0000852254-18-000046.txt : 20180813 0000852254-18-000046.hdr.sgml : 20180813 20180813080338 ACCESSION NUMBER: 0000852254-18-000046 CONFORMED SUBMISSION TYPE: 497 PUBLIC DOCUMENT COUNT: 15 FILED AS OF DATE: 20180813 DATE AS OF CHANGE: 20180813 EFFECTIVENESS DATE: 20180813 FILER: COMPANY DATA: COMPANY CONFORMED NAME: T. Rowe Price Institutional International Funds, Inc. CENTRAL INDEX KEY: 0000852254 IRS NUMBER: 000000000 STATE OF INCORPORATION: MD FISCAL YEAR END: 1231 FILING VALUES: FORM TYPE: 497 SEC ACT: 1933 Act SEC FILE NUMBER: 033-29697 FILM NUMBER: 181010299 BUSINESS ADDRESS: STREET 1: 100 EAST PRATT STREET CITY: BALTIMORE STATE: MD ZIP: 21202 BUSINESS PHONE: 410-345-2000 MAIL ADDRESS: STREET 1: 100 EAST PRATT STREET CITY: BALTIMORE STATE: MD ZIP: 21202 FORMER COMPANY: FORMER CONFORMED NAME: T ROWE PRICE INSTITUTIONAL INTERNATIONAL FUNDS INC DATE OF NAME CHANGE: 20011217 FORMER COMPANY: FORMER CONFORMED NAME: INSTITUTIONAL INTERNATIONAL FUNDS INC DATE OF NAME CHANGE: 19920703 0000852254 S000017718 T. Rowe Price Institutional International Bond Fund C000048951 T. Rowe Price Institutional International Bond Fund RPIIX 497 1 iibxbrlstickerletterfo-20181.htm Untitled Document

August 13, 2018

James E. O’Connor, Esquire
Division of Investment Management
U.S. Securities & Exchange Commission
100 F Street, N.E.
Washington, D.C. 20549

Re:  T. Rowe Price Institutional International Funds, Inc. (“Registrant”)

Dear Mr. O’Connor:

In accordance with the provisions of Rule 497 of the Securities Act of 1933, we are hereby filing the above-captioned sticker.

The information contained in these eXtensible Business Reporting Language (“XBRL”) exhibits relates to the prospectus sticker filed under Rule 497 on July 27, 2018.

Please contact me at 410-345-2446, or in my absence, Brian R. Poole at 410-345-6646, if we may be of further assistance.

Sincerely,

/s/Charina Jones
Charina Jones


EX-101.INS 2 trpiifi-20180727.xml XBRL INSTANCE FILE 0000852254 2018-05-01 2018-05-01 0000852254 trpiifi:S000017718Member 2018-05-01 2018-05-01 2018-05-01 497 2017-12-31 T. Rowe Price Institutional International Funds, Inc. 0000852254 false 2018-07-27 2018-07-27 <b>T. Rowe Price Institutional International Bond Fund</b><br/><br/><div style="border-bottom:1pt; border-bottom-color:#000000; border-bottom-style:solid; padding:pt pt 1pt pt"><div style=" font-style:normal; font-weight:bold; ">Supplement to Prospectus Dated May 1, 2018</div></div><p style=" font-style:normal; font-weight:normal; text-align:left">On July 25, 2018, the Board of Directors of the T. Rowe Price Institutional International Bond (the &#8220;<b>Fund</b>&#8221;) approved a plan of reorganization pursuant to which the Fund would be merged into the T. Rowe Price International Bond Fund, and shareholders of the Fund will receive I Class shares of the T. Rowe International Bond Fund of equal value (the &#8220;<b>Reorganization</b>&#8221;).</p>The Reorganization is subject to the approval of a majority of the Fund&#8217;s shareholders. All Fund shareholders at the close of business on July 31, 2018, the &#8220;record date,&#8221; will be eligible to vote on the proposed Reorganization. It is anticipated that proxy materials and voting instructions will be mailed to shareholders of record in mid-September, and a special shareholder meeting is expected to be held on October 23, 2018. Detailed information regarding the proposed Reorganization and the T. Rowe Price International Bond Fund and its I Class will be provided in the proxy materials. If the proposal is approved by a majority of the Fund&#8217;s shareholders, the Reorganization is expected to close on or around November 16, 2018, at which point Fund shareholders will receive I Class shares of the T. Rowe Price International Bond Fund representing the same total value as their shares of the Fund on the business day immediately preceding the closing. The Reorganization is not a taxable event, but redeeming or exchanging shares of the Fund prior to the Reorganization may be a taxable event depending on your individual tax situation.<br/><br/>Effective immediately, the Fund will no longer charge a 2.00% redemption fee on shares purchased and held for 90 days or less. Accordingly, on page 1, the 2.00% redemption fee referenced in the table entitled &#8220;Fees and Expenses of the Fund&#8221; is deleted, and on page 42, the 2.00% redemption fee referenced in the table entitled &#8220;T. Rowe Price Institutional Funds With Redemption Fees&#8221; is deleted with respect to the Institutional International Bond Fund. <b>T. Rowe Price Institutional International Bond Fund</b><br/><br/><div style="border-bottom:1pt; border-bottom-color:#000000; border-bottom-style:solid; padding:pt pt 1pt pt"><div style=" font-style:normal; font-weight:bold; ">Supplement to Prospectus Dated May 1, 2018</div></div><p style=" font-style:normal; font-weight:normal; text-align:left">On July 25, 2018, the Board of Directors of the T. Rowe Price Institutional International Bond (the &#8220;<b>Fund</b>&#8221;) approved a plan of reorganization pursuant to which the Fund would be merged into the T. Rowe Price International Bond Fund, and shareholders of the Fund will receive I Class shares of the T. Rowe International Bond Fund of equal value (the &#8220;<b>Reorganization</b>&#8221;).</p>The Reorganization is subject to the approval of a majority of the Fund&#8217;s shareholders. All Fund shareholders at the close of business on July 31, 2018, the &#8220;record date,&#8221; will be eligible to vote on the proposed Reorganization. It is anticipated that proxy materials and voting instructions will be mailed to shareholders of record in mid-September, and a special shareholder meeting is expected to be held on October 23, 2018. Detailed information regarding the proposed Reorganization and the T. Rowe Price International Bond Fund and its I Class will be provided in the proxy materials. If the proposal is approved by a majority of the Fund&#8217;s shareholders, the Reorganization is expected to close on or around November 16, 2018, at which point Fund shareholders will receive I Class shares of the T. Rowe Price International Bond Fund representing the same total value as their shares of the Fund on the business day immediately preceding the closing. The Reorganization is not a taxable event, but redeeming or exchanging shares of the Fund prior to the Reorganization may be a taxable event depending on your individual tax situation.<br/><br/>Effective immediately, the Fund will no longer charge a 2.00% redemption fee on shares purchased and held for 90 days or less. Accordingly, on page 1, the 2.00% redemption fee referenced in the table entitled &#8220;Fees and Expenses of the Fund&#8221; is deleted, and on page 42, the 2.00% redemption fee referenced in the table entitled &#8220;T. Rowe Price Institutional Funds With Redemption Fees&#8221; is deleted with respect to the Institutional International Bond Fund. EX-101.SCH 3 trpiifi-20180727.xsd XBRL SCHEMA FILE 000000 - Document - Document and Entity Information {Elements} link:presentationLink link:calculationLink link:definitionLink 000011 - Document - Risk/Return Supplement {Unlabeled} - T. 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May 01, 2018
T. Rowe Price Institutional International Bond Fund

Supplement to Prospectus Dated May 1, 2018

On July 25, 2018, the Board of Directors of the T. Rowe Price Institutional International Bond (the “Fund”) approved a plan of reorganization pursuant to which the Fund would be merged into the T. Rowe Price International Bond Fund, and shareholders of the Fund will receive I Class shares of the T. Rowe International Bond Fund of equal value (the “Reorganization”).

The Reorganization is subject to the approval of a majority of the Fund’s shareholders. All Fund shareholders at the close of business on July 31, 2018, the “record date,” will be eligible to vote on the proposed Reorganization. It is anticipated that proxy materials and voting instructions will be mailed to shareholders of record in mid-September, and a special shareholder meeting is expected to be held on October 23, 2018. Detailed information regarding the proposed Reorganization and the T. Rowe Price International Bond Fund and its I Class will be provided in the proxy materials. If the proposal is approved by a majority of the Fund’s shareholders, the Reorganization is expected to close on or around November 16, 2018, at which point Fund shareholders will receive I Class shares of the T. Rowe Price International Bond Fund representing the same total value as their shares of the Fund on the business day immediately preceding the closing. The Reorganization is not a taxable event, but redeeming or exchanging shares of the Fund prior to the Reorganization may be a taxable event depending on your individual tax situation.

Effective immediately, the Fund will no longer charge a 2.00% redemption fee on shares purchased and held for 90 days or less. Accordingly, on page 1, the 2.00% redemption fee referenced in the table entitled “Fees and Expenses of the Fund” is deleted, and on page 42, the 2.00% redemption fee referenced in the table entitled “T. Rowe Price Institutional Funds With Redemption Fees” is deleted with respect to the Institutional International Bond Fund.
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Supplement to Prospectus Dated May 1, 2018

On July 25, 2018, the Board of Directors of the T. Rowe Price Institutional International Bond (the “Fund”) approved a plan of reorganization pursuant to which the Fund would be merged into the T. Rowe Price International Bond Fund, and shareholders of the Fund will receive I Class shares of the T. Rowe International Bond Fund of equal value (the “Reorganization”).

The Reorganization is subject to the approval of a majority of the Fund’s shareholders. All Fund shareholders at the close of business on July 31, 2018, the “record date,” will be eligible to vote on the proposed Reorganization. It is anticipated that proxy materials and voting instructions will be mailed to shareholders of record in mid-September, and a special shareholder meeting is expected to be held on October 23, 2018. Detailed information regarding the proposed Reorganization and the T. Rowe Price International Bond Fund and its I Class will be provided in the proxy materials. If the proposal is approved by a majority of the Fund’s shareholders, the Reorganization is expected to close on or around November 16, 2018, at which point Fund shareholders will receive I Class shares of the T. Rowe Price International Bond Fund representing the same total value as their shares of the Fund on the business day immediately preceding the closing. The Reorganization is not a taxable event, but redeeming or exchanging shares of the Fund prior to the Reorganization may be a taxable event depending on your individual tax situation.

Effective immediately, the Fund will no longer charge a 2.00% redemption fee on shares purchased and held for 90 days or less. Accordingly, on page 1, the 2.00% redemption fee referenced in the table entitled “Fees and Expenses of the Fund” is deleted, and on page 42, the 2.00% redemption fee referenced in the table entitled “T. Rowe Price Institutional Funds With Redemption Fees” is deleted with respect to the Institutional International Bond Fund.
T. Rowe Price Institutional International Bond Fund  
Risk/Return: rr_RiskReturnAbstract  
Supplement [Text Block] trpiifi_SupplementTextBlock T. Rowe Price Institutional International Bond Fund

Supplement to Prospectus Dated May 1, 2018

On July 25, 2018, the Board of Directors of the T. Rowe Price Institutional International Bond (the “Fund”) approved a plan of reorganization pursuant to which the Fund would be merged into the T. Rowe Price International Bond Fund, and shareholders of the Fund will receive I Class shares of the T. Rowe International Bond Fund of equal value (the “Reorganization”).

The Reorganization is subject to the approval of a majority of the Fund’s shareholders. All Fund shareholders at the close of business on July 31, 2018, the “record date,” will be eligible to vote on the proposed Reorganization. It is anticipated that proxy materials and voting instructions will be mailed to shareholders of record in mid-September, and a special shareholder meeting is expected to be held on October 23, 2018. Detailed information regarding the proposed Reorganization and the T. Rowe Price International Bond Fund and its I Class will be provided in the proxy materials. If the proposal is approved by a majority of the Fund’s shareholders, the Reorganization is expected to close on or around November 16, 2018, at which point Fund shareholders will receive I Class shares of the T. Rowe Price International Bond Fund representing the same total value as their shares of the Fund on the business day immediately preceding the closing. The Reorganization is not a taxable event, but redeeming or exchanging shares of the Fund prior to the Reorganization may be a taxable event depending on your individual tax situation.

Effective immediately, the Fund will no longer charge a 2.00% redemption fee on shares purchased and held for 90 days or less. Accordingly, on page 1, the 2.00% redemption fee referenced in the table entitled “Fees and Expenses of the Fund” is deleted, and on page 42, the 2.00% redemption fee referenced in the table entitled “T. Rowe Price Institutional Funds With Redemption Fees” is deleted with respect to the Institutional International Bond Fund.
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