-----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, DCuuvEWSA7JR3l6m7bYQi4Sy/U3rkpx7wOp9lR+zmQPB/VyuNk/thM68z3QY9jcV SkbDDfh6+cgE2rB8gVDOLQ== 0000950152-07-009586.txt : 20071213 0000950152-07-009586.hdr.sgml : 20071213 20071213102504 ACCESSION NUMBER: 0000950152-07-009586 CONFORMED SUBMISSION TYPE: DEF 14A PUBLIC DOCUMENT COUNT: 9 CONFORMED PERIOD OF REPORT: 20080130 FILED AS OF DATE: 20071213 DATE AS OF CHANGE: 20071213 EFFECTIVENESS DATE: 20071213 FILER: COMPANY DATA: COMPANY CONFORMED NAME: STI CLASSIC FUNDS CENTRAL INDEX KEY: 0000883939 IRS NUMBER: 232678674 STATE OF INCORPORATION: OH FISCAL YEAR END: 0331 FILING VALUES: FORM TYPE: DEF 14A SEC ACT: 1934 Act SEC FILE NUMBER: 811-06557 FILM NUMBER: 071303460 BUSINESS ADDRESS: STREET 1: 3435 STELZER RD. CITY: COLUMBUS STATE: OH ZIP: 43219 BUSINESS PHONE: 6144708000 MAIL ADDRESS: STREET 1: 3435 STELZER RD. CITY: COLUMBUS STATE: OH ZIP: 43219 0000883939 S000004658 STI Classic Large Cap Growth Stock Fund C000012678 A Shares STCIX C000012679 C Shares STCFX C000012680 I Shares STCAX 0000883939 S000004660 STI Classic Large Cap Core Equity Fund C000012686 A Shares CFVIX C000012687 C Shares CVIBX C000012688 I Shares CRVAX 0000883939 S000004661 STI Classic International Equity Fund C000012689 A Shares SCIIX C000012690 C Shares SIEFX C000012691 I Shares STITX 0000883939 S000004662 STI Classic International Equity Index Fund C000012692 A Shares SIIIX C000012693 C Shares SIIFX C000012694 I Shares SIEIX 0000883939 S000004663 STI Classic Mid-Cap Core Equity Fund C000012695 A Shares SCAIX C000012696 C Shares SCMEX C000012697 I Shares SAGTX 0000883939 S000004664 STI Classic Mid-Cap Value Equity Fund C000012698 A Shares SAMVX C000012699 C Shares SMVFX C000012700 I Shares SMVTX 0000883939 S000004665 STI Classic Small Cap Growth Stock Fund C000012701 A Shares SCGIX C000012702 C Shares SSCFX C000012703 I Shares SSCTX 0000883939 S000004666 STI Classic Small Cap Value Equity Fund C000012704 A Shares SASVX C000012705 C Shares STCEX C000012706 I Shares SCETX 0000883939 S000004667 STI Classic Large Cap Quantitative Equity Fund C000012707 A Shares SQEAX C000012708 C Shares SQELX C000012709 I Shares SQETX 0000883939 S000004668 STI Classic Select Large Cap Growth Stock Fund C000012710 A Shares SXSAX C000012711 C Shares STTFX C000012712 I Shares STTAX 0000883939 S000004669 STI Classic Large Cap Value Equity Fund C000012713 A Shares SVIIX C000012714 C Shares SVIFX C000012715 I Shares STVTX 0000883939 S000004673 STI Classic Aggressive Growth Stock Fund C000012728 A Shares SAGAX C000012729 C Shares SAGLX C000012730 I Shares SCATX 0000883939 S000004674 STI Classic Emerging Growth Stock Fund C000012731 A Shares SCEAX C000012732 C Shares SEGLX C000012733 I Shares SEGTX 0000883939 S000004675 STI Classic U.S. Government Securities Ultra-Short Bond Fund C000012734 I Shares SIGVX 0000883939 S000004677 STI Classic Ultra-Short Bond Fund C000012736 I Shares SISSX 0000883939 S000004679 STI Classic High Grade Municipal Bond Fund C000012738 A Shares SFLTX C000012739 C Shares SCFEX C000012740 I Shares SCFTX 0000883939 S000004680 STI Classic Georgia Tax-Exempt Bond Fund C000012741 A Shares SGTEX C000012742 C Shares SCGTX C000012743 I Shares SGATX 0000883939 S000004681 STI Classic High Income Fund C000012744 A Shares SAHIX C000012745 C Shares STHIX C000012746 I Shares STHTX 0000883939 S000004692 STI Classic Investment Grade Bond Fund C000012757 A Shares STGIX C000012758 C Shares SCIGX C000012759 I Shares STIGX 0000883939 S000004693 STI Classic Investment Grade Tax-Exempt Bond Fund C000012760 A Shares SISIX C000012761 C Shares SCITX C000012762 I Shares STTBX 0000883939 S000004694 STI Classic Limited-Term Federal Mortgage Securities Fund C000012763 A Shares SLTMX C000012764 C Shares SCLFX C000012765 I Shares SLMTX 0000883939 S000004695 STI Classic Maryland Municipal Bond Fund C000012766 A Shares SMMAX C000012767 C Shares CMDBX C000012768 I Shares CMDTX 0000883939 S000004696 STI Classic North Carolina Tax-Exempt Bond Fund C000012769 A Shares SNCIX C000012770 C Shares SNCLX C000012771 I Shares CNCTX 0000883939 S000004697 STI Classic Short-Term Bond Fund C000012772 A Shares STSBX C000012773 C Shares SCBSX C000012774 I SHares SSBTX 0000883939 S000004698 STI Classic Short-Term U.S. Treasury Securities Fund C000012775 A Shares STSFX C000012776 C Shares SSUSX C000012777 I Shares SUSTX 0000883939 S000004699 STI Classic Strategic Income Fund C000012778 A Shares SAINX C000012779 C Shares STIFX C000012780 I Shares STICX 0000883939 S000004700 STI Classic U.S. Government Securities Fund C000012781 A Shares SCUSX C000012782 C Shares SGUSX C000012783 I Shares SUGTX 0000883939 S000004701 STI Classic Virginia Intermediate Municipal Bond Fund C000012784 A Shares CVIAX C000012785 C Shares SVILX C000012786 I Shares CRVTX 0000883939 S000004723 STI Total Return Bond Fund C000012868 A Shares CBPSX C000012869 C Shares SCBLX C000012870 I Shares SAMFX 0000883939 S000004724 STI Classic Intermediate Bond Fund C000012871 A Shares IBASX C000012872 C Shares IBLSX C000012873 I Shares SAMIX 0000883939 S000004725 STI Classic Limited Duration Fund C000012874 I Shares SAMLX 0000883939 S000004726 STI Classic Prime Quality Money Market Fund C000012875 A Shares SQIXX C000012876 C Shares SQFXX C000012877 I Shares SQTXX 0000883939 S000004727 STI Classic Tax-Exempt Money Market Fund C000012878 A Shares SEIXX C000012879 I Shares STTXX 0000883939 S000004728 STI Classic U.S. Government Securities Money Market Fund C000012880 A Shares SUIXX C000012881 I Shares STUXX 0000883939 S000004729 STI Classic U.S. Treasury Money Market Fund C000012882 A Shares SATXX C000012883 I Shares CUSXX 0000883939 S000004730 STI Classic Virginia Tax-Free Money Market Fund C000012884 A Shares CIAXX C000012885 I Shares CFMXX 0000883939 S000004731 STI Classic Institutional Cash Management Money Market Fund C000012886 Institutional Shares CICXX 0000883939 S000004732 STI Classic Institutional U.S. Government Securities Money Market Fund C000012887 Institutional Shares CRGXX 0000883939 S000004733 STI Classic Institutional U.S. Treasury Securities Money Market Fund C000012888 Corporate Trust Shares C000012889 Institutional Shares CIUXX 0000883939 S000004734 STI Classic Institutional Municipal Cash Reserve Money Market Fund C000012890 Institutional Shares CMRXX 0000883939 S000004735 STI Classic Life Vision Aggressive Growth Fund C000012891 A Shares SLAAX C000012892 B Shares SLABX C000012893 I Shares CVMGX C000012894 C Shares CLVLX 0000883939 S000004736 STI Classic Life Vision Conservative Fund C000012895 A Shares SVCAX C000012896 B Shares SCCBX C000012897 I Shares SCCTX C000012898 C Shares SCCLX 0000883939 S000004737 STI Classic Life Vision Growth and Income Fund C000012899 A Shares SGIAX C000012900 B Shares SGIBX C000012901 I Shares CLVGX C000012902 C Shares SGILX 0000883939 S000004738 STI Classic Life Vision Moderate Growth Fund C000012903 A Shares SVMAX C000012904 B Shares SVGBX C000012905 I Shares CLVBX C000012906 C Shares SVGLX 0000883939 S000004739 STI Classic Life Vision Target Date 2015 Fund C000012907 A Shares LVFAX C000012908 C Shares LVFCX C000012909 I Shares LVFIX 0000883939 S000004740 STI Classic Life Vision Target Date 2025 Fund C000012910 A Shares LVTAX C000012911 C Shares LVTCX C000012912 I Shares LVTIX 0000883939 S000004741 STI Classic Life Vision Target Date 2035 Fund C000012913 A Shares LVRAX C000012914 C Shares LVRCX C000012915 I Shares LVRIX 0000883939 S000004750 Seix High Yield Fund C000012926 A Shares HYPSX C000012927 C Shares HYLSX C000012928 I Shares SAMHX 0000883939 S000011297 Seix Floating Rate High Income Fund C000031119 A Shares SFRAX C000031120 C Shares SFRCX C000031121 I Shares SAMBX DEF 14A 1 l29126adef14a.htm STI CLASSIC FUNDS DEF 14A STI Classic Funds DEF 14A
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SCHEDULE 14A INFORMATION
PROXY STATEMENT PURSUANT TO SECTION 14(a) OF THE SECURITIES
EXCHANGE ACT OF 1934
Filed by the Registrant     þ
Filed by a Party other than the Registrant     o
Check the appropriate box:
o   Preliminary Proxy Statement
 
o   Confidential, for Use of Commission Only (as permitted by Rule 14a-6(e)(2))
 
þ   Definitive Proxy Statement
 
o   Definitive Additional Materials
 
o   Soliciting Material Pursuant to Rule 14a-11(c) or Rule 14a-12
STI Classic Funds
 
(Name of Registrant as Specified In Its Charter)
 
(Name of Person(s) filing Proxy Statement, if other than Registrant)
Payment of Filing Fee (Check the appropriate box):
þ   No fee required.
 
o   Fee computed on table below per Exchange Act Rules 14a-6(I)(1) and 0-11.
  (1)   Title of each class of securities to which transaction applies:
 
  (2)   Aggregate number of securities to which transaction applies:
 
  (3)   Per unit price or other underlying value of transaction computed pursuant to Exchange Act Rule 0-11 (set forth the amount on which the filing fee is calculated and state how it was determined):
 
  (4)   Proposed maximum aggregate value of transaction:
 
  (5)   Total fee paid:
o   Fee paid previously with preliminary materials.
 
o   Check box if any part of the fee is offset as provided by Exchange Act Rule 0-11(a)(2) and identify the filing for which the offsetting fee was paid previously. Identify the previous filing by registration statement number, or the Form or Schedule and the date of its filing.
  (1)   Amount Previously Paid:
 
  (2)   Form, Schedule or Registration Statement No.:
 
  (3)   Filing Party:
 
  (4)   Date Filed:


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IMPORTANT SHAREHOLDER INFORMATION
 
STI CLASSIC FUNDS
STI CLASSIC VARIABLE TRUST
 
This document contains a proxy statement and proxy card. A proxy card is, in essence, a ballot. When you vote your proxy, you tell us how to vote on your behalf on important issues relating to your Funds. If you complete and sign the proxy, we will vote it exactly as you tell us. If you simply sign the proxy without specifying a vote, your shares will be voted in accordance with the recommendations of the Board of Trustees.
 
We urge you to take the time to read the proxy statement and to provide your instructions by using any of the methods shown on your proxy card. Voting your proxy, and doing so promptly, will help enable the Funds to avoid additional expenses that could be incurred if the Funds are required to make follow-up solicitations because shareholders do not return their proxies in sufficient numbers.
 
Please take a few moments to exercise your right to vote. Thank you.


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STI CLASSIC FUNDS
STI CLASSIC VARIABLE TRUST
101 Federal Street
Boston, Massachusetts 02110
 
 
Notice of Special Meeting of Shareholders
to be held on January 30, 2008
 
Notice is hereby given that a Special Meeting of Shareholders of the STI Classic Funds and the STI Classic Variable Trust (each a “Trust” and together, the “Trusts”) will be held at the offices of Citi Fund Services Ohio, Inc., 100 Summer Street, Suite 1500, Boston, MA 02110, on January 30, 2008 at 9:30 a.m. Eastern Time (the “Special Meeting”). The Special Meeting is being called for the purpose of considering the proposal set forth below and to transact such other business as may be properly brought before the Special Meeting.
 
PROPOSAL:  To consider and vote on the election of members to the Board of Trustees of the Trusts.
 
Only shareholders of the Trusts at the close of business on November 30, 2007, are entitled to notice of, and to vote at, the Special Meeting or any adjournment thereof.
 
Shareholders are requested to execute and return promptly the accompanying proxy card which is being solicited by the Board of Trustees of the Trusts. You may execute the proxy card by one of the three methods described in the proxy card. Returning the proxy card is important to ensure a quorum at the meeting. Proxies may be revoked at any time before they are exercised by submitting a written notice of revocation or a subsequently executed proxy or by attending the meeting and voting in the person. Do not return the proxy voting card if you are voting by telephone or internet. It is important that your vote be received by the close of business on January 29, 2008.
 
-s- Julia Short
Julia Short
President
 
Dated: December 20, 2007


TABLE OF CONTENTS

IMPORTANT SHAREHOLDER INFORMATION
Notice of Special Meeting of Shareholders to be held on January 30, 2008
QUESTIONS & ANSWERS
JOINT PROXY STATEMENT
SPECIAL MEETING OF SHAREHOLDERS
Proposal: Election of Trustees
STI CLASSIC FUNDS
STI CLASSIC VARIABLE TRUST
STI CLASSIC FUNDS
STI CLASSIC VARIABLE TRUST
ADDITIONAL INFORMATION
APPENDIX A
APPENDIX B


Table of Contents

 
QUESTIONS & ANSWERS
 
FOR SPECIAL MEETING OF SHAREHOLDERS OF
THE STI CLASSIC FUNDS AND THE STI CLASSIC VARIABLE TRUST
 
Q. Why is the Board of Trustees proposing the election of the Trustees?
 
A. The Board of Trustees recommends that shareholders elect Jeffrey M. Biggar, George C. Guynn, Sidney E. Harris, Warren Y. Jobe, Connie D. McDaniel, Clarence H. Ridley and Charles D. Winslow (collectively, the “nominees”). The Board of Trustees believes it is in shareholders’ best interests to have the breadth and depth of talent represented by these nominees. If elected, the nominees will serve as the full Board of Trustees of the Trusts.
 
Q. Who gets to vote?
 
A. All shareholders of the Trusts as of November 30, 2007 are eligible and entitled to vote.
 
Q. How does the Trusts’ Board of Trustees recommend that I vote?
 
A. After careful consideration, the Board of Trustees of the Trusts unanimously recommends that you vote “FOR” the proposed nominees.
 
Q. How can I vote?
 
A. You may vote by mail, telephone or the internet. Please refer to the simple instructions on the next page for information regarding voting. If your proxy is properly returned by the close of business on January 29, 2008, your proxy will be voted in accordance with your instructions. If a proxy card is not marked to indicate voting instructions but is signed, dated and returned, it will be treated as an instruction to vote the shares “FOR” the election of all nominees.
 
Q. Who should I call with questions about this proxy?
 
A. If you have any questions regarding this proxy, please contact the STI Classic Funds directly at 1-888-STI-FUND.


Table of Contents

STI CLASSIC FUNDS
STI CLASSIC VARIABLE TRUST
101 Federal Street
Boston, Massachusetts 02110
 
 
JOINT PROXY STATEMENT
 
 
SPECIAL MEETING OF SHAREHOLDERS
January 30, 2008
 
This joint proxy statement is furnished by the Board of Trustees (the “Board”) of the STI Classic Funds and the STI Classic Variable Trust (each a “Trust” and together, the “Trusts”) in connection with the solicitation of proxies for use at the special meeting of shareholders (the “Special Meeting”) of each Trust to be held on Wednesday, January 30, 2008, at 9:30 a.m. Eastern Time, or at any adjournment thereof, at the offices of Citi Fund Services Ohio, Inc., 100 Summer Street, Suite 1500, Boston, MA 02110. It is expected that for shareholders in the STI Classic Funds, the Notice of Special Meeting and instructions for accessing the proxy statement and voting via the internet, will be mailed to shareholders on or about December 20, 2007 and for the shareholders in the STI Classic Variable Trust, the Notice of Special Meeting, the proxy statement and the proxy card will also be mailed on or about December 20, 2007.
 
Summary
 
At the Special Meeting, all shareholders of the Trusts will be asked to vote on the following proposal:
 
Proposal:  Election of all the nominees to the Board of Trustees of the Trusts
 
If you do not expect to be present at the Special Meeting and wish your shares to be voted, please vote your proxy by mail, telephone or internet allowing sufficient time for the proxy to be received on or before the close of business on January 29, 2008. If your proxy is properly returned by that date, shares represented by your proxy will be voted at the Special Meeting in accordance with your instructions. However, if no instructions are specified on the proxy with respect to a proposal, the proxy will be voted FOR the election of all the nominees and in accordance with the judgment of the persons appointed as proxies upon any other matter that may properly come before the Special Meeting. Shareholders may revoke their proxies at any time prior to the time they are voted by giving written notice to the Secretary of the Trusts, by delivering a subsequently dated proxy, or by attending and voting at the Special Meeting.
 
The close of business on November 30, 2007 has been fixed as the record date (the “Record Date”) for the determination of shareholders entitled to notice of, and to vote at, the Special Meeting and any adjournment thereof. Each full share will be entitled to one vote at the Special Meeting and each fraction of a share will be entitled to the fraction of a vote equal to the proportion of a full share represented by the fractional share. Please see Appendix A for the outstanding shares of the Trusts as of the Record Date.
 
Expenses
 
The expenses of the Special Meeting will be prorated to each series of the Trusts based on the relative net assets of the Trusts. The Special Meeting is estimated to cost approximately $335,000 and includes such expenses as the cost of preparing and mailing the Notice of Special Meeting, providing the internet location and related personnel support for viewing the proxy statement and providing access to the internet voting site for the Special Meeting. The solicitation of proxies will be largely by internet, but may include telephonic, mail or oral communication by officers and service providers of the Trusts.


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Upon request, each Trust will furnish to its shareholders, without charge, a copy of its Annual Report (for STI Classic Funds, fiscal year ended March 31, 2007, and for STI Classic Variable Trust, fiscal year ended December 31, 2006) and its Semi-Annual Report (for the STI Classic Funds, for the period ended September 30, 2007 and for the STI Classic Variable Trust for the period ended June 30, 2007). Shareholders may obtain the Annual and Semi-Annual Reports by writing to the Trusts at 3435 Stelzer Road, Columbus, Ohio 43219, by calling 1-888-STI-FUND, on the Trusts’ website at www.sticlassicfunds.com, or on the Securities and Exchange Commission’s website at www.sec.gov.
 
Proposal: Election of Trustees
 
Summary
 
At the Special Meeting, it is proposed that seven Trustees be elected to hold office until their successors are duly elected and qualified. The persons named in the accompanying proxy intend, in the absence of contrary instructions, to vote all proxies on behalf of the shareholders for the election of Jeffrey M. Biggar, George C. Guynn, Sidney E. Harris, Warren Y. Jobe, Connie D. McDaniel, Clarence H. Ridley and Charles D. Winslow (collectively, the “Nominees”). For the reasons discussed below, the Board recommends that shareholders vote “FOR” the election of all Nominees.
 
The Board currently consists of seven Trustees, five of whom have been elected by shareholder vote and two of whom have been appointed by the Board. One Trustee, F. Wendell Gooch, will retire from the Board on December 31, 2007. At a meeting held on November 13, 2007, the Board approved the nomination of Ms. McDaniel, Dr. Harris and Messrs. Biggar, Jobe, Ridley and Winslow, each of whom is a current member of the Board. If elected by shareholders at the Special Meeting, they will continue to serve as members of the Board. At the meeting, the Board also approved the nomination of Mr. Guynn as a Trustee candidate to fill the vacancy created by the retirement of Mr. Gooch. If elected by shareholders at the Special Meeting, Mr. Guynn will begin serving as a Trustee immediately after the Special Meeting.
 
Section 16(a) of the 1940 Act requires the trustees of an investment company to be elected by shareholder vote. Nonetheless, the 1940 Act permits a board to fill vacancies on the board, without seeking shareholder approval, if immediately after filling vacancies at least two-thirds of the members have been elected by shareholders. However, if at any time less than a majority of members have been elected by shareholders, a shareholder meeting to elect members must be held within 60 days.
 
If Mr. Guynn were appointed by the Board to fill the vacancy created by the retirement of Mr. Gooch, the Board would have less than two-thirds of its members elected by shareholder vote. In light of the legal requirements under the 1940 Act, the Board has determined that it would be in the best interests of the shareholders to call a shareholder meeting at this time and recommend the election of each Nominee.
 
Each of the Nominees has consented to being named in this proxy statement and serving as a Trustee if elected. The Trusts know of no reason why any Nominee would be unable or unwilling to serve if elected. Because the Trusts do not hold regular annual shareholder meetings, each Nominee, if elected, will hold office until the earlier of his resignation or his successor is duly appointed or elected and qualified.


2


Table of Contents

Information Regarding Nominees
 
The following information is provided for each Nominee.
 
                         
                Number of
     
                Portfolios in
     
    Position
  Term of
      the STI Fund
     
    Held
  Office and
      Complex
     
Name, Business Address, State
  with the
  Length of
  Principal Occupation(s)
  Overseen by
    Other Directorships
of Residence, Date of Birth
 
Trusts
 
Time Served
 
During the Past 5 Years
 
Trustees
   
Held by Trustee
 
Nominee for Interested Trustee*:
               
Clarence H. Ridley
3435 Stelzer Road
Columbus, OH 43219
(Georgia)
DOB 06/42
  Current
Trustee
  Indefinite; since
November 2001
  Chairman, Haverty
Furniture Companies
    54     Crawford & Co.; Haverty
Furniture Companies
 
                         
                Number of
     
                Portfolios in
     
    Position
  Term of
      the STI Fund
     
    Held
  Office and
      Complex
     
Name, Business Address, State
  with the
  Length of
  Principal Occupation(s)
  Overseen by
    Other Directorships
of Residence, Date of Birth
 
Trusts
 
Time Served
 
During the Past 5 Years
 
Trustees
   
Held by Trustee
 
Nominees for Independent Trustees**:
               
Jeffrey M. Biggar
3435 Stelzer Road
Columbus, OH 43219
(Ohio)
DOB 02/50
  Current
Trustee
  Indefinite;
since
January 2007
  Retired. Chief Executive Officer and Senior Managing Director, Sterling (National City Corp.) (2002-2006)     54     None
George C. Guynn
3435 Stelzer Road
Columbus, OH 43219
(Georgia)
DOB 12/42
  Nominee
for Trustee
  N/A   Retired. President (1996-October 2006) and Chief Executive Officer (1995-October 2006) of the Federal Reserve Bank of Atlanta     54     Genuine Parts Company; Oxford Industries
Sidney E. Harris
3435 Stelzer Road
Columbus, OH 43219
(Georgia)
DOB 07/49
  Current
Trustee
  Indefinite;
since
November 2004
  Professor (since 1997), Dean (1997-2004), J. Mack Robinson College of Business, Georgia State University     54     ServiceMaster Company;
Total System Services, Inc.
Warren Y. Jobe
3435 Stelzer Road
Columbus, OH 43219
(Georgia)
DOB 11/40
  Current
Trustee
  Indefinite;
since
November 2004
  Retired. Executive Vice President, Georgia Power Company and Senior Vice President, Southern Company (1998-2001)     54     WellPoint, Inc; UniSource Energy Corp.; HomeBanc Corp.
Connie D. McDaniel
3435 Stelzer Road
Columbus, OH 43219
(Georgia)
DOB 04/58
  Current
Trustee
  Indefinite;
since
May 2005
  Vice President Global Finance Transformation (since 2007), Vice President and Controller (1999-2007), The Coca-Cola Company     54     None
Charles D. Winslow
3435 Stelzer Road
Columbus, OH 43219
(Florida)
DOB 07/35
  Current
Trustee
  Indefinite; since
November 2004
  Retired.
Formerly Partner, Accenture (consulting)
    54     None
 
 
The STI Fund Complex includes the STI Classic Funds and the STI Classic Variable Trust.
 
* Mr. Ridley may be deemed an “interested person” of the Trusts as that term is defined in the 1940 Act because of a material business relationship with the parent of the Adviser.
 
** Trustees who are not “interested persons” of the Trusts as defined in the 1940 Act.


3


Table of Contents

 
Compensation of Trustees and Officers
 
The officers of the Trusts do not receive any direct compensation from the Trusts. Each Trustee who is not an officer, employee or director of the Trusts’ investment adviser or its affiliates receives an aggregate annual fee plus a fee per meeting attended (plus reimbursement for reasonable out-of-pocket expenses incurred in connection with attendance at Board and committee meetings) from the relevant Trust. Payment of such fees and expenses is allocated between the Trusts. The aggregate compensation payable by the Trusts to each of the Trustees serving during their respective fiscal years is set forth in the compensation tables below.
 
STI CLASSIC FUNDS
(fiscal year end March 31, 2007)
 
                                 
          Pension or
             
          Retirement
          Total Compensation
 
    Aggregate
    Benefits Accrued
    Estimated Annual
    from the
 
    Compensation from
    as Part of Fund
    Benefits upon
    Trust and Fund
 
Name of Trustee
  the Trust ($)(1)     Expenses     Retirement     Complex ($)  
 
Interested Trustees
                               
Richard W. Courts, II(2)
    50,000       N/A       N/A       50,000  
Clarence H. Ridley
    77,000       N/A       N/A       77,000  
Independent Trustees
                               
Jeffrey M. Biggar(2)
    19,000       N/A       N/A       19,000  
Thomas Gallagher(2)
    90,500       N/A       N/A       90,500  
F. Wendell Gooch
    102,000       N/A       N/A       102,000  
Sidney E. Harris
    96,250       N/A       N/A       96,250  
Warren Y. Jobe
    91,000       N/A       N/A       91,000  
Connie McDaniel
    91,000       N/A       N/A       91,000  
James O. Robbins(2)
    92,000       N/A       N/A       92,000  
Charles D. Winslow
    91,000       N/A       N/A       91,000  
 
 
(1) Amounts include payments deferred by Trustees for the fiscal year ended March 31, 2007. The total amount of deferred compensation (including interest) accrued for the Trustees is as follows: Biggar ($18,755), Gooch ($23,603), Harris ($7,930) and Robbins ($18,713).
 
(2) Mr. Biggar became a Trustee effective January 1, 2007. Messrs. Courts and Gallagher resigned as Trustees effective December 31, 2006. Mr. Robbins ceased being a Trustee on October 10, 2007. Mr. Gooch resigned as Trustee effective December 31, 2007.
 
STI CLASSIC VARIABLE TRUST
(fiscal year end December 31, 2006)
 
                                 
          Pension or
             
          Retirement
          Total Compensation
 
    Aggregate
    Benefits Accrued
    Estimated Annual
    from the
 
    Compensation from
    as Part of Fund
    Benefits upon
    Trust and Fund
 
Name of Trustee
  the Trust ($)     Expenses     Retirement     Complex ($)  
 
Interested Trustees
                               
Richard W. Courts, II(1)
    314       N/A       N/A       74,000  
Clarence H. Ridley
    279       N/A       N/A       55,000  
Independent Trustees
                               
Jeffrey M. Biggar
    0       N/A       N/A       0  
Thomas Gallagher(1)
    477       N/A       N/A       113,000  
F. Wendell Gooch(1)
    419       N/A       N/A       99,000  
Sidney E. Harris
    361       N/A       N/A       85,500  
Warren Y. Jobe
    370       N/A       N/A       87,500  
Connie McDaniel
    370       N/A       N/A       87,500  
James O. Robbins(1)
    376       N/A       N/A       89,000  
Charles D. Winslow
    376       N/A       N/A       87,500  


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(1) Mr. Biggar became a Trustee effective January 1, 2007. Messrs. Courts and Gallagher resigned as Trustees effective December 31, 2006. Mr. Robbins ceased being a Trustee on October 10, 2007. Mr. Gooch resigned as Trustee effective December 31, 2007.
 
Deferred Compensation Plan.  The Trustees adopted a Deferred Compensation Plan designed to comply with section 409A of the Internal Revenue Code. Pursuant to the Deferred Compensation Plan, each Trustee may elect to defer receipt of between 30% to 100% of his or her aggregate annual compensation from the Trusts, and such amount is placed into a deferral account. Deferred amounts accumulate at an earnings rate determined by the return of one or more Funds as designated by the Trustees. Amounts deferred and accumulated earning on such amounts are unfunded and are general unsecured liabilities of the each respective Trust until paid to the Trustees. Messrs. Biggar, Gooch and Harris are the only Trustees who currently are deferring compensation under the Deferred Compensation Plan.
 
Ownership of Fund Securities
 
The tables below show the dollar range of equity securities beneficially owned by each Nominee as of the most recent fiscal year end for each Trust, March 31, 2007 and December 31, 2006, respectively.
 
STI CLASSIC FUNDS
 
         
        Aggregate Dollar Range
        of Shares in all
        Investment Companies
        Overseen by Trustee in
        Family of Investment
Trustee
 
Dollar Range of Fund Shares
 
Companies
 
Interested Trustee
       
Clarence H. Ridley
  $50,001-$100,000 (Small Cap Value Equity Fund)
Over $100,000 (International Equity Fund)
$1-$10,000 (Prime Quality Money Market)
Over $100,000 (Tax-Exempt Money Market)
  Over $100,000
Independent Trustees
       
Jeffrey M. Biggar
  None   None
Sidney E. Harris
  $50,001-$100,000 (Prime Quality Money Market)
$10,001-$50,000 (International Equity Fund)
  $50,001-$100,000
Warren Jobe
  Over $100,000 (Prime Quality Money Market Fund)
$50,001-$100,000 (Small Cap Growth Stock Fund)
  Over $100,000
Connie D. McDaniel
  $50,001-$100,000 (Prime Quality Money Market Fund)
$10,001-$50,000 (Large Cap Core Equity Fund)
$10,001-$50,000 (Mid Cap Core Equity Fund)
$1-$10,000 (Small Cap Growth Stock Fund)
  Over $100,000
Charles D. Winslow
  $1-$10,000 (Prime Quality Money Market Fund)
$1-$10,000 (Aggressive Growth Stock Fund)
$50,001-$100,000 (Large Cap Growth Stock Fund)
$1-$10,000 (Large Cap Value Equity Fund)
$1-$10,000 (Small Cap Growth Stock Fund)
  Over $100,000


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STI CLASSIC VARIABLE TRUST
 
         
        Aggregate Dollar Range of
        Equity Securities in all Funds
    Dollar Range of
  Overseen or to be Overseen by
    Equity Securities
  Trustee or Nominee in Family of
Name of Nominee
 
in the Fund
  Investment Companies
 
Interested Trustee:
       
Clarence H. Ridley
  None   Over $100,000
Independent Trustees:
       
Jeffrey M. Biggar
  None   None
Sidney E. Harris
  None   $50,001-$100,000
Warren Y. Jobe
  None   Over $100,000
Connie D. McDaniel
  None   Over $100,000
Charles D. Winslow
  None   $50,001-$100,000
 
As of June 30, 2007, the Trustees and Officers of the Trusts as a group owned less than 1% of the outstanding shares of each class of the STI Classic Funds and as of December 30, 2006 the Trustees and Officers of the Trusts owned less than 1% of the outstanding shares of each of the STI Classic Variable Trust.
 
Meetings and Committees of the Board of Trustees
 
The Board held four regular meetings during STI Classic Funds’ most recent fiscal year ended March 31, 2007, and four regular meetings during STI Classic Variable Trust’s most recent fiscal year ended December 31, 2006. In addition, the Board held two special meetings during STI Classic Funds’ most recent fiscal year and two special meetings during STI Classic Variable Trust’s most recent fiscal year.
 
The Board has an Audit Committee, which operates pursuant to a written charter approved by the Board and is composed exclusively of Independent Trustees. On behalf of each Trust, the Audit Committee makes recommendations to the full Board with respect to the engagement of independent auditors. The Audit Committee reviews, with the independent auditors, the results of the audit engagement and matters having a material effect on the Trusts’ financial operations. Messrs. Biggar, Gooch, Harris and Winslow and Ms. McDaniel currently serve as members of the Audit Committee. Mr. Gooch is Chairman of the Audit Committee. The Audit Committee meets periodically, as necessary, and met three times in the most recently completed fiscal year for the STI Classic Funds and twice in the most recent completed fiscal year for the STI Classic Variable Trust.
 
The Board also has a Governance and Nominating Committee, which operates pursuant to a written charter approved by the Board and is composed exclusively of Independent Trustees. The Governance and Nominating Committee’s principal responsibility is to consider, recommend, and nominate trustee candidates to the Board. The Governance and Nominating Committee’s charter does not have specific procedures in place to consider nominees recommended by shareholders, but the Governance and Nominating Committee would consider such nominees if submitted in accordance with Rule 14a-8 of the Securities Exchange Act of 1934 in conjunction with a shareholder meeting to consider the election of Trustees. The members of the Governance and Nominating Committee currently are Messrs. Gooch, Harris and Jobe. Mr. Jobe is Chairman of the Governance and Nominating Committee. The Governance and Nominating Committee met twice during STI Classic Funds’ most recent fiscal year and once during STI Classic Variable Trust’s most recent fiscal year.
 
Communications with the Board
 
Shareholders wishing to submit written communications to the Board should send their communications c/o Citi Fund Services Ohio, Inc., 3435 Stelzer Road, Columbus, Ohio 43219. Any such communications received will be reviewed by the Board at its next regularly scheduled meeting.
 
Board Approval of the Election of Trustees
 
At the meeting of the Board held on November 13, 2007, the Board voted to approve the Special Meeting to elect each of the Nominees as Trustee of the Trusts. In voting to approve the Special Meeting to elect the Nominees,


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the Board considered the Nominees’ experience and qualifications and determined that each Nominee is qualified to serve or continue to serve as a Trustee.
 
Shareholder Approval of the Election of Trustees
 
At the Special Meeting, it is proposed that seven Trustees be elected to hold office until their successors are duly elected and qualified. The election of Trustees requires the affirmative vote of a plurality of all votes cast at the Special Meeting, provided that a majority of the shares entitled to vote are present in person or by proxy at the Special Meeting. The persons named in the accompanying proxy intend, in the absence of contrary instructions, to vote all proxies on behalf of the shareholders for the election of the Nominees. If you return your proxy but give no voting instructions, your shares will be voted FOR all Nominees named herein.
 
THE BOARD OF TRUSTEES RECOMMENDS THAT YOU
VOTE FOR EACH OF THE NOMINEES


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ADDITIONAL INFORMATION
 
Officers of the Trusts
 
Information about the Trusts’ current officers is set forth below.
 
             
        Term of Office
   
Name, Address
  Position(s) Held
  and Length of
   
and Date of Birth
 
with Trust
 
Time Served
 
Principal Occupation(s) During the Past 5 Years
 
Officers:
           
Julia R. Short
50 Hurt Plaza Suite 1400
Atlanta, GA 30303 DOB 11/72
  President and Chief Executive Officer   One year; since June 2007   Managing Director, Product Manager, Trusco Capital Management, Inc. (since 2004); Relationship Manager, SEI Investments (financial services) (1994-2004)
Deborah A. Lamb
50 Hurt Plaza Suite 1400
Atlanta, GA 30303 DOB 10/52
  Executive Vice President; Assistant Secretary; Chief Compliance Officer   One year; since September 2004; since November 2003; since August 2004 (respectively)   Chief Compliance Officer, Managing Director, Trusco Capital Management, Inc. (since 2003); President, Investment Industry Consultants, LLC (2000-2003); Director of Compliance, INVESCO, Inc. (1995-2000)
Martin R. Dean
3435 Stelzer Road Columbus, OH 43219
DOB 11/63
  Treasurer; Chief Financial Officer and Chief Accounting Officer   One year; since March 2007   Vice President, Fund Administration, Citi Fund Services Ohio, Inc.
Cynthia J. Surprise
3435 Stelzer Road Columbus, OH 43219
DOB 07/46
  Secretary and Chief Legal Officer   One year; since February 2005   Senior Counsel, Legal Services, Citi Fund Services Ohio, Inc. (since 2004); Director and Counsel, Investors Bank & Trust Company (1999-2004)
Jennifer A. English
3435 Stelzer Road Columbus, OH 43219
DOB 03/72
  Assistant Secretary   One year; since November 2005   Counsel, Legal Services, Citi Fund Services Ohio, Inc. (since 2005); Assistant Counsel, PFPC Inc. (2002-2005)
Trent Statczar
3435 Stelzer Road Columbus, OH 43219
DOB 08/71
  Assistant Treasurer   One Year; since November 2007   Vice President, Citi Fund Services Ohio, Inc. (since 1993)
 
Investment Adviser
 
Trusco Capital Management, Inc., 50 Hurt Plaza, Suite 1400, Atlanta, Georgia 30303, serves as the Trusts’ investment adviser and is an indirect wholly-owned subsidiary of SunTrust Banks, Inc., 303 Peachtree Street, NE, Atlanta, Georgia 30308.
 
Administrator
 
Citi Fund Services Ohio, Inc. (the “Administrator”), an Ohio corporation, has its principal business offices at 3435 Stelzer Road, Columbus, Ohio 43219. The Administrator and its affiliates provide administration services to other investment companies.
 
Distributor and Principal Underwriter
 
Foreside Distribution Services, L.P. (the “Distributor”), located at 100 Summer Street, Suite 1500, Boston, Massachusetts 02110, serves as the Trusts’ distributor. The Distributor is a wholly-owned indirect subsidiary of Foreside Financial Group, LLC.


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5% Shareholders
 
As of the Record Date, the following persons listed on Appendix B were the only persons who were record owners or, to the knowledge of the Trusts, were beneficial owners of 5% or more of the outstanding shares of the Fund:
 
Independent Accountants of the Trust
 
PricewaterhouseCoopers LLP (“PwC”) serves as independent accountants for the Trusts. PwC has informed the Trusts that it has no material direct or indirect financial interest in the Trusts. Representatives of PwC are not expected to be present at the Special Meeting.
 
Audit Fees.  Audit fees include amounts related to the audit of the Trusts’ annual financial statements and services normally provided by PwC in connection with the Trusts’ statutory and regulatory filings. During the fiscal years ended March 31, 2006 and March 31, 2007, STI Classic Funds was billed $775,780 and $729,216, respectively, in audit fees. During the fiscal years ended December 31, 2006 and December 31, 2005 the STI Classic Variable Trust was billed $106,300 and $100,200, respectively, in audit fees.
 
Audit-Related Fees.  Below are the aggregate fees billed in the Trusts’ last two fiscal years for assurance and related services by PwC that are reasonably related to the performance of the audit of the Trust’s financial statements and are not reported under “Audit Fees” above.
 
STI Classic Funds
 
                         
            All Other Fees and
    All Fees and Services to
  All Fees and Services to
  Services to Service
    the Trust that were
  Service Affiliates that
  Affiliates that did not
    Pre-Approved   were Pre-Approved   Require Pre-Approval
 
Fiscal Year Ended 2007
  $ 836,886 (1)   $ 157,500 (2)   $ 3,173,698 (3)
Fiscal Year Ended 2006
  $ 884,950 (1)   $ 95,000 (2)   $ 2,896,422 (3)
 
 
(1) Services related to security count examinations under Rule 17f-2 of the 1940 Act for 2007 and 2006 fiscal years.
 
(2) Services related to the audit of the controls around custody operations at SunTrust Bank (SAS No. 70).
 
(3) Non-audit services relate principally to certain technical accounting advice on financial products of the SunTrust Bank; review of certain registration statements and regulatory filings; issuance of comfort letters; agreed-upon procedures engagements; and, tax compliance service to other entities controlled by SunTrust Banks, Inc.
 
STI Classic Variable Trust
 
                         
            All Other Fees and
    All Fees and Services to
  All Fees and Services to
  Services to Service
    the Trust that were
  Service Affiliates that
  Affiliates that did not
    Pre-Approved   were Pre-Approved   Require Pre-Approval
 
Fiscal Year Ended 2006
  $ 118,000 (1)   $ 157,500 (2)   $ 4,281,759 (3)
Fiscal Year Ended 2005
  $ 111,300 (1)   $ 95,000 (2)   $ 3,684,363 (3)
 
 
(1) Services related to security count examinations under Rule 17f-2 of the 1940 Act for 2006 and 2005 fiscal years.
 
(2) Services related to the audit of the controls around custody operations at SunTrust Bank (SAS No. 70).
 
(3) Non-audit services relate principally to certain technical accounting advice on financial products of the SunTrust Bank; review of certain registration statements and regulatory filings; issuance of comfort letters; agreed-upon procedures engagements; and, tax compliance service to other entities controlled by SunTrust Banks, Inc.
 
Tax Fees.  PwC did not bill the Trusts for any services related to tax compliance, tax advice, or tax planning during either Trust’s two most recently completed fiscal years.
 
All Other Fees.  PwC did not bill the Trusts for other products and services, other than the services reported above, for either Trust’s two most recently completed fiscal years.


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Aggregate Non-Audit Fees.  The aggregate non-audit fees billed by PwC for the Trusts’ last two fiscal years were $3,100,592 and $3,438,868 and $3,790,463 and $4,450,959, respectively, for services rendered to STI Classic Funds and STI Classic Variable Trust and related entities, respectively.
 
Audit Committee Pre-Approval Policies and Procedures.  The Trusts’ Audit Committee has adopted pre-approval policies and procedures to provide a framework for the Audit Committee’s consideration of audit and non-audit services by the Trusts’ independent accountants. The policies and procedures require that any audit and non-audit services provided to the Trust, and any non-audit services provided to certain of the Trusts’ service providers that relate directly to the operations and financial reporting of each Trust, are subject to approval by the Audit Committee before such services are provided. The policies and procedures also provide for Audit Committee ratification of inadvertent non-audit services subject to certain conditions. In addition, the Audit Committee has delegated to the Chairman of the Audit Committee the authority to approve certain non-audit services to the extent such services are not otherwise pre-approved by the entire Audit Committee.
 
Board Consideration of Non-Audit Services.  The Trusts’ Audit Committee has reviewed and considered whether the provision of non-audit services that were rendered to the Trusts’ investment adviser, and any entity controlling, controlled by, or under common control with the investment adviser that provides ongoing services to each Trust, that were not pre-approved pursuant to paragraph (c)(7) (ii) of Rule 2-01 of Regulation S-X is compatible with maintaining PwC’s independence.
 
Submission of Shareholder Proposals
 
The Trusts are each organized as a business trust under the laws of the Commonwealth of Massachusetts. As such, neither Trust is required to, and does not, have annual meetings. Nonetheless, the Board may call a special meeting of shareholders for action by shareholder vote as may be required by the 1940 Act or as required or permitted by the Declaration of Trust and By-Laws of each Trust. Shareholders who wish to present a proposal for action at a future meeting should submit a written proposal to each Trust for inclusion in a future proxy statement. The Board will give consideration to shareholder suggestions as to nominees for the Board. Shareholders retain the right to request that a meeting of the shareholders be held for the purpose of considering matters requiring shareholder approval.
 
Voting and Other Matters
 
Abstentions and “broker non-votes” will not be counted for or against the proposal but will be counted for purposes of determining whether a quorum is present. The Trusts believe that brokers who hold shares as record owners for beneficial owners have the authority under the rules of the various stock exchanges to vote those shares with respect to the proposals when they have not received instructions from beneficial owners.
 
No business other than the matters described above is expected to come before the Special Meeting, but should any matter incident to the conduct of the Special Meeting or any question as to an adjournment of the Special Meeting arise, the persons named in the enclosed proxy will vote thereon according to their best judgment in the interest of the Trusts.
 
SHAREHOLDERS WHO DO NOT EXPECT TO BE PRESENT AT THE SPECIAL MEETING AND WHO WISH TO HAVE THEIR SHARES VOTED ARE REQUESTED TO VOTE BY MAIL, TELEPHONE OR INTERNET AS EXPLAINED IN THE INSTRUCTIONS INCLUDED ON YOUR PROXY CARD.
 
By Order of the Trustees,
 
-s- Julia Short
Julia Short
President
 
Dated: December 20, 2007


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APPENDIX A
 
         
    Outstanding
 
Fund and Class Name
  Shares  
 
AGGRESSIVE GROWTH STOCK FUND — A
    69,341.179  
AGGRESSIVE GROWTH STOCK FUND — C
    234,455.064  
AGGRESSIVE GROWTH STOCK FUND — I
    24,785,273.579  
CLASSIC INST MUNI CASH RESERVE MM — IS
    66,755,641.900  
CLASSIC INST US TREAS SEC MNY MRKT FD-IS
    1,501,565,189.660  
CLASSIC INSTL CASH MGMT MNY MRKT-IS
    4,358,180,088.730  
CLASSIC INSTL US GOVT SEC MNY MRKT FD-IS
    1,401,982,420.680  
CLASSIC INSTL US TREAS SEC MNY MKT FD-CT
    1,398,579,434.960  
EMERGING GROWTH STOCK FUND — A
    58,861.073  
EMERGING GROWTH STOCK FUND — C
    8,846.474  
EMERGING GROWTH STOCK FUND — I
    8,935,306.068  
GEORGIA TAX-EXEMPT BOND FUND — A
    512,669.409  
GEORGIA TAX-EXEMPT BOND FUND — C
    543,536.879  
GEORGIA TAX-EXEMPT BOND FUND — I
    15,491,934.499  
HIGH GRADE MUNICIPAL BOND FUND — A
    225,607.438  
HIGH GRADE MUNICIPAL BOND FUND — C
    500,457.742  
HIGH GRADE MUNICIPAL BOND FUND — I
    15,292,653.670  
HIGH INCOME FUND — A
    140,964.026  
HIGH INCOME FUND — C
    3,375,786.892  
HIGH INCOME FUND — I
    5,369,439.606  
INTERMEDIATE BOND FUND — A
    97,953.239  
INTERMEDIATE BOND FUND — I
    55,463,371.852  
INTERNATIONAL EQUITY FUND — A
    933,594.197  
INTERNATIONAL EQUITY FUND — C
    482,787.437  
INTERNATIONAL EQUITY FUND — I
    66,390,911.556  
INTERNATIONAL EQUITY INDEX FUND — A
    357,267.979  
INTERNATIONAL EQUITY INDEX FUND — C
    379,606.384  
INTERNATIONAL EQUITY INDEX FUND — I
    53,782,471.193  
INVESTMENT GRADE BOND FUND — A
    1,478,249.416  
INVESTMENT GRADE BOND FUND — C
    778,048.814  
INVESTMENT GRADE BOND FUND — I
    34,052,075.952  
INVESTMENT GRADE TAX-EXEMPT BD FD — A
    943,639.822  
INVESTMENT GRADE TAX-EXEMPT BD FD — C
    546,688.123  
INVESTMENT GRADE TAX-EXEMPT BD FD — I
    44,280,517.847  
LARGE CAP CORE EQUITY FUND — A
    2,457,163.387  
LARGE CAP CORE EQUITY FUND — C
    3,378,571.325  
LARGE CAP CORE EQUITY FUND — I
    81,168,698.113  
LARGE CAP GROWTH STOCK FUND — A
    5,771,073.993  
LARGE CAP GROWTH STOCK FUND — C
    2,742,025.238  
LARGE CAP GROWTH STOCK FUND — I
    46,319,217.213  
LARGE CAP QUANTITATIVE EQUITY FUND — A
    75,932.071  
LARGE CAP QUANTITATIVE EQUITY FUND — C
    87,651.254  
LARGE CAP QUANTITATIVE EQUITY FUND — I
    18,295,337.059  


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    Outstanding
 
Fund and Class Name
  Shares  
 
LARGE CAP VALUE EQUITY FUND — A
    3,802,727.386  
LARGE CAP VALUE EQUITY FUND — C
    2,328,389.157  
LARGE CAP VALUE EQUITY FUND — I
    66,111,573.608  
LIFE VISION AGGRESSIVE GROWTH FUND — A
    264,129.819  
LIFE VISION AGGRESSIVE GROWTH FUND — B
    390,604.455  
LIFE VISION AGGRESSIVE GROWTH FUND — C
    140,718.150  
LIFE VISION AGGRESSIVE GROWTH FUND — I
    2,532,401.659  
LIFE VISION CONSERVATIVE FUND — A
    49,399.873  
LIFE VISION CONSERVATIVE FUND — B
    406,138.413  
LIFE VISION CONSERVATIVE FUND — C
    67,273.239  
LIFE VISION CONSERVATIVE FUND — I
    406,859.321  
LIFE VISION GROWTH AND INCOME — C
    461,487.382  
LIFE VISION GROWTH AND INCOME FUND — A
    423,341.074  
LIFE VISION GROWTH AND INCOME FUND — B
    1,226,303.563  
LIFE VISION GROWTH AND INCOME FUND — I
    6,084,061.686  
LIFE VISION MODERATE GROWTH FUND — A
    912,728.517  
LIFE VISION MODERATE GROWTH FUND — B
    1,100,164.600  
LIFE VISION MODERATE GROWTH FUND — C
    2,029,697.730  
LIFE VISION MODERATE GROWTH FUND — I
    15,283,073.335  
LIFE VISION TARGET DATE 2015 — A
    1,474.913  
LIFE VISION TARGET DATE 2015 — C
    10.000  
LIFE VISION TARGET DATE 2015 — I
    234,681.956  
LIFE VISION TARGET DATE 2025 — A
    4,242.689  
LIFE VISION TARGET DATE 2025 — C
    10.000  
LIFE VISION TARGET DATE 2025 — I
    462,596.501  
LIFE VISION TARGET DATE 2035 — A
    3,209.706  
LIFE VISION TARGET DATE 2035 — C
    10.000  
LIFE VISION TARGET DATE 2035 — I
    177,322.306  
LIMITED DURATION FUND — I
    4,871,369.573  
LIMITED TERM FEDERAL MORTGAGE SEC — A
    307,556.162  
LIMITED TERM FEDERAL MORTGAGE SEC — C
    1,217,562.215  
LIMITED TERM FEDERAL MORTGAGE SEC — I
    11,037,879.065  
MARYLAND MUNICIPAL BOND FUND — A
    4,467.251  
MARYLAND MUNICIPAL BOND FUND — C
    603,065.931  
MARYLAND MUNICIPAL BOND FUND — I
    3,517,423.526  
MID-CAP CORE EQUITY FUND — A
    797,254.647  
MID-CAP CORE EQUITY FUND — C
    768,275.321  
MID-CAP CORE EQUITY FUND — I
    17,468,078.257  
MID-CAP VALUE EQUITY FUND — A
    395,249.336  
MID-CAP VALUE EQUITY FUND — C
    398,551.167  
MID-CAP VALUE EQUITY FUND — I
    21,980,371.355  
NORTH CAROLINA TAX EXEMPT BOND FD — A
    68,395.822  
NORTH CAROLINA TAX-EXEMPT BOND FUND — I
    4,163,879.119  
PRIME QUALITY MONEY MARKET FUND — A
    6,614,856,639.271  

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    Outstanding
 
Fund and Class Name
  Shares  
 
PRIME QUALITY MONEY MARKET FUND — C
    3,969,860.835  
PRIME QUALITY MONEY MARKET FUND — I
    3,617,380,244.439  
SEIX FLOATING RATE HIGH INCOME FUND — A
    958,756.850  
SEIX FLOATING RATE HIGH INCOME FUND — C
    25,556.688  
SEIX FLOATING RATE HIGH INCOME FUND — I
    80,010,805.552  
SEIX HIGH YIELD FUND — A
    2,473,249.537  
SEIX HIGH YIELD FUND — C
    436,488.333  
SEIX HIGH YIELD FUND — I
    72,379,606.850  
SELECT LARGE CAP GROWTH STOCK — A
    30,777.627  
SELECT LARGE CAP GROWTH STOCK — C
    1,101,397.235  
SELECT LARGE CAP GROWTH STOCK — I
    3,252,661.533  
SHORT-TERM BOND FUND — A
    378,384.143  
SHORT-TERM BOND FUND — C
    387,880.490  
SHORT-TERM BOND FUND — I
    37,932,635.568  
SHORT-TERM U.S. TREASURY SEC FUND — A
    382,245.148  
SHORT-TERM U.S. TREASURY SEC FUND — C
    921,544.824  
SHORT-TERM U.S. TREASURY SEC FUND — I
    5,834,311.984  
SMALL CAP GROWTH STOCK FUND — A
    1,020,561.697  
SMALL CAP GROWTH STOCK FUND — C
    956,336.259  
SMALL CAP GROWTH STOCK FUND — I
    27,625,469.820  
SMALL CAP VALUE EQUITY FUND — A
    378,671.903  
SMALL CAP VALUE EQUITY FUND — C
    1,774,227.399  
SMALL CAP VALUE EQUITY FUND — I
    34,045,824.544  
STRATEGIC INCOME FUND — A
    127,626.978  
STRATEGIC INCOME FUND — C
    2,861,611.302  
STRATEGIC INCOME FUND — I
    7,284,531.999  
TAX EXEMPT MONEY MARKET FUND — A
    595,074,302.100  
TAX EXEMPT MONEY MARKET FUND — I
    1,411,239,913.740  
TOTAL RETURN BOND FUND — A
    26,038.213  
TOTAL RETURN BOND FUND — C
    3,520.879  
TOTAL RETURN BOND FUND — I
    63,735,078.562  
U.S. GOVERNMENT SECURITIES FUND — A
    396,115.132  
U.S. GOVERNMENT SECURITIES FUND — C
    418,612.725  
U.S. GOVERNMENT SECURITIES FUND — I
    59,394,368.553  
U.S. GOVT SECURITIES MONEY MARKET FD-A
    315,161,879.343  
U.S. GOVT SECURITIES MONEY MARKET FD-I
    775,994,530.576  
ULTRA SHORT BOND FUND — I
    8,235,837.772  
US GOVT SECURITIES ULTRA SHORT BOND FD-I
    4,532,474.190  
US TREASURY MONEY MARKET FUND — A
    84,950,081.890  
US TREASURY MONEY MARKET FUND — I
    1,113,309,498.570  
VIRGINIA INTERMEDIATE MUNICIPAL BOND-A
    635,073.331  
VIRGINIA INTERMEDIATE MUNICIPAL BOND-C
    305,967.061  
VIRGINIA INTERMEDIATE MUNICIPAL BOND-I
    19,907,090.359  
VIRGINIA TAX FREE MONEY MARKET — A
    441,438,505.580  

A-3


Table of Contents

         
    Outstanding
 
Fund and Class Name
  Shares  
 
VIRGINIA TAX FREE MONEY MARKET — I
    274,380,494.410  
TOTAL STI CLASSIC FUND SHARES OUTSTANDING
    25,083,302,064.571  
         
LARGE CAP CORE EQUITY FUND — VT
    1,079,576.060  
LARGE CAP GROWTH STOCK FUND — VT
    1,963,480.657  
LARGE CAP VALUE EQUITY FUND — VT
    1,651,410.682  
MID-CAP CORE EQUITY FUND — VT
    824,750.646  
SMALL CAP VALUE EQUITY FUND — VT
    1,454,746.618  
TOTAL STI CLASSIC VARIABLE TRUST SHARES OUTSTANDING
    6,973,964.663  

A-4


Table of Contents

 
APPENDIX B
 
         
    Percent of
 
Name and Address of Owner
  Class Owner  
 
AGGRESSIVE GROWTH STOCK FUND — CLASS A
       
NATIONAL FINANCIAL SERVICES LLC
200 LIBERTY STREET
ONE WORLD FINANCIAL CENTER
NEW YORK NY 10281
    93.40 %
AGGRESSIVE GROWTH STOCK FUND — CLASS C
NATIONAL FINANCIAL SERVICES LLC
200 LIBERTY STREET
ONE WORLD FINANCIAL CENTER
NEW YORK NY 10281
    93.18 %
AGGRESSIVE GROWTH STOCK FUND — CLASS I
SEI PRIVATE TRUST COMPANY
C/O SUNTRUST BANK
ONE FREEDOM VALLEY DRIVE
ATTN MUTUAL FUNDS
OAKS PA 19456
    89.84 %
TRUSTMAN
SUNTRUST BANKS
MUTUAL FUND RECONCILIATION UNIT
MAIL CENTER 3144
P O BOX 105870
ATLANTA GA 303485870
    8.13 %
CLASSIC INSTITUTIONAL MUNICIPAL CASH RESERVE MONEY MARKET FUND — INSTITUTIONAL CLASS
SUNTRUST BANK
MAIL CENTER 313
P O BOX 105504
ATTN SUSAN GRIDER
ATLANTA GA 303485504
    100 %
CLASSIC INSTITUTIONAL US TREASURY SECURITIES MONEY MARKET FUND — INSTITUTIONAL CLASS
SUNTRUST BANK
MAIL CENTER 3133
P O BOX 105504
ATTN SUSAN GRIDER
ATLANTA GA 303485504
    38.29 %
SUNTRUST ROBINSON HUMPREY INC.
303 PEACHTREE ST 24TH FL
ATTN AUTHERINE WILLIAMS MC GA
ATLANTA GA 303083201
    28.42 %
HARE & CO.
THE BANK OF NEW YORK MELLON
111 SANDERS CREEK PKWY
EAST SYRACUSE, NY 13057
    18.97 %
LOCKHEED MARTININVESTMENTS INC.
THE COMMONS
SUITE 3
3510 SILVERSIDE RD
WILMINGTON, DE
    6.74 %


B-1


Table of Contents

         
    Percent of
 
Name and Address of Owner
  Class Owner  
 
CLASSIC INSTITUTIONAL CASH MANAGEMENT MONEY MARKET — INSTITUTIONAL CLASS
SUNTRUST BANK
MAIL CENTER 3133
P O BOX 105504
ATTN SUSAN GRIDER
ATLANTA GA 30348-5504
    62.22 %
SUNTRUST ROBINSON HUMPREY INC.
303 PEACHTREE ST 24TH FL
ATTN AUTHERINE WILLIAMS MC GA
ATLANTA GA 303083201
    29.65 %
NATIONAL FINANCIAL SERVICES LLC
200 LIBERTY STREET
ONE WORLD FINANCIAL CENTER
NEW YORK NY 10281
    6.29 %
CLASSIC INSTL US GOVERNMENT SECURITIES MONEY MARKT FUND — INSTITUTIONAL CLASS
SUNTRUST BANK
MAIL CENTER 3133
P O BOX 105504
ATTN SUSAN GRIDER
ATLANTA GA 303485504
    77.73 %
SUNTRUST ROBINSON HUMPREY INC.
303 PEACHTREE ST 24TH FL
ATTN AUTHERINE WILLIAMS MC GA
ATLANTA GA 303083201
    22.27 %
CLASSIC INSTITUTIONAL US TREASURY SECURITIES MONEY MARKET FUND — CORPORATE TRUST
SUNTRUST BANK
MAIL CENTER 3133
P O BOX 105504
ATTN SUSAN GRIDER
ATLANTA GA 303485504
    99.41 %
EMERGING GROWTH STOCK FUND — CLASS A
NATIONAL FINANCIAL SERVICES LLC
200 LIBERTY STREET
ONE WORLD FINANCIAL CENTER
NEW YORK NY 10281
    85.33 %
FIRST CLEARING, LLC
10750 WHEAT FIRST DRIVE
GLEN ALLEN VA 23060
    12.70 %
EMERGING GROWTH STOCK FUND — CLASS C
NATIONAL FINANCIAL SERVICES LLC
200 LIBERTY STREET
ONE WORLD FINANCIAL CENTER
NEW YORK NY 10281
    81.59 %
FIRST CLEARING, LLC
10750 WHEAT FIRST DRIVE
GLEN ALLEN VA 23060
    11.81 %

B-2


Table of Contents

         
    Percent of
 
Name and Address of Owner
  Class Owner  
 
EMERGING GROWTH STOCK FUND — CLASS C
SCOTTRADE, INC.
ATTN: MUTUAL FUNDS DEPT
12800 CORPORATE HILL DRIVE
PO BOX 31759
ST LOUIS MO 63131
    6.59 %
EMERGING GROWTH STOCK FUND — CLASS I
SEI PRIVATE TRUST COMPANY
C/O SUNTRUST BANK
ONE FREEDOM VALLEY DRIVE
ATTN MUTUAL FUNDS
OAKS PA 19456
    99.48 %
GEORGIA TAX-EXEMPT BOND FUND — CLASS A
NATIONAL FINANCIAL SERVICES LLC
200 LIBERTY STREET
ONE WORLD FINANCIAL CENTER
NEW YORK NY 10281
    85.73 %
NATIONAL FINANCIAL SERVICES LLC
200 LIBERTY STREET
ONE WORLD FINANCIAL CENTER
NEW YORK NY 10281
    5.65 %
GEORGIA TAX-EXEMPT BOND FUND — CLASS C
NATIONAL FINANCIAL SERVICES LLC
200 LIBERTY STREET
ONE WORLD FINANCIAL CENTER
NEW YORK NY 10281
    95.65 %
GEORGIA TAX-EXEMPT BOND FUND — CLASS I
SEI PRIVATE TRUST COMPANY
C/O SUNTRUST BANK
ONE FREEDOM VALLEY DRIVE
ATTN MUTUAL FUNDS
OAKS PA 19456
    99.93 %
HIGH GRADE MUNICIPAL BOND FUND — CLASS A
NATIONAL FINANCIAL SERVICES LLC
200 LIBERTY STREET
ONE WORLD FINANCIAL CENTER
NEW YORK NY 10281
    81.47 %
RBC DAIN RAUSHER INC.
60 SOUTH 6TH ST.
DAIN BOSWORTH PLAZA
MINNEAPOLIS, MN 55402
    8.57 %
HIGH GRADE MUNICIPAL BOND FUND — CLASS C
NATIONAL FINANCIAL SERVICES LLC
200 LIBERTY STREET
ONE WORLD FINANCIAL CENTER
NEW YORK NY 10281
    90.36 %

B-3


Table of Contents

         
    Percent of
 
Name and Address of Owner
  Class Owner  
 
HIGH GRADE MUNICIPAL BOND FUND — CLASS I
SEI PRIVATE TRUST COMPANY
C/O SUNTRUST BANK
ONE FREEDOM VALLEY DRIVE
ATTN MUTUAL FUNDS
OAKS PA 19456
    99.84 %
HIGH INCOME FUND — CLASS A
NATIONAL FINANCIAL SERVICES LLC
200 LIBERTY STREET
ONE WORLD FINANCIAL CENTER
NEW YORK NY 10281
    83.67 %
NATIONAL FINANCIAL SERVICES LLC
200 LIBERTY STREET
ONE WORLD FINANCIAL CENTER
NEW YORK NY 10281
    11.22 %
LINSCO/PRIVATE LEDGER CORP.
ONE BEACON STREET
22ND FLOOR
BOSTON MA 02108
    9.965 %
HIGH INCOME FUND — CLASS C
NATIONAL FINANCIAL SERVICES LLC
200 LIBERTY STREET
ONE WORLD FINANCIAL CENTER
NEW YORK NY 10281
    95.40 %
HIGH INCOME FUND — CLASS I
SEI PRIVATE TRUST COMPANY
C/O SUNTRUST BANK
ONE FREEDOM VALLEY DRIVE
ATTN MUTUAL FUNDS
OAKS PA 19456
    71.70 %
SUNTRUST BANK AND VARIOUS BENEFIT PLANS
C/O FASCORE RECORDKEEPER
8515 E ORCHARD RD 2T2
GREENWOOD VILLAGE CO 801115002
    27.23 %
INTERMEDIATE BOND FUND — CLASS A
NATIONAL FINANCIAL SERVICES LLC
200 LIBERTY STREET
ONE WORLD FINANCIAL CENTER
NEW YORK NY 10281
    99.50 %
INTERMEDIATE BOND FUND — CLASS I
SEI PRIVATE TRUST COMPANY
C/O SUNTRUST BANK
ONE FREEDOM VALLEY DRIVE
ATTN MUTUAL FUNDS
OAKS PA 19456
    97.40 %
INTERNATIONAL EQUITY FUND — CLASS A
NATIONAL FINANCIAL SERVICES LLC
200 LIBERTY STREET
ONE WORLD FINANCIAL CENTER
NEW YORK NY 10281
    71.87 %

B-4


Table of Contents

         
    Percent of
 
Name and Address of Owner
  Class Owner  
 
INTERNATIONAL EQUITY FUND — CLASS A
NATIONWIDE INVESTMENT SERVICES CORP.
ATTENTION: ACCOUNTING
ONE NATIONWIDE PLAZA 1-13-G1
COLUMBUS OH 43215
    11.78 %
INTERNATIONAL EQUITY FUND — CLASS C
NATIONAL FINANCIAL SERVICES LLC
200 LIBERTY STREET
ONE WORLD FINANCIAL CENTER
NEW YORK NY 10281
    96.93 %
INTERNATIONAL EQUITY FUND — CLASS I
SEI PRIVATE TRUST COMPANY
C/O SUNTRUST BANK
ONE FREEDOM VALLEY DRIVE
ATTN MUTUAL FUNDS
OAKS PA 19456
    96.61 %
INTERNATIONAL EQUITY INDEX FUND — CLASS A
NATIONAL FINANCIAL SERVICES LLC
200 LIBERTY STREET
ONE WORLD FINANCIAL CENTER
NEW YORK NY 10281
    73.39 %
MG TRUST COMPANY CUST FB
CAPITAL PACIFIC LLC 401 K PR
700 17TH STREET
SUITE 300
DENVER CO 80202
    7.01 %
INTERNATIONAL EQUITY INDEX FUND — CLASS C
NATIONAL FINANCIAL SERVICES LLC
200 LIBERTY STREET
ONE WORLD FINANCIAL CENTER
NEW YORK NY 10281
    96.89 %
INTERNATIONAL EQUITY INDEX FUND — CLASS I
SEI PRIVATE TRUST COMPANY
C/O SUNTRUST BANK
ONE FREEDOM VALLEY DRIVE
ATTN MUTUAL FUNDS
OAKS PA 19456
    82.38 %
TRUSTMAN
SUNTRUST BANKS
MUTUAL FUND RECONCILIATION UNIT
MAIL CENTER 3144
P O BOX 105870
ATLANTA GA 303485870
    9.78 %
INVESTMENT GRADE BOND FUND — CLASS A
NATIONAL FINANCIAL SERVICES LLC
200 LIBERTY STREET
ONE WORLD FINANCIAL CENTER
NEW YORK NY 10281
    44.23 %

B-5


Table of Contents

         
    Percent of
 
Name and Address of Owner
  Class Owner  
 
INVESTMENT GRADE BOND FUND — CLASS A
NATIONWIDE INVESTMENT SERVICES CORP.
ATTENTION: ACCOUNTING
ONE NATIONWIDE PLAZA 1-13-G1
COLUMBUS OH 43215
    28.60 %
INVESTMENT GRADE BOND FUND — CLASS C
NATIONAL FINANCIAL SERVICES LLC
200 LIBERTY STREET
ONE WORLD FINANCIAL CENTER
NEW YORK NY 10281
    94.71 %
INVESTMENT GRADE BOND FUND — CLASS I
SEI PRIVATE TRUST COMPANY
C/O SUNTRUST BANK
ONE FREEDOM VALLEY DRIVE
ATTN MUTUAL FUNDS
OAKS PA 19456
    58.92 %
SUNTRUST BANK AND VARIOUS BENEFIT PLANS
C/O FASCORE RECORDKEEPER
8515 E ORCHARD RD 2T2
GREENWOOD VILLAGE CO 801115002
    24.35 %
TRUSTMAN
SUNTRUST BANKS
MUTUAL FUND RECONCILIATION UNIT
MAIL CENTER 3144
P O BOX 105870
ATLANTA GA 303485870
    14.52 %
INVESTMENT GRADE TAX-EXEMPT BOND FUND — CLASS A
NATIONAL FINANCIAL SERVICES LLC
200 LIBERTY STREET
ONE WORLD FINANCIAL CENTER
NEW YORK NY 10281
    38.13 %
MARION G NELSON
P O BOX 2531
PANAMA CITY FL 324022531
    10.60 %
PENCE & HEATON ELECTRICAL CONTRACT
5715 TAFT ST
HOLLYWOOD FL 330214528
    8.17 %
INVESTMENT GRADE TAX-EXEMPT BOND FUND — CLASS C
NATIONAL FINANCIAL SERVICES LLC
200 LIBERTY STREET
ONE WORLD FINANCIAL CENTER
NEW YORK NY 10281
    92.59 %
INVESTMENT GRADE TAX-EXEMPT BOND FUND — CLASS I
SEI PRIVATE TRUST COMPANY
C/O SUNTRUST BANK
ONE FREEDOM VALLEY DRIVE
ATTN MUTUAL FUNDS
OAKS PA 19456
    70.71 %

B-6


Table of Contents

         
    Percent of
 
Name and Address of Owner
  Class Owner  
 
INVESTMENT GRADE TAX-EXEMPT BOND FUND — CLASS I
NATIONAL FINANCIAL SERVICES LLC
200 LIBERTY STREET
ONE WORLD FINANCIAL CENTER
NEW YORK NY 10281
    25.36 %
LARGE CAP CORE EQUITY FUND — CLASS A
NATIONAL FINANCIAL SERVICES LLC
200 LIBERTY STREET
ONE WORLD FINANCIAL CENTER
NEW YORK NY 10281
    72.43 %
NATIONWIDE INVESTMENT SERVICES CORP.
ATTENTION: ACCOUNTING
ONE NATIONWIDE PLAZA 1-13-G1
COLUMBUS OH 43215
    10.75 %
LARGE CAP CORE EQUITY FUND — CLASS C
NATIONAL FINANCIAL SERVICES LLC
200 LIBERTY STREET
ONE WORLD FINANCIAL CENTER
NEW YORK NY 10281
    96.38 %
LARGE CAP CORE EQUITY FUND — CLASS I
SEI PRIVATE TRUST COMPANY
C/O SUNTRUST BANK
ONE FREEDOM VALLEY DRIVE
ATTN MUTUAL FUNDS
OAKS PA 19456
    84.52 %
TRUSTMAN
SUNTRUST BANKS
MUTUAL FUND RECONCILIATION UNIT
MAIL CENTER 3144
P O BOX 105870
ATLANTA GA 303485870
    10.02 %
LARGE CAP GROWTH STOCK FUND — CLASS A
NATIONAL FINANCIAL SERVICES LLC
200 LIBERTY STREET
ONE WORLD FINANCIAL CENTER
NEW YORK NY 10281
    43.59 %
NATIONWIDE INVESTMENT SERVICES CORP.
ATTENTION: ACCOUNTING
ONE NATIONWIDE PLAZA 1-13-G1
COLUMBUS OH 43215
    9.58 %
LARGE CAP GROWTH STOCK FUND — CLASS C
NATIONAL FINANCIAL SERVICES LLC
200 LIBERTY STREET
ONE WORLD FINANCIAL CENTER
NEW YORK NY 10281
    93.50 %
LARGE CAP GROWTH STOCK FUND — CLASS I
SEI PRIVATE TRUST COMPANY
C/O SUNTRUST BANK
ONE FREEDOM VALLEY DRIVE
ATTN MUTUAL FUNDS
OAKS PA 19456
    75.49 %

B-7


Table of Contents

         
    Percent of
 
Name and Address of Owner
  Class Owner  
 
LARGE CAP GROWTH STOCK FUND — CLASS I
TRUSTMAN
SUNTRUST BANKS
MUTUAL FUND RECONCILIATION UNIT
MAIL CENTER 3144
P O BOX 105870
ATLANTA GA 30348-5870
    17.73 %
SUNTRUST BANK AND VARIOUS BENEFIT PLANS
C/O FASCORE RECORDKEEPER
8515 E ORCHARD RD 2T2
GREENWOOD VILLAGE CO 801115002
    5.67 %
LARGE CAP QUANTITATIVE EQUITY FUND — CLASS A
NATIONAL FINANCIAL SERVICES LLC
200 LIBERTY STREET
ONE WORLD FINANCIAL CENTER
NEW YORK NY 10281
    87.94 %
NATIONAL FINANCIAL SERVICES LLC
200 LIBERTY STREET
ONE WORLD FINANCIAL CENTER
NEW YORK NY 10281
    5.28 %
LARGE CAP QUANTITATIVE EQUITY FUND — CLASS C
NATIONAL FINANCIAL SERVICES LLC
200 LIBERTY STREET
ONE WORLD FINANCIAL CENTER
NEW YORK NY 10281
    98.87 %
LARGE CAP QUANTITATIVE EQUITY FUND — CLASS I
SEI PRIVATE TRUST COMPANY
C/O SUNTRUST BANK
ONE FREEDOM VALLEY DRIVE
ATTN MUTUAL FUNDS
OAKS PA 19456
    99.35 %
LARGE CAP VALUE EQUITY FUND — CLASS A
NATIONAL FINANCIAL SERVICES LLC
200 LIBERTY STREET
ONE WORLD FINANCIAL CENTER
NEW YORK NY 10281
    51.72 %
LARGE CAP VALUE EQUITY FUND — CLASS A
NATIONWIDE INVESTMENT SERVICES CORP.
ATTENTION: ACCOUNTING
ONE NATIONWIDE PLAZA 1-13-G1
COLUMBUS OH 43215
    7.27 %
LARGE CAP VALUE EQUITY FUND — CLASS C
NATIONAL FINANCIAL SERVICES LLC
200 LIBERTY STREET
ONE WORLD FINANCIAL CENTER
NEW YORK NY 10281
    85.95 %

B-8


Table of Contents

         
    Percent of
 
Name and Address of Owner
  Class Owner  
 
LARGE CAP VALUE EQUITY FUND — CLASS I
SEI PRIVATE TRUST COMPANY
C/O SUNTRUST BANK
ONE FREEDOM VALLEY DRIVE
ATTN MUTUAL FUNDS
OAKS PA 19456
    75.43 %
TRUSTMAN
SUNTRUST BANKS
MUTUAL FUND RECONCILIATION UNIT
MAIL CENTER 3144
P O BOX 105870
ATLANTA GA 303485870
    13.92 %
SUNTRUST BANK AND VARIOUS BENEFIT PLANS
C/O FASCORE RECORDKEEPER
8515 E ORCHARD RD 2T2
GREENWOOD VILLAGE CO 801115002
    10.35 %
LIFE VISION AGGRESSIVE GROWTH FUND — CLASS A
NATIONAL FINANCIAL SERVICES LLC
200 LIBERTY STREET
ONE WORLD FINANCIAL CENTER
NEW YORK NY 10281
    97.85 %
LIFE VISION AGGRESSIVE GROWTH FUND — CLASS B
NATIONAL FINANCIAL SERVICES LLC
200 LIBERTY STREET
ONE WORLD FINANCIAL CENTER
NEW YORK NY 10281
    91.14 %
LIFE VISION AGGRESSIVE GROWTH FUND — CLASS C
NATIONAL FINANCIAL SERVICES LLC
200 LIBERTY STREET
ONE WORLD FINANCIAL CENTER
NEW YORK NY 10281
    94.70 %
LIFE VISION AGGRESSIVE GROWTH FUND — CLASS I
SUNTRUST BANK AND VARIOUS BENEFIT PLANS
C/O FASCORE RECORDKEEPER
8515 E ORCHARD RD 2T2
GREENWOOD VILLAGE CO 801115002
    86.66 %


LIFE VISION AGGRESSIVE GROWTH FUND — CLASS I
SEI PRIVATE TRUST COMPANY
C/O SUNTRUST BANK
ONE FREEDOM VALLEY DRIVE
ATTN MUTUAL FUNDS
OAKS PA 19456
    12.72 %
LIFE VISION CONSERVATIVE FUND — CLASS A
NATIONAL FINANCIAL SERVICES LLC
200 LIBERTY STREET
ONE WORLD FINANCIAL CENTER
NEW YORK NY 10281
    100 %

B-9


Table of Contents

         
    Percent of
 
Name and Address of Owner
  Class Owner  
 
LIFE VISION CONSERVATIVE FUND — CLASS B
NATIONAL FINANCIAL SERVICES LLC
200 LIBERTY STREET
ONE WORLD FINANCIAL CENTER
NEW YORK NY 10281
    95.56 %
LIFE VISION CONSERVATIVE FUND — CLASS C
NATIONAL FINANCIAL SERVICES LLC
200 LIBERTY STREET
ONE WORLD FINANCIAL CENTER
NEW YORK NY 10281
    100 %
LIFE VISION CONSERVATIVE FUND — CLASS I
SUNTRUST BANK AND VARIOUS BENEFIT PLANS
C/O FASCORE RECORDKEEPER
8515 E ORCHARD RD 2T2
GREENWOOD VILLAGE CO 801115002
    71.16 %
SEI PRIVATE TRUST COMPANY
C/O SUNTRUST BANK
ONE FREEDOM VALLEY DRIVE
ATTN MUTUAL FUNDS
OAKS PA 19456
    28.73 %
LIFE VISION GROWTH AND INCOME — CLASS C
NATIONAL FINANCIAL SERVICES LLC
200 LIBERTY STREET
ONE WORLD FINANCIAL CENTER
NEW YORK NY 10281
    98.50 %
LIFE VISION GROWTH AND INCOME FUND — CLASS A
NATIONAL FINANCIAL SERVICES LLC
200 LIBERTY STREET
ONE WORLD FINANCIAL CENTER
NEW YORK NY 10281
    93.88 %
LIFE VISION GROWTH AND INCOME FUND — CLASS B
NATIONAL FINANCIAL SERVICES LLC
200 LIBERTY STREET
ONE WORLD FINANCIAL CENTER
NEW YORK NY 10281
    96.61 %
LIFE VISION GROWTH AND INCOME FUND — CLASS I
SUNTRUST BANK AND VARIOUS BENEFIT PLANS
C/O FASCORE RECORDKEEPER
8515 E ORCHARD RD 2T2
GREENWOOD VILLAGE CO 801115002
    96.48 %
LIFE VISION MODERATE GROWTH FUND — CLASS A
NATIONAL FINANCIAL SERVICES LLC
200 LIBERTY STREET
ONE WORLD FINANCIAL CENTER
NEW YORK NY 10281
    88.60 %
LIFE VISION MODERATE GROWTH FUND — CLASS B
NATIONAL FINANCIAL SERVICES LLC
200 LIBERTY STREET
ONE WORLD FINANCIAL CENTER
NEW YORK NY 10281
    98.50 %

B-10


Table of Contents

         
    Percent of
 
Name and Address of Owner
  Class Owner  
 
LIFE VISION MODERATE GROWTH FUND — CLASS C
NATIONAL FINANCIAL SERVICES LLC
200 LIBERTY STREET
ONE WORLD FINANCIAL CENTER
NEW YORK NY 10281
    97.40 %
LIFE VISION MODERATE GROWTH FUND — CLASS I
SUNTRUST BANK AND VARIOUS BENEFIT PLANS
C/O FASCORE RECORDKEEPER
8515 E ORCHARD RD 2T2
GREENWOOD VILLAGE CO 801115002
    79.85 %
SEI PRIVATE TRUST COMPANY
C/O SUNTRUST BANK
ONE FREEDOM VALLEY DRIVE
ATTN MUTUAL FUNDS
OAKS PA 19456
    18.01 %
LIFE VISION TARGET DATE 2015 — CLASS A
CHERLY A BLOOM
IRA
6101 KRISTA DR
SPRING HILL, FL 34609-8956
    72.98 %
NATIONAL FINANCIAL SERVICES LLC
200 LIBERTY STREET
ONE WORLD FINANCIAL CENTER
NEW YORK, NY 10281
    26.33 %
LIFE VISION TARGET DATE 2015 — CLASS C
CITI FUND SERVICES OHIO INC
SEED ACCOUNT
3435 STELZER RD
ATTN CORPORATE FINANCE
COLUMBUS OH 43219
    100 %
LIFE VISION TARGET DATE 2015 CLASS I
SUNTRUST BANK AND VARIOUS BENEFIT PLANS
C/O FASCORE RECORDKEEPER
8515 E ORCHARD RD 2T2
GREENWOOD VILLAGE CO 801115002
    100 %
LIFE VISION TARGET DATE 2025 — CLASS A
NATIONAL FINANCIAL SERVICES LLC
200 LIBERTY STREET
ONE WORLD FINANCIAL CENTER
NEW YORK NY 10281
    99.76 %
LIFE VISION TARGET DATE 2025 — CLASS C
CITI FUND SERVICES OHIO INC
SEED ACCOUNT
3435 STELZER RD
ATTN CORPORATE FINANCE
COLUMBUS OH 43219
    100 %
LIFE VISION TARGET DATE 2025 — CLASS I
SUNTRUST BANK AND VARIOUS BENEFIT PLANS
C/O FASCORE RECORDKEEPER
8515 E ORCHARD RD 2T2
GREENWOOD VILLAGE CO 801115002
    99.44 %

B-11


Table of Contents

         
    Percent of
 
Name and Address of Owner
  Class Owner  
 
LIFE VISION TARGET DATE 2035 — CLASS A
NATIONAL FINANCIAL SERVICES LLC
200 LIBERTY STREET
ONE WORLD FINANCIAL CENTER
NEW YORK NY 10281
    99.68 %
LIFE VISION TARGET DATE 2035 — CLASS C
CITI FUND SERVICES OHIO INC
SEED ACCOUNT
3435 STELZER RD
ATTN CORPORATE FINANCE
COLUMBUS OH 43219
    100 %
LIFE VISION TARGET DATE 2035 — CLASS I
SUNTRUST BANK AND VARIOUS BENEFIT PLANS
C/O FASCORE RECORDKEEPER
8515 E ORCHARD RD 2T2
GREENWOOD VILLAGE CO 801115002
    100 %
LIMITED DURATION FUND — CLASS I
SEIX ADVISORS AS MANAGER FOR
INTERNATIONAL FELLOWSHIP FOUNDATION
10 MOUNTAINVIEW RD STE C200
C/O ELLEN WESH-SEIX ADVISORS
UPPER SADDLE RIVER NJ 07458
    49.92 %
LIMITED DURATION FUND — CLASS I
SEIX ADVISORS AS MANAGER
OHIO TUITION TRUST AUTHORITY
10 MOUNTAINVIEW RD STE C200
SADDLE RIVER NJ 074581937
    28.80 %
LIMITED DURATION FUND — CLASS I
SEI PRIVATE TRUST COMPANY
C/O SUNTRUST BANK
ONE FREEDOM VALLEY DRIVE
ATTN MUTUAL FUNDS
OAKS PA 19456
    10.70 %
SEIX AS MANAGER FOR
IIE-WHITAKER
10 MOUNTAINVIEW RD SUITE C-200
UPPER SADDLE RIVER NJ 07458
    5.59 %
LIMITED TERM FEDERAL MORTGAGE SECURITIES — CLASS A
NATIONAL FINANCIAL SERVICES LLC
200 LIBERTY STREET
ONE WORLD FINANCIAL CENTER
NEW YORK NY 10281
    70.92 %
NATIONWIDE INVESTMENT SERVICES CORP.
ATTENTION: ACCOUNTING
ONE NATIONWIDE PLAZA 1-13-G1
COLUMBUS OH 43215
    15.15 %
LIMITED TERM FEDERAL MORTGAGE SECURITIES — CLASS C
NATIONAL FINANCIAL SERVICES LLC
200 LIBERTY STREET
ONE WORLD FINANCIAL CENTER
NEW YORK NY 10281
    97.57 %

B-12


Table of Contents

         
    Percent of
 
Name and Address of Owner
  Class Owner  
 
LIMITED TERM FEDERAL MORTGAGE SECURITIES — CLASS I
SEI PRIVATE TRUST COMPANY
C/O SUNTRUST BANK
ONE FREEDOM VALLEY DRIVE
ATTN MUTUAL FUNDS
OAKS PA 19456
    91.55 %
SUNTRUST BANK AND VARIOUS BENEFIT PLANS
C/O FASCORE RECORDKEEPER
8515 E ORCHARD RD 2T2
GREENWOOD VILLAGE CO 801115002
    7.27 %
MARYLAND MUNICIPAL BOND FUND — CLASS A
NATIONAL FINANCIAL SERVICES LLC
200 LIBERTY STREET
ONE WORLD FINANCIAL CENTER
NEW YORK NY 10281
    100 %
MARYLAND MUNICIPAL BOND FUND — CLASS C
NATIONAL FINANCIAL SERVICES LLC
200 LIBERTY STREET
ONE WORLD FINANCIAL CENTER
NEW YORK NY 10281
    97.66 %
MARYLAND MUNICIPAL BOND FUND — CLASS I
SEI PRIVATE TRUST COMPANY
C/O SUNTRUST BANK
ONE FREEDOM VALLEY DRIVE
ATTN MUTUAL FUNDS
OAKS PA 19456
    100 %
MID-CAP CORE EQUITY FUND — CLASS A
NATIONAL FINANCIAL SERVICES LLC
200 LIBERTY STREET
ONE WORLD FINANCIAL CENTER
NEW YORK NY 10281
    64.81 %
MID-CAP CORE EQUITY FUND — CLASS A
NATIONWIDE INVESTMENT SERVICES CORP.
ATTENTION: ACCOUNTING
ONE NATIONWIDE PLAZA 1-13-G1
COLUMBUS OH 43215
    13.49 %
MID-CAP CORE EQUITY FUND — CLASS C
NATIONAL FINANCIAL SERVICES LLC
200 LIBERTY STREET
ONE WORLD FINANCIAL CENTER
NEW YORK NY 10281
    95.17 %
MID-CAP CORE EQUITY FUND — CLASS I
SEI PRIVATE TRUST COMPANY
C/O SUNTRUST BANK
ONE FREEDOM VALLEY DRIVE
ATTN MUTUAL FUNDS
OAKS PA 19456
    71.29 %

B-13


Table of Contents

         
    Percent of
 
Name and Address of Owner
  Class Owner  
 
MID-CAP CORE EQUITY FUND — CLASS I
TRUSTMAN
SUNTRUST BANKS
MUTUAL FUND RECONCILIATION UNIT
MAIL CENTER 3144
P O BOX 105870
ATLANTA GA 303485870
    22.64 %
SUNTRUST BANK AND VARIOUS BENEFIT PLANS
C/O FASCORE RECORDKEEPER
8515 E ORCHARD RD 2T2
GREENWOOD VILLAGE, CO 80111-5002
    5.28 %
MID-CAP VALUE EQUITY FUND — CLASS A
NATIONAL FINANCIAL SERVICES LLC
200 LIBERTY STREET
ONE WORLD FINANCIAL CENTER
NEW YORK NY 10281
    71.59 %
LINSCO/PRIVATE LEDGER CORP.
ONE BEACON STREET
22ND FLOOR
BOSTON, MA 02108
    13.67 %
MID-CAP VALUE EQUITY FUND — CLASS A
FULTON FINANCIAL ADV TTEE
SCHENKE TOOL COMPANY
PO BOX 3215
LANCASTER, PA 17604
    7.53 %
MID-CAP VALUE EQUITY FUND — CLASS C
NATIONAL FINANCIAL SERVICES LLC
200 LIBERTY STREET
ONE WORLD FINANCIAL CENTER
NEW YORK NY 10281
    96.91 %
MID-CAP VALUE EQUITY FUND — CLASS I
SEI PRIVATE TRUST COMPANY
C/O SUNTRUST BANK
ONE FREEDOM VALLEY DRIVE
ATTN MUTUAL FUNDS
OAKS PA 19456
    95.33 %
NORTH CAROLINA TAX EXEMPT BOND FUND — CLASS A
NATIONAL FINANCIAL SERVICES LLC
200 LIBERTY STREET
ONE WORLD FINANCIAL CENTER
NEW YORK NY 10281
    100 %
NORTH CAROLINA TAX-EXEMPT BOND FUND — CLASS I
SEI PRIVATE TRUST COMPANY
C/O SUNTRUST BANK
ONE FREEDOM VALLEY DRIVE
ATTN MUTUAL FUNDS
OAKS PA 19456
    99.85 %

B-14


Table of Contents

         
    Percent of
 
Name and Address of Owner
  Class Owner  
 
PRIME QUALITY MONEY MARKET FUND — CLASS A
NATIONAL FINANCIAL SERVICES LLC
200 LIBERTY STREET
ONE WORLD FINANCIAL CENTER
NEW YORK NY 10281
    99.55 %
PRIME QUALITY MONEY MARKET FUND — CLASS C
NATIONAL FINANCIAL SERVICES LLC
200 LIBERTY STREET
ONE WORLD FINANCIAL CENTER
NEW YORK NY 10281
    94.10 %
PRIME QUALITY MONEY MARKET FUND — CLASS I
SUNTRUST BANK
MAIL CENTER 3133
P O BOX 105504
ATTN SUSAN GRIDER
ATLANTA GA 303485504
    86.83 %
SUNTRUST BANK AND VARIOUS BENEFIT PLANS
C/O FASCORE RECORDKEEPER
8515 E ORCHARD RD 2T2
GREENWOOD VILLAGE CO 80111-5002
    8.80 %
SEIX FLOATING RATE HIGH INCOME FUND — CLASS A
NATIONAL FINANCIAL SERVICES LLC
200 LIBERTY STREET
ONE WORLD FINANCIAL CENTER
NEW YORK NY 10281
    55.10 %
LINSCO/PRIVATE LEDGER CORP.
ONE BEACON STREET
22ND FLOOR
BOSTON, MA 02108
    40.94 %
SEIX FLOATING RATE HIGH INCOME FUND — CLASS C
NATIONAL FINANCIAL SERVICES LLC
200 LIBERTY STREET
ONE WORLD FINANCIAL CENTER
NEW YORK NY 10281
    100 %
SEIX FLOATING RATE HIGH INCOME FUND — CLASS I
SEI PRIVATE TRUST COMPANY
C/O SUNTRUST BANK
ONE FREEDOM VALLEY DRIVE
ATTN MUTUAL FUNDS
OAKS PA 19456
    21.15 %
NATIONAL FINANCIAL SERVICES LLC
200 LIBERTY STREET
ONE WORLD FINANCIAL CENTER
NEW YORK NY 10281
    13.49 %
CHARLES SCHWAB & CO., INC.
101 MONTGOMERY STREET
MS:SF101MONT-22-241
SAN FRANCISCO, CA 94104
    10.13 %
LASALLE NATIONAL BANK
P O BOX 1443
CHICAGO IL 60690
    7.06 %

B-15


Table of Contents

         
    Percent of
 
Name and Address of Owner
  Class Owner  
 
SEIX FLOATING RATE HIGH INCOME FUND — CLASS I
SEIX AS MANAGER
ATTN MICHELLE GALLO
10 MOUNTAINVIEW ROAD SUITE C-200
UPPER SADDLE RIVER NJ 07458
    6.50 %
SEIX ADVISORS AS MANAGER FOR INTERNATIONAL FELLOWSHIP FOUNDATION
10 MOUNTAINVIEW RD STE C200
C/O ELLEN WESH-SEIX ADVISORS
UPPER SADDLE RIVER NJ 07458
    5.25 %
SEIX HIGH YIELD FUND — CLASS A
NATIONAL FINANCIAL SERVICES LLC
200 LIBERTY STREET
ONE WORLD FINANCIAL CENTER
NEW YORK NY 10281
    98.24 %
SEIX HIGH YIELD FUND — CLASS C
NATIONAL FINANCIAL SERVICES LLC
200 LIBERTY STREET
ONE WORLD FINANCIAL CENTER
NEW YORK NY 10281
    99.83 %
SEIX HIGH YIELD FUND — CLASS I
SEI PRIVATE TRUST COMPANY
C/O SUNTRUST BANK
ONE FREEDOM VALLEY DRIVE
ATTN MUTUAL FUNDS
OAKS PA 19456
    12.40 %
WELLS FARGO BANK NA FBO
SVERDLIN LIV TR DTD 4 10 2007 — IMA
PO BOX 1533
MINNEAPOLIS MN 55480
    10.53 %
MAC & CO
STATE OF MARYLAND
MUTUAL FUND OPERATIONS
525 WILLIAM PENN PL
PO BOX 3198
PITTSBURGH PA 15219-1707
    7.41 %
MINISTER OF FINANCE PROV OF NOVA SCOTIA
NOVA SCOTIA TEACHERS PENSION FUND 
1723 HOLLIS ST
PO BOX 187
HALIFAX, NOVA SCOTIA CAD B3J-2N3
    5.01 %
SELECT LARGE CAP GROWTH STOCK — CLASS A
MORGAN STANLEY DW INC.
2000 WESTCHESTER AVE LD
PURCHASE, NY 10577
    35.39 %
NATIONAL FINANCIAL SERVICES LLC
200 LIBERTY STREET
ONE WORLD FINANCIAL CENTER
NEW YORK NY 10281
    33.93 %

B-16


Table of Contents

         
    Percent of
 
Name and Address of Owner
  Class Owner  
 
SELECT LARGE CAP GROWTH STOCK — CLASS A
MORGAN STANLEY DW INC.
2000 WESTCHESTER AVE LD
PURCHASE, NY 10577
    20.17 %
NATIONAL FINANCIAL SERVICES LLC
200 LIBERTY STREET
ONE WORLD FINANCIAL CENTER
NEW YORK NY 10281
    5.95 %
SELECT LARGE CAP GROWTH STOCK — CLASS C
NATIONAL FINANCIAL SERVICES LLC
200 LIBERTY STREET
ONE WORLD FINANCIAL CENTER
NEW YORK NY 10281
    95.02 %
SELECT LARGE CAP GROWTH STOCK — CLASS I
SEI PRIVATE TRUST COMPANY
C/O SUNTRUST BANK
ONE FREEDOM VALLEY DRIVE
ATTN MUTUAL FUNDS
OAKS PA 19456
    100 %
SHORT-TERM BOND FUND — CLASS A
NATIONAL FINANCIAL SERVICES LLC
200 LIBERTY STREET
ONE WORLD FINANCIAL CENTER
NEW YORK NY 10281
    71.74 %
NATIONWIDE INVESTMENT SERVICES CORP.
ATTENTION: ACCOUNTING
ONE NATIONWIDE PLAZA 1-13-G1
COLUMBUS OH 43215
    22.52 %
SHORT-TERM BOND FUND — CLASS C
NATIONAL FINANCIAL SERVICES LLC
200 LIBERTY STREET
ONE WORLD FINANCIAL CENTER
NEW YORK NY 10281
    98.24 %
SHORT-TERM BOND FUND — CLASS I
SEI PRIVATE TRUST COMPANY
C/O SUNTRUST BANK
ONE FREEDOM VALLEY DRIVE
ATTN MUTUAL FUNDS
OAKS PA 19456
    91.12 %
TRUSTMAN
SUNTRUST BANKS
MUTUAL FUND RECONCILIATION UNIT
MAIL CENTER 3144
P O BOX 105870
ATLANTA GA 303485870
    7.00 %
SHORT-TERM U.S. TREASURY SECURITIES FUND — CLASS A
NATIONAL FINANCIAL SERVICES LLC
200 LIBERTY STREET
ONE WORLD FINANCIAL CENTER
NEW YORK NY 10281
    54.29 %

B-17


Table of Contents

         
    Percent of
 
Name and Address of Owner
  Class Owner  
 
SHORT-TERM U.S. TREASURY SECURITIES FUND — CLASS A
NATIONWIDE INVESTMENT SERVICES CORP.
ATTENTION: ACCOUNTING
ONE NATIONWIDE PLAZA 1-13-G1
COLUMBUS OH 43215
    34.54 %
SHORT-TERM U.S. TREASURY SECURITIES FUND — CLASS C
NATIONAL FINANCIAL SERVICES LLC
200 LIBERTY STREET
ONE WORLD FINANCIAL CENTER
NEW YORK NY 10281
    93.59 %
SHORT-TERM U.S. TREASURY SECURITIES FUND — CLASS I
SEI PRIVATE TRUST COMPANY
C/O SUNTRUST BANK
ONE FREEDOM VALLEY DRIVE
ATTN MUTUAL FUNDS
OAKS PA 19456
    62.17 %
CENCO
AMG 7TH FLOOR
PO BOX 10566
BIRMINGHAM AL 352960566
    22.39 %
SUNTRUST BANK AND VARIOUS BENEFIT PLANS
C/O FASCORE RECORDKEEPER
8515 E ORCHARD RD 2T2
GREENWOOD VILLAGE CO 801115002
    15.43 %
SMALL CAP GROWTH STOCK FUND — CLASS A
NATIONAL FINANCIAL SERVICES LLC
200 LIBERTY STREET
ONE WORLD FINANCIAL CENTER
NEW YORK NY 10281
    34.41 %
NATIONWIDE INVESTMENT SERVICES CORP.
ATTENTION: ACCOUNTING
ONE NATIONWIDE PLAZA 1-13-G1
COLUMBUS OH 43215
    16.39 %
SMALL CAP GROWTH STOCK FUND — CLASS C
NATIONAL FINANCIAL SERVICES LLC
200 LIBERTY STREET
ONE WORLD FINANCIAL CENTER
NEW YORK NY 10281
    78.12 %
SMALL CAP GROWTH STOCK FUND — CLASS I
SEI PRIVATE TRUST COMPANY
C/O SUNTRUST BANK
ONE FREEDOM VALLEY DRIVE
ATTN MUTUAL FUNDS
OAKS PA 19456
    30.97 %
GREAT WEST LIFE & ANNUITY COMPANY
8515 E ORCHARD RD 2T2
C/O FASCORP RECORDKEEPER
GREENWOOD VLG CO 801115002
    27.08 %

B-18


Table of Contents

         
    Percent of
 
Name and Address of Owner
  Class Owner  
 
SMALL CAP GROWTH STOCK FUND — CLASS I
TRUSTMAN
SUNTRUST BANKS
MUTUAL FUND RECONCILIATION UNIT
MAIL CENTER 3144
P O BOX 105870
ATLANTA GA 303485870
    15.13 %
SUNTRUST BANK AND VARIOUS BENEFIT PLANS
C/O FASCORE RECORDKEEPER
8515 E ORCHARD RD 2T2
GREENWOOD VILLAGE CO 801115002
    9.74 %
SMALL CAP VALUE EQUITY FUND — CLASS A
NATIONAL FINANCIAL SERVICES LLC
200 LIBERTY STREET
ONE WORLD FINANCIAL CENTER
NEW YORK NY 10281
    60.90 %
HOLLOWWAVE CO
C O STATE STREET BANK
BOX 5496
BOSTON MA 022065496
    31.62 %
SMALL CAP VALUE EQUITY FUND — CLASS C
NATIONAL FINANCIAL SERVICES LLC
200 LIBERTY STREET
ONE WORLD FINANCIAL CENTER
NEW YORK NY 10281
    93.50 %
SMALL CAP VALUE EQUITY FUND — CLASS I
SEI PRIVATE TRUST COMPANY
C/O SUNTRUST BANK
ONE FREEDOM VALLEY DRIVE
ATTN MUTUAL FUNDS
OAKS PA 19456
    46.98 %
SUNTRUST BANK AND VARIOUS BENEFIT PLANS
C/O FASCORE RECORDKEEPER
8515 E ORCHARD RD 2T2
GREENWOOD VILLAGE CO 801115002
    23.67 %
STATE STREET BANK 10/01/02
STATE OF MICHIGAN 401K
105 ROSEMONT AVE
WESTWOOD MA 02090
    6.98 %
JPMORGAN CHASE BANK AS TRUSTEE
COCA-COLA ENTERPRISES BARGAINING
EMPLOYEES 401K PLAN
PO BOX 419784
C/O JPMORGAN RPS MGMT RPTG TEAM
KANSAS CITY MO 64141
    6.78 %
NATIONWIDE INVESTMENT SERVICES CORP.
ATTENTION: ACCOUNTING
ONE NATIONWIDE PLAZA 1-13-G1
COLUMBUS OH 43215
    5.29 %

B-19


Table of Contents

         
    Percent of
 
Name and Address of Owner
  Class Owner  
 
STRATEGIC INCOME FUND — CLASS A
NATIONAL FINANCIAL SERVICES LLC
200 LIBERTY STREET
ONE WORLD FINANCIAL CENTER
NEW YORK NY 10281
    82.91 %
NATIONAL FINANCIAL SERVICES LLC
200 LIBERTY STREET
ONE WORLD FINANCIAL CENTER
NEW YORK NY 10281
    10.71 %
STRATEGIC INCOME FUND — CLASS C
NATIONAL FINANCIAL SERVICES LLC
200 LIBERTY STREET
ONE WORLD FINANCIAL CENTER
NEW YORK NY 10281
    96.99 %
STRATEGIC INCOME FUND — CLASS I
SEI PRIVATE TRUST COMPANY
C/O SUNTRUST BANK
ONE FREEDOM VALLEY DRIVE
ATTN MUTUAL FUNDS
OAKS PA 19456
    99.32 %
TAX EXEMPT MONEY MARKET FUND — CLASS A
NATIONAL FINANCIAL SERVICES LLC
200 LIBERTY STREET
ONE WORLD FINANCIAL CENTER
NEW YORK NY 10281
    99.79 %
TAX EXEMPT MONEY MARKET FUND — CLASS I
SUNTRUST BANK
MAIL CENTER 3133
P O BOX 105504
ATTN SUSAN GRIDER
ATLANTA GA 30348-5504
    100 %
TOTAL RETURN BOND FUND — CLASS A
NATIONAL FINANCIAL SERVICES LLC
200 LIBERTY STREET
ONE WORLD FINANCIAL CENTER
NEW YORK NY 10281
    76.76 %
SMITH BARNEY INC
OPEN END MUTUAL FUNDS
ATT CARMELA POIDOMANI
NEW YORK, NY 10001
    23.24 %
TOTAL RETURN BOND FUND — CLASS C
NATIONAL FINANCIAL SERVICES LLC
200 LIBERTY STREET
ONE WORLD FINANCIAL CENTER
NEW YORK NY 10281
    100 %
TOTAL RETURN BOND FUND — CLASS I
SEI PRIVATE TRUST COMPANY
C/O SUNTRUST BANK
ONE FREEDOM VALLEY DRIVE
ATTN MUTUAL FUNDS
OAKS PA 19456
    93.44 %

B-20


Table of Contents

         
    Percent of
 
Name and Address of Owner
  Class Owner  
 
U.S. GOVERNMENT SECURITIES FUND — CLASS A
NATIONAL FINANCIAL SERVICES LLC
200 LIBERTY STREET
ONE WORLD FINANCIAL CENTER
NEW YORK NY 10281
    72.981 %
MORGAN KEEGAN & COMPANY, INC.
50 N. FRONT STREET
MEMPHIS, TN 38103
    7.36 %
NATIONWIDE INVESTMENT SERVICES CORP.
ATTENTION: ACCOUNTING
ONE NATIONWIDE PLAZA 1-13-G1
COLUMBUS, OH 43215
    5.35 %
U.S. GOVERNMENT SECURITIES FUND — CLASS C
NATIONAL FINANCIAL SERVICES LLC
200 LIBERTY STREET
ONE WORLD FINANCIAL CENTER
NEW YORK NY 10281
    97.64 %
U.S. GOVERNMENT SECURITIES FUND — CLASS I
SEI PRIVATE TRUST COMPANY
C/O SUNTRUST BANK
ONE FREEDOM VALLEY DRIVE
ATTN MUTUAL FUNDS
OAKS PA 19456
    94.00 %
SUNTRUST BANK AND VARIOUS BENEFIT PLANS
C/O FASCORE RECORDKEEPER
8515 E ORCHARD RD 2T2
GREENWOOD VILLAGE CO 801115002
    5.67 %
U.S. GOVT SECURITIES MONEY MARKET FUND — CLASS A
NATIONAL FINANCIAL SERVICES LLC
200 LIBERTY STREET
ONE WORLD FINANCIAL CENTER
NEW YORK NY 10281
    92.40 %
U.S. GOVT SECURITIES MONEY MARKET FUND — CLASS I
SUNTRUST BANK
MAIL CENTER 3133
P O BOX 105504
ATTN SUSAN GRIDER
ATLANTA GA 303485504
    98.98 %
ULTRA SHORT BOND FUND — CLASS I
SEI PRIVATE TRUST COMPANY
C/O SUNTRUST BANK
ONE FREEDOM VALLEY DRIVE
ATTN MUTUAL FUNDS
OAKS PA 19456
    83.30 %
STATE STREET BANK AS CUSTODIAN FOR
UNIVERSITY HEALTH SERVICES INC
125 SUNNYNOLL CT STE 200
WINSTON-SALEM NC 27106
    16.36 %

B-21


Table of Contents

         
    Percent of
 
Name and Address of Owner
  Class Owner  
 
US GOVT SECURITIES ULTRA SHORT BOND FUND — CLASS I
SEI PRIVATE TRUST COMPANY
C/O SUNTRUST BANK
ONE FREEDOM VALLEY DRIVE
ATTN MUTUAL FUNDS
OAKS PA 19456
    96.01 %
US TREASURY MONEY MARKET FUND — CLASS A
NATIONAL FINANCIAL SERVICES LLC
200 LIBERTY STREET
ONE WORLD FINANCIAL CENTER
NEW YORK NY 10281
    99.95 %
US TREASURY MONEY MARKET FUND — CLASS I
SUNTRUST BANK
P O BOX 105504
ATTN SUSAN GRIDER
ATLANTA GA 303485504
    99.11 %
VIRGINIA INTERMEDIATE MUNICIPAL BOND — CLASS A
NATIONAL FINANCIAL SERVICES LLC
200 LIBERTY STREET
ONE WORLD FINANCIAL CENTER
NEW YORK NY 10281
    83.70 %
PERSHING LLC
1 PERSHING PLAZA
14TH FLOOR
JERSEY CITY NJ 07399
    5.70 %
VIRGINIA INTERMEDIATE MUNICIPAL BOND — CLASS C
NATIONAL FINANCIAL SERVICES LLC
200 LIBERTY STREET
ONE WORLD FINANCIAL CENTER
NEW YORK NY 10281
    98.67 %
VIRGINIA INTERMEDIATE MUNICIPAL BOND — CLASS I
SEI PRIVATE TRUST COMPANY
C/O SUNTRUST BANK
ONE FREEDOM VALLEY DRIVE
ATTN MUTUAL FUNDS
OAKS PA 19456
    99.72 %
VIRGINIA TAX FREE MONEY MARKET — CLASS A
NATIONAL FINANCIAL SERVICES LLC
200 LIBERTY STREET
ONE WORLD FINANCIAL CENTER
NEW YORK NY 10281
    100 %
VIRGINIA TAX FREE MONEY MARKET — CLASS I
SUNTRUST BANK
P O BOX 105504
ATTN SUSAN GRIDER
ATLANTA GA 303485504
    82.40 %
SUNTRUST ROBINSON HUMPHREY INC.
303 PEACHTREE ST 24TH FL
ATTN AUTHERINE WILLIAMS MC GA
ATLANTA GA 303083201
    17.60 %

B-22


Table of Contents

         
    Percent of
 
Name and Address of Owner
  Class Owner  
 
LARGE CAP CORE EQUITY FUND — VT
AMERICAN ENTERPRISE LIFE INS CO.
222 AXP FINANCIAL CENTER
MINNEAPOLIS, MN 55474-0014
    36.21 %
HARTFORD LIFE INSURANCE COMPANY
200 HOPEMEADOW STREET
SIMSBURY, CT 06089
    30.58 %
ALLSTATE LIFE AND ANNUITY COMPANY
FINANCIAL CONTROL UNIT
544 LAKEVIEW PKWY
ATTN: DANETTE RICHARDSON
VERNON HILLS, IL 60061-1826
    27.52 %
TRANSAMERICA LIFE INSURANCE COMPANY
4333 EDGEWOOD RD NE
CEDAR RAPIDS, IA 52499-0001
    5.20 %
LARGE CAP GROWTH STOCK FUND — VT
ALLSTATE LIFE AND ANNUITY COMPANY
FINANCIAL CONTROL UNIT
544 LAKEVIEW PKWY
ATTN: DANETTE RICHARDSON
VERNON HILLS, IL 60061-1826
    44.63 %
HARTFORD LIFE INSURANCE COMPANY
200 HOPEMEADOW STREET
SIMSBURY, CT 06089
    31.64 %
LARGE CAP GROWTH STOCK FUND — VT
AMERICAN ENTERPRISE LIFE INS CO.
222 AXP FINANCIAL CENTER
MINNEAPOLIS, MN 55474-0014
    15.57 %
LINCOLN BENEFIT LIFE CO.
VARIABLE
ALLSTATE LIFE INSURANCE CO.
ATTN: ACCOUNTING COE
544 LAKEVIEW PKWY
VERNON HILLS, IL 60061-1826
    6.46 %
LARGE CAP VALUE EQUITY FUND — VT
ALLSTATE LIFE AND ANNUITY COMPANY
FINANCIAL CONTROL UNIT
544 LAKEVIEW PKWY
ATTN: DANETTE RICHARDSON
VERNON HILLS, IL 60061-1826
    52.25 %
HARTFORD LIFE INSURANCE COMPANY
200 HOPEMEADOW STREET
SIMSBURY, CT 06089
    29.66 %
LINCOLN BENEFIT LIFE CO.
VARIABLE
ALLSTATE LIFE INSURANCE CO.
ATTN: ACCOUNTING COE
544 LAKEVIEW PKWY
VERNON HILLS, IL 60061-1826
    13.51 %

B-23


Table of Contents

         
    Percent of
 
Name and Address of Owner
  Class Owner  
 
MID-CAP CORE EQUITY FUND — VT
ALLSTATE LIFE AND ANNUITY COMPANY
FINANCIAL CONTROL UNIT
544 LAKEVIEW PKWY
ATTN: DANETTE RICHARDSON
VERNON HILLS, IL 60061-1826
    59.36 %
HARTFORD LIFE INSURANCE COMPANY
200 HOPEMEADOW STREET
SIMSBURY, CT 06089
    34.87 %
SMALL CAP VALUE EQUITY FUND — VT
ALLSTATE LIFE AND ANNUITY COMPANY
FINANCIAL CONTROL UNIT
544 LAKEVIEW PKWY
ATTN: DANETTE RICHARDSON
VERNON HILLS, IL 60061-1826
    43.12 %
AMERICAN ENTERPRISE LIFE INS CO.
222 AXP FINANCIAL CENTER
MINNEAPOLIS, MN 55474-0014
    43.02 %
TRANSAMERICA LIFE INSURANCE COMPANY
4333 EDGEWOOD RD NE
CEDAR RAPIDS, IA 52499-0001
    7.91 %
SMALL CAP VALUE EQUITY FUND — VT
GREAT WEST LIFE & ANNUITY COMPANY
8515 E ORCHARD
RT 2T2
C/O FASCORP RECORDKEEPER
GREENWOOD VILLAGE, CO 80111-5022
    5.38 %

B-24


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