STATEMENT OF ADDITIONAL INFORMATION |
This is the Statement of Additional Information (SAI) for all of the funds listed below. It is divided into two parts (Part I and Part II). Part I primarily contains information that is particular to each fund, while Part II contains information that generally applies to all of the mutual funds sponsored and managed by T. Rowe Price Associates, Inc. (Price Funds).
The date of this Statement of Additional Information is May 1, 2018.
T. ROWE PRICE BALANCED FUND, INC. | |
T. Rowe Price Balanced Fund | RPBAX |
T. Rowe Price Balanced FundI Class | RBAIX |
T. ROWE PRICE BLUE CHIP GROWTH FUND, INC. | |
T. Rowe Price Blue Chip Growth Fund | TRBCX |
T. Rowe Price Blue Chip Growth FundAdvisor Class | PABGX |
T. Rowe Price Blue Chip Growth FundI Class | TBCIX |
T. Rowe Price Blue Chip Growth FundR Class | RRBGX |
T. ROWE PRICE CAPITAL APPRECIATION FUND, INC. | |
T. Rowe Price Capital Appreciation Fund | PRWCX |
T. Rowe Price Capital Appreciation FundAdvisor Class | PACLX |
T. Rowe Price Capital Appreciation FundI Class | TRAIX |
T. ROWE PRICE CAPITAL APPRECIATION & INCOME FUND, INC. | |
T. Rowe Price Capital Appreciation & Income Fund | TCAPX |
T. Rowe Price Capital Appreciation & Income FundAdvisor Class | TCAMX |
T. Rowe Price Capital Appreciation & Income FundI Class | TCIFX |
T. ROWE PRICE CAPITAL OPPORTUNITY FUND, INC. | |
T. Rowe Price Capital Opportunity Fund | PRCOX |
T. Rowe Price Capital Opportunity FundAdvisor Class | PACOX |
T. Rowe Price Capital Opportunity FundI Class | PCCOX |
T. Rowe Price Capital Opportunity FundR Class | RRCOX |
T. ROWE PRICE COMMUNICATIONS & TECHNOLOGY FUND, INC. (formerly T. Rowe Price Media & Telecommunications Fund, Inc.) | |
T. Rowe Price Communications & Technology Fund (formerly T. Rowe Price Media & Telecommunications Fund) | PRMTX |
T. Rowe Price Communications & Technology FundI Class (formerly T. Rowe Price Media & Telecommunications FundI Class) | TTMIX |
T. ROWE PRICE CORPORATE INCOME FUND, INC. | |
T. Rowe Price Corporate Income Fund | PRPIX |
T. Rowe Price Corporate Income FundI Class | TICCX |
T. ROWE PRICE CREDIT OPPORTUNITIES FUND, INC. | |
T. Rowe Price Credit Opportunities Fund | PRCPX |
T. Rowe Price Credit Opportunities FundAdvisor Class | PAOPX |
T. Rowe Price Credit Opportunities FundI Class | TCRRX |
T. ROWE PRICE DIVERSIFIED MID-CAP GROWTH FUND, INC. | |
T. Rowe Price Diversified Mid-Cap Growth Fund | PRDMX |
T. Rowe Price Diversified Mid-Cap Growth FundI Class | RPTTX |
C00-042 5/1/18
T. ROWE PRICE DIVIDEND GROWTH FUND, INC. | |
T. Rowe Price Dividend Growth Fund | PRDGX |
T. Rowe Price Dividend Growth FundAdvisor Class | TADGX |
T. Rowe Price Dividend Growth FundI Class | PDGIX |
T. ROWE PRICE EQUITY INCOME FUND, INC. | |
T. Rowe Price Equity Income Fund | PRFDX |
T. Rowe Price Equity Income FundAdvisor Class | PAFDX |
T. Rowe Price Equity Income FundI Class | REIPX |
T. Rowe Price Equity Income FundR Class | RRFDX |
T. ROWE PRICE FINANCIAL SERVICES FUND, INC. | |
T. Rowe Price Financial Services Fund | PRISX |
T. Rowe Price Financial Services FundI Class | TFIFX |
T. ROWE PRICE FLOATING RATE FUND, INC. | |
T. Rowe Price Floating Rate Fund | PRFRX |
T. Rowe Price Floating Rate FundAdvisor Class | PAFRX |
T. Rowe Price Floating Rate FundI Class | TFAIX |
T. ROWE PRICE GLOBAL ALLOCATION FUND, INC. | |
T. Rowe Price Global Allocation Fund | RPGAX |
T. Rowe Price Global Allocation FundAdvisor Class | PAFGX |
T. Rowe Price Global Allocation FundI Class | TGAFX |
T. ROWE PRICE GLOBAL MULTI-SECTOR BOND FUND, INC. | |
T. Rowe Price Global Multi-Sector Bond Fund | PRSNX |
T. Rowe Price Global Multi-Sector Bond FundAdvisor Class | PRSAX |
T. Rowe Price Global Multi-Sector Bond FundI Class | PGMSX |
T. ROWE PRICE GLOBAL REAL ESTATE FUND, INC. | |
T. Rowe Price Global Real Estate Fund | TRGRX |
T. Rowe Price Global Real Estate FundAdvisor Class | PAGEX |
T. Rowe Price Global Real Estate FundI Class | TIRGX |
T. ROWE PRICE GLOBAL TECHNOLOGY FUND, INC. | |
T. Rowe Price Global Technology Fund | PRGTX |
T. Rowe Price Global Technology FundI Class | PGTIX |
T. ROWE PRICE GNMA FUND, INC. | |
T. Rowe Price GNMA Fund | PRGMX |
T. Rowe Price GNMA FundI Class | PRXAX |
T. ROWE PRICE GOVERNMENT MONEY FUND, INC. | |
T. Rowe Price Government Money Fund | PRRXX |
T. Rowe Price Government Money FundI Class | TTGXX |
T. ROWE PRICE GROWTH & INCOME FUND, INC. | |
T. Rowe Price Growth & Income Fund | PRGIX |
T. Rowe Price Growth & Income FundI Class | TGTIX |
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T. ROWE PRICE GROWTH STOCK FUND, INC. | |
T. Rowe Price Growth Stock Fund | PRGFX |
T. Rowe Price Growth Stock FundAdvisor Class | TRSAX |
T. Rowe Price Growth Stock FundI Class | PRUFX |
T. Rowe Price Growth Stock FundR Class | RRGSX |
T. ROWE PRICE HEALTH SCIENCES FUND, INC. | |
T. Rowe Price Health Sciences Fund | PRHSX |
T. Rowe Price Health Sciences FundI Class | THISX |
T. ROWE PRICE HIGH YIELD FUND, INC. | |
T. Rowe Price High Yield Fund | PRHYX |
T. Rowe Price High Yield FundAdvisor Class | PAHIX |
T. Rowe Price High Yield FundI Class | PRHIX |
T. Rowe Price U.S. High Yield Fund | TUHYX |
T. Rowe Price U.S. High Yield FundAdvisor Class | TUHAX |
T. Rowe Price U.S. High Yield FundI Class | TUHIX |
T. ROWE PRICE INDEX TRUST, INC. |
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T. Rowe Price Equity Index 500 Fund | PREIX |
T. Rowe Price Equity Index 500 FundI Class | PRUIX |
T. Rowe Price Extended Equity Market Index Fund | PEXMX |
T. Rowe Price Mid-Cap Index Fund | N/A |
T. Rowe Price Mid-Cap Index FundI Class | N/A |
T. Rowe Price Small-Cap Index Fund | N/A |
T. Rowe Price Small-Cap Index FundI Class | N/A |
T. Rowe Price Total Equity Market Index Fund | POMIX |
T. ROWE PRICE INFLATION PROTECTED BOND FUND, INC. | |
T. Rowe Price Inflation Protected Bond Fund | PRIPX |
T. Rowe Price Inflation Protected Bond FundI Class | TIIPX |
T. ROWE PRICE INSTITUTIONAL EQUITY FUNDS, INC. (Institutional Equity Funds) |
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T. Rowe Price Institutional Large-Cap Core Growth Fund | TPLGX |
T. Rowe Price Institutional Large-Cap Growth Fund | TRLGX |
T. Rowe Price Institutional Large-Cap Value Fund | TILCX |
T. Rowe Price Institutional Mid-Cap Equity Growth Fund | PMEGX |
T. Rowe Price Institutional Small-Cap Stock Fund | TRSSX |
T. Rowe Price Institutional U.S. Structured Research Fund | TRISX |
T. ROWE PRICE INSTITUTIONAL INCOME FUNDS, INC. |
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T. Rowe Price Institutional Cash Reserves Fund | ICFXX |
T. Rowe Price Institutional Core Plus Fund | TICPX |
T. Rowe Price Institutional Credit Opportunities Fund | TRXPX |
T. Rowe Price Institutional Floating Rate Fund | RPIFX |
T. Rowe Price Institutional Floating Rate FundF Class | PFFRX |
T. Rowe Price Institutional Global Multi-Sector Bond Fund | RPGMX |
T. Rowe Price Institutional High Yield Fund | TRHYX |
T. Rowe Price Institutional Long Duration Credit Fund | RPLCX |
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T. ROWE PRICE INSTITUTIONAL INTERNATIONAL FUNDS, INC. |
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T. Rowe Price Institutional Africa & Middle East Fund | TRIAX |
T. Rowe Price Institutional Emerging Markets Bond Fund | TREBX |
T. Rowe Price Institutional Emerging Markets Equity Fund | IEMFX |
T. Rowe Price Institutional Frontier Markets Equity Fund | PRFFX |
T. Rowe Price Institutional Global Focused Growth Equity Fund | TRGSX |
T. Rowe Price Institutional Global Growth Equity Fund | RPIGX |
T. Rowe Price Institutional Global Value Equity Fund | PRIGX |
T. Rowe Price Institutional International Bond Fund | RPIIX |
T. Rowe Price Institutional International Concentrated Equity Fund | RPICX |
T. Rowe Price Institutional International Core Equity Fund | TRCEX |
T. Rowe Price Institutional International Growth Equity Fund | PRFEX |
T. ROWE PRICE INTERMEDIATE TAX-FREE HIGH YIELD FUND, INC. | |
T. Rowe Price Intermediate Tax-Free High Yield Fund | PRIHX |
T. Rowe Price Intermediate Tax-Free High Yield FundAdvisor Class | PRAHX |
T. Rowe Price Intermediate Tax-Free High Yield FundI Class | TFHAX |
T. ROWE PRICE INTERNATIONAL FUNDS, INC. |
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T. Rowe Price Africa & Middle East Fund | TRAMX |
T. Rowe Price Africa & Middle East FundI Class | PRAMX |
T. Rowe Price Asia Opportunities Fund | TRAOX |
T. Rowe Price Asia Opportunities FundAdvisor Class | PAAOX |
T. Rowe Price Asia Opportunities FundI Class | TRASX |
T. Rowe Price Dynamic Global Bond Fund | RPIEX |
T. Rowe Price Dynamic Global Bond FundAdvisor Class | PAIEX |
T. Rowe Price Dynamic Global Bond FundI Class | RPEIX |
T. Rowe Price Emerging Europe Fund | TREMX |
T. Rowe Price Emerging Europe FundI Class | TTEEX |
T. Rowe Price Emerging Markets Bond Fund | PREMX |
T. Rowe Price Emerging Markets Bond FundAdvisor Class | PAIKX |
T. Rowe Price Emerging Markets Bond FundI Class | PRXIX |
T. Rowe Price Emerging Markets Corporate Bond Fund | TRECX |
T. Rowe Price Emerging Markets Corporate Bond FundAdvisor Class | PACEX |
T. Rowe Price Emerging Markets Corporate Bond FundI Class | TECIX |
T. Rowe Price Emerging Markets Local Currency Bond Fund | PRELX |
T. Rowe Price Emerging Markets Local Currency Bond FundAdvisor Class | PAELX |
T. Rowe Price Emerging Markets Local Currency Bond FundI Class | TEIMX |
T. Rowe Price Emerging Markets Stock Fund | PRMSX |
T. Rowe Price Emerging Markets Stock FundI Class | PRZIX |
T. Rowe Price Emerging Markets Value Stock Fund | PRIJX |
T. Rowe Price Emerging Markets Value Stock FundAdvisor Class | PAIJX |
T. Rowe Price Emerging Markets Value Stock FundI Class | REVIX |
T. Rowe Price European Stock Fund | PRESX |
T. Rowe Price European Stock FundI Class | TEUIX |
T. Rowe Price Global Consumer Fund | PGLOX |
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T. Rowe Price Global Growth Stock Fund | RPGEX |
T. Rowe Price Global Growth Stock FundAdvisor Class | PAGLX |
T. Rowe Price Global Growth Stock FundI Class | RGGIX |
T. Rowe Price Global High Income Bond Fund | RPIHX |
T. Rowe Price Global High Income Bond FundAdvisor Class | PAIHX |
T. Rowe Price Global High Income Bond FundI Class | RPOIX |
T. Rowe Price Global Industrials Fund | RPGIX |
T. Rowe Price Global Industrials FundI Class | TRGAX |
T. Rowe Price Global Stock Fund | PRGSX |
T. Rowe Price Global Stock FundAdvisor Class | PAGSX |
T. Rowe Price Global Stock FundI Class | TRGLX |
T. Rowe Price International Bond Fund | RPIBX |
T. Rowe Price International Bond FundAdvisor Class | PAIBX |
T. Rowe Price International Bond FundI Class | RPISX |
T. Rowe Price International Bond Fund (USD Hedged) | TNIBX |
T. Rowe Price International Bond Fund (USD Hedged)Advisor Class | TTABX |
T. Rowe Price International Bond Fund (USD Hedged)I Class | TNBMX |
T. Rowe Price International Concentrated Equity Fund | PRCNX |
T. Rowe Price International Concentrated Equity FundAdvisor Class | PRNCX |
T. Rowe Price International Concentrated Equity FundI Class | RICIX |
T. Rowe Price International Discovery Fund | PRIDX |
T. Rowe Price International Discovery FundI Class | TIDDX |
T. Rowe Price International Stock Fund | PRITX |
T. Rowe Price International Stock FundAdvisor Class | PAITX |
T. Rowe Price International Stock FundI Class | PRIUX |
T. Rowe Price International Stock FundR Class | RRITX |
T. Rowe Price International Value Equity Fund | TRIGX |
T. Rowe Price International Value Equity FundAdvisor Class | PAIGX |
T. Rowe Price International Value Equity FundI Class | TRTIX |
T. Rowe Price International Value Equity FundR Class | RRIGX |
T. Rowe Price Japan Fund | PRJPX |
T. Rowe Price Japan FundI Class | RJAIX |
T. Rowe Price Latin America Fund | PRLAX |
T. Rowe Price Latin America FundI Class | RLAIX |
T. Rowe Price New Asia Fund | PRASX |
T. Rowe Price New Asia Fund I Class | PNSIX |
T. Rowe Price Overseas Stock Fund | TROSX |
T. Rowe Price Overseas Stock FundAdvisor Class | PAEIX |
T. Rowe Price Overseas Stock FundI Class | TROIX |
T. ROWE PRICE INTERNATIONAL INDEX FUND, INC. |
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T. Rowe Price International Equity Index Fund | PIEQX |
T. ROWE PRICE LIMITED DURATION INFLATION FOCUSED BOND FUND, INC. | |
T. Rowe Price Limited Duration Inflation Focused Bond Fund | TRBFX |
T. Rowe Price Limited Duration Inflation Focused Bond FundI Class | TRLDX |
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T. ROWE PRICE MID-CAP GROWTH FUND, INC. | |
T. Rowe Price Mid-Cap Growth Fund | RPMGX |
T. Rowe Price Mid-Cap Growth FundAdvisor Class | PAMCX |
T. Rowe Price Mid-Cap Growth FundI Class | RPTIX |
T. Rowe Price Mid-Cap Growth FundR Class | RRMGX |
T. ROWE PRICE MID-CAP VALUE FUND, INC. | |
T. Rowe Price Mid-Cap Value Fund | TRMCX |
T. Rowe Price Mid-Cap Value FundAdvisor Class | TAMVX |
T. Rowe Price Mid-Cap Value FundI Class | TRMIX |
T. Rowe Price Mid-Cap Value FundR Class | RRMVX |
T. ROWE PRICE MULTI-SECTOR ACCOUNT PORTFOLIOS, INC. (Multi-Sector Account Portfolios) |
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T. Rowe Price Emerging Markets Corporate Multi-Sector Account Portfolio | N/A |
T. Rowe Price Emerging Markets Local Multi-Sector Account Portfolio | N/A |
T. Rowe Price Floating Rate Multi-Sector Account Portfolio | N/A |
T. Rowe Price High Yield Multi-Sector Account Portfolio | N/A |
T. Rowe Price Investment-Grade Corporate Multi-Sector Account Portfolio | N/A |
T. Rowe Price Mortgage-Backed Securities Multi-Sector Account Portfolio | N/A |
T. ROWE PRICE MULTI-STRATEGY TOTAL RETURN FUND, INC. | |
T. Rowe Price Multi-Strategy Total Return Fund | TMSRX |
T. Rowe Price Multi-Strategy Total Return FundAdvisor Class | TMSAX |
T. Rowe Price Multi-Strategy Total Return FundI Class | TMSSX |
T. ROWE PRICE NEW AMERICA GROWTH FUND, INC. | |
T. Rowe Price New America Growth Fund | PRWAX |
T. Rowe Price New America Growth FundAdvisor Class | PAWAX |
T. Rowe Price New America Growth FundI Class | PNAIX |
T. ROWE PRICE NEW ERA FUND, INC. | |
T. Rowe Price New Era Fund | PRNEX |
T. Rowe Price New Era FundI Class | TRNEX |
T. ROWE PRICE NEW HORIZONS FUND, INC. | |
T. Rowe Price New Horizons Fund | PRNHX |
T. Rowe Price New Horizons FundI Class | PRJIX |
T. ROWE PRICE NEW INCOME FUND, INC. | |
T. Rowe Price New Income Fund | PRCIX |
T. Rowe Price New Income FundAdvisor Class | PANIX |
T. Rowe Price New Income FundI Class | PRXEX |
T. Rowe Price New Income FundR Class | RRNIX |
T. ROWE PRICE PERSONAL STRATEGY FUNDS, INC. (Personal Strategy Funds) |
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T. Rowe Price Personal Strategy Balanced Fund | TRPBX |
T. Rowe Price Personal Strategy Balanced FundI Class | TPPAX |
T. Rowe Price Personal Strategy Growth Fund | TRSGX |
T. Rowe Price Personal Strategy Growth FundI Class | TGIPX |
T. Rowe Price Personal Strategy Income Fund | PRSIX |
T. Rowe Price Personal Strategy Income FundI Class | PPIPX |
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T. ROWE PRICE QUANTITATIVE MANAGEMENT FUNDS, INC. |
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T. Rowe Price QM Global Equity Fund | TQGEX |
T. Rowe Price QM Global Equity FundAdvisor Class | TQGAX |
T. Rowe Price QM Global Equity FundI Class | TQGIX |
T. Rowe Price QM U.S. Small & Mid-Cap Core Equity Fund | TQSMX |
T. Rowe Price QM U.S. Small & Mid-Cap Core Equity FundAdvisor Class | TQSAX |
T. Rowe Price QM U.S. Small & Mid-Cap Core Equity FundI Class | TQSIX |
T. Rowe Price QM U.S. Small-Cap Growth Equity Fund | PRDSX |
T. Rowe Price QM U.S. Small-Cap Growth Equity FundAdvisor Class | TQAAX |
T. Rowe Price QM U.S. Small-Cap Growth Equity FundI Class | TQAIX |
T. Rowe Price QM U.S. Value Equity Fund | TQMVX |
T. Rowe Price QM U.S. Value Equity FundAdvisor Class | TQVAX |
T. Rowe Price QM U.S. Value Equity FundI Class | TQVIX |
T. ROWE PRICE REAL ASSETS FUND, INC. | |
T. Rowe Price Real Assets Fund | PRAFX |
T. Rowe Price Real Assets FundI Class | PRIKX |
T. ROWE PRICE REAL ESTATE FUND, INC. | |
T. Rowe Price Real Estate Fund | TRREX |
T. Rowe Price Real Estate FundAdvisor Class | PAREX |
T. Rowe Price Real Estate FundI Class | TIRRX |
T. ROWE PRICE RESERVE INVESTMENT FUNDS, INC. (TRP Reserve Funds) |
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T. Rowe Price Government Reserve Fund | N/A |
T. Rowe Price Short-Term Fund | N/A |
T. Rowe Price Short-Term Government Fund | N/A |
T. Rowe Price Treasury Reserve Fund | N/A |
T. ROWE PRICE RETIREMENT FUNDS, INC. (Retirement Funds) |
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T. Rowe Price Retirement 2005 Fund | TRRFX |
T. Rowe Price Retirement 2005 FundAdvisor Class | PARGX |
T. Rowe Price Retirement 2005 FundR Class | RRTLX |
T. Rowe Price Retirement 2010 Fund | TRRAX |
T. Rowe Price Retirement 2010 FundAdvisor Class | PARAX |
T. Rowe Price Retirement 2010 FundR Class | RRTAX |
T. Rowe Price Retirement 2015 Fund | TRRGX |
T. Rowe Price Retirement 2015 FundAdvisor Class | PARHX |
T. Rowe Price Retirement 2015 FundR Class | RRTMX |
T. Rowe Price Retirement 2020 Fund | TRRBX |
T. Rowe Price Retirement 2020 FundAdvisor Class | PARBX |
T. Rowe Price Retirement 2020 FundR Class | RRTBX |
T. Rowe Price Retirement 2025 Fund | TRRHX |
T. Rowe Price Retirement 2025 FundAdvisor Class | PARJX |
T. Rowe Price Retirement 2025 FundR Class | RRTNX |
T. Rowe Price Retirement 2030 Fund | TRRCX |
T. Rowe Price Retirement 2030 FundAdvisor Class | PARCX |
T. Rowe Price Retirement 2030 FundR Class | RRTCX |
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T. Rowe Price Retirement 2035 Fund | TRRJX |
T. Rowe Price Retirement 2035 FundAdvisor Class | PARKX |
T. Rowe Price Retirement 2035 FundR Class | RRTPX |
T. Rowe Price Retirement 2040 Fund | TRRDX |
T. Rowe Price Retirement 2040 FundAdvisor Class | PARDX |
T. Rowe Price Retirement 2040 FundR Class | RRTDX |
T. Rowe Price Retirement 2045 Fund | TRRKX |
T. Rowe Price Retirement 2045 FundAdvisor Class | PARLX |
T. Rowe Price Retirement 2045 FundR Class | RRTRX |
T. Rowe Price Retirement 2050 Fund | TRRMX |
T. Rowe Price Retirement 2050 FundAdvisor Class | PARFX |
T. Rowe Price Retirement 2050 FundR Class | RRTFX |
T. Rowe Price Retirement 2055 Fund | TRRNX |
T. Rowe Price Retirement 2055 FundAdvisor Class | PAROX |
T. Rowe Price Retirement 2055 FundR Class | RRTVX |
T. Rowe Price Retirement 2060 Fund | TRRLX |
T. Rowe Price Retirement 2060 FundAdvisor Class | TRRYX |
T. Rowe Price Retirement 2060 FundR Class | TRRZX |
T. Rowe Price Retirement Balanced Fund | TRRIX |
T. Rowe Price Retirement Balanced FundAdvisor Class | PARIX |
T. Rowe Price Retirement Balanced FundR Class | RRTIX |
T. Rowe Price Retirement I 2005 FundI Class | TRPFX |
T. Rowe Price Retirement I 2010 FundI Class | TRPAX |
T. Rowe Price Retirement I 2015 FundI Class | TRFGX |
T. Rowe Price Retirement I 2020 FundI Class | TRBRX |
T. Rowe Price Retirement I 2025 FundI Class | TRPHX |
T. Rowe Price Retirement I 2030 FundI Class | TRPCX |
T. Rowe Price Retirement I 2035 FundI Class | TRPJX |
T. Rowe Price Retirement I 2040 FundI Class | TRPDX |
T. Rowe Price Retirement I 2045 FundI Class | TRPKX |
T. Rowe Price Retirement I 2050 FundI Class | TRPMX |
T. Rowe Price Retirement I 2055 FundI Class | TRPNX |
T. Rowe Price Retirement I 2060 FundI Class | TRPLX |
T. Rowe Price Retirement Balanced I FundI Class | TRPTX |
T. Rowe Price Retirement Income 2020 Fund | TRLAX |
T. Rowe Price Target 2005 Fund | TRARX |
T. Rowe Price Target 2005 FundAdvisor Class | PANRX |
T. Rowe Price Target 2005 FundI Class | TFRRX |
T. Rowe Price Target 2010 Fund | TRROX |
T. Rowe Price Target 2010 FundAdvisor Class | PAERX |
T. Rowe Price Target 2010 FundI Class | TORFX |
T. Rowe Price Target 2015 Fund | TRRTX |
T. Rowe Price Target 2015 FundAdvisor Class | PAHRX |
T. Rowe Price Target 2015 FundI Class | TTRTX |
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T. Rowe Price Target 2020 Fund | TRRUX |
T. Rowe Price Target 2020 FundAdvisor Class | PAIRX |
T. Rowe Price Target 2020 FundI Class | TTURX |
T. Rowe Price Target 2025 Fund | TRRVX |
T. Rowe Price Target 2025 FundAdvisor Class | PAJRX |
T. Rowe Price Target 2025 FundI Class | TRVVX |
T. Rowe Price Target 2030 Fund | TRRWX |
T. Rowe Price Target 2030 FundAdvisor Class | PAKRX |
T. Rowe Price Target 2030 FundI Class | TWRRX |
T. Rowe Price Target 2035 Fund | RPGRX |
T. Rowe Price Target 2035 FundAdvisor Class | PATVX |
T. Rowe Price Target 2035 FundI Class | TPGPX |
T. Rowe Price Target 2040 Fund | TRHRX |
T. Rowe Price Target 2040 FundAdvisor Class | PAHHX |
T. Rowe Price Target 2040 FundI Class | TRXRX |
T. Rowe Price Target 2045 Fund | RPTFX |
T. Rowe Price Target 2045 FundAdvisor Class | PAFFX |
T. Rowe Price Target 2045 FundI Class | TRFWX |
T. Rowe Price Target 2050 Fund | TRFOX |
T. Rowe Price Target 2050 FundAdvisor Class | PAOFX |
T. Rowe Price Target 2050 FundI Class | TOORX |
T. Rowe Price Target 2055 Fund | TRFFX |
T. Rowe Price Target 2055 FundAdvisor Class | PAFTX |
T. Rowe Price Target 2055 FundI Class | TRPPX |
T. Rowe Price Target 2060 Fund | TRTFX |
T. Rowe Price Target 2060 FundAdvisor Class | TRTGX |
T. Rowe Price Target 2060 FundI Class | TTOIX |
T. ROWE PRICE SCIENCE & TECHNOLOGY FUND, INC. | |
T. Rowe Price Science & Technology Fund | PRSCX |
T. Rowe Price Science & Technology FundAdvisor Class | PASTX |
T. Rowe Price Science & Technology FundI Class | TSNIX |
T. ROWE PRICE SHORT-TERM BOND FUND, INC. | |
T. Rowe Price Short-Term Bond Fund | PRWBX |
T. Rowe Price Short-Term Bond FundAdvisor Class | PASHX |
T. Rowe Price Short-Term Bond FundI Class | TBSIX |
T. Rowe Price Ultra Short-Term Bond Fund | TRBUX |
T. Rowe Price Ultra Short-Term Bond FundI Class | TRSTX |
T. ROWE PRICE SMALL-CAP STOCK FUND, INC. | |
T. Rowe Price Small-Cap Stock Fund | OTCFX |
T. Rowe Price Small-Cap Stock FundAdvisor Class | PASSX |
T. Rowe Price Small-Cap Stock FundI Class | OTIIX |
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T. ROWE PRICE SMALL-CAP VALUE FUND, INC. | |
T. Rowe Price Small-Cap Value Fund | PRSVX |
T. Rowe Price Small-Cap Value FundAdvisor Class | PASVX |
T. Rowe Price Small-Cap Value FundI Class | PRVIX |
T. ROWE PRICE SPECTRUM FUND, INC. (Spectrum Funds) |
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Spectrum Growth Fund | PRSGX |
Spectrum Income Fund | RPSIX |
Spectrum International Fund | PSILX |
T. ROWE PRICE STATE TAX-FREE FUNDS, INC. |
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T. Rowe Price California Tax-Free Bond Fund | PRXCX |
T. Rowe Price California Tax-Free Bond FundI Class | TCFEX |
T. Rowe Price California Tax-Free Money Fund | PCTXX |
T. Rowe Price California Tax-Free Money FundI Class | TCBXX |
T. Rowe Price Georgia Tax-Free Bond Fund | GTFBX |
T. Rowe Price Georgia Tax-Free Bond FundI Class | TBGAX |
T. Rowe Price Maryland Short-Term Tax-Free Bond Fund | PRMDX |
T. Rowe Price Maryland Short-Term Tax-Free Bond FundI Class | TRMUX |
T. Rowe Price Maryland Tax-Free Bond Fund | MDXBX |
T. Rowe Price Maryland Tax-Free Bond FundI Class | TFBIX |
T. Rowe Price Maryland Tax-Free Money Fund | TMDXX |
T. Rowe Price Maryland Tax-Free Money FundI Class | TWNXX |
T. Rowe Price New Jersey Tax-Free Bond Fund | NJTFX |
T. Rowe Price New Jersey Tax-Free Bond FundI Class | TRJIX |
T. Rowe Price New York Tax-Free Bond Fund | PRNYX |
T. Rowe Price New York Tax-Free Bond FundI Class | TRYIX |
T. Rowe Price New York Tax-Free Money Fund | NYTXX |
T. Rowe Price New York Tax-Free Money FundI Class | TRNXX |
T. Rowe Price Virginia Tax-Free Bond Fund | PRVAX |
T. Rowe Price Virginia Tax-Free Bond FundI Class | TFBVX |
T. ROWE PRICE SUMMIT FUNDS, INC. |
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T. Rowe Price Cash Reserves Fund | TSCXX |
T. ROWE PRICE SUMMIT MUNICIPAL FUNDS, INC. (Summit Municipal Funds) |
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T. Rowe Price Summit Municipal Income Fund | PRINX |
T. Rowe Price Summit Municipal Income FundAdvisor Class | PAIMX |
T. Rowe Price Summit Municipal Intermediate Fund | PRSMX |
T. Rowe Price Summit Municipal Intermediate FundAdvisor Class | PAIFX |
T. Rowe Price Summit Municipal Money Market Fund | TRSXX |
T. ROWE PRICE TAX-EFFICIENT FUNDS, INC. (Tax-Efficient Funds) |
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T. Rowe Price Tax-Efficient Equity Fund | PREFX |
T. Rowe Price Tax-Efficient Equity FundI Class | TEEFX |
T. ROWE PRICE TAX-EXEMPT MONEY FUND, INC. | |
T. Rowe Price Tax-Exempt Money Fund | PTEXX |
T. Rowe Price Tax-Exempt Money FundI Class | TERXX |
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T. ROWE PRICE TAX-FREE HIGH YIELD FUND, INC. | |
T. Rowe Price Tax-Free High Yield Fund | PRFHX |
T. Rowe Price Tax-Free High Yield FundAdvisor Class | PATFX |
T. Rowe Price Tax-Free High Yield FundI Class | PTYIX |
T. ROWE PRICE TAX-FREE INCOME FUND, INC. | |
T. Rowe Price Tax-Free Income Fund | PRTAX |
T. Rowe Price Tax-Free Income FundAdvisor Class | PATAX |
T. Rowe Price Tax-Free Income FundI Class | TFILX |
T. ROWE PRICE TAX-FREE SHORT-INTERMEDIATE FUND, INC. | |
T. Rowe Price Tax-Free Short-Intermediate Fund | PRFSX |
T. Rowe Price Tax-Free Short-Intermediate FundAdvisor Class | PATIX |
T. Rowe Price Tax-Free Short-Intermediate FundI Class | TTSIX |
T. ROWE PRICE TOTAL RETURN FUND, INC. | |
T. Rowe Price Total Return Fund | PTTFX |
T. Rowe Price Total Return FundAdvisor Class | PTATX |
T. Rowe Price Total Return FundI Class | PTKIX |
T. ROWE PRICE U.S. BOND ENHANCED INDEX FUND, INC. | |
T. Rowe Price U.S. Bond Enhanced Index Fund | PBDIX |
T. ROWE PRICE U.S. LARGE-CAP CORE FUND, INC. | |
T. Rowe Price U.S. Large-Cap Core Fund | TRULX |
T. Rowe Price U.S. Large-Cap Core FundAdvisor Class | PAULX |
T. Rowe Price U.S. Large-Cap Core FundI Class | RCLIX |
T. ROWE PRICE U.S. TREASURY FUNDS, INC. (U.S. Treasury Funds) |
|
U.S. Treasury Intermediate Fund | PRTIX |
U.S. Treasury Intermediate FundI Class | PRKIK |
U.S. Treasury Long-Term Fund | PRULX |
U.S. Treasury Long-Term FundI Class | PRUUX |
U.S. Treasury Money Fund | PRTXX |
U.S. Treasury Money FundI Class | TRGXX |
T. ROWE PRICE VALUE FUND, INC. | |
T. Rowe Price Value Fund | TRVLX |
T. Rowe Price Value FundAdvisor Class | PAVLX |
T. Rowe Price Value FundI Class | TRPIX |
Mailing Address:
T. Rowe
Price Investment Services, Inc.
100 East Pratt Street
Baltimore, Maryland 21202
1-800-638-5660
This SAI is not a prospectus but should be read in conjunction with the appropriate current fund prospectus, which may be obtained from T. Rowe Price Investment Services, Inc. (Investment Services).
Each funds financial statements for its most recent fiscal period and the Report of Independent Registered Public Accounting Firm are included in each funds annual or semiannual report and incorporated by reference into this SAI. The California Tax-Free Bond FundI Class, California Tax-Free Money FundI Class, Capital Appreciation & Income Fund, Capital Appreciation & Income FundAdvisor Class, Capital
11
Appreciation & IncomeI Class, Floating Rate FundI Class, Georgia Tax-Free Bond FundI Class, Intermediate Tax-Free High Yield FundI Class, Maryland Short-Term Tax-Free Bond FundI Class, Maryland Tax-Free Bond FundI Class, Maryland Tax-Free Money FundI Class, Multi-Strategy Total Return Fund, Multi-Strategy Total Return FundAdvisor Class, Multi-Strategy Total Return FundI Class, New Jersey Tax-Free Bond FundI Class, New York Tax-Free Bond FundI Class, New York Tax-Free Money FundI Class, Short-Term Government Fund, Tax-Efficient Equity FundI Class, Tax-Exempt Money FundI Class, Tax-Free Income FundI Class, Ultra Short-Term Bond FundI Class, and Virginia Tax-Free Bond FundI Class have not been in operation long enough to have complete financial statements.
If you would like a prospectus or an annual or semiannual shareholder report for a fund, please visit troweprice.com or call 1-800-638-5660 and it will be sent to you at no charge. Please read this material carefully.
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PART I TABLE OF CONTENTS
Page
Investment Management Agreements | |
Page
Accounting Firm | |
References to the following are as indicated:
Fitch Ratings, Inc. (Fitch)
Internal Revenue Code of 1986, as amended (Code)
Internal Revenue Service (IRS)
Investment Company Act of 1940, as amended (1940 Act)
Moodys Investors Service, Inc. (Moodys)
Securities Act of 1933, as amended (1933 Act)
Securities and Exchange Commission (SEC)
Securities Exchange Act of 1934, as amended (1934 Act)
S&P Global Ratings (S&P)
T. Rowe Price Associates, Inc. (T. Rowe Price)
T. Rowe Price Hong Kong Limited (Price Hong Kong)
T. Rowe Price Japan, Inc. (Price Japan)
T. Rowe Price International Ltd (T. Rowe Price International)
T. Rowe Price Singapore Private Ltd. (Price Singapore)
While many Price Funds are offered in more than one share class, not all funds are offered in the share classes described below. The front cover of each Price Funds prospectus indicates which share classes are available for the fund.
Investor Class
The Investor Class is generally designed for individual investors, but is also available to institutions and a wide variety of other types of investors. The Investor Class may be purchased directly through T. Rowe Price or through a financial intermediary. A Price Fund (other than an institutional fund) that does not indicate a specific share class after its name is considered to be the Investor Class of that fund.
I Class
The I Class generally requires a $1,000,000 initial investment minimum, although the minimum may be waived for retirement plans, financial intermediaries maintaining omnibus accounts for their customers, client accounts for which T. Rowe Price or its affiliate has discretionary investment authority, and certain other accounts. I Class shares are designed to be sold to corporations, endowments and foundations, charitable trusts, defined benefit and defined contribution retirement plans, brokers, registered investment advisers, banks and bank trust programs, investment companies and other pooled investment vehicles, and certain individuals meeting the investment minimum or other specific criteria.
Advisor Class
The Advisor Class is designed to be sold through various financial intermediaries, such as broker-dealers, banks, insurance companies, retirement plan recordkeepers, and financial advisors. The Advisor Class must be purchased through an eligible intermediary (except for certain retirement plans held directly with T. Rowe Price). The Advisor Class requires an agreement between the financial intermediary and T. Rowe Price to be executed prior to investment.
13
R Class
The R Class is designed to be sold only through various third-party intermediaries that offer employer-sponsored defined contribution retirement plans and certain other accounts, including brokers, dealers, banks, insurance companies, retirement plan recordkeepers, and others. The R Class must be purchased through an eligible intermediary (except for certain retirement plans held directly with T. Rowe Price). The R Class requires an agreement between the financial intermediary and T. Rowe Price to be executed prior to investment.
Institutional Funds
Most of the T. Rowe Price institutional funds are available only in a single share class (referred to as the Institutional Class). The Institutional Class (other than their F Class shares) generally requires a $1,000,000 initial investment minimum, although the minimum may be waived for retirement plans, financial intermediaries maintaining omnibus accounts, and certain other accounts. The Institutional Class is designed for institutional investors, which typically include, but are not limited to: corporations, endowments and foundations, charitable trusts, investment companies and other pooled vehicles, defined benefit and defined contribution retirement plans, broker-dealers, registered investment advisers, banks and bank trust programs, and Section 529 college savings plans.
F Class
The F Class is a separate share class of certain institutional funds and is designed to be sold only through financial advisors and certain third-party intermediaries, including brokers, banks, insurance companies, retirement plan recordkeepers, and other financial intermediaries that provide various distribution and administrative services. F Class shares are not intended to be offered by intermediaries through a mutual fund supermarket platform. The F Class cannot be purchased directly through T. Rowe Price and must be purchased through an intermediary.
Mid-Cap Index Fund, Multi-Sector Account Portfolios, Small-Cap Index Fund, and TRP Reserve Funds
These funds are not available for direct purchase by members of the public. Shares of these funds may only be purchased by or on behalf of mutual funds, Section 529 college savings plans, or certain institutional client accounts for which T. Rowe Price or one of its affiliates has discretionary investment authority.
Below is a table showing the prospectus and shareholder report dates for each fund. The table also lists each funds category, which should be used to identify groups of funds that are referenced throughout this SAI. The prospectus date shown for each fund reflects the date that the prospectus will be annually updated once the fund has been in operation at its fiscal year-end.
Fund | Fund Category | Fiscal Year-End | Annual Report Date | Semiannual Report Date | Prospectus Date |
Africa & Middle East Fund | International Equity | Oct 31 | Oct 31 | Apr 30 | March 1 |
Africa & Middle East FundI Class | International Equity | Oct 31 | Oct 31 | Apr 30 | March 1 |
Asia Opportunities Fund | International Equity | Oct 31 | Oct 31 | Apr 30 | March 1 |
Asia Opportunities FundAdvisor Class | International Equity | Oct 31 | Oct 31 | Apr 30 | March 1 |
Asia Opportunities FundI Class | International Equity | Oct 31 | Oct 31 | Apr 30 | March 1 |
Balanced Fund | Asset Allocation | Dec 31 | Dec 31 | June 30 | May 1 |
Balanced FundI Class | Asset Allocation | Dec 31 | Dec 31 | June 30 | May 1 |
Blue Chip Growth Fund | Equity | Dec 31 | Dec 31 | June 30 | May 1 |
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Fund | Fund Category | Fiscal Year-End | Annual Report Date | Semiannual Report Date | Prospectus Date |
Blue Chip Growth FundAdvisor Class | Equity | Dec 31 | Dec 31 | June 30 | May 1 |
Blue Chip Growth FundI Class | Equity | Dec 31 | Dec 31 | June 30 | May 1 |
Blue Chip Growth FundR Class | Equity | Dec 31 | Dec 31 | June 30 | May 1 |
California Tax-Free Bond Fund | State Tax-Free Bond | Feb 28 | Feb 28 | Aug 30 | July 1 |
California Tax-Free Bond FundI Class | State Tax-Free Bond | Feb 28 | Feb 28 | Aug 30 | July 1 |
California Tax-Free Money Fund | State Tax-Free Money | Feb 28 | Feb 28 | Aug 30 | July 1 |
California Tax-Free Money FundI Class | State Tax-Free Money | Feb 28 | Feb 28 | Aug 30 | July 1 |
Capital Appreciation Fund | Equity | Dec 31 | Dec 31 | June 30 | May 1 |
Capital Appreciation FundAdvisor Class | Equity | Dec 31 | Dec 31 | June 30 | May 1 |
Capital Appreciation FundI Class | Equity | Dec 31 | Dec 31 | June 30 | May 1 |
Capital Appreciation & Income Fund | Equity | Dec 31 | Dec 31 | June 30 | May 1 |
Capital Appreciation & Income FundAdvisor Class | Equity | Dec 31 | Dec 31 | June 30 | May 1 |
Capital Appreciation & Income FundI Class | Equity | Dec 31 | Dec 31 | June 30 | May 1 |
Capital Opportunity Fund | Equity | Dec 31 | Dec 31 | June 30 | May 1 |
Capital Opportunity FundAdvisor Class | Equity | Dec 31 | Dec 31 | June 30 | May 1 |
Capital Opportunity FundI Class | Equity | Dec 31 | Dec 31 | June 30 | May 1 |
Capital Opportunity FundR Class | Equity | Dec 31 | Dec 31 | June 30 | May 1 |
Cash Reserves Fund | Taxable Money | Oct 31 | Oct 31 | Apr 30 | March 1 |
Communications & Technology Fund | Equity | Dec 31 | Dec 31 | June 30 | May 1 |
Communications & Technology FundI Class | Equity | Dec 31 | Dec 31 | June 30 | May 1 |
Corporate Income Fund | Taxable Bond | May 31 | May 31 | Nov 30 | Oct 1 |
Corporate Income FundI Class | Taxable Bond | May 31 | May 31 | Nov 30 | Oct 1 |
Credit Opportunities Fund | Taxable Bond | May 31 | May 31 | Nov 30 | Oct 1 |
Credit Opportunities FundAdvisor Class | Taxable Bond | May 31 | May 31 | Nov 30 | Oct 1 |
Credit Opportunities FundI Class | Taxable Bond | May 31 | May 31 | Nov 30 | Oct 1 |
Diversified Mid-Cap Growth Fund | Equity | Dec 31 | Dec 31 | June 30 | May 1 |
Diversified Mid-Cap Growth FundI Class | Equity | Dec 31 | Dec 31 | June 30 | May 1 |
Dividend Growth Fund | Equity | Dec 31 | Dec 31 | June 30 | May 1 |
Dividend Growth FundAdvisor Class | Equity | Dec 31 | Dec 31 | June 30 | May 1 |
Dividend Growth FundI Class | Equity | Dec 31 | Dec 31 | June 30 | May 1 |
15
Fund | Fund Category | Fiscal Year-End | Annual Report Date | Semiannual Report Date | Prospectus Date |
Dynamic Global Bond Fund | Taxable Bond | Dec 31 | Dec 31 | June 30 | May 1 |
Dynamic Global Bond FundAdvisor Class | Taxable Bond | Dec 31 | Dec 31 | June 30 | May 1 |
Dynamic Global Bond FundI Class | Taxable Bond | Dec 31 | Dec 31 | June 30 | May 1 |
Emerging Europe Fund | International Equity | Oct 31 | Oct 31 | Apr 30 | March 1 |
Emerging Europe FundI Class | International Equity | Oct 31 | Oct 31 | Apr 30 | March 1 |
Emerging Markets Bond Fund | International Bond | Dec 31 | Dec 31 | June 30 | May 1 |
Emerging Markets Bond FundAdvisor Class | International Bond | Dec 31 | Dec 31 | June 30 | May 1 |
Emerging Markets Bond FundI Class | International Bond | Dec 31 | Dec 31 | June 30 | May 1 |
Emerging Markets Corporate Bond Fund | International Bond | Dec 31 | Dec 31 | June 30 | May 1 |
Emerging Markets Corporate Bond FundAdvisor Class | International Bond | Dec 31 | Dec 31 | June 30 | May 1 |
Emerging Markets Corporate Bond FundI Class | International Bond | Dec 31 | Dec 31 | June 30 | May 1 |
Emerging Markets Corporate Multi-Sector Account Portfolio | International Bond | Dec 31 | Dec 31 | June 30 | May 1 |
Emerging Markets Local Currency Bond Fund | International Bond | Dec 31 | Dec 31 | June 30 | May 1 |
Emerging Markets Local Currency Bond FundAdvisor Class | International Bond | Dec 31 | Dec 31 | June 30 | May 1 |
Emerging Markets Local Currency Bond FundI Class | International Bond | Dec 31 | Dec 31 | June 30 | May 1 |
Emerging Markets Local Multi-Sector Account Portfolio | International Bond | Dec 31 | Dec 31 | June 30 | May 1 |
Emerging Markets Stock Fund | International Equity | Oct 31 | Oct 31 | Apr 30 | March 1 |
Emerging Markets Stock FundI Class | International Equity | Oct 31 | Oct 31 | Apr 30 | March 1 |
Emerging Markets Value Stock Fund | International Equity | Oct 31 | Oct 31 | Apr 30 | March 1 |
Emerging Markets Value Stock FundAdvisor Class | International Equity | Oct 31 | Oct 31 | Apr 30 | March 1 |
Emerging Markets Value Stock FundI Class | International Equity | Oct 31 | Oct 31 | Apr 30 | March 1 |
Equity Income Fund | Equity | Dec 31 | Dec 31 | June 30 | May 1 |
Equity Income FundAdvisor Class | Equity | Dec 31 | Dec 31 | June 30 | May 1 |
Equity Income FundI Class | Equity | Dec 31 | Dec 31 | June 30 | May 1 |
Equity Income FundR Class | Equity | Dec 31 | Dec 31 | June 30 | May 1 |
Equity Index 500 Fund | Index Equity | Dec 31 | Dec 31 | June 30 | May 1 |
Equity Index 500 FundI Class | Index Equity | Dec 31 | Dec 31 | June 30 | May 1 |
16
Fund | Fund Category | Fiscal Year-End | Annual Report Date | Semiannual Report Date | Prospectus Date |
European Stock Fund | International Equity | Oct 31 | Oct 31 | Apr 30 | March 1 |
European Stock FundI Class | International Equity | Oct 31 | Oct 31 | Apr 30 | March 1 |
Extended Equity Market Index Fund | Index Equity | Dec 31 | Dec 31 | June 30 | May 1 |
Financial Services Fund | Equity | Dec 31 | Dec 31 | June 30 | May 1 |
Financial Services FundI Class | Equity | Dec 31 | Dec 31 | June 30 | May 1 |
Floating Rate Fund | Taxable Bond | May 31 | May 31 | Nov 30 | Oct 1 |
Floating Rate FundAdvisor Class | Taxable Bond | May 31 | May 31 | Nov 30 | Oct 1 |
Floating Rate FundI Class | Taxable Bond | May 31 | May 31 | Nov 30 | Oct 1 |
Floating Rate Multi-Sector Account Portfolio | Taxable Bond | Feb 28 | Feb 28 | Aug 30 | July 1 |
Georgia Tax-Free Bond Fund | State Tax-Free Bond | Feb 28 | Feb 28 | Aug 30 | July 1 |
Georgia Tax-Free Bond FundI Class | State Tax-Free Bond | Feb 28 | Feb 28 | Aug 30 | July 1 |
Global Allocation Fund | Asset Allocation | Oct 31 | Oct 31 | Apr 30 | March 1 |
Global Allocation FundAdvisor Class | Asset Allocation | Oct 31 | Oct 31 | Apr 30 | March 1 |
Global Allocation FundI Class | Asset Allocation | Oct 31 | Oct 31 | Apr 30 | March 1 |
Global Consumer Fund | Equity | Dec 31 | Dec 31 | June 30 | May 1 |
Global Growth Stock Fund | Equity | Oct 31 | Oct 31 | Apr 30 | March 1 |
Global Growth Stock FundAdvisor Class | Equity | Oct 31 | Oct 31 | Apr 30 | March 1 |
Global Growth Stock FundI Class | Equity | Oct 31 | Oct 31 | Apr 30 | March 1 |
Global High Income Bond Fund | Taxable Bond | Dec 31 | Dec 31 | June 30 | May 1 |
Global High Income Bond FundAdvisor Class | Taxable Bond | Dec 31 | Dec 31 | June 30 | May 1 |
Global High Income Bond FundI Class | Taxable Bond | Dec 31 | Dec 31 | June 30 | May 1 |
Global Industrials Fund | Equity | Dec 31 | Dec 31 | June 30 | May 1 |
Global Industrials FundI Class | Equity | Dec 31 | Dec 31 | June 30 | May 1 |
Global Multi-Sector Bond Fund | Taxable Bond | May 31 | May 31 | Nov 30 | Oct 1 |
Global Multi-Sector Bond FundAdvisor Class | Taxable Bond | May 31 | May 31 | Nov 30 | Oct 1 |
Global Multi-Sector Bond FundI Class | Taxable Bond | May 31 | May 31 | Nov 30 | Oct 1 |
Global Real Estate Fund | Equity | Dec 31 | Dec 31 | June 30 | May 1 |
Global Real Estate FundAdvisor Class | Equity | Dec 31 | Dec 31 | June 30 | May 1 |
Global Real Estate FundI Class | Equity | Dec 31 | Dec 31 | June 30 | May 1 |
Global Stock Fund | Equity | Oct 31 | Oct 31 | Apr 30 | March 1 |
Global Stock FundAdvisor Class | Equity | Oct 31 | Oct 31 | Apr 30 | March 1 |
Global Stock FundI Class | Equity | Oct 31 | Oct 31 | Apr 30 | March 1 |
Global Technology Fund | Equity | Dec 31 | Dec 31 | June 30 | May 1 |
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Fund | Fund Category | Fiscal Year-End | Annual Report Date | Semiannual Report Date | Prospectus Date |
Global Technology FundI Class | Equity | Dec 31 | Dec 31 | June 30 | May 1 |
GNMA Fund | Taxable Bond | May 31 | May 31 | Nov 30 | Oct 1 |
GNMA FundI Class | Taxable Bond | May 31 | May 31 | Nov 30 | Oct 1 |
Government Money Fund | Taxable Money | May 31 | May 31 | Nov 30 | Oct 1 |
Government Money FundI Class | Taxable Money | May 31 | May 31 | Nov 30 | Oct 1 |
Government Reserve Fund | Taxable Money | May 31 | May 31 | Nov 30 | Oct 1 |
Growth & Income Fund | Equity | Dec 31 | Dec 31 | June 30 | May 1 |
Growth & Income FundI Class | Equity | Dec 31 | Dec 31 | June 30 | May 1 |
Growth Stock Fund | Equity | Dec 31 | Dec 31 | June 30 | May 1 |
Growth Stock FundAdvisor Class | Equity | Dec 31 | Dec 31 | June 30 | May 1 |
Growth Stock FundI Class | Equity | Dec 31 | Dec 31 | June 30 | May 1 |
Growth Stock FundR Class | Equity | Dec 31 | Dec 31 | June 30 | May 1 |
Health Sciences Fund | Equity | Dec 31 | Dec 31 | June 30 | May 1 |
Health Sciences FundI Class | Equity | Dec 31 | Dec 31 | June 30 | May 1 |
High Yield Fund | Taxable Bond | May 31 | May 31 | Nov 30 | Oct 1 |
High Yield FundAdvisor Class | Taxable Bond | May 31 | May 31 | Nov 30 | Oct 1 |
High Yield FundI Class | Taxable Bond | May 31 | May 31 | Nov 30 | Oct 1 |
High Yield Multi-Sector Account Portfolio | Taxable Bond | Feb 28 | Feb 28 | Aug 30 | July 1 |
Inflation Protected Bond Fund | Taxable Bond | May 31 | May 31 | Nov 30 | Oct 1 |
Inflation Protected Bond FundI Class | Taxable Bond | May 31 | May 31 | Nov 30 | Oct 1 |
Institutional Africa & Middle East Fund | International Equity | Oct 31 | Oct 31 | Apr 30 | March 1 |
Institutional Cash Reserves Fund | Taxable Money | May 31 | May 31 | Nov 30 | Oct 1 |
Institutional Core Plus Fund | Taxable Bond | May 31 | May 31 | Nov 30 | Oct 1 |
Institutional Credit Opportunities Fund | Taxable Bond | May 31 | May 31 | Nov 30 | Oct 1 |
Institutional Emerging Markets Bond Fund | International Bond | Dec 31 | Dec 31 | June 30 | May 1 |
Institutional Emerging Markets Equity Fund | International Equity | Oct 31 | Oct 31 | Apr 30 | March 1 |
Institutional Floating Rate Fund | Taxable Bond | May 31 | May 31 | Nov 30 | Oct 1 |
Institutional Floating Rate FundF Class | Taxable Bond | May 31 | May 31 | Nov 30 | Oct 1 |
Institutional Frontier Markets Equity Fund | International Equity | Oct 31 | Oct 31 | Apr 30 | March 1 |
Institutional Global Focused Growth Equity Fund | Equity | Oct 31 | Oct 31 | Apr 30 | March 1 |
Institutional Global Growth Equity Fund | Equity | Oct 31 | Oct 31 | Apr 30 | March 1 |
Institutional Global Multi-Sector Bond Fund | Taxable Bond | May 31 | May 31 | Nov 30 | Oct 1 |
18
Fund | Fund Category | Fiscal Year-End | Annual Report Date | Semiannual Report Date | Prospectus Date |
Institutional Global Value Equity Fund | Equity | Oct 31 | Oct 31 | Apr 30 | March 1 |
Institutional High Yield Fund | Taxable Bond | May 31 | May 31 | Nov 30 | Oct 1 |
Institutional International Bond Fund | International Bond | Dec 31 | Dec 31 | June 30 | May 1 |
Institutional International Concentrated Equity Fund | International Equity | Oct 31 | Oct 31 | Apr 30 | March 1 |
Institutional International Core Equity Fund | International Equity | Oct 31 | Oct 31 | Apr 30 | March 1 |
Institutional International Growth Equity Fund | International Equity | Oct 31 | Oct 31 | Apr 30 | March 1 |
Institutional Large-Cap Core Growth Fund | Equity | Dec 31 | Dec 31 | June 30 | May 1 |
Institutional Large-Cap Growth Fund | Equity | Dec 31 | Dec 31 | June 30 | May 1 |
Institutional Large-Cap Value Fund | Equity | Dec 31 | Dec 31 | June 30 | May 1 |
Institutional Long Duration Credit Fund | Taxable Bond | May 31 | May 31 | Nov 30 | Oct 1 |
Institutional Mid-Cap Equity Growth Fund | Equity | Dec 31 | Dec 31 | June 30 | May 1 |
Institutional Small-Cap Stock Fund | Equity | Dec 31 | Dec 31 | June 30 | May 1 |
Institutional U.S. Structured Research Fund | Equity | Dec 31 | Dec 31 | June 30 | May 1 |
Intermediate Tax-Free High Yield Fund | Tax-Free Bond | Feb 28 | Feb 28 | Aug 30 | July 1 |
Intermediate Tax-Free High Yield FundAdvisor Class | Tax-Free Bond | Feb 28 | Feb 28 | Aug 30 | July 1 |
Intermediate Tax-Free High Yield FundI Class | Tax-Free Bond | Feb 28 | Feb 28 | Aug 30 | July 1 |
International Bond Fund | International Bond | Dec 31 | Dec 31 | June 30 | May 1 |
International Bond FundAdvisor Class | International Bond | Dec 31 | Dec 31 | June 30 | May 1 |
International Bond FundI Class | International Bond | Dec 31 | Dec 31 | June 30 | May 1 |
International Bond Fund (USD Hedged) | International Bond | Dec 31 | Dec 31 | June 30 | May 1 |
International Bond Fund (USD Hedged)Advisor Class | International Bond | Dec 31 | Dec 31 | June 30 | May 1 |
International Bond Fund (USD Hedged)I Class | International Bond | Dec 31 | Dec 31 | June 30 | May 1 |
International Concentrated Equity Fund | International Equity | Oct 31 | Oct 31 | Apr 30 | March 1 |
International Concentrated Equity FundAdvisor Class | International Equity | Oct 31 | Oct 31 | Apr 30 | March 1 |
International Concentrated Equity FundI Class | International Equity | Oct 31 | Oct 31 | Apr 30 | March 1 |
International Discovery Fund | International Equity | Oct 31 | Oct 31 | Apr 30 | March 1 |
International Discovery FundI Class | International Equity | Oct 31 | Oct 31 | Apr 30 | March 1 |
International Equity Index Fund | International Equity | Oct 31 | Oct 31 | Apr 30 | March 1 |
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Fund | Fund Category | Fiscal Year-End | Annual Report Date | Semiannual Report Date | Prospectus Date |
International Stock Fund | International Equity | Oct 31 | Oct 31 | Apr 30 | March 1 |
International Stock FundAdvisor Class | International Equity | Oct 31 | Oct 31 | Apr 30 | March 1 |
International Stock FundI Class | International Equity | Oct 31 | Oct 31 | Apr 30 | March 1 |
International Stock FundR Class | International Equity | Oct 31 | Oct 31 | Apr 30 | March 1 |
International Value Equity Fund | International Equity | Oct 31 | Oct 31 | Apr 30 | March 1 |
International Value Equity FundAdvisor Class | International Equity | Oct 31 | Oct 31 | Apr 30 | March 1 |
International Value Equity FundI Class | International Equity | Oct 31 | Oct 31 | Apr 30 | March 1 |
International Value Equity FundR Class | International Equity | Oct 31 | Oct 31 | Apr 30 | March 1 |
Investment-Grade Corporate Multi-Sector Account Portfolio | Taxable Bond | Feb 28 | Feb 28 | Aug 30 | July 1 |
Japan Fund | International Equity | Oct 31 | Oct 31 | Apr 30 | March 1 |
Japan FundI Class | International Equity | Oct 31 | Oct 31 | Apr 30 | March 1 |
Latin America Fund | International Equity | Oct 31 | Oct 31 | Apr 30 | March 1 |
Latin America FundI Class | International Equity | Oct 31 | Oct 31 | Apr 30 | March 1 |
Limited Duration Inflation Focused Bond Fund | Taxable Bond | May 31 | May 31 | Nov 30 | Oct 1 |
Limited Duration Inflation Focused Bond FundI Class | Taxable Bond | May 31 | May 31 | Nov 30 | Oct 1 |
Maryland Short-Term Tax-Free Bond Fund | State Tax-Free Bond | Feb 28 | Feb 28 | Aug 30 | July 1 |
Maryland Short-Term Tax-Free Bond FundI Class | State Tax-Free Bond | Feb 28 | Feb 28 | Aug 30 | July 1 |
Maryland Tax-Free Bond Fund | State Tax-Free Bond | Feb 28 | Feb 28 | Aug 30 | July 1 |
Maryland Tax-Free Bond FundI Class | State Tax-Free Bond | Feb 28 | Feb 28 | Aug 30 | July 1 |
Maryland Tax-Free Money Fund | State Tax-Free Money | Feb 28 | Feb 28 | Aug 30 | July 1 |
Maryland Tax-Free Money FundI Class | State Tax-Free Money | Feb 28 | Feb 28 | Aug 30 | July 1 |
Mid-Cap Growth Fund | Equity | Dec 31 | Dec 31 | June 30 | May 1 |
Mid-Cap Growth FundAdvisor Class | Equity | Dec 31 | Dec 31 | June 30 | May 1 |
Mid-Cap Growth FundI Class | Equity | Dec 31 | Dec 31 | June 30 | May 1 |
Mid-Cap Growth FundR Class | Equity | Dec 31 | Dec 31 | June 30 | May 1 |
Mid-Cap Index Fund | Index Equity | Dec 31 | Dec 31 | June 30 | May 1 |
Mid-Cap Index FundI Class | Index Equity | Dec 31 | Dec 31 | June 30 | May 1 |
Mid-Cap Value Fund | Equity | Dec 31 | Dec 31 | June 30 | May 1 |
Mid-Cap Value FundAdvisor Class | Equity | Dec 31 | Dec 31 | June 30 | May 1 |
Mid-Cap Value FundI Class | Equity | Dec 31 | Dec 31 | June 30 | May 1 |
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Fund | Fund Category | Fiscal Year-End | Annual Report Date | Semiannual Report Date | Prospectus Date |
Mid-Cap Value FundR Class | Equity | Dec 31 | Dec 31 | June 30 | May 1 |
Mortgage-Backed Securities Multi-Sector Account Portfolio | Taxable Bond | Feb 28 | Feb 28 | Aug 30 | July 1 |
Multi-Strategy Total Return Fund | Asset Allocation | Oct 31 | Oct 31 | Apr 30 | March 1 |
Multi-Strategy Total Return FundAdvisor Class | Asset Allocation | Oct 31 | Oct 31 | Apr 30 | March 1 |
Multi-Strategy Total Return FundI Class | Asset Allocation | Oct 31 | Oct 31 | Apr 30 | March 1 |
New America Growth Fund | Equity | Dec 31 | Dec 31 | June 30 | May 1 |
New America Growth FundAdvisor Class | Equity | Dec 31 | Dec 31 | June 30 | May 1 |
New America Growth FundI Class | Equity | Dec 31 | Dec 31 | June 30 | May 1 |
New Asia Fund | International Equity | Oct 31 | Oct 31 | Apr 30 | March 1 |
New Asia FundI Class | International Equity | Oct 31 | Oct 31 | Apr 30 | March 1 |
New Era Fund | Equity | Dec 31 | Dec 31 | June 30 | May 1 |
New Era FundI Class | Equity | Dec 31 | Dec 31 | June 30 | May 1 |
New Horizons Fund | Equity | Dec 31 | Dec 31 | June 30 | May 1 |
New Horizons FundI Class | Equity | Dec 31 | Dec 31 | June 30 | May 1 |
New Income Fund | Taxable Bond | May 31 | May 31 | Nov 30 | Oct 1 |
New Income FundAdvisor Class | Taxable Bond | May 31 | May 31 | Nov 30 | Oct 1 |
New Income FundI Class | Taxable Bond | May 31 | May 31 | Nov 30 | Oct 1 |
New Income FundR Class | Taxable Bond | May 31 | May 31 | Nov 30 | Oct 1 |
New Jersey Tax-Free Bond Fund | State Tax-Free Bond | Feb 28 | Feb 28 | Aug 30 | July 1 |
New Jersey Tax-Free Bond FundI Class | State Tax-Free Bond | Feb 28 | Feb 28 | Aug 30 | July 1 |
New York Tax-Free Bond Fund | State Tax-Free Bond | Feb 28 | Feb 28 | Aug 30 | July 1 |
New York Tax-Free Bond FundI Class | State Tax-Free Bond | Feb 28 | Feb 28 | Aug 30 | July 1 |
New York Tax-Free Money Fund | State Tax-Free Money | Feb 28 | Feb 28 | Aug 30 | July 1 |
New York Tax-Free Money FundI Class | State Tax-Free Money | Feb 28 | Feb 28 | Aug 30 | July 1 |
Overseas Stock Fund | International Equity | Oct 31 | Oct 31 | Apr 30 | March 1 |
Overseas Stock FundAdvisor Class | International Equity | Oct 31 | Oct 31 | Apr 30 | March 1 |
Overseas Stock FundI Class | International Equity | Oct 31 | Oct 31 | Apr 30 | March 1 |
Personal Strategy Balanced Fund | Asset Allocation | May 31 | May 31 | Nov 30 | Oct 1 |
Personal Strategy Balanced FundI Class | Asset Allocation | May 31 | May 31 | Nov 30 | Oct 1 |
Personal Strategy Growth Fund | Asset Allocation | May 31 | May 31 | Nov 30 | Oct 1 |
Personal Strategy Growth FundI Class | Asset Allocation | May 31 | May 31 | Nov 30 | Oct 1 |
Personal Strategy Income Fund | Asset Allocation | May 31 | May 31 | Nov 30 | Oct 1 |
21
Fund | Fund Category | Fiscal Year-End | Annual Report Date | Semiannual Report Date | Prospectus Date |
Personal Strategy Income FundI Class | Asset Allocation | May 31 | May 31 | Nov 30 | Oct 1 |
QM Global Equity Fund | Equity | Dec 31 | Dec 31 | June 30 | May 1 |
QM Global Equity FundAdvisor Class | Equity | Dec 31 | Dec 31 | June 30 | May 1 |
QM Global Equity FundI Class | Equity | Dec 31 | Dec 31 | June 30 | May 1 |
QM U.S. Small & Mid-Cap Core Equity Fund | Equity | Dec 31 | Dec 31 | June 30 | May 1 |
QM U.S. Small & Mid-Cap Core Equity FundAdvisor Class | Equity | Dec 31 | Dec 31 | June 30 | May 1 |
QM U.S. Small & Mid-Cap Core Equity FundI Class | Equity | Dec 31 | Dec 31 | June 30 | May 1 |
QM U.S. Small-Cap Growth Equity Fund | Equity | Dec 31 | Dec 31 | June 30 | May 1 |
QM U.S. Small-Cap Growth Equity FundAdvisor Class | Equity | Dec 31 | Dec 31 | June 30 | May 1 |
QM U.S. Small-Cap Growth Equity FundI Class | Equity | Dec 31 | Dec 31 | June 30 | May 1 |
QM U.S. Value Equity Fund | Equity | Dec 31 | Dec 31 | June 30 | May 1 |
QM U.S. Value Equity FundAdvisor Class | Equity | Dec 31 | Dec 31 | June 30 | May 1 |
QM U.S. Value Equity FundI Class | Equity | Dec 31 | Dec 31 | June 30 | May 1 |
Real Assets Fund | Equity | Dec 31 | Dec 31 | June 30 | May 1 |
Real Assets FundI Class | Equity | Dec 31 | Dec 31 | June 30 | May 1 |
Real Estate Fund | Equity | Dec 31 | Dec 31 | June 30 | May 1 |
Real Estate FundAdvisor Class | Equity | Dec 31 | Dec 31 | June 30 | May 1 |
Real Estate FundI Class | Equity | Dec 31 | Dec 31 | June 30 | May 1 |
Retirement 2005 Fund | Asset Allocation | May 31 | May 31 | Nov 30 | Oct 1 |
Retirement 2005 FundAdvisor Class | Asset Allocation | May 31 | May 31 | Nov 30 | Oct 1 |
Retirement 2005 FundR Class | Asset Allocation | May 31 | May 31 | Nov 30 | Oct 1 |
Retirement 2010 Fund | Asset Allocation | May 31 | May 31 | Nov 30 | Oct 1 |
Retirement 2010 FundAdvisor Class | Asset Allocation | May 31 | May 31 | Nov 30 | Oct 1 |
Retirement 2010 FundR Class | Asset Allocation | May 31 | May 31 | Nov 30 | Oct 1 |
Retirement 2015 Fund | Asset Allocation | May 31 | May 31 | Nov 30 | Oct 1 |
Retirement 2015 FundAdvisor Class | Asset Allocation | May 31 | May 31 | Nov 30 | Oct 1 |
Retirement 2015 FundR Class | Asset Allocation | May 31 | May 31 | Nov 30 | Oct 1 |
Retirement 2020 Fund | Asset Allocation | May 31 | May 31 | Nov 30 | Oct 1 |
Retirement 2020 FundAdvisor Class | Asset Allocation | May 31 | May 31 | Nov 30 | Oct 1 |
Retirement 2020 FundR Class | Asset Allocation | May 31 | May 31 | Nov 30 | Oct 1 |
Retirement 2025 Fund | Asset Allocation | May 31 | May 31 | Nov 30 | Oct 1 |
Retirement 2025 FundAdvisor Class | Asset Allocation | May 31 | May 31 | Nov 30 | Oct 1 |
22
Fund | Fund Category | Fiscal Year-End | Annual Report Date | Semiannual Report Date | Prospectus Date |
Retirement 2025 FundR Class | Asset Allocation | May 31 | May 31 | Nov 30 | Oct 1 |
Retirement 2030 Fund | Asset Allocation | May 31 | May 31 | Nov 30 | Oct 1 |
Retirement 2030 FundAdvisor Class | Asset Allocation | May 31 | May 31 | Nov 30 | Oct 1 |
Retirement 2030 FundR Class | Asset Allocation | May 31 | May 31 | Nov 30 | Oct 1 |
Retirement 2035 Fund | Asset Allocation | May 31 | May 31 | Nov 30 | Oct 1 |
Retirement 2035 FundAdvisor Class | Asset Allocation | May 31 | May 31 | Nov 30 | Oct 1 |
Retirement 2035 FundR Class | Asset Allocation | May 31 | May 31 | Nov 30 | Oct 1 |
Retirement 2040 Fund | Asset Allocation | May 31 | May 31 | Nov 30 | Oct 1 |
Retirement 2040 FundAdvisor Class | Asset Allocation | May 31 | May 31 | Nov 30 | Oct 1 |
Retirement 2040 FundR Class | Asset Allocation | May 31 | May 31 | Nov 30 | Oct 1 |
Retirement 2045 Fund | Asset Allocation | May 31 | May 31 | Nov 30 | Oct 1 |
Retirement 2045 FundAdvisor Class | Asset Allocation | May 31 | May 31 | Nov 30 | Oct 1 |
Retirement 2045 FundR Class | Asset Allocation | May 31 | May 31 | Nov 30 | Oct 1 |
Retirement 2050 Fund | Asset Allocation | May 31 | May 31 | Nov 30 | Oct 1 |
Retirement 2050 FundAdvisor Class | Asset Allocation | May 31 | May 31 | Nov 30 | Oct 1 |
Retirement 2050 FundR Class | Asset Allocation | May 31 | May 31 | Nov 30 | Oct 1 |
Retirement 2055 Fund | Asset Allocation | May 31 | May 31 | Nov 30 | Oct 1 |
Retirement 2055 FundAdvisor Class | Asset Allocation | May 31 | May 31 | Nov 30 | Oct 1 |
Retirement 2055 FundR Class | Asset Allocation | May 31 | May 31 | Nov 30 | Oct 1 |
Retirement 2060 Fund | Asset Allocation | May 31 | May 31 | Nov 30 | Oct 1 |
Retirement 2060 FundAdvisor Class | Asset Allocation | May 31 | May 31 | Nov 30 | Oct 1 |
Retirement 2060 FundR Class | Asset Allocation | May 31 | May 31 | Nov 30 | Oct 1 |
Retirement Balanced Fund | Asset Allocation | May 31 | May 31 | Nov 30 | Oct 1 |
Retirement Balanced FundAdvisor Class | Asset Allocation | May 31 | May 31 | Nov 30 | Oct 1 |
Retirement Balanced FundR Class | Asset Allocation | May 31 | May 31 | Nov 30 | Oct 1 |
Retirement I 2005 FundI Class | Asset Allocation | May 31 | May 31 | Nov 30 | Oct 1 |
Retirement I 2010 FundI Class | Asset Allocation | May 31 | May 31 | Nov 30 | Oct 1 |
Retirement I 2015 FundI Class | Asset Allocation | May 31 | May 31 | Nov 30 | Oct 1 |
Retirement I 2020 FundI Class | Asset Allocation | May 31 | May 31 | Nov 30 | Oct 1 |
Retirement I 2025 FundI Class | Asset Allocation | May 31 | May 31 | Nov 30 | Oct 1 |
Retirement I 2030 FundI Class | Asset Allocation | May 31 | May 31 | Nov 30 | Oct 1 |
23
Fund | Fund Category | Fiscal Year-End | Annual Report Date | Semiannual Report Date | Prospectus Date |
Retirement I 2035 FundI Class | Asset Allocation | May 31 | May 31 | Nov 30 | Oct 1 |
Retirement I 2040 FundI Class | Asset Allocation | May 31 | May 31 | Nov 30 | Oct 1 |
Retirement I 2045 FundI Class | Asset Allocation | May 31 | May 31 | Nov 30 | Oct 1 |
Retirement I 2050 FundI Class | Asset Allocation | May 31 | May 31 | Nov 30 | Oct 1 |
Retirement I 2055 FundI Class | Asset Allocation | May 31 | May 31 | Nov 30 | Oct 1 |
Retirement I 2060 FundI Class | Asset Allocation | May 31 | May 31 | Nov 30 | Oct 1 |
Retirement Balanced I FundI Class | Asset Allocation | May 31 | May 31 | Nov 30 | Oct 1 |
Retirement Income 2020 Fund | Asset Allocation | Dec 31 | Dec 31 | June 30 | May 1 |
Science & Technology Fund | Equity | Dec 31 | Dec 31 | June 30 | May 1 |
Science & Technology FundAdvisor Class | Equity | Dec 31 | Dec 31 | June 30 | May 1 |
Science & Technology FundI Class | Equity | Dec 31 | Dec 31 | June 30 | May 1 |
Short-Term Fund | Taxable Bond | May 31 | May 31 | Nov 30 | Oct 1 |
Short-Term Bond Fund | Taxable Bond | May 31 | May 31 | Nov 30 | Oct 1 |
Short-Term Bond FundAdvisor Class | Taxable Bond | May 31 | May 31 | Nov 30 | Oct 1 |
Short-Term Bond FundI Class | Taxable Bond | May 31 | May 31 | Nov 30 | Oct 1 |
Short-Term Government Fund | Taxable Bond | May 31 | May 31 | Nov 30 | Oct 1 |
Small-Cap Index Fund | Index Equity | Dec 31 | Dec 31 | June 30 | May 1 |
Small-Cap Index FundI Class | Index Equity | Dec 31 | Dec 31 | June 30 | May 1 |
Small-Cap Stock Fund | Equity | Dec 31 | Dec 31 | June 30 | May 1 |
Small-Cap Stock FundAdvisor Class | Equity | Dec 31 | Dec 31 | June 30 | May 1 |
Small-Cap Stock FundI Class | Equity | Dec 31 | Dec 31 | June 30 | May 1 |
Small-Cap Value Fund | Equity | Dec 31 | Dec 31 | June 30 | May 1 |
Small-Cap Value FundAdvisor Class | Equity | Dec 31 | Dec 31 | June 30 | May 1 |
Small-Cap Value FundI Class | Equity | Dec 31 | Dec 31 | June 30 | May 1 |
Spectrum Growth Fund | Asset Allocation | Dec 31 | Dec 31 | June 30 | May 1 |
Spectrum Income Fund | Asset Allocation | Dec 31 | Dec 31 | June 30 | May 1 |
Spectrum International Fund | Asset Allocation | Dec 31 | Dec 31 | June 30 | May 1 |
Summit Municipal Income Fund | Tax-Free Bond | Oct 31 | Oct 31 | Apr 30 | March 1 |
Summit Municipal Income FundAdvisor Class | Tax-Free Bond | Oct 31 | Oct 31 | Apr 30 | March 1 |
Summit Municipal Intermediate Fund | Tax-Free Bond | Oct 31 | Oct 31 | Apr 30 | March 1 |
Summit Municipal Intermediate FundAdvisor Class | Tax-Free Bond | Oct 31 | Oct 31 | Apr 30 | March 1 |
24
Fund | Fund Category | Fiscal Year-End | Annual Report Date | Semiannual Report Date | Prospectus Date |
Summit Municipal Money Market Fund | Tax-Free Money | Oct 31 | Oct 31 | Apr 30 | March 1 |
Target 2005 Fund | Asset Allocation | May 31 | May 31 | Nov 30 | Oct 1 |
Target 2005 FundAdvisor Class | Asset Allocation | May 31 | May 31 | Nov 30 | Oct 1 |
Target 2005 FundI Class | Asset Allocation | May 31 | May 31 | Nov 30 | Oct 1 |
Target 2010 Fund | Asset Allocation | May 31 | May 31 | Nov 30 | Oct 1 |
Target 2010 FundAdvisor Class | Asset Allocation | May 31 | May 31 | Nov 30 | Oct 1 |
Target 2010 FundI Class | Asset Allocation | May 31 | May 31 | Nov 30 | Oct 1 |
Target 2015 Fund | Asset Allocation | May 31 | May 31 | Nov 30 | Oct 1 |
Target 2015 FundAdvisor Class | Asset Allocation | May 31 | May 31 | Nov 30 | Oct 1 |
Target 2015 FundI Class | Asset Allocation | May 31 | May 31 | Nov 30 | Oct 1 |
Target 2020 Fund | Asset Allocation | May 31 | May 31 | Nov 30 | Oct 1 |
Target 2020 FundAdvisor Class | Asset Allocation | May 31 | May 31 | Nov 30 | Oct 1 |
Target 2020 FundI Class | Asset Allocation | May 31 | May 31 | Nov 30 | Oct 1 |
Target 2025 Fund | Asset Allocation | May 31 | May 31 | Nov 30 | Oct 1 |
Target 2025 FundAdvisor Class | Asset Allocation | May 31 | May 31 | Nov 30 | Oct 1 |
Target 2025 FundI Class | Asset Allocation | May 31 | May 31 | Nov 30 | Oct 1 |
Target 2030 Fund | Asset Allocation | May 31 | May 31 | Nov 30 | Oct 1 |
Target 2030 FundAdvisor Class | Asset Allocation | May 31 | May 31 | Nov 30 | Oct 1 |
Target 2030 FundI Class | Asset Allocation | May 31 | May 31 | Nov 30 | Oct 1 |
Target 2035 Fund | Asset Allocation | May 31 | May 31 | Nov 30 | Oct 1 |
Target 2035 FundAdvisor Class | Asset Allocation | May 31 | May 31 | Nov 30 | Oct 1 |
Target 2035 FundI Class | Asset Allocation | May 31 | May 31 | Nov 30 | Oct 1 |
Target 2040 Fund | Asset Allocation | May 31 | May 31 | Nov 30 | Oct 1 |
Target 2040 FundAdvisor Class | Asset Allocation | May 31 | May 31 | Nov 30 | Oct 1 |
Target 2040 FundI Class | Asset Allocation | May 31 | May 31 | Nov 30 | Oct 1 |
Target 2045 Fund | Asset Allocation | May 31 | May 31 | Nov 30 | Oct 1 |
Target 2045 FundAdvisor Class | Asset Allocation | May 31 | May 31 | Nov 30 | Oct 1 |
Target 2045 FundI Class | Asset Allocation | May 31 | May 31 | Nov 30 | Oct 1 |
Target 2050 Fund | Asset Allocation | May 31 | May 31 | Nov 30 | Oct 1 |
Target 2050 FundAdvisor Class | Asset Allocation | May 31 | May 31 | Nov 30 | Oct 1 |
Target 2050 FundI Class | Asset Allocation | May 31 | May 31 | Nov 30 | Oct 1 |
Target 2055 Fund | Asset Allocation | May 31 | May 31 | Nov 30 | Oct 1 |
Target 2055 FundAdvisor Class | Asset Allocation | May 31 | May 31 | Nov 30 | Oct 1 |
Target 2055 FundI Class | Asset Allocation | May 31 | May 31 | Nov 30 | Oct 1 |
Target 2060 Fund | Asset Allocation | May 31 | May 31 | Nov 30 | Oct 1 |
Target 2060 FundAdvisor Class | Asset Allocation | May 31 | May 31 | Nov 30 | Oct 1 |
Target 2060 FundI Class | Asset Allocation | May 31 | May 31 | Nov 30 | Oct 1 |
Tax-Efficient Equity Fund | Equity | Feb 28 | Feb 28 | Aug 30 | July 1 |
Tax-Efficient EquityI Class | Equity | Feb 28 | Feb 28 | Aug 30 | July 1 |
Tax-Exempt Money Fund | Tax-Free Money | Feb 28 | Feb 28 | Aug 30 | July 1 |
Tax-Exempt MoneyI Class | Tax-Free Money | Feb 28 | Feb 28 | Aug 30 | July 1 |
25
Fund | Fund Category | Fiscal Year-End | Annual Report Date | Semiannual Report Date | Prospectus Date |
Tax-Free High Yield Fund | Tax-Free Bond | Feb 28 | Feb 28 | Aug 30 | July 1 |
Tax-Free High Yield FundAdvisor Class | Tax-Free Bond | Feb 28 | Feb 28 | Aug 30 | July 1 |
Tax-Free High Yield FundI Class | Tax-Free Bond | Feb 28 | Feb 28 | Aug 30 | July 1 |
Tax-Free Income Fund | Tax-Free Bond | Feb 28 | Feb 28 | Aug 30 | July 1 |
Tax-Free Income FundAdvisor Class | Tax Free Bond | Feb 28 | Feb 28 | Aug 30 | July 1 |
Tax-Free Income FundI Class | Tax Free Bond | Feb 28 | Feb 28 | Aug 30 | July 1 |
Tax-Free Short-Intermediate Fund | Tax-Free Bond | Feb 28 | Feb 28 | Aug 30 | July 1 |
Tax-Free Short-Intermediate FundAdvisor Class | Tax-Free Bond | Feb 28 | Feb 28 | Aug 30 | July 1 |
Tax-Free Short-Intermediate FundI Class | Tax-Free Bond | Feb 28 | Feb 28 | Aug 30 | July 1 |
Total Equity Market Index Fund | Index Equity | Dec 31 | Dec 31 | June 30 | May 1 |
Total Return Fund | Taxable Bond | May 31 | May 31 | Nov 30 | Oct 1 |
Total Return FundAdvisor Class | Taxable Bond | May 31 | May 31 | Nov 30 | Oct 1 |
Total Return FundI Class | Taxable Bond | May 31 | May 31 | Nov 30 | Oct 1 |
Treasury Reserve Fund | Taxable Money | May 31 | May 31 | Nov 30 | Oct 1 |
U.S. Bond Enhanced Index Fund | Index Bond | Oct 31 | Oct 31 | Apr 30 | March 1 |
U.S. High Yield Fund | Taxable Bond | May 31 | May 31 | Nov 30 | Oct 1 |
U.S. High Yield FundAdvisor Class | Taxable Bond | May 31 | May 31 | Nov 30 | Oct 1 |
U.S. High Yield FundI Class | Taxable Bond | May 31 | May 31 | Nov 30 | Oct 1 |
U.S. Large-Cap Core Fund | Equity | Dec 31 | Dec 31 | June 30 | May 1 |
U.S. Large-Cap Core FundAdvisor Class | Equity | Dec 31 | Dec 31 | June 30 | May 1 |
U.S. Large-Cap Core FundI Class | Equity | Dec 31 | Dec 31 | June 30 | May 1 |
U.S. Treasury Intermediate Fund | Taxable Bond | May 31 | May 31 | Nov 30 | Oct 1 |
U.S. Treasury Intermediate FundI Class | Taxable Bond | May 31 | May 31 | Nov 30 | Oct 1 |
U.S. Treasury Long-Term Fund | Taxable Bond | May 31 | May 31 | Nov 30 | Oct 1 |
U.S. Treasury Long-Term FundI Class | Taxable Bond | May 31 | May 31 | Nov 30 | Oct 1 |
U.S. Treasury Money Fund | Taxable Money | May 31 | May 31 | Nov 30 | Oct 1 |
U.S. Treasury Money FundI Class | Taxable Money | May 31 | May 31 | Nov 30 | Oct 1 |
Ultra Short-Term Bond Fund | Taxable Bond | May 31 | May 31 | Nov 30 | Oct 1 |
Ultra Short-Term Bond FundI Class | Taxable Bond | May 31 | May 31 | Nov 30 | Oct 1 |
Value Fund | Equity | Dec 31 | Dec 31 | June 30 | May 1 |
Value FundAdvisor Class | Equity | Dec 31 | Dec 31 | June 30 | May 1 |
Value FundI Class | Equity | Dec 31 | Dec 31 | June 30 | May 1 |
Virginia Tax-Free Bond Fund | State Tax-Free Bond | Feb 28 | Feb 28 | Aug 30 | July 1 |
26
Fund | Fund Category | Fiscal Year-End | Annual Report Date | Semiannual Report Date | Prospectus Date |
Virginia Tax-Free Bond FundI Class | State Tax-Free Bond | Feb 28 | Feb 28 | Aug 30 | July 1 |
The officers and directors of the Price Funds are listed on the following pages. Unless otherwise noted, the address of each officer and director is 100 East Pratt Street, Baltimore, Maryland 21202.
Each fund is overseen by a Board of Directors (Board) that meets regularly to review a wide variety of matters affecting or potentially affecting the funds, including performance, investment programs, compliance matters, advisory fees and expenses, service providers, and business and regulatory affairs. The Boards elect the funds officers and are responsible for performing various duties imposed on them by the 1940 Act, the laws of Maryland, and other applicable laws. At least 75% of each Boards members are independent of the Boards of T. Rowe Price and its affiliates. The directors who are also employees or officers of T. Rowe Price are considered to be inside or interested directors because of their relationships with T. Rowe Price and its affiliates. Each inside director and officer (except as indicated in the tables setting forth the directors and officers principal occupations during the past five years) has been an employee of T. Rowe Price or its affiliates for five or more years. The Boards held five regularly scheduled formal meetings during calendar year 2017. Although the Boards have direct responsibility over various matters (such as approval of advisory contracts and review of fund performance), each Board also exercises certain of its oversight responsibilities through several committees that it has established and which report back to the full Boards. The Boards believe that a committee structure is an effective means to permit directors to focus on particular operations or issues affecting the funds, including risk oversight. Each Board currently has three standing committees, a Committee of Independent Directors, a Joint Audit Committee, and an Executive Committee, which are described in greater detail in the following paragraphs.
Edward C. Bernard, an inside director, serves as the Chairman of the Board of each fund. The independent directors of each fund have designated a Lead Independent Director, who functions as a liaison between the Chairman of the Board and the other independent directors. The Lead Independent Director presides at all executive sessions of the independent directors, reviews and provides input on Board meeting agendas and materials, and typically represents the independent directors in discussions with T. Rowe Price management. Anthony W. Deering served as Lead Independent Director of each Board until he passed away on November 17, 2017. John G. Schreiber currently serves as the interim Lead Independent Director of each Board as the Boards assess long-term succession planning. Each funds Board has determined that its leadership and committee structure is appropriate because the Board believes that it sets the proper tone for the relationship between the fund, on the one hand, and T. Rowe Price or its affiliates and the funds other principal service providers, on the other, and facilitates the exercise of the Boards independent judgment in evaluating and managing the relationships. In addition, the structure efficiently allocates responsibility among committees and the full Board. The same independent directors currently serve on the Boards of all of the Price Funds. This approach is designed to provide effective governance by exposing the independent directors to a wider range of business issues and market trends, allowing the directors to better share their knowledge, background, and experience and permitting the Boards to operate more efficiently, particularly with respect to matters common to all Price Funds.
The Committee of Independent Directors, which consists of all of the independent directors of the funds, is responsible for, among other things, seeking, reviewing, and selecting candidates to fill independent director vacancies on each funds Board; periodically evaluating the compensation payable to the independent directors; and performing certain functions with respect to the governance of the funds. The Lead Independent Director serves as chairman of the committee. The committee will consider written recommendations from shareholders for possible nominees for independent directors. Nominees, like current directors, will be considered based on the ability to review critically, evaluate, question, and discuss
27
information provided to them; to interact effectively with the funds management and counsel and the various service providers to the funds; and to exercise reasonable business judgment in the performance of their duties as directors. Nominees will be considered in light of their individual experience, qualifications, attributes, or skills. Nominees will also be considered based on their independence from T. Rowe Price and other principal service providers. Other than executive sessions in connection with Board meetings, the Committee of Independent Directors formally met one time in 2017.
The Joint Audit Committee consists of only independent directors. The current members of the committee are Bruce W. Duncan, Paul F. McBride, Cecilia E. Rouse, and Mark R. Tercek. Mr. Duncan serves as chairman of the committee and is considered an audit committee financial expert, as defined by the SEC. The Joint Audit Committee oversees the pricing processes for the Price Funds and holds three regular meetings during each fiscal year. Two of the meetings include the attendance of the independent registered public accounting firm of the Price Funds as the Joint Audit Committee reviews: (1) the services provided; (2) the findings of the most recent audits; (3) managements response to the findings of the most recent audits; (4) the scope of the audits to be performed; (5) the accountants fees; (6) the qualifications, independence, and performance of the independent registered public accounting firm; and (7) any accounting questions relating to particular areas of the Price Funds operations or the operations of parties dealing with the Price Funds, as circumstances indicate. A third meeting is devoted primarily to a review of the risk management program of the funds investment adviser. The Joint Audit Committee met three times in 2017.
The Executive Committee, which consists of each funds interested directors, has been authorized by the Boards to exercise all powers of the Boards of the funds in the intervals between regular meetings of the Boards, except for those powers prohibited by statute from being delegated. All actions of the Executive Committee must be approved in advance by one independent director and reviewed after the fact by the full Board. The Executive Committee for each fund does not hold regularly scheduled meetings. The Executive Committee was not called upon to take any action on behalf of any funds during 2017.
From time to time, the independent directors may create a special committee (Special Committee) comprised of independent directors, whose purpose is to review certain limited topics that require in-depth consideration outside of the Boards regular review. The Bank of New York Mellon (BNY Mellon) Special Committee was established in December 2014 to review matters relating to the transition of fund accounting services from T. Rowe Price to BNY Mellon and the proposed Fund Accounting Agreement between the T. Rowe Price Funds and BNY Mellon. The members of the BNY Mellon Special Committee are Robert J. Gerrard, Paul F. McBride (chair) and Cecilia E. Rouse. The BNY Mellon Special Committee met once during 2017. The Section 15(c) Special Committee was established in August 2015 to review matters relating to the outsourcing to Broadridge Financial Solutions of the advisory contract renewal reporting pursuant to Section 15(c) under the 1940 Act. The members of the Section 15(c) Special Committee are Robert J. Gerrard, Paul F. McBride (chair), and John G. Schreiber. The Section 15(c) Special Committee met once during 2017.
Like other mutual funds, the funds are subject to risks, including investment, compliance, operational, and valuation risks, among others. The Boards oversee risk as part of their oversight of the funds. Risk oversight is addressed as part of various Board and committee activities. The Board, directly or through its committees, interacts with and reviews reports from, among others, the investment adviser or its affiliates, the funds Chief Compliance Officer, the funds independent registered public accounting firm, legal counsel, and internal auditors for T. Rowe Price or its affiliates, as appropriate, regarding risks faced by the funds and the risk management programs of the investment adviser and certain other service providers. Also, the Joint Audit Committee receives periodic reports from members of the advisers Risk Management Oversight Committee on the significant risks inherent to the advisers business, including aggregate investment risks, reputational risk, business continuity risk, technology and cyber-security risk, and operational risk. The actual day-to-day risk management functions with respect to the funds are subsumed within the responsibilities of the investment adviser, its affiliates that serve as investment subadvisers to the funds, and other service providers (depending on the nature of the risk) that carry out the funds investment management and business affairs. Although the risk management policies of T. Rowe Price and its affiliates, and the funds other service providers, are reasonably designed to be effective, those policies and their implementation vary among service providers over time, and there is no guarantee that they will always be effective. An investment in a Price Fund may be negatively impacted because of the operational risks arising from factors such as processing errors and human
28
errors, inadequate or failed internal or external processes, failures in systems and technology, changes in personnel, and errors caused by third party service providers or trading counterparties. Although the funds attempt to minimize such failures through controls and oversight, it is not possible to identify all of the operational risks that may affect a fund or to develop processes and controls that completely eliminate or mitigate the occurrence of such failures. A fund and its shareholders could be negatively impacted as a result. Processes and controls developed may not eliminate or mitigate the occurrence or effects of all risks, and some risks may be simply beyond any control of the funds, T. Rowe Price and its affiliates, or other service providers.
Each directors experience, qualifications, attributes, or skills, on an individual basis and in combination with those of the other directors, have led to the conclusion that each director should serve on the Boards of the Price Funds. Attributes common to all directors include the ability to review critically, evaluate, question, and discuss information provided to them; to interact effectively with the funds management and counsel and the various service providers to the funds; and to exercise reasonable business judgment in the performance of their duties as directors. In addition, the actual service and commitment of the directors during their tenure on the funds Boards is taken into consideration in concluding that each should continue to serve. A directors ability to perform his or her duties effectively may have been attained through his or her educational background or professional training; business, consulting, public service, or academic positions; experience from service as a director of the Price Funds, public companies, nonprofit entities, or other organizations; or other experiences. Each director brings a diverse perspective to the Boards. Set forth below is a brief discussion of the specific experience, qualifications, attributes, or skills of each director that led to the conclusion that he or she should serve as a director. Shareholders of all Price Funds, as of April 26, 2018, will be asked to elect four nominees for director, two inside directors and two independent directors, of each fund at a joint special shareholder meeting that will be held at 8:00 a.m. on July 25, 2018 (Shareholder Meeting).
Edward C. Bernard has been an inside director and Chairman of the Board of all the Price Funds since 2006. Mr. Bernard has more than 25 years of experience in the investment management industry, all of which have been with T. Rowe Price. In addition to his responsibilities with T. Rowe Price and the Price Funds, Mr. Bernard served as chairman (from 2009 to 2011) and is currently the vice chairman of the Board of Governors of the Investment Company Institute (ICI), the national trade association for the mutual fund industry. Mr. Bernard plans to retire from T. Rowe Price on December 31, 2018, and step down as a director and Chairman of the Boards assuming the election of all interested director nominees, with such resignation to occur at the conclusion of the upcoming July 25th meeting of the Board.
Teresa Bryce Bazemore has more than 25 years of experience as a senior executive in the mortgage banking field, including building both mortgage insurance and services businesses. From July 2008 through April 2017, Ms. Bazemore served as the President of Radian Guaranty where she oversaw the strategic planning, business development, and operations of the mortgage insurance business line. Prior to Radian Guaranty, she was Senior Vice President, General Counsel, and Secretary for Nexstar Financial Corporation, and General Counsel of the mortgage banking line of business at Bank of America. Ms. Bazemore currently serves on the Board of Directors of the Federal Home Loan Bank of Pittsburgh and of Chimera Investment Corporation. She has been an independent director of the Price Funds since January 2018.
Ronald J. Daniels is the 14th president of Johns Hopkins University, a position he has held since 2009. In that role, he serves as the chair of the Executive Committee of Johns Hopkins Medicine and is a professor in the Department of Political Science. Previously, he was provost and professor of law at the University of Pennsylvania and dean and James M. Tory Professor of Law at the University of Toronto. He has been an independent director of the Price Funds since January 2018.
Anthony W. Deering had been an independent director of the Price Funds for more than 30 years. He was a member of the Joint Audit Committee until September 2014. Mr. Deering brought a wealth of financial services and investment management experience to the Boards. He was the former chair and chief executive officer of the Rouse Company and has also served on the Boards of a number of public companies, including Deutsche Bank North America, Vornado Realty Trust, Brixmor Real Estate Investment Trust, Mercantile Bank, and Under Armour. He had also served on the Boards of a number of private companies and nonprofit
29
entities, including the Investment Company Institute, Baltimore Museum of Art, Parks & People Foundation, The Rouse Company Foundation, and The Charlesmead Foundation, among others. Mr. Deering served as an independent director of the Price Funds until he passed away on November 17, 2017.
Bruce W. Duncan has substantial experience in the field of commercial real estate. He currently serves as chairman of the Board of First Industrial Realty Trust, and he served as president until September 2016 and chief executive officer until December 2016. In May 2016, Mr. Duncan became a member of the Board and Compensation Committee of Boston Properties. He has been an independent director of the Price Funds since October 2013. In September 2014, he became a member of the Joint Audit Committee and, in July 2017, he became the chairman of the committee. In September 2016, Mr. Duncan became a member of the Board and Finance Committee of Marriott International, Inc. In October, 2017, Mr. Duncan became a member of the board of governors of the ICI and a member of the governing board of the Independent Directors Council, a national association for mutual fund independent directors that is part of the ICI.
Robert J. Gerrard, Jr. has been an independent director of certain Price Funds since 2012 (and all Price Funds since October 2013) and served as a chairman of the Joint Audit Committee until July 2017. He has substantial legal and business experience in the industries relating to communications and interactive data services. He has served on the Board and Compensation Committee for Syniverse Holdings and as general counsel to Scripps Networks.
Paul F. McBride has served in various management and senior leadership roles with the Black & Decker Corporation and General Electric Company. He led businesses in the materials, industrial, and consumer durable segments, and has significant global experience. He has served on the Boards of a number of private and nonprofit entities, including Vizzia Technologies, Dunbar Armored, Gilman School, Living Classrooms Foundation, and Bridges Baltimore. He has been an independent director of the Price Funds since October 2013 and, in September 2014, he became a member of the Joint Audit Committee.
Cecilia E. Rouse has been an independent director of certain Price Funds since 2012 (and all Price Funds since October 2013) and became a member of the Joint Audit Committee in September 2014. Dr. Rouse has extensive experience in the fields of higher education and economic research. She has served in a variety of roles at Princeton University, including as a dean, professor, and leader of research in labor economics. She has also served on the Board of the National Bureau of Economic Research and MDRC, a nonprofit education and social policy organization dedicated to improving programs and policies that affect the poor, and as a member of numerous entities, including the American Economic Association, National Bureau of Economic Research, National Academy of Education, and the Association of Public Policy and Management Policy Council.
John G. Schreiber has been an independent director of the Price Funds for more than 20 years and served as a member of the Joint Audit Committee until September 2015. He currently serves as the interim Lead Independent Director. He has significant experience investing in real estate transactions and brings substantial financial services and investment management experience to the Boards. He is the president of Centaur Capital Partners, Inc. and a retired partner and cofounder of Blackstone Real Estate Advisors. He previously served as chairman and chief executive officer of JMB Urban Development Co. and executive vice president of JMB Realty Corporation. Mr. Schreiber currently serves on the Boards of JMB Realty Corporation, Brixmor Property Group, Hilton Worldwide, and is a trustee of Loyola University of Chicago, and is a past Board member of Urban Shopping Centers, Inc., Host Hotels & Resorts, Inc., The Rouse Company, General Growth Properties, AMLI Residential Properties Trust, Blackstone Mortgage Trust, Invitation Homes, and Hudson Pacific Properties.
Robert W. Sharps has been an inside director of the domestic equity and international Price Funds since April 2017. Mr. Sharps served as the co-head of Global Equities at T. Rowe Price until February 2018, at which point he became the Head of Investments. He has served as the Group Chief Investment Officer for T. Rowe Price since April 2017. He is also a member of the T. Rowe Price Management Committee, Management Compensation Committee, International Steering Committee, Equity Steering Committee, Asset Allocation Committee, and Product Strategy Committee. Prior to joining T. Rowe Price in 1997, Mr. Sharps was a senior consultant at KPMG Peat Marwick. In addition to his various offices held with T. Rowe Price and its affiliates, Mr. Sharps is a Chartered Financial Analyst.
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Mark R. Tercek has been an independent director of the Price Funds since 2009. Mr. Tercek served as chairman of the Joint Audit Committee until September 2014 and served as a member of the committee since July 2017. He brings substantial financial services experience to the Boards. He was a managing director of Goldman Sachs and is currently president and chief executive officer of The Nature Conservancy.
Edward A. Wiese has been an inside director of the domestic fixed income Price Funds since 2015. Mr. Wiese is a Chartered Financial Analyst with over 30 years of investment experience, all of which have been with T. Rowe Price. He currently serves as the director of fixed income for T. Rowe Price and as the chairman of the T. Rowe Price Fixed Income Steering Committee, and served as a portfolio manager for various short-term bond and low-duration domestic bond strategies until December 2016.
In addition, the following tables provide biographical information for the directors, along with their principal occupations and any directorships they have held of public companies and other investment companies during the past five years.
Independent Directors(a)
Name, Year of Birth, and Number | Principal
Occupation(s) | Directorships |
Teresa Bryce Bazemore* 1959 191 portfolios | President, Radian Guaranty (2008 to 2017); Member, Bazemore Consulting LLC (2018 to present) | Chimera Investment Corporation (2017 to present); Federal Home Loan Bank of Pittsburgh (2017 to present) |
Ronald J. Daniels* 1959 191 portfolios | President, The Johns Hopkins University(b) and Professor, Political Science Department, The Johns Hopkins University (2009 to present) | Lyndhurst Holdings (2015 to present) |
Anthony W. Deering** 1945 0 portfolios | Chairman, Exeter Capital, LLC, a private investment firm (2004 to 2017); Director and Advisory Board Member, Deutsche Bank North America (2004 to 2017); Director, Brixmor Real Estate Investment Trust (2012 to 2017) | Vornado Real Estate Investment Trust (2004 to 2012); Deutsche Bank North America (2004 to 2017); Under Armour (2008 to 2017); Brixmor Real Estate Investment Trust (2012 to 2017) |
Bruce W. Duncan 1951 191 portfolios | Chief Executive Officer and Director (January 2009 to December 2016), Chairman of the Board (January 2016 to present), and President (January 2009 to September 2016), First Industrial Realty Trust, owner and operator of industrial properties; Chairman of the Board (2005 to September 2016) and Director (1999 to September 2016), Starwood Hotels & Resorts, a hotel and leisure company | Starwood Hotels & Resorts (1999 to September 2016); Boston Properties (May 2016 to present); Marriott International, Inc. (September 2016 to present) |
Robert J. Gerrard, Jr. 1952 191 portfolios | Advisory Board Member, Pipeline Crisis/Winning Strategies, a collaborative working to improve opportunities for young African Americans (1997 to January 2016) | None |
Paul F. McBride 1956 191 portfolios | Advisory Board Member, Vizzia Technologies (2015 to present); Board Member, Dunbar Armored (2012 to present) | None |
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Name, Year of Birth, and Number | Principal
Occupation(s) | Directorships |
Cecilia E. Rouse, Ph.D. 1963 191 portfolios | Dean, Woodrow Wilson School (2012 to present); Professor and Researcher, Princeton University (1992 to present); Member of National Academy of Education (2010 to present); Director, MDRC, a nonprofit education and social policy research organization (2011 to present); Research Associate of Labor Studies Program at the National Bureau of Economic Research (2011 to 2015); Board Member of the National Bureau of Economic Research (2011 to present); Chair of Committee on the Status of Minority Groups in the Economic Profession of the American Economic Association (2012 to 2017); Vice President (2015 to 2016), American Economic Association | None |
John G. Schreiber 1946 191 portfolios | Owner/President, Centaur Capital Partners, Inc., a real estate investment company (1991 to present); Cofounder, Partner, and Cochairman of the Investment Committee, Blackstone Real Estate Advisors, L.P. (1992 to 2015); Director, General Growth Properties, Inc. (2010 to 2013); Director, Blackstone Mortgage Trust, a real estate finance company (2012 to 2016); Director and Chairman of the Board, Brixmor Property Group, Inc. (2013 to present); Director, Hilton Worldwide (2013 to present); Director, Hudson Pacific Properties (2014 to 2016); Director, Invitation Homes (2014 to present) | General Growth Properties, Inc. (2010 to 2013); Blackstone Mortgage Trust (2012 to 2016); Hilton Worldwide (2013 to present); Brixmor Property Group, Inc. (2013 to present); Hudson Pacific Properties (2014 to 2016) |
Mark R. Tercek 1957 191 portfolios | President and Chief Executive Officer, The Nature Conservancy (2008 to present) | None |
* Effective January 1, 2018, Ms. Bazemore and Mr. Daniels were elected as independent directors of the Price Funds.
** Mr. Deering served as an independent director of the Price Funds until November 17, 2017.
(a) All information about the independent directors was current as of December 31, 2017, except for the information provided for Ms. Bazemore and Mr. Daniels, which is current as of January 1, 2018, and the number of portfolios overseen, which is current as of the date of this SAI.
(b) William J. Stromberg, President and Chief Executive Officer of T. Rowe Price Group, Inc. (the parent company of the Price Funds investment adviser), has served on the Board of Trustees of Johns Hopkins University since 2014 and is a member of the Johns Hopkins Universitys Boards Compensation Committee.
Inside Directors(a)
The following persons are considered inside directors of the funds because they also serve as employees of T. Rowe Price or its affiliates. No more than two inside directors serve as directors of any fund.
The Boards invite nominations from the funds investment adviser for persons to serve as inside directors, and the Board reviews and approves these nominations. Each of the current inside directors is a senior executive officer of T. Rowe Price and T. Rowe Price Group, Inc., as well as certain of their affiliates. Mr. Bernard, who plans to retire from T. Rowe Price on December 31, 2018, has served as a director of all Price Funds and has been chairman of the Board for all Price Funds since 2006. Assuming that all interested director nominees are elected at the Shareholder Meeting, he plans to step down as a director and Chairman at the conclusion of a
32
meeting of the Boards on July 25, 2018, which will be held immediately following the Shareholder Meeting. Messrs. Sharps and Wiese have served as directors of certain Price Funds since April 1, 2017 and 2015, respectively. For each fund, the two inside directors serve as members of the funds Executive Committee. In addition, specific experience with respect to the inside directors occupations and directorships of public companies and other investment companies are set forth in the following table.
Name, Year of Birth, and Number | Principal
Occupation(s) | Directorships |
Edward C. Bernard 1956 191 portfolios | Director and Vice President, T. Rowe Price; Vice Chairman of the Board, Director, and Vice President, T. Rowe Price Group, Inc.; Chairman of the Board, Director, and Vice President, T. Rowe Price Investment Services, Inc. and T. Rowe Price Services, Inc.; Chairman of the Board and Director, T. Rowe Price Retirement Plan Services, Inc.; Chairman of the Board, Chief Executive Officer, Director, and President, T. Rowe Price International and T. Rowe Price Trust Company Chairman of the Board, all funds | None |
Robert W. Sharps, CFA, CPA 1971 135 portfolios | Vice President, T. Rowe Price, T. Rowe Price Group, Inc., and T. Rowe Price Trust Company President, Institutional Equity Funds; Vice President, Blue Chip Growth Fund, Growth Stock Fund, Institutional International Funds, International Funds, Multi-Strategy Total Return Fund, New America Growth Fund, Personal Strategy Funds, Retirement Funds, and Spectrum Funds | None |
Edward A. Wiese, CFA 1959 56 portfolios | Vice President, T. Rowe Price, T. Rowe Price Group, Inc., T. Rowe Price International, and T. Rowe Price Trust Company President, High Yield Fund and Multi-Sector Account Portfolios | None |
(a) All information about the inside directors was current as of December 31, 2017, except for the number of portfolios overseen, which is current as of the date of this SAI.
Funds-of-Funds Arrangements
The Board is responsible for overseeing the business and affairs of the T. Rowe Price Funds-of-Funds, which consist of the following: Spectrum Growth Fund, Spectrum Income Fund, and Spectrum International Fund (collectively, the Spectrum Funds); Retirement 2005 Fund, Retirement 2010 Fund, Retirement 2015 Fund, Retirement 2020 Fund, Retirement 2025 Fund, Retirement 2030 Fund, Retirement 2035 Fund, Retirement 2040 Fund, Retirement 2045 Fund, Retirement 2050 Fund, Retirement 2055 Fund, Retirement 2060 Fund, and Retirement Balanced Fund, and their respective share classes (collectively, the RDFs); Retirement I 2005 Fund, Retirement I 2010 Fund, Retirement I 2015 Fund, Retirement I 2020 Fund, Retirement I 2025 Fund, Retirement I 2030 Fund, Retirement I 2035 Fund, Retirement I 2040 Fund, Retirement I 2045 Fund, Retirement I 2050 Fund, Retirement I 2055 Fund, Retirement I 2060 Fund, and Retirement Balanced I Fund (collectively the, Retirement I Funds); Retirement Income 2020 Fund; and Target 2005 Fund, Target 2010 Fund, Target 2015 Fund, Target 2020 Fund, Target 2025 Fund, Target 2030 Fund, Target 2035 Fund, Target 2040 Fund, Target 2045 Fund, Target 2050 Fund, Target 2055 Fund, and Target 2060 Fund, and their respective share classes (collectively, the TRFs). The Spectrum Funds, RDFs, Retirement I Funds, Retirement Income 2020 Fund, and TRFs are referred to collectively as Funds-of-Funds and each fund
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individually as a Fund-of-Funds, and where the policies that apply to the RDFs, Retirement I Funds, Retirement Income 2020 Fund, and TRFs are identical, the RDFs, Retirement I Funds, Retirement Income 2020 Fund, and TRFs may be referred to collectively as Target Date Funds.
In generally exercising their responsibilities, the Boards, among other things, will refer to the policies, conditions, and guidelines included in an Exemptive Application (and accompanying Notice and Order) originally granted by the SEC in connection with the creation and operation of the Spectrum Funds. The RDFs rely on this same Exemptive Application and Order because the order was designed to cover any Fund-of-Funds arrangements that operate in a similar manner to the Spectrum Funds. The Retirement I Funds, Retirement Income 2020 Fund, and TRFs do not rely on this Exemptive Order since they bear their own operating expenses and do not operate in a similar manner to the other Funds-of-Funds.
In connection with the Exemptive Order, the various Price Funds in which the Funds-of-Funds invest (collectively, the underlying Price Funds) have entered into Special Servicing Agreements with T. Rowe Price and each respective Spectrum Fund and/or RDF in which they invest. The Special Servicing Agreements provide that each underlying Price Fund in which a Spectrum Fund and/or RDF invests will bear its proportionate share of the expenses of that Fund-of-Funds if, and to the extent that, the underlying Price Funds savings from the operation of the Spectrum Fund or RDF exceeds these expenses. Pursuant to the Exemptive Order and Special Servicing Agreement, T. Rowe Price has agreed to bear any expenses of the Spectrum Fund or RDF that exceed the estimated savings to the underlying Price Funds. As a result, these Funds-of-Funds do not pay an investment management fee and will effectively pay no operating expenses at the Fund-of-Fund level, although shareholders of these Funds-of-Funds will still indirectly bear their proportionate share of the expenses of each underlying Price Fund in which the Funds-of-Funds invest. The Retirement I Funds, Retirement Income 2020 Fund, and TRFs also do not pay an investment management fee and will indirectly bear their proportionate share of the expenses of each underlying Price Fund in which they invest. However, the Retirement I Funds, Retirement Income 2020 Fund, and TRFs pay their own operating expenses at the Fund-of-Fund level.
A majority of the directors of the Funds-of-Funds are independent of T. Rowe Price and its affiliates. However, the directors and officers of the Funds-of-Funds and certain directors and officers of T. Rowe Price and its affiliates also serve in similar positions with most of the underlying Price Funds. Thus, if the interests of the Funds-of-Funds and the underlying Price Funds were ever to become divergent, it is possible that a conflict of interest could arise and affect how this latter group of persons fulfill their fiduciary duties to the Funds-of-Funds and the underlying Price Funds. The directors of the Funds-of-Funds believe they have structured the Funds-of-Funds to avoid these concerns. However, a situation could conceivably occur where proper action for the Funds-of-Funds could be adverse to the interests of an underlying Price Fund, or the reverse could occur. If such a possibility arises, the directors and officers of the affected funds and the directors and officers of T. Rowe Price will carefully analyze the situation and take all steps they believe reasonable to minimize and, where possible, eliminate the potential conflict.
Term of Office and Length of Time Served
The directors serve until retirement, resignation, or election of a successor. The following table shows the year from which each director has served on each funds Board (or that of the corporation of which the fund is a part).
Corporation | Number of Portfolios | Independent Directors | |||||||
Bazemore | Daniels | Duncan | Gerrard | McBride | Rouse | Schreiber | Tercek | ||
Balanced Fund | 1 | 2018 | 2018 | 2013 | 2012 | 2013 | 2012 | 2001 | 2009 |
Blue Chip Growth Fund | 1 | 2018 | 2018 | 2013 | 2012 | 2013 | 2012 | 2001 | 2009 |
Capital Appreciation Fund | 1 | 2018 | 2018 | 2013 | 2012 | 2013 | 2012 | 2001 | 2009 |
Capital Appreciation & Income Fund | 1 | 2018 | 2018 | 2017 | 2017 | 2017 | 2017 | 2017 | 2017 |
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Corporation | Number of Portfolios | Independent Directors | |||||||
Bazemore | Daniels | Duncan | Gerrard | McBride | Rouse | Schreiber | Tercek | ||
Capital Opportunity Fund | 1 | 2018 | 2018 | 2013 | 2012 | 2013 | 2012 | 2001 | 2009 |
Communications & Technology Fund | 1 | 2018 | 2018 | 2013 | 2012 | 2013 | 2012 | 2001 | 2009 |
Corporate Income Fund | 1 | 2018 | 2018 | 2013 | 2013 | 2013 | 2013 | 1995 | 2009 |
Credit Opportunities Fund | 1 | 2018 | 2018 | 2014 | 2014 | 2014 | 2014 | 2014 | 2014 |
Diversified Mid-Cap Growth Fund | 1 | 2018 | 2018 | 2013 | 2012 | 2013 | 2012 | 2003 | 2009 |
Dividend Growth Fund | 1 | 2018 | 2018 | 2013 | 2012 | 2013 | 2012 | 2001 | 2009 |
Equity Income Fund | 1 | 2018 | 2018 | 2013 | 2012 | 2013 | 2012 | 2001 | 2009 |
Financial Services Fund | 1 | 2018 | 2018 | 2013 | 2012 | 2013 | 2012 | 2001 | 2009 |
Floating Rate Fund | 1 | 2018 | 2018 | 2013 | 2013 | 2013 | 2013 | 2011 | 2011 |
Global Allocation Fund | 1 | 2018 | 2018 | 2013 | 2013 | 2013 | 2013 | 2013 | 2013 |
Global Multi-Sector Bond Fund | 1 | 2018 | 2018 | 2013 | 2013 | 2013 | 2013 | 2008 | 2009 |
Global Real Estate Fund | 1 | 2018 | 2018 | 2013 | 2012 | 2013 | 2012 | 2008 | 2009 |
Global Technology Fund | 1 | 2018 | 2018 | 2013 | 2012 | 2013 | 2012 | 2001 | 2009 |
GNMA Fund | 1 | 2018 | 2018 | 2013 | 2013 | 2013 | 2013 | 1992 | 2009 |
Government Money Fund | 1 | 2018 | 2018 | 2013 | 2013 | 2013 | 2013 | 1992 | 2009 |
Growth & Income Fund | 1 | 2018 | 2018 | 2013 | 2012 | 2013 | 2012 | 2001 | 2009 |
Growth Stock Fund | 1 | 2018 | 2018 | 2013 | 2012 | 2013 | 2012 | 2001 | 2009 |
Health Sciences Fund | 1 | 2018 | 2018 | 2013 | 2012 | 2013 | 2012 | 2001 | 2009 |
High Yield Fund | 2 | 2018 | 2018 | 2013 | 2013 | 2013 | 2013 | 1992 | 2009 |
Index Trust | 5 | 2018 | 2018 | 2013 | 2012 | 2013 | 2012 | 2001 | 2009 |
Inflation Protected Bond Fund | 1 | 2018 | 2018 | 2013 | 2013 | 2013 | 2013 | 2002 | 2009 |
Institutional Equity Funds | 6 | 2018 | 2018 | 2013 | 2012 | 2013 | 2012 | 2001 | 2009 |
Institutional Income Funds | 7 | 2018 | 2018 | 2013 | 2013 | 2013 | 2013 | 2002 | 2009 |
Institutional International Funds | 11 | 2018 | 2018 | 2013 | 2012 | 2013 | 2012 | 2001 | 2009 |
Intermediate Tax-Free High Yield Fund | 1 | 2018 | 2018 | 2014 | 2014 | 2014 | 2014 | 2014 | 2014 |
International Funds | 25 | 2018 | 2018 | 2013 | 2012 | 2013 | 2012 | 2001 | 2009 |
International Index Fund | 1 | 2018 | 2018 | 2013 | 2012 | 2013 | 2012 | 2001 | 2009 |
Limited Duration Inflation Focused Bond Fund | 1 | 2018 | 2018 | 2013 | 2013 | 2013 | 2013 | 2006 | 2009 |
Mid-Cap Growth Fund | 1 | 2018 | 2018 | 2013 | 2012 | 2013 | 2012 | 2001 | 2009 |
Mid-Cap Value Fund | 1 | 2018 | 2018 | 2013 | 2012 | 2013 | 2012 | 2001 | 2009 |
Multi-Sector Account Portfolios | 6 | 2018 | 2018 | 2013 | 2013 | 2013 | 2013 | 2012 | 2012 |
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Corporation | Number of Portfolios | Independent Directors | |||||||
Bazemore | Daniels | Duncan | Gerrard | McBride | Rouse | Schreiber | Tercek | ||
Multi-Strategy Total Return Fund | 1 | 2018 | 2018 | 2017 | 2017 | 2017 | 2017 | 2017 | 2017 |
New America Growth Fund | 1 | 2018 | 2018 | 2013 | 2012 | 2013 | 2012 | 2001 | 2009 |
New Era Fund | 1 | 2018 | 2018 | 2013 | 2012 | 2013 | 2012 | 2001 | 2009 |
New Horizons Fund | 1 | 2018 | 2018 | 2013 | 2012 | 2013 | 2012 | 2001 | 2009 |
New Income Fund | 1 | 2018 | 2018 | 2013 | 2013 | 2013 | 2013 | 1992 | 2009 |
Personal Strategy Funds | 3 | 2018 | 2018 | 2013 | 2012 | 2013 | 2012 | 2001 | 2009 |
Quantitative Management Funds | 4 | 2018 | 2018 | 2013 | 2012 | 2013 | 2012 | 2001 | 2009 |
Real Assets Fund | 1 | 2018 | 2018 | 2013 | 2012 | 2013 | 2012 | 2010 | 2010 |
Real Estate Fund | 1 | 2018 | 2018 | 2013 | 2012 | 2013 | 2012 | 2001 | 2009 |
TRP Reserve Funds | 4 | 2018 | 2018 | 2013 | 2013 | 2013 | 2013 | 1997 | 2009 |
Retirement Funds | 39 | 2018 | 2018 | 2013 | 2012 | 2013 | 2012 | 2002 | 2009 |
Science & Technology Fund | 1 | 2018 | 2018 | 2013 | 2012 | 2013 | 2012 | 2001 | 2009 |
Short-Term Bond Fund | 2 | 2018 | 2018 | 2013 | 2013 | 2013 | 2013 | 1992 | 2009 |
Small-Cap Stock Fund | 1 | 2018 | 2018 | 2013 | 2012 | 2013 | 2012 | 2001 | 2009 |
Small-Cap Value Fund | 1 | 2018 | 2018 | 2013 | 2012 | 2013 | 2012 | 2001 | 2009 |
Spectrum Fund | 3 | 2018 | 2018 | 2013 | 2012 | 2013 | 2012 | 2001 | 2009 |
State Tax-Free Funds | 10 | 2018 | 2018 | 2013 | 2013 | 2013 | 2013 | 1992 | 2009 |
Summit Income Funds | 1 | 2018 | 2018 | 2013 | 2013 | 2013 | 2013 | 1993 | 2009 |
Summit Municipal Funds | 3 | 2018 | 2018 | 2013 | 2013 | 2013 | 2013 | 1993 | 2009 |
Tax-Efficient Funds | 1 | 2018 | 2018 | 2013 | 2012 | 2013 | 2012 | 2001 | 2009 |
Tax-Exempt Money Fund | 1 | 2018 | 2018 | 2013 | 2013 | 2013 | 2013 | 1992 | 2009 |
Tax-Free High Yield Fund | 1 | 2018 | 2018 | 2013 | 2013 | 2013 | 2013 | 1992 | 2009 |
Tax-Free Income Fund | 1 | 2018 | 2018 | 2013 | 2013 | 2013 | 2013 | 1992 | 2009 |
Tax-Free Short-Intermediate Fund | 1 | 2018 | 2018 | 2013 | 2013 | 2013 | 2013 | 1992 | 2009 |
Total Return Fund | 1 | 2018 | 2018 | 2016 | 2016 | 2016 | 2016 | 2016 | 2016 |
U.S. Bond Enhanced Index Fund | 1 | 2018 | 2018 | 2013 | 2013 | 2013 | 2013 | 2000 | 2009 |
U.S. Large-Cap Core Fund | 1 | 2018 | 2018 | 2013 | 2012 | 2013 | 2012 | 2009 | 2009 |
U.S. Treasury Funds | 3 | 2018 | 2018 | 2013 | 2013 | 2013 | 2013 | 1992 | 2009 |
Value Fund | 1 | 2018 | 2018 | 2013 | 2012 | 2013 | 2012 | 2001 | 2009 |
Corporation | Number of Portfolios | Inside Directors | ||
Bernard | Sharps | Wiese | ||
Balanced Fund | 1 | 2006 | 2017 | |
Blue Chip Growth Fund | 1 | 2006 | 2017 | |
Capital Appreciation Fund | 1 | 2006 | 2017 | |
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Corporation | Number of Portfolios | Inside Directors | ||
Bernard | Sharps | Wiese | ||
Capital Appreciation & Income Fund | 1 | 2017 | 2017 | |
Capital Opportunity Fund | 1 | 2006 | 2017 | |
Communications & Technology Fund | 1 | 2006 | 2017 | |
Corporate Income Fund | 1 | 2006 | | 2015 |
Credit Opportunities Fund | 1 | 2014 | | 2015 |
Diversified Mid-Cap Growth Fund | 1 | 2006 | 2017 | |
Dividend Growth Fund | 1 | 2006 | 2017 | |
Equity Income Fund | 1 | 2006 | 2017 | |
Financial Services Fund | 1 | 2006 | 2017 | |
Floating Rate Fund | 1 | 2011 | | 2015 |
Global Allocation Fund | 1 | 2013 | 2017 | |
Global Multi-Sector Bond Fund | 1 | 2008 | | 2015 |
Global Real Estate Fund | 1 | 2008 | 2017 | |
Global Technology Fund | 1 | 2006 | 2017 | |
GNMA Fund | 1 | 2006 | | 2015 |
Government Money Fund | 1 | 2006 | | 2015 |
Growth & Income Fund | 1 | 2006 | 2017 | |
Growth Stock Fund | 1 | 2006 | 2017 | |
Health Sciences Fund | 1 | 2006 | 2017 | |
High Yield Fund | 2 | 2006 | | 2015 |
Index Trust | 5 | 2006 | 2017 | |
Inflation Protected Bond Fund | 1 | 2006 | | 2015 |
Institutional Equity Funds | 6 | 2006 | 2017 | |
Institutional Income Funds | 7 | 2006 | | 2015 |
Institutional International Funds | 11 | 2006 | 2017 | |
Intermediate Tax-Free High Yield Fund | 1 | 2014 | | 2015 |
International Funds | 25 | 2006 | 2017 | |
International Index Fund | 1 | 2006 | 2017 | |
Limited Duration Inflation Focused Bond Fund | 1 | 2006 | | 2015 |
Mid-Cap Growth Fund | 1 | 2006 | 2017 | |
Mid-Cap Value Fund | 1 | 2006 | 2017 | |
Multi-Sector Account Portfolios | 6 | 2012 | | 2015 |
Multi-Strategy Total Return Fund | 1 | 2017 | 2017 | |
New America Growth Fund | 1 | 2006 | 2017 | |
New Era Fund | 1 | 2006 | 2017 | |
New Horizons Fund | 1 | 2006 | 2017 | |
New Income Fund | 1 | 2006 | | 2015 |
Personal Strategy Funds | 3 | 2006 | 2017 | |
Quantitative Management Funds | 4 | 2006 | 2017 | |
37
Corporation | Number of Portfolios | Inside Directors | ||
Bernard | Sharps | Wiese | ||
Real Assets Fund | 1 | 2010 | 2017 | |
Real Estate Fund | 1 | 2006 | 2017 | |
TRP Reserve Funds | 4 | 2006 | | 2015 |
Retirement Funds | 39 | 2006 | 2017 | |
Science & Technology Fund | 1 | 2006 | 2017 | |
Short-Term Bond Fund | 2 | 2006 | | 2015 |
Small-Cap Stock Fund | 1 | 2006 | 2017 | |
Small-Cap Value Fund | 1 | 2006 | 2017 | |
Spectrum Fund | 3 | 2006 | 2017 | |
State Tax-Free Funds | 10 | 2006 | | 2015 |
Summit Income Funds | 1 | 2006 | | 2015 |
Summit Municipal Funds | 3 | 2006 | | 2015 |
Tax-Efficient Funds | 1 | 2006 | 2017 | |
Tax-Exempt Money Fund | 1 | 2006 | | 2015 |
Tax-Free High Yield Fund | 1 | 2006 | | 2015 |
Tax-Free Income Fund | 1 | 2006 | | 2015 |
Tax-Free Short-Intermediate Fund | 1 | 2006 | | 2015 |
Total Return Fund | 1 | 2016 | | 2016 |
U.S. Bond Enhanced Index Fund | 1 | 2006 | | 2015 |
U.S. Large-Cap Core Fund | 1 | 2009 | 2017 | |
U.S. Treasury Funds | 3 | 2006 | | 2015 |
Value Fund | 1 | 2006 | 2017 | |
Officers
Fund | Name | Position
Held |
All funds | Darrell N. Braman Gary J. Greb Paul J. Krug David Oestreicher John W. Ratzesberger Megan Warren Catherine D. Mathews Shannon Hofher Rauser John R. Gilner | Vice President and Secretary Vice President Vice President Vice President Vice President Vice President Vice President and Treasurer Assistant Secretary Chief Compliance Officer |
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Fund | Name | Position Held |
Balanced Fund | Charles M. Shriver Kimberly E. DeDominicis Anna A. Dreyer Mark S. Finn Robert M. Larkins Wyatt A. Lee Raymond A. Mills Sebastien Page Larry J. Puglia Guido F. Stubenrauch Toby M. Thompson Mark J. Vaselkiv (For remaining officers, refer to the All funds table) | President Vice President Vice President Vice President Vice President Vice President Vice President Vice President Vice President Vice President Vice President Vice President |
Blue Chip Growth Fund | Larry J. Puglia Jason R. Adams Ziad Bakri Peter J. Bates Eric L. DeVilbiss Paul D. Greene II Ryan S. Hedrick Thomas J. Huber George A. Marzano Vivek Rajeswaran David L. Rowlett Robert W. Sharps Taymour R. Tamaddon Rouven J. Wool-Lewis (For remaining officers, refer to the All funds table) | President Vice President Vice President Vice President Vice President Vice President Vice President Vice President Vice President Vice President Vice President Vice President Vice President Vice President |
Capital Appreciation Fund | David R. Giroux Shawn T. Driscoll Jon M. Friar Paul D. Greene II Nina P. Jones Vidya Kadiyam Paul M. Massaro Sudhir Nanda Adam Poussard Jeffrey Rottinghaus Farris G. Shuggi Gabriel Solomon Taymour R. Tamaddon Tamara P. Wiggs John M. Williams (For remaining officers, refer to the All funds table) | President Vice President Vice President Vice President Vice President Vice President Vice President Vice President Vice President Vice President Vice President Vice President Vice President Vice President Vice President |
Capital Appreciation & Income Fund | David R. Giroux Paul M. Massaro Steve Boothe Richard N. Clattenburg Stephen M. Finamore Ryan S. Hedrick Zenon Voyiatzis John M. Williams (For remaining officers, refer to the All funds table) | Co-President Co-President Vice President Vice President Vice President Vice President Vice President Vice President |
39
Fund | Name | Position Held |
Capital Opportunity Fund | Ann M. Holcomb Jason B. Polun Thomas H. Watson Kennard W. Allen Peter J. Bates Christopher W. Carlson Donald J. Easley Joseph B. Fath Mark S. Finn Jon M. Friar Paul D. Greene II Ryan S. Hedrick Jennifer Martin Jason Nogueira Jeffrey Rottinghaus John F. Wakeman Justin P. White (For remaining officers, refer to the All funds table) | Co-President Co-President Co-President Vice President Vice President Vice President Vice President Vice President Vice President Vice President Vice President Vice President Vice President Vice President Vice President Vice President Vice President |
Communications & Technology Fund | Paul D. Greene II Paul Y. Cho Greg Dunham David J. Eiswert Henry M. Ellenbogen Joseph B. Fath Jacqueline L. Liu Daniel Martino Philip A. Nestico Corey D. Shull James Stillwagon Verena E. Wachnitz Justin P. White Christopher S. Whitehouse Ernest C. Yeung Wenli Zheng (For remaining officers, refer to the All funds table) | President Vice President Vice President Vice President Vice President Vice President Vice President Vice President Vice President Vice President Vice President Vice President Vice President Vice President Vice President Vice President |
Corporate Income Fund | David A. Tiberii Steve Boothe Lauren T. Wagandt Michael P. Daley Michael J. Grogan Michael Lambe Matthew Lawton Samy B. Muaddi Alexander S. Obaza Miso Park Theodore E. Robson Elliot J. Shue Jeanny Silva Scott D. Solomon Kimberly A. Stokes Robert D. Thomas Bineesha Wickremarachchi J. Howard Woodward (For remaining officers, refer to the All funds table) | President Executive Vice President Executive Vice President Vice President Vice President Vice President Vice President Vice President Vice President Vice President Vice President Vice President Vice President Vice President Vice President Vice President Vice President Vice President |
40
Fund | Name | Position Held |
Credit Opportunities Fund | Rodney M. Rayburn Jason A. Bauer Carson R. Dickson Brian A. Rubin Jamie Shin Michael J. Trivino David A. Yatzeck (For remaining officers, refer to the All funds table) | President Vice President Vice President Vice President Vice President Vice President Vice President |
Diversified Mid-Cap Growth Fund | Donald J. Peters Donald J. Easley Jason R. Adams Kennard W. Allen Brian W.H. Berghuis Eric L. DeVilbiss Stephon A. Jackson Matt Mahon Sudhir Nanda Christian M. ONeill John F. Wakeman Rouven J. Wool-Lewis (For remaining officers, refer to the All funds table) | President Executive Vice President Vice President Vice President Vice President Vice President Vice President Vice President Vice President Vice President Vice President Vice President |
Dividend Growth Fund | Thomas J. Huber Peter J. Bates Andrew S. Davis Jon M. Friar Ryan S. Hedrick David M. Lee Jeffrey Rottinghaus Weijie Si Gabriel Solomon John M. Williams Jon D. Wood (For remaining officers, refer to the All funds table) | President Vice President Vice President Vice President Vice President Vice President Vice President Vice President Vice President Vice President Vice President |
Equity Income Fund | John D. Linehan Jason R. Adams Vinit Agrawal Mark S. Finn Ryan S. Hedrick Shinwoo Kim Matt Mahon Daniel Martino George A. Marzano Heather K. McPherson Preeta Ragavan Melanie A. Rizzo Matthew J. Snowling James Stillwagon (For remaining officers, refer to the All funds table) | President Vice President Vice President Vice President Vice President Vice President Vice President Vice President Vice President Vice President Vice President Vice President Vice President Vice President |
41
Fund | Name | Position Held |
Financial Services Fund | Gabriel Solomon Jon B. Casper Vincent M. DeAugustino Christopher T. Fortune Jon M. Friar Nina P. Jones Gregory Locraft Ian C. McDonald Joseph Mlinac Thibault Nardin Jeffrey R. Nathan Matthew J. Snowling Mitchell J.K. Todd Susan G. Troll Zenon Voyiatzis Tamara P. Wiggs (For remaining officers, refer to the All funds table) | President Vice President Vice President Vice President Vice President Vice President Vice President Vice President Vice President Vice President Vice President Vice President Vice President Vice President Vice President Vice President |
Floating Rate Fund | Paul M. Massaro Brian E. Burns Michael F. Connelly Stephen M. Finamore Justin T. Gerbereux David R. Giroux Steven C. Huber Michael J. McGonigle Brian A. Rubin (For remaining officers, refer to the All funds table) | President Vice President Vice President Vice President Vice President Vice President Vice President Vice President Vice President |
Global Allocation Fund | Charles M. Shriver Stephen L. Bartolini David Clewell Robert L. Harlow Steven C. Huber Stefan Hubrich Robert M. Larkins Sean P. McWilliams Sebastien Page Robert A. Panariello Darrell M. Riley Toby M. Thompson (For remaining officers, refer to the All funds table) | President Vice President Vice President Vice President Vice President Vice President Vice President Vice President Vice President Vice President Vice President Vice President |
Global Multi-Sector Bond Fund | Steven C. Huber Kenneth A. Orchard Steve Boothe Michael J. Conelius Michael Della Vedova Quentin S. Fitzsimmons Arif Husain Andrew J. Keirle Paul M. Massaro Andrew C. McCormick Samy B. Muaddi David Stanley Ju Yen Tan (For remaining officers, refer to the All funds table) | President Executive Vice President Vice President Vice President Vice President Vice President Vice President Vice President Vice President Vice President Vice President Vice President Vice President |
42
Fund | Name | Position Held |
Global Real Estate Fund | Nina P. Jones Harishankar Balkrishna Richard N. Clattenburg Tetsuji Inoue Jai Kapadia David M. Lee Robert J. Marcotte Daniel A. McCulley Raymond A. Mills Philip A. Nestico Dante Pearson Preeta Ragavan Marta Yago (For remaining officers, refer to the All funds table) | President Vice President Vice President Vice President Vice President Vice President Vice President Vice President Vice President Vice President Vice President Vice President Vice President |
Global Technology Fund | Joshua K. Spencer Kennard W. Allen Christopher W. Carlson Greg Dunham David J. Eiswert Henry M. Ellenbogen Paul D. Greene II Jacqueline L. Liu Jennifer Martin Heather K. McPherson Tobias F. Mueller Corey D. Shull Alan Tu Thomas H. Watson Alison Mei Ling Yip (For remaining officers, refer to the All funds table) | President Vice President Vice President Vice President Vice President Vice President Vice President Vice President Vice President Vice President Vice President Vice President Vice President Vice President Vice President |
GNMA Fund | Andrew C. McCormick Anil K. Andhavarapu Brian J. Brennan Christopher P. Brown, Jr. Ramon R. de Castro Keir R. Joyce Steven M. Kohlenstein Alan D. Levenson Michael K. Sewell Rick Zhang (For remaining officers, refer to the All funds table) | President Vice President Vice President Vice President Vice President Vice President Vice President Vice President Vice President Vice President |
Government Money Fund | Joseph K. Lynagh M. Helena Condez G. Richard Dent Stephanie A. Gentile Marcy M. Lash Alan D. Levenson Cheryl A. Mickel Chen Shao Douglas D. Spratley Robert D. Thomas (For remaining officers, refer to the All funds table) | President Vice President Vice President Vice President Vice President Vice President Vice President Vice President Vice President Vice President |
43
Fund | Name | Position Held |
Growth & Income Fund | Jeffrey Rottinghaus Peter J. Bates Shawn T. Driscoll Joseph B. Fath Mark S. Finn Paul D. Greene II Ryan S. Hedrick Heather K. McPherson Jason Nogueira Gabriel Solomon (For remaining officers, refer to the All funds table) | President Vice President Vice President Vice President Vice President Vice President Vice President Vice President Vice President Vice President |
Growth Stock Fund | Joseph B. Fath Andrew S. Davis Eric L. DeVilbiss Shawn T. Driscoll Greg Dunham David J. Eiswert Jon M. Friar Paul D. Greene II Daniel Martino David L. Rowlett Robert W. Sharps Taymour R. Tamaddon Justin P. White (For remaining officers, refer to the All funds table) | President Vice President Vice President Vice President Vice President Vice President Vice President Vice President Vice President Vice President Vice President Vice President Vice President |
Health Sciences Fund | Ziad Bakri Melissa C. Gallagher John Hall Rachael Jonas Adam Poussard I-Hung Shih Taymour R. Tamaddon Jon D. Wood Rouven J. Wool-Lewis (For remaining officers, refer to the All funds table) | President Vice President Vice President Vice President Vice President Vice President Vice President Vice President Vice President |
High Yield Fund High Yield Fund (a) U.S. High Yield Fund (b) | Edward A. Wiese Kevin P. Loome Mark J. Vaselkiv Jason A. Bauer Michael F. Connelly Michael Della Vedova Charles Devereux Carson R. Dickson Devon Everhart Matthew Fanandakis Stephen M. Finamore Justin T. Gerbereux Gregg Gola Paul M. Massaro Brian A. Rubin Jamie Shin Michael J. Trivino Douglas Zinser (For remaining officers, refer to the All funds table) | President Executive Vice President Executive Vice President Vice President Vice President Vice President Vice President Vice President Vice President Vice President Vice President Vice President Vice President Vice President Vice President Vice President Vice President Vice President |
Index Trust Equity Index 500 Fund Extended Equity Market Index Fund Mid-Cap Index Fund Small-Cap Index Fund Total Equity Market Index Fund | Ken D. Uematsu E. Frederick Bair Neil Smith Craig A. Thiese Michael T. Wehn (For remaining officers, refer to the All funds table) | President Vice President Vice President Vice President Vice President |
44
Fund | Name | Position Held |
Inflation Protected Bond Fund | Stephen L. Bartolini Brian J. Brennan Geoffrey M. Hardin Alan D. Levenson Andrew C. McCormick Michael F. Reinartz Daniel O. Shackelford Christopher J. Temple Susan G. Troll (For remaining officers, refer to the All funds table) | President Vice President Vice President Vice President Vice President Vice President Vice President Vice President Vice President |
Institutional Equity Funds Institutional Large-Cap Core Growth Fund Institutional Large-Cap Growth Fund Institutional Large-Cap Value Fund Institutional Mid-Cap Equity Growth Fund Institutional Small-Cap Stock Fund Institutional U.S. Structured Research Fund | Robert W. Sharps Francisco M. Alonso Brian W.H. Berghuis Mark S. Finn Ann M. Holcomb John D. Linehan Heather K. McPherson Jason B. Polun Larry J. Puglia Taymour R. Tamaddon Thomas H. Watson Curt J. Organt J. David Wagner John F. Wakeman (For remaining officers, refer to the All funds table) | President Executive Vice President Executive Vice President Executive Vice President Executive Vice President Executive Vice President Executive Vice President Executive Vice President Executive Vice President Executive Vice President Executive Vice President Vice President Vice President Vice President |
Institutional Income Funds Institutional Cash Reserves Fund Institutional Core Plus Fund Institutional Credit Opportunities Fund Institutional Floating Rate Fund Institutional Global Multi-Sector Bond Fund Institutional High Yield Fund Institutional Long Duration Credit Fund | Mark J. Vaselkiv Brian J. Brennan Steven C. Huber Robert M. Larkins Joseph K. Lynagh Paul M. Massaro Rodney M. Rayburn David A. Tiberii Stephen L. Bartolini Jason A. Bauer Steve Boothe Christopher P. Brown, Jr. Brian E. Burns M. Helena Condez Michael J. Conelius Michael F. Connelly Michael P. Daley G. Richard Dent Carson R. Dickson Stephen M. Finamore Quentin S. Fitzsimmons Stephanie A. Gentile Justin T. Gerbereux David R. Giroux Michael J. Grogan Arif Husain Andrew J. Keirle Michael Lambe Marcy M. Lash Matthew Lawton Alan D. Levenson Andrew C. McCormick Michael J. McGonigle Cheryl A. Mickel Samy B. Muaddi Alexander S. Obaza Kenneth A. Orchard | President Executive Vice President Executive Vice President Executive Vice President Executive Vice President Executive Vice President Executive Vice President Executive Vice President Vice President Vice President Vice President Vice President Vice President Vice President Vice President Vice President Vice President Vice President Vice President Vice President Vice President Vice President Vice President Vice President Vice President Vice President Vice President Vice President Vice President Vice President Vice President Vice President Vice President Vice President Vice President Vice President Vice President |
45
Fund | Name | Position Held |
Miso Park Theodore E. Robson Brian A. Rubin Daniel O. Shackelford Chen Shao Jamie Shin Jeanny Silva Scott D. Solomon Douglas D. Spratley David Stanley Kimberly A. Stokes Ju Yen Tan Robert. D. Thomas Michael J. Trivino Lauren T. Wagandt Bineesha Wickremarachchi J. Howard Woodward David A. Yatzeck Kelsie L. Palumbo (For remaining officers, refer to the All funds table) | Vice President Vice President Vice President Vice President Vice President Vice President Vice President Vice President Vice President Vice President Vice President Vice President Vice President Vice President Vice President Vice President Vice President Vice President Assistant Vice President | |
Institutional International Funds Institutional Africa & Middle East Fund Institutional Emerging Markets Bond Fund Institutional Emerging Markets Equity Fund Institutional Frontier Markets Equity Fund Institutional Global Focused Growth Equity Fund Institutional Global Growth Equity Fund Institutional Global Value Equity Fund Institutional International Bond Fund Institutional International Concentrated Equity Fund Institutional International Core Equity Fund Institutional International Growth Equity Fund | Christopher D. Alderson Oliver D.M. Bell R. Scott Berg Richard N. Clattenburg Michael J. Conelius David J. Eiswert Arif Husain Andrew J. Keirle Sebastien Mallet Raymond A. Mills Joshua Nelson Jason Nogueira Kenneth A. Orchard Gonzalo Pangaro Federico Santilli Ulle Adamson Roy H. Adkins Kennard W. Allen Paulina Amieva Malik S. Asif Ziad Bakri Harishankar Balkrishna Sheena L. Barbosa Peter J. Bates Steve Boothe Peter I. Botoucharov Tala Boulos Carolyn Hoi Che Chu Archibald Ciganer Michael Della Vedova Richard de los Reyes Shawn T. Driscoll Bridget A. Ebner Mark S. Finn Quentin S. Fitzsimmons Aaron Gifford Paul D. Greene II Benjamin Griffiths Amanda B. Hall Richard L. Hall Nabil Hanano Steven C. Huber | President Executive Vice President Executive Vice President Executive Vice President Executive Vice President Executive Vice President Executive Vice President Executive Vice President Executive Vice President Executive Vice President Executive Vice President Executive Vice President Executive Vice President Executive Vice President Executive Vice President Vice President Vice President Vice President Vice President Vice President Vice President Vice President Vice President Vice President Vice President Vice President Vice President Vice President Vice President Vice President Vice President Vice President Vice President Vice President Vice President Vice President Vice President Vice President Vice President Vice President Vice President Vice President |
46
Fund | Name | Position Held |
Stefan Hubrich Tetsuji Inoue Randal S. Jenneke Nina P. Jones Yoichiro Kai Jai Kapadia Christopher J. Kushlis Mark J. Lawrence Johannes Loefstrand Anh Lu Daniel Martino Jonathan H.W. Matthews Eric C. Moffett Tobias F. Mueller Sudhir Nanda Thibault Nardin Oluwaseun A. Oyegunle Sebastian Schrott Robert W. Sharps John C.A. Sherman Gabriel Solomon Joshua K. Spencer David Stanley Taymour R. Tamaddon Ju Yen Tan Dean Tenerelli Eric L. Veiel Rupinder Vig Zenon Voyiatzis Verena E. Wachnitz Dai Wang Christopher S. Whitehouse J. Howard Woodward Ernest C. Yeung (For remaining officers, refer to the All funds table) | Vice President Vice President Vice President Vice President Vice President Vice President Vice President Vice President Vice President Vice President Vice President Vice President Vice President Vice President Vice President Vice President Vice President Vice President Vice President Vice President Vice President Vice President Vice President Vice President Vice President Vice President Vice President Vice President Vice President Vice President Vice President Vice President Vice President Vice President | |
Intermediate Tax-Free High Yield Fund | James M. Murphy R. Lee Arnold, Jr. M. Helena Condez G. Richard Dent Sarah J. Engle Charles B. Hill Dylan Jones Marianna Korpusova Marcy M. Lash Konstantine B. Mallas Hugh D. McGuirk Linda A. Murphy Chen Shao Timothy G. Taylor (For remaining officers, refer to the All funds table) | President Executive Vice President Vice President Vice President Vice President Vice President Vice President Vice President Vice President Vice President Vice President Vice President Vice President Vice President |
47
Fund | Name | Position Held |
International Funds Africa & Middle East Fund Asia Opportunities Fund Dynamic Global Bond Fund Emerging Europe Fund Emerging Markets Bond Fund Emerging Markets Corporate Bond Fund Emerging Markets Local Currency Bond Fund Emerging Markets Stock Fund Emerging Markets Value Stock Fund European Stock Fund Global Consumer Fund Global Growth Stock Fund Global High Income Bond Fund Global Industrials Fund Global Stock Fund International Bond Fund International Bond Fund (USD Hedged) International Concentrated Equity Fund International Discovery Fund International Stock Fund International Value Equity Fund Japan Fund Latin America Fund New Asia Fund Overseas Stock Fund | Christopher D. Alderson Ulle Adamson Peter J. Bates Oliver D.M. Bell R. Scott Berg Archibald Ciganer Richard N. Clattenburg Michael J. Conelius Michael Della Vedova David J. Eiswert Arif Husain Andrew J. Keirle Anh Lu Jonathan H.W. Matthews Raymond A. Mills Eric C. Moffett Samy B. Muaddi Joshua Nelson Jason Nogueira Kenneth A. Orchard Gonzalo Pangaro Federico Santilli Dean Tenerelli Justin Thomson Mark J. Vaselkiv Verena E. Wachnitz Ernest C. Yeung Jason R. Adams Roy H. Adkins Syed H. Ali Kennard W. Allen Paulina Amieva | President Executive Vice President Executive Vice President Executive Vice President Executive Vice President Executive Vice President Executive Vice President Executive Vice President Executive Vice President Executive Vice President Executive Vice President Executive Vice President Executive Vice President Executive Vice President Executive Vice President Executive Vice President Executive Vice President Executive Vice President Executive Vice President Executive Vice President Executive Vice President Executive Vice President Executive Vice President Executive Vice President Executive Vice President Executive Vice President Executive Vice President Vice President Vice President Vice President Vice President Vice President |
48
Fund | Name | Position Held |
Malik S. Asif Ziad Bakri Harishankar Balkrishna Sheena L. Barbosa Luis M. Baylac Timothy F. Bei Steve Boothe Peter I. Botoucharov Tala Boulos Ryan N. Burgess Sheldon Chan Andrew Chang Tak Yiu Cheng Carolyn Hoi Che Chu Michael F. Connelly Andrew S. Davis Richard de los Reyes Shawn T. Driscoll Bridget A. Ebner Henry M. Ellenbogen Ryan W. Ferro Mark S. Finn Quentin S. Fitzsimmons Melissa C. Gallagher Justin T. Gerbereux Aaron Gifford Vishnu Vardhan Gopal Joel Grant Paul D. Greene II Benjamin Griffiths Gianluca Guicciardi Amanda B. Hall Richard L. Hall Nabil Hanano Daniel Hirsch Steven C. Huber Stefan Hubrich Hiromasa Ikeda Tetsuji Inoue Michael D. Jacobs Randal S. Jenneke Prashant G. Jeyaganesh Nina P. Jones Yoichiro Kai Jacob H. Kann Jai Kapadia Takanori Kobayashi Christopher J. Kushlis Shengrong Lau Mark J. Lawrence Jacqueline L. Liu Johannes Loefstrand Oxana Lyalina Sebastien Mallet Ryan Martyn Jihong Min Ivan Morozov Tobias F. Mueller Thibault Nardin Philip A. Nestico Michael Niedzielski Sridhar Nishtala | Vice President Vice President Vice President Vice President Vice President Vice President Vice President Vice President Vice President Vice President Vice President Vice President Vice President Vice President Vice President Vice President Vice President Vice President Vice President Vice President Vice President Vice President Vice President Vice President Vice President Vice President Vice President Vice President Vice President Vice President Vice President Vice President Vice President Vice President Vice President Vice President Vice President Vice President Vice President Vice President Vice President Vice President Vice President Vice President Vice President Vice President Vice President Vice President Vice President Vice President Vice President Vice President Vice President Vice President Vice President Vice President Vice President Vice President Vice President Vice President Vice President Vice President |
49
Fund | Name | Position Held |
Curt J. Organt Paul T. OSullivan Oluwaseun A. Oyegunle Vivek Rajeswaran Melanie A. Rizzo David L. Rowlett Mariel Santiago Sebastian Schrott Robert W. Sharps John C.A. Sherman Gabriel Solomon Eunbin Song Joshua K. Spencer David Stanley Taymour R. Tamaddon Ju Yen Tan Sin Dee Tan Siby Thomas Mitchell J.K. Todd Rupinder Vig Kes Visuvalingam Chris Vost Zenon Voyiatzis David J. Wallack Dai Wang Hiroshi Watanabe Christopher S. Whitehouse Clive M. Williams J. Howard Woodward Marta Yago Benjamin T. Yeagle Alison Mei Ling Yip Eric Yuan Wenli Zheng (For remaining officers, refer to the All funds table) | Vice President Vice President Vice President Vice President Vice President Vice President Vice President Vice President Vice President Vice President Vice President Vice President Vice President Vice President Vice President Vice President Vice President Vice President Vice President Vice President Vice President Vice President Vice President Vice President Vice President Vice President Vice President Vice President Vice President Vice President Vice President Vice President Vice President Vice President | |
International Index Fund International Equity Index Fund | Neil Smith E. Frederick Bair Craig A. Thiese Ken D. Uematsu Michael T. Wehn (For remaining officers, refer to the All funds table) | President Vice President Vice President Vice President Vice President |
Limited Duration Inflation Focused Bond Fund | Stephen L. Bartolini Brian J. Brennan Jerome A. Clark Geoffrey M. Hardin Wyatt A. Lee Andrew C. McCormick Michael F. Reinartz Daniel O. Shackelford Christopher J. Temple Susan G. Troll (For remaining officers, refer to the All funds table) | President Vice President Vice President Vice President Vice President Vice President Vice President Vice President Vice President Vice President |
50
Fund | Name | Position Held |
Mid-Cap Growth Fund | Brian W.H. Berghuis John F. Wakeman Kennard W. Allen Ziad Bakri Shawn T. Driscoll Donald J. Easley Henry M. Ellenbogen Joseph B. Fath Robert J. Marcotte Ian C. McDonald Jason Nogueira Vivek Rajeswaran Joshua K. Spencer Justin P. White (For remaining officers, refer to the All funds table) | President Executive Vice President Vice President Vice President Vice President Vice President Vice President Vice President Vice President Vice President Vice President Vice President Vice President Vice President |
Mid-Cap Value Fund | David J. Wallack Heather K. McPherson Ryan N. Burgess Christopher W. Carlson Richard de los Reyes Mark S. Finn Ryan S. Hedrick Nina P. Jones Melanie A. Rizzo Gabriel Solomon J. David Wagner Justin P. White John M. Williams (For remaining officers, refer to the All funds table) | President Executive Vice President Vice President Vice President Vice President Vice President Vice President Vice President Vice President Vice President Vice President Vice President Vice President |
Multi-Sector Account Portfolios Emerging Markets Corporate Multi-Sector Account Portfolio Emerging Markets Local Multi-Sector Account Portfolio Floating Rate Multi-Sector Account Portfolio High Yield Multi-Sector Account Portfolio Investment-Grade Corporate Multi-Sector Account Portfolio Mortgage-Backed Securities Multi-Sector Account Portfolio | Edward A. Wiese Steve Boothe Andrew J. Keirle Paul M. Massaro Andrew C. McCormick Samy B. Muaddi Mark J. Vaselkiv Roy H. Adkins Anil K. Andhavarapu Stephen L. Bartolini Peter I. Botoucharov Tala Boulos Brian J. Brennan Christopher P. Brown, Jr. Brian E. Burns Sheldon Chan Carolyn Hoi Che Chu Michael J. Conelius Michael F. Connelly Michael P. Daley Ramon R. de Castro Stephen M. Finamore Justin T. Gerbereux Aaron Gifford Michael J. Grogan Richard L. Hall Steven C. Huber Arif Husain Keir R. Joyce Steven M. Kohlenstein Christopher J. Kushlis Michael Lambe Alan D. Levenson | President Executive Vice President Executive Vice President Executive Vice President Executive Vice President Executive Vice President Executive Vice President Vice President Vice President Vice President Vice President Vice President Vice President Vice President Vice President Vice President Vice President Vice President Vice President Vice President Vice President Vice President Vice President Vice President Vice President Vice President Vice President Vice President Vice President Vice President Vice President Vice President Vice President |
51
Fund | Name | Position Held |
Michael J. McGonigle Ivan Morozov Alexander S. Obaza Kenneth A. Orchard Miso Park Theodore E. Robson Brian A. Rubin Mariel Santiago Michael K. Sewell Jeanny Silva David Stanley Kimberly A. Stokes Ju Yen Tan Robert. D. Thomas Siby Thomas David A. Tiberii Lauren T. Wagandt John D. Wells Bineesha Wickremarachchi J. Howard Woodward (For remaining officers, refer to the All funds table) | Vice President Vice President Vice President Vice President Vice President Vice President Vice President Vice President Vice President Vice President Vice President Vice President Vice President Vice President Vice President Vice President Vice President Vice President Vice President Vice President | |
Multi-Strategy Total Return Fund | Richard de los Reyes Stefan Hubrich Henry M. Ellenbogen David R. Giroux Arif Husain John D. Linehan Sebastien Page Robert W. Sharps Justin Thomson Mark J. Vaselkiv (For remaining officers, refer to the All funds table) | Co-President Co-President Vice President Vice President Vice President Vice President Vice President Vice President Vice President Vice President |
New America Growth Fund | Justin P. White Ziad Bakri Brian W.H. Berghuis Eric L. DeVilbiss Shawn T. Driscoll Ian C. McDonald Curt J. Organt David L. Rowlett Robert W. Sharps Taymour R. Tamaddon Craig A. Thiese Thomas H. Watson (For remaining officers, refer to the All funds table) | President Vice President Vice President Vice President Vice President Vice President Vice President Vice President Vice President Vice President Vice President Vice President |
52
Fund | Name | Position Held |
New Era Fund | Shawn T. Driscoll Syed H. Ali Boyko Atanassov Richard de los Reyes Donald J. Easley Mark S. Finn Ryan S. Hedrick Jon R. Hussey Shinwoo Kim Matt Mahon Ryan Martyn Heather K. McPherson Christian M. ONeill John Qian Vivek Rajeswaran Thomas A. Shelmerdine Craig A. Thiese David J. Wallack (For remaining officers, refer to the All funds table) | President Vice President Vice President Vice President Vice President Vice President Vice President Vice President Vice President Vice President Vice President Vice President Vice President Vice President Vice President Vice President Vice President Vice President |
New Horizons Fund | Henry M. Ellenbogen Francisco M. Alonso Ziad Bakri Brian W.H. Berghuis Michael F. Blandino Christopher W. Carlson Eric L. DeVilbiss Anouk Dey Barry Henderson Adam Poussard Alexander P. Roik Corey D. Shull Joshua K. Spencer Justin Thomson Alan Tu J. David Wagner (For remaining officers, refer to the All funds table) | President Vice President Vice President Vice President Vice President Vice President Vice President Vice President Vice President Vice President Vice President Vice President Vice President Vice President Vice President Vice President |
New Income Fund | Daniel O. Shackelford Stephen L. Bartolini Steve Boothe Brian J. Brennan Christopher P. Brown, Jr. Michael J. Grogan Geoffrey M. Hardin Robert M. Larkins Matthew Lawton Alan D. Levenson Andrew C. McCormick Susan G. Troll Kelsie L. Palumbo (For remaining officers, refer to the All funds table) | President Executive Vice President Vice President Vice President Vice President Vice President Vice President Vice President Vice President Vice President Vice President Vice President Assistant Vice President |
53
Fund | Name | Position Held |
Personal Strategy Funds Personal Strategy Balanced Fund Personal Strategy Growth Fund Personal Strategy Income Fund | Charles M. Shriver Christopher D. Alderson Francisco M. Alonso E. Frederick Bair Jerome A. Clark Kimberly E. DeDominicis Mark S. Finn David R. Giroux Arif Husain Wyatt A. Lee Raymond A. Mills Sebastien Page Larry J. Puglia Daniel O. Shackelford Robert W. Sharps Guido F. Stubenrauch Toby M. Thompson Justin Thomson Mark J. Vaselkiv (For remaining officers, refer to the All funds table) | President Vice President Vice President Vice President Vice President Vice President Vice President Vice President Vice President Vice President Vice President Vice President Vice President Vice President Vice President Vice President Vice President Vice President Vice President |
Quantitative Management Funds QM Global Equity Fund QM U.S. Small & Mid-Cap Core Equity Fund QM U.S. Small-Cap Growth Equity Fund QM U.S. Value Equity Fund | Sudhir Nanda Vinit Agrawal Prashant G. Jeyaganesh Farris G. Shuggi George Gao Vidya Kadiyam Navneesh Malhan Jordan S. Pryor Erik von Heijne Anthony Zhu (For remaining officers, refer to the All funds table) | President Executive Vice President Executive Vice President Executive Vice President Vice President Vice President Vice President Vice President Vice President Vice President |
Real Assets Fund | Wyatt A. Lee Boyko Atanassov E. Frederick Bair Stephen L. Bartolini Richard de los Reyes Shawn T. Driscoll Stefan Hubrich Nina P. Jones David M. Lee Sebastien Page Daniel O. Shackelford Charles M. Shriver (For remaining officers, refer to the All funds table) | President Vice President Vice President Vice President Vice President Vice President Vice President Vice President Vice President Vice President Vice President Vice President |
Real Estate Fund | David M. Lee Thomas J. Huber Nina P. Jones Daniel A. McCulley Philip A. Nestico Dante Pearson Preeta Ragavan Theodore E. Robson Weijie Si (For remaining officers, refer to the All funds table) | President Vice President Vice President Vice President Vice President Vice President Vice President Vice President Vice President |
54
Fund | Name | Position Held |
TRP Reserve Investment Funds Government Reserve Fund Short-Term Fund Short-Term Government Fund Treasury Reserve Fund | Joseph K. Lynagh M. Helena Condez G. Richard Dent Stephanie A. Gentile March M. Lash Alan D. Levenson Cheryl A. Mickel Chen Shao Douglas D. Spratley Robert D. Thomas (For remaining officers, refer to the All funds table) | President Vice President Vice President Vice President Vice President Vice President Vice President Vice President Vice President Vice President |
Retirement Funds Retirement 2005 Fund Retirement 2010 Fund Retirement 2015 Fund Retirement 2020 Fund Retirement 2025 Fund Retirement 2030 Fund Retirement 2035 Fund Retirement 2040 Fund Retirement 2045 Fund Retirement 2050 Fund Retirement 2055 Fund Retirement 2060 Fund Retirement Balanced Fund Retirement I 2005 FundI Class Retirement I 2010 FundI Class Retirement I 2015 FundI Class Retirement I 2020 FundI Class Retirement I 2025 FundI Class Retirement I 2030 FundI Class Retirement I 2035 FundI Class Retirement I 2040 FundI Class Retirement I 2045 FundI Class Retirement I 2050 FundI Class Retirement I 2055 FundI Class Retirement I 2060 FundI Class Retirement Balanced I FundI Class Retirement Income 2020 Fund Target 2005 Fund Target 2010 Fund Target 2015 Fund Target 2020 Fund Target 2025 Fund Target 2030 Fund Target 2035 Fund Target 2040 Fund Target 2045 Fund Target 2050 Fund Target 2055 Fund Target 2060 Fund | Jerome A. Clark Wyatt A. Lee Christopher D. Alderson Francisco M. Alonso Kimberly E. DeDominicis David R. Giroux Arif Husain Sebastien Page Robert A. Panariello Daniel O. Shackelford Robert W. Sharps Charles M. Shriver Guido F. Stubenrauch Justin Thomson James A. Tzitzouris, Jr. Mark J. Vaselkiv (For remaining officers, refer to the All funds table) | Co-President Co-President Vice President Vice President Vice President Vice President Vice President Vice President Vice President Vice President Vice President Vice President Vice President Vice President Vice President Vice President |
55
Fund | Name | Position Held |
Science & Technology Fund | Kennard W. Allen Brian W.H. Berghuis Greg Dunham David J. Eiswert Paul D. Greene II Jacqueline L. Liu Tobias F. Mueller Emily C. Scudder Joshua K. Spencer Alan Tu Anthony Wang Thomas H. Watson Alison Mei Ling Yip (For remaining officers, refer to the All funds table) | President Vice President Vice President Vice President Vice President Vice President Vice President Vice President Vice President Vice President Vice President Vice President Vice President |
Short-Term Bond Fund Ultra Short-Term Bond Fund | Cheryl A. Mickel Joseph K. Lynagh Michael F. Reinartz Stephen L. Bartolini Jason T. Collins M. Helena Condez Michael P. Daley Levent Demirekler Stephanie A. Gentile Michael J. Grogan Geoffrey M. Hardin Charles B. Hill Keir R. Joyce Steven M. Kohlenstein Andrew C. McCormick Alexander S. Obaza Chen Shao Douglas D. Spratley (For remaining officers, refer to the All funds table) | President Executive Vice President Executive Vice President Vice President Vice President Vice President Vice President Vice President Vice President Vice President Vice President Vice President Vice President Vice President Vice President Vice President Vice President Vice President |
Small-Cap Stock Fund | Francisco M. Alonso Andrew S. Davis Christopher T. Fortune John Hall Ryan S. Hedrick Robert J. Marcotte Curt J. Organt Charles G. Pepin Robert T. Quinn Alexander P. Roik Joshua K. Spencer J. David Wagner Rouven J. Wool-Lewis (For remaining officers, refer to the All funds table) | President Vice President Vice President Vice President Vice President Vice President Vice President Vice President Vice President Vice President Vice President Vice President Vice President |
Small-Cap Value Fund | J. David Wagner Francisco M. Alonso Christopher T. Fortune Ryan S. Hedrick Curt J. Organt Robert T. Quinn Preeta Ragavan Vivek Rajeswaran Alexander P. Roik Farris G. Shuggi (For remaining officers, refer to the All funds table) | President Vice President Vice President Vice President Vice President Vice President Vice President Vice President Vice President Vice President |
56
Fund | Name | Position Held |
Spectrum Funds Spectrum Growth Fund Spectrum Income Fund Spectrum International Fund | Charles M. Shriver Christopher D. Alderson Francisco M. Alonso Kimberly E. DeDominicis David R. Giroux Arif Husian Wyatt A. Lee Sebastien Page Daniel O. Shackelford Robert W. Sharps Guido F. Stubenrauch Toby M. Thompson Justin Thomson Mark J. Vaselkiv (For remaining officers, refer to the All funds table) | President Vice President Vice President Vice President Vice President Vice President Vice President Vice President Vice President Vice President Vice President Vice President Vice President Vice President |
State Tax-Free Funds California Tax-Free Bond Fund California Tax-Free Money Fund Georgia Tax-Free Bond Fund Maryland Short-Term Tax-Free Bond Fund Maryland Tax-Free Bond Fund Maryland Tax-Free Money Fund New Jersey Tax-Free Bond Fund New York Tax-Free Bond Fund New York Tax-Free Money Fund Virginia Tax-Free Bond Fund | Hugh D. McGuirk Charles B. Hill Joseph K. Lynagh Konstantine B. Mallas Austin Applegate R. Lee Arnold, Jr. M. Helena Condez G. Richard Dent Sarah J. Engle Stephanie A. Gentile Dylan Jones Marianna Korpusova Marcy M. Lash Alan D. Levenson James T. Lynch James M. Murphy Linda A. Murphy Chen Shao Douglas D. Spratley Timothy G. Taylor Robert D. Thomas (For remaining officers, refer to the All funds table) | President Executive Vice President Executive Vice President Executive Vice President Vice President Vice President Vice President Vice President Vice President Vice President Vice President Vice President Vice President Vice President Vice President Vice President Vice President Vice President Vice President Vice President Vice President |
Summit Income Funds Cash Reserves Fund | Joseph K. Lynagh M. Helena Condez G. Richard Dent Stephanie A. Gentile Marcy M. Lash Alan D. Levenson Cheryl A. Mickel Chen Shao Douglas D. Spratley Robert D. Thomas (For remaining officers, refer to the All funds table) | President Vice President Vice President Vice President Vice President Vice President Vice President Vice President Vice President Vice President |
57
Fund | Name | Position Held |
Summit Municipal Funds Summit Municipal Income Fund Summit Municipal Intermediate Fund Summit Municipal Money Market Fund | Hugh D. McGuirk Charles B. Hill Joseph K. Lynagh Konstantine B. Mallas Austin Applegate R. Lee Arnold, Jr. Colin T. Bando M. Helena Condez G. Richard Dent Sarah J. Engle Stephanie A. Gentile Dylan Jones Marianna Korpusova Marcy M. Lash Alan D. Levenson James T. Lynch Cheryl A. Mickel James M. Murphy Linda A. Murphy Chen Shao Douglas D. Spratley Timothy G. Taylor Robert D. Thomas (For remaining officers, refer to the All funds table) | President Executive Vice President Executive Vice President Executive Vice President Vice President Vice President Vice President Vice President Vice President Vice President Vice President Vice President Vice President Vice President Vice President Vice President Vice President Vice President Vice President Vice President Vice President Vice President Vice President |
Tax-Efficient Funds Tax-Efficient Equity Fund | Donald J. Peters Kennard W. Allen Ziad Bakri Andrew S. Davis Greg Dunham Donald J. Easley Weijie Si Matthew J. Snowling Alan Tu Mark R. Weigman (For remaining officers, refer to the All funds table) | President Vice President Vice President Vice President Vice President Vice President Vice President Vice President Vice President Vice President |
Tax-Exempt Money Fund | Joseph K. Lynagh M. Helena Condez G. Richard Dent Stephanie A. Gentile Marcy M. Lash Alan D. Levenson Chen Shao Douglas D. Spratley Robert D. Thomas (For remaining officers, refer to the All funds table) | President Vice President Vice President Vice President Vice President Vice President Vice President Vice President Vice President |
Tax-Free High Yield Fund | James M. Murphy R. Lee Arnold, Jr. Austin Applegate Colin T. Bando G. Richard Dent Sarah J. Engle Charles B. Hill Dylan Jones Marianna Korpusova Marcy M. Lash Konstantine B. Mallas Hugh D. McGuirk Linda A. Murphy Chen Shao Timothy G. Taylor (For remaining officers, refer to the All funds table) | President Executive Vice President Vice President Vice President Vice President Vice President Vice President Vice President Vice President Vice President Vice President Vice President Vice President Vice President Vice President |
58
Fund | Name | Position Held |
Tax-Free Income Fund | Konstantine B. Mallas R. Lee Arnold, Jr. M. Helena Condez G. Richard Dent Sarah J. Engle Charles B. Hill Marcy M. Lash James T. Lynch Hugh D. McGuirk James M. Murphy Chen Shao Timothy G. Taylor (For remaining officers, refer to the All funds table) | President Vice President Vice President Vice President Vice President Vice President Vice President Vice President Vice President Vice President Vice President Vice President |
Tax-Free Short-Intermediate Fund | Charles B. Hill Austin Applegate M. Helena Condez G. Richard Dent Dylan Jones Marianna Korpusova Marcy M. Lash Joseph K. Lynagh James T. Lynch Konstantine B. Mallas Hugh D. McGuirk Chen Shao Timothy G. Taylor (For remaining officers, refer to the All funds table) | President Vice President Vice President Vice President Vice President Vice President Vice President Vice President Vice President Vice President Vice President Vice President Vice President |
Total Return Fund | Andrew C. McCormick Christopher P. Brown, Jr. Stephen L. Bartolini Jason A. Bauer Brian J. Brennan Oliver Gjoneski Steven C. Huber Robert M. Larkins Yongheon Lee Kelsie L. Palumbo Daniel O. Shackelford Christopher J. Temple (For remaining officers, refer to the All funds table) | President Executive Vice President Vice President Vice President Vice President Vice President Vice President Vice President Vice President Vice President Vice President Vice President |
U.S. Bond Enhanced Index Fund | Robert M. Larkins Stephen L. Bartolini Brian J. Brennan Christopher P. Brown, Jr. Andrew C. McCormick Daniel O. Shackelford Scott D. Solomon David A. Tiberii (For remaining officers, refer to the All funds table) | President Vice President Vice President Vice President Vice President Vice President Vice President Vice President |
U.S. Large-Cap Core Fund | Jeffrey Rottinghaus Peter J. Bates Shawn T. Driscoll Joseph B. Fath Mark S. Finn Paul D. Greene II Ryan S. Hedrick Heather K. McPherson Jason Nogueira Gabriel Solomon (For remaining officers, refer to the All funds table) | President Vice President Vice President Vice President Vice President Vice President Vice President Vice President Vice President Vice President |
59
Fund | Name | Position Held |
U.S. Treasury Funds U.S. Treasury Intermediate Fund U.S. Treasury Long-Term Fund U.S. Treasury Money Fund | Brian J. Brennan Joseph K. Lynagh Stephen L. Bartolini M. Helena Condez G. Richard Dent Stephanie A. Gentile Geoffrey M. Hardin Keir R. Joyce Marcy M. Lash Alan D. Levenson Andrew C. McCormick Cheryl A. Mickel Daniel O. Shackelford Chen Shao Douglas D. Spratley Robert D. Thomas Kelsie L. Palumbo (For remaining officers, refer to the All funds table) | President Executive Vice President Vice President Vice President Vice President Vice President Vice President Vice President Vice President Vice President Vice President Vice President Vice President Vice President Vice President Vice President Assistant Vice President |
Value Fund | Mark S. Finn Boyko Atanassov Peter J. Bates Jason A. Bauer Andrew S. Davis Vincent M. DeAugustino Joel Grant Jon R. Hussey John D. Linehan Daniel Martino Heather K. McPherson Christian M. ONeill Weijie Si Joshua K. Spencer Tamara P. Wiggs Jon D. Wood (For remaining officers, refer to the All funds table) | President Vice President Vice President Vice President Vice President Vice President Vice President Vice President Vice President Vice President Vice President Vice President Vice President Vice President Vice President Vice President |
(a) Certain officers of the corporation do not serve as officers with respect to the fund; the High Yield Funds officers are Edward A. Wiese, Mark J. Vaselkiv, Jason A. Bauer, Michael F. Connelly, Michael Della Vedova, Carson R. Dickson, Stephen M. Finamore, Justin T. Gerbereux, Paul M. Massaro, Brian A. Rubin, Jamie Shin, and Michael J. Trivino.
(b) Certain officers of the corporation do not serve as officers with respect to the fund; the U.S. High Yield Funds officers are Edward A. Wiese, Kevin P. Loome, Charles Devereux, Devon Everhart, Matthew Fanandakis, Gregg Gola, and Douglas Zinser.
Officers
Name, Year
of Birth, and Principal Occupation(s) | Position(s) Held With Fund(s) |
Jason R. Adams, 1979 Vice President, T. Rowe Price and T. Rowe Price Group, Inc.; formerly Research Analyst, Caxton Associates (to 2015) | Vice President, Blue Chip Growth Fund, Diversified Mid-Cap Growth Fund, Equity Income Fund, and International Funds |
Ulle Adamson, CFA,1979 Vice President, T. Rowe Price Group, Inc. and T. Rowe Price International | Executive Vice President, International Funds; Vice President, Institutional International Funds |
Roy H. Adkins, 1970 Vice President, T. Rowe Price Group, Inc. and T. Rowe Price International | Vice President, Institutional International Funds, International Funds, and Multi-Sector Account Portfolios |
Vinit Agrawal, 1987 Vice President, T. Rowe Price and T. Rowe Price Group, Inc. | Executive Vice President, Quantitative Management Funds; Vice President, Equity Income Fund |
60
Name, Year of Birth, and Principal
Occupation(s) | Position(s) Held With Fund(s) |
Christopher D. Alderson, 1962 Director and Vice President, T. Rowe Price International; Vice President, Price Hong Kong, Price Singapore, and T. Rowe Price Group, Inc. | President, Institutional International Funds and International Funds; Vice President, Personal Strategy Funds, Retirement Funds, and Spectrum Funds |
Syed H. Ali, 1970 Vice President, Price Singapore and T. Rowe Price Group, Inc. | Vice President, International Funds and New Era Fund |
Kennard W. Allen, 1977 Vice President, T. Rowe Price and T. Rowe Price Group, Inc. | President, Science & Technology Fund; Vice President, Capital Opportunity Fund, Diversified Mid-Cap Growth Fund, Global Technology Fund, Institutional International Funds, International Funds, Mid-Cap Growth Fund, and Tax-Efficient Funds |
Francisco M. Alonso, 1978 Vice President, T. Rowe Price, T. Rowe Price Group, Inc., and T. Rowe Price Trust Company | President, Small-Cap Stock Fund; Executive Vice President, Institutional Equity Funds; Vice President, New Horizons Fund, Personal Strategy Funds, Retirement Funds, Small-Cap Value Fund, and Spectrum Funds |
Paulina Amieva, 1981 Vice President, T. Rowe Price and T. Rowe Price Group, Inc. | Vice President, Institutional International Funds and International Funds |
Anil K. Andhavarapu, 1980 Vice President, T. Rowe Price and T. Rowe Price Group, Inc. | Vice President, GNMA Fund and Multi-Sector Account Portfolios |
Austin Applegate, 1974 Vice President, T. Rowe Price and T. Rowe Price Group, Inc. | Vice President, State Tax-Free Funds, Summit Municipal Funds, Tax-Free High Yield Fund, and Tax-Free Short-Intermediate Fund |
R. Lee Arnold, Jr., CFA, CPA, 1970 Vice President, T. Rowe Price and T. Rowe Price Group, Inc. | Executive Vice President, Intermediate Tax-Free High Yield Fund and Tax-Free High Yield Fund; Vice President, State Tax-Free Funds, Summit Municipal Funds, and Tax-Free Income Fund |
Malik S. Asif, 1981 Vice President, T. Rowe Price Group, Inc. and T. Rowe Price International | Vice President, Institutional International Funds and International Funds |
Boyko Atanassov, CFA,1969 Vice President, T. Rowe Price and T. Rowe Price Group, Inc. | Vice President, New Era Fund, Real Assets Fund, and Value Fund |
E. Frederick Bair, CFA, CPA, 1969 Vice President, T. Rowe Price, T. Rowe Price Group, Inc., and T. Rowe Price Trust Company | Vice President, Index Trust, International Index Fund, Personal Strategy Funds, and Real Assets Fund |
Ziad Bakri, M.D., CFA,1980 Vice President, T. Rowe Price and T. Rowe Price Group, Inc. | President, Health Sciences Fund; Vice President, Blue Chip Growth Fund, Institutional International Funds, International Funds, Mid-Cap Growth Fund, New America Growth Fund, New Horizons Fund, and Tax-Efficient Funds |
Harishankar Balkrishna, 1983 Vice President, T. Rowe Price Group, Inc. and T. Rowe Price International | Vice President, Global Real Estate Fund, Institutional International Funds, and International Funds |
Colin T. Bando, CFA,1987 Vice President, T. Rowe Price and T. Rowe Price Group, Inc.; formerly Senior Analyst, PFM Group in New York (to 2014) | Vice President, Summit Municipal Funds and Tax-Free High Yield Fund |
Sheena L. Barbosa, 1983 Vice President, Price Hong Kong and T. Rowe Price Group, Inc. | Vice President, Institutional International Funds and International Funds |
61
Name, Year of Birth, and Principal
Occupation(s) | Position(s) Held With Fund(s) |
Stephen L. Bartolini, CFA,1977 Vice President, T. Rowe Price, T. Rowe Price Group, Inc., and T. Rowe Price Trust Company | President, Inflation Protected Bond Fund and Limited Duration Inflation Focused Bond Fund; Executive Vice President, New Income Fund; Vice President, Global Allocation Fund, Institutional Income Funds, Multi-Sector Account Portfolios, Real Assets Fund, Short-Term Bond Fund, Total Return Fund, U.S. Bond Enhanced Index Fund, and U.S. Treasury Funds |
Peter J. Bates, CFA,1974 Vice President, T. Rowe Price and T. Rowe Price Group, Inc. | Executive Vice President, International Funds; Vice President, Blue Chip Growth Fund, Capital Opportunity Fund, Dividend Growth Fund, Growth & Income Fund, Institutional International Funds, U.S. Large-Cap Core Fund, and Value Fund |
Jason A. Bauer, 1979 Vice President, T. Rowe Price and T. Rowe Price Group, Inc. | Vice President, Credit Opportunities Fund, High Yield Fund (serves only with respect to the High Yield Fund), Institutional Income Funds, Total Return Fund, and Value Fund |
Luis M. Baylac, 1982 Vice President, T. Rowe Price Group, Inc. and T. Rowe Price International | Vice President, International Funds |
Timothy F. Bei, 1973 Vice President, T. Rowe Price and T. Rowe Price Group, Inc. | Vice President, International Funds |
Oliver D.M. Bell, 1969 Vice President, T. Rowe Price Group, Inc. and T. Rowe Price International | Executive Vice President, Institutional International Funds and International Funds |
R. Scott Berg, CFA,1972 Vice President, T. Rowe Price and T. Rowe Price Group, Inc. | Executive Vice President, Institutional International Funds and International Funds |
Brian W.H. Berghuis, CFA,1958 Vice President, T. Rowe Price, T. Rowe Price Group, Inc., and T. Rowe Price Trust Company | President, Mid-Cap Growth Fund; Executive Vice President, Institutional Equity Funds; Vice President, Diversified Mid-Cap Growth Fund, New America Growth Fund, New Horizons Fund, and Science & Technology Fund |
Michael F. Blandino, 1971 Vice President, T. Rowe Price and T. Rowe Price Group, Inc. | Vice President, New Horizons Fund |
Steve Boothe, CFA,1977 Vice President, T. Rowe Price and T. Rowe Price Group, Inc. | Executive Vice President, Corporate Income Fund and Multi-Sector Account Portfolios; Vice President, Capital Appreciation & Income Fund, Global Multi-Sector Bond Fund, Institutional Income Funds, Institutional International Funds, International Funds, and New Income Fund |
Peter I. Botoucharov, 1965 Vice President, T. Rowe Price Group, Inc. and T. Rowe Price International | Vice President, Institutional International Funds, International Funds, and Multi-Sector Account Portfolios |
Tala Boulos, 1984 Vice President, T. Rowe Price Group, Inc. and T. Rowe Price International | Vice President, Institutional International Funds, International Funds, and Multi-Sector Account Portfolios |
Darrell N. Braman, 1963 Vice President, Price Hong Kong, Price Singapore, T. Rowe Price, T. Rowe Price Group, Inc., T. Rowe Price International, T. Rowe Price Investment Services, Inc., and T. Rowe Price Services, Inc. | Vice President and Secretary, all funds |
62
Name, Year of Birth, and Principal
Occupation(s) | Position(s) Held With Fund(s) |
Brian J. Brennan, CFA,1964 Vice President,
T. Rowe Price, T. Rowe Price Group, Inc., T. Rowe Price International, and T. Rowe Price Trust | President, U.S. Treasury Funds; Executive Vice President, Institutional Income Funds; Vice President, GNMA Fund, Inflation Protected Bond Fund, Limited Duration Inflation Focused Bond Fund, Multi-Sector Account Portfolios, New Income Fund, Total Return Fund, and U.S. Bond Enhanced Index Fund |
Christopher P. Brown, Jr., CFA,1977 Vice President, T. Rowe Price and T. Rowe Price Group, Inc. | Executive Vice President, Total Return Fund; Vice President, GNMA Fund, Institutional Income Funds, Multi-Sector Account Portfolios, New Income Fund, and U.S. Bond Enhanced Index Fund |
Ryan N. Burgess, CFA,1974 Vice President, T. Rowe Price and T. Rowe Price Group, Inc. | Vice President, International Funds and Mid-Cap Value Fund |
Brian E. Burns, 1960 Vice President, T. Rowe Price, T. Rowe Price Group, Inc., and T. Rowe Price Trust Company | Vice President, Floating Rate Fund, Institutional Income Funds, and Multi-Sector Account Portfolios |
Christopher W. Carlson, 1967 Vice President, T. Rowe Price and T. Rowe Price Group, Inc. | Vice President, Capital Opportunity Fund, Global Technology Fund, Mid-Cap Value Fund, and New Horizons Fund |
Jon B. Casper, 1989 Vice President, T. Rowe Price; formerly student, The Wharton School, University of Pennsylvania (to 2016); formerly Corporate Strategy Manager, Capital One Financial Corporation (to 2014) | Vice President, Financial Services Fund |
Sheldon Chan, 1981 Vice President, Price Hong Kong and T. Rowe Price Group, Inc. | Vice President, International Funds and Multi-Sector Account Portfolios |
Andrew Chang, 1983 Vice President, T. Rowe Price Group, Inc. | Vice President, International Funds |
Tak Yiu Cheng, CFA, CPA, 1974 Vice President, Price Hong Kong and T. Rowe Price Group, Inc. | Vice President, International Funds |
Paul Y. Cho, 1986 Vice President, T. Rowe Price and T. Rowe Price Group, Inc.; formerly student, The Wharton School, University of Pennsylvania (to 2015); formerly Investment Analyst, Maverick Capital (to 2013) | Vice President, Communications & Technology Fund |
Carolyn Hoi Che Chu, 1974 Vice President, Price Hong Kong and T. Rowe Price Group, Inc. | Vice President, Institutional International Funds, International Funds, and Multi-Sector Account Portfolios |
Archibald Ciganer, CFA,1976 Vice President, T. Rowe Price Group, Inc. and T. Rowe Price International | Executive Vice President, International Funds; Vice President, Institutional International Funds |
Jerome A. Clark, CFA,1961 Vice President, T. Rowe Price, T. Rowe Price Group, Inc., T. Rowe Price Investment Services, Inc., and T. Rowe Price Trust Company | Co-President, Retirement Funds; Vice President, Limited Duration Inflation Focused Bond Fund and Personal Strategy Funds |
Richard N. Clattenburg, CFA,1979 Vice President, Price Singapore, T. Rowe Price, T. Rowe Price Group, Inc., and T. Rowe Price International | Executive Vice President, Institutional International Funds and International Funds; Vice President, Capital Appreciation & Income Fund and Global Real Estate Fund |
David Clewell, CFA,1984 Assistant Vice President, T. Rowe Price | Vice President, Global Allocation Fund |
Jason T. Collins, 1971 Vice President, T. Rowe Price and T. Rowe Price Group, Inc. | Vice President, Short-Term Bond Fund |
63
Name, Year of Birth, and Principal
Occupation(s) | Position(s) Held With Fund(s) |
M. Helena Condez, 1962 Vice President, T. Rowe Price and T. Rowe Price Group, Inc. | Vice President, Government Money Fund, Institutional Income Funds, Intermediate Tax-Free High Yield Fund, TRP Reserve Funds, Short-Term Bond Fund, State Tax-Free Funds, Summit Income Funds, Summit Municipal Funds, Tax-Exempt Money Fund, Tax-Free Income Fund, Tax-Free Short-Intermediate Fund, and U.S. Treasury Funds |
Michael J. Conelius, CFA,1964 Vice President, T. Rowe Price, T. Rowe Price Group, Inc., T. Rowe
Price International, and T. Rowe Price Trust | Executive Vice President, Institutional International Funds and International Funds; Vice President, Global Multi-Sector Bond Fund, Institutional Income Funds, and Multi-Sector Account Portfolios |
Michael F. Connelly, CFA,1977 Vice President, T. Rowe Price and T. Rowe Price Group, Inc. | Vice President, Floating Rate Fund, High Yield Fund (serves only with respect to the High Yield Fund), Institutional Income Funds, International Funds, and Multi-Sector Account Portfolios |
Michael P. Daley, 1981 Vice President, T. Rowe Price and T. Rowe Price Group, Inc. | Vice President, Corporate Income Fund, Institutional Income Funds, Multi-Sector Account Portfolios, and Short-Term Bond Fund |
Andrew S. Davis, 1978 Vice President, T. Rowe Price and T. Rowe Price Group, Inc. | Vice President, Dividend Growth Fund, Growth Stock Fund, International Funds, Small-Cap Stock Fund, Tax-Efficient Funds, and Value Fund |
Vincent M. DeAugustino, 1983 Vice President, T. Rowe Price and T. Rowe Price Group, Inc. | Vice President, Financial Services Fund and Value Fund |
Ramon R. de Castro, 1966 Vice President, T. Rowe Price and T. Rowe Price Group, Inc. | Vice President, GNMA Fund and Multi-Sector Account Portfolios |
Kimberly E. DeDominicis, 1976 Vice President, T. Rowe Price, T. Rowe Price Group, Inc., and T. Rowe Price International | Vice President, Balanced Fund, Personal Strategy Funds, Retirement Funds, and Spectrum Funds |
Richard de los Reyes, 1975 Vice President, T. Rowe Price, T. Rowe Price Group, Inc., and T. Rowe Price Trust Company | Co-President, Multi-Strategy Total Return Fund; Vice President, Institutional International Funds, International Funds, Mid-Cap Value Fund, New Era Fund, and Real Assets Fund |
Michael Della Vedova, 1969 Vice President, T. Rowe Price Group, Inc. and T. Rowe Price International | Executive Vice President, International Funds; Vice President, Global Multi-Sector Bond Fund, High Yield Fund (serves only with respect to the High Yield Fund), and Institutional International Funds |
Levent Demirekler, 1974 Vice President, T. Rowe Price and T. Rowe Price Group, Inc. | Vice President, Short-Term Bond Fund |
G. Richard Dent, 1960 Vice President, T. Rowe Price and T. Rowe Price Group, Inc. | Vice President, Government Money Fund, Institutional Income Funds, Intermediate Tax-Free High Yield Fund, TRP Reserve Funds, State Tax-Free Funds, Summit Income Funds, Summit Municipal Funds, Tax-Exempt Money Fund, Tax-Free High Yield Fund, Tax-Free Income Fund, Tax-Free Short-Intermediate Fund, and U.S. Treasury Funds |
Charles Devereux, 1969 Vice President, T. Rowe Price and T. Rowe Price Group, Inc.; formerly Head Analyst, Henderson Global Investors (to 2017); Director, Delaware Investments (to 2013) | Vice President, High Yield Fund (serves only with respect to the High Yield Fund) |
Eric L. DeVilbiss, CFA,1983 Vice President, T. Rowe Price and T. Rowe Price Group, Inc. | Vice President, Blue Chip Growth Fund, Diversified Mid-Cap Growth Fund, Growth Stock Fund, New America Growth Fund, and New Horizons Fund |
64
Name, Year of Birth, and Principal
Occupation(s) | Position(s) Held With Fund(s) |
Anouk Dey, CFA,1986 Vice President, T. Rowe Price and T. Rowe Price Group, Inc. | Vice President, New Horizons Fund |
Carson R. Dickson, CFA, CPA, 1976 Vice President, T. Rowe Price and T. Rowe Price Group, Inc. | Vice President, Credit Opportunities Fund, High Yield Fund (serves only with respect to the High Yield Fund), and Institutional Income Funds |
Anna A. Dreyer, 1981 Vice President, T. Rowe Price and T. Rowe Price Group, Inc. | Vice President, Balanced Fund |
Shawn T. Driscoll, 1975 Vice President, T. Rowe Price, T. Rowe Price Group, Inc., and T. Rowe Price Trust Company | President, New Era Fund; Vice President, Capital Appreciation Fund, Growth & Income Fund, Growth Stock Fund, Institutional International Funds, International Funds, Mid-Cap Growth Fund, New America Growth Fund, Real Assets Fund, and U.S. Large-Cap Core Fund |
Greg Dunham, CFA,1974 Vice President, T. Rowe Price and T. Rowe Price Group; formerly Analyst, Goldman Sachs (to 2015) | Vice President, Communications & Technology Fund, Global Technology Fund, Growth Stock Fund, Science & Technology Fund, and Tax-Efficient Funds |
Donald J. Easley, CFA,1971 Vice President, T. Rowe Price and T. Rowe Price Group, Inc. | Executive Vice President, Diversified Mid-Cap Growth Fund; Vice President, Capital Opportunity Fund, Mid-Cap Growth Fund, New Era Fund, and Tax-Efficient Funds |
Bridget A. Ebner, 1970 Vice President, T. Rowe Price and T. Rowe Price Group, Inc. | Vice President, Institutional International Funds and International Funds |
David J. Eiswert, CFA,1972 Vice President, T. Rowe Price, T. Rowe Price Group, Inc., and T. Rowe Price International | Executive Vice President, Institutional International Funds and International Funds; Vice President, Communications & Technology Fund, Global Technology Fund, Growth Stock Fund, and Science & Technology Fund |
Henry M. Ellenbogen, 1973 Vice President, T. Rowe Price, T. Rowe Price Group, Inc., and T. Rowe Price Trust Company | President, New Horizons Fund; Vice President, Communications & Technology Fund, Global Technology Fund, International Funds, Mid-Cap Growth Fund, and Multi-Strategy Total Return Fund |
Sarah J. Engle, 1979 Vice President, T. Rowe Price and T. Rowe Price Group, Inc. | Vice President, Intermediate Tax-Free High Yield Fund, State Tax-Free Funds, Summit Municipal Funds, Tax-Free High Yield Fund, and Tax-Free Income Fund |
Devon Everhart, CFA,1977 Vice President, T. Rowe
Price and T. Rowe Price Group, Inc.; formerly Senior Research Analyst, Henderson Global Investors (to
2017); Senior Research Analyst, Delaware Investments | Vice President, High Yield Fund (serves only with respect to the U.S. High Yield Fund) |
Matthew Fanandakis, CFA,1983 Vice President, T. Rowe Price and T. Rowe Price Group, Inc.; formerly Fixed Income Research Analyst, Henderson Global Investors (to 2017); Fixed Income Research Analyst, Delaware Investments (to 2013) | Vice President, High Yield Fund (serves only with respect to the High Yield Fund) |
Joseph B. Fath, CPA, 1971 Vice President, T. Rowe Price, T. Rowe Price Group, Inc., and T. Rowe Price Trust Company | President, Growth Stock Fund; Vice President, Capital Opportunity Fund, Communications & Technology Fund, Growth & Income Fund, Mid-Cap Growth Fund, and U.S. Large-Cap Core Fund |
65
Name, Year of Birth, and Principal
Occupation(s) | Position(s) Held With Fund(s) |
Ryan W. Ferro, 1985 Vice President, T. Rowe Price and T. Rowe Price Group, Inc.; formerly
student, Tuck School of Business at Dartmouth | Vice President, International Funds |
Stephen M. Finamore, CFA,1976 Vice President, T. Rowe Price and T. Rowe Price Group, Inc. | Vice President, Capital Appreciation & Income Fund, Floating Rate Fund, High Yield Fund (serves only with respect to the High Yield Fund), Institutional Income Funds, and Multi-Sector Account Portfolios |
Mark S. Finn, CFA, CPA, 1963 Vice President, T. Rowe Price, T. Rowe Price Group, Inc., and T. Rowe Price Trust Company | President, Value Fund; Executive Vice President, Institutional Equity Funds; Vice President, Balanced Fund, Capital Opportunity Fund, Equity Income Fund, Growth & Income Fund, Institutional International Funds, International Funds, Mid-Cap Value Fund, New Era Fund, Personal Strategy Funds, and U.S. Large-Cap Core Fund |
Quentin S. Fitzsimmons, 1968 Vice President, T. Rowe Price Group, Inc. and T. Rowe Price International; formerly Portfolio Manager, Royal Bank of Scotland Group (to 2015) | Vice President, Global Multi-Sector Bond Fund, Institutional Income Funds, Institutional International Funds, and International Funds |
Christopher T. Fortune, 1973 Vice President, T. Rowe Price and T. Rowe Price Group, Inc. | Vice President, Financial Services Fund, Small-Cap Stock Fund, and Small-Cap Value Fund |
Jon M. Friar, 1982 Vice President, T. Rowe Price and T. Rowe Price Group, Inc. | Vice President, Capital Appreciation Fund, Capital Opportunity Fund, Dividend Growth Fund, Financial Services Fund, and Growth Stock Fund |
Melissa C. Gallagher, 1974 Vice President, T. Rowe Price Group, Inc. and T. Rowe Price International | Vice President, Health Sciences Fund and International Funds |
George Gao, 1979 Vice President, T. Rowe Price and T. Rowe Price Group, Inc. | Vice President, Quantitative Management Funds |
Stephanie A. Gentile, CFA,1956 Vice President, T. Rowe Price; formerly Director, Credit Suisse Securities (to 2014) | Vice President, Government Money Fund, Institutional Income Funds, TRP Reserve Funds, Short-Term Bond Fund, State Tax-Free Funds, Summit Income Funds, Summit Municipal Funds, Tax-Exempt Money Fund, and U.S. Treasury Funds |
Justin T. Gerbereux, CFA,1975 Vice President, T. Rowe Price, T. Rowe Price Group, Inc., and T. Rowe Price Trust Company | Vice President, Floating Rate Fund, High Yield Fund (serves only with respect to the High Yield Fund), Institutional Income Funds, International Funds, and Multi-Sector Account Portfolios |
Aaron Gifford, CFA,1987 Vice President, T. Rowe Price; formerly Strategist, Morgan & Stanley & Co. LLC (to 2017); Strategist, HSBC Securities (to 2013) | Vice President, Institutional International Funds, International Funds, and Multi-Sector Account Portfolios |
John R. Gilner, 1961 Chief Compliance Officer and Vice President, T. Rowe Price; Vice President, T. Rowe Price Group, Inc. and T. Rowe Price Investment Services, Inc. | Chief Compliance Officer, all funds |
66
Name, Year of Birth, and Principal
Occupation(s) | Position(s) Held With Fund(s) |
David R. Giroux, CFA,1975 Vice President, T. Rowe Price, T. Rowe Price Group, Inc., and T. Rowe Price Trust Company | President, Capital Appreciation Fund; Co-President, Capital Appreciation & Income Fund; Vice President, Floating Rate Fund, Institutional Income Funds, Multi-Strategy Total Return Fund, Personal Strategy Funds, Retirement Funds, and Spectrum Funds |
Oliver Gjoneski, 1983 Vice President, T. Rowe Price and T. Rowe Price Group, Inc.; formerly Quantitative and Risk Analyst, DC Energy (to 2013) | Vice President, Total Return Fund |
Gregg Gola, CFA,1965 Vice President, T. Rowe Price and T. Rowe Price Group, Inc.; formerly Trader and Analyst, Henderson Global Investors (to 2017); Divisional Director, Delaware Investments (to 2013) | Vice President, High Yield Fund (serves only with respect to the U.S. High Yield Fund) |
Vishnu Vardhan Gopal, 1979 Vice President, Price Hong Kong and T. Rowe Price Group, Inc. | Vice President, International Funds |
Joel Grant, 1978 Vice President, T. Rowe Price and T. Rowe Price Group, Inc.; formerly Analyst, Fidelity International (to 2014) | Vice President, International Funds and Value Fund |
Gary J. Greb, 1961 Vice President, T. Rowe Price, T. Rowe Price International, and T. Rowe Trust Company | Vice President, all funds |
Paul D. Greene II, 1978 Vice President, T. Rowe Price and T. Rowe Price Group, Inc. | President, Communications & Technology Fund; Vice President, Blue Chip Growth Fund, Capital Appreciation Fund, Capital Opportunity Fund, Global Technology Fund, Growth & Income Fund, Growth Stock Fund, Institutional International Funds, International Funds, Science & Technology Fund, and U.S. Large-Cap Core Fund |
Benjamin Griffiths, CFA,1977 Vice President, T. Rowe Price Group, Inc. and T. Rowe Price International | Vice President, Institutional International Funds and International Funds |
Michael J. Grogan, CFA,1971 Vice President, T. Rowe Price and T. Rowe Price Group Inc. | Vice President, Corporate Income Fund, Institutional Income Funds, Multi-Sector Account Portfolios, New Income Fund, and Short-Term Bond Fund |
Gianluca Guicciardi, 1983 Vice President, T. Rowe Price Group, Inc. and T. Rowe Price International; formerly summer associate, AT Kearney, (to 2014); Equity Salesperson, Carnegie Investment Bank (to 2013) | Vice President, International Funds |
Amanda B. Hall, CFA,1985 Vice President, T. Rowe Price Group, Inc. and T. Rowe Price International; formerly student, Stanford Graduate School of Business (to 2014) | Vice President, Institutional International Funds and International Funds |
John Hall, 1977 Vice President, T. Rowe Price | Vice President, Health Sciences Fund and Small-Cap Stock Fund |
Richard L. Hall, 1979 Vice President, T. Rowe Price and T. Rowe Price Group Inc. | Vice President, Institutional International Funds, International Funds, and Multi-Sector Account Portfolios |
Nabil Hanano, CFA,1984 Vice President, T. Rowe Price Group, Inc. and T. Rowe Price International | Vice President, Institutional International Funds and International Funds |
67
Name, Year of Birth, and Principal
Occupation(s) | Position(s) Held With Fund(s) |
Geoffrey M. Hardin, 1971 Vice President, T. Rowe Price and T. Rowe Price Group, Inc. | Vice President, Inflation Protected Bond Fund, Limited Duration Inflation Focused Bond Fund, New Income Fund, Short-Term Bond Fund, and U.S. Treasury Funds |
Robert L. Harlow, CAIA, CFA,1986 Vice President, T. Rowe Price and T. Rowe Price Group, Inc. | Vice President, Global Allocation Fund |
Ryan S. Hedrick, CFA,1980 Vice President, T. Rowe Price and T. Rowe Price Group Inc. | Vice President, Blue Chip Growth Fund, Capital Appreciation & Income Fund, Capital Opportunity Fund, Dividend Growth Fund, Equity Income Fund, Growth & Income Fund, Mid-Cap Value Fund, New Era Fund, Small-Cap Stock Fund, Small-Cap Value Fund, and U.S. Large-Cap Core Fund |
Barry Henderson, 1966 Vice President, T. Rowe Price and T. Rowe Price Group, Inc. | Vice President, New Horizons Fund |
Charles B. Hill, CFA,1961 Vice President, T. Rowe Price and T. Rowe Price Group, Inc. | President, Tax-Free Short-Intermediate Fund; Executive Vice President, State Tax-Free Funds and Summit Municipal Funds; Vice President, Intermediate Tax-Free High Yield Fund, Short-Term Bond Fund, Tax-Free High Yield Fund, and Tax-Free Income Fund |
Daniel Hirsch, CFA,1985 Employee, T. Rowe Price; formerly Global Equity Analyst, Turner Investments (to 2013) | Vice President, International Funds |
Ann M. Holcomb, CFA,1972 Vice President, T. Rowe Price, T. Rowe Price Group, Inc., and T. Rowe Price Trust Company | Co-President, Capital Opportunity Fund; Executive Vice President, Institutional Equity Funds |
Steven C. Huber, CFA, FSA, 1958 Vice President, T. Rowe Price, T. Rowe Price Group, Inc., and T. Rowe Price International | President, Global Multi-Sector Bond Fund; Executive Vice President, Institutional Income Funds; Vice President, Floating Rate Fund, Global Allocation Fund, Institutional International Funds, International Funds, Multi-Sector Account Portfolios, and Total Return Fund |
Thomas J. Huber, CFA,1966 Vice President, T. Rowe Price, T. Rowe Price Group, Inc., and T. Rowe Price Trust Company | President, Dividend Growth Fund; Vice President, Blue Chip Growth Fund and Real Estate Fund |
Stefan Hubrich, Ph.D., CFA,1974 Vice President, T. Rowe Price and T. Rowe Price Group, Inc. | Co-President, Multi-Strategy Total Return Fund; Vice President, Global Allocation Fund, Institutional International Funds, International Funds, and Real Assets Fund |
Arif Husain, CFA,1972 Vice President, T. Rowe Price Group, Inc. and T. Rowe Price International | Executive Vice President, Institutional International Funds and International Funds; Vice President, Global Multi-Sector Bond Fund, Institutional Income Funds, Multi-Sector Account Portfolios, Multi-Strategy Total Return Fund, Personal Strategy Funds, Retirement Funds, and Spectrum Funds |
Jon R. Hussey, CFA,1982 Vice President, T. Rowe Price; formerly student, University of Chicago Booth School of Business (to 2016); formerly Analyst, Driehaus Capital Management (to 2014) | Vice President, New Era Fund and Value Fund |
Hiromasa Ikeda, 1971 Vice President, Price Hong Kong and T. Rowe Price Group, Inc.; formerly Manager, Fidelity Korea (to 2014) | Vice President, International Funds |
68
Name, Year of Birth, and Principal
Occupation(s) | Position(s) Held With Fund(s) |
Tetsuji Inoue, 1971 Vice President, T. Rowe Price Group, Inc. and T. Rowe Price International | Vice President, Global Real Estate Fund, Institutional International Funds, and International Funds |
Stephon A. Jackson, CFA,1962 Vice President, T. Rowe Price and T. Rowe Price Group, Inc. | Vice President, Diversified Mid-Cap Growth Fund |
Michael D. Jacobs, 1971 Vice President, T. Rowe Price Group, Inc. and T. Rowe Price International | Vice President, International Funds |
Randal S. Jenneke, 1971 Vice President, T. Rowe Price Group, Inc. and T. Rowe Price International | Vice President, Institutional International Funds and International Funds |
Prashant G. Jeyaganesh, 1983 Vice President, T. Rowe Price and T. Rowe Price Group, Inc. | Executive Vice President, Quantitative Management Funds; Vice President, International Funds |
Rachel Jonas, 1983 Vice President, T. Rowe Price; formerly Analyst, Sands Capital Management (to 2016); student, Harvard Business School (to 2014) | Vice President, Health Sciences Fund |
Dylan Jones, CFA,1971 Vice President, T. Rowe Price and T. Rowe Price Group, Inc. | Vice President, Intermediate Tax-Free High Yield Fund, State Tax-Free Funds, Summit Municipal Funds, Tax-Free High Yield Fund, and Tax-Free Short-Intermediate Fund |
Nina P. Jones, CPA, 1980 Vice President, T. Rowe Price and T. Rowe Price Group, Inc. | President, Global Real Estate Fund; Vice President, Capital Appreciation Fund, Financial Services Fund, Institutional International Funds, International Funds, Mid-Cap Value Fund, Real Assets Fund, and Real Estate Fund |
Keir R. Joyce, CFA,1972 Vice President, T. Rowe Price and T. Rowe Price Group, Inc. | Vice President, GNMA Fund, Multi-Sector Account Portfolios, Short-Term Bond Fund, and U.S. Treasury Funds |
Vidya Kadiyam, 1980 Vice President, T. Rowe Price and T. Rowe Price Group, Inc. | Vice President, Capital Appreciation Fund and Quantitative Management Funds |
Yoichiro Kai, 1973 Vice President, T. Rowe Price Group, Inc. and T. Rowe Price International | Vice President, Institutional International Funds and International Funds |
Jacob H. Kann, CFA,1987 Vice President, T. Rowe Price | Vice President, International Funds |
Jai Kapadia, 1982 Vice President, Price Hong Kong and T. Rowe Price Group, Inc. | Vice President, Global Real Estate Fund, Institutional International Funds, and International Funds |
Andrew J. Keirle, 1974 Vice President, T. Rowe Price Group, Inc. and T. Rowe Price International | Executive Vice President, Institutional International Funds, International Funds, and Multi-Sector Account Portfolios; Vice President, Global Multi-Sector Bond Fund and Institutional Income Funds |
Shinwoo Kim, 1977 Vice President, T. Rowe Price and T. Rowe Price Group, Inc. | Vice President, Equity Income Fund and New Era Fund |
Takanori Kobayashi, 1981 Vice President, T. Rowe Price International; formerly Research Analyst, Allianz Global Investors (to 2017); Research Analyst, Point72 Asia Asset Management (to 2014) | Vice President, International Funds |
Steven M. Kohlenstein, 1987 Vice President, T. Rowe Price and T. Rowe Price Group, Inc. | Vice President, GNMA Fund, Multi-Sector Account Portfolios, and Short-Term Bond Fund |
69
Name, Year of Birth, and Principal
Occupation(s) | Position(s) Held With Fund(s) |
Marianna Korpusova, CFA,1984 Vice President, T. Rowe Price and T. Rowe Price Group, Inc.; formerly student, The University of Chicago (to 2014) | Vice President, Intermediate Tax-Free High Yield Fund, State Tax-Free Funds, Summit Municipal Funds, Tax-Free High Yield Fund, and Tax-Free Short-Intermediate Fund |
Paul J. Krug, CPA, 1964 Vice President, T. Rowe Price, T. Rowe Price Group, Inc., and T. Rowe Price Trust Company | Vice President, all funds |
Christopher J. Kushlis, CFA,1976 Vice President, T. Rowe Price Group, Inc. and T. Rowe Price International | Vice President, Institutional International Funds, International Funds, and Multi-Sector Account Portfolios |
Michael Lambe, CFA,1977 Vice President, T. Rowe Price Group, Inc. and T. Rowe Price International | Vice President, Corporate Income Fund, Institutional Income Funds, and Multi-Sector Account Portfolios |
Robert M. Larkins, CFA,1973 Vice President, T. Rowe Price, T. Rowe Price Group, Inc., and T. Rowe Price Trust Company | President, U.S. Bond Enhanced Index Fund; Executive Vice President, Institutional Income Funds; Vice President, Balanced Fund, Global Allocation Fund, New Income Fund, and Total Return Fund |
Marcy M. Lash, 1963 Vice President, T. Rowe Price and T. Rowe Price Group, Inc. | Vice President, Government Money Fund, Intermediate Tax-Free High Yield Fund, Institutional Income Funds, TRP Reserve Funds, State Tax-Free Funds, Summit Income Funds, Summit Municipal Funds, Tax-Exempt Money Fund, Tax-Free High Yield Fund, Tax-Free Income Fund, Tax-Free Short-Intermediate Fund, and U.S. Treasury Funds |
Shengrong Lau, 1982 Vice President, Price Singapore and T. Rowe Price Group, Inc. | Vice President, International Funds |
Mark J. Lawrence, 1970 Vice President, T. Rowe Price Group, Inc. and T. Rowe Price International | Vice President, Institutional International Funds and International Funds |
Matthew Lawton, CFA,1983 Vice President, T. Rowe Price and T. Rowe Price Group, Inc. | Vice President, Corporate Income Fund, Institutional Income Funds, and New Income Fund |
David M. Lee, CFA,1962 Vice President, T. Rowe Price, T. Rowe Price Group, Inc., and T. Rowe Price Trust Company | President, Real Estate Fund; Vice President, Dividend Growth Fund, Global Real Estate Fund, and Real Assets Fund |
Wyatt A. Lee, CFA,1971 Vice President, T. Rowe Price, T. Rowe Price Group, Inc., and T. Rowe Price Trust Company | President, Real Assets Fund; Co-President, Retirement Funds; Vice President, Balanced Fund, Limited Duration Inflation Focused Bond Fund, Personal Strategy Funds, and Spectrum Funds |
Yongheon Lee, 1975 Vice President, T. Rowe Price and T. Rowe Price Group, Inc. | Vice President, Total Return Fund |
Alan D. Levenson, Ph.D., 1958 Vice President, T. Rowe Price and T. Rowe Price Group, Inc. | Vice President, GNMA Fund, Government Money Fund, Inflation Protected Bond Fund, Institutional Income Funds, Multi-Sector Account Portfolios, New Income Fund, TRP Reserve Funds, State Tax-Free Funds, Summit Income Funds, Summit Municipal Funds, Tax-Exempt Money Fund, and U.S. Treasury Funds |
John D. Linehan, CFA,1965 Vice President, T. Rowe Price, T. Rowe Price Group, Inc., and T. Rowe Price Trust Company | President, Equity Income Fund; Executive Vice President, Institutional Equity Funds; Vice President, Multi-Strategy Total Return Fund and Value Fund |
70
Name, Year of Birth, and Principal
Occupation(s) | Position(s) Held With Fund(s) |
Jacqueline L. Liu, 1979 Vice President, Price Hong Kong and T. Rowe Price Group, Inc.; formerly Investment Analyst, Fidelity International Hong Kong Limited (to 2014) | Vice President, Communications & Technology Fund, Global Technology Fund, International Funds, and Science & Technology Fund |
Gregory Locraft, 1971 Vice President, T. Rowe Price and T. Rowe Price Group, Inc. | Vice President, Financial Services Fund |
Johannes Loefstrand, 1988 Employee, T. Rowe Price; formerly Investment Analyst, Arisaig Partners (to 2013) | Vice President, Institutional International Funds and International Funds |
Kevin P. Loome, CFA,1967 Vice President, T. Rowe Price and T. Rowe Price Group, Inc.; formerly Head of U.S. Credit, Henderson Global Investors (to 2017); Head of High Yield and Bank Loans, Delaware Investments (to 2013) | Executive Vice President, High Yield Fund (serves only with respect to the U.S. High Yield Fund) |
Anh Lu, 1968 Vice President, Price Hong Kong and T. Rowe Price Group, Inc. | Executive Vice President, International Funds; Vice President, Institutional International Funds |
Oxana Lyalina, 1987 Vice President, T. Rowe Price International | Vice President, International Funds |
Joseph K. Lynagh, CFA,1958 Vice President, T. Rowe Price, T. Rowe Price Group, Inc., and T. Rowe Price Trust Company | President, Government Money Fund, TRP Reserve Funds, Summit Income Funds, and Tax-Exempt Money Fund; Executive Vice President, Institutional Income Funds, Short-Term Bond Fund, State Tax-Free Funds, Summit Municipal Funds, and U.S. Treasury Funds; Vice President, Tax-Free Short-Intermediate Fund |
James T. Lynch, CFA,1983 Vice President, T. Rowe Price | Vice President, State Tax-Free Funds, Summit Municipal Funds, Tax-Free Income Fund, and Tax-Free Short-Intermediate Fund |
Matt Mahon, 1985 Vice President, T. Rowe Price; formerly student, The Wharton School, University of Pennsylvania (to 2016); Analyst, Water Street Capital (to 2014) | Vice President, Diversified Mid-Cap Growth Fund, Equity Income Fund, and New Era Fund |
Navneesh. Malhan, CFA,1980 Vice President, T. Rowe Price and T. Rowe Price Group, Inc.; formerly Vice President, BlackRock (to 2015) | Vice President, Quantitative Management Funds |
Konstantine B. Mallas, 1963 Vice President, T. Rowe Price and T. Rowe Price Group, Inc. | President, Tax-Free Income Fund; Executive Vice President, State Tax-Free Funds, and Summit Municipal Funds; Vice President, Intermediate Tax-Free High Yield Fund, Tax-Free High Yield Fund, and Tax-Free Short-Intermediate Fund |
Sebastien Mallet, 1974 Vice President, T. Rowe Price Group, Inc. and T. Rowe Price International | Executive Vice President, Institutional International Funds; Vice President, International Funds |
Robert J. Marcotte, 1962 Vice President, T. Rowe Price and T. Rowe Price Group, Inc. | Vice President, Global Real Estate Fund, Mid-Cap Growth Fund, and Small-Cap Stock Fund |
Jennifer Martin, 1972 Vice President, T. Rowe Price and T. Rowe Price Group, Inc. | Vice President, Capital Opportunity Fund and Global Technology Fund |
Daniel Martino, CFA,1974 Vice President, T. Rowe Price and T. Rowe Price Group, Inc. | Vice President, Communications & Technology Fund, Equity Income Fund, Growth Stock Fund, Institutional International Funds, and Value Fund |
Ryan Martyn, 1979 Vice President, T. Rowe Price Group, Inc. and T. Rowe Price International | Vice President, International Funds and New Era Fund |
71
Name, Year of Birth, and Principal
Occupation(s) | Position(s) Held With Fund(s) |
George A. Marzano, 1980 Vice President, T. Rowe Price and T. Rowe Price Group, Inc. | Vice President, Blue Chip Growth Fund and Equity Income Fund |
Paul M. Massaro, CFA,1975 Vice President, T. Rowe Price, T. Rowe Price Group, Inc., and T. Rowe Price Trust Company | President, Floating Rate Fund; Co-President, Capital Appreciation & Income Fund; Executive Vice President, Institutional Income Funds and Multi-Sector Account Portfolios; Vice President, Capital Appreciation Fund, Global Multi-Sector Bond Fund, and High Yield Fund (serves only with respect to the High Yield Fund) |
Catherine D. Mathews, 1963 Vice President, T. Rowe Price, T. Rowe Price Group, Inc., and T. Rowe Price Trust Company | Vice President and Treasurer, all funds |
Jonathan H.W. Matthews, CFA,1975 Vice President, T. Rowe Price Group, Inc. and T. Rowe Price International | Executive Vice President, International Funds; Vice President, Institutional International Funds |
Andrew C. McCormick, 1960 Vice President, T. Rowe Price, T. Rowe Price Group, Inc., and T. Rowe Price Trust Company | President, GNMA Fund and Total Return Fund; Executive Vice President, Multi-Sector Account Portfolios; Vice President, Global Multi-Sector Bond Fund, Inflation Protected Bond Fund, Institutional Income Funds, Limited Duration Inflation Focused Bond Fund, New Income Fund, Short-Term Bond Fund, U.S. Bond Enhanced Index Fund, and U.S. Treasury Funds |
Daniel A. McCulley, 1987 Vice President, T. Rowe Price; formerly summer intern, Clearbridge Investments (to 2015); Associate Research Analyst, T. Rowe Price (to 2013) | Vice President, Global Real Estate Fund and Real Estate Fund |
Ian C. McDonald, 1971 Vice President, T. Rowe Price and T. Rowe Price Group, Inc. | Vice President, Financial Services Fund, Mid-Cap Growth Fund, and New America Growth Fund |
Michael J. McGonigle, 1966 Vice President, T. Rowe Price and T. Rowe Price Group, Inc. | Vice President, Floating Rate Fund, Institutional Income Funds, and Multi-Sector Account Portfolios |
Hugh D. McGuirk, CFA,1960 Vice President, T. Rowe Price and T. Rowe Price Group, Inc. | President, State Tax-Free Funds and Summit Municipal Funds; Vice President, Intermediate Tax-Free High Yield Fund, Tax-Free High Yield Fund, Tax-Free Income Fund, and Tax-Free Short-Intermediate Fund |
Heather K. McPherson, CPA, 1967 Vice President, T. Rowe Price and T. Rowe Price Group, Inc. | Executive Vice President, Institutional Equity Funds and Mid-Cap Value Fund; Vice President, Equity Income Fund, Global Technology Fund, Growth & Income Fund, New Era Fund, U.S. Large-Cap Core Fund, and Value Fund |
Sean P. McWilliams, 1988 Vice President, T. Rowe Price | Vice President, Global Allocation Fund |
Cheryl A. Mickel, CFA,1967 Director and Vice President, T. Rowe Price Trust Company; Vice President, T. Rowe Price and T. Rowe Price Group, Inc. | President, Short-Term Bond Fund; Vice President, Government Money Fund, Institutional Income Funds, TRP Reserve Funds, Summit Income Funds, Summit Municipal Funds, and U.S. Treasury Funds |
Raymond A. Mills, Ph.D., CFA,1960 Vice President, T. Rowe Price, T. Rowe Price Group, Inc., T. Rowe Price International, and T. Rowe Price Trust Company | Executive Vice President, Institutional International Funds and International Funds; Vice President, Balanced Fund, Global Real Estate Fund, and Personal Strategy Funds |
Jihong Min, 1979 Vice President, Price Singapore and T. Rowe Price Group, Inc. | Vice President, International Funds |
72
Name, Year of Birth, and Principal
Occupation(s) | Position(s) Held With Fund(s) |
Joseph Mlinac, CFA,1983 Employee, T. Rowe Price | Vice President, Financial Services Fund |
Eric C. Moffett, 1974 Vice President, Price Hong Kong and T. Rowe Price Group, Inc. | Executive Vice President, International Funds; Vice President, Institutional International Funds |
Ivan Morozov, CFA,1987 Vice President, T. Rowe Price Group, Inc. and T. Rowe Price International; formerly Rating Analyst, Standard & Poors, London (to 2013) | Vice President, International Funds and Multi-Sector Account Portfolios |
Samy B. Muaddi, CFA,1984 Vice President, T. Rowe Price and T. Rowe Price Group, Inc. | Executive Vice President, International Funds and Multi-Sector Account Portfolios; Vice President, Corporate Income Fund, Global Multi-Sector Bond Fund, and Institutional Income Funds |
Tobias F. Mueller, 1980 Vice President, T. Rowe Price Group, Inc. and T. Rowe Price International | Vice President, Global Technology Fund, Institutional International Funds, International Funds, and Science & Technology Fund |
James M. Murphy, CFA,1967 Vice President, T. Rowe Price and T. Rowe Price Group, Inc. | President, Intermediate Tax-Free High Yield Fund and Tax-Free High Yield Fund; Vice President, State Tax-Free Funds, Summit Municipal Funds, and Tax-Free Income Fund |
Linda A. Murphy, 1959 Vice President, T. Rowe Price and T. Rowe Price Group, Inc. | Vice President, Intermediate Tax-Free High Yield Fund, State Tax-Free Funds, Summit Municipal Funds, and Tax-Free High Yield Fund |
Sudhir Nanda, Ph.D., CFA,1959 Vice President, T. Rowe Price and T. Rowe Price Group, Inc. | President, Quantitative Management Funds; Vice President, Capital Appreciation Fund, Diversified Mid-Cap Growth Fund, and Institutional International Funds |
Thibault Nardin, 1983 Vice President, T. Rowe Price Group, Inc. and T. Rowe Price International | Vice President, Financial Services Fund, Institutional International Funds, and International Funds |
Jeffrey R. Nathan, 1985 Vice President, T. Rowe Price | Vice President, Financial Services Fund |
Joshua Nelson, 1977 Vice President, T. Rowe Price, T. Rowe Price Group, Inc., and T. Rowe Price International | Executive Vice President, Institutional International Funds and International Funds |
Philip A. Nestico, 1976 Vice President, T. Rowe Price and T. Rowe Price Group, Inc. | Vice President, Communications & Technology Fund, Global Real Estate Fund, International Funds, and Real Estate Fund |
Michael Niedzielski, 1979 Vice President, T. Rowe Price Group, Inc. and T. Rowe Price International; formerly Manager and Analyst, Fidelity Investments, Boston and London Offices (to 2015) | Vice President, International Funds |
Sridhar Nishtala, 1975 Vice President, Price Singapore and T. Rowe Price Group, Inc. | Vice President, International Funds |
Jason Nogueira, CFA,1974 Vice President, T. Rowe Price and T. Rowe Price Group, Inc. | Executive Vice President, Institutional International Funds and International Funds; Vice President, Capital Opportunity Fund, Growth & Income Fund, Mid-Cap Growth Fund, and U.S. Large-Cap Core Fund |
Alexander S. Obaza, 1981 Vice President, T. Rowe Price, T. Rowe Price Group, Inc., and T. Rowe Price Trust Company | Vice President, Corporate Income Fund, Institutional Income Funds, Multi-Sector Account Portfolios, and Short-Term Bond Fund |
73
Name, Year of Birth, and Principal
Occupation(s) | Position(s) Held With Fund(s) |
David Oestreicher, 1967 Director and Vice President, T. Rowe Price Investment Services, Inc., T. Rowe Price Retirement Plan Services, Inc., T. Rowe Price Services, Inc., and T. Rowe Price Trust Company; Chief Legal Officer and Vice President, T. Rowe Price Group, Inc.; Vice President, T. Rowe Price and T. Rowe Price International; Vice President, Price Hong Kong and Price Singapore | Vice President, all funds |
Christian M. ONeill, 1969 Vice President, T. Rowe Price and T. Rowe Price Group, Inc. | Vice President, Diversified Mid-Cap Growth Fund, New Era Fund, and Value Fund |
Kenneth A. Orchard, 1975 Vice President, T. Rowe Price Group, Inc. and T. Rowe Price International | Executive Vice President, Global Multi-Sector Bond Fund, Institutional International Funds, and International Funds; Vice President, Institutional Income Funds and Multi-Sector Account Portfolios |
Curt J. Organt, CFA,1968 Vice President, T. Rowe Price and T. Rowe Price Group, Inc. | Vice President, Institutional Equity Funds, International Funds, New America Growth Fund, Small-Cap Stock Fund, and Small-Cap Value Fund |
Paul T. OSullivan, 1973 Vice President, T. Rowe Price Group, Inc. and T. Rowe Price International | Vice President, International Funds |
Oluwaseun A. Oyegunle, CFA,1984 Vice President, T. Rowe Price Group, Inc. and T. Rowe Price International | Vice President, Institutional International Funds and International Funds |
Sebastien Page, 1977 Vice President, T. Rowe Price and T. Rowe Price Group, Inc. | Vice President, Balanced Fund, Global Allocation Fund, Multi-Strategy Total Return Fund, Personal Strategy Funds, Real Assets Fund, Retirement Funds, and Spectrum Funds |
Kelsie L. Palumbo, 1989 Assistant Vice President, T. Rowe Price | Vice President, Total Return Fund; Assistant Vice President, Institutional Income Funds, New Income Fund, Total Return Fund, and U.S. Treasury Funds |
Robert A. Panariello, 1983 Vice President, T. Rowe Price and T. Rowe Price Group, Inc. | Vice President, Global Allocation Fund and Retirement Funds |
Gonzalo Pangaro, CFA,1968 Vice President, T. Rowe Price Group, Inc. and T. Rowe Price International | Executive Vice President, Institutional International Funds and International Funds |
Miso Park, CFA,1982 Vice President, T. Rowe Price Group, Inc. and T. Rowe Price International | Vice President, Corporate Income Fund, Institutional Income Funds, and Multi-Sector Account Portfolios |
Dante Pearson, 1990 Employee, T. Rowe Price; formerly Equity Analyst Intern, MFS (to 2016); summer intern, T. Rowe Price (to 2015); Equity Research Associate, Spears Abacus Advisors (to 2013) | Vice President, Global Real Estate Fund and Real Estate Fund |
Charles G. Pepin, 1966 Vice President, T. Rowe Price and T. Rowe Price Group, Inc. | Vice President, Small-Cap Stock Fund |
Donald J. Peters, 1959 Vice President, T. Rowe Price and T. Rowe Price Group, Inc. | President, Diversified Mid-Cap Growth Fund and Tax-Efficient Funds |
Jason B. Polun, CFA,1974 Vice President, T. Rowe Price, T. Rowe Price Group, Inc., and T. Rowe Price Trust Company | Co-President, Capital Opportunity Fund; Executive Vice President, Institutional Equity Funds |
Adam Poussard, 1984 Vice President, T. Rowe Price and T. Rowe Price Group, Inc. | Vice President, Capital Appreciation Fund, Health Sciences Fund, and New Horizons Fund |
74
Name, Year of Birth, and Principal
Occupation(s) | Position(s) Held With Fund(s) |
Jordan S. Pryor, 1991 Employee, T. Rowe Price; formerly research assistant, Johns Hopkins University Department of Applied Mathematics and Statistics (to 2014) | Vice President, Quantitative Management Funds |
Larry J. Puglia, CFA, CPA, 1960 Vice President, T. Rowe Price, T. Rowe Price Group, Inc., and T. Rowe Price Trust Company | President, Blue Chip Growth Fund; Executive Vice President, Institutional Equity Funds; Vice President, Balanced Fund and Personal Strategy Funds |
John Qian 1989 Employee, T. Rowe Price; formerly summer intern, T. Rowe Price (to 2016); Senior Manager, American Express (to 2013) | Vice President, New Era Fund |
Robert T. Quinn, Jr., 1972 Vice President, T. Rowe Price and T. Rowe Price Group, Inc. | Vice President, Small-Cap Stock Fund and Small-Cap Value Fund |
Preeta Ragavan, CFA,1987 Vice President, T. Rowe Price and T. Rowe Price Group, Inc. | Vice President, Equity Income Fund, Global Real Estate Fund, Real Estate Fund, and Small-Cap Value Fund |
Vivek Rajeswaran, 1985 Vice President, T. Rowe Price and T. Rowe Price Group, Inc. | Vice President, Blue-Chip Growth Fund, International Funds, Mid-Cap Growth Fund, New Era Fund, and Small-Cap Value Fund |
John W. Ratzesberger, 1975 Vice President, T. Rowe Price, T. Rowe Price Group, Inc., and T. Rowe Price Trust Company; formerly North American Head of Listed Derivatives Operation, Morgan Stanley (to 2013) | Vice President, all funds |
Shannon Hofher Rauser, 1987 Employee, T. Rowe Price | Assistant Secretary, all funds |
Rodney M. Rayburn, CFA,1970 Vice President, T. Rowe Price and T. Rowe Price Group, Inc.; formerly Managing Director, Värde Partners (to 2014) | President, Credit Opportunities Fund; Executive Vice President, Institutional Income Funds |
Michael F. Reinartz, 1973 Vice President, T. Rowe Price, T. Rowe Price Group, Inc., and T. Rowe Price Trust Company | Executive Vice President, Short-Term Bond Fund; Vice President, Inflation Protected Bond Fund and Limited Duration Inflation Focused Bond Fund |
Darrell M. Riley, 1958 Vice President, T. Rowe Price and T. Rowe Price Group, Inc. | Vice President, Global Allocation Fund |
Melanie A. Rizzo, 1982 Vice President, T. Rowe Price and T. Rowe Price Group, Inc. | Vice President, Equity Income Fund, International Funds, and Mid-Cap Value Fund |
Theodore E. Robson, CFA,1965 Vice President, T. Rowe Price, T. Rowe Price Group, Inc., and T. Rowe Price Trust Company | Vice President, Corporate Income Fund, Institutional Income Funds, Multi-Sector Account Portfolios, and Real Estate Fund |
Alexander P. Roik, CFA,1991 Vice President, T. Rowe Price | Vice President, New Horizons Fund, Small-Cap Stock Fund, and Small-Cap Value Fund |
Jeffrey Rottinghaus, CPA, 1970 Vice President, T. Rowe Price, T. Rowe Price Group, Inc., and T. Rowe Price Trust Company | President, Growth & Income Fund and U.S. Large-Cap Core Fund; Vice President, Capital Appreciation Fund, Capital Opportunity Fund, and Dividend Growth Fund |
David L. Rowlett, CFA,1975 Vice President, T. Rowe Price and T. Rowe Price Group, Inc. | Vice President, Blue Chip Growth Fund, Growth Stock Fund, International Funds, and New America Growth Fund |
Brian A. Rubin, CPA, 1974 Vice President, T. Rowe Price, T. Rowe Price Group, Inc., and T. Rowe Price Trust Company | Vice President, Credit Opportunities Fund, Floating Rate Fund, High Yield Fund (serves only with respect to the High Yield Fund), Institutional Income Funds, and Multi-Sector Account Portfolios |
75
Name, Year of Birth, and Principal
Occupation(s) | Position(s) Held With Fund(s) |
Mariel Santiago, 1981 Vice President, T. Rowe Price and T. Rowe Price Group, Inc.; formerly Equity Research Analyst, HSBC Securities, Inc. (to 2014) | Vice President, International Funds and Multi-Sector Account Portfolios |
Federico Santilli, CFA,1974 Vice President, T. Rowe Price Group, Inc. and T. Rowe Price International | Executive Vice President, Institutional International Funds and International Funds |
Sebastian Schrott, 1977 Vice President, T. Rowe Price Group, Inc. and T. Rowe Price International | Vice President, Institutional International Funds and International Funds |
Emily C. Scudder, CFA, CPA, 1985 Vice President, T. Rowe Price and T. Rowe Price Group, Inc.; formerly student, The Wharton School, University of Pennsylvania (to 2015); Equity Research Associate, BMO Capital Markets (to 2013) | Vice President, Science & Technology Fund |
Michael K. Sewell, 1982 Vice President, T. Rowe Price and T. Rowe Price Group, Inc. | Vice President, GNMA Fund and Multi-Sector Account Portfolios |
Daniel O. Shackelford, CFA,1958 Vice President, T. Rowe Price, T. Rowe Price Group, Inc., and T. Rowe Price Trust Company | President, New Income Fund; Vice President, Inflation Protected Bond Fund, Institutional Income Funds, Limited Duration Inflation Focused Bond Fund, Personal Strategy Funds, Real Assets Fund, Retirement Funds, Spectrum Funds, Total Return Fund, U.S. Bond Enhanced Index Fund, and U.S. Treasury Funds |
Chen Shao, 1980 Vice President, T. Rowe Price and T. Rowe Price Group, Inc. | Vice President, Government Money Fund, Intermediate Tax-Free High Yield Fund, Institutional Income Funds, TRP Reserve Funds, Short-Term Bond Fund, State Tax-Free Funds, Summit Income Funds, Summit Municipal Funds, Tax-Exempt Money Fund, Tax-Free High Yield Fund, Tax-Free Income Fund, Tax-Free Short-Intermediate Fund, and U.S. Treasury Funds |
Thomas A. Shelmerdine, 1977 Vice President, T. Rowe Price Group, Inc. and T. Rowe Price International | Vice President, New Era Fund |
John C.A. Sherman, 1969 Vice President, T. Rowe Price Group, Inc. and T. Rowe Price International | Vice President, Institutional International Funds and International Funds |
I-Hung Shih, 1973 Vice President, T. Rowe Price and T. Rowe Price Group, Inc.; formerly Investment Analyst, Temasek International (to 2016); Associate, Credit Suisse (to 2014) | Vice President, Health Sciences Fund |
Jamie Shin, CFA,1984 Vice President, T. Rowe Price and T. Rowe Price Group, Inc. | Vice President, Credit Opportunities Fund, High Yield Fund (serves only with respect to the High Yield Fund), and Institutional Income Funds |
Charles M. Shriver, CFA,1967 Vice President, T. Rowe Price, T. Rowe Price Group, Inc., T. Rowe Price International, and T. Rowe Price Trust Company | President, Balanced Fund, Global Allocation Fund, Personal Strategy Funds, and Spectrum Funds; Vice President, Real Assets Fund and Retirement Funds |
Elliot J. Shue, CFA,1984 Vice President, T. Rowe Price and T. Rowe Price Group, Inc. | Vice President, Corporate Income Fund |
Farris G. Shuggi, 1984 Vice President, T. Rowe Price and T. Rowe Price Group, Inc. | Executive Vice President, Quantitative Management Funds; Vice President, Capital Appreciation Fund and Small-Cap Value Fund |
76
Name, Year of Birth, and Principal
Occupation(s) | Position(s) Held With Fund(s) |
Corey D. Shull, CFA,1983 Vice President, T. Rowe Price and T. Rowe Price Group, Inc. | Vice President, Communications & Technology Fund, Global Technology Fund, and New Horizons Fund |
Weijie Si, 1983 Vice President, T. Rowe Price and T. Rowe Price Group, Inc. | Vice President, Dividend Growth Fund, Real Estate Fund, Tax-Efficient Funds, and Value Fund |
Jeanny Silva, 1975 Vice President, T. Rowe Price and T. Rowe Price Group, Inc.; Senior Analyst, GE Asset Management (to 2013) | Vice President, Corporate Income Fund, Institutional Income Funds, and Multi-Sector Account Portfolios |
Neil Smith, 1972 Vice President, Price Hong Kong, Price Singapore, T. Rowe Price Group, Inc., and T. Rowe Price International | President, International Index Fund; Vice President, Index Trust |
Matthew J. Snowling, CFA,1971 Vice President, T. Rowe Price and T. Rowe Price Group, Inc. | Vice President, Equity Income Fund, Financial Services Fund, and Tax-Efficient Funds |
Gabriel Solomon, 1977 Vice President, T. Rowe Price and T. Rowe Price Group, Inc. | President, Financial Services Fund; Vice President, Capital Appreciation Fund, Dividend Growth Fund, Growth & Income Fund, Institutional International Funds, International Funds, Mid-Cap Value Fund, and U.S. Large-Cap Core Fund |
Scott D. Solomon, CFA,1981 Vice President, T. Rowe Price and T. Rowe Price Group, Inc. | Vice President, Corporate Income Fund, Institutional Income Funds, and U.S. Bond Enhanced Index Fund |
Eunbin Song, CFA,1980 Vice President, Price Singapore and T. Rowe Price Group, Inc. | Vice President, International Funds |
Joshua K. Spencer, CFA,1973 Vice President, T. Rowe Price and T. Rowe Price Group, Inc. | President, Global Technology Fund; Vice President, Institutional International Funds, International Funds, Mid-Cap Growth Fund, New Horizons Fund, Science & Technology Fund, Small-Cap Stock Fund, and Value Fund |
Douglas D. Spratley, CFA,1969 Vice President, T. Rowe Price and T. Rowe Price Group, Inc. | Vice President, Government Money Fund, Institutional Income Funds, TRP Reserve Funds, Short-Term Bond Fund, State Tax-Free Funds, Summit Income Funds, Summit Municipal Funds, Tax-Exempt Money Fund, and U.S. Treasury Funds |
David Stanley, 1963 Vice President, T. Rowe Price Group, Inc. and T. Rowe Price International | Vice President, Global Multi-Sector Bond Fund, Institutional Income Funds, Institutional International Funds, International Funds, and Multi-Sector Account Portfolios |
James Stillwagon, 1982 Vice President, T. Rowe Price and T. Rowe Price Group, Inc.; formerly Partner, Cat Rock Capital (to 2016); Managing Director, Lone Pine Capital (to 2015); and Managing Director, Media & Telecommunications Group, Maverick Capital (to 2013) | Vice President, Communications & Technology Fund and Equity Income Fund |
Kimberly A. Stokes, 1969 Vice President, T. Rowe Price and T. Rowe Price Group, Inc. | Vice President, Corporate Income Fund, Institutional Income Funds, and Multi-Sector Account Portfolios |
Guido F. Stubenrauch, CFA,1970 Vice President, T. Rowe Price and T. Rowe Price Group, Inc. | Vice President, Balanced Fund, Personal Strategy Funds, Retirement Funds, and Spectrum Funds |
77
Name, Year of Birth, and Principal
Occupation(s) | Position(s) Held With Fund(s) |
Taymour R. Tamaddon, CFA,1976 Vice President, T. Rowe Price and T. Rowe Price Group, Inc. | Executive Vice President, Institutional Equity Funds; Vice President, Blue Chip Growth Fund, Capital Appreciation Fund, Growth Stock Fund, Health Sciences Fund, Institutional International Funds, International Funds, and New America Growth Fund |
Ju Yen Tan, 1972 Vice President, T. Rowe Price Group, Inc. and T. Rowe Price International | Vice President, Global Multi-Sector Bond Fund, Institutional Income Funds, Institutional International Funds, International Funds, and Multi-Sector Account Portfolios |
Sin Dee Tan, CFA,1979 Vice President, T. Rowe Price Group, Inc. and T. Rowe Price International | Vice President, International Funds |
Timothy G. Taylor, CFA,1975 Vice President, T. Rowe Price and T. Rowe Price Group, Inc. | Vice President, Intermediate Tax-Free High Yield Fund, State Tax-Free Funds, Summit Municipal Funds, Tax-Free High Yield Fund, Tax-Free Income Fund, and Tax-Free Short-Intermediate Fund |
Christopher J. Temple, CFA,1978 Vice President, T. Rowe Price | Vice President, Inflation Protected Bond Fund, Limited Duration Inflation Focused Bond Fund, and Total Return Fund |
Dean Tenerelli, 1964 Vice President, T. Rowe Price Group, Inc. and T. Rowe Price International | Executive Vice President, International Funds; Vice President, Institutional International Funds |
Craig A. Thiese, 1975 Vice President, T. Rowe Price and T. Rowe Price Group, Inc. | Vice President, Index Trust, International Index Fund, New America Growth Fund, and New Era Fund |
Robert D. Thomas, 1971 Vice President, T. Rowe Price Group, Inc. and T. Rowe Price International | Vice President, Corporate Income Fund, Government Money Fund, Institutional Income Funds, Multi-Sector Account Portfolios, TRP Reserve Funds, State Tax-Free Funds, Summit Income Funds, Summit Municipal Funds, Tax-Exempt Money Fund, and U.S. Treasury Funds |
Siby Thomas, 1979 Vice President, T. Rowe Price and T. Rowe Price Group, Inc. | Vice President, International Funds and Multi-Sector Account Portfolios |
Toby M. Thompson, CAIA, CFA,1971 Vice President, T. Rowe Price and T. Rowe Price Group, Inc. | Vice President, Balanced Fund, Global Allocation Fund, Personal Strategy Funds, and Spectrum Funds |
Justin Thomson, 1968 Vice President, T. Rowe Price Group, Inc. and T. Rowe Price International | Executive Vice President, International Funds; Vice President, Multi-Strategy Total Return Fund, New Horizons Fund, Personal Strategy Funds, Retirement Funds, and Spectrum Funds |
David A. Tiberii, CFA,1965 Vice President, T. Rowe Price, T. Rowe Price Group, Inc., T. Rowe Price International,
and T. Rowe Price Trust | President, Corporate Income Fund; Executive Vice President, Institutional Income Funds; Vice President, Multi-Sector Account Portfolios and U.S. Bond Enhanced Index Fund |
Mitchell J.K. Todd, 1974 Vice President, T. Rowe Price Group, Inc. and T. Rowe Price International | Vice President, Financial Services Fund and International Funds |
Michael J. Trivino, 1981 Vice President, T. Rowe Price and T. Rowe Price Group, Inc. | Vice President, Credit Opportunities Fund, High Yield Fund (serves only with respect to the High Yield Fund), and Institutional Income Funds |
78
Name, Year of Birth, and Principal
Occupation(s) | Position(s) Held With Fund(s) |
Susan G. Troll, CPA, 1966 Vice President, T. Rowe Price and T. Rowe Price Group, Inc. | Vice President, Financial Services Fund, Inflation Protected Bond Fund, Limited Duration Inflation Focused Bond Fund, and New Income Fund |
Alan Tu, 1985 Vice President, T. Rowe Price and T. Rowe Price Group, Inc.; formerly student, University of Chicago Booth School of Business (to 2014); intern, T. Rowe Price (to 2013) | Vice President, Global Technology Fund, New Horizons Fund, Science & Technology Fund, and Tax-Efficient Funds |
James A. Tzitzouris, Jr., Ph.D., 1974 Vice President, T. Rowe Price and T. Rowe Price Group, Inc. | Vice President, Retirement Funds |
Ken D. Uematsu, CFA,1969 Vice President, T. Rowe Price, T. Rowe Price Group, Inc., and T. Rowe Price Trust Company | President, Index Trust; Vice President, International Index Fund |
Mark J. Vaselkiv, 1958 Vice President, T. Rowe Price, T. Rowe Price Group, Inc., and T. Rowe Price Trust Company | President, Institutional Income Funds; Executive Vice President, High Yield Fund (serves only with respect to the High Yield Fund), International Funds, and Multi-Sector Account Portfolios; Vice President, Balanced Fund, Multi-Strategy Total Return Fund, Personal Strategy Funds, Retirement Funds, and Spectrum Funds |
Eric L. Veiel, CFA,1972 Vice President, T. Rowe Price, T. Rowe Price Group, Inc., and T. Rowe Price Trust Company | Vice President, Institutional International Funds |
Rupinder Vig, 1979 Vice President, T. Rowe Price Group, Inc. and T. Rowe Price International; formerly Partner, Egerton Capital (to 2016); Executive Director, Morgan Stanley (to 2014) | Vice President, Institutional International Funds and International Funds |
Kes Visuvalingam, CFA,1968 Director, Responsible Officer, and Vice President, Price Hong Kong; Director, Chief Executive Officer, and Vice President, Price Singapore; and Vice President, T. Rowe Price Group, Inc. | Vice President, International Funds |
Erik von Heijne, CFA,1990 Employee, T. Rowe Price | Vice President, Quantitative Management Funds |
Chris Vost, 1989 Employee, T. Rowe Price; formerly Investment Banking Analyst, HSBC, (to 2013) | Vice President, International Funds |
Zenon Voyiatzis, 1971 Vice President, T. Rowe Price Group, Inc. and T. Rowe Price International; formerly Managing Director, UBS Global Asset Management (to 2015) | Vice President, Capital Appreciation & Income Fund, Financial Services Fund, Institutional International Funds, and International Funds |
Verena E. Wachnitz, CFA,1978 Vice President, T. Rowe Price Group, Inc. and T. Rowe Price International | Executive Vice President, International Funds; Vice President, Communications & Technology Fund and Institutional International Funds |
Lauren T. Wagandt, 1984 Vice President, T. Rowe Price and T. Rowe Price Group, Inc. | Executive Vice President, Corporate Income Fund; Vice President, Institutional Income Funds and Multi-Sector Account Portfolios |
J. David Wagner, CFA,1974 Vice President, T. Rowe Price, T. Rowe Price Group, Inc., and T. Rowe Price Trust Company | President, Small-Cap Value Fund; Vice President, Institutional Equity Funds, Mid-Cap Value Fund, New Horizons Fund, and Small-Cap Stock Fund |
John F. Wakeman, 1962 Vice President, T. Rowe Price and T. Rowe Price Group, Inc. | Executive Vice President, Mid-Cap Growth Fund; Vice President, Capital Opportunity Fund, Diversified Mid-Cap Growth Fund, and Institutional Equity Funds |
79
Name, Year of Birth, and Principal
Occupation(s) | Position(s) Held With Fund(s) |
David J. Wallack, 1960 Vice President, T. Rowe Price, T. Rowe Price Group, Inc., and T. Rowe Price Trust Company | President, Mid-Cap Value Fund; Vice President, International Funds and New Era Fund |
Dai Wang, 1989 Vice President, Price Hong Kong and T. Rowe Price Group, Inc.; formerly student, Harvard Business School (to 2014) | Vice President, Institutional International Funds and International Funds |
Anthony Wang, 1989 Employee, T. Rowe Price; formerly student, Harvard Business School (to 2017); Private Equity Associate, Genstar Capital Management (to 2015); student, University of Chicago Booth School of Business (to 2014) | Vice President, Science & Technology Fund |
Megan Warren, 1968 Vice President, T. Rowe Price, T. Rowe Price Group, Inc., T. Rowe Price Retirement Plan Services, Inc., T. Rowe Price Services, Inc., and T. Rowe Price Trust Company; formerly Executive Director, JPMorgan Chase | Vice President, all funds |
Hiroshi Watanabe, CFA,1975 Vice President, T. Rowe Price Group, Inc. and T. Rowe Price International | Vice President, International Funds |
Thomas H. Watson, 1977 Director and Vice President, T. Rowe Price Trust Company; Vice President, T. Rowe Price and T. Rowe Price Group, Inc. | Co-President, Capital Opportunity Fund; Executive Vice President, Institutional Equity Funds; Vice President, Global Technology Fund, New America Growth Fund, and Science & Technology Fund |
Michael T. Wehn, 1984 Vice President, T. Rowe Price | Vice President, Index Trust and International Index Fund |
Mark R. Weigman, CFA, CIC, 1962 Vice President, T. Rowe Price, T. Rowe Price Group, Inc., and T. Rowe Price Trust Company | Vice President, Tax-Efficient Funds |
John D. Wells, 1960 Vice President, T. Rowe Price and T. Rowe Price Group, Inc. | Vice President, Multi-Sector Account Portfolios |
Justin P. White, 1981 Vice President, T. Rowe Price and T. Rowe Price Group, Inc. | President, New America Growth Fund; Vice President, Capital Opportunity Fund, Communications & Technology Fund, Growth Stock Fund, Mid-Cap Growth Fund, and Mid-Cap Value Fund |
Christopher S. Whitehouse, 1972 Vice President, T. Rowe Price Group, Inc. and T. Rowe Price International | Vice President, Communications & Technology Fund, Institutional International Funds, and International Funds |
Bineesha Wickremarachchi, CFA,1980 Vice President, T. Rowe Price Group, Inc. and T. Rowe Price International; formerly Research Analyst, Aberdeen Asset Management (to 2015) | Vice President, Corporate Income Fund, Institutional Income Funds, and Multi-Sector Account Portfolios |
Tamara P. Wiggs, 1979 Vice President, T. Rowe Price and T. Rowe Price Group, Inc. | Vice President, Capital Appreciation Fund, Financial Services Fund, and Value Fund |
Clive M. Williams, 1966 Vice President, Price Hong Kong, Price Singapore, T. Rowe Price, T. Rowe Price Group, Inc., and T. Rowe Price International | Vice President, International Funds |
John M. Williams, 1982 Vice President, T. Rowe Price and T. Rowe Price Group, Inc. | Vice President, Capital Appreciation Fund, Capital Appreciation & Income Fund, Dividend Growth Fund, and Mid-Cap Value Fund |
Jon D. Wood, CFA,1979 Vice President, T. Rowe Price and T. Rowe Price Group, Inc. | Vice President, Dividend Growth Fund, Health Sciences Fund, and Value Fund |
80
Name, Year of Birth, and Principal
Occupation(s) | Position(s) Held With Fund(s) |
J. Howard Woodward, CFA,1974 Vice President, T. Rowe Price Group, Inc. and T. Rowe Price International | Vice President, Corporate Income Fund, Institutional Income Funds, Institutional International Funds, International Funds, and Multi-Sector Account Portfolios |
Rouven J. Wool-Lewis, Ph.D., 1973 Vice President, T. Rowe Price and T. Rowe Price Group, Inc. | Vice President, Blue Chip Growth Fund, Diversified Mid-Cap Growth Fund, Health Sciences Fund, and Small-Cap Stock Fund |
Marta Yago, 1977 Vice President, T. Rowe Price Group, Inc. and T. Rowe Price International | Vice President, Global Real Estate Fund and International Funds |
David A. Yatzeck, 1981 Vice President, T. Rowe Price Group and T. Rowe Price International | Vice President, Credit Opportunities Fund and Institutional Income Funds |
Benjamin T. Yeagle, 1978 Vice President, T. Rowe Price and T. Rowe Price Group, Inc. | Vice President, International Funds |
Ernest C. Yeung, CFA,1979 Director, Responsible Officer, and Vice President, Price Hong Kong; Vice President, T. Rowe Price Group, Inc. | Executive Vice President, International Funds; Vice President, Communications & Technology Fund and Institutional International Funds |
Alison Mei Ling Yip, 1966 Vice President, Price Hong Kong and T. Rowe Price Group, Inc. | Vice President, Global Technology Fund, International Funds, and Science & Technology Fund |
Eric Yuan, 1984 Employee, T. Rowe Price; student, Columbia Business School (to 2016); formerly Analyst, Yulan Capital Management (to 2014) | Vice President, International Funds |
Rick Zhang, CFA,1984 Vice President, T. Rowe Price | Vice President, GNMA Fund |
Wenli Zheng, 1979 Vice President, Price Hong Kong and T. Rowe Price Group, Inc. | Vice President, Communications & Technology Fund and International Funds |
Anthony Zhu, Ph.D., 1984 Employee, T. Rowe Price; formerly student Boston College (to 2017); student University of California, Berkeley (to 2011) | Vice President, Quantitative Management Funds |
Douglas Zinser, 1975 Vice President, T. Rowe Price; formerly Senior Research Analyst, Henderson Global Investors (to 2017); formerly Analyst, Delaware Investments (to 2013) | Vice President, High Yield Fund (serves only with respect to the U.S. High Yield Fund) |
Directors Compensation
As of January 1, 2018, the independent directors are paid $310,000 annually for his/ her service on the Boards. The Lead Independent Director receives an additional $150,000 annually for serving in this capacity. An independent director serving on the Joint Audit Committee receives an additional $30,000 annually for his/her service and the chairman of the Joint Audit Committee receives an additional $10,000 for his/her service. An independent director serving as a member of a Special Committee of the Independent Directors receives an additional $1,500 per meeting of the Special Committee. All of these fees are allocated to each fund on a pro-rata basis based on each funds net assets relative to the other funds.
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The following table shows the total compensation that was received by the independent directors for the 2017 calendar year. The independent directors of the funds do not receive any pension or retirement benefits from the funds or from T. Rowe Price. In addition, the officers and inside directors of the funds do not receive any compensation or benefits from the funds for their service.
Directors | Total Compensation |
Deering (Lead)* | $414,000 |
Duncan | 335,000 |
Gerrard | 326,333 |
McBride | 333,000 |
Rouse | 331,500 |
Schreiber | 301,500 |
Tercek | 315,000 |
* Until November 17, 2017.
The following table shows the amounts paid by each fund to the independent directors based on accrued compensation for the calendar year 2017:
Fund | Aggregate Compensation From Fund | |||||||||||||||
Bazemore* | Daniels* | Deering | Duncan | Gerrard | McBride | Rouse | Schreiber | Tercek | ||||||||
Africa & Middle East Fund | | | $74 | $59 | $58 | $59 | $59 | $54 | $56 | |||||||
Asia Opportunities Fund | | | 24 | 21 | 20 | 21 | 21 | 19 | 20 | |||||||
Balanced Fund | | | 2,144 | 1,723 | 1,683 | 1,717 | 1,710 | 1,555 | 1,611 | |||||||
Blue Chip Growth Fund | | | 20,653 | 16,835 | 16,388 | 16,772 | 16,688 | 15,186 | 15,768 | |||||||
California Tax-Free Bond Fund | | | 337 | 271 | 265 | 270 | 269 | 245 | 253 | |||||||
California Tax-Free Money Fund | | | 27 | 22 | 21 | 21 | 21 | 19 | 20 | |||||||
Capital Appreciation Fund | | | 15,219 | 12,265 | 11,982 | 12,222 | 12,168 | 11,066 | 11,467 | |||||||
Capital Appreciation & Income Fund(a) | | | | | | | | | | |||||||
Capital Opportunity Fund | | | 298 | 241 | 235 | 240 | 239 | 217 | 225 | |||||||
Cash Reserves Fund | | | 1,212 | 975 | 953 | 971 | 967 | 880 | 911 | |||||||
Communications & Technology Fund | | | 2,325 | 1,888 | 1,839 | 1,881 | 1,872 | 1,703 | 1,768 | |||||||
Corporate Income Fund | | | 503 | 406 | 397 | 405 | 403 | 366 | 380 | |||||||
Credit Opportunities Fund | | | 25 | 20 | 19 | 20 | 20 | 18 | 19 | |||||||
Diversified Mid-Cap Growth Fund | | | 385 | 313 | 305 | 312 | 311 | 283 | 293 | |||||||
Dividend Growth Fund | | | 4,154 | 3,369 | 3,286 | 3,357 | 3,341 | 3,040 | 3,153 | |||||||
Dynamic Global Bond Fund | | | 181 | 179 | 172 | 179 | 176 | 162 | 169 | |||||||
Emerging Europe Fund | | | 95 | 77 | 75 | 77 | 76 | 69 | 72 | |||||||
Emerging Markets Bond Fund | | | 3,578 | 2,876 | 2,812 | 2,866 | 2,854 | 2,595 | 2,688 | |||||||
Emerging Markets Corporate Bond Fund | | | 32 | 26 | 25 | 26 | 26 | 23 | 24 | |||||||
Emerging Markets Corporate Multi-Sector Account Portfolio(b) | | | 17 | 14 | 13 | 13 | 13 | 12 | 13 | |||||||
Emerging Markets Local Currency Bond Fund | | | 164 | 136 | 132 | 135 | 134 | 122 | 127 |
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Fund | Aggregate Compensation From Fund | |||||||||||||||
Bazemore* | Daniels* | Deering | Duncan | Gerrard | McBride | Rouse | Schreiber | Tercek | ||||||||
Emerging Markets Local Multi-Sector Account Portfolio(b) | | | 17 | 13 | 13 | 13 | 13 | 12 | 13 | |||||||
Emerging Markets Stock Fund | | | 4,730 | 3,887 | 3,780 | 3,872 | 3,851 | 3,507 | 3,642 | |||||||
Emerging Markets Value Stock Fund | | | 17 | 14 | 14 | 14 | 14 | 13 | 13 | |||||||
Equity Income Fund | | | 12,185 | 9,761 | 9,570 | 9,732 | 9,692 | 8,811 | 9,112 | |||||||
Equity Index 500 Fund | | | 15,964 | 12,797 | 12,540 | 12,759 | 12,705 | 11,551 | 11,949 | |||||||
European Stock Fund | | | 587 | 474 | 462 | 472 | 470 | 427 | 444 | |||||||
Extended Equity Market Index Fund | | | 443 | 357 | 349 | 356 | 354 | 322 | 333 | |||||||
Financial Services Fund | | | 418 | 335 | 329 | 334 | 333 | 303 | 313 | |||||||
Floating Rate Fund | | | 502 | 414 | 403 | 412 | 410 | 373 | 387 | |||||||
Floating Rate Multi-Sector Account Portfolio(b) | | | 40 | 32 | 31 | 32 | 32 | 29 | 30 | |||||||
Georgia Tax-Free Bond Fund | | | 172 | 139 | 136 | 138 | 138 | 125 | 130 | |||||||
Global Allocation Fund | | | 131 | 108 | 105 | 107 | 107 | 97 | 101 | |||||||
Global Consumer Fund | | | 6 | 5 | 5 | 5 | 5 | 5 | 5 | |||||||
Global Growth Stock Fund | | | 63 | 53 | 51 | 53 | 53 | 48 | 50 | |||||||
Global High Income Bond Fund | | | 40 | 32 | 31 | 32 | 32 | 29 | 30 | |||||||
Global Industrials Fund | | | 12 | 9 | 9 | 9 | 9 | 9 | 9 | |||||||
Global Multi-Sector Bond Fund | | | 229 | 189 | 183 | 188 | 187 | 170 | 177 | |||||||
Global Real Estate Fund | | | 117 | 93 | 91 | 92 | 92 | 84 | 86 | |||||||
Global Stock Fund | | | 370 | 304 | 295 | 303 | 301 | 274 | 285 | |||||||
Global Technology Fund | | | 2,463 | 2,042 | 1,976 | 2,034 | 2,022 | 1,841 | 1,918 | |||||||
GNMA Fund | | | 785 | 628 | 615 | 626 | 623 | 567 | 586 | |||||||
Government Money Fund | | | 4,517 | 3,638 | 3,558 | 3,626 | 3,610 | 3,283 | 3,400 | |||||||
Government Reserve Fund | | | 9,420 | 7,511 | 7,340 | 7,480 | 7,451 | 6,774 | 7,019 | |||||||
Growth & Income Fund | | | 958 | 773 | 755 | 771 | 767 | 698 | 723 | |||||||
Growth Stock Fund | | | 26,827 | 21,657 | 21,152 | 21,582 | 21,485 | 19,541 | 20,252 | |||||||
Health Sciences Fund | | | 5,969 | 4,818 | 4,701 | 4,800 | 4,779 | 4,347 | 4,507 | |||||||
High Yield Fund | | | 5,262 | 4,189 | 4,105 | 4,175 | 4,159 | 3,780 | 3,910 | |||||||
High Yield Multi-Sector Account Portfolio(b) | | | 10 | 8 | 8 | 8 | 8 | 7 | 7 | |||||||
Inflation Protected Bond Fund | | | 263 | 211 | 206 | 210 | 209 | 190 | 197 | |||||||
Institutional Africa & Middle East Fund | | | 94 | 76 | 74 | 75 | 75 | 68 | 71 | |||||||
Institutional Cash Reserves Fund | | | 23 | 18 | 18 | 18 | 18 | 17 | 17 | |||||||
Institutional Core Plus Fund | | | 288 | 226 | 221 | 225 | 224 | 203 | 211 | |||||||
Institutional Credit Opportunities Fund | | | 14 | 11 | 11 | 11 | 11 | 10 | 10 | |||||||
Institutional Emerging Markets Bond Fund | | | 176 | 144 | 140 | 143 | 142 | 130 | 135 |
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Fund | Aggregate Compensation From Fund | |||||||||||||||
Bazemore* | Daniels* | Deering | Duncan | Gerrard | McBride | Rouse | Schreiber | Tercek | ||||||||
Institutional Emerging Markets Equity Fund | | | 693 | 572 | 554 | 569 | 566 | 515 | 537 | |||||||
Institutional Floating Rate Fund | | | 2,717 | 2,189 | 2,138 | 2,181 | 2,171 | 1,975 | 2,046 | |||||||
Institutional Frontier Markets Equity Fund | | | 30 | 24 | 24 | 24 | 24 | 22 | 23 | |||||||
Institutional Global Focused Growth Equity Fund | | | 22 | 18 | 18 | 18 | 18 | 16 | 17 | |||||||
Institutional Global Growth Equity Fund | | | 215 | 174 | 170 | 174 | 173 | 157 | 163 | |||||||
Institutional Global Multi-Sector Bond Fund | | | 16 | 13 | 13 | 13 | 13 | 12 | 12 | |||||||
Institutional Global Value Equity Fund | | | 6 | 5 | 4 | 5 | 5 | 4 | 4 | |||||||
Institutional High Yield Fund | | | 969 | 776 | 759 | 773 | 770 | 700 | 725 | |||||||
Institutional International Bond Fund | | | 195 | 158 | 154 | 157 | 157 | 142 | 148 | |||||||
Institutional International Concentrated Equity Fund | | | 245 | 200 | 194 | 199 | 198 | 180 | 187 | |||||||
Institutional International Core Equity Fund | | | 85 | 69 | 68 | 69 | 69 | 63 | 65 | |||||||
Institutional International Growth Equity Fund | | | 29 | 24 | 23 | 24 | 23 | 21 | 22 | |||||||
Institutional Large-Cap Core Growth Fund | | | 1,453 | 1,179 | 1,149 | 1,175 | 1,169 | 1,064 | 1,104 | |||||||
Institutional Large-Cap Growth Fund | | | 7,493 | 6,086 | 5,934 | 6,064 | 6,035 | 5,491 | 5,696 | |||||||
Institutional Large-Cap Value Fund | | | 1,873 | 1,518 | 1,481 | 1,513 | 1,505 | 1,370 | 1,420 | |||||||
Institutional Long Duration Credit Fund | | | 20 | 16 | 16 | 16 | 16 | 15 | 15 | |||||||
Institutional Mid-Cap Equity Growth Fund | | | 3,421 | 2,772 | 2,704 | 2,762 | 2,749 | 2,501 | 2,594 | |||||||
Institutional Small-Cap Stock Fund | | | 2,065 | 1,671 | 1,629 | 1,664 | 1,657 | 1,507 | 1,563 | |||||||
Institutional U.S. Structured Research Fund | | | 340 | 273 | 267 | 272 | 271 | 246 | 255 | |||||||
Intermediate Tax-Free High Yield Fund | | | 28 | 23 | 22 | 23 | 23 | 21 | 21 | |||||||
International Bond Fund | | | 2,696 | 2,154 | 2,101 | 2,146 | 2,137 | 1,942 | 2,015 | |||||||
International Bond Fund (USD Hedged) | | | 2 | 24 | 22 | 24 | 23 | 22 | 23 | |||||||
International Concentrated Equity Fund | | | 11 | 9 | 9 | 9 | 9 | 8 | 8 | |||||||
International Discovery Fund | | | 3,269 | 2,688 | 2,607 | 2,677 | 2,663 | 2,424 | 2,522 | |||||||
International Equity Index Fund | | | 294 | 238 | 232 | 238 | 236 | 215 | 223 | |||||||
International Stock Fund | | | 8,496 | 6,827 | 6,675 | 6,803 | 6,774 | 6,160 | 6,380 | |||||||
International Value Equity Fund | | | 7,021 | 5,663 | 5,529 | 5,644 | 5,618 | 5,109 | 5,297 | |||||||
Investment-Grade Corporate Multi-Sector Account Portfolio(b) | | | 54 | 44 | 43 | 44 | 43 | 39 | 41 | |||||||
Japan Fund | | | 299 | 247 | 240 | 246 | 244 | 223 | 231 | |||||||
Latin America Fund | | | 355 | 287 | 279 | 285 | 284 | 258 | 268 |
84
Fund | Aggregate Compensation From Fund | |||||||||||||||
Bazemore* | Daniels* | Deering | Duncan | Gerrard | McBride | Rouse | Schreiber | Tercek | ||||||||
Limited Duration Inflation Focused Bond Fund | | | 4,378 | 3,530 | 3,449 | 3,517 | 3,502 | 3,185 | 3,300 | |||||||
Maryland Short-Term Tax-Free Bond Fund | | | 107 | 86 | 84 | 86 | 85 | 77 | 80 | |||||||
Maryland Tax-Free Bond Fund | | | 1,218 | 980 | 958 | 977 | 972 | 884 | 916 | |||||||
Maryland Tax-Free Money Fund | | | 44 | 35 | 35 | 35 | 35 | 32 | 33 | |||||||
Mid-Cap Growth Fund | | | 14,870 | 12,028 | 11,736 | 11,985 | 11,930 | 10,851 | 11,253 | |||||||
Mid-Cap Index Fund | | | 3 | 3 | 3 | 3 | 3 | 2 | 2 | |||||||
Mid-Cap Value Fund | | | 7,356 | 5,910 | 5,784 | 5,890 | 5,865 | 5,333 | 5,521 | |||||||
Mortgage-Backed Securities Multi-Sector Account Portfolio(b) | | | 66 | 53 | 52 | 53 | 53 | 48 | 50 | |||||||
Multi-Strategy Total Return Fund(c) | 3 | 3 | | 4 | 3 | 4 | 4 | 5 | 4 | |||||||
New America Growth Fund | | | 2,109 | 1,712 | 1,669 | 1,706 | 1,698 | 1,544 | 1,602 | |||||||
New Asia Fund | | | 1,514 | 1,232 | 1,200 | 1,227 | 1,221 | 1,111 | 1,153 | |||||||
New Era Fund | | | 1,942 | 1,567 | 1,532 | 1,562 | 1,555 | 1,414 | 1,464 | |||||||
New Horizons Fund | | | 10,435 | 8,466 | 8,250 | 8,435 | 8,395 | 7,637 | 7,926 | |||||||
New Income Fund | | | 18,575 | 14,896 | 14,544 | 14,841 | 14,779 | 13,435 | 13,930 | |||||||
New Jersey Tax-Free Bond Fund | | | 208 | 167 | 163 | 167 | 166 | 151 | 156 | |||||||
New York Tax-Free Bond Fund | | | 258 | 208 | 203 | 207 | 206 | 187 | 194 | |||||||
New York Tax-Free Money Fund | | | 31 | 25 | 24 | 24 | 24 | 22 | 23 | |||||||
Overseas Stock Fund | | | 7,616 | 6,173 | 6,014 | 6,150 | 6,122 | 5,568 | 5,780 | |||||||
Personal Strategy Balanced Fund | | | 1,182 | 955 | 933 | 952 | 947 | 862 | 893 | |||||||
Personal Strategy Growth Fund | | | 1,038 | 844 | 822 | 841 | 837 | 762 | 791 | |||||||
Personal Strategy Income Fund | | | 991 | 806 | 786 | 803 | 800 | 728 | 755 | |||||||
QM Global Equity Fund | | | 8 | 6 | 6 | 6 | 6 | 6 | 6 | |||||||
QM U.S. Small & Mid-Cap Core Equity Fund | | | 20 | 17 | 16 | 17 | 17 | 15 | 16 | |||||||
QM U.S. Small-Cap Growth Equity Fund | | | 2,314 | 1,910 | 1,850 | 1,902 | 1,891 | 1,722 | 1,793 | |||||||
QM U.S. Value Equity Fund | | | 10 | 8 | 8 | 8 | 8 | 7 | 7 | |||||||
Real Assets Fund | | | 1,837 | 1,471 | 1,442 | 1,467 | 1,461 | 1,328 | 1,373 | |||||||
Real Estate Fund | | | 3,435 | 2,759 | 2,701 | 2,750 | 2,738 | 2,490 | 2,577 | |||||||
Retirement 2005 Fund | | | 972 | 779 | 762 | 776 | 773 | 703 | 727 | |||||||
Retirement 2010 Fund | | | 2,983 | 2,385 | 2,337 | 2,377 | 2,367 | 2,152 | 2,226 | |||||||
Retirement 2015 Fund | | | 5,069 | 4,052 | 3,971 | 4,039 | 4,023 | 3,657 | 3,782 | |||||||
Retirement 2020 Fund | | | 14,026 | 11,229 | 10,999 | 11,193 | 11,147 | 10,134 | 10,486 | |||||||
Retirement 2025 Fund | | | 11,587 | 9,305 | 9,104 | 9,275 | 9,235 | 8,397 | 8,694 | |||||||
Retirement 2030 Fund | | | 14,810 | 11,890 | 11,633 | 11,851 | 11,801 | 10,729 | 11,109 | |||||||
Retirement 2035 Fund | | | 8,853 | 7,117 | 6,960 | 7,093 | 7,063 | 6,422 | 6,651 |
85
Fund | Aggregate Compensation From Fund | |||||||||||||||
Bazemore* | Daniels* | Deering | Duncan | Gerrard | McBride | Rouse | Schreiber | Tercek | ||||||||
Retirement 2040 Fund | | | 10,406 | 8,359 | 8,176 | 8,332 | 8,296 | 7,543 | 7,812 | |||||||
Retirement 2045 Fund | | | 5,484 | 4,417 | 4,317 | 4,402 | 4,383 | 3,986 | 4,129 | |||||||
Retirement 2050 Fund | | | 4,378 | 3,531 | 3,448 | 3,519 | 3,503 | 3,186 | 3,302 | |||||||
Retirement 2055 Fund | | | 1,854 | 1,499 | 1,463 | 1,494 | 1,487 | 1,353 | 1,403 | |||||||
Retirement 2060 Fund | | | 140 | 116 | 112 | 116 | 115 | 105 | 110 | |||||||
Retirement Balanced Fund | | | 1,518 | 1,216 | 1,191 | 1,212 | 1,207 | 1,097 | 1,136 | |||||||
Retirement I 2005 FundI Class | | | 40 | 34 | 32 | 34 | 33 | 30 | 32 | |||||||
Retirement I 2010 FundI Class | | | 156 | 129 | 125 | 128 | 128 | 116 | 121 | |||||||
Retirement I 2015 FundI Class | | | 281 | 232 | 225 | 231 | 230 | 209 | 218 | |||||||
Retirement I 2020 FundI Class | | | 926 | 768 | 742 | 764 | 760 | 692 | 722 | |||||||
Retirement I 2025 FundI Class | | | 749 | 626 | 603 | 623 | 619 | 564 | 589 | |||||||
Retirement I 2030 FundI Class | | | 1,108 | 921 | 889 | 917 | 912 | 830 | 867 | |||||||
Retirement I 2035 FundI Class | | | 624 | 523 | 503 | 520 | 517 | 471 | 492 | |||||||
Retirement I 2040 FundI Class | | | 849 | 707 | 682 | 703 | 699 | 637 | 665 | |||||||
Retirement I 2045 FundI Class | | | 408 | 342 | 329 | 341 | 339 | 308 | 322 | |||||||
Retirement I 2050 FundI Class | | | 444 | 371 | 358 | 369 | 367 | 334 | 349 | |||||||
Retirement I 2055 FundI Class | | | 142 | 121 | 116 | 120 | 119 | 109 | 114 | |||||||
Retirement I 2060 FundI Class | | | 19 | 17 | 16 | 16 | 16 | 15 | 16 | |||||||
Retirement Balanced I FundI Class | | | 89 | 73 | 71 | 73 | 72 | 66 | 69 | |||||||
Retirement Income 2020 Fund | | | 1 | 2 | 1 | 2 | 2 | 1 | 2 | |||||||
Science & Technology Fund | | | 2,498 | 2,033 | 1,981 | 2,026 | 2,016 | 1,834 | 1,904 | |||||||
Short-Term Fund | | | 1,454 | 1,154 | 1,143 | 1,153 | 1,149 | 1,043 | 1,072 | |||||||
Short-Term Bond Fund | | | 2,726 | 2,184 | 2,139 | 2,177 | 2,168 | 1,971 | 2,040 | |||||||
Short-Term Government Fund | | | 0 | 0 | 0 | 0 | 0 | 0 | 0 | |||||||
Small-Cap Index Fund | | | 3 | 3 | 3 | 3 | 3 | 2 | 3 | |||||||
Small-Cap Stock Fund | | | 5,187 | 4,160 | 4,076 | 4,147 | 4,130 | 3,755 | 3,884 | |||||||
Small-Cap Value Fund | | | 5,355 | 4,308 | 4,214 | 4,294 | 4,275 | 3,888 | 4,025 | |||||||
Spectrum Growth Fund | | | 1,972 | 1,589 | 1,553 | 1,584 | 1,577 | 1,434 | 1,486 | |||||||
Spectrum Income Fund | | | 3,566 | 2,869 | 2,804 | 2,859 | 2,846 | 2,589 | 2,682 | |||||||
Spectrum International Fund | | | 719 | 585 | 569 | 582 | 580 | 527 | 547 | |||||||
Summit Municipal Income Fund | | | 692 | 558 | 545 | 556 | 553 | 503 | 522 | |||||||
Summit Municipal Intermediate Fund | | | 2,486 | 2,026 | 1,975 | 2,019 | 2,009 | 1,828 | 1,897 | |||||||
Summit Municipal Money Market Fund | | | 69 | 55 | 54 | 55 | 55 | 50 | 51 |
86
Fund | Aggregate Compensation From Fund | |||||||||||||||
Bazemore* | Daniels* | Deering | Duncan | Gerrard | McBride | Rouse | Schreiber | Tercek | ||||||||
Target 2005 Fund | | | 17 | 14 | 13 | 13 | 13 | 12 | 13 | |||||||
Target 2010 Fund | | | 34 | 28 | 27 | 28 | 27 | 25 | 26 | |||||||
Target 2015 Fund | | | 97 | 79 | 77 | 78 | 78 | 71 | 74 | |||||||
Target 2020 Fund | | | 131 | 106 | 103 | 106 | 105 | 96 | 99 | |||||||
Target 2025 Fund | | | 110 | 89 | 87 | 89 | 88 | 80 | 83 | |||||||
Target 2030 Fund | | | 113 | 91 | 89 | 91 | 91 | 82 | 86 | |||||||
Target 2035 Fund | | | 67 | 55 | 53 | 55 | 54 | 49 | 51 | |||||||
Target 2040 Fund | | | 58 | 47 | 46 | 47 | 46 | 42 | 44 | |||||||
Target 2045 Fund | | | 39 | 32 | 31 | 32 | 31 | 29 | 30 | |||||||
Target 2050 Fund | | | 27 | 22 | 22 | 22 | 22 | 20 | 21 | |||||||
Target 2055 Fund | | | 15 | 12 | 12 | 12 | 12 | 11 | 12 | |||||||
Target 2060 Fund | | | 4 | 3 | 3 | 3 | 3 | 3 | 3 | |||||||
Tax-Efficient Equity Fund | | | 132 | 107 | 105 | 107 | 107 | 97 | 101 | |||||||
Tax-Exempt Money Fund | | | 200 | 159 | 156 | 159 | 158 | 144 | 149 | |||||||
Tax-Free High Yield Fund | | | 2,583 | 2,086 | 2,036 | 2,078 | 2,069 | 1,882 | 1,951 | |||||||
Tax-Free Income Fund | | | 1,420 | 1,143 | 1,117 | 1,139 | 1,134 | 1,032 | 1,069 | |||||||
Tax-Free Short-Intermediate Fund | | | 1,098 | 882 | 863 | 879 | 875 | 796 | 824 | |||||||
Total Equity Market Index Fund | | | 840 | 679 | 663 | 676 | 673 | 612 | 635 | |||||||
Total Return Fund | | | 16 | 13 | 13 | 13 | 13 | 12 | 13 | |||||||
Treasury Reserve Fund | | | 1,955 | 1,595 | 1,560 | 1,591 | 1,583 | 1,441 | 1,492 | |||||||
U.S. Bond Enhanced Index Fund | | | 368 | 296 | 289 | 295 | 294 | 267 | 277 | |||||||
U.S. High Yield Fund | | | 20 | 20 | 18 | 19 | 19 | 18 | 19 | |||||||
U.S. Large-Cap Core Fund | | | 218 | 179 | 174 | 178 | 177 | 161 | 168 | |||||||
U.S. Treasury Intermediate Fund | | | 216 | 176 | 171 | 175 | 174 | 159 | 165 | |||||||
U.S. Treasury Long-Term Fund | | | 227 | 236 | 228 | 237 | 233 | 215 | 223 | |||||||
U.S. Treasury Money Fund | | | 3,004 | 2,463 | 2,389 | 2,451 | 2,438 | 2,221 | 2,310 | |||||||
Ultra Short-Term Bond Fund | | | 193 | 157 | 153 | 156 | 156 | 142 | 147 | |||||||
Value Fund | | | 13,439 | 10,843 | 10,600 | 10,806 | 10,758 | 9,785 | 10,135 | |||||||
Virginia Tax-Free Bond Fund | | | 650 | 524 | 512 | 522 | 520 | 473 | 490 |
* Effective January 1, 2018, Ms. Bazemore and Mr. Daniels were elected as independent directors of the Price Funds.
(a) Prior to commencement of operations.
(b) Directors fees were paid by T. Rowe Price on behalf of the fund.
(c) Estimated for the period February 24, 2018, through December 31, 2018.
87
Directors Holdings in the Price Funds
The following tables set forth the Price Fund holdings of the current independent and inside directors, as of December 31, 2017, unless otherwise indicated.
Aggregate | Independent Directors | |||||
Duncan | Gerrard | McBride | Rouse | Schreiber | Tercek | |
Over $100,000 | Over $100,000 | Over $100,000 | Over $100,000 | Over $100,000 | Over $100,000 | |
Africa & Middle East Fund | None | None | None | None | None | None |
Africa & Middle East FundI Class | None | None | None | None | None | None |
Asia Opportunities Fund | None | None | None | None | None | None |
Asia Opportunities FundAdvisor Class | None | None | None | None | None | None |
Asia Opportunities FundI Class | None | None | None | None | None | None |
Balanced Fund | None | None | None | None | None | None |
Balanced FundI Class | None | None | None | None | None | None |
Blue Chip Growth Fund | None | $10,001$50,000 | None | None | Over $100,000 | None |
Blue Chip Growth FundAdvisor Class | None | None | None | None | None | None |
Blue Chip Growth FundI Class | None | None | None | None | None | None |
Blue Chip Growth FundR Class | None | None | None | None | None | None |
California Tax-Free Bond Fund | None | None | None | None | None | None |
California Tax-Free Bond FundI Class | None | None | None | None | None | None |
California Tax-Free Money Fund | None | None | None | None | None | None |
California Tax-Free Money FundI Class | None | None | None | None | None | None |
Capital Appreciation Fund | None | Over $100,000 | Over $100,000 | None | None | None |
Capital Appreciation FundAdvisor Class | None | None | None | None | None | None |
Capital Appreciation FundI Class | None | None | None | None | None | None |
Capital Opportunity Fund | None | $50,001$100,000 | None | None | None | None |
Capital Opportunity FundAdvisor Class | None | None | None | None | None | None |
Capital Opportunity FundI Class | None | None | None | None | None | None |
Capital Opportunity FundR Class | None | None | None | None | None | None |
Cash Reserves Fund | None | None | None | None | Over $100,000 | Over $100,000 |
Communications & Technology Fund | None | Over $100,000 | None | None | None | None |
Communications & Technology FundI Class | None | None | None | None | None | None |
Corporate Income Fund | None | None | None | None | None | None |
Corporate Income FundI Class | None | None | None | None | None | None |
Credit Opportunities Fund | None | None | None | None | None | None |
Credit Opportunities FundAdvisor Class | None | None | None | None | None | None |
Credit Opportunities FundI Class | None | None | None | None | None | None |
88
Aggregate | Independent Directors | |||||
Duncan | Gerrard | McBride | Rouse | Schreiber | Tercek | |
Over $100,000 | Over $100,000 | Over $100,000 | Over $100,000 | Over $100,000 | Over $100,000 | |
Diversified Mid-Cap Growth Fund | None | None | None | None | None | None |
Diversified Mid-Cap Growth FundI Class | None | None | None | None | None | None |
Dividend Growth Fund | None | $10,001$50,000 | None | None | None | None |
Dividend Growth FundAdvisor Class | None | None | None | None | None | None |
Dividend Growth FundI Class | None | None | None | None | None | None |
Dynamic Global Bond Fund | None | None | None | None | None | None |
Dynamic Global Bond FundAdvisor Class | None | None | None | None | None | None |
Dynamic Global Bond FundI Class | None | None | None | None | None | None |
Emerging Europe Fund | None | $10,001$50,000 | None | None | None | None |
Emerging Europe FundI Class | None | None | None | None | None | None |
Emerging Markets Bond Fund | None | $1$10,001 | None | None | None | None |
Emerging Markets Bond FundAdvisor Class | None | None | None | None | None | None |
Emerging Markets Bond FundI Class | None | None | None | None | None | None |
Emerging Markets Corporate Bond Fund | None | None | None | None | None | None |
Emerging Markets Corporate Bond FundAdvisor Class | None | None | None | None | None | None |
Emerging Markets Corporate Bond FundI Class | None | None | None | None | None | None |
Emerging Markets Corporate Multi-Sector Account Portfolio | None | None | None | None | None | None |
Emerging Markets Local Currency Bond Fund | None | None | None | None | None | None |
Emerging Markets Local Currency Bond FundAdvisor Class | None | None | None | None | None | None |
Emerging Markets Local Currency Bond FundI Class | None | None | None | None | None | None |
Emerging Markets Local Multi-Sector Account Portfolio | None | None | None | None | None | None |
Emerging Markets Stock Fund | Over $100,000 | $10,001$50,000 | None | None | Over $100,000 | Over $100,000 |
Emerging Markets Stock FundI Class | None | None | None | None | None | None |
Emerging Markets Value Stock Fund | None | $10,001$50,000 | None | None | None | None |
Emerging Markets Value Stock FundAdvisor Class | None | None | None | None | None | None |
Emerging Markets Value Stock FundI Class | None | None | None | None | None | None |
Equity Income Fund | None | None | None | None | None | None |
Equity Income FundAdvisor Class | None | None | None | None | None | None |
Equity Income FundI Class | None | None | None | None | None | None |
Equity Income FundR Class | None | None | None | None | None | None |
Equity Index 500 Fund | None | None | None | None | None | None |
Equity Index 500 FundI Class | None | None | None | None | None | None |
European Stock Fund | None | $1$10,000 | None | None | None | None |
European Stock FundI Class | None | None | None | None | None | None |
89
Aggregate | Independent Directors | |||||
Duncan | Gerrard | McBride | Rouse | Schreiber | Tercek | |
Over $100,000 | Over $100,000 | Over $100,000 | Over $100,000 | Over $100,000 | Over $100,000 | |
Extended Equity Market Index Fund | None | None | None | None | None | None |
Financial Services Fund | None | $50,001$100,000 | None | None | None | None |
Financial Services FundI Class | None | None | None | None | None | None |
Floating Rate Fund | None | None | None | None | None | None |
Floating Rate FundAdvisor Class | None | None | None | None | None | None |
Floating Rate FundI Class | None | $10,001$50,000 | None | None | None | None |
Floating Rate Multi-Sector Account Portfolio | None | None | None | None | None | None |
Georgia Tax-Free Bond Fund | None | None | None | None | None | None |
Georgia Tax-Free Bond FundI Class | None | None | None | None | None | None |
Global Allocation Fund | None | None | None | None | None | None |
Global Allocation FundAdvisor Class | None | None | None | None | None | None |
Global Allocation FundI Class | None | None | None | None | None | None |
Global Consumer Fund | None | None | None | None | None | None |
Global Growth Stock Fund | None | None | None | None | None | None |
Global Growth Stock FundAdvisor Class | None | None | None | None | None | None |
Global Growth Stock FundI Class | None | None | None | None | None | None |
Global High Income Bond Fund | None | None | None | None | None | None |
Global High Income Bond FundAdvisor Class | None | None | None | None | None | None |
Global High Income Bond FundI Class | None | None | None | None | None | None |
Global Industrials Fund | None | None | None | None | None | None |
Global Industrials FundI Class | None | None | None | None | None | None |
Global Multi-Sector Bond Fund | None | None | None | None | None | None |
Global Multi-Sector Bond FundAdvisor Class | None | None | None | None | None | None |
Global Multi-Sector Bond FundI Class | None | None | None | None | None | None |
Global Real Estate Fund | None | None | None | None | None | None |
Global Real Estate FundAdvisor Class | None | None | None | None | None | None |
Global Real Estate FundI Class | None | None | None | None | None | None |
Global Stock Fund | None | $10,001$50,000 | None | None | None | None |
Global Stock FundAdvisor Class | None | None | None | None | None | None |
Global Stock FundI Class | None | None | None | None | None | None |
Global Technology Fund | None | Over $100,000 | None | None | None | None |
Global Technology FundI Class | None | None | None | None | None | None |
GNMA Fund | None | None | None | None | Over $100,000 | None |
GNMA FundI Class | None | None | None | None | None | None |
Government Money Fund | None | None | None | None | $10,001$50,000 | None |
90
Aggregate | Independent Directors | |||||
Duncan | Gerrard | McBride | Rouse | Schreiber | Tercek | |
Over $100,000 | Over $100,000 | Over $100,000 | Over $100,000 | Over $100,000 | Over $100,000 | |
Government Money FundI Class | None | None | None | None | None | None |
Government Reserve Fund | None | None | None | None | None | None |
Growth & Income Fund | None | None | None | None | Over $100,000 | None |
Growth & Income FundI Class | None | None | None | None | None | None |
Growth Stock Fund | None | $50,001$100,000 | None | None | None | None |
Growth Stock FundAdvisor Class | None | None | None | None | None | None |
Growth Stock FundI Class | None | None | None | None | None | None |
Growth Stock FundR Class | None | None | None | None | None | None |
Health Sciences Fund | None | $50,001$100,000 | Over $100,000 | None | None | None |
Health Sciences FundI Class | None | None | None | None | None | None |
High Yield Fund | None | None | None | None | Over $100,000 | None |
High Yield FundAdvisor Class | None | None | None | None | None | None |
High Yield FundI Class | None | None | None | None | None | None |
High Yield Multi-Sector Account Portfolio | None | None | None | None | None | None |
Inflation Protected Bond Fund | None | None | None | None | None | None |
Inflation Protected Bond FundI Class | None | None | None | None | None | None |
Institutional Africa & Middle East Fund | None | None | None | None | None | None |
Institutional Cash Reserves Fund | None | None | None | None | None | None |
Institutional Core Plus Fund | None | None | None | None | None | None |
Institutional Credit Opportunities Fund | None | None | None | None | None | None |
Institutional Emerging Markets Bond Fund | None | None | None | None | None | None |
Institutional Emerging Markets Equity Fund | None | None | None | None | None | None |
Institutional Floating Rate Fund | None | None | None | None | None | None |
Institutional Floating Rate FundF Class | None | None | None | None | None | None |
Institutional Frontiers Markets Equity Fund | None | None | None | None | None | None |
Institutional Global Focused Growth Equity Fund | None | None | None | None | None | None |
Institutional Global Growth Equity Fund | None | None | None | None | None | None |
Institutional Global Multi-Sector Bond Fund | None | None | None | None | None | None |
Institutional Global Value Equity Fund | None | None | None | None | None | None |
Institutional High Yield Fund | None | None | None | None | None | None |
Institutional International Bond Fund | None | None | None | None | None | None |
Institutional International Concentrated Equity Fund | None | None | None | None | None | None |
Institutional International Core Equity Fund | None | None | None | None | None | None |
Institutional International Growth Equity Fund | None | None | None | None | None | None |
91
Aggregate | Independent Directors | |||||
Duncan | Gerrard | McBride | Rouse | Schreiber | Tercek | |
Over $100,000 | Over $100,000 | Over $100,000 | Over $100,000 | Over $100,000 | Over $100,000 | |
Institutional Large-Cap Core Growth Fund | None | None | None | None | None | None |
Institutional Large-Cap Growth Fund | None | None | None | None | None | None |
Institutional Large-Cap Value Fund | None | None | None | None | None | None |
Institutional Long Duration Credit Fund | None | None | None | None | None | None |
Institutional Mid-Cap Equity Growth Fund | None | None | None | None | None | None |
Institutional Small-Cap Stock Fund | None | None | None | None | None | None |
Institutional U.S. Structured Research Fund | None | None | None | None | None | None |
Intermediate Tax-Free High Yield Fund | None | None | None | None | None | None |
Intermediate Tax-Free High Yield FundAdvisor Class | None | None | None | None | None | None |
Intermediate Tax-Free High Yield FundI Class | None | None | None | None | None | None |
International Bond Fund | None | None | None | None | None | None |
International Bond FundAdvisor Class | None | None | None | None | None | None |
International Bond FundI Class | None | None | None | None | None | None |
International Bond Fund (USD Hedged) | None | None | None | None | None | None |
International Bond Fund (USD Hedged)Advisor Class | None | None | None | None | None | None |
International Bond Fund (USD Hedged)I Class | None | None | None | None | None | None |
International Concentrated Equity Fund | None | None | None | None | None | None |
International Concentrated Equity FundAdvisor Class | None | None | None | None | None | None |
International Concentrated Equity FundI Class | None | None | None | None | None | None |
International Discovery Fund | None | $10,001$50,000 | None | None | None | None |
International Discovery FundI Class | None | None | None | None | None | None |
International Equity Index Fund | None | None | None | None | None | None |
International Stock Fund | None | $10,001$50,000 | None | None | None | None |
International Stock FundAdvisor Class | None | None | None | None | None | None |
International Stock FundI Class | None | None | None | None | None | None |
International Stock FundR Class | None | None | None | None | None | None |
International Value Equity Fund | None | None | None | None | None | None |
International Value Equity FundAdvisor Class | None | None | None | None | None | None |
International Value Equity FundI Class | None | None | None | None | None | None |
International Value Equity FundR Class | None | None | None | None | None | None |
92
Aggregate | Independent Directors | |||||
Duncan | Gerrard | McBride | Rouse | Schreiber | Tercek | |
Over $100,000 | Over $100,000 | Over $100,000 | Over $100,000 | Over $100,000 | Over $100,000 | |
Investment Grade Multi-Sector Account Portfolio | None | None | None | None | None | None |
Japan Fund | None | $10,001$50,000 | None | None | Over $100,000 | None |
Japan FundI Class | None | None | None | None | None | None |
Latin America Fund | None | $1$10,000 | None | None | Over $100,000 | None |
Latin America FundI Class | None | None | None | None | None | None |
Limited Duration Inflation Focused Bond Fund | None | None | None | None | None | None |
Limited Duration Inflation Focused Bond FundI Class | None | None | None | None | None | None |
Maryland Short-Term Tax-Free Bond Fund | None | None | None | None | None | None |
Maryland Short-Term Tax-Free Bond FundI Class | None | None | None | None | None | None |
Maryland Tax-Free Bond Fund | None | None | None | None | None | None |
Maryland Tax-Free Bond FundI Class | None | None | None | None | None | None |
Maryland Tax-Free Money Fund | None | None | None | None | None | None |
Maryland Tax-Free Money FundI Class | None | None | None | None | None | None |
Mid-Cap Growth Fund | None | None | None | None | None | None |
Mid-Cap Growth FundAdvisor Class | None | Over $100,000 | None | None | None | None |
Mid-Cap Growth FundI Class | None | None | None | None | None | None |
Mid-Cap Growth FundR Class | None | None | None | None | None | None |
Mid-Cap Index Fund | None | None | None | None | None | None |
Mid-Cap Index FundI Class | None | None | None | None | None | None |
Mid-Cap Value Fund | None | None | None | None | None | None |
Mid-Cap Value FundAdvisor Class | None | None | None | None | None | None |
Mid-Cap Value FundI Class | None | None | None | None | None | None |
Mid-Cap Value FundR Class | None | None | None | None | None | None |
Mortgage-Backed Securities Multi-Sector Account Portfolio | None | None | None | None | None | None |
New America Growth Fund | None | $10,001$50,000 | Over $100,000 | None | None | None |
New America Growth FundAdvisor Class | None | None | None | None | None | None |
New America Growth FundI Class | None | None | None | None | None | None |
New Asia Fund | None | None | None | None | None | None |
New Asia FundI Class | None | None | None | None | None | None |
New Era Fund | None | None | None | None | Over $100,000 | None |
New Era FundI Class | None | None | None | None | None | None |
New Horizons Fund | None | Over $100,000 | None | None | None | None |
New Horizons FundI Class | None | None | None | None | None | None |
New Income Fund | None | None | None | None | Over $100,000 | None |
New Income FundAdvisor Class | None | None | None | None | None | None |
New Income FundI Class | None | None | None | None | None | None |
New Income FundR Class | None | None | None | None | None | None |
93
Aggregate | Independent Directors | |||||
Duncan | Gerrard | McBride | Rouse | Schreiber | Tercek | |
Over $100,000 | Over $100,000 | Over $100,000 | Over $100,000 | Over $100,000 | Over $100,000 | |
New Jersey Tax-Free Bond Fund | None | None | None | None | None | None |
New Jersey Tax-Free Bond FundI Class | None | None | None | None | None | None |
New York Tax-Free Bond Fund | None | None | None | None | None | None |
New York Tax-Free Bond FundI Class | None | None | None | None | None | None |
New York Tax-Free Money Fund | None | None | None | None | None | None |
New York Tax-Free Money FundI Class | None | None | None | None | None | None |
Overseas Stock Fund | None | None | None | None | None | None |
Overseas Stock FundAdvisor Class | None | None | None | None | None | None |
Overseas Stock FundI Class | None | None | None | None | None | None |
Personal Strategy Balanced Fund | None | $50,001$100,000 | None | Over $100,000 | None | None |
Personal Strategy Balanced FundI Class | None | None | None | None | None | None |
Personal Strategy Growth Fund | None | $50,001$100,000 | None | None | None | None |
Personal Strategy Growth FundI Class | None | None | None | None | None | None |
Personal Strategy Income Fund | None | None | None | None | None | None |
Personal Strategy Income FundI Class | None | None | None | None | None | None |
QM Global Equity Fund | None | None | None | None | None | None |
QM Global Equity FundAdvisor Class | None | None | None | None | None | None |
QM Global Equity FundI Class | None | None | None | None | None | None |
QM U.S. Small & Mid-Cap Core Equity Fund | None | $10,001$50,000 | None | None | None | None |
QM U.S. Small & Mid-Cap Core Equity FundAdvisor Class | None | None | None | None | None | None |
QM U.S. Small & Mid-Cap Core Equity FundI Class | None | None | None | None | None | None |
QM U.S. Small-Cap Growth Equity Fund | None | None | None | None | None | None |
QM U.S. Small-Cap Growth Equity FundAdvisor Class | None | None | None | None | None | None |
QM U.S. Small-Cap Growth Equity FundI Class | None | None | None | None | None | None |
QM U.S. Value Equity Fund | None | None | None | None | None | None |
QM U.S. Value Equity FundAdvisor Class | None | None | None | None | None | None |
QM U.S. Value Equity FundI Class | None | None | None | None | None | None |
Real Assets Fund | None | None | None | None | None | None |
Real Assets FundI Class | None | None | None | None | None | None |
Real Estate Fund | None | None | Over $100,000 | None | None | None |
Real Estate FundAdvisor Class | None | None | None | None | None | None |
Real Estate FundI Class | None | None | None | None | None | None |
Retirement 2005 Fund | None | None | None | None | None | None |
Retirement 2005 FundAdvisor Class | None | None | None | None | None | None |
Retirement 2005 FundR Class | None | None | None | None | None | None |
Retirement 2010 Fund | None | None | None | None | None | None |
94
Aggregate | Independent Directors | |||||
Duncan | Gerrard | McBride | Rouse | Schreiber | Tercek | |
Over $100,000 | Over $100,000 | Over $100,000 | Over $100,000 | Over $100,000 | Over $100,000 | |
Retirement 2010 FundAdvisor Class | None | None | None | None | None | None |
Retirement 2010 FundR Class | None | None | None | None | None | None |
Retirement 2015 Fund | None | None | None | None | None | None |
Retirement 2015 FundAdvisor Class | None | None | None | None | None | None |
Retirement 2015 FundR Class | None | None | None | None | None | None |
Retirement 2020 Fund | None | $50,001$100,000 | None | None | None | None |
Retirement 2020 FundAdvisor Class | None | None | None | None | None | None |
Retirement 2020 FundR Class | None | None | None | None | None | None |
Retirement 2025 Fund | None | $50,001$100,000 | None | None | None | None |
Retirement 2025 FundAdvisor Class | None | None | None | None | None | None |
Retirement 2025 FundR Class | None | None | None | None | None | None |
Retirement 2030 Fund | None | $10,001$50,000 | None | Over $100,000 | None | None |
Retirement 2030 FundAdvisor Class | None | None | None | None | None | None |
Retirement 2030 FundR Class | None | None | None | None | None | None |
Retirement 2035 Fund | None | $10,001$50,000 | None | None | None | None |
Retirement 2035 FundAdvisor Class | None | None | None | None | None | None |
Retirement 2035 FundR Class | None | None | None | None | None | None |
Retirement 2040 Fund | None | None | None | None | None | None |
Retirement 2040 FundAdvisor Class | None | None | None | None | None | None |
Retirement 2040 FundR Class | None | None | None | None | None | None |
Retirement 2045 Fund | None | None | None | None | None | None |
Retirement 2045 FundAdvisor Class | None | None | None | None | None | None |
Retirement 2045 FundR Class | None | None | None | None | None | None |
Retirement 2050 Fund | None | None | None | None | None | None |
Retirement 2050 FundAdvisor Class | None | None | None | None | None | None |
Retirement 2050 FundR Class | None | None | None | None | None | None |
Retirement 2055 Fund | None | None | None | None | None | None |
Retirement 2055 FundAdvisor Class | None | None | None | None | None | None |
Retirement 2055 FundR Class | None | None | None | None | None | None |
Retirement 2060 Fund | None | $10,001$50,000 | None | None | None | None |
Retirement 2060 FundAdvisor Class | None | None | None | None | None | None |
Retirement 2060 FundR Class | None | None | None | None | None | None |
Retirement Balanced Fund | None | None | None | None | None | None |
Retirement Balanced FundAdvisor Class | None | None | None | None | None | None |
Retirement Balanced FundR Class | None | None | None | None | None | None |
Retirement I 2005 FundI Class | None | None | None | None | None | None |
Retirement I 2010 FundI Class | None | None | None | None | None | None |
95
Aggregate | Independent Directors | |||||
Duncan | Gerrard | McBride | Rouse | Schreiber | Tercek | |
Over $100,000 | Over $100,000 | Over $100,000 | Over $100,000 | Over $100,000 | Over $100,000 | |
Retirement I 2015 FundI Class | None | None | None | None | None | None |
Retirement I 2020 FundI Class | None | None | None | None | None | None |
Retirement I 2025 FundI Class | None | None | None | None | None | None |
Retirement I 2030 FundI Class | None | None | None | None | None | None |
Retirement I 2035 FundI Class | None | None | None | None | None | None |
Retirement I 2040 FundI Class | None | None | None | None | None | None |
Retirement I 2045 FundI Class | None | None | None | None | None | None |
Retirement I 2050 FundI Class | None | None | None | None | None | None |
Retirement I 2055 FundI Class | None | None | None | None | None | None |
Retirement I 2060 FundI Class | None | None | None | None | None | None |
Retirement Balanced I FundI Class | None | None | None | None | None | None |
Retirement Income 2020 Fund | None | None | None | None | None | None |
Science & Technology Fund | None | $50,001$100,000 | None | None | None | None |
Science & Technology FundAdvisor Class | None | None | None | None | None | None |
Science & Technology FundI Class | None | None | None | None | None | None |
Short-Term Fund | None | None | None | None | None | None |
Short-Term Bond Fund | None | None | None | None | Over $100,000 | None |
Short-Term Bond FundAdvisor Class | None | None | None | None | None | None |
Short-Term Bond FundI Class | None | None | None | None | None | None |
Short-Term Government Fund | None | None | None | None | None | None |
Small-Cap Index Fund | None | None | None | None | None | None |
Small-Cap Index FundI Class | None | None | None | None | None | None |
Small-Cap Stock Fund | None | $50,001$100,000 | None | None | None | None |
Small-Cap Stock FundAdvisor Class | None | None | None | None | None | None |
Small-Cap Stock FundI Class | None | None | None | None | None | None |
Small-Cap Value Fund | None | $1$10,000 | None | None | None | None |
Small-Cap Value FundAdvisor Class | None | None | None | None | None | None |
Small-Cap Value FundI Class | None | None | None | None | None | None |
Spectrum Growth Fund | None | None | None | None | None | None |
Spectrum Income Fund | None | None | None | None | None | None |
Spectrum International Fund | None | None | None | None | None | None |
Summit Municipal Income Fund | None | None | None | None | Over $100,000 | None |
Summit Municipal Income FundAdvisor Class | None | None | None | None | None | None |
Summit Municipal Intermediate Fund | None | None | None | None | Over $100,000 | None |
Summit Municipal Intermediate FundAdvisor Class | None | None | None | None | None | None |
96
Aggregate | Independent Directors | |||||
Duncan | Gerrard | McBride | Rouse | Schreiber | Tercek | |
Over $100,000 | Over $100,000 | Over $100,000 | Over $100,000 | Over $100,000 | Over $100,000 | |
Summit Municipal Money Market Fund | None | None | None | None | $50,001$100,000 | None |
Target 2005 Fund | None | None | None | None | None | None |
Target 2005 FundAdvisor Class | None | None | None | None | None | None |
Target 2005 FundI Class | None | None | None | None | None | None |
Target 2010 Fund | None | None | None | None | None | None |
Target 2010 FundAdvisor Class | None | None | None | None | None | None |
Target 2010 FundI Class | None | None | None | None | None | None |
Target 2015 Fund | None | None | None | None | None | None |
Target 2015 FundAdvisor Class | None | None | None | None | None | None |
Target 2015 FundI Class | None | None | None | None | None | None |
Target 2020 Fund | None | None | None | None | None | None |
Target 2020 FundAdvisor Class | None | None | None | None | None | None |
Target 2020 FundI Class | None | None | None | None | None | None |
Target 2025 Fund | None | None | None | None | None | None |
Target 2025 FundAdvisor Class | None | None | None | None | None | None |
Target 2025 FundI Class | None | None | None | None | None | None |
Target 2030 Fund | None | None | None | None | None | None |
Target 2030 FundAdvisor Class | None | None | None | None | None | None |
Target 2030 FundI Class | None | None | None | None | None | None |
Target 2035 Fund | None | None | None | None | None | None |
Target 2035 FundAdvisor Class | None | None | None | None | None | None |
Target 2035 FundI Class | None | None | None | None | None | None |
Target 2040 Fund | None | None | None | None | None | None |
Target 2040 FundAdvisor Class | None | None | None | None | None | None |
Target 2040 FundI Class | None | None | None | None | None | None |
Target 2045 Fund | None | None | None | None | None | None |
Target 2045 FundAdvisor Class | None | None | None | None | None | None |
Target 2045 FundI Class | None | None | None | None | None | None |
Target 2050 Fund | None | None | None | None | None | None |
Target 2050 FundAdvisor Class | None | None | None | None | None | None |
Target 2050 FundI Class | None | None | None | None | None | None |
Target 2055 Fund | None | None | None | None | None | None |
Target 2055 FundAdvisor Class | None | None | None | None | None | None |
Target 2055 FundI Class | None | None | None | None | None | None |
Target 2060 Fund | None | None | None | None | None | None |
Target 2060 FundAdvisor Class | None | None | None | None | None | None |
Target 2060 FundI Class | None | None | None | None | None | None |
Tax-Efficient Equity Fund | None | None | None | None | None | None |
Tax-Efficient Equity FundI Class | None | None | None | None | None | None |
Tax-Exempt Money Fund | None | None | None | None | None | None |
Tax-Exempt Money FundI Class | None | None | None | None | None | None |
97
Aggregate | Independent Directors | |||||
Duncan | Gerrard | McBride | Rouse | Schreiber | Tercek | |
Over $100,000 | Over $100,000 | Over $100,000 | Over $100,000 | Over $100,000 | Over $100,000 | |
Tax-Free High Yield Fund | None | None | Over $100,000 | None | Over $100,000 | None |
Tax-Free High Yield FundAdvisor Class | None | None | None | None | None | None |
Tax-Free High Yield FundI Class | None | None | None | None | None | None |
Tax-Free Income Fund | None | None | None | None | None | None |
Tax-Free Income FundAdvisor Class | None | None | None | None | None | None |
Tax-Free Income FundI Class | None | None | None | None | None | None |
Tax-Free Short-Intermediate Fund | None | None | None | None | None | None |
Tax-Free Short-Intermediate FundAdvisor Class | None | None | None | None | None | None |
Tax-Free Short-Intermediate FundI Class | None | None | None | None | None | None |
Total Equity Market Index Fund | None | None | None | None | None | None |
Total Return Fund | None | None | None | None | None | None |
Total Return FundAdvisor Class | None | None | None | None | None | None |
Total Return FundI Class | None | None | None | None | None | None |
Treasury Reserve Fund | None | None | None | None | None | None |
U.S. Bond Enhanced Index Fund | None | None | None | None | None | None |
U.S. High Yield Fund | None | None | None | None | None | None |
U.S. High Yield FundAdvisor Class | None | None | None | None | None | None |
U.S. High Yield FundI Class | None | None | None | None | None | None |
U.S. Large-Cap Core Fund | None | $10,001$50,000 | None | None | None | None |
U.S. Large-Cap Core FundAdvisor Class | None | None | None | None | None | None |
U.S. Large-Cap Core FundI Class | None | None | None | None | None | None |
U.S. Treasury Intermediate Fund | None | None | None | None | Over $100,000 | None |
U.S. Treasury Intermediate FundI Class | None | None | None | None | None | None |
U.S. Treasury Long-Term Fund | None | None | None | None | Over $100,000 | None |
U.S. Treasury Long-Term FundI Class | None | None | None | None | None | None |
U.S. Treasury Money Fund | None | None | None | None | $1$10,000 | None |
U.S. Treasury Money FundI Class | None | None | None | None | None | None |
Ultra Short-Term Bond Fund | None | None | None | None | None | None |
Ultra Short-Term Bond FundI Class | None | None | None | None | None | None |
Value Fund | None | None | None | None | None | None |
Value FundAdvisor Class | None | None | None | None | None | None |
Value FundI Class | None | None | None | None | Over $100,000 | None |
Virginia Tax-Free Bond Fund | None | None | None | None | None | None |
Virginia Tax-Free Bond FundI Class | None | None | None | None | None | None |
98
Aggregate Holdings, | Inside Directors | ||
Bernard | Sharps | Wiese | |
Over $100,000 | Over $100,000 | Over $100,000 | |
Africa & Middle East Fund | None | None | None |
Africa & Middle East FundI Class | None | None | None |
Asia Opportunities Fund | None | None | None |
Asia Opportunities FundAdvisor Class | None | None | None |
Asia Opportunities FundI Class | None | None | None |
Balanced Fund | None | None | None |
Balanced FundI Class | None | None | None |
Blue Chip Growth Fund | None | None | None |
Blue Chip Growth FundAdvisor Class | None | None | None |
Blue Chip Growth FundI Class | None | None | None |
Blue Chip Growth FundR Class | None | None | None |
California Tax-Free Bond Fund | None | None | None |
California Tax-Free Bond FundI Class | None | None | None |
California Tax-Free Money Fund | None | None | None |
California Tax-Free Money FundI Class | None | None | None |
Capital Appreciation Fund | Over $100,000 | Over $100,000 | None |
Capital Appreciation FundAdvisor Class | None | None | None |
Capital Appreciation FundI Class | None | None | None |
Capital Opportunity Fund | None | None | None |
Capital Opportunity FundAdvisor Class | None | None | None |
Capital Opportunity FundI Class | None | None | None |
Capital Opportunity FundR Class | None | None | None |
Cash Reserves Fund | Over $100,000 | Over $100,000 | Over $100,000 |
Communications & Technology Fund | None | None | None |
Communications & Technology FundI Class | None | None | None |
Corporate Income Fund | None | None | None |
Corporate Income FundI Class | None | None | None |
Credit Opportunities Fund | None | Over $100,000 | None |
Credit Opportunities FundAdvisor Class | None | None | None |
Credit Opportunities FundI Class | None | None | None |
Diversified Mid-Cap Growth Fund | None | None | None |
Diversified Mid-Cap Growth FundI Class | None | None | None |
Dividend Growth Fund | None | Over $100,000 | None |
Dividend Growth FundAdvisor Class | None | None | None |
Dividend Growth FundI Class | None | None | None |
Dynamic Global Bond Fund | None | None | Over $100,000 |
Dynamic Global Bond FundAdvisor Class | None | None | None |
Dynamic Global Bond FundI Class | None | None | None |
Emerging Europe Fund | None | None | None |
Emerging Europe FundI Class | None | None | None |
Emerging Markets Bond Fund | None | None | $50,001$100,000 |
Emerging Markets Bond FundAdvisor Class | None | None | None |
Emerging Markets Bond FundI Class | None | None | None |
Emerging Markets Corporate Bond Fund | None | None | None |
Emerging Markets Corporate Bond FundAdvisor Class | None | None | None |
Emerging Markets Corporate Bond FundI Class | None | None | None |
Emerging Markets Corporate Multi-Sector Account Portfolio | None | None | None |
Emerging Markets Local Currency Bond Fund | None | None | None |
Emerging Markets Local Currency Bond FundAdvisor Class | None | None | None |
99
Aggregate Holdings, | Inside Directors | ||
Bernard | Sharps | Wiese | |
Over $100,000 | Over $100,000 | Over $100,000 | |
Emerging Markets Local Currency Bond FundI Class | None | None | None |
Emerging Markets Local Multi-Sector Account Portfolio | None | None | None |
Emerging Markets Stock Fund | $50,001$100,000 | None | None |
Emerging Markets Stock FundI Class | None | None | None |
Emerging Markets Value Stock Fund | None | None | None |
Emerging Markets Value Stock FundAdvisor Class | None | None | None |
Emerging Markets Value Stock FundI Class | None | None | None |
Equity Income Fund | Over $100,000 | None | None |
Equity Income FundAdvisor Class | None | None | None |
Equity Income FundI Class | None | None | None |
Equity Income FundR Class | None | None | None |
Equity Index 500 Fund | None | None | None |
Equity Index 500 FundI Class | None | None | None |
European Stock Fund | None | None | None |
European Stock FundI Class | None | None | None |
Extended Equity Market Index Fund | None | None | None |
Financial Services Fund | None | None | None |
Financial Services FundI Class | None | $50,001$100,000 | None |
Floating Rate Fund | None | None | None |
Floating Rate FundAdvisor Class | None | None | None |
Floating Rate FundI Class | None | Over $100,000 | None |
Floating Rate Multi-Sector Account Portfolio | None | None | None |
Georgia Tax-Free Bond Fund | None | None | None |
Georgia Tax-Free Bond FundI Class | None | None | None |
Global Allocation Fund | None | Over $100,000 | None |
Global Allocation FundAdvisor Class | None | None | None |
Global Allocation FundI Class | None | None | None |
Global Consumer Fund | None | None | None |
Global Growth Stock Fund | None | None | None |
Global Growth Stock FundAdvisor Class | None | None | None |
Global Growth Stock FundI Class | None | None | None |
Global High Income Bond Fund | None | None | Over $100,000 |
Global High Income Bond FundAdvisor Class | None | None | None |
Global High Income Bond FundI Class | None | None | None |
Global Industrials Fund | None | None | None |
Global Industrials FundI Class | None | None | None |
Global Multi-Sector Bond Fund | None | None | None |
Global Multi-Sector Bond FundAdvisor Class | None | None | None |
Global Multi-Sector Bond FundI Class | None | None | None |
Global Real Estate Fund | None | None | None |
Global Real Estate FundAdvisor Class | None | None | None |
Global Real Estate FundI Class | None | $10,001$50,000 | None |
Global Stock Fund | Over $100,000 | None | Over $100,000 |
Global Stock FundAdvisor Class | None | None | None |
Global Stock FundI Class | None | None | None |
Global Technology Fund | None | None | $10,001$50,000 |
Global Technology FundI Class | None | None | None |
GNMA Fund | None | None | None |
GNMA FundI Class | None | None | None |
100
Aggregate Holdings, | Inside Directors | ||
Bernard | Sharps | Wiese | |
Over $100,000 | Over $100,000 | Over $100,000 | |
Government Money Fund | Over $100,000 | $1$10,000 | Over $100,000 |
Government Money FundI Class | None | None | None |
Government Reserve Fund | None | None | None |
Growth & Income Fund | None | None | None |
Growth & Income FundI Class | None | None | None |
Growth Stock Fund | Over $100,000 | None | None |
Growth Stock FundAdvisor Class | None | None | None |
Growth Stock FundI Class | None | None | None |
Growth Stock FundR Class | None | None | None |
Health Sciences Fund | None | None | Over $100,000 |
Health Sciences FundI Class | None | Over $100,000 | None |
High Yield Fund | $10,001$50,000 | Over $100,000 | None |
High Yield FundAdvisor Class | None | None | None |
High Yield FundI Class | None | None | None |
High Yield Multi-Sector Account Portfolio | None | None | None |
Inflation Protected Bond Fund | None | None | None |
Inflation Protected Bond FundI Class | None | None | None |
Institutional Africa & Middle East Fund | None | None | None |
Institutional Cash Reserves Fund | None | None | None |
Institutional Core Plus Fund | None | None | None |
Institutional Credit Opportunities Fund | None | None | None |
Institutional Emerging Markets Bond Fund | None | None | None |
Institutional Emerging Markets Equity Fund | None | None | None |
Institutional Floating Rate Fund | None | None | Over $100,000 |
Institutional Floating Rate FundF Class | None | None | None |
Institutional Frontiers Markets Equity Fund | None | None | None |
Institutional Global Focused Growth Equity Fund | Over $100,000 | Over $100,000 | None |
Institutional Global Growth Equity Fund | None | None | None |
Institutional Global Multi-Sector Bond Fund | None | None | None |
Institutional Global Value Equity Fund | None | None | None |
Institutional High Yield Fund | None | None | None |
Institutional International Bond Fund | None | None | None |
Institutional International Concentrated Equity Fund | None | None | None |
Institutional International Core Equity Fund | None | None | None |
Institutional International Growth Equity Fund | None | None | None |
Institutional Large-Cap Core Growth Fund | None | None | None |
Institutional Large-Cap Growth Fund | None | Over $100,000 | None |
Institutional Large-Cap Value Fund | None | None | None |
Institutional Long Duration Credit Fund | None | None | None |
Institutional Mid-Cap Equity Growth Fund | Over $100,000 | Over $100,000 | None |
Institutional Small-Cap Stock Fund | $10,001$50,000 | Over $100,000 | None |
Institutional U.S. Structured Research Fund | None | None | None |
Intermediate Tax-Free High Yield Fund | None | None | None |
Intermediate Tax-Free High Yield FundAdvisor Class | None | None | None |
Intermediate Tax-Free High Yield FundI Class | Over $100,000 | None | None |
International Bond Fund | None | None | None |
International Bond FundAdvisor Class | None | None | None |
International Bond FundI Class | None | None | None |
International Concentrated Equity Fund | None | None | None |
101
Aggregate Holdings, | Inside Directors | ||
Bernard | Sharps | Wiese | |
Over $100,000 | Over $100,000 | Over $100,000 | |
International Bond Fund (USD Hedged) | None | None | None |
International Bond Fund (USD Hedged)Advisor Class | None | None | None |
International Bond Fund (USD Hedged)I Class | None | None | None |
International Concentrated Equity FundAdvisor Class | None | None | None |
International Concentrated Equity FundI Class | None | None | None |
International Discovery Fund | $10,001$50,000 | None | None |
International Discovery FundI Class | None | None | None |
International Equity Index Fund | None | None | None |
International Stock Fund | $10,001$50,000 | None | $1$10,000 |
International Stock FundAdvisor Class | None | None | None |
International Stock FundI Class | None | None | None |
International Stock FundR Class | None | None | None |
International Value Equity Fund | None | None | None |
International Value Equity FundAdvisor Class | None | None | None |
International Value Equity FundI Class | None | None | None |
International Value Equity FundR Class | None | None | None |
Investment Grade Multi-Sector Account Portfolio | None | None | None |
Japan Fund | None | None | None |
Japan FundI Class | None | None | None |
Latin America Fund | None | None | None |
Latin America FundI Class | None | $10,001$50,000 | None |
Limited Duration Inflation Focused Bond Fund | None | None | None |
Limited Duration Inflation Focused Bond FundI Class | None | None | None |
Maryland Short-Term Tax-Free Bond Fund | None | Over $100,000 | None |
Maryland Short-Term Tax-Free Bond FundI Class | None | None | None |
Maryland Tax-Free Bond Fund | None | Over $100,000 | None |
Maryland Tax-Free Bond FundI Class | None | None | None |
Maryland Tax-Free Money Fund | None | $1$10,000 | None |
Maryland Tax-Free Money FundI Class | None | None | None |
Mid-Cap Growth Fund | None | None | None |
Mid-Cap Growth FundAdvisor Class | None | None | None |
Mid-Cap Growth FundI Class | None | None | None |
Mid-Cap Growth FundR Class | None | None | None |
Mid-Cap Index Fund | None | None | None |
Mid-Cap Index FundI Class | None | None | None |
Mid-Cap Value Fund | None | None | None |
Mid-Cap Value FundAdvisor Class | None | None | None |
Mid-Cap Value FundI Class | None | None | None |
Mid-Cap Value FundR Class | None | None | None |
Mortgage-Backed Securities Multi-Sector Account Portfolio | None | None | None |
New America Growth Fund | None | None | None |
New America Growth FundAdvisor Class | None | None | None |
New America Growth FundI Class | None | Over $100,000 | None |
New Asia Fund | $10,001$50,000 | None | None |
New Asia FundI Class | Over $100,000 | Over $100,000 | None |
102
Aggregate Holdings, | Inside Directors | ||
Bernard | Sharps | Wiese | |
Over $100,000 | Over $100,000 | Over $100,000 | |
New Era Fund | None | None | $10,001$50,000 |
New Era FundI Class | None | None | None |
New Horizons Fund | $50,001$100,000 | None | None |
New Horizons FundI Class | None | None | None |
New Income Fund | None | None | None |
New Income FundAdvisor Class | None | None | None |
New Income FundI Class | None | None | None |
New Income FundR Class | None | None | None |
New Jersey Tax-Free Bond Fund | None | None | None |
New Jersey Tax-Free Bond FundI Class | None | None | None |
New York Tax-Free Bond Fund | None | None | None |
New York Tax-Free Bond FundI Class | None | None | None |
New York Tax-Free Money Fund | None | None | None |
New York Tax-Free Money FundI Class | None | None | None |
Overseas Stock Fund | None | None | None |
Overseas Stock FundAdvisor Class | None | None | None |
Overseas Stock FundI Class | None | None | None |
Personal Strategy Balanced Fund | None | None | None |
Personal Strategy Balanced FundI Class | None | None | None |
Personal Strategy Growth Fund | None | None | None |
Personal Strategy Growth FundI Class | None | None | None |
Personal Strategy Income Fund | None | None | None |
Personal Strategy Income FundI Class | None | None | None |
QM Global Equity Fund | None | None | None |
QM Global Equity FundAdvisor Class | None | None | None |
QM Global Equity FundI Class | None | None | None |
QM U.S. Small & Mid-Cap Core Equity Fund | None | None | None |
QM U.S. Small & Mid-Cap Core Equity FundAdvisor Class | None | None | None |
QM U.S. Small & Mid-Cap Core Equity FundI Class | None | None | None |
QM U.S. Small-Cap Growth Equity Fund | None | None | None |
QM U.S. Small-Cap Growth Equity FundAdvisor Class | None | None | None |
QM U.S. Small-Cap Growth Equity FundI Class | None | None | None |
QM U.S. Value Equity Fund | None | None | None |
QM U.S. Value Equity FundAdvisor Class | None | None | None |
QM U.S. Value Equity FundI Class | None | None | None |
Real Assets Fund | None | None | None |
Real Assets FundI Class | None | None | None |
Real Estate Fund | None | None | None |
Real Estate FundAdvisor Class | None | None | None |
Real Estate FundI Class | Over $100,000 | None | None |
Retirement 2005 Fund | None | None | None |
Retirement 2005 FundAdvisor Class | None | None | None |
Retirement 2005 FundR Class | None | None | None |
Retirement 2010 Fund | None | None | None |
Retirement 2010 FundAdvisor Class | None | None | None |
Retirement 2010 FundR Class | None | None | None |
Retirement 2015 Fund | None | None | None |
Retirement 2015 FundAdvisor Class | None | None | None |
Retirement 2015 FundR Class | None | None | None |
103
Aggregate Holdings, | Inside Directors | ||
Bernard | Sharps | Wiese | |
Over $100,000 | Over $100,000 | Over $100,000 | |
Retirement 2020 Fund | None | None | None |
Retirement 2020 FundAdvisor Class | None | None | None |
Retirement 2020 FundR Class | None | None | None |
Retirement 2025 Fund | None | None | None |
Retirement 2025 FundAdvisor Class | None | None | None |
Retirement 2025 FundR Class | None | None | None |
Retirement 2030 Fund | None | None | None |
Retirement 2030 FundAdvisor Class | None | None | None |
Retirement 2030 FundR Class | None | None | None |
Retirement 2035 Fund | None | None | None |
Retirement 2035 FundAdvisor Class | None | None | None |
Retirement 2035 FundR Class | None | None | None |
Retirement 2040 Fund | None | None | None |
Retirement 2040 FundAdvisor Class | None | None | None |
Retirement 2040 FundR Class | None | None | None |
Retirement 2045 Fund | None | None | None |
Retirement 2045 FundAdvisor Class | None | None | None |
Retirement 2045 FundR Class | None | None | None |
Retirement 2050 Fund | None | None | None |
Retirement 2050 FundAdvisor Class | None | None | None |
Retirement 2050 FundR Class | None | None | None |
Retirement 2055 Fund | Over $100,000 | None | None |
Retirement 2055 FundAdvisor Class | None | None | None |
Retirement 2055 FundR Class | None | None | None |
Retirement 2060 Fund | None | None | None |
Retirement 2060 FundAdvisor Class | None | None | None |
Retirement 2060 FundR Class | None | None | None |
Retirement Balanced Fund | None | None | None |
Retirement Balanced FundAdvisor Class | None | None | None |
Retirement Balanced FundR Class | None | None | None |
Retirement I 2005 FundI Class | None | None | None |
Retirement I 2010 FundI Class | None | None | None |
Retirement I 2015 FundI Class | None | None | None |
Retirement I 2020 FundI Class | None | None | None |
Retirement I 2025 FundI Class | None | None | None |
Retirement I 2030 FundI Class | None | None | None |
Retirement I 2035 FundI Class | None | None | None |
Retirement I 2040 FundI Class | None | None | None |
Retirement I 2045 FundI Class | None | None | None |
Retirement I 2050 FundI Class | None | None | None |
Retirement I 2055 FundI Class | None | None | None |
Retirement I 2060 FundI Class | None | None | None |
Retirement Balanced I FundI Class | None | None | None |
Retirement Income 2020 Fund | None | None | None |
Science & Technology Fund | Over $100,000 | None | $10,001$50,000 |
Science & Technology FundAdvisor Class | None | None | Over $100,000 |
Science & Technology FundI Class | Over $100,000 | None | None |
Short-Term Fund | None | None | None |
Short-Term Bond Fund | None | None | $50,001$100,000 |
Short-Term Bond FundAdvisor Class | None | None | None |
Short-Term Bond FundI Class | Over $100,000 | None | Over $100,000 |
Short-Term Government Fund | None | None | None |
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Aggregate Holdings, | Inside Directors | ||
Bernard | Sharps | Wiese | |
Over $100,000 | Over $100,000 | Over $100,000 | |
Small-Cap Index Fund | None | None | None |
Small-Cap Index FundI Class | None | None | None |
Small-Cap Stock Fund | None | None | None |
Small-Cap Stock FundAdvisor Class | None | None | None |
Small-Cap Stock FundI Class | Over $100,000 | None | None |
Small-Cap Value Fund | $50,001$100,000 | None | None |
Small-Cap Value FundAdvisor Class | None | None | None |
Small-Cap Value FundI Class | None | None | None |
Spectrum Growth Fund | Over $100,000 | Over $100,000 | $10,001$50,000 |
Spectrum Income Fund | $10,001$50,000 | None | None |
Spectrum International Fund | Over $100,000 | None | None |
Summit Municipal Income Fund | None | None | None |
Summit Municipal Income FundAdvisor Class | None | None | None |
Summit Municipal Intermediate Fund | Over $100,000 | None | None |
Summit Municipal Intermediate FundAdvisor Class | None | None | None |
Summit Municipal Money Market Fund | None | None | None |
Target 2005 Fund | None | None | None |
Target 2005 FundAdvisor Class | None | None | None |
Target 2005 FundI Class | None | None | None |
Target 2010 Fund | None | None | None |
Target 2010 FundAdvisor Class | None | None | None |
Target 2010 FundI Class | None | None | None |
Target 2015 Fund | None | None | None |
Target 2015 FundAdvisor Class | None | None | None |
Target 2015 FundI Class | None | None | None |
Target 2020 Fund | None | None | None |
Target 2020 FundAdvisor Class | None | None | None |
Target 2020 FundI Class | None | None | None |
Target 2025 Fund | None | None | None |
Target 2025 FundAdvisor Class | None | None | None |
Target 2025 FundI Class | None | None | None |
Target 2030 Fund | None | None | None |
Target 2030 FundAdvisor Class | None | None | None |
Target 2030 FundI Class | None | None | None |
Target 2035 Fund | None | None | None |
Target 2035 FundAdvisor Class | None | None | None |
Target 2035 FundI Class | None | None | None |
Target 2040 Fund | None | None | None |
Target 2040 FundAdvisor Class | None | None | None |
Target 2040 FundI Class | None | None | None |
Target 2045 Fund | None | None | None |
Target 2045 FundAdvisor Class | None | None | None |
Target 2045 FundI Class | None | None | None |
Target 2050 Fund | None | None | None |
Target 2050 FundAdvisor Class | None | None | None |
Target 2050 FundI Class | None | None | None |
Target 2055 Fund | None | None | None |
Target 2055 FundAdvisor Class | None | None | None |
Target 2055 FundI Class | None | None | None |
Target 2060 Fund | None | None | None |
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Aggregate Holdings, | Inside Directors | ||
Bernard | Sharps | Wiese | |
Over $100,000 | Over $100,000 | Over $100,000 | |
Target 2060 FundAdvisor Class | None | None | None |
Target 2060 FundI Class | None | None | None |
Tax-Efficient Equity Fund | None | None | None |
Tax-Efficient Equity FundI Class | None | None | None |
Tax-Exempt Money Fund | None | None | None |
Tax-Exempt Money FundI Class | None | None | None |
Tax-Free High Yield Fund | None | Over $100,000 | None |
Tax-Free High Yield FundAdvisor Class | None | None | None |
Tax-Free High Yield FundI Class | None | None | None |
Tax-Free Income Fund | None | None | None |
Tax-Free Income FundAdvisor Class | None | None | None |
Tax-Free Income FundI Class | None | None | None |
Tax-Free Short-Intermediate Fund | None | None | None |
Tax-Free Short-Intermediate FundAdvisor Class | None | None | None |
Tax-Free Short-Intermediate FundI Class | Over $100,000 | None | None |
Total Equity Market Index Fund | Over $100,000 | None | $10,001$50,000 |
Total Return Fund | None | None | None |
Total Return FundAdvisor Class | None | None | None |
Total Return FundI Class | None | None | None |
Treasury Reserve Fund | None | None | None |
U.S. Bond Enhanced Index Fund | None | None | None |
U.S. High Yield Fund | None | None | None |
U.S. High Yield FundAdvisor Class | None | None | None |
U.S. High Yield FundI Class | None | None | None |
U.S. Large-Cap Core Fund | None | None | None |
U.S. Large-Cap Core FundAdvisor Class | None | None | None |
U.S. Large-Cap Core FundI Class | None | None | None |
U.S. Treasury Intermediate Fund | None | None | None |
U.S. Treasury Intermediate FundI Class | None | None | None |
U.S. Treasury Long-Term Fund | None | None | None |
U.S. Treasury Long-Term FundI Class | None | None | None |
U.S. Treasury Money Fund | Over $100,000 | Over $100,000 | Over $100,000 |
U.S. Treasury Money FundI Class | None | None | None |
Ultra Short-Term Bond Fund | None | Over $100,000 | None |
Ultra Short-Term Bond FundI Class | None | None | None |
Value Fund | None | None | None |
Value FundAdvisor Class | None | None | None |
Value FundI Class | None | None | None |
Virginia Tax-Free Bond Fund | None | None | None |
Virginia Tax-Free Bond FundI Class | None | None | None |
Portfolio Managers Holdings in the Price Funds
The following tables set forth ranges of holdings for each Price Funds portfolio manager. The portfolio manager serves as chairman of the funds Investment Advisory Committee and has day-to-day responsibility for managing the fund and executing the funds investment program. The column titled Range of Fund Holdings as of Funds Fiscal Year shows the dollar range of shares beneficially owned (including shares held through the T. Rowe Price 401(k) plan and other T. Rowe Price retirement plans or deferred compensation plans) in the fund for which he or she serves as portfolio manager, as of the end of that funds most recent fiscal year. The column titled Range of Holdings in Investment Strategy as of Funds Fiscal Year shows the dollar range of shares beneficially owned (including shares or units held through the T. Rowe Price 401(k)
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plan and other T. Rowe Price retirement plans or deferred compensation plans) in the fund, as well as all investment portfolios that are managed by the same portfolio manager and have investment objectives, policies, and strategies that are substantially similar to those of the fund. Substantially similar portfolios may include other Price Funds, such as institutional funds, T. Rowe Price common trust funds, and non-U.S. pooled investment vehicles, such as Societe dInvestissement a Capital Variable Funds (SICAVs). The range of holdings for all investment portfolios within the investment strategy is provided as of the end of the funds most recent fiscal year, regardless of the fiscal years of the other investment portfolios.
Fund | Portfolio Manager | Range of Fund | Range of Holdings in Investment Strategy as of Funds Fiscal Yeara |
Africa & Middle East Fund | Oliver D.M. Bell | None | None |
Asia Opportunities Fund | Eric C. Moffett | Over $1,000,000 | Over $1,000,000 |
Balanced Fund | Charles M. Shriver | $100,001-$500,000 | $100,001-$500,000 |
Blue Chip Growth Fund | Larry J. Puglia | Over $1,000,000 | Over $1,000,000 |
Capital Appreciation Fund | David R. Giroux | Over $1,000,000 | Over $1,000,000 |
Capital Appreciation & Income Fund | David R. Giroux Steven D. Krichbaum Paul M. Massaro | (b) (b) (b) | (b) (b) (b) |
Capital Opportunity Fund | Ann M. Holcomb Jason B. Polun Thomas H. Watson | $100,001-$500,000 None None | Over $1,000,000 $500,001-$1,000,000 $500,001-$1,000,000 |
Cash Reserves Fund | Joseph K. Lynagh | $10,001$50,000 | $50,001$100,000 |
Communications & Technology Fund | Paul D. Greene II | $500,001-$1,000,000 | $500,001-$1,000,000 |
Corporate Income Fund | Steve Boothe David A. Tiberii Lauren T. Wagandt | (c) $100,001$500,000 (c) | (c) $100,001$500,000 (c) |
Credit Opportunities Fund | Rodney M. Rayburn | $100,001$500,000 | $100,001$500,000 |
Diversified Mid-Cap Growth Fund | Donald J. Easley Donald J. Peters | $500,001-$1,000,000 Over $1,000,000 | $500,001-$1,000,000 Over $1,000,000 |
Dividend Growth Fund | Thomas J. Huber | Over $1,000,000 | Over $1,000,000 |
Dynamic Global Bond Fund | Arif Husain | None | $100,001-$500,000 |
Emerging Europe Fund | Ulle Adamson | None | None |
Emerging Markets Bond Fund | Michael J. Conelius | $50,001-$100,000 | $500,001-$1,000,000 |
Emerging Markets Corporate Bond Fund | Samy B. Muaddi | $100,001-$500,000 | $100,001-$500,000 |
Emerging Markets Local Currency Bond Fund | Andrew J. Keirle | $10,001-$50,000 | $100,001-$500,000 |
Emerging Markets Stock Fund | Gonzalo Pangaro | Over $1,000,000 | Over $1,000,000 |
Emerging Markets Value Stock Fund | Ernest C. Yeung | $500,001$1,000,000 | $500,001$1,000,000 |
Equity Income Fund | John D. Linehan | Over $1,000,000 | Over $1,000,000 |
Equity Index 500 Fund | Ken D. Uematsu | $1-$10,000 | $50,001-$100,000 |
European Stock Fund | Dean Tenerelli | None | None |
Extended Equity Market Index Fund | Ken D. Uematsu | $50,001-$100,000 | $50,001-$100,000 |
Financial Services Fund | Gabriel Solomon | $50,001-$100,000 | $50,001-$100,000 |
Floating Rate Fund | Paul M. Massaro | $100,001$500,000 | $100,001$500,000 |
Global Allocation Fund | Charles M. Shriver | $500,001$1,000,000 | Over $1,000,000 |
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Fund | Portfolio Manager | Range of Fund | Range of Holdings in Investment Strategy as of Funds Fiscal Yeara |
Global Consumer Fund | Jason Nogueira | Over $1,000,000 | Over $1,000,000 |
Global Growth Stock Fund | R. Scott Berg | Over $1,000,000 | Over $1,000,000 |
Global High Income Bond Fund | Michael Della Vedova Mark J. Vaselkiv | None None | None None |
Global Industrials Fund | Peter J. Bates | $500,001-$1,000,000 | $500,001-$1,000,000 |
Global Multi-Sector Bond Fund | Steven C. Huber Kenneth A. Orchard | $10,001$50,000 (d) | $500,001$1,000,000 (d) |
Global Real Estate Fund | Nina P. Jones | $100,001-$500,000 | $100,001-$500,000 |
Global Stock Fund | David J. Eiswert | Over $1,000,000 | Over $1,000,000 |
Global Technology Fund | Joshua K. Spencer | Over $1,000,000 | Over $1,000,000 |
GNMA Fund | Andrew C. McCormick | $100,001$500,000 | $100,001$500,000 |
Government Money Fund | Joseph K. Lynagh | $10,001$50,000 | $10,001$50,000 |
Growth & Income Fund | Jeffrey Rottinghaus | None | Over $1,000,000 |
Growth Stock Fund | Joseph B. Fath | None | $500,001-$1,000,000 |
Health Sciences Fund | Ziad Bakri | $100,001-$500,000 | $100,001-$500,000 |
High Yield Fund | Mark J. Vaselkiv | None | $500,001$1,000,000 |
Inflation Protected Bond Fund | Stephen L. Bartolini | $100,001$500,000 | $100,001$500,000 |
Institutional Africa & Middle East Fund | Oliver D.M. Bell | None | None |
Institutional Cash Reserves Fund | Joseph K. Lynagh | None | $10,001$50,000 |
Institutional Core Plus Fund | Brian J. Brennan | $100,001$500,000 | $100,001$500,000 |
Institutional Credit Opportunities Fund | Rodney M. Rayburn | $50,001$100,000 | $100,001$500,000 |
Institutional Emerging Markets Bond Fund | Michael J. Conelius | $100,001-$500,000 | $500,001-$1,000,000 |
Institutional Emerging Markets Equity Fund | Gonzalo Pangaro | None | Over $1,000,000 |
Institutional Floating Rate Fund | Paul M. Massaro | $50,001$100,000 | $100,001$500,000 |
Institutional Frontier Markets Equity Fund | Oliver D.M. Bell | None | None |
Institutional Global Focused Growth Equity Fund | David J. Eiswert | Over $1,000,000 | Over $1,000,000 |
Institutional Global Growth Equity Fund | R. Scott Berg | None | Over $1,000,000 |
Institutional Global Multi-Sector Bond Fund | Steven C. Huber Kenneth A. Orchard | $500,001$1,000,000 (d) | $500,001$1,000,000 (d) |
Institutional Global Value Equity Fund | Sebastien Mallet | None | $100,001$500,000 |
Institutional High Yield Fund | Mark J. Vaselkiv | $500,001$1,000,000 | $500,001$1,000,000 |
Institutional International Bond Fund | Arif Husain Kenneth A. Orchard | None None | None $50,001-$100,000 |
Institutional International Concentrated Equity Fund | Federico Santilli | None | $100,001$500,000 |
Institutional International Core Equity Fund | Raymond A. Mills | None | Over $1,000,000 |
Institutional International Growth Equity Fund | Richard N. Clattenburg | None | $500,001$1,000,000 |
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Fund | Portfolio Manager | Range of Fund | Range of Holdings in Investment Strategy as of Funds Fiscal Yeara |
Institutional Large-Cap Core Growth Fund | Larry J. Puglia | None | Over $1,000,000 |
Institutional Large-Cap Growth Fund | Taymour R. Tamaddon | $500,001-$1,000,000 | $500,001-$1,000,000 |
Institutional Large-Cap Value Fund | Mark S. Finn John D. Linehan Heather K. McPherson | $500,001-$1,000,000 $500,001-$1,000,000 Over $1,000,000 | $500,001-$1,000,000 Over $1,000,000 Over $1,000,000 |
Institutional Long Duration Credit Fund | Robert M. Larkin David A. Tiberii | (e) $50,001$100,000 | (e) $50,001$100,000 |
Institutional Mid-Cap Equity Growth Fund | Brian W.H. Berghuis | Over $1,000,000 | Over $1,000,000 |
Institutional Small-Cap Stock Fund | Frank M. Alonso | $500,001-$1,000,000 | $500,001-$1,000,000 |
Institutional U.S. Structured Research Fund | Ann M. Holcomb Jason B. Polun Thomas H. Watson | None None None | Over $1,000,000 $500,001-$1,000,000 $500,001-$1,000,000 |
Intermediate Tax-Free High Yield Fund | James M. Murphy | $50,001$100,000 | $50,001$100,000 |
International Bond Fund | Arif Husain Kenneth A. Orchard | None None | None $10,001$50,000 |
International Bond Fund (USD Hedged) | Arif Husain Kenneth A. Orchard | None | None |
International Concentrated Equity Fund | Federico Santilli | None | $100,001$500,000 |
International Discovery Fund | Justin Thomson | $500,001$1,000,000 | $500,001$1,000,000 |
International Equity Index Fund | Neil Smith | None | None |
International Stock Fund | Richard N. Clattenburg | None | $500,001$1,000,000 |
International Value Equity Fund | Jonathan H.W. Matthews | $10,001$50,000 | $10,001$50,000 |
Japan Fund | Archibald Ciganer | None | None |
Latin America Fund | Verena E. Wachnitz | $100,001$500,000 | $100,001$500,000 |
Limited Duration Inflation Focused Bond Fund | Stephen L. Bartolini | $10,001$50,000 | $10,001$50,000 |
Mid-Cap Growth Fund | Brian W.H. Berghuis | Over $1,000,000 | Over $1,000,000 |
Mid-Cap Value Fund | David J. Wallack | None | Over $1,000,000 |
Multi-Strategy Total Return Fund | Richard de los Reyes Stefan Hubrich | (f) (f) | (f) (f) |
New America Growth Fund | Justin White | $500,001-$1,000,000 | $500,001-$1,000,000 |
New Asia Fund | Anh Lu | Over $1,000,000 | Over $1,000,000 |
New Era Fund | Shawn T. Driscoll | $100,001-$500,000 | $100,001-$500,000 |
New Horizons Fund | Henry M. Ellenbogen | Over $1,000,000 | Over $1,000,000 |
New Income Fund | Stephen L. Bartolini Daniel O. Shackelford | (g) $10,001$50,000 | (g) $100,001$500,000 |
Overseas Stock Fund | Raymond A. Mills | None | Over $1,000,000 |
Personal Strategy Balanced Fund | Charles M. Shriver | $50,001$100,000 | $100,001$500,000 |
Personal Strategy Growth Fund | Charles M. Shriver | $100,001$500,000 | $100,001$500,000 |
Personal Strategy Income Fund | Charles M. Shriver | $50,001$100,000 | $100,001$500,000 |
QM Global Equity Fund | Sudhir Nanda | $100,001-$500,000 | $100,001-$500,000 |
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Fund | Portfolio Manager | Range of Fund | Range of Holdings in Investment Strategy as of Funds Fiscal Yeara |
QM U.S. Small & Mid-Cap Core Equity Fund | Vinit Agrawal Prashant Jeyaganesh Sudhir Nanda | $10,001-$50,000 None $10,001-$50,000 | $10,001-$50,000 None $10,001-$50,000 |
QM U.S. Small-Cap Growth Equity Fund | Sudhir Nanda | $100,001-$500,000 | $100,001-$500,000 |
QM U.S. Value Equity Fund | Farris G. Shuggi | $10,001-$50,000 | $10,001-$50,000 |
Real Assets Fund | Wyatt A. Lee | $1-$10,000 | $10,001-$50,000 |
Real Estate Fund | David M. Lee | $100,001-$500,000 | $100,001-$500,000 |
Science & Technology Fund | Kennard W. Allen | Over $1,000,000 | Over $1,000,000 |
Short-Term Bond Fund | Michael F. Reinartz | None | None |
Small-Cap Stock Fund | Frank M. Alonso | None | $500,001-$1,000,000 |
Small-Cap Value Fund | J. David Wagner | $100,001-$500,000 | Over $1,000,000 |
Spectrum Growth Fund | Charles M. Shriver | $100,001-$500,000 | $100,001-$500,000 |
Spectrum Income Fund | Charles M. Shriver | $100,001-$500,000 | $100,001-$500,000 |
Spectrum International Fund | Charles M. Shriver | $100,001-$500,000 | $100,001-$500,000 |
Summit Municipal Income Fund | Konstantine B. Mallas | $100,001$500,000 | $500,001$1,000,000 |
Summit Municipal Intermediate Fund | Charles B. Hill | $500,001$1,000,000 | $500,001$1,000,000 |
Summit Municipal Money Market Fund | Joseph K. Lynagh | None | $1$10,000 |
Tax-Efficient Equity Fund | Donald J. Peters | Over $1,000,000 | Over $1,000,000 |
Tax-Exempt Money Fund | Joseph K. Lynagh | $1$10,000 | $1$10,000 |
Tax-Free High Yield Fund | James M. Murphy | $100,001$500,000 | $100,001$500,000 |
Tax-Free Income Fund | Konstantine B. Mallas | $100,001$500,000 | $100,001$500,000 |
Tax-Free Short-Intermediate Fund | Charles B. Hill | $1$10,000 | $10,001$50,000 |
Total Equity Market Index Fund | Ken D. Uematsu | $1-$10,000 | $1-$10,000 |
Total Return Fund | Christopher P. Brown, Jr. Andrew C. McCormick | $100,001$500,000 Over $1,000,000 | $100,001$500,000 Over $1,000,000 |
U.S. Bond Enhanced Index Fund | Robert M. Larkins | None | $10,001$50,000 |
U.S. High Yield Fund | Kevin Loome | None | None |
U.S. Large-Cap Core Fund | Jeffrey Rottinghaus | Over $1,000,000 | Over $1,000,000 |
U.S. Treasury Intermediate Fund | Brian J. Brennan | $10,001$50,000 | $10,001$50,000 |
U.S. Treasury Long-Term Fund | Brian J. Brennan | $10,001$50,000 | $10,001$50,000 |
U.S. Treasury Money Fund | Joseph K. Lynagh | $1$10,000 | $10,001$50,000 |
Ultra Short-Term Bond Fund | Joseph K. Lynagh | $100,001$500,000 | $100,001$500,000 |
Value Fund | Mark S. Finn | Over $1,000,000 | Over $1,000,000 |
(a) See table beginning on page 11 for the fiscal year of the funds. The range of fund holdings as of the funds fiscal year is updated concurrently with each funds prospectus date as shown in the table beginning on page 11.
(b) The fund has not yet incepted; therefore, the range of holdings is not yet available.
(c) On January 31, 2018, Steve Boothe and Lauren T. Wagandt became co-portfolio managers of the fund. The range of fund holdings is not yet available.
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(d) On January 31, 2018, Kenneth A. Orchard became co-portfolio manager of the fund. The range of fund holdings is not yet available.
(e) On January 31, 2018, Robert M. Larkin became co-portfolio manager of the fund. The range of fund holdings is not yet available.
(f) The fund incepted on February 23, 2018; therefore, the range of holdings is not yet available.
(g) On January 31, 2018, Stephen L. Bartolini became co-portfolio manager of the fund. The range of fund holdings is not yet available.
The following funds are generally designed to be sold to persons residing in the state referenced in the funds name. Since the portfolio managers reside in Maryland, they do not typically invest in funds designed to provide tax benefits for residents of other states.
Fund | Portfolio Manager | Range of Fund | Range of Holdings in Investment Strategy as of Funds Fiscal Yeara |
California Tax-Free Bond Fund | Konstantine B. Mallas | None | $50,001$100,000 |
California Tax-Free Money Fund | Joseph K. Lynagh | None | $1$10,000 |
Georgia Tax-Free Bond Fund | Hugh D. McGuirk | None | $500,001$1,00,000 |
Maryland Short-Term Tax-Free Bond Fund | Charles B. Hill | $1$10,000 | $10,001$50,000 |
Maryland Tax-Free Bond Fund | Hugh D. McGuirk | $500,001$1,000,000 | $500,001$1,000,000 |
Maryland Tax-Free Money Fund | Joseph K. Lynagh | $1$10,000 | $1$10,000 |
New Jersey Tax-Free Bond Fund | Konstantine B. Mallas | None | $50,001$100,000 |
New York Tax-Free Bond Fund | Konstantine B. Mallas | None | $50,001$100,000 |
New York Tax-Free Money Fund | Joseph K. Lynagh | None | $1$10,000 |
Virginia Tax-Free Bond Fund | Hugh D. McGuirk | None | $500,001$1,000,000 |
(a) See table beginning on page 11 for the fiscal year of the funds. The range of fund holdings as of the funds fiscal year is updated concurrently with each funds prospectus date as shown in the table beginning on page 11.
The following Target Date Funds are designed to provide a diversified portfolio that becomes more conservative over time based on an expected retirement year.
Fund | Portfolio Manager | Range of Fund | Range
of Holdings in Investment Strategy as |
Retirement 2005 Fund | Jerome A. Clark Wyatt A. Lee | None None | Over $1,000,000 Over $1,000,000 |
Retirement 2010 Fund | Jerome A. Clark Wyatt A. Lee | None None | Over $1,000,000 Over $1,000,000 |
Retirement 2015 Fund | Jerome A. Clark Wyatt A. Lee | None None | Over $1,000,000 Over $1,000,000 |
Retirement 2020 Fund | Jerome A. Clark Wyatt A. Lee | None None | Over $1,000,000 Over $1,000,000 |
Retirement 2025 Fund | Jerome A. Clark Wyatt A. Lee | None None | Over $1,000,000 Over $1,000,000 |
Retirement 2030 Fund | Jerome A. Clark Wyatt A. Lee | None None | Over $1,000,000 Over $1,000,000 |
Retirement 2035 Fund | Jerome A. Clark Wyatt A. Lee | None $10,001$50,000 | Over $1,000,000 Over $1,000,000 |
Retirement 2040 Fund | Jerome A. Clark Wyatt A. Lee | None $100,001$500,000 | Over $1,000,000 Over $1,000,000 |
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Fund | Portfolio Manager | Range of Fund | Range of Holdings in Investment Strategy as |
Retirement 2045 Fund | Jerome A. Clark Wyatt A. Lee | None None | Over $1,000,000 Over $1,000,000 |
Retirement 2050 Fund | Jerome A. Clark Wyatt A. Lee | None None | Over $1,000,000 Over $1,000,000 |
Retirement 2055 Fund | Jerome A. Clark Wyatt A. Lee | None None | Over $1,000,000 Over $1,000,000 |
Retirement 2060 Fund | Jerome A. Clark Wyatt A. Lee | None None | Over $1,000,000 Over $1,000,000 |
Retirement Balanced Fund | Jerome A. Clark Wyatt A. Lee | None None | Over $1,000,000 Over $1,000,000 |
Retirement I 2005 FundI Class | Jerome A. Clark Wyatt A. Lee | None None | Over $1,000,000 Over $1,000,000 |
Retirement I 2010 FundI Class | Jerome A. Clark Wyatt A. Lee | None None | Over $1,000,000 Over $1,000,000 |
Retirement I 2015 FundI Class | Jerome A. Clark Wyatt A. Lee | None None | Over $1,000,000 Over $1,000,000 |
Retirement I 2020 FundI Class | Jerome A. Clark Wyatt A. Lee | None None | Over $1,000,000 Over $1,000,000 |
Retirement I 2025 FundI Class | Jerome A. Clark Wyatt A. Lee | None None | Over $1,000,000 Over $1,000,000 |
Retirement I 2030 FundI Class | Jerome A. Clark Wyatt A. Lee | None None | Over $1,000,000 Over $1,000,000 |
Retirement I 2035 FundI Class | Jerome A. Clark Wyatt A. Lee | None None | Over $1,000,000 Over $1,000,000 |
Retirement I 2040 FundI Class | Jerome A. Clark Wyatt A. Lee | None None | Over $1,000,000 Over $1,000,000 |
Retirement I 2045 FundI Class | Jerome A. Clark Wyatt A. Lee | None None | Over $1,000,000 Over $1,000,000 |
Retirement I 2050 FundI Class | Jerome A. Clark Wyatt A. Lee | None None | Over $1,000,000 Over $1,000,000 |
Retirement I 2055 FundI Class | Jerome A. Clark Wyatt A. Lee | None None | Over $1,000,000 Over $1,000,000 |
Retirement I 2060 FundI Class | Jerome A. Clark Wyatt A. Lee | None None | Over $1,000,000 Over $1,000,000 |
Retirement Balanced I FundI Class | Jerome A. Clark Wyatt A. Lee | None None | Over $1,000,000 Over $1,000,000 |
Retirement Income 2020 Fund | Jerome A. Clark Wyatt A. Lee | None None | Over $1,000,000 Over $1,000,000 |
Target 2005 Fund | Jerome A. Clark Wyatt A. Lee | None None | Over $1,000,000 None |
Target 2010 Fund | Jerome A. Clark Wyatt A. Lee | None None | None None |
Target 2015 Fund | Jerome A. Clark Wyatt A. Lee | None None | None None |
Target 2020 Fund | Jerome A. Clark Wyatt A. Lee | None None | None None |
Target 2025 Fund | Jerome A. Clark Wyatt A. Lee | None None | None None |
Target 2030 Fund | Jerome A. Clark Wyatt A. Lee | None None | None None |
Target 2035 Fund | Jerome A. Clark Wyatt A. Lee | None None | None None |
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Fund | Portfolio Manager | Range of Fund | Range of Holdings in Investment Strategy as |
Target 2040 Fund | Jerome A. Clark Wyatt A. Lee | None None | None None |
Target 2045 Fund | Jerome A. Clark Wyatt A. Lee | None None | None None |
Target 2050 Fund | Jerome A. Clark Wyatt A. Lee | None None | None None |
Target 2055 Fund | Jerome A. Clark Wyatt A. Lee | None None | None None |
Target 2060 Fund | Jerome A. Clark Wyatt A. Lee | None None | None None |
(a) See table beginning on page 11 for the fiscal year of the funds. The range of fund holdings as of the funds fiscal year is updated concurrently with each funds prospectus date as shown in the table beginning on page 11.
The following funds are not available for direct purchase by members of the public. Therefore, the portfolio manager is not permitted to invest directly in the fund.
Fund | Portfolio Manager | Range of Fund | Range of Holdings in Investment Strategy as of Funds Fiscal Yeara |
Emerging Markets Corporate Multi-Sector Account Portfolio | Samy B. Muaddi | None | $100,001$500,000 |
Emerging Markets Local Multi-Sector Account Portfolio | Andrew J. Keirle | None | $100,001$500,000 |
Floating Rate Multi-Sector Account Portfolio | Paul M. Massaro | None | $100,001$500,000 |
Government Reserve Fund | Joseph K. Lynagh | None | $10,001$50,000 |
High Yield Multi-Sector Account Portfolio | Mark J. Vaselkiv | None | $500,001$1,000,000 |
Investment-Grade Corporate Multi-Sector Account Portfolio | Steve Boothe | None | None |
Mid-Cap Index Fund | Ken D. Uematsu | None | None |
Mortgage-Backed Securities Multi-Sector Account Portfolio | Andrew C. McCormick | None | None |
Short-Term Fund | Joseph K. Lynagh | None | None |
Short-Term Government Fund | Joseph K. Lynagh | (b) | None |
Small-Cap Index Fund | Ken D. Uematsu | None | None |
Treasury Reserve Fund | Joseph K. Lynagh | None | None |
(a) See table beginning on page 11 for the fiscal year of the funds. The range of fund holdings as of the funds fiscal year is updated concurrently with each funds prospectus date as shown in the table beginning on page 11.
(b) The fund has not incepted; therefore, the range of fund holdings is not yet available.
Portfolio Manager Compensation
Portfolio manager compensation consists primarily of a base salary, a cash bonus, and an equity incentive that usually comes in the form of restricted stock grants. Compensation is variable and is determined based on the following factors.
Investment performance over 1-, 3-, 5-, and 10-year periods is the most important input. The weightings for these time periods are generally balanced and are applied consistently across similar strategies. T. Rowe Price (and Price Hong Kong, Price Singapore, Price Japan, and T. Rowe Price International, as appropriate) evaluates
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performance in absolute, relative, and risk-adjusted terms. Relative performance and risk-adjusted performance are typically determined with reference to the broad-based index (e.g., S&P 500 Index) and the Lipper average or index (e.g., Large-Cap Growth Index) set forth in the total returns table in the funds prospectus, although other benchmarks may be used as well. Investment results are also measured against comparably managed funds of competitive investment management firms. The selection of comparable funds is approved by the applicable investment steering committee (as described under the Disclosure of Fund Portfolio Information section) and is the same as the selection presented to the directors of the Price Funds in their regular review of fund performance. Performance is primarily measured on a pretax basis, although tax efficiency is considered and is especially important for the Tax-Efficient Equity Fund.
Compensation is viewed with a long-term time horizon. The more consistent a managers performance over time, the higher the compensation opportunity. The increase or decrease in a funds assets due to the purchase or sale of fund shares is not considered a material factor. In reviewing relative performance for fixed income funds, a funds expense ratio is usually taken into account. Contribution to T. Rowe Prices overall investment process is an important consideration as well. Leveraging ideas and investment insights across the global investment platform; working effectively with and mentoring others; and other contributions to our clients, the firm, or our culture are important components of T. Rowe Prices long-term success and are generally taken into consideration.
All employees of T. Rowe Price, including portfolio managers, participate in a 401(k) plan sponsored by T. Rowe Price Group. In addition, all employees are eligible to purchase T. Rowe Price common stock through an employee stock purchase plan that features a limited corporate matching contribution. Eligibility for and participation in these plans is on the same basis for all employees. Finally, all vice presidents of T. Rowe Price Group, including all portfolio managers, receive supplemental medical/hospital reimbursement benefits.
This compensation structure is used when evaluating the performance of all portfolios (including the Price Funds) managed by the portfolio manager.
Assets Under Management
The following table sets forth the number and total assets of the mutual funds and accounts managed by the Price Funds portfolio managers as of the most recent fiscal year end of the funds they manage, unless otherwise indicated. All of the assets of the funds that have multiple portfolio managers are shown as being allocated to all managers of those funds. There are no accounts for which the advisory fee is based on the performance of the account.
Registered Investment | Other
Pooled Investment | Other Accounts | ||||
Portfolio Manager | Number | Total Assets | Number | Total Assets | Number | Total Assets |
Ulle Adamson | 1 | $183,974,055 | 1 | $8,314,926 | 0 | |
Vinit Agrawal | 1 | 55,532,764 | 0 | | 0 | |
Kennard W. Allen | 4 | 6,308,440,683 | 0 | | 0 | |
Frank M. Alonso | 4 | 14,250,745,718 | 2 | 1,755,872,719 | 2 | $481,811,580 |
Ziad Bakri | 6 | 14,429,328,399 | 0 | | 1 | 104,009,391 |
Stephen L. Bartolini | 2 | 8,614,621,826 | 1 | 996,407,325 | 0 | |
Peter J. Bates | 1 | 25,864,299 | 0 | | 0 | |
Oliver D.M. Bell | 3 | 375,734,608 | 2 | 441,641,409 | 0 | |
R. Scott Berg | 2 | 607,345,721 | 13 | 3,229,462,734 | 5 | 1,472,848,089 |
Brian W.H. Berghuis | 9 | 51,952,712,373 | 1 | 2,006,998,427 | 7 | 2,133,861,070 |
Steve Boothe | 0 | | 1 | 22,087,950 | 1 | 12,240,267 |
Brian J. Brennan | 3 | 1,960,054,653 | 5 | 3,575,750,097 | 2 | 925,846,923 |
Christopher P. Brown, Jr. | 1 | 400,426,986 | 0 | | 0 | |
Archibald Ciganer | 1 | 702,876,788 | 10 | 245,662,483 | 1 | 392,534,668 |
Jerome A. Clark | 88 | 182,210,787,799 | 41 | 72,386,458,969 | 0 | |
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Registered Investment | Other Pooled Investment | Other Accounts | ||||
Portfolio Manager | Number | Total Assets | Number | Total Assets | Number | Total Assets |
Richard N. Clattenburg | 5 | 16,781,269,598 | 1 | 3,455,835,623 | 0 | |
Michael J. Conelius | 2 | 6,954,978,707 | 6 | 3,054,689,449 | 1 | 9,051,087 |
Richard de los Reyes(a) | | | | | | |
Michael Della Vedova | 1 | 91,333,351 | 5 | 12,755,466,037 | 1 | 13,471,025 |
Shawn T. Driscoll | 3 | 11,270,597,362 | 5 | 2,669,366,688 | 2 | 273,511,137 |
Donald J. Easley | 5 | 3,049,110,940 | 0 | | 3 | 102,484,319 |
David J. Eiswert | 3 | 921,530,948 | 10 | 1,957,857,155 | 7 | 4,196,752,704 |
Henry M. Ellenbogen | 1 | 21,920,498,356 | 1 | 2,208,308,016 | 8 | 2,199,679,567 |
Joseph B. Fath | 12 | 70,051,190,198 | 3 | 9,641,964,374 | 8 | 2,494,282,649 |
Mark S. Finn | 9 | 45,007,288,299 | 10 | 15,783,825,796 | 29 | 6,117,998,734 |
David R. Giroux | 7 | 45,629,775,069 | 1 | 415,262,570 | 0 | |
Paul D. Greene II | 2 | 5,310,679,344 | 0 | | 0 | |
Charles B. Hill | 4 | 8,153,744,273 | 2 | 299,571,241 | 9 | 1,814,365,845 |
Ann M. Holcomb | 3 | 6,189,380,393 | 5 | 3,748,633,665 | 23 | 10,449,245,700 |
Steven C. Huber | 2 | 403,464,948 | 1 | 285,080,468 | 2 | 418,575,188 |
Thomas J. Huber | 2 | 9,646,678,046 | 0 | | 1 | 131,231,927 |
Stefan Hubrich(a) | | | | | | |
Arif Husain | 6 | 34,943,701,773 | 21 | 14,117,057,048 | 2 | 391,834,496 |
Prashant G. Jeyaganesh | 1 | 55,532,764 | 0 | | 0 | |
Nina P. Jones | 1 | 184,284,155 | 1 | 43,244,875 | 0 | |
Andrew J. Keirle | 2 | 605,242,153 | 1 | 70,841,171 | 0 | |
Steven D. Krichbaum(b) | | | | | | |
Robert M. Larkins | 1 | 685,087,490 | 2 | 1,347,849,035 | 14 | 1,873,612,954 |
David M. Lee | 2 | 6,411,130,412 | 0 | | 0 | |
Wyatt A. Lee | 40 | 171,858,859,473 | 35 | 70,441,714,401 | 0 | |
John D. Linehan | 17 | 44,179,621,184 | 11 | 12,496,729,765 | 31 | 6,522,287,848 |
Kevin Loome | 1 | 24,980,000 | 1 | 97,920,000 | | |
Anh Lu | 1 | 3,145,843,479 | 4 | 1,573,411,494 | 0 | |
Joseph K. Lynagh | 14 | 41,026,534,207 | 3 | 5,460,650,803 | 3 | 2,150,678,367 |
Konstantine B. Mallas | 5 | 5,534,299,368 | 0 | | 4 | 83,023,808 |
Sebastien Mallet | 1 | 11,243,339 | 2 | 46,316,463 | 0 | |
Paul M. Massaro | 3 | 6,554,281,640 | 3 | 634,446,328 | 13 | 6,082,503,329 |
Jonathan H.W. Matthews | 1 | 13,630,428,881 | 1 | 3,373,963,573 | 0 | |
Andrew C. McCormick | 4 | 73,213,142,241 | 0 | | 0 | |
Hugh D. McGuirk | 2 | 2,508,044,534 | 0 | | 10 | 715,051,613 |
Heather K. McPherson | 6 | 13,191,800,868 | 6 | 2,090,047,122 | 24 | 4,775,458,335 |
Raymond A. Mills | 5 | 16,040,704,654 | 1 | 3,577,320,525 | 3 | 1,735,594,542 |
Eric C. Moffett | 1 | 80,106,386 | 1 | 5,506,676 | 0 | |
Samy B. Muaddi | 2 | 95,977,676 | 3 | 247,708,777 | 0 | |
James M. Murphy | 3 | 4,939,367,658 | 0 | | 0 | |
Sudhir Nanda | 5 | 8,379,528,332 | 4 | 235,433,495 | 2 | 129,101,426 |
Jason Nogueira | 1 | 14,913,113 | 0 | | 0 | |
Kenneth A. Orchard | 2 | 1,304,936,629 | 0 | | 0 | |
Gonzalo Pangaro | 3 | 12,763,997,570 | 6 | 6,112,124,605 | 3 | 2,434,495,827 |
Donald J. Peters | 6 | 3,336,203,444 | 1 | (3,568,693) | 13 | 2,212,335,021 |
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Registered Investment | Other Pooled Investment | Other Accounts | ||||
Portfolio Manager | Number | Total Assets | Number | Total Assets | Number | Total Assets |
Jason B. Polun | 4 | 6,191,503,040 | 5 | 9,286,442,593 | 23 | 10,449,245,700 |
Larry J. Puglia | 9 | 59,634,786,593 | 15 | 10,570,372,088 | 18 | 6,087,300,275 |
Rodney M. Rayburn | 2 | 72,921,958 | 1 | 26,067,301 | 0 | |
Michael F. Reinartz | 8 | 10,250,121,086 | 2 | 7,439,048,080 | 10 | 1,665,445,171 |
Jeffrey Rottinghaus | 2 | 2,434,223,832 | 5 | 1,788,874,493 | 1 | 1,199,431 |
Federico Santilli | 2 | 551,366,870 | 1 | 2,373,822 | 0 | |
Daniel O. Shackelford | 6 | 77,143,083,224 | 2 | 5,489,877,779 | 8 | 1,222,774,085 |
Charles M. Shriver | 27 | 41,399,061,694 | 19 | 4,260,462,516 | 6 | 1,659,638,662 |
Farris G. Shuggi | 1 | 20,841,836 | 0 | | 0 | |
Neil Smith | 1 | 606,486,865 | 1 | 608,523,589 | 0 | |
Gabriel Solomon | 1 | 809,351,352 | 0 | | 0 | |
Joshua K. Spencer | 2 | 6,841,042,508 | 4 | 3,293,634,307 | 4 | 1,849,225,355 |
Taymour R. Tamaddon | 7 | 22,830,706,395 | 8 | 3,110,238,182 | 47 | 11,335,153,660 |
Dean Tenerelli | 1 | 1,177,145,608 | 6 | 1,079,482,270 | 4 | 941,639,746 |
Justin Thomson | 1 | 7,616,413,945 | 2 | 958,313,467 | 4 | 414,397,020 |
David A. Tiberii | 3 | 1,079,805,760 | 2 | 225,207,735 | 5 | 3,217,341,913 |
Ken D. Uematsu | 6 | 31,560,275,179 | 2 | 7,984,705,988 | 0 | |
Mark J. Vaselkiv | 6 | 10,846,421,504 | 4 | 3,065,118,208 | 1 | 319,826,238 |
Verena E. Wachnitz | 1 | 698,219,479 | 1 | 6,638,528 | 0 | |
J. David Wagner | 6 | 11,782,978,959 | 1 | 1,539,956,592 | 2 | 243,046,056 |
Lauren T. Wagandt(c) | | | | | | |
David J. Wallack | 4 | 16,270,247,847 | 1 | 2,195,695,944 | 1 | 23,942,821 |
Thomas H. Watson | 4 | 6,191,503,040 | 5 | 9,286,442,593 | 23 | 10,449,245,700 |
Justin White | 3 | 4,651,587,889 | 0 | | 0 | |
Ernest C. Yeung | 1 | 42,990,149 | 1 | 4,540,255 | 0 | |
(a) The individual assumed co-portfolio management responsibilities of a mutual fund on February 23, 2018. The information on other managed accounts is not yet available.
(b) It is anticipated that the individual will assume co-portfolio management responsibilities of a mutual fund in 2018. The information on other managed accounts is not yet available.
(c) The individual assumed co-portfolio management responsibilities of a mutual fund on January 31, 2018. The information on other managed accounts is not yet available.
Conflicts of Interest
Portfolio managers at T. Rowe Price and its affiliates may manage multiple accounts. These accounts may include, among others, mutual funds, separate accounts (assets managed on behalf of institutions such as pension funds, colleges and universities, and foundations), offshore funds, and common trust funds. Portfolio managers make investment decisions for each portfolio based on the investment objectives, policies, practices, and other relevant investment considerations that the managers believe are applicable to that portfolio. Consequently, portfolio managers may purchase (or sell) securities for one portfolio and not another portfolio. T. Rowe Price and its affiliates have adopted brokerage and trade allocation policies and procedures that they believe are reasonably designed to address any potential conflicts associated with managing multiple accounts for multiple clients. Also, as disclosed under the Portfolio Manager Compensation section, the portfolio managers compensation is determined in the same manner with respect to all portfolios managed by the portfolio manager. Please see the Portfolio Transactions section of this SAI for more information on our brokerage and trade allocation policies.
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The Price Funds may, from time to time, own shares of Morningstar, Inc. Morningstar is a provider of investment research to individual and institutional investors, and publishes ratings on mutual funds, including the Price Funds. T. Rowe Price manages the Morningstar retirement plan, and T. Rowe Price and its affiliates pay Morningstar for a variety of products and services. In addition, Morningstar may provide investment consulting and investment management services to clients of T. Rowe Price or its affiliates.
Since the Price Funds and other accounts have different investment objectives or strategies, potential conflicts of interest may arise in executing investment decisions or trades among client accounts. For example, if T. Rowe Price purchases a security for one account and sells the same security short (either directly or through derivatives, such as total return equity swaps) for another account, such a trading pattern could disadvantage either the account that is long or short. It is possible that short sale activity could adversely affect the market value of long positions in one or more Price Funds and other accounts (and vice versa) and create potential trading conflicts, such as when long and short positions are being executed at the same time. To mitigate these potential conflicts of interest, T. Rowe Price has implemented policies and procedures requiring trading and investment decisions to be made in accordance with T. Rowe Prices fiduciary duties to all accounts, including the Price Funds. Pursuant to these policies, portfolio managers are generally prohibited from managing multiple strategies where they hold the same security long in one strategy and short in another, except in certain circumstances, including where an investment oversight committee has specifically reviewed and approved the holdings or strategy. Additionally, T. Rowe Price has implemented policies and procedures that it believes are reasonably designed to ensure the fair and equitable allocation of trades, both long and short, to minimize the impact of trading activity across client accounts. T. Rowe Price monitors short sales to determine whether its procedures are working as intended and that such short sale activity is not materially impacting our trade executions and long positions for other clients.
As of December 31, 2017, none of the independent directors or their immediate family members owned beneficially or of record any securities of T. Rowe Price (the Price Funds investment adviser), Investment Services (the Price Funds distributor), or any person controlling, controlled by, or under common control with T. Rowe Price or Investment Services.
As of March 31, 2018, the directors and executive officers of the funds, as a group, owned less than 1% of the outstanding shares of any fund, except as shown in the following table.
Fund | % |
Asia Opportunities Fund | 2.1 |
Cash Reserves Fund | 1.4 |
Credit Opportunities Fund | 1.1 |
Emerging Markets Value Stock Fund | 4.4 |
Global Consumer Fund | 7.3 |
Global Growth Stock Fund | 1.6 |
Global Industrials Fund | 3.9 |
Institutional Global Focused Growth Equity Fund | 10.2 |
Institutional Global Multi-Sector Bond Fund | 5.6 |
Institutional Global Value Equity Fund | 3.2 |
Maryland Short-Term Tax-Free Bond Fund | 4.0 |
Maryland Tax-Free Money Fund | 1.3 |
Summit Municipal Money Market Fund | 1.6 |
Tax-Efficient Equity Fund | 4.9 |
Total Return Fund | 3.9 |
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Fund | % |
Ultra Short-Term Bond Fund | 1.2 |
U.S. Treasury Money Fund | 1.3 |
As of March 31, 2018, the following shareholders of record owned more than 5% of the outstanding shares of the indicated funds and/or classes.
FUND |
| SHAREHOLDER |
| % |
AFRICA & MIDDLE EAST FUND |
| NATIONAL FINANCIAL SERVICES |
| 17.56 |
| FOR THE EXCLUSIVE BENEFIT |
| ||
| OF OUR CUSTOMERS |
| ||
| 499 WASHINGTON BLVD FL 5 |
| ||
| JERSEY CITY NJ 07310-2010 |
| ||
|
| |||
| SPECTRUM INTERNATIONAL FUND | 5.54 | ||
| T ROWE PRICE ASSOCIATES |
| ||
| ATTN: FUND ACCOUNTING DEPT |
| ||
AFRICA & MIDDLE EAST FUNDI CLASS |
| TRUSTEES OF T ROWE PRICE |
| 92.98(a) |
| U.S. RETIREMENT PROGRAM |
| ||
| ATTN FINANCIAL REPORTING DEPT |
| ||
| P O BOX 89000 |
| ||
| BALTIMORE MD 21289-0001 |
| ||
ASIA OPPORTUNITIES FUND |
| NATIONAL FINANCIAL SERVICES |
| 15.18 |
| FOR THE EXCLUSIVE BENEFIT |
| ||
| OF OUR CUSTOMERS |
| ||
ASIA OPPORTUNITIES FUNDADVISOR CLASS |
| NATIONAL FINANCIAL SERVICES |
| 29.23(b) |
| FOR THE EXCLUSIVE BENEFIT |
| ||
| OF OUR CUSTOMERS |
| ||
|
| |||
| PERSHING LLC | 8.23 | ||
| 1 PERSHING PLZ |
| ||
| JERSEY CITY NJ 07399-0002 |
| ||
|
| |||
| T ROWE PRICE ASSOCIATES | 56.76(c) | ||
| ATTN FINANCIAL REPORTING DEPT |
|
118
FUND |
| SHAREHOLDER |
| % |
ASIA OPPORTUNITIES FUNDI CLASS |
| CHARLES SCHWAB & CO INC |
| 19.31 |
| SPECIAL CUSTODY A/C FBO CUSTOMERS |
| ||
| ATTN MUTUAL FUNDS |
| ||
| 211 MAIN STREET |
| ||
| SAN FRANCISCO CA 94105-1905 |
| ||
|
| |||
| ERIC C MOFFETT | 21.69 | ||
| MIRI C MOFFETT JT TEN |
| ||
|
| |||
| PERSHING LLC | 9.51 | ||
|
| |||
| ROBERT S KAPLAN | 6.15 | ||
| JAMIE SCHUVAL JT TEN |
| ||
|
| |||
| TRUSTEES OF T ROWE PRICE | 21.54 | ||
| U.S. RETIREMENT PROGRAM |
| ||
| ATTN FINANCIAL REPORTING DEPT |
| ||
|
| |||
| WELLS FARGO CLEARING SERVICES LLC | 18.21 | ||
| SPECIAL CUSTODY ACCT FOR THE |
| ||
| EXCLUSIVE BENEFIT OF CUSTOMERS |
| ||
| 2801 MARKET ST |
| ||
| SAINT LOUIS MO 63103-2523 |
| ||
BALANCED FUND |
| NATIONAL FINANCIAL SERVICES |
| 6.94 |
| FOR THE EXCLUSIVE BENEFIT |
| ||
| OF OUR CUSTOMERS |
| ||
|
| |||
| T ROWE PRICE TRUST CO INC | 24.94 | ||
| ATTN: TRPS INST CONTROL DEPT |
| ||
| PO BOX 17215 |
| ||
| BALTIMORE MD 21297-1215 |
|
119
FUND |
| SHAREHOLDER |
| % |
BALANCED FUNDI CLASS |
| NATIONAL FINANCIAL SERVICES |
| 5.58 |
| FOR THE EXCLUSIVE BENEFIT |
| ||
| OF OUR CUSTOMERS |
| ||
|
| |||
| T ROWE PRICE RPS INC | 8.65 | ||
| OMNIBUS ACCOUNT |
| ||
| TRP BALANCED - I |
| ||
|
| |||
| THE NORTHERN TRUST CO AS TRUSTEE | 17.71 | ||
| FBO KOHLS-DV |
| ||
| PO BOX 92994 |
| ||
| CHICAGO IL 60675-2994 |
| ||
|
| |||
| UBATCO & CO | 13.22 | ||
| FBO COLLEGE SAVINGS GROUP |
| ||
| PO BOX 82535 |
| ||
| LINCOLN NE 68501-2535 |
| ||
|
| |||
| UBATCO & CO FBO ACES TRUST FUND | 14.80 | ||
| 6811 S 27TH ST |
| ||
| LINCOLN NE 68512-4823 |
| ||
BLUE CHIP GROWTH FUND |
| CHARLES SCHWAB & CO INC |
| 7.36 |
| REINVEST ACCOUNT |
| ||
| ATTN MUTUAL FUND DEPT |
| ||
|
| |||
| NATIONAL FINANCIAL SERVICES | 15.31 | ||
| FOR THE EXCLUSIVE BENEFIT |
| ||
| OF OUR CUSTOMERS |
| ||
|
| |||
| T ROWE PRICE RET PLAN SVCS TR | 6.69 | ||
| BLUE CHIP GROWTH FUND |
| ||
| ATTN ASSET RECONCILATIONS |
| ||
|
| |||
| WELLS FARGO CLEARING SERVICES LLC | 10.47 | ||
| SPECIAL CUSTODY ACCT FOR THE |
| ||
| EXCLUSIVE BENEFIT OF CUSTOMERS |
|
120
FUND |
| SHAREHOLDER |
| % |
BLUE CHIP GROWTH FUNDADVISOR CLASS |
| CHARLES SCHWAB & CO INC |
| 7.00 |
| REINVEST ACCOUNT |
| ||
| ATTN MUTUAL FUND DEPT |
| ||
|
| |||
| GREAT-WEST TRUST COMPANY LLC FBO | 5.84 | ||
| EMPLOYEE BENEFITS CLIENTS 401K |
| ||
| 8515 E ORCHARD RD 2T2 |
| ||
| GREENWOOD VLG CO 80111-5002 |
| ||
|
| |||
| NATIONAL FINANCIAL SERVICES | 15.91 | ||
| FOR THE EXCLUSIVE BENEFIT |
| ||
| OF OUR CUSTOMERS |
| ||
|
| |||
| RELIANCE TRUST COMPANY FBO | 6.98 | ||
| INSPER 401K |
| ||
| PO BOX 28004 |
| ||
| ATLANTA GA 30358-0004 |
| ||
BLUE CHIP GROWTH FUNDI CLASS |
| CHARLES SCHWAB & CO INC |
| 7.11 |
| ATTN MUTUAL FUNDS |
| ||
|
| |||
| EDWARD D JONES & CO | 19.27 | ||
| FOR THE BENEFIT OF CUSTOMERS |
| ||
| 12555 MANCHESTER RD |
| ||
| SAINT LOUIS MO 63131-3729 |
| ||
|
| |||
| J.P. MORGAN SECURITIES LLC | 5.43 | ||
| FOR THE EXCLUSIVE BENEFIT |
| ||
| OF OUR CUSTOMERS |
| ||
| 4 CHASE METROTECH CTR |
| ||
| BROOKLYN NY 11245-0003 |
| ||
|
| |||
| NATIONAL FINANCIAL SERVICES | 16.98 | ||
| FOR THE EXCLUSIVE BENEFIT |
| ||
| OF OUR CUSTOMERS |
| ||
|
| |||
| WELLS FARGO BANK NA FBO | 5.61 | ||
| OMNIBUS ACCT CASH/CASH |
| ||
| PO BOX 1533 |
| ||
| MINNEAPOLIS MN 55480-1533 |
|
121
FUND |
| SHAREHOLDER |
| % |
BLUE CHIP GROWTH FUNDR CLASS |
| DCGT AS TTEE AND/OR CUST |
| 8.13 |
| FBO PLIC VARIOUS RETIREMENT PLANS |
| ||
| OMNIBUS |
| ||
| ATTN NPIO TRADE DESK |
| ||
| 711 HIGH ST |
| ||
| DES MOINES IA 50392-0001 |
| ||
|
| |||
| SAMMONS FINANCIAL NETWORK LLC | 8.14 | ||
| 4546 CORPORATE DR STE 100 |
| ||
| WEST DES MOINES IA 50266-5911 |
| ||
|
| |||
| STATE STREET BANK AND TRUST AS | 18.45 | ||
| TRUSTEE AND/OR CUSTODIAN |
| ||
| FBO ADP ACCESS PRODUCT |
| ||
CALIFORNIA TAX-FREE BOND FUND |
| CHARLES SCHWAB & CO INC |
| 6.85 |
| REINVEST ACCOUNT |
| ||
| ATTN MUTUAL FUND DEPT |
| ||
|
| |||
| NATIONAL FINANCIAL SERVICES | 20.93 | ||
| FOR THE EXCLUSIVE BENEFIT |
| ||
| OF OUR CUSTOMERS |
| ||
CALIFORNIA TAX-FREE BOND FUNDI CLASS |
| ANTON YERGAT TR |
| 23.90 |
| ANTON YERGAT LIVING TRUST |
| ||
|
| |||
| CHARLES SCHWAB & CO INC | 15.92 | ||
| SPECIAL CUSTODY A/C FBO CUSTOMERS |
| ||
| ATTN MUTUAL FUNDS |
| ||
|
| |||
| DANIEL E RAMIREZ | 12.66 | ||
|
| |||
| DANIEL G JENSEN | 10.15 | ||
| EVELYN H JENSEN TRS |
| ||
| DANIEL G JENSEN & EVELYN H JENSEN |
| ||
| FAM TRUST |
| ||
|
| |||
| ELLEN B MILLER AGENT/POA | 6.40 | ||
| ALICE N BESSMAN OR ELLEN |
| ||
| BESSMAN MILLER TR THE BESSMAN |
| ||
| TRUST AGRMNT |
| ||
CALIFORNIA TAX-FREE MONEY FUND |
| MARK A WALSH T O D |
| 16.09 |
CALIFORNIA TAX-FREE MONEY FUNDI CLASS |
| T ROWE PRICE ASSOCIATES |
| 100.00(c) |
| ATTN FINANCIAL REPORTING DEPT |
| ||
CAPITAL APPRECIATION & INCOME FUND |
| T ROWE PRICE ASSOCIATES |
| 100.00(c) |
| ATTN FINANCIAL REPORTING DEPT |
|
122
FUND |
| SHAREHOLDER |
| % |
CAPITAL APPRECIATION FUND |
| CHARLES SCHWAB & CO INC |
| 9.98 |
| REINVEST ACCOUNT |
| ||
| ATTN MUTUAL FUND DEPT |
| ||
|
| |||
| NATIONAL FINANCIAL SERVICES | 12.37 | ||
| FOR THE EXCLUSIVE BENEFIT |
| ||
| OF OUR CUSTOMERS |
| ||
|
| |||
| PERSHING LLC | 5.44 | ||
|
| |||
| TD AMERITRADE INC FBO | 6.06 | ||
| OUR CUSTOMERS |
| ||
| PO BOX 2226 |
| ||
| OMAHA NE 68103-2226 |
| ||
CAPITAL APPRECIATION FUNDADVISOR CLASS |
| AMERITAS LIFE INSURANCE CORP |
| 6.87 |
| SEPARATE ACCOUNT G |
| ||
| 5900 O STREET |
| ||
| LINCOLN NE 68510-2234 |
| ||
|
| |||
| CHARLES SCHWAB & CO INC | 19.28 | ||
| REINVEST ACCOUNT |
| ||
| ATTN MUTUAL FUND DEPT |
| ||
|
| |||
| NATIONAL FINANCIAL SERVICES | 21.51 | ||
| FOR THE EXCLUSIVE BENEFIT |
| ||
| OF OUR CUSTOMERS |
| ||
|
| |||
| UMB BANK N/A | 9.96 | ||
| FBO FIDUCIARY FOR TAX DEFERRED |
| ||
| ACCOUNTS |
| ||
| 1 SW SECURITY BENEFIT PL |
| ||
| TOPEKA KS 66636-0001 |
| ||
CAPITAL APPRECIATION FUNDI CLASS |
| CHARLES SCHWAB & CO INC |
| 21.67 |
| ATTN MUTUAL FUNDS |
| ||
|
| |||
| NATIONAL FINANCIAL SERVICES | 19.63 | ||
| FOR THE EXCLUSIVE BENEFIT |
| ||
| OF OUR CUSTOMERS |
| ||
|
| |||
| PERSHING LLC | 5.34 | ||
|
| |||
| TD AMERITRADE INC FBO | 9.11 | ||
| OUR CUSTOMERS |
|
123
FUND |
| SHAREHOLDER |
| % |
CAPITAL OPPORTUNITY FUND |
| LVIP BLENDED CORE EQUITY |
| 18.74 |
| MANAGED VOLATILITY FUND |
| ||
| 1300 S CLINTON ST MAILSTOP 5C00 |
| ||
| FORT WAYNE IN 46802-3506 |
| ||
|
| |||
| NATIONAL FINANCIAL SERVICES | 15.98 | ||
| FOR THE EXCLUSIVE BENEFIT |
| ||
| OF OUR CUSTOMERS |
| ||
CAPITAL OPPORTUNITY FUNDADVISOR CLASS |
| ASCENSUS TRUST COMPANY FBO |
| 5.05 |
| LONG ISLAND ANESTHESIA PHYSICIANS |
| ||
| PO BOX 10758 |
| ||
| FARGO ND 58106-0758 |
| ||
|
| |||
| CHARLES SCHWAB & CO INC | 27.25(b) | ||
| REINVEST ACCOUNT |
| ||
| ATTN MUTUAL FUND DEPT |
| ||
|
| |||
| DCGT AS TTEE AND/OR CUST | 5.77 | ||
| FBO PLIC VARIOUS RETIREMENT PLANS |
| ||
| OMNIBUS |
| ||
| ATTN NPIO TRADE DESK |
| ||
|
| |||
| FIIOC AS AGENT FBO | 23.06 | ||
| SHEPHERD ELECTRIC COMPANY INC |
| ||
| 401K AND PROFIT SHARING PLAN |
| ||
| 100 MAGELLAN WAY # KW1C |
| ||
| COVINGTON KY 41015-1987 |
| ||
|
| |||
| NATIONAL FINANCIAL SERVICES | 5.73 | ||
| FOR THE EXCLUSIVE BENEFIT |
| ||
| OF OUR CUSTOMERS |
| ||
|
| |||
| TD AMERITRADE INC FBO | 11.62 | ||
| OUR CUSTOMERS |
| ||
CAPITAL OPPORTUNITY FUNDI CLASS |
| COMFORT & CO |
| 9.76 |
| FBO OLD POINT FINANCIAL 401(K) PSP |
| ||
| 11780 JEFFERSON AVE STE D |
| ||
| NEWPORT NEWS VA 23606-1926 |
| ||
|
| |||
| NATIONWIDE TRUST COMPANY FSB | 64.55(b) | ||
| FBO PARTICIPATING RETIREMENT PLANS |
| ||
| NTC-PLNS |
| ||
| C/O IPO PORTFOLIO ACCOUNTING |
|
124
FUND |
| SHAREHOLDER |
| % |
CAPITAL OPPORTUNITY FUNDR CLASS |
| CAPITAL BANK & TRUST COMPANY TTEE F |
| 14.51 |
| JEFF WYLER AUTO FAMILY INC RSP 401K |
| ||
| 8515 E ORCHARD RD 2T2 |
| ||
| GREENWOOD VLG CO 80111-5002 |
| ||
|
| |||
| CAPITAL BANK & TRUST COMPANY TTEE F | 20.64 | ||
| MACHINERY SYSTEMS INC EMPLOYEES PSP |
| ||
|
| |||
| DCGT AS TTEE AND/OR CUST | 8.13 | ||
| FBO PLIC VARIOUS RETIREMENT PLANS |
| ||
| OMNIBUS |
| ||
| ATTN NPIO TRADE DESK |
| ||
|
| |||
| NATIONWIDE TRUST CO FSB | 8.90 | ||
| C/O IPO PORTFOLIO ACCTG |
| ||
| PO BOX 182029 |
| ||
| COLUMBUS OH 43218-2029 |
| ||
|
| |||
| RELIANCE TRUST COMPANY FBO | 5.90 | ||
| MTRMLS INC |
| ||
COMMUNICATIONS & TECHNOLOGY FUND |
| NATIONAL FINANCIAL SERVICES |
| 6.62 |
| FOR THE EXCLUSIVE BENEFIT |
| ||
| OF OUR CUSTOMERS |
| ||
|
| |||
| T ROWE PRICE TRUST CO INC | 6.01 | ||
| MEDIA & TELECOMMUNICATION FUND |
| ||
| DST #121 |
| ||
COMMUNICATIONS & TECHNOLOGY FUNDI |
| KAMAEHU L P |
| 5.40 |
CLASS |
| |||
| TD AMERITRADE INC FBO | 5.62 | ||
| OUR CUSTOMERS |
| ||
|
| |||
| TRUSTEES OF T ROWE PRICE | 38.84(a) | ||
| U.S. RETIREMENT PROGRAM |
| ||
| ATTN FINANCIAL REPORTING DEPT |
| ||
CORPORATE INCOME FUND |
| SPECTRUM INCOME FUND |
| 49.94(d) |
| T. ROWE PRICE ASSOCIATES |
| ||
| ATTN: FUND ACCOUNTING DEPT |
|
125
FUND |
| SHAREHOLDER |
| % |
CORPORATE INCOME FUNDI CLASS |
| KB INSURANCE CO LTD |
| 52.56(b) |
| KB INSURANCE BLDG, 110 |
| ||
| TEHERAN-RO, GANGNAM-GU |
| ||
|
| |||
| PERSHING LLC | 14.63 | ||
|
| |||
| ROBERT W SMITH | 9.68 | ||
| TERESA O SMITH |
| ||
|
| |||
| TRUSTEES OF T ROWE PRICE | 10.43 | ||
| U.S. RETIREMENT PROGRAM |
| ||
| ATTN FINANCIAL REPORTING DEPT |
| ||
CREDIT OPPORTUNITIES FUND |
| T ROWE PRICE ASSOCIATES |
| 48.07(c) |
| ATTN FINANCIAL REPORTING DEPT |
| ||
CREDIT OPPORTUNITIES FUNDADVISOR CLASS |
| CHARLES SCHWAB & CO INC |
| 20.59 |
| REINVEST ACCOUNT |
| ||
| ATTN MUTUAL FUND DEPT |
| ||
|
| |||
| T ROWE PRICE ASSOCIATES | 78.24(c) | ||
| ATTN FINANCIAL REPORTING DEPT |
| ||
CREDIT OPPORTUNITIES FUNDI CLASS |
| T ROWE PRICE ASSOCIATES |
| 100.00(c) |
| ATTN FINANCIAL REPORTING DEPT |
|
126
FUND |
| SHAREHOLDER |
| % |
DIVERSIFIED MID-CAP GROWTH FUND |
| NATIONAL FINANCIAL SERVICES |
| 7.24 |
| FOR THE EXCLUSIVE BENEFIT |
| ||
| OF OUR CUSTOMERS |
| ||
|
| |||
| PERSHING LLC | 5.40 | ||
DIVERSIFIED MID-CAP GROWTH FUNDI CLASS |
| BONNIE G MAIER TR |
| 6.85 |
| JULIA LAMB MAIER IRREVOCABLE TRUST |
| ||
|
| |||
| CHARLES SCHWAB & CO INC | 5.02 | ||
| SPECIAL CUSTODY A/C FBO CUSTOMERS |
| ||
| ATTN MUTUAL FUNDS |
| ||
|
| |||
| EDUARD GORDON | 6.64 | ||
| INNA GORDON JT TEN T O D |
| ||
|
| |||
| NATIONAL FINANCIAL SERVICES | 39.92(b) | ||
| FOR THE EXCLUSIVE BENEFIT |
| ||
| OF OUR CUSTOMERS |
| ||
|
| |||
| TRUSTEES OF T ROWE PRICE | 37.75(a) | ||
| U.S. RETIREMENT PROGRAM |
| ||
| ATTN FINANCIAL REPORTING DEPT |
| ||
DIVIDEND GROWTH FUND |
| LPL FINANCIAL |
| 6.58 |
| OMNIBUS CUSTOMER ACCOUNT |
| ||
| ATTN: MUTUAL FUND TRADING |
| ||
| 4707 EXECUTIVE DR |
| ||
| SAN DIEGO CA 92121-3091 |
| ||
|
| |||
| MLPF&S FOR THE SOLE BENEFIT OF | 6.94 | ||
| ITS CUSTOMERS |
| ||
| 4800 DEERLAKE DR E 3RD FL |
| ||
| JACKSONVILLE FL 32246-6484 |
| ||
|
| |||
| NATIONAL FINANCIAL SERVICES | 17.11 | ||
| FOR THE EXCLUSIVE BENEFIT |
| ||
| OF OUR CUSTOMERS |
| ||
|
| |||
| PERSHING LLC | 5.93 |
127
FUND |
| SHAREHOLDER |
| % |
DIVIDEND GROWTH FUNDADVISOR CLASS |
| CHARLES SCHWAB & CO INC |
| 6.67 |
| REINVEST ACCOUNT |
| ||
| ATTN MUTUAL FUND DEPT |
| ||
|
| |||
| GREAT-WEST TRUST COMPANY LLC FBO | 5.94 | ||
| EMPLOYEE BENEFITS CLIENTS 401K |
| ||
|
| |||
| JOHN HANCOCK TRUST COMPANY | 5.43 | ||
| 690 CANTON STREET |
| ||
| WESTWOOD MA 02090-2321 |
| ||
|
| |||
| MATRIX TRUST COMPANY AS TTEE FBO | 6.11 | ||
| VISTA 401(K) RETIREMENT PLAN |
| ||
| PO BOX 52129 |
| ||
| PHOENIX AZ 85072-2129 |
| ||
|
| |||
| NATIONAL FINANCIAL SERVICES | 45.81(b) | ||
| FOR THE EXCLUSIVE BENEFIT |
| ||
| OF OUR CUSTOMERS |
| ||
DIVIDEND GROWTH FUNDI CLASS |
| EDWARD D JONES & CO |
| 38.10(b) |
| FOR THE BENEFIT OF CUSTOMERS |
| ||
|
| |||
| NATIONAL FINANCIAL SERVICES | 34.83(b) | ||
| FOR THE EXCLUSIVE BENEFIT |
| ||
| OF OUR CUSTOMERS |
|
128
FUND |
| SHAREHOLDER |
| % |
DYNAMIC GLOBAL BOND FUND |
| RETIREMENT PORTFOLIO 2010 |
| 6.00 |
| T ROWE PRICE ASSOCIATES |
| ||
| ATT FUND ACCOUNTING DEPT |
| ||
|
| |||
| RETIREMENT PORTFOLIO 2040 | 7.19 | ||
| T ROWE PRICE ASSOCIATES |
| ||
| ATT FUND ACCOUNTING DEPT |
| ||
|
| |||
| RETIREMENT PORTFOLIO 2015 | 8.98 | ||
| T ROWE PRICE ASSOCIATES |
| ||
| ATT FUND ACCOUNTING DEPT |
| ||
|
| |||
| RETIREMENT PORTFOLIO 2020 | 22.50 | ||
| T ROWE PRICE ASSOCIATES |
| ||
| ATT FUND ACCOUNTING DEPT |
| ||
|
| |||
| RETIREMENT PORTFOLIO 2025 | 16.93 | ||
| T ROWE PRICE ASSOCIATES |
| ||
| ATT FUND ACCOUNTING DEPT |
| ||
|
| |||
| RETIREMENT PORTFOLIO 2030 | 17.21 | ||
| T ROWE PRICE ASSOCIATES |
| ||
| ATTN FUND ACCOUNTING DEPT |
| ||
|
| |||
| RETIREMENT PORTFOLIO 2035 | 8.40 | ||
| T ROWE PRICE ASSOCIATES |
| ||
| ATT FUND ACCOUNTING DEPT |
| ||
DYNAMIC GLOBAL BOND FUNDADVISOR CLASS |
| LPL FINANCIAL |
| 18.82 |
| OMNIBUS CUSTOMER ACCOUNT |
| ||
| ATTN: MUTUAL FUND TRADING |
| ||
|
| |||
| PERSHING LLC | 13.00 | ||
|
| |||
| T ROWE PRICE ASSOCIATES | 63.62(c) | ||
| ATTN FINANCIAL REPORTING DEPT |
|
129
FUND |
| SHAREHOLDER |
| % |
DYNAMIC GLOBAL BOND FUNDI CLASS |
| LADYBIRD & CO |
| 18.05 |
| C/O T ROWE PRICE ASSOC |
| ||
| ATTN DYNAMIC GLOBAL BOND |
| ||
| I CLASS |
| ||
|
| |||
| LADYBUG & CO | 10.15 | ||
| C/O T ROWE PRICE ASSOC |
| ||
| ATTN DYNAMIC GLOBAL BOND |
| ||
| I CLASS |
| ||
|
| |||
| MAC & CO | 5.20 | ||
| ATTN MUTUAL FUND OPERATIONS |
| ||
| 500 GRANT STREET ROOM 151-1010 |
| ||
| PITTSBURGH PA 15219-2502 |
| ||
|
| |||
| RETIREMENT I 2020 FUND | 11.52 | ||
| T ROWE PRICE ASSOCIATES |
| ||
| ATTN FUND ACCOUNTING DEPT |
| ||
|
| |||
| RETIREMENT I 2025 FUND | 9.00 | ||
| T ROWE PRICE ASSOCIATES |
| ||
| ATTN FUND ACCOUNTING DEPT |
| ||
|
| |||
| RETIREMENT I 2030 FUND | 9.74 | ||
| T ROWE PRICE ASSOCIATES |
| ||
| ATTN FUND ACCOUNTING DEPT |
| ||
EMERGING EUROPE FUND |
| NATIONAL FINANCIAL SERVICES LLC |
| 6.69 |
| FOR THE EXCLUSIVE BENEFIT |
| ||
| OF OUR CUSTOMERS |
| ||
|
| |||
| SPECTRUM INTERNATIONAL FUND | 5.47 | ||
| T ROWE PRICE ASSOCIATES |
| ||
| ATTN: FUND ACCOUNTING DEPT |
| ||
|
| |||
| TD AMERITRADE INC FBO | 5.16 | ||
| OUR CUSTOMERS |
| ||
EMERGING EUROPE FUNDI CLASS |
| T ROWE PRICE ASSOCIATES |
| 5.45 |
| ATTN FINANCIAL REPORTING DEPT |
| ||
|
| |||
| TRUSTEES OF T ROWE PRICE | 93.77(a) | ||
| U.S. RETIREMENT PROGRAM |
| ||
| ATTN FINANCIAL REPORTING DEPT |
|
130
FUND |
| SHAREHOLDER |
| % |
EMERGING MARKETS BOND FUND |
| RETIREMENT PORTFOLIO 2015 |
| 6.43 |
| T ROWE PRICE ASSOCIATES |
| ||
| ATT FUND ACCOUNTING DEPT |
| ||
|
| |||
| RETIREMENT PORTFOLIO 2020 | 15.37 | ||
| T ROWE PRICE ASSOCIATES |
| ||
| ATT FUND ACCOUNTING DEPT |
| ||
|
| |||
| RETIREMENT PORTFOLIO 2025 | 10.80 | ||
| T ROWE PRICE ASSOCIATES |
| ||
| ATT FUND ACCOUNTING DEPT |
| ||
|
| |||
| RETIREMENT PORTFOLIO 2030 | 10.12 | ||
| T ROWE PRICE ASSOCIATES |
| ||
| ATTN FUND ACCOUNTING DEPT |
| ||
|
| |||
| SPECTRUM INCOME FUND | 9.41 | ||
| T. ROWE PRICE ASSOCIATES |
| ||
| ATTN: FUND ACCOUNTING DEPT |
| ||
EMERGING MARKETS BOND FUNDADVISOR |
| PERSHING LLC |
| 33.34(b) |
CLASS | ||||
EMERGING MARKETS BOND FUNDI CLASS |
| J.P. MORGAN SECURITIES LLC |
| 42.17(b) |
| FOR THE EXCLUSIVE BENEFIT |
| ||
| OF OUR CUSTOMERS |
| ||
|
| |||
| RETIREMENT I 2020 FUND | 9.73 | ||
| T ROWE PRICE ASSOCIATES |
| ||
| ATTN FUND ACCOUNTING DEPT |
| ||
|
| |||
| RETIREMENT I 2025 FUND | 7.04 | ||
| T ROWE PRICE ASSOCIATES |
| ||
| ATTN FUND ACCOUNTING DEPT |
| ||
|
| |||
| RETIREMENT I 2030 FUND | 6.97 | ||
| T ROWE PRICE ASSOCIATES |
| ||
| ATTN FUND ACCOUNTING DEPT |
| ||
EMERGING MARKETS CORPORATE BOND FUND |
| T ROWE PRICE ASSOCIATES |
| 41.87(c) |
| ATTN FINANCIAL REPORTING DEPT |
| ||
|
| |||
| TD AMERITRADE INC FBO | 8.21 | ||
| OUR CUSTOMERS |
|
131
FUND |
| SHAREHOLDER |
| % |
EMERGING MARKETS CORPORATE BOND FUND |
| LPL FINANCIAL |
| 10.67 |
ADVISOR CLASS | OMNIBUS CUSTOMER ACCOUNT |
| ||
| ATTN: MUTUAL FUND TRADING |
| ||
|
| |||
| NATIONAL FINANCIAL SERVICES | 63.39(b) | ||
| FOR THE EXCLUSIVE BENEFIT |
| ||
| OF OUR CUSTOMERS |
| ||
|
| |||
| T ROWE PRICE ASSOCIATES | 15.73 | ||
| ATTN FINANCIAL REPORTING DEPT |
| ||
EMERGING MARKETS CORPORATE BOND FUND |
| CHARLES A MORRIS |
| 14.74 |
I CLASS | ELISE D MORRIS JT TEN T O D |
| ||
|
| |||
| CHARLES SCHWAB & CO INC | 61.44(b) | ||
| REINVEST ACCOUNT |
| ||
| ATTN MUTUAL FUND DEPT |
| ||
|
| |||
| TD AMERITRADE INC FBO | 5.89 | ||
| OUR CUSTOMERS |
| ||
|
| |||
| TRUSTEES OF T ROWE PRICE | 12.68 | ||
| U.S. RETIREMENT PROGRAM |
| ||
| ATTN FINANCIAL REPORTING DEPT |
| ||
EMERGING MARKETS CORPORATE MULTI-SECTOR |
| CBE OF NEW BRUNSWICK |
| 41.68(b) |
ACCOUNT PORTFOLIO | EM BOND MAP |
| ||
| 440 KING ST STE 680 |
| ||
| FREDERICTON NB E3B 5H8 |
| ||
| CANADA |
| ||
|
| |||
| GENERAL DYNAMICS CORP 401K | 12.71 | ||
| PLAN MASTER TRUST CP |
| ||
| 2941 FAIRVIEW PARK DR STE 100 |
| ||
| FALLS CHURCH VA 22042-4541 |
| ||
|
| |||
| T ROWE PRICE ASSOCIATES | 35.06(c) | ||
| ATTN FINANCIAL REPORTING DEPT |
| ||
EMERGING MARKETS LOCAL CURRENCY BOND |
| PERSHING LLC |
| 5.84 |
FUND |
| |||
| SPECTRUM INCOME FUND | 82.85(d) | ||
| T. ROWE PRICE ASSOCIATES |
| ||
| ATTN: FUND ACCOUNTING DEPT |
|
132
FUND |
| SHAREHOLDER |
| % |
EMERGING MARKETS LOCAL CURRENCY BOND |
| CHARLES SCHWAB & CO INC |
| 28.87(b) |
FUNDADVISOR CLASS | SPECIAL CUSTODY A/C FBO CUSTOMERS |
| ||
| ATTN MUTUAL FUNDS |
| ||
|
| |||
| T ROWE PRICE ASSOCIATES | 67.03(c) | ||
| ATTN FINANCIAL REPORTING DEPT |
| ||
EMERGING MARKETS LOCAL CURRENCY BOND |
| THE NORTHWESTERN MUTUAL LIFE |
| 91.79(b) |
FUNDI CLASS | INSURANCE COMPANY |
| ||
| 720 E WISCONSIN AVE |
| ||
| MILWAUKEE WI 53202-4703 |
| ||
EMERGING MARKETS LOCAL MULTI-SECTOR |
| CBE OF NEW BRUNSWICK |
| 77.51(b) |
ACCOUNT PORTFOLIO | EM LOCAL MAP |
| ||
|
| |||
| T ROWE PRICE ASSOCIATES | 21.63 | ||
| ATTN FINANCIAL REPORTING DEPT |
| ||
EMERGING MARKETS STOCK FUND |
| MLPF&S FOR THE SOLE BENEFIT OF ITS |
| 11.67 |
| CUSTOMERS |
| ||
|
| |||
| NATIONAL FINANCIAL SERVICES | 5.24 | ||
| FOR THE EXCLUSIVE BENEFIT |
| ||
| OF OUR CUSTOMERS |
| ||
|
| |||
| RETIREMENT PORTFOLIO 2040 | 7.86 | ||
| T ROWE PRICE ASSOCIATES |
| ||
| ATT FUND ACCOUNTING DEPT |
| ||
|
| |||
| RETIREMENT PORTFOLIO 2020 | 6.93 | ||
| T ROWE PRICE ASSOCIATES |
| ||
| ATT FUND ACCOUNTING DEPT |
| ||
|
| |||
| RETIREMENT PORTFOLIO 2025 | 6.84 | ||
| T ROWE PRICE ASSOCIATES |
| ||
| ATTN FUND ACCOUNTING DEPT |
| ||
|
| |||
| RETIREMENT PORTFOLIO 2030 | 9.73 | ||
| T ROWE PRICE ASSOCIATES |
| ||
| ATTN FUND ACCOUNTING DEPT |
| ||
|
| |||
| RETIREMENT PORTFOLIO 2035 | 6.35 | ||
| T ROWE PRICE ASSOCIATES |
| ||
| ATTN FUND ACCOUNTING DEPT |
|
133
FUND |
| SHAREHOLDER |
| % |
EMERGING MARKETS STOCK FUNDI CLASS |
| NATIONAL FINANCIAL SERVICES LLC |
| 31.13(b) |
| FOR THE EXCLUSIVE BENEFIT |
| ||
| OF OUR CUSTOMERS |
| ||
|
| |||
| TD AMERITRADE INC FBO | 5.60 | ||
| OUR CUSTOMERS |
| ||
|
| |||
| VANGUARD FIDUCIARY TRUST COMPANY | 7.68 | ||
| ATTN INVESTMENT SERVICES |
| ||
| 401K CLIENTS |
| ||
| PO BOX 2600 |
| ||
| VALLEY FORGE PA 19482-2600 |
| ||
EMERGING MARKETS VALUE STOCK FUND |
| CHARLES SCHWAB & CO INC |
| 5.20 |
| REINVEST ACCOUNT |
| ||
| ATTN MUTUAL FUND DEPT |
| ||
|
| |||
| T ROWE PRICE ASSOCIATES | 17.68 | ||
| ATTN FINANCIAL REPORTING DEPT |
| ||
EMERGING MARKETS VALUE STOCK FUNDI |
| E TRADE SECURITIES LLC |
| 10.38 |
CLASS | PO BOX 484 |
| ||
| JERSEY CITY NJ 07303-0484 |
| ||
|
| |||
| PERSHING LLC | 5.37 | ||
|
| |||
| T ROWE PRICE ASSOCIATES | 75.59(c) | ||
| ATTN FINANCIAL REPORTING DEPT |
| ||
|
| |||
| ERIC C MOFFETT | 18.52 | ||
| MIRI C MOFFETT JT TEN |
| ||
|
| |||
| T ROWE PRICE ASSOCIATES | 5.51 | ||
| ATTN FINANCIAL REPORTING DEPT |
| ||
|
| |||
| T ROWE PRICE TRUST CO | 21.34 | ||
| CUST FOR THE IRA OF |
| ||
| JAMES D HARLAN |
| ||
|
| |||
| TRUSTEES OF T ROWE PRICE | 25.45(a) | ||
| U.S. RETIREMENT PROGRAM |
| ||
| ATTN FINANCIAL REPORTING DEPT |
| ||
|
| |||
| VANGUARD BROKERAGE SERVICES | 26.92(b) | ||
| PO BOX 1170 |
| ||
| VALLEY FORGE PA 19482-1170 |
|
134
FUND |
| SHAREHOLDER |
| % |
EQUITY INCOME FUND |
| NATIONAL FINANCIAL SERVICES |
| 8.20 |
| FOR THE EXCLUSIVE BENEFIT |
| ||
| OF OUR CUSTOMERS |
| ||
|
| |||
| T ROWE PRICE TRUST CO INC | 6.69 | ||
| ATTN: TRPS INST CONTROL DEPT |
| ||
EQUITY INCOME FUNDADVISOR CLASS |
| NATIONAL FINANCIAL SERVICES |
| 62.44(b) |
| FOR THE EXCLUSIVE BENEFIT |
| ||
| OF OUR CUSTOMERS |
| ||
EQUITY INCOME FUNDI CLASS |
| EDWARD D JONES & CO |
| 49.98(b) |
| FOR THE BENEFIT OF CUSTOMERS |
| ||
|
| |||
| NATIONAL FINANCIAL SERVICES | 12.62 | ||
| FOR THE EXCLUSIVE BENEFIT |
| ||
| OF OUR CUSTOMERS |
| ||
|
| |||
| T ROWE PRICE RPS INC | 7.08 | ||
| OMNIBUS ACCOUNT |
| ||
| TRP EQUITY INCOME - I |
| ||
|
| |||
| TD AMERITRADE INC FBO | 9.33 | ||
| OUR CUSTOMERS |
| ||
EQUITY INCOME FUNDR CLASS |
| AMERICAN UNITED LIFE |
| 8.40 |
| AMERICAN UNIT TRUST |
| ||
| ATTN SEPARATE ACCOUNTS |
| ||
| PO BOX 368 |
| ||
| INDIANAPOLIS IN 46206-0368 |
| ||
|
| |||
| AMERICAN UNITED LIFE | 18.84 | ||
| SEPARATE ACCOUNT II |
| ||
| ATTN SEPARATE ACCOUNTS |
| ||
|
| |||
| DCGT AS TTEE AND/OR CUST | 5.70 | ||
| FBO PLIC VARIOUS RETIREMENT PLANS |
| ||
| OMNIBUS |
| ||
| ATTN NPIO TRADE DESK |
| ||
|
| |||
| HARTFORD LIFE INSURANCE CO | 11.55 | ||
| SEPARATE ACCOUNT |
| ||
| ATTN UIT OPERATIONS |
| ||
| PO BOX 2999 |
| ||
| HARTFORD CT 06104-2999 |
| ||
|
| |||
| NATIONWIDE TRUST CO FSB | 7.30 | ||
| C/O IPO PORTFOLIO ACCTG |
|
135
FUND |
| SHAREHOLDER |
| % |
EQUITY INDEX 500 FUND |
| RETIREMENT PORTFOLIO 2040 |
| 5.17 |
| T ROWE PRICE ASSOCIATES |
| ||
| ATT FUND ACCOUNTING DEPT |
| ||
|
| |||
| RETIREMENT PORTFOLIO 2015 | 5.62 | ||
| T ROWE PRICE ASSOCIATES |
| ||
| ATT FUND ACCOUNTING DEPT |
| ||
|
| |||
| RETIREMENT PORTFOLIO 2020 | 14.95 | ||
| T ROWE PRICE ASSOCIATES |
| ||
| ATT FUND ACCOUNTING DEPT |
| ||
|
| |||
| RETIREMENT PORTFOLIO 2025 | 10.99 | ||
| T ROWE PRICE ASSOCIATES |
| ||
| ATT FUND ACCOUNTING DEPT |
| ||
|
| |||
| RETIREMENT PORTFOLIO 2030 | 11.47 | ||
| T ROWE PRICE ASSOCIATES |
| ||
| ATTN FUND ACCOUNTING DEPT |
| ||
|
| |||
| RETIREMENT PORTFOLIO 2035 | 5.72 | ||
| T ROWE PRICE ASSOCIATES |
| ||
| ATT FUND ACCOUNTING DEPT |
| ||
EQUITY INDEX 500 FUNDI CLASS |
| RETIREMENT I 2015 FUND |
| 5.45 |
| T ROWE PRICE ASSOCIATES |
| ||
| ATTN FUND ACCOUNTING DEPT |
| ||
|
| |||
| RETIREMENT I 2020 FUND | 18.01 | ||
| T ROWE PRICE ASSOCIATES |
| ||
| ATTN FUND ACCOUNTING DEPT |
| ||
|
| |||
| RETIREMENT I 2025 FUND | 13.68 | ||
| T ROWE PRICE ASSOCIATES |
| ||
| ATTN FUND ACCOUNTING DEPT |
| ||
|
| |||
| RETIREMENT I 2030 FUND | 15.13 | ||
| T ROWE PRICE ASSOCIATES |
| ||
| ATTN FUND ACCOUNTING DEPT |
| ||
|
| |||
| RETIREMENT I 2035 FUND | 7.77 | ||
| T ROWE PRICE ASSOCIATES |
| ||
| ATTN FUND ACCOUNTING DEPT |
| ||
|
| |||
| RETIREMENT I 2040 FUND | 7.73 | ||
| T ROWE PRICE ASSOCIATES |
| ||
| ATTN FUND ACCOUNTING DEPT |
|
136
FUND |
| SHAREHOLDER |
| % |
EUROPEAN STOCK FUND |
| CHARLES SCHWAB & CO INC |
| 8.14 |
| REINVEST ACCOUNT |
| ||
| ATTN MUTUAL FUND DEPT |
| ||
|
| |||
| SPECTRUM INTERNATIONAL FUND | 22.51 | ||
| T ROWE PRICE ASSOCIATES |
| ||
| ATTN: FUND ACCOUNTING DEPT |
| ||
EUROPEAN STOCK FUND I CLASS |
| CHARLES SCHWAB & CO INC |
| 12.18 |
| SPECIAL CUSTODY A/C FBO CUSTOMERS |
| ||
| ATTN MUTUAL FUNDS |
| ||
|
| |||
| NATIONAL FINANCIAL SERVICES | 25.55(b) | ||
| FOR THE EXCLUSIVE BENEFIT |
| ||
| OF OUR CUSTOMERS |
| ||
|
| |||
| TD AMERITRADE INC FBO | 5.88 | ||
| OUR CUSTOMERS |
| ||
|
| |||
| TRUSTEES OF T ROWE PRICE | 52.74(a) | ||
| U.S. RETIREMENT PROGRAM |
| ||
| ATTN FINANCIAL REPORTING DEPT |
| ||
EXTENDED EQUITY MARKET INDEX FUND |
| TD AMERITRADE INC FBO |
| 6.13 |
| OUR CUSTOMERS |
| ||
FINANCIAL SERVICES FUND |
| CHARLES SCHWAB & CO INC |
| 5.77 |
| REINVEST ACCOUNT |
| ||
| ATTN MUTUAL FUND DEPT |
| ||
|
| |||
| PERSHING LLC | 8.34 | ||
|
| |||
| T ROWE PRICE SERVICES INC FBO | 5.09 | ||
| EDUCATION TRUST OF ALASKA |
| ||
| PORTFOLIO FUTURE TRENDS |
| ||
| ATTN DAWN WAGNER FIXED INCOME |
| ||
FINANCIAL SERVICES FUNDI CLASS |
| TRUSTEES OF T ROWE PRICE |
| 88.01(a) |
| U.S. RETIREMENT PROGRAM |
| ||
| ATTN FINANCIAL REPORTING DEPT |
|
137
FUND |
| SHAREHOLDER |
| % |
FLOATING RATE FUND |
| NATIONAL FINANCIAL SERVICES |
| 5.18 |
| FOR THE EXCLUSIVE BENEFIT |
| ||
| OF OUR CUSTOMERS |
| ||
|
| |||
| RETIREMENT PORTFOLIO 2020 | 9.06 | ||
| T ROWE PRICE ASSOCIATES |
| ||
| ATT FUND ACCOUNTING DEPT |
| ||
|
| |||
| RETIREMENT PORTFOLIO 2025 | 6.44 | ||
| T ROWE PRICE ASSOCIATES |
| ||
| ATT FUND ACCOUNTING DEPT |
| ||
|
| |||
| RETIREMENT PORTFOLIO 2030 | 6.05 | ||
| T ROWE PRICE ASSOCIATES |
| ||
| ATTN FUND ACCOUNTING DEPT |
| ||
|
| |||
| SPECTRUM INCOME FUND | 23.42 | ||
| T. ROWE PRICE ASSOCIATES |
| ||
| ATTN: FUND ACCOUNTING DEPT |
| ||
FLOATING RATE FUNDADVISOR CLASS |
| CHARLES SCHWAB & CO INC |
| 18.06 |
| REINVEST ACCOUNT |
| ||
| ATTN MUTUAL FUND DEPT |
| ||
|
| |||
| NATIONAL FINANCIAL SERVICES | 58.11(b) | ||
| FOR THE EXCLUSIVE BENEFIT |
| ||
| OF OUR CUSTOMERS |
| ||
|
| |||
| PERSHING LLC | 12.60 | ||
|
| |||
| TD AMERITRADE INC FBO | 5.56 | ||
| OUR CUSTOMERS |
|
138
FUND |
| SHAREHOLDER |
| % |
FLOATING RATE FUNDI CLASS |
| PERSHING LLC |
| 5.97 |
|
| |||
| RETIREMENT I 2015 FUND | 5.71 | ||
| T ROWE PRICE ASSOCIATES |
| ||
| ATTN FUND ACCOUNTING DEPT |
| ||
|
| |||
| RETIREMENT I 2020 FUND | 16.96 | ||
| T ROWE PRICE ASSOCIATES |
| ||
| ATTN FUND ACCOUNTING DEPT |
| ||
|
| |||
| RETIREMENT I 2025 FUND | 12.29 | ||
| T ROWE PRICE ASSOCIATES |
| ||
| ATTN FUND ACCOUNTING DEPT |
| ||
|
| |||
| RETIREMENT I 2030 FUND | 12.37 | ||
| T ROWE PRICE ASSOCIATES |
| ||
| ATTN FUND ACCOUNTING DEPT |
| ||
|
| |||
| RETIREMENT I 2035 FUND | 5.56 | ||
| T ROWE PRICE ASSOCIATES |
| ||
| ATTN FUND ACCOUNTING DEPT |
| ||
FLOATING RATE MULTI-SECTOR ACCOUNT PORTFOLIO |
| CBE OF NEW BRUNSWICK |
| 38.64(b) |
| FLOATING RATE MAP |
| ||
|
| |||
| GENERAL DYNAMICS CORP 401K | 15.39 | ||
| PLAN MASTER TRUST CP |
| ||
|
| |||
| ILLINOIS STUDENT ASSISTANCE | 6.72 | ||
| COMMISSION |
| ||
| ATTN: KENT CUSTER |
| ||
|
| |||
| T ROWE PRICE ASSOCIATES | 30.37(c) | ||
| ATTN FINANCIAL REPORTING DEPT |
| ||
|
| |||
| XCEL ENERGY INC. | 5.49 | ||
| ATTN: GREG ZICK |
| ||
| 414 NICOLLET MALL |
| ||
| MINNEAPOLIS MN 55401-1993 |
|
139
FUND |
| SHAREHOLDER |
| % |
GEORGIA TAX-FREE BOND FUND |
| CHARLES SCHWAB & CO INC |
| 11.90 |
| REINVEST ACCOUNT |
| ||
| ATTN MUTUAL FUND DEPT |
| ||
|
| |||
| NATIONAL FINANCIAL SERVICES | 17.16 | ||
| FOR THE EXCLUSIVE BENEFIT |
| ||
| OF OUR CUSTOMERS |
| ||
|
| |||
| SEI PRIVATE TRUST COMPANY | 14.93 | ||
| ATTN MUTUAL FUND ADMINISTRATOR |
| ||
| C/O SUNTRUST BANK |
| ||
| ONE FREEDOM VALLEY DR |
| ||
| OAKS PA 19456-9989 |
| ||
GEORGIA TAX-FREE BOND FUNDI CLASS |
| CHARLES SCHWAB & CO INC |
| 14.79 |
| SPECIAL CUSTODY A/C FBO CUSTOMERS |
| ||
| ATTN MUTUAL FUNDS |
| ||
|
| |||
| GARY E IVEY | 42.33(b) | ||
|
| |||
| NORA T HUGHES | 6.40 | ||
|
| |||
| PERSHING LLC | 5.19 | ||
|
| |||
| STEPHEN M HUGHES | 5.65 | ||
|
| |||
| T ROWE PRICE ASSOCIATES | 5.03 | ||
| ATTN FINANCIAL REPORTING DEPT |
| ||
|
| |||
| WILLIAM KENT NICHOLS T O D | 20.60 |
140
FUND |
| SHAREHOLDER |
| % |
GLOBAL ALLOCATION FUND |
| MORGAN STANLEY SMITH BARNEY |
| 10.63 |
| HARBORSIDE FINANCIAL CENTER |
| ||
| PLAZA 2 |
| ||
| 3RD FLOOR |
| ||
| JERSEY CITY NJ 07311 |
| ||
|
| |||
| NATIONAL FINANCIAL SERVICES | 11.63 | ||
| FOR THE EXCLUSIVE BENEFIT |
| ||
| OF OUR CUSTOMERS |
| ||
|
| |||
| PERSHING LLC | 8.32 | ||
|
| |||
| RAYMOND JAMES | 12.96 | ||
| OMNIBUS FOR MUTUAL FUNDS |
| ||
|
| |||
| T ROWE PRICE ASSOCIATES | 9.46 | ||
| ATTN FINANCIAL REPORTING DEPT |
| ||
|
| |||
| UBS WM USA | 7.87 | ||
| SPEC CDY A/C EXL BEN CUSTOMERS |
| ||
| OF UBSFI |
| ||
| 1000 HARBOR BLVD |
| ||
| WEEHAWKEN NJ 07086-6761 |
| ||
GLOBAL ALLOCATION FUNDADVISOR CLASS |
| CHARLES SCHWAB & CO INC |
| 10.90 |
| REINVEST ACCOUNT |
| ||
| ATTN MUTUAL FUND DEPT |
| ||
|
| |||
| CHARLES SCHWAB & CO INC | 7.88 | ||
| SPECIAL CUSTODY A/C FBO CUSTOMERS |
| ||
| ATTN MUTUAL FUNDS |
| ||
|
| |||
| LPL FINANCIAL | 11.25 | ||
| OMNIBUS CUSTOMER ACCOUNT |
| ||
| ATTN: MUTUAL FUND TRADING |
| ||
|
| |||
| NATIONAL FINANCIAL SERVICES | 49.19(b) | ||
| FOR THE EXCLUSIVE BENEFIT |
| ||
| OF OUR CUSTOMERS |
| ||
|
| |||
| PERSHING LLC | 10.66 | ||
|
| |||
| RAYMOND JAMES | 5.22 | ||
| OMNIBUS FOR MUTUAL FUNDS |
|
141
FUND |
| SHAREHOLDER |
| % |
GLOBAL ALLOCATION FUNDI CLASS |
| CHARLES SCHWAB & CO INC |
| 16.61 |
| REINVEST ACCOUNT |
| ||
| ATTN MUTUAL FUND DEPT |
| ||
|
| |||
| NATIONAL FINANCIAL SERVICES | 12.66 | ||
| FOR THE EXCLUSIVE BENEFIT |
| ||
| OF OUR CUSTOMERS |
| ||
|
| |||
| PERSHING LLC | 13.90 | ||
|
| |||
| SAXON & CO | 5.01 | ||
| PO BOX 94597 |
| ||
| CLEVELAND OH 44101-4597 |
| ||
|
| |||
| TD AMERITRADE INC FBO | 8.67 | ||
| OUR CUSTOMERS |
| ||
|
| |||
| TRUSTEES OF T ROWE PRICE | 20.33 | ||
| U.S. RETIREMENT PROGRAM |
| ||
| ATTN FINANCIAL REPORTING DEPT |
| ||
|
| |||
| WILLIAM J STROMBERG | 5.21 | ||
GLOBAL CONSUMER FUND |
| NATIONAL FINANCIAL SERVICES |
| 6.67 |
| FOR THE EXCLUSIVE BENEFIT |
| ||
| OF OUR CUSTOMERS |
| ||
|
| |||
| T ROWE PRICE ASSOCIATES | 52.90(c) | ||
| ATTN FINANCIAL REPORTING DEPT |
| ||
GLOBAL GROWTH STOCK FUNDADVISOR |
| CHARLES SCHWAB & CO INC |
| 11.76 |
CLASS | SPECIAL CUSTODY A/C FBO CUSTOMERS |
| ||
| ATTN MUTUAL FUNDS |
| ||
|
| |||
| MARK SMITH & GREGG DEVILBISS TTEE F | 22.76 | ||
| KENTNER SELLERS LLP PSP |
| ||
| C/O FASCORE LLC |
| ||
|
| |||
| NATIONAL FINANCIAL SERVICES | 6.88 | ||
| FOR THE EXCLUSIVE BENEFIT |
| ||
| OF OUR CUSTOMERS |
| ||
|
| |||
| PERSHING LLC | 15.24 | ||
|
| |||
| RAYMOND JAMES | 6.40 | ||
| OMNIBUS FOR MUTUAL FUNDS |
| ||
|
| |||
| T ROWE PRICE ASSOCIATES | 27.00(c) | ||
| ATTN FINANCIAL REPORTING DEPT |
|
142
FUND |
| SHAREHOLDER |
| % |
GLOBAL GROWTH STOCK FUNDI CLASS |
| MAC & CO |
| 11.75 |
| ATTN MUTUAL FUND OPERATIONS |
| ||
|
| |||
| MAC & CO | 29.26(b) | ||
| ATTN MUTUAL FUND OPS |
| ||
|
| |||
| MAC & CO | 31.34(b) | ||
| ATTN MUTUAL FUND OPS |
| ||
|
| |||
| NATIONAL MERIT SCHOLARSHIP | 15.60 | ||
| CORPORATION |
| ||
| 1560 SHERMAN AVENUE STE 200 |
| ||
| EVANSTON IL 60201-4897 |
| ||
|
| |||
| TRUSTEES OF T ROWE PRICE | 8.36 | ||
| U.S. RETIREMENT PROGRAM |
| ||
| ATTN FINANCIAL REPORTING DEPT |
| ||
GLOBAL HIGH INCOME BOND FUND |
| NATIONAL FINANCIAL SERVICES |
| 15.81 |
| FOR THE EXCLUSIVE BENEFIT |
| ||
| OF OUR CUSTOMERS |
| ||
|
| |||
| T ROWE PRICE ASSOCIATES | 20.57 | ||
| ATTN FINANCIAL REPORTING DEPT |
| ||
GLOBAL HIGH INCOME BOND FUNDADVISOR |
| CHARLES SCHWAB & CO INC |
| 18.76 |
CLASS | REINVEST ACCOUNT |
| ||
| ATTN MUTUAL FUND DEPT |
| ||
|
| |||
| NATIONAL FINANCIAL SERVICES | 15.43 | ||
| FOR THE EXCLUSIVE BENEFIT |
| ||
| OF OUR CUSTOMERS |
| ||
|
| |||
| PERSHING LLC | 20.88 | ||
|
| |||
| T ROWE PRICE ASSOCIATES | 16.35 | ||
| ATTN FINANCIAL REPORTING DEPT |
| ||
|
| |||
| TD AMERITRADE INC FBO | 28.57(b) | ||
| OUR CUSTOMERS |
|
143
FUND |
| SHAREHOLDER |
| % |
GLOBAL HIGH INCOME BOND FUNDI CLASS |
| CHARLES SCHWAB & CO INC |
| 66.87(b) |
| ATTN MUTUAL FUNDS |
| ||
|
| |||
| T ROWE PRICE TRUST CO | 6.48 | ||
| CUST FOR THE IRA OF |
| ||
| DAVID MILLER |
| ||
|
| |||
| TD AMERITRADE INC FBO | 16.73 | ||
| OUR CUSTOMERS |
| ||
|
| |||
| TRUSTEES OF T ROWE PRICE | 6.26 | ||
| U.S. RETIREMENT PROGRAM |
| ||
| ATTN FINANCIAL REPORTING DEPT |
| ||
GLOBAL INDUSTRIALS FUND |
| T ROWE PRICE ASSOCIATES |
| 36.58(c) |
| ATTN FINANCIAL REPORTING DEPT |
| ||
GLOBAL INDUSTRIALS FUNDI CLASS |
| T ROWE PRICE ASSOCIATES |
| 18.36 |
| ATTN FINANCIAL REPORTING DEPT |
| ||
|
| |||
| TRUSTEES OF T ROWE PRICE | 81.64(a) | ||
| U.S. RETIREMENT PROGRAM |
| ||
| ATTN FINANCIAL REPORTING DEPT |
| ||
GLOBAL MULTI-SECTOR BOND FUND |
| CHARLES SCHWAB & CO INC |
| 8.84 |
| SPECIAL CUSTODY A/C FBO CUSTOMERS |
| ||
| ATTN MUTUAL FUND DEPT |
| ||
|
| |||
| NATIONAL FINANCIAL SERVICES | 11.95 | ||
| FOR THE EXCLUSIVE BENEFIT |
| ||
| OF OUR CUSTOMERS |
| ||
|
| |||
| TD AMERITRADE INC FBO | 9.52 | ||
| OUR CUSTOMERS |
| ||
GLOBAL MULTI-SECTOR BOND FUNDADVISOR |
| LPL FINANCIAL |
| 7.30 |
CLASS | OMNIBUS CUSTOMER ACCOUNT |
| ||
| ATTN: MUTUAL FUND TRADING |
| ||
|
| |||
| NATIONAL FINANCIAL SERVICES | 45.19(b) | ||
| FOR THE EXCLUSIVE BENEFIT |
| ||
| OF OUR CUSTOMERS |
| ||
|
| |||
| PERSHING LLC | 8.99 | ||
|
| |||
| TD AMERITRADE INC FBO | 25.85(b) | ||
| OUR CUSTOMERS |
|
144
FUND |
| SHAREHOLDER |
| % |
GLOBAL MULTI-SECTOR BOND FUNDI CLASS |
| AMERICAN TRUST CENTER |
| 6.29 |
| 401 N 4TH ST SUITE 301 |
| ||
| BISMARCK ND 58501-4023 |
| ||
|
| |||
| CENTBANK & CO | 10.41 | ||
| 814 N WASHINGTON ST |
| ||
| PO BOX 700 |
| ||
| JUNCTION CITY KS 66441-0700 |
| ||
|
| |||
| LINCOLN RETIREMENT SERVICES COMPANY | 5.33 | ||
| FBO NORTHSTAR ANESTHESIA 401K PSP |
| ||
| PO BOX 7876 |
| ||
| FORT WAYNE IN 46801-7876 |
| ||
|
| |||
| NATIONAL FINANCIAL SERVICES | 11.26 | ||
| FOR THE EXCLUSIVE BENEFIT |
| ||
| OF OUR CUSTOMERS |
| ||
|
| |||
| SEI PRIVATE TRUST COMPANY | 21.88 | ||
| C/O HEARTLAND |
| ||
|
| |||
| SEI PRIVATE TRUST COMPANY | 5.42 | ||
| C/O MELLON BANK |
| ||
|
| |||
| TD AMERITRADE INC FBO | 7.56 | ||
| OUR CUSTOMERS |
| ||
GLOBAL REAL ESTATE FUND |
| CHARLES SCHWAB & CO INC |
| 7.07 |
| REINVEST ACCOUNT |
| ||
| ATTN MUTUAL FUND DEPT |
| ||
|
| |||
| NATIONAL FINANCIAL SERVICES | 7.90 | ||
| FOR THE EXCLUSIVE BENEFIT |
| ||
| OF OUR CUSTOMERS |
| ||
|
| |||
| PERSHING LLC | 5.04 | ||
|
| |||
| TD AMERITRADE INC FBO | 11.46 | ||
| OUR CUSTOMERS |
|
145
FUND |
| SHAREHOLDER |
| % |
GLOBAL REAL ESTATE FUNDADVISOR CLASS |
| CHARLES SCHWAB & CO INC |
| 17.70 |
| REINVEST ACCOUNT |
| ||
| ATTN MUTUAL FUND DEPT |
| ||
|
| |||
| GREAT-WEST LIFE & ANNUITY | 7.44 | ||
| FBO FUTURE FUNDS II |
| ||
|
| |||
| GREAT-WEST TRUST COMPANY LLC FBO | 24.84 | ||
| EMPLOYEE BENEFITS CLIENTS 401K |
| ||
|
| |||
| LINCOLN RETIREMENT SERVICES COMPANY | 8.47 | ||
| FBO OAKLAWN HOSPITAL 403(B) PLAN |
| ||
|
| |||
| NATIONAL FINANCIAL SERVICES | 16.82 | ||
| FOR THE EXCLUSIVE BENEFIT |
| ||
| OF OUR CUSTOMERS |
| ||
GLOBAL REAL ESTATE FUNDI CLASS |
| NATIONAL FINANCIAL SERVICES LLC |
| 74.32(b) |
| FOR THE EXCLUSIVE BENEFIT |
| ||
| OF OUR CUSTOMERS |
| ||
|
| |||
| TRUSTEES OF T ROWE PRICE | 19.81 | ||
| U.S. RETIREMENT PROGRAM |
| ||
| ATTN FINANCIAL REPORTING DEPT |
| ||
GLOBAL STOCK FUND |
| NATIONAL FINANCIAL SERVICES |
| 8.46 |
| FOR THE EXCLUSIVE BENEFIT |
| ||
| OF OUR CUSTOMERS |
| ||
|
| |||
| PERSHING LLC | 7.48 | ||
GLOBAL STOCK FUNDADVISOR CLASS |
| LPL FINANCIAL |
| 8.66 |
| OMNIBUS CUSTOMER ACCOUNT |
| ||
| ATTN: MUTUAL FUND TRADING |
| ||
|
| |||
| NATIONAL FINANCIAL SERVICES | 5.77 | ||
| FOR THE EXCLUSIVE BENEFIT |
| ||
| OF OUR CUSTOMERS |
| ||
|
| |||
| TRUST COMPANY OF AMERICA | 7.07 | ||
| PO BOX 6503 |
| ||
| ENGLEWOOD CO 80155-6503 |
| ||
|
| |||
| UMB BANK N/A | 70.67(b) | ||
| FBO FIDUCIARY FOR VARIOUS |
| ||
| RETIREMENT PROGRAMS |
|
146
FUND |
| SHAREHOLDER |
| % |
GLOBAL STOCK FUNDI CLASS |
| JPMORGAN CHASE BANK NA AS CUSTODIAN |
| 20.18 |
| FBO E&Y PARTNERSHIP DEFINED BENEFIT |
| ||
|
| |||
| JPMORGAN CHASE BANK NA AS CUSTODIAN | 21.00 | ||
| JPM AS DIRECTED TRUSTEE FOR ERNST&Y |
| ||
|
| |||
| JPMORGAN CHASE BANK NA AS CUSTODIAN | 15.91 | ||
| JPMORGAN AS DIRECTED TRUSTEE THE ER |
| ||
|
| |||
| JPMORGAN CHASE BANK NA AS CUSTODIAN | 12.12 | ||
| JPMORGAN CHASE BANK N A AS CUSTO |
| ||
| 4 CHASE METROTECH CTR |
| ||
| BROOKLYN NY 11245-0003 |
| ||
|
| |||
| NATIONAL FINANCIAL SERVICES LLC | 14.83 | ||
| FOR THE EXCLUSIVE BENEFIT |
| ||
| OF OUR CUSTOMERS |
| ||
GLOBAL TECHNOLOGY FUND |
| CHARLES SCHWAB & CO INC |
| 5.67 |
| REINVEST ACCOUNT |
| ||
| ATTN MUTUAL FUND DEPT |
| ||
|
| |||
| MLPF&S FOR THE SOLE BENEFIT OF | 5.46 | ||
| ITS CUSTOMERS |
| ||
|
| |||
| NATIONAL FINANCIAL SERVICES | 9.95 | ||
| FOR THE EXCLUSIVE BENEFIT |
| ||
| OF OUR CUSTOMERS |
| ||
|
| |||
| PERSHING LLC | 7.11 | ||
|
| |||
| WELLS FARGO CLEARING SERVICES LLC | 5.08 | ||
| SPECIAL CUSTODY ACCT FOR THE |
| ||
| EXCLUSIVE BENEFIT OF CUSTOMERS |
|
147
FUND |
| SHAREHOLDER |
| % |
GLOBAL TECHNOLOGY FUNDI CLASS |
| CHARLES SCHWAB & CO INC |
| 26.41(b) |
| REINVEST ACCOUNT |
| ||
| ATTN MUTUAL FUND DEPT |
| ||
|
| |||
| NATIONAL FINANCIAL SERVICES LLC | 26.81(b) | ||
| FOR THE EXCLUSIVE BENEFIT |
| ||
| OF OUR CUSTOMERS |
| ||
|
| |||
| SEI PRIVATE TRUST COMAPNY | 5.01 | ||
| C/O STEELE STREET |
| ||
| ATTN MUTUAL FUND ADMIN |
| ||
|
| |||
| TAYNIK & CO | 5.74 | ||
| C/O STATE STREET BANK |
| ||
| 1200 CROWN COLONY DR |
| ||
| QUINCY MA 02169-0938 |
| ||
|
| |||
| TD AMERITRADE INC FBO | 7.41 | ||
| OUR CUSTOMERS |
| ||
|
| |||
| TRUSTEES OF T ROWE PRICE | 9.44 | ||
| U.S. RETIREMENT PROGRAM |
| ||
| ATTN FINANCIAL REPORTING DEPT |
| ||
GNMA FUND |
| SPECTRUM INCOME FUND |
| 42.56(d) |
| T. ROWE PRICE ASSOCIATES |
| ||
| ATTN: FUND ACCOUNTING DEPT |
| ||
GNMA FUNDI CLASS |
| CHARLES SCHWAB & CO INC |
| 11.23 |
| SPECIAL CUSTODY A/C FBO CUSTOMERS |
| ||
| ATTN MUTUAL FUNDS |
| ||
|
| |||
| T ROWE PRICE ASSOCIATES | 7.04 | ||
| ATTN FINANCIAL REPORTING DEPT |
| ||
|
| |||
| TRUSTEES OF T ROWE PRICE | 79.71(a) | ||
| U.S. RETIREMENT PROGRAM |
| ||
| ATTN FINANCIAL REPORTING DEPT |
| ||
GOVERNMENT MONEY FUND |
| T ROWE PRICE ASSOCIATES INC |
| 6.59 |
| ATTN FINANCIAL REPORTING DEPT |
| ||
|
| |||
| T ROWE PRICE INTERNATIONAL LTD | 5.35 | ||
| ATTN ANDREW CARTER |
|
148
FUND |
| SHAREHOLDER |
| % |
GOVERNMENT RESERVE FUND |
| COVEWATER & CO |
| 5.75 |
| C/O T ROWE PRICE ASSOC |
| ||
| ATTN MID CAP VALUE FUND |
| ||
|
| |||
| RAISIN & CO | 6.22 | ||
| C/O T ROWE PRICE ASSOC |
| ||
| ATTN INTERNATIONAL DISCOVERY FD |
| ||
|
| |||
| SEAMILE & CO | 8.68 | ||
| C/O T ROWE PRICE ASSOC |
| ||
| ATTN CAPITAL APPREC FUND |
| ||
|
| |||
| TUNA & CO | 6.62 | ||
| C/O T ROWE PRICE ASSOC |
| ||
| ATTN NEW INCOME FUND |
| ||
GROWTH & INCOME FUND |
| T ROWE PRICE TRUST CO INC |
| 6.00 |
| ATTN: TRPS INST CONTROL DEPT |
| ||
GROWTH & INCOME FUNDI CLASS |
| CHARLES SCHWAB & CO INC |
| 11.16 |
| REINVEST ACCOUNT |
| ||
| ATTN MUTUAL FUND DEPT |
| ||
|
| |||
| GARY M JACOBS | 42.66(b) | ||
| JANET L JACOBS JT TEN |
| ||
| C/O J2 PARTNERS LLC |
| ||
|
| |||
| HERMAN & WALTER SAMUELSON | 17.45 | ||
| FOUNDATION INC |
| ||
|
| |||
| STEPHEN HUDSON & STEPHEN HUDSON AGT | 7.69 | ||
| HUDSON FAMILY REVOCABLE TRUST |
| ||
|
| |||
| TRAC 2000 | 5.33 | ||
| BEAN KINNEY & KORMAN PC 401K |
| ||
| LISA A ANTONELLI |
|
149
FUND |
| SHAREHOLDER |
| % |
GROWTH STOCK FUND |
| NATIONAL FINANCIAL SERVICES |
| 7.47 |
| FOR THE EXCLUSIVE BENEFIT |
| ||
| OF OUR CUSTOMERS |
| ||
|
| |||
| RETIREMENT PORTFOLIO 2040 | 7.91 | ||
| T ROWE PRICE ASSOCIATES |
| ||
| ATT FUND ACCOUNTING DEPT |
| ||
|
| |||
| RETIREMENT PORTFOLIO 2030 | 8.07 | ||
| T ROWE PRICE ASSOCIATES |
| ||
| ATTN FUND ACCOUNTING DEPT |
| ||
|
| |||
| RETIREMENT PORTFOLIO 2035 | 5.96 | ||
| T ROWE PRICE ASSOCIATES |
| ||
| ATT FUND ACCOUNTING DEPT |
| ||
|
| |||
| T ROWE PRICE TRUST CO INC | 5.81 | ||
| ATTN: TRPS INST CONTROL DEPT |
| ||
GROWTH STOCK FUNDADVISOR CLASS |
| NATIONAL FINANCIAL SERVICES |
| 24.42 |
| FOR THE EXCLUSIVE BENEFIT |
| ||
| OF OUR CUSTOMERS |
| ||
|
| |||
| NATIONWIDE LIFE INSURANCE CO | 9.67 | ||
| DCVA |
| ||
| C/O IPO PORTFOLIO ACCOUNTING |
| ||
|
| |||
| VANTAGETRUST - UNITIZED | 19.26 | ||
| C/O ICMA RETIREMENT CORPORATION |
| ||
| 777 NORTH CAPITOL STREET NE |
| ||
| WASHINGTON DC 20002-4239 |
| ||
GROWTH STOCK FUNDI CLASS |
| CHARLES SCHWAB & CO INC |
| 11.22 |
| ATTN MUTUAL FUNDS |
| ||
| 101 MONTGOMERY ST |
| ||
| SAN FRANCISCO CA 94104-4151 |
| ||
|
| |||
| NATIONAL FINANCIAL SERVICES LLC | 10.45 | ||
| FOR THE EXCLUSIVE BENEFIT |
| ||
| OF OUR CUSTOMERS |
| ||
|
| |||
| RETIREMENT I 2040 FUND | 5.41 | ||
| T ROWE PRICE ASSOCIATES |
| ||
| ATTN FUND ACCOUNTING DEPT |
|
150
FUND |
| SHAREHOLDER |
| % |
GROWTH STOCK FUNDR CLASS |
| AXA EQUITABLE FOR SA NO 65 |
| 7.22 |
| 500 PLAZA DR FL 7 |
| ||
| SECAUCUS NJ 07094-3619 |
| ||
|
| |||
| HARTFORD LIFE INSURANCE CO | 7.82 | ||
| SEPARATE ACCOUNT |
| ||
| ATTN UIT OPERATIONS |
| ||
|
| |||
| STATE STREET BANK AND TRUST AS | 16.15 | ||
| TRUSTEE AND/OR CUSTODIAN |
| ||
| FBO ADP ACCESS PRODUCT |
| ||
|
| |||
| SUNTRUST BANK FBO | 8.51 | ||
| VARIOUS SUNTRUST OMNIBUS ACCOUNTS |
| ||
| 8515 E ORCHARD RD 2T2 |
| ||
| GREENWOOD VLG CO 80111-5002 |
| ||
|
| |||
| UMB BANK NA SFR | 8.91 | ||
| FBO FIDUCIARY FOR TAX DEFERRED |
| ||
| ACCOUNTS GROUP |
| ||
HEALTH SCIENCES FUND |
| CHARLES SCHWAB & CO INC |
| 5.40 |
| REINVEST ACCOUNT |
| ||
| ATTN MUTUAL FUND DEPT |
| ||
|
| |||
| JOHN HANCOCK LIFE | 6.44 | ||
| INSURANCE CO USA |
| ||
| RPS TRADING OPS ST-4 |
| ||
| 601 CONGRESS STREET |
| ||
| BOSTON MA 02210-2804 |
| ||
|
| |||
| NATIONAL FINANCIAL SERVICES | 8.02 | ||
| FOR THE EXCLUSIVE BENEFIT |
| ||
| OF OUR CUSTOMERS |
| ||
HEALTH SCIENCES FUNDI CLASS |
| CHARLES SCHWAB & CO INC |
| 5.27 |
| REINVEST ACCOUNT |
| ||
| ATTN MUTUAL FUND DEPT |
| ||
|
| |||
| NATIONAL FINANCIAL SERVICES | 16.53 | ||
| FOR THE EXCLUSIVE BENEFIT |
| ||
| OF OUR CUSTOMERS |
| ||
|
| |||
| TRUSTEES OF T ROWE PRICE | 19.70 | ||
| U.S. RETIREMENT PROGRAM |
| ||
| ATTN FINANCIAL REPORTING DEPT |
|
151
FUND |
| SHAREHOLDER |
| % |
HIGH YIELD FUND |
| RETIREMENT PORTFOLIO 2020 |
| 9.02 |
| T ROWE PRICE ASSOCIATES |
| ||
| ATT FUND ACCOUNTING DEPT |
| ||
|
| |||
| RETIREMENT PORTFOLIO 2025 | 6.48 | ||
| T ROWE PRICE ASSOCIATES |
| ||
| ATT FUND ACCOUNTING DEPT |
| ||
|
| |||
| RETIREMENT PORTFOLIO 2030 | 6.12 | ||
| T ROWE PRICE ASSOCIATES |
| ||
| ATTN FUND ACCOUNTING DEPT |
| ||
|
| |||
| SPECTRUM INCOME FUND | 16.21 | ||
| T. ROWE PRICE ASSOCIATES |
| ||
| ATTN: FUND ACCOUNTING DEPT |
| ||
HIGH YIELD FUNDADVISOR CLASS |
| CHARLES SCHWAB & CO INC |
| 10.00 |
| REINVEST ACCOUNT |
| ||
| ATTN MUTUAL FUND DEPT |
| ||
|
| |||
| NATIONAL FINANCIAL SERVICES | 52.52(b) | ||
| FOR THE EXCLUSIVE BENEFIT |
| ||
| OF OUR CUSTOMERS |
| ||
|
| |||
| RELIANCE TRUST COMPANY FBO | 6.53 | ||
| C/C FASCORE LLC |
| ||
| RETIREMENT PLANS SERVICED BY METLIFE |
| ||
HIGH YIELD FUNDI CLASS |
| EDWARD D JONES & CO |
| 47.07(b) |
| FOR THE BENEFIT OF CUSTOMERS |
| ||
|
| |||
| NATIONAL FINANCIAL SERVICES LLC | 19.15 | ||
| FOR THE EXCLUSIVE BENEFIT |
| ||
| OF OUR CUSTOMERS |
| ||
HIGH YIELD MULTI-SECTOR ACCOUNT |
| BALTIMORE EQUITABLE SOCIETY |
| 5.71 |
PORTFOLIO | ATTN MARY HARLEE |
| ||
| 100 N CHARLES ST STE 640 |
| ||
| BALTIMORE MD 21201-3808 |
| ||
|
| |||
| GENERAL DYNAMICS CORP 401K | 19.71 | ||
| PLAN MASTER TRUST CP |
| ||
|
| |||
| T ROWE PRICE ASSOCIATES | 71.06(c) | ||
| ATTN FINANCIAL REPORTING DEPT |
|
152
FUND |
| SHAREHOLDER |
| % |
INFLATION PROTECTED BOND FUND |
| NATIONAL FINANCIAL SERVICES |
| 5.58 |
| FOR THE EXCLUSIVE BENEFIT |
| ||
| OF OUR CUSTOMERS |
| ||
|
| |||
| SPECTRUM INCOME FUND | 23.17 | ||
| T. ROWE PRICE ASSOCIATES |
| ||
| ATTN: FUND ACCOUNTING DEPT |
| ||
|
| |||
| T ROWE PRICE RPS INC | 5.09 | ||
| OMNIBUS ACCOUNT |
| ||
| INFLATION PROTECTED BOND, #147 |
| ||
INFLATION PROTECTED BOND FUNDI CLASS |
| BREAD & CO |
| 22.29 |
| C/O T ROWE PRICE ASSOC |
| ||
| ATTN BALANCED FUND |
| ||
|
| |||
| LADYBIRD & CO | 21.12 | ||
| C/O T ROWE PRICE ASSOC |
| ||
| ATTN PERS STRATEGY INCOME FD |
| ||
|
| |||
| LADYBUG & CO | 14.35 | ||
| C/O T ROWE PRICE ASSOC |
| ||
| ATTN PERS STRATEGY BALANCED FD |
| ||
|
| |||
| LAKESIDE & CO | 7.58 | ||
| C/O T ROWE PRICE ASSOC |
| ||
| ATTN PERS STRATEGY GROWTH FUND |
| ||
|
| |||
| TRUSTEES OF T ROWE PRICE | 6.59 | ||
| U.S. RETIREMENT PROGRAM |
| ||
| ATTN FINANCIAL REPORTING DEPT |
| ||
INSTITUTIONAL AFRICA & MIDDLE EAST FUND |
| NATIONAL FINANCIAL SERVICES LLC |
| 69.68(b) |
| FOR THE EXCLUSIVE BENEFIT |
| ||
| OF OUR CUSTOMERS |
| ||
|
| |||
| NORTHERN TRUST AS CUSTODIAN FBO | 6.33 | ||
| JOHN E FETZER INSTITUTE |
| ||
| PO BOX 92956 |
| ||
| CHICAGO IL 60675-0001 |
| ||
|
| |||
| UNIVERSITY OF ARKANSAS | 21.93 | ||
| FOUNDATION INC |
| ||
| 535 W RESEARCH CENTER BLVD STE 120 |
| ||
| FAYETTEVILLE AR 72701-6944 |
|
153
FUND |
| SHAREHOLDER |
| % |
INSTITUTIONAL CORE PLUS FUND |
| BAND & CO C/O US BANK NA |
| 8.12 |
| 1555 N RIVERCENTER DR STE 302 |
| ||
| MILWAUKEE WI 53212-3958 |
| ||
|
| |||
| JEANETTE STUMP & | 9.88 | ||
| JAMES CARNEY & HOWARD KLINE TRS |
| ||
| SPECIAL METALS CORPORATION RETIREE |
| ||
| BENEFIT TRUST |
| ||
|
| |||
| NATIONAL FINANCIAL SERVICES | 27.43(b) | ||
| FOR THE EXCLUSIVE BENEFIT |
| ||
| OF OUR CUSTOMERS |
| ||
|
| |||
| SEI PRIVATE TRUST COMPANY | 11.67 | ||
| C/O SUNTRUST BANK |
| ||
| FBO 7964992 THE CHURCH FOUNDATION |
| ||
| ATTN; MUTUAL FUND ADMIN |
| ||
INSTITUTIONAL CREDIT OPPORTUNITIES FUND |
| BOWMAN & CO |
| 10.04 |
| C/O T ROWE PRICE ASSOC |
| ||
| ATTN: HIGH YIELD FUND |
| ||
|
| |||
| T ROWE PRICE ASSOCIATES | 84.12(c) | ||
| ATTN FINANCIAL REPORTING DEPT |
| ||
|
| |||
| TRUSTEES OF T ROWE PRICE | 5.84 | ||
| U.S. RETIREMENT PROGRAM |
| ||
| ATTN FINANCIAL REPORTING DEPT |
|
154
FUND |
| SHAREHOLDER |
| % |
INSTITUTIONAL EMERGING MARKETS BOND |
| CHARLES SCHWAB & CO INC |
| 11.41 |
FUND | REINVEST ACCOUNT |
| ||
| ATTN MUTUAL FUND DEPT |
| ||
|
| |||
| LADYBIRD & CO | 31.00(d) | ||
| C/O T ROWE PRICE ASSOC |
| ||
| ATTN PERS STRATEGY INCOME FD |
| ||
|
| |||
| LADYBUG & CO | 21.22 | ||
| C/O T ROWE PRICE ASSOC |
| ||
| ATTN PERS STRATEGY BALANCED FD |
| ||
|
| |||
| LAKESIDE & CO | 8.53 | ||
| C/O T ROWE PRICE ASSOC |
| ||
| ATTN PERS STRATEGY GROWTH FUND |
| ||
|
| |||
| NATIONAL FINANCIAL SERVICES | 6.43 | ||
| FOR THE EXCLUSIVE BENEFIT |
| ||
| OF OUR CUSTOMERS |
| ||
|
| |||
| VANGUARD FIDUCIARY TRUST COMPANY | 5.66 | ||
| ATTN INVESTMENT SERVICES |
| ||
| FBO 401K CLIENTS |
| ||
INSTITUTIONAL EMERGING MARKETS EQUITY |
| GOLDMAN SACHS & CO |
| 13.51 |
FUND | EXCLUSIVE BENEFIT OF CUSTOMERS |
| ||
| 85 BROAD ST |
| ||
| NEW YORK NY 10004-2434 |
| ||
|
| |||
| JPMORGAN CHASE BANK NA AS CUSTODIAN | 5.67 | ||
| JPMORGAN CHASE BANK, N. A. AS CUSTO |
| ||
|
| |||
| LAKESIDE & CO | 6.00 | ||
| C/O T ROWE PRICE ASSOC |
| ||
| ATTN PERS STRATEGY GROWTH FUND |
| ||
|
| |||
| NATIONAL FINANCIAL SERVICES | 10.85 | ||
| FOR THE EXCLUSIVE BENEFIT |
| ||
| OF OUR CUSTOMERS |
| ||
|
| |||
| WELLS FARGO BANK NA FBO | 27.51(b) | ||
| OMNIBUS ACCOUNT CASH/CASH |
|
155
FUND |
| SHAREHOLDER |
| % |
INSTITUTIONAL FLOATING RATE FUND |
| CHARLES SCHWAB & CO INC |
| 11.18 |
| SPECIAL CUSTODY A/C FBO CUSTOMERS |
| ||
| ATTN MUTUAL FUND DEPT |
| ||
|
| |||
| J.P. MORGAN SECURITIES LLC | 11.00 | ||
| FOR THE EXCLUSIVE BENEFIT |
| ||
| OF OUR CUSTOMERS |
| ||
|
| |||
| NATIONAL FINANCIAL SERVICES LLC | 13.27 | ||
| FOR THE EXCLUSIVE BENEFIT |
| ||
| OF OUR CUSTOMERS |
| ||
|
| |||
| TUNA & CO | 16.73 | ||
| C/O T ROWE PRICE ASSOC |
| ||
| ATTN NEW INCOME FUND |
| ||
|
| |||
| WELLS FARGO BANK NA FBO | 11.40 | ||
| OMNIBUS ACCOUNT CASH/CASH |
| ||
INSTITUTIONAL FLOATING RATE FUNDF CLASS |
| CHARLES SCHWAB & CO INC |
| 7.12 |
| REINVEST ACCOUNT |
| ||
| ATTN MUTUAL FUND DEPT |
| ||
|
| |||
| NATIONAL FINANCIAL SERVICES | 8.16 | ||
| FOR THE EXCLUSIVE BENEFIT |
| ||
| OF OUR CUSTOMERS |
| ||
|
| |||
| SAXON & CO | 6.70 | ||
|
| |||
| SAXON & CO | 48.80(b) | ||
|
| |||
| TD AMERITRADE INC FBO | 16.97 | ||
| OUR CUSTOMERS |
| ||
INSTITUTIONAL FRONTIER MARKETS EQUITY |
| CHARLES SCHWAB & CO INC |
| 7.06 |
FUND | SPECIAL CUSTODY A/C FBO CUSTOMERS |
| ||
| ATTN MUTUAL FUND DEPT |
| ||
|
| |||
| NATIONAL FINANCIAL SERVICES | 11.00 | ||
| FOR THE EXCLUSIVE BENEFIT |
| ||
| OF OUR CUSTOMERS |
| ||
|
| |||
| SEI PRIVATE TRUST COMPANY | 28.06(b) | ||
| ATTN MUTUAL FUNDS ADMIN |
| ||
| C/O CHOATE HALL & STEWART |
| ||
|
| |||
| T ROWE PRICE ASSOCIATES | 37.73(c) | ||
| ATTN FINANCIAL REPORTING DEPT |
|
156
FUND |
| SHAREHOLDER |
| % |
INSTITUTIONAL GLOBAL FOCUSED GROWTH |
| NATIONAL FINANCIAL SERVICES |
| 31.01(b) |
EQUITY FUND | FOR THE EXCLUSIVE BENEFIT |
| ||
| OF OUR CUSTOMERS |
| ||
|
| |||
| TRUSTEES OF T ROWE PRICE | 68.99(a) | ||
| U.S. RETIREMENT PROGRAM |
| ||
| ATTN FINANCIAL REPORTING DEPT |
| ||
INSTITUTIONAL GLOBAL GROWTH EQUITY FUND |
| CHARLES SCHWAB & CO INC |
| 23.68 |
| SPECIAL CUSTODY A/C FBO CUSTOMERS |
| ||
| ATTN MUTUAL FUND DEPT |
| ||
|
| |||
| NATIONAL FINANCIAL SERVICES | 59.31(b) | ||
| FOR THE EXCLUSIVE BENEFIT |
| ||
| OF OUR CUSTOMERS |
| ||
|
| |||
| SAXON & CO | 5.11 | ||
| P O BOX 7780-1888 |
| ||
| PHILADELPHIA PA 19182-0001 |
| ||
|
| |||
| STATE STREET BANK AND TRUST AS | 9.10 | ||
| TTEE FOR THE MASTER TRUST FOR |
| ||
| DEFINED BENEFIT PLANS |
| ||
| OF SYNGENTA CORPORATION |
| ||
| 801 PENNSYLVANIA AVE |
| ||
| KANSAS CITY MO 64105-1307 |
| ||
INSTITUTIONAL GLOBAL MULTI-SECTOR BOND |
| JPMORGAN CHASE BANK, N. A. AS |
| 35.81(b) |
FUND | CUSTODIAN FBO |
| ||
|
| |||
| NATIONAL FINANCIAL SERVICES | 31.21(b) | ||
| FOR THE EXCLUSIVE BENEFIT |
| ||
| OF OUR CUSTOMERS |
| ||
|
| |||
| TRUSTEES OF T ROWE PRICE | 32.98(a) | ||
| U.S. RETIREMENT PROGRAM |
| ||
| ATTN FINANCIAL REPORTING DEPT |
| ||
INSTITUTIONAL GLOBAL VALUE EQUITY FUND |
| T ROWE PRICE ASSOCIATES |
| 82.47(c) |
| ATTN FINANCIAL REPORTING DEPT |
| ||
|
| |||
| TRUSTEES OF T ROWE PRICE | 17.53 | ||
| U.S. RETIREMENT PROGRAM |
| ||
| ATTN FINANCIAL REPORTING DEPT |
|
157
FUND |
| SHAREHOLDER |
| % |
INSTITUTIONAL HIGH YIELD FUND |
| BREAD & CO |
| 9.04 |
| C/O T ROWE PRICE ASSOC |
| ||
| ATTN BALANCED FUND |
| ||
|
| |||
| GOLDMAN SACHS & CO | 12.62 | ||
| EXCLUSIVE BENEFIT OF CUSTOMERS |
| ||
|
| |||
| LADYBIRD & CO | 6.01 | ||
| C/O T ROWE PRICE ASSOC |
| ||
| ATTN PERS STRATEGY INCOME FD |
| ||
|
| |||
| NATIONAL FINANCIAL SERVICES | 17.13 | ||
| FOR THE EXCLUSIVE BENEFIT |
| ||
| OF OUR CUSTOMERS |
| ||
|
| |||
| TUNA & CO | 5.04 | ||
| C/O T ROWE PRICE ASSOC |
| ||
| ATTN NEW INCOME FUND |
| ||
INSTITUTIONAL INTERNATIONAL BOND FUND |
| LADYBIRD & CO |
| 24.81 |
| C/O T ROWE PRICE ASSOC |
| ||
| ATTN PERS STRATEGY INCOME FD |
| ||
|
| |||
| LADYBUG & CO | 18.13 | ||
| C/O T ROWE PRICE ASSOC |
| ||
| ATTN PERS STRATEGY BALANCED FD |
| ||
|
| |||
| LAKESIDE & CO | 8.04 | ||
| C/O T ROWE PRICE ASSOC |
| ||
| ATTN PERS STRATEGY GROWTH FUND |
| ||
|
| |||
| PERSHING LLC | 7.41 | ||
|
| |||
| TD AMERITRADE INC FBO | 30.53(b) | ||
| OUR CUSTOMERS |
|
158
FUND |
| SHAREHOLDER |
| % |
INSTITUTIONAL INTERNATIONAL |
| CHARLES SCHWAB & CO INC |
| 25.14(b) |
CONCENTRATED EQUITY FUND | SPECIAL CUSTODY A/C FBO CUSTOMERS |
| ||
| ATTN MUTUAL FUND DEPT |
| ||
|
| |||
| COLUMBIA TRUST PARTNERS | 5.56 | ||
| COLUMBIA TRUST PARTNERS |
| ||
| PO BOX 1012 |
| ||
| SALEM OR 97308-1012 |
| ||
|
| |||
| NATIONAL FINANCIAL SERVICES | 25.86(b) | ||
| FOR THE EXCLUSIVE BENEFIT |
| ||
| OF OUR CUSTOMERS |
| ||
|
| |||
| PERSHING LLC | 20.28 | ||
|
| |||
| T ROWE PRICE ASSOCIATES | 12.69 | ||
| ATTN FINANCIAL REPORTING DEPT |
| ||
INSTITUTIONAL INTERNATIONAL CORE EQUITY |
| CHARLES SCHWAB & CO INC |
| 5.19 |
FUND | SPECIAL CUSTODY A/C FBO CUSTOMERS |
| ||
| ATTN MUTUAL FUND DEPT |
| ||
|
| |||
| DEKALB COUNTY PENSION PLAN | 72.08(b) | ||
|
| |||
| WELLS FARGO BANK NA FBO | 10.90 | ||
| NPPD FOREIGN EQUITY FUND |
| ||
INSTITUTIONAL INTERNATIONAL GROWTH |
| BNA FOREIGN EQUITY FUND |
| 38.19(b) |
EQUITY FUND | ATTN MR ROBERT SHEW |
| ||
|
| |||
| KEYBANK NA | 13.99 | ||
| LINK-BELT EE RETMT-T. ROWE PRICE PR |
| ||
| P.O. BOX 94871 |
| ||
| CLEVELAND OH 44101-4871 |
| ||
|
| |||
| NATIONAL FINANCIAL SERVICES | 34.59(b) | ||
| FOR THE EXCLUSIVE BENEFIT |
| ||
| OF OUR CUSTOMERS |
| ||
|
| |||
| SAXON & CO | 6.14 |
159
FUND |
| SHAREHOLDER |
| % |
INSTITUTIONAL LARGE-CAP CORE GROWTH |
| CHARLES SCHWAB & CO INC |
| 5.12 |
FUND | REINVEST ACCOUNT |
| ||
| ATTN MUTUAL FUND DEPT |
| ||
|
| |||
| NATIONAL FINANCIAL SVCS CORP | 38.16(b) | ||
| FOR EXCLUSIVE BENEFIT OF OUR |
| ||
| CUSTOMERS |
| ||
| RUSS LENNON |
| ||
|
| |||
| VANGUARD FIDUCIARY TRUST COMPANY | 12.74 | ||
| T ROWE INSTITUTIONAL CLASS |
| ||
| ATTN OUTSIDE FUNDS/SCOTT GELLERT |
| ||
INSTITUTIONAL LARGE-CAP GROWTH FUND |
| BANK OF AMERICA N.A. TTEE FOR |
| 5.27 |
| MERRILL LYNCH & CO INC 401K SAVINGS |
| ||
| & INVESTMENT PLAN |
| ||
| 700 LOUISIANA ST |
| ||
| HOUSTON TX 77002-2700 |
| ||
|
| |||
| BANK OF AMERICA NA TRUSTEE FOR | 11.73 | ||
| THE BANK OF AMERICA 401K PLAN |
| ||
|
| |||
| CHARLES SCHWAB & CO INC | 5.76 | ||
| REINVEST ACCOUNT |
| ||
| ATTN MUTUAL FUND DEPT |
| ||
|
| |||
| EDWARD D JONES & CO | 9.42 | ||
| FOR THE BENEFIT OF CUSTOMERS |
| ||
|
| |||
| NATIONAL FINANCIAL SERVICES LLC | 18.94 | ||
| FOR THE EXCLUSIVE BENEFIT |
| ||
| OF OUR CUSTOMERS |
| ||
INSTITUTIONAL LARGE-CAP VALUE FUND |
| CHARLES SCHWAB & CO INC |
| 7.20 |
| REINVEST ACCOUNT |
| ||
| ATTN MUTUAL FUND DEPT |
| ||
|
| |||
| NATIONAL FINANCIAL SERVICES LLC | 48.61(b) | ||
| FOR THE EXCLUSIVE BENEFIT |
| ||
| OF OUR CUSTOMERS |
| ||
|
| |||
| TIAA, FSB CUST/TTEE FBO | 10.73 | ||
| RETIREMENT PLANS FOR WHICH |
| ||
| TIAA ACTS AS RECORDKEEPER |
| ||
| ATTN TRUST OPERATIONS |
| ||
| 211 N BROADWAY STE 1000 |
| ||
| SAINT LOUIS MO 63102-2748 |
|
160
FUND |
| SHAREHOLDER |
| % |
INSTITUTIONAL LONG DURATION CREDIT FUND |
| BAND & CO C/O US BANK NA |
| 22.76 |
|
| |||
| INVESTMENT COMPANY INSTITUTE | 19.79 | ||
| ATTN: MARK DELCOCO |
| ||
|
| |||
| NATIONAL FINANCIAL SERVICES | 16.68 | ||
| FOR THE EXCLUSIVE BENEFIT |
| ||
| OF OUR CUSTOMERS |
| ||
|
| |||
| T ROWE PRICE ASSOCIATES | 39.38(c) | ||
| ATTN FINANCIAL REPORTING DEPT |
| ||
INSTITUTIONAL MID-CAP EQUITY GROWTH |
| KY PUBLIC EMP DEF COMP AUTHORITY |
| 5.06 |
FUND | RECORDKEEPER |
| ||
| IPO PORTFOLIO ACCOUNTING |
| ||
| C/O NATIONWIDE AS CUSTODIAN & |
| ||
| PO BOX 182029 |
| ||
| COLUMBUS OH 43218-2029 |
| ||
|
| |||
| NATIONAL FINANCIAL SERVICES | 32.02(b) | ||
| FOR THE EXCLUSIVE BENEFIT |
| ||
| OF OUR CUSTOMERS |
| ||
|
| |||
| THE STATE OF WISCONSIN DEF COMP BRD | 7.73 | ||
| C/O FASCORE LLC |
| ||
| FBO WISCONSIN DCP |
| ||
|
| |||
| VANGUARD FIDUCIARY TRUST COMPANY | 10.74 | ||
| T ROWE INSTITUTIONAL CLASS |
| ||
| ATTN OUTSIDE FUNDS/SCOTT GELLERT |
|
161
FUND |
| SHAREHOLDER |
| % |
INSTITUTIONAL SMALL-CAP STOCK FUND |
| NATIONAL FINANCIAL SERVICES LLC |
| 29.71(b) |
| FOR THE EXCLUSIVE BENEFIT |
| ||
| OF OUR CUSTOMERS |
| ||
|
| |||
| NORTHERN TRUST COMPANY TR | 9.05 | ||
| FBO PFIZER SAVINGS AND |
| ||
| INVESTMENT PLAN |
| ||
| PO BOX 92994 |
| ||
| CHICAGO IL 60675-0001 |
| ||
|
| |||
| STATE OF FLORIDA PUBLIC | 5.99 | ||
| EMPLOYEES OPTIONAL RETIREMENT |
| ||
| PROGRAM-FLORIDA RETIREMENT SYSTEM |
| ||
| 1801 HERMITAGE BLVD STE 100 |
| ||
| TALLAHASSEE FL 32308-7743 |
| ||
|
| |||
| STATE OF MINNESOTA | 15.59 | ||
| FBO MINNESOTA STATE RETIREMENT SYST |
| ||
| 8515 E ORCHARD RD 2T2 |
| ||
| GREENWOOD VLG CO 80111-5002 |
| ||
|
| |||
| VANGUARD FIDUCIARY TRUST COMPANY | 16.06 | ||
| T ROWE INSTITUTIONAL CLASS |
| ||
| ATTN OUTSIDE FUNDS/SCOTT GELLERT |
|
162
FUND |
| SHAREHOLDER |
| % |
INSTITUTIONAL U.S. STRUCTURED RESEARCH |
| GREAT-WEST TRUST COMPANY LLC TTEE/C |
| 6.31 |
FUND | FBO DEFINED BENEFIT PLANS |
| ||
|
| |||
| JOHN HANCOCK TRUST COMPANY | 6.64 | ||
|
| |||
| MAC & CO | 5.84 | ||
| ATTN MUTUAL FUND OPS |
| ||
|
| |||
| MCWOOD & CO | 8.58 | ||
| PO BOX 29522 |
| ||
| RALEIGH NC 27626-0522 |
| ||
|
| |||
| NATIONAL FINANCIAL SERVICES | 22.72 | ||
| FOR THE EXCLUSIVE BENEFIT |
| ||
| OF OUR CUSTOMERS |
| ||
|
| |||
| WELLS FARGO BANK FBO | 8.87 | ||
| VARIOUS RETIREMENT PLANS |
| ||
| 1525 WEST WT HARRIS BLVD |
| ||
| CHARLOTTE NC 28288-1076 |
| ||
|
| |||
| WELLS FARGO BANK NA FBO | 12.85 | ||
| PHP-T ROWE PRIC INSTL STRUCTRD RSRC |
| ||
|
| |||
| WELLS FARGO BANK NA FBO | 16.52 | ||
| UCARE MINNESOTA |
| ||
INTERMEDIATE TAX-FREE HIGH YIELD FUND |
| CHARLES SCHWAB & CO INC |
| 8.54 |
| REINVEST ACCOUNT |
| ||
| ATTN MUTUAL FUND DEPT |
| ||
|
| |||
| T ROWE PRICE ASSOCIATES | 58.41(c) | ||
| ATTN FINANCIAL REPORTING DEPT |
| ||
INTERMEDIATE TAX-FREE HIGH YIELD FUND |
| LPL FINANCIAL |
| 40.70(b) |
ADVISOR CLASS | OMNIBUS CUSTOMER ACCOUNT |
| ||
| ATTN: MUTUAL FUND TRADING |
| ||
|
| |||
| NATIONAL FINANCIAL SERVICES | 9.50 | ||
| FOR THE EXCLUSIVE BENEFIT |
| ||
| OF OUR CUSTOMERS |
| ||
|
| |||
| PERSHING LLC | 5.78 | ||
|
| |||
| T ROWE PRICE ASSOCIATES | 43.77(c) | ||
| ATTN FINANCIAL REPORTING DEPT |
|
163
FUND |
| SHAREHOLDER |
| % |
INTERMEDIATE TAX-FREE HIGH YIELD FUNDI |
| J D EISNER F R ROCKWELL TRS |
| 24.14 |
CLASS | JOHN R ROCKWELL MARITAL TRUST |
| ||
|
| |||
| JONATHAN D EISNER | 6.22 | ||
| EDWARD C BERNARD TRS |
| ||
| SCOTT R ROCKWELL 2010 TRUST |
| ||
|
| |||
| T ROWE PRICE ASSOCIATES | 7.82 | ||
| ATTN FINANCIAL REPORTING DEPT |
| ||
|
| |||
| TERRY ROSELL | 47.33(b) | ||
INTERNATIONAL BOND (USD HEDGED) |
| RETIREMENT PORTFOLIO 2010 |
| 6.08 |
| T ROWE PRICE ASSOCIATES |
| ||
| ATT FUND ACCOUNTING DEPT |
| ||
|
| |||
| RETIREMENT PORTFOLIO 2040 | 7.23 | ||
| T ROWE PRICE ASSOCIATES |
| ||
| ATT FUND ACCOUNTING DEPT |
| ||
|
| |||
| RETIREMENT PORTFOLIO 2015 | 9.07 | ||
| T ROWE PRICE ASSOCIATES |
| ||
| ATT FUND ACCOUNTING DEPT |
| ||
|
| |||
| RETIREMENT PORTFOLIO 2020 | 22.38 | ||
| T ROWE PRICE ASSOCIATES |
| ||
| ATT FUND ACCOUNTING DEPT |
| ||
|
| |||
| RETIREMENT PORTFOLIO 2025 | 17.02 | ||
| T ROWE PRICE ASSOCIATES |
| ||
| ATT FUND ACCOUNTING DEPT |
| ||
|
| |||
| RETIREMENT PORTFOLIO 2030 | 17.16 | ||
| T ROWE PRICE ASSOCIATES |
| ||
| ATTN FUND ACCOUNTING DEPT |
| ||
|
| |||
| RETIREMENT PORTFOLIO 2035 | 8.46 | ||
| T ROWE PRICE ASSOCIATES |
| ||
| ATT FUND ACCOUNTING DEPT |
| ||
INTERNATIONAL BOND (USD HEDGED) |
| T ROWE PRICE ASSOCIATES |
| 100.00(c) |
ADVISOR CLASS | ATTN FINANCIAL REPORTING DEPT |
|
164
FUND |
| SHAREHOLDER |
| % |
INTERNATIONAL BOND (USD HEDGED)I CLASS |
| RETIREMENT I 2015 FUND |
| 6.44 |
| T ROWE PRICE ASSOCIATES |
| ||
| ATTN FUND ACCOUNTING DEPT |
| ||
|
| |||
| RETIREMENT I 2020 FUND | 19.75 | ||
| T ROWE PRICE ASSOCIATES |
| ||
| ATTN FUND ACCOUNTING DEPT |
| ||
|
| |||
| RETIREMENT I 2025 FUND | 15.41 | ||
| T ROWE PRICE ASSOCIATES |
| ||
| ATTN FUND ACCOUNTING DEPT |
| ||
|
| |||
| RETIREMENT I 2030 FUND | 16.52 | ||
| T ROWE PRICE ASSOCIATES |
| ||
| ATTN FUND ACCOUNTING DEPT |
| ||
|
| |||
| RETIREMENT I 2035 FUND | 8.40 | ||
| T ROWE PRICE ASSOCIATES |
| ||
| ATTN FUND ACCOUNTING DEPT |
| ||
|
| |||
| RETIREMENT I 2040 FUND | 7.78 | ||
| T ROWE PRICE ASSOCIATES |
| ||
| ATTN FUND ACCOUNTING DEPT |
| ||
INTERNATIONAL BOND FUND |
| SPECTRUM INCOME FUND |
| 39.82(d) |
| T. ROWE PRICE ASSOCIATES |
| ||
| ATTN: FUND ACCOUNTING DEPT |
| ||
|
| |||
| WELLS FARGO CLEARING SERVICES LLC | 9.01 | ||
| SPECIAL CUSTODY ACCT FOR THE |
| ||
| EXCLUSIVE BENEFIT OF CUSTOMERS |
|
165
FUND |
| SHAREHOLDER |
| % |
INTERNATIONAL BOND FUNDADVISOR CLASS |
| LPL FINANCIAL |
| 13.87 |
| OMNIBUS CUSTOMER ACCOUNT |
| ||
| ATTN: MUTUAL FUND TRADING |
| ||
|
| |||
| MORGAN STANLEY SMITH BARNEY | 5.76 | ||
| HARBORSIDE FINANCIAL CENTER |
| ||
|
| |||
| NATIONAL FINANCIAL SERVICES | 20.32 | ||
| FOR THE EXCLUSIVE BENEFIT |
| ||
| OF OUR CUSTOMERS |
| ||
|
| |||
| PERSHING LLC | 7.63 | ||
|
| |||
| RAYMOND JAMES | 9.57 | ||
| OMNIBUS FOR MUTUAL FUNDS |
| ||
|
| |||
| TD AMERITRADE INC FBO | 17.45 | ||
| OUR CUSTOMERS |
| ||
INTERNATIONAL BOND FUNDI CLASS |
| EDWARD D JONES & CO |
| 92.25(b) |
| FOR THE BENEFIT OF CUSTOMERS |
| ||
INTERNATIONAL CONCENTRATED EQUITY FUND |
| NATIONAL FINANCIAL SERVICES |
| 82.07(b) |
| FOR THE EXCLUSIVE BENEFIT |
| ||
| OF OUR CUSTOMERS |
| ||
INTERNATIONAL CONCENTRATED EQUITY |
| CHARLES SCHWAB & CO INC |
| 5.33 |
FUNDADVISOR CLASS | REINVEST ACCOUNT |
| ||
| ATTN MUTUAL FUND DEPT |
| ||
|
| |||
| GREAT-WEST TRUST COMPANY LLC FBO | 11.86 | ||
| EMPLOYEE BENEFITS CLIENTS 401K |
| ||
|
| |||
| NATIONAL FINANCIAL SERVICES | 26.19(b) | ||
| FOR THE EXCLUSIVE BENEFIT |
| ||
| OF OUR CUSTOMERS |
| ||
|
| |||
| T ROWE PRICE ASSOCIATES | 16.63 | ||
| ATTN FINANCIAL REPORTING DEPT |
| ||
|
| |||
| TD AMERITRADE INC FBO | 34.46(b) | ||
| OUR CUSTOMERS |
|
166
FUND |
| SHAREHOLDER |
| % |
INTERNATIONAL CONCENTRATED EQUITY |
| NATIONAL FINANCIAL SERVICES |
| 52.85(b) |
FUNDI CLASS | FOR THE EXCLUSIVE BENEFIT |
| ||
| OF OUR CUSTOMERS |
| ||
|
| |||
| PERSHING LLC | 9.33 | ||
|
| |||
| TRUSTEES OF T ROWE PRICE | 27.17(a) | ||
| U.S. RETIREMENT PROGRAM |
| ||
| ATTN FINANCIAL REPORTING DEPT |
| ||
INTERNATIONAL DISCOVERY FUND |
| NATIONAL FINANCIAL SERVICES |
| 12.44 |
| FOR THE EXCLUSIVE BENEFIT |
| ||
| OF OUR CUSTOMERS |
| ||
|
| |||
| PERSHING LLC | 6.81 | ||
INTERNATIONAL DISCOVERY FUNDI CLASS |
| CHARLES SCHWAB & CO INC |
| 6.68 |
| REINVEST ACCOUNT |
| ||
| ATTN MUTUAL FUND DEPT |
| ||
|
| |||
| EDWARD D JONES & CO | 22.17 | ||
| FOR THE BENEFIT OF CUSTOMERS |
| ||
|
| |||
| NATIONAL FINANCIAL SERVICES | 25.42(b) | ||
| FOR THE EXCLUSIVE BENEFIT |
| ||
| OF OUR CUSTOMERS |
| ||
|
| |||
| VANGUARD FIDUCIARY TRUST COMPANY | 15.19 | ||
| ATTN INVESTMENT SERVICES |
| ||
| 401K CLIENTS |
| ||
INTERNATIONAL EQUITY INDEX FUND |
| MARYLAND COLLEGE INVESTMENT PLAN |
| 14.29 |
| GLOBAL EQUITY MARKET INDEX |
| ||
| ATTN FUND ACCOUNTING |
|
167
FUND |
| SHAREHOLDER |
| % |
INTERNATIONAL STOCK FUND |
| RETIREMENT PORTFOLIO 2040 |
| 10.15 |
| T ROWE PRICE ASSOCIATES |
| ||
| ATT FUND ACCOUNTING DEPT |
| ||
|
| |||
| RETIREMENT PORTFOLIO 2020 | 8.75 | ||
| T ROWE PRICE ASSOCIATES |
| ||
| ATT FUND ACCOUNTING DEPT |
| ||
|
| |||
| RETIREMENT PORTFOLIO 2025 | 8.75 | ||
| T ROWE PRICE ASSOCIATES |
| ||
| ATT FUND ACCOUNTING DEPT |
| ||
|
| |||
| RETIREMENT PORTFOLIO 2030 | 12.43 | ||
| T ROWE PRICE ASSOCIATES |
| ||
| ATTN FUND ACCOUNTING DEPT |
| ||
|
| |||
| RETIREMENT PORTFOLIO 2035 | 8.20 | ||
| T ROWE PRICE ASSOCIATES |
| ||
| ATT FUND ACCOUNTING DEPT |
| ||
|
| |||
| RETIREMENT PORTFOLIO 2045 | 5.75 | ||
| T ROWE PRICE ASSOCIATES |
| ||
| ATTN FUND ACCOUNTING DEPT |
| ||
INTERNATIONAL STOCK FUNDADVISOR CLASS |
| NATIONAL FINANCIAL SERVICES |
| 78.85(b) |
| FOR THE EXCLUSIVE BENEFIT |
| ||
| OF OUR CUSTOMERS |
| ||
|
| |||
| TD AMERITRADE TRUST COMPANY | 5.71 | ||
| PO BOX 17748 |
| ||
| DENVER CO 80217-0748 |
|
168
FUND |
| SHAREHOLDER |
| % |
INTERNATIONAL STOCK FUNDI CLASS |
| EDWARD D JONES & CO |
| 22.48 |
| FOR THE BENEFIT OF CUSTOMERS |
| ||
|
| |||
| NATIONAL FINANCIAL SERVICES LLC | 18.48 | ||
| FOR THE EXCLUSIVE BENEFIT |
| ||
| OF OUR CUSTOMERS |
| ||
|
| |||
| RETIREMENT I 2020 FUND | 5.76 | ||
| T ROWE PRICE ASSOCIATES |
| ||
| ATTN FUND ACCOUNTING DEPT |
| ||
|
| |||
| RETIREMENT I 2025 FUND | 5.95 | ||
| T ROWE PRICE ASSOCIATES |
| ||
| ATTN FUND ACCOUNTING DEPT |
| ||
|
| |||
| RETIREMENT I 2030 FUND | 8.97 | ||
| T ROWE PRICE ASSOCIATES |
| ||
| ATTN FUND ACCOUNTING DEPT |
| ||
|
| |||
| RETIREMENT I 2035 FUND | 6.13 | ||
| T ROWE PRICE ASSOCIATES |
| ||
| ATTN FUND ACCOUNTING DEPT |
| ||
|
| |||
| RETIREMENT I 2040 FUND | 8.20 | ||
| T ROWE PRICE ASSOCIATES |
| ||
| ATTN FUND ACCOUNTING DEPT |
|
169
FUND |
| SHAREHOLDER |
| % |
INTERNATIONAL STOCK FUNDR CLASS |
| ACCESS INC TTEE FBO |
| 5.26 |
| ACCESS INC 401K PSP |
| ||
| C/O FASCORE LLC |
| ||
|
| |||
| ALERUS FINANCIAL FBO | 5.60 | ||
| MCLAUGHLIN METAL SALES INC 401(K) |
| ||
| PO BOX 64535 |
| ||
| SAINT PAUL MN 55164-0535 |
| ||
|
| |||
| AMERICAN UNITED LIFE | 13.81 | ||
| SEPARATE ACCOUNT II |
| ||
| ATTN SEPARATE ACCOUNTS |
| ||
|
| |||
| AXA EQUITABLE FOR SA NO 65 | 9.15 | ||
|
| |||
| CAPITAL BANK & TRUST COMPANY TTEE | 7.44 | ||
| PATTCO LLC 401K |
| ||
| C/O FASCORE LLC |
| ||
|
| |||
| DCGT AS TTEE AND/OR CUST | 11.65 | ||
| FBO PLIC VARIOUS RETIREMENT PLANS |
| ||
| OMNIBUS |
| ||
| ATTN NPIO TRADE DESK |
| ||
|
| |||
| NATIONWIDE TRUST CO FSB | 5.05 | ||
| C/O IPO PORTFOLIO ACCTG |
|
170
FUND |
| SHAREHOLDER |
| % |
INTERNATIONAL VALUE EQUITY FUND |
| RETIREMENT PORTFOLIO 2040 |
| 12.39 |
| T ROWE PRICE ASSOCIATES |
| ||
| ATT FUND ACCOUNTING DEPT |
| ||
|
| |||
| RETIREMENT PORTFOLIO 2020 | 10.88 | ||
| T ROWE PRICE ASSOCIATES |
| ||
| ATT FUND ACCOUNTING DEPT |
| ||
|
| |||
| RETIREMENT PORTFOLIO 2025 | 10.74 | ||
| T ROWE PRICE ASSOCIATES |
| ||
| ATT FUND ACCOUNTING DEPT |
| ||
|
| |||
| RETIREMENT PORTFOLIO 2030 | 15.28 | ||
| T ROWE PRICE ASSOCIATES |
| ||
| ATTN FUND ACCOUNTING DEPT |
| ||
|
| |||
| RETIREMENT PORTFOLIO 2035 | 10.03 | ||
| T ROWE PRICE ASSOCIATES |
| ||
| ATT FUND ACCOUNTING DEPT |
| ||
|
| |||
| RETIREMENT PORTFOLIO 2045 | 6.97 | ||
| T ROWE PRICE ASSOCIATES |
| ||
| ATTN FUND ACCOUNTING DEPT |
| ||
|
| |||
| RETIREMENT PORTFOLIO 2050 | 5.66 | ||
| T ROWE PRICE ASSOCIATES |
| ||
| ATTN: FUND ACCOUNTING DEPT |
| ||
INTERNATIONAL VALUE EQUITY FUND |
| AMERICAN UNITED LIFE |
| 8.45 |
ADVISOR CLASS | AMERICAN UNIT INVESTMENT TRUST |
| ||
| ATTN SEPARATE ACCOUNTS |
| ||
|
| |||
| NATIONAL FINANCIAL SERVICES | 23.14 | ||
| FOR THE EXCLUSIVE BENEFIT |
| ||
| OF OUR CUSTOMERS |
| ||
|
| |||
| STATE STREET BANK AND TRUST AS | 26.43(b) | ||
| TRUSTEE AND/OR CUSTODIAN |
| ||
| FBO ADP ACCESS PRODUCT |
| ||
|
| |||
| VRSCO | 6.94 | ||
| FBO AIGFSB CUST TTEE FBO |
| ||
| MT SINAI 403B |
| ||
| 2929 ALLEN PKWY STE A6-20 |
| ||
| HOUSTON TX 77019-7117 |
|
171
FUND |
| SHAREHOLDER |
| % |
INTERNATIONAL VALUE EQUITY FUNDI CLASS |
| RETIREMENT I 2020 FUND |
| 9.23 |
| T ROWE PRICE ASSOCIATES |
| ||
| ATTN FUND ACCOUNTING DEPT |
| ||
|
| |||
| RETIREMENT I 2025 FUND | 9.53 | ||
| T ROWE PRICE ASSOCIATES |
| ||
| ATTN FUND ACCOUNTING DEPT |
| ||
|
| |||
| RETIREMENT I 2030 FUND | 14.35 | ||
| T ROWE PRICE ASSOCIATES |
| ||
| ATTN FUND ACCOUNTING DEPT |
| ||
|
| |||
| RETIREMENT I 2035 FUND | 9.82 | ||
| T ROWE PRICE ASSOCIATES |
| ||
| ATTN FUND ACCOUNTING DEPT |
| ||
|
| |||
| RETIREMENT I 2040 FUND | 13.09 | ||
| T ROWE PRICE ASSOCIATES |
| ||
| ATTN FUND ACCOUNTING DEPT |
| ||
|
| |||
| RETIREMENT I 2045 FUND | 7.39 | ||
| T ROWE PRICE ASSOCIATES |
| ||
| ATTN FUND ACCOUNTING DEPT |
| ||
|
| |||
| RETIREMENT I 2050 FUND | 7.38 | ||
| T ROWE PRICE ASSOCIATES |
| ||
| ATTN FUND ACCOUNTING DEPT |
| ||
INTERNATIONAL VALUE EQUITY FUNDR CLASS |
| AMERICAN UNITED LIFE |
| 7.75 |
| SEPARATE ACCOUNT II |
| ||
| ATTN SEPARATE ACCOUNTS |
| ||
|
| |||
| DCGT AS TTEE AND/OR CUST | 6.35 | ||
| FBO PLIC VARIOUS RETIREMENT PLANS |
| ||
| OMNIBUS |
| ||
| ATTN NPIO TRADE DESK |
| ||
|
| |||
| SAMMONS FINANCIAL NETWORK LLC | 12.99 | ||
|
| |||
| STATE STREET BANK AND TRUST AS | 23.14 | ||
| TRUSTEE AND/OR CUSTODIAN |
| ||
| FBO ADP ACCESS PRODUCT |
|
172
FUND |
| SHAREHOLDER |
| % |
INVESTMENT-GRADE CORPORATE MULTI-SECTOR |
| ALLEN & COMPANY |
| 10.48 |
ACCOUNT PORTFOLIO | 711 5TH AVE FL 9 |
| ||
| NEW YORK NY 10022-3168 |
| ||
|
| |||
| BALTIMORE EQUITABLE SOCIETY | 9.74 | ||
| ATTN MARY HARLEE |
| ||
|
| |||
| CBE OF NEW BRUNSWICK | 6.63 | ||
| IG CORPORATE MAP |
| ||
|
| |||
| GENERAL DYNAMICS CORP 401K | 45.11(b) | ||
| PLAN MASTER TRUST CP |
| ||
|
| |||
| ILLINOIS STUDENT ASSISTANCE | 18.71 | ||
| COMMISSION |
| ||
| ATTN: KENT CUSTER |
| ||
|
| |||
| T ROWE PRICE ASSOCIATES | 9.34 | ||
| ATTN FINANCIAL REPORTING DEPT |
| ||
JAPAN FUND |
| CHARLES SCHWAB & CO INC |
| 6.40 |
| REINVEST ACCOUNT |
| ||
| ATTN MUTUAL FUND DEPT |
| ||
|
| |||
| MORGAN STANLEY SMITH BARNEY | 37.45(b) | ||
| HARBORSIDE FINANCIAL CENTER |
| ||
|
| |||
| SPECTRUM INTERNATIONAL FUND | 22.52 | ||
| T ROWE PRICE ASSOCIATES |
| ||
| ATTN: FUND ACCOUNTING DEPT |
| ||
JAPAN FUNDI CLASS |
| CHARLES SCHWAB & CO INC |
| 11.05 |
| SPECIAL CUSTODY A/C FBO CUSTOMERS |
| ||
| ATTN MUTUAL FUNDS |
| ||
|
| |||
| J.P. MORGAN SECURITIES LLC | 10.05 | ||
| FOR THE EXCLUSIVE BENEFIT |
| ||
| OF OUR CUSTOMERS |
| ||
|
| |||
| NATIONAL FINANCIAL SERVICES | 5.31 | ||
| FOR THE EXCLUSIVE BENEFIT |
| ||
| OF OUR CUSTOMERS |
| ||
|
| |||
| TRUSTEES OF T ROWE PRICE | 68.37(a) | ||
| U.S. RETIREMENT PROGRAM |
| ||
| ATTN FINANCIAL REPORTING DEPT |
|
173
FUND |
| SHAREHOLDER |
| % |
LATIN AMERICA FUND |
| CHARLES SCHWAB & CO INC |
| 5.69 |
| REINVEST ACCOUNT |
| ||
| ATTN MUTUAL FUND DEPT |
| ||
|
| |||
| NATIONAL FINANCIAL SERVICES | 9.75 | ||
| FOR THE EXCLUSIVE BENEFIT |
| ||
| OF OUR CUSTOMERS |
| ||
LATIN AMERICA FUNDI CLASS |
| ROBERT D AWALT |
| 8.97 |
| KATHERINE J AWALT JT TEN |
| ||
|
| |||
| TRUSTEES OF T ROWE PRICE | 82.51(a) | ||
| U.S. RETIREMENT PROGRAM |
| ||
| ATTN FINANCIAL REPORTING DEPT |
| ||
LIMITED DURATION INFLATION FOCUSED BOND |
| RETIREMENT INCOME PORTFOLIO |
| 10.20 |
FUND | T ROWE PRICE ASSOCIATES |
| ||
| ATTN FUND ACCOUNTING DEPT |
| ||
|
| |||
| RETIREMENT PORTFOLIO 2010 | 10.38 | ||
| T ROWE PRICE ASSOCIATES |
| ||
| ATTN FUND ACCOUNTING DEPT |
| ||
|
| |||
| RETIREMENT PORTFOLIO 2015 | 13.51 | ||
| T ROWE PRICE ASSOCIATES |
| ||
| ATTN FUND ACCOUNTING DEPT |
| ||
|
| |||
| RETIREMENT PORTFOLIO 2020 | 22.78 | ||
| T ROWE PRICE ASSOCIATES |
| ||
| ATTN FUND ACCOUNTING DEPT |
| ||
|
| |||
| RETIREMENT PORTFOLIO 2025 | 10.58 | ||
| T ROWE PRICE ASSOCIATES |
| ||
| ATT FUND ACCOUNTING DEPT |
| ||
|
| |||
| RETIREMENT PORTFOLIO 2030 | 6.63 | ||
| T ROWE PRICE ASSOCIATES |
| ||
| ATTN FUND ACCOUNTING DEPT |
|
174
FUND |
| SHAREHOLDER |
| % |
LIMITED DURATION INFLATION FOCUSED BOND |
| RETIREMENT BALANCED I FUND |
| 7.02 |
FUNDI CLASS | T ROWE PRICE ASSOCIATES |
| ||
| ATTN FUND ACCOUNTING DEPT |
| ||
|
| |||
| RETIREMENT I 2010 FUND | 8.12 | ||
| T ROWE PRICE ASSOCIATES |
| ||
| ATTN FUND ACCOUNTING DEPT |
| ||
|
| |||
| RETIREMENT I 2015 FUND | 12.65 | ||
| T ROWE PRICE ASSOCIATES |
| ||
| ATTN FUND ACCOUNTING DEPT |
| ||
|
| |||
| RETIREMENT I 2020 FUND | 26.32(b) | ||
| T ROWE PRICE ASSOCIATES |
| ||
| ATTN FUND ACCOUNTING DEPT |
| ||
|
| |||
| RETIREMENT I 2025 FUND | 12.69 | ||
| T ROWE PRICE ASSOCIATES |
| ||
| ATTN FUND ACCOUNTING DEPT |
| ||
|
| |||
| RETIREMENT I 2030 FUND | 8.51 | ||
| T ROWE PRICE ASSOCIATES |
| ||
| ATTN FUND ACCOUNTING DEPT |
| ||
|
| |||
| TARGET 2020 FUND | 5.46 | ||
| T ROWE PRICE ASSOCIATES |
| ||
| ATTN FUND ACCOUNTING |
| ||
MARYLAND SHORT-TERM TAX-FREE BOND FUND |
| CHARLES SCHWAB & CO INC |
| 8.92 |
| REINVEST ACCOUNT |
| ||
| ATTN MUTUAL FUND DEPT |
| ||
|
| |||
| PERSHING LLC | 6.46 | ||
MARYLAND SHORT-TERM TAX-FREE BOND |
| BANK OF NEW YORK MELLON N.A. |
| 17.94 |
FUNDI CLASS | PO BOX 534005 |
| ||
| PITTSBURGH PA 15253-4005 |
| ||
|
| |||
| JOHN D BESSON | 25.38(b) | ||
| KAREN S BESSON TEN ENT |
| ||
MARYLAND TAX-FREE BOND FUND |
| CHARLES SCHWAB & CO INC |
| 6.35 |
| REINVEST ACCOUNT |
| ||
| ATTN MUTUAL FUND DEPT |
| ||
|
| |||
| NATIONAL FINANCIAL SERVICES | 6.73 | ||
| FOR THE EXCLUSIVE BENEFIT |
| ||
| OF OUR CUSTOMERS |
|
175
FUND |
| SHAREHOLDER |
| % |
MARYLAND TAX-FREE BOND FUNDI CLASS |
| BANK OF NEW YORK MELLON N.A. |
| 11.23 |
|
| |||
| CHARLES SCHWAB & CO INC | 7.93 | ||
| SPECIAL CUSTODY A/C FBO CUSTOMERS |
| ||
| ATTN MUTUAL FUNDS |
| ||
|
| |||
| NORMAN FREIDKIN | 5.84 | ||
|
| |||
| VANGUARD BROKERAGE SERVICES | 6.03 | ||
MARYLAND TAX-FREE MONEY FUND |
| KEITH A. LEE |
| 21.30 |
MARYLAND TAX-FREE MONEY FUNDI CLASS |
| DAVID C TOLBERT |
| 41.94(b) |
| DEBRA J TOLBERT JT TEN |
| ||
|
| |||
| T ROWE PRICE ASSOCIATES | 58.06(c) | ||
| ATTN FINANCIAL REPORTING DEPT |
| ||
MID-CAP GROWTH FUND |
| CHARLES SCHWAB & CO INC |
| 5.56 |
| REINVEST ACCOUNT |
| ||
| ATTN MUTUAL FUND DEPT |
| ||
|
| |||
| NATIONAL FINANCIAL SERV CORP | 12.43 | ||
| FOR THE EXCLUSIVE BENEFIT |
| ||
| OF OUR CUSTOMERS |
| ||
|
| |||
| T ROWE PRICE TRUST CO | 11.99 | ||
| ATTN: ASSET RECONCILIATIONS |
| ||
MID-CAP GROWTH FUNDADVISOR CLASS |
| NATIONAL FINANCIAL SERVICES |
| 29.03(b) |
| FOR THE EXCLUSIVE BENEFIT |
| ||
| OF OUR CUSTOMERS |
| ||
|
| |||
| RELIANCE TRUST COMPANY FBO | 12.15 | ||
| INSPER 401K |
| ||
|
| |||
| VOYA INSTITUTIONAL TRUST AS | 16.63 | ||
| TRUSTEE FOR THE ADP TOTALSOURCE |
| ||
| RETIREMENT SAVINGS PLAN |
| ||
| 30 BRAINTREE HILL OFFICE PARK |
| ||
| BRAINTREE MA 02184-8747 |
|
176
FUND |
| SHAREHOLDER |
| % |
MID-CAP GROWTH FUNDI CLASS |
| CHARLES SCHWAB & CO INC |
| 14.35 |
| REINVEST ACCOUNT |
| ||
| ATTN MUTUAL FUND DEPT |
| ||
|
| |||
| NATIONAL FINANCIAL SERVICES LLC | 17.69 | ||
| FOR THE EXCLUSIVE BENEFIT |
| ||
| OF OUR CUSTOMERS |
| ||
|
| |||
| STANDARD INSURANCE CO | 5.92 | ||
| ATTN SEPARATE ACCOUNTS |
| ||
| 1100 SW 6TH AVE |
| ||
| PORTLAND OR 97204-1093 |
| ||
MID-CAP GROWTH FUNDR CLASS |
| AMERICAN UNITED LIFE |
| 15.82 |
| SEPARATE ACCOUNT II |
| ||
| ATTN SEPARATE ACCOUNTS |
| ||
|
| |||
| NATIONWIDE TRUST CO FSB | 12.64 | ||
| C/O IPO PORTFOLIO ACCTG |
| ||
|
| |||
| SUNTRUST BANK FBO | 12.65 | ||
| VARIOUS SUNTRUST OMNIBUS ACCOUNTS |
| ||
|
| |||
| VOYA INSTITUTIONAL TRUST COMPANY | 5.54 | ||
| 1 ORANGE WAY B3N |
| ||
| WINDSOR CT 06095-4774 |
| ||
|
| |||
| VOYA RETIREMENT INS & ANNUITY CO | 11.92 | ||
MID-CAP INDEX FUND |
| T ROWE PRICE ASSOCIATES |
| 100.00(c) |
| ATTN FINANCIAL REPORTING DEPT |
| ||
MID-CAP INDEX FUNDI CLASS |
| T ROWE PRICE ASSOCIATES |
| 100.00(c) |
| ATTN FINANCIAL REPORTING DEPT |
|
177
FUND |
| SHAREHOLDER |
| % |
MID-CAP VALUE FUND |
| NATIONAL FINANCIAL SERVICES |
| 7.49 |
| FOR THE EXCLUSIVE BENEFIT |
| ||
| OF OUR CUSTOMERS |
| ||
|
| |||
| RETIREMENT PORTFOLIO 2040 | 5.86 | ||
| T ROWE PRICE ASSOCIATES |
| ||
| ATT FUND ACCOUNTING DEPT |
| ||
|
| |||
| RETIREMENT PORTFOLIO 2020 | 5.15 | ||
| T ROWE PRICE ASSOCIATES |
| ||
| ATT FUND ACCOUNTING DEPT |
| ||
|
| |||
| RETIREMENT PORTFOLIO 2025 | 5.12 | ||
| T ROWE PRICE ASSOCIATES |
| ||
| ATT FUND ACCOUNTING DEPT |
| ||
|
| |||
| RETIREMENT PORTFOLIO 2030 | 7.30 | ||
| T ROWE PRICE ASSOCIATES |
| ||
| ATTN FUND ACCOUNTING DEPT |
| ||
|
| |||
| T ROWE PRICE RPS INC | 5.24 | ||
| PLAN # OMNIBUS ACCT |
| ||
| NEW BUSINESS GROUP FOR #115 |
| ||
MID-CAP VALUE FUNDADVISOR CLASS |
| NATIONAL FINANCIAL SERVICES |
| 46.74(b) |
| FOR THE EXCLUSIVE BENEFIT |
| ||
| OF OUR CUSTOMERS |
| ||
|
| |||
| SUNTRUST BANK FBO | 5.10 | ||
| VARIOUS SUNTRUST OMNIBUS ACCOUNTS |
| ||
MID-CAP VALUE FUNDI CLASS |
| EDWARD D JONES & CO |
| 5.76 |
| FOR THE BENEFIT OF CUSTOMERS |
| ||
|
| |||
| NATIONAL FINANCIAL SERVICES LLC | 14.87 | ||
| FOR THE EXCLUSIVE BENEFIT |
| ||
| OF OUR CUSTOMERS |
| ||
|
| |||
| STATE OF SOUTH CAROLINA TRUSTEE | 6.73 | ||
| FBO STATE OF SOUTH CAROLINA 401K |
| ||
| C/O FASCORE LLC |
| ||
MID-CAP VALUE FUNDR CLASS |
| NATIONWIDE TRUST CO FSB |
| 23.50 |
| C/O IPO PORTFOLIO ACCTG |
| ||
|
| |||
| STATE STREET BANK AND TRUST AS | 42.97(b) | ||
| TRUSTEE AND/OR CUSTODIAN |
| ||
| FBO ADP ACCESS PRODUCT |
| ||
|
| |||
| VOYA RETIREMENT INS & ANNUITY CO | 6.30 |
178
FUND |
| SHAREHOLDER |
| % |
MORTGAGE-BACKED SECURITIES MULTI-SECTOR |
| ALLEN & COMPANY |
| 8.07 |
ACCOUNT PORTFOLIO |
| |||
| BALTIMORE EQUITABLE SOCIETY | 6.76 | ||
| ATTN MARY HARLEE |
| ||
|
| |||
| CBE OF NEW BRUNSWICK | 15.21 | ||
| MORTGAGE BACKED SECURITIES MAP |
| ||
|
| |||
| GENERAL DYNAMICS CORP 401K | 30.99(b) | ||
| PLAN MASTER TRUST CP |
| ||
|
| |||
| ILLINOIS STUDENT ASSISTANCE | 12.72 | ||
| COMMISSION |
| ||
| ATTN: KENT CUSTER |
| ||
|
| |||
| T ROWE PRICE ASSOCIATES | 8.53 | ||
| ATTN FINANCIAL REPORTING DEPT |
| ||
|
| |||
| XCEL ENERGY INC. | 17.72 | ||
| ATTN: GREG ZICK |
| ||
MULTI-STRATEGY TOTAL RETURN FUND |
| T ROWE PRICE ASSOCIATES |
| 96.47(c) |
| ATTN FINANCIAL REPORTING DEPT |
| ||
MULTI-STRATEGY TOTAL RETURN FUNDI CLASS |
| DARRELL M RILEY |
| 44.51(b) |
| LYNDA AALPOEL RILEY TEN COM |
| ||
|
| |||
| RICHARD N. DE LOS REYES T O D | 44.42(b) | ||
| 4 SPA VIEW CIR |
| ||
| ANNAPOLIS MD 21401-3418 |
| ||
|
| |||
| T ROWE PRICE ASSOCIATES | 11.07 | ||
| ATTN FINANCIAL REPORTING DEPT |
| ||
NEW AMERICA GROWTH FUND |
| CHARLES SCHWAB & CO INC |
| 10.60 |
| REINVEST ACCOUNT |
| ||
| ATTN MUTUAL FUND DEPT |
| ||
|
| |||
| NATIONAL FINANCIAL SERVICES | 19.37 | ||
| FOR THE EXCLUSIVE BENEFIT |
| ||
| OF OUR CUSTOMERS |
| ||
|
| |||
| T ROWE PRICE TRUST CO | 6.63 | ||
| ATTN TRPS INST CONTROL DEPT |
|
179
FUND |
| SHAREHOLDER |
| % |
NEW AMERICA GROWTH FUNDADVISOR CLASS |
| CHARLES SCHWAB & CO INC |
| 8.10 |
| REINVEST ACCOUNT |
| ||
| ATTN MUTUAL FUND DEPT |
| ||
|
| |||
| DCGT AS TTEE AND/OR CUST | 5.18 | ||
| FBO PLIC VARIOUS RETIREMENT PLANS |
| ||
| OMNIBUS |
| ||
| ATTN NPIO TRADE DESK |
| ||
|
| |||
| MATRIX TRUST CO AS CUST FBO | 5.66 | ||
| VALLEY MEDICAL CENTER 403B |
| ||
|
| |||
| NATIONAL FINANCIAL SERVICES | 20.73 | ||
| FOR THE EXCLUSIVE BENEFIT |
| ||
| OF OUR CUSTOMERS |
| ||
|
| |||
| SANTA BARBARA CNTY TREAS TX COLL TT | 8.45 | ||
| FBO SANTA BARBARA COUNTY DCP |
| ||
| C/O FASCORE LLC |
| ||
|
| |||
| VRSCO | 19.64 | ||
| FBO AIGFSB CUST TTEE FBO |
| ||
| WAKEMED RET SAV PLAN 403B |
| ||
NEW AMERICA GROWTH FUNDI CLASS |
| GREAT-WEST TRUST COMPANY LLC TTEE F |
| 5.25 |
| RECORDKEEPING FOR LARGE BENEFIT PL |
| ||
|
| |||
| NATIONAL FINANCIAL SERVICES | 40.53(b) | ||
| FOR THE EXCLUSIVE BENEFIT |
| ||
| OF OUR CUSTOMERS |
| ||
|
| |||
| T ROWE PRICE RPS INC | 6.71 | ||
| OMNIBUS ACCOUNT |
| ||
| TRP NEW AMERICA GROWTH I |
| ||
NEW ASIA FUND |
| CHARLES SCHWAB & CO INC |
| 6.30 |
| REINVEST ACCOUNT |
| ||
| ATTN MUTUAL FUND DEPT |
| ||
|
| |||
| NATIONAL FINANCIAL SERVICES | 9.95 | ||
| FOR THE EXCLUSIVE BENEFIT |
| ||
| OF OUR CUSTOMERS |
| ||
|
| |||
| SPECTRUM INTERNATIONAL FUND | 7.23 | ||
| T ROWE PRICE ASSOCIATES |
| ||
| ATTN: FUND ACCOUNTING DEPT |
|
180
FUND |
| SHAREHOLDER |
| % |
NEW ASIA FUNDI CLASS |
| CHARLES SCHWAB & CO INC |
| 6.62 |
| REINVEST ACCOUNT |
| ||
| ATTN MUTUAL FUND DEPT |
| ||
|
| |||
| J.P. MORGAN SECURITIES LLC | 47.31(b) | ||
| FOR THE EXCLUSIVE BENEFIT |
| ||
| OF OUR CUSTOMERS |
| ||
|
| |||
| NATIONAL FINANCIAL SERVICES | 7.82 | ||
| FOR THE EXCLUSIVE BENEFIT |
| ||
| OF OUR CUSTOMERS |
| ||
|
| |||
| TRUSTEES OF T ROWE PRICE | 6.86 | ||
| U.S. RETIREMENT PROGRAM |
| ||
| ATTN FINANCIAL REPORTING DEPT |
| ||
NEW ERA FUND |
| CHARLES SCHWAB & CO INC |
| 7.55 |
| REINVEST ACCOUNT |
| ||
| ATTN MUTUAL FUND DEPT |
| ||
|
| |||
| NATIONAL FINANCIAL SERVICES | 13.05 | ||
| FOR THE EXCLUSIVE BENEFIT |
| ||
| OF OUR CUSTOMERS |
| ||
NEW ERA FUNDI CLASS |
| NATIONAL FINANCIAL SERVICES |
| 43.22(b) |
| FOR THE EXCLUSIVE BENEFIT |
| ||
| OF OUR CUSTOMERS |
| ||
NEW HORIZONS FUND |
| NATIONAL FINANCIAL SERVICES |
| 10.11 |
| FOR THE EXCLUSIVE BENEFIT |
| ||
| OF OUR CUSTOMERS |
| ||
|
| |||
| T ROWE PRICE TRUST CO INC | 10.72 | ||
| ATTN: TRPS INST CONTROL DEPT |
| ||
NEW HORIZONS FUNDI CLASS |
| NATIONAL FINANCIAL SERVICES LLC |
| 29.38(b) |
| FOR THE EXCLUSIVE BENEFIT |
| ||
| OF OUR CUSTOMERS |
| ||
|
| |||
| T ROWE PRICE RPS INC | 9.04 | ||
| OMNIBUS DST#532 CUSIP:779562206 |
| ||
| TRP NEW HORIZONS FUND-I BWRJ |
|
181
FUND |
| SHAREHOLDER |
| % |
NEW INCOME FUND |
| RETIREMENT PORTFOLIO 2040 |
| 5.79 |
| T ROWE PRICE ASSOCIATES |
| ||
| ATT FUND ACCOUNTING DEPT |
| ||
|
| |||
| RETIREMENT PORTFOLIO 2015 | 7.03 | ||
| T ROWE PRICE ASSOCIATES |
| ||
| ATT FUND ACCOUNTING DEPT |
| ||
|
| |||
| RETIREMENT PORTFOLIO 2020 | 17.79 | ||
| T ROWE PRICE ASSOCIATES |
| ||
| ATT FUND ACCOUNTING DEPT |
| ||
|
| |||
| RETIREMENT PORTFOLIO 2025 | 13.38 | ||
| T ROWE PRICE ASSOCIATES |
| ||
| ATT FUND ACCOUNTING DEPT |
| ||
|
| |||
| RETIREMENT PORTFOLIO 2030 | 13.74 | ||
| T ROWE PRICE ASSOCIATES |
| ||
| ATTN FUND ACCOUNTING DEPT |
| ||
|
| |||
| RETIREMENT PORTFOLIO 2035 | 6.78 | ||
| T ROWE PRICE ASSOCIATES |
| ||
| ATT FUND ACCOUNTING DEPT |
| ||
|
| |||
| SPECTRUM INCOME FUND | 6.79 | ||
| T. ROWE PRICE ASSOCIATES |
| ||
| ATTN: FUND ACCOUNTING DEPT |
| ||
NEW INCOME FUNDADVISOR CLASS |
| JOHN HANCOCK TRUST COMPANY |
| 5.28 |
|
| |||
| MORGAN STANLEY SMITH BARNEY | 5.50 | ||
| HARBORSIDE FINANCIAL CENTER |
| ||
|
| |||
| NATIONAL FINANCIAL SERVICES | 8.37 | ||
| FOR THE EXCLUSIVE BENEFIT |
| ||
| OF OUR CUSTOMERS |
| ||
|
| |||
| PERSHING LLC | 14.31 | ||
|
| |||
| WTRISC CO IRA OMNIBUS ACCT | 25.32(b) | ||
| C/O ICMA RETIREMENT CORPORATION |
|
182
FUND |
| SHAREHOLDER |
| % |
NEW INCOME FUNDI CLASS |
| EDWARD D JONES & CO |
| 11.33 |
| FOR THE BENEFIT OF CUSTOMERS |
| ||
|
| |||
| J.P. MORGAN SECURITIES LLC | 42.66(b) | ||
| FOR THE EXCLUSIVE BENEFIT |
| ||
| OF OUR CUSTOMERS |
| ||
|
| |||
| RETIREMENT I 2020 FUND | 8.15 | ||
| T ROWE PRICE ASSOCIATES |
| ||
| ATTN FUND ACCOUNTING DEPT |
| ||
|
| |||
| RETIREMENT I 2025 FUND | 6.32 | ||
| T ROWE PRICE ASSOCIATES |
| ||
| ATTN FUND ACCOUNTING DEPT |
| ||
|
| |||
| RETIREMENT I 2030 FUND | 6.91 | ||
| T ROWE PRICE ASSOCIATES |
| ||
| ATTN FUND ACCOUNTING DEPT |
| ||
NEW INCOME FUNDR CLASS |
| CAMILLE VANDEVANTER DDS PS TTEE FBO |
| 8.56 |
| CAMILLE VANDEVANTER DDS PS 401K RET |
| ||
| C/O FASCORE LLC |
| ||
|
| |||
| EMJAY CORPORATION CUSTODIAN FBO | 9.00 | ||
| PLANS OF GREAT WEST FINANCIAL |
| ||
| 8515 E ORCHARD RD 2T2 |
| ||
| GREENWOOD VLG CO 80111-5002 |
| ||
|
| |||
| K CHADWICK K BLALOCK TTEES | 7.89 | ||
| FIERCE ISAKOWITZ & BLALOCK LLC 401K |
| ||
| C/O FASCORE LLC |
| ||
|
| |||
| NATIONWIDE TRUST CO FSB | 7.79 | ||
| C/O IPO PORTFOLIO ACCTG |
| ||
|
| |||
| STATE STREET BANK AND TRUST AS | 31.56(b) | ||
| TRUSTEE AND/OR CUSTODIAN |
| ||
| FBO ADP ACCESS PRODUCT |
| ||
|
| |||
| VRSCO | 5.22 | ||
| FBO AIGFSB CUST TTEE FBO |
| ||
| UNIV OF NORTH TEXAS OPT RET PL 403B |
| ||
NEW JERSEY TAX-FREE BOND FUND |
| NATIONAL FINANCIAL SERVICES |
| 31.06(b) |
| FOR THE EXCLUSIVE BENEFIT |
| ||
| OF OUR CUSTOMERS |
|
183
FUND |
| SHAREHOLDER |
| % |
NEW JERSEY TAX-FREE BOND FUNDI CLASS |
| CHARLES SCHWAB & CO INC |
| 22.83 |
| SPECIAL CUSTODY A/C FBO CUSTOMERS |
| ||
| ATTN MUTUAL FUNDS |
| ||
|
| |||
| T ROWE PRICE ASSOCIATES | 75.16(c) | ||
| ATTN FINANCIAL REPORTING DEPT |
| ||
NEW YORK TAX-FREE BOND FUND |
| NATIONAL FINANCIAL SERVICES |
| 7.35 |
| FOR THE EXCLUSIVE BENEFIT |
| ||
| OF OUR CUSTOMERS |
| ||
NEW YORK TAX-FREE BOND FUNDI CLASS |
| JOHN S D'ALIMONTE TR |
| 14.39 |
| THE JOHN S D'ALIMONTE REV TRUST |
| ||
|
| |||
| MELVIN K SPIGELMAN | 12.06 | ||
| MERYL N SPIGELMAN JT TEN |
| ||
|
| |||
| ROBERT S KAPLAN | 51.15(b) | ||
| JAMIE SCHUVAL JT TEN |
| ||
|
| |||
| SEI PRIVATE TRUST COMAPNY | 12.88 | ||
| C/O MELLON BANK |
| ||
NEW YORK TAX-FREE MONEY FUND |
| H MARK GLASBERG |
| 16.89 |
| PAULA D GLASBERG JT TEN T O D |
| ||
NEW YORK TAX-FREE MONEY FUNDI CLASS |
| T ROWE PRICE ASSOCIATES |
| 100.00(c) |
| ATTN FINANCIAL REPORTING DEPT |
|
184
FUND |
| SHAREHOLDER |
| % |
OVERSEAS STOCK FUND |
| RETIREMENT PORTFOLIO 2040 |
| 13.57 |
| T ROWE PRICE ASSOCIATES |
| ||
| ATT FUND ACCOUNTING DEPT |
| ||
|
| |||
| RETIREMENT PORTFOLIO 2020 | 11.66 | ||
| T ROWE PRICE ASSOCIATES |
| ||
| ATT FUND ACCOUNTING DEPT |
| ||
|
| |||
| RETIREMENT PORTFOLIO 2025 | 11.71 | ||
| T ROWE PRICE ASSOCIATES |
| ||
| ATT FUND ACCOUNTING DEPT |
| ||
|
| |||
| RETIREMENT PORTFOLIO 2030 | 16.63 | ||
| T ROWE PRICE ASSOCIATES |
| ||
| ATTN FUND ACCOUNTING DEPT |
| ||
|
| |||
| RETIREMENT PORTFOLIO 2035 | 10.98 | ||
| T ROWE PRICE ASSOCIATES |
| ||
| ATT FUND ACCOUNTING DEPT |
| ||
|
| |||
| RETIREMENT PORTFOLIO 2045 | 7.68 | ||
| T ROWE PRICE ASSOCIATES |
| ||
| ATTN FUND ACCOUNTING DEPT |
| ||
|
| |||
| RETIREMENT PORTFOLIO 2050 | 6.27 | ||
| T ROWE PRICE ASSOCIATES |
| ||
| ATTN: FUND ACCOUNTING DEPT |
| ||
OVERSEAS STOCK FUNDADVISOR CLASS |
| GREAT-WEST TRUST COMPANY LLC FBO |
| 7.46 |
| EMPLOYEE BENEFITS CLIENTS 401K |
| ||
|
| |||
| PERSHING LLC | 12.39 | ||
|
| |||
| SUNTRUST BANK FBO | 41.68(b) | ||
| VARIOUS SUNTRUST OMNIBUS ACCOUNTS |
| ||
|
| |||
| T ROWE PRICE ASSOCIATES | 5.50 | ||
| ATTN FINANCIAL REPORTING DEPT |
| ||
|
| |||
| TD AMERITRADE INC FBO | 5.05 | ||
| OUR CUSTOMERS |
| ||
|
| |||
| TRUST COMPANY OF AMERICA | 27.28(b) | ||
| FBO #525 |
|
185
FUND |
| SHAREHOLDER |
| % |
OVERSEAS STOCK FUNDI CLASS |
| EDWARD D JONES & CO |
| 11.53 |
| FOR THE BENEFIT OF CUSTOMERS |
| ||
|
| |||
| J.P. MORGAN SECURITIES LLC | 16.08 | ||
| FOR THE EXCLUSIVE BENEFIT |
| ||
| OF OUR CUSTOMERS |
| ||
|
| |||
| NATIONAL FINANCIAL SERVICES LLC | 26.54(b) | ||
| FOR THE EXCLUSIVE BENEFIT |
| ||
| OF OUR CUSTOMERS |
| ||
|
| |||
| RETIREMENT I 2030 FUND | 5.45 | ||
| T ROWE PRICE ASSOCIATES |
| ||
| ATTN FUND ACCOUNTING DEPT |
| ||
|
| |||
| RETIREMENT I 2040 FUND | 5.01 | ||
| T ROWE PRICE ASSOCIATES |
| ||
| ATTN FUND ACCOUNTING DEPT |
| ||
|
| |||
| WELLS FARGO BANK NA FBO | 5.98 | ||
| OMNIBUS CASH/CASH |
| ||
PERSONAL STRATEGY BALANCED FUND |
| NATIONAL FINANCIAL SERVICES |
| 18.77 |
| FOR THE EXCLUSIVE BENEFIT |
| ||
| OF OUR CUSTOMERS |
| ||
|
| |||
| T ROWE PRICE TRUST CO TR | 8.38 | ||
| BALANCED |
| ||
| ATTN ASSET RECONCILIATION |
| ||
PERSONAL STRATEGY BALANCED FUNDI CLASS |
| NATIONAL FINANCIAL SERVICES LLC |
| 44.40(b) |
| FOR THE EXCLUSIVE BENEFIT |
| ||
| OF OUR CUSTOMERS |
| ||
|
| |||
| T ROWE PRICE RPS INC | 6.42 | ||
| OMNIBUS ACCOUNT |
| ||
| TRP PERSONAL STRATEGY BALANCED-I |
| ||
| FUND 209/X247 CUSIP:77957L401 |
| ||
PERSONAL STRATEGY GROWTH FUND |
| NATIONAL FINANCIAL SERVICES |
| 14.79 |
| FOR THE EXCLUSIVE BENEFIT |
| ||
| OF OUR CUSTOMERS |
| ||
|
| |||
| NATIONWIDE TRUST COMPANY FSB | 6.87 | ||
| C/O IPO PORTFOLIO ACCOUNTING |
| ||
|
| |||
| T ROWE PRICE TRUST CO TR | 5.12 | ||
| ATTN GROWTH ASSET |
|
186
FUND |
| SHAREHOLDER |
| % |
PERSONAL STRATEGY GROWTH FUNDI CLASS |
| NATIONAL FINANCIAL SERVICES LLC |
| 35.05(b) |
| FOR THE EXCLUSIVE BENEFIT |
| ||
| OF OUR CUSTOMERS |
| ||
|
| |||
| PERSHING LLC | 9.51 | ||
PERSONAL STRATEGY INCOME FUND |
| NATIONAL FINANCIAL SERVICES |
| 9.70 |
| FOR THE EXCLUSIVE BENEFIT |
| ||
| OF OUR CUSTOMERS |
| ||
|
| |||
| TD AMERITRADE INC FBO | 5.00 | ||
| OUR CUSTOMERS |
| ||
PERSONAL STRATEGY INCOME FUNDI CLASS |
| NATIONAL FINANCIAL SERVICES LLC |
| 71.67(b) |
| FOR THE EXCLUSIVE BENEFIT |
| ||
| OF OUR CUSTOMERS |
| ||
QM GLOBAL EQUITY FUND |
| T ROWE PRICE ASSOCIATES |
| 66.64(c) |
| ATTN FINANCIAL REPORTING DEPT |
| ||
QM GLOBAL EQUITY FUNDADVISOR CLASS |
| T ROWE PRICE ASSOCIATES |
| 100.00(c) |
| ATTN FINANCIAL REPORTING DEPT |
| ||
QM GLOBAL EQUITY FUNDI CLASS |
| T ROWE PRICE ASSOCIATES |
| 49.02(c) |
| ATTN FINANCIAL REPORTING DEPT |
| ||
|
| |||
| TRUSTEES OF T ROWE PRICE | 49.36(a) | ||
| U.S. RETIREMENT PROGRAM |
| ||
| ATTN FINANCIAL REPORTING DEPT |
| ||
QM U.S. SMALL & MID-CAP CORE EQUITY FUND |
| T ROWE PRICE ASSOCIATES |
| 23.38 |
| ATTN FINANCIAL REPORTING DEPT |
| ||
|
| |||
| TD AMERITRADE INC FBO | 10.10 | ||
| OUR CUSTOMERS |
| ||
QM U.S. SMALL & MID-CAP CORE EQUITY FUND |
| PERSHING LLC |
| 14.05 |
ADVISOR CLASS |
| |||
| T ROWE PRICE ASSOCIATES | 59.76(c) | ||
| ATTN FINANCIAL REPORTING DEPT |
| ||
|
| |||
| UMB BANK NA C/F | 6.48 | ||
| DANIEL R SAFRANEK |
| ||
| SEPIRA |
| ||
|
| |||
| UMB BANK NA C/F | 8.06 | ||
| RAYMOND J HENDERSON |
| ||
| IRAR |
|
187
FUND |
| SHAREHOLDER |
| % |
QM U.S. SMALL & MID-CAP CORE EQUITY FUND |
| PERSHING LLC |
| 10.26 |
I CLASS |
| |||
| T ROWE PRICE ASSOCIATES | 45.34(c) | ||
| ATTN FINANCIAL REPORTING DEPT |
| ||
|
| |||
| TRUSTEES OF T ROWE PRICE | 43.00(a) | ||
| U.S. RETIREMENT PROGRAM |
| ||
| ATTN FINANCIAL REPORTING DEPT |
| ||
QM U.S. SMALL-CAP GROWTH EQUITY FUND |
| LPL FINANCIAL |
| 5.29 |
| OMNIBUS CUSTOMER ACCOUNT |
| ||
| ATTN: MUTUAL FUND TRADING |
| ||
|
| |||
| MORGAN STANLEY SMITH BARNEY | 13.39 | ||
| HARBORSIDE FINANCIAL CENTER |
| ||
|
| |||
| NATIONAL FINANCIAL SERVICES | 12.01 | ||
| FOR THE EXCLUSIVE BENEFIT |
| ||
| OF OUR CUSTOMERS |
| ||
|
| |||
| PERSHING LLC | 8.89 | ||
|
| |||
| UBS WM USA | 5.21 | ||
| SPEC CDY A/C EXL BEN CUSTOMERS |
| ||
| OF UBSFI |
| ||
|
| |||
| WELLS FARGO CLEARING SERVICES LLC | 5.61 | ||
| SPECIAL CUSTODY ACCT FOR THE |
| ||
| EXCLUSIVE BENEFIT OF CUSTOMERS |
| ||
QM U.S. SMALL-CAP GROWTH EQUITY FUND |
| JOHN HANCOCK LIFE |
| 16.13 |
ADVISOR CLASS | INSURANCE USA |
| ||
RPS TRADING OPS ET-4 |
| |||
|
| |||
| LPL FINANCIAL | 5.37 | ||
| OMNIBUS CUSTOMER ACCOUNT |
| ||
| ATTN: MUTUAL FUND TRADING |
| ||
|
| |||
| NATIONAL FINANCIAL SERVICES LLC | 28.75(b) | ||
| FOR THE EXCLUSIVE BENEFIT |
| ||
| OF OUR CUSTOMERS |
| ||
|
| |||
| UMB BANK CUSTODIAN | 44.02(b) | ||
| SECURITY FINANCIAL RESOURCES |
| ||
| ONE SECURITY BENEFIT PLACE |
| ||
| TOPEKA KS 66636-0001 |
|
188
FUND |
| SHAREHOLDER |
| % |
QM U.S. SMALL-CAP GROWTH EQUITY FUND |
| CHARLES SCHWAB & CO INC |
| 17.06 |
I CLASS | ATTN MUTUAL FUND DEPT |
| ||
|
| |||
| NATIONAL FINANCIAL SERVICES LLC | 16.91 | ||
| FOR THE EXCLUSIVE BENEFIT |
| ||
| OF OUR CUSTOMERS |
| ||
|
| |||
| PERSHING LLC | 8.74 | ||
|
| |||
| STATE STREET BANK AND TRUST COMPANY | 19.84 | ||
| AS TRUSTEE OF THE TRUST FOR THE NEW |
| ||
| YORK STATE DC PLAN |
| ||
| 1200 CROWN COLONY DR |
| ||
| QUINCY MA 02169-0938 |
| ||
QM U.S. VALUE EQUITY FUND |
| T ROWE PRICE ASSOCIATES |
| 43.19(c) |
| ATTN FINANCIAL REPORTING DEPT |
| ||
QM U.S. VALUE EQUITY FUNDADVISOR CLASS |
| T ROWE PRICE ASSOCIATES |
| 100.00(c) |
| ATTN FINANCIAL REPORTING DEPT |
| ||
QM U.S. VALUE EQUITY FUNDI CLASS |
| DONALD E HINES TR |
| 6.92 |
| DONALD E HINES TRUST |
| ||
| FBO DONALD E HINES |
| ||
|
| |||
| T ROWE PRICE ASSOCIATES | 43.16(c) | ||
| ATTN FINANCIAL REPORTING DEPT |
| ||
|
| |||
| TRUSTEES OF T ROWE PRICE | 44.67(a) | ||
| U.S. RETIREMENT PROGRAM |
| ||
| ATTN FINANCIAL REPORTING DEPT |
|
189
FUND |
| SHAREHOLDER |
| % |
REAL ASSETS FUND |
| RETIREMENT PORTFOLIO 2040 |
| 13.36 |
| T ROWE PRICE ASSOCIATES |
| ||
| ATT FUND ACCOUNTING DEPT |
| ||
|
| |||
| RETIREMENT PORTFOLIO 2020 | 11.50 | ||
| T ROWE PRICE ASSOCIATES |
| ||
| ATT FUND ACCOUNTING DEPT |
| ||
|
| |||
| RETIREMENT PORTFOLIO 2025 | 11.50 | ||
| T ROWE PRICE ASSOCIATES |
| ||
| ATT FUND ACCOUNTING DEPT |
| ||
|
| |||
| RETIREMENT PORTFOLIO 2030 | 16.35 | ||
| T ROWE PRICE ASSOCIATES |
| ||
| ATTN FUND ACCOUNTING DEPT |
| ||
|
| |||
| RETIREMENT PORTFOLIO 2035 | 10.86 | ||
| T ROWE PRICE ASSOCIATES |
| ||
| ATT FUND ACCOUNTING DEPT |
| ||
|
| |||
| RETIREMENT PORTFOLIO 2045 | 7.56 | ||
| T ROWE PRICE ASSOCIATES |
| ||
| ATTN FUND ACCOUNTING DEPT |
| ||
|
| |||
| RETIREMENT PORTFOLIO 2050 | 6.18 | ||
| T ROWE PRICE ASSOCIATES |
| ||
| ATTN: FUND ACCOUNTING DEPT |
|
190
FUND |
| SHAREHOLDER |
| % |
REAL ASSETS FUNDI CLASS |
| BREAD & CO |
| 9.92 |
| C/O T ROWE PRICE ASSOC |
| ||
| ATTN BALANCED FUND |
| ||
|
| |||
| LADYBUG & CO | 5.22 | ||
| C/O T ROWE PRICE ASSOC |
| ||
| ATTN PERS STRATEGY BALANCED FD |
| ||
|
| |||
| LAKESIDE & CO | 6.88 | ||
| C/O T ROWE PRICE ASSOC |
| ||
| ATTN PERS STRATEGY GROWTH FUND |
| ||
|
| |||
| RETIREMENT I 2020 FUND | 7.63 | ||
| T ROWE PRICE ASSOCIATES |
| ||
| ATTN FUND ACCOUNTING DEPT |
| ||
|
| |||
| RETIREMENT I 2025 FUND | 7.79 | ||
| T ROWE PRICE ASSOCIATES |
| ||
| ATTN FUND ACCOUNTING DEPT |
| ||
|
| |||
| RETIREMENT I 2030 FUND | 11.77 | ||
| T ROWE PRICE ASSOCIATES |
| ||
| ATTN FUND ACCOUNTING DEPT |
| ||
|
| |||
| RETIREMENT I 2035 FUND | 8.03 | ||
| T ROWE PRICE ASSOCIATES |
| ||
| ATTN FUND ACCOUNTING DEPT |
| ||
|
| |||
| RETIREMENT I 2040 FUND | 10.79 | ||
| T ROWE PRICE ASSOCIATES |
| ||
| ATTN FUND ACCOUNTING DEPT |
| ||
|
| |||
| RETIREMENT I 2045 FUND | 5.95 | ||
| T ROWE PRICE ASSOCIATES |
| ||
| ATTN FUND ACCOUNTING DEPT |
| ||
|
| |||
| RETIREMENT I 2050 FUND | 5.95 | ||
| T ROWE PRICE ASSOCIATES |
| ||
| ATTN FUND ACCOUNTING DEPT |
|
191
FUND |
| SHAREHOLDER |
| % |
REAL ESTATE FUND |
| CHARLES SCHWAB & CO INC |
| 5.30 |
| REINVEST ACCOUNT |
| ||
| ATTN MUTUAL FUND DEPT |
| ||
|
| |||
| NATIONAL FINANCIAL SERVICES | 14.60 | ||
| FOR THE EXCLUSIVE BENEFIT |
| ||
| OF OUR CUSTOMERS |
| ||
|
| |||
| PERSHING LLC | 18.45 | ||
|
| |||
| WELLS FARGO CLEARING SERVICES LLC | 11.56 | ||
| SPECIAL CUSTODY ACCT FOR THE |
| ||
| EXCLUSIVE BENEFIT OF CUSTOMERS |
| ||
REAL ESTATE FUNDADVISOR CLASS |
| NATIONAL FINANCIAL SERVICES |
| 11.86 |
| FOR THE EXCLUSIVE BENEFIT |
| ||
| OF OUR CUSTOMERS |
| ||
|
| |||
| RELIANCE TRUST COMPANY FBO | 39.76(b) | ||
| INSPER 401K |
| ||
REAL ESTATE FUNDI CLASS |
| WELLS FARGO BANK NA FBO |
| 79.58(b) |
| OMNIBUS ACCT CASH/CASH |
| ||
RETIREMENT 2005 FUND |
| NATIONAL FINANCIAL SERVICES |
| 18.10 |
| FOR THE EXCLUSIVE BENEFIT |
| ||
| OF OUR CUSTOMERS |
| ||
|
| |||
| T ROWE PRICE RPS INC | 15.38 | ||
| OMNIBUS ACCOUNT |
| ||
| RETIREMENT ABH1 #155 |
| ||
RETIREMENT 2005 FUNDADVISOR CLASS |
| NATIONAL FINANCIAL SVCS CORP |
| 25.35(b) |
| FOR EXCLUSIVE BENEFIT OF OUR |
| ||
| CUSTOMERS |
| ||
| RUSS LENNON |
| ||
|
| |||
| TAYNIK & CO | 5.55 | ||
| C/O INVESTORS BANK & TRUST |
| ||
| PO BOX 9130 |
| ||
| BOSTON MA 02117-9130 |
| ||
|
| |||
| WTRISC CO IRA OMNIBUS ACCT | 19.50 | ||
| C/O ICMA RETIREMENT CORPORATION |
|
192
FUND |
| SHAREHOLDER |
| % |
RETIREMENT 2005 FUNDR CLASS |
| AMERICAN UNITED LIFE |
| 5.19 |
| SEPARATE ACCOUNT II |
| ||
| ATTN SEPARATE ACCOUNTS |
| ||
|
| |||
| AXA EQUITABLE FOR SA NO 65 | 13.88 | ||
|
| |||
| STATE STREET BANK AND TRUST AS | 24.21 | ||
| TRUSTEE AND/OR CUSTODIAN |
| ||
| FBO ADP ACCESS PRODUCT |
| ||
|
| |||
| VOYA RETIREMENT INS & ANNUITY CO | 20.98 | ||
RETIREMENT 2010 FUND |
| NATIONAL FINANCIAL SERVICES |
| 14.87 |
| FOR THE EXCLUSIVE BENEFIT |
| ||
| OF OUR CUSTOMERS |
| ||
|
| |||
| T ROWE PRICE RPS INC | 11.93 | ||
| OMNIBUS ACCOUNT |
| ||
| RETIREMENT 2010, #140 |
| ||
RETIREMENT 2010 FUNDADVISOR CLASS |
| NATIONAL FINANCIAL SERVICES |
| 17.94 |
| FOR THE EXCLUSIVE BENEFIT |
| ||
| OF OUR CUSTOMERS |
| ||
|
| |||
| TAYNIK & CO | 9.50 | ||
| C/O INVESTORS BANK & TRUST |
| ||
RETIREMENT 2010 FUNDR CLASS |
| STATE STREET BANK AND TRUST AS |
| 35.68(b) |
| TRUSTEE AND/OR CUSTODIAN |
| ||
| FBO ADP ACCESS PRODUCT |
| ||
|
| |||
| SUNTRUST BANK FBO | 6.91 | ||
| VARIOUS SUNTRUST OMNIBUS ACCOUNTS |
| ||
RETIREMENT 2015 FUND |
| NATIONAL FINANCIAL SERVICES |
| 16.46 |
| FOR THE EXCLUSIVE BENEFIT |
| ||
| OF OUR CUSTOMERS |
| ||
|
| |||
| T ROWE PRICE RPS INC | 18.65 | ||
| OMNIBUS ACCOUNT |
| ||
| RETIREMENT ABH2 #156 |
| ||
RETIREMENT 2015 FUNDADVISOR CLASS |
| NATIONAL FINANCIAL SVCS CORP |
| 23.54 |
| FOR EXCLUSIVE BENEFIT OF OUR |
| ||
| CUSTOMERS |
| ||
| RUSS LENNON |
| ||
|
| |||
| RELIANCE TRUST COMPANY FBO | 5.22 | ||
| RETIREMENT PLANS SERVICED BY METLIFE |
|
193
FUND |
| SHAREHOLDER |
| % |
RETIREMENT 2015 FUNDR CLASS |
| AXA EQUITABLE FOR SA NO 65 |
| 7.22 |
|
| |||
| STATE STREET BANK AND TRUST AS | 30.08(b) | ||
| TRUSTEE AND/OR CUSTODIAN |
| ||
| FBO ADP ACCESS PRODUCT |
| ||
|
| |||
| VOYA RETIREMENT INS & ANNUITY CO | 13.05 | ||
RETIREMENT 2020 FUND |
| NATIONAL FINANCIAL SERVICES |
| 21.66 |
| FOR THE EXCLUSIVE BENEFIT |
| ||
| OF OUR CUSTOMERS |
| ||
|
| |||
| T ROWE PRICE RPS INC | 22.64 | ||
| OMNIBUS ACCOUNT |
| ||
| RETIREMENT 2020, #141 |
| ||
RETIREMENT 2020 FUNDADVISOR CLASS |
| NATIONAL FINANCIAL SERVICES |
| 20.78 |
| FOR THE EXCLUSIVE BENEFIT |
| ||
| OF OUR CUSTOMERS |
| ||
|
| |||
| TAYNIK & CO | 7.56 | ||
| C/O INVESTORS BANK & TRUST |
| ||
RETIREMENT 2020 FUNDR CLASS |
| STATE STREET BANK AND TRUST AS |
| 36.09(b) |
| TRUSTEE AND/OR CUSTODIAN |
| ||
| FBO ADP ACCESS PRODUCT |
| ||
|
| |||
| TAYNIK & CO | 5.45 | ||
| C/O STATE STREET BANK |
| ||
RETIREMENT 2025 FUND |
| NATIONAL FINANCIAL SERVICES |
| 23.85 |
| FOR THE EXCLUSIVE BENEFIT |
| ||
| OF OUR CUSTOMERS |
| ||
|
| |||
| T ROWE PRICE RPS INC | 27.17(a) | ||
| OMNIBUS ACCOUNT |
| ||
| RETIREMENT ABH3 #157 |
| ||
RETIREMENT 2025 FUNDADVISOR CLASS |
| NATIONAL FINANCIAL SVCS CORP |
| 24.90 |
| FOR EXCLUSIVE BENEFIT OF OUR |
| ||
| CUSTOMERS |
| ||
| RUSS LENNON |
| ||
|
| |||
| TAYNIK & CO | 5.45 | ||
| C/O STATE STREET BANK |
| ||
RETIREMENT 2025 FUNDR CLASS |
| AXA EQUITABLE FOR SA NO 65 |
| 7.70 |
|
| |||
| STATE STREET BANK AND TRUST AS | 34.15(b) | ||
| TRUSTEE AND/OR CUSTODIAN |
| ||
| FBO ADP ACCESS PRODUCT |
| ||
|
| |||
| VOYA RETIREMENT INS & ANNUITY CO | 12.34 |
194
FUND |
| SHAREHOLDER |
| % |
RETIREMENT 2030 FUND |
| NATIONAL FINANCIAL SERVICES |
| 23.23 |
| FOR THE EXCLUSIVE BENEFIT |
| ||
| OF OUR CUSTOMERS |
| ||
|
| |||
| T ROWE PRICE RPS INC | 24.66 | ||
| OMNIBUS ACCOUNT |
| ||
| RETIREMENT 2030, #142 |
| ||
RETIREMENT 2030 FUNDADVISOR CLASS |
| NATIONAL FINANCIAL SERVICES |
| 20.85 |
| FOR THE EXCLUSIVE BENEFIT |
| ||
| OF OUR CUSTOMERS |
| ||
|
| |||
| TAYNIK & CO | 8.76 | ||
| C/O INVESTORS BANK & TRUST |
| ||
RETIREMENT 2030 FUNDR CLASS |
| STATE STREET BANK AND TRUST AS |
| 40.87(b) |
| TRUSTEE AND/OR CUSTODIAN |
| ||
| FBO ADP ACCESS PRODUCT |
| ||
|
| |||
| TAYNIK & CO | 5.28 | ||
| C/O STATE STREET BANK |
| ||
RETIREMENT 2035 FUND |
| NATIONAL FINANCIAL SERVICES |
| 26.39(b) |
| FOR THE EXCLUSIVE BENEFIT |
| ||
| OF OUR CUSTOMERS |
| ||
|
| |||
| T ROWE PRICE RPS INC | 26.76(a) | ||
| OMNIBUS ACCOUNT |
| ||
| RETIREMENT ABH4 #158 |
| ||
RETIREMENT 2035 FUNDADVISOR CLASS |
| NATIONAL FINANCIAL SVCS CORP |
| 25.99(b) |
| FOR EXCLUSIVE BENEFIT OF OUR |
| ||
| CUSTOMERS |
| ||
| RUSS LENNON |
| ||
RETIREMENT 2035 FUNDR CLASS |
| AXA EQUITABLE FOR SA NO 65 |
| 6.87 |
|
| |||
| STATE STREET BANK AND TRUST AS | 37.76(b) | ||
| TRUSTEE AND/OR CUSTODIAN |
| ||
| FBO ADP ACCESS PRODUCT |
| ||
|
| |||
| VOYA RETIREMENT INS & ANNUITY CO | 11.93 | ||
RETIREMENT 2040 FUND |
| NATIONAL FINANCIAL SERVICES |
| 25.89(b) |
| FOR THE EXCLUSIVE BENEFIT |
| ||
| OF OUR CUSTOMERS |
| ||
|
| |||
| T ROWE PRICE RPS INC | 23.28 | ||
| OMNIBUS ACCOUNT |
| ||
| RETIREMENT 2040, #143 |
|
195
FUND |
| SHAREHOLDER |
| % |
RETIREMENT 2040 FUNDADVISOR CLASS |
| NATIONAL FINANCIAL SERVICES |
| 23.05 |
| FOR THE EXCLUSIVE BENEFIT |
| ||
| OF OUR CUSTOMERS |
| ||
|
| |||
| TAYNIK & CO | 8.70 | ||
| C/O INVESTORS BANK & TRUST |
| ||
RETIREMENT 2040 FUNDR CLASS |
| STATE STREET BANK AND TRUST AS |
| 43.87(b) |
| TRUSTEE AND/OR CUSTODIAN |
| ||
| FBO ADP ACCESS PRODUCT |
| ||
|
| |||
| TAYNIK & CO | 5.16 | ||
| C/O STATE STREET BANK |
| ||
RETIREMENT 2045 FUND |
| NATIONAL FINANCIAL SERVICES |
| 29.27(b) |
| FOR THE EXCLUSIVE BENEFIT |
| ||
| OF OUR CUSTOMERS |
| ||
|
| |||
| T ROWE PRICE RPS INC | 26.43(a) | ||
| OMNIBUS ACCOUNT |
| ||
| RETIREMENT ABH5 #159 |
| ||
RETIREMENT 2045 FUNDADVISOR CLASS |
| NATIONAL FINANCIAL SVCS CORP |
| 27.63(b) |
| FOR EXCLUSIVE BENEFIT OF OUR |
| ||
| CUSTOMERS |
| ||
| RUSS LENNON |
| ||
|
| |||
| RELIANCE TRUST COMPANY FBO | 5.06 | ||
| RETIREMENT PLANS SERVICED BY METLIFE |
| ||
RETIREMENT 2045 FUNDR CLASS |
| AXA EQUITABLE FOR SA NO 65 |
| 5.62 |
|
| |||
| STATE STREET BANK AND TRUST AS | 40.08(b) | ||
| TRUSTEE AND/OR CUSTODIAN |
| ||
| FBO ADP ACCESS PRODUCT |
| ||
|
| |||
| VOYA RETIREMENT INS & ANNUITY CO | 11.86 | ||
RETIREMENT 2050 FUND |
| NATIONAL FINANCIAL SERVICES |
| 31.23(b) |
| FOR THE EXCLUSIVE BENEFIT |
| ||
| OF OUR CUSTOMERS |
| ||
|
| |||
| T ROWE PRICE RPS INC | 22.48 | ||
| OMNIBUS ACCOUNT |
| ||
| RETIREMENT ABO6 #166 |
|
196
FUND |
| SHAREHOLDER |
| % |
RETIREMENT 2050 FUNDADVISOR CLASS |
| NATIONAL FINANCIAL SERVICES |
| 26.06(b) |
| FOR THE EXCLUSIVE BENEFIT |
| ||
| OF OUR CUSTOMERS |
| ||
|
| |||
| STATE STREET BANK AND TRUST AS | 6.15 | ||
| TRUSTEE AND/OR CUSTODIAN |
| ||
| FBO ADP ACCESS PRODUCT |
| ||
|
| |||
| TAYNIK & CO | 7.79 | ||
| C/O INVESTORS BANK & TRUST |
| ||
RETIREMENT 2050 FUNDR CLASS |
| STATE STREET BANK AND TRUST AS |
| 44.97(b) |
| TRUSTEE AND/OR CUSTODIAN |
| ||
| FBO ADP ACCESS PRODUCT |
| ||
|
| |||
| TAYNIK & CO | 5.74 | ||
| C/O STATE STREET BANK |
| ||
RETIREMENT 2055 FUND |
| NATIONAL FINANCIAL SERVICES |
| 30.75(b) |
| FOR THE EXCLUSIVE BENEFIT |
| ||
| OF OUR CUSTOMERS |
| ||
|
| |||
| T ROWE PRICE RPS INC | 25.18(a) | ||
| OMNIBUS ACCOUNT |
| ||
| RETIREMENT ABO7 #164 |
| ||
RETIREMENT 2055 FUNDADVISOR CLASS |
| NATIONAL FINANCIAL SVCS CORP |
| 32.03(b) |
| FOR EXCLUSIVE BENEFIT OF OUR |
| ||
| CUSTOMERS |
| ||
| RUSS LENNON |
| ||
RETIREMENT 2055 FUNDR CLASS |
| AXA EQUITABLE FOR SA NO 65 |
| 6.00 |
|
| |||
| STATE STREET BANK AND TRUST AS | 43.87(b) | ||
| TRUSTEE AND/OR CUSTODIAN |
| ||
| FBO ADP ACCESS PRODUCT |
| ||
|
| |||
| VOYA RETIREMENT INS & ANNUITY CO | 9.38 | ||
RETIREMENT 2060 FUND |
| NATIONAL FINANCIAL SERVICES |
| 26.37(b) |
| FOR THE EXCLUSIVE BENEFIT |
| ||
| OF OUR CUSTOMERS |
| ||
|
| |||
| T ROWE PRICE RPS INC | 26.51(a) | ||
| OMNIBUS ACCOUNT CUSIP:74149P325 |
| ||
| TRP RETIREMENT 2060 #144 ABMQ |
|
197
FUND |
| SHAREHOLDER |
| % |
RETIREMENT 2060 FUNDADVISOR CLASS |
| DCGT AS TTEE AND/OR CUST |
| 5.59 |
| FBO PLIC VARIOUS RETIREMENT PLANS |
| ||
| OMNIBUS |
| ||
| ATTN NPIO TRADE DESK |
| ||
|
| |||
| NATIONAL FINANCIAL SERVICES | 29.46(b) | ||
| FOR THE EXCLUSIVE BENEFIT |
| ||
| OF OUR CUSTOMERS |
| ||
|
| |||
| VALIC SEPARATE ACCOUNT A | 5.16 | ||
| 2727-A ALLEN PKWY 4 D-1 |
| ||
| HOUSTON TX 77009 |
| ||
RETIREMENT 2060 FUNDR CLASS |
| STATE STREET BANK AND TRUST AS |
| 46.45(b) |
| TRUSTEE AND/OR CUSTODIAN |
| ||
| FBO ADP ACCESS PRODUCT |
| ||
|
| |||
| VOYA RETIREMENT INS & ANNUITY CO | 7.07 | ||
RETIREMENT BALANCED FUND |
| NATIONAL FINANCIAL SERV CORP |
| 9.54 |
| FOR THE EXCLUSIVE BENEFIT |
| ||
| OF OUR CUSTOMERS |
| ||
|
| |||
| T ROWE PRICE RPS INC | 9.64 | ||
| OMNIBUS ACCOUNT |
| ||
| RETIREMENT INCOME,#145 |
| ||
RETIREMENT BALANCED FUNDADVISOR CLASS |
| CHARLES SCHWAB & CO INC |
| 5.32 |
| REINVEST ACCOUNT |
| ||
| ATTN MUTUAL FUND DEPT |
| ||
|
| |||
| LINCOLN FINANCIAL GROUP TRUST CO | 5.32 | ||
| FBO ROLLOVER IRA PLANS |
| ||
| 1 GRANITE PL |
| ||
| CONCORD NH 03301-3258 |
| ||
|
| |||
| NATIONAL FINANCIAL SERVICES | 14.30 | ||
| FOR THE EXCLUSIVE BENEFIT |
| ||
| OF OUR CUSTOMERS |
| ||
|
| |||
| STATE STREET BANK AND TRUST AS | 8.56 | ||
| TRUSTEE AND/OR CUSTODIAN |
| ||
| FBO ADP ACCESS PRODUCT |
| ||
|
| |||
| TAYNIK & CO | 11.01 | ||
| C/O INVESTORS BANK & TRUST |
|
198
FUND |
| SHAREHOLDER |
| % |
RETIREMENT BALANCED FUNDR CLASS |
| PIMS/PRUDENTIAL RETIREMENT |
| 17.61 |
| AS NOMINEE FOR THE TTEE/CUST PL 701 |
| ||
| NEPC - TAFT HARTLEY IRONWORKERS |
| ||
| PO BOX 30124 |
| ||
| SALT LAKE CTY UT 84130-0124 |
| ||
|
| |||
| STATE STREET BANK AND TRUST AS | 39.83(b) | ||
| TRUSTEE AND/OR CUSTODIAN |
| ||
| FBO ADP ACCESS PRODUCT |
| ||
RETIREMENT I 2005 FUNDI CLASS |
| GREAT-WEST TRUST COMPANY LLC TTEE F |
| 5.78 |
| RECORDKEEPING FOR LARGE BENEFIT PL |
| ||
|
| |||
| NATIONAL FINANCIAL SERVICES | 51.92(b) | ||
| FOR THE EXCLUSIVE BENEFIT |
| ||
| OF OUR CUSTOMERS |
| ||
RETIREMENT I 2010 FUNDI CLASS |
| NATIONAL FINANCIAL SERVICES |
| 32.29(b) |
| FOR THE EXCLUSIVE BENEFIT |
| ||
| OF OUR CUSTOMERS |
| ||
|
| |||
| STATE STREET BANK & TRUST CO | 8.27 | ||
| AS CUSTODIAN FOR MML |
| ||
| FBO ITS CLIENTS |
| ||
| 1 LINCOLN ST FL 1 |
| ||
| BOSTON MA 02111-2900 |
| ||
RETIREMENT I 2015 FUNDI CLASS |
| NATIONAL FINANCIAL SERVICES |
| 43.84(b) |
| FOR THE EXCLUSIVE BENEFIT |
| ||
| OF OUR CUSTOMERS |
| ||
RETIREMENT I 2020 FUNDI CLASS |
| NATIONAL FINANCIAL SERVICES |
| 40.05(b) |
| FOR THE EXCLUSIVE BENEFIT |
| ||
| OF OUR CUSTOMERS |
| ||
|
| |||
| STATE STREET BANK & TRUST CO | 7.42 | ||
| AS CUSTODIAN FOR MML |
| ||
| FBO ITS CLIENTS |
| ||
RETIREMENT I 2025 FUNDI CLASS |
| NATIONAL FINANCIAL SERVICES |
| 47.17(b) |
| FOR THE EXCLUSIVE BENEFIT |
| ||
| OF OUR CUSTOMERS |
| ||
RETIREMENT I 2030 FUNDI CLASS |
| NATIONAL FINANCIAL SERVICES |
| 38.51(b) |
| FOR THE EXCLUSIVE BENEFIT |
| ||
| OF OUR CUSTOMERS |
| ||
|
| |||
| STATE STREET BANK & TRUST CO | 9.14 | ||
| AS CUSTODIAN FOR MML |
| ||
| FBO ITS CLIENTS |
|
199
FUND |
| SHAREHOLDER |
| % |
RETIREMENT I 2035 FUNDI CLASS |
| CHARLES SCHWAB & CO INC |
| 5.32 |
| SPECIAL CUSTODY A/C FBO CUSTOMERS |
| ||
| ATTN MUTUAL FUND DEPT |
| ||
|
| |||
| NATIONAL FINANCIAL SERVICES | 46.33(b) | ||
| FOR THE EXCLUSIVE BENEFIT |
| ||
| OF OUR CUSTOMERS |
| ||
|
| |||
| STATE STREET BANK & TRUST CO | 5.77 | ||
| AS CUSTODIAN FOR MML |
| ||
| FBO ITS CLIENTS |
| ||
RETIREMENT I 2040 FUNDI CLASS |
| NATIONAL FINANCIAL SERVICES |
| 36.80(b) |
| FOR THE EXCLUSIVE BENEFIT |
| ||
| OF OUR CUSTOMERS |
| ||
|
| |||
| STATE STREET BANK & TRUST CO | 9.10 | ||
| AS CUSTODIAN FOR MML |
| ||
| FBO ITS CLIENTS |
| ||
RETIREMENT I 2045 FUNDI CLASS |
| CHARLES SCHWAB & CO INC |
| 5.54 |
| SPECIAL CUSTODY A/C FBO CUSTOMERS |
| ||
| ATTN MUTUAL FUND DEPT |
| ||
|
| |||
| NATIONAL FINANCIAL SERVICES | 45.43(b) | ||
| FOR THE EXCLUSIVE BENEFIT |
| ||
| OF OUR CUSTOMERS |
| ||
|
| |||
| STATE STREET BANK & TRUST CO | 7.19 | ||
| AS CUSTODIAN FOR MML |
| ||
| FBO ITS CLIENTS |
| ||
RETIREMENT I 2050 FUNDI CLASS |
| FIFTH THIRD BANK TR |
| 7.66 |
| FBO CINTAS PARTNERS PLAN |
| ||
| ATTN MICHELLE HODGEMAN MD |
| ||
|
| |||
| NATIONAL FINANCIAL SERVICES | 37.63(b) | ||
| FOR THE EXCLUSIVE BENEFIT |
| ||
| OF OUR CUSTOMERS |
| ||
|
| |||
| STATE STREET BANK & TRUST CO | 9.61 | ||
| AS CUSTODIAN FOR MML |
| ||
| FBO ITS CLIENTS |
| ||
RETIREMENT I 2055 FUNDI CLASS |
| NATIONAL FINANCIAL SERVICES |
| 49.71(b) |
| FOR THE EXCLUSIVE BENEFIT |
| ||
| OF OUR CUSTOMERS |
| ||
|
| |||
| STATE STREET BANK & TRUST CO | 5.57 | ||
| AS CUSTODIAN FOR MML |
| ||
| FBO ITS CLIENTS |
|
200
FUND |
| SHAREHOLDER |
| % |
RETIREMENT I 2060 FUNDI CLASS |
| NATIONAL FINANCIAL SERVICES |
| 45.62(b) |
| FOR THE EXCLUSIVE BENEFIT |
| ||
| OF OUR CUSTOMERS |
| ||
SCIENCE & TECHNOLOGY FUND |
| T ROWE PRICE RPS INC |
| 10.56 |
| OMNIBUS |
| ||
| PLAN # |
| ||
| NEW BUSINESS-CONV ASSTS #133 DIF |
| ||
SCIENCE & TECHNOLOGY FUNDADVISOR |
| JOHN HANCOCK LIFE |
| 85.66(b) |
CLASS | INSURANCE CO USA |
| ||
| RPS TRADING OPS ST-4 |
| ||
SCIENCE & TECHNOLOGY FUNDI CLASS |
| CHARLES SCHWAB & CO INC |
| 5.57 |
| REINVEST ACCOUNT |
| ||
| ATTN MUTUAL FUND DEPT |
| ||
|
| |||
| DCGT AS TTEE AND/OR CUST | 6.08 | ||
| FBO PLIC VARIOUS RETIREMENT PLANS |
| ||
| OMNIBUS |
| ||
| ATTN NPIO TRADE DESK |
| ||
|
| |||
| NAVID KAUSAR | 5.04 | ||
|
| |||
| T ROWE PRICE RPS INC | 10.33 | ||
| OMNIBUS ACCOUNT |
| ||
| TRP SCIENCE AND TECHNOLOGY - I |
| ||
| FUND 217/X28X CUSIP:87282N105 |
| ||
|
| |||
| TRUSTEES OF T ROWE PRICE | 35.70(a) | ||
| U.S. RETIREMENT PROGRAM |
| ||
| ATTN FINANCIAL REPORTING DEPT |
| ||
SHORT-TERM BOND FUND |
| MARYLAND COLLEGE INVESTMENT PLAN |
| 6.54 |
| PORTFOLIO 2018 |
| ||
| T ROWE PRICE FUND ACCOUNTING |
| ||
|
| |||
| SPECTRUM INCOME FUND | 7.15 | ||
| T. ROWE PRICE ASSOCIATES |
| ||
| ATTN: FUND ACCOUNTING DEPT |
| ||
|
| |||
| T ROWE PRICE ASSOCIATES | 13.83 | ||
| ATTN FINANCIAL REPORTING DEPT |
|
201
FUND |
| SHAREHOLDER |
| % |
SHORT-TERM BOND FUNDADVISOR CLASS |
| CHARLES SCHWAB & CO INC |
| 5.80 |
| SPECIAL CUSTODY A/C FBO CUSTOMERS |
| ||
| ATTN MUTUAL FUNDS |
| ||
|
| |||
| NATIONAL FINANCIAL SERVICES | 31.53(b) | ||
| FOR THE EXCLUSIVE BENEFIT |
| ||
| OF OUR CUSTOMERS |
| ||
|
| |||
| PERSHING LLC | 5.76 | ||
|
| |||
| TD AMERITRADE INC FBO | 25.20(b) | ||
| OUR CUSTOMERS |
| ||
|
| |||
| WELLS FARGO BANK NA FBO | 11.65 | ||
| VSP EXECUTIVE DC TRUST |
| ||
SHORT-TERM BOND FUNDI CLASS |
| EDWARD D JONES & CO |
| 10.89 |
| FOR THE BENEFIT OF CUSTOMERS |
| ||
|
| |||
| NATIONAL FINANCIAL SERVICES | 42.76(b) | ||
| FOR THE EXCLUSIVE BENEFIT |
| ||
| OF OUR CUSTOMERS |
| ||
|
| |||
| T ROWE PRICE PROGRAM FOR | 8.16 | ||
| CHARITABLE GIVING GIFT |
| ||
| PRESERVATION POOL |
| ||
| ATTN FUND ACCOUNTING |
| ||
SHORT-TERM FUND |
| JPMORGAN CHASE BANK AS AGENT |
| 19.05 |
| FOR INSTITUTIONAL FUNDS |
| ||
| ATTN AMANDA MORLEY |
| ||
| 500 STANTON CHRISTIANA RD |
| ||
| OPS 4 FL 3 |
| ||
| NEWARK DE 19713-2105 |
| ||
|
| |||
| STATE STREET BANK & TRUST CO AGENT | 80.77(b) | ||
| FOR T ROWE INSTITUTIONAL FUNDS |
| ||
| 1 LINCOLN ST 3RD FLOOR |
| ||
| BOSTON MA 02111-2901 |
| ||
SMALL-CAP INDEX FUND |
| T ROWE PRICE ASSOCIATES |
| 100.00(c) |
| ATTN FINANCIAL REPORTING DEPT |
| ||
SMALL-CAP INDEX FUNDI CLASS |
| T ROWE PRICE ASSOCIATES |
| 100.00(c) |
| ATTN FINANCIAL REPORTING DEPT |
|
202
FUND |
| SHAREHOLDER |
| % |
SMALL-CAP STOCK FUND |
| NATIONAL FINANCIAL SERV CORP |
| 8.99 |
| FOR THE EXCLUSIVE BENEFIT |
| ||
| OF OUR CUSTOMERS |
| ||
|
| |||
| RETIREMENT PORTFOLIO 2040 | 5.07 | ||
| T ROWE PRICE ASSOCIATES |
| ||
| ATT FUND ACCOUNTING DEPT |
| ||
|
| |||
| RETIREMENT PORTFOLIO 2030 | 6.35 | ||
| T ROWE PRICE ASSOCIATES |
| ||
| ATTN FUND ACCOUNTING DEPT |
| ||
|
| |||
| T ROWE PRICE TRUST CO INC | 5.86 | ||
| T R P O T C FUND |
| ||
| ATTN R P S CONTROL DEPT |
| ||
SMALL-CAP STOCK FUNDADVISOR CLASS |
| CHARLES SCHWAB & CO INC |
| 7.11 |
| SPECIAL CUSTODY A/C FBO CUSTOMERS |
| ||
| ATTN MUTUAL FUNDS |
| ||
|
| |||
| DCGT AS TTEE AND/OR CUST | 5.86 | ||
| FBO PLIC VARIOUS RETIREMENT PLANS |
| ||
| OMNIBUS |
| ||
| ATTN NPIO TRADE DESK |
| ||
|
| |||
| JOHN HANCOCK TRUST COMPANY | 5.44 | ||
|
| |||
| NATIONAL FINANCIAL SERVICES | 27.53(b) | ||
| FOR THE EXCLUSIVE BENEFIT |
| ||
| OF OUR CUSTOMERS |
| ||
|
| |||
| TAYNIK & CO | 5.08 | ||
| C/O STATE STREET BANK |
| ||
|
| |||
| VANGUARD FIDUCIARY TRUST CO | 12.07 | ||
| T ROWE PRICE ADVISOR CLASS FUNDS |
| ||
| ATTN OUTSIDE FUNDS |
| ||
| P O BOX 2900 |
| ||
| VALLEY FORGE PA 19482-2900 |
| ||
|
| |||
| WELLS FARGO BANK FBO | 9.22 | ||
| FBO VARIOUS RETIREMENT PLANS |
|
203
FUND |
| SHAREHOLDER |
| % |
SMALL-CAP STOCK FUNDI CLASS |
| CHARLES SCHWAB & CO INC |
| 10.69 |
| REINVEST ACCOUNT |
| ||
| ATTN MUTUAL FUND DEPT |
| ||
|
| |||
| NATIONAL FINANCIAL SERVICES LLC | 16.82 | ||
| FOR THE EXCLUSIVE BENEFIT |
| ||
| OF OUR CUSTOMERS |
| ||
|
| |||
| RETIREMENT I 2030 FUND | 6.17 | ||
| T ROWE PRICE ASSOCIATES |
| ||
| ATTN FUND ACCOUNTING DEPT |
| ||
|
| |||
| RETIREMENT I 2040 FUND | 5.65 | ||
| T ROWE PRICE ASSOCIATES |
| ||
| ATTN FUND ACCOUNTING DEPT |
| ||
SMALL-CAP VALUE FUND |
| NATIONAL FINANCIAL SERVICES |
| 6.27 |
| FOR THE EXCLUSIVE BENEFIT |
| ||
| OF OUR CUSTOMERS |
| ||
|
| |||
| RETIREMENT PORTFOLIO 2040 | 5.13 | ||
| T ROWE PRICE ASSOCIATES |
| ||
| ATT FUND ACCOUNTING DEPT |
| ||
|
| |||
| RETIREMENT PORTFOLIO 2030 | 6.42 | ||
| T ROWE PRICE ASSOCIATES |
| ||
| ATTN FUND ACCOUNTING DEPT |
| ||
|
| |||
| T ROWE PRICE TRUST CO INC | 6.30 | ||
| ATTN: TRPS INST CONTROL DEPT |
| ||
SMALL-CAP VALUE FUNDADVISOR CLASS |
| NATIONAL FINANCIAL SERVICES |
| 8.62 |
| FOR THE EXCLUSIVE BENEFIT |
| ||
| OF OUR CUSTOMERS |
| ||
|
| |||
| RAYMOND JAMES | 82.62(b) | ||
| OMNIBUS FOR MUTUAL FUNDS |
| ||
SMALL-CAP VALUE FUNDI CLASS |
| EDWARD D JONES & CO |
| 19.23 |
| FOR THE BENEFIT OF CUSTOMERS |
| ||
|
| |||
| RETIREMENT I 2030 FUND | 5.24 | ||
| T ROWE PRICE ASSOCIATES |
| ||
| ATTN FUND ACCOUNTING DEPT |
| ||
|
| |||
| T ROWE PRICE RPS INC | 15.57 | ||
| OMNIBUS DST#538 C:77957Q301 |
| ||
| TRP SMALL CAP VALUE FUND-I DACV |
|
204
FUND |
| SHAREHOLDER |
| % |
SPECTRUM INCOME FUND |
| MARYLAND COLLEGE INVESTMENT PLAN |
| 5.07 |
| PORTFOLIO 2021 |
| ||
| ATTN FUND ACCOUNTING |
| ||
|
| |||
| MARYLAND COLLEGE INVESTMENT PLAN | 5.59 | ||
| PORTFOLIO 2024 |
| ||
| ATTN FUND ACCOUNTING |
| ||
|
| |||
| T ROWE PRICE TRUST CO INC | 6.59 | ||
| ATTN: TRPS INST CONTROL DEPT |
| ||
SUMMIT MUNICIPAL INCOME FUND |
| EDWARD D JONES & CO |
| 12.10 |
| SHAREHOLDER ACCOUNTING |
| ||
| ATTN MUTUAL FUND |
| ||
|
| |||
| J.P. MORGAN SECURITIES LLC | 10.08 | ||
| FOR THE EXCLUSIVE BENEFIT |
| ||
| OF OUR CUSTOMERS |
| ||
|
| |||
| NATIONAL FINANCIAL SERVICES | 16.38 | ||
| FOR THE EXCLUSIVE BENEFIT |
| ||
| OF OUR CUSTOMERS |
| ||
|
| |||
| RAYMOND JAMES | 8.83 | ||
| OMNIBUS FOR MUTUAL FUNDS |
| ||
|
| |||
| SAXON & CO | 9.88 | ||
|
| |||
| WELLS FARGO CLEARING SERVICES LLC | 12.61 | ||
| SPECIAL CUSTODY ACCT FOR THE |
| ||
| EXCLUSIVE BENEFIT OF CUSTOMERS |
| ||
SUMMIT MUNICIPAL INCOME FUNDADVISOR |
| LPL FINANCIAL |
| 86.35(b) |
CLASS | OMNIBUS CUSTOMER ACCOUNT |
| ||
| ATTN: MUTUAL FUND TRADING |
| ||
|
| |||
| NATIONAL FINANCIAL SERVICES | 9.94 | ||
| FOR THE EXCLUSIVE BENEFIT |
| ||
| OF OUR CUSTOMERS |
|
205
FUND |
| SHAREHOLDER |
| % |
SUMMIT MUNICIPAL INTERMEDIATE FUND |
| CHARLES SCHWAB & CO INC |
| 16.13 |
| REINVEST ACCOUNT |
| ||
| ATTN MUTUAL FUND DEPT |
| ||
|
| |||
| EDWARD D JONES & CO | 8.74 | ||
| SHAREHOLDER ACCOUNTING |
| ||
| ATTN MUTUAL FUND |
| ||
|
| |||
| J.P. MORGAN SECURITIES LLC | 19.03 | ||
| FOR THE EXCLUSIVE BENEFIT |
| ||
| OF OUR CUSTOMERS |
| ||
|
| |||
| WELLS FARGO CLEARING SERVICES LLC | 13.17 | ||
| SPECIAL CUSTODY ACCT FOR THE |
| ||
| EXCLUSIVE BENEFIT OF CUSTOMERS |
| ||
SUMMIT MUNICIPAL INTERMEDIATE FUND |
| CHARLES SCHWAB & CO INC |
| 52.61(b) |
ADVISOR CLASS | REINVEST ACCOUNT |
| ||
| ATTN MUTUAL FUND DEPT |
| ||
|
| |||
| CITBANCO A PARTNERSHIP | 12.12 | ||
| DRAWER 1227 |
| ||
| STORM LAKE IA 50588-1227 |
| ||
|
| |||
| NATIONAL FINANCIAL SERVICES | 27.38(b) | ||
| FOR THE EXCLUSIVE BENEFIT |
| ||
| OF OUR CUSTOMERS |
| ||
SUMMIT MUNICIPAL MONEY MARKET FUND |
| JAMES S. RIEPE |
| 12.56 |
TARGET 2005 FUNDADVISOR CLASS |
| NATIONAL FINANCIAL SERVICES |
| 61.40(b) |
| FOR THE EXCLUSIVE BENEFIT |
| ||
| OF OUR CUSTOMERS |
| ||
|
| |||
| RELIANCE TRUST CO TTEE ADP | 18.29 | ||
| ACCESS LARGE MARKET 401K |
| ||
| 1100 ABERNATHY RD |
| ||
| ATLANTA GA 30328-5620 |
| ||
|
| |||
| T ROWE PRICE ASSOCIATES | 19.43 | ||
| ATTN FINANCIAL REPORTING DEPT |
| ||
TARGET 2005 FUNDI CLASS |
| T ROWE PRICE ASSOCIATES |
| 19.26 |
| ATTN FINANCIAL REPORTING DEPT |
| ||
|
| |||
| T ROWE PRICE TRUST CO | 71.65(e) | ||
| CUST FOR THE ROLLOVER IRA OF |
| ||
| CHRISTOPHER R BURNHAM |
|
206
FUND |
| SHAREHOLDER |
| % |
TARGET 2010 FUNDADVISOR CLASS |
| FIIOC AS AGENT FBO |
| 6.54 |
| INTERNATIONAL YOUTH FOUNDATION |
| ||
| 401K PLAN |
| ||
|
| |||
| NATIONAL FINANCIAL SERVICES | 60.69(b) | ||
| FOR THE EXCLUSIVE BENEFIT |
| ||
| OF OUR CUSTOMERS |
| ||
|
| |||
| RELIANCE TRUST CO TTEE ADP | 32.67(b) | ||
| ACCESS LARGE MARKET 401K |
| ||
TARGET 2010 FUNDI CLASS |
| GREAT-WEST TRUST COMPANY LLC FBO |
| 13.76 |
| EMPLOYEE BENEFITS CLIENTS 401K |
| ||
|
| |||
| REBECCA L. BESSON | 78.66(b) | ||
| STUART B COOPER TEN ENT |
| ||
TARGET 2015 FUND |
| T ROWE PRICE RPS INC |
| 6.43 |
| OMNIBUS ACCOUNT TICKER: TRRTX |
| ||
| CUSIP: 74149P556 |
| ||
| TRP TARGET RET 2015 AB9T |
| ||
TARGET 2015 FUNDADVISOR CLASS |
| GREAT WEST TRUST CO LLC |
| 23.37 |
| FBO RECORDKEEPING FOR VARIOUS |
| ||
| BENEFIT PL OMNIPUTNAM |
| ||
| C/O MUTUAL FUND TRADING |
| ||
| 8525 E ORCHARD RD |
| ||
| GREENWOOD VLG CO 80111-5002 |
| ||
|
| |||
| GREAT-WEST TRUST COMPANY LLC FBO | 18.39 | ||
| EMPLOYEE BENEFITS CLIENTS 401K |
| ||
|
| |||
| NATIONAL FINANCIAL SERVICES | 36.43(b) | ||
| FOR THE EXCLUSIVE BENEFIT |
| ||
| OF OUR CUSTOMERS |
| ||
|
| |||
| STATE STREET BANK AND TRUST AS | 7.89 | ||
| TRUSTEE AND/OR CUSTODIAN |
| ||
| FBO ADP ACCESS PRODUCT |
| ||
|
| |||
| WELLS FARGO BANK FBO | 7.60 | ||
| VARIOUS RETIREMENT PLANS |
|
207
FUND |
| SHAREHOLDER |
| % |
TARGET 2015 FUNDI CLASS |
| GREAT-WEST TRUST COMPANY LLC FBO |
| 10.58 |
| EMPLOYEE BENEFITS CLIENTS 401K |
| ||
|
| |||
| NATIONAL FINANCIAL SERVICES | 7.67 | ||
| FOR THE EXCLUSIVE BENEFIT |
| ||
| OF OUR CUSTOMERS |
| ||
|
| |||
| T ROWE PRICE TRUST CO | 12.97 | ||
| CUST FOR THE ROLLOVER IRA OF |
| ||
| ALBERT K MONAGAN JR |
| ||
|
| |||
| T ROWE PRICE TRUST CO | 10.68 | ||
| CUST FOR THE ROLLOVER IRA OF |
| ||
| DAVID L HINTZ |
| ||
|
| |||
| T ROWE PRICE TRUST CO | 11.83 | ||
| CUST FOR THE ROLLOVER IRA OF |
| ||
| DENNIS W CULLEN |
| ||
|
| |||
| T ROWE PRICE TRUST CO | 10.02 | ||
| CUST FOR THE ROLLOVER IRA OF |
| ||
| LINDA M RIDDELL |
| ||
|
| |||
| T ROWE PRICE TRUST CO | 10.65 | ||
| CUST FOR THE ROLLOVER IRA OF |
| ||
| ROBERT A CRIDER |
| ||
|
| |||
| T ROWE PRICE TRUST CO | 11.29 | ||
| CUST FOR THE ROLLOVER IRA OF |
| ||
| ROLLIN G SEARS |
| ||
TARGET 2020 FUND |
| NATIONAL FINANCIAL SERVICES |
| 8.59 |
| FOR THE EXCLUSIVE BENEFIT |
| ||
| OF OUR CUSTOMERS |
| ||
|
| |||
| T ROWE PRICE RPS INC | 13.43 | ||
| OMNIBUS ACCOUNT TICKER: TRRUX |
| ||
| CUSIP: 74149P549 |
| ||
| TRP TARGET RET 2020 ABAY |
|
208
FUND |
| SHAREHOLDER |
| % |
TARGET 2020 FUNDADVISOR CLASS |
| GREAT WEST TRUST CO LLC |
| 7.08 |
| FBO RECORDKEEPING FOR VARIOUS |
| ||
| BENEFIT PL OMNIPUTNAM |
| ||
| C/O MUTUAL FUND TRADING |
| ||
|
| |||
| GREAT-WEST TRUST COMPANY LLC FBO | 13.89 | ||
| EMPLOYEE BENEFITS CLIENTS 401K |
| ||
|
| |||
| NATIONAL FINANCIAL SERVICES | 29.27(b) | ||
| FOR THE EXCLUSIVE BENEFIT |
| ||
| OF OUR CUSTOMERS |
| ||
|
| |||
| RELIANCE TRUST CO TTEE ADP | 38.54(b) | ||
| ACCESS LARGE MARKET 401K |
| ||
TARGET 2020 FUNDI CLASS |
| GREAT-WEST TRUST COMPANY LLC FBO |
| 25.88(b) |
| EMPLOYEE BENEFITS CLIENTS 401K |
| ||
|
| |||
| NATIONAL FINANCIAL SERVICES | 14.58 | ||
| FOR THE EXCLUSIVE BENEFIT |
| ||
| OF OUR CUSTOMERS |
| ||
|
| |||
| SANDRA L KRISZTAL AGENT | 6.80 | ||
| TRP/ POA |
| ||
| T ROWE PRICE CO CUST FOR THE |
| ||
| ROLLOVER IRA OF RUBEN J KRISZTAL |
| ||
|
| |||
| T ROWE PRICE TRUST CO | 5.67 | ||
| CUST FOR THE ROLLOVER IRA OF |
| ||
| DOUGLAS J CROCKETT |
| ||
|
| |||
| T ROWE PRICE TRUST CO | 11.24 | ||
| CUST FOR THE ROLLOVER IRA OF |
| ||
| DWIGHT T COLES |
| ||
|
| |||
| T ROWE PRICE TRUST CO | 6.07 | ||
| CUST FOR THE ROLLOVER IRA OF |
| ||
| KEITH EDICK |
| ||
|
| |||
| T ROWE PRICE TRUST CO | 6.61 | ||
| CUST FOR THE ROLLOVER IRA OF |
| ||
| ROBERT T ERRINGTON |
|
209
FUND |
| SHAREHOLDER |
| % |
TARGET 2025 FUND |
| NATIONAL FINANCIAL SERVICES |
| 6.97 |
| FOR THE EXCLUSIVE BENEFIT |
| ||
| OF OUR CUSTOMERS |
| ||
|
| |||
| T ROWE PRICE RPS INC | 18.27 | ||
| OMNIBUS ACCOUNT TICKER: TRRVX |
| ||
| CUSIP: 74149P531 |
| ||
| TRP TARGET RET 2025 ABBC |
| ||
|
| |||
| WELLS FARGO BANK FBO | 7.95 | ||
| VARIOUS RETIREMENT PLANS |
| ||
TARGET 2025 FUNDADVISOR CLASS |
| GREAT WEST TRUST CO LLC |
| 27.09(b) |
| FBO RECORDKEEPING FOR VARIOUS |
| ||
| BENEFIT PL OMNIPUTNAM |
| ||
| C/O MUTUAL FUND TRADING |
| ||
|
| |||
| GREAT-WEST TRUST COMPANY LLC FBO | 18.02 | ||
| EMPLOYEE BENEFITS CLIENTS 401K |
| ||
|
| |||
| NATIONAL FINANCIAL SERVICES | 31.84(b) | ||
| FOR THE EXCLUSIVE BENEFIT |
| ||
| OF OUR CUSTOMERS |
| ||
|
| |||
| RELIANCE TRUST CO TTEE ADP | 8.14 | ||
| ACCESS LARGE MARKET 401K |
| ||
|
| |||
| STATE STREET BANK AND TRUST AS | 7.52 | ||
| TRUSTEE AND/OR CUSTODIAN |
| ||
| FBO ADP ACCESS PRODUCT |
| ||
TARGET 2025 FUNDI CLASS |
| CHARLES SCHWAB & CO INC |
| 23.42 |
| REINVEST ACCOUNT |
| ||
| ATTN MUTUAL FUND DEPT |
| ||
|
| |||
| GREAT-WEST TRUST COMPANY LLC FBO | 26.18(b) | ||
| EMPLOYEE BENEFITS CLIENTS 401K |
| ||
|
| |||
| NATIONAL FINANCIAL SERVICES | 7.56 | ||
| FOR THE EXCLUSIVE BENEFIT |
| ||
| OF OUR CUSTOMERS |
| ||
TARGET 2030 FUND |
| NATIONAL FINANCIAL SERVICES |
| 16.14 |
| FOR THE EXCLUSIVE BENEFIT |
| ||
| OF OUR CUSTOMERS |
| ||
|
| |||
| T ROWE PRICE RPS INC | 25.81(a) | ||
| OMNIBUS ACCOUNT TICKER: TRRWX |
| ||
| CUSIP: 74149P523 |
| ||
| TRP TARGET RET 2030 ABBH |
|
210
FUND |
| SHAREHOLDER |
| % |
TARGET 2030 FUNDADVISOR CLASS |
| FIIOC AS AGENT FBO |
| 12.36 |
| INTERNATIONAL YOUTH FOUNDATION |
| ||
| 401K PLAN |
| ||
|
| |||
| GREAT WEST TRUST CO LLC | 9.68 | ||
| FBO RECORDKEEPING FOR VARIOUS |
| ||
| BENEFIT PL OMNIPUTNAM |
| ||
| C/O MUTUAL FUND TRADING |
| ||
|
| |||
| NATIONAL FINANCIAL SERVICES | 36.68(b) | ||
| FOR THE EXCLUSIVE BENEFIT |
| ||
| OF OUR CUSTOMERS |
| ||
|
| |||
| RELIANCE TRUST CO TTEE ADP | 33.24(b) | ||
| ACCESS LARGE MARKET 401K |
| ||
TARGET 2030 FUNDI CLASS |
| ASCENSUS TRUST COMPANY FBO |
| 5.07 |
| HRM ENTERPRISES INC 401(K) PLAN |
| ||
|
| |||
| GREAT-WEST TRUST COMPANY LLC FBO | 26.27(b) | ||
| EMPLOYEE BENEFITS CLIENTS 401K |
| ||
|
| |||
| MATRIX TRUST COMPANY TRUSTEE FBO | 19.56 | ||
| CHRISTIAN APPALACHIAN PROJECT INC |
| ||
|
| |||
| NATIONAL FINANCIAL SERVICES | 7.99 | ||
| FOR THE EXCLUSIVE BENEFIT |
| ||
| OF OUR CUSTOMERS |
| ||
|
| |||
| T ROWE PRICE TRUST CO | 8.99 | ||
| CUST FOR THE ROLLOVER IRA OF |
| ||
| GARRETT COLMORGEN |
| ||
TARGET 2035 FUND |
| NATIONAL FINANCIAL SERVICES |
| 12.72 |
| FOR THE EXCLUSIVE BENEFIT |
| ||
| OF OUR CUSTOMERS |
| ||
|
| |||
| T ROWE PRICE RPS INC | 29.51(a) | ||
| OMNIBUS ACCOUNT TICKER: RPGRX |
| ||
| CUSIP: 74149P515 |
| ||
| TRP TARGET RET 2035 AB5Y |
| ||
|
| |||
| WELLS FARGO BANK FBO | 8.53 | ||
| VARIOUS RETIREMENT PLANS |
|
211
FUND |
| SHAREHOLDER |
| % |
TARGET 2035 FUNDADVISOR CLASS |
| GREAT WEST TRUST CO LLC |
| 18.34 |
| FBO RECORDKEEPING FOR VARIOUS |
| ||
| BENEFIT PL OMNIPUTNAM |
| ||
| C/O MUTUAL FUND TRADING |
| ||
|
| |||
| GREAT-WEST TRUST COMPANY LLC FBO | 15.81 | ||
| EMPLOYEE BENEFITS CLIENTS 401K |
| ||
|
| |||
| NATIONAL FINANCIAL SERVICES | 56.62(b) | ||
| FOR THE EXCLUSIVE BENEFIT |
| ||
| OF OUR CUSTOMERS |
| ||
|
| |||
| STATE STREET BANK AND TRUST AS | 5.53 | ||
| TRUSTEE AND/OR CUSTODIAN |
| ||
| FBO ADP ACCESS PRODUCT |
| ||
TARGET 2035 FUNDI CLASS |
| CHARLES SCHWAB & CO INC |
| 26.24(b) |
| REINVEST ACCOUNT |
| ||
| ATTN MUTUAL FUND DEPT |
| ||
|
| |||
| GREAT-WEST TRUST COMPANY LLC FBO | 32.64(b) | ||
| EMPLOYEE BENEFITS CLIENTS 401K |
| ||
|
| |||
| NATIONAL FINANCIAL SERVICES | 12.69 | ||
| FOR THE EXCLUSIVE BENEFIT |
| ||
| OF OUR CUSTOMERS |
| ||
TARGET 2040 FUND |
| NATIONAL FINANCIAL SERVICES |
| 15.78 |
| FOR THE EXCLUSIVE BENEFIT |
| ||
| OF OUR CUSTOMERS |
| ||
|
| |||
| T ROWE PRICE RPS INC | 28.23(a) | ||
| OMNIBUS ACCOUNT TICKER: TRHRX |
| ||
| CUSIP: 74149P499 |
| ||
| TRP TARGET RET 2040 AB6J |
| ||
|
| |||
| WELLS FARGO BANK FBO | 6.37 | ||
| VARIOUS RETIREMENT PLANS |
| ||
TARGET 2040 FUNDADVISOR CLASS |
| FIIOC AS AGENT FBO |
| 6.89 |
| INTERNATIONAL YOUTH FOUNDATION 401K PLAN |
| ||
|
| |||
| GREAT WEST TRUST CO LLC | 15.22 | ||
| FBO RECORDKEEPING FOR VARIOUS |
| ||
| BENEFIT PL OMNIPUTNAM |
| ||
| C/O MUTUAL FUND TRADING |
| ||
|
| |||
| NATIONAL FINANCIAL SERVICES | 69.23(b) | ||
| FOR THE EXCLUSIVE BENEFIT |
| ||
| OF OUR CUSTOMERS |
|
212
FUND |
| SHAREHOLDER |
| % |
TARGET 2040 FUNDI CLASS |
| ASCENSUS TRUST COMPANY FBO |
| 9.90 |
| HRM ENTERPRISES INC 401(K) PLAN |
| ||
|
| |||
| GREAT-WEST TRUST COMPANY LLC FBO | 58.97(b) | ||
| EMPLOYEE BENEFITS CLIENTS 401K |
| ||
|
| |||
| NATIONAL FINANCIAL SERVICES | 6.44 | ||
| FOR THE EXCLUSIVE BENEFIT |
| ||
| OF OUR CUSTOMERS |
| ||
TARGET 2045 FUND |
| NATIONAL FINANCIAL SERVICES |
| 13.05 |
| FOR THE EXCLUSIVE BENEFIT |
| ||
| OF OUR CUSTOMERS |
| ||
|
| |||
| T ROWE PRICE RPS INC | 30.82(a) | ||
| OMNIBUS ACCOUNT TICKER: RPTFX |
| ||
| CUSIP: 74149P481 |
| ||
| TRP TARGET RET 2045 AB7Y |
| ||
|
| |||
| WELLS FARGO BANK FBO | 7.80 | ||
| VARIOUS RETIREMENT PLANS |
| ||
TARGET 2045 FUNDADVISOR CLASS |
| GREAT WEST TRUST CO LLC |
| 11.92 |
| FBO RECORDKEEPING FOR VARIOUS |
| ||
| BENEFIT PL OMNIPUTNAM |
| ||
| C/O MUTUAL FUND TRADING |
| ||
|
| |||
| GREAT-WEST TRUST COMPANY LLC FBO | 8.50 | ||
| EMPLOYEE BENEFITS CLIENTS 401K |
| ||
|
| |||
| NATIONAL FINANCIAL SERVICES | 69.72(b) | ||
| FOR THE EXCLUSIVE BENEFIT |
| ||
| OF OUR CUSTOMERS |
| ||
TARGET 2045 FUNDI CLASS |
| CHARLES SCHWAB & CO INC |
| 30.58(b) |
| REINVEST ACCOUNT |
| ||
| ATTN MUTUAL FUND DEPT |
| ||
|
| |||
| GREAT-WEST TRUST COMPANY LLC FBO | 48.45(b) | ||
| EMPLOYEE BENEFITS CLIENTS 401K |
| ||
|
| |||
| NATIONAL FINANCIAL SERVICES | 5.40 | ||
| FOR THE EXCLUSIVE BENEFIT |
| ||
| OF OUR CUSTOMERS |
|
213
FUND |
| SHAREHOLDER |
| % |
TARGET 2050 FUND |
| NATIONAL FINANCIAL SERVICES |
| 21.05 |
| FOR THE EXCLUSIVE BENEFIT |
| ||
| OF OUR CUSTOMERS |
| ||
|
| |||
| T ROWE PRICE RPS INC | 22.33 | ||
| OMNIBUS ACCOUNT TICKER: TRFOX |
| ||
| CUSIP: 74149P473 |
| ||
| TRP TARGET RET 2050 AB8F |
| ||
TARGET 2050 FUNDADVISOR CLASS |
| FIIOC AS AGENT FBO |
| 13.17 |
| INTERNATIONAL YOUTH FOUNDATION |
| ||
| 401K PLAN |
| ||
|
| |||
| GREAT WEST TRUST CO LLC | 9.24 | ||
| FBO RECORDKEEPING FOR VARIOUS |
| ||
| BENEFIT PL OMNIPUTNAM |
| ||
| C/O MUTUAL FUND TRADING |
| ||
|
| |||
| NATIONAL FINANCIAL SERVICES | 61.35(b) | ||
| FOR THE EXCLUSIVE BENEFIT |
| ||
| OF OUR CUSTOMERS |
| ||
|
| |||
| WELLS FARGO BANK FBO | 6.28 | ||
| VARIOUS RETIREMENT PLANS |
| ||
TARGET 2050 FUNDI CLASS |
| GREAT-WEST TRUST COMPANY LLC FBO |
| 57.26(b) |
| EMPLOYEE BENEFITS CLIENTS 401K |
| ||
|
| |||
| MATRIX TRUST COMPANY TRUSTEE FBO | 6.41 | ||
| CHRISTIAN APPALACHIAN PROJECT INC |
| ||
|
| |||
| NATIONAL FINANCIAL SERVICES | 15.20 | ||
| FOR THE EXCLUSIVE BENEFIT |
| ||
| OF OUR CUSTOMERS |
| ||
TARGET 2055 FUND |
| GREAT-WEST TRUST COMPANY LLC TTEE F |
| 5.16 |
| CRAIG HOSPITAL BASIC & SUPPLMNTL DA |
| ||
| C/O FASCORE LLC |
| ||
|
| |||
| NATIONAL FINANCIAL SERVICES | 14.78 | ||
| FOR THE EXCLUSIVE BENEFIT |
| ||
| OF OUR CUSTOMERS |
| ||
|
| |||
| T ROWE PRICE RPS INC | 23.48 | ||
| OMNIBUS ACCOUNT TICKER: TRFFX |
| ||
| CUSIP: 74149P465 |
| ||
| TRP TARGET RET 2055 AB8T |
| ||
|
| |||
| WELLS FARGO BANK FBO | 5.63 | ||
| VARIOUS RETIREMENT PLANS |
|
214
FUND |
| SHAREHOLDER |
| % |
TARGET 2055 FUNDADVISOR CLASS |
| GREAT WEST TRUST CO LLC |
| 5.59 |
| FBO RECORDKEEPING FOR VARIOUS |
| ||
| BENEFIT PL OMNIPUTNAM |
| ||
| C/O MUTUAL FUND TRADING |
| ||
|
| |||
| GREAT-WEST TRUST COMPANY LLC FBO | 14.73 | ||
| EMPLOYEE BENEFITS CLIENTS 401K |
| ||
|
| |||
| NATIONAL FINANCIAL SERVICES | 70.64(b) | ||
| FOR THE EXCLUSIVE BENEFIT |
| ||
| OF OUR CUSTOMERS |
| ||
TARGET 2055 FUNDI CLASS |
| CHARLES SCHWAB & CO INC |
| 19.76 |
| REINVEST ACCOUNT |
| ||
| ATTN MUTUAL FUND DEPT |
| ||
|
| |||
| GREAT-WEST TRUST COMPANY LLC FBO | 59.23(b) | ||
| EMPLOYEE BENEFITS CLIENTS 401K |
| ||
|
| |||
| NATIONAL FINANCIAL SERVICES | 6.15 | ||
| FOR THE EXCLUSIVE BENEFIT |
| ||
| OF OUR CUSTOMERS |
| ||
TARGET 2060 FUND |
| CHARLES SCHWAB & CO INC |
| 6.00 |
| REINVEST ACCOUNT |
| ||
| ATTN MUTUAL FUND DEPT |
| ||
|
| |||
| NATIONAL FINANCIAL SERVICES | 8.25 | ||
| FOR THE EXCLUSIVE BENEFIT |
| ||
| OF OUR CUSTOMERS |
| ||
|
| |||
| STATE STREET BANK AND TRUST AS | 5.53 | ||
| TRUSTEE AND/OR CUSTODIAN |
| ||
| FBO ADP ACCESS PRODUCT |
| ||
|
| |||
| T ROWE PRICE RPS INC | 7.65 | ||
| OMNIBUS ACCOUNT CUSIP:74149P275 |
| ||
| TRP TARGET RETIREMENT 2060 #181 |
|
215
FUND |
| SHAREHOLDER |
| % |
TARGET 2060 FUNDADVISOR CLASS |
| MATRIX TRUST COMPANY CUST. FBO |
| 9.11 |
| UI LABS 401(K) PLAN |
| ||
| 717 17TH ST STE 1300 |
| ||
| DENVER CO 80202-3304 |
| ||
|
| |||
| NATIONAL FINANCIAL SERVICES | 26.99(b) | ||
| FOR THE EXCLUSIVE BENEFIT |
| ||
| OF OUR CUSTOMERS |
| ||
|
| |||
| RELIANCE TRUST CO TTEE ADP | 8.52 | ||
| ACCESS LARGE MARKET 401K |
| ||
|
| |||
| STATE STREET BANK AND TRUST AS | 11.89 | ||
| TRUSTEE AND/OR CUSTODIAN |
| ||
| FBO ADP ACCESS PRODUCT |
| ||
|
| |||
| T ROWE PRICE ASSOCIATES | 24.44 | ||
| ATTN FINANCIAL REPORTING DEPT |
| ||
TARGET 2060 FUNDI CLASS |
| GREAT-WEST TRUST COMPANY LLC FBO |
| 29.29(b) |
| EMPLOYEE BENEFITS CLIENTS 401K |
| ||
|
| |||
| NATIONAL FINANCIAL SERVICES | 8.45 | ||
| FOR THE EXCLUSIVE BENEFIT |
| ||
| OF OUR CUSTOMERS |
| ||
|
| |||
| T ROWE PRICE ASSOCIATES | 38.69(c) | ||
| ATTN FINANCIAL REPORTING DEPT |
| ||
TAX-EFFICIENT EQUITY FUNDI CLASS |
| GAIL D BUCKNER |
| 87.15(b) |
|
| |||
| TED I DUNLAP | 8.18 | ||
| CONNIE R DUNLAP JT TEN |
| ||
TAX-EXEMPT MONEY FUNDI CLASS |
| DAVID MASON |
| 62.33(b) |
| DORIS IRENE MASON JT TEN |
| ||
|
| |||
| KENT G SHENG | 15.33 | ||
|
| |||
| ROBERT B OTT | 18.87 | ||
| PAULA S OTT JT TEN |
|
216
FUND |
| SHAREHOLDER |
| % |
TAX-FREE HIGH YIELD FUND |
| CHARLES SCHWAB & CO INC |
| 8.97 |
| REINVEST ACCOUNT |
| ||
| ATTN MUTUAL FUND DEPT |
| ||
|
| |||
| GOLDMAN SACHS & CO | 15.77 | ||
| C/O MUTUAL FUNDS OPS |
| ||
| 222 S MAIN ST |
| ||
| SALT LAKE CITY UT 84101-2199 |
| ||
|
| |||
| NATIONAL FINANCIAL SERVICES | 8.68 | ||
| FOR THE EXCLUSIVE BENEFIT |
| ||
| OF OUR CUSTOMERS |
| ||
|
| |||
| PERSHING LLC | 6.35 | ||
TAX-FREE HIGH YIELD FUNDADVISOR CLASS |
| NATIONAL FINANCIAL SERVICES |
| 99.02(b) |
| FOR THE EXCLUSIVE BENEFIT |
| ||
| OF OUR CUSTOMERS |
| ||
TAX-FREE HIGH YIELD FUNDI CLASS |
| EDWARD D JONES & CO |
| 39.91(b) |
| FOR THE BENEFIT OF CUSTOMERS |
| ||
|
| |||
| J.P. MORGAN SECURITIES LLC | 11.91 | ||
| FOR THE EXCLUSIVE BENEFIT |
| ||
| OF OUR CUSTOMERS |
| ||
|
| |||
| MORI & CO | 17.58 | ||
| 922 WALNUT ST |
| ||
| MAILSTOP TBTS 2 |
| ||
| KANSAS CITY MO 64106-1802 |
| ||
|
| |||
| SEI PRIVATE TRUST COMPANY | 5.11 | ||
| ATTN MUTUAL FUND ADMINISTRATOR |
| ||
| C/O M&T BANK |
| ||
TAX-FREE INCOME FUND |
| NATIONAL FINANCIAL SERVICES |
| 8.22 |
| FOR THE EXCLUSIVE BENEFIT |
| ||
| OF OUR CUSTOMERS |
| ||
TAX-FREE INCOME FUNDADVISOR CLASS |
| NATIONAL FINANCIAL SERVICES |
| 91.23(b) |
| FOR THE EXCLUSIVE BENEFIT |
| ||
| OF OUR CUSTOMERS |
|
217
FUND |
| SHAREHOLDER |
| % |
TAX-FREE INCOME FUNDI CLASS |
| J.P. MORGAN SECURITIES LLC |
| 24.35 |
| FOR THE EXCLUSIVE BENEFIT |
| ||
| OF OUR CUSTOMERS |
| ||
|
| |||
| SEI PRIVATE TRUST COMPANY | 17.21 | ||
| ATTN MUTUAL FUND ADMINISTRATOR |
| ||
| C/O M&T BANK |
| ||
|
| |||
| SEI PRIVATE TRUST COMPANY | 40.50(b) | ||
| ATTN MUTUAL FUND ADMINISTRATOR |
| ||
| C/O M&T BANK |
| ||
TAX-FREE SHORT-INTERMEDIATE FUND |
| CHARLES SCHWAB & CO INC |
| 14.22 |
| REINVEST ACCOUNT |
| ||
| ATTN MUTUAL FUND DEPT |
| ||
|
| |||
| NATIONAL FINANCIAL SERVICES | 8.90 | ||
| FOR THE EXCLUSIVE BENEFIT |
| ||
| OF OUR CUSTOMERS |
| ||
|
| |||
| T ROWE PRICE ASSOCIATES | 10.90 | ||
| ATTN FINANCIAL REPORTING DEPT |
| ||
|
| |||
| WELLS FARGO CLEARING SERVICES LLC | 13.55 | ||
| SPECIAL CUSTODY ACCT FOR THE |
| ||
| EXCLUSIVE BENEFIT OF CUSTOMERS |
| ||
TAX-FREE SHORT-INTERMEDIATE FUND |
| CHARLES SCHWAB & CO INC |
| 14.08 |
ADVISOR CLASS | REINVEST ACCOUNT |
| ||
| ATTN MUTUAL FUND DEPT |
| ||
|
| |||
| JOSEPH A MCKINNEY JR TTEE | 11.61 | ||
| LIVING TRUST |
| ||
| JOSEPH A MCKINNEY JR TTEE |
| ||
|
| |||
| NATIONAL FINANCIAL SERVICES | 52.60(b) | ||
| FOR THE EXCLUSIVE BENEFIT |
| ||
| OF OUR CUSTOMERS |
| ||
|
| |||
| PERSHING LLC | 7.48 | ||
|
| |||
| RAYMOND JAMES | 6.28 | ||
| OMNIBUS FOR MUTUAL FUNDS |
|
218
FUND |
| SHAREHOLDER |
| % |
TAX-FREE SHORT-INTERMEDIATE FUNDI CLASS |
| CHARLES SCHWAB & CO INC |
| 10.57 |
| SPECIAL CUSTODY A/C FBO CUSTOMERS |
| ||
| ATTN MUTUAL FUNDS |
| ||
|
| |||
| PERSHING LLC | 8.05 | ||
|
| |||
| SEI PRIVATE TRUST COMAPNY | 9.88 | ||
| C/O M & T BANK |
| ||
|
| |||
| SEI PRIVATE TRUST COMPANY | 5.07 | ||
| ATTN MUTUAL FUND ADMINISTRATOR |
| ||
| C/O M&T BANK |
| ||
|
| |||
| TD AMERITRADE INC FBO | 22.03 | ||
| OUR CUSTOMERS |
| ||
TOTAL EQUITY MARKET INDEX FUND |
| EDUCATION TRUST OF ALASKA |
| 10.13 |
| TOTAL EQUITY MARKET INDEX PORTFOLIO |
| ||
| C/O T ROWE PRICE ASSOCIATES |
| ||
| ATTN DAWN WAGNER FIXED INCOME |
| ||
|
| |||
| MARYLAND COLLEGE INVESTMENT PLAN | 10.34 | ||
| GLOBAL EQUITY MARKET INDEX |
| ||
| ATTN FUND ACCOUNTING |
| ||
TOTAL RETURN FUND |
| T ROWE PRICE ASSOCIATES |
| 64.23(c) |
| ATTN FINANCIAL REPORTING DEPT |
| ||
TOTAL RETURN FUNDADVISOR CLASS |
| T ROWE PRICE ASSOCIATES |
| 100.00(c) |
| ATTN FINANCIAL REPORTING DEPT |
| ||
TOTAL RETURN FUNDI CLASS |
| T ROWE PRICE ASSOCIATES |
| 33.19(c) |
| ATTN FINANCIAL REPORTING DEPT |
| ||
|
| |||
| TRUSTEES OF T ROWE PRICE | 66.81(a) | ||
| U.S. RETIREMENT PROGRAM |
| ||
| ATTN FINANCIAL REPORTING DEPT |
| ||
TREASURY RESERVE FUND |
| BARNACLESAIL |
| 56.63(d) |
| C/O T ROWE PRICE ASSOC |
| ||
| ATTN MID CAP GROWTH FUND |
| ||
|
| |||
| BRIDGESAIL & CO | 8.87 | ||
| C/O T ROWE PRICE ASSOC |
| ||
| ATTN SCIENCE & TECHNOLOGY FD |
| ||
|
| |||
| T ROWE PRICE | 5.40 | ||
| RETIREMENT PLAN SERVICE INC |
| ||
| ATTN RPS CASH GROUP |
|
219
FUND |
| SHAREHOLDER |
| % |
U.S. BOND ENHANCED INDEX FUND |
| EDUCATION TRUST OF ALASKA |
| 8.92 |
| ACT PORTFOLIO |
| ||
| C/O T ROWE PRICE ASSOCIATES |
| ||
| ATTN DAWN WAGNER FIXED INCOME |
| ||
|
| |||
| NATIONAL FINANCIAL SERVICES | 16.19 | ||
| FOR THE EXCLUSIVE BENEFIT |
| ||
| OF OUR CUSTOMERS |
| ||
U.S. HIGH YIELD FUND |
| TD AMERITRADE INC FBO |
| 14.44 |
| OUR CUSTOMERS |
| ||
U.S. HIGH YIELD FUNDADVISOR CLASS |
| MORGAN STANLEY SMITH BARNEY |
| 15.19 |
| HARBORSIDE FINANCIAL CENTER |
| ||
|
| |||
| NATIONAL FINANCIAL SERVICES LLC | 63.04(b) | ||
| FOR EXCLUSIVE BENEFIT OF OUR CUST |
| ||
U.S. HIGH YIELD FUNDI CLASS |
| MORGAN STANLEY SMITH BARNEY |
| 16.92 |
| HARBORSIDE FINANCIAL CENTER |
| ||
|
| |||
| T ROWE PRICE ASSOCIATES | 34.34(c) | ||
| ATTN FINANCIAL REPORTING DEPT |
| ||
|
| |||
| TD AMERITRADE INC FBO | 35.22(b) | ||
| OUR CUSTOMERS |
| ||
U.S. LARGE-CAP CORE FUND |
| CHARLES SCHWAB & CO INC |
| 6.99 |
| REINVEST ACCOUNT |
| ||
| ATTN MUTUAL FUND DEPT |
| ||
|
| |||
| NATIONAL FINANCIAL SERVICES | 18.48 | ||
| FOR THE EXCLUSIVE BENEFIT |
| ||
| OF OUR CUSTOMERS |
| ||
|
| |||
| PERSHING LLC | 7.98 |
220
FUND |
| SHAREHOLDER |
| % |
U.S. LARGE-CAP CORE FUNDADVISOR CLASS |
| CHARLES SCHWAB & CO INC |
| 8.74 |
| REINVEST ACCOUNT |
| ||
| ATTN MUTUAL FUND DEPT |
| ||
|
| |||
| LPL FINANCIAL | 14.55 | ||
| OMNIBUS CUSTOMER ACCOUNT |
| ||
| ATTN: MUTUAL FUND TRADING |
| ||
|
| |||
| NATIONAL FINANCIAL SERVICES | 20.80 | ||
| FOR THE EXCLUSIVE BENEFIT |
| ||
| OF OUR CUSTOMERS |
| ||
|
| |||
| PERSHING LLC | 17.70 | ||
|
| |||
| STATE STREET BANK AND TRUST AS | 6.86 | ||
| TRUSTEE AND/OR CUSTODIAN |
| ||
| FBO ADP ACCESS PRODUCT |
| ||
|
| |||
| TD AMERITRADE INC FBO | 10.38 | ||
| OUR CUSTOMERS |
| ||
U.S. LARGE-CAP CORE FUNDI CLASS |
| CHARLES SCHWAB & CO INC |
| 5.07 |
| REINVEST ACCOUNT |
| ||
| ATTN MUTUAL FUND DEPT |
| ||
|
| |||
| MARIL & CO FBO 61 | 22.14 | ||
| C/O BMO HARRIS BANK NA - ATTN MF |
| ||
| 480 PILGRIM WAY - SUITE 1000 |
| ||
| GREEN BAY WI 54304-5280 |
| ||
|
| |||
| MITRA & CO FBO 61 | 8.19 | ||
| C/O BMO HARRIS BANK NA - ATTN MF |
| ||
| 480 PILGRIM WAY - SUITE 1000 |
| ||
| GREEN BAY WI 54304-5280 |
| ||
|
| |||
| TRUSTEES OF T ROWE PRICE | 19.72 | ||
| U.S. RETIREMENT PROGRAM |
| ||
| ATTN FINANCIAL REPORTING DEPT |
| ||
|
| |||
| VALLEE & CO FBO 61 | 39.61(b) | ||
| C/O BMO HARRIS BANK NA ATTN MF |
| ||
| 480 PILGRIM WAY, SUITE 1000 |
| ||
| GREEN BAY WI 54304-5280 |
|
221
FUND |
| SHAREHOLDER |
| % |
U.S. TREASURY INTERMEDIATE FUND |
| MLPF&S FOR THE SOLE BENEFIT OF |
| 15.61 |
| ITS CUSTOMERS |
| ||
|
| |||
| SPECTRUM INCOME FUND | 13.66 | ||
| T. ROWE PRICE ASSOCIATES |
| ||
| ATTN: FUND ACCOUNTING DEPT |
| ||
U.S. TREASURY INTERMEDIATE FUNDI CLASS |
| CHARLES SCHWAB & CO INC |
| 26.12(b) |
| SPECIAL CUSTODY A/C FBO CUSTOMERS |
| ||
| ATTN MUTUAL FUNDS |
| ||
|
| |||
| JAMES C COLLINS | 30.25(b) | ||
| JOANNE A ERNST JT TEN |
| ||
|
| |||
| TRUSTEES OF T ROWE PRICE | 38.72(a) | ||
| U.S. RETIREMENT PROGRAM |
| ||
| ATTN FINANCIAL REPORTING DEPT |
| ||
U.S. TREASURY LONG-TERM FUND |
| RETIREMENT PORTFOLIO 2040 |
| 9.64 |
| T ROWE PRICE ASSOCIATES |
| ||
| ATT FUND ACCOUNTING DEPT |
| ||
|
| |||
| RETIREMENT PORTFOLIO 2015 | 6.04 | ||
| T ROWE PRICE ASSOCIATES |
| ||
| ATT FUND ACCOUNTING DEPT |
| ||
|
| |||
| RETIREMENT PORTFOLIO 2020 | 16.94 | ||
| T ROWE PRICE ASSOCIATES |
| ||
| ATT FUND ACCOUNTING DEPT |
| ||
|
| |||
| RETIREMENT PORTFOLIO 2025 | 14.29 | ||
| T ROWE PRICE ASSOCIATES |
| ||
| ATT FUND ACCOUNTING DEPT |
| ||
|
| |||
| RETIREMENT PORTFOLIO 2030 | 16.52 | ||
| T ROWE PRICE ASSOCIATES |
| ||
| ATTN FUND ACCOUNTING DEPT |
| ||
|
| |||
| RETIREMENT PORTFOLIO 2035 | 9.30 | ||
| T ROWE PRICE ASSOCIATES |
| ||
| ATT FUND ACCOUNTING DEPT |
| ||
|
| |||
| SPECTRUM INCOME FUND | 5.87 | ||
| T. ROWE PRICE ASSOCIATES |
| ||
| ATTN: FUND ACCOUNTING DEPT |
|
222
FUND |
| SHAREHOLDER |
| % |
U.S. TREASURY LONG-TERM FUNDI CLASS |
| LADYBUG & CO |
| 7.30 |
| C/O T ROWE PRICE ASSOC |
| ||
| ATTN PERS STRATEGY BALANCED FD |
| ||
|
| |||
| LAKESIDE & CO | 5.83 | ||
| C/O T ROWE PRICE ASSOC |
| ||
| ATTN PERS STRATEGY GROWTH FUND |
| ||
|
| |||
| RETIREMENT I 2020 FUND | 13.30 | ||
| T ROWE PRICE ASSOCIATES |
| ||
| ATTN FUND ACCOUNTING DEPT |
| ||
|
| |||
| RETIREMENT I 2025 FUND | 11.63 | ||
| T ROWE PRICE ASSOCIATES |
| ||
| ATTN FUND ACCOUNTING DEPT |
| ||
|
| |||
| RETIREMENT I 2030 FUND | 14.20 | ||
| T ROWE PRICE ASSOCIATES |
| ||
| ATTN FUND ACCOUNTING DEPT |
| ||
|
| |||
| RETIREMENT I 2035 FUND | 8.25 | ||
| T ROWE PRICE ASSOCIATES |
| ||
| ATTN FUND ACCOUNTING DEPT |
| ||
|
| |||
| RETIREMENT I 2040 FUND | 9.23 | ||
| T ROWE PRICE ASSOCIATES |
| ||
| ATTN FUND ACCOUNTING DEPT |
| ||
ULTRA SHORT-TERM BOND FUND |
| CHARLES SCHWAB & CO INC |
| 10.73 |
| REINVEST ACCOUNT |
| ||
| ATTN MUTUAL FUND DEPT |
| ||
|
| |||
| T ROWE PRICE ASSOCIATES | 27.20(c) | ||
| ATTN FINANCIAL REPORTING DEPT |
| ||
ULTRA SHORT-TERM BOND FUNDI CLASS |
| INVESTMENT COMPANY INSTITUTE |
| 5.46 |
|
| |||
| PERSHING LLC | 32.29(b) | ||
|
| |||
| RUDDERFLAG & CO | 47.37(b) | ||
| C/O T ROWE PRICE ASSOC |
| ||
| ATTN MULTI-STRAGEGY TOTAL |
| ||
| RETURN FUND |
|
223
FUND |
| SHAREHOLDER |
| % |
VALUE FUND |
| RETIREMENT PORTFOLIO 2040 |
| 14.75 |
| T ROWE PRICE ASSOCIATES |
| ||
| ATT FUND ACCOUNTING DEPT |
| ||
|
| |||
| RETIREMENT PORTFOLIO 2020 | 6.36 | ||
| T ROWE PRICE ASSOCIATES |
| ||
| ATT FUND ACCOUNTING DEPT |
| ||
|
| |||
| RETIREMENT PORTFOLIO 2025 | 8.84 | ||
| T ROWE PRICE ASSOCIATES |
| ||
| ATT FUND ACCOUNTING DEPT |
| ||
|
| |||
| RETIREMENT PORTFOLIO 2030 | 14.91 | ||
| T ROWE PRICE ASSOCIATES |
| ||
| ATTN FUND ACCOUNTING DEPT |
| ||
|
| |||
| RETIREMENT PORTFOLIO 2035 | 11.08 | ||
| T ROWE PRICE ASSOCIATES |
| ||
| ATT FUND ACCOUNTING DEPT |
| ||
|
| |||
| RETIREMENT PORTFOLIO 2045 | 8.62 | ||
| T ROWE PRICE ASSOCIATES |
| ||
| ATTN FUND ACCOUNTING DEPT |
| ||
|
| |||
| RETIREMENT PORTFOLIO 2050 | 7.04 | ||
| T ROWE PRICE ASSOCIATES |
| ||
| ATTN: FUND ACCOUNTING DEPT |
| ||
VALUE FUNDADVISOR CLASS |
| MORGAN STANLEY SMITH BARNEY |
| 14.87 |
| HARBORSIDE FINANCIAL CENTER |
| ||
|
| |||
| NATIONAL FINANCIAL SERVICES | 31.08(b) | ||
| FOR THE EXCLUSIVE BENEFIT |
| ||
| OF OUR CUSTOMERS |
| ||
|
| |||
| TAYNIK & CO | 5.32 | ||
| C/O STATE STREET BANK |
| ||
|
| |||
| VOYA RETIREMENT INS & ANNUITY CO | 8.70 |
224
FUND |
| SHAREHOLDER |
| % |
VALUE FUNDI CLASS |
| RETIREMENT I 2025 FUND |
| 6.77 |
| T ROWE PRICE ASSOCIATES |
| ||
| ATTN FUND ACCOUNTING DEPT |
| ||
|
| |||
| RETIREMENT I 2030 FUND | 12.18 | ||
| T ROWE PRICE ASSOCIATES |
| ||
| ATTN FUND ACCOUNTING DEPT |
| ||
|
| |||
| RETIREMENT I 2035 FUND | 9.28 | ||
| T ROWE PRICE ASSOCIATES |
| ||
| ATTN FUND ACCOUNTING DEPT |
| ||
|
| |||
| RETIREMENT I 2040 FUND | 13.41 | ||
| T ROWE PRICE ASSOCIATES |
| ||
| ATTN FUND ACCOUNTING DEPT |
| ||
|
| |||
| RETIREMENT I 2045 FUND | 7.79 | ||
| T ROWE PRICE ASSOCIATES |
| ||
| ATTN FUND ACCOUNTING DEPT |
| ||
|
| |||
| RETIREMENT I 2050 FUND | 7.78 | ||
| T ROWE PRICE ASSOCIATES |
| ||
| ATTN FUND ACCOUNTING DEPT |
| ||
VIRGINIA TAX-FREE BOND FUND |
| CHARLES SCHWAB & CO INC |
| 7.47 |
| REINVEST ACCOUNT |
| ||
| ATTN MUTUAL FUND DEPT |
| ||
|
| |||
| NATIONAL FINANCIAL SERVICES | 10.28 | ||
| FOR THE EXCLUSIVE BENEFIT |
| ||
| OF OUR CUSTOMERS |
|
225
FUND |
| SHAREHOLDER |
| % |
VIRGINIA TAX-FREE BOND FUNDI CLASS |
| CHARLES SCHWAB & CO INC |
| 7.06 |
| SPECIAL CUSTODY A/C FBO CUSTOMERS |
| ||
| ATTN MUTUAL FUNDS |
| ||
|
| |||
| DAVID M LANSER OR | 12.39 | ||
| ANDREE W LANSER TRS |
| ||
| DAVID M LANSER TRUST |
| ||
|
| |||
| HEIDI K STEWART | 9.36 | ||
| RICHARD W STEWART TRS |
| ||
| HEIDI K STEWART REVOCABLE |
| ||
| TRUST |
| ||
|
| |||
| MARJORIE Y VOLKEL TR | 7.02 | ||
| MARJORIE Y VOKEL REV LIV TRUST |
| ||
|
| |||
| WELLS FARGO BANK NA FBO | 46.86(b) | ||
| HII DB PLAN POOL ACCOUNT |
|
(a) | T. Rowe Price Retirement Plan Services, Inc., is a wholly owned subsidiary of T. Rowe Price Associates, Inc., which is a wholly owned subsidiary of T. Rowe Price Group, Inc., each a Maryland corporation. T. Rowe Price Retirement Plan Services, Inc. is not the beneficial owner of these shares. Such shares are held of record by T. Rowe Price Retirement Plan Services, Inc. and are normally voted by various retirement plans and retirement plan participants. |
(b) | At the level of ownership indicated, the shareholder may be able to determine the outcome of any matters affecting a fund or one of its classes that are submitted to shareholders for vote. |
(c) | T. Rowe Price Associates, Inc. is a wholly owned subsidiary of T. Rowe Price Group, Inc., each a Maryland corporation. Shares owned by T. Rowe Price Associates, Inc. may represent discretionary investments and/or a contribution to the fund at its inception that provided the fund with sufficient capital to invest in accordance with its investment program. At the level of ownership indicated, T. Rowe Price Associates, Inc. may be able to determine the outcome of most issues that were submitted to shareholders for vote. |
(d) | The indicated percentage of the outstanding shares of this fund are owned by another T. Rowe Price fund and held in the nominee name indicated. Shares of the fund are echo-voted by the T. Rowe Price fund that owns the shares in the same proportion that the shares of the underlying fund are voted by other shareholders. |
(e) | T. Rowe Price Trust Company is a wholly owned subsidiary of T. Rowe Price Associates, Inc., which is a wholly owned subsidiary of T. Rowe Price Group, Inc., each a Maryland corporation. T. Rowe Price Trust Company is not the beneficial owner of these shares. Such shares are held of record by T. Rowe Price Trust Company and are normally voted by various retirement plans and retirement plan participants. |
T. Rowe Price is the investment adviser for all of the Price Funds and has executed an Investment Management Agreement with each fund. For certain Price Funds, T. Rowe Price has entered into an investment sub-advisory agreement with T. Rowe Price International, Price Hong Kong, Price Japan, and/or Price Singapore. T. Rowe Price, T. Rowe Price International, Price Hong Kong, Price Japan, and Price Singapore are hereinafter referred to collectively as Investment Managers. T. Rowe Price is a wholly owned subsidiary of T. Rowe Price Group, Inc. T. Rowe Price International is a wholly owned subsidiary of T. Rowe Price. Price Hong Kong, Price Japan, and Price Singapore are wholly owned subsidiaries of T. Rowe Price International.
226
Investment Management Services
Under the Investment Management Agreements, T. Rowe Price is responsible for supervising and overseeing investments of the funds in accordance with the funds investment objectives, programs, and restrictions as provided in the funds prospectuses and this SAI. In addition, T. Rowe Price provides the funds with certain corporate administrative services, including: maintaining the funds corporate existence and corporate records; registering and qualifying fund shares under federal laws; monitoring the financial, accounting, and administrative functions of the funds; maintaining liaison with the agents employed by the funds such as the funds custodians, fund accounting vendor, and transfer agent; assisting the funds in the coordination of such agents activities; and permitting employees of the Investment Managers to serve as officers, directors, and committee members of the funds without cost to the funds. For those Price Funds for which T. Rowe Price has not entered into a subadvisory agreement, T. Rowe Price is responsible for making discretionary investment decisions on behalf of the funds and is generally responsible for effecting all security transactions, including the negotiation of commissions and the allocation of principal business and portfolio brokerage.
With respect to the Africa & Middle East, Dynamic Global Bond, Emerging Europe, Emerging Markets Local Currency Bond, Emerging Markets Stock, European Stock, Global Growth Stock, Global High Income Bond, Global Multi-Sector Bond, Institutional Africa & Middle East, Institutional Emerging Markets Equity, Institutional Frontier Markets Equity, Institutional Global Growth Equity, Institutional Global Value Equity, Institutional International Bond, Institutional International Concentrated Equity, Institutional Global Multi-Sector Bond, Institutional International Growth Equity, International Bond, International Bond Fund (USD Hedged), International Concentrated Equity, International Discovery, International Equity Index, International Stock, International Value Equity, Japan, Latin America, and New Asia Funds, and the Emerging Markets Local Multi-Sector Account Portfolio, T. Rowe Price has entered into a subadvisory agreement with T. Rowe Price International under which, subject to the supervision of T. Rowe Price, T. Rowe Price International is authorized to trade securities and make discretionary investment decisions on behalf of each fund. Under the subadvisory agreement, T. Rowe Price International is responsible for effecting all securities transactions on behalf of the funds, including the negotiation of commissions and the allocation of principal business and portfolio brokerage. For the Global Multi-Sector Bond Fund, T. Rowe Price Internationals discretionary investment decisions and trading execution are limited to the funds international investment-grade fixed income investments in developed markets.
With respect to the Japan Fund and the Japanese investments of the International Discovery Fund, T. Rowe Price has entered into a subadvisory agreement with the Tokyo branch of T. Rowe Price International (TRPI-Tokyo) under which, subject to the supervision of T. Rowe Price, TRPI-Tokyo is authorized to trade Japanese securities and make discretionary investment decisions on behalf of each funds Japanese investments. Effective April 1, 2018, Price Japan, will replace T. Rowe Price International as the investment subadviser to the International Discovery and Japan Funds.
With respect to the Asia Opportunities, Emerging Markets Value Stock, Global Stock, Institutional Global Focused Equity Growth, International Discovery, and New Asia Funds, T. Rowe Price has entered into a subadvisory agreement with Price Hong Kong under which, subject to the supervision of T. Rowe Price, Price Hong Kong is authorized to trade securities and make certain discretionary investment decisions on behalf of each fund. Under the subadvisory agreement, Price Hong Kong is responsible for selecting the funds investments in the Asia-Pacific region and effecting security transactions on behalf of the funds, including the negotiation of commissions and the allocation of principal business and portfolio brokerage.
The Investment Management Agreements also provide that T. Rowe Price, and its directors, officers, employees, and certain other persons performing specific functions for the funds, will be liable to the funds only for losses resulting from willful misfeasance, bad faith, gross negligence, or reckless disregard of duty. The subadvisory agreements have a similar provision limiting the liability of the investment subadviser for errors, mistakes, and losses other than those caused by its willful misfeasance, bad faith, or gross negligence.
Under the Investment Management Agreements (and subadvisory agreements, if applicable), the Investment Managers are permitted to utilize the services or facilities of others to provide them or the funds with statistical and other factual information, advice regarding economic factors and trends, advice as to occasional transactions in specific securities, and such other information, advice, or assistance as the Investment
227
Managers may deem necessary, appropriate, or convenient for the discharge of their obligations under the Investment Management Agreements (and subadvisory agreements, if applicable) or otherwise helpful to the funds.
Legal Proceedings On April 27, 2016, a complaint was filed against T. Rowe Price (Defendant) in the United States District Court for the Northern District of California bearing the caption Christopher Zoidis, Howard Gurwin, Kevin M. Heckman, Jacqueline Peiffer, Virginia A. Durand Trust, Charles L. Sommer, and Barbara L. Sommer v. T. Rowe Price Associates, Inc., No. 3:16-cv-2289, by certain purported shareholders of eight Price Funds: T. Rowe Price Blue Chip Growth Fund, T. Rowe Price Capital Appreciation Fund, T. Rowe Price Equity Income Fund, T. Rowe Price Growth Stock Fund, T. Rowe Price International Stock Fund, T. Rowe Price High Yield Fund, T. Rowe Price New Income Fund, and T. Rowe Price Small-Cap Stock Fund (collectively, the Named Funds). None of the Named Funds are a party to the lawsuit. The complaint alleges that Defendant violated Section 36(b) of the 1940 Act by receiving allegedly excessive investment advisory fees from each Named Fund and seeks, among other things, a declaration that Defendant has violated Section 36(b) of the 1940 Act, rescission of the investment management agreements between Defendant and the Named Funds, an award of compensatory damages against Defendant, including repayment to each Named Fund of all allegedly excessive investment advisory fees paid by such fund from one year prior to the filing of the complaint through the date of trial of the action, plus purported lost investment returns and profits on those amounts and interest thereon, and attorneys fees and costs. Defendant believes the claims are without merit and intends to vigorously defend the action. On August 4, 2016, the Northern District of California granted the Defendants motion to transfer the case to the District of Maryland.
Control of Investment Adviser
T. Rowe Price Group, Inc. (Group), is a publicly owned company and owns 100% of the stock of T. Rowe Price, which in turn owns 100% of T. Rowe Price International, which in turn owns 100% each of Price Hong Kong, Price Japan, and Price Singapore. Group was formed in 2000 as a holding company for the T. Rowe Price-affiliated companies.
Management Fees
All funds except Index, Institutional, Multi-Sector Account Portfolios, TRP Reserve, Spectrum, Summit Income, Summit Municipal, and Target Date Funds
The funds pay T. Rowe Price a fee (Fee), which consists of two components: a group management fee (Group Fee) and an individual fund fee (Fund Fee). The Fee is paid monthly to T. Rowe Price on the first business day of the next succeeding calendar month and is calculated as described next.
The monthly Group Fee (Monthly Group Fee) is the sum of the daily Group Fee accruals (Daily Group Fee Accruals) for each month. The Daily Group Fee Accrual for any particular day is computed by multiplying the Price Funds group fee accrual as determined below (Daily Price Funds Group Fee Accrual) by the ratio of the Price Funds net assets for that day to the sum of the aggregate net assets of the Price Funds for that day. The Daily Price Funds Group Fee Accrual for any particular day is calculated by multiplying the fraction of one (1) over the number of calendar days in the year by the annualized Daily Price Funds Group Fee Accrual for that day as determined in accordance with the following schedule:
0.480% | First $1 billion | 0.340% | Next $5 billion | 0.290% | Next $60 billion |
0.450% | Next $1 billion | 0.330% | Next $10 billion | 0.285% | Next $80 billion |
0.420% | Next $1 billion | 0.320% | Next $10 billion | 0.280% | Next $100 billion |
0.390% | Next $1 billion | 0.310% | Next $16 billion | 0.275% | Next $100 billion |
0.370% | Next $1 billion | 0.305% | Next $30 billion | 0.270% | Next $150 billion |
0.360% | Next $2 billion | 0.300% | Next $40 billion | 0.265% | Thereafter |
0.350% | Next $2 billion | 0.295% | Next $40 billion |
For the purpose of calculating the Group Fee, the Price Funds include all the mutual funds distributed by Investment Services (excluding the Funds-of-Funds, TRP Reserve Funds, Multi-Sector Account Portfolios, any Index, or private-label mutual funds). In addition, any investments by a fund in another Price Fund are
228
excluded from the calculation. For the purpose of calculating the Daily Price Funds Group Fee Accrual for any particular day, the net assets of each Price Fund are determined in accordance with each funds prospectus as of the close of business on the previous business day on which the fund was open for business.
The monthly Fund Fee (Monthly Fund Fee) is the sum of the daily Fund Fee accruals (Daily Fund Fee Accruals) for each month. The Daily Fund Fee Accrual for any particular day is computed by multiplying the fraction of one (1) over the number of calendar days in the year by the individual fund fee. The product of this calculation is multiplied by the net assets of the fund for that day, as determined in accordance with the funds prospectus as of the close of business on the previous business day on which the fund was open for business. The individual fund fees are listed in the following tables:
Fund | Fee % | |
Africa & Middle East Fund | 0.75 | |
Asia Opportunities Fund | 0.50 | |
Balanced Fund | 0.15 | |
Blue Chip Growth Fund | 0.30 | (a) |
California Tax-Free Bond Fund | 0.10 | |
California Tax-Free Money Fund | 0.10 | (b) |
Capital Appreciation Fund | 0.30 | (c) |
Capital Appreciation & Income Fund | 0.25 | |
Capital Opportunity Fund | 0.20 | |
Communications & Technology Fund | 0.35 | |
Corporate Income Fund | 0.15 | |
Credit Opportunities Fund | 0.35 | |
Diversified Mid-Cap Growth Fund | 0.35 | |
Dividend Growth Fund | 0.20 | |
Dynamic Global Bond Fund | 0.20 | |
Emerging Europe Fund | 0.75 | |
Emerging Markets Bond Fund | 0.45 | |
Emerging Markets Corporate Bond Fund | 0.50 | |
Emerging Markets Local Currency Bond Fund | 0.45 | |
Emerging Markets Stock Fund | 0.75 | |
Emerging Markets Value Stock Fund | 0.75 | |
Equity Income Fund | 0.25 | (d) |
European Stock Fund | 0.50 | |
Financial Services Fund | 0.35 | |
Floating Rate Fund | 0.30 | |
Georgia Tax-Free Bond Fund | 0.10 | |
Global Allocation Fund | 0.40 | |
Global Consumer Fund | 0.40 | |
Global Growth Stock Fund | 0.35 | |
Global High Income Bond Fund | 0.30 | |
Global Industrials Fund | 0.40 | |
Global Multi-Sector Bond Fund | 0.20 | |
Global Real Estate Fund | 0.40 | |
Global Stock Fund | 0.35 | |
Global Technology Fund | 0.45 | |
GNMA Fund | 0.15 |
229
Fund | Fee % | |
Government Money Fund | 0.00 | (e) |
Growth & Income Fund | 0.25 | |
Growth Stock Fund | 0.25 | (d) |
Health Sciences Fund | 0.35 | |
High Yield Fund | 0.30 | |
Inflation Protected Bond Fund | 0.05 | (f) |
Intermediate Tax-Free High Yield Fund | 0.20 | |
International Bond Fund | 0.20 | |
International Bond Fund (USD Hedged) | 0.20 | |
International Concentrated Equity Fund | 0.35 | |
International Discovery Fund | 0.75 | |
International Stock Fund | 0.35 | |
International Value Equity Fund | 0.35 | |
Japan Fund | 0.50 | |
Latin America Fund | 0.75 | |
Limited Duration Inflation Focused Bond Fund | 0.05 | (e) |
Maryland Short-Term Tax-Free Bond Fund | 0.10 | |
Maryland Tax-Free Bond Fund | 0.10 | |
Maryland Tax-Free Money Fund | 0.10 | (b) |
Mid-Cap Growth Fund | 0.35 | (g) |
Mid-Cap Value Fund | 0.35 | |
Multi-Strategy Total Return Fund | 0.71 | |
New America Growth Fund | 0.35 | |
New Asia Fund | 0.50 | |
New Era Fund | 0.25 | |
New Horizons Fund | 0.35 | |
New Income Fund | 0.09 | (h) |
New Jersey Tax-Free Bond Fund | 0.10 | |
New York Tax-Free Bond Fund | 0.10 | |
New York Tax-Free Money Fund | 0.10 | (b) |
Overseas Stock Fund | 0.35 | |
Personal Strategy Balanced Fund | 0.25 | |
Personal Strategy Growth Fund | 0.30 | |
Personal Strategy Income Fund | 0.15 | |
QM Global Equity Fund | 0.25 | |
QM U.S. Small & Mid-Cap Core Equity Fund | 0.35 | |
QM U.S. Small-Cap Growth Equity Fund | 0.35 | |
QM U.S. Value Equity Fund | 0.20 | |
Real Assets Fund | 0.35 | |
Real Estate Fund | 0.30 | |
Science & Technology Fund | 0.35 | |
Short-Term Bond Fund | 0.05 | |
Small-Cap Stock Fund | 0.45 | |
Small-Cap Value Fund | 0.35 | |
Tax-Efficient Equity Fund | 0.35 |
230
Fund | Fee % | |
Tax-Exempt Money Fund | 0.10 | (b) |
Tax-Free High Yield Fund | 0.30 | |
Tax-Free Income Fund | 0.15 | |
Tax-Free Short-Intermediate Fund | 0.10 | |
Total Return Fund | 0.08 | |
U.S. High Yield Fund | 0.30 | |
U.S. Large-Cap Core Fund | 0.25 | |
U.S. Treasury Intermediate Fund | 0.00 | (i) |
U.S. Treasury Long-Term Fund | 0.00 | (i) |
U.S. Treasury Money Fund | 0.00 | (e) |
Ultra Short-Term Bond Fund | 0.01 | |
Value Fund | 0.35 | (j) |
Virginia Tax-Free Bond Fund | 0.10 |
(a) On assets up to $15 billion and 0.255% on assets above $15 billion.
(b) Pursuant to a
contractual management fee waiver arrangement, the
management fee rate is limited to 0.28%.
(c) Pursuant to a
contractual management fee waiver arrangement, the
management fee rate is 0.27% on assets equal to
or greater than $27.5 billion.
(d) On assets up to $15 billion and 0.2125% on assets above $15 billion.
(e) Pursuant to a contractual management fee waiver arrangement, the
management
fee rate is limited to 0.25%.
(f) Pursuant
to a contractual management fee waiver arrangement, the
management fee rate is limited to 0.17%.
(g) On assets up to $15 billion and 0.30% on assets above $15 billion.
(h) Pursuant
to a contractual management fee waiver arrangement, the
management fee rate is 0.0765% on assets equal
to or greater than $20 billion.
(i) Pursuant
to a contractual management fee waiver arrangement, the
management fee rate is limited to 0.15%.
(j) Pursuant to a
contractual management fee waiver arrangement, the
management fee rate is 0.2975% on assets equal
to or greater than $20 billion.
Index, Institutional, Summit Income, and Summit Municipal Funds
The following funds pay T. Rowe Price an annual investment management fee in monthly installments of the amount listed below based on the average daily net asset value of the fund.
Fund | Fee % |
Equity Index 500 Fund | 0.06 |
Institutional Africa & Middle East Fund | 1.00 |
Institutional Cash Reserves Fund | 0.25(a) |
Institutional Frontier Markets Equity Fund | 1.10 |
Institutional Global Focused Growth Equity Fund | 0.65 |
Institutional Global Growth Equity Fund | 0.65 |
Institutional Global Value Equity Fund | 0.65 |
Institutional International Concentrated Equity Fund | 0.65 |
Institutional International Core Equity Fund | 0.65 |
Institutional International Growth Equity Fund | 0.70 |
Institutional Large-Cap Core Growth Fund | 0.55 |
Institutional Large-Cap Growth Fund | 0.55 |
231
Fund | Fee % |
Institutional Large-Cap Value Fund | 0.55 |
Institutional Mid-Cap Equity Growth Fund | 0.60 |
Institutional Small-Cap Stock Fund | 0.65 |
Institutional U.S. Structured Research Fund | 0.50 |
Mid-Cap Index Fund | 0.12 |
Small-Cap Index Fund | 0.14 |
(a) Pursuant
to a contractual management fee waiver arrangement, the
management fee rate is limited to 0.20%.
The following funds (Single Fee Funds) pay T. Rowe Price a single annual investment management fee in monthly installments of the amount listed below based on the average daily net asset value of the fund.
Fund | Fee % |
Cash Reserves Fund | 0.45 |
Extended Equity Market Index Fund | 0.35 |
Institutional Core Plus Fund | 0.40 |
Institutional Credit Opportunities Fund | 0.65 |
Institutional Emerging Markets Bond Fund | 0.70 |
Institutional Emerging Markets Equity Fund | 1.10 |
Institutional Floating Rate Fund | 0.55 |
Institutional Global Multi-Sector Bond Fund | 0.50 |
Institutional High Yield Fund | 0.50 |
Institutional International Bond Fund | 0.55 |
Institutional Long Duration Credit Fund | 0.45 |
International Equity Index Fund | 0.45 |
Summit Municipal Income Fund | 0.50 |
Summit Municipal Intermediate Fund | 0.50 |
Summit Municipal Money Market Fund | 0.45 |
Total Equity Market Index Fund | 0.30 |
U.S. Bond Enhanced Index Fund | 0.30 |
The Investment Management Agreement between each Single Fee Fund and T. Rowe Price provides that T. Rowe Price will pay all expenses of each funds operations except for interest; taxes; brokerage commissions, and other charges incident to the purchase, sale, or lending of the funds portfolio securities; and such nonrecurring or extraordinary expenses that may arise, including the costs of actions, suits, or proceedings to which the fund is a party and the expenses the fund may incur as a result of its obligation to provide indemnification to its officers, directors, and agents. However, the Boards for the funds reserve the right to impose additional fees against shareholder accounts to defray expenses that would otherwise be paid by T. Rowe Price under the Investment Management Agreement. The Boards do not anticipate levying such charges; such a fee, if charged, may be retained by the funds or paid to the Investment Managers.
The Fee is paid monthly to T. Rowe Price on the first business day of the next succeeding calendar month and is the sum of the Daily Fee accruals for each month. The Daily Fee accrual for any particular day is calculated by multiplying the fraction of one (1) over the number of calendar days in the year by the appropriate Fee. The product of this calculation is multiplied by the net assets of the fund for that day, as determined in accordance with each funds prospectus as of the close of business on the previous business day on which the fund was open for business.
232
Multi-Sector Account Portfolios, TRP Reserve Funds, Spectrum Funds, and Target Date Funds
None of these funds pays T. Rowe Price an investment management fee.
Investment Subadvisory Agreements
Pursuant to each of the subadvisory agreements that T. Rowe Price has entered into on behalf of a Price Fund (other than the Emerging Markets Local Multi-Sector Account Portfolio), T. Rowe Price may pay the investment subadviser up to 60% of the management fee that T. Rowe Price receives from that fund.
Management Fee Compensation
The following table sets forth the total management fees, if any, paid to the Investment Managers (or a prior Investment Manager, as indicated in the table) by each fund, during the fiscal years indicated:
Fund | Fiscal Year Ended | ||
2/28/17 | 2/29/16 | 2/28/15 | |
California Tax-Free Bond Fund | $2,283,000 | $2,004,000 | $1,804,000 |
California Tax-Free Money Fund | 230,000 | 274,000 | 314,000 |
Floating Rate Multi-Sector Account Portfolio | (a) | (a) | (a) |
Georgia Tax-Free Bond Fund | 1,268,000 | 1,009,000 | 895,000 |
High Yield Multi-Sector Account Portfolio | (a) | (a) | (a) |
Intermediate Tax-Free High Yield Fund(b) | 249,000 | 172,000 | 47,000 |
Investment-Grade Corporate Multi-Sector Account Portfolio | (a) | (a) | (a) |
Maryland Short-Term Tax-Free Bond Fund | 833,000 | 825,000 | 863,000 |
Maryland Tax-Free Bond Fund | 8,710,000 | 8,067,000 | 7,741,000 |
Maryland Tax-Free Money Fund | 415,000 | 524,000 | 508,000 |
Mortgage-Backed Securities Multi-Sector Account Portfolio | (a) | (a) | (a) |
New Jersey Tax-Free Bond Fund | 1,492,000 | 1,361,000 | 1,254,000 |
New York Tax-Free Bond Fund | 1,875,000 | 1,703,000 | 1,700,000 |
New York Tax-Free Money Fund | 254,000 | 289,000 | 299,000 |
Tax-Efficient Equity Fund | 1,416,000 | 1,203,000 | 983,000 |
Tax-Exempt Money Fund | 2,205,000 | 3,788,000 | 3,703,000 |
Tax-Free High Yield Fund(b) | 25,578,000 | 20,332,000 | 17,870,000 |
Tax-Free Income Fund(b) | 11,574,000 | 11,216,000 | 11,410,000 |
Tax-Free Short-Intermediate Fund(b) | 8,190,000 | 8,235,000 | 8,086,000 |
Virginia Tax-Free Bond Fund | 4,661,000 | 4,053,000 | 3,737,000 |
(a) The fund does not pay an investment management fee.
(b) The fund has multiple share classes. The management fee is allocated to each class based on relative net assets.
Fund | Fiscal Year Ended | ||
5/31/17 | 5/31/16 | 5/31/15 | |
Corporate Income Fund(a) | $3,909,000 | $3,219,000 | $2,781,000 |
Credit Opportunities Fund(a) | 257,000 | 226,000 | 228,000 |
Floating Rate Fund(a) | 4,760,000 | 3,505,000 | 2,785,000 |
Global Multi-Sector Bond Fund(a) | 1,757,000 | 1,469,000 | 1,424,000 |
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Fund | Fiscal Year Ended | ||
5/31/17 | 5/31/16 | 5/31/15 | |
GNMA Fund(a) | 6,630,000 | 6,872,000 | 7,197,000 |
Government Money Fund(a) | 23,350,000 | 22,424,000 | 22,470,000 |
Government Reserve Fund | (c) | (c) | (c) |
High Yield Fund(a) | 57,954,000 | 55,906,000 | 58,235,000 |
Inflation Protected Bond Fund(a) | 1,487,000 | 1,224,000 | 1,332,000 |
Institutional Cash Reserves Fund | 37,000 | (b) | (b) |
Institutional Core Plus Fund(d) | 2,077,000 | 2,303,000 | 2,141,000 |
Institutional Credit Opportunities Fund(d) | 157,000 | 148,000 | 464,000 |
Institutional Floating Rate Fund(a)(d) | 25,067,000 | 19,438,000 | 18,910,000 |
Institutional Global Multi-Sector Bond Fund(d) | 240,000 | 1,077,000 | 761,000 |
Institutional High Yield Fund(d) | 8,736,000 | 9,661,000 | 11,884,000 |
Institutional Long Duration Credit Fund(d) | 166,000 | 145,000 | 100,000 |
Limited Duration Inflation Focused Bond Fund(a) | 26,127,000 | 28,238,000 | 34,077,000 |
New Income Fund(a) | 126,094,000 | 121,838,000 | 120,420,000 |
Personal Strategy Balanced Fund(a) | 11,430,000 | 10,817,000 | 11,116,000 |
Personal Strategy Growth Fund(a) | 10,301,000 | 9,650,000 | 9,388,000 |
Personal Strategy Income Fund(a) | 7,528,000 | 6,711,000 | 6,315,000 |
Retirement 2005 Fund | (c) | (c) | (c) |
Retirement 2010 Fund | (c) | (c) | (c) |
Retirement 2015 Fund | (c) | (c) | (c) |
Retirement 2020 Fund | (c) | (c) | (c) |
Retirement 2025 Fund | (c) | (c) | (c) |
Retirement 2030 Fund | (c) | (c) | (c) |
Retirement 2035 Fund | (c) | (c) | (c) |
Retirement 2040 Fund | (c) | (c) | (c) |
Retirement 2045 Fund | (c) | (c) | (c) |
Retirement 2050 Fund | (c) | (c) | (c) |
Retirement 2055 Fund | (c) | (c) | (c) |
Retirement 2060 Fund | (c) | (c) | (b) |
Retirement Balanced Fund | (c) | (c) | (c) |
Retirement I 2005 FundI Class | (c) | (c) | (b) |
Retirement I 2010 FundI Class | (c) | (c) | (b) |
Retirement I 2015 FundI Class | (c) | (c) | (b) |
Retirement I 2020 FundI Class | (c) | (c) | (b) |
Retirement I 2025 FundI Class | (c) | (c) | (b) |
Retirement I 2030 FundI Class | (c) | (c) | (b) |
Retirement I 2035 FundI Class | (c) | (c) | (b) |
Retirement I 2040 FundI Class | (c) | (c) | (b) |
Retirement I 2045 FundI Class | (c) | (c) | (b) |
Retirement I 2050 FundI Class | (c) | (c) | (b) |
Retirement I 2055 FundI Class | (c) | (c) | (b) |
234
Fund | Fiscal Year Ended | ||
5/31/17 | 5/31/16 | 5/31/15 | |
Retirement I 2060 FundI Class | (c) | (c) | (b) |
Retirement Balanced I FundI Class | (c) | (c) | (b) |
Short-Term Fund | (c) | (c) | (c) |
Short-Term Bond Fund(a) | 18,780,000 | 22,499,000 | 25,029,000 |
Short-Term Government Fund | (b) | (b) | (b) |
Target 2005 Fund | (c) | (c) | (c) |
Target 2010 Fund | (c) | (c) | (c) |
Target 2015 Fund | (c) | (c) | (c) |
Target 2020 Fund | (c) | (c) | (c) |
Target 2025 Fund | (c) | (c) | (c) |
Target 2030 Fund | (c) | (c) | (c) |
Target 2035 Fund | (c) | (c) | (c) |
Target 2040 Fund | (c) | (c) | (c) |
Target 2045 Fund | (c) | (c) | (c) |
Target 2050 Fund | (c) | (c) | (c) |
Target 2055 Fund | (c) | (c) | (c) |
Target 2060 Fund | (c) | (c) | (c) |
Total Return Fund(a) | 55,000 | (b) | (b) |
Treasury Reserve Fund | (c) | (c) | (c) |
U.S. High Yield Fund(a)(e) | 213,000 | 172,937 | 173,998 |
U.S. Treasury Intermediate Fund(a) | 1,190,000 | 1,197,000 | 1,100,000 |
U.S. Treasury Long-Term Fund(a) | 1,204,000 | 1,055,000 | 1,016,000 |
U.S. Treasury Money Fund(a) | 12,167,000 | 6,397,000 | 5,951,000 |
Ultra Short-Term Bond Fund(a) | 980,000 | 1,483,000 | 2,145,000 |
(a) The fund has multiple share classes. The management fee is allocated to each class based on relative net assets.
(b) Prior to commencement of operations.
(c) The fund does not pay an investment management fee.
(d) The fee includes investment and administrative expenses.
(e) Pursuant to an investment advisory agreement, Henderson Global Investors (North America) Inc. (HGINA) acted as investment adviser to the Henderson High Yield Opportunities Fund prior to May 22, 2017, at which point all of the assets and liabilities of the Henderson High Yield Opportunities Fund were transferred to the U.S. High Yield Fund in a tax-free reorganization. The Henderson High Yield Opportunities Fund paid HGINA a monthly fee for providing investment advisory services at an annual rate of 0.50% of the Henderson High Yield Opportunities Funds average daily net assets. The Henderson High Yield Opportunities Fund had a fiscal year-end of July 31. The figures in the table for the May 31, 2016, and May 31, 2015, periods set forth the advisory fees paid by the Henderson High Yield Opportunities Fund to HGINA during the fiscal years ended July 31, 2016, and July 31, 2015, respectively. The figure in the table for the period ended May 31, 2017, sets forth the advisory fees paid to HGINA during the period August 1, 2016, through May 19, 2017, and the advisory fees paid to T. Rowe Price during the period May 22, 2017, through May 31, 2017.
235
Fund | Fiscal Year Ended | ||
10/31/17 | 10/31/16 | 10/31/15 | |
Africa & Middle East Fund(a) | $1,398,000 | $1,336,000 | $2,051,000 |
Asia Opportunities Fund(a) | 338,000 | 215,000 | 62,000 |
Cash Reserves Fund(c) | 10,017,000 | 19,033,000 | 22,901,000 |
Emerging Europe Fund(a) | 1,810,000 | 1,615,000 | 1,914,000 |
Emerging Markets Stock Fund(a) | 90,312,000 | 90,651,000 | 86,623,000 |
Emerging Markets Value Stock Fund(a) | 315,000 | 162,000 | 12,000 |
European Stock Fund(a) | 8,467,000 | 11,282,000 | 12,572,000 |
Global Allocation Fund(a) | 1,629,000 | 1,139,000 | 761,000 |
Global Growth Stock Fund(a) | 731,000 | 597,000 | 622,000 |
Global Stock Fund(a) | 4,304,000 | 3,331,000 | 3,269,000 |
Institutional Africa & Middle East Fund | 1,723,000 | 1,533,000 | 2,112,000 |
Institutional Emerging Markets Equity Fund(c) | 13,757,000 | 10,508,000 | 10,763,000 |
Institutional Frontier Markets Equity Fund | 589,000 | 487,000 | 461,000 |
Institutional Global Focused Growth Equity Fund | 268,000 | 532,000 | 575,000 |
Institutional Global Growth Equity Fund | 2,550,000 | 2,103,000 | 1,837,000 |
Institutional Global Value Equity Fund | 67,000 | 56,000 | 60,000 |
Institutional International Concentrated Equity Fund | 2,838,000 | 1,581,000 | 1,431,000 |
Institutional International Core Equity Fund | 1,004,000 | 912,000 | 885,000 |
Institutional International Growth Equity Fund | 374,000 | 410,000 | 487,000 |
International Concentrated Equity Fund(a) | 126,000 | 74,000 | 54,000 |
International Discovery Fund(a) | 61,472,000 | 46,406,000 | 40,917,000 |
International Equity Index Fund(c) | 2,414,000 | 2,232,000 | 2,605,000 |
International Stock Fund(a) | 99,302,000 | 91,603,000 | 90,186,000 |
International Value Equity Fund(a) | 81,806,000 | 74,579,000 | 72,757,000 |
Japan Fund(a) | 4,276,000 | 2,835,000 | 2,384,000 |
Latin America Fund(a) | 6,799,000 | 5,639,000 | 6,837,000 |
Multi-Strategy Total Return Fund(a) | (b) | (b) | (b) |
New Asia Fund(a) | 21,777,000 | 20,419,000 | 32,174,000 |
Overseas Stock Fund(a) | 88,433,000 | 73,476,000 | 66,838,000 |
Summit Municipal Income Fund(a)(c) | 6,347,000 | 5,649,000 | 5,056,000 |
Summit Municipal Intermediate Fund(a)(c) | 22,715,000 | 20,284,000 | 20,072,000 |
Summit Municipal Money Market Fund(c) | 569,000 | 882,000 | 877,000 |
U.S. Bond Enhanced Index Fund(c) | 2,022,000 | 1,897,000 | 1,823,000 |
(a) The fund has multiple share classes. The management fee is allocated to each class based on relative net assets.
(b) Prior to commencement of operations.
(c) The fee includes investment management fees and administrative expenses.
236
Fund | Fiscal Year Ended | ||
12/31/17 | 12/31/16 | 12/31/15 | |
Balanced Fund(a) | $17,414,000 | $17,029,000 | $18,170,000 |
Blue Chip Growth Fund(a) | 222,720,000 | 178,227,000 | 165,888,000 |
Capital Appreciation Fund(a) | 166,679,000 | 151,105,000 | 141,909,000 |
Capital Appreciation & Income Fund(a) | (c) | (c) | (c) |
Capital Opportunity Fund(a) | 2,733,000 | 2,459,000 | 3,248,000 |
Communications & Technology Fund(a) | 28,259,000 | 23,317,000 | 21,321,000 |
Diversified Mid-Cap Growth Fund(a) | 4,727,000 | 3,495,000 | 2,967,000 |
Dividend Growth Fund(a) | 38,612,000 | 27,315,000 | 23,129,000 |
Dynamic Global Bond Fund(a) | 2,768,000 | 487,000 | 153,000 |
Emerging Markets Bond Fund(a) | 48,965,000 | 39,006,000 | 33,766,000 |
Emerging Markets Corporate Bond Fund(a) | 466,000 | 610,000 | 1,040,000 |
Emerging Markets Corporate Multi-Sector Account Portfolio | (d) | (d) | (d) |
Emerging Markets Local Currency Bond Fund(a) | 2,509,000 | 1,748,000 | 1,325,000 |
Emerging Markets Local Multi-Sector Account Portfolio | (d) | (d) | (d) |
Equity Income Fund(a) | 117,552,000 | 115,805,000 | 140,603,000 |
Equity Index 500 Fund(a) | 24,488,000 | 26,244,000 | 25,084,000 |
Extended Equity Market Index Fund(b) | 2,887,000 | 2,522,000 | 2,893,000 |
Financial Services Fund(a) | 4,974,000 | 3,516,000 | 3,729,000 |
Global Consumer Fund | 87,000 | 29,000 | (c) |
Global High Income Bond Fund(a) | 451,000 | 244,000 | 137,000 |
Global Industrials Fund(a) | 153,000 | 117,000 | 117,000 |
Global Real Estate Fund(a) | 1,420,000 | 1,707,000 | 1,649,000 |
Global Technology Fund(a) | 36,549,000 | 21,250,000 | 15,414,000 |
Growth & Income Fund(a) | 9,666,000 | 8,586,000 | 8,526,000 |
Growth Stock Fund(a) | 258,241,000 | 226,759,000 | 233,803,000 |
Health Sciences Fund(a) | 71,426,000 | 74,562,000 | 92,442,000 |
Institutional Emerging Markets Bond Fund(b) | 2,342,000 | 2,101,000 | 2,316,000 |
Institutional International Bond Fund(b) | 2,038,000 | 1,942,000 | 1,834,000 |
Institutional Large-Cap Core Growth Fund | 15,271,000 | 11,843,000 | 10,166,000 |
Institutional Large-Cap Growth Fund | 78,293,000 | 69,794,000 | 70,001,000 |
Institutional Large-Cap Value Fund | 19,476,000 | 15,065,000 | 12,843,000 |
Institutional Mid-Cap Equity Growth Fund | 38,870,000 | 31,691,000 | 30,581,000 |
Institutional Small-Cap Stock Fund | 25,250,000 | 16,907,000 | 13,857,000 |
Institutional U.S. Structured Research Fund | 3,135,000 | 3,057,000 | 3,914,000 |
International Bond Fund(a) | 27,994,000 | 33,047,000 | 31,748,000 |
International Bond Fund (USD Hedged)(a) | (e) | (c) | (c) |
Mid-Cap Growth Fund(a) | 171,958,000 | 150,896,000 | 156,850,000 |
Mid-Cap Index Fund(a) | 7,000 | 6,000 | 1,000 |
Mid-Cap Value Fund(a) | 86,608,000 | 76,231,000 | 75,979,000 |
New America Growth Fund(a) | 25,514,000 | 24,531,000 | 28,057,000 |
237
Fund | Fiscal Year Ended | ||
12/31/17 | 12/31/16 | 12/31/15 | |
New Era Fund(a) | 19,407,000 | 17,349,000 | 17,608,000 |
New Horizons Fund(a) | 126,698,000 | 100,489,000 | 101,887,000 |
QM Global Equity Fund(a) | 82,000 | 43,000 | (c) |
QM U.S. Small & Mid-Cap Core Equity Fund(a) | 262,000 | 91,000 | (c) |
QM U.S. Small-Cap Growth Equity Fund(a) | 29,383,000 | 16,544,000 | 9,942,000 |
QM U.S. Value Equity Fund(a) | 91,000 | 42,000 | (c) |
Real Assets Fund(a) | 21,431,000 | 27,380,000 | 29,069,000 |
Real Estate Fund(a) | 37,187,000 | 36,216,000 | 31,036,000 |
Retirement Income 2020 Fund | (d) | (c) | (c) |
Science & Technology Fund(a) | 30,593,000 | 23,487,000 | 23,947,000 |
Small-Cap Index Fund(a) | 9,000 | 7,000 | 1,000 |
Small-Cap Stock Fund(a) | 70,322,000 | 64,493,000 | 67,139,000 |
Small-Cap Value Fund(a) | 63,445,000 | 50,361,000 | 53,605,000 |
Spectrum Growth Fund | (d) | (d) | (d) |
Spectrum Income Fund | (d) | (d) | (d) |
Spectrum International Fund | (d) | (d) | (d) |
Total Equity Market Index Fund(b) | 4,765,000 | 3,800,000 | 3,933,000 |
U.S. Large-Cap Core Fund(a) | 2,300,000 | 1,498,000 | 717,000 |
Value Fund(a) | 157,550,000 | 144,217,000 | 143,436,000 |
(a) The fund has multiple classes. The management fee is allocated to each class based on relative net assets.
(b) The fee includes investment management fees and administrative expenses.
(c) Prior to commencement of operations.
(d) The fund does not pay an investment management fee.
(e) Less than $1,000
Expense Limitations and Reimbursements
The Investment Management Agreement between each Price Fund and T. Rowe Price provides that the fund will bear all expenses of its operations that are not specifically assumed by T. Rowe Price. Certain Price Funds have implemented contractual expense limitations pursuant to either their Investment Management Agreement or a separate agreement between the fund and T. Rowe Price. Some expense limitations apply to a funds (or class) total expense ratio, while others apply only to a class ordinary operating expenses.
The following table sets forth the contractual expense limitations for the Price Funds and the periods for which they are effective.
For purposes of applying a funds expense limitation, the expenses of a fund and its share classes are generally calculated on a monthly basis. If a class is operating above its expense limitation, that months management fee will be reduced or waived and/or the funds operating expenses will be paid or reimbursed, with any adjustment made after the end of the year. Fees waived and expenses borne by T. Rowe Price are subject to reimbursement by the fund (or class) through the indicated reimbursement date, provided no reimbursement will be made if it would result in a funds (or class) expense ratio exceeding its applicable limitation at the time of the reimbursement. Generally, T. Rowe Price may agree (with approval of the funds Board) to implement one or more additional expense limitations (of the same or different time periods and amounts) for a fund after the expiration of the current expense limitation, and that with respect to any such additional
238
limitation period, the fund may reimburse T. Rowe Price, provided the reimbursement does not result in the funds (or class) aggregate expenses exceeding the additional expense limitation.
Fund | Limitation Period | Total Expense Limitation %1 | Operating Expense Limitation %2 | Reimbursement Date |
Africa & Middle East FundI Class | March 6, 2017 February 28, 2019 | | 0.05 | (a) |
Asia Opportunities Fund | May 21, 2014 February 28, 2017 March 1, 2017 February 28, 2019 | 1.15 | | (b) |
Asia Opportunities FundAdvisor Class | May 21, 2014 February 28, 2017 March 1, 2017 February 28, 2019 | 1.25 | | (b) |
Asia Opportunities FundI Class | March 6, 2017 February 28, 2019 | | 0.05 | (a) |
Balanced FundI Class | December 17, 2015 April 30, 2018 May 1, 2018 April 30, 2020 | | 0.05 | (a) |
Blue Chip Growth FundI Class | December 17, 2015 April 30, 2018 May 1, 2018 April 30, 2020 | | 0.05 | (a) |
California Tax-Free Bond FundI Class | July 6, 2017 June 30, 2019 | | 0.05 | (a) |
California Tax-Free Money Fund | July 1, 2013 June 30, 2015 July 1, 2015 June 30, 2017 July 1, 2017 June 30, 2019 | 0.55 | | (b) |
California Tax-Free Money FundI Class | July 6, 2017 June 30, 2019 | | 0.05 | (a) |
Capital Appreciation FundI Class | December 17, 2015 April 30, 2018 May 1, 2018 April 30, 2020 | | 0.05 | (a) |
Capital Appreciation & Income Fund | November 7, 2017 April 30, 2020 | 0.74 | | (a) |
Capital Appreciation & Income FundAdvisor Class | November 7, 2017 April 30, 2020 | 0.99 | | (a) |
Capital Appreciation & Income FundI Class | November 7, 2017 April 30, 2020 | | 0.05 | (a) |
Capital Opportunity FundI Class | November 29, 2016 April 30, 2019 | | 0.05 | (a) |
Communications & Technology FundI Class | March 23, 2016 April 30, 2018 May 1, 2018 April 30, 2020 | | 0.05 | (a) |
Corporate Income FundI Class | December 17, 2015 September 30, 2018 | | 0.05 | (a) |
Credit Opportunities Fund | April 29, 2014 September 30, 2016 October 1, 2016 September 30, 2018 | 0.90 | | (b) |
Credit Opportunities FundAdvisor Class | April 29, 2014 September 30, 2016 October 1, 2016 September 30, 2018 | 1.00 | | (b) |
Credit Opportunities FundI Class | November 29, 2016 November 30, 2017 December 1, 2017 September 30, 2019 | | 0.05 0.01 | (a) |
Diversified Mid-Cap Growth FundI Class | May 3, 2017 April 30, 2019 | | 0.05 | (a) |
Dividend Growth FundI Class | December 17, 2015 April 30, 2018 May 1, 2018 April 30, 2020 | | 0.05 | (a) |
Dynamic Global Bond Fund | January 22, 2015 April 30, 2017 May 1, 2017 April 30, 2019 | 0.75 | | (b) |
Dynamic Global Bond FundAdvisor Class | January 22, 2015 April 30, 2017 May 1, 2017 April 30, 2019 | 0.90 | | (b) |
Dynamic Global Bond FundI Class | August 28, 2015 April 30, 2018 May 1, 2018 April 30, 2020 | | 0.05 | (a) |
Emerging Europe FundI Class | March 6, 2017 February 28, 2019 | | 0.05 | (a) |
Emerging Markets Bond FundAdvisor Class | August 28, 2015 April 30, 2018 May 1, 2018 April 30, 2020 | 1.20 | | April 30, 2020(c) |
Emerging Markets Bond FundI Class | August 28, 2015 April 30, 2018 May 1, 2018 April 30, 2020 | | 0.05 | (a) |
Emerging Markets Corporate Bond Fund | May 1, 2015 April 30, 2017 May 1, 2017 April 30, 2019 | 1.15 | | (b) |
Emerging Markets Corporate Bond FundAdvisor Class | May 1, 2015 April 30, 2017 May 1, 2017 April 30, 2019 | 1.25 | | (b) |
239
Fund | Limitation Period | Total Expense Limitation %1 | Operating Expense Limitation %2 | Reimbursement Date |
Emerging Markets Corporate Bond FundI Class | December 17, 2015 April 30, 2018 May 1, 2018 April 30, 2020 | | 0.05 | (a) |
Emerging Markets Local Currency Bond Fund | May 1, 2014 April 30, 2016 May 1, 2016 April 30, 2018 | 1.10 | | (b) |
Emerging Markets Local Currency Bond FundAdvisor Class | May 1, 2014 April 30, 2016 May 1, 2016 April 30, 2018 May 1, 2018 April 30, 2020 | 1.20 | | (b) |
Emerging Markets Local Currency Bond FundI Class | December 17, 2015 April 30, 2018 May 1, 2018 April 30, 2020 | | 0.05 | (a) |
Emerging Markets Stock FundI Class | August 28, 2015 February 28, 2018 March 1, 2018 February 29, 2020 | | 0.05 | (a) |
Emerging Markets Value Stock Fund | August 24, 2015 February 28, 2018 March 1, 2018 February 29, 2020 | 1.50 | | (b) |
Emerging Markets Value Stock FundAdvisor Class | August 24, 2015 February 28, 2018 March 1, 2018 February 29, 2020 | 1.65 | | (b) |
Emerging Markets Value Stock FundI Class | March 6, 2017 February 28, 2019 | | 0.05 | (a) |
Equity Income FundI Class | December 17, 2015 April 30, 2018 May 1, 2018 April 30, 2020 | | 0.05 | (a) |
Equity Index 500 Fund | May 1, 2014 April 30, 2016 May 1, 2016 August 31, 2016 September 1, 2016 July 31, 2017 August 1, 2017 April 30, 2020 | 0.30 0.30 0.25 0.21 | | April 30, 2018(c) August 31, 2018(c) July 31, 2017(c) April 30, 2022(c) |
Equity Index 500 FundI Class | August 28, 2015 April 30, 2018 May 1, 2018 April 30, 2020 | | 0.05 | (a) |
European Stock FundI Class | March 6, 2017 February 28, 2019 | | 0.05 | (a) |
Financial Services FundI Class | November 29, 2016 April 30, 2019 | | 0.05 | (a) |
Floating Rate Fund | October 1, 2013 September 30, 2015 October 1, 2015 September 30, 2017 October 1, 2017 September 30, 2019 | 0.85 | | (b) |
Floating Rate FundAdvisor Class | October 1, 2013 September 30, 2015 October 1, 2015 September 30, 2017 October 1, 2017 September 30, 2019 | 0.95 | | (b) |
Floating Rate FundI Class | November 29, 2016 September 30, 2019 | | 0.05 | (a) |
Georgia Tax-Free Bond FundI Class | July 6, 2017 June 30, 2019 | | 0.05 | (a) |
Global Allocation Fund | May 28, 2013 February 29, 2016 March 1, 2016 February 28, 2018 | 1.05 | | (b) |
Global Allocation FundAdvisor Class | May 28, 2013 February 29, 2016 March 1, 2016 February 28, 2018 March 1, 2018 February 29, 2020 | 1.15 | | (b) |
Global Allocation FundI Class | March 23, 2016 February 28, 2018 March 1, 2018 February 29, 2020 | | 0.05 | (a) |
Global Consumer Fund | June 27, 2016 April 30, 2019 | 1.05 | | (b) |
Global Growth Stock Fund | March 1, 2015 February 28, 2017 March 1, 2017 February 28, 2019 | 1.00 | | (b) |
Global Growth Stock FundAdvisor Class | March 1, 2015 February 28, 2017 March 1, 2017 February 28, 2019 | 1.10 | | (b) |
Global Growth Stock FundI Class | March 6, 2017 February 28, 2019 | | 0.05 | (a) |
Global High Income Bond Fund | January 22, 2015 April 30, 2017 May 1, 2017 April 30, 2019 | 0.85 | | (b) |
Global High Income Bond FundAdvisor Class | January 22, 2015 April 30, 2017 May 1, 2017 April 30, 2019 | 1.00 | | (b) |
Global High Income Bond FundI Class | August 28, 2015 April 30, 2018 May 1, 2018 April 30, 2020 | | 0.05 | (a) |
240
Fund | Limitation Period | Total Expense Limitation %1 | Operating Expense Limitation %2 | Reimbursement Date |
Global Industrials Fund | October 24, 2013 April 30, 2016 May 1, 2016 April 30, 2018 May 1, 2018 April 30, 2020 | 1.05 | | (b) |
Global Industrials FundI Class | May 3, 2017 April 30, 2019 | | 0.05 | (a) |
Global Multi-Sector Bond FundAdvisor Class | October 1, 2013 September 30, 2015 October 1, 2015 September 30, 2017 October 1, 2017 September 30, 2019 | 0.95 | | (b) |
Global Multi-Sector Bond FundI Class | March 23, 2016 November 30, 2017 December 1, 2017 September 30, 2018 | | 0.05 0.01 | (a) |
Global Real Estate Fund | May 1, 2015 April 30, 2017 May 1, 2017 April 30, 2019 | 1.05 | | (b) |
Global Real Estate FundAdvisor Class | May 1, 2015 April 30, 2017 May 1, 2017 April 30, 2019 | 1.15 | | (b) |
Global Real Estate FundI Class | November 29, 2016 April 30, 2019 | | 0.05 | (a) |
Global Stock FundAdvisor Class | March 1, 2014 February 29, 2016 March 1, 2016 February 28, 2018 March 1, 2018 February 29, 2020 | 1.15 | | February 28, 2018(c) February 29, 2020(c) February 28, 2022(c) |
Global Stock FundI Class | March 6, 2017 February 28, 2019 | | 0.05 | (a) |
Global Technology FundI Class | November 29, 2016 April 30, 2019 | | 0.05 | (a) |
GNMA FundI Class | May 3, 2017 September 30, 2019 | | 0.05 | (a) |
Government Money FundI Class | May 3, 2017 September 30, 2019 | | 0.05 | (a) |
Growth & Income FundI Class | November 29, 2016 April 30, 2019 | | 0.05 | (a) |
Growth Stock FundI Class | August 28, 2015 April 30, 2018 May 1, 2018 April 30, 2020 | | 0.05 | (a) |
Health Sciences FundI Class | March 23, 2016 April 30, 2018 May 1, 2018 April 30, 2020 | | 0.05 | (a) |
High Yield FundI Class | August 28, 2015 September 30, 2017 October 1, 2017 September 30, 2019 | | 0.05 | (a) |
Inflation Protected Bond Fund | October 1, 2014 September 30, 2016 October 1, 2016 July 31, 2017 August 1, 2017 September 30, 2019 | 0.50 0.50 0.41 | | September 30, 2018(c) July 31, 2019(c) September 30, 2021(c) |
Inflation Protected Bond FundI Class | December 17, 2015 September 30, 2018 | | 0.05 | (a) |
Institutional Cash Reserves Fund | September 6, 2016 September 30, 2018 | 0.25 | | (b) |
Institutional Frontier Markets Equity Fund | September 22, 2014 February 28, 2017 March 1, 2017 February 28, 2019 | 1.35 | | (b) |
Institutional Global Focused Growth Equity Fund | March 1, 2015 February 28, 2017 March 1, 2017 February 28, 2019 | 0.75 | | (b) |
Institutional Global Growth Equity Fund | March 1, 2015 February 28, 2017 March 1, 2017 February 28, 2019 | 0.75 | | (b) |
Institutional Global Value Equity Fund | March 1, 2014 February 29, 2016 March 1, 2016 February 28, 2018 March 1, 2018 February 29, 2020 | 0.75 | | (b) |
Institutional International Concentrated Equity Fund | March 1, 2015 February 28, 2017 March 1, 2017 February 28, 2019 | 0.75 | | (b) |
Institutional International Core Equity Fund | March 1, 2015 February 28, 2017 March 1, 2017 February 28, 2019 | 0.75 | | (b) |
Institutional International Growth Equity Fund | March 1, 2014 February 28, 2016 March 1, 2016 February 28, 2018 March 1, 2018 February 29, 2020 | 0.75 | | February 28, 2018(c) February 29, 2020(c) February 28, 2022(c) |
Institutional U.S. Structured Research Fund | May 1, 2014 April 30, 2016 | 0.55 | | (b) |
Intermediate Tax-Free High Yield Fund | July 24, 2014 June 30, 2017 July 1, 2017 June 30, 2019 | 0.75 | | (b) |
Intermediate Tax-Free High Yield FundAdvisor Class | July 24, 2014 June 30, 2017 July 1, 2017 June 30, 2019 | 0.85 | | (b) |
241
Fund | Limitation Period | Total Expense Limitation %1 | Operating Expense Limitation %2 | Reimbursement Date |
Intermediate Tax-Free High Yield FundI Class | July 6, 2017 June 30, 2019 | | 0.05 | (a) |
International Bond Fund | August 1, 2017 - April 30, 2020 | 0.74 | | (b) |
International Bond FundAdvisor Class | August 1, 2017 - April 30, 2020 | 0.99 | | (b) |
International Bond FundI Class | August 28, 2015 April 30, 2018 May 1, 2018 April 30, 2020 | | 0.05 | (a) |
International Bond Fund (USD Hedged) | August 1, 2017 - April 30, 2020 | 0.74 | | (b) |
International Bond Fund (USD Hedged)Advisor Class | August 1, 2017 - April 30, 2020 | 0.99 | | (b) |
International Bond Fund (USD Hedged)I Class | August 1, 2017 April 30, 2020 | | 0.05 | (a) |
International Concentrated Equity Fund | August 22, 2014 February 28, 2017 March 1, 2017 February 28, 2019 | 0.90 | | (b) |
International Concentrated Equity FundAdvisor Class | August 22, 2014 February 28, 2017 March 1, 2017 February 28, 2019 | 1.00 | | (b) |
International Concentrated Equity FundI Class | March 6, 2017 February 28, 2019 | | 0.05 | (a) |
International Discovery FundI Class | December 17, 2015 February 28, 2018 March 1, 2018 February 29, 2020 | | 0.05 | (a) |
International Stock FundI Class | August 28, 2015 February 28, 2018 March 1, 2018 February 29, 2020 | | 0.05 | (a) |
International Stock FundR Class | March 1, 2014 February 29, 2016 March 1, 2016 February 28, 2018 March 1, 2018 February 29, 2020 | 1.40 | | (b) |
International Value Equity FundI Class | August 28, 2015 February 28, 2018 March 1, 2018 February 29, 2020 | | 0.05 | (a) |
Japan FundI Class | March 6, 2017 February 28, 2019 | | 0.05 | (a) |
Latin America FundI Class | March 6, 2017 February 28, 2019 | | 0.05 | (a) |
Limited Duration Inflation Focused Bond Fund | September 1, 2015 July 31, 2017 August 1, 2017 September 30, 2019 | 0.50 0.41 | | (b) |
Limited Duration Inflation Focused Bond FundI Class | September 29, 2015 September 30, 2017 October 1, 2017 September 30, 2019 | | 0.05 | (a) |
Maryland Short-Term Tax-Free Bond FundI Class | July 6, 2017 June 30, 2019 | | 0.05 | (a) |
Maryland Tax-Free Bond FundI Class | July 6, 2017 June 30, 2019 | | 0.05 | (a) |
Maryland Tax-Free Money Fund | April 1, 2017 June 30, 2019 | 0.55 | | (a) |
Maryland Tax-Free Money FundI Class | July 6, 2017 June 30, 2019 | | 0.05 | (a) |
Mid-Cap Growth FundI Class | August 28, 2015 April 30, 2018 May 1, 2018 April 30, 2020 | | 0.05 | (a) |
Mid-Cap Index Fund | December 9, 2015 April 30, 2018 May 1, 2018 April 30, 2020 | 0.32 | | (b) |
Mid-Cap Index FundI Class | December 9, 2015 April 30, 2018 May 1, 2018 April 30, 2020 | | 0.05 | (a) |
Mid-Cap Value FundI Class | August 28, 2015 April 30, 2018 May 1, 2018 April 30, 2020 | | 0.05 | (a) |
Multi-Strategy Total Return Fund | February 23, 2018 February 29, 2020 | 1.35 | | (a) |
Multi-Strategy Total Return FundAdvisor Class | February 23, 2018 February 29, 2020 | 1.60 | | (a) |
Multi-Strategy Total Return FundI Class | February 23, 2018 February 29, 2020 | | 0.05 | (a) |
New America Growth FundI Class | December 17, 2015 April 30, 2018 May 1, 2018 April 30, 2020 | | 0.05 | (a) |
New Asia FundI Class | December 17, 2015 February 28, 2018 March 1, 2018 February 29, 2020 | | 0.05 | (a) |
242
Fund | Limitation Period | Total Expense Limitation %1 | Operating Expense Limitation %2 | Reimbursement Date |
New Era FundI Class | December 17, 2015 April 30, 2018 May 1, 2018 April 30, 2020 | | 0.05 | (a) |
New Horizons FundI Class | August 28, 2015 April 30, 2018 May 1, 2018 April 30, 2020 | | 0.05 | (a) |
New Income FundI Class | August 28, 2015 September 30, 2017 October 1, 2017 September 30, 2019 | | 0.05 | (a) |
New Income FundR Class | October 1, 2014 September 30, 2016 October 1, 2016 September 30, 2018 | 1.15 | | (b) |
New Jersey Tax-Free Bond FundI Class | July 6, 2017 June 30, 2019 | | 0.05 | (a) |
New York Tax-Free Bond FundI Class | July 6, 2017 June 30, 2019 | | 0.05 | (a) |
New York Tax-Free Money Fund | July 1, 2013 June 30, 2015 July 1, 2015 June 30, 2017 July 1, 2017 June 30, 2019 | 0.55 | | (b) |
New York Tax-Free Money FundI Class | July 6, 2017 June 30, 2019 | | 0.05 | (a) |
Overseas Stock FundAdvisor Class | August 28, 2015 February 28, 2018 March 1, 2018 February 29, 2020 | 1.10 | | (b) |
Overseas Stock FundI Class | August 28, 2015 February 28, 2018 March 1, 2018 February 29, 2020 | | 0.05 | (a) |
Personal Strategy Balanced FundI Class | March 23, 2016 September 30, 2018 | | 0.05 | (a) |
Personal Strategy Growth FundI Class | March 23, 2016 September 30, 2018 | | 0.05 | (a) |
Personal Strategy Income FundI Class | March 23, 2016 September 30, 2018 | | 0.05 | (a) |
QM Global Equity Fund | April 15, 2016 April 30, 2018 May 1, 2018 April 30, 2020 | 0.79 | | (b) |
QM Global Equity FundAdvisor Class | April 15, 2016 April 30, 2018 May 1, 2018 April 30, 2020 | 1.04 | | (b) |
QM Global Equity FundI Class | April 15, 2016 April 30, 2018 May 1, 2018 April 30, 2020 | | 0.05 | (a) |
QM U.S. Small & Mid-Cap Core Equity Fund | February 26, 2016 April 30, 2018 May 1, 2018 April 30, 2020 | 0.89 | | (b) |
QM U.S. Small & Mid-Cap Core Equity FundAdvisor Class | February 26, 2016 April 30, 2018 May 1, 2018 April 30, 2020 | 1.14 | | (b) |
QM U.S. Small & Mid-Cap Core Equity FundI Class | February 26, 2016 April 30, 2018 May 1, 2018 April 30, 2020 | | 0.05 | (a) |
QM U.S. Small-Cap Growth Equity FundAdvisor Class | July 5, 2016 April 30, 2019 | 1.10 | | (b) |
QM U.S. Small-Cap Growth Equity FundI Class | March 23, 2016 April 30, 2018 May 1, 2018 April 30, 2020 | | 0.05 | (a) |
QM U.S. Value Equity Fund | February 26, 2016 April 30, 2018 May 1, 2018 April 30, 2020 | 0.74 | | (b) |
QM U.S. Value Equity FundAdvisor Class | February 26, 2016 April 30, 2018 May 1, 2018 April 30, 2020 | 0.99 | | (b) |
QM U.S. Value Equity FundI Class | February 26, 2016 April 30, 2018 May 1, 2018 April 30, 2020 | | 0.05 | (a) |
Real Assets FundI Class | August 28, 2015 April 30, 2018 May 1, 2018 April 30, 2020 | | 0.05 | (a) |
Real Estate FundI Class | December 17, 2015 April 30, 2018 May 1, 2018 April 30, 2020 | | 0.05 | (a) |
Retirement I 2005 FundI Class | September 29, 2015 November 30, 2016 December 1, 2016 September 30, 2019 | | 0.05 0.01 | (a) |
Retirement I 2010 FundI Class | September 29, 2015 November 30, 2016 December 1, 2016 September 30, 2019 | | 0.05 0.00 | (a) |
Retirement I 2015 FundI Class | September 29, 2015 November 30, 2016 December 1, 2016 September 30, 2019 | | 0.05 0.01 | (a) |
Retirement I 2020 FundI Class | September 29, 2015 November 30, 2016 December 1, 2016 September 30, 2019 | | 0.05 0.01 | (a) |
243
Fund | Limitation Period | Total Expense Limitation %1 | Operating Expense Limitation %2 | Reimbursement Date |
Retirement I 2025 FundI Class | September 29, 2015 November 30, 2016 December 1, 2016 September 30, 2019 | | 0.05 0.01 | (a) |
Retirement I 2030 FundI Class | September 29, 2015 November 30, 2016 December 1, 2016 September 30, 2019 | | 0.05 0.01 | (a) |
Retirement I 2035 FundI Class | September 29, 2015 November 30, 2016 December 1, 2016 September 30, 2019 | | 0.05 0.01 | (a) |
Retirement I 2040 FundI Class | September 29, 2015 November 30, 2016 December 1, 2016 September 30, 2019 | | 0.05 0.01 | (a) |
Retirement I 2045 FundI Class | September 29, 2015 November 30, 2016 December 1, 2016 September 30, 2019 | | 0.05 0.01 | (a) |
Retirement I 2050 FundI Class | September 29, 2015 November 30, 2016 December 1, 2016 September 30, 2019 | | 0.05 0.01 | (a) |
Retirement I 2055 FundI Class | September 29, 2015 November 30, 2016 December 1, 2016 September 30, 2019 | | 0.05 0.01 | (a) |
Retirement I 2060 FundI Class | September 29, 2015 November 30, 2016 December 1, 2016 September 30, 2019 | | 0.05 0.01 | (a) |
Retirement Balanced I FundI Class | September 29, 2015 November 30, 2016 December 1, 2016 September 30, 2019 | | 0.05 0.01 | (a) |
Retirement Income 2020 Fund | May 25, 2017 April 30, 2020 | | 0.25 | (a) |
Science & Technology FundI Class | March 23, 2016 April 30, 2018 May 1, 2018 April 30, 2020 | | 0.05 | (a) |
Short-Term Bond FundI Class | December 17, 2015 September 30, 2018 | | 0.05 | (a) |
Small-Cap Index Fund | December 9, 2015 April 30, 2018 May 1, 2018 April 30, 2020 | 0.34 | | (b) |
Small-Cap Index FundI Class | December 9, 2015 April 30, 2018 May 1, 2018 April 30, 2020 | | 0.05 | (a) |
Small-Cap Stock FundI Class | August 28, 2015 April 30, 2018 May 1, 2018 April 30, 2020 | | 0.05 | (a) |
Small-Cap Value FundI Class | August 28, 2015 April 30, 2018 May 1, 2018 April 30, 2020 | | 0.05 | (a) |
Target 2005 Fund | February 1, 2016 September 30, 2018 | 0.58 | | (b) |
Target 2005 FundAdvisor Class | February 1, 2016 September 30, 2018 | 0.83 | | (b) |
Target 2005 FundI Class | February 26, 2016 September 30, 2018 | | 0.05 | (a) |
Target 2010 Fund | February 1, 2016 September 30, 2018 | 0.58 | | (b) |
Target 2010 FundAdvisor Class | February 1, 2016 September 30, 2018 | 0.83 | | (b) |
Target 2010 FundI Class | February 26, 2016 September 30, 2018 | | 0.05 | (a) |
Target 2015 Fund | February 1, 2016 September 30, 2018 | 0.61 | | (b) |
Target 2015 FundAdvisor Class | February 1, 2016 September 30, 2018 | 0.86 | | (b) |
Target 2015 FundI Class | February 26, 2016 September 30, 2018 | | 0.05 | (a) |
Target 2020 Fund | February 1, 2016 September 30, 2018 | 0.64 | | (b) |
Target 2020 FundAdvisor Class | February 1, 2016 September 30, 2018 | 0.89 | | (b) |
Target 2020 FundI Class | February 26, 2016 September 30, 2018 | | 0.05 | (a) |
Target 2025 Fund | February 1, 2016 September 30, 2018 | 0.67 | | (b) |
Target 2025 FundAdvisor Class | February 1, 2016 September 30, 2018 | 0.92 | | (b) |
Target 2025 FundI Class | February 26, 2016 September 30, 2018 | | 0.05 | (a) |
Target 2030 Fund | February 1, 2016 September 30, 2018 | 0.70 | | (b) |
Target 2030 FundAdvisor Class | February 1, 2016 September 30, 2018 | 0.95 | | (b) |
Target 2030 FundI Class | February 26, 2016 September 30, 2018 | | 0.05 | (a) |
Target 2035 Fund | February 1, 2016 September 30, 2018 | 0.72 | | (b) |
244
Fund | Limitation Period | Total Expense Limitation % |