206
NGK Insulators 9,500 159
NGK Spark Plug 7,500 132
NH Foods 3,800 167
NHK Spring 6,100 49
Nichirei 4,000 97
Nidec 8,472 1,066
Nifco 3,000 79
Nihon Kohden 2,800 82
Nihon M&A Center 4,700 134
Nihon Unisys 2,400 73
Nikon 12,900 156
Nintendo 3,900 1,435
Nippo 2,000 49
Nippon Electric Glass 2,900 56
Nippon Express 2,700 141
Nippon Kayaku 6,000 70
Nippon Paint Holdings 5,700 272
Nippon Paper Industries 3,500 57
Nippon Shinyaku 1,900 168
Nippon Shokubai 1,200 70
Nippon Steel 30,112 418
Nippon Telegraph & Telephone 45,200 1,152
Nippon Television Holdings 1,900 26
Nippon Yusen KK 5,900 94
Nipro 4,200 48
Nishi-Nippon Financial Holdings 5,200 34
Nishi-Nippon Railroad 2,800 65
Nissan Chemical 5,100 211
Nissan Motor 71,700 389
Nissan Shatai 2,800 27
Nisshin Seifun Group 9,655 165
Nisshinbo Holdings 4,800 41
Nissin Foods Holdings 2,600 195

 

The accompanying notes are an integral part of this Portfolio of Investments.


 

T. ROWE PRICE INTERNATIONAL EQUITY INDEX FUND

  Shares/Par $ Value
(Cost and value in $000s)    
 
Nitori Holdings 2,700 420
Nitto Denko 5,900 328
Noevir Holdings 600 27
NOF (2) 2,600 85
NOK (2) 4,200 56
Nomura Holdings 119,900 614
Nomura Real Estate Holdings 4,400 108
Nomura Research Institute 9,581 211
NS Solutions 1,200 35
NSK 16,300 136
NTN 16,000 42
NTT Data 23,400 329
NTT DOCOMO 42,500 1,208
Obayashi 25,100 275
Obic 2,500 341
OBIC Business Consultants 600 23
Odakyu Electric Railway 11,300 251
Oji Holdings 32,000 163
OKUMA 1,000 46
Olympus 37,900 612
Omron 7,100 407
Ono Pharmaceutical 16,200 373
Open House (2) 2,200 58
Oracle Corporation Japan 1,200 104
Orient 20,400 31
Oriental Land 6,800 886
ORIX 47,600 804
Osaka Gas 14,600 247
OSG 2,600 44
Otsuka 3,800 148
Otsuka Holdings 15,500 689
PALTAC 1,200 56
Pan Pacific International Holdings 17,600 284
Panasonic 78,995 785
Park24 4,100 103
Penta-Ocean Construction 10,200 60

 

The accompanying notes are an integral part of this Portfolio of Investments.


 

T. ROWE PRICE INTERNATIONAL EQUITY INDEX FUND

  Shares/Par $ Value
(Cost and value in $000s)    
 
PeptiDream (1) 3,100 147
Persol Holdings 6,100 109
Pigeon (2) 4,000 141
Pilot 900 35
Pola Orbis Holdings 2,800 61
Rakuten (1) 29,900 231
Recruit Holdings 46,500 1,812
Relo Group 4,000 107
Renesas Electronics (1) 25,900 163
Rengo 8,000 56
Resona Holdings 80,300 331
Resorttrust 2,300 36
Ricoh 25,300 287
Rinnai 1,300 93
Rohm 3,300 237
Rohto Pharmaceutical 3,400 94
Ryohin Keikaku 9,000 150
Sankyo 1,900 64
Sankyu 1,900 94
Sanrio (2) 2,300 45
Santen Pharmaceutical 13,300 248
Sanwa Holdings 7,400 78
Sapporo Holdings 2,300 56
Sawai Pharmaceutical 1,400 91
SBI Holdings 7,840 182
SCREEN Holdings 1,400 73
SCSK 1,600 86
Secom 7,200 632
Sega Sammy Holdings 7,040 96
Seibu Holdings 7,900 123
Seiko Epson 9,900 145
Seino Holdings 5,500 70
Sekisui Chemical 13,200 220
Sekisui House (2) 21,500 462
Seven & i Holdings 28,052 1,076
Seven Bank 24,400 73

 

The accompanying notes are an integral part of this Portfolio of Investments.


 

T. ROWE PRICE INTERNATIONAL EQUITY INDEX FUND

  Shares/Par $ Value
(Cost and value in $000s)    
 
SG Holdings 7,900 167
Sharp 5,100 69
Shiga Bank 1,800 43
Shikoku Electric Power (2) 5,800 49
Shimadzu 10,000 281
Shimamura 800 60
Shimano 2,900 445
Shimizu 21,100 216
Shin-Etsu Chemical 14,500 1,658
Shinsei Bank 5,900 90
Shionogi 10,200 607
Shiseido (2) 14,100 908
Shizuoka Bank 19,000 133
SHO-BOND Holdings (2) 1,600 65
Shochiku 400 54
Showa Denko KK 5,400 129
SKY Perfect JSAT Holdings 4,500 19
Skylark Holdings (2) 7,000 128
SMC 2,100 907
SoftBank (2) 58,400 801
SoftBank Group 58,900 2,378
Sohgo Security Services 2,500 130
Sojitz 45,500 143
Sompo Holdings 12,400 463
Sony 44,700 3,126
Sony Financial Holdings 5,500 127
Sotetsu Holdings 2,800 75
Square Enix Holdings (2) 2,800 137
Stanley Electric 5,300 137
Subaru 22,500 563
Sugi Holdings 1,300 65
SUMCO 8,700 133
Sumitomo 41,600 619
Sumitomo Bakelite 1,200 43
Sumitomo Chemical 56,000 238
Sumitomo Dainippon Pharma 6,200 106

 

The accompanying notes are an integral part of this Portfolio of Investments.


 

T. ROWE PRICE INTERNATIONAL EQUITY INDEX FUND

  Shares/Par $ Value
(Cost and value in $000s)    
 
Sumitomo Electric Industries 27,900 372
Sumitomo Forestry 4,700 65
Sumitomo Heavy Industries 4,000 105
Sumitomo Metal Mining 8,800 250
Sumitomo Mitsui Financial Group 47,200 1,660
Sumitomo Mitsui Trust Holdings 13,312 491
Sumitomo Osaka Cement 1,400 57
Sumitomo Realty & Development 14,700 541
Sumitomo Rubber Industries 6,400 70
Sundrug 2,400 81
Suntory Beverage & Food 4,500 191
Suzuken Aichi Japan 2,880 110
Suzuki Motor 15,600 714
Sysmex 7,000 501
T&D Holdings 20,700 221
Tadano 4,000 34
Taiheiyo Cement 4,400 118
Taisei 7,300 291
Taisho Pharmaceutical Holdings 1,600 113
Taiyo Nippon Sanso 5,400 118
Taiyo Yuden 3,900 112
Takara Bio 1,700 32
Takara Holdings 6,500 57
Takashimaya 5,499 59
Takeda Pharmaceutical 55,298 2,124
TDK 4,400 466
TechnoPro Holdings 1,300 86
Teijin 7,100 127
Terumo 23,500 846
THK 4,200 105
TIS 2,900 174
Tobu Railway 7,500 264
Toda 8,000 51
Toho 4,200 155
Toho Gas 3,200 124
Tohoku Electric Power 17,300 162

 

The accompanying notes are an integral part of this Portfolio of Investments.


 

T. ROWE PRICE INTERNATIONAL EQUITY INDEX FUND

  Shares/Par $ Value
(Cost and value in $000s)    
 
Tokai Carbon (2) 7,100 64
Tokai Rika 1,900 32
Tokio Marine Holdings 23,700 1,286
Tokuyama 2,500 63
Tokyo Broadcasting System Holdings 1,200 21
Tokyo Century 1,700 86
Tokyo Electric Power Holdings (1) 58,000 230
Tokyo Electron 5,500 1,210
Tokyo Gas 15,400 339
Tokyo Tatemono 7,300 118
Tokyu 18,000 317
Tokyu Fudosan Holdings 21,600 152
Topcon 3,700 51
Toppan Printing 9,500 189
Toray Industries 56,300 368
Toshiba 16,400 524
Tosoh 10,500 148
TOTO 5,400 219
Toyo Seikan Group Holdings 5,700 96
Toyo Suisan Kaisha 3,300 138
Toyo Tire 3,600 45
Toyobo 3,300 45
Toyoda Gosei 2,700 61
Toyota Boshoku 2,200 32
Toyota Industries 6,000 325
Toyota Motor 89,858 6,248
Toyota Tsusho 8,300 287
Trend Micro (1) 4,300 225
TS Tech 1,900 52
Tsumura 2,500 68
Tsuruha Holdings (2) 1,300 159
TV Asahi Holdings 800 15
Ube Industries 3,900 78
Ulvac 1,800 65
Unicharm (2) 14,300 489
Ushio 4,200 61

 

The accompanying notes are an integral part of this Portfolio of Investments.


 

T. ROWE PRICE INTERNATIONAL EQUITY INDEX FUND

  Shares/Par $ Value
(Cost and value in $000s)    
 
USS 7,800 142
Wacoal Holdings 2,000 53
Welcia Holdings (2) 1,800 99
West Japan Railway 6,800 575
Yakult Honsha 4,600 231
Yamada Denki 26,000 131
Yamaguchi Financial Group 8,000 48
Yamaha 5,900 301
Yamaha Motor 10,400 193
Yamato Holdings 13,200 211
Yamato Kogyo 1,500 36
Yamazaki Baking 4,700 89
Yaoko 700 36
Yaskawa Electric 9,700 332
Yokogawa Electric 8,700 151
Yokohama Rubber 3,700 63
Z Holdings 86,500 344
Zenkoku Hosho 1,800 77
Zensho Holdings 3,300 70
Zeon 5,000 53
ZOZO 2,500 42
    139,677
Equity Mutual Funds 0.4%    
iShares MSCI Japan Fund, ETF (USD) (2) 37,525 2,167
    2,167
Total Japan (Cost $109,272)   141,844
 
LUXEMBOURG 0.0%    
 
Common Stocks 0.0%    
SES, GDR 13,056 160
Total Luxembourg (Cost $242)   160

 

The accompanying notes are an integral part of this Portfolio of Investments.


 

T. ROWE PRICE INTERNATIONAL EQUITY INDEX FUND

  Shares/Par $ Value
(Cost and value in $000s)    
MACAU 0.0%    
 
Common Stocks 0.0%    
Macau Legend Development (HKD) (1) 59,000 7
Total Macau (Cost $57)   7
 
MALTA 0.0%    
 
Common Stocks 0.0%    
BGP Holdings (1)(3) 347,336
Total Malta (Cost $—)  
 
MEXICO 0.0%    
 
Common Stocks 0.0%    
Fresnillo (GBP) (2) 6,742 59
Total Mexico (Cost $94)   59
 
NETHERLANDS 3.2%    
 
Common Stocks 3.2%    
Aalberts 3,505 153
ABN AMRO Bank, CVA 15,219 265
Adyen (1) 987 907
Aegon 64,500 261
Akzo Nobel 7,712 728
ASML Holding 14,557 4,085
ASR Nederland 5,110 190
Boskalis Westminster 2,907 68
GrandVision 1,805 55
Heineken 9,619 1,047
Heineken Holding 2,696 265
ING Groep 141,805 1,539
Just Eat Takeaway. com (1)(2) 1,435 135
Koninklijke Ahold Delhaize 37,720 926
Koninklijke DSM 6,447 785
Koninklijke KPN 123,696 346
Koninklijke Philips 33,170 1,519

 

The accompanying notes are an integral part of this Portfolio of Investments.

 

T. ROWE PRICE INTERNATIONAL EQUITY INDEX FUND

  Shares/Par $ Value
(Cost and value in $000s)    
 
Koninklijke Vopak 2,365 127
NN Group 12,202 423
Prosus (1) 14,917 1,076
Randstad 4,052 233
Signify 4,057 135
Unilever 52,778 3,080
Wolters Kluwer 9,898 744
Total Netherlands (Cost $13,638)   19,092
 
NEW ZEALAND 0.3%    
 
Common Stocks 0.3%    
a2 Milk (1) 26,729 256
Air New Zealand 17,907 32
Auckland International Airport 34,083 190
Contact Energy 26,307 126
Fisher & Paykel Healthcare 20,565 308
Fletcher Building 31,675 113
Kiwi Property Group 47,702 48
Mercury NZ 24,777 83
Meridian Energy 44,751 154
Ryman Healthcare 15,074 160
SKYCITY Entertainment Group 23,194 54
Spark New Zealand 68,238 204
Xero (AUD) (1) 3,398 192
Total New Zealand (Cost $1,274)   1,920
 
NORWAY 0.6%    
 
Common Stocks 0.6%    
Adevinta (1) 6,554 80
Aker, A Shares 847 47
Aker BP 3,992 112
DNB 38,419 672
Equinor 36,517 659
Gjensidige Forsikring 6,048 132
Leroy Seafood Group 10,333 67

 

The accompanying notes are an integral part of this Portfolio of Investments.


 

T. ROWE PRICE INTERNATIONAL EQUITY INDEX FUND

  Shares/Par $ Value
(Cost and value in $000s)    
 
Mowi 14,999 358
Norsk Hydro 49,103 153
Orkla 28,662 277
Salmar 1,933 95
Schibsted, B Shares 2,881 81
Schibsted, Class A 3,629 109
Subsea 7 8,372 89
Telenor 23,815 430
Yara International 6,487 236
Total Norway (Cost $3,340)   3,597
 
POLAND 0.3%    
 
Common Stocks 0.3%    
Bank Polska Kasa Opieki 5,753 147
CD Projekt 2,298 167
Cyfrowy Polsat 9,817 69
Dino Polska (1) 1,767 74
Grupa Lotos 3,616 72
KGHM Polska Miedz (1) 5,017 118
LPP 31 67
mBank (1) 471 45
PGE Polska Grupa Energetyczna (1) 26,817 48
Polski Koncern Naftowy ORLEN 11,401 222
Polskie Gornictwo Naftowe i Gazownictwo 63,751 59
Powszechna Kasa Oszczednosci Bank Polski 31,305 276
Powszechny Zaklad Ubezpieczen 20,582 213
Santander Bank Polska 1,059 78
Total Poland (Cost $1,869)   1,655
 
PORTUGAL 0.1%    
 
Common Stocks 0.1%    
Banco Espirito Santo (1)(3) 127,132
EDP - Energias de Portugal 84,261 422
Galp Energia 19,182 290

 

The accompanying notes are an integral part of this Portfolio of Investments.


 

T. ROWE PRICE INTERNATIONAL EQUITY INDEX FUND

  Shares/Par $ Value
(Cost and value in $000s)    
 
Jeronimo Martins 8,709 150
Total Portugal (Cost $902)   862
 
RUSSIA 0.0%    
 
Common Stocks 0.0%    
Polymetal International (GBP) 11,484 195
Total Russia (Cost $152)   195
 
SINGAPORE 1.2%    
 
Common Stocks 1.2%    
Ascendas Real Estate Investment Trust 102,312 236
CapitaLand 93,600 247
CapitaLand Commercial Trust 86,143 130
CapitaLand Mall Trust 84,500 155
City Developments 17,100 132
ComfortDelGro 74,112 117
DBS Group Holdings 65,400 1,205
Frasers Property 13,000 16
Genting Singapore 213,500 134
Golden Agri-Resources 233,472 36
Hutchison Port Holdings Trust (USD) 188,100 30
Jardine Cycle & Carriage 3,644 77
Keppel 53,400 260
Keppel REIT 66,000 58
Mapletree Commercial Trust 75,612 130
Mapletree Industrial Trust 50,900 103
Mapletree Logistics Trust 98,000 132
Mapletree North Asia Commercial Trust 78,500 68
Olam International 20,300 27
Oversea-Chinese Banking 128,725 1,013
SATS 22,900 76
Sembcorp Industries 32,420 50
Sembcorp Marine (1) 31,600 27
SIA Engineering 8,000 15

 

The accompanying notes are an integral part of this Portfolio of Investments.

 

T. ROWE PRICE INTERNATIONAL EQUITY INDEX FUND

  Shares/Par $ Value
(Cost and value in $000s)    
 
Singapore Airlines 18,133 113
Singapore Exchange 30,500 193
Singapore Post 51,300 34
Singapore Press Holdings 56,650 83
Singapore Technologies Engineering 55,200 165
Singapore Telecommunications 275,350 663
StarHub 21,650 23
Suntec Real Estate Investment Trust 72,500 97
United Overseas Bank 46,720 871
UOL Group 17,352 101
Venture 9,600 113
Wilmar International 71,500 204
Wing Tai Holdings 14,200 21
    7,155
Equity Mutual Funds 0.0%    
iShares MSCI Singapore Fund, ETF (USD) (2) 7,600 174
    174
Total Singapore (Cost $5,982)   7,329
 
SOUTH KOREA 4.2%    
 
Common Stocks 3.9%    
Amorepacific (1) 1,201 186
AMOREPACIFIC Group (1) 1,050 63
BGF (1) 497 2
BGF Retail (1) 266 37
BNK Financial Group 10,736 61
Celltrion (1) 3,746 510
Celltrion Healthcare (1) 2,004 94
Cheil Worldwide 2,421 43
CJ (1) 485 33
CJ CheilJedang (1) 293 58
CJ ENM (1) 358 41
CJ Logistics (1) 254 31
Daelim Industrial (1) 999 67
Daewoo Engineering & Construction (1) 7,500 27

 

The accompanying notes are an integral part of this Portfolio of Investments.


 

T. ROWE PRICE INTERNATIONAL EQUITY INDEX FUND

  Shares/Par $ Value
(Cost and value in $000s)    
 
Daewoo Shipbuilding & Marine Engineering (1) 1,524 31
DB Insurance 1,666 59
DGB Financial Group (1) 5,427 29
Dongsuh Companies 1,168 16
Doosan 187 10
Doosan Bobcat 894 23
Doosan Fuel Cell (1) 627 4
Doosan Heavy Industries & Construction (1) 3,556 16
Doosan Infracore (1) 4,890 20
Doosan Solus (1) 345 7
E-MART 744 69
Fila Holdings (1) 1,673 61
GS Engineering & Construction 2,101 49
GS Holdings 1,882 72
GS Retail 965 32
Hana Financial Group 10,830 299
Hankook Tire & Technology (1) 2,644 63
Hanmi Pharm (1) 265 62
Hanmi Science (1) 506 14
Hanon Systems 6,300 55
Hanssem (1) 360 21
Hanwha (1) 2,174 39
Hanwha Aerospace (1) 1,337 36
Hanwha Life Insurance (1) 10,211 17
Hanwha Solutions (1) 3,044 42
HDC Holdings (1) 1,375 12
HDC Hyundai Development Co-engineering & Construction (1) 1,295 22
HDC Hyundai Development Co-engineering & Construction,    
Rights, 3/6/20 (1) 648 2
Helixmith (1) 692 44
Hite Jinro (1) 1,044 26
HLB (1) 1,227 93
Hotel Shilla 1,141 82
Hyundai Construction Equipment (1) 440 10
Hyundai Department Store 577 37
Hyundai Engineering & Construction (1) 2,700 85
Hyundai Glovis 654 80

 

The accompanying notes are an integral part of this Portfolio of Investments.

 

T. ROWE PRICE INTERNATIONAL EQUITY INDEX FUND

  Shares/Par $ Value
(Cost and value in $000s)    
 
Hyundai Heavy Industries Holdings 387 88
Hyundai Marine & Fire Insurance 2,156 40
Hyundai Mipo Dockyard 766 26
Hyundai Mobis 2,424 464
Hyundai Motor 5,146 534
Hyundai Steel 2,644 62
Hyundai Wia (1) 603 21
Industrial Bank of Korea (1) 9,513 85
Kakao (1) 1,889 249
Kangwon Land (1) 3,823 88
KB Financial Group 14,060 517
KCC 173 29
KCC Glass (1) 162 5
KEPCO Plant Service & Engineering (1) 796 25
Kia Motors 9,557 325
Korea Aerospace Industries (1) 2,311 58
Korea Electric Power Corp (1) 9,448 200
Korea Gas (1) 1,034 28
Korea Investment Holdings (1) 1,381 76
Korea Shipbuilding & Offshore Engineering (1) 1,556 147
Korea Zinc (1) 360 114
Korean Air Lines (1) 1,714 34
KT&G (1) 4,097 326
Kumho Petrochemical 628 34
LG (1) 3,342 196
LG Chem 1,669 465
LG Display (1) 8,020 102
LG Electronics 4,261 232
LG Household & Health Care 373 390
LG Uplus 7,077 78
Lotte 1,071 31
Lotte Chemical 546 86
Lotte Chilsung Beverage (1) 130 13
LOTTE Fine Chemical (1) 576 19
Lotte Shopping (1) 414 40
LS (1) 620 20

 

The accompanying notes are an integral part of this Portfolio of Investments.


 

T. ROWE PRICE INTERNATIONAL EQUITY INDEX FUND

  Shares/Par $ Value
(Cost and value in $000s)    
 
Mando 1,180 33
Medy-Tox 153 41
Mirae Asset Daewoo (1) 16,845 96
NAVER 4,925 734
NCSoft (1) 607 322
Netmarble (1) 650 48
NH Investment & Securities (1) 4,897 45
NHN (1) 361 23
NongShim 126 24
OCI (1) 681 31
Orion 789 67
Ottogi (1) 49 21
Paradise (1) 1,649 23
POSCO 2,499 453
POSCO Chemical 781 37
Posco International (1) 1,763 25
S-1 Corporation 701 54
S-Oil 1,527 96
Samsung Biologics (1) 494 199
Samsung C&T 3,085 278
Samsung Card 1,224 39
Samsung Electro-Mechanics 2,020 207
Samsung Electronics 172,117 7,975
Samsung Engineering (1) 5,632 80
Samsung Fire & Marine Insurance 1,282 226
Samsung Heavy Industries (1) 16,275 90
Samsung Life Insurance 2,304 133
Samsung SDI 1,957 446
Samsung SDS 1,156 186
Samsung Securities 2,264 66
Shinhan Financial Group 16,731 546
Shinsegae 259 57
SillaJen (1) 1,907 20
SK Holdings 1,233 241
SK Hynix 18,768 1,428
SK Innovation 2,118 228

 

The accompanying notes are an integral part of this Portfolio of Investments.


 

T. ROWE PRICE INTERNATIONAL EQUITY INDEX FUND

  Shares/Par $ Value
(Cost and value in $000s)    
 
SK Networks 5,570 23
SK Telecom 820 157
SKC 650 28
Ssangyong Cement Industrial 2,974 12
Woongjin Coway 2,065 152
Woori Financial Group 18,836 159
Yuhan (1) 343 62
    23,350
Equity Mutual Funds 0.1%    
iShares MSCI South Korea Fund, ETF (USD) (2) 6,300 363
    363
Preferred Stocks 0.2%    
Amorepacific (4) 344 24
CJ 72 4
Hyundai Motor (4) 538 33
Hyundai Motor, 2nd Preference (4) 1,542 104
LG Chemical (4) 330 49
Samsung Electronics (4) 29,968 1,171
    1,385
Total South Korea (Cost $21,245)   25,098
 
SPAIN 2.6%    
 
Common Stocks 2.6%    
Acciona 799 91
ACS Actividades de Construccion y Servicios 8,891 296
Aena 2,590 479
Amadeus IT Group, A Shares 14,546 1,141
Banco Bilbao Vizcaya Argentaria 240,850 1,247
Banco de Sabadell 208,443 188
Banco Santander 597,583 2,355
Bankia 44,896 82
Bankinter 25,465 165
CaixaBank 132,138 386
Cellnex Telecom (2) 10,012 498
Corp Financiera Alba 756 38

 

The accompanying notes are an integral part of this Portfolio of Investments.

 

T. ROWE PRICE INTERNATIONAL EQUITY INDEX FUND

  Shares/Par $ Value
(Cost and value in $000s)    
 
EDP Renovaveis 5,598 74
Enagas 8,429 227
Endesa 11,698 321
Ferrovial 18,052 573
Fomento de Construcciones y Contratas 2,757 34
Grifols 12,174 409
Iberdrola 214,359 2,345
Iberdrola (1) 3,970 43
Industria de Diseno Textil 38,210 1,285
Inmobiliaria Colonial Socimi 12,231 164
Mapfre 36,156 93
Merlin Properties Socimi 12,375 176
Naturgy Energy Group 11,317 299
Red Electrica 16,130 323
Repsol (2) 50,929 701
Siemens Gamesa Renewable Energy 7,961 127
Telefonica 165,059 1,116
Zardoya Otis 7,045 53
Total Spain (Cost $17,260)   15,329
 
SWEDEN 2.7%    
 
Common Stocks 2.6%    
Alfa Laval 11,578 289
Assa Abloy, B Shares 33,752 801
Atlas Copco, A Shares 29,008 1,027
Atlas Copco, B Shares 6,677 208
Boliden 10,080 239
Castellum 10,016 246
Electrolux, Series B 8,937 212
Elekta, B Shares (2) 13,236 152
Epiroc, A Shares 30,249 350
Epiroc, B Shares 6,677 75
Essity, B Shares 22,343 709
Fastighets AB Balder, B Shares (1) 3,555 169
Hennes & Mauritz, B Shares 32,573 715
Hexagon, B Shares 9,203 500

 

The accompanying notes are an integral part of this Portfolio of Investments.

 

T. ROWE PRICE INTERNATIONAL EQUITY INDEX FUND

  Shares/Par $ Value
(Cost and value in $000s)    
 
Husqvarna, B Shares 15,164 114
ICA Gruppen 2,863 126
Industrivarden, A Shares 12,179 294
Industrivarden, C Shares 1,348 32
Investment Latour, B Shares 4,404 74
Investor, A Shares 5,192 283
Investor, B Shares 16,140 884
Kinnevik, Class B 8,834 213
L E Lundbergforetagen, B Shares 2,702 117
LM Ericsson, B Shares 111,467 876
Lundin Petroleum 6,278 191
Nibe Industrier, B Shares 11,132 193
Nordea Bank 115,170 908
Nordea Bank (EUR) 1,818 14
Saab, Class B 3,447 112
Sandvik 39,157 715
Securitas, B Shares 11,736 185
Skandinaviska Enskilda Banken, Class A 51,776 512
Skandinaviska Enskilda Banken, Class C 2,099 22
Skanska, B Shares 13,224 306
SKF, B Shares 13,970 256
Svenska Cellulosa, Class B 23,394 234
Svenska Handelsbanken, A Shares 54,942 538
Swedbank, A Shares 37,090 569
Swedish Match 6,461 365
Swedish Orphan Biovitrum (1) 5,950 106
Tele2, B Shares 19,738 298
Telia 96,090 411
Trelleborg, B Shares 8,824 145
Volvo, B Shares 54,454 931
    15,716
Equity Mutual Funds 0.1%    
iShares MSCI Sweden Fund, ETF (USD) (2) 9,400 301
    301
Total Sweden (Cost $12,714)   16,017

 

The accompanying notes are an integral part of this Portfolio of Investments.


 

T. ROWE PRICE INTERNATIONAL EQUITY INDEX FUND

  Shares/Par $ Value
(Cost and value in $000s)    
SWITZERLAND 8.7%    
 
Common Stocks 8.6%    
ABB 64,919 1,511
Adecco Group 5,615 329
Alcon (1) 16,893 998
Baloise Holding 1,733 313
Banque Cantonale Vaudoise 101 85
Barry Callebaut 88 194
Chocoladefabriken Lindt & Spruengli 45 377
Chocoladefabriken Lindt & Spruengli, Registered Shares 3 280
Cie Financiere Richemont 18,543 1,347
Clariant 7,368 166
Credit Suisse Group 92,321 1,167
DKSH Holding 946 49
Dufry 1,028 89
EMS-Chemie Holding 258 169
Flughafen Zurich 694 121
Geberit 1,310 691
Georg Fischer 153 150
Givaudan 336 1,109
Helvetia Holding 1,200 173
Julius Baer Group 8,029 401
Kuehne + Nagel International 1,848 299
LafargeHolcim 11,922 606
LafargeHolcim (EUR) 6,428 326
Logitech International 5,311 238
Lonza Group 2,694 1,106
Nestle 105,106 11,592
Novartis 76,981 7,272
OC Oerlikon 7,209 77
Pargesa Holding 1,400 112
Partners Group Holding 616 564
PSP Swiss Property 1,416 214
Roche Holding 914 303
Roche Holding, Genusschein 25,330 8,497
Schindler Holding 1,335 345

 

The accompanying notes are an integral part of this Portfolio of Investments.

 

T. ROWE PRICE INTERNATIONAL EQUITY INDEX FUND

  Shares/Par $ Value
(Cost and value in $000s)    
 
Schindler Holding, Registered Shares 856 213
SGS 192 555
Sika 5,124 921
Sonova Holding 2,000 502
Straumann Holding 369 352
Sulzer 459 51
Swatch Group 853 214
Swatch Group, Registered Shares 1,645 80
Swiss Life Holding 1,220 613
Swiss Prime Site 2,750 336
Swiss Re 10,089 1,139
Swisscom 945 518
Temenos 2,185 351
UBS Group 125,729 1,562
Vifor Pharma 1,649 304
Zurich Insurance Group 5,297 2,199
    51,180
Equity Mutual Funds 0.1%    
iShares MSCI Switzerland Fund, ETF (USD) (2) 15,000 611
    611
Total Switzerland (Cost $32,863)   51,791
 
TAIWAN 0.0%    
 
Common Stocks 0.0%    
FIT Hon Teng (HKD) 38,000 12
Total Taiwan (Cost $27)   12
 
UNITED KINGDOM 15.2%    
 
Common Stocks 15.0%    
3i Group 34,942 508
Admiral Group 7,485 223
Amcor, CDI (AUD) 58,297 613
Anglo American 45,505 1,187
Ashmore Group 13,830 99
Ashtead Group 16,934 547

 

The accompanying notes are an integral part of this Portfolio of Investments.

 

T. ROWE PRICE INTERNATIONAL EQUITY INDEX FUND

  Shares/Par $ Value
(Cost and value in $000s)    
 
Associated British Foods 12,806 443
AstraZeneca 47,739 4,670
Auto Trader Group 34,510 255
AVEVA Group 2,247 146
Aviva 142,027 744
B&M European Value Retail 31,074 149
Babcock International Group 8,905 69
BAE Systems 118,392 984
Barclays 625,114 1,380
Barratt Developments 37,212 394
Bellway 4,570 240
Berkeley Group Holdings 4,307 298
BHP Group 75,779 1,649
BP 724,519 4,362
British American Tobacco 83,015 3,661
British Land 34,219 250
BT Group 320,763 681
Bunzl 12,473 323
Burberry Group 15,266 391
Carnival 5,959 243
Centrica 208,317 234
Cineworld Group (2) 37,438 87
Coca-Cola HBC 7,248 266
Compass Group 57,630 1,425
ConvaTec Group 53,771 147
Croda International 4,638 305
Derwent London 3,729 202
Diageo 84,955 3,359
Direct Line Insurance Group 50,809 226
DS Smith 47,149 211
easyJet 7,169 132
Evraz 18,796 87
Experian 33,398 1,163
Ferguson 8,454 759
G4S 57,553 148
GlaxoSmithKline 178,260 4,185

 

The accompanying notes are an integral part of this Portfolio of Investments.


 

T. ROWE PRICE INTERNATIONAL EQUITY INDEX FUND

  Shares/Par $ Value
(Cost and value in $000s)    
 
Glencore 400,087 1,170
GVC Holdings 21,147 245
Halma 14,068 391
Hargreaves Lansdown 9,662 219
Hikma Pharmaceuticals 5,188 125
Hiscox 10,261 178
Howden Joinery Group 21,681 197
HSBC Holdings 736,462 5,354
IMI 9,710 141
Imperial Brands 35,225 903
Inchcape 15,221 132
Informa 46,201 472
InterContinental Hotels Group 6,768 417
International Consolidated Airlines Group 23,919 179
Intertek Group 5,999 455
Investec 23,698 131
ITV 137,195 244
J Sainsbury 59,319 158
JD Sports Fashion 13,403 145
John Wood Group 24,484 121
Johnson Matthey 7,081 243
Just Eat (1) 20,980 238
KAZ Minerals 8,507 49
Kingfisher 79,138 213
Land Securities Group 26,488 328
Legal & General Group 217,834 876
Lloyds Banking Group 2,568,846 1,918
London Stock Exchange Group 11,477 1,186
M&G (1) 96,121 303
Marks & Spencer Group 71,836 167
Meggitt 28,838 257
Melrose Industries 176,338 540
Micro Focus International 12,579 169
Mondi 16,561 337
National Grid 126,872 1,686
Next 4,683 426

 

The accompanying notes are an integral part of this Portfolio of Investments.


 

T. ROWE PRICE INTERNATIONAL EQUITY INDEX FUND

  Shares/Par $ Value
(Cost and value in $000s)    
 
NMC Health 3,218 55
Ocado Group (1) 16,747 270
Pearson 28,949 216
Pennon Group 15,450 226
Persimmon 11,416 460
Phoenix Group Holdings 19,552 195
Prudential 94,532 1,681
Quilter 66,191 148
Reckitt Benckiser Group 22,873 1,893
RELX 35,465 941
RELX (EUR) 32,923 872
Renishaw 1,253 66
Rentokil Initial 67,709 417
Rightmove 33,890 294
Rio Tinto 39,722 2,124
Rolls-Royce Holdings 61,091 538
Royal Bank of Scotland Group 167,951 481
Royal Dutch Shell, A Shares 153,841 4,040
Royal Dutch Shell, B Shares 136,404 3,584
RSA Insurance Group 38,325 278
Sage Group 40,202 391
Schroders 4,021 170
Segro 40,066 481
Severn Trent 8,697 296
Smith & Nephew 31,829 766
Smiths Group 14,491 322
Spirax-Sarco Engineering 2,702 317
SSE 37,380 744
St. James's Place 19,083 287
Standard Chartered 96,675 804
Standard Life Aberdeen 87,387 347
Tate & Lyle 17,263 181
Taylor Wimpey 119,892 340
Tesco 351,822 1,144
Travis Perkins 9,089 186
TUI (EUR) 8,437 86

 

The accompanying notes are an integral part of this Portfolio of Investments.


 

T. ROWE PRICE INTERNATIONAL EQUITY INDEX FUND

  Shares/Par $ Value
(Cost and value in $000s)    
TUI 7,531 77
Unilever 39,618 2,363
United Utilities Group 25,133 336
Virgin Money (1) 45,388 98
Vodafone Group 976,313 1,918
Weir Group 9,564 170
Whitbread 4,947 292
Wm Morrison Supermarkets 80,099 192
WPP 45,114 561
    89,406
Equity Mutual Funds 0.2%    
iShares MSCI United Kingdom Fund, ETF (USD) (2) 44,400 1,449
    1,449
Total United Kingdom (Cost $93,727)   90,855
 
UNITED STATES 0.1%    
Common Stocks 0.1%    
TechnipFMC (EUR) 16,897 270
Total United States (Cost $589)   270
 
SHORT-TERM INVESTMENTS 0.5%    
Money Market Funds 0.4%    
T. Rowe Price Government Reserve Fund, 1.57% (5)(6) 2,742,559 2,743
    2,743
U. S. Treasury Obligations 0.1%    
U. S. Treasury Bills, 1.511%, 4/9/20 (7) 333,000 332
    332
Total Short-Term Investments (Cost $3,075)   3,075

 

The accompanying notes are an integral part of this Portfolio of Investments.


 

T. ROWE PRICE INTERNATIONAL EQUITY INDEX FUND

  Shares/Par   $ Value  
(Cost and value in $000s)        
SECURITIES LENDING COLLATERAL 2.0%        
Investments in a Pooled Account through Securities Lending        
Program with JPMorgan Chase Bank 2.0%        
Short-Term Funds 2.0%        
T. Rowe Price Short-Term Fund, 1.75% (5)(6) 1,157,439   11,574  
Total Investments in a Pooled Account through Securities Lending Program with      
JPMorgan Chase Bank     11,574  
Total Securities Lending Collateral (Cost $11,574)     11,574  
 
Total Investments in Securities 101.5%        
(Cost $510,064)   $ 603,739  
Other Assets Less Liabilities (1.5)%     (8,956 )
Net Assets 100.0%   $ 594,783  

 

  Country classifications are generally based on MSCI categories or another
    unaffiliated third party data provider; Shares/Par are denominated in the
    currency of the country presented unless otherwise noted.
(1 ) Non-income producing
(2 ) All or a portion of this security is on loan at January 31, 2020.
(3 ) Level 3 in fair value hierarchy.
(4 ) Preferred stocks are shares that carry certain preferential rights. The dividend
    rate may not be consistent each pay period and could be zero for a particular
    year.
(5 ) Seven-day yield
(6 ) Affiliated Companies
(7 ) At January 31, 2020, all or a portion of this security is pledged as collateral
    and/or margin deposit to cover future funding obligations.
AUD   Australian Dollar
CDI   CHESS or CREST Depositary Interest
CVA   Dutch Certificate (Certificaten Van Aandelen)
ETF   Exchange-Traded Fund
EUR   Euro
GBP   British Pound
GDR   Global Depositary Receipts
HKD   Hong Kong Dollar
USD   U. S. Dollar

 

The accompanying notes are an integral part of this Portfolio of Investments.


 

T. ROWE PRICE INTERNATIONAL EQUITY INDEX FUND

  Futures Contracts            
($000s)          
          Value and  
      Expiration Notional Unrealized Gain  
      Date Amount (Loss)  
  Long, 56 MSCI EAFE Index contracts   3/20 5,534 $ (123 )
 
  Net payments (receipts) of variation margin to date         33  
 
  Variation margin receivable (payable) on open futures contracts   $ (90 )

 

The accompanying notes are an integral part of this Portfolio of Investments.


 

T. ROWE PRICE INTERNATIONAL EQUITY INDEX FUND

Affiliated Companies
($000s)

The fund may invest in certain securities that are considered affiliated companies. As defined
by the 1940 Act, an affiliated company is one in which the fund owns 5% or more of the
outstanding voting securities, or a company that is under common ownership or control. The
following securities were considered affiliated companies for all or some portion of the three
months ended January 31, 2020. Net realized gain (loss), investment income, change in net
unrealized gain/loss, and purchase and sales cost reflect all activity for the period then ended.

        Change in Net      
    Net Realized Gain   Unrealized   Investment  
Affiliate     (Loss)   Gain/Loss   Income  
T. Rowe Price Government              
Reserve Fund   $ $ $ 10  
T. Rowe Price Short-Term Fund       —++  
Totals   $ —# $ $ 10+
 
 
Supplementary Investment Schedule            
    Value Purchase Sales   Value  
Affiliate   10/31/19 Cost Cost   1/31/20  
T. Rowe Price Government              
Reserve Fund $ 1,928   ¤ ¤  $ 2,743  
T. Rowe Price Short-Term              
Fund   8,818   ¤ ¤   11,574  
           $ 14,317 ^

 

# Capital gain distributions from mutual funds represented $0 of the net realized gain (loss) .
  ++  Excludes earnings on securities lending collateral, which are subject to rebates and fees.
+ Investment income comprised $10 of dividend income and $0 of interest income.
¤ Purchase and sale information not shown for cash management funds.
^ The cost basis of investments in affiliated companies was $14,317.

 

The accompanying notes are an integral part of this Portfolio of Investments.


 

T. ROWE PRICE INTERNATIONAL EQUITY INDEX FUND
Unaudited
NOTES TO PORTFOLIO OF
INVESTMENTS

T. Rowe Price International Equity Index Fund, Inc. (the fund) is registered under the Investment Company Act of 1940
(the 1940 Act) as an open-end management investment company and follows accounting and reporting guidance of the
Financial Accounting Standards Board Accounting Standards Codification Topic 946. The accompanying Portfolio of
Investments was prepared in accordance with accounting principles generally accepted in the United States of America
(GAAP). For additional information on the fund’s significant accounting policies and investment related disclosures,
please refer to the fund’s most recent semiannual or annual shareholder report and its prospectus.

VALUATION

The fund’s financial instruments are valued at the close of the New York Stock Exchange (NYSE), normally 4 p.m. ET,
each day the NYSE is open for business.

Fair Value
The fund’s financial instruments are reported at fair value, which GAAP defines as the price that would be received to
sell an asset or paid to transfer a liability in an orderly transaction between market participants at the measurement
date. The T. Rowe Price Valuation Committee (the Valuation Committee) is an internal committee that has been
delegated certain responsibilities by the fund’s Board of Directors (the Board) to ensure that financial instruments are
appropriately priced at fair value in accordance with GAAP and the 1940 Act. Subject to oversight by the Board, the
Valuation Committee develops and oversees pricing-related policies and procedures and approves all fair value
determinations. Specifically, the Valuation Committee establishes procedures to value securities; determines pricing
techniques, sources, and persons eligible to effect fair value pricing actions; oversees the selection, services, and
performance of pricing vendors; oversees valuation-related business continuity practices; and provides guidance on
internal controls and valuation-related matters. The Valuation Committee reports to the Board and has representation
from legal, portfolio management and trading, operations, risk management, and the fund’s treasurer.

Various valuation techniques and inputs are used to determine the fair value of financial instruments. GAAP
establishes the following fair value hierarchy that categorizes the inputs used to measure fair value:

Level 1 - quoted prices (unadjusted) in active markets for identical financial instruments that the fund can access at
the reporting date

Level 2 - inputs other than Level 1 quoted prices that are observable, either directly or indirectly (including, but not
limited to, quoted prices for similar financial instruments in active markets, quoted prices for identical or
similar financial instruments in inactive markets, interest rates and yield curves, implied volatilities, and
credit spreads)

Level 3 - unobservable inputs

Observable inputs are developed using market data, such as publicly available information about actual events or
transactions, and reflect the assumptions that market participants would use to price the financial instrument.
Unobservable inputs are those for which market data are not available and are developed using the best information
available about the assumptions that market participants would use to price the financial instrument. GAAP requires
valuation techniques to maximize the use of relevant observable inputs and minimize the use of unobservable inputs.
When multiple inputs are used to derive fair value, the financial instrument is assigned to the level within the fair value
hierarchy based on the lowest-level input that is significant to the fair value of the financial instrument. Input levels are
not necessarily an indication of the risk or liquidity associated with financial instruments at that level but rather the
degree of judgment used in determining those values.

Valuation Techniques
Equity securities listed or regularly traded on a securities exchange or in the over-the-counter (OTC) market are valued
at the last quoted sale price or, for certain markets, the official closing price at the time the valuations are made. OTC
Bulletin Board securities are valued at the mean of the closing bid and asked prices. A security that is listed or traded on


 

T. ROWE PRICE INTERNATIONAL EQUITY INDEX FUND

more than one exchange is valued at the quotation on the exchange determined to be the primary market for such
security. Listed securities not traded on a particular day are valued at the mean of the closing bid and asked prices for
domestic securities and the last quoted sale or closing price for international securities.

For valuation purposes, the last quoted prices of non-U.S. equity securities may be adjusted to reflect the fair value of
such securities at the close of the NYSE. If the fund determines that developments between the close of a foreign market
and the close of the NYSE will affect the value of some or all of its portfolio securities, the fund will adjust the previous
quoted prices to reflect what it believes to be the fair value of the securities as of the close of the NYSE. In deciding
whether it is necessary to adjust quoted prices to reflect fair value, the fund reviews a variety of factors, including
developments in foreign markets, the performance of U.S. securities markets, and the performance of instruments
trading in U.S. markets that represent foreign securities and baskets of foreign securities. The fund may also fair value
securities in other situations, such as when a particular foreign market is closed but the fund is open. The fund uses
outside pricing services to provide it with quoted prices and information to evaluate or adjust those prices. The fund
cannot predict how often it will use quoted prices and how often it will determine it necessary to adjust those prices to
reflect fair value. As a means of evaluating its security valuation process, the fund routinely compares quoted prices, the
next day’s opening prices in the same markets, and adjusted prices.

Actively traded equity securities listed on a domestic exchange generally are categorized in Level 1 of the fair value
hierarchy. Non-U.S. equity securities generally are categorized in Level 2 of the fair value hierarchy despite the
availability of quoted prices because, as described above, the fund evaluates and determines whether those quoted prices
reflect fair value at the close of the NYSE or require adjustment. OTC Bulletin Board securities, certain preferred
securities, and equity securities traded in inactive markets generally are categorized in Level 2 of the fair value
hierarchy.

Debt securities generally are traded in the OTC market and are valued at prices furnished by independent pricing
services or by broker dealers who make markets in such securities. When valuing securities, the independent pricing
services consider the yield or price of bonds of comparable quality, coupon, maturity, and type, as well as prices quoted
by dealers who make markets in such securities. Generally, debt securities are categorized in Level 2 of the fair value
hierarchy ; however, to the extent the valuations include significant unobservable inputs, the securities would be
categorized in Level 3.

Investments denominated in foreign currencies are translated into U.S. dollar values each day at the prevailing exchange
rate, using the mean of the bid and asked prices of such currencies against U.S. dollars as quoted by a major bank.

Investments in mutual funds are valued at the mutual fund’s closing NAV per share on the day of valuation and are
categorized in Level 1 of the fair value hierarchy. Financial futures contracts are valued at closing settlement prices and
are categorized in Level 1 of the fair value hierarchy.

Thinly traded financial instruments and those for which the above valuation procedures are inappropriate or are
deemed not to reflect fair value are stated at fair value as determined in good faith by the Valuation Committee. The
objective of any fair value pricing determination is to arrive at a price that could reasonably be expected from a current
sale. Financial instruments fair valued by the Valuation Committee are primarily private placements, restricted
securities, warrants, rights, and other securities that are not publicly traded.

Subject to oversight by the Board, the Valuation Committee regularly makes good faith judgments to establish and
adjust the fair valuations of certain securities as events occur and circumstances warrant. For instance, in determining
the fair value of an equity investment with limited market activity, such as a private placement or a thinly traded public
company stock, the Valuation Committee considers a variety of factors, which may include, but are not limited to, the
issuer’s business prospects, its financial standing and performance, recent investment transactions in the issuer, new
rounds of financing, negotiated transactions of significant size between other investors in the company, relevant market
valuations of peer companies, strategic events affecting the company, market liquidity for the issuer, and general
economic conditions and events. In consultation with the investment and pricing teams, the Valuation Committee will


 

T. ROWE PRICE INTERNATIONAL EQUITY INDEX FUND

determine an appropriate valuation technique based on available information, which may include both observable and
unobservable inputs. The Valuation Committee typically will afford greatest weight to actual prices in arm’s length
transactions, to the extent they represent orderly transactions between market participants, transaction information can
be reliably obtained, and prices are deemed representative of fair value. However, the Valuation Committee may also
consider other valuation methods such as market-based valuation multiples; a discount or premium from market value
of a similar, freely traded security of the same issuer; or some combination. Fair value determinations are reviewed on a
regular basis and updated as information becomes available, including actual purchase and sale transactions of the
issue. Because any fair value determination involves a significant amount of judgment, there is a degree of subjectivity
inherent in such pricing decisions, and fair value prices determined by the Valuation Committee could differ from
those of other market participants. Depending on the relative significance of unobservable inputs, including the
valuation technique(s) used, fair valued securities may be categorized in Level 2 or 3 of the fair value hierarchy.

Valuation Inputs
The following table summarizes the fund’s financial instruments, based on the inputs used to determine their fair values
on January 31, 2020 (for further detail by category, please refer to the accompanying Portfolio of Investments):

($000s)   Level 1   Level 2   Level 3   Total Value
                Assets                
Common Stocks $ $ 575,068 $ 20 $ 575,088
Equity Mutual Funds   9,800       9,800
Preferred Stocks     4,202     4,202
Short-Term Investments   2,743   332     3,075
Securities Lending Collateral   11,574       11,574
Total $ 24,117 $ 579,602 $ 20 $ 603,739
                Liabilities                
Future Contracts $ 90 $ $  $ 90

 

Following is a reconciliation of the fund’s Level 3 holdings for the period ended January 31, 2020. Gain (loss) reflects
both realized and change in unrealized gain/loss on Level 3 holdings during the period, if any. The change in unrealized
gain/loss on Level 3 instruments held at January 31, 2020, totaled less than $1,000 for the period ended January 31,
2020.

($000s)   Beginning   Gain (Loss)   Ending
        Balance   During   Balance
        11/1/19   Period   1/31/20
  Investment in Securities              
  Common Stocks   $ 20 $ $ 20