0001410368-14-000679.txt : 20141024 0001410368-14-000679.hdr.sgml : 20141024 20141024113943 ACCESSION NUMBER: 0001410368-14-000679 CONFORMED SUBMISSION TYPE: NSAR-B PUBLIC DOCUMENT COUNT: 4 CONFORMED PERIOD OF REPORT: 20140831 FILED AS OF DATE: 20141024 DATE AS OF CHANGE: 20141024 EFFECTIVENESS DATE: 20141024 FILER: COMPANY DATA: COMPANY CONFORMED NAME: AMERICAN CENTURY CALIFORNIA TAX FREE & MUNICIPAL FUNDS CENTRAL INDEX KEY: 0000717316 IRS NUMBER: 946562826 STATE OF INCORPORATION: MA FISCAL YEAR END: 0831 FILING VALUES: FORM TYPE: NSAR-B SEC ACT: 1940 Act SEC FILE NUMBER: 811-03706 FILM NUMBER: 141171661 BUSINESS ADDRESS: STREET 1: 1665 CHARLESTON RD CITY: MOUNTAIN VIEW STATE: CA ZIP: 94043 BUSINESS PHONE: 8003218321 MAIL ADDRESS: STREET 1: 1665 CHARLESTON RD CITY: MOUNTAIN VIEW STATE: CA ZIP: 94043 FORMER COMPANY: FORMER CONFORMED NAME: BENHAM CALIFORNIA TAX FREE TRUST / DATE OF NAME CHANGE: 19960815 FORMER COMPANY: FORMER CONFORMED NAME: BENHAM CALIFORNIA TAX FREE & MUNICIPAL FUNDS DATE OF NAME CHANGE: 19920703 FORMER COMPANY: FORMER CONFORMED NAME: BENHAM CALIFORNIA TAX FREE TRUST DATE OF NAME CHANGE: 19910218 0000717316 S000005667 CALIFORNIA HIGH-YIELD MUNICIPAL FUND C000015521 INVESTOR CLASS BCHYX C000015522 A CLASS CAYAX C000015524 C CLASS CAYCX C000087984 INSTITUTIONAL CLASS BCHIX 0000717316 S000005668 CALIFORNIA INTERMEDIATE-TERM TAX-FREE BOND FUND C000015525 INVESTOR CLASS BCITX C000087985 INSTITUTIONAL CLASS BCTIX C000087986 A CLASS BCIAX C000087987 C CLASS BCIYX 0000717316 S000005670 CALIFORNIA LONG-TERM TAX-FREE FUND C000015527 INVESTOR CLASS BCLTX C000055489 A CLASS ALTAX C000055491 C CLASS ALTCX C000087988 INSTITUTIONAL CLASS BCLIX 0000717316 S000005671 CALIFORNIA TAX-FREE MONEY MARKET FUND C000015528 INVESTOR CLASS BCTXX NSAR-B 1 answer.fil FINAL NSAR PAGE 1 000 B000000 08/31/2014 000 C000000 0000717316 000 D000000 N 000 E000000 NF 000 F000000 Y 000 G000000 N 000 H000000 N 000 I000000 6.1 000 J000000 A 001 A000000 AMERICAN CENTURY CA TAX-FREE & 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CHASE & CO. 022 B000003 13-3224022 022 C000003 176497 022 D000003 126569 022 A000004 CITIGROUP GLOBAL MARKETS 022 B000004 11-2418067 PAGE 3 022 C000004 150969 022 D000004 128713 022 A000005 MORGAN STANLEY & CO., INC. 022 B000005 13-2655998 022 C000005 133190 022 D000005 115104 022 A000006 BARCLAYS CAPITAL, INC. 022 B000006 06-1031656 022 C000006 142189 022 D000006 48292 022 A000007 STIFEL, NICHOLAUS & CO., INC. 022 B000007 43-0538770 022 C000007 91938 022 D000007 22942 022 A000008 WEDBUSH MORGAN SECURITIES INC. 022 B000008 95-2495390 022 C000008 46489 022 D000008 35890 022 A000009 BANK OF NEW YORK MELLON CORP. 022 B000009 13-5160382 022 C000009 43543 022 D000009 34639 022 A000010 PIPER JAFFRAY & CO. 022 B000010 41-0953246 022 C000010 44323 022 D000010 17041 023 C000000 1520345 023 D000000 1053996 024 000100 N 024 000300 N 024 000400 N 024 000500 N 025 D000101 0 025 D000102 0 025 D000103 0 025 D000104 0 025 D000105 0 025 D000106 0 025 D000107 0 025 D000108 0 025 D000109 0 025 D000110 0 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F010300 32549 028 F020300 2110 028 F030300 0 028 F040300 18741 028 G010300 182976 028 G020300 12571 028 G030300 0 028 G040300 177002 028 H000300 6550 028 A010400 1023 028 A020400 651 028 A030400 0 028 A040400 3215 028 B010400 984 028 B020400 724 028 B030400 0 028 B040400 3480 028 C010400 1047 028 C020400 753 028 C030400 0 028 C040400 2379 028 D010400 532 028 D020400 712 028 D030400 0 028 D040400 2245 028 E010400 1424 028 E020400 732 028 E030400 0 028 E040400 2839 028 F010400 1416 028 F020400 736 028 F030400 0 028 F040400 4558 028 G010400 6426 028 G020400 4308 028 G030400 0 028 G040400 18716 028 H000400 722 028 A010500 22594 028 A020500 1850 028 A030500 0 028 A040500 11064 028 B010500 29551 028 B020500 2011 028 B030500 0 028 B040500 10804 028 C010500 28602 028 C020500 2069 PAGE 6 028 C030500 0 028 C040500 8322 028 D010500 16081 028 D020500 1954 028 D030500 0 028 D040500 8902 028 E010500 22256 028 E020500 2002 028 E030500 0 028 E040500 14089 028 F010500 17539 028 F020500 2077 028 F030500 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K020400 0.452 048 000500 0.000 048 A010500 1000000 048 A020500 0.599 048 B010500 1000000 048 B020500 0.547 048 C010500 3000000 048 C020500 0.517 048 D010500 5000000 048 D020500 0.497 048 E010500 15000000 048 E020500 0.484 048 F010500 25000000 048 F020500 0.482 048 G010500 0 048 G020500 0.000 048 H010500 0 048 H020500 0.000 048 I010500 0 048 I020500 0.000 048 J010500 0 048 J020500 0.000 048 K010500 50000000 048 K020500 0.482 049 000100 N 049 000300 N 049 000400 N 049 000500 N 050 000100 N 050 000300 N 050 000400 N 050 000500 N 051 000100 N 051 000300 N 051 000400 N 051 000500 N 052 000100 Y 052 000300 Y 052 000400 Y 052 000500 Y 053 A000100 Y 053 B000100 N 053 C000100 Y 053 A000300 N 053 A000400 N 053 A000500 N 054 A00AA00 Y 054 B00AA00 Y 054 C00AA00 Y 054 D00AA00 Y PAGE 11 054 E00AA00 Y 054 F00AA00 Y 054 G00AA00 Y 054 H00AA00 Y 054 I00AA00 N 054 J00AA00 Y 054 K00AA00 Y 054 L00AA00 Y 054 M00AA00 Y 054 N00AA00 Y 054 O00AA00 Y 055 A000100 Y 055 B000100 N 055 A000300 N 055 B000300 N 055 A000400 N 055 B000400 N 055 A000500 N 055 B000500 N 056 000100 Y 056 000300 Y 056 000400 Y 056 000500 Y 057 000100 N 057 000300 N 057 000400 N 057 000500 N 058 A000100 N 058 A000300 N 058 A000400 N 058 A000500 N 059 000100 Y 059 000300 Y 059 000400 Y 059 000500 Y 060 A000100 Y 060 B000100 Y 060 A000300 Y 060 B000300 Y 060 A000400 Y 060 B000400 Y 060 A000500 N 060 B000500 N 061 000100 2500 061 000300 5000 061 000400 5000 061 000500 5000 062 A000100 Y 062 B000100 0.0 062 C000100 0.0 062 D000100 0.0 PAGE 12 062 E000100 96.8 062 F000100 0.0 062 G000100 0.0 062 H000100 0.0 062 I000100 2.3 062 J000100 0.0 062 K000100 0.0 062 L000100 0.0 062 M000100 0.0 062 N000100 0.0 062 O000100 0.0 062 P000100 0.0 062 Q000100 0.0 062 R000100 0.0 062 A000300 Y 062 B000300 0.0 062 C000300 0.0 062 D000300 0.0 062 E000300 13.0 062 F000300 0.0 062 G000300 0.0 062 H000300 0.0 062 I000300 0.0 062 J000300 0.0 062 K000300 0.0 062 L000300 0.0 062 M000300 0.0 062 N000300 0.0 062 O000300 86.1 062 P000300 0.0 062 Q000300 0.0 062 R000300 0.0 062 A000400 Y 062 B000400 0.0 062 C000400 0.0 062 D000400 0.0 062 E000400 14.1 062 F000400 0.0 062 G000400 0.0 062 H000400 0.0 062 I000400 0.0 062 J000400 0.0 062 K000400 0.0 062 L000400 0.0 062 M000400 0.0 062 N000400 0.0 062 O000400 84.9 062 P000400 0.0 062 Q000400 0.0 062 R000400 0.0 062 A000500 Y PAGE 13 062 B000500 0.0 062 C000500 0.0 062 D000500 0.0 062 E000500 8.2 062 F000500 0.0 062 G000500 0.0 062 H000500 0.0 062 I000500 0.0 062 J000500 0.0 062 K000500 0.0 062 L000500 0.0 062 M000500 0.0 062 N000500 0.0 062 O000500 90.6 062 P000500 0.0 062 Q000500 0.0 062 R000500 0.0 063 A000100 42 063 B000100 0.0 063 A000300 0 063 B000300 8.8 063 A000400 0 063 B000400 15.6 063 A000500 0 063 B000500 19.2 064 A000100 Y 064 B000100 N 064 A000300 Y 064 B000300 N 064 A000400 Y 064 B000400 N 064 A000500 Y 064 B000500 N 066 A000100 N 066 A000300 N 066 A000400 N 066 A000500 N 067 000100 N 067 000300 N 067 000400 N 067 000500 N 068 A000100 N 068 B000100 N 068 A000300 N 068 B000300 N 068 A000400 N 068 B000400 N 068 A000500 N 068 B000500 N 069 000100 N 069 000300 N PAGE 14 069 000400 N 069 000500 N 070 A010100 Y 070 A020100 N 070 B010100 N 070 B020100 N 070 C010100 N 070 C020100 N 070 D010100 N 070 D020100 N 070 E010100 N 070 E020100 N 070 F010100 N 070 F020100 N 070 G010100 N 070 G020100 N 070 H010100 N 070 H020100 N 070 I010100 N 070 I020100 N 070 J010100 Y 070 J020100 N 070 K010100 Y 070 K020100 N 070 L010100 N 070 L020100 N 070 M010100 N 070 M020100 N 070 N010100 Y 070 N020100 N 070 O010100 Y 070 O020100 N 070 P010100 Y 070 P020100 Y 070 Q010100 N 070 Q020100 N 070 R010100 Y 070 R020100 N 070 A010300 Y 070 A020300 N 070 B010300 N 070 B020300 N 070 C010300 Y 070 C020300 N 070 D010300 N 070 D020300 N 070 E010300 Y 070 E020300 Y 070 F010300 N 070 F020300 N 070 G010300 Y PAGE 15 070 G020300 N 070 H010300 N 070 H020300 N 070 I010300 N 070 I020300 N 070 J010300 Y 070 J020300 N 070 K010300 Y 070 K020300 N 070 L010300 N 070 L020300 N 070 M010300 N 070 M020300 N 070 N010300 Y 070 N020300 N 070 O010300 Y 070 O020300 N 070 P010300 Y 070 P020300 Y 070 Q010300 N 070 Q020300 N 070 R010300 Y 070 R020300 N 070 A010400 Y 070 A020400 N 070 B010400 N 070 B020400 N 070 C010400 Y 070 C020400 N 070 D010400 N 070 D020400 N 070 E010400 Y 070 E020400 Y 070 F010400 N 070 F020400 N 070 G010400 Y 070 G020400 N 070 H010400 N 070 H020400 N 070 I010400 N 070 I020400 N 070 J010400 Y 070 J020400 N 070 K010400 Y 070 K020400 N 070 L010400 N 070 L020400 N 070 M010400 N 070 M020400 N 070 N010400 Y 070 N020400 N PAGE 16 070 O010400 Y 070 O020400 N 070 P010400 Y 070 P020400 Y 070 Q010400 N 070 Q020400 N 070 R010400 Y 070 R020400 N 070 A010500 Y 070 A020500 N 070 B010500 N 070 B020500 N 070 C010500 Y 070 C020500 N 070 D010500 N 070 D020500 N 070 E010500 Y 070 E020500 Y 070 F010500 N 070 F020500 N 070 G010500 Y 070 G020500 N 070 H010500 N 070 H020500 N 070 I010500 N 070 I020500 N 070 J010500 Y 070 J020500 Y 070 K010500 Y 070 K020500 Y 070 L010500 N 070 L020500 N 070 M010500 N 070 M020500 N 070 N010500 Y 070 N020500 N 070 O010500 Y 070 O020500 N 070 P010500 Y 070 P020500 Y 070 Q010500 N 070 Q020500 N 070 R010500 Y 070 R020500 N 071 A000100 0 071 B000100 0 071 C000100 0 071 D000100 0 071 A000300 694793 071 B000300 651622 071 C000300 1257565 PAGE 17 071 D000300 52 071 A000400 164500 071 B000400 192645 071 C000400 356247 071 D000400 46 071 A000500 478535 071 B000500 390098 071 C000500 688973 071 D000500 57 072 A000100 12 072 B000100 389 072 C000100 0 072 D000100 0 072 E000100 0 072 F000100 1135 072 G000100 0 072 H000100 0 072 I000100 0 072 J000100 0 072 K000100 0 072 L000100 0 072 M000100 13 072 N000100 0 072 O000100 0 072 P000100 0 072 Q000100 0 072 R000100 0 072 S000100 0 072 T000100 0 072 U000100 0 072 V000100 0 072 W000100 0 072 X000100 1148 072 Y000100 782 072 Z000100 23 072AA000100 5 072BB000100 0 072CC010100 0 072CC020100 0 072DD010100 23 072DD020100 0 072EE000100 0 072 A000300 12 072 B000300 37884 072 C000300 0 072 D000300 0 072 E000300 0 072 F000300 5533 072 G000300 0 072 H000300 0 072 I000300 0 PAGE 18 072 J000300 0 072 K000300 0 072 L000300 0 072 M000300 71 072 N000300 0 072 O000300 0 072 P000300 0 072 Q000300 0 072 R000300 0 072 S000300 0 072 T000300 269 072 U000300 0 072 V000300 0 072 W000300 1 072 X000300 5874 072 Y000300 0 072 Z000300 32010 072AA000300 0 072BB000300 6859 072CC010300 68861 072CC020300 0 072DD010300 30947 072DD020300 1063 072EE000300 0 072 A000400 12 072 B000400 13608 072 C000400 0 072 D000400 0 072 E000400 0 072 F000400 1673 072 G000400 0 072 H000400 0 072 I000400 0 072 J000400 0 072 K000400 0 072 L000400 0 072 M000400 20 072 N000400 0 072 O000400 0 072 P000400 0 072 Q000400 0 072 R000400 0 072 S000400 0 072 T000400 91 072 U000400 0 072 V000400 0 072 W000400 0 072 X000400 1784 072 Y000400 0 072 Z000400 11824 072AA000400 0 PAGE 19 072BB000400 408 072CC010400 26530 072CC020400 0 072DD010400 11421 072DD020400 402 072EE000400 0 072 A000500 12 072 B000500 31941 072 C000500 0 072 D000500 0 072 E000500 0 072 F000500 3304 072 G000500 0 072 H000500 0 072 I000500 0 072 J000500 0 072 K000500 0 072 L000500 0 072 M000500 39 072 N000500 0 072 O000500 0 072 P000500 0 072 Q000500 0 072 R000500 0 072 S000500 0 072 T000500 488 072 U000500 0 072 V000500 0 072 W000500 3 072 X000500 3834 072 Y000500 0 072 Z000500 28107 072AA000500 0 072BB000500 8892 072CC010500 72787 072CC020500 0 072DD010500 23338 072DD020500 4769 072EE000500 0 073 A010100 0.0001 073 A020100 0.0000 073 B000100 0.0000 073 C000100 0.0000 073 A010300 0.0000 073 A020300 0.0000 073 B000300 0.0000 073 C000300 0.0000 073 A010400 0.0000 073 A020400 0.0000 073 B000400 0.0000 073 C000400 0.0000 PAGE 20 073 A010500 0.0000 073 A020500 0.0000 073 B000500 0.0000 073 C000500 0.0000 074 A000100 548 074 B000100 0 074 C000100 219075 074 D000100 0 074 E000100 0 074 F000100 0 074 G000100 0 074 H000100 0 074 I000100 0 074 J000100 1334 074 K000100 0 074 L000100 237 074 M000100 0 074 N000100 221194 074 O000100 0 074 P000100 22 074 Q000100 0 074 R010100 0 074 R020100 0 074 R030100 0 074 R040100 130 074 S000100 0 074 T000100 221042 074 U010100 221044 074 U020100 0 074 V010100 1.00 074 V020100 0.00 074 W000100 1.0000 074 X000100 2059 074 Y000100 0 074 A000300 89 074 B000300 0 074 C000300 172434 074 D000300 1138701 074 E000300 0 074 F000300 0 074 G000300 0 074 H000300 0 074 I000300 0 074 J000300 0 074 K000300 0 074 L000300 14299 074 M000300 0 074 N000300 1325523 074 O000300 0 074 P000300 506 074 Q000300 0 PAGE 21 074 R010300 0 074 R020300 0 074 R030300 0 074 R040300 2178 074 S000300 0 074 T000300 1322839 074 U010300 106564 074 U020300 4241 074 V010300 0.00 074 V020300 0.00 074 W000300 0.0000 074 X000300 2792 074 Y000300 1597 074 A000400 118 074 B000400 0 074 C000400 50643 074 D000400 305050 074 E000400 0 074 F000400 0 074 G000400 0 074 H000400 0 074 I000400 0 074 J000400 15 074 K000400 0 074 L000400 4091 074 M000400 0 074 N000400 359917 074 O000400 157 074 P000400 149 074 Q000400 0 074 R010400 0 074 R020400 0 074 R030400 0 074 R040400 341 074 S000400 0 074 T000400 359270 074 U010400 29277 074 U020400 1265 074 V010400 0.00 074 V020400 0.00 074 W000400 0.0000 074 X000400 2206 074 Y000400 424 074 A000500 75 074 B000500 0 074 C000500 64950 074 D000500 712828 074 E000500 0 074 F000500 0 074 G000500 0 074 H000500 0 PAGE 22 074 I000500 0 074 J000500 547 074 K000500 0 074 L000500 11165 074 M000500 0 074 N000500 789565 074 O000500 543 074 P000500 358 074 Q000500 0 074 R010500 0 074 R020500 0 074 R030500 0 074 R040500 1440 074 S000500 0 074 T000500 787224 074 U010500 63255 074 U020500 13531 074 V010500 0.00 074 V020500 0.00 074 W000500 0.0000 074 X000500 1968 074 Y000500 957 075 A000100 231041 075 B000100 0 075 A000300 0 075 B000300 1267824 075 A000400 0 075 B000400 359158 075 A000500 0 075 B000500 689688 076 000100 0.00 076 000300 0.00 076 000400 0.00 076 000500 0.00 077 A000000 Y 077 B000000 Y 077 C000000 N 077 D000000 N 077 E000000 N 077 F000000 N 077 G000000 N 077 H000000 N 077 I000000 N 077 J000000 N 077 K000000 N 077 L000000 N 077 M000000 N 077 N000000 N 077 O000000 N 077 P000000 N 077 Q010000 Y PAGE 23 077 Q020000 N 077 Q030000 N 078 000000 N 080 A00AA00 ICI Mutual Insurance Company 080 C00AA00 30000 081 A00AA00 Y 081 B00AA00 149 082 A00AA00 Y 082 B00AA00 150 083 A00AA00 N 083 B00AA00 0 084 A00AA00 N 084 B00AA00 0 085 A00AA00 Y 085 B00AA00 N 086 A010000 0 086 A020000 0 086 B010000 0 086 B020000 0 086 C010000 0 086 C020000 0 086 D010000 0 086 D020000 0 086 E010000 0 086 E020000 0 086 F010000 0 086 F020000 0 SIGNATURE AMY BITTER TITLE ASST. TREASURER EX-99.77Q1 OTHR EXHB 2 finrptnsaracctfmm.htm QUESTIONS 48, 72-74 Unassociated Document
 
 

 

Series Number: 3
For period ending 8/31/14

48)
Investor, A & C
 
First $1 billion 0.569%
 
Next $1 billion 0.517%
 
Next $3 billion 0.487%
 
Next $5 billion 0.467%
 
Next $15 billion 0.454%
 
Next $25 billion 0.452%
 
Over $50 billion 0.452%

 
Institutional
 
First $1 billion 0.369%
 
Next $1 billion 0.317%
 
Next $3 billion 0.287%
 
Next $5 billion 0.267%
 
Next $15 billion 0.254%
 
Next $25 billion 0.252%
 
Over $50 billion 0.252%

72DD)                      1. Total income dividends for which record date passed during the period
                      Investor Class                                           25,864
                      Institutional Class                                                      5,083
                      2.  Dividends for a second class of open-end company shares
                                A Class                                           785
                      C Class                                           278

73A)           1. Dividends from net investment income
                      Investor Class                                                      $0.2946
                      Institutional Class                                           $0.3181
           2. Dividends for a second class of open-end company shares
                      A Class                                                      $0.2654
C Class                                            $0.1778

74U)           1. Number of shares outstanding (000's omitted)
                      Investor Class                                           89,145
                      Institutional Class                                                      17,419
2. Number of shares outstanding of a second class of open-end company shares (000's omitted)
                                A Class                                           2,756
                      C Class                                            1,485
 
 
74V)           1. Net asset value per share (to nearest cent)
                      Investor Class                                           $11.94
                      Institutional Class                                           $11.94
2. Net asset value per share of a second class of open-end company shares (to nearest cent)
                      A Class                                           $11.94
                                C Class                                            $11.95
 
 
Series Number: 4
For period ending 8/31/14

48)
Investor, A & C
 
First $1 billion 0.569%
 
Next $1 billion 0.517%
 
Next $3 billion 0.487%
 
Next $5 billion 0.467%
 
Next $15 billion 0.454%
 
Next $25 billion 0.452%
 
Over $50 billion 0.452%

 
Institutional
 
First $1 billion 0.369%
 
Next $1 billion 0.317%
 
Next $3 billion 0.287%
 
Next $5 billion 0.267%
 
Next $15 billion 0.254%
 
Next $25 billion 0.252%
 
Over $50 billion 0.252%

72DD)                      1. Total income dividends for which record date passed during the period
                      Investor Class                                           11,420
                      Institutional Class                                           1
           2.  Dividends for a second class of open-end company shares
                                A Class                                           236
                      C Class                                           166

73A)           1. Dividends from net investment income
                      Investor Class                                                      $0.3778
                      Institutional Class                                           $0.4007
           2. Dividends for a second class of open-end company shares
                      A Class                                                      $0.3493
C Class                                            $0.2640

74U)           1. Number of shares outstanding (000's omitted)
                      Investor Class                                           29,274
                                Institutional Class                                           3
2. Number of shares outstanding of a second class of open-end company shares (000's omitted)
A Class                                            661
                                C Class                                           604

74V)           1. Net asset value per share (to nearest cent)
                      Investor Class                                           $11.76
                                Institutional Class                                           $11.77
2. Net asset value per share of a second class of open-end company shares (to nearest cent)
                      A Class                                            $11.76
                      C Class                                            $11.76

Series Number: 5
For period ending 8/31/14

48)
Investor, A & C
 
First $1 billion 0.599%
 
Next $1 billion 0.547%
 
Next $3 billion 0.517%
 
Next $5 billion 0.497%
 
Next $15 billion 0.484%
 
Next $25 billion 0.482%
 
Over $50 billion 0.482%

 
Institutional
 
First $1 billion 0.399%
 
Next $1 billion 0.347%
 
Next $3 billion 0.317%
 
Next $5 billion 0.297%
 
Next $15 billion 0.284%
 
Next $25 billion 0.282%
 
Over $50 billion 0.282%

72DD)                      1. Total income dividends for which record date passed during the period
                      Investor Class                                           21,040
Institutional Class                                           2,298                      
           2. Dividends for a second class of open-end company shares
                      A Class                                            4,046
                                C Class                                             723

73A)           1. Dividends from net investment income
                      Investor Class                                                      $0.4082
                      Institutional Class                                           $0.4277
2. Dividends for a second class of open-end company shares
                      A Class                                           $0.3837
                      C Class                                           $0.3100

74U)           1. Number of shares outstanding (000's omitted)
Investor Class                                                      55,785
                      Institutional Class                                                      7,470
2. Number of shares outstanding of a second class of open-end company shares (000's omitted)
                      A Class                                           11,204
                      C Class                                           2,327

74V)           1. Net asset value per share (to nearest cent)
                      Investor Class                                           $10.25
                      Institutional Class                                           $10.25
2. Net asset value per share of a second class of open-end company shares (to nearest cent)
                      A Class                                           $10.25
                      C Class                                           $10.25


 
 

 

EX-99.77Q1 OTHR EXHB 3 nsar83114ac.htm AUDIT LETTER Unassociated Document
 
 

 



Report of Independent Registered Public Accounting Firm


To the Trustees of the American Century California Tax-Free and Municipal Funds and Shareholders of the California High-Yield Municipal Fund, the California Long-Term Tax-Free Fund, the California Tax-Free Money Market Fund, and the California Intermediate-Term Tax-Free Bond Fund:

In planning and performing our audits of the financial statements of the American Century California Tax-Free and Municipal Funds (the "Funds")  as of and for the year ended August 31, 2014, in accordance with the standards of the Public Company Accounting Oversight Board (United States), we considered the Funds' internal control over financial reporting, including controls over safeguarding securities, as a basis for designing our auditing procedures for the purpose of expressing our opinion on the financial statements and to comply with the requirements of Form N-SAR, but not for the purpose of expressing an opinion on the effectiveness of the Funds' internal control over financial reporting.  Accordingly, we do not express an opinion on the effectiveness of the Funds' internal control over financial reporting.

The management of the Funds is responsible for establishing and maintaining effective internal control over financial reporting.  In fulfilling this responsibility, estimates and judgments by management are required to assess the expected benefits and related costs of controls.  A fund’s internal control over financial reporting is a process designed to provide reasonable assurance regarding the reliability of financial reporting and the preparation of financial statements for external purposes in accordance with generally accepted accounting principles.  A fund's internal control over financial reporting includes those policies and procedures that (1) pertain to the maintenance of records that, in reasonable detail, accurately and fairly reflect the transactions and dispositions of the assets of the fund; (2) provide reasonable assurance that transactions are recorded as necessary to permit preparation of financial statements in accordance with generally accepted accounting principles, and that receipts and expenditures of the fund are being made only in accordance with authorizations of management and trustees of the fund; and (3)  provide reasonable assurance regarding prevention or timely detection of unauthorized acquisition, use or disposition of a fund's assets that could have a material effect on the financial statements.

Because of its inherent limitations, internal control over financial reporting may not prevent or detect misstatements.  Also, projections of any evaluation of effectiveness to future periods are subject to the risk that controls may become inadequate because of changes in conditions, or that the degree of compliance with the policies or procedures may deteriorate.

A deficiency in internal control over financial reporting exists when the design or operation of a control does not allow management or employees, in the normal course of performing their assigned functions, to prevent or detect misstatements on a timely basis.  A material weakness is a deficiency, or a combination of deficiencies, in internal control over financial reporting, such that there is a reasonable possibility that a material misstatement of the Funds' annual or interim financial statements will not be prevented or detected on a timely basis.

Our consideration of the Funds' internal control over financial reporting was for the limited purpose described in the first paragraph and would not necessarily disclose all deficiencies in internal control over financial reporting that might be material weaknesses under standards established by the Public Company Accounting Oversight Board (United States).  However, we noted no deficiencies in the Funds' internal control over financial reporting and its operation, including controls over safeguarding securities, that we consider to be material weaknesses as defined above as of August 31, 2014.

This report is intended solely for the information and use of management and the Trustees of the American Century California Tax-Free and Municipal Funds and the Securities and Exchange Commission and is not intended to be and should not be used by anyone other than these specified parties.





/s/ PricewaterhouseCoopers LLP
Kansas City, Missouri
October 21, 2014

 
 

 

EX-99.77Q1 OTHR EXHB 4 subcustlist.htm SUBCUSTODIAN LIST Unassociated Document
 
 

 

Foreign Subcustodians:


Raiffeisen Bank sh.a.
Blv. "Bajram Curri" ETC – Kati 14
Tirana, Albania
BIC: SGSBALTXXXX

Citibank N.A.
Securities Services Unit
Bartolome Mitre 530
(C1036AAJ)
1036 Buenos Aires, Argentina
BIC: CITIUS33ARR**

Hongkong and Shanghai
Banking Corporation Ltd.
HSBC Custody and Clearing
Level 13, 580 George St.
Sydney, NSW 2000, Australia
BIC: HKBAAU2SSYD

Citigroup Pty. Limited
120 Collins St.
Melbourne, Victoria, 3000
Australia
BIC: CITIAU3X

UniCredit Bank Austria AG
Custody Department / Dept.
8398-TZ
Julius Tandler-Platz 3
A-1090 Vienna, Austria
BIC: BKAUATWWXXX


Deutsche Bank AG
Fleischmarkt 1
A-1010 Vienna, Austria
BIC: DEUTATWWCUS


HSBC Bank Middle East,
Custody and Clearing Dept.
1st Floor, Bldg # 2505
Road # 2832, Al Seef 428,
Kingdom of Bahrain
BIC: BBMEBHBXXXX

Standard Chartered Bank
Silver Tower, Level 7
52 South Gulshan Commercial Area
Gulshan 1, Dhaka 1212
Bangladesh
BIC: SCBLBDDXXXX


Deutsche Bank AG, Netherlands
(operating through
the Amsterdam branch
with support from its
Brussels branch)
Direct Securities Services
De Entrees 99-197
1101 HE Amsterdam,
The Netherlands,
BIC: DEUTNL2AXXX


Standard Chartered Bank
Cote d’Ivoire
23, Bld de la République
17 BP 1141 Abidjan 17
Côte d’Ivoire
BIC: SCBLCIABSSU


HSBC Bank Bermuda Limited
6 Front Street
Hamilton HM06, Bermuda
Attn: Daily Contact
BIC: BBDABMHMXXX

UniCredit Bank d.d.
Zelenih beretki 24
71 000 Sarajevo, Bosnia
BIC: UNCRBA22XXX

Standard Chartered Bank
Botswana Limited
4th Floor, Standard Chartered House
Queens Road
The Mall
Gaborone, Botswana
BIC: SCHBBWGXXXX

Citibank N.A. –
São Paulo Branch
AV Paulista, 1111
São Paulo, SP 01311-920
Brazil
BIC CITIUS33BRR**


ING Bank NV
49B Bulgaria Boulevard,
Entr. A, Floor 7
Sofia 1404, Bulgaria
BIC: INGBBGSFXXX

Citibank Europe plc, Bulgaria
Branch
Serdika Offices, 10th floor,
48 Sitnyakovo Blvd.
Sofia 1505, Bulgaria
BIC: CITIBGSFXXX

UniCredit Bulbank AD
7 Sveta Nedelya Square
1000 Sofia, Bulgaria
BIC: UNCRBGSFXXX


Standard Chartered Bank
Cote d’Ivoire
23, Bld de la République
17 BP 1141 Abidjan 17
Côte d’Ivoire
BIC: SCBLCIABSSU


RBC Investor Services
Securities Cage
155 Wellington Street West, 2nd
Floor
Toronto, ON Canada M5V 3L3
Ref a/c: 1200292XXXXX
BIC: ROYCCAT2XXX


State Street Trust Company
Canada
30 Adelaide Street East
Suite 800
Toronto, Ontario, Canada
M5C 3G6
BIC: SBOSCATXXXX

Banco Itau Chile
Enrique Foster Sur 20, Piso 5,
Las Condes
Santiago de Chile
BIC: ITAUCLRM
Ref: Dpto. Custodia de Valores


HSBC Bank (China)
Company Limited
33rd Floor, HSBC Building,
Shanghai IFC
8 Century Avenue
Pudong, Shanghai,
China (200120)
Attn: Manager, Custody
and Clearing Department
BIC: HSBCCNSHXX

China Construction Bank
No. 1 Naoshikou Street
Chang An Xing Rong Plaza
Beijing 100032-33 China
BIC: PCBCCNBJGIS


HSBC Bank (China) Company
Limited
33rd Floor, HSBC Building,
Shanghai IFC
8 Century Avenue
Pudong, Shanghai, China
(200120)
Attn: Manager, Custody and
Clearing Department
BIC: HSBCCNSHXXX


Cititrust Colombia, S.A.
Sociedad Fiduciaria
Carrera 9A No 99-02
Bogotá DC, Colombia
BIC: CITIUS33COR**
Attn: Securities Services Dept.


Banco BCT
160 Calle Central
Edificio BCT
San Jose, Costa Rica

Privredna banka Zagreb dd
Custody Department
Radnicka cesta 50 10000
Zagreb, Croatia
BIC: PBZGHR2XXXX

Zagrebacka banka d.d.
Savska 60
10000 Zagreb, Croatia
BIC: ZABAHR2XXXX

BNP Paribas Securities
Services, S.C.A., Athens,
(operating remotely to service
the Cyprus market)
94 V. Sofias Avenue &
1 Kerasountos Str. 115 28
Athens, Greece 11528
BIC: PARBGRAXXXX

Ceskoslovenska Obchodni
Banka A.S.
Radlická 333/150, 150 57
Prague 5, Czech Republic
BIC: CEKOCZPPXXX




UniCredit Bank, Czech
Republic and Slovakia, a.s.
Global Securities Services
Global Transaction Banking
BB Centrum – FILADELFIE
Zeletavska 1525/1
140 92 Praha 4 – Michle
Czech Republic
BIC: BACXCZPPXXXX

Skandinaviska Enskilda
Banken AB (SEB)
Bernstorffsgade 50,
1577 Copenhagen, Denmark
BIC: ESSEDKKKXXX

Nordea Ban Danmark A/S
Strandgade 3
0900 Copenhagen C
Denmark
BIC: NDEADKKKXXX

Produbanco
Av. Amazonas N35-211 y
Japon Quito, Ecuador
BIC: PRODECEQXXX

HSBC Bank Egypt S.A.E
6th Floor
306 Corniche El Nil,
Maadi Cairo, Egypt
Attn: Custody Services
BIC: EBBKEGCXXXX

AS SEB Pank
Custody Services
Tornimae 2, 15010 Tallinn,
Estonia
BIC: EEUHEE2XXXX

Skandinaviska Enskilda
Banken AB (Publ) (SEB)
Securities Services
Box 630
SF-00101 Helsinki, Finland
BIC: ESSEFIHXXXX

Nordea Bank Finland Plc
Satamaradankatu 5
00500 Helsinki
Finland
BIC: NDEAFIHHXXX

Deutsche Bank AG, Netherlands
(operating through
the Amsterdam branch
with support from its
Paris branch)
Direct Securities Services
De Entrees 99-197
1101 HE Amsterdam,
The Netherlands
BIC: DEUTNL2AXXX

JSC Bank of Georgia
29a Gagarini Str.
Tbilisi 0160, Georgia
BIC: BAGAGE22CUS

Deutsche Bank AG,
Direct Securities Services
Alfred-Herrhausen-Allee 16-24
D-65760 Eschborn, Germany

Standard Chartered Bank Ghana Limited
P.O. Box 768
1st Floor,
High Street Building
Accra, Ghana
BIC: SCBLGHACXXX

BNP Paribas Securities
Services, S.C.A.,
94 V. Sofias Avenue &
Kerasountos 1 Street
115 28, Athens, Greece
BIC: PARBGRAXXXX

Standard Chartered Bank
Cote d’Ivoire
23, Bld de la République
17 BP 1141 Abidjan 17
Côte d’Ivoire
BIC: SCBLCIABSSU

BNP Paribas
Securities
Services, S.C.A.,
94 V. Sofias
Avenue &
Kerasountos 1
Street
115 28, Athens,
Greece
BIC:
PARBGRAXXXX

Standard Chartered Bank
(Hong Kong) Limited
15th Floor Standard Chartered
Tower
388 Kwun Tong Road
Kwun Tong, Hong Kong
Attn: Client Service Manager
Custody & Clearing Services
BIC: SCBLHKHHXXX

UniCredit Bank Hungary Zrt.
6th Floor, Szabadsag ter 5-6
H-1054 Budapest, Hungary
BIC: BACXHUHBXXX

Citibank Europe
plc, Hungarian
Branch
7 Szabadság tér,
Bank Center
Budapest, H-1051
Hungary
BIC:
CITIHUHXXXX

Landsbankinn hf.
Austurstræti 11
155 Reykjavik, Iceland
BIC: NBIIISREXXX

Hongkong & Shanghai
Banking Corp. Ltd.
HSBC Securities Services
2nd Floor “Shiv”
Plot No. 139-140 B
Western Express Highway,
Sahar Road Junction
Vile Parle-E
Mumbai 400 057, India
BIC: HSBCINBBXXX

Deutsche Bank AG
Domestic Custody Services
Block B1, 4th Floor,
Nirlon Knowledge Park
Off Western Express Highway
Goregaon (E)
Mumbai 400 063, India
BIC: DEUTINBBXXX


Deutsche Bank A.G.
Deutsche Bank Building,
4th Floor
Jl. Imam Bonjol, No. 80
Jakarta 10310, Indonesia
Attn: Domestic Custody Services
BIC: DEUTIDJAXXX

State Street Bank and Trust Company
525 Ferry Rd.
Edinburgh, Scotland,
EH5 2AW
BIC: SSLLGB2XGBL



Bank Hapoalim B.M.
50 Rothschild Boulevard
Tel Aviv, Israel 61000
BIC: POALILITCBS

Deutsche Bank S.p.A.
Direct Securities Services
Via Turati 25/27 – 3rd Floor
20121 Milan, Italy
BIC: DEUTITMMTIT


Intesa SanPaolo (ISP)
Financial Institutions –
Transactions Services
Piazza della Scala, 6
20121 Milan
Italy
BIC: BCITITMMXXX


Standard Chartered Bank
Cote d’Ivoire
23, Bld de la République
17 BP 1141 Abidjan 17
Côte d’Ivoire
BIC: SCBLCIABSSU

Scotia Investments Jamaica Limited
7 Holborn Road
Kingston 10, Jamaica, W.I.
TELEX: 3812297

The Hongkong and Shanghai
Banking Corporation, Japan
branch (HSBC)
HSBC Building
11-1 Nihonbashi 3-chome,
Chuo-ku
Tokyo 1030027 Japan
BIC: HSBCJPJTXXX

Mizuho Bank, Ltd.
4-16-13, Tsukishima,
Chuo-ku, Tokyo, 104-0052,
Japan
BIC: MHCBJPJ2XXX

Standard Chartered Bank
Shmeissani Branch
Al-Thaqafa Street,
Building # 2
P.O.Box 926190
Amman 11110,
Jordan
BIC: SCBLJOAXXXX

JSC Citibank
Kazakhstan
Park Palace,
Building A, 41
Kazibek Bi street,
Almaty, 050010,
Kazakhstan
BIC:
CITIKZKAXXX


Standard Chartered Bank
Kenya Limited
Custody Services
Standard Chartered @ Chiromo,
Level 5
48 Westlands Road
P.O. Box 40984-00100 GPO
Nairobi, Kenya
BIC: SCBLKENXXXX

Hongkong and Shanghai Banking Corporation Limited
HSBC Building #25, 1-Ka,
Bongrae-Dong, Chung-ku, Seoul, Korea 100-161
BIC: HSBCKRSEXXX

Deutsche Bank AG
Direct Securities Services
18th Floor, Young-Poong
Bldg., 33 Seorin-dong
Chongro-ku, Seoul 110-752
Korea
BIC: DEUTKRSEXXX

HSBC Bank Middle East Limited
Kuwait City, Qibla Area Hamad Al-Saqr Street,
Kharafi Tower, G/1/2 Floors
P.O. Box 1683, Safat 13017,
Kuwait
BIC: HBMEKWKWXXX

AS SEB Banka
Unicentrs, Valdlauci
LV-1076 Kekavas pag.,
Rigas raj., Latvia
BIC: UNLALV2XXXX

HSBC Bank Middle East, Main Branch
St. Georges Street,
Minet El-Hosn
Beirut, Lebanon 1107 2080
Attn: Securities Department
BIC: BBMELBBXXXX

SEB Bankas
Gedimino av. 12
LT 2600 Vilnius, Lithuania
Attn: Securities Accounting and Custody
BIC: CBVILT2XXXX

Standard Bank Limited
Kaomba Centre
Corner Victoria Avenue & Sir
Glyn Jones Road
Blantyre, Malawi
BIC: SBICMWMXXXX

Standard Chartered Bank
Malaysia Berhad
Menara Standard Chartered
30 Jalan Sultan Ismail
50250 Kuala Lumpur,
Malaysia
BIC: SCBLMYKXXXX

Deutsche Bank (Malaysia)
Berhad
Domestic Custody Services
Level 20, Menara IMC
8 Jalan Sultan Ismail
50250 Kuala Lumpur, Malaysia
BIC: DEUTMYKLXXX

Standard Chartered Bank
Cote d’Ivoire
23, Bld de la République
17 BP 1141 Abidjan 17
Côte d’Ivoire
BIC: SCBLCIABSSU

Hongkong and Shanghai Banking Corp. Ltd.
5th Floor HSBC Centre,
18 Cybercity, Ebene, Mauritius
Attn: Securities Services
BIC: HSBCMUMUOBU

Banco Nacional de México
S.A. (Banamex)
Global Securities Services, 3er
piso, Torre Norte
Act. Roberto Medellin No. 800
Col. Santa Fe, Mexico, D.F.
01210
BIC: CITIUS33MER**

Citibank Maghreb
Zénith Millénium Immeuble1,
Sidi Maârouf - B.P. 40
Casablanca 20190
Morocco
BIC: CITIMAMCXXX

Standard Bank Namibia
Standard Bank Center
Corner Werner List St. and
Post Street Mall, 2nd Floor
Windhoek, Namibia
BIC: SBNMNANXXXX

Deutsche Bank AG, Netherlands
Direct Securities Services
De Entrees 99-197
1101 HE Amsterdam,
The Netherlands
BIC: DEUTNL2AXXX

The Hongkong and Shanghai
Banking Corporation Ltd.
HSBC House
Level 7, 1 Queen St.
Auckland 1010, New Zealand
BIC: HSBCNZ2AXXX

Standard Chartered Bank
Cote d’Ivoire
23, Bld de la République
17 BP 1141 Abidjan 17
Côte d’Ivoire
BIC: SCBLCIABSSU

Stanbic IBTC Bank Plc.
Plot 1712
Idejo St.
Victoria Island
Lagos, Nigeria 101007
Attn: Custody Services Department
BIC: SBICNGLXXXX

Skandinaviska Enskilda Banken
Securities Services
Filipstad Brygge 1
N-0123 Oslo, Norway
BIC: ESSENOKXXXX

Nordea Bank Norge ASA
Essendropsgate 7
0368 Oslo
Norway
BIC: NDEANOKKXXX


HSBC Bank Oman S.A.O.G.
HSBC Securities Services
2nd Floor Al Khuwair
PO Box 1727 PC 111
Seeb,
Sultanate of Oman
BIC: BBMEOMRXXXX

Deutsche Bank  A.G.
Unicentre – Unitowers
I.I. Chundrigar Road
P.O. Box 4925
Karachi – 74000, Pakistan
Attn: Custody Services
BIC: DEUTPKKAXXX

HSBC Bank Middle East,
Jaffa Street, Ramallah,
West Bank 2119
Palestinian Autonomous Area
BIC: BBMEPS22XXX

Citibank, N.A.
Boulevard Punta Pacifica
Torre de las Americas
Apartado
Panama City, Panama
0834-00555
BIC: CITIPAPASFE

Citibank del Perú S.A.
Canaval y Moreyra 480
3rd Floor, San Isidro
Lima 27, Peru
BIC: CITIUS33LIM**

Deutsche Bank AG,
Global Transaction Banking
Tower One, Ayala Triangle,
1226 Makati City, Philippines
BIC: DEUTPHMMXXX

Bank Handlowy w
Warszawie S.A.
ul Senatorska 16
00-293 Warsaw, Poland
Attn: Custody Department
BIC: CITIPLPXXXX

Bank Polska Kasa
Opieki S.A.
31 Zwirki I Wigury
Street
02-091, Warsaw,
Poland
BIC:
PKOPPLPWXXX

Deutsche Bank AG,
Netherlands
(operating through the
Amsterdam branch with
support from its Lisbon
branch)
Direct Securities Services
De Entrees 99-197
1101 HE Amsterdam, The Netherlands
BIC: DEUTNL2AXXX

BNP Paribas Securities Services, S.C.A.,
Lisbon (operating through the
Paris branch)
3 Rue D’Antin,
Paris, France Lt 1.19.01
BIC: PARBFRPPPTC

Citibank, N.A. Puerto Rico
Securities Services Department PL. South
1 Citibank Drive, Lomas
Verdes Avenue
San Juan, PR 00926
Physical Instruments
DVP/RVP Free
Receipts/Deliveries

HSBC Bank
Middle East Limited
2 Fl Ali Bin Ali Tower
Building no.: 150
Airport Road
Doha, Qatar
BIC: BBMEQAQXXXX

Citibank Europe plc, Dublin –
Romania Branch
8, Iancu de Hunedoara
Boulevard
712042, Sector 1
Bucharest, Romania
BIC: CITIROBUXXX


Limited Liability Company Deutsche Bank
82 Sadovnicheskaya Street,
Building 2
115035 Moscow,
Russian Federation
BIC: DEUTRUMMXXX

HSBC Saudi Arabia Limited
North Olaya Road
P.O. Box 9084, Riyadh 11413
Saudi Arabia
BIC: SABBSARIXXX

Standard Chartered Bank
Cote d’Ivoire
23, Bld de la République
17 BP 1141 Abidjan 17
Côte d’Ivoire
BIC: SCBLCIABSSU

Unicredit Bank Serbia JSC
Omladinskih Brigada 88,
Airport City
11000 Belgrade, Serbia
BIC: BACXRSBGXXX

United Overseas Bank Limited (UOB)
156 Cecil Street
FEB Building #08-03
Singapore 069544
BIC: UOVBSGSGXXX

Citibank, N.A.
Citigroup Global
Transaction Services
Regional Services Center
Citi Singapore Campus (CSC),
3 Changi Business
Park Crescent,
#07-00, Singapore 486026
BIC: CITISGSGXXX

UniCredit Bank Czech
Republic and Slovakia a.s.
Custody Department
Sancova 1/A
813 33 Bratislava,
Slovak Republic
BIC: UNCRSKBXXXX

UniCredit Banka Slovenija d.d.
Wolfova 1
1000 Ljubljana, Slovenia
BIC: BACXSI22XXX

Standard Bank of South Africa Limited
The Standard Bank Center
3rd Floor, 25 Sauer St.
Johannesburg 2000
Republic of South Africa
BIC: SBZAZAJJXXX


FirstRand Bank Limited
Mezzanine Floor
3 First Place BankCity
Corner Simmonds & Jeppe Sts.
Johannesburg 2001
Republic of South Africa
BIC: FIRNZAJJXXX

Deutsche Bank SAE
Direct Securities Services
Calle de Rosario Pino 14-16,
Planta 1
28020 Madrid, Spain
BIC: DEUTESBBXXX

The Hongkong and Shanghai
Banking Corporation Limited
24, Sir Baron
Jayatilake Mawatha
Colombo 01, Sri Lanka
BIC: HSBCLKLXXXX

UniCredit Bank d.d.
Zelenih beretki 24
71 000 Sarajevo, Bosnia
BIC: UNCRBA22XXX

Standard Bank Swaziland Limited
Standard House, Swazi Plaza
Mbabane, Swaziland H101
BIC: SBICSZMXXXX

Skandinaviska Enskilda
Banken
Sergels Torg 2
SE-106 40 Stockholm,
Sweden
BIC: ESSESESSXXX

Nordea Bank AB (publ)
Smalandsgatan 17
105 71 Stockholm
Sweden
BIC: NDEASESSXXX

UBS AG
Badenerstrasse 574
8098 Zurich, Switzerland
BIC: UBSWCHZH80A

Credit Suisse AG
Uetlibergstrasse 231
8070 Zurich, Switzerland
BIC: CRESCHZZ80A

Deutsche Bank AG
296 Ren-ai Road
Taipei 106 Taiwan R.O.C.
BIC: DEUTTWTPXXX

Standard Chartered Bank
(Taiwan) Limited
168 Tun Hwa North Road
Taipei 105, Taiwan R.O.C.
BIC: SCBLTWTPXXX 

Standard Chartered Bank
Tanzania Limited
1st Floor International House
Corner of Shaaban Robert
Street and Garden Avenue
PO Box 9011
Dar es Salaam, Tanzania
BIC: SCBLTZTXXXX 

Standard Chartered Bank
(Thai) Public Company Limited
Sathorn Nakorn Tower – 14th
Floor, Zone B
90 North Sathorn Road
Silom, Bangkok 10500,
Thailand
Attn: Custodial
Services Department
BIC: SCBLTHBXXXX

Standard Chartered Bank
Cote d’Ivoire
23, Bld de la République
17 BP 1141 Abidjan 17
Côte d’Ivoire
BIC: SCBLCIABSSU

Republic Bank Limited
9-17 Park Street
Port of Spain
Republic of Trinidad & Tobago,
West Indies
BIC: RBNKTTPXXXX

Banque International
Arabe de Tunisie (BIAT)
Direction des Marches
de Capitaux
1080 Tunis Cedex, Tunisia
BIC: BIATTNTTXXX

Citibank, A.Ş.
Tekfen Tower,
Eski Buyukdere Caddesi 209
Kat 3
34394 Levent
Istanbul, Turkey
BIC: CITITRIXXXX

Deutsche Bank, A.Ş.
Eski Buyukdere Caddesi
Tekfen Tower No. 209
Kat: 17 4.Levent 34394
Istanbul, Turkey
BIC: DEUTTRISCUS

Standard Chartered Bank
Uganda Limited
5 Speke Road
P.O. Box 7111
Kampala, Uganda
BIC: SCBLUGKAXXX

PJSC Citibank
16-g Dymytrova St.
Kyiv 03150
BIC: CITIUAUKXXX

HSBC Bank Middle East Limited
Global Banking and Markets –
HSBC Securities Services
Emaar Square
Level 3, Building No. 5
PO Box 502601,
Dubai, United Arab Emirates
BIC: BBMEAEADXXX

HSBC Bank Middle East Limited
Global Banking and Markets -
HSBC Securities Services
Emaar Square
Level 3, Buliding No. 5
PO Box 502601,
Dubai, United Arab Emirates
BIC: BBMEAEADXXX

HSBC Bank Middle East Limited
Global Banking and Markets -
HSBC Securities Services
Emaar Square
Level 3, Buliding No. 5
PO Box 502601,
Dubai, United Arab Emirates
BIC: BBMEAEADXXX

State Street Bank and Trust Company
525 Ferry Rd.
Edinburgh, Scotland,
EH5 2AW
BIC: SSLLGB2XGBL

Banco Itau Uruguay S.A.
Zabala 1463
11000 Montevideo, Uruguay
Attn: Oficina de Titulos
BIC: ITAUUYMMXXX


Citibank N.A.
Centro Comercial El Recreo
Torre Norte, Piso 19
Avenida Casanova
Caracas, Venezuela 1050
BIC: CITIUS33VEC**


Hongkong & Shanghai
Banking Corp. Ltd.
Centre Point
106 Nguyen Van Troi Street,
Phu Nhuan District
Ho Chi Minh City, Vietnam
BIC: HSBCVNVXXXX

Standard Chartered Bank
Zambia Plc
Standard Chartered House, Cairo Road
P.O. Box 32238
10101, Lusaka, Zambia
BIC: SCBLZMLXXXX


Stanbic Bank Zimbabwe
Limited
3rd Floor
Stanbic Centre
59 Samora Machel Avenue
Harare, Zimbabwe
BIC: SBICZWHXXXX