-----BEGIN PRIVACY-ENHANCED MESSAGE----- Proc-Type: 2001,MIC-CLEAR Originator-Name: webmaster@www.sec.gov Originator-Key-Asymmetric: MFgwCgYEVQgBAQICAf8DSgAwRwJAW2sNKK9AVtBzYZmr6aGjlWyK3XmZv3dTINen TWSM7vrzLADbmYQaionwg5sDW3P6oaM5D3tdezXMm7z1T+B+twIDAQAB MIC-Info: RSA-MD5,RSA, RL5SxsYGP/EFiTfwJPBzPQ8Dia6/yzDmL8oDGqlqQCeORNxO6IQ8Kr3DMV9oQiut eLO5aDxA4fTUYnPQ5A2R9Q== 0000810016-01-000003.txt : 20010307 0000810016-01-000003.hdr.sgml : 20010307 ACCESSION NUMBER: 0000810016-01-000003 CONFORMED SUBMISSION TYPE: NSAR-B PUBLIC DOCUMENT COUNT: 7 CONFORMED PERIOD OF REPORT: 20001231 FILED AS OF DATE: 20010228 FILER: COMPANY DATA: COMPANY CONFORMED NAME: W&R TARGET FUNDS INC CENTRAL INDEX KEY: 0000810016 STANDARD INDUSTRIAL CLASSIFICATION: UNKNOWN SIC - 0000 [0000] STATE OF INCORPORATION: MD FISCAL YEAR END: 1231 FILING VALUES: FORM TYPE: NSAR-B SEC ACT: SEC FILE NUMBER: 811-05017 FILM NUMBER: 1557221 BUSINESS ADDRESS: STREET 1: 6300 LAMAR AVENUE STREET 2: PO BOX 29217 CITY: OVERLAND PARK STATE: KS ZIP: 66202 BUSINESS PHONE: 9132362000 MAIL ADDRESS: STREET 1: P O BOX 29217 CITY: SHAWNEE MISSION STATE: KS ZIP: 66201-9217 FORMER COMPANY: FORMER CONFORMED NAME: TARGET UNITED FUNDS INC DATE OF NAME CHANGE: 19990506 FORMER COMPANY: FORMER CONFORMED NAME: TMK UNITED FUNDS INC DATE OF NAME CHANGE: 19920703 NSAR-B 1 0001.txt N-SAR (6.1) PAGE 1 000 B000000 12/31/2000 000 C000000 0000810016 000 D000000 N 000 E000000 NF 000 F000000 Y 000 G000000 N 000 H000000 N 000 I000000 6.1 000 J000000 A 001 A000000 W&R TARGET FUNDS, INC. 001 B000000 811-5017 001 C000000 9132362000 002 A000000 6300 LAMAR AVENUE P. 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(THE) 025 B000405 13-3501777 025 C000405 E 025 D000405 10694 025 D000406 0 025 D000407 0 025 D000408 0 028 A010400 13793 028 A020400 0 028 A030400 0 028 A040400 7879 028 B010400 16451 028 B020400 0 028 B030400 0 PAGE 21 028 B040400 10439 028 C010400 17246 028 C020400 0 028 C030400 0 028 C040400 9900 028 D010400 18193 028 D020400 0 028 D030400 0 028 D040400 11373 028 E010400 17031 028 E020400 0 028 E030400 0 028 E040400 9208 028 F010400 21768 028 F020400 130440 028 F030400 0 028 F040400 11869 028 G010400 104482 028 G020400 130440 028 G030400 0 028 G040400 60668 028 H000400 0 042 A000400 0 042 B000400 0 042 C000400 100 042 D000400 0 042 E000400 0 042 F000400 0 042 G000400 0 042 H000400 0 043 000400 3245 044 000400 0 045 000400 Y 046 000400 N 047 000400 Y 048 000400 0.000 048 A010400 1000000 048 A020400 0.700 048 B010400 1000000 048 B020400 0.650 048 C010400 1000000 048 C020400 0.600 048 D010400 0 048 D020400 0.000 048 E010400 0 048 E020400 0.000 048 F010400 0 048 F020400 0.000 048 G010400 0 048 G020400 0.000 048 H010400 0 PAGE 22 048 H020400 0.000 048 I010400 0 048 I020400 0.000 048 J010400 0 048 J020400 0.000 048 K010400 3000000 048 K020400 0.550 049 000400 N 050 000400 N 051 000400 N 052 000400 N 053 A000400 N 062 A000400 N 062 B000400 0.0 062 C000400 0.0 062 D000400 0.0 062 E000400 0.0 062 F000400 0.0 062 G000400 0.0 062 H000400 0.0 062 I000400 0.0 062 J000400 0.0 062 K000400 0.0 062 L000400 0.0 062 M000400 0.0 062 N000400 0.0 062 O000400 0.0 062 P000400 0.0 062 Q000400 0.0 062 R000400 0.0 063 A000400 0 063 B000400 0.0 066 A000400 Y 066 B000400 N 066 C000400 N 066 D000400 Y 066 E000400 N 066 F000400 N 066 G000400 N 067 000400 N 068 A000400 N 068 B000400 N 069 000400 N 070 A010400 Y 070 A020400 Y 070 B010400 Y 070 B020400 N 070 C010400 Y 070 C020400 N 070 D010400 Y 070 D020400 N PAGE 23 070 E010400 Y 070 E020400 N 070 F010400 Y 070 F020400 N 070 G010400 Y 070 G020400 N 070 H010400 Y 070 H020400 N 070 I010400 N 070 I020400 N 070 J010400 Y 070 J020400 N 070 K010400 N 070 K020400 N 070 L010400 Y 070 L020400 Y 070 M010400 Y 070 M020400 N 070 N010400 Y 070 N020400 N 070 O010400 N 070 O020400 N 070 P010400 Y 070 P020400 N 070 Q010400 N 070 Q020400 N 070 R010400 N 070 R020400 N 071 A000400 664194 071 B000400 725614 071 C000400 1175117 071 D000400 57 072 A000400 12 072 B000400 7012 072 C000400 7324 072 D000400 0 072 E000400 0 072 F000400 8957 072 G000400 103 072 H000400 0 072 I000400 0 072 J000400 63 072 K000400 0 072 L000400 0 072 M000400 40 072 N000400 0 072 O000400 0 072 P000400 0 072 Q000400 0 072 R000400 9 072 S000400 30 PAGE 24 072 T000400 3245 072 U000400 0 072 V000400 0 072 W000400 34 072 X000400 12481 072 Y000400 0 072 Z000400 1855 072AA000400 192724 072BB000400 64139 072CC010400 0 072CC020400 119217 072DD010400 1855 072DD020400 0 072EE000400 128585 073 A010400 0.0163 073 A020400 0.0000 073 B000400 1.1295 073 C000400 0.0000 074 A000400 1 074 B000400 0 074 C000400 198228 074 D000400 0 074 E000400 0 074 F000400 1057212 074 G000400 0 074 H000400 0 074 I000400 0 074 J000400 0 074 K000400 1550 074 L000400 478 074 M000400 7 074 N000400 1257476 074 O000400 0 074 P000400 340 074 Q000400 0 074 R010400 0 074 R020400 0 074 R030400 0 074 R040400 760 074 S000400 0 074 T000400 1256376 074 U010400 127123 074 U020400 0 074 V010400 9.88 074 V020400 0.00 074 W000400 0.0000 074 X000400 6 074 Y000400 0 075 A000400 0 075 B000400 1297278 076 000400 0.00 PAGE 25 015 A000501 UMB BANK, N.A. 015 B000501 C 015 C010501 KANSAS CITY 015 C020501 MO 015 C030501 64141 015 C040501 6226 015 E010501 X 015 A000503 UNITED MISSOURI TRUST COMPANY OF NEW YORK 015 B000503 S 015 C010503 NEW YORK 015 C020503 NY 015 C030503 10004 015 E010503 X 015 A000505 BROWN BROTHERS HARRIMAN & CO. 015 B000505 S 015 C010505 BOSTON 015 C020505 MA 015 C030505 02109 015 E040505 X 024 000500 Y 025 A000501 GOLDMAN SACHS GROUP, INC. (THE) 025 B000501 13-3501777 025 C000501 E 025 D000501 10148 025 A000502 BANK OF AMERICA CORPORATION 025 B000502 56-0906609 025 C000502 E 025 D000502 10698 025 A000503 CHASE MANHATTAN CORPORATION (THE) 025 B000503 13-4994650 025 C000503 E 025 D000503 10930 025 D000504 0 025 D000505 0 025 D000506 0 025 D000507 0 025 D000508 0 028 A010500 12226 028 A020500 0 028 A030500 0 028 A040500 7182 028 B010500 14852 028 B020500 0 028 B030500 0 028 B040500 7990 028 C010500 16419 028 C020500 0 028 C030500 0 028 C040500 8630 028 D010500 17558 028 D020500 0 PAGE 26 028 D030500 0 028 D040500 7628 028 E010500 17573 028 E020500 0 028 E030500 0 028 E040500 7988 028 F010500 21147 028 F020500 149930 028 F030500 0 028 F040500 9791 028 G010500 99775 028 G020500 149930 028 G030500 0 028 G040500 49209 028 H000500 0 042 A000500 0 042 B000500 0 042 C000500 100 042 D000500 0 042 E000500 0 042 F000500 0 042 G000500 0 042 H000500 0 043 000500 2591 044 000500 0 045 000500 Y 046 000500 N 047 000500 Y 048 000500 0.000 048 A010500 1000000 048 A020500 0.700 048 B010500 1000000 048 B020500 0.650 048 C010500 1000000 048 C020500 0.600 048 D010500 0 048 D020500 0.000 048 E010500 0 048 E020500 0.000 048 F010500 0 048 F020500 0.000 048 G010500 0 048 G020500 0.000 048 H010500 0 048 H020500 0.000 048 I010500 0 048 I020500 0.000 048 J010500 0 048 J020500 0.000 048 K010500 3000000 048 K020500 0.550 PAGE 27 049 000500 N 050 000500 N 051 000500 N 052 000500 N 053 A000500 N 062 A000500 N 062 B000500 0.0 062 C000500 0.0 062 D000500 0.0 062 E000500 0.0 062 F000500 0.0 062 G000500 0.0 062 H000500 0.0 062 I000500 0.0 062 J000500 0.0 062 K000500 0.0 062 L000500 0.0 062 M000500 0.0 062 N000500 0.0 062 O000500 0.0 062 P000500 0.0 062 Q000500 0.0 062 R000500 0.0 063 A000500 0 063 B000500 0.0 066 A000500 Y 066 B000500 N 066 C000500 N 066 D000500 N 066 E000500 Y 066 F000500 N 066 G000500 N 067 000500 N 068 A000500 N 068 B000500 N 069 000500 N 070 A010500 Y 070 A020500 N 070 B010500 Y 070 B020500 N 070 C010500 Y 070 C020500 N 070 D010500 Y 070 D020500 N 070 E010500 Y 070 E020500 N 070 F010500 Y 070 F020500 N 070 G010500 Y 070 G020500 N 070 H010500 Y PAGE 28 070 H020500 N 070 I010500 N 070 I020500 N 070 J010500 Y 070 J020500 N 070 K010500 N 070 K020500 N 070 L010500 Y 070 L020500 Y 070 M010500 Y 070 M020500 Y 070 N010500 Y 070 N020500 N 070 O010500 N 070 O020500 N 070 P010500 Y 070 P020500 N 070 Q010500 N 070 Q020500 N 070 R010500 N 070 R020500 N 071 A000500 606147 071 B000500 476817 071 C000500 970879 071 D000500 49 072 A000500 12 072 B000500 3903 072 C000500 9074 072 D000500 0 072 E000500 0 072 F000500 7228 072 G000500 100 072 H000500 0 072 I000500 0 072 J000500 89 072 K000500 0 072 L000500 0 072 M000500 32 072 N000500 0 072 O000500 0 072 P000500 0 072 Q000500 0 072 R000500 25 072 S000500 9 072 T000500 2591 072 U000500 0 072 V000500 0 072 W000500 13 072 X000500 10087 072 Y000500 0 072 Z000500 2890 PAGE 29 072AA000500 180952 072BB000500 33912 072CC010500 0 072CC020500 64309 072DD010500 2756 072DD020500 0 072EE000500 147174 073 A010500 0.0360 073 A020500 0.0000 073 B000500 1.9248 073 C000500 0.0000 074 A000500 1 074 B000500 0 074 C000500 80356 074 D000500 0 074 E000500 4830 074 F000500 1051270 074 G000500 0 074 H000500 0 074 I000500 0 074 J000500 3824 074 K000500 1720 074 L000500 741 074 M000500 5 074 N000500 1142747 074 O000500 57733 074 P000500 295 074 Q000500 0 074 R010500 0 074 R020500 0 074 R030500 0 074 R040500 768 074 S000500 0 074 T000500 1083951 074 U010500 88829 074 U020500 0 074 V010500 12.20 074 V020500 0.00 074 W000500 0.0000 074 X000500 6 074 Y000500 0 075 A000500 0 075 B000500 1033116 076 000500 0.00 015 A000601 UMB BANK, N.A. 015 B000601 C 015 C010601 KANSAS CITY 015 C020601 MO 015 C030601 64141 015 C040601 6226 015 E010601 X PAGE 30 015 A000602 UNITED MISSOURI TRUST COMPANY OF NEW YORK 015 B000602 S 015 C010602 NEW YORK 015 C020602 NY 015 C030602 10004 015 E010602 X 015 A000611 BROWN BROTHERS HARRIMAN & CO. 015 B000611 S 015 C010611 BOSTON 015 C020611 MA 015 C030611 02109 015 E040611 X 024 000600 N 025 D000601 0 025 D000602 0 025 D000603 0 025 D000604 0 025 D000605 0 025 D000606 0 025 D000607 0 025 D000608 0 028 A010600 4801 028 A020600 0 028 A030600 0 028 A040600 2098 028 B010600 4711 028 B020600 0 028 B030600 0 028 B040600 2044 028 C010600 4853 028 C020600 0 028 C030600 0 028 C040600 2939 028 D010600 4398 028 D020600 0 028 D030600 0 028 D040600 2707 028 E010600 4708 028 E020600 0 028 E030600 0 028 E040600 2386 028 F010600 4419 028 F020600 36578 028 F030600 0 028 F040600 3243 028 G010600 27890 028 G020600 36578 028 G030600 0 028 G040600 15417 028 H000600 0 042 A000600 0 PAGE 31 042 B000600 0 042 C000600 100 042 D000600 0 042 E000600 0 042 F000600 0 042 G000600 0 042 H000600 0 043 000600 754 044 000600 0 045 000600 Y 046 000600 N 047 000600 Y 048 000600 0.000 048 A010600 1000000 048 A020600 0.850 048 B010600 1000000 048 B020600 0.830 048 C010600 1000000 048 C020600 0.800 048 D010600 0 048 D020600 0.000 048 E010600 0 048 E020600 0.000 048 F010600 0 048 F020600 0.000 048 G010600 0 048 G020600 0.000 048 H010600 0 048 H020600 0.000 048 I010600 0 048 I020600 0.000 048 J010600 0 048 J020600 0.000 048 K010600 3000000 048 K020600 0.760 049 000600 N 050 000600 N 051 000600 N 052 000600 N 053 A000600 N 062 A000600 N 062 B000600 0.0 062 C000600 0.0 062 D000600 0.0 062 E000600 0.0 062 F000600 0.0 062 G000600 0.0 062 H000600 0.0 062 I000600 0.0 062 J000600 0.0 062 K000600 0.0 PAGE 32 062 L000600 0.0 062 M000600 0.0 062 N000600 0.0 062 O000600 0.0 062 P000600 0.0 062 Q000600 0.0 062 R000600 0.0 063 A000600 0 063 B000600 0.0 066 A000600 Y 066 B000600 N 066 C000600 Y 066 D000600 N 066 E000600 N 066 F000600 N 066 G000600 N 067 000600 N 068 A000600 N 068 B000600 Y 069 000600 N 070 A010600 Y 070 A020600 Y 070 B010600 Y 070 B020600 N 070 C010600 Y 070 C020600 N 070 D010600 Y 070 D020600 N 070 E010600 Y 070 E020600 N 070 F010600 Y 070 F020600 N 070 G010600 Y 070 G020600 N 070 H010600 Y 070 H020600 N 070 I010600 N 070 I020600 N 070 J010600 Y 070 J020600 Y 070 K010600 Y 070 K020600 N 070 L010600 Y 070 L020600 Y 070 M010600 Y 070 M020600 Y 070 N010600 Y 070 N020600 N 070 O010600 N 070 O020600 N 070 P010600 Y PAGE 33 070 P020600 N 070 Q010600 N 070 Q020600 N 070 R010600 N 070 R020600 N 071 A000600 300057 071 B000600 305395 071 C000600 256803 071 D000600 117 072 A000600 12 072 B000600 2573 072 C000600 2042 072 D000600 0 072 E000600 0 072 F000600 2556 072 G000600 53 072 H000600 0 072 I000600 0 072 J000600 298 072 K000600 0 072 L000600 0 072 M000600 9 072 N000600 0 072 O000600 0 072 P000600 0 072 Q000600 0 072 R000600 8 072 S000600 8 072 T000600 754 072 U000600 0 072 V000600 0 072 W000600 7 072 X000600 3693 072 Y000600 0 072 Z000600 922 072AA000600 84567 072BB000600 48699 072CC010600 0 072CC020600 117075 072DD010600 544 072DD020600 0 072EE000600 36034 073 A010600 0.0186 073 A020600 0.0000 073 B000600 1.2325 073 C000600 0.0000 074 A000600 1 074 B000600 0 074 C000600 62553 074 D000600 168 074 E000600 14960 PAGE 34 074 F000600 186327 074 G000600 0 074 H000600 0 074 I000600 0 074 J000600 2173 074 K000600 319 074 L000600 350 074 M000600 2 074 N000600 266853 074 O000600 0 074 P000600 77 074 Q000600 0 074 R010600 0 074 R020600 0 074 R030600 0 074 R040600 347 074 S000600 0 074 T000600 266429 074 U010600 33893 074 U020600 0 074 V010600 7.86 074 V020600 0.00 074 W000600 0.0000 074 X000600 6 074 Y000600 0 075 A000600 0 075 B000600 299872 076 000600 0.00 015 A000701 UMB BANK, N.A. 015 B000701 C 015 C010701 KANSAS CITY 015 C020701 MO 015 C030701 64141 015 C040701 6226 015 E010701 X 015 A000702 UNITED MISSOURI TRUST COMPANY OF NEW YORK 015 B000702 S 015 C010702 NEW YORK 015 C020702 NY 015 C030702 10004 015 E010702 X 024 000700 N 025 D000701 0 025 D000702 0 025 D000703 0 025 D000704 0 025 D000705 0 025 D000706 0 025 D000707 0 025 D000708 0 028 A010700 6762 PAGE 35 028 A020700 0 028 A030700 0 028 A040700 2351 028 B010700 7436 028 B020700 0 028 B030700 0 028 B040700 3077 028 C010700 8101 028 C020700 0 028 C030700 0 028 C040700 2826 028 D010700 7092 028 D020700 0 028 D030700 0 028 D040700 2426 028 E010700 7579 028 E020700 0 028 E030700 0 028 E040700 2449 028 F010700 8890 028 F020700 69244 028 F030700 0 028 F040700 3298 028 G010700 45860 028 G020700 69244 028 G030700 0 028 G040700 16427 028 H000700 0 042 A000700 0 042 B000700 0 042 C000700 100 042 D000700 0 042 E000700 0 042 F000700 0 042 G000700 0 042 H000700 0 043 000700 890 044 000700 0 045 000700 Y 046 000700 N 047 000700 Y 048 000700 0.000 048 A010700 1000000 048 A020700 0.850 048 B010700 1000000 048 B020700 0.830 048 C010700 1000000 048 C020700 0.800 048 D010700 0 048 D020700 0.000 048 E010700 0 PAGE 36 048 E020700 0.000 048 F010700 0 048 F020700 0.000 048 G010700 0 048 G020700 0.000 048 H010700 0 048 H020700 0.000 048 I010700 0 048 I020700 0.000 048 J010700 0 048 J020700 0.000 048 K010700 3000000 048 K020700 0.760 049 000700 N 050 000700 N 051 000700 N 052 000700 N 053 A000700 N 062 A000700 N 062 B000700 0.0 062 C000700 0.0 062 D000700 0.0 062 E000700 0.0 062 F000700 0.0 062 G000700 0.0 062 H000700 0.0 062 I000700 0.0 062 J000700 0.0 062 K000700 0.0 062 L000700 0.0 062 M000700 0.0 062 N000700 0.0 062 O000700 0.0 062 P000700 0.0 062 Q000700 0.0 062 R000700 0.0 063 A000700 0 063 B000700 0.0 066 A000700 Y 066 B000700 N 066 C000700 N 066 D000700 Y 066 E000700 N 066 F000700 N 066 G000700 N 067 000700 N 068 A000700 N 068 B000700 N 069 000700 N 070 A010700 Y 070 A020700 Y PAGE 37 070 B010700 Y 070 B020700 N 070 C010700 Y 070 C020700 N 070 D010700 Y 070 D020700 N 070 E010700 Y 070 E020700 N 070 F010700 Y 070 F020700 N 070 G010700 Y 070 G020700 N 070 H010700 Y 070 H020700 N 070 I010700 N 070 I020700 N 070 J010700 Y 070 J020700 Y 070 K010700 Y 070 K020700 N 070 L010700 Y 070 L020700 Y 070 M010700 Y 070 M020700 N 070 N010700 Y 070 N020700 N 070 O010700 Y 070 O020700 N 070 P010700 Y 070 P020700 N 070 Q010700 N 070 Q020700 N 070 R010700 N 070 R020700 N 071 A000700 197624 071 B000700 151154 071 C000700 259038 071 D000700 58 072 A000700 12 072 B000700 6440 072 C000700 31 072 D000700 0 072 E000700 0 072 F000700 3037 072 G000700 58 072 H000700 0 072 I000700 0 072 J000700 23 072 K000700 0 072 L000700 0 072 M000700 11 PAGE 38 072 N000700 0 072 O000700 0 072 P000700 0 072 Q000700 0 072 R000700 7 072 S000700 9 072 T000700 890 072 U000700 0 072 V000700 0 072 W000700 10 072 X000700 4045 072 Y000700 0 072 Z000700 2426 072AA000700 84013 072BB000700 17195 072CC010700 0 072CC020700 118168 072DD010700 2426 072DD020700 0 072EE000700 66818 073 A010700 0.0717 073 A020700 0.0000 073 B000700 1.9734 073 C000700 0.0000 074 A000700 1 074 B000700 0 074 C000700 88648 074 D000700 934 074 E000700 0 074 F000700 255365 074 G000700 0 074 H000700 0 074 I000700 0 074 J000700 0 074 K000700 825 074 L000700 85 074 M000700 2 074 N000700 345860 074 O000700 252 074 P000700 97 074 Q000700 0 074 R010700 0 074 R020700 0 074 R030700 0 074 R040700 304 074 S000700 0 074 T000700 345207 074 U010700 42437 074 U020700 0 074 V010700 8.13 074 V020700 0.00 PAGE 39 074 W000700 0.0000 074 X000700 6 074 Y000700 0 075 A000700 0 075 B000700 356381 076 000700 0.00 015 A000801 UMB BANK, N.A. 015 B000801 C 015 C010801 KANSAS CITY 015 C020801 MO 015 C030801 64141 015 C040801 6226 015 E010801 X 015 A000802 UNITED MISSOURI TRUST COMPANY OF NEW YORK 015 B000802 S 015 C010802 NEW YORK 015 C020802 NY 015 C030802 10004 015 E010802 X 024 000800 Y 025 A000801 CHASE MANHATTAN CORPORATION (THE) 025 B000801 13-4994650 025 C000801 E 025 D000801 1136 025 D000802 0 025 D000803 0 025 D000804 0 025 D000805 0 025 D000806 0 025 D000807 0 025 D000808 0 028 A010800 3727 028 A020800 0 028 A030800 0 028 A040800 1506 028 B010800 4543 028 B020800 0 028 B030800 0 028 B040800 1378 028 C010800 5534 028 C020800 0 028 C030800 0 028 C040800 1527 028 D010800 5124 028 D020800 0 028 D030800 0 028 D040800 1538 028 E010800 5474 028 E020800 0 028 E030800 0 028 E040800 1852 PAGE 40 028 F010800 6238 028 F020800 10248 028 F030800 0 028 F040800 1866 028 G010800 30640 028 G020800 10248 028 G030800 0 028 G040800 9667 028 H000800 0 042 A000800 0 042 B000800 0 042 C000800 100 042 D000800 0 042 E000800 0 042 F000800 0 042 G000800 0 042 H000800 0 043 000800 336 044 000800 0 045 000800 Y 046 000800 N 047 000800 Y 048 000800 0.000 048 A010800 1000000 048 A020800 0.700 048 B010800 1000000 048 B020800 0.650 048 C010800 1000000 048 C020800 0.600 048 D010800 0 048 D020800 0.000 048 E010800 0 048 E020800 0.000 048 F010800 0 048 F020800 0.000 048 G010800 0 048 G020800 0.000 048 H010800 0 048 H020800 0.000 048 I010800 0 048 I020800 0.000 048 J010800 0 048 J020800 0.000 048 K010800 3000000 048 K020800 0.550 049 000800 N 050 000800 N 051 000800 N 052 000800 N 053 A000800 N 062 A000800 N PAGE 41 062 B000800 0.0 062 C000800 0.0 062 D000800 0.0 062 E000800 0.0 062 F000800 0.0 062 G000800 0.0 062 H000800 0.0 062 I000800 0.0 062 J000800 0.0 062 K000800 0.0 062 L000800 0.0 062 M000800 0.0 062 N000800 0.0 062 O000800 0.0 062 P000800 0.0 062 Q000800 0.0 062 R000800 0.0 063 A000800 0 063 B000800 0.0 066 A000800 N 067 000800 Y 068 A000800 N 068 B000800 N 069 000800 N 070 A010800 Y 070 A020800 N 070 B010800 Y 070 B020800 N 070 C010800 Y 070 C020800 N 070 D010800 Y 070 D020800 N 070 E010800 Y 070 E020800 N 070 F010800 Y 070 F020800 N 070 G010800 Y 070 G020800 N 070 H010800 Y 070 H020800 N 070 I010800 N 070 I020800 N 070 J010800 Y 070 J020800 N 070 K010800 Y 070 K020800 N 070 L010800 Y 070 L020800 Y 070 M010800 Y 070 M020800 N 070 N010800 Y PAGE 42 070 N020800 N 070 O010800 N 070 O020800 N 070 P010800 Y 070 P020800 N 070 Q010800 N 070 Q020800 N 070 R010800 N 070 R020800 N 071 A000800 56805 071 B000800 44618 071 C000800 105417 071 D000800 42 072 A000800 12 072 B000800 4344 072 C000800 769 072 D000800 0 072 E000800 0 072 F000800 940 072 G000800 41 072 H000800 0 072 I000800 0 072 J000800 11 072 K000800 0 072 L000800 0 072 M000800 4 072 N000800 0 072 O000800 0 072 P000800 0 072 Q000800 0 072 R000800 6 072 S000800 3 072 T000800 336 072 U000800 0 072 V000800 0 072 W000800 6 072 X000800 1347 072 Y000800 0 072 Z000800 3766 072AA000800 11256 072BB000800 4774 072CC010800 0 072CC020800 1103 072DD010800 3766 072DD020800 0 072EE000800 6482 073 A010800 0.1873 073 A020800 0.0000 073 B000800 0.3223 073 C000800 0.0000 074 A000800 1 PAGE 43 074 B000800 0 074 C000800 43260 074 D000800 44002 074 E000800 868 074 F000800 69041 074 G000800 0 074 H000800 0 074 I000800 0 074 J000800 0 074 K000800 442 074 L000800 1015 074 M000800 1 074 N000800 158630 074 O000800 571 074 P000800 46 074 Q000800 0 074 R010800 0 074 R020800 0 074 R030800 0 074 R040800 41 074 S000800 0 074 T000800 157972 074 U010800 21564 074 U020800 0 074 V010800 7.33 074 V020800 0.00 074 W000800 0.0000 074 X000800 6 074 Y000800 0 075 A000800 0 075 B000800 133954 076 000800 0.00 015 A000901 UMB BANK, N.A. 015 B000901 C 015 C010901 KANSAS CITY 015 C020901 MO 015 C030901 64141 015 C040901 6226 015 E010901 X 015 A000902 UNITED MISSOURI TRUST COMPANY OF NEW YORK 015 B000902 S 015 C010902 NEW YORK 015 C020902 NY 015 C030902 10004 015 E010902 X 024 000900 N 025 D000901 0 025 A000902 DELETE 025 D000902 0 025 D000903 0 025 D000904 0 PAGE 44 025 D000905 0 025 D000906 0 025 D000907 0 025 D000908 0 028 A010900 18 028 A020900 0 028 A030900 0 028 A040900 89 028 B010900 96 028 B020900 0 028 B030900 0 028 B040900 72 028 C010900 107 028 C020900 0 028 C030900 0 028 C040900 21 028 D010900 52 028 D020900 0 028 D030900 0 028 D040900 102 028 E010900 294 028 E020900 0 028 E030900 0 028 E040900 92 028 F010900 184 028 F020900 373 028 F030900 0 028 F040900 85 028 G010900 751 028 G020900 373 028 G030900 0 028 G040900 461 028 H000900 0 042 A000900 0 042 B000900 0 042 C000900 100 042 D000900 0 042 E000900 0 042 F000900 0 042 G000900 0 042 H000900 0 043 000900 15 044 000900 0 045 000900 Y 046 000900 N 047 000900 Y 048 000900 0.000 048 A010900 500000 048 A020900 0.500 048 B010900 500000 048 B020900 0.450 PAGE 45 048 C010900 500000 048 C020900 0.400 048 D010900 0 048 D020900 0.000 048 E010900 0 048 E020900 0.000 048 F010900 0 048 F020900 0.000 048 G010900 0 048 G020900 0.000 048 H010900 0 048 H020900 0.000 048 I010900 0 048 I020900 0.000 048 J010900 0 048 J020900 0.000 048 K010900 1500000 048 K020900 0.350 049 000900 N 050 000900 N 051 000900 N 052 000900 N 053 A000900 Y 053 B000900 Y 053 C000900 N 062 A000900 Y 062 B000900 0.0 062 C000900 0.0 062 D000900 0.0 062 E000900 0.0 062 F000900 0.0 062 G000900 0.0 062 H000900 0.0 062 I000900 6.0 062 J000900 0.0 062 K000900 0.0 062 L000900 0.0 062 M000900 0.0 062 N000900 31.4 062 O000900 0.0 062 P000900 61.2 062 Q000900 0.0 062 R000900 1.4 063 A000900 0 063 B000900 3.0 064 A000900 N 064 B000900 N 066 A000900 N 067 000900 N 068 A000900 N 068 B000900 N PAGE 46 069 000900 N 070 A010900 Y 070 A020900 N 070 B010900 Y 070 B020900 N 070 C010900 Y 070 C020900 N 070 D010900 Y 070 D020900 N 070 E010900 Y 070 E020900 N 070 F010900 Y 070 F020900 N 070 G010900 Y 070 G020900 N 070 H010900 Y 070 H020900 N 070 I010900 N 070 I020900 N 070 J010900 Y 070 J020900 N 070 K010900 N 070 K020900 N 070 L010900 N 070 L020900 N 070 M010900 N 070 M020900 N 070 N010900 Y 070 N020900 N 070 O010900 N 070 O020900 N 070 P010900 Y 070 P020900 N 070 Q010900 N 070 Q020900 N 070 R010900 N 070 R020900 N 071 A000900 2596 071 B000900 2773 071 C000900 5485 071 D000900 47 072 A000900 12 072 B000900 396 072 C000900 0 072 D000900 0 072 E000900 0 072 F000900 30 072 G000900 0 072 H000900 0 072 I000900 0 072 J000900 2 PAGE 47 072 K000900 0 072 L000900 0 072 M000900 0 072 N000900 0 072 O000900 0 072 P000900 0 072 Q000900 0 072 R000900 5 072 S000900 0 072 T000900 15 072 U000900 0 072 V000900 0 072 W000900 1 072 X000900 53 072 Y000900 30 072 Z000900 373 072AA000900 11 072BB000900 20 072CC010900 137 072CC020900 0 072DD010900 373 072DD020900 0 072EE000900 0 073 A010900 0.3155 073 A020900 0.0000 073 B000900 0.0000 073 C000900 0.0000 074 A000900 1 074 B000900 0 074 C000900 388 074 D000900 5997 074 E000900 0 074 F000900 0 074 G000900 0 074 H000900 0 074 I000900 0 074 J000900 0 074 K000900 4 074 L000900 93 074 M000900 0 074 N000900 6483 074 O000900 0 074 P000900 1 074 Q000900 0 074 R010900 0 074 R020900 0 074 R030900 0 074 R040900 6 074 S000900 0 074 T000900 6476 074 U010900 1253 PAGE 48 074 U020900 0 074 V010900 5.17 074 V020900 0.00 074 W000900 0.0000 074 X000900 6 074 Y000900 0 075 A000900 0 075 B000900 5887 076 000900 0.00 015 A001001 UMB BANK, N.A. 015 B001001 C 015 C011001 KANSAS CITY 015 C021001 MO 015 C031001 64141 015 C041001 6226 015 E011001 X 015 A001002 UNITED MISSOURI TRUST COMPANY OF NEW YORK 015 B001002 S 015 C011002 NEW YORK 015 C021002 NY 015 C031002 10004 015 E011002 X 015 A001005 BROWN BROTHERS HARRIMAN & CO. 015 B001005 S 015 C011005 BOSTON 015 C021005 MA 015 C031005 02109 015 E041005 X 024 001000 Y 025 A001001 GOLDMAN SACHS GROUP, INC. (THE) 025 B001001 13-3501777 025 C001001 E 025 D001001 599 025 D001002 0 025 D001003 0 025 D001004 0 025 D001005 0 025 D001006 0 025 D001007 0 025 D001008 0 028 A011000 2620 028 A021000 0 028 A031000 0 028 A041000 420 028 B011000 4235 028 B021000 0 028 B031000 0 028 B041000 524 028 C011000 5005 028 C021000 0 028 C031000 0 PAGE 49 028 C041000 938 028 D011000 4605 028 D021000 0 028 D031000 0 028 D041000 1260 028 E011000 5296 028 E021000 0 028 E031000 0 028 E041000 749 028 F011000 6250 028 F021000 4734 028 F031000 0 028 F041000 1187 028 G011000 28011 028 G021000 4734 028 G031000 0 028 G041000 5078 028 H001000 0 042 A001000 0 042 B001000 0 042 C001000 100 042 D001000 0 042 E001000 0 042 F001000 0 042 G001000 0 042 H001000 0 043 001000 82 044 001000 0 045 001000 Y 046 001000 N 047 001000 Y 048 001000 0.000 048 A011000 1000000 048 A021000 0.700 048 B011000 1000000 048 B021000 0.650 048 C011000 1000000 048 C021000 0.600 048 D011000 0 048 D021000 0.000 048 E011000 0 048 E021000 0.000 048 F011000 0 048 F021000 0.000 048 G011000 0 048 G021000 0.000 048 H011000 0 048 H021000 0.000 048 I011000 0 048 I021000 0.000 048 J011000 0 PAGE 50 048 J021000 0.000 048 K011000 3000000 048 K021000 0.550 049 001000 N 050 001000 N 051 001000 N 052 001000 N 053 A001000 Y 053 B001000 Y 053 C001000 N 062 A001000 N 062 B001000 0.0 062 C001000 0.0 062 D001000 0.0 062 E001000 0.0 062 F001000 0.0 062 G001000 0.0 062 H001000 0.0 062 I001000 0.0 062 J001000 0.0 062 K001000 0.0 062 L001000 0.0 062 M001000 0.0 062 N001000 0.0 062 O001000 0.0 062 P001000 0.0 062 Q001000 0.0 062 R001000 0.0 063 A001000 0 063 B001000 0.0 066 A001000 Y 066 B001000 N 066 C001000 N 066 D001000 N 066 E001000 N 066 F001000 N 066 G001000 Y 067 001000 N 068 A001000 N 068 B001000 N 069 001000 N 070 A011000 Y 070 A021000 Y 070 B011000 Y 070 B021000 Y 070 C011000 Y 070 C021000 N 070 D011000 Y 070 D021000 Y 070 E011000 Y 070 E021000 N PAGE 51 070 F011000 Y 070 F021000 N 070 G011000 Y 070 G021000 N 070 H011000 Y 070 H021000 N 070 I011000 Y 070 I021000 N 070 J011000 Y 070 J021000 Y 070 K011000 Y 070 K021000 N 070 L011000 Y 070 L021000 Y 070 M011000 Y 070 M021000 Y 070 N011000 Y 070 N021000 N 070 O011000 Y 070 O021000 N 070 P011000 Y 070 P021000 N 070 Q011000 N 070 Q021000 N 070 R011000 N 070 R021000 N 071 A001000 58321 071 B001000 42242 071 C001000 27206 071 D001000 155 072 A001000 12 072 B001000 802 072 C001000 234 072 D001000 0 072 E001000 0 072 F001000 247 072 G001000 20 072 H001000 0 072 I001000 0 072 J001000 16 072 K001000 0 072 L001000 0 072 M001000 1 072 N001000 0 072 O001000 0 072 P001000 0 072 Q001000 0 072 R001000 6 072 S001000 1 072 T001000 82 072 U001000 0 PAGE 52 072 V001000 0 072 W001000 1 072 X001000 374 072 Y001000 31 072 Z001000 693 072AA001000 8664 072BB001000 4623 072CC011000 1758 072CC021000 0 072DD011000 691 072DD021000 0 072EE001000 4043 073 A011000 0.0906 073 A021000 0.0000 073 B001000 0.5298 073 C001000 0.0000 074 A001000 110 074 B001000 0 074 C001000 14783 074 D001000 9851 074 E001000 0 074 F001000 33487 074 G001000 0 074 H001000 0 074 I001000 386 074 J001000 513 074 K001000 577 074 L001000 154 074 M001000 0 074 N001000 59861 074 O001000 600 074 P001000 18 074 Q001000 0 074 R011000 0 074 R021000 0 074 R031000 0 074 R041000 141 074 S001000 0 074 T001000 59102 074 U011000 8378 074 U021000 0 074 V011000 7.05 074 V021000 0.00 074 W001000 0.0000 074 X001000 6 074 Y001000 0 075 A001000 0 075 B001000 35203 076 001000 0.00 015 A001101 UMB BANK, N.A. 015 B001101 C PAGE 53 015 C011101 KANSAS CITY 015 C021101 MO 015 C031101 64141 015 C041101 6226 015 E011101 X 015 A001102 UNITED MISSOURI TRUST COMPANY OF NEW YORK 015 B001102 S 015 C011102 NEW YORK 015 C021102 NY 015 C031102 10004 015 E011102 X 024 001100 N 025 D001101 0 025 D001102 0 025 D001103 0 025 D001104 0 025 D001105 0 025 D001106 0 025 D001107 0 025 D001108 0 028 A011100 8527 028 A021100 0 028 A031100 0 028 A041100 2915 028 B011100 8922 028 B021100 0 028 B031100 0 028 B041100 4154 028 C011100 8753 028 C021100 0 028 C031100 0 028 C041100 3718 028 D011100 9595 028 D021100 0 028 D031100 0 028 D041100 3531 028 E011100 9657 028 E021100 0 028 E031100 0 028 E041100 3349 028 F011100 10346 028 F021100 57004 028 F031100 0 028 F041100 4240 028 G011100 55800 028 G021100 57004 028 G031100 0 028 G041100 21907 028 H001100 0 042 A001100 0 042 B001100 0 PAGE 54 042 C001100 100 042 D001100 0 042 E001100 0 042 F001100 0 042 G001100 0 042 H001100 0 043 001100 751 044 001100 0 045 001100 Y 046 001100 N 047 001100 Y 048 001100 0.000 048 A011100 1000000 048 A021100 0.850 048 B011100 1000000 048 B021100 0.830 048 C011100 1000000 048 C021100 0.800 048 D011100 0 048 D021100 0.000 048 E011100 0 048 E021100 0.000 048 F011100 0 048 F021100 0.000 048 G011100 0 048 G021100 0.000 048 H011100 0 048 H021100 0.000 048 I011100 0 048 I021100 0.000 048 J011100 0 048 J021100 0.000 048 K011100 3000000 048 K021100 0.760 049 001100 N 050 001100 N 051 001100 N 052 001100 N 053 A001100 N 062 A001100 N 062 B001100 0.0 062 C001100 0.0 062 D001100 0.0 062 E001100 0.0 062 F001100 0.0 062 G001100 0.0 062 H001100 0.0 062 I001100 0.0 062 J001100 0.0 062 K001100 0.0 062 L001100 0.0 PAGE 55 062 M001100 0.0 062 N001100 0.0 062 O001100 0.0 062 P001100 0.0 062 Q001100 0.0 062 R001100 0.0 063 A001100 0 063 B001100 0.0 066 A001100 Y 066 B001100 N 066 C001100 N 066 D001100 Y 066 E001100 N 066 F001100 N 066 G001100 N 067 001100 N 068 A001100 N 068 B001100 N 069 001100 N 070 A011100 Y 070 A021100 Y 070 B011100 Y 070 B021100 N 070 C011100 Y 070 C021100 N 070 D011100 Y 070 D021100 N 070 E011100 Y 070 E021100 N 070 F011100 Y 070 F021100 N 070 G011100 Y 070 G021100 N 070 H011100 Y 070 H021100 N 070 I011100 N 070 I021100 N 070 J011100 Y 070 J021100 N 070 K011100 Y 070 K021100 N 070 L011100 Y 070 L021100 Y 070 M011100 Y 070 M021100 N 070 N011100 Y 070 N021100 N 070 O011100 N 070 O021100 N 070 P011100 Y 070 P021100 N PAGE 56 070 Q011100 N 070 Q021100 N 070 R011100 N 070 R021100 N 071 A001100 266490 071 B001100 207826 071 C001100 221659 071 D001100 94 072 A001100 12 072 B001100 5020 072 C001100 317 072 D001100 0 072 E001100 0 072 F001100 2559 072 G001100 53 072 H001100 0 072 I001100 0 072 J001100 22 072 K001100 0 072 L001100 0 072 M001100 9 072 N001100 0 072 O001100 0 072 P001100 0 072 Q001100 0 072 R001100 7 072 S001100 7 072 T001100 751 072 U001100 0 072 V001100 0 072 W001100 9 072 X001100 3417 072 Y001100 0 072 Z001100 1920 072AA001100 90168 072BB001100 35085 072CC011100 0 072CC021100 132295 072DD011100 1920 072DD021100 0 072EE001100 55084 073 A011100 0.1151 073 A021100 0.0000 073 B001100 3.3013 073 C001100 0.0000 074 A001100 1 074 B001100 0 074 C001100 87728 074 D001100 0 074 E001100 0 074 F001100 207213 PAGE 57 074 G001100 0 074 H001100 0 074 I001100 0 074 J001100 0 074 K001100 862 074 L001100 55 074 M001100 2 074 N001100 295861 074 O001100 64 074 P001100 85 074 Q001100 0 074 R011100 0 074 R021100 0 074 R031100 0 074 R041100 356 074 S001100 0 074 T001100 295356 074 U011100 20721 074 U021100 0 074 V011100 14.25 074 V021100 0.00 074 W001100 0.0000 074 X001100 6 074 Y001100 0 075 A001100 0 075 B001100 300243 076 001100 0.00 SIGNATURE THEODORE W. HOWARD TITLE V.P. & TREASURER EX-99.B-77B 2 0002.txt ACCOUNTANT'S REPORT EX-99.B-77B W&R TARGET FUNDS, INC. SUB-ITEM 77B: Accountant's report on internal control INDEPENDENT AUDITORS' REPORT To the Directors of W&R Target Funds, Inc.: In planning and performing our audit of the financial statements of W&R Target Funds, Inc. (the "Company")(including the Asset Strategy, Balanced, Bond, Core Equity, Growth, High Income, International, Limited-Term Bond, Money Market, Science and Technology, and Small Cap Portfolios) for the year ended December 31, 2000 (on which we have issued our report dated February 2, 2001), we considered its internal control, including control activities for safeguarding securities, in order to determine our auditing procedures for the purpose of expressing our opinion on the financial statements and to comply with the requirements of Form N-SAR, and not to provide assurance on the Company's internal control. The management of the Company is responsible for establishing and maintaining internal control. In fulfilling this responsibility, estimates and judgments by management are required to assess the expected benefits and related costs of controls. Generally, controls that are relevant to an audit pertain to the entity's objective of preparing financial statements for external purposes that are fairly presented in conformity with generally accepted accounting principles. Those controls include the safeguarding of assets against unauthorized acquisition, use, or disposition. Because of inherent limitations in any internal control, misstatements due to error or fraud may occur and not be detected. Also, projections of any evaluation of internal control to future periods are subject to the risk that the internal control may become inadequate because of changes in conditions or that the degree of compliance with policies or procedures may deteriorate. Our consideration of the Company's internal control would not necessarily disclose all matters in internal control that might be material weaknesses under standards established by the American Institute of Certified Public Accountants. A material weakness is a condition in which the design or operation of one or more of the internal control components does not reduce to a relatively low level the risk that misstatements due to error or fraud in amounts that would be material in relation to the financial statements being audited may occur and not be detected within a timely period by employees in the normal course of performing their assigned functions. However, we noted no matters involving the Company's internal control and its operation, including controls for safeguarding securities, that we consider to be material weaknesses as defined above as of December 31, 2000. This report is intended solely for the information and use of management, the Board of Directors of W&R Target Funds, Inc., and the Securities and Exchange Commission and is not intended to be and should not be used by anyone other than these specified parties. /s/Deloitte & Touche LLP - ------------------------ Deloitte & Touche LLP February 2, 2001 EX-99.B-77D 3 0003.txt POLICIES WITH RESPECT TO SECURITY INVESTMENTS EX-99.B-77D and EX-99.B-77Q1(b) W&R TARGET FUNDS, INC. SUB-ITEM 77D(a): Policies with respect to security investments and SUB-ITEM 77Q1 Exhibits (b) Effective October 16, 2000, the goals of W&R Target Funds, Inc. Core Equity Portfolio are to provide capital growth and income. Core Equity Portfolio seeks to achieve its goals by primarily investing, during normal market conditions, in common stocks of large, high-quality U.S. and foreign companies with dominant market positions in their industries and with a record of paying regular dividends on common stock or with the potential for capital appreciation. There is no guarantee that Core Equity Portfolio will achieve its goals. EX-99.B-77G 4 0004.txt DEFAULTS AND ARREARS ON SENIOR SECURITIES EX-99.B-77G W&R TARGET FUNDS, INC. SUB-ITEM 77G(a): Defaults and arrears on senior securities 1. Reliance Group Holdings, Inc. W&R Target Funds, Inc. - Bond Portfolio $250,000 9.00% Senior Notes due 11/15/00 CUSIP 759464AG5 This is a monetary default of interest as well as maturity, with a default date of December 15, 2000. Amount of default per $1,000 face amount is $1,056 Total amount of default is $264,062 2. Big V Supermarkets Inc. W&R Target Funds, Inc. - High Income Portfolio $500,000 11.00% Senior Subordinated Notes due 2/15/04 CUSIP 089698AB0 This is not a monetary default but a bankrupt issue with a bankruptcy date of November 22, 2000. Amount of expected default per $1,000 face amount is $41 Total amount of expected default is $20,625 It is anticipated that this issue will default on the payment scheduled for 2/15/01. EX-99.B-77Q1(A) 5 0005.txt ARTICLES OF AMENDMENT EX-99.B-77Q1(a) W&R TARGET FUNDS, INC. SUB-ITEM 77Q1 Exhibits (a) ARTICLES OF AMENDMENT TO ARTICLES OF INCORPORATION OF TARGET/UNITED FUNDS, INC. Pursuant to Sections 2-105, 2-605 and 2-607 of the Maryland General Corporation Law, Target/United Funds, Inc. (the "Corporation"), a Maryland corporation, having its principal office in Baltimore, Maryland, hereby adopts the following Articles of Amendment to the Corporation's Articles of Incorporation, as previously supplemented and amended ("Articles of Incorporation"): FIRST: As amended, effective October 16, 2000, Article SECOND of the Corporation's Articles of Incorporation shall read as follows: "The name of the Corporation is W&R Target Funds, Inc., hereinafter called the 'Corporation'." SECOND: The Articles of Incorporation of the Corporation are hereby amended, effective October 16, 2000, by replacing the name Income Portfolio with Core Equity Portfolio in every occurrence. THIRD: The amendments contained herein were approved by a majority of the Board of Directors of the Corporation and are limited to changes permitted by Section 2-605(a)(4) of the Maryland General Corporation Law to be made without action by the stockholders of the Corporation. FOURTH: The Corporation is registered with the Securities and Exchange Commission as an open-end investment company under the Investment Company Act of 1940, as amended. IN WITNESS WHEREOF, the undersigned Vice President of the Corporation hereby executes these Articles of Amendment on behalf of the Corporation this 26th day of September, 2000. Target/United Funds, Inc. (Corporate Seal) /s/Kristen A. Richards ----------------------------------- Kristen A. Richards, Vice President Attest: /s/Daniel C. Schulte --------------------------- Daniel C. Schulte, Assistant Secretary The undersigned, Vice President of Target/United Funds, Inc. who executed on behalf of said Corporation the foregoing Articles of Amendment, of which this certificate is made a part, hereby acknowledges, in the name and on behalf of said Corporation, the foregoing Articles of Amendment to be the act of said Corporation and further certifies that, to the best of her knowledge, information and belief, the matters and facts set forth therein with respect to the approval thereof are true in all material respects, under the penalties of perjury. By: /s/Kristen A. Richards ----------------------------------- Kristen A. Richards, Vice President EX-99.B-77Q1(A) 6 0006.txt ARTICLES OF AMENDMENT EX-99.B-77Q1(a) W&R TARGET FUNDS, INC. SUB-ITEM 77Q1 Exhibits (a) ARTICLES OF AMENDMENT TO ARTICLES OF INCORPORATION OF W&R TARGET FUNDS, INC. W&R Target Funds, Inc., a corporation organized and existing under and by virtue of the General Corporation Law of the State of Maryland, having its principal office in the State of Maryland in Baltimore, Maryland (hereinafter referred to as the "Corporation"), DOES HEREBY CERTIFY: FIRST: That the Board of Directors of the Corporation, at a meeting held on November 15, 2000, adopted resolutions authorizing the reallocation of shares of the capital stock of the Corporation. SECOND: That there are no changes in the preferences, conversion and other rights, voting powers, restrictions, limitations as to dividends, qualifications, and terms and conditions of redemption of the Corporation's capital stock, as set forth in the Corporation's Articles of Incorporation. THIRD: Pursuant to the authority vested in the Board of Directors of the Corporation by Article FIFTH of the Articles of Incorporation of the Corporation, the Board of Directors has heretofore duly designated, in accordance with Maryland General Corporation Law, the aggregate number of shares of capital stock which the Corporation is authorized to issue at One Billion (1,000,000,000) shares of capital stock, (par value $0.001 per share), amounting in the aggregate to a par value of One Million Dollars ($1,000,000.00). Such shares have heretofore been classified by the Board of Directors among the series of the Corporation as follows: 30,000,000 shares Asset Strategy Portfolio 40,000,000 shares Balanced Portfolio 100,000,000 shares Bond Portfolio 150,000,000 shares Core Equity Portfolio 200,000,000 shares Growth Portfolio 100,000,000 shares High Income Portfolio 80,000,000 shares International Portfolio 30,000,000 shares Limited-Term Bond Portfolio 120,000,000 shares Money Market Portfolio 70,000,000 shares Science and Technology Portfolio 80,000,000 shares Small Cap Portfolio FOURTH: Pursuant to the authority vested in the Board of Directors of the Corporation by Article FIFTH of the Articles of Incorporation of the Corporation, the Board of Directors, in accordance with Maryland General Corporation Law, now duly redesignates and reclassifies the capital stock of the Corporation among the series of the Corporation as follows: 20,000,000 shares Asset Strategy Portfolio 60,000,000 shares Balanced Portfolio 60,000,000 shares Bond Portfolio 170,000,000 shares Core Equity Portfolio 240,000,000 shares Growth Portfolio 70,000,000 shares High Income Portfolio 70,000,000 shares International Portfolio 20,000,000 shares Limited-Term Bond Portfolio 160,000,000 shares Money Market Portfolio 50,000,000 shares Science and Technology Portfolio 80,000,000 shares Small Cap Portfolio The aggregate number of shares of stock of the Corporation remains at One Billion (1,000,000,000) shares of capital stock, the par value remains $0.001 per share, and the aggregate value of all authorized stock remains One Million Dollars ($1,000,000.00). FIFTH: The Corporation is registered with the Securities and Exchange Commission as an open-end investment company under the Investment Company Act of 1940, as amended. IN WITNESS WHEREOF, the undersigned Vice President of the Corporation hereby executes these Articles of Amendment on behalf of the Corporation this 15th day of November, 2000. W&R Target Funds, Inc. /s/Kristen A. Richards ----------------------------------- Kristen A. Richards, Vice President (Corporate Seal) Attest: /s/Daniel C. Schulte --------------------------------- Daniel C. Schulte, Assistant Secretary The undersigned, Vice President of W&R Target Funds, Inc. who executed on behalf of said Corporation the foregoing Articles of Amendment, of which this certificate is made a part, hereby acknowledges, in the name and on behalf of said Corporation, the foregoing Articles of Amendment to be the act of said Corporation and further certifies that, to the best of her knowledge, information and belief, the matters and facts set forth therein with respect to the approval thereof are true in all material respects, under the penalties of perjury. By: /s/Kristen A. Richards ----------------------------------- Kristen A. Richards, Vice President EX-99.B-77Q1(A) 7 0007.txt AMENDMENT TO BYLAWS EX-99.B-77Q1(a) W&R TARGET FUNDS, INC. SUB-ITEM 77Q1 Exhibits (a) AMENDMENT TO BYLAWS RESOLVED, That the Bylaws of Target/United Funds, Inc. are amended to change the Corporation's name to W&R Target Funds, Inc., effective October 16, 2000. I certify that I am Secretary of the Corporation, and as such officer, have custody of the minute books of the Corporation, and that the foregoing resolution is a true and correct resolution duly passed by the Board of Directors of the Corporation at a meeting held on August 16, 2000. /s/Kristen A. Richards ------------------------- Kristen A. Richards, Secretary Dated this 16th day of August, 2000. -----END PRIVACY-ENHANCED MESSAGE-----