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UNITED STATES
SECURITIES AND EXCHANGE COMMISSION
Washington, D.C. 20549

SCHEDULE 14A
(Rule 14a-101)
INFORMATION REQUIRED IN PROXY STATEMENT
SCHEDULE 14A INFORMATION
Proxy Statement Pursuant to Section 14(a)
of the
Securities Exchange Act of 1934 (Amendment
(Amendment No.     )

Filed by the Registrant  ☑                              Filed by a Party other than the Registrant  
Filed by the Registrant [X]
Filed by a Party other than the Registrant [   ] 
Check the appropriate box:

  
[   ] Preliminary Proxy Statement[   ] Soliciting Material Under Rule 14a-12
[   ]Confidential, For Use of the
Commission Only (as permitted
by Rule 14a-6(e)(2))
  
[X]Confidential, for Use of the Commission Only (as permitted by Rule 14a-6(e)(2))
 Definitive Proxy Statement
 
[   ] Definitive Additional Materials

 

Delaware VIP® Trust

 
(Name of Registrant as Specified In Its Charter)
 Soliciting Material Pursuant to §240.14a-12

DELAWARE GROUP ADVISER® FUNDS
DELAWARE GROUP CASH RESERVE
DELAWARE GROUP EQUITY FUNDS I
DELAWARE GROUP EQUITY FUNDS II
DELAWARE GROUP EQUITY FUNDS IV
DELAWARE GROUP EQUITY FUNDS V
DELAWARE GROUP FOUNDATION FUNDS
DELAWARE GROUP GLOBAL & INTERNATIONAL FUNDS
DELAWARE GROUP GOVERNMENT FUND
DELAWARE GROUP INCOME FUNDS
DELAWARE GROUP LIMITED-TERM GOVERNMENT FUNDS
DELAWARE GROUP STATE TAX-FREE INCOME TRUST
DELAWARE GROUP TAX FREE FUND
DELAWARE POOLED® TRUST
DELAWARE VIP® TRUST
VOYAGEUR INSURED FUNDS
VOYAGEUR INTERMEDIATE TAX FREE FUNDS
VOYAGEUR MUTUAL FUNDS
VOYAGEUR MUTUAL FUNDS II
VOYAGEUR MUTUAL FUNDS III
VOYAGEUR TAX FREE FUNDS

(Names of Registrant as Specified In Its Charter)




(Name of Person(s) Filing Proxy Statement, if other than the Registrant)

Payment of Filing Fee (Check the appropriate box):
   
 (Name of Person(s) Filing Proxy Statement, if Other Than the Registrant)

Payment of Filing Fee (Check the appropriate box):
[X]  No fee required.
[   ]
  Fee computed on table below per Exchange Act Rules 14a-6(i)(4)(1) and 0-11.
  1)
  (1)
Title of each class of securities to which transaction applies:
   
   
(2)2)
Aggregate number of securities to which transaction applies:
 
3)(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)(4)
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[   ]  Fee paid previously with preliminary materials:materials.
[   ]
  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 formForm or scheduleSchedule and the date of its filing.
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Amount previously paid:Previously Paid:
   
   
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Date Filed:





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PROXY MATERIALS

DELAWARE INVESTMENTSGROUP® FAMILY OF ADVISER FUNDS

Delaware

DELAWARE GROUP CASH RESERVE
DELAWARE GROUP EQUITY FUNDS I
DELAWARE GROUP EQUITY FUNDS II
DELAWARE GROUP EQUITY FUNDS IV
DELAWARE GROUP EQUITY FUNDS V
DELAWARE GROUP FOUNDATION FUNDS
DELAWARE GROUP GLOBAL & INTERNATIONAL FUNDS
DELAWARE GROUP GOVERNMENT FUND
DELAWARE GROUP INCOME FUNDS
DELAWARE GROUP LIMITED-TERM GOVERNMENT FUNDS
DELAWARE GROUP STATE TAX-FREE INCOME TRUST
DELAWARE GROUP TAX FREE FUND
DELAWARE POOLED® TRUST
DELAWARE VIP®Trust

TRUST

VOYAGEUR INSURED FUNDS
VOYAGEUR INTERMEDIATE TAX FREE FUNDS
VOYAGEUR MUTUAL FUNDS
VOYAGEUR MUTUAL FUNDS II
VOYAGEUR MUTUAL FUNDS III
VOYAGEUR TAX FREE FUNDS

100 Independence
610 Market Street
Philadelphia, PA 19106-2354

October 22, 2021
Dear Shareholder:

I am writing to let you know that a

A joint special meeting (the “Meeting”) of the shareholders of Delaware VIP Trust and the other open-end fundseach trust listed above in the Delaware Investments Family of Funds (collectively,® by Macquarie complex (each individually, a “Trust,” and collectively, the “Trusts”) will be held at the offices of Stradley Ronon Stevens & Young, LLP, 2005 Market Street, 26th Floor, Philadelphia, Pennsylvania 19103, on March 31, 2015 at 3:00 p.m., Eastern time. The purpose of the Meeting is to vote on several important proposals that affect the Trusts and each series of their separate serieseach Trust as set forth on Appendix A (each individually, a “Fund”“Fund,” and collectively the “Funds”) and your investment in one or more of them. Aswill be held via webcast on December 17, 2021 at 10:30 am, ET (the “Meeting”).  You are receiving this letter because you were a shareholder you haveof record of at least one Fund as of October 4, 2021 (the “Record Date”).
The Meeting is being held to approve to the opportunityelection of thirteen (13) trustees to voice your opinion on the matters that affect your Fund(s). This package contains information about the proposals and the materials to use when voting by mail, telephone, or through the Internet.

Please read the enclosed materials and cast your vote on the proxy card(s) or by telephone or via the Internet. Please vote your shares promptly. Your vote is extremely important, no matter how large or small your holdings may be.

The proposals have been carefully reviewed by the BoardsBoard of Trustees of the Trusts. each Trust.

The trusteesBoard of the Boards (each, a “Trustee”Trustees of each Trust has approved, and collectively, the “Trustees”), all but one of whom are not affiliated with Delaware Investments®, are responsible for protecting your interests as a shareholder. The Trustees believe these proposals are in the best interests of shareholders.

The Trustees recommendunanimously recommends that you vote FOR, each proposal.

The enclosed overviewall trustee nominees.

Detailed information about the proposal is provided to assist you in understanding the proposals. Each of the proposals is described in greater detailcontained in the enclosed Proxy Statement.


materials. Please review and consider the enclosed materials carefully, and then please take a moment to vote.

TableDue to the coronavirus outbreak (COVID-19) and to support the health and well-being of Contents

Voting is quickour shareholders, employees, and easy. Everything you need is enclosed. To cast your vote, simply completecommunity, the proxy card(s) enclosed in this package. Be sureMeeting will be a completely virtual meeting of shareholders, which will be conducted exclusively by webcast. You are entitled to sign the card(s) before mailing it (them)participate in the postage-paid envelope. You may also vote your shares by touch-tone telephone or through the Internet. Simply call the toll-free number or visit the website indicated on your proxy card(s), enter the control number found on the card(s), and follow the recorded or online instructions.

IfMeeting only if you have any questions before you vote, please call Computersharewere a shareholder of a Fund Services (“Computershare”), the Funds’ proxy solicitor, at 800 337-3503. Computershare will help you get your vote in quickly. You may also receive a telephone call from Computershare reminding you to vote your shares. Thank you for your participation in this important initiative.

Sincerely,


Patrick P. Coyne
Chairman, President, and Chief Executive Officer

February 4, 2015



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NOTICE OF JOINT MEETING OF SHAREHOLDERS
TO BE HELD ON MARCH 31, 2015

To the Shareholders of:

Delaware VIP®Trust

NOTICE IS HEREBY GIVEN that a joint meeting (the “Meeting”) of shareholders of Delaware VIP Trust and the other open-end registered investment companies in the Delaware Investments® Family of Funds (each, a “Trust” and collectively, the “Trusts”) will be held at the offices of Stradley Ronon Stevens & Young, LLP, 2005 Market Street, 26th Floor, Philadelphia, Pennsylvania 19103, on March 31, 2015 at 3:00 p.m., Eastern time. The Meeting is being called to vote on the following proposals:

1.To elect Trustees to the Board of Trustees for each of the Trusts. The nominees for election to the Boards of Trustees are:
Thomas L. BennettLucinda S. Landreth
Ann BorowiecFrances A. Sevilla-Sacasa
Joseph W. ChowThomas K. Whitford
Patrick P. CoyneJanet L. Yeomans
John A. FryJ. Richard Zecher

2.To approve the implementation of a new “manager of managers” order for each separate series of the Trusts (each, a “Fund” and collectively, the “Funds”).
3.To revise the fundamental investment restriction relating to lending for each Fund.
4.Not applicable.
5(a).To revise provisions of each Trust’s Agreement and Declaration of Trust related to documenting the transfer of shares.
(b).To revise provisions of each Trust’s Agreement and Declaration of Trust related to shareholder disclosure of certain information upon board demand.
(c).To revise provisions of each Trust’s By-Laws so that Delaware law will apply to matters related to proxies.



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Shareholders of record of the Trusts as of the close of business on January 22, 2015the Record Date, or if you hold a valid proxy for the Meeting. Shareholders will be able to attend and participate in the Special Meeting online, vote electronically and submit questions prior to and during the meeting by visiting https://meetnow.global/MV5Z5XA on the meeting date and time described in the accompanying proxy statement.  To participate in the Special Meeting, you will need to log on using the control number from your proxy card or Meeting notice.  The control number can be found in the shaded box. There is no physical location for the Meeting.



Whether or not you plan to attend the virtual Meeting, your vote is needed.
Attendance at the Meeting will be limited to shareholders of the Fund as of the close of business on Record Date. You are entitled to notice of, and to vote at, the Meeting orand any adjournment thereof.Whether or not you plan to attendof the Meeting, pleaseeven if you no longer hold shares of the Fund. Your vote is important no matter how many shares you own. It is important that your sharesvote be received no later than the time of the Meeting.
Voting is quick and easy. Everything you need is enclosed. You may vote by completing and returning theyour proxy card(s) by mailcard/voting instruction form in the enclosed postage-paid return envelope, provided,by calling the toll-free telephone number listed on the enclosed proxy card/voting instruction form, or by visiting the Internet website listed on the enclosed proxy card/voting by telephoneinstruction form. You may receive more than one set of proxy materials if you hold shares in more than one account. Please be sure to vote each proxy card/voting instruction form you receive. If we do not hear from you, our proxy solicitor, Computershare, may contact you. This will ensure that your vote is counted even if you cannot or overdo not wish to attend the Internet. Meeting. If you have any questions about the proposal or how to vote, you may call Computershare at 866-963-6125 and a representative will assist you.
Your vote is important.important to us. Thank you for your response and for your investment.
Sincerely,
Shawn K. Lytle
President of the Trusts


DELAWARE GROUP® ADVISER FUNDS
DELAWARE GROUP CASH RESERVE
DELAWARE GROUP EQUITY FUNDS I
DELAWARE GROUP EQUITY FUNDS II
DELAWARE GROUP EQUITY FUNDS IV
DELAWARE GROUP EQUITY FUNDS V
DELAWARE GROUP FOUNDATION FUNDS
DELAWARE GROUP GLOBAL & INTERNATIONAL FUNDS
DELAWARE GROUP GOVERNMENT FUND
DELAWARE GROUP INCOME FUNDS
DELAWARE GROUP LIMITED-TERM GOVERNMENT FUNDS
DELAWARE GROUP STATE TAX-FREE INCOME TRUST
DELAWARE GROUP TAX FREE FUND
DELAWARE POOLED® TRUST
DELAWARE VIP® TRUST
VOYAGEUR INSURED FUNDS
VOYAGEUR INTERMEDIATE TAX FREE FUNDS
VOYAGEUR MUTUAL FUNDS
VOYAGEUR MUTUAL FUNDS II
VOYAGEUR MUTUAL FUNDS III
VOYAGEUR TAX FREE FUNDS

100 Independence
610 Market Street
Philadelphia, PA 19106-2354



NOTICE OF JOINT SPECIAL MEETING OF SHAREHOLDERS




NOTICE IS HEREBY GIVEN

By order that a joint special meeting of the Boardsshareholders of Trustees,


Patrick P. Coyne
Chairman, President,each trust listed above of the Delaware Funds by Macquarie complex (each individually, a “Trust,” and Chief Executive Officer

February 4, 2015

To securecollectively, the largest possible representation“Trusts”) and each series of each Trust as set forth on Appendix A (each individually, a “Fund,” and collectively the “Funds”) will be held via webcast on December 17, 2021 at 10:30 am ET (the “Meeting”).  At the Meeting, shareholders will be asked to consider and vote upon the following proposal (the “Proposal”) and to saveact upon any other business which may properly come before the expenseMeeting or any adjournment or postponement thereof:


Shareholders
Entitled to Vote
Proposal:
To Elect Thirteen (13) Trustees to the Board of Trustees of each TrustAll shareholders of each Trust, voting separately
The Board of further mailings, please markTrustees of each Trust (collectively, the “Board”) has approved, and unanimously recommends that you vote FOR, all nominees in the Proposal.
The Proposal is discussed in greater detail in the enclosed joint proxy statement. Please read the joint proxy statement carefully for information concerning the Proposal. The enclosed materials contain the Notice of Meeting of Shareholders, joint proxy statement and proxy card(s)/voting instruction form(s). A proxy card/voting instruction form is, in essence, a ballot. When you vote your proxy, card(s),it tells us how you wish to vote on important issues relating to your Fund(s). If you complete, sign and return the proxy card/voting instruction form, we will vote it (them) inas you indicated. If you simply sign, date and return the enclosed envelope, which requires no postage if mailed withinproxy card/voting instruction form, but do not specify a vote, your proxy will be voted FOR the United States. If you prefer, youProposal and FOR each trustee nominee.

Shareholders of record of the Fund at the close of business on October 4, 2021 (the “Record Date”) are entitled to receive notice of, and to vote at, the Meeting and any adjournments, postponements or delays thereof. It is important that your shares be voted at the Meeting. You may instead vote by telephone, Internet or by completing the Internet.enclosed proxy card(s)/voting instruction form(s) and returning it in the accompanying envelope as promptly as possible. You may revoke your proxy at any time before or atalso vote by attending the Meeting or vote in person ifvia webcast.
REGARDLESS OF WHETHER YOU PLAN TO PARTICIPATE IN THE MEETING VIA WEBCAST, PLEASE SIGN, DATE AND RETURN THE ENCLOSED PROXY CARD/VOTING INSTRUCTION FORM IN THE ACCOMPANYING POSTAGE-PAID ENVELOPE OR VOTE BY TELEPHONE OR THROUGH THE INTERNET PURSUANT TO THE INSTRUCTIONS ON THE ENCLOSED PROXY CARD/VOTING INSTRUCTION FORM.

If you attend the Meeting as providedvia webcast and wish to vote at that time, you will be able to do so and your vote at the Meeting will revoke any proxy you may have submitted. Merely attending the Meeting via webcast, however, will not revoke a previously given proxy.
Due to the coronavirus outbreak (COVID-19) and to support the health and well-being of our shareholders, employees, and community, the Meeting will be a completely virtual meeting of shareholders, which will be conducted exclusively by webcast. You are entitled to participate in the attached Proxy Statement.Meeting only if you were a shareholder of a Fund as of the close of business on the Record Date, or if you hold a valid proxy for the Meeting. Shareholders will be able to attend and participate in the Special Meeting online, vote electronically and submit questions prior to and during the meeting by visiting https://meetnow.global/MV5Z5XA

SHAREHOLDERS WHO HOLD on the meeting date and time described in the accompanying proxy statement.  To participate in the Special Meeting, you will need to log on using the control number from your proxy card or Meeting notice.  The control number can be found in the shaded box. There is no physical location for the Meeting.

YOUR VOTE IS EXTREMELY IMPORTANT. NO MATTER HOW MANY SHARES IN MORE THAN ONE FUND WILL RECEIVE PROXY CARDS AND/OR PROXY MATERIALS FOR EACH FUND OWNED.YOU OWN, PLEASE SIGN AND PROMPTLY RETURN EACH PROXY CARDSEND IN THE SELF-ADDRESSED ENVELOPE REGARDLESS OFPROXY CARD/VOTING INSTRUCTION FORM, OR VOTE BY TELEPHONE OR THE NUMBER OF SHARES OWNED.


INTERNET TODAY.

TableImportant Notice Regarding the Internet Availability of ContentsProxy Materials for the Meeting.  

PROXY STATEMENT

This Notice and the joint proxy statement and prospectus are available on the internet at delawarefunds.com/DFBMproxy. On this webpage, you will be able to access the Notice, the joint proxy statement and prospectus, any accompanying materials and any amendments or supplements to the foregoing material that are required to be furnished to shareholders.  We encourage you to access and review all of the important information contained in the proxy materials before voting.
BRIEF OVERVIEW3
PROPOSAL 1: TO ELECT A BOARD OF TRUSTEES7
By Order of the Boards of Trustees
Introduction to Proposal 17Shawn K. Lytle
Who are the Trustee Nominees?7
How are nominees for Trustee selected?8
How often do the Boards meet and how are the Trustees compensated?9
Who are the principal officers9
What are the standing committees of the Boards?9
Who are the Trusts’ independent auditors?10
What is a quorum and what is the required vote to elect Trustees?12
PROPOSAL 2: NEW MANAGER OF MANAGERS RELIEF13
Introduction to Proposal 213
Effect of Proposal 2 with respect to Delaware Pooled® Trust’s
International Equity Portfolio only14
Quorum and Required Vote15
PROPOSAL 3: AMENDMENT OF FUNDAMENTAL INVESTMENT
RESTRICTION RELATING TO LENDING
16
Introduction to Proposal 316
Quorum and Required Vote17
PROPOSAL 4: NOT APPLICABLE.18
PROPOSALS 5(A)—(C): AMENDMENTS TO FUND
CHARTER DOCUMENTS
19
Introduction to Proposals 5(a) through 5(c)19
Proposal 5(a)19
Proposal 5(b)20
Proposal 5(c)20
Quorum and Required Vote23
VOTING INFORMATION24
How will shareholder voting be handled?24
How do I ensure my vote is accurately recorded?24
May I revoke my proxy?25Trusts
October 22, 2021


i



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What other matters will be voted upon at the Meeting?25
Who is entitled to vote?25
What is the Quorum requirement?25
Who will pay the expenses of the Meeting?26
What other solicitations will be made?26
Why did my household receive only one copy of this Proxy Statement?27
How do I submit a shareholder proposal for inclusion in a
Trust’s proxy statement for a future shareholder meeting?27
How may I communicate with the Boards?28
MORE INFORMATION ABOUT THE FUNDS28
PRINCIPAL HOLDERS OF SHARES29
APPENDICES TO PROXY STATEMENT30
APPENDIX A – TRUSTS AND SERIES HOLDING JOINT MEETING31
APPENDIX B – TRUSTEE NOMINEES33
APPENDIX C – NOMINATING AND CORPORATE GOVERNANCE
COMMITTEE CHARTER
36
APPENDIX D – FUND SHARE BENEFICIAL OWNERSHIP BY
TRUSTEE NOMINEES
40
APPENDIX E – TRUSTEE COMPENSATION45
APPENDIX F – PRINCIPAL OFFICERS OF THE TRUSTS46
APPENDIX G – AUDITOR INFORMATION47
APPENDIX H – PRE-APPROVAL POLICIES AND PROCEDURES49
APPENDIX I – TRUSTEES AND OFFICERS OF DMC56
APPENDIX J – NUMBER OF SHARES OF EACH
FUND OUTSTANDING
68
APPENDIX K – 1% SHARE OWNERSHIP73
APPENDIX L – 5% SHARE OWNERSHIP74

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2005 Market Street
Philadelphia, PA 19103

DELAWARE INVESTMENTS® FAMILY OF FUNDS
JOINT PROXY STATEMENT


DATED FEBRUARY 3, 2015

Delaware

For

DELAWARE GROUP® ADVISER FUNDS
DELAWARE GROUP CASH RESERVE
DELAWARE GROUP EQUITY FUNDS I
DELAWARE GROUP EQUITY FUNDS II
DELAWARE GROUP EQUITY FUNDS IV
DELAWARE GROUP EQUITY FUNDS V
DELAWARE GROUP FOUNDATION FUNDS
DELAWARE GROUP GLOBAL & INTERNATIONAL FUNDS
DELAWARE GROUP GOVERNMENT FUND
DELAWARE GROUP INCOME FUNDS
DELAWARE GROUP LIMITED-TERM GOVERNMENT FUNDS
DELAWARE GROUP STATE TAX-FREE INCOME TRUST
DELAWARE GROUP TAX FREE FUND
DELAWARE POOLED® TRUST
DELAWARE VIP®Trust

TRUST

VOYAGEUR INSURED FUNDS
VOYAGEUR INTERMEDIATE TAX FREE FUNDS
VOYAGEUR MUTUAL FUNDS
VOYAGEUR MUTUAL FUNDS II
VOYAGEUR MUTUAL FUNDS III
VOYAGEUR TAX FREE FUNDS

100 Independence
610 Market Street
Philadelphia, PA 19106-2354

Dated: October 22, 2021

JOINT PROXY STATEMENT
FOR THE JOINT SPECIAL MEETING OF SHAREHOLDERS
TO BE HELD ON DECEMBER 17, 2021



This joint proxy statement (the “Proxy(“Joint Proxy Statement”) solicitsis being furnished to you in connection with the solicitation of proxies to be voted at a joint meeting of shareholders (the “Meeting”) of Delaware VIP Trust along with other registered open-end management investment companies in the Delaware Investments® Family of Funds (each, a “Trust” and collectively, the “Trusts”), each of which is issuing proxy solicitation materials. Each of the separate funds within a Trust is referred to as a “Fund” and they are collectively referred to as the “Funds.” The Meeting was called by the Boards of Trustees of the Trusts (each a “Board”“Board,” and collectively, the “Board” or the “Boards”) of the each of the trusts listed above (each individually, a “Trust,” and collectively, the “Trusts”) on behalf of each series of each Trust as set forth on Appendix A (each individually, a “Fund,” and collectively the “Funds”) to be held via webcast on December 17, 2021 at 10:30 am ET (the “Meeting”).
The Joint Proxy Statement provides you with information you should review before voting on the matters listed in the Notice of the Joint Special Meeting of Shareholders. Much of the information in this Joint Proxy Statement is required under rules of the U.S. Securities and Exchange Commission (“SEC”). If there is anything you do not understand, please contact Computershares at 866-963-6125. This Joint Proxy Statement, the Notice of the Joint Special Meeting of Shareholders and related proxy card(s)/voting instruction form(s) will be mailed to shareholders of the Funds beginning on or about October 25, 2021.
Proposal/Shareholders Entitled to Vote
1

The Meeting is being called to ask shareholders to consider and vote on the following proposals (each, aproposal (the “Proposal” and collectively, the “Proposals”), each of which is described more fully below:


ProposalWho votes on the Proposal?

1.

To elect a Board of Trustees.

Shareholders of each Trust, with shareholders of all Funds of such Trust voting collectively.

   
Shareholders
Entitled to Vote

2.

Proposal:

To approveElect Thirteen (13) Trustees to the implementationBoard of a new “manager of managers” order.

ShareholdersTrustees of each Fund, voting separately fromTrust

All shareholders of each other Fund.

3.

To revise the fundamental investment restriction relating to lending.

Shareholders of each Fund,Trust, voting separately from shareholders of each other Fund.

4.

Not applicable.

5.

(a)

To revise provisions of the Agreement and Declaration of Trust related to documenting the transfer of shares.

Shareholders of each Trust, with shareholders of all Funds of such Trust voting collectively.

(b)

To revise provisions of the Agreement and Declaration of Trust related to shareholder disclosure of certain information upon board demand.

(c)

To revise provisions of the By-Laws so that Delaware law will apply to matters related to proxies.

The Board has unanimously approved, and recommends that you vote FOR, all nominees.



TableShareholders of Contents

The principal officesrecord of the Trusts are located at 2005 Market Street, Philadelphia, Pennsylvania 19103. You can reach the officesFund as of the Trusts by telephone by calling 800 523-1918. Each Trust registered as an open-end management investment company underclose of business on October 4, 2021 (the “Record Date”) are entitled to attend and to vote at the Investment Company Act of 1940, as amended (the “1940 Act”). A listMeeting.  As of the FundsRecord Date, the number of shares of each TrustFund outstanding and entitled to vote at the Meeting is set forth inon Appendix A.

TheB.

Due to the coronavirus outbreak (COVID-19) and to support the health and well-being of our shareholders, employees, and community, the Meeting will be held atconducted exclusively via webcast. Instructions on how to vote whether you expect to attend the offices of Stradley Ronon Stevens & Young, LLP, 2005 Market Street, 26th Floor, Philadelphia, Pennsylvania 19103, on March 31, 2015 at 3:00 p.m., Eastern time. Only Fund shareholders will be admitted toMeeting or not are provided under the Meeting. The Boards, on behalf of each Fund, are soliciting these proxies. This Proxy Statement is first being sent to shareholders on or about February 16, 2015.

This Proxy Statement gives you information about the Trustees, the Proposals, and other matters that you should know before voting. The Board of each Trust has determined that the joint usesection “VOTING PROCEDURES—How do I vote?” section of this Joint Proxy Statement for the Meeting is in the best interests of each Fund and its shareholders in light of the similar matters being considered and voted on by the shareholders of all of the Funds.

Statement.

TO ASSURE THE PRESENCE OF A QUORUM AT THE MEETING, PLEASE PROMPTLY EXECUTE AND RETURN THE ENCLOSED PROXY CARD(S)/VOTING INSTRUCTION FORM(S). A SELF-ADDRESSED, POSTAGE-PAID ENVELOPE IS ENCLOSED FOR YOUR CONVENIENCE. ALTERNATIVELY, YOU MAY VOTE THROUGH THE INTERNET AT THE WEBSITE ADDRESS PRINTED ON THE ENCLOSED PROXY CARD/VOTING INSTRUCTION FORM.
Each Fund’s annual report to shareholders is sent to shareholders of record following the Fund’s fiscal year end. Each Fund will furnish, without charge, a copy of its most recent annual report and most recent succeeding semiannual report, if any, to a shareholder upon request. Such requests should be directed to a Fund by calling 800 523-1918 or by writing to the Fund at Attention: Shareholder Services, P.O. Box 9876, Providence, RI 02940-8076 by regular mail or 4400 Computer Drive, Westborough, MA 01581-1722 by overnight courier service. Each Fund’s most recent annual report and most recent succeeding semiannual report, if any, are also available free of charge through the Funds’ website at delawareinvestments.com.2

Two or more shareholders of a Fund who share an address might receive only one annual report or Proxy Statement, unless the Fund has received instructions to the contrary. Each Fund will promptly send a separate copy of such documents to any shareholder upon request. To request a separate copy of an annual report or the Proxy Statement, shareholders should contact their Fund at the address and phone number set forth above.




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BRIEF OVERVIEW

Important information to help you understand the Proposals.

IMPORTANT INFORMATION TO HELP YOU UNDERSTAND AND VOTE ON THE PROPOSAL
Below is a brief overview of the Proposalsmatter to be voted upon. The Proposals are described in greater detail inon at the enclosed proxy statement.Meeting. Your vote is important, no matter how large or small your holdings may be.

What Proposals Please read the full text of this Joint Proxy Statement, which contains additional information about the Proposal, and keep it for future reference.

PROPOSAL: TO ELECT THIRTEEN (13) TRUSTEES TO THE BOARD OF TRUSTEES OF EACH TRUST
Why am I being asked to vote on?

You are being asked to vote onelect new Trustees?

Currently, the following Proposals:

1.To elect a Board of Trustees.
2.To approve the implementation of a new “manager of managers” order.
3.To revise the fundamental investment restriction relating to lending.
4.Not applicable.
5.(a)To revise provisions of the Agreement and Declaration of Trust related to documenting the transfer of shares.
(b)To revise provisions of the Agreement and Declaration of Trust related to shareholder disclosure of certain information upon board demand.
(c)To revise provisions of the By-Laws so that Delaware law will apply to matters related to proxies.

Has the Board approved the Proposals?

Yes. The Board of Trustees of each Trust has approvedten members, nine of whom are Independent Trustees (as defined below).  The Board has determined to increase the Proposals, and recommends that you vote to approve those that apply to your Fund.

Proposal 1: To elect a Board of Trustees.

What is the rolesize of the Board of Trustees?

Eacheach Trust is governed by a Board of Trustees, which has oversight responsibility for the management of the Trust’s business affairs. Trustees establish procedures and oversee and review the performance of the investment advisor, the distributor, and others who perform services for the Trust. Each of the Boards isto thirteen members, to be comprised of the same Trustees.



Tableten existing trustees of Contents

Whoeach Trust and three nominees who served as trustees of the Ivy Funds complex prior to the acquisition of the parent company of the Ivy Funds’ investment adviser, Waddell & Reed Financial, Inc., by Macquarie Asset Management, the asset management division of Macquarie Group (“Macquarie”) and an affiliate of the Funds’ investment adviser, Delaware Management Company (“DMC”).  In order to satisfy the board composition requirements of the Investment Company Act of 1940, as amended (the “1940 Act”), the Funds’ shareholders must approve the selection of the trustee nominees.  Among other things, the Board considered the background and experience of each trustee nominee, including each trustee nominee’s experience with the Delaware Funds by Macquarie or the Ivy Funds, and determined that each trustee nominee would provide valuable continuity and enhance the Board’s oversight of the Funds.  Information about the trustee nominees, including age, principal occupations during the past five years, and other information, such as the trustee nominees’ experience, qualifications, attributes, or skills, is set forth in this Joint Proxy Statement.

VOTING PROCEDURES
Why did you send me this booklet?
You are receiving this booklet because you were a shareholder of one or more Funds as of the Trustee Nomineesclose of business on October 4, 2021 (the “Record Date”).  This booklet includes the Joint Proxy Statement. It provides you with information you should review before providing voting instructions on the matters listed above.  The words “you” and how were they selected?

Shareholders“shareholder” are used in this Joint Proxy Statement to refer to the person or entity that has voting rights or is being asked to elect ten Trustees (the “Trustee Nominees”)provide voting instructions in connection with the shares.

Who is asking for my vote?
The Board has sent a Joint Proxy Statement to the Boardyou and all other shareholders of each Trust. Ninerecord who have a beneficial interest in a Fund as of the ten Trustee Nominees standingRecord Date. The Board is soliciting your vote for election are presently members of the Boards. Each Board of Trustees’ Nominating and Corporate Governance Committee considered the qualifications of prospective Board members and recommended that the Trustee Nominees be elected. Each Board of Trustees has nominated and selected the Trustee Nominees and recommends that the Trustee Nominees be elected.

Proposal 2: To approve the implementation of a new “manager of managers” order.

Whatdiscussed herein.

Who is Proposal 2?

Proposal 2 relateseligible to a type of exemptive relief granted by the U.S. Securities and Exchange Commission (“SEC”), known as a “manager of managers” order, that allows funds to hire sub-advisors and to make certain material changes to sub-advisory agreements without shareholder approval. Under this structure,vote?

Shareholders holding an investment advisor has the ultimate responsibility, subject to oversight by the boardin shares of trustees, for overseeing funds’ sub-advisors and recommending to the board of trustees their hiring, termination, or replacement.

The Funds, except for The International Equity Portfolio of the Delaware Pooled® Trust, have been previously granted a manager of managers order that allows them to hire unaffiliated sub-advisors and to make material amendments to the related sub-advisory contracts. It is proposed that the Funds seek new manager of managers relief that would give them authority to hire both affiliated and unaffiliated sub-advisors, and to make material amendments to the related sub-advisory contracts.

For shareholders of The International Equity Portfolio of the Delaware Pooled Trust, a vote to approve new manager of managers relief under Proposal 2 will apply to the new manager of managers order related to both affiliated and unaffiliated sub-advisors as described above, as well as to the manager of managers order related only to unaffiliated sub-advisors that the restany of the Funds have already adopted.

Why should shareholders approve this Proposal?

Proxy solicitations can be a long and costly process for funds and without this exemptive relief, shareholder approval is required in order to hire a new sub-advisor that is affiliated (and unaffiliated for The International Equity Portfolio) with the Funds’ investment advisor or to change certain material terms of a related sub-advisory agreement. If the Funds were granted the new manager of managers order that included affiliated (and unaffiliated for The International Equity Portfolio) sub-advisors, it would permit the Funds’ investment advisor to recommend and hire a broader universe of sub-advisors in a cost-effective and timely manner, which the Boards believe would benefit the Funds and their shareholders.



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Proposal 3: To revise the fundamental investment restriction relating to lending.

What is Proposal 3?

The Trusts each have a fundamental investment restriction related to making loans which is more limited in scope than what is required by federal securities laws. As a result, the restrictions prohibit certain lending activities that would be otherwise permissible for the Funds, including interfund borrowing and lending. Proposal 3 provides for the revisionas of the restriction related to loans to expand the scopeclose of lending activities in which the Funds could engage.

Why should shareholders approve this Proposal?

Changing the fundamental investment restriction related to loans would enable the Funds to accommodate industry and market developments and provide them with additional liquidity resources.

Proposal 4: Not applicable.

Proposal 5(a): To revise provisions of the Agreement and Declaration of Trust related to documenting the transfer of shares.

What is Proposal 5(a)?

Proposal 5(a) provides for the amendment of each Trust’s Agreement and Declaration of Trust to add detailed procedures for the transfer of shares. The proposed language would provide express protection to the Funds and the Board for relyingbusiness on the books of a Trust with respectRecord Date are eligible to the identity of the shareholders of record.

Why should shareholders approve this Proposal?

The proposed amendments would add transparency to the process of transferring ownership of shares. Clarifying the share transfer provisions in each Trust’s Agreement and Declaration of Trust benefits both the Funds and shareholders, as it provides greater certainty with respect to ownership.

Proposal 5(b): To revise provisions of the Agreement and Declaration of Trust related to shareholder disclosure of certain information upon board demand.

What is Proposal 5(b)?

Proposal 5(b) provides for the amendment of each Trust’s Agreement and Declaration of Trust to add a provision requiring that shareholders provide certain information upon the request of the Board. The proposed amendment would require



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shareholders of record to disclose direct and indirect share ownership information to a Fund upon Board demand, in the event that the Fund needed such information to comply with tax requirements.

Why should shareholders approve this Proposal?

Having the ability to obtain shareholder ownership information will allow the Funds to more effectively and efficiently comply with current and future tax regulations.

Proposal 5(c): To revise provisions of the By-Laws so that Delaware law will apply to matters related to proxies.

What is Proposal 5(c)?

Proposal 5(c) provides for the amendment of each Trust’s By-Laws to change a provision related to proxy matters. Each Trust’s Agreement and Declaration of Trust currently provides that the revocability of a proxy is governed by the Delaware General Corporation Law. The proposed amendment to the By-Laws expands the application of Delaware General Corporation Law to all matters relating to proxies, thereby providing the Funds with a defined body of law to govern matters relating to proxies.

Why should shareholders approve this Proposal?

The proposed amendment to the By-Laws provides clarity on the choice of law relating to proxy matters and establish a body of case, statutory, and other law for interpreting and resolving proxy-related issues and disputes. This, combined with the depth and breadth of Delaware business law, may increase certainty of outcome for the Funds and shareholders with regard to proxies.

Who may vote and how many votes am I entitled to cast?

Only shareholders of recordvote. Shareholders of the Funds on the record date will be entitled to notice of, and to vote at, the Meeting on the matters described in this Proxy Statement. The record date is the close of business on January 22, 2015. ShareholdersRecord Date will be entitled to one vote for each full share and(and a proportional fractional vote for each fractionalfraction of a share held.)  No shares have cumulative voting rights in the election of Trustees.

Delaware VIP Trust (“Delaware VIP”) sells its shares only to the separate accounts of certain select insurance companies (“Participating Insurance Companies”) to fund certain variable life insurance policies and variable annuity contracts (“Policies”).  These shares are currently sold only to variable life insurance separate accounts and variable annuity separate accounts (hereinafter collectively referred to as the “Variable Accounts”) as a funding vehicle for the Policies offered by the Variable Accounts of Participating Insurance Companies. Each of the Variable Accounts has a sub-account (“Sub-Account”), the assets of which are invested in shares of Delaware VIP Funds.
Owners of the Policies issued by each Participating Insurance Company (“Policyowners”) who select a portfolio for investment through a Variable Account have a beneficial interest in a Delaware VIP Fund, but do not invest directly in or hold shares of a Delaware VIP Fund. The Participating Insurance Company that they hold.

uses a Delaware VIP Fund as an investment option is, in most cases, the actual shareholder of the Delaware VIP Fund and, as the legal owner of the Delaware VIP Fund’s shares, has voting power with respect to the shares.  Each Participating Insurance company is

3


the legal owner of all Delaware VIP Fund shares held by the Variable Accounts of that Participating Insurance Company. In accordance with its view of applicable law, each Participating Insurance Company is soliciting voting instructions from its Policyowners with respect to all matters to be acted upon at the Meeting. The Policyowners permitted to give instructions for the Delaware VIP Fund and the number of Fund shares for which instructions may be given will be determined as of the Record Date for the Meeting. The numbers of votes which a Policyowner has the right to instruct will be calculated separately for each Variable Account. That number will be determined by applying the Policyowner’s percentage interest, if any, in the Sub-Account holding shares of the Fund to the total number of votes attributable to that Sub-Account. All Delaware VIP Fund shares held by the Variable Accounts of a Participating Insurance Company will be voted in accordance with voting instructions received from its Policyowners. Each Participating Insurance Company will vote Delaware VIP Fund shares attributable to its Policies as to which no timely instructions are received, and any Delaware VIP Fund shares held by that Participating Insurance Company as to which Policyowners have no beneficial interest, in proportion to the voting instructions, including abstentions, which are received with respect to its Policies participating in the Delaware VIP Fund. The effect of such proportional voting is that a small number of Policyowners may determine the outcome of the vote.
For purposes of this Joint Proxy Statement, the terms “shareholder,” “you,” and “your” may refer to Policyowners and to Variable Accounts and Participating Insurance Companies, as direct owners of shares of the Delaware VIP Funds, and any other direct shareholders of the Funds, unless the context otherwise requires.
How do I vote?
Due to the coronavirus outbreak (COVID-19) and to support the health and well-being of our shareholders, employees, and community, the Meeting will be a completely virtual meeting of shareholders, which will be conducted exclusively by webcast. You are entitled to participate in the Meeting only if you were a shareholder of a Fund as of the close of business on the Record Date, or if you hold a valid proxy for the Meeting.  Shareholders will be able to attend and participate in the Meeting online, vote my shares?

You mayelectronically and submit questions prior to and during the meeting by visiting https://meetnow.global/MV5Z5XA on the meeting date and time described in the accompanying proxy statement.  To participate in the Special Meeting, you will need to log on using the control number from your proxy card or meeting notice.  The control number can be found in the shaded box. There is no physical location for the Special Meeting.

If you do not expect to be present at the Meeting via webcast and wish to vote by completing, signing, and returningyour shares, please vote your proxy in accordance with the instructions included on the enclosed proxy cardcard(s)/voting instruction form(s). If your proxy is properly returned, shares represented by it will be voted at the Meeting in accordance with your instructions for the enclosed postage paid envelope. YouProposal. If your proxy is properly executed and returned and no choice is specified on the proxy card(s)/voting instruction form(s) with respect to the Proposal, the proxy will be voted FOR the approval of each trustee nominee and in accordance with the judgment of the person appointed as proxy upon any other matter that may also voteproperly come before the Meeting. Shareholders who execute proxies may revoke or change their proxy at any time prior to the time it is voted by telephonedelivering a written notice of revocation, by calling 800 337-3503delivering a subsequently dated proxy by mail or via the Internet or by attending the Meeting via webcast and voting at proxydirect.com. In addition,the Meeting. If you mayrevoke a previous proxy, your vote will not be counted unless you attend the Meeting via webcast and vote or legally appoint another proxy to vote on your behalf.
If you are a registered shareholder, you do not need to register to attend the Meeting virtually on the Internet. If you hold your shares through an intermediary, such as a bank or broker, you must register in person.

advance to attend the Meeting virtually on the Internet.
To register to attend the Meeting online by webcast you must submit proof of your proxy power (legal proxy) reflecting your Fund holdings along with your name and email address to Computershare. You must contact the bank or broker who holds your shares to obtain your legal proxy.  Requests for registration must be labeled as “Legal Proxy” and be received no later than 5:00 p.m., ET, 3 business days prior to the Meeting date.
Requests for registration should be directed to us by emailing an image of your legal proxy, to shareholdermeetings@computershare.com.
The virtual meeting platform is fully supported across MS Edge, Firefox, Chrome and Safari browsers and devices (desktops, laptops, tablets and cell phones) running the most up-to-date version of applicable software and plugins. Please note that Internet Explorer is no longer supported. Participants should ensure that they have a strong WiFi connection wherever they intend to participate in the meeting. We encourage you to access the meeting prior to the
4

start time. A link on the meeting page will provide further assistance should you need it or you may call 888-724-2416 or 781-575-2748.
How can I obtain more information about the Funds?
Copies of each Trust’s Annual Report for the most recently completed fiscal year previously have been mailed or made available to shareholders. This Joint Proxy Statement should be read in conjunction with each Annual Report. You can obtain copies of the Annual Reports, without charge, by writing to the respective Trust or to Delaware Distributors, L.P. at 100 Independence, 610 Market Street, Philadelphia, PA 19106-2354, or by calling 800-523-1918. You should receive the reports within three business days of your request. Copies of these reports are also available free of charge at www.delawarefunds.com.



PROPOSAL 1: 1
TO ELECT ATHIRTEEN (13) TRUSTEES TO THE BOARD OF TRUSTEES

OF EACH TRUST

Introduction
Currently, the Board of Trustees of each Trust has ten members, nine of whom are Independent Trustees (as defined below).  The Board has determined to Proposal 1

In Proposal 1, shareholders are being asked to elect ten trustees (the “Trustee Nominees”) toincrease the size of the Board of each Trust.

Each Trust is governed by a Board, which has oversight responsibility for the management of the Trust’s business affairs. Trustees establish procedures and oversee and review the performance of the investment advisor, the distributor, and others who perform services for the Trust. Each Board isto thirteen members, to be comprised of the sameten existing trustees of each Trust and all of the Trusts arethree nominees who served by the same officers.

Who are the Trustee Nominees?

Theas trustees of the Boards (each, a “Trustee” and collectively,Ivy Funds complex prior to the “Trustees”) are responsible for supervising the managementacquisition of the Trusts and serving the needs and best interests of Fund shareholders. Nineparent company of the Trustee Nominees standing for election are presently membersIvy Funds’ investment adviser, Waddell & Reed Financial, Inc., by Macquarie Asset Management, the asset management division of Macquarie Group (“Macquarie”) and an affiliate of the Boards:Funds’ investment adviser, Delaware Management Company (“DMC”)..  In order to satisfy the board composition requirements of the Investment Company Act of 1940, as amended (the “1940 Act”), the Funds’ shareholders must approve the selection of the trustee nominees. Among other things, the Board considered the background and experience of each trustee nominee, including each trustee’s experience with the Delaware Funds by Macquarie and the Ivy Funds, and determined that each trustee nominee would provide valuable continuity and enhance the Board’s oversight of the Funds.

At the Meeting, shareholders of each Trust will be asked to elect the following nominees to serve as Trustees on the Board of each Trust: Jerome D. Abernathy, Thomas L. Bennett, Ann D. Borowiec, Joseph W. Chow, Patrick P. Coyne,H. Jeffrey Dobbs, John A. Fry, Lucinda S. Landreth,Joseph Harroz, Jr., Sandra A. J. Lawrence, Frances A. Sevilla-Sacasa, Thomas K. Whitford, Christianna Wood, Janet L. Yeomans, and Shawn K. Lytle (the “Trustee Nominees”).
The Board currently consists of ten Trustees: Jerome D. Abernathy, Thomas L. Bennett, Ann D. Borowiec, Joseph W. Chow, John A. Fry, Frances A. Sevilla-Sacasa, Thomas K. Whitford, Christianna Wood, Janet L. Yeomans, and Shawn K. Lytle (the “Current Trustees”).
If each Trustee Nominee is approved, the Board of each Trust would consist of thirteen Trustees.  Of the ten Current Trustees, Thomas L. Bennett, Ann D. Borowiec, Joseph W. Chow, John A. Fry, Frances A. Sevilla-Sacasa, Thomas K. Whitford and Janet L. Yeomans have previously been elected to the Board by Fund shareholders.  In addition to the Trustee Nominees who are Current Trustees, it is proposed that three additional Trustee Nominees — Joseph Harroz, Jr., Sandra A. J. Richard Zecher. Ann Borowiec has not previously served as a TrusteeLawrence, and H. Jeffrey Dobbs — be added to the Board if elected by Fund shareholders.   Except for the Trusts. Prior to her recent retirement, Ms. Borowiec served as Chief Executive Officer of Private Wealth Management at J.P. Morgan Chase & Company.

Each Board is comprisedMr. Lytle, none of the same Board members. Nine of the ten Trustee Nominees are notan “interested persons”person” of the Trusts as that(as such term is defined in the 1940 Act (together, theAct) (the “Independent Trustees”).  OnlyShould Mr. CoyneLytle be elected to the Board of each Trust by that Trust’s shareholders, he would be considered an “interested” Trustee because of his position with Macquarie (the “Interested Trustee”).

At a meeting held on August 11-12, 2021, the Board, at the recommendation of the Trusts’ Nominating and Corporate Governance Committee, which is deemedcomprised solely of Independent Trustees, nominated each Trustee Nominee for election to the Board of each Trust.
Information about the Trustee Nominees
The persons named in the accompanying form of proxy intend to vote at the Meeting (unless directed not to vote) FOR the election of each Trustee Nominee set forth below.  All Trustee Nominees have indicated that they will serve on the Board, and the Board has no reason to believe that any of them will become unavailable to continue to serve as Trustees.  If a Trustee Nominee is unavailable to serve for any reason, the persons named as proxies will vote for such other Trustee Nominees nominated by the Independent Trustees.  Under the Declarations of Trust and By-laws, a Trustee may serve as a Trustee until he or she dies, resigns or is removed from office.
Independent Trustee Nominees
The twelve Independent Trustee Nominees, their term of office and length of time served (as applicable), their principal business occupations during the past five years, the number of portfolios overseen by the Trustee Nominees
6

(or the number of portfolios they will oversee should they be elected by shareholders, as applicable) and other directorships, if any, held by the Trustee Nominees are shown below.

NAME,
ADDRESS AND
YEAR OF BIRTH
POSITION(S)
HELD OR TO BE HELD WITH
THE TRUSTS
TRUSTEE
SINCE
PRINCIPAL
OCCUPATION(S)
DURING PAST
5 YEARS
NUMBER
OF FUNDS IN
FUND
COMPLEX
OVERSEEN OR TO BE OVERSEEN
OTHER
DIRECTORSHIPS
HELD DURING
PAST 5 YEARS
Interested Trustee
Shawn K. Lytle1
100 Independence,
610 Market Street
Philadelphia, PA
19106-2354
1970
President, Chief Executive Officer, and Trustee
President and Chief Executive Officer since August 2015
Trustee since September 2015
Global Head of Macquarie Investment Management (January 2019-Present); Head of Americas of Macquarie Group (December 2017-Present); Deputy Global Head of Macquarie Investment Management (2017-2019); Head of Macquarie Investment Management Americas (2015-2017)150None
Independent Trustees
Jerome D. Abernathy
100 Independence,
610 Market Street
Philadelphia, PA
19106-2354
1959
TrusteeSince January 2019Managing Member, Stonebrook Capital Management, LLC (financial technology: macro factors and databases) (January 1993–Present)150None
Thomas L. Bennett
100 Independence,
610 Market Street
Philadelphia, PA
19106-2354
1947
Chair and
Trustee
Trustee since March 2005
Chair since March 2015
Private Investor (March 2004–Present)150None
Ann D. Borowiec
100 Independence,
610 Market Street
Philadelphia, PA
19106-2354
1958
TrusteeSince March 2015Private Investor (2013-Present)

Chief Executive Officer, Private Wealth Management (2011–2013) and Market Manager, New Jersey Private Bank (2005–2011)—J.P.Morgan Chase & Co.
150
Director—Banco Santander International (October 2016–December 2019)
Director—Santander Bank,
N.A. (December 2016–
December 2019)
Joseph W. Chow
100 Independence,
610 Market Street
Philadelphia, PA
19106-2354
1953
Trustee
Since January 2013
Private Investor (April 2011–Present)150
Director and Audit Committee Member—Hercules Technology
Growth Capital, Inc. (July 2004–July 2014)
H. Jeffrey Dobbs
100 Independence,
610 Market Street
Philadelphia, PA
19106-2354
1955
 Trustee Nominee N/A Private Investor (2015-Present)

Global Sector Chairman, Industrial Manufacturing—KPMG LLP (2010-2015)
 150
Trustee—Ivy Funds, InvestEd and Ivy VIP Funds (2019-2021)
Director—Valparaiso University (2012-Present)
Director—TechAccel LLC (2015-Present) (Tech R&D)
7

NAME,
ADDRESS AND
YEAR OF BIRTH
 POSITION(S)
HELD OR TO BE HELD WITH
THE TRUSTS
 TRUSTEE
SINCE
 PRINCIPAL
OCCUPATION(S)
DURING PAST
5 YEARS
NUMBER
OF FUNDS IN
FUND
COMPLEX
OVERSEEN OR TO BE OVERSEEN
 OTHER
DIRECTORSHIPS
HELD DURING
PAST 5 YEARS






Board Member—Kansas City Repertory Theatre (2015-Present)
Board Member—PatientsVoices, Inc. (technology) (2018-Present)
Kansas City Campus for Animal Care (2018-Present)
John A. Fry
100 Independence,
610 Market Street
Philadelphia, PA
19106-2354
1960
TrusteeSince January 2001
President—Drexel University (August 2010–Present)
President—Franklin & Marshall College (July 2002–June 2010)
150
Director; Compensation
Committee and Governance Committee Member—Community Health Systems (May 2004–Present)
Director and Audit Committee Member— vTv Therapeutics Inc. (2017–Present)
Director and Audit Committee Member—FS Credit Real Estate Income Trust, Inc. (2018–Present)
Director and Audit Committee Member—Federal Reserve Bank of Philadelphia (January
2020–Present)
Joseph Harroz, Jr.
100 Independence,
610 Market Street
Philadelphia, PA
19106-2354
1967
 Trustee Nominee N/A
President (2020-Present), Interim President (2019-2020), Vice President (2010-2019) and Dean (2010-2019)—College of Law, University of Oklahoma
Managing Member—Harroz Investments, LLC, (commercial enterprises) (1998-2019)
Managing Member—St. Clair, LLC (commercial enterprises) (2019-Present)
 150
Trustee—Ivy Funds, InvestEd and Ivy VIP Funds (1998-2021)
Director and Shareholder—Valliance Bank (2007-Present)
Director—Foundation Healthcare (formerly Graymark HealthCare) (2008-2017)
Trustee—the Mewbourne Family Support Organization (non-profit) (2006-Present) (non-profit)
Independent Director—LSQ Manager, Inc. (real estate) (2007-2016)

Director—Oklahoma Foundation for Excellence (non-profit) (2008-Present)
Independent Chairman and Trustee—WRA Funds (Independent Chairman: 2015-2018; Trustee: 1998-2018)
8

NAME,
ADDRESS AND
YEAR OF BIRTH

POSITION(S)
HELD OR TO BE HELD WITH
THE TRUSTS
TRUSTEE
SINCE
PRINCIPAL
OCCUPATION(S)
DURING PAST
5 YEARS
 NUMBER
OF FUNDS IN
FUND
COMPLEX
OVERSEEN OR TO BE OVERSEEN
OTHER
DIRECTORSHIPS
HELD DURING
PAST 5 YEARS
Sandra A. J. Lawrence
100 Independence,
610 Market Street
Philadelphia, PA
19106-2354
1957
Trustee NomineeN/A
Private Investor (2019-Present)
Formerly, Chief Administrative Officer—Children’s Mercy Hospitals and Clinics (2016-2019); and CFO—Children’s Mercy Hospitals and Clinics (2005-2016)
150
Trustee—Ivy Funds, InvestEd and Ivy VIP Funds (2019-2021)
Director, Hall Family Foundation (1993-Present)
Director, Westar Energy (utility) (2004-2018)
Trustee, Nelson-Atkins Museum of Art (non-profit) (2007-2020)
Director, Turn the Page KC (non-profit) (2012-2016)
Director, Kansas Metropolitan Business and Healthcare Coalition (non-profit) (2017-2019)
Director, National Association of Corporate Directors (non-profit) (2017-Present)
Director, American Shared Hospital Services (medical device) (2017-Present)
Director, Evergy, Inc., Kansas City Power & Light Company, KCP&L Greater Missouri Operations Company, Westar Energy, Inc. and Kansas Gas and Electric Company (related utility companies) (2018-Present)
Director, Stowers (research) (2018); CoChair, Women Corporate, Directors (director education) (2018-2020)
Frances A. Sevilla-Sacasa
100 Independence,
610 Market Street
Philadelphia, PA
19106-2354
1956
TrusteeSince September 2011
Private Investor
(January2017–Present)
Chief Executive Officer— Banco Itaú International
(April 2012–December 2016)
Executive Advisor to Dean (August 2011–March2012) and Interim Dean (January 2011–July 2011)—
 150
Trust Manager and Audit
Committee Chair—Camden Property Trust (August 2011–Present)
Director; Audit and Compensation Committee—Callon Petroleum Company (December 2019–Present)
Director; Audit Committee
9

NAME,
ADDRESS AND
YEAR OF BIRTH
POSITION(S)
HELD OR TO BE HELD WITH
THE TRUSTS
TRUSTEE
SINCE
PRINCIPAL
OCCUPATION(S)
DURING PAST
5 YEARS
NUMBER
OF FUNDS IN
FUND
COMPLEX
OVERSEEN OR TO BE OVERSEEN
OTHER
DIRECTORSHIPS
HELD DURING
PAST 5 YEARS




University of Miami School of Business Administration
President—U.S. Trust Bank of America Private Wealth
Management (Private Banking) (July 2007–December 2008)


Member—Carrizo Oil & Gas, Inc.(March 2018–December 2019)
Thomas K. Whitford
100 Independence,
610 Market Street
Philadelphia, PA
19106-2354
1956
TrusteeSince January 2013
Private Investor (2013-Present)
Vice Chairman (2010–April 2013)—PNC Financial Services Group
150
Director—HSBC North
America Holdings Inc.
(December 2013–Present)
Director—HSBC USA Inc. (July 2014–Present)
Director—HSBC Bank
USA, National Association
(July 2014–March 2017)
Director—HSBC Finance
Corporation (December 2013–April 2018)
Christianna Wood
100 Independence,
610 Market Street
Philadelphia, PA
19106-2354
1959
TrusteeSince January 2019Chief Executive Officer and President—Gore Creek Capital, Ltd. (August 2009–Present)150
Director; Finance
Committee and Audit
Committee Member—
H&R Block Corporation
(July 2008–Present)
Director; Investments Committee, Capital and Finance Committee and Audit Committee Member—Grange Insurance (2013–Present)
Trustee; Chair of Nominating and Governance Committee and Member of Audit Committee—The Merger Fund (2013–2021), The Merger Fund VL
(2013–2021), WCM
Alternatives: Event-Driven
Fund (2013–2021), and
WCM Alternatives: Credit
Event Fund (December 2017–2021)
Director; Chair of Governance Committee and Audit Committee Member—International Securities Exchange (2010–2016)
Janet L. Yeomans
100 Independence,
610 Market Street
Philadelphia, PA
19106-2354
TrusteeSince April 1999
Private Investor (2012-Present)

Vice President and Treasurer
 150
Director; Personnel and
Compensation Committee
Chair; Member of Nominating, Investments, and Audit Committees for various periods
10

NAME,
ADDRESS AND
YEAR OF BIRTH
POSITION(S)
HELD OR TO BE HELD WITH
THE TRUSTS
TRUSTEE
SINCE
PRINCIPAL
OCCUPATION(S)
DURING PAST
5 YEARS
NUMBER
OF FUNDS IN
FUND
COMPLEX
OVERSEEN OR TO BE OVERSEEN
OTHER
DIRECTORSHIPS
HELD DURING
PAST 5 YEARS

1948



(January 2006–July 2012), Vice President—Mergers & Acquisitions (January 2003–January 2006), and Vice President and Treasurer (July 1995–January 2003)—3M Company


throughout directorship—Okabena Company (2009–2017)
1.Shawn K. Lytle is considered to be an “Interested Trustee” of the Trusts, because he is an executive officer of DMC.
Trustee Qualifications
The Nominating and Corporate Governance Committee of the Board of the Trusts is responsible for identifying, evaluating and recommending candidates to the Board.  The Committee reviews the background and the educational, business and professional experience of candidates and the candidates’ expected contributions to the Board.  Although the Board has not adopted a formal diversity policy, the Board nevertheless believes that the different perspectives, viewpoints, professional experience, education, and individual qualities of each director contribute to the Board’s diversity of experiences and bring a variety of complementary skills.  It is the Trustees’ belief that this allows the Board, as a whole, to oversee the business of the Trusts in a manner consistent with the best interests of the Trusts’ shareholders.
The Board has determined that each Trustee Nominee is qualified to serve on the Board because of his or her specific attributes, including prior experience, background and skills.  The Board considered that the Trustee Nominees’ familiarity and experience with the Funds, as members of the Board, of DMC and its affiliates, as members of the Delaware Funds by Macquarie board or the Ivy Funds board, would result in the Board having a breadth of knowledge that would enhance its ability to oversee the Funds.
The following is a summary of various qualifications, experiences and skills of each Trustee Nominee that that led to the Board’s conclusion that the Trustee Nominee should serve as a Trustee on the Board.

Independent Trustee Nominees

Jerome D. Abernathy – Mr. Abernathy has over 30 years of experience in the investment management industry.  In selecting him to serve on the Board, the Independent Trustees of the Trust noted and valued his extensive experience as a chief investment officer, director of research, trader, and analytical proprietary trading researcher.  Mr. Abernathy received a B.S. in electrical engineering from Howard University and a Ph.D. in electrical engineering and computer science from Massachusetts Institute of Technology.

Thomas L. Bennett – Mr. Bennett has over 30 years of experience in the investment management industry, particularly with fixed income portfolio management and credit analysis.  He has served in senior management for a number of money management firms.  Mr. Bennett has also served as a board member of another investment company, an educational institution, nonprofit organizations, and for-profit companies.  He has an M.B.A. from the University of Cincinnati. Mr. Bennet has been nominated to serve as Chair of the Board.

Ann D. Borowiec – Ms. Borowiec has over 25 years of experience in the banking and wealth management industry.  Ms. Borowiec also serves as a board member on several nonprofit organizations.  In nominating her to the Board in 2015, the Independent Trustees of the Trust found that her experience as a Chief Executive Officer in the private wealth management business at a leading global asset manager and private bank, including the restructuring of business lines and defining client recruitment strategies, complemented the skills of existing board members.  Her experience would also provide additional oversight skill in the area of fund distribution.  Ms. Borowiec holds a B.B.A. from Texas Christian University and an M.B.A. from Harvard University.

11


Joseph W. Chow – Mr. Chow has over 30 years of experience in the banking and financial services industry.  In nominating him to the Board, the Independent Trustees of the Trust found that his extensive experience in business strategy in non-US markets complemented the skills of existing Board members and also reflected the increasing importance of global financial markets in investment management.  The Independent Trustees also found that Mr. Chow’s management responsibilities as a former Executive Vice President of a leading global asset servicing and investment management firm as well as his experience as Chief Risk and Corporate Administration Officer would add helpful oversight skills to the Board’s expertise.  Mr. Chow holds a B.A. degree from Brandeis University and M.C.P. and M.S. in Management degree from Massachusetts Institute of Technology.

H. Jeffrey Dobbs – Mr. Dobbs has more than 35 years of experience in the automotive, industrial manufacturing, financial services and consumer sectors.  He also has served as a partner in a public accounting firm.  Mr. Dobbs holds a degree in accounting from Valparaiso University.  The Board concluded that Mr. Dobbs is suitable to act as Trustee because of his extensive work in the global professional services industry and as a trustee of the Ivy Funds complex member, as well as his educational background.

John A. Fry – Mr. Fry has over 30 years of experience in higher education.  He has served in senior management for three major institutions of higher learning including serving as president of a leading research university.  Mr. Fry has also served as a board member of many nonprofit organizations and several for-profit companies.  Mr. Fry has extensive experience in overseeing areas such as finance, investments, risk-management, internal audit, and information technology.  He holds a B.A. degree in American Civilization from Lafayette College and an M.B.A. from New York University.

Joseph Harroz, Jr. – Mr. Harroz serves as the President of a state university, and also serves as a Director of a bank. He also has served as President and Director of a publicly traded company, as Interim President and General Counsel to a state university system and as Dean of the College of Law of that state university.  Mr. Harroz holds a B.A. degree from the University of Oklahoma and a J.D. from Georgetown University Law Center.  Mr. Harroz has multiple years of service as a trustee of the Ivy Funds complex.  The Board concluded that Mr. Harroz is suitable to serve as Trustee because of his educational background, his work experience and the length of his service as a trustee of the Ivy Funds complex.

Sandra A. J. Lawrence – Ms. Lawrence has been a member and chair of the boards of several closely-held corporations and charitable organizations.  She also has more than 14 years of experience serving on boards of public companies and has served as a chief financial officer and on investment committees.  Ms. Lawrence holds an A.B. from Vassar College, as well as master’s degrees from the Massachusetts Institute of Technology and Harvard Business School.  The Board concluded that Ms. Lawrence is suitable to serve as Trustee because of her work experience, financial background, academic background, service as trustee of the Ivy Funds complex, and service on corporate and charitable boards.

Frances A. Sevilla-Sacasa – Ms. Sevilla-Sacasa has over 30 years of experience in banking and wealth management.  In nominating her to the Board, the Independent Trustees of the Trust found that her extensive international wealth management experience, in particular, complemented the skills of existing Board members and also reflected the increasing importance of international investment management not only for dollar-denominated investors but also for investors outside the US.  The Independent Trustees also found that Ms. Sevilla-Sacasa’s management responsibilities as the former President and Chief Executive Officer of a major trust and wealth management company would add a helpful oversight skill to the Board’s expertise, and her extensive nonprofit Board experience gave them confidence that she would make a meaningful, experienced contribution to the Board of Trustees.  Finally, in electing Ms. Sevilla-Sacasa to the Board, the Independent Trustees valued her perceived dedication to client service as a result of her overall career experience.  Ms. Sevilla-Sacasa holds B.A. and M.B.A. degrees from the University of Miami and Thunderbird School of Global Management, respectively.

Thomas K. Whitford – Mr. Whitford has over 25 years of experience in the banking and financial services industry, and served as Vice Chairman of a major banking, asset management, and residential mortgage banking institution.  In nominating him to the Board, the Independent Trustees of the Trust found that Mr. Whitford’s senior management role in wealth management and experience in the mutual fund servicing business would provide valuable current management and financial industry insight, in particular, and complemented the skills of existing Board members.
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The Independent Trustees also found that his senior management role in integrating company acquisitions, technology, and operations and his past role as Chief Risk Officer would add a helpful oversight skill to the Board’s expertise.  Mr. Whitford holds a B.S. degree from the University of Massachusetts and an M.B.A. degree from The Wharton School of the University of Pennsylvania.

Christianna Wood – Ms. Wood has over 30 years of experience in the investment management industry.  In selecting her to serve on the Board, the Independent Trustees of the Trust noted and valued her significant portfolio management, corporate governance and audit committee experience.  Ms. Wood received a B.A. in economics from Vassar College and an M.B.A. in finance from New York University.

Janet L. Yeomans – Ms. Yeomans has over 28 years of business experience with a large global diversified manufacturing company, including service as Treasurer for this company.  In this role, Ms. Yeomans had significant broad-based financial experience, including global financial risk-management, investments, and mergers and acquisitions.  She served as a board member of a for-profit company and also is a current board member of a hospital and a public university system.  She holds degrees in mathematics and physics from Connecticut College, an M.S. in mathematics from Illinois Institute of Technology, and an M.B.A. from the University of Chicago.

Interested Trustee Nominee
Shawn K. Lytle – Mr. Lytle has over 20 years of experience in the investment management industry.  He has been the president of Macquarie Asset Management - Americas since June 2015, and he is responsible for all aspects of the firm’s business.  Prior to that time, Mr. Lytle served in various executive management, investment management, and distribution positions at two major banking institutions.  He holds a B.A. degree from The McDonough School of Business at Georgetown University.  Mr. Lytle serves on the board of directors of the National Association of Securities Professionals (NASP), the Sustainability Accounting Standards Board, and he is a member of the board of governors for the Investment Company Institute (ICI).  In November 2017, Mr. Lytle was named to the Black Enterprise list of “Most Powerful Executives in Corporate America.”
Board Structure and Related Matters
The Trusts are governed by the Board, which is responsible for the overall management of the Trusts and the Funds.  Such responsibility includes general oversight and review of the Funds’ investment advisor, Delaware Management Company (“DMC” oractivities, in accordance with Federal law and the “Manager”). Appendix B contains a descriptionlaw of the backgroundState of Delaware, as well as the stated policies of the Funds.  The Board has appointed officers of the Trusts and delegated to them the management of the day-to-day operations of the Funds, based on policies reviewed and approved by the Board, with general oversight by the Board.
Under the Declarations of Trust and By-laws, a Trustee may serve as a Trustee until he or she dies, resigns or is removed from office.  The Trusts are not required to hold annual meetings of shareholders for the election or re-election of Trustees or for any other purpose, and do not intend to do so.  Delaware law permits shareholders to remove Trustees under certain circumstances and requires the Trusts to assist in shareholder communications.
If shareholders elect the Trustee Nominees, the Board will be comprised of twelve Independent Trustees and related information.

The Trustees believe that having a common Board for all Funds in the complex is efficient and enhances the ability of the Boards to address their responsibilities to each Fund in the complex. The Trustees believe that the common board structure allows the Trustees to leverage their individual expertise and that their judgment is enhanced by being Trustees of all of the Funds in the complex. Mr. Coyne, who is the sole interested Trustee, serves as the Chairman of the Board.one Interested Trustee. The Board believes that having a representativemajority of Fund management as its ChairmanIndependent Trustees on the Board is beneficial toappropriate and in the complex. Mr. Coyne is Presidentbest interests of the Manager and its other service provider affiliates and oversees the day-to-day investment and business affairs affecting the Manager and the complex. Accordingly, his participation in the Boards’ deliberations helps assure that the Boards’ decisions are informed. Mr. Coyne’s presence on the Boards ensures that the Boards’ decisions are accurately communicated to, and implemented



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by, Fund management.Trusts’ shareholders.  In addition, the Board’s chairman, Thomas L. Bennett, is an Independent Trustee.  In that regard, Mr. Bennett’s responsibilities include: setting an agenda for each meeting of the Board; presiding at all meetings of the Board and of the Independent Trustees; and serving as a liaison with other Trustees, the Trusts’ officers and other management personnel, and counsel.  The Independent Chair also performs such other duties as the Board may from time to time determine.

The Board generally holds four regularly scheduled meetings each year.  The Board may hold special meetings, as needed, in person, by videoconference or by telephone, to address matters arising between regular meetings.  The Independent Trustees designate onealso hold four regularly scheduled meetings each year, during a portion of their members to servewhich management is not present, as the lead Independent Trustee (the “Coordinating Trustee”). Currently, Mr. Bennett serveswell as the Coordinating Trustee. The Coordinating Trustee, in consultation with Fund management, legal counsel, and the other Trustees, proposes Board agenda topics, actively participates in developing Boarda special meeting agendas, and ensures that appropriate and timely information is provided to the Boards in connection with the Board’s annual consideration of the Trusts’ management agreements, and may hold special meetings, as needed.  The Board meetings. The Coordinatingheld 6 meetings (all of which were virtual because of the COVID-19 pandemic) during the 12-month period ended August 31, 2021.  No Current Trustee also conductsattended less than 75% of the aggregate number of meetings of each Board and of each Committee on which the Independent Trustees. Finally,Current Trustee served during such period.
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The Board has established a committee structure (described below) that includes four standing committees, the Coordinating Trustee generally serves as a liaison among outside Trustees, the Chairman, Fund officers, and legal counsel, and is an ex officio member ofAudit Committee, the Nominating and Corporate Governance Committee, the Investments Committee, and the Committee of Independent Trustees, all of which are comprised solely of Independent Trustees.  The Board periodically evaluates its structure and composition, as well as various aspects of its operations.  The Board believes that its leadership structure, including its Independent Chair position and its committees, is appropriate for the Trusts in light of, among other factors, the asset size and nature of the Trusts, the number of Funds overseen by the Board, the arrangements for the conduct of the Trusts’ operations, the number of Trustees, and the Board’s responsibilities.
Committees of the Board
The Board has established the following standing committees: Audit Committee, Executive Committee, Investment Oversight Committee and Governance Committee.  The Boardsrespective duties and current memberships of the standing committees are set forth below.  The Board may establish ad hoc committees from time to time and compensate Trustees for service on such committees.
Audit Committee.  This committee monitors accounting and financial reporting policies, practices, and internal controls for the Trust. It also have adoptedoversees the quality and objectivity of the Trust's financial statements and the independent audit thereof, and acts as a diversity policy.

If elected, each Trustee Nominee will hold officeliaison between the Trust's independent registered public accounting firm and the full Board. The Trust's Audit Committee consists of the following Independent Trustees: Thomas K. Whitford, Chair; Jerome D. Abernathy; John A. Fry; and Christianna Wood.  The Committee held 7 meetings (all of which were virtual because of the COVID-19 pandemic) during the 12-month period ended August 31, 2021.

Committee of Independent Trustees.  This committee develops and recommends to the Board a set of corporate governance principles and oversees the evaluation of the Board, its committees, and its activities. The committee comprises all of the Trust's Independent Trustees. The Committee held 4 meetings (all of which were virtual because of the COVID-19 pandemic) during the 12-month period ended August 31, 2021.
Investment Committee.  The primary purposes of the Investments Committee are to: (i) assist the Board at its request in its oversight of the investment advisory services provided to the Trust by DMC as well as any sub-advisors; (ii) review all proposed advisory and sub-advisory agreements for an indefinite term until henew funds or she dies, resigns, is declared bankrupt or incompetentproposed amendments to existing agreements and to recommend what action the full Board and the Independent Trustees should take regarding the approval of all such proposed agreements; and (iii) review reports supplied by a court or appropriate jurisdiction, or is removed, or, if sooner than anyDMC regarding investment performance, portfolio risk and expenses and to suggest changes to such events, until his or her successor is electedreports. The Investments Committee consists of the following Independent Trustees: Joseph W. Chow, Chair; Jerome D. Abernathy; and qualified:Christianna Wood. The Trustee Nominees are available to serve and have consented to serve if elected. If a Trustee Nominee should become unavailable to serve beforeCommittee held 6 meetings (all of which were virtual because of the Meeting,COVID-19 pandemic) during the designated proxy holders will have the authority to vote in their discretion for another person or persons who may be nominated by the Board’s 12-month period ended August 31, 2021.
Nominating and Corporate Governance Committee as Trustees.

How areCommittee.  This committee recommends Board nominees, for Trustee selected?

Each Board’s Nominating and Corporate Governance Committee recommends nominations forfills Board membersvacancies that arise in between meetings of shareholders, and considers the qualifications and independence of prospective Board members. The committee also monitors the performance of counsel for the Independent Trustees. The committee will consider shareholder recommendations for Trustee nominationsnomination to the Board only in the event that there is a vacancy on athe Board. Shareholders who wish to submit recommendations for nominations to the Board to fill a vacancy on a Board must submit their recommendations in writing to the Nominating and Corporate Governance Committee, Attention: Secretary, c/o Delaware Investments Funds by Macquarie at 2005100 Independence, 610 Market Street, Philadelphia, Pennsylvania 19103-7094.PA 19106-2354. Shareholders should include appropriate information on the background and qualifications of any candidatepersons recommended (e.g.(e.g., a resume), as well as the candidate’scandidate's contact information and a written consent from the candidate to serve if nominated and elected. Shareholder recommendations for nominations to athe Board will be accepted on an ongoing basis and such recommendations will be kept on file for consideration when there is a vacancy on the Board. The committee consists of Johnthe following Independent Trustees: Frances A. Fry, Chairperson;Sevilla-Sacasa, Chair; Thomas L. Bennett Coordinating Director/Trustee (ex officio)(ex officio); Ann D. Borowiec; John A. Fry; and Janet L. Yeomans; Thomas K. Whitford;Yeomans. The Board has adopted a written charter of the Nominating and Frances A. Sevilla-Sacasa, allCorporate Governance Committee, which is attached as Appendix C. The Committee held 5 meetings (all of whomwhich were virtual because of the COVID-19 pandemic) during the 12-month period ended August 31, 2021.

In reaching its determination that an individual should serve or continue to serve as a Trustee of the Trust, the committee considers, in light of the Trust's business and structure, the individual's experience, qualifications, attributes, and skills (the “Selection Factors”). No one Selection Factor is determinative, but some of the relevant
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factors that have been considered include: (i) the Trustee's business and professional experience and accomplishments, including prior experience in the financial services industry or on other boards; (ii) the ability to work effectively and collegially with other people; and (iii) how the Trustee's background and attributes contribute to the overall mix of skills and experience on the Board as a whole. 
Risk Oversight
Consistent with its responsibility for oversight of the Trusts and their Funds, the Board oversees the management of risks relating to the administration and operation of the Trusts and the Funds.  The Board performs this risk management oversight directly and, as to certain matters, directly through its The Board performs a risk oversight function for the Trust consisting, among other things, of the following activities: (1) receiving and reviewing reports related to the performance and operations of the Trust; (2) reviewing, approving, or modifying as applicable, the compliance policies and procedures of the Trust; (3) meeting with portfolio management teams to review investment strategies, techniques and the processes used to manage related risks; (4) addressing security valuation risk in connection with its review of fair valuation decisions made by Fund management pursuant to Board-approved procedures; (5) meeting with representatives of key service providers, including DMC, the Funds’ distributor, the Funds' transfer agent, the custodian and the independent public accounting firm of the Trust, to review and discuss the activities of the Trust's series, and to provide direction with respect thereto; (6) engaging the services of the Trust's Chief Compliance Officer to test the compliance procedures of the Trust and its service providers; and (7) requiring management's periodic presentations on specified risk topics.
The Trustees perform this risk oversight function throughout the year in connection with each quarterly Board meeting. The Trustees routinely discuss certain risk-management topics with Fund management at the Board level and also through the standing committees of the Board. In addition to these recurring risk-management discussions, Fund management raises other specific risk-management issues relating to the Funds with the Trustees at Board and committee meetings. When discussing new product initiatives with the Board, Fund management also discusses risk — either the risks associated with the new proposals or the risks that the proposals are designed to mitigate. Fund management also provides periodic presentations to the Board to give the Trustees a general overview of how DMC and its affiliates identify and manage risks pertinent to the Trust.
The Audit Committee looks at specific risk-management issues on an ongoing basis. The Audit Committee is responsible for certain aspects of risk oversight relating to financial statements, the valuation of the Trust's assets, and certain compliance matters. In addition, the Audit Committee meets with DMC’s internal audit and risk-management personnel on a quarterly basis to review the reports on their examinations of functions and processes affecting the Trust.
The Board's other committees also play a role in assessing and managing risk. The Nominating and Corporate Governance Committee and the Committee of Independent Trustees. EachTrustees play a role in managing governance risk by developing and recommending to the Board corporate governance principles and, in the case of the Committee of Independent Trustees, by overseeing the evaluation of the Board, its committees, and its activities. The Investments Committee plays a significant role in assessing and managing risk through its oversight of investment performance, investment process, investment risk controls, and fund expenses.
Because risk is inherent in the operation of any business endeavor, and particularly in connection with the making of financial investments, there can be no assurance that the Board's approach to risk oversight will be able to minimize or even mitigate any particular risk. The Funds are designed for investors that are prepared to accept investment risk, including the possibility that as yet unforeseen risks may emerge in the future.
Selection of Nominees
The Board’s Nominating and Corporate Governance Committee held six meetings duringmakes Independent Trustee candidate recommendations to the 12-month period ended December 31, 2014. Each Board has adoptedpursuant to its charter.  The Committee evaluates a candidate’s qualification for Board membership and approvedthe independence of such candidate from DMC and other principal service providers.
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The Committee evaluates candidates using certain criteria, considering, among other qualities, a formal written charterhigh level of integrity, appropriate experience, a commitment to fulfill the fiduciary duties inherent in Board membership, and the extent to which potential candidates possess sufficiently diverse skill sets that would contribute to the Board’s overall effectiveness.
The Committee considers prospective candidates from any reasonable source, including from recommendations by shareholders of the Trusts.  The Committee initially evaluates prospective candidates on the basis of preliminary information required of all preliminary candidates, considered in light of the criteria discussed above.  Those prospective candidates that appear likely to be able to fill a significant need of the Board would be contacted by a Committee member to discuss the position; if there appeared to be sufficient interest, a meeting with one or more Committee members would be arranged.  If the Committee, based on the results of these contacts, believed it had identified a viable candidate, it would air the matter with the full group of Independent Trustees for input.
Any request by management to meet with the prospective candidate would be given appropriate consideration.  The Trusts have not paid a fee to third parties to assist in finding nominees.
Shareholders seeking to recommend one or more candidates to the Board should direct the names of such candidates they wish to be considered to the attention of the Trusts’ Nominating and Corporate Governance Committee, a copyin care of which is attached as Appendix Cthe Trusts’ Secretary, at the address of the Trusts listed on the front page of this Joint Proxy Statement.  Such candidates will be considered with any other trustee candidates on the basis of the same criteria described above used to this Proxy Statement.



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The Nominatingconsider and Corporate Governance Committee met on October 21, 2014 and November 19, 2014 to evaluate candidates for positions on the Boards, including evaluating candidates’ qualifications for Board membership and theirrecommended by other sources.

For candidates to serve as Independent Trustees, independence from the Funds’ investment advisor andDMC, its affiliates and other Fundprincipal service providers is critical, as well as such other information asis an independent and questioning mindset.  The Committee also considers whether the committee deemed relevantprospective candidates’ workloads would allow them to its considerations. The Nominatingattend the vast majority of Board meetings, be available for service on Board committees, and Corporate Governance Committee recommendeddevote the Trustee Nominees for nomination by the Independent Trustees,additional time and at their meeting on December 23, 2014, the Independent Trusteeseffort necessary to keep up with Board matters and the full Board selectedrapidly changing regulatory environment in which the Trusts operate.  Different substantive areas may assume greater or lesser significance at particular times, in light of the Board’s present composition and nominated the Trustee Nominees for election byGovernance Committee’s (or the shareholdersBoard’s) perceptions about future issues and needs.
Ownership of each Trust.

How often do the Boards meet and how are the Trustees compensated?

The Boards held six meetings during the 12-month period ended December 31, 2014. The Trusts do not hold annual meetings at which Trustees are elected.

No Independent Trustee owns, beneficially or of record, securities issued by any investment advisor or principal underwriter of anyFund Shares

Set forth in Appendix D is information regarding shares of the Funds or a person directly or indirectly controlling, controlledbeneficially owned by or under common control with anyeach Trustee Nominee as of the foregoing. The tableRecord Date, as determined in Appendix D showsaccordance with Rule 16a-1(a)(2) under the dollar rangeSecurities Exchange Act of shares of each Fund and1934, as amended, as well as the aggregate dollar range of shares owned by each Trustee Nominee of Funds within the Delaware Funds by Macquarie complex.
To the best of the Delaware Investments® Family of Funds that were beneficially owned by the Trustee NomineesTrusts’ knowledge, as of October 31, 2014.

Each Independent Trustee is compensated by the Trusts. Mr. Coyne,Record Date, no person owned beneficially more than 5% of the sole Trustee who is not an Independent Trustee, is not compensated by the Trusts for servingoutstanding shares of any class of any Fund’s securities, except as Trustee. Trust officers are not compensated by the Trust. The tableset out in Appendix E shows the compensationE.  As of that each Independent Trustee received from each Trust during the 12-month period ended December 31, 2014 and the aggregate compensation that each Independent Trustee received from the Delaware Investments® Family of Funds during that period.

Who are the principal officersdate, all of the Trusts?

Officers of each Trust are appointed by the Trust’s BoardTrustees and serve at the pleasure of the Board. Appendix F identifies the principal officers of the Trusts, and provides certain background and related information.

What are the standing committeesas a group, beneficially owned less than 1% of the Boards?

Each Trust’s Board has four standing committees: the Audit Committee, the Nominating and Corporate Governance Committee, the Independent Trustees Committee, and the Investments Committee.



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Audit Committee. This committee monitors accounting and financial reporting policies and practices and internal controls for a Trust. The Audit Committee also oversees the quality and objectivity of a Trust’s financial statements and the independent audit thereof, and acts as a liaison between the Trusts’ independent registered public accounting firm and the full Boards. Each Audit Committee consistseach class of the following Independent Trustees: Joseph W. Chow, Chairperson; Lucinda S. Landreth; Janet L. Yeomans; and Frances A. Sevilla-Sacasa. Each Audit Committee held six meetingsFunds.  In addition, no Trustee or nominee purchased or sold any securities of Macquarie or its affiliates during the 12-month period ended December 31, 2014.

Nominating and Corporate Governance Committee. Information on the Nominating and Corporate Governance Committee is provided above under “How are nominees for Trustee selected?”

Independent Trustees Committee. This committee develops and recommendspast fiscal year.

Compensation
The fees paid to the Boards a set of corporate governance principles and overseesTrustees are allocated among the evaluation of the Boards, the committees, and Board activities. The committee is comprised of all of the Independent Trustees. Each Independent Trustees Committee held four meetings during the 12-month period ended December 31, 2014.

Investments Committee. The primary purpose of the Investments Committee is to: (i) assist the Boards, upon request, in oversight of the investment advisory services providedTrusts based on their Funds’ relative asset size.  Information relating to compensation paid to the Funds by their investment advisor as well as any sub-advisors; (ii) review all proposed advisoryTrustees for each Trust’s most recent fiscal year is set forth in Appendix F.

Required Vote
Shareholders of each Trust, including each Fund and sub-advisory agreements for new Funds or proposed amendmentsclass thereof, will vote on a trust-by-trust basis to existing agreements, andelect Trustees to recommend actions the full Boards and the Independent Trustees should take regarding the approval of all

such proposed agreements; and (iii) review from time to time reports supplied by the Funds’ investment advisor regarding investment performance and expenses, and suggest changes to such reports. Each Investments Committee consists of the following Independent Trustees: J. Richard Zecher, Chairperson; Janet L. Yeomans; Joseph W. Chow; Lucinda S. Landreth; and Thomas K. Whitford. Each Investments Committee held five meetings during the 12-month period ended December 31, 2014.

Who are the Trusts’ independent auditors?

Selection of Auditors.that Trust’s Board.  For each Trust, the Audit Committee and the Board have selected the firm of PricewaterhouseCoopers LLP (“PwC”) to serve as the Funds’ independent registered public accounting firm. Representatives of PwC are not expected to be presentpresence at the Meeting but will be available telephonically if necessary.

Audit Fees. Appendix G shows the aggregate fees billed for each Trust for eachof one-third of the last two fiscal years for professional services rendered by PwC for the auditoutstanding shares of the Trust’s annual financial statements and for review of the financial statements included in the Trust’s annual reports or for services that normally are provided by PwC in connection with statutory and regulatory filings or engagements for those fiscal years.



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Audit-Related Fees. Nosuch Trust was billed during its last two fiscal years for assurance and related services rendered by PwC that were reasonably relatedshall be sufficient to the audit or review of the Trust’s financial statements but where such services were not reported under “Audit Fees” above. Appendix G shows for the last two fiscal years of each Trust the aggregate audit-related fees billed by PwC for providing such services to the Funds’ investment advisor or other service providers that are under common control with the Funds’ investment advisor.

Tax Fees. Appendix G also shows the aggregate fees billed for each Trust in each of the last two fiscal years for professional services rendered by PwC to the Trust for tax compliance, tax advice, and tax planning. These tax-related services consisted of the review of income tax returns and annual excise distribution calculations and, for certain of the Trusts, tax compliance services with respect to investments in foreign securities. PwC did not during any Trust’s last two fiscal years provide any such services to the Funds’ investment advisor or other service providers under common control with the Funds’ investment advisor.

Aggregate Non-Audit Fees. Appendix G also shows, for each Trust’s last two fiscal years, the aggregate non-audit fees billed by PwC for services rendered to the Trust, its investment advisor, and any entity controlling, controlled by, or under common control with its investment advisor that provides ongoing services to the Trust.

For each Trust, the Audit Committee has considered whether the provision of non-audit services that were rendered to the Trust’s investment advisor, and any entity controlling, controlled by, or under common control with the Trust’s investment advisor that provides ongoing services to the Trust, is compatible with maintaining the independence of PwC. The Audit Committee has determined that PwC’s provision of these services is compatible with maintaining PwC’s independence.

All Other Fees. There were no additional fees paid by any Trust or by the Funds’ investment advisor or other service providers under common control with the Funds’ investment advisor during such Trust’s last two fiscal years for products and services provided by PwC, other than the services reported above except for audit fees paid by DMC, Delaware Service Company (“DSC”), and Delaware Distributors, L.P. of $357,000 and $391,000 for the years ended March 31, 2013 and March 31, 2014, respectively. In addition, PWC provided a compensation study at the request of the Boards of Trustees for a total cost of $55,000.

Pre-Approval Policies and Procedures. The Audit Committee has adopted Pre-Approval Policies and Procedures for each Trust, which are set forth in Appendix H to this Proxy Statement. All of the fees disclosed above and in Appendix G were pre-approved pursuant to the Pre-Approval Policies and Procedures. The Audit Committee for each Trust did not approve any of the services described above pursuant to thede minimis exceptions set forth in Rule 2-01(c)(7)(i)(C) and Rule 2-01(c)(7)(ii) of Regulation S-X.



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What isconstitute a quorum and what is the required vote to elect Trustees?

A “Quorum” is the minimum number of sharesfor that must be present in order to conduct the Meeting. A Quorum for a Trust or a particular Fund means one-third (33⅓%) of the shares of that Trust or Fund thatTrust.  Trustees are entitled to vote at the Meeting, present in person or represented by proxy.

Provided that Quorum requirements for a Trust have been satisfied, each Trustee Nominee will be elected to the Board of that Trust by the affirmative vote of a plurality of votes cast collectively by shareholders of all ofshares present at the Funds of such Trust.Meeting and entitled to vote, at which quorum is present.  This means that the ten individuals receiving13 candidates who

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receive the largest number of votes will be elected. Forelected as trustees.  In the election of trustees, votes may be cast in favor of a Trust thatcandidate or withheld.  If elected, the Trustee Nominees will serve as Trustees.
THE BOARD, INCLUDING THE INDEPENDENT TRUSTEES, UNANIMOUSLY RECOMMENDS THAT SHAREHOLDERS OF EACH TRUST VOTE FOR THE ELECTION OF EACH TRUSTEE NOMINEE.

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OTHER BUSINESS
The Board does not intend to present any other business at the Meeting. If, however, any other matters are properly brought before the Meeting, the persons named in the accompanying form of proxy card/voting instruction form will vote thereon in accordance with their judgment.
The Trusts generally are not required to hold annual meetings of shareholders, and the Trusts currently do not intend to hold such meetings unless certain specified shareholder actions are required to be taken under the 1940 Act or a Trust’s charter documents. Any shareholder who wishes to submit proposals to be considered at a special meeting of a Fund’s shareholders should send such proposals to the Secretary of the relevant Fund at 100 Independence, 610 Market Street, Philadelphia, PA 19106-2354. Any shareholder proposal intended to be presented at any future meeting of a Fund’s shareholders must be received by such Fund at its principal office a reasonable time before the solicitation of proxies for such meeting in order for such proposal to be considered for inclusion in the proxy statement relating to such meeting. Moreover, inclusion of any such proposals is made upsubject to limitations under the federal securities laws. Persons named as proxies for any subsequent shareholders’ meeting will vote in their discretion with respect to proposals submitted on an untimely basis.
Shareholders who wish to send communications to the Board or the specific members of more than onethe Board should submit the communication in writing to the attention of the Secretary of the relevant Fund, at the votesaddress in the preceding paragraph, identifying the correspondence as intended for the Board of all the sharesFund or a specified member of the Board. The Secretary will maintain a copy of any such communication and will promptly forward it to the Board or the specified member of the Board, as appropriate.
INFORMATION ABOUT THE MEETING
Record Date
Shareholders of record of the Funds of that Trust will be counted together in determining the resultsas of the voting for Proposal 1.

THE BOARD RECOMMENDS THAT SHAREHOLDERS VOTE FOR THE
TRUSTEE NOMINEES UNDER PROPOSAL 1.



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PROPOSAL 2: NEW MANAGER OF MANAGERS RELIEF

Introduction to Proposal 2

Proposal 2 relates to a type of exemptive relief granted by the U.S. Securities and Exchange Commission (“SEC”), known as a “manager of managers” order, that allows funds to hire sub-advisors and to make certain material changes to sub-advisory agreements without shareholder approval. Under this structure, an investment advisor has the ultimate responsibility, subject to oversight by the board of trustees, for overseeing funds’ sub-advisors and recommending to the board of trustees their hiring, termination, or replacement. Proxy solicitations can be a long and costly process for funds and without this exemptive relief, shareholder approval is required to hire a new sub-advisor or to change certain material terms of a sub-advisory agreement.

The exemptive relief provided by a manager of managers order enables funds to operate with greater efficiency and without incurring the expense and delays associated with obtaining shareholder approvals for matters relating to sub-advisors or sub-advisory agreements. In addition, should a fund have a poorly performing sub-advisor or one whose management team has left or is going through a change of control, the investment advisor and board of trustees would have the ability to replace the sub-advisor quickly under the terms of the manager of managers order, helping to mitigate any detrimental impact to the fund.

Under the terms of manager of managers orders, the investment advisor may hire a sub-advisor subject to board approval, without a shareholder vote. However, shareholders, by means of an information statement, are fully informed of any sub-advisor changes and can make an informed decision about the merits of such sub-advisor when determining whether to continue investing in a fund.

In 2005, Delaware Investments® Funds conducted a complex-wide shareholder meeting at which shareholders for the Funds, with the exception of The International Equity Portfolio of the Delaware Pooled® Trust, approved the use of a manager of managers order and the related multi-manager structure. This multi-manager structure approval related to the hiring of both unaffiliated and affiliated sub-advisors. Shareholders of The International Equity Portfolio of the Delaware Pooled Trust did not approve the use of the manager of managers order in connection with the 2005 proxy solicitation.

In 2006, the SEC granted the Funds a manager of managers order (the “Current MOM Order”) that permits the Funds’ investment advisor, Delaware Management Company (“DMC” or the “Manager”), with the approval of the Board, to appoint and replace unaffiliated sub-advisors for the Funds, enter into sub-advisory agreements



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with such entities, and materially amend and terminate such sub-advisory agreements on behalf of the Funds. The Current MOM Order does not apply to sub-advisors that are affiliated with DMC. The Funds formed since the 2005 complex-wide shareholder meeting are covered by the Current MOM Order granted in 2006.

Proposal 2 relates to the filing of an exemptive application that would give the Funds authority under a new manager of managers order (the “New MOM Order”) to hire both affiliated and unaffiliated sub-advisors, and to make material amendments to the related sub-advisory contracts.

In recent years, the SEC has granted other fund complexes manager of managers orders which allow an advisor to appoint and replace both unaffiliated sub-advisors and wholly owned subsidiaries of the advisor or its parent company without seeking shareholder approval. The conditions of these recent exemptive orders are materially the same as the Funds’ Current MOM Order.

Macquarie Group Limited’s acquisition of Delaware Investments in 2010 expanded the number of DMC affiliates that are investment managers which may be able to provide services to the Funds. The ability to hire these affiliated sub-advisors without the need for shareholder approval would benefit the Funds by providing them with efficient and timely access to world-class asset managers from within the broader Macquarie organization. In the future, there may be other opportunities for a Fund to hire a sub-advisor that is an indirect or direct wholly owned affiliate of DMC.

If the Funds were granted the New MOM Order that included any affiliated sub-advisors, it would permit DMC to recommend and hire a broader universe of sub-advisors in a cost-effective and timely manner, which the Board believes would benefit the Funds and their shareholders.

Effect of Proposal 2 with respect to Delaware Pooled® Trust’s International Equity Portfolio only

For shareholders of The International Equity Portfolio of the Delaware Pooled Trust, a vote to approve new manager of managers relief under Proposal 2 will apply to the New MOM Order related to both affiliated and unaffiliated sub-advisors, as well as to the Current MOM Order related to unaffiliated sub-advisors only, both as described in the introduction to this Proposal. In the event that the Funds are not able to obtain exemptive relief under the New MOM Order that includes affiliated sub-advisors, approval of Proposal 2 by The International Equity Portfolio’s shareholders will have the effect of permitting the Portfolio to relybusiness on the multi-manager structure under the Current MOM Order. Having the New MOM Order or the Current MOM Order apply to The International Equity Portfolio



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would enable DMC to operate with greater efficiency and flexibility on behalf of the Portfolio and avoid the expense and delays associated with obtaining shareholder approvals for matters relating to sub-advisors or sub-advisory agreements.

Quorum and Required Vote

A “Quorum” is the minimum number of shares that must be present in order to conduct the Meeting. A Quorum for a Trust or a particular Fund means one-third (33⅓%) of the shares of that Trust or Fund thatRecord Date are entitled to vote at the Meeting, present in person or represented by proxy.

Provided that Quorum requirements have been satisfied for a Trust, to become effective with respect to a particular Fund in that Trust, Proposal 2 must be approved by a 1940 Act Majority (defined below) vote of the outstanding voting securities for each Fund. The approval of Proposal 2 by one Fund is not contingent on the approval of Proposal 2 by any other Fund.

A “1940 Act Majority” of the outstanding voting securities of a Fund means the lesser of (i) 67% or more of the voting securities of the Fund that are present in person or by proxy at a meeting if holders of shares representing more than 50% of the outstanding voting securities of the Fund are present in person or by proxy or (ii) more than 50% of the outstanding voting securities of the Fund.

FOR THE REASONS DISCUSSED ABOVE, THE BOARD OF
EACH TRUST UNANIMOUSLY RECOMMENDS THAT YOU VOTE
FOR PROPOSAL 2.



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PROPOSAL 3: AMENDMENT OF FUNDAMENTAL INVESTMENT
RESTRICTION RELATING TO LENDING

Introduction to Proposal 3

The Trusts each have a fundamental investment restriction related to making loans. The current restrictions related to loans are more limited in scope than what is required by the 1940 Act, and in their current form, the restrictions prohibit certain lending activities that are otherwise permissible for the Funds, including interfund borrowing and lending (which would in addition require exemptive relief from the SEC). The proposed changes to the restriction related to loans expand the scope of lending activities that the Funds could engage in, enabling the Funds to accommodate industry and market developments, as well as providing additional liquidity resources.

Under the 1940 Act, fundamental investment restrictions may only be changed with shareholder approval. The proposed changes to the fundamental investment restriction related to lending are shown below:

Current LanguageProposed Language

The Fund may not make loans, provided that this restriction does not prevent the Fund from purchasing debt obligations, entering into repurchase agreements, loaning its assets to broker/dealers or institutional investors and investing in loans, including assignments and participation interests.

The Fund may not make personal loans or loans of its assets to persons who control or are under common control with the Fund, except as the Investment Company Act of 1940, as amended (“1940 Act”), any rule or order thereunder, or Securities and Exchange Commission (“SEC”) staff interpretation thereof, may permit. This restriction does not prevent the Fund from, among other things, purchasing debt obligations, entering into repurchase agreements, loaning its assets to broker-dealers or institutional investors, or investing in loans, including assignments and participation interests.


DMC’s ability to manage a Fund’s assets in a changing investment environment may be enhanced by modifying and modernizing unnecessarily restrictive or outdated fundamental investment restrictions. The proposed changes to the fundamental investment restriction related to loans will provide greater investment management flexibility to respond to market, industry, regulatory, or technical innovations.

In addition, the proposed changes to the restriction would permit the Funds to engage in interfund lending, subject to SEC approval of an exemptive application. Interfund lending would allow one Delaware Investments® Fund to temporarily lend cash to another Delaware Investments Fund, subject to certain requirements. An interfund borrowing and lending program may provide the opportunity for a borrowing fund to pay a lower interest rate than would be typically available from



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a bank, and a lending fund to receive an interest rate higher than what could be expected typically from investing cash in short term instruments for cash management purposes. Interfund lending could provide a source of immediate, short-term liquidity pending settlement of the sale of portfolio securities. For example, interfund lending could provide a borrowing fund with significant savings at a time when the cash position of the borrowing fund is insufficient to meet temporary cash requirements in situations where shareholder redemptions exceed expected volumes and a fund has insufficient cash on hand to satisfy such redemptions.

If the Funds receive shareholder approval to amend the fundamental investment restriction, as well as exemptive relief from the SEC, the Funds may revise their existing credit facility with a consortium of banks for the credit line to allow for interfund lending.

Quorum and Required Vote

A “Quorum” is the minimum number of shares that must be present in order to conduct the Meeting. A Quorum for a Trust or a particular Fund means one-third (33⅓%) of the shares of that Trust or Fund that are entitled to vote at the Meeting, present in person or represented by proxy.

Provided that Quorum requirements have been satisfied for a Trust, to become effective with respect to a particular Fund in that Trust, Proposal 3 must be approved by a 1940 Act Majority vote of the outstanding voting securities of the Fund.

A “1940 Act Majority” of the outstanding voting securities of a Fund means the lesser of (i) 67% or more of the voting securities of the Fund that are present in person or by proxy at a meeting if holders of shares representing more than 50% of the outstanding voting securities of the Fund are present in person or by proxy or (ii) more than 50% of the outstanding voting securities of the Fund.

The approval of Proposal 3 by one Fund is not contingent on the approval of Proposal 3 by any other Fund. If Proposal 3 is not approved by shareholders of a Fund, the current fundamental investment limitation regarding making loans will remain in effect for that Fund.

FOR THE REASONS DISCUSSED ABOVE, THE BOARD OF
EACH TRUST UNANIMOUSLY RECOMMENDS THAT YOU VOTE
FOR PROPOSAL 3.



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PROPOSAL 4: NOT APPLICABLE.



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PROPOSALS 5(A)—(C): AMENDMENTS TO
FUND CHARTER DOCUMENTS

Introduction to Proposals 5(a) through 5(c)

Proposals 5(a) through 5(c) relate to proposed amendments to each Trust’s Agreement and Declaration of Trust and By-Laws, which are the Trusts’ governing instruments. These proposed amendments would generally provide greater clarity on applicable law and record-keeping and enhance the Board’s ability to conduct business at shareholder meetings and to obtain certain shareholder information. The four proposed amendments relate specifically to (a) documenting the transfer of shares; (b) obtaining shareholder disclosure; and (c) the applicability of Delaware law to proxy matters, as described in greater detail below.

Proposal 5(a)

Proposal 5(a) provides for the amendment of each Trust’s Agreement and Declaration of Trust to add detailed procedures for the transfer of shares. The proposed amendments would add transparency to the process of transferring ownership of shares. The proposed language would provide express protection to the Funds and the Boards for relying on the books of a Trust with respect to the identity of the shareholders of record.

The proposed language provides a Fund would have no obligation to recognize a transfer of shares unless such transfer has been effected in accordance with established procedures. To effect these changes, a new Section 3 related to the documentation of the transfer of shares is proposed to be added to each Trust’s Agreement and Declaration of Trust, as follows:

Transfer of Shares. Except as otherwise provided by the Board of Trustees,Shares shall be transferable on the books of the Trust only by the record holder thereof or by his, her or its duly authorized agent upon delivery to the Board of Trustees or the Trust’s transfer agent of a duly executed instrument of transfer, together with a Share certificate if one is outstanding, and such evidence of the genuineness of each such execution and authorization and of such other matters as may be required by the Board of Trustees. Upon such delivery, and subject to any further requirements specified by the Board of Trustees or contained in the By-Laws, the transfer shall be recorded on the books of the Trust. Until a transfer is so recorded, the Shareholder of record of Shares shall be deemed to be the Shareholder with respect to such Shares for all purposes hereunder and neither the Board of Trustees nor the Trust, nor any transfer agent or registrar or any officer, employee or agent of the Trust, shall be affected by any notice of a proposed transfer.



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Clarifying the share transfer provisions in each Trust’s Agreement and Declaration of Trust benefits both the Funds and shareholders, as it provides greater certainty with respect to ownership.

Proposal 5(b)

Proposal 5(b) provides for the amendment of each Trust’s Agreement and Declaration of Trust to add a provision requiring that shareholders provide certain information upon the request of the Board. The proposed amendment would require shareholders of record to disclose direct and indirect share ownership information to a Fund upon Board demand, in the event that the Fund needed such information to comply with tax requirements.

Having the ability to obtain shareholder ownership information will allow the Funds to more effectively and efficiently comply with current and future tax regulations. To effect these changes, each Agreement and Declaration of Trust will be revised to add an additional paragraph (e) to Section 2 of Article VI, which is related to redemptions at the option of a shareholder. The new language related to shareholder ownership information is proposed to be added to each Trust’s Agreement and Declaration of Trust, as follows:

(e) The Shareholders shall upon demand disclose to the Trustees in writing such information with respect to direct and indirect ownership of Shares as the Trustees deem necessary to comply with the provisions of the Internal Revenue Code of 1986, as amended (or any successor statute thereto), or to comply with the requirements of any other taxing authority.

The proposed amendments will allow the Funds to obtain shareholder information when necessary, to comply with applicable tax regulations in present and future circumstances.

Proposal 5(c)

Proposal 5(c) provides for the amendment of each Trust’s By-Laws to change a provision related to proxy matters. Each Trust’s Agreement and Declaration of Trust currently provides that the revocability of a proxy is governed by the Delaware General Corporation Law. The proposed amendment to the By-Laws expands the application of Delaware General Corporation Law to all matters relating to proxies, thereby providing the Funds with a defined body of law to govern matters relating to proxies.



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To effect these changes, Section 9 of Article II of each Trust’s By-Laws is proposed to be amended as shown below:

Current LanguageProposed Language

Section 9.PROXIES. Every shareholder entitled to vote for trustees or on any other matter shall have the right to do so either in person or by one or more agents authorized by a written proxy signed by the shareholder and filed with the secretary of the Trust. A proxy shall be deemed signed if the shareholder’s name is placed on the proxy (whether by manual signature, typewriting, telegraphic transmission, electronic transmission or otherwise) by the shareholder or the shareholder’s attorney-in-fact. A validly executed proxy which does not state that it is irrevocable shall continue in full force and effect unless (i) revoked by the shareholder executing it by a written notice delivered to the Trust prior to the exercise of the proxy or by the shareholder’s execution of a subsequent proxy or attendance and vote in person at the meeting; or (ii) written notice of the death or incapacity of the shareholder is received by the Trust before the proxy’s vote is counted;provided,however, that no proxy shall be valid after the expiration of eleven (11) months from the date of the proxy unless otherwise provided in the proxy. The revocability of a proxy that states on its face that it is irrevocable shall be governed by the provisions of the General Corporation Law of the State of Delaware.

With respect to any shareholders’ meeting, the Trust may accept proxies by electronic transmission (as defined in the DSTA) or telephonic, computerized, telecommunications or any other reasonable alternative to the execution of a written instrument authorizing the proxy to act, provided the shareholder’s authorization is received within eleven (11) months before the meeting. A proxy with respect to shares held in the name of two or more Persons shall be valid if executed by any one of them unless at or prior to exercise of the proxy the Trust receives a specific written notice to the contrary from any one of them. A proxy purporting to be executed by or on behalf of a shareholder shall be deemed valid unless challenged at or prior to its exercise and the burden of proving invalidity shall rest with the challenger.

Section 9. PROXIES. Every shareholder entitled to vote for trustees or on any other matter shall have the right to do so either in person or by one or more agents authorized by a written proxy signed by the shareholder and filed with the secretary of the Trust. A proxy shall be deemed signed if the shareholder’s name is placed on the proxy (whether by manual signature, typewriting, telegraphic transmission, electronic transmission or otherwise) by the shareholder or the shareholder’s attorney-in-fact. A validly executed proxy which does not state that it is irrevocable shall continue in full force and effect unless (i) revoked by the shareholder executing it by a written notice delivered to the Trust prior to the exercise of the proxy or by the shareholder’s execution of a subsequent proxy or attendance and vote in person at the meeting; or (ii) written notice of the death or incapacity of the shareholder is received by the Trust before the proxy’s vote is counted; provided, however, that no proxy shall be valid after the expiration of eleven (11) months from the date of the proxy unless otherwise provided in the proxy.

A proxy purporting to be executed by or on behalf of a shareholder shall be deemed valid unless challenged at or prior to its exercise, and the burden of proving invalidity shall rest on the challenger. Subject to the provisions of the [Delaware Statutory Trust Act], the Declaration of Trust, or these By-Laws, the General Corporation Law of the State of Delaware relating to proxies, and judicial interpretations thereunder, shall govern all matters concerning the giving, voting or validity of proxies, as if the Trust were a Delaware corporation and the shareholders were stockholders of a Delaware corporation. Notwithstanding any other provision herein to the contrary, in the event a proposal by anyone other than the officers or Trustees of the Trust is submitted to a vote of the shareholders of one or more Series or classes thereof or of the Trust, or in the event of any proxy contest or proxy solicitation or proposal in opposition to any proposal by the officers or Trustees of the Trust, Shares may be voted only in person or by written proxy at a meeting.




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Current LanguageProposed Language

With respect to any shareholders’ meeting, the Trust may accept proxies by electronic transmission (as defined in the DSTA) or telephonic, computerized, telecommunications or any other reasonable alternative to the execution of a written instrument authorizing the proxy to act, provided the shareholder’s authorization is received within eleven (11) months before the meeting. A proxy with respect to shares held in the name of two or more Persons shall be valid if executed by any one of them unless at or prior to exercise of the proxy the Trust receives a specific written notice to the contrary from any one of them. A proxy purporting to be executed by or on behalf of a shareholder shall be deemed valid unless challenged at or prior to its exercise and the burden of proving invalidity shall rest with the challenger.


The proposed amendment to the By-Laws provides clarity on the choice of law relating to proxy matters and establish a body of case, statutory, and other law for interpreting and resolving proxy-related issues and disputes. This, combined with the depth and breadth of Delaware business law, may increase certainty of outcome for the Funds and shareholders with regard to proxies.

Management believes that a court would likely look to the Delaware General Corporation Law in interpreting proxy-related issues for the Funds. Accordingly, this proposed amendment to the By-Laws is not intended to substantively change the rights of shareholders. Moreover, each Trust’s governing instruments permit the By-Laws to be amended without shareholder approval. Because there is a possibility that a current or future interpretation of, or amendment to, the Delaware General Corporation Law could substantively change the rights of shareholders with respect to proxy-related issues, however, the Boards consider it to be appropriate to obtain shareholder approval for this particular proposed amendment to the By-Laws.

In the event that shareholders do not approve this proposed amendment to the By-Laws, Fund management expects that a court would still be likely to look to the Delaware General Corporation Law in interpreting proxy-related issues for the Funds. In the absence of this amendment to the By-Laws, however, there would be less certainty that a court would look exclusively to the Delaware General Corporation Law in interpreting proxy-related issues for the Funds, and it is possible that a court might also look to other Delaware law or the laws of other jurisdictions in interpreting proxy-related issues for the Funds.



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Quorum and Required Vote

A “Quorum” is the minimum number of shares that must be present in order to conduct the Meeting. A Quorum for a Trust or a particular Fund means one-third (33⅓%) of the shares of that Trust or Fund that are entitled to vote at the Meeting, present in person or represented by proxy.

Provided that Quorum requirements have been satisfied for a Trust, Proposals 5(a)-(c) each must be approved by the affirmative vote of a majority of votes cast. For a Trust that is made up of more than one Fund, the votes of all the shares of the Funds of that Trust will be counted together in determining the results of the voting for Proposals 5(a)-(c).

FOR THE REASONS DISCUSSED ABOVE, THE BOARD OF
EACH TRUST UNANIMOUSLY RECOMMENDS THAT YOU VOTE FOR
PROPOSALS 5(A) THROUGH (C).



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VOTING INFORMATION

How will shareholder voting be handled?

Only shareholders of record of the Funds at the close of business on January 22, 2015 (the “Record Date”), will be entitled to notice of, and to vote at, the Meeting on the matters described in this Proxy Statement. ShareholdersRecord Date will be entitled to one vote for each full share and a fractional vote for each fractional share that they hold. If sufficient votes to approve a Proposal for a Fund are not received byown.  No shares have cumulative voting rights in the dateelection of Trustees.  The number of shares that you may vote is the total of the Meetingnumber shown on the proxy card/voting instruction form accompanying this Joint Proxy Statement. Appendix B sets forth the number of shares issued and outstanding for each class of each Fund as of the Record Date.

Revocation of Proxies
Any shareholder giving a proxy has the power to revoke it by mail (addressed to the Secretary at the principal executive office of the Trusts at the address shown at the beginning of this Joint Proxy Statement) or any reconvened Meeting following an adjournment,webcast at the Meeting, by executing a superseding proxy or reconvened Meeting may be adjourned for that Fund or for that Proposal, andby submitting a notice of revocation to the Fundrelevant Fund. A superseding proxy may also callbe executed by voting via telephone or Internet. The superseding proxy need not be voted using the vote on some Proposalssame method (mail, telephone, or Internet) as the original proxy vote.
All properly executed and unrevoked proxies received in time for the Meeting will be voted as instructed by shareholders. If you execute your proxy but adjourn with regard to other Proposals, to permit further solicitations of proxies. The persons named asgive no voting instructions, your shares that are represented by proxies onwill be voted “FOR” each Trustee Nominee and, in the enclosed proxy cards will vote their proxies in theirproxies’ discretion, on questions of adjournment and“FOR” or “AGAINST” any other items (other than the Proposals)business that may properly come before the Meeting. A majority of
Quorum, Voting and Adjournment
For each Trust, the votes cast by shareholders of a Fund present in personpresence at the Meeting, via webcast or by proxy, atof one-third of the Meeting (whether or notoutstanding shares of such Trust entitled to vote, as of the Record Date, shall be necessary and sufficient to constitute a quorum for the Fund) may adjourntransaction of business for that Trust or Fund.
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In the event that a quorum is not present at the Meeting, with respector if there are insufficient votes to that Fund. Theapprove the Proposal by the time of the Meeting, the proxies, or their substitutes, or the chairman of the Meeting may alsopropose that the Meeting be adjourned one or more times to permit further solicitation. Any adjournment by the Chairpersonshareholders requires the affirmative vote of a majority of the Meeting.

total number of shares that are present via webcast or by proxy when the adjournment is being voted on. If a quorum is present, the proxies will vote in favor of any such adjournment all shares that they are entitled to vote in favor of the Proposal and the proxies will vote against any such adjournment any shares for which they are directed to vote against the Proposal. The proxies will not vote any shares for which they are directed to abstain from voting on the Proposal.

Effect of Abstentions and Broker Non-Votes. For purposes of determining the presence of a quorum for transacting business at the Meeting, abstentions and broker non-votes“non-votes” (i.e., shares held by brokers or nominees, typically in “street name,” as to which (i) instructions have not been received from the beneficial owners or persons entitled to vote and (ii) the broker or nominee does not have discretionary voting power on a particular matter) will be countedtreated as shares that are present for purposes of determining whether a quorum is present atquorum. For purposes of determining the Meeting. Broker non-votes are proxies from brokers or nominees that vote on matters for which they have discretionary authority to vote (“discretionary items,” e.g.,approval of the election of trustees), but also indicate that they have not received voting instructions from the beneficial owner or other person entitled to vote shares on a particular matter for which the brokers or nominees do not have discretionary authority to vote (“non-discretionary items,” e.g., changes to fundamental investment restrictions). Because the Meeting has both discretionary and non-discretionary items on the agenda, the Funds anticipate receiving broker non-votes. AbstentionsProposal, abstentions and broker non-votes are considereddo not count as shares present atvotes cast with respect to the Meeting but are not considered votes cast. As a result,Proposal. Accordingly, abstentions and broker non-votes will have the same effect as a vote “Against” the Proposals requiring a “1940 Act Majority,” but will have no effect on Proposals requiringProposal.
Discretionary Voting
Broker-dealers that hold a plurality or majorityTrust’s shares in “street name” for the benefit of votes cast.

How do I ensure mytheir customers will request the instructions of such customers on how to vote is accurately recorded?

Youtheir shares on the election of a Trustee Nominee. The Trusts understand that, under the rules of the New York Stock Exchange (“NYSE”), such broker-dealer firms may attendfor certain “routine” matters, without instructions from their customers and clients, grant discretionary authority to the Meeting andproxies designated by the Board to vote in person. You may also vote by completing, signing, and returningif no instructions have been received prior to the enclosed proxy carddate specified in the enclosed postage paid envelope,broker-dealer firm’s request for voting instructions. The election of a Trustee is a “routine” matter and beneficial owners who do not provide proxy instructions or who do not return a proxy card/voting instruction form may have their shares voted by telephone or through the Internet. If you return your signed proxy card or vote by telephone or through the Internet, your vote will be officially cast at the Meeting in accordance with your voting instructions by the persons appointed as



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proxies. A proxy card is, in essence, a ballot. If you sign and date the proxy card but give no voting instructions, your shares will be votedbroker-dealer firms in favor of the Trustee Nominees in Proposal 1 and for Proposals 2, 3, and 5(a)-(c). Your proxies will also be voted in the discretionProposal. Broker-dealers who are not members of the persons appointed as proxies on anyNYSE may be subject to other matters thatrules, which may properly come before the Meeting or any adjournment or postponement of the Meeting, although management of the Funds doesmay not expect any such matterspermit them to come before the Meeting. Ifvote your shares are held of record by a broker/dealer andwithout instruction. We urge you wish to vote in person at the Meeting, you must obtain a legal proxy from the broker of record and present it at the Meeting.

May I revoke my proxy?

You may revoke your proxy at any time for a Fund before it is voted by sending a written noticeprovide instructions to the Fund expressly revoking your proxy, by signing and forwarding to the Fund a later-dated proxy, or by attending the Meeting and voting in person. A subsequent proxy before your original proxy is voted, electronically or otherwise, will supersede your prior proxy. If your shares are held in the name of your broker you will have to make arrangements withor nominee so that your broker to revoke a previously executed proxy. If you wish to vote in person at the Meeting, you must obtain a legal proxy from your brokervotes may be counted.

Solicitation of record and present it at the Meeting.

What other matters will be voted upon at the Meeting?

Proxies

The Boards do not intend to bring any matters before the Meeting other than as described in this Proxy Statement. The Boards do not anticipate that any other matters will be brought before the Meeting by others. However, if any other matter legally comes before the Meeting,initial solicitation of proxies will be voted in the discretion of the persons appointed as proxies.

Who is entitled to vote?

Only shareholders of record on the Record Date will be entitled to vote at the Meeting on the matters described in this Proxy Statement. The table in Appendix J shows as of January 22, 2015, as to each of the Funds, the number of shares outstanding.

What is the Quorum requirement?

A “Quorum” is the minimum number of shares that must be present in order to conduct the Meeting. A Quorum for a Trust or a particular Fund means one-third (33⅓%) of the shares of that Trust or Fund that are entitled to vote at the Meeting, present in person or represented by proxy. Please refer to each Proposal for the applicable voting standard.



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Who will pay the expenses of the Meeting?

Each Fund will bear its proportionate cost of the proxy preparation, mailing and solicitation. Costs will generally be allocated across the Funds according to assets under management. The Funds have engaged Computershare Fund Services (“Computershare”) to solicit proxies from brokers, banks, other institutional holders and individual shareholders at an anticipated cost of approximately $5.9 million. Fees and expenses may be greater depending on the effort necessary to obtain shareholder votes. The agreement with Computershare provides that Computershare shall be indemnified against certain liabilities and expenses, including liabilities under the federal securities laws.

What other solicitations will be made?

This proxy solicitation is being made by the Boards for use at the Meeting. In addition tomail. Additional solicitations by mail, solicitations also may be made by advertisement, telephone, telegram, facsimile transmissione-mail, or other electronic media,personal contact by the Trusts’ officers or personal contacts.employees or representatives of DMC or one of its affiliates or by a proxy soliciting firm retained by the Trusts. DMC has retained Computershare as proxy solicitor to assist in the solicitation of proxy votes primarily by contacting shareholders by telephone and facsimile. The Fundsproxy solicitor’s services include proxy consulting, mailing, tabulation and solicitation services. The cost of retaining such proxy solicitor, including printing and mailing costs, is estimated to be approximately $3,500,000-$5,000,000, to be borne by the Trusts. Costs will vary depending on the number of solicitations made. The Trusts’ officers, and those employees and representatives of DMC or its affiliates who assist in the proxy solicitation, will not receive any additional or special compensation for any such efforts. In addition, the Trusts will request broker/dealerbroker-dealer firms, custodians, nominees and fiduciaries to forward proxy materials to the beneficial owners of thetheir shares held of record.

In addition to solicitationsrecord by mail, officers and employees of the Trusts, DMC, and their affiliates may, without extra pay, conduct additional solicitations by telephone, telecopy, and personal interviews. The Funds expect that any solicitations will be primarily by mail, but also may include telephone, telecopy, or oral solicitations.

As the Meeting date approaches, you may receive a telephone call from a representative of Computershare if your votes have not yet been received. Proxies that are obtained telephonically will be recorded in accordance with the procedures described below. These procedures are designed to ensure that both the identity of the shareholder casting the vote and the voting instructions of the shareholder are accurately determined.

In all cases where a telephonic proxy is solicited, the Computershare representative is required to ask for each shareholder’s full name and address, and to confirm that the shareholder has received the proxy materials in the mail. If the shareholder is a corporation or other entity, the Computershare representative is required to ask for the person’s title and confirmation that the person is authorized to direct the voting of the shares. If the information elicited matches the information previously provided to Computershare, then the Computershare representative has the responsibility to explain the voting process, read the Proposals listed on the proxy card, and ask for the shareholder’s instructions on the Proposals. Although the Computershare representative is permitted to answer questions about the process, he or she is not permitted to recommend to the shareholder how to vote, other than to read any recommendation set forth in this Proxy Statement. Computershare will record the



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shareholder’s instructions on the card. Within 72 hours, the shareholder will be sent a letter or mailgram to confirm his or her vote and asking the shareholder to call Computershare immediately if his or her instructions are not correctly reflected in the confirmation.

Why did my household receive only one copy of this Proxy Statement?

Unless you have instructed the Funds not to do so, only one copy of this Proxy Statement will be mailed to multiple Fund shareholders sharing an address (a “Household”), even if more than one shareholder in a Household is a Fund shareholder of record. If you need additional copies of this Proxy Statement, if you do not want the mailing of proxy solicitation materials to be combined with those of other members of your Household in the future, or if you are receiving multiple copies and would rather receive just one copy for the Household, please contact your participating broker/dealer firm or other financial intermediary or, if you hold Fund shares directly with the Funds, you may write to the Funds by regular mail to Attention: Shareholder Services, P.O. Box 9876, Providence, RI 02940-8076, by overnight courier service to 4400 Computer Drive, Westborough, MA 01581-1722, or by calling toll-free 800 523-1918.

How do I submit a shareholder proposal for inclusion in a Trust’s proxy statement for a future shareholder meeting?

The governing instruments of the Trusts do not require that the Funds hold annual meetings of shareholders. Each Fund is, however, required to call meetings of shareholders in accordance with the requirements of the 1940 Act to seek approval of new or material amendments to advisory arrangements or of a change in the fundamental investment policies, objectives or restrictions of the Fund. Each Trust also would be required to hold a shareholder meeting to elect new Trustees at such time as less than a majority of the Trustees holding office have been elected by shareholders. The Trusts’ governing instruments generally provide that a shareholder meeting may be called by a majority of the Trustees, the Chairperson of the Board, or the President of the Trust.

Shareholders of a Fund wishing to submit proposals for inclusion in a proxy statement for a future shareholder meeting must send their written proposal to that Fund a reasonable time before the Board’s solicitation relating to that meeting is to be made. Shareholder proposals must meet certain legal requirements established by the SEC, so there is no guarantee that a shareholder’s proposal will actually be included in the next proxy statement. The persons named as proxies in future proxy materials of a Fund may exercise discretionary authority with respect to any shareholder proposal presented at any subsequent shareholder meeting if written notice of that proposal

persons.

OTHER INFORMATION

Service Providers
Table of ContentsInvestment Adviser.

has not been received by that Fund within a reasonable period of time before the Board’s solicitation relating to that meeting is made. Written proposals with regard to a Fund should be sent to the Secretary of the Trusts, David F. Connor, at the address of the Funds given above.

How may I communicate with the Boards?

Shareholders who wish to communicate to the Boards may address correspondence to Thomas L. Bennett, Coordinating Trustee for the Trusts, c/o the applicable Trust at 2005 Market Street, Philadelphia, Pennsylvania, 19103. Shareholders may also send correspondence to the Coordinating Trustee, or any individual Trustee, c/o the applicable Trust at 2005 Market Street, Philadelphia, Pennsylvania 19103. Without opening any such correspondence, Trust management will promptly forward all such correspondence to the intended recipient(s).

MORE INFORMATION ABOUT THE FUNDS

Transfer Agency Services. Delaware Investments Fund Services Company (“DIFSC”), an affiliate of DMC, located at 2005100 Independence, 610 Market Street, Philadelphia, PA 19103-7094,19106-2354, serves as the Funds’ shareholder servicing, dividend disbursing, and transfer agent (the “Transfer Agent”) pursuant to a Shareholder Services Agreement. The Transfer Agent is paid a fee by the Funds for providing these services consisting of an asset-based fee and certain out-of-pocket expenses. The Transfer Agent will bill, and the Funds will pay, such compensation monthly. Omnibus and networking fees charged by financial intermediaries and subtransfer agency fees are passed on to and paid directly by the Funds. The Transfer Agent’s compensation is fixed each year and approved by the Board, including a majority of the Independent Trustees.

BNY Mellon Investment Servicing (US) Inc. (“BNYMIS”), 480 Washington Boulevard, Jersey City, NJ 07310, provides subtransfer agency servicescurrent investment adviser to the Funds. In connection with these services, BNYMIS administersDMC is a series of Macquarie Investment Management Business Trust (a Delaware statutory trust), which is a subsidiary of Macquarie Management Holdings, Inc. (“MMHI”). MMHI is a subsidiary, and subject to the overnightultimate control, of Macquarie Group Limited (“Macquarie”). Macquarie is a Sydney, Australia-headquartered global provider of banking, financial, advisory, investment of cash pending investment inand funds management services.

19


Distributor. Delaware Distributors, L.P. (“DDLP”), located at 100 Independence, 610 Market Street, Philadelphia, PA 19106-2354, serves as the Funds or paymentnational distributor of redemptions. The proceeds of this investment program are used to offset the Funds’ transfer agency expenses.

shares.

Fund Accountants.Custodian. The Bank of New York Mellon (“BNY Mellon”), located at One Wall Street, New York, NY 10286-0001,New York 10286, serves as the custodian for the Funds.

Fund Accountants.  BNY Mellon also provides fund accounting and financial administration services to the Funds. Those services include performing functions related to calculating the Funds’ net asset values (“NAVs”) and providing financial reporting information, regulatory compliance testing and other related accounting services. For these services, the Funds pay BNY Mellon an asset-based fee, subject to certain fee minimums plus certain out-of-pocket expenses and transactional charges.



Table of Contents

DIFSC provides fund accounting and financial administration oversight services to the Funds. Prior to November 1, 2014,

Delaware ServiceInvestments Fund Services Company (“DSC”DIFSC” or “Transfer Agent”) provided, located at 100 Independence, 610 Market Street, Philadelphia, PA 19106-2354, provides fund accounting and financial administration oversight services to the Funds. Those services include overseeing the Funds’ pricing process, the calculation and payment of fund expenses, and financial reporting in shareholder reports, registration statements and other regulatory filings. DIFSC also manages the process for the payment of dividends and distributions, and the dissemination of Fund NAVs and performance data. For these services,data, and shareholder servicing.
Independent Registered Public Accounting Firm

PricewaterhouseCoopers LLP (“PwC”) was selected as the Funds’ independent registered public accounting firm to audit the accounts of the Funds pay DIFSC an asset-based fee, plus certain out-of-pocket expenses and transactional charges.for their most recently completed fiscal years. Representatives of PwC are not expected to attend the Meeting. The fees payable to BNY Mellon and DIFSC under the service agreements described above will be allocated among all fundsFunds do not know of any direct or indirect financial interest of PwC in the Delaware Investments® FamilyTrusts.
Appendix G shows the fees billed by PwC for audit and other services provided to the Trusts for the fiscal years indicated.
Shareholder Reports
Copies of Funds on a relative NAV basis.

Distribution Services. Delaware Distributors, L.P., locatedeach Trust’s Annual Report for the most recently completed fiscal year previously have been mailed or made available to shareholders. This Joint Proxy Statement should be read in conjunction with each Annual Report. You can obtain copies of the Annual Reports, without charge, by writing to the respective Trust or to DDLP at 2005100 Independence, 610 Market Street, Philadelphia, PA 19103-7094, serves as19106-2354, or by calling 800-523-1918. You should receive the national distributorreports within three business days of the Funds’ shares. The Distributor is an affiliateyour request. Copies of DMC. The Distributor has agreedthese reports are also available free of charge at www.delawarefunds.com.

Householding
To avoid sending duplicate copies of materials to use its best efforts to sell shares of the Funds. Shares of the Funds are offered on a continuous basis by the Distributor and may be purchased through authorized investment dealers or directly by contacting the Distributor or the Trust.

No Fund paid any brokerage commissions for portfolio securities to any broker that is an affiliate (or an affiliate of an affiliate) of the Funds, DMC, DDLP, or DIFSC during the Fund’s most recently completed fiscal year.

PRINCIPAL HOLDERS OF SHARES

As of January 22, 2015, the officers and Trustees ofhouseholds, the Trusts asmay mail only one copy of this Joint Proxy Statement to shareholders having the same last name and address on the Trusts’ records, unless a group, owned less than 1%Trust has received contrary instructions from a shareholder. The consolidation of the outstanding voting shares of each Fund or class thereof, except as noted in Appendix K.

To the best knowledge ofthese mailings benefits the Trusts asthrough reduced mailing expenses. If a shareholder wants to receive multiple copies of January 22, 2015, no person, except asthese materials, the shareholder should make a request by writing to that Trust’s Transfer Agent at their address set forth in Appendix L, owned of record 5% or more of the outstanding shares of any Fund. Except as noted in Appendix L, the Trusts have no knowledge of beneficial ownership of 5% or more of the outstanding shares of any class of any Fund.

above.

20


Table of Contents

APPENDICES TO

APPENDIX A


Table of Contents

APPENDIX A – TRUSTS AND SERIES HOLDING JOINT MEETING

TrustTRUSTFundsFUNDS
Delaware Group® Adviser Funds
Delaware Diversified Income Fund
Delaware Global Real Estate Opportunities Fund

Delaware U.S. Growth Fund
Delaware Group® Cash Reserve
Delaware Cash Reserve®Investments Ultrashort Fund
Delaware Group®Equity Funds I
Delaware Mid Cap Value Fund
Delaware Group®Equity Funds II
Delaware Value®Fund
Delaware Group®Equity Funds IV
Delaware Healthcare Fund
   Delaware Small Cap Growth Fund
Delaware Smid Cap Growth Fund
   Delaware Covered Call Strategy Fund
   Delaware Equity Income Fund
   Delaware Global Equity Fund
   Delaware Growth and Income Fund
   Delaware Growth Equity Fund
   Delaware Hedged U.S. Equity Opportunities Fund
   Delaware Opportunity Fund
   Delaware Premium Income Fund
   Delaware Total Return Fund
Delaware Group®Equity Funds V
Delaware Dividend IncomeWealth Builder Fund
Delaware Small Cap Core Fund
Delaware Small Cap Value Fund
Delaware Group Foundation Funds®
Delaware Foundation®ConservativeStrategic Allocation Fund
Allocation Fund
Delaware Foundation®Growth Allocation Fund
Delaware Foundation®Moderate Allocation Fund
Delaware Group®Global & International Funds
Delaware Emerging Markets Fund
Delaware Focus Global Growth Fund
Delaware Global Value Fund
Delaware International Value Equity Fund
Delaware International Small Cap Fund
Delaware Group®Government FundFunds
Delaware Strategic Income Fund


Delaware Core Plus Bond Fund
Delaware Emerging Markets Debt Corporate Fund

Delaware Inflation Protected Bond Fund
Delaware Group®Income Funds
Delaware Corporate Bond Fund
Delaware Diversified Floating Rate Fund
Delaware Extended Duration Bond Fund
Delaware High-Yield Opportunities Fund
Delaware Floating Rate Fund
Delaware Group®Limited-Term Government Funds
Delaware Limited-Term Diversified Income Fund
Delaware Tax-Free New Jersey Fund
Delaware Tax-Free Oregon Fund
Government Funds
Delaware Group®State Tax-Free Income Trust
Delaware Tax-Free Pennsylvania Fund
Delaware Group®Tax-Free Tax Free Fund
Delaware Tax-Free USA Fund
Delaware Tax-Free USA Intermediate Fund



Table of Contents

TrustFunds
Delaware Pooled®TrustThe Core Plus Fixed Income Portfolio
The
   Macquarie Emerging Markets Portfolio
The
   Macquarie Emerging Markets Portfolio II
The Focus Smid-Cap Growth Equity Portfolio
The High-Yield Bond Portfolio
The International Equity Portfolio
The
   Macquarie Labor Select International Equity Portfolio
The Large-Cap Growth Equity Portfolio
The Large-Cap Value Equity Portfolio
The
   Delaware Global Listed Real Estate Investment Trust Portfolio
(also known asAssets Fund
      (formerly, Delaware REIT Fund)
Delaware VIP® TrustThe Select 20 Portfolio
Delaware VIP®Trust
Delaware VIP®Diversified Income Series
Delaware VIP®VIP® Emerging Markets Series
Delaware VIP®High Yield Series
Delaware VIP®International Value Equity Series
Delaware VIP®Limited-Term Diversified Income Series
Delaware VIP®REIT Series
Delaware VIP®VIP® Small Cap Value Series
   Delaware VIP® Equity Income Series
   Delaware VIP® Fund for Income Series
   Delaware VIP® Growth and Income Series
   Delaware VIP® Growth Equity Series
   Delaware VIP® International Series
   Delaware VIP® Investment Grade Series
   Delaware VIP® Limited Duration Bond Series
   Delaware VIP® Opportunity Series
   Delaware VIP® Special Situations Series
   Delaware VIP® Total Return Series
Delaware VIP®Smid Cap Growth Series
Delaware VIP®U.S. Growth Series
Delaware VIP®Value Series
Voyageur Insured Funds
Delaware Tax-Free Arizona Fund
Voyageur Intermediate Tax Free Funds
Delaware Tax-Free Minnesota Intermediate Fund
Voyageur Mutual Funds
Delaware Minnesota High-Yield Municipal Bond Fund
Delaware National High-Yield Municipal Bond Fund
Delaware Tax-Free California Fund
Delaware Tax-Free Idaho Fund


Delaware Tax-Free New York Fund

Voyageur Mutual Funds II
Delaware Tax-Free Colorado Fund
Voyageur Mutual Funds III
Delaware Select Growth Fund
Voyageur Tax Free FundsDelaware Tax-Free Minnesota Fund




APPENDIX B – TRUSTEE NOMINEES

Number ofOther
PortfoliosDirectorships
Principalin FundHeld by
Position(s)Occupation(s)ComplexTrustee
Name, Address,Held withLength ofDuring PastOverseenduring the Past
and Birth Datethe TrustsTime Served5 Yearsby TrusteeFive Years
Interested Trustee
Patrick P. Coyne1Chairman,Chairman andPatrick P. Coyne65Board of
2005 Market StreetPresident,Trustee sincehas served inGovernors
Philadelphia,ChiefAugust 16, 2006various executiveMember –
PA 19103Executivecapacities at differentInvestment
Officer, andPresident andtimes at DelawareCompany
April 1963TrusteeChief ExecutiveInvestments.2Institute (ICI)
Officer since
August 1, 2006Director
and Audit
Committee
Member —
Kaydon Corp.
(2007-2013)
Independent Trustees
Thomas L. BennettTrusteeSincePrivate Investor —65Director —
2005 Market StreetMarch 2005(March 2004 – Present)Bryn Mawr Bank
Philadelphia,Corp. (BMTC)
PA 19103(April 2007 –
Present)
October 1947
Ann BorowiecProposedN/ACEO, Private WealthN/ACo-Chair and
2005 Market StreetTrusteeManagementTrustee —
Philadelphia,(2011 – 2013) andJerseyCAN
PA 19103Market Manager,
New Jersey PrivateTrustee —
November 1958Bank (2005 – 2011) –50CAN
JP Morgan
Chase & Co.Trustee and
Executive
Committee
Member —
NJPAC
Trustee — New
Jersey Symphony
Orchestra
SHARES ISSUED AND OUTSTANDING
AS OF THE RECORD DATE


Table of Contents

Name, Address,
and Birth Date
Position(s)
Held with
the Trusts
Length of
Time Served
Principal
Occupation(s)
During Past
5 Years
Number of
Portfolios
in Fund
Complex
Overseen
by Trustee
Other
Directorships
Held by
Trustee
during the Past
Five Years
Independent Trustees (continued)
Joseph W. ChowTrusteeSinceExecutive Vice65Director
2005 Market StreetJanuary 2013President (Emergingand Audit
Philadelphia,Economies Strategies,Committee
PA 19103Risk and CorporateMember –
Administration)Hercules
January 1953Technology
State StreetCapital, Inc.
Corporation (July(2004-2014)
2004 – March 2011)
John A. FryTrusteeSincePresident – Drexel65Director –
2005 Market StreetJanuary 2001University (AugustHershey Trust
Philadelphia,2010 – Present)Company
PA 19103
President — FranklinDirector, Audit
May 1960& Marshall CollegeCommittee, and
(June 2002 –Governance
July 2010)Committee
Member —
Community
Health Systems
Lucinda S.TrusteeSincePrivate Investor65None
LandrethMarch 2005(2004 – Present)
2005 Market Street
Philadelphia,
PA 19103
June 1947
Frances A.TrusteeSinceChief Executive65Trust Manager
Sevilla-SacasaSeptember 2011Officer – Banco Itauand Audit
2005 Market StreetInternationalCommittee
Philadelphia,(April 2012 – Present)Member –
PA 19103Camden
Executive Advisor toProperty Trust
January 1956Dean (August 2011 –
March 2012) and
Interim Dean (January
2011 – July 2011) –
University of Miami
School of Business
Administration

Registrants / FundsAutex CodeClass AClass CClass RClass R6Institutional ClassClass L
Delaware Group® Adviser Funds
Delaware Diversified Income FundNE78,415,706.7918,849,610.3542,405,090.70025,213,054.199337,160,079.013N/A
Delaware Group® Cash Reserve
Delaware Investments Ultrashort FundD84,243,876.641536,994.066N/AN/A3,229,593.558346,253.602
Delaware Group® Equity Funds I
Delaware Mid Cap Value FundG61,682,664.824454,332.25738,372.781N/A7,905,563.444N/A
Delaware Group® Equity Funds II
Delaware Value® Fund
NN64,664,287.42810,951,494.3682,118,260.13950,170,552.364270,949,943.065N/A
Delaware Group® Equity Funds IV
Delaware Smid Cap Growth FundDF39,299,565.11611,595,250.828564,313.9932,490,910.02144,118,407.352N/A
Delaware Healthcare FundG411,727,525.1563,771,040.036155,326.241N/A22,227,653.454N/A
Delaware Small Cap Growth FundGF1,521,117.147464,821.289172,697.012N/A11,339,915.273N/A
Delaware Covered Call Strategy FundFIN7,276,792.990N/AN/A3,666.4752,645,913.375N/A
Delaware Equity Income FundFI238,543,530.424N/AN/A2,758.031236,672.508N/A
Delaware Global Equity FundFI632,800,309.818N/AN/A18,229.8422,052,141.207N/A
Delaware Growth Equity FundFI329,351,777.363N/AN/A99,124.1034,434,868.067N/A
Delaware Growth and Income FundFI170,889,261.414N/AN/A13,040.627328,227.385N/A
Delaware Hedged U.S. Equity Opportunities FundFIP4,408,474.234N/AN/A1,583.5712,355,974.247N/A
Delaware Opportunity FundFI419,463,927.404N/AN/A6,406.391114,421.975N/A
Delaware Premium Income FundFIQ2,127,856.410N/AN/A2,962.0752,539,158.430N/A
Delaware Total Return FundFI828,461,514.397N/AN/A3,567.89280,504.503N/A



Table of Contents

Name, Address,
and Birth Date
Position(s)
Held with
the Trusts
Length of
Time Served
Principal
Occupation(s)
During Past
5 Years
Number of
Portfolios
in Fund
Complex
Overseen
by Trustee
Other
Directorships
Held by
Trustee
during the Past
Five Years
Independent Trustees (continued)
Thomas K.TrusteeSinceVice Chairman65Director –
WhitfordJanuary 2013(2010 – April 2013),HSBC Finance
2005 Market StreetChief AdministrationCorporation
Philadelphia,Officer (2008 – 2010)and HSBC
PA 19103and Executive ViceNorth American
President and ChiefHoldings Inc.
March 1956Administrative Officer
(2007–2009) –
PNC Financial
Services Group
Janet L. YeomansTrusteeSinceVice President and65Director, Audit
2005 Market StreetApril 1999Treasurer (Januaryand Compliance
Philadelphia,2006 – Present), ViceCommittee
PA 19103President — MergersChair, Investment
& AcquisitionsCommittee
July 1948(January 2003 –Member, and
January 2006), andGovernance
Vice President (JulyCommittee
1995 – January 2003)Member –
3M CorporationOkabena
Company
Chair – 3M
Investment
Management
Committee
(2005–2012)
J. Richard ZecherTrusteeSinceFounder — Investor65Director and
2005 Market StreetMarch 2005Analytics (RiskCompensation
Philadelphia,Management) (MayCommittee
PA 191031999 – Present)Chairperson —
Investor
July 1940Founder — P/EAnalytics
Investments (Hedge
Fund) (SeptemberDirector – P/E
1996 – Present)Investments
Registrants / FundsAutex CodeClass AClass CClass RClass R6Institutional ClassClass L
Delaware Group® Equity Funds V
Delaware Wealth Builder FundFR16,676,076.5912,116,900.79875,860.936N/A7,465,947.474N/A
Delaware Small Cap Core FundNS10,185,228.6824,988,200.1911,526,715.21640,878,472.850173,862,450.849N/A
Delaware Small Cap Value FundDJ13,731,009.708851,135.157764,111.29319,676,998.16849,158,132.325N/A
Delaware Group® Foundation Funds
Delaware Strategic Allocation FundNG16,681,686.846767,374.309109,499.716N/A3,440,494.597N/A
Delaware Group® Global & International Funds
Delaware Emerging Markets FundFP15,373,639.4544,943,843.2981,450,223.95189,919,363.552157,339,023.439N/A
Delaware International Value Equity FundDW13,288,568.573308,624.310321,570.493252,302.92823,224,550.090N/A
Delaware International Small Cap FundG71,012,758.992257,245.94417,613.3972,149,947.6008,150,067.756N/A
Delaware Group® Government Fund
Delaware Strategic Income FundDD12,237,815.255164,855.13319,822.394N/A2,273,363.498N/A
Delaware Emerging Markets Debt Corporate FundGC99,620.14512,941.292343.776N/A9,351,513.335N/A
Delaware Group® Income Funds
Delaware Corporate Bond FundNO61,999,251.5344,136,615.8411,948,795.7711,760,921.065158,834,454.526N/A
Delaware Extended Duration Bond FundNP13,881,420.0441,201,354.7541,187,268.4548,603,810.18358,292,276.925N/A
Delaware High-Yield Opportunities FundFV112,108,280.4551,794,277.683726,095.06918,388,640.72523,275,196.237N/A
Delaware Floating Rate FundGA7,867,506.619999,220.4292,645.06232,652.65617,649,643.416N/A
____________________


1Mr. Coyne is considered to be an “Interested Trustee” because he is an executive officer of DMC.
2Delaware Investments® is the marketing name for Delaware Management Holdings, Inc. and its subsidiaries, including the Funds’ investment advisor, principal underwriter, and transfer agent.

Registrants / FundsAutex CodeClass AClass CClass RClass R6Institutional ClassClass L
Delaware Group® Limited-Term Government Funds
Delaware Limited-Term Diversified Income FundDE32,674,647.7621,256,155.716103,527.580536,314.95628,993,614.387N/A
Delaware Tax-Free New Jersey FundFIC1,936,154.709N/AN/AN/A152,871.963N/A
Delaware Tax-Free Oregon FundFIE2,684,682.495N/AN/AN/A342,775.438N/A
Delaware Group® State Tax-Free Income Trust
Delaware Tax-Free Pennsylvania FundD746,088,762.9501,689,754.266N/AN/A9,091,021.008N/A
Delaware Group® Tax-Free Fund
Delaware Tax-Free USA FundDA76,296,744.969800,612.813N/AN/A17,138,774.494N/A
Delaware Tax-Free USA Intermediate FundD944,739,618.885606,500.013N/AN/A51,636,651.724N/A
Delaware Pooled® Trust
Institutional ClassDPT Class
Macquarie Emerging Markets PortfolioFZN/AN/AN/AN/AN/A7,562,684.903
Macquarie Emerging Markets Portfolio IIG9N/AN/AN/AN/AN/A1,751,131.142
Macquarie Labor Select International Equity PortfolioF8N/AN/AN/AN/AN/A11,793,922.207
Delaware Global Listed Real Assets FundF93,095,951.951102,128.922284,471.786576,548.2194,533,595.460N/A
Voyageur Insured Funds
Delaware Tax-Free Arizona FundV35,510,328.815126,128.174N/AN/A1,882,418.943N/A
Voyageur Intermediate Tax Free Funds
Delaware Tax-Free Minnesota Intermediate FundVN5,676,099.491263,609.599N/AN/A2,116,477.904N/A

Registrants / FundsAutex CodeClass AClass CClass RClass R6Institutional ClassClass L
Voyageur Mutual Funds
Delaware Minnesota High-Yield Municipal Bond FundVL9,954,357.4951,262,991.915N/AN/A9,265,237.483N/A
Delaware National High-Yield Municipal Bond FundVQ20,333,111.9094,766,993.857N/AN/A119,579,053.616N/A
Delaware Tax-Free California FundV66,812,680.046303,686.597N/AN/A3,744,032.603N/A
Delaware Tax-Free Idaho FundVF6,114,329.181545,231.758N/AN/A4,655,482.328N/A
Delaware Tax-Free New York FundVS13,381,618.659384,398.640N/AN/A4,275,656.873N/A
Voyageur Mutual Funds II
Delaware Tax-Free Colorado FundV814,170,567.902580,666.141N/AN/A6,751,069.226N/A
Voyageur Mutual Funds III
Delaware Select Growth FundV17,895,687.890314,841.63091,661.166N/A1,283,391.692N/A
Voyageur Tax Free Funds
Delaware Tax-Free Minnesota FundVO29,501,224.5421,329,984.842N/AN/A17,283,499.624N/A

Delaware VIP® Trust
StandardService
Delaware VIP® Emerging Markets Series
N113,037,782.23512,840,214.759
Delaware VIP® Small Cap Value Series
F211,578,805.08624,636,229.785
Delaware VIP® Equity Income Series
FL16,533,677.627N/A
Delaware VIP® Fund for Income Series
FLA14,916,629.817N/A
Delaware VIP® Growth and Income Series
FL215,639,394.607N/A
Delaware VIP® Growth Equity Series
FL35,167,100.393N/A
Delaware VIP® International Series
FL611,030,773.51441,497.053


Delaware VIP® Trust
StandardService
Delaware VIP® Investment Grade Series
FL95,161,528.8421,029.970
Delaware VIP® Limited Duration Bond Series
FL82,776,161.084N/A
Delaware VIP® Opportunity Series
FL44,694,531.891N/A
Delaware VIP® Special Situations Series
FL57,366,715.171N/A
Delaware VIP® Total Return Series
FL74,058,388.185848.994




APPENDIX C

DELAWARE FUNDS® BY MACQUARIE

NOMINATING AND CORPORATE GOVERNANCE
COMMITTEE CHARTER

As Amended 5/16/07


As Further Amended 11/15/07
As Further Amended 5/22/08
As Further Amended 11/20/08
As Further Amended 2/16/10
As Further Amended 2/15/11
As Further Amended 5/22/13

NOMINATING AND CORPORATE GOVERNANCE
COMMITTEE CHARTER

DELAWARE INVESTMENTS® FAMILY OF FUNDS

NOMINATING AND CORPORATE GOVERNANCE
COMMITTEE CHARTER

Nominating and Corporate Governance Committee Membership

The Nominating and Corporate Governance Committee (the “Committee”) of the Board of Directors/Trustees (the “Board”) shall be composed of not less thanat least three members, each of whom shall be, in the unanimous opinion of the members of the Committee after consultation with legal counsel to the independent trustees of the Board, independent as defined in Rule 10A-3(b)(1) promulgated under the Securities Exchange Act of 1934, as amended, and the listing standards of any national securities exchange on which any fund of the Delaware Investments Family of Funds® by Macquarie (each a “Fund”) is listed, and the Coordinating Trustee,Board Chair, as an ex officio member. The members of the Committee shall be elected by the Board. One member of the Committee shall be designated by the Board as Chairperson.the Committee’s Chair (the “Chair”). The ChairpersonChair shall preside at all Committee meetings at which he or she is present and membersshall have such other duties and authority as may be determined by the Committee. The Board may remove any member of the Committee shall have one year terms, renewable for a maximum of six (6) terms.(including the Chair) at any time with or without cause. The ChairpersonChair and members of the Committee shall receive such compensation for their service on the Committee as the Board may determine from time to time.

Board Nominations

1.
Independent Directors/Trustees.Independent Directors/Trustees. The Committee shall make recommendations to the Board regarding nominations for individuals to serve as Independent Director/Trustee on the Board. The Committee shall evaluate candidates’ qualifications for Board membership and their independence from the Funds’ investment adviser, affiliates of such investment adviser, and other principal service providers. Persons selected must be independent in terms of both the letter and spirit of the governing rules, regulations, and listing standards. The Committee shall also consider the effect of any relationships beyond those delineated in the governing rules, regulations and listing standards that might impair independence, e.g., business, financial, or family relationships with service providers. In addition to evaluating a candidate’s independence, the Committee shall consider other factors that the Committee may deem relevant, which may include but shall not be limited to:

the openperson’s educational background; business, professional training or practice (e.g., accounting or law); public service or academic positions; experience from service as a board member (including the Board) or as an executive of investment funds, public companies or significant private or not-for-profit entities or other organizations, and/or other life experiences.

whether the person’s professional experience, education, skills and closed-end Funds are to be selectedother individual qualities and nominated solely by incumbent independent Directors/Trustees. The Committee shall make recommendations for nominations for independent director/trustee membership on the Boardattributes, including gender, race or national origin, would provide beneficial diversity of Directors/Trusteesskills, experience or perspective to the incumbent independent Directors/Trustees. The Committee shall also be responsible for nominating qualified candidates for independent Director/TrusteeBoard’s membership in connection with filling vacancies that arise in between meetings of shareholders. The Committee shall evaluate candidates’ qualifications for Board membership



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and their independence from the Funds’ manager and other affiliates and principal service providers. Persons selected must be independent in terms of both the letter and spirit of the governing rules, regulations and listing standards. The Committee shall also consider the effect of any relationships beyond those delineated in the governing rules, regulations and listing standards that might impair independence, e.g., business, financial or family relationships with managers or service providers.

2.Chair of the Board. The Committee shall nominate the Chair of the Board.

3.Coordinating Trustee. The Committee shall nominate the Coordinating Trustee.

4.Committees. The Committee shall annually review the membership of and annually recommend persons to serve as chairpersons and members of each committee of the Board. The Committee shall also review the continued appropriateness of existing committees and consider the addition of new committees. The Committee shall also make recommendations for chairpersons and members of any new committee established by the Board.

5.Affiliated Directors/Trustees. The Committee shall evaluate candidates’ qualifications and make recommendations for affiliated director/trustee membership on the Board of Directors/Trustees to the full Board.

6.Shareholder Recommendations. The Committee shall consider shareholder recommendations for nominations to the Board of Directors.

7.Board Composition. The Committee shall periodically review the composition of the Board of Directors/Trustees, including the number of Directors/Trustees and Board diversity, to determine whether it may be appropriate to add individuals with different backgrounds or skill sets from those already on the Board.

Corporate Governance

1. The Committee shall evaluate annually the ability of each Director/Trustee to function effectively in the discharge of his/her oversight and fiduciary responsibilities as a Director/Trustee. The Chairman of the Committee shall undertake appropriate action as requiredcollective attributes. Such considerations will vary based on the Committee’s evaluation.

2. The Committee shall evaluate whetherBoard’s existing membership and other factors, such as the strength of a particular fund on which an Independent Trustee/Director serves is a competing mutual fund for purposespotential nominee’s overall qualifications relative to diversity considerations;


the character and integrity of the Policy Regarding Service on Competitive Boards.

3. The Committee shall review on an annual basisperson;

whether or not the totalperson has any criminal convictions (other than traffic violations) or felony or misdemeanor convictions involving the purchase or sale of each Director’s/Trustee’s investmentsa security;


whether or not the person has been the subject of any order, judgment or decree (which was not subsequently reversed, suspended or vacated) of any federal or state authority finding that the individual violated or is in the Funds to monitor compliance with the Policy Regarding Mandatory Investment in the Funds by Trustees/Directors.

violation of any federal or state securities laws;


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4. The Committee shall at least annually conduct a review of Director/Trustee education on current industry issues.

5. The Committee shall oversee educational sessions of

whether or not the meetings of the Board of Directors/Trusteesperson is willing to serve, and the purpose, content, organizationwilling and effectiveness of the orientation process for new members of the Board of Directors/Trustees.

6. At least annually, the Committee shall review the amount of compensation payableable to the independent Directors/Trustees and report its findings and recommendations to the Board. Compensation shall be based on the responsibilities and duties of the independent Directors/Trustees andcommit the time required to perform these duties. Every year, the Committee shall invite an independent consultant to review the Board’s compensation structure.

7. The Committee shall monitornecessary for the performance of counsel for the independent Directors/Trustees.

8. The Committee shall establish procedures to facilitate shareholder communications toduties of a Director/Trustee of the Funds; and


whether or not the selection and nomination of the person would be consistent with the requirements of the Funds’ retirement policy.

2.
Chair of the Board. The Committee shall nominate an individual to serve as the Chair of the Board.

3.
Committees. The Committee shall annually review the membership of and annually recommend to the Board persons to serve as chairpersons and members of each standing committee of the Board. The Committee shall also make recommendations to the Board regarding persons to serve as chairpersons and members of any new standing committee established by the Board.

4.
Affiliated Directors/Trustees. The Committee shall evaluate candidates’ qualifications and make recommendations to the Board regarding Director/Trustee membership on the Board for “interested persons” (as defined in the Investment Company Act of 1940).

5.
Shareholder Recommendations. In the event that there is a vacancy on the Board, the Committee shall consider any recently received shareholder recommendations for nominations to the Board. At all other times, the Committee may but need not consider any shareholder recommendations for nominations to the Board.

6.
Board Composition. The Committee shall periodically review the composition of the Board, including the number of Directors/Trustees and Board diversity, to determine whether it may be appropriate to recommend the addition of individuals with different backgrounds or skill sets from those already on the Board.

Corporate Governance
1.The Committee shall review and make recommendations to the Board with respect to the size, structure, processes, and practices of the Board and the committees of the Board.

2.The Committee shall review the continued appropriateness of existing committees of the Board, and consider the addition of new committees of the Board.

3.The Committee shall evaluate annually the ability of each Director/Trustee to function effectively in the discharge of his/her oversight and fiduciary responsibilities as a Director/Trustee. The Chair of the Committee shall undertake appropriate action as required based on the Committee’s evaluation.

4.In accordance with the Statement of Policy Regarding Service on Competitive Boards, the Committee shall make such inquiries as it deems necessary with respect to proposed or continuing board service by Independent Directors/Trustees, and shall periodically re- examine existing board positions held by Independent Directors/Trustees.


5.The Committee shall review on an annual basis the total of each Independent Director’s/Trustee’s investments in the Funds to monitor compliance with the Policy Regarding Mandatory Investment in the Funds by Directors/Trustees.

6.The Committee shall oversee educational sessions of the meetings of the Board and shall, at least annually, conduct a review of Director/Trustee education on current industry issues.

7.The Committee shall oversee the purpose, content, organization, and effectiveness of the orientation process for new Directors/Trustees.

8.The Committee shall periodically review the amount of compensation payable to the Independent Directors/Trustees and report its findings and recommendations to the Board. Compensation shall be based on the responsibilities and duties of the Independent Directors/Trustees and the time required to perform these duties.

9.The Committee shall periodically monitor the performance of legal counsel for the Independent Directors/Trustees.
10.The Committee shall establish procedures to facilitate shareholder communications to the Funds’ Board and shall review and respond, as appropriate, to shareholders who communicate with the Board.

Other Authority and shall review and respond, as appropriate, to shareholders who communicate with the Board of Directors/Trustees.

Other Powers and Responsibilities

1.The Committee shall have the resources and authority appropriate to discharge its responsibilities, including authority to retain special counsel and other experts or consultants at the expense of the appropriate Fund(s). Without intending any limitation on the generality of the foregoing, the Committee is authorized to engage an independent consultant to review the Board’s compensation structure.

2.The Committee shall review this Charter at least annually and recommend any changes to the Board.

3.The Committee shall review annually the Board Policies and Practices and recommend any changes to the Board.

4.The Committee shall review annually a summary and report of Director/Trustee expenses reimbursed in accordance with the Travel & Entertainment Policy.

5.The Committee shall conduct an annual performance evaluation of the Committee.

6.The Committee shall conduct an annual performance evaluation of the Board and report its findings and recommendations to the Committee of Independent Directors/Trustees.

7.The Committee shall review annually Director and Officer insurance matters and report its findings and recommendations to the Board.

8.The Committee shall review annually the compensation for the Funds’ Chief Compliance Officer and report its findings and recommendations to the Board.


9.The Committee shall, at least annually, review the Charter of the Committee of Independent Directors/Trustees and recommend any changes to the Board.

10.The Committee shall perform such other functions and exercise such other authority as delegated to it from time to time by the Board.







APPENDIX D
TRUSTEE NOMINEES’ OWNERSHIP OF FUND SHARES
AS OF THE RECORD DATE
NameDollar Range of Equity Securities in the FundsAggregate Dollar Range of Equity Securities* in all Registered Investment Companies Overseen by Trustee in Family of Investment Companies
Interested Trustee
Shawn K. Lytle
$10,001 - $50,000
Delaware Group Equity Funds II – Delaware Value Fund
Over $100,000
Delaware Group Equity Funds V -Delaware Wealth Builder Fund
$10,001 - $50,000
Delaware Group Equity Funds V -Delaware Small Cap Core Fund
$10,001 - $50,000
Delaware Group Global & International Funds – Delaware Emerging Markets Fund
$10,001 - $50,000
Delaware Group Income Funds – Delaware Floating Rate Fund
Over $100,000
Independent Trustees
Jerome D. Abernathy
$50,001 - $100,000
Delaware Group Equity Funds II – Delaware Value Fund
$10,001 - $50,000
Delaware Group Equity Funds IV -Delaware Smid Cap Growth Fund
$10,001 - $50,000
Delaware Group Global & International Funds – Delaware Emerging Markets Fund
Over $100,000
Thomas L. Bennett
Over $100,000
Delaware Group Equity Funds II – Delaware Value Fund
Over $100,000
Delaware Group Equity Funds V -Delaware Small Cap Value Fund
Over $100,000


Ann D. Borowiec
Over $100,000
Delaware Group Equity Funds IV -Delaware Smid Cap Growth Fund
Over $100,000
Delaware Group Equity Funds V -Delaware Small Cap Core Fund
Over $100,000
Delaware Group Global & International Funds – Delaware Emerging Markets Fund
Over $100,000
Joseph W. Chow
$1 - $10,000
Delaware Group Cash Reserve – Delaware Investments Ultrashort Fund
Over $100,000
Delaware Group Equity Funds IV -Delaware Healthcare Fund
Over $100,000
Delaware Group Equity Funds V -Delaware Small Cap Core Fund
Over $100,000
John A. Fry
$10,001 - $50,000
Delaware Group Adviser Funds – Delaware Diversified Income Fund
$50,001 - $100,000
Delaware Group Equity Funds II – Delaware Value Fund
Over $100,000
Delaware Group Equity Funds V -Delaware Small Cap Core Fund
Over $100,000


Frances A. Sevilla-Sacasa
$50,001 - $100,000
Delaware Group Adviser Funds – Delaware U.S. Growth Fund
$10,001 - $50,000
Delaware Group Equity Funds II – Delaware Value Fund
$10,001 - $50,000
Delaware Group Equity Funds IV -Delaware Wealth Builder Fund
Over $100,000
Delaware Group Foundation Funds – Delaware Strategic Allocation Fund
$10,001 - $50,000
Delaware Group Income Funds – Delaware Floating Rate Fund
Over $100,000
Thomas K. Whitford
Over $100,000
Delaware Group Equity Funds II – Delaware Value Fund
Over $100,000
Delaware Group Equity Funds V -Delaware Small Cap Core Fund
Over $100,000
Christianna Wood
$50,001 - $100,000
Delaware Group Equity Funds II – Delaware Value Fund
Over $100,000
Delaware Group Equity Funds IV -Delaware Smid Cap Growth Fund
Over $100,000
Delaware Group Equity Funds V -Delaware Small Cap Value Fund
Over $100,000


Janet L. Yeomans
Over $100,000
Delaware Group Equity Funds II – Delaware Value Fund
Over $100,000
Delaware Group Equity Funds V -Delaware Small Cap Core Fund
Over $100,000
* The Committee shall have the resources and authority appropriate to discharge its responsibilities, including authority to retain special counsel and other expertsranges for equity securities ownership by each Trustee are: none; $1-$10,000; $10,001-$50,000; $50,001-$100,000; or consultants at the expense of the appropriate Fund(s).

2. The Committee shall review this Charter at least annually and recommend any changes to the full Board of Directors/Trustees.

3. The Committee shall review annually the Board of Directors/Trustees Policies and Practices.

4. The Committee shall review annually a summary and report of Director/Trustee expenses reimbursed in accordance with the Travel and Entertainment Policy.

5. The Committee shall conduct an annual performance evaluation of the Committee.

6. The Committee shall review the annual performance evaluation of the Board and report its findings and recommendations to the Committee of Independent Directors/Trustees.

7. The Committee shall review annually Director and Officer insurance matters and report its findings and recommendations to the Board.

over $100,000.




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8. The Committee shall review annually


APPENDIX E
OWNERSHIP OF SHARES
AS OF THE RECORD DATE
Occasionally, the compensation for the ChiefCompliance Officer and report its findings and recommendations to the Board.

9. The Committee shall, at least annually, review the Charter of the Committee of Independent Directors/Trustees and recommend any changes to the Committee of Independent Directors/Trustees.

10. In the event that Delaware Investments is considering a merger or other transaction and desires input from the Board of Directors/Trustees, the Committee shall respond to any such inquiries.

11. The Committee shall perform such other functions that shall be delegated to it from time to time by the Board.



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APPENDIX D – FUND SHARE BENEFICIAL OWNERSHIP BY TRUSTEE NOMINEES

The following table shows the dollar rangenumber of shares of the Funds andheld in “street name” accounts of various securities dealers for the benefit of their clients as well as the number of shares held by other shareholders of record may exceed 5% of the total shares outstanding. As of Record Date, to the best of the knowledge of the Funds, the following shareholders owned of record or beneficially 5% or more of any class of the outstanding voting shares of each Fund:


Fund NameRegistration Address BlockPercentage of Fund
DELAWARE TAX-FREE PENNSYLVANIA FUND CLASS ACHARLES SCHWAB & CO INC
SPECIAL CUSTODY ACCT FBO CUSTOMERS
ATTN MUTUAL FUNDS
211 MAIN ST
SAN FRANCISCO CA  94105
14.73%
DELAWARE TAX-FREE PENNSYLVANIA FUND CLASS AMORGAN STANLEY SMITH BARNEY LLC
FOR THE EXCLUSIVE BENEFIT OF ITS
CUSTOMERS
1 NEW YORK PLAZA FL 12
NEW YORK NY  10004-1901
7.59%
DELAWARE TAX-FREE PENNSYLVANIA FUND CLASS ANATIONAL FINANCIAL SERVICES LLC
(FBO) OUR CUSTOMERS
ATTN MUTUAL FUNDS DEPARTMENT
4TH FLOOR
499 WASHINGTON BLVD
JERSEY CITY NJ  07310
12.44%
DELAWARE TAX-FREE PENNSYLVANIA FUND CLASS AWELLS FARGO CLEARING SVCS LLC
SPECIAL CUSTODY ACCT FOR THE
EXCLUSIVE BENEFIT OF CUSTOMER
2801 MARKET ST
SAINT LOUIS MO 63103-2523
9.06%
DELAWARE TAX-FREE USA FUND CLASS ACHARLES SCHWAB & CO INC
SPECIAL CUSTODY ACCT FBO CUSTOMERS
ATTN MUTUAL FUNDS
211 MAIN ST
SAN FRANCISCO CA  94105
5.50%
DELAWARE TAX-FREE USA FUND CLASS ANATIONAL FINANCIAL SERVICES LLC
(FBO) OUR CUSTOMERS
ATTN MUTUAL FUNDS DEPARTMENT
4TH FLOOR
499 WASHINGTON BLVD
JERSEY CITY NJ  07310
35.60%


DELAWARE SMID CAP GROWTH FUND CLASS ACHARLES SCHWAB & CO INC
SPEC CUSTODY ACCT FOR THE EXCL
BNFT OF CUSTS ATTN MUT FDS
211 MAIN ST
SAN FRANCISCO CA  94105-1905
7.73%
DELAWARE SMID CAP GROWTH FUND CLASS AMLPF&S FOR THE SOLE BENEFIT OF ITS
CUSTOMERS
ATTENTION: FUND ADMIN SEC
4800 DEER LAKE DRIVE EAST, 2ND FL
JACKSONVILLE FL 32246-6484
6.24%
DELAWARE SMID CAP GROWTH FUND CLASS AMORGAN STANLEY SMITH BARNEY LLC
FOR THE EXCLUSIVE BENEFIT OF ITS
CUSTOMERS
1 NEW YORK PLAZA FL 12
NEW YORK NY  10004-1901
5.44%
DELAWARE SMID CAP GROWTH FUND CLASS ANATIONAL FINANCIAL SERVICES LLC
(FBO) OUR CUSTOMERS
ATTN MUTUAL FUNDS DEPARTMENT
4TH FLOOR
499 WASHINGTON BLVD
JERSEY CITY NJ  07310
8.42%
DELAWARE SMID CAP GROWTH FUND CLASS AWELLS FARGO CLEARING SVCS LLC
SPECIAL CUSTODY ACCT FOR THE
EXCLUSIVE BENEFIT OF CUSTOMER
2801 MARKET ST
SAINT LOUIS MO 63103-2523
5.94%
DELAWARE EMERGING MARKETS FUND CLASS ACHARLES SCHWAB & CO INC
SPEC CUSTODY ACCT FOR THE EXCL
BNFT OF CUSTS ATTN MUT FDS
211 MAIN ST
SAN FRANCISCO CA  94105-1905
9.57%


DELAWARE EMERGING MARKETS FUND CLASS AMLPF&S FOR THE SOLE BENEFIT OF ITS
CUSTOMERS
ATTENTION: FUND ADMIN SEC
4800 DEER LAKE DRIVE EAST, 2ND FL
JACKSONVILLE FL 32246-6484
20.36%
DELAWARE EMERGING MARKETS FUND CLASS AMORGAN STANLEY SMITH BARNEY LLC
FOR THE EXCLUSIVE BENEFIT OF ITS
CUSTOMERS
1 NEW YORK PLAZA FL 12
NEW YORK NY  10004-1901
10.01%
DELAWARE EMERGING MARKETS FUND CLASS ANATIONAL FINANCIAL SERVICES LLC
(FBO) OUR CUSTOMERS
ATTN MUTUAL FUNDS DEPARTMENT
4TH FLOOR
499 WASHINGTON BLVD
JERSEY CITY NJ  07310
7.04%
DELAWARE EMERGING MARKETS FUND CLASS APERSHING LLC
1 PERSHING PLAZA
JERSEY CITY NJ  07399-0002
5.55%
DELAWARE EMERGING MARKETS FUND CLASS AWELLS FARGO CLEARING SVCS LLC
SPECIAL CUSTODY ACCT FOR THE
EXCLUSIVE BENEFIT OF CUSTOMER
2801 MARKET ST
SAINT LOUIS MO 63103-2523
9.69%
DELAWARE EMERGING MARKETS FUND CLASS IAMERICAN ENTERPRISE INVESTMENT SVC
707 2ND AVE SOUTH
MINNEAPOLIS MN  55402-2405
5.88%
DELAWARE EMERGING MARKETS FUND CLASS ICHARLES SCHWAB & CO INC
SPEC CUSTODY ACCT FOR THE EXCL
BNFT OF CUSTS ATTN MUT FDS
211 MAIN ST
SAN FRANCISCO CA  94105-1905
15.08%


DELAWARE EMERGING MARKETS FUND CLASS ICHARLES SCHWAB & CO INC
SPECIAL CUSTODY ACCT FBO CUSTOMERS
ATTN MUTUAL FUNDS
211 MAIN ST
SAN FRANCISCO CA  94105
5.65%
DELAWARE EMERGING MARKETS FUND CLASS ILPL FINANCIAL
OMNIBUS CUSTOMER ACCOUNT
ATTN LINDSAY OTOOLE
4707 EXECUTIVE DRIVE
SAN DIEGO CA  92121
6.68%
DELAWARE EMERGING MARKETS FUND CLASS IMLPF&S FOR THE SOLE BENEFIT OF ITS
CUSTOMERS
ATTENTION: FUND ADMIN SEC
4800 DEER LAKE DRIVE EAST, 2ND FL
JACKSONVILLE FL 32246-6484
16.16%
DELAWARE EMERGING MARKETS FUND CLASS IMORGAN STANLEY SMITH BARNEY LLC
FOR THE EXCLUSIVE BENEFIT OF ITS
CUSTOMERS
1 NEW YORK PLAZA FL 12
NEW YORK NY  10004-1901
5.30%
DELAWARE EMERGING MARKETS FUND CLASS INATIONAL FINANCIAL SERVICES LLC
(FBO) OUR CUSTOMERS
ATTN MUTUAL FUNDS DEPARTMENT
4TH FLOOR
499 WASHINGTON BLVD
JERSEY CITY NJ  07310
10.23%
DELAWARE EMERGING MARKETS FUND CLASS IPERSHING LLC
1 PERSHING PLAZA
JERSEY CITY NJ  07399-0002
7.43%
DELAWARE EMERGING MARKETS FUND CLASS IWELLS FARGO CLEARING SVCS LLC
SPECIAL CUSTODY ACCT FOR THE
EXCLUSIVE BENEFIT OF CUSTOMER
2801 MARKET ST
SAINT LOUIS MO 63103-2523
6.83%


DELAWARE SMALL CAP VALUE FUND CLASS ACHARLES SCHWAB & CO INC
SPEC CUSTODY ACCT FOR THE EXCL
BNFT OF CUSTS ATTN MUT FDS
211 MAIN ST
SAN FRANCISCO CA  94105-1905
5.03%
DELAWARE SMALL CAP VALUE FUND CLASS AMATRIX TRUST COMPANY CUST. FBO
PEN SERV DELAWARE/FORESTERS
717 17TH STREET
SUITE 1300
DENVER CO 80202
8.13%
DELAWARE SMALL CAP VALUE FUND CLASS AMLPF&S FOR THE SOLE BENEFIT OF ITS
CUSTOMERS
ATTENTION: FUND ADMIN SEC
4800 DEER LAKE DRIVE EAST, 2ND FL
JACKSONVILLE FL 32246-6484
8.58%
DELAWARE LIMITED-TERM DIVERSIFIED INCOME CLASS AMATRIX TRUST COMPANY CUST. FBO
PEN SERV DELAWARE/FORESTERS
717 17TH STREET
SUITE 1300
DENVER CO 80202
7.12%
DELAWARE LIMITED-TERM DIVERSIFIED INCOME CLASS AMLPF&S FOR THE SOLE BENEFIT OF ITS
CUSTOMERS
ATTENTION: FUND ADMIN SEC
4800 DEER LAKE DRIVE EAST, 2ND FL
JACKSONVILLE FL 32246-6484
7.46%
DELAWARE LIMITED-TERM DIVERSIFIED INCOME CLASS AWELLS FARGO CLEARING SVCS LLC
SPECIAL CUSTODY ACCT FOR THE
EXCLUSIVE BENEFIT OF CUSTOMER
2801 MARKET ST
SAINT LOUIS MO 63103-2523
5.72%


DELAWARE STRATEGIC INCOME FUND CLASS AMATRIX TRUST COMPANY CUST. FBO
PEN SERV DELAWARE/FORESTERS
717 17TH STREET
SUITE 1300
DENVER CO 80202
10.79%
DELAWARE INTERNATIONAL VALUE EQUITY CLASS AMATRIX TRUST COMPANY CUST. FBO
PEN SERV DELAWARE/FORESTERS
717 17TH STREET
SUITE 1300
DENVER CO 80202
18.27%
DELAWARE INTERNATIONAL VALUE EQUITY CLASS ANATIONAL FINANCIAL SERVICES LLC
(FBO) OUR CUSTOMERS
ATTN MUTUAL FUNDS DEPARTMENT
4TH FLOOR
499 WASHINGTON BLVD
JERSEY CITY NJ  07310
6.05%
DELAWARE TAX-FREE USA INTERMEDIATE CLASS AEDWARD D JONES AND CO
FOR THE BENEFIT OF CUSTOMERS
12555 MANCHESTER ROAD
ST LOUIS MO 63131-3710
5.28%
DELAWARE TAX-FREE USA INTERMEDIATE CLASS ANATIONAL FINANCIAL SERVICES LLC
(FBO) OUR CUSTOMERS
ATTN MUTUAL FUNDS DEPARTMENT
4TH FLOOR
499 WASHINGTON BLVD
JERSEY CITY NJ  07310
5.06%
DELAWARE TAX-FREE USA INTERMEDIATE CLASS AWELLS FARGO CLEARING SVCS LLC
SPECIAL CUSTODY ACCT FOR THE
EXCLUSIVE BENEFIT OF CUSTOMER
2801 MARKET ST
SAINT LOUIS MO 63103-2523
6.50%


DELAWARE STRATEGIC INCOME FUND CLASS IAMERICAN ENTERPRISE INVESTMENT SVC
707 2ND AVE SOUTH
MINNEAPOLIS MN  55402-2405
7.00%
DELAWARE STRATEGIC INCOME FUND CLASS ILINCOLN RETIREMENT SERVICES COMPANY
FBO MMH INC RETIREMENT PLAN
P.O. BOX 7876
FORT WAYNE IN  46801-7876
8.70%
DELAWARE STRATEGIC INCOME FUND CLASS INATIONAL FINANCIAL SERVICES LLC
(FBO) OUR CUSTOMERS
ATTN MUTUAL FUNDS DEPARTMENT
4TH FLOOR
499 WASHINGTON BLVD
JERSEY CITY NJ  07310
14.68%
DELAWARE STRATEGIC INCOME FUND CLASS ISEI PRIVATE TRUST COMPANY
C/O REGIONS
1 FREEDOM VALLEY DRIVE
OAKS PA 19456
49.18%
DELAWARE SMID CAP GROWTH FUND CLASS IAMERICAN ENTERPRISE INVESTMENT SVC
707 2ND AVE SOUTH
MINNEAPOLIS MN  55402-2405
12.26%
DELAWARE SMID CAP GROWTH FUND CLASS ILPL FINANCIAL
OMNIBUS CUSTOMER ACCOUNT
ATTN LINDSAY OTOOLE
4707 EXECUTIVE DRIVE
SAN DIEGO CA  92121
8.08%
DELAWARE SMID CAP GROWTH FUND CLASS IMLPF&S FOR THE SOLE BENEFIT OF ITS
CUSTOMERS
ATTENTION: FUND ADMIN SEC
4800 DEER LAKE DRIVE EAST, 2ND FL
JACKSONVILLE FL 32246-6484
12.92%


DELAWARE SMID CAP GROWTH FUND CLASS IMORGAN STANLEY SMITH BARNEY LLC
FOR THE EXCLUSIVE BENEFIT OF ITS
CUSTOMERS
1 NEW YORK PLAZA FL 12
NEW YORK NY  10004-1901
14.66%
DELAWARE SMID CAP GROWTH FUND CLASS INATIONAL FINANCIAL SERVICES LLC
(FBO) OUR CUSTOMERS
ATTN MUTUAL FUNDS DEPARTMENT
4TH FLOOR
499 WASHINGTON BLVD
JERSEY CITY NJ  07310
9.46%
DELAWARE SMID CAP GROWTH FUND CLASS IPERSHING LLC
1 PERSHING PLAZA
JERSEY CITY NJ  07399-0002
7.00%
DELAWARE SMID CAP GROWTH FUND CLASS IWELLS FARGO CLEARING SVCS LLC
SPECIAL CUSTODY ACCT FOR THE
EXCLUSIVE BENEFIT OF CUSTOMER
2801 MARKET ST
SAINT LOUIS MO 63103-2523
7.73%
DELAWARE SMALL CAP VALUE FUND CLASS ICHARLES SCHWAB & CO INC
SPEC CUSTODY ACCT FOR THE EXCL
BNFT OF CUSTS ATTN MUT FDS
211 MAIN ST
SAN FRANCISCO CA  94105-1905
25.63%
DELAWARE SMALL CAP VALUE FUND CLASS IMORGAN STANLEY SMITH BARNEY LLC
FOR THE EXCLUSIVE BENEFIT OF ITS
CUSTOMERS
1 NEW YORK PLAZA FL 12
NEW YORK NY  10004-1901
9.95%
DELAWARE SMALL CAP VALUE FUND CLASS INATIONAL FINANCIAL SERVICES LLC
(FBO) OUR CUSTOMERS
ATTN MUTUAL FUNDS DEPARTMENT
4TH FLOOR
499 WASHINGTON BLVD
JERSEY CITY NJ  07310
10.81%


DELAWARE SMALL CAP VALUE FUND CLASS ISTATE STREET BANK AND TRUST COMPANY
AS TRUSTEE
FOR THE NEW YORK STATE DEFERRED
COMPENSATION PLAN
1200 CROWN COLONY DRIVE
QUINCY MA  02169
11.47%
DELAWARE LIMITED-TERM DIVERSIFIED INCOME CLASS ILPL FINANCIAL
OMNIBUS CUSTOMER ACCOUNT
ATTN LINDSAY OTOOLE
4707 EXECUTIVE DRIVE
SAN DIEGO CA  92121
7.52%
DELAWARE LIMITED-TERM DIVERSIFIED INCOME CLASS IMLPF&S FOR THE SOLE BENEFIT OF ITS
CUSTOMERS
ATTENTION: FUND ADMIN SEC
4800 DEER LAKE DRIVE EAST, 2ND FL
JACKSONVILLE FL 32246-6484
31.56%
DELAWARE LIMITED-TERM DIVERSIFIED INCOME CLASS INATIONAL FINANCIAL SERVICES LLC
(FBO) OUR CUSTOMERS
ATTN MUTUAL FUNDS DEPARTMENT
4TH FLOOR
499 WASHINGTON BLVD
JERSEY CITY NJ  07310
8.88%
DELAWARE LIMITED-TERM DIVERSIFIED INCOME CLASS IRAYMOND JAMES
OMNIBUS FOR MUTUAL FUNDS
ATTN COURTNEY WALLER
880 CARILLON PARKWAY
ST PETERSBURG FL  33713
12.80%
DELAWARE LIMITED-TERM DIVERSIFIED INCOME CLASS IUBS WM USA
SPEC CDY A/C EXL BEN CUSTOMERS
OF UBSFSI
1000 HARBOR BLVD
WEEHAWKEN, NJ  07086
17.25%


DELAWARE LIMITED-TERM DIVERSIFIED INCOME CLASS IWELLS FARGO CLEARING SVCS LLC
SPECIAL CUSTODY ACCT FOR THE
EXCLUSIVE BENEFIT OF CUSTOMER
2801 MARKET ST
SAINT LOUIS MO 63103-2523
6.48%
DELAWARE INTERNATIONAL VALUE EQUITY CLASS ICHARLES SCHWAB & CO INC
SPECIAL CUSTODY ACCT FBO CUSTOMERS
ATTN MUTUAL FUNDS
211 MAIN ST
SAN FRANCISCO CA  94105
28.79%
DELAWARE INTERNATIONAL VALUE EQUITY CLASS IMORGAN STANLEY SMITH BARNEY LLC
FOR THE EXCLUSIVE BENEFIT OF ITS
CUSTOMERS
1 NEW YORK PLAZA FL 12
NEW YORK NY  10004-1901
36.10%
DELAWARE INTERNATIONAL VALUE EQUITY CLASS INATIONAL FINANCIAL SERVICES LLC
(FBO) OUR CUSTOMERS
ATTN MUTUAL FUNDS DEPARTMENT
4TH FLOOR
499 WASHINGTON BLVD
JERSEY CITY NJ  07310
8.98%
DELAWARE INTERNATIONAL VALUE EQUITY CLASS IUBS WM USA
SPEC CDY A/C EXL BEN CUSTOMERS
OF UBSFSI
1000 HARBOR BLVD
WEEHAWKEN, NJ  07086
7.32%
DELAWARE INTERNATIONAL VALUE EQUITY CLASS IWELLS FARGO CLEARING SVCS LLC
SPECIAL CUSTODY ACCT FOR THE
EXCLUSIVE BENEFIT OF CUSTOMER
2801 MARKET ST
SAINT LOUIS MO 63103-2523
5.78%


DELAWARE EMERGING MARKETS FUND CLASS CAMERICAN ENTERPRISE INVESTMENT SVC
707 2ND AVE SOUTH
MINNEAPOLIS MN  55402-2405
5.13%
DELAWARE EMERGING MARKETS FUND CLASS CCHARLES SCHWAB & CO INC
SPECIAL CUSTODY ACCT FBO CUSTOMERS
ATTN MUTUAL FUNDS
211 MAIN ST
SAN FRANCISCO CA  94105
6.23%
DELAWARE EMERGING MARKETS FUND CLASS CLPL FINANCIAL
OMNIBUS CUSTOMER ACCOUNT
ATTN LINDSAY OTOOLE
4707 EXECUTIVE DRIVE
SAN DIEGO CA  92121
7.77%
DELAWARE EMERGING MARKETS FUND CLASS CMLPF&S FOR THE SOLE BENEFIT OF ITS
CUSTOMERS
ATTENTION: FUND ADMIN SEC
4800 DEER LAKE DRIVE EAST, 2ND FL
JACKSONVILLE FL 32246-6484
15.89%
DELAWARE EMERGING MARKETS FUND CLASS CMORGAN STANLEY SMITH BARNEY LLC
FOR THE EXCLUSIVE BENEFIT OF ITS
CUSTOMERS
1 NEW YORK PLAZA FL 12
NEW YORK NY  10004-1901
11.92%
DELAWARE EMERGING MARKETS FUND CLASS CNATIONAL FINANCIAL SERVICES LLC
(FBO) OUR CUSTOMERS
ATTN MUTUAL FUNDS DEPARTMENT
4TH FLOOR
499 WASHINGTON BLVD
JERSEY CITY NJ  07310
7.00%
DELAWARE EMERGING MARKETS FUND CLASS CRAYMOND JAMES
OMNIBUS FOR MUTUAL FUNDS
ATTN COURTNEY WALLER
880 CARILLON PARKWAY
ST PETERSBURG FL  33713
5.53%


DELAWARE EMERGING MARKETS FUND CLASS CUBS WM USA
SPEC CDY A/C EXL BEN CUSTOMERS
OF UBSFSI
1000 HARBOR BLVD
WEEHAWKEN, NJ  07086
5.66%
DELAWARE EMERGING MARKETS FUND CLASS CWELLS FARGO CLEARING SVCS LLC
SPECIAL CUSTODY ACCT FOR THE
EXCLUSIVE BENEFIT OF CUSTOMER
2801 MARKET ST
SAINT LOUIS MO 63103-2523
22.27%
DELAWARE LIMITED-TERM DIVERSIFIED INCOME CLASS CAMERICAN ENTERPRISE INVESTMENT SVC
707 2ND AVE SOUTH
MINNEAPOLIS MN  55402-2405
7.07%
DELAWARE LIMITED-TERM DIVERSIFIED INCOME CLASS CJP MORGAN SECURITIES LLC
OMNIBUS ACCOUNT FOR THE EXCLUSIVE
BENEFIT OF CUSTOMERS
4 CHASE METROTECH CENTER
3RD FLOOR MUTUAL FUND DEPARTMENT
BROOKLYN NY  11245
6.15%
DELAWARE LIMITED-TERM DIVERSIFIED INCOME CLASS CMLPF&S FOR THE SOLE BENEFIT OF ITS
CUSTOMERS
ATTENTION: FUND ADMIN SEC
4800 DEER LAKE DRIVE EAST, 2ND FL
JACKSONVILLE FL 32246-6484
5.31%
DELAWARE LIMITED-TERM DIVERSIFIED INCOME CLASS CMORGAN STANLEY SMITH BARNEY LLC
FOR THE EXCLUSIVE BENEFIT OF ITS
CUSTOMERS
1 NEW YORK PLAZA FL 12
NEW YORK NY  10004-1901
11.41%
DELAWARE LIMITED-TERM DIVERSIFIED INCOME CLASS CNATIONAL FINANCIAL SERVICES LLC
(FBO) OUR CUSTOMERS
ATTN MUTUAL FUNDS DEPARTMENT
4TH FLOOR
499 WASHINGTON BLVD
JERSEY CITY NJ  07310
10.30%


DELAWARE LIMITED-TERM DIVERSIFIED INCOME CLASS CPERSHING LLC
1 PERSHING PLAZA
JERSEY CITY NJ  07399-0002
9.05%
DELAWARE LIMITED-TERM DIVERSIFIED INCOME CLASS CRAYMOND JAMES
OMNIBUS FOR MUTUAL FUNDS
ATTN COURTNEY WALLER
880 CARILLON PARKWAY
ST PETERSBURG FL  33713
10.50%
DELAWARE LIMITED-TERM DIVERSIFIED INCOME CLASS CUBS WM USA
SPEC CDY A/C EXL BEN CUSTOMERS
OF UBSFSI
1000 HARBOR BLVD
WEEHAWKEN, NJ  07086
10.70%
DELAWARE LIMITED-TERM DIVERSIFIED INCOME CLASS CWELLS FARGO CLEARING SVCS LLC
SPECIAL CUSTODY ACCT FOR THE
EXCLUSIVE BENEFIT OF CUSTOMER
2801 MARKET ST
SAINT LOUIS MO 63103-2523
18.84%
DELAWARE TAX-FREE PENNSYLVANIA FUND CLASS CAMERICAN ENTERPRISE INVESTMENT SVC
707 2ND AVE SOUTH
MINNEAPOLIS MN  55402-2405
8.12%
DELAWARE TAX-FREE PENNSYLVANIA FUND CLASS CCHARLES SCHWAB & CO INC
SPECIAL CUSTODY ACCT FBO CUSTOMERS
ATTN MUTUAL FUNDS
211 MAIN ST
SAN FRANCISCO CA  94105
15.41%
DELAWARE TAX-FREE PENNSYLVANIA FUND CLASS CLPL FINANCIAL
OMNIBUS CUSTOMER ACCOUNT
ATTN LINDSAY OTOOLE
4707 EXECUTIVE DRIVE
SAN DIEGO CA  92121
5.43%


DELAWARE TAX-FREE PENNSYLVANIA FUND CLASS CMLPF&S FOR THE SOLE BENEFIT OF ITS
CUSTOMERS
ATTENTION: FUND ADMIN SEC
4800 DEER LAKE DRIVE EAST, 2ND FL
JACKSONVILLE FL 32246-6484
7.11%
DELAWARE TAX-FREE PENNSYLVANIA FUND CLASS CMORGAN STANLEY SMITH BARNEY LLC
FOR THE EXCLUSIVE BENEFIT OF ITS
CUSTOMERS
1 NEW YORK PLAZA FL 12
NEW YORK NY  10004-1901
15.39%
DELAWARE TAX-FREE PENNSYLVANIA FUND CLASS CNATIONAL FINANCIAL SERVICES LLC
(FBO) OUR CUSTOMERS
ATTN MUTUAL FUNDS DEPARTMENT
4TH FLOOR
499 WASHINGTON BLVD
JERSEY CITY NJ  07310
8.31%
DELAWARE TAX-FREE PENNSYLVANIA FUND CLASS CRBC CAPITAL MARKETS LLC
MUTUAL FUND OMNIBUS PROCESSING
OMNIBUS
ATTN MUTUAL FUND OPS MANAGER
60 SOUTH SIXTH STREET-P08
MINNEAPOLIS MN  55402-4400
5.25%
DELAWARE TAX-FREE PENNSYLVANIA FUND CLASS CWELLS FARGO CLEARING SVCS LLC
SPECIAL CUSTODY ACCT FOR THE
EXCLUSIVE BENEFIT OF CUSTOMER
2801 MARKET ST
SAINT LOUIS MO 63103-2523
13.09%
DELAWARE TAX-FREE USA FUND CLASS CAMERICAN ENTERPRISE INVESTMENT SVC
707 2ND AVE SOUTH
MINNEAPOLIS MN  55402-2405
7.13%


DELAWARE TAX-FREE USA FUND CLASS CCHARLES SCHWAB & CO INC
SPECIAL CUSTODY ACCT FBO CUSTOMERS
ATTN MUTUAL FUNDS
211 MAIN ST
SAN FRANCISCO CA  94105
9.03%
DELAWARE TAX-FREE USA FUND CLASS CLPL FINANCIAL
OMNIBUS CUSTOMER ACCOUNT
ATTN LINDSAY OTOOLE
4707 EXECUTIVE DRIVE
SAN DIEGO CA  92121
10.80%
DELAWARE TAX-FREE USA FUND CLASS CMLPF&S FOR THE SOLE BENEFIT OF ITS
CUSTOMERS
ATTENTION: FUND ADMIN SEC
4800 DEER LAKE DRIVE EAST, 2ND FL
JACKSONVILLE FL 32246-6484
11.31%
DELAWARE TAX-FREE USA FUND CLASS CMORGAN STANLEY SMITH BARNEY LLC
FOR THE EXCLUSIVE BENEFIT OF ITS
CUSTOMERS
1 NEW YORK PLAZA FL 12
NEW YORK NY  10004-1901
18.18%
DELAWARE TAX-FREE USA FUND CLASS CNATIONAL FINANCIAL SERVICES LLC
(FBO) OUR CUSTOMERS
ATTN MUTUAL FUNDS DEPARTMENT
4TH FLOOR
499 WASHINGTON BLVD
JERSEY CITY NJ  07310
5.24%
DELAWARE TAX-FREE USA FUND CLASS CRAYMOND JAMES
OMNIBUS FOR MUTUAL FUNDS
ATTN COURTNEY WALLER
880 CARILLON PARKWAY
ST PETERSBURG FL  33713
8.64%
DELAWARE TAX-FREE USA FUND CLASS CWELLS FARGO CLEARING SVCS LLC
SPECIAL CUSTODY ACCT FOR THE
EXCLUSIVE BENEFIT OF CUSTOMER
2801 MARKET ST
SAINT LOUIS MO 63103-2523
13.95%


DELAWARE TAX-FREE USA INTERMEDIATE CLASS CCHARLES SCHWAB & CO INC
SPECIAL CUSTODY ACCT FBO CUSTOMERS
ATTN MUTUAL FUNDS
211 MAIN ST
SAN FRANCISCO CA  94105
5.02%
DELAWARE TAX-FREE USA INTERMEDIATE CLASS CLPL FINANCIAL
OMNIBUS CUSTOMER ACCOUNT
ATTN LINDSAY OTOOLE
4707 EXECUTIVE DRIVE
SAN DIEGO CA  92121
41.99%
DELAWARE TAX-FREE USA INTERMEDIATE CLASS CMLPF&S FOR THE SOLE BENEFIT OF ITS
CUSTOMERS
ATTENTION: FUND ADMIN SEC
4800 DEER LAKE DRIVE EAST, 2ND FL
JACKSONVILLE FL 32246-6484
9.16%
DELAWARE TAX-FREE USA INTERMEDIATE CLASS CMORGAN STANLEY SMITH BARNEY LLC
FOR THE EXCLUSIVE BENEFIT OF ITS
CUSTOMERS
1 NEW YORK PLAZA FL 12
NEW YORK NY  10004-1901
10.39%
DELAWARE TAX-FREE USA INTERMEDIATE CLASS CWELLS FARGO CLEARING SVCS LLC
SPECIAL CUSTODY ACCT FOR THE
EXCLUSIVE BENEFIT OF CUSTOMER
2801 MARKET ST
SAINT LOUIS MO 63103-2523
15.73%
DELAWARE STRATEGIC INCOME FUND CLASS CAMERICAN ENTERPRISE INVESTMENT SVC
707 2ND AVE SOUTH
MINNEAPOLIS MN  55402-2405
19.55%
DELAWARE STRATEGIC INCOME FUND CLASS CLPL FINANCIAL
OMNIBUS CUSTOMER ACCOUNT
ATTN LINDSAY OTOOLE
4707 EXECUTIVE DRIVE
SAN DIEGO CA  92121
16.35%


DELAWARE STRATEGIC INCOME FUND CLASS CPERSHING LLC
1 PERSHING PLAZA
JERSEY CITY NJ  07399-0002
15.08%
DELAWARE STRATEGIC INCOME FUND CLASS CRAYMOND JAMES
OMNIBUS FOR MUTUAL FUNDS
ATTN COURTNEY WALLER
880 CARILLON PARKWAY
ST PETERSBURG FL  33713
22.61%
DELAWARE STRATEGIC INCOME FUND CLASS CWELLS FARGO CLEARING SVCS LLC
SPECIAL CUSTODY ACCT FOR THE
EXCLUSIVE BENEFIT OF CUSTOMER
2801 MARKET ST
SAINT LOUIS MO 63103-2523
10.01%
DELAWARE SMID CAP GROWTH FUND CLASS CAMERICAN ENTERPRISE INVESTMENT SVC
707 2ND AVE SOUTH
MINNEAPOLIS MN  55402-2405
7.93%
DELAWARE SMID CAP GROWTH FUND CLASS CCHARLES SCHWAB & CO INC
SPECIAL CUSTODY ACCT FBO CUSTOMERS
ATTN MUTUAL FUNDS
211 MAIN ST
SAN FRANCISCO CA  94105
9.14%
DELAWARE SMID CAP GROWTH FUND CLASS CMLPF&S FOR THE SOLE BENEFIT OF ITS
CUSTOMERS
ATTENTION: FUND ADMIN SEC
4800 DEER LAKE DRIVE EAST, 2ND FL
JACKSONVILLE FL 32246-6484
10.32%
DELAWARE SMID CAP GROWTH FUND CLASS CMORGAN STANLEY SMITH BARNEY LLC
FOR THE EXCLUSIVE BENEFIT OF ITS
CUSTOMERS
1 NEW YORK PLAZA FL 12
NEW YORK NY  10004-1901
12.30%


DELAWARE SMID CAP GROWTH FUND CLASS CNATIONAL FINANCIAL SERVICES LLC
(FBO) OUR CUSTOMERS
ATTN MUTUAL FUNDS DEPARTMENT
4TH FLOOR
499 WASHINGTON BLVD
JERSEY CITY NJ  07310
7.94%
DELAWARE SMID CAP GROWTH FUND CLASS CPERSHING LLC
1 PERSHING PLAZA
JERSEY CITY NJ  07399-0002
7.94%
DELAWARE SMID CAP GROWTH FUND CLASS CRAYMOND JAMES
OMNIBUS FOR MUTUAL FUNDS
ATTN COURTNEY WALLER
880 CARILLON PARKWAY
ST PETERSBURG FL  33713
10.42%
DELAWARE SMID CAP GROWTH FUND CLASS CWELLS FARGO CLEARING SVCS LLC
SPECIAL CUSTODY ACCT FOR THE
EXCLUSIVE BENEFIT OF CUSTOMER
2801 MARKET ST
SAINT LOUIS MO 63103-2523
18.85%
DELAWARE SMALL CAP VALUE FUND CLASS CCHARLES SCHWAB & CO INC
SPECIAL CUSTODY ACCT FBO CUSTOMERS
ATTN MUTUAL FUNDS
211 MAIN ST
SAN FRANCISCO CA  94105
15.13%
DELAWARE SMALL CAP VALUE FUND CLASS CMORGAN STANLEY SMITH BARNEY LLC
FOR THE EXCLUSIVE BENEFIT OF ITS
CUSTOMERS
1 NEW YORK PLAZA FL 12
NEW YORK NY  10004-1901
21.24%
DELAWARE SMALL CAP VALUE FUND CLASS CNATIONAL FINANCIAL SERVICES LLC
(FBO) OUR CUSTOMERS
ATTN MUTUAL FUNDS DEPARTMENT
4TH FLOOR
499 WASHINGTON BLVD
JERSEY CITY NJ  07310
11.13%


DELAWARE SMALL CAP VALUE FUND CLASS CPERSHING LLC
1 PERSHING PLAZA
JERSEY CITY NJ  07399-0002
10.76%
DELAWARE SMALL CAP VALUE FUND CLASS CRAYMOND JAMES
OMNIBUS FOR MUTUAL FUNDS
ATTN COURTNEY WALLER
880 CARILLON PARKWAY
ST PETERSBURG FL  33713
7.12%
DELAWARE SMALL CAP VALUE FUND CLASS CWELLS FARGO CLEARING SVCS LLC
SPECIAL CUSTODY ACCT FOR THE
EXCLUSIVE BENEFIT OF CUSTOMER
2801 MARKET ST
SAINT LOUIS MO 63103-2523
13.51%
DELAWARE INTERNATIONAL VALUE EQUITY CLASS CMORGAN STANLEY SMITH BARNEY LLC
FOR THE EXCLUSIVE BENEFIT OF ITS
CUSTOMERS
1 NEW YORK PLAZA FL 12
NEW YORK NY  10004-1901
22.63%
DELAWARE INTERNATIONAL VALUE EQUITY CLASS CUBS WM USA
SPEC CDY A/C EXL BEN CUSTOMERS
OF UBSFSI
1000 HARBOR BLVD
WEEHAWKEN, NJ  07086
13.48%
DELAWARE INTERNATIONAL VALUE EQUITY CLASS CWELLS FARGO CLEARING SVCS LLC
SPECIAL CUSTODY ACCT FOR THE
EXCLUSIVE BENEFIT OF CUSTOMER
2801 MARKET ST
SAINT LOUIS MO 63103-2523
38.74%
MACQUARIE LABOR SELECT INTL EQUITY PORTFOLIOIUOE LOCAL 94 HEALTH &
BENEFIT FUND- COMMERCIAL
331-337 W 44TH ST
NEW YORK NY  10036-5402
5.59%


MACQUARIE LABOR SELECT INTL EQUITY PORTFOLIOLOCAL 804 I.B.T & LOCAL 447 I.A.M.
UPS MULIT-EMPLOYER RETIREMENT PLAN
55 GLENLAKE PKWY NE
ATLANTA GA 30328-3474
33.00%
MACQUARIE LABOR SELECT INTL EQUITY PORTFOLIOPIMS/PRUDENTIAL RETIREMENT
AS NOMINEE FOR TTEE/CUST
JOINT ANNUITY FUND LOCAL UNION 164
C/O FABIAN & BRYN
425 EAGLE ROCK AVENUE
ROSELAND NJ  07068
6.56%
MACQUARIE LABOR SELECT INTL EQUITY PORTFOLIOPLUMBERS AND STEAMFITTERS LOCAL
NO 7 PENSION FUND
18 AVIS DRIVE
LATHAM NY 12110-2605
9.20%
MACQUARIE LABOR SELECT INTL EQUITY PORTFOLIORELIANCE TRUST CO
FBO SF CULINARY PEN
201 17TH ST STE 1000
ATLANTA GA 30363-0000
15.43%
MACQUARIE LABOR SELECT INTL EQUITY PORTFOLIOTHE NORTHERN TRUST CO AS CUST FBO
MIDWEST OPERATING ENGINEERS WELFARE
PO BOX 92956
CHICAGO IL  60675-2956
6.04%
MACQUARIE LABOR SELECT INTL EQUITY PORTFOLIOTHE NORTHERN TRUST CO AS CUST FBO
MIDWEST OPERATING ENGINEERS WELFARE
801 S CANAL
CHICAGO IL  60675-0001
9.66%
DELAWARE GLOBAL LISTED REAL ASSETS FUND CLASS ANATIONAL FINANCIAL SERVICES LLC
(FBO) OUR CUSTOMERS
ATTN MUTUAL FUNDS DEPARTMENT
4TH FLOOR
499 WASHINGTON BLVD
JERSEY CITY NJ  07310
15.19%


DELAWARE GLOBAL LISTED REAL ASSETS FUND CLASS APERSHING LLC
1 PERSHING PLAZA
JERSEY CITY NJ  07399-0002
8.90%
DELAWARE GLOBAL LISTED REAL ASSETS FUND CLASS ARAYMOND JAMES
OMNIBUS FOR MUTUAL FUNDS
ATTN COURTNEY WALLER
880 CARILLON PARKWAY
ST PETERSBURG FL  33713
5.48%
DELAWARE ULTRASHORT FUND CLASS CASCENSUS TRUST COMPANY FBO
BERKS ENGINEERING CO 401(K)
P.O. BOX 10758
FARGO, ND 58106
6.14%
DELAWARE ULTRASHORT FUND CLASS CCHARLES SCHWAB & CO INC
SPECIAL CUSTODY ACCT FBO CUSTOMERS
ATTN MUTUAL FUNDS
211 MAIN ST
SAN FRANCISCO CA  94105
6.02%
DELAWARE ULTRASHORT FUND CLASS CJP MORGAN SECURITIES LLC
OMNIBUS ACCOUNT FOR THE EXCLUSIVE
BENEFIT OF CUSTOMERS
4 CHASE METROTECH CENTER
3RD FLOOR MUTUAL FUND DEPARTMENT
BROOKLYN NY  11245
38.33%
DELAWARE ULTRASHORT FUND CLASS CLPL FINANCIAL
OMNIBUS CUSTOMER ACCOUNT
ATTN LINDSAY OTOOLE
4707 EXECUTIVE DRIVE
SAN DIEGO CA  92121
33.27%
DELAWARE ULTRASHORT FUND CLASS ILPL FINANCIAL
OMNIBUS CUSTOMER ACCOUNT
ATTN LINDSAY OTOOLE
4707 EXECUTIVE DRIVE
SAN DIEGO CA  92121
55.21%
DELAWARE ULTRASHORT FUND CLASS IPERSHING LLC
1 PERSHING PLAZA
JERSEY CITY NJ  07399-0002
6.05%


DELAWARE ULTRASHORT FUND CLASS IPLUMBERS AND PIPEFITTERS LOCAL
EDUCATION FUND
C/O I.E SHAFFER & CO
830 BEAR TAVERN RD 2ND FL
WEST TRENTON NJ 08628-0230
31.59%
DELAWARE WEALTH BUILDER FUND CLASS ACHARLES SCHWAB & CO INC
SPECIAL CUSTODY ACCT FBO CUSTOMERS
ATTN MUTUAL FUNDS
211 MAIN ST
SAN FRANCISCO CA  94105
6.06%
DELAWARE WEALTH BUILDER FUND CLASS ALPL FINANCIAL
OMNIBUS CUSTOMER ACCOUNT
ATTN LINDSAY OTOOLE
4707 EXECUTIVE DRIVE
SAN DIEGO CA  92121
6.72%
DELAWARE WEALTH BUILDER FUND CLASS AMLPF&S FOR THE SOLE BENEFIT OF ITS
CUSTOMERS
ATTENTION: FUND ADMIN SEC
4800 DEER LAKE DRIVE EAST, 2ND FL
JACKSONVILLE FL 32246-6484
11.84%
DELAWARE WEALTH BUILDER FUND CLASS AMORGAN STANLEY SMITH BARNEY LLC
FOR THE EXCLUSIVE BENEFIT OF ITS
CUSTOMERS
1 NEW YORK PLAZA FL 12
NEW YORK NY  10004-1901
10.39%
DELAWARE WEALTH BUILDER FUND CLASS ANATIONAL FINANCIAL SERVICES LLC
(FBO) OUR CUSTOMERS
ATTN MUTUAL FUNDS DEPARTMENT
4TH FLOOR
499 WASHINGTON BLVD
JERSEY CITY NJ  07310
8.46%
DELAWARE WEALTH BUILDER FUND CLASS AWELLS FARGO CLEARING SVCS LLC
SPECIAL CUSTODY ACCT FOR THE
EXCLUSIVE BENEFIT OF CUSTOMER
2801 MARKET ST
SAINT LOUIS MO 63103-2523
10.61%


DELAWARE WEALTH BUILDER FUND CLASS CAMERICAN ENTERPRISE INVESTMENT SVC
707 2ND AVE SOUTH
MINNEAPOLIS MN  55402-2405
13.41%
DELAWARE WEALTH BUILDER FUND CLASS CCHARLES SCHWAB & CO INC
SPECIAL CUSTODY ACCT FBO CUSTOMERS
ATTN MUTUAL FUNDS
211 MAIN ST
SAN FRANCISCO CA  94105
19.79%
DELAWARE WEALTH BUILDER FUND CLASS CLPL FINANCIAL
OMNIBUS CUSTOMER ACCOUNT
ATTN LINDSAY OTOOLE
4707 EXECUTIVE DRIVE
SAN DIEGO CA  92121
8.56%
DELAWARE WEALTH BUILDER FUND CLASS CNATIONAL FINANCIAL SERVICES LLC
(FBO) OUR CUSTOMERS
ATTN MUTUAL FUNDS DEPARTMENT
4TH FLOOR
499 WASHINGTON BLVD
JERSEY CITY NJ  07310
6.32%
DELAWARE WEALTH BUILDER FUND CLASS CUBS WM USA
SPEC CDY A/C EXL BEN CUSTOMERS
OF UBSFSI
1000 HARBOR BLVD
WEEHAWKEN, NJ  07086
8.50%
DELAWARE WEALTH BUILDER FUND CLASS CWELLS FARGO CLEARING SVCS LLC
SPECIAL CUSTODY ACCT FOR THE
EXCLUSIVE BENEFIT OF CUSTOMER
2801 MARKET ST
SAINT LOUIS MO 63103-2523
15.01%


DELAWARE WEALTH BUILDER FUND CLASS IAMERICAN ENTERPRISE INVESTMENT SVC
707 2ND AVE SOUTH
MINNEAPOLIS MN  55402-2405
5.19%
DELAWARE WEALTH BUILDER FUND CLASS IMLPF&S FOR THE SOLE BENEFIT OF ITS
CUSTOMERS
ATTENTION: FUND ADMIN SEC
4800 DEER LAKE DRIVE EAST, 2ND FL
JACKSONVILLE FL 32246-6484
23.98%
DELAWARE WEALTH BUILDER FUND CLASS IMORGAN STANLEY SMITH BARNEY LLC
FOR THE EXCLUSIVE BENEFIT OF ITS
CUSTOMERS
1 NEW YORK PLAZA FL 12
NEW YORK NY  10004-1901
9.82%
DELAWARE WEALTH BUILDER FUND CLASS INATIONAL FINANCIAL SERVICES LLC
(FBO) OUR CUSTOMERS
ATTN MUTUAL FUNDS DEPARTMENT
4TH FLOOR
499 WASHINGTON BLVD
JERSEY CITY NJ  07310
16.38%
DELAWARE WEALTH BUILDER FUND CLASS IRAYMOND JAMES
OMNIBUS FOR MUTUAL FUNDS
ATTN COURTNEY WALLER
880 CARILLON PARKWAY
ST PETERSBURG FL  33713
6.81%
DELAWARE WEALTH BUILDER FUND CLASS IUBS WM USA
SPEC CDY A/C EXL BEN CUSTOMERS
OF UBSFSI
1000 HARBOR BLVD
WEEHAWKEN, NJ  07086
6.44%
DELAWARE WEALTH BUILDER FUND CLASS IWELLS FARGO CLEARING SVCS LLC
SPECIAL CUSTODY ACCT FOR THE
EXCLUSIVE BENEFIT OF CUSTOMER
2801 MARKET ST
SAINT LOUIS MO 63103-2523
6.27%


DELAWARE HIGH YIELD OPPORTUNITIES FUND CLASS AMATRIX TRUST COMPANY CUST. FBO
PEN SERV DELAWARE/FORESTERS
717 17TH STREET
SUITE 1300
DENVER CO 80202
6.76%
DELAWARE HIGH YIELD OPPORTUNITIES FUND CLASS CLPL FINANCIAL
OMNIBUS CUSTOMER ACCOUNT
ATTN LINDSAY OTOOLE
4707 EXECUTIVE DRIVE
SAN DIEGO CA  92121
30.31%
DELAWARE HIGH YIELD OPPORTUNITIES FUND CLASS CNATIONAL FINANCIAL SERVICES LLC
(FBO) OUR CUSTOMERS
ATTN MUTUAL FUNDS DEPARTMENT
4TH FLOOR
499 WASHINGTON BLVD
JERSEY CITY NJ  07310
18.78%
DELAWARE HIGH YIELD OPPORTUNITIES FUND CLASS CPERSHING LLC
1 PERSHING PLAZA
JERSEY CITY NJ  07399-0002
5.61%
DELAWARE HIGH YIELD OPPORTUNITIES FUND CLASS CRAYMOND JAMES
OMNIBUS FOR MUTUAL FUNDS
ATTN COURTNEY WALLER
880 CARILLON PARKWAY
ST PETERSBURG FL  33713
6.45%
DELAWARE HIGH YIELD OPPORTUNITIES FUND CLASS CWELLS FARGO CLEARING SVCS LLC
SPECIAL CUSTODY ACCT FOR THE
EXCLUSIVE BENEFIT OF CUSTOMER
2801 MARKET ST
SAINT LOUIS MO 63103-2523
24.63%
DELAWARE HIGH YIELD OPPORTUNITIES FUND CLASS ICHARLES SCHWAB & CO INC
SPECIAL CUSTODY ACCT FBO CUSTOMERS
ATTN MUTUAL FUNDS
211 MAIN ST
SAN FRANCISCO CA  94105
44.18%


DELAWARE HIGH YIELD OPPORTUNITIES FUND CLASS ILPL FINANCIAL
OMNIBUS CUSTOMER ACCOUNT
ATTN LINDSAY OTOOLE
4707 EXECUTIVE DRIVE
SAN DIEGO CA  92121
12.46%
DELAWARE HIGH YIELD OPPORTUNITIES FUND CLASS INATIONAL FINANCIAL SERVICES LLC
(FBO) OUR CUSTOMERS
ATTN MUTUAL FUNDS DEPARTMENT
4TH FLOOR
499 WASHINGTON BLVD
JERSEY CITY NJ  07310
13.12%
DELAWARE HIGH YIELD OPPORTUNITIES FUND CLASS IRAYMOND JAMES
OMNIBUS FOR MUTUAL FUNDS
ATTN COURTNEY WALLER
880 CARILLON PARKWAY
ST PETERSBURG FL  33713
5.07%
MACQUARIE EMERGING MARKETS PORTFOLIOSTATE UNIVERSITIES RETIREMENT
SYSTEM OF ILLINOIS
1901 FOX DR
CHAMPAIGN IL 61820-7333
96.66%
DELAWARE GLOBAL LISTED REAL ASSETS FUND CLASS CAMERICAN ENTERPRISE INVESTMENT SVC
707 2ND AVE SOUTH
MINNEAPOLIS MN  55402-2405
5.22%
DELAWARE GLOBAL LISTED REAL ASSETS FUND CLASS CLPL FINANCIAL
OMNIBUS CUSTOMER ACCOUNT
ATTN LINDSAY OTOOLE
4707 EXECUTIVE DRIVE
SAN DIEGO CA  92121
10.85%
DELAWARE GLOBAL LISTED REAL ASSETS FUND CLASS CNATIONAL FINANCIAL SERVICES LLC
(FBO) OUR CUSTOMERS
ATTN MUTUAL FUNDS DEPARTMENT
4TH FLOOR
499 WASHINGTON BLVD
JERSEY CITY NJ  07310
28.37%


DELAWARE GLOBAL LISTED REAL ASSETS FUND CLASS CPERSHING LLC
1 PERSHING PLAZA
JERSEY CITY NJ  07399-0002
26.87%
DELAWARE GLOBAL LISTED REAL ASSETS FUND CLASS CRAYMOND JAMES
OMNIBUS FOR MUTUAL FUNDS
ATTN COURTNEY WALLER
880 CARILLON PARKWAY
ST PETERSBURG FL  33713
8.81%
DELAWARE GLOBAL LISTED REAL ASSETS FUND CLASS CWELLS FARGO CLEARING SVCS LLC
SPECIAL CUSTODY ACCT FOR THE
EXCLUSIVE BENEFIT OF CUSTOMER
2801 MARKET ST
SAINT LOUIS MO 63103-2523
11.05%
DELAWARE GLOBAL LISTED REAL ASSETS FUND CLASS ICHARLES SCHWAB & CO INC
SPECIAL CUSTODY ACCT FBO CUSTOMERS
ATTN MUTUAL FUNDS
211 MAIN ST
SAN FRANCISCO CA  94105
76.68%
DELAWARE GLOBAL LISTED REAL ASSETS FUND CLASS INATIONAL FINANCIAL SERVICES LLC
(FBO) OUR CUSTOMERS
ATTN MUTUAL FUNDS DEPARTMENT
4TH FLOOR
499 WASHINGTON BLVD
JERSEY CITY NJ  07310
9.47%
DELAWARE DIVERSIFIED INCOME FUND CLASS ALPL FINANCIAL
OMNIBUS CUSTOMER ACCOUNT
ATTN LINDSAY OTOOLE
4707 EXECUTIVE DRIVE
SAN DIEGO CA  92121
6.28%
DELAWARE DIVERSIFIED INCOME FUND CLASS AMLPF&S FOR THE SOLE BENEFIT OF ITS
CUSTOMERS
ATTENTION: FUND ADMIN SEC
4800 DEER LAKE DRIVE EAST, 2ND FL
JACKSONVILLE FL 32246-6484
19.57%


DELAWARE DIVERSIFIED INCOME FUND CLASS AMORGAN STANLEY SMITH BARNEY LLC
FOR THE EXCLUSIVE BENEFIT OF ITS
CUSTOMERS
1 NEW YORK PLAZA FL 12
NEW YORK NY  10004-1901
9.06%
DELAWARE DIVERSIFIED INCOME FUND CLASS ANATIONAL FINANCIAL SERVICES LLC
(FBO) OUR CUSTOMERS
ATTN MUTUAL FUNDS DEPARTMENT
4TH FLOOR
499 WASHINGTON BLVD
JERSEY CITY NJ  07310
11.74%
DELAWARE DIVERSIFIED INCOME FUND CLASS APERSHING LLC
1 PERSHING PLAZA
JERSEY CITY NJ  07399-0002
5.07%
DELAWARE DIVERSIFIED INCOME FUND CLASS AUBS WM USA
SPEC CDY A/C EXL BEN CUSTOMERS
OF UBSFSI
1000 HARBOR BLVD
WEEHAWKEN, NJ  07086
6.06%
DELAWARE DIVERSIFIED INCOME FUND CLASS AWELLS FARGO CLEARING SVCS LLC
SPECIAL CUSTODY ACCT FOR THE
EXCLUSIVE BENEFIT OF CUSTOMER
2801 MARKET ST
SAINT LOUIS MO 63103-2523
7.50%
DELAWARE DIVERSIFIED INCOME FUND CLASS CCHARLES SCHWAB & CO INC
SPECIAL CUSTODY ACCT FBO CUSTOMERS
ATTN MUTUAL FUNDS
211 MAIN ST
SAN FRANCISCO CA  94105
9.15%
DELAWARE DIVERSIFIED INCOME FUND CLASS CLPL FINANCIAL
OMNIBUS CUSTOMER ACCOUNT
ATTN LINDSAY OTOOLE
4707 EXECUTIVE DRIVE
SAN DIEGO CA  92121
11.43%


DELAWARE DIVERSIFIED INCOME FUND CLASS CMLPF&S FOR THE SOLE BENEFIT OF ITS
CUSTOMERS
ATTENTION: FUND ADMIN SEC
4800 DEER LAKE DRIVE EAST, 2ND FL
JACKSONVILLE FL 32246-6484
7.26%
DELAWARE DIVERSIFIED INCOME FUND CLASS CMORGAN STANLEY SMITH BARNEY LLC
FOR THE EXCLUSIVE BENEFIT OF ITS
CUSTOMERS
1 NEW YORK PLAZA FL 12
NEW YORK NY  10004-1901
7.12%
DELAWARE DIVERSIFIED INCOME FUND CLASS CNATIONAL FINANCIAL SERVICES LLC
(FBO) OUR CUSTOMERS
ATTN MUTUAL FUNDS DEPARTMENT
4TH FLOOR
499 WASHINGTON BLVD
JERSEY CITY NJ  07310
18.18%
DELAWARE DIVERSIFIED INCOME FUND CLASS CRAYMOND JAMES
OMNIBUS FOR MUTUAL FUNDS
ATTN COURTNEY WALLER
880 CARILLON PARKWAY
ST PETERSBURG FL  33713
11.68%
DELAWARE DIVERSIFIED INCOME FUND CLASS CUBS WM USA
SPEC CDY A/C EXL BEN CUSTOMERS
OF UBSFSI
1000 HARBOR BLVD
WEEHAWKEN, NJ  07086
8.45%
DELAWARE DIVERSIFIED INCOME FUND CLASS CWELLS FARGO CLEARING SVCS LLC
SPECIAL CUSTODY ACCT FOR THE
EXCLUSIVE BENEFIT OF CUSTOMER
2801 MARKET ST
SAINT LOUIS MO 63103-2523
12.58%
DELAWARE DIVERSIFIED INCOME FUND CLASS ICHARLES SCHWAB & CO INC
SPECIAL CUSTODY ACCT FBO CUSTOMERS
ATTN MUTUAL FUNDS
211 MAIN ST
SAN FRANCISCO CA  94105
7.90%


DELAWARE DIVERSIFIED INCOME FUND CLASS ILPL FINANCIAL
OMNIBUS CUSTOMER ACCOUNT
ATTN LINDSAY OTOOLE
4707 EXECUTIVE DRIVE
SAN DIEGO CA  92121
17.57%
DELAWARE DIVERSIFIED INCOME FUND CLASS IMLPF&S FOR THE SOLE BENEFIT OF ITS
CUSTOMERS
ATTENTION: FUND ADMIN SEC
4800 DEER LAKE DRIVE EAST, 2ND FL
JACKSONVILLE FL 32246-6484
8.77%
DELAWARE DIVERSIFIED INCOME FUND CLASS IMORGAN STANLEY SMITH BARNEY LLC
FOR THE EXCLUSIVE BENEFIT OF ITS
CUSTOMERS
1 NEW YORK PLAZA FL 12
NEW YORK NY  10004-1901
7.90%
DELAWARE DIVERSIFIED INCOME FUND CLASS INATIONAL FINANCIAL SERVICES LLC
(FBO) OUR CUSTOMERS
ATTN MUTUAL FUNDS DEPARTMENT
4TH FLOOR
499 WASHINGTON BLVD
JERSEY CITY NJ  07310
16.77%
DELAWARE DIVERSIFIED INCOME FUND CLASS IRAYMOND JAMES
OMNIBUS FOR MUTUAL FUNDS
ATTN COURTNEY WALLER
880 CARILLON PARKWAY
ST PETERSBURG FL  33713
8.15%
DELAWARE DIVERSIFIED INCOME FUND CLASS IUBS WM USA
SPEC CDY A/C EXL BEN CUSTOMERS
OF UBSFSI
1000 HARBOR BLVD
WEEHAWKEN, NJ  07086
10.42%
DELAWARE DIVERSIFIED INCOME FUND CLASS IWELLS FARGO CLEARING SVCS LLC
SPECIAL CUSTODY ACCT FOR THE
EXCLUSIVE BENEFIT OF CUSTOMER
2801 MARKET ST
SAINT LOUIS MO 63103-2523
7.02%


DELAWARE DIVERSIFIED INCOME FUND CLASS R6MAC & CO
NUCLEAR DECOMMISSIONING TRT
500 GRANT ST RM 151-1010
PITTSBURGH PA 15258
22.89%
DELAWARE DIVERSIFIED INCOME FUND CLASS R6MAC & CO
FBO NEXTERA ENERGY DUANE ARNOLD LLC
ATTN MUTUAL FUND OPERATIONS
PO BOX 3198
525 WILLIAM PENN PLACE
PITTSBURGH PA  15230-3198
14.01%
DELAWARE DIVERSIFIED INCOME FUND CLASS R6THE NORTHERN TRUST CO AS TTEE FBO
GEORGIA GULF
50 S LA SALLE ST
CHICAGO IL  60603-1003
21.76%
DELAWARE EMERGING MARKETS FUND CLASS R6EDWARD D JONES AND CO
FOR THE BENEFIT OF CUSTOMERS
12555 MANCHESTER ROAD
ST LOUIS MO 63131-3710
35.39%
DELAWARE EMERGING MARKETS FUND CLASS R6JP MORGAN SECURITIES LLC
OMNIBUS ACCOUNT FOR THE EXCLUSIVE
BENEFIT OF CUSTOMERS
4 CHASE METROTECH CENTER
3RD FLOOR MUTUAL FUND DEPARTMENT
BROOKLYN NY  11245
18.52%
DELAWARE EMERGING MARKETS FUND CLASS R6MLPF&S FOR THE SOLE BENEFIT OF ITS
CUSTOMERS
ATTENTION: FUND ADMIN SEC
4800 DEER LAKE DRIVE EAST, 2ND FL
JACKSONVILLE FL 32246-6484
16.34%
DELAWARE FLOATING RATE FUND CLASS AMATRIX TRUST COMPANY CUST. FBO
PEN SERV DELAWARE/FORESTERS
717 17TH STREET
SUITE 1300
DENVER CO 80202
5.32%


DELAWARE FLOATING RATE FUND CLASS AMLPF&S FOR THE SOLE BENEFIT OF ITS
CUSTOMERS
ATTENTION: FUND ADMIN SEC
4800 DEER LAKE DRIVE EAST, 2ND FL
JACKSONVILLE FL 32246-6484
6.38%
DELAWARE FLOATING RATE FUND CLASS AMORGAN STANLEY SMITH BARNEY LLC
FOR THE EXCLUSIVE BENEFIT OF ITS
CUSTOMERS
1 NEW YORK PLAZA FL 12
NEW YORK NY  10004-1901
5.74%
DELAWARE FLOATING RATE FUND CLASS ANATIONAL FINANCIAL SERVICES LLC
(FBO) OUR CUSTOMERS
ATTN MUTUAL FUNDS DEPARTMENT
4TH FLOOR
499 WASHINGTON BLVD
JERSEY CITY NJ  07310
14.56%
DELAWARE FLOATING RATE FUND CLASS AWELLS FARGO CLEARING SVCS LLC
SPECIAL CUSTODY ACCT FOR THE
EXCLUSIVE BENEFIT OF CUSTOMER
2801 MARKET ST
SAINT LOUIS MO 63103-2523
5.32%
DELAWARE FLOATING RATE FUND CLASS CAMERICAN ENTERPRISE INVESTMENT SVC
707 2ND AVE SOUTH
MINNEAPOLIS MN  55402-2405
9.23%
DELAWARE FLOATING RATE FUND CLASS CLPL FINANCIAL
OMNIBUS CUSTOMER ACCOUNT
ATTN LINDSAY OTOOLE
4707 EXECUTIVE DRIVE
SAN DIEGO CA  92121
6.58%
DELAWARE FLOATING RATE FUND CLASS CMORGAN STANLEY SMITH BARNEY LLC
FOR THE EXCLUSIVE BENEFIT OF ITS
CUSTOMERS
1 NEW YORK PLAZA FL 12
NEW YORK NY  10004-1901
7.34%


DELAWARE FLOATING RATE FUND CLASS CNATIONAL FINANCIAL SERVICES LLC
(FBO) OUR CUSTOMERS
ATTN MUTUAL FUNDS DEPARTMENT
4TH FLOOR
499 WASHINGTON BLVD
JERSEY CITY NJ  07310
5.34%
DELAWARE FLOATING RATE FUND CLASS CPERSHING LLC
1 PERSHING PLAZA
JERSEY CITY NJ  07399-0002
8.05%
DELAWARE FLOATING RATE FUND CLASS CRAYMOND JAMES
OMNIBUS FOR MUTUAL FUNDS
ATTN COURTNEY WALLER
880 CARILLON PARKWAY
ST PETERSBURG FL  33713
36.78%
DELAWARE FLOATING RATE FUND CLASS CUBS WM USA
SPEC CDY A/C EXL BEN CUSTOMERS
OF UBSFSI
1000 HARBOR BLVD
WEEHAWKEN, NJ  07086
5.75%
DELAWARE FLOATING RATE FUND CLASS CWELLS FARGO CLEARING SVCS LLC
SPECIAL CUSTODY ACCT FOR THE
EXCLUSIVE BENEFIT OF CUSTOMER
2801 MARKET ST
SAINT LOUIS MO 63103-2523
9.74%
DELAWARE FLOATING RATE FUND CLASS IAMERICAN ENTERPRISE INVESTMENT SVC
707 2ND AVE SOUTH
MINNEAPOLIS MN  55402-2405
9.48%


DELAWARE FLOATING RATE FUND CLASS ICHARLES SCHWAB & CO INC
SPECIAL CUSTODY ACCT FBO CUSTOMERS
ATTN MUTUAL FUNDS
211 MAIN ST
SAN FRANCISCO CA  94105
13.68%
DELAWARE FLOATING RATE FUND CLASS ILPL FINANCIAL
OMNIBUS CUSTOMER ACCOUNT
ATTN LINDSAY OTOOLE
4707 EXECUTIVE DRIVE
SAN DIEGO CA  92121
12.39%
DELAWARE FLOATING RATE FUND CLASS IMLPF&S FOR THE SOLE BENEFIT OF ITS
CUSTOMERS
ATTENTION: FUND ADMIN SEC
4800 DEER LAKE DRIVE EAST, 2ND FL
JACKSONVILLE FL 32246-6484
8.10%
DELAWARE FLOATING RATE FUND CLASS IMORGAN STANLEY SMITH BARNEY LLC
FOR THE EXCLUSIVE BENEFIT OF ITS
CUSTOMERS
1 NEW YORK PLAZA FL 12
NEW YORK NY  10004-1901
12.07%
DELAWARE FLOATING RATE FUND CLASS INATIONAL FINANCIAL SERVICES LLC
(FBO) OUR CUSTOMERS
ATTN MUTUAL FUNDS DEPARTMENT
4TH FLOOR
499 WASHINGTON BLVD
JERSEY CITY NJ  07310
28.72%
DELAWARE FLOATING RATE FUND CLASS IUBS WM USA
SPEC CDY A/C EXL BEN CUSTOMERS
OF UBSFSI
1000 HARBOR BLVD
WEEHAWKEN, NJ  07086
5.25%
DELAWARE FLOATING RATE FUND CLASS RMACQUARIE MANAGEMENT HOLDINGS INC
C/O RICK SALUS
100 INDEPENDENCE
610 MARKET STREET 7TH FLOOR
PHILADELPHIA PA 19106-2354
30.62%


DELAWARE FLOATING RATE FUND CLASS RPERSHING LLC
1 PERSHING PLAZA
JERSEY CITY NJ  07399-0002
69.25%
DELAWARE EMERGING MARKETS DEBT CORPORATE FUND CL AAMERICAN ENTERPRISE INVESTMENT SVC
707 2ND AVE SOUTH
MINNEAPOLIS MN  55402-2405
7.05%
DELAWARE EMERGING MARKETS DEBT CORPORATE FUND CL ACHRISTOPHER J TYDRICK
TOD KEVIN M TYDRICK
SUBJECT TO STA TOD RULES
642 OVERHILL RD
ARDMORE PA 19003-1007
21.30%
DELAWARE EMERGING MARKETS DEBT CORPORATE FUND CL ALPL FINANCIAL
OMNIBUS CUSTOMER ACCOUNT
ATTN LINDSAY OTOOLE
4707 EXECUTIVE DRIVE
SAN DIEGO CA  92121
8.17%
DELAWARE EMERGING MARKETS DEBT CORPORATE FUND CL CAMERICAN ENTERPRISE INVESTMENT SVC
707 2ND AVE SOUTH
MINNEAPOLIS MN  55402-2405
19.87%
DELAWARE EMERGING MARKETS DEBT CORPORATE FUND CL CBNYM I S TRUST CO CUST CESA FBO
JOHN G LANOUE RESP INDV
CONNOR J LANOUE
1846 COUNTY ROAD 11
TRACY MN 56175-1116
15.02%
DELAWARE EMERGING MARKETS DEBT CORPORATE FUND CL CLPL FINANCIAL
OMNIBUS CUSTOMER ACCOUNT
ATTN LINDSAY OTOOLE
4707 EXECUTIVE DRIVE
SAN DIEGO CA  92121
55.30%
DELAWARE EMERGING MARKETS DEBT CORPORATE FUND CL IAMERICAN ENTERPRISE INVESTMENT SVC
707 2ND AVE SOUTH
MINNEAPOLIS MN  55402-2405
21.92%


DELAWARE EMERGING MARKETS DEBT CORPORATE FUND CL ICHARLES SCHWAB & CO INC
SPECIAL CUSTODY ACCT FBO CUSTOMERS
ATTN MUTUAL FUNDS
211 MAIN ST
SAN FRANCISCO CA  94105
23.96%
DELAWARE EMERGING MARKETS DEBT CORPORATE FUND CL IMACQUARIE MANAGEMENT HOLDINGS INC
C/O RICK SALUS
100 INDEPENDENCE
610 MARKET STREET 7TH FLOOR
PHILADELPHIA PA 19106-2354
32.10%
DELAWARE EMERGING MARKETS DEBT CORPORATE FUND CL INATIONAL FINANCIAL SERVICES LLC
(FBO) OUR CUSTOMERS
ATTN MUTUAL FUNDS DEPARTMENT
4TH FLOOR
499 WASHINGTON BLVD
JERSEY CITY NJ  07310
12.81%
DELAWARE EMERGING MARKETS DEBT CORPORATE FUND CL RMACQUARIE MANAGEMENT HOLDINGS INC
C/O RICK SALUS
100 INDEPENDENCE
610 MARKET STREET 7TH FLOOR
PHILADELPHIA PA 19106-2354
98.74%
DELAWARE TAX-FREE PENNSYLVANIA FUND CLASS IAMERICAN ENTERPRISE INVESTMENT SVC
707 2ND AVE SOUTH
MINNEAPOLIS MN  55402-2405
7.81%
DELAWARE TAX-FREE PENNSYLVANIA FUND CLASS ICHARLES SCHWAB & CO INC
SPECIAL CUSTODY ACCT FBO CUSTOMERS
ATTN MUTUAL FUNDS
211 MAIN ST
SAN FRANCISCO CA  94105
7.64%
DELAWARE TAX-FREE PENNSYLVANIA FUND CLASS IMORGAN STANLEY SMITH BARNEY LLC
FOR THE EXCLUSIVE BENEFIT OF ITS
CUSTOMERS
1 NEW YORK PLAZA FL 12
NEW YORK NY  10004-1901
9.36%


DELAWARE TAX-FREE PENNSYLVANIA FUND CLASS INATIONAL FINANCIAL SERVICES LLC
(FBO) OUR CUSTOMERS
ATTN MUTUAL FUNDS DEPARTMENT
4TH FLOOR
499 WASHINGTON BLVD
JERSEY CITY NJ  07310
9.97%
DELAWARE TAX-FREE PENNSYLVANIA FUND CLASS IPERSHING LLC
1 PERSHING PLAZA
JERSEY CITY NJ  07399-0002
9.76%
DELAWARE TAX-FREE PENNSYLVANIA FUND CLASS IWELLS FARGO CLEARING SVCS LLC
SPECIAL CUSTODY ACCT FOR THE
EXCLUSIVE BENEFIT OF CUSTOMER
2801 MARKET ST
SAINT LOUIS MO 63103-2523
20.01%
DELAWARE TAX-FREE MINNESOTA INT FUND CLASS IAMERICAN ENTERPRISE INVESTMENT SVC
707 2ND AVE SOUTH
MINNEAPOLIS MN  55402-2405
9.94%
DELAWARE TAX-FREE MINNESOTA INT FUND CLASS ILPL FINANCIAL
OMNIBUS CUSTOMER ACCOUNT
ATTN LINDSAY OTOOLE
4707 EXECUTIVE DRIVE
SAN DIEGO CA  92121
47.52%
DELAWARE TAX-FREE MINNESOTA INT FUND CLASS IMLPF&S FOR THE SOLE BENEFIT OF ITS
CUSTOMERS
ATTENTION: FUND ADMIN SEC
4800 DEER LAKE DRIVE EAST, 2ND FL
JACKSONVILLE FL 32246-6484
5.11%
DELAWARE TAX-FREE MINNESOTA INT FUND CLASS IPERSHING LLC
1 PERSHING PLAZA
JERSEY CITY NJ  07399-0002
12.99%


DELAWARE TAX-FREE MINNESOTA INT FUND CLASS IWELLS FARGO CLEARING SVCS LLC
SPECIAL CUSTODY ACCT FOR THE
EXCLUSIVE BENEFIT OF CUSTOMER
2801 MARKET ST
SAINT LOUIS MO 63103-2523
10.64%
DELAWARE MINNESOTA HIGH YLD MUNI BOND CLASS IAMERICAN ENTERPRISE INVESTMENT SVC
707 2ND AVE SOUTH
MINNEAPOLIS MN  55402-2405
16.88%
DELAWARE MINNESOTA HIGH YLD MUNI BOND CLASS ILPL FINANCIAL
OMNIBUS CUSTOMER ACCOUNT
ATTN LINDSAY OTOOLE
4707 EXECUTIVE DRIVE
SAN DIEGO CA  92121
11.70%
DELAWARE MINNESOTA HIGH YLD MUNI BOND CLASS INATIONAL FINANCIAL SERVICES LLC
(FBO) OUR CUSTOMERS
ATTN MUTUAL FUNDS DEPARTMENT
4TH FLOOR
499 WASHINGTON BLVD
JERSEY CITY NJ  07310
12.24%
DELAWARE MINNESOTA HIGH YLD MUNI BOND CLASS IPERSHING LLC
1 PERSHING PLAZA
JERSEY CITY NJ  07399-0002
16.12%
DELAWARE MINNESOTA HIGH YLD MUNI BOND CLASS IUBS WM USA
SPEC CDY A/C EXL BEN CUSTOMERS
OF UBSFSI
1000 HARBOR BLVD
WEEHAWKEN, NJ  07086
8.68%
DELAWARE TAX-FREE ARIZONA FUND CLASS IAMERICAN ENTERPRISE INVESTMENT SVC
707 2ND AVE SOUTH
MINNEAPOLIS MN  55402-2405
15.56%


DELAWARE TAX-FREE ARIZONA FUND CLASS ICHARLES SCHWAB & CO INC
SPEC CUSTODY ACCT FOR THE EXCL
BNFT OF CUSTS ATTN MUT FDS
211 MAIN ST
SAN FRANCISCO CA  94105-1905
7.20%
DELAWARE TAX-FREE ARIZONA FUND CLASS ICHARLES SCHWAB & CO INC
SPECIAL CUSTODY ACCT FBO CUSTOMERS
ATTN MUTUAL FUNDS
211 MAIN ST
SAN FRANCISCO CA  94105
6.63%
DELAWARE TAX-FREE ARIZONA FUND CLASS ILPL FINANCIAL
OMNIBUS CUSTOMER ACCOUNT
ATTN LINDSAY OTOOLE
4707 EXECUTIVE DRIVE
SAN DIEGO CA  92121
8.36%
DELAWARE TAX-FREE ARIZONA FUND CLASS IRAYMOND JAMES
OMNIBUS FOR MUTUAL FUNDS
ATTN COURTNEY WALLER
880 CARILLON PARKWAY
ST PETERSBURG FL  33713
17.81%
DELAWARE TAX-FREE ARIZONA FUND CLASS IUBS WM USA
SPEC CDY A/C EXL BEN CUSTOMERS
OF UBSFSI
1000 HARBOR BLVD
WEEHAWKEN, NJ  07086
9.38%
DELAWARE TAX-FREE ARIZONA FUND CLASS IWELLS FARGO CLEARING SVCS LLC
SPECIAL CUSTODY ACCT FOR THE
EXCLUSIVE BENEFIT OF CUSTOMER
2801 MARKET ST
SAINT LOUIS MO 63103-2523
16.82%
DELAWARE TAX-FREE CALIFORNIA FUND CLASS IAMERICAN ENTERPRISE INVESTMENT SVC
707 2ND AVE SOUTH
MINNEAPOLIS MN  55402-2405
20.12%


DELAWARE TAX-FREE CALIFORNIA FUND CLASS ILPL FINANCIAL
OMNIBUS CUSTOMER ACCOUNT
ATTN LINDSAY OTOOLE
4707 EXECUTIVE DRIVE
SAN DIEGO CA  92121
9.16%
DELAWARE TAX-FREE CALIFORNIA FUND CLASS IMLPF&S FOR THE SOLE BENEFIT OF ITS
CUSTOMERS
ATTENTION: FUND ADMIN SEC
4800 DEER LAKE DRIVE EAST, 2ND FL
JACKSONVILLE FL 32246-6484
28.85%
DELAWARE TAX-FREE CALIFORNIA FUND CLASS IMORGAN STANLEY SMITH BARNEY LLC
FOR THE EXCLUSIVE BENEFIT OF ITS
CUSTOMERS
1 NEW YORK PLAZA FL 12
NEW YORK NY  10004-1901
9.70%
DELAWARE TAX-FREE CALIFORNIA FUND CLASS INATIONAL FINANCIAL SERVICES LLC
(FBO) OUR CUSTOMERS
ATTN MUTUAL FUNDS DEPARTMENT
4TH FLOOR
499 WASHINGTON BLVD
JERSEY CITY NJ  07310
7.20%
DELAWARE TAX-FREE CALIFORNIA FUND CLASS IWELLS FARGO CLEARING SVCS LLC
SPECIAL CUSTODY ACCT FOR THE
EXCLUSIVE BENEFIT OF CUSTOMER
2801 MARKET ST
SAINT LOUIS MO 63103-2523
6.17%
DELAWARE TAX-FREE COLORADO FUND CLASS IAMERICAN ENTERPRISE INVESTMENT SVC
707 2ND AVE SOUTH
MINNEAPOLIS MN  55402-2405
22.83%
DELAWARE TAX-FREE COLORADO FUND CLASS ILPL FINANCIAL
OMNIBUS CUSTOMER ACCOUNT
ATTN LINDSAY OTOOLE
4707 EXECUTIVE DRIVE
SAN DIEGO CA  92121
15.02%


DELAWARE TAX-FREE COLORADO FUND CLASS IMLPF&S FOR THE SOLE BENEFIT OF ITS
CUSTOMERS
ATTENTION: FUND ADMIN SEC
4800 DEER LAKE DRIVE EAST, 2ND FL
JACKSONVILLE FL 32246-6484
7.25%
DELAWARE TAX-FREE COLORADO FUND CLASS INATIONAL FINANCIAL SERVICES LLC
(FBO) OUR CUSTOMERS
ATTN MUTUAL FUNDS DEPARTMENT
4TH FLOOR
499 WASHINGTON BLVD
JERSEY CITY NJ  07310
6.77%
DELAWARE TAX-FREE COLORADO FUND CLASS IPERSHING LLC
1 PERSHING PLAZA
JERSEY CITY NJ  07399-0002
6.04%
DELAWARE TAX-FREE COLORADO FUND CLASS IRAYMOND JAMES
OMNIBUS FOR MUTUAL FUNDS
ATTN COURTNEY WALLER
880 CARILLON PARKWAY
ST PETERSBURG FL  33713
7.66%
DELAWARE TAX-FREE COLORADO FUND CLASS IUBS WM USA
SPEC CDY A/C EXL BEN CUSTOMERS
OF UBSFSI
1000 HARBOR BLVD
WEEHAWKEN, NJ  07086
9.60%
DELAWARE TAX-FREE COLORADO FUND CLASS IWELLS FARGO CLEARING SVCS LLC
SPECIAL CUSTODY ACCT FOR THE
EXCLUSIVE BENEFIT OF CUSTOMER
2801 MARKET ST
SAINT LOUIS MO 63103-2523
16.17%
DELAWARE TAX-FREE IDAHO FUND CLASS ICHARLES SCHWAB & CO INC
SPEC CUSTODY ACCT FOR THE EXCL
BNFT OF CUSTS ATTN MUT FDS
211 MAIN ST
SAN FRANCISCO CA  94105-1905
24.92%


DELAWARE TAX-FREE IDAHO FUND CLASS ILPL FINANCIAL
OMNIBUS CUSTOMER ACCOUNT
ATTN LINDSAY OTOOLE
4707 EXECUTIVE DRIVE
SAN DIEGO CA  92121
12.99%
DELAWARE TAX-FREE IDAHO FUND CLASS INATIONAL FINANCIAL SERVICES LLC
(FBO) OUR CUSTOMERS
ATTN MUTUAL FUNDS DEPARTMENT
4TH FLOOR
499 WASHINGTON BLVD
JERSEY CITY NJ  07310
11.07%
DELAWARE TAX-FREE IDAHO FUND CLASS IPERSHING LLC
1 PERSHING PLAZA
JERSEY CITY NJ  07399-0002
7.89%
DELAWARE TAX-FREE IDAHO FUND CLASS IRAYMOND JAMES
OMNIBUS FOR MUTUAL FUNDS
ATTN COURTNEY WALLER
880 CARILLON PARKWAY
ST PETERSBURG FL  33713
10.06%
DELAWARE TAX-FREE IDAHO FUND CLASS IWELLS FARGO CLEARING SVCS LLC
SPECIAL CUSTODY ACCT FOR THE
EXCLUSIVE BENEFIT OF CUSTOMER
2801 MARKET ST
SAINT LOUIS MO 63103-2523
9.80%
DELAWARE SMALL CAP GROWTH FUND ACHARLES SCHWAB & CO INC
SPECIAL CUSTODY ACCT FBO CUSTOMERS
ATTN MUTUAL FUNDS
211 MAIN ST
SAN FRANCISCO CA  94105
11.84%
DELAWARE SMALL CAP GROWTH FUND AMORGAN STANLEY SMITH BARNEY LLC
FOR THE EXCLUSIVE BENEFIT OF ITS
CUSTOMERS
1 NEW YORK PLAZA FL 12
NEW YORK NY  10004-1901
5.55%


DELAWARE SMALL CAP GROWTH FUND ANATIONAL FINANCIAL SERVICES LLC
(FBO) OUR CUSTOMERS
ATTN MUTUAL FUNDS DEPARTMENT
4TH FLOOR
499 WASHINGTON BLVD
JERSEY CITY NJ  07310
20.18%
DELAWARE SMALL CAP GROWTH FUND APERSHING LLC
1 PERSHING PLAZA
JERSEY CITY NJ  07399-0002
8.58%
DELAWARE SMALL CAP GROWTH FUND ARAYMOND JAMES
OMNIBUS FOR MUTUAL FUNDS
ATTN COURTNEY WALLER
880 CARILLON PARKWAY
ST PETERSBURG FL  33713
5.33%
DELAWARE SMALL CAP GROWTH FUND CAMERICAN ENTERPRISE INVESTMENT SVC
707 2ND AVE SOUTH
MINNEAPOLIS MN  55402-2405
8.94%
DELAWARE SMALL CAP GROWTH FUND CLPL FINANCIAL
OMNIBUS CUSTOMER ACCOUNT
ATTN LINDSAY OTOOLE
4707 EXECUTIVE DRIVE
SAN DIEGO CA  92121
21.68%
DELAWARE SMALL CAP GROWTH FUND CMORGAN STANLEY SMITH BARNEY LLC
FOR THE EXCLUSIVE BENEFIT OF ITS
CUSTOMERS
1 NEW YORK PLAZA FL 12
NEW YORK NY  10004-1901
14.49%
DELAWARE SMALL CAP GROWTH FUND CPERSHING LLC
1 PERSHING PLAZA
JERSEY CITY NJ  07399-0002
17.65%
DELAWARE SMALL CAP GROWTH FUND CRAYMOND JAMES
OMNIBUS FOR MUTUAL FUNDS
ATTN COURTNEY WALLER
880 CARILLON PARKWAY
ST PETERSBURG FL  33713
13.80%


DELAWARE SMALL CAP GROWTH FUND IAMERICAN ENTERPRISE INVESTMENT SVC
707 2ND AVE SOUTH
MINNEAPOLIS MN  55402-2405
21.36%
DELAWARE SMALL CAP GROWTH FUND ICHARLES SCHWAB & CO INC
SPECIAL CUSTODY ACCT FBO CUSTOMERS
ATTN MUTUAL FUNDS
211 MAIN ST
SAN FRANCISCO CA  94105
23.95%
DELAWARE SMALL CAP GROWTH FUND ILPL FINANCIAL
OMNIBUS CUSTOMER ACCOUNT
ATTN LINDSAY OTOOLE
4707 EXECUTIVE DRIVE
SAN DIEGO CA  92121
21.38%
DELAWARE SMALL CAP GROWTH FUND IMORGAN STANLEY SMITH BARNEY LLC
FOR THE EXCLUSIVE BENEFIT OF ITS
CUSTOMERS
1 NEW YORK PLAZA FL 12
NEW YORK NY  10004-1901
9.06%
DELAWARE SMALL CAP GROWTH FUND IPERSHING LLC
1 PERSHING PLAZA
JERSEY CITY NJ  07399-0002
13.69%
DELAWARE SMALL CAP GROWTH FUND RASCENSUS TRUST COMPANY FBO
MACK CAMERA SERVICES 401(K)
PO BOX 10758
FARGO ND 58106
83.30%
DELAWARE SMALL CAP GROWTH FUND RPAI TRUST COMPANY, INC.
IMG COMPANIES, LLC 401(K) P/S PLA
1300 ENTERPRISE DRIVE
DE PERE WI 541150000
12.05%
DELAWARE FLOATING RATE FUND CLASS R6MATRIX TRUST COMPANY CUST. FBO
PENSERV PENSELECT SMARTSAV
717 17TH STREET
SUITE 1300
DENVER CO 80202
90.94%


DELAWARE TAX-FREE MINNESOTA FUND CLASS IAMERICAN ENTERPRISE INVESTMENT SVC
707 2ND AVE SOUTH
MINNEAPOLIS MN  55402-2405
7.41%
DELAWARE TAX-FREE MINNESOTA FUND CLASS IBAND & CO
C/O US BANK NA
1555 N RIVERCENTER DR STE 302
MILWAUKEE WI  53212-3958
23.97%
DELAWARE TAX-FREE MINNESOTA FUND CLASS ILPL FINANCIAL
OMNIBUS CUSTOMER ACCOUNT
ATTN LINDSAY OTOOLE
4707 EXECUTIVE DRIVE
SAN DIEGO CA  92121
9.84%
DELAWARE TAX-FREE MINNESOTA FUND CLASS INATIONAL FINANCIAL SERVICES LLC
(FBO) OUR CUSTOMERS
ATTN MUTUAL FUNDS DEPARTMENT
4TH FLOOR
499 WASHINGTON BLVD
JERSEY CITY NJ  07310
11.95%
DELAWARE TAX-FREE MINNESOTA FUND CLASS IPERSHING LLC
1 PERSHING PLAZA
JERSEY CITY NJ  07399-0002
13.17%
DELAWARE TAX-FREE MINNESOTA FUND CLASS IUBS WM USA
SPEC CDY A/C EXL BEN CUSTOMERS
OF UBSFSI
1000 HARBOR BLVD
WEEHAWKEN, NJ  07086
6.51%
DELAWARE TAX-FREE MINNESOTA FUND CLASS ACHARLES SCHWAB & CO INC
SPECIAL CUSTODY ACCT FBO CUSTOMERS
ATTN MUTUAL FUNDS
211 MAIN ST
SAN FRANCISCO CA  94105
6.43%
DELAWARE TAX-FREE MINNESOTA FUND CLASS AEDWARD D JONES AND CO
FOR THE BENEFIT OF CUSTOMERS
12555 MANCHESTER ROAD
ST LOUIS MO 63131-3710
14.34%


DELAWARE TAX-FREE MINNESOTA FUND CLASS ANATIONAL FINANCIAL SERVICES LLC
(FBO) OUR CUSTOMERS
ATTN MUTUAL FUNDS DEPARTMENT
4TH FLOOR
499 WASHINGTON BLVD
JERSEY CITY NJ  07310
12.00%
DELAWARE TAX-FREE MINNESOTA FUND CLASS APERSHING LLC
1 PERSHING PLAZA
JERSEY CITY NJ  07399-0002
7.02%
DELAWARE TAX-FREE MINNESOTA FUND CLASS AWELLS FARGO CLEARING SVCS LLC
SPECIAL CUSTODY ACCT FOR THE
EXCLUSIVE BENEFIT OF CUSTOMER
2801 MARKET ST
SAINT LOUIS MO 63103-2523
5.04%
DELAWARE TAX-FREE MINNESOTA FUND CLASS CAMERICAN ENTERPRISE INVESTMENT SVC
707 2ND AVE SOUTH
MINNEAPOLIS MN  55402-2405
6.11%
DELAWARE TAX-FREE MINNESOTA FUND CLASS CCHARLES SCHWAB & CO INC
SPECIAL CUSTODY ACCT FBO CUSTOMERS
ATTN MUTUAL FUNDS
211 MAIN ST
SAN FRANCISCO CA  94105
6.23%
DELAWARE TAX-FREE MINNESOTA FUND CLASS CEDWARD D JONES AND CO
FOR THE BENEFIT OF CUSTOMERS
12555 MANCHESTER ROAD
ST LOUIS MO 63131-3710
5.21%
DELAWARE TAX-FREE MINNESOTA FUND CLASS CLPL FINANCIAL
OMNIBUS CUSTOMER ACCOUNT
ATTN LINDSAY OTOOLE
4707 EXECUTIVE DRIVE
SAN DIEGO CA  92121
23.37%


DELAWARE TAX-FREE MINNESOTA FUND CLASS CPERSHING LLC
1 PERSHING PLAZA
JERSEY CITY NJ  07399-0002
14.49%
DELAWARE TAX-FREE MINNESOTA FUND CLASS CRAYMOND JAMES
OMNIBUS FOR MUTUAL FUNDS
ATTN COURTNEY WALLER
880 CARILLON PARKWAY
ST PETERSBURG FL  33713
8.76%
DELAWARE TAX-FREE MINNESOTA FUND CLASS CWELLS FARGO CLEARING SVCS LLC
SPECIAL CUSTODY ACCT FOR THE
EXCLUSIVE BENEFIT OF CUSTOMER
2801 MARKET ST
SAINT LOUIS MO 63103-2523
12.36%
DELAWARE TAX-FREE MINNESOTA INT FUND CLASS ACHARLES SCHWAB & CO INC
SPECIAL CUSTODY ACCT FBO CUSTOMERS
ATTN MUTUAL FUNDS
211 MAIN ST
SAN FRANCISCO CA  94105
9.15%
DELAWARE TAX-FREE MINNESOTA INT FUND CLASS AEDWARD D JONES AND CO
FOR THE BENEFIT OF CUSTOMERS
12555 MANCHESTER ROAD
ST LOUIS MO 63131-3710
13.21%
DELAWARE TAX-FREE MINNESOTA INT FUND CLASS ALPL FINANCIAL
OMNIBUS CUSTOMER ACCOUNT
ATTN LINDSAY OTOOLE
4707 EXECUTIVE DRIVE
SAN DIEGO CA  92121
10.95%
DELAWARE TAX-FREE MINNESOTA INT FUND CLASS ANATIONAL FINANCIAL SERVICES LLC
(FBO) OUR CUSTOMERS
ATTN MUTUAL FUNDS DEPARTMENT
4TH FLOOR
499 WASHINGTON BLVD
JERSEY CITY NJ  07310
9.28%


DELAWARE TAX-FREE MINNESOTA INT FUND CLASS APERSHING LLC
1 PERSHING PLAZA
JERSEY CITY NJ  07399-0002
7.88%
DELAWARE TAX-FREE MINNESOTA INT FUND CLASS AWELLS FARGO CLEARING SVCS LLC
SPECIAL CUSTODY ACCT FOR THE
EXCLUSIVE BENEFIT OF CUSTOMER
2801 MARKET ST
SAINT LOUIS MO 63103-2523
6.17%
DELAWARE TAX-FREE MINNESOTA INT FUND CLASS CAMERICAN ENTERPRISE INVESTMENT SVC
707 2ND AVE SOUTH
MINNEAPOLIS MN  55402-2405
23.40%
DELAWARE TAX-FREE MINNESOTA INT FUND CLASS CLPL FINANCIAL
OMNIBUS CUSTOMER ACCOUNT
ATTN LINDSAY OTOOLE
4707 EXECUTIVE DRIVE
SAN DIEGO CA  92121
12.19%
DELAWARE TAX-FREE MINNESOTA INT FUND CLASS CPERSHING LLC
1 PERSHING PLAZA
JERSEY CITY NJ  07399-0002
8.00%
DELAWARE TAX-FREE MINNESOTA INT FUND CLASS CWELLS FARGO CLEARING SVCS LLC
SPECIAL CUSTODY ACCT FOR THE
EXCLUSIVE BENEFIT OF CUSTOMER
2801 MARKET ST
SAINT LOUIS MO 63103-2523
22.88%
DELAWARE MINNESOTA HIGH YLD MUNI BOND CLASS AEDWARD D JONES AND CO
FOR THE BENEFIT OF CUSTOMERS
12555 MANCHESTER ROAD
ST LOUIS MO 63131-3710
17.01%


DELAWARE MINNESOTA HIGH YLD MUNI BOND CLASS ALPL FINANCIAL
OMNIBUS CUSTOMER ACCOUNT
ATTN LINDSAY OTOOLE
4707 EXECUTIVE DRIVE
SAN DIEGO CA  92121
5.27%
DELAWARE MINNESOTA HIGH YLD MUNI BOND CLASS ANATIONAL FINANCIAL SERVICES LLC
(FBO) OUR CUSTOMERS
ATTN MUTUAL FUNDS DEPARTMENT
4TH FLOOR
499 WASHINGTON BLVD
JERSEY CITY NJ  07310
7.54%
DELAWARE MINNESOTA HIGH YLD MUNI BOND CLASS APERSHING LLC
1 PERSHING PLAZA
JERSEY CITY NJ  07399-0002
8.02%
DELAWARE MINNESOTA HIGH YLD MUNI BOND CLASS ARBC CAPITAL MARKETS LLC
MUTUAL FUND OMNIBUS PROCESSING
OMNIBUS
ATTN MUTUAL FUND OPS MANAGER
60 SOUTH SIXTH STREET-P08
MINNEAPOLIS MN  55402-4400
9.58%
DELAWARE MINNESOTA HIGH YLD MUNI BOND CLASS AUBS WM USA
SPEC CDY A/C EXL BEN CUSTOMERS
OF UBSFSI
1000 HARBOR BLVD
WEEHAWKEN, NJ  07086
9.12%
DELAWARE MINNESOTA HIGH YLD MUNI BOND CLASS AWELLS FARGO CLEARING SVCS LLC
SPECIAL CUSTODY ACCT FOR THE
EXCLUSIVE BENEFIT OF CUSTOMER
2801 MARKET ST
SAINT LOUIS MO 63103-2523
9.50%
DELAWARE MINNESOTA HIGH YLD MUNI BOND CLASS CAMERICAN ENTERPRISE INVESTMENT SVC
707 2ND AVE SOUTH
MINNEAPOLIS MN  55402-2405
13.52%


DELAWARE MINNESOTA HIGH YLD MUNI BOND CLASS CMORGAN STANLEY SMITH BARNEY LLC
FOR THE EXCLUSIVE BENEFIT OF ITS
CUSTOMERS
1 NEW YORK PLAZA FL 12
NEW YORK NY  10004-1901
6.83%
DELAWARE MINNESOTA HIGH YLD MUNI BOND CLASS CPERSHING LLC
1 PERSHING PLAZA
JERSEY CITY NJ  07399-0002
23.73%
DELAWARE MINNESOTA HIGH YLD MUNI BOND CLASS CRBC CAPITAL MARKETS LLC
MUTUAL FUND OMNIBUS PROCESSING
OMNIBUS
ATTN MUTUAL FUND OPS MANAGER
60 SOUTH SIXTH STREET-P08
MINNEAPOLIS MN  55402-4400
14.02%
DELAWARE MINNESOTA HIGH YLD MUNI BOND CLASS CWELLS FARGO CLEARING SVCS LLC
SPECIAL CUSTODY ACCT FOR THE
EXCLUSIVE BENEFIT OF CUSTOMER
2801 MARKET ST
SAINT LOUIS MO 63103-2523
14.53%
DELAWARE SELECT GROWTH FUND CLASS ANATIONAL FINANCIAL SERVICES LLC
(FBO) OUR CUSTOMERS
ATTN MUTUAL FUNDS DEPARTMENT
4TH FLOOR
499 WASHINGTON BLVD
JERSEY CITY NJ  07310
9.02%
DELAWARE SELECT GROWTH FUND CLASS APERSHING LLC
1 PERSHING PLAZA
JERSEY CITY NJ  07399-0002
7.06%
DELAWARE SELECT GROWTH FUND CLASS AWELLS FARGO CLEARING SVCS LLC
SPECIAL CUSTODY ACCT FOR THE
EXCLUSIVE BENEFIT OF CUSTOMER
2801 MARKET ST
SAINT LOUIS MO 63103-2523
7.95%


DELAWARE SELECT GROWTH FUND CLASS CASCENSUS TRUST COMPANY FBO
BERKS ENGINEERING CO 401(K)
P.O. BOX 10758
FARGO, ND 58106
8.79%
DELAWARE SELECT GROWTH FUND CLASS CASCENSUS TRUST COMPANY FBO
MU MANAGEMENT LLC
P.O. BOX 10758
FARGO, ND 58106
5.84%
DELAWARE SELECT GROWTH FUND CLASS CCHARLES SCHWAB & CO INC
SPECIAL CUSTODY ACCT FBO CUSTOMERS
ATTN MUTUAL FUNDS
211 MAIN ST
SAN FRANCISCO CA  94105
10.81%
DELAWARE SELECT GROWTH FUND CLASS CLPL FINANCIAL
OMNIBUS CUSTOMER ACCOUNT
ATTN LINDSAY OTOOLE
4707 EXECUTIVE DRIVE
SAN DIEGO CA  92121
13.99%
DELAWARE SELECT GROWTH FUND CLASS CNATIONAL FINANCIAL SERVICES LLC
(FBO) OUR CUSTOMERS
ATTN MUTUAL FUNDS DEPARTMENT
4TH FLOOR
499 WASHINGTON BLVD
JERSEY CITY NJ  07310
6.53%
DELAWARE SELECT GROWTH FUND CLASS CWELLS FARGO CLEARING SVCS LLC
SPECIAL CUSTODY ACCT FOR THE
EXCLUSIVE BENEFIT OF CUSTOMER
2801 MARKET ST
SAINT LOUIS MO 63103-2523
5.37%


DELAWARE TAX-FREE ARIZONA FUND CLASS AEDWARD D JONES AND CO
FOR THE BENEFIT OF CUSTOMERS
12555 MANCHESTER ROAD
ST LOUIS MO 63131-3710
5.59%
DELAWARE TAX-FREE ARIZONA FUND CLASS AJP MORGAN SECURITIES LLC
OMNIBUS ACCOUNT FOR THE EXCLUSIVE
BENEFIT OF CUSTOMERS
4 CHASE METROTECH CENTER
3RD FLOOR MUTUAL FUND DEPARTMENT
BROOKLYN NY  11245
8.94%
DELAWARE TAX-FREE ARIZONA FUND CLASS ARAYMOND JAMES
OMNIBUS FOR MUTUAL FUNDS
ATTN COURTNEY WALLER
880 CARILLON PARKWAY
ST PETERSBURG FL  33713
6.48%
DELAWARE TAX-FREE ARIZONA FUND CLASS ARBC CAPITAL MARKETS LLC
MUTUAL FUND OMNIBUS PROCESSING
OMNIBUS
ATTN MUTUAL FUND OPS MANAGER
60 SOUTH SIXTH STREET-P08
MINNEAPOLIS MN  55402-4400
14.72%
DELAWARE TAX-FREE ARIZONA FUND CLASS AWELLS FARGO CLEARING SVCS LLC
SPECIAL CUSTODY ACCT FOR THE
EXCLUSIVE BENEFIT OF CUSTOMER
2801 MARKET ST
SAINT LOUIS MO 63103-2523
17.38%
DELAWARE TAX-FREE ARIZONA FUND CLASS CAMERICAN ENTERPRISE INVESTMENT SVC
707 2ND AVE SOUTH
MINNEAPOLIS MN  55402-2405
6.39%
DELAWARE TAX-FREE ARIZONA FUND CLASS CCHARLES SCHWAB & CO INC
SPECIAL CUSTODY ACCT FBO CUSTOMERS
ATTN MUTUAL FUNDS
211 MAIN ST
SAN FRANCISCO CA  94105
5.81%


DELAWARE TAX-FREE ARIZONA FUND CLASS CLPL FINANCIAL
OMNIBUS CUSTOMER ACCOUNT
ATTN LINDSAY OTOOLE
4707 EXECUTIVE DRIVE
SAN DIEGO CA  92121
7.90%
DELAWARE TAX-FREE ARIZONA FUND CLASS CMLPF&S FOR THE SOLE BENEFIT OF ITS
CUSTOMERS
ATTENTION: FUND ADMIN SEC
4800 DEER LAKE DRIVE EAST, 2ND FL
JACKSONVILLE FL 32246-6484
7.79%
DELAWARE TAX-FREE ARIZONA FUND CLASS CMORGAN STANLEY SMITH BARNEY LLC
FOR THE EXCLUSIVE BENEFIT OF ITS
CUSTOMERS
1 NEW YORK PLAZA FL 12
NEW YORK NY  10004-1901
5.89%
DELAWARE TAX-FREE ARIZONA FUND CLASS CPERSHING LLC
1 PERSHING PLAZA
JERSEY CITY NJ  07399-0002
13.22%
DELAWARE TAX-FREE ARIZONA FUND CLASS CUBS WM USA
SPEC CDY A/C EXL BEN CUSTOMERS
OF UBSFSI
1000 HARBOR BLVD
WEEHAWKEN, NJ  07086
7.92%
DELAWARE TAX-FREE ARIZONA FUND CLASS CWELLS FARGO CLEARING SVCS LLC
SPECIAL CUSTODY ACCT FOR THE
EXCLUSIVE BENEFIT OF CUSTOMER
2801 MARKET ST
SAINT LOUIS MO 63103-2523
42.15%
DELAWARE TAX-FREE CALIFORNIA FUND CLASS ACHARLES SCHWAB & CO INC
SPECIAL CUSTODY ACCT FBO CUSTOMERS
ATTN MUTUAL FUNDS
211 MAIN ST
SAN FRANCISCO CA  94105
5.68%


DELAWARE TAX-FREE CALIFORNIA FUND CLASS ALPL FINANCIAL
OMNIBUS CUSTOMER ACCOUNT
ATTN LINDSAY OTOOLE
4707 EXECUTIVE DRIVE
SAN DIEGO CA  92121
6.02%
DELAWARE TAX-FREE CALIFORNIA FUND CLASS AMLPF&S FOR THE SOLE BENEFIT OF ITS
CUSTOMERS
ATTENTION: FUND ADMIN SEC
4800 DEER LAKE DRIVE EAST, 2ND FL
JACKSONVILLE FL 32246-6484
5.83%
DELAWARE TAX-FREE CALIFORNIA FUND CLASS AMORGAN STANLEY SMITH BARNEY LLC
FOR THE EXCLUSIVE BENEFIT OF ITS
CUSTOMERS
1 NEW YORK PLAZA FL 12
NEW YORK NY  10004-1901
9.13%
DELAWARE TAX-FREE CALIFORNIA FUND CLASS ANATIONAL FINANCIAL SERVICES LLC
(FBO) OUR CUSTOMERS
ATTN MUTUAL FUNDS DEPARTMENT
4TH FLOOR
499 WASHINGTON BLVD
JERSEY CITY NJ  07310
8.21%
DELAWARE TAX-FREE CALIFORNIA FUND CLASS AUBS WM USA
SPEC CDY A/C EXL BEN CUSTOMERS
OF UBSFSI
1000 HARBOR BLVD
WEEHAWKEN, NJ  07086
10.42%
DELAWARE TAX-FREE CALIFORNIA FUND CLASS AWELLS FARGO CLEARING SVCS LLC
SPECIAL CUSTODY ACCT FOR THE
EXCLUSIVE BENEFIT OF CUSTOMER
2801 MARKET ST
SAINT LOUIS MO 63103-2523
11.07%
DELAWARE TAX-FREE CALIFORNIA FUND CLASS CAMERICAN ENTERPRISE INVESTMENT SVC
707 2ND AVE SOUTH
MINNEAPOLIS MN  55402-2405
10.93%


DELAWARE TAX-FREE CALIFORNIA FUND CLASS CLAWRENCE H & BETTE N NAKAYAMA TTEES
NAKAYAMA FAMILY TRUST
U/A DTD 05/20/1995
853 E GLADWICK ST
CARSON CA  90746-3818
5.41%
DELAWARE TAX-FREE CALIFORNIA FUND CLASS CLPL FINANCIAL
OMNIBUS CUSTOMER ACCOUNT
ATTN LINDSAY OTOOLE
4707 EXECUTIVE DRIVE
SAN DIEGO CA  92121
8.05%
DELAWARE TAX-FREE CALIFORNIA FUND CLASS CMLPF&S FOR THE SOLE BENEFIT OF ITS
CUSTOMERS
ATTENTION: FUND ADMIN SEC
4800 DEER LAKE DRIVE EAST, 2ND FL
JACKSONVILLE FL 32246-6484
6.20%
DELAWARE TAX-FREE CALIFORNIA FUND CLASS CMORGAN STANLEY SMITH BARNEY LLC
FOR THE EXCLUSIVE BENEFIT OF ITS
CUSTOMERS
1 NEW YORK PLAZA FL 12
NEW YORK NY  10004-1901
27.00%
DELAWARE TAX-FREE CALIFORNIA FUND CLASS CUBS WM USA
SPEC CDY A/C EXL BEN CUSTOMERS
OF UBSFSI
1000 HARBOR BLVD
WEEHAWKEN, NJ  07086
9.46%
DELAWARE TAX-FREE CALIFORNIA FUND CLASS CWELLS FARGO CLEARING SVCS LLC
SPECIAL CUSTODY ACCT FOR THE
EXCLUSIVE BENEFIT OF CUSTOMER
2801 MARKET ST
SAINT LOUIS MO 63103-2523
21.34%
DELAWARE TAX-FREE COLORADO FUND CLASS ACHARLES SCHWAB & CO INC
SPECIAL CUSTODY ACCT FBO CUSTOMERS
ATTN MUTUAL FUNDS
211 MAIN ST
SAN FRANCISCO CA  94105
8.82%


DELAWARE TAX-FREE COLORADO FUND CLASS AEDWARD D JONES AND CO
FOR THE BENEFIT OF CUSTOMERS
12555 MANCHESTER ROAD
ST LOUIS MO 63131-3710
6.24%
DELAWARE TAX-FREE COLORADO FUND CLASS AJP MORGAN SECURITIES LLC
OMNIBUS ACCOUNT FOR THE EXCLUSIVE
BENEFIT OF CUSTOMERS
4 CHASE METROTECH CENTER
3RD FLOOR MUTUAL FUND DEPARTMENT
BROOKLYN NY  11245
5.10%
DELAWARE TAX-FREE COLORADO FUND CLASS ALPL FINANCIAL
OMNIBUS CUSTOMER ACCOUNT
ATTN LINDSAY OTOOLE
4707 EXECUTIVE DRIVE
SAN DIEGO CA  92121
5.39%
DELAWARE TAX-FREE COLORADO FUND CLASS AWELLS FARGO CLEARING SVCS LLC
SPECIAL CUSTODY ACCT FOR THE
EXCLUSIVE BENEFIT OF CUSTOMER
2801 MARKET ST
SAINT LOUIS MO 63103-2523
15.65%
DELAWARE TAX-FREE COLORADO FUND CLASS CAMERICAN ENTERPRISE INVESTMENT SVC
707 2ND AVE SOUTH
MINNEAPOLIS MN  55402-2405
13.92%
DELAWARE TAX-FREE COLORADO FUND CLASS CJP MORGAN SECURITIES LLC
OMNIBUS ACCOUNT FOR THE EXCLUSIVE
BENEFIT OF CUSTOMERS
4 CHASE METROTECH CENTER
3RD FLOOR MUTUAL FUND DEPARTMENT
BROOKLYN NY  11245
10.00%
DELAWARE TAX-FREE COLORADO FUND CLASS CLPL FINANCIAL
OMNIBUS CUSTOMER ACCOUNT
ATTN LINDSAY OTOOLE
4707 EXECUTIVE DRIVE
SAN DIEGO CA  92121
8.07%


DELAWARE TAX-FREE COLORADO FUND CLASS CMORGAN STANLEY SMITH BARNEY LLC
FOR THE EXCLUSIVE BENEFIT OF ITS
CUSTOMERS
1 NEW YORK PLAZA FL 12
NEW YORK NY  10004-1901
12.70%
DELAWARE TAX-FREE COLORADO FUND CLASS CRAYMOND JAMES
OMNIBUS FOR MUTUAL FUNDS
ATTN COURTNEY WALLER
880 CARILLON PARKWAY
ST PETERSBURG FL  33713
18.26%
DELAWARE TAX-FREE COLORADO FUND CLASS CUBS WM USA
SPEC CDY A/C EXL BEN CUSTOMERS
OF UBSFSI
1000 HARBOR BLVD
WEEHAWKEN, NJ  07086
10.40%
DELAWARE TAX-FREE COLORADO FUND CLASS CWELLS FARGO CLEARING SVCS LLC
SPECIAL CUSTODY ACCT FOR THE
EXCLUSIVE BENEFIT OF CUSTOMER
2801 MARKET ST
SAINT LOUIS MO 63103-2523
15.98%
DELAWARE TAX-FREE IDAHO FUND CLASS ACHARLES SCHWAB & CO INC
SPECIAL CUSTODY ACCT FBO CUSTOMERS
ATTN MUTUAL FUNDS
211 MAIN ST
SAN FRANCISCO CA  94105
18.45%
DELAWARE TAX-FREE IDAHO FUND CLASS AEDWARD D JONES AND CO
FOR THE BENEFIT OF CUSTOMERS
12555 MANCHESTER ROAD
ST LOUIS MO 63131-3710
19.12%
DELAWARE TAX-FREE IDAHO FUND CLASS ALPL FINANCIAL
OMNIBUS CUSTOMER ACCOUNT
ATTN LINDSAY OTOOLE
4707 EXECUTIVE DRIVE
SAN DIEGO CA  92121
5.13%


DELAWARE TAX-FREE IDAHO FUND CLASS AMLPF&S FOR THE SOLE BENEFIT OF ITS
CUSTOMERS
ATTENTION: FUND ADMIN SEC
4800 DEER LAKE DRIVE EAST, 2ND FL
JACKSONVILLE FL 32246-6484
5.99%
DELAWARE TAX-FREE IDAHO FUND CLASS AMORGAN STANLEY SMITH BARNEY LLC
FOR THE EXCLUSIVE BENEFIT OF ITS
CUSTOMERS
1 NEW YORK PLAZA FL 12
NEW YORK NY  10004-1901
5.26%
DELAWARE TAX-FREE IDAHO FUND CLASS AWELLS FARGO CLEARING SVCS LLC
SPECIAL CUSTODY ACCT FOR THE
EXCLUSIVE BENEFIT OF CUSTOMER
2801 MARKET ST
SAINT LOUIS MO 63103-2523
21.60%
DELAWARE TAX-FREE IDAHO FUND CLASS CCHARLES SCHWAB & CO INC
SPECIAL CUSTODY ACCT FBO CUSTOMERS
ATTN MUTUAL FUNDS
211 MAIN ST
SAN FRANCISCO CA  94105
9.10%
DELAWARE TAX-FREE IDAHO FUND CLASS CEDWARD D JONES AND CO
FOR THE BENEFIT OF CUSTOMERS
12555 MANCHESTER ROAD
ST LOUIS MO 63131-3710
5.16%
DELAWARE TAX-FREE IDAHO FUND CLASS CLPL FINANCIAL
OMNIBUS CUSTOMER ACCOUNT
ATTN LINDSAY OTOOLE
4707 EXECUTIVE DRIVE
SAN DIEGO CA  92121
13.46%
DELAWARE TAX-FREE IDAHO FUND CLASS CPERSHING LLC
1 PERSHING PLAZA
JERSEY CITY NJ  07399-0002
9.04%


DELAWARE TAX-FREE IDAHO FUND CLASS CRBC CAPITAL MARKETS LLC
MUTUAL FUND OMNIBUS PROCESSING
OMNIBUS
ATTN MUTUAL FUND OPS MANAGER
60 SOUTH SIXTH STREET-P08
MINNEAPOLIS MN  55402-4400
10.31%
DELAWARE TAX-FREE IDAHO FUND CLASS CWELLS FARGO CLEARING SVCS LLC
SPECIAL CUSTODY ACCT FOR THE
EXCLUSIVE BENEFIT OF CUSTOMER
2801 MARKET ST
SAINT LOUIS MO 63103-2523
42.67%
DELAWARE TAX-FREE NEW YORK FUND CLASS IAMERICAN ENTERPRISE INVESTMENT SVC
707 2ND AVE SOUTH
MINNEAPOLIS MN  55402-2405
23.07%
DELAWARE TAX-FREE NEW YORK FUND CLASS ICHARLES SCHWAB & CO INC
SPECIAL CUSTODY ACCT FBO CUSTOMERS
ATTN MUTUAL FUNDS
211 MAIN ST
SAN FRANCISCO CA  94105
8.65%
DELAWARE TAX-FREE NEW YORK FUND CLASS ILPL FINANCIAL
OMNIBUS CUSTOMER ACCOUNT
ATTN LINDSAY OTOOLE
4707 EXECUTIVE DRIVE
SAN DIEGO CA  92121
22.21%
DELAWARE TAX-FREE NEW YORK FUND CLASS IMLPF&S FOR THE SOLE BENEFIT OF ITS
CUSTOMERS
ATTENTION: FUND ADMIN SEC
4800 DEER LAKE DRIVE EAST, 2ND FL
JACKSONVILLE FL 32246-6484
13.52%
DELAWARE TAX-FREE NEW YORK FUND CLASS IMORGAN STANLEY SMITH BARNEY LLC
FOR THE EXCLUSIVE BENEFIT OF ITS
CUSTOMERS
1 NEW YORK PLAZA FL 12
NEW YORK NY  10004-1901
5.47%


DELAWARE TAX-FREE NEW YORK FUND CLASS IPERSHING LLC
1 PERSHING PLAZA
JERSEY CITY NJ  07399-0002
5.64%
DELAWARE TAX-FREE NEW YORK FUND CLASS IUBS WM USA
SPEC CDY A/C EXL BEN CUSTOMERS
OF UBSFSI
1000 HARBOR BLVD
WEEHAWKEN, NJ  07086
12.21%
DELAWARE TAX-FREE NEW YORK FUND CLASS ACHARLES SCHWAB & CO INC
SPECIAL CUSTODY ACCT FBO CUSTOMERS
ATTN MUTUAL FUNDS
211 MAIN ST
SAN FRANCISCO CA  94105
5.37%
DELAWARE TAX-FREE NEW YORK FUND CLASS AMLPF&S FOR THE SOLE BENEFIT OF ITS
CUSTOMERS
ATTENTION: FUND ADMIN SEC
4800 DEER LAKE DRIVE EAST, 2ND FL
JACKSONVILLE FL 32246-6484
6.98%
DELAWARE TAX-FREE NEW YORK FUND CLASS CCHARLES SCHWAB & CO INC
SPECIAL CUSTODY ACCT FBO CUSTOMERS
ATTN MUTUAL FUNDS
211 MAIN ST
SAN FRANCISCO CA  94105
11.70%
DELAWARE TAX-FREE NEW YORK FUND CLASS CJP MORGAN SECURITIES LLC
OMNIBUS ACCOUNT FOR THE EXCLUSIVE
BENEFIT OF CUSTOMERS
4 CHASE METROTECH CENTER
3RD FLOOR MUTUAL FUND DEPARTMENT
BROOKLYN NY  11245
5.20%
DELAWARE TAX-FREE NEW YORK FUND CLASS CMLPF&S FOR THE SOLE BENEFIT OF ITS
CUSTOMERS
ATTENTION: FUND ADMIN SEC
4800 DEER LAKE DRIVE EAST, 2ND FL
JACKSONVILLE FL 32246-6484
38.41%


DELAWARE TAX-FREE NEW YORK FUND CLASS CMORGAN STANLEY SMITH BARNEY LLC
FOR THE EXCLUSIVE BENEFIT OF ITS
CUSTOMERS
1 NEW YORK PLAZA FL 12
NEW YORK NY  10004-1901
9.41%
DELAWARE TAX-FREE NEW YORK FUND CLASS CNATIONAL FINANCIAL SERVICES LLC
(FBO) OUR CUSTOMERS
ATTN MUTUAL FUNDS DEPARTMENT
4TH FLOOR
499 WASHINGTON BLVD
JERSEY CITY NJ  07310
7.53%
DELAWARE TAX-FREE NEW YORK FUND CLASS CWELLS FARGO CLEARING SVCS LLC
SPECIAL CUSTODY ACCT FOR THE
EXCLUSIVE BENEFIT OF CUSTOMER
2801 MARKET ST
SAINT LOUIS MO 63103-2523
12.83%
DELAWARE NATIONAL HIGH YIELD MUNI BOND CLASS AAMERICAN ENTERPRISE INVESTMENT SVC
707 2ND AVE SOUTH
MINNEAPOLIS MN  55402-2405
7.71%
DELAWARE NATIONAL HIGH YIELD MUNI BOND CLASS ACHARLES SCHWAB & CO INC
SPECIAL CUSTODY ACCT FBO CUSTOMERS
ATTN MUTUAL FUNDS
211 MAIN ST
SAN FRANCISCO CA  94105
9.17%
DELAWARE NATIONAL HIGH YIELD MUNI BOND CLASS AMLPF&S FOR THE SOLE BENEFIT OF ITS
CUSTOMERS
ATTENTION: FUND ADMIN SEC
4800 DEER LAKE DRIVE EAST, 2ND FL
JACKSONVILLE FL 32246-6484
14.99%


DELAWARE NATIONAL HIGH YIELD MUNI BOND CLASS AMORGAN STANLEY SMITH BARNEY LLC
FOR THE EXCLUSIVE BENEFIT OF ITS
CUSTOMERS
1 NEW YORK PLAZA FL 12
NEW YORK NY  10004-1901
14.64%
DELAWARE NATIONAL HIGH YIELD MUNI BOND CLASS AUBS WM USA
SPEC CDY A/C EXL BEN CUSTOMERS
OF UBSFSI
1000 HARBOR BLVD
WEEHAWKEN, NJ  07086
8.48%
DELAWARE NATIONAL HIGH YIELD MUNI BOND CLASS AWELLS FARGO CLEARING SVCS LLC
SPECIAL CUSTODY ACCT FOR THE
EXCLUSIVE BENEFIT OF CUSTOMER
2801 MARKET ST
SAINT LOUIS MO 63103-2523
12.82%
DELAWARE NATIONAL HIGH YIELD MUNI BOND CLASS CAMERICAN ENTERPRISE INVESTMENT SVC
707 2ND AVE SOUTH
MINNEAPOLIS MN  55402-2405
14.82%
DELAWARE NATIONAL HIGH YIELD MUNI BOND CLASS CCHARLES SCHWAB & CO INC
SPECIAL CUSTODY ACCT FBO CUSTOMERS
ATTN MUTUAL FUNDS
211 MAIN ST
SAN FRANCISCO CA  94105
15.08%
DELAWARE NATIONAL HIGH YIELD MUNI BOND CLASS CMLPF&S FOR THE SOLE BENEFIT OF ITS
CUSTOMERS
ATTENTION: FUND ADMIN SEC
4800 DEER LAKE DRIVE EAST, 2ND FL
JACKSONVILLE FL 32246-6484
7.62%
DELAWARE NATIONAL HIGH YIELD MUNI BOND CLASS CMORGAN STANLEY SMITH BARNEY LLC
FOR THE EXCLUSIVE BENEFIT OF ITS
CUSTOMERS
1 NEW YORK PLAZA FL 12
NEW YORK NY  10004-1901
11.44%


DELAWARE NATIONAL HIGH YIELD MUNI BOND CLASS CPERSHING LLC
1 PERSHING PLAZA
JERSEY CITY NJ  07399-0002
5.83%
DELAWARE NATIONAL HIGH YIELD MUNI BOND CLASS CRAYMOND JAMES
OMNIBUS FOR MUTUAL FUNDS
ATTN COURTNEY WALLER
880 CARILLON PARKWAY
ST PETERSBURG FL  33713
5.42%
DELAWARE NATIONAL HIGH YIELD MUNI BOND CLASS CUBS WM USA
SPEC CDY A/C EXL BEN CUSTOMERS
OF UBSFSI
1000 HARBOR BLVD
WEEHAWKEN, NJ  07086
9.53%
DELAWARE NATIONAL HIGH YIELD MUNI BOND CLASS CWELLS FARGO CLEARING SVCS LLC
SPECIAL CUSTODY ACCT FOR THE
EXCLUSIVE BENEFIT OF CUSTOMER
2801 MARKET ST
SAINT LOUIS MO 63103-2523
17.53%
DELAWARE SELECT GROWTH FUND CLASS ICHARLES SCHWAB & CO INC
SPEC CUSTODY ACCT FOR THE EXCL
BNFT OF CUSTS ATTN MUT FDS
211 MAIN ST
SAN FRANCISCO CA  94105-1905
5.14%
DELAWARE SELECT GROWTH FUND CLASS ICHARLES SCHWAB & CO INC
SPECIAL CUSTODY ACCT FBO CUSTOMERS
ATTN MUTUAL FUNDS
211 MAIN ST
SAN FRANCISCO CA  94105
9.50%
DELAWARE SELECT GROWTH FUND CLASS IGREAT-WEST TRUST COMPANY LLC TTEE
EMPLOYEE BENEFITS CLIENTS 401K
8515 E ORCHARD RD 2T2
GREENWOOD VILLAGE CO 80111
13.59%


DELAWARE SELECT GROWTH FUND CLASS ILPL FINANCIAL
OMNIBUS CUSTOMER ACCOUNT
ATTN LINDSAY OTOOLE
4707 EXECUTIVE DRIVE
SAN DIEGO CA  92121
5.07%
DELAWARE SELECT GROWTH FUND CLASS IMORGAN STANLEY SMITH BARNEY LLC
FOR THE EXCLUSIVE BENEFIT OF ITS
CUSTOMERS
1 NEW YORK PLAZA FL 12
NEW YORK NY  10004-1901
7.28%
DELAWARE SELECT GROWTH FUND CLASS INATIONAL FINANCIAL SERVICES LLC
(FBO) OUR CUSTOMERS
ATTN MUTUAL FUNDS DEPARTMENT
4TH FLOOR
499 WASHINGTON BLVD
JERSEY CITY NJ  07310
9.11%
DELAWARE SELECT GROWTH FUND CLASS IRAYMOND JAMES
OMNIBUS FOR MUTUAL FUNDS
ATTN COURTNEY WALLER
880 CARILLON PARKWAY
ST PETERSBURG FL  33713
5.44%
DELAWARE SELECT GROWTH FUND CLASS IUBS WM USA
SPEC CDY A/C EXL BEN CUSTOMERS
OF UBSFSI
1000 HARBOR BLVD
WEEHAWKEN, NJ  07086
5.94%
DELAWARE SELECT GROWTH FUND CLASS IWELLS FARGO CLEARING SVCS LLC
SPECIAL CUSTODY ACCT FOR THE
EXCLUSIVE BENEFIT OF CUSTOMER
2801 MARKET ST
SAINT LOUIS MO 63103-2523
16.54%
DELAWARE STRATEGIC ALLOCATION FUND CLASS CAMERICAN ENTERPRISE INVESTMENT SVC
707 2ND AVE SOUTH
MINNEAPOLIS MN  55402-2405
17.76%


DELAWARE STRATEGIC ALLOCATION FUND CLASS CLPL FINANCIAL
OMNIBUS CUSTOMER ACCOUNT
ATTN LINDSAY OTOOLE
4707 EXECUTIVE DRIVE
SAN DIEGO CA  92121
13.84%
DELAWARE STRATEGIC ALLOCATION FUND CLASS CNATIONAL FINANCIAL SERVICES LLC
(FBO) OUR CUSTOMERS
ATTN MUTUAL FUNDS DEPARTMENT
4TH FLOOR
499 WASHINGTON BLVD
JERSEY CITY NJ  07310
7.89%
DELAWARE STRATEGIC ALLOCATION FUND CLASS CPERSHING LLC
1 PERSHING PLAZA
JERSEY CITY NJ  07399-0002
6.75%
DELAWARE STRATEGIC ALLOCATION FUND CLASS CWELLS FARGO CLEARING SVCS LLC
SPECIAL CUSTODY ACCT FOR THE
EXCLUSIVE BENEFIT OF CUSTOMER
2801 MARKET ST
SAINT LOUIS MO 63103-2523
7.45%
DELAWARE STRATEGIC ALLOCATION FUND CLASS IBOND STREET CUSTODIANS LIMITED
ACF MACQUARIE ASSET MANAGEMENT
HOLDINGS P/L
MACQUARIE BANK C/O INTERNATIONAL
OPERATION SHELLEY STREET NO 1
SYDNEY NSW 2000 AUSTRALIA
27.73%
DELAWARE STRATEGIC ALLOCATION FUND CLASS IBOND STREET CUSTODIANS LIMITED
ACF MACQUARIE ASSET MANAGEMENT
HOLDINGS P/L
MACQUARIE BANK C/O INTERNATIONAL
OPERATION SHELLEY STREET NO 1
SYDNEY NSW 2000 AUSTRALIA
8.52%


DELAWARE STRATEGIC ALLOCATION FUND CLASS ILINCOLN RETIREMENT SERVICES CO
LINCOLN RETIREMENT SERVICES COMPANY
FBO MMH INC EMPLOYEES SAV AND 401K
P.O. BOX 7876
FORT WAYNE IN  46801-7876
22.79%
DELAWARE STRATEGIC ALLOCATION FUND CLASS ILINCOLN RETIREMENT SERVICES COMPANY
FBO MMH INC RETIREMENT PLAN
P.O. BOX 7876
FORT WAYNE IN  46801-7876
15.12%
DELAWARE VALUE FUND CLASS AMLPF&S FOR THE SOLE BENEFIT OF ITS
CUSTOMERS
ATTENTION: FUND ADMIN SEC
4800 DEER LAKE DRIVE EAST, 2ND FL
JACKSONVILLE FL 32246-6484
18.56%
DELAWARE VALUE FUND CLASS AMORGAN STANLEY SMITH BARNEY LLC
FOR THE EXCLUSIVE BENEFIT OF ITS
CUSTOMERS
1 NEW YORK PLAZA FL 12
NEW YORK NY  10004-1901
6.40%
DELAWARE VALUE FUND CLASS ANATIONAL FINANCIAL SERVICES LLC
(FBO) OUR CUSTOMERS
ATTN MUTUAL FUNDS DEPARTMENT
4TH FLOOR
499 WASHINGTON BLVD
JERSEY CITY NJ  07310
6.06%
DELAWARE VALUE FUND CLASS AWELLS FARGO CLEARING SVCS LLC
SPECIAL CUSTODY ACCT FOR THE
EXCLUSIVE BENEFIT OF CUSTOMER
2801 MARKET ST
SAINT LOUIS MO 63103-2523
5.62%


DELAWARE VALUE FUND CLASS CAMERICAN ENTERPRISE INVESTMENT SVC
707 2ND AVE SOUTH
MINNEAPOLIS MN  55402-2405
8.41%
DELAWARE VALUE FUND CLASS CCHARLES SCHWAB & CO INC
SPECIAL CUSTODY ACCT FBO CUSTOMERS
ATTN MUTUAL FUNDS
211 MAIN ST
SAN FRANCISCO CA  94105
5.81%
DELAWARE VALUE FUND CLASS CMLPF&S FOR THE SOLE BENEFIT OF ITS
CUSTOMERS
ATTENTION: FUND ADMIN SEC
4800 DEER LAKE DRIVE EAST, 2ND FL
JACKSONVILLE FL 32246-6484
14.11%
DELAWARE VALUE FUND CLASS CMORGAN STANLEY SMITH BARNEY LLC
FOR THE EXCLUSIVE BENEFIT OF ITS
CUSTOMERS
1 NEW YORK PLAZA FL 12
NEW YORK NY  10004-1901
15.60%
DELAWARE VALUE FUND CLASS CNATIONAL FINANCIAL SERVICES LLC
(FBO) OUR CUSTOMERS
ATTN MUTUAL FUNDS DEPARTMENT
4TH FLOOR
499 WASHINGTON BLVD
JERSEY CITY NJ  07310
7.32%
DELAWARE VALUE FUND CLASS CPERSHING LLC
1 PERSHING PLAZA
JERSEY CITY NJ  07399-0002
7.43%
DELAWARE VALUE FUND CLASS CRAYMOND JAMES
OMNIBUS FOR MUTUAL FUNDS
ATTN COURTNEY WALLER
880 CARILLON PARKWAY
ST PETERSBURG FL  33713
6.26%


DELAWARE VALUE FUND CLASS CUBS WM USA
SPEC CDY A/C EXL BEN CUSTOMERS
OF UBSFSI
1000 HARBOR BLVD
WEEHAWKEN, NJ  07086
6.61%
DELAWARE VALUE FUND CLASS CWELLS FARGO CLEARING SVCS LLC
SPECIAL CUSTODY ACCT FOR THE
EXCLUSIVE BENEFIT OF CUSTOMER
2801 MARKET ST
SAINT LOUIS MO 63103-2523
18.52%
DELAWARE VALUE FUND CLASS IMLPF&S FOR THE SOLE BENEFIT OF ITS
CUSTOMERS
ATTENTION: FUND ADMIN SEC
4800 DEER LAKE DRIVE EAST, 2ND FL
JACKSONVILLE FL 32246-6484
13.35%
DELAWARE VALUE FUND CLASS IMORGAN STANLEY SMITH BARNEY LLC
FOR THE EXCLUSIVE BENEFIT OF ITS
CUSTOMERS
1 NEW YORK PLAZA FL 12
NEW YORK NY  10004-1901
12.60%
DELAWARE VALUE FUND CLASS INATIONAL FINANCIAL SERVICES LLC
(FBO) OUR CUSTOMERS
ATTN MUTUAL FUNDS DEPARTMENT
4TH FLOOR
499 WASHINGTON BLVD
JERSEY CITY NJ  07310
16.79%
DELAWARE VALUE FUND CLASS IWELLS FARGO CLEARING SVCS LLC
SPECIAL CUSTODY ACCT FOR THE
EXCLUSIVE BENEFIT OF CUSTOMER
2801 MARKET ST
SAINT LOUIS MO 63103-2523
17.25%


DELAWARE CORPORATE BOND FUND CLASS AMATRIX TRUST COMPANY CUST. FBO
PEN SERV DELAWARE/FORESTERS
717 17TH STREET
SUITE 1300
DENVER CO 80202
9.29%
DELAWARE CORPORATE BOND FUND CLASS AMLPF&S FOR THE SOLE BENEFIT OF ITS
CUSTOMERS
ATTENTION: FUND ADMIN SEC
4800 DEER LAKE DRIVE EAST, 2ND FL
JACKSONVILLE FL 32246-6484
8.95%
DELAWARE CORPORATE BOND FUND CLASS ANATIONAL FINANCIAL SERVICES LLC
(FBO) OUR CUSTOMERS
ATTN MUTUAL FUNDS DEPARTMENT
4TH FLOOR
499 WASHINGTON BLVD
JERSEY CITY NJ  07310
7.63%
DELAWARE CORPORATE BOND FUND CLASS CAMERICAN ENTERPRISE INVESTMENT SVC
707 2ND AVE SOUTH
MINNEAPOLIS MN  55402-2405
8.35%
DELAWARE CORPORATE BOND FUND CLASS CCHARLES SCHWAB & CO INC
SPECIAL CUSTODY ACCT FBO CUSTOMERS
ATTN MUTUAL FUNDS
211 MAIN ST
SAN FRANCISCO CA  94105
8.07%
DELAWARE CORPORATE BOND FUND CLASS CMLPF&S FOR THE SOLE BENEFIT OF ITS
CUSTOMERS
ATTENTION: FUND ADMIN SEC
4800 DEER LAKE DRIVE EAST, 2ND FL
JACKSONVILLE FL 32246-6484
27.05%
DELAWARE CORPORATE BOND FUND CLASS CMORGAN STANLEY SMITH BARNEY LLC
FOR THE EXCLUSIVE BENEFIT OF ITS
CUSTOMERS
1 NEW YORK PLAZA FL 12
NEW YORK NY  10004-1901
6.15%


DELAWARE CORPORATE BOND FUND CLASS CPERSHING LLC
1 PERSHING PLAZA
JERSEY CITY NJ  07399-0002
8.70%
DELAWARE CORPORATE BOND FUND CLASS CRAYMOND JAMES
OMNIBUS FOR MUTUAL FUNDS
ATTN COURTNEY WALLER
880 CARILLON PARKWAY
ST PETERSBURG FL  33713
7.63%
DELAWARE CORPORATE BOND FUND CLASS CWELLS FARGO CLEARING SVCS LLC
SPECIAL CUSTODY ACCT FOR THE
EXCLUSIVE BENEFIT OF CUSTOMER
2801 MARKET ST
SAINT LOUIS MO 63103-2523
15.54%
DELAWARE CORPORATE BOND FUND CLASS IAMERICAN ENTERPRISE INVESTMENT SVC
707 2ND AVE SOUTH
MINNEAPOLIS MN  55402-2405
7.85%
DELAWARE CORPORATE BOND FUND CLASS ICHARLES SCHWAB & CO INC
SPECIAL CUSTODY ACCT FBO CUSTOMERS
ATTN MUTUAL FUNDS
211 MAIN ST
SAN FRANCISCO CA  94105
7.80%
DELAWARE CORPORATE BOND FUND CLASS IMLPF&S FOR THE SOLE BENEFIT OF ITS
CUSTOMERS
ATTENTION: FUND ADMIN SEC
4800 DEER LAKE DRIVE EAST, 2ND FL
JACKSONVILLE FL 32246-6484
42.73%
DELAWARE CORPORATE BOND FUND CLASS INATIONAL FINANCIAL SERVICES LLC
(FBO) OUR CUSTOMERS
ATTN MUTUAL FUNDS DEPARTMENT
4TH FLOOR
499 WASHINGTON BLVD
JERSEY CITY NJ  07310
9.78%


DELAWARE CORPORATE BOND FUND CLASS IUBS WM USA
SPEC CDY A/C EXL BEN CUSTOMERS
OF UBSFSI
1000 HARBOR BLVD
WEEHAWKEN, NJ  07086
6.14%
DELAWARE CORPORATE BOND FUND CLASS IWELLS FARGO CLEARING SVCS LLC
SPECIAL CUSTODY ACCT FOR THE
EXCLUSIVE BENEFIT OF CUSTOMER
2801 MARKET ST
SAINT LOUIS MO 63103-2523
9.13%
DELAWARE EXTENDED DURATION BOND FUND CLASS AFIRST STATE TRUST COMPANY
DELAWARE CORPORATE CENTER I
1 RIGHTER PARKWAY  SUITE 120
WLIMINGTON DE 19803
16.48%
DELAWARE EXTENDED DURATION BOND FUND CLASS AMLPF&S FOR THE SOLE BENEFIT OF ITS
CUSTOMERS
ATTENTION: FUND ADMIN SEC
4800 DEER LAKE DRIVE EAST, 2ND FL
JACKSONVILLE FL 32246-6484
10.39%
DELAWARE EXTENDED DURATION BOND FUND CLASS ANATIONAL FINANCIAL SERVICES LLC
(FBO) OUR CUSTOMERS
ATTN MUTUAL FUNDS DEPARTMENT
4TH FLOOR
499 WASHINGTON BLVD
JERSEY CITY NJ  07310
18.27%
DELAWARE EXTENDED DURATION BOND FUND CLASS APERSHING LLC
1 PERSHING PLAZA
JERSEY CITY NJ  07399-0002
5.84%
DELAWARE EXTENDED DURATION BOND FUND CLASS CAMERICAN ENTERPRISE INVESTMENT SVC
707 2ND AVE SOUTH
MINNEAPOLIS MN  55402-2405
16.48%


DELAWARE EXTENDED DURATION BOND FUND CLASS CLPL FINANCIAL
OMNIBUS CUSTOMER ACCOUNT
ATTN LINDSAY OTOOLE
4707 EXECUTIVE DRIVE
SAN DIEGO CA  92121
13.18%
DELAWARE EXTENDED DURATION BOND FUND CLASS CMLPF&S FOR THE SOLE BENEFIT OF ITS
CUSTOMERS
ATTENTION: FUND ADMIN SEC
4800 DEER LAKE DRIVE EAST, 2ND FL
JACKSONVILLE FL 32246-6484
8.96%
DELAWARE EXTENDED DURATION BOND FUND CLASS CMORGAN STANLEY SMITH BARNEY LLC
FOR THE EXCLUSIVE BENEFIT OF ITS
CUSTOMERS
1 NEW YORK PLAZA FL 12
NEW YORK NY  10004-1901
7.48%
DELAWARE EXTENDED DURATION BOND FUND CLASS CNATIONAL FINANCIAL SERVICES LLC
(FBO) OUR CUSTOMERS
ATTN MUTUAL FUNDS DEPARTMENT
4TH FLOOR
499 WASHINGTON BLVD
JERSEY CITY NJ  07310
15.87%
DELAWARE EXTENDED DURATION BOND FUND CLASS CPERSHING LLC
1 PERSHING PLAZA
JERSEY CITY NJ  07399-0002
10.22%
DELAWARE EXTENDED DURATION BOND FUND CLASS CWELLS FARGO CLEARING SVCS LLC
SPECIAL CUSTODY ACCT FOR THE
EXCLUSIVE BENEFIT OF CUSTOMER
2801 MARKET ST
SAINT LOUIS MO 63103-2523
13.63%
DELAWARE EXTENDED DURATION BOND FUND CLASS IAMERICAN ENTERPRISE INVESTMENT SVC
707 2ND AVE SOUTH
MINNEAPOLIS MN  55402-2405
5.43%


DELAWARE EXTENDED DURATION BOND FUND CLASS IDCGT AS TTEE AND/OR CUST
FBO PLIC VARIOUS RETIREMENT PLANS
OMNIBUS
ATTN NPIO TRADE DESK
711 HIGH STREET
DES MOINES, IA 50392
14.34%
DELAWARE EXTENDED DURATION BOND FUND CLASS IMASSACHUSETTS MUTUAL LIFE INS CO
1295 STATE STREET
MIP C105
SPRINGFIELD MA 01111-0001
8.75%
DELAWARE EXTENDED DURATION BOND FUND CLASS INATIONAL FINANCIAL SERVICES LLC
(FBO) OUR CUSTOMERS
ATTN MUTUAL FUNDS DEPARTMENT
4TH FLOOR
499 WASHINGTON BLVD
JERSEY CITY NJ  07310
28.51%
DELAWARE EXTENDED DURATION BOND FUND CLASS IPERSHING LLC
1 PERSHING PLAZA
JERSEY CITY NJ  07399-0002
5.18%
DELAWARE EXTENDED DURATION BOND FUND CLASS IWELLS FARGO CLEARING SVCS LLC
SPECIAL CUSTODY ACCT FOR THE
EXCLUSIVE BENEFIT OF CUSTOMER
2801 MARKET ST
SAINT LOUIS MO 63103-2523
6.79%
DELAWARE SMALL CAP CORE FUND CLASS ACHARLES SCHWAB & CO INC
SPECIAL CUSTODY ACCT FBO CUSTOMERS
ATTN MUTUAL FUNDS
211 MAIN ST
SAN FRANCISCO CA  94105
6.41%
DELAWARE SMALL CAP CORE FUND CLASS AGREAT-WEST TRUST COMPANY LLC TTEE
EMPLOYEE BENEFITS CLIENTS 401K
8515 E ORCHARD RD 2T2
GREENWOOD VILLAGE CO 80111
6.00%


DELAWARE SMALL CAP CORE FUND CLASS AMLPF&S FOR THE SOLE BENEFIT OF ITS
CUSTOMERS
ATTENTION: FUND ADMIN SEC
4800 DEER LAKE DRIVE EAST, 2ND FL
JACKSONVILLE FL 32246-6484
22.35%
DELAWARE SMALL CAP CORE FUND CLASS ARAYMOND JAMES
OMNIBUS FOR MUTUAL FUNDS
ATTN COURTNEY WALLER
880 CARILLON PARKWAY
ST PETERSBURG FL  33713
10.15%
DELAWARE SMALL CAP CORE FUND CLASS CAMERICAN ENTERPRISE INVESTMENT SVC
707 2ND AVE SOUTH
MINNEAPOLIS MN  55402-2405
12.78%
DELAWARE SMALL CAP CORE FUND CLASS CCHARLES SCHWAB & CO INC
SPECIAL CUSTODY ACCT FBO CUSTOMERS
ATTN MUTUAL FUNDS
211 MAIN ST
SAN FRANCISCO CA  94105
6.24%
DELAWARE SMALL CAP CORE FUND CLASS CMLPF&S FOR THE SOLE BENEFIT OF ITS
CUSTOMERS
ATTENTION: FUND ADMIN SEC
4800 DEER LAKE DRIVE EAST, 2ND FL
JACKSONVILLE FL 32246-6484
15.86%
DELAWARE SMALL CAP CORE FUND CLASS CMORGAN STANLEY SMITH BARNEY LLC
FOR THE EXCLUSIVE BENEFIT OF ITS
CUSTOMERS
1 NEW YORK PLAZA FL 12
NEW YORK NY  10004-1901
5.61%
DELAWARE SMALL CAP CORE FUND CLASS CNATIONAL FINANCIAL SERVICES LLC
(FBO) OUR CUSTOMERS
ATTN MUTUAL FUNDS DEPARTMENT
4TH FLOOR
499 WASHINGTON BLVD
JERSEY CITY NJ  07310
5.87%


DELAWARE SMALL CAP CORE FUND CLASS CPERSHING LLC
1 PERSHING PLAZA
JERSEY CITY NJ  07399-0002
6.75%
DELAWARE SMALL CAP CORE FUND CLASS CRAYMOND JAMES
OMNIBUS FOR MUTUAL FUNDS
ATTN COURTNEY WALLER
880 CARILLON PARKWAY
ST PETERSBURG FL  33713
29.12%
DELAWARE SMALL CAP CORE FUND CLASS CWELLS FARGO CLEARING SVCS LLC
SPECIAL CUSTODY ACCT FOR THE
EXCLUSIVE BENEFIT OF CUSTOMER
2801 MARKET ST
SAINT LOUIS MO 63103-2523
9.48%
DELAWARE SMALL CAP CORE FUND CLASS IAMERICAN ENTERPRISE INVESTMENT SVC
707 2ND AVE SOUTH
MINNEAPOLIS MN  55402-2405
10.00%
DELAWARE SMALL CAP CORE FUND CLASS ICHARLES SCHWAB & CO INC
SPECIAL CUSTODY ACCT FBO CUSTOMERS
ATTN MUTUAL FUNDS
211 MAIN ST
SAN FRANCISCO CA  94105
6.00%
DELAWARE SMALL CAP CORE FUND CLASS IMLPF&S FOR THE SOLE BENEFIT OF ITS
CUSTOMERS
ATTENTION: FUND ADMIN SEC
4800 DEER LAKE DRIVE EAST, 2ND FL
JACKSONVILLE FL 32246-6484
28.70%
DELAWARE SMALL CAP CORE FUND CLASS INATIONAL FINANCIAL SERVICES LLC
(FBO) OUR CUSTOMERS
ATTN MUTUAL FUNDS DEPARTMENT
4TH FLOOR
499 WASHINGTON BLVD
JERSEY CITY NJ  07310
11.78%


DELAWARE SMALL CAP CORE FUND CLASS IRAYMOND JAMES
OMNIBUS FOR MUTUAL FUNDS
ATTN COURTNEY WALLER
880 CARILLON PARKWAY
ST PETERSBURG FL  33713
6.35%
DELAWARE SMALL CAP CORE FUND CLASS IWELLS FARGO CLEARING SVCS LLC
SPECIAL CUSTODY ACCT FOR THE
EXCLUSIVE BENEFIT OF CUSTOMER
2801 MARKET ST
SAINT LOUIS MO 63103-2523
10.19%
DELAWARE EXTENDED DURATION BOND FUND CLASS R6DCGT AS TTEE AND/OR CUST
FBO PLIC VARIOUS RETIREMENT PLANS
OMNIBUS
ATTN NPIO TRADE DESK
711 HIGH STREET
DES MOINES, IA 50392
14.10%
DELAWARE EXTENDED DURATION BOND FUND CLASS R6JOHN HANCOCK TRUST COMPANY LLC
690 CANTON ST SUITE 100
WESTWOOD, MA 02090
82.44%
DELAWARE SMALL CAP CORE FUND CLASS R6MLPF&S FOR THE SOLE BENEFIT OF ITS
CUSTOMERS
ATTENTION: FUND ADMIN SEC
4800 DEER LAKE DRIVE EAST, 2ND FL
JACKSONVILLE FL 32246-6484
15.16%
DELAWARE SMALL CAP CORE FUND CLASS R6NATIONAL FINANCIAL SERVICES LLC
499 WASHINGTON BLVD
JERSEY CITY, NJ 07310
21.66%
DELAWARE SMALL CAP CORE FUND CLASS R6PERSHING LLC
1 PERSHING PLAZA
JERSEY CITY NJ  07399-0002
14.85%


DELAWARE SMALL CAP VALUE FUND CLASS R6CHARLES SCHWAB & CO INC
SPEC CUSTODY ACCT FOR THE EXCL
BNFT OF CUSTS ATTN MUT FDS
211 MAIN ST
SAN FRANCISCO CA  94105-1905
6.86%
DELAWARE SMALL CAP VALUE FUND CLASS R6DCGT AS TTEE AND/OR CUST
FBO PLIC VARIOUS RETIREMENT PLANS
OMNIBUS
ATTN NPIO TRADE DESK
711 HIGH STREET
DES MOINES, IA 50392
9.08%
DELAWARE SMALL CAP VALUE FUND CLASS R6EDWARD D JONES AND CO
FOR THE BENEFIT OF CUSTOMERS
12555 MANCHESTER ROAD
ST LOUIS MO 63131-3710
18.44%
DELAWARE SMALL CAP VALUE FUND CLASS R6NATIONAL FINANCIAL SERVICES LLC
499 WASHINGTON BLVD
JERSEY CITY, NJ 07310
8.61%
DELAWARE SMALL CAP VALUE FUND CLASS R6NATIONAL FINANCIAL SERVICES LLC
499 WASHINGTON BLVD
JERSEY CITY, NJ 07310
5.15%
DELAWARE SMID CAP GROWTH FUND CLASS R6DCGT AS TTEE AND/OR CUST
FBO PLIC VARIOUS RETIREMENT PLANS
OMNIBUS
ATTN NPIO TRADE DESK
711 HIGH STREET
DES MOINES, IA 50392
15.48%
DELAWARE SMID CAP GROWTH FUND CLASS R6MATRIX TRUST COMPANY COTRUSTEE FBO
U.A. LOCAL 393 DEFINED CONTRIBUTION
PO BOX 52129
PHOENIX AZ 850722129
8.72%


DELAWARE SMID CAP GROWTH FUND CLASS R6MLPF&S FOR THE SOLE BENEFIT OF ITS
CUSTOMERS
ATTENTION: FUND ADMIN SEC
4800 DEER LAKE DRIVE EAST, 2ND FL
JACKSONVILLE FL 32246-6484
14.74%
DELAWARE SMID CAP GROWTH FUND CLASS R6VOYA INSTITUTIONAL TRUST COMPANY
FBO VIPS II
30 BRAINTREE HILL OFFICE PARK
BRAINTREE MA  02184
38.79%
DELAWARE VALUE FUND CLASS R6CHARLES SCHWAB & CO INC
SPEC CUSTODY ACCT FOR THE EXCL
BNFT OF CUSTS ATTN MUT FDS
211 MAIN ST
SAN FRANCISCO CA  94105-1905
14.54%
DELAWARE VALUE FUND CLASS R6JOHN HANCOCK TRUST COMPANY LLC
690 CANTON ST SUITE 100
WESTWOOD, MA 02090
7.99%
DELAWARE VALUE FUND CLASS R6MLPF&S FOR THE SOLE BENEFIT OF ITS
CUSTOMERS
ATTENTION: FUND ADMIN SEC
4800 DEER LAKE DRIVE EAST, 2ND FL
JACKSONVILLE FL 32246-6484
6.42%
DELAWARE VALUE FUND CLASS R6NATIONAL FINANCIAL SERVICES LLC
499 WASHINGTON BLVD
JERSEY CITY, NJ 07310
8.27%
DELAWARE VALUE FUND CLASS R6PIMS/PRUDENTIAL RETIREMENT
AS NOMINEE FOR THE TTEE/CUST
AUTOZONE, INC. 401(K) PLAN
123 SOUTH FRONT STREET
PO BOX 2198
MEMPHIS TN 38103
5.03%


DELAWARE SMID CAP GROWTH FUND CLASS RDCGT AS TTEE AND/OR CUST
FBO PLIC VARIOUS RETIREMENT PLANS
OMNIBUS
ATTN NPIO TRADE DESK
711 HIGH STREET
DES MOINES, IA 50392
13.96%
DELAWARE LIMITED-TERM DIVERSIFIED INCOME CLASS RASCENSUS TRUST COMPANY FBO
RBS SPORTS LLC 401K PLAN
P.O. BOX 10758
FARGO, ND 58106
13.84%
DELAWARE LIMITED-TERM DIVERSIFIED INCOME CLASS RLINCOLN NATIONAL LIFE INSURANCE CO
1300 S CLINTON ST
FORT WAYNE IN 46802-3506
8.66%
DELAWARE LIMITED-TERM DIVERSIFIED INCOME CLASS RMATRIX TRUST COMPANY CUST. FBO
CAPITAL VALVE SERVICE, INC.
717 17TH STREET
SUITE 1300
DENVER CO 80202
7.65%
DELAWARE LIMITED-TERM DIVERSIFIED INCOME CLASS RMID ATLANTIC TRUST COMPANY FBO
CREATIVE CHOICE HOMES LLP 401(K) PR
1251 WATERFRONT PLACE, SUITE 525
PITTSBURGH, PA 15222
6.38%
DELAWARE LIMITED-TERM DIVERSIFIED INCOME CLASS RMORGAN STANLEY SMITH BARNEY LLC
FOR THE EXCLUSIVE BENEFIT OF ITS
CUSTOMERS
1 NEW YORK PLAZA FL 12
NEW YORK NY  10004-1901
15.27%
DELAWARE LIMITED-TERM DIVERSIFIED INCOME CLASS RPAI TRUST COMPANY, INC.
ROCHA'S CONSTRUCTION, INC. 401(K) P
1300 ENTERPRISE DRIVE
DE PERE WI 541150000
5.33%


DELAWARE STRATEGIC INCOME FUND CLASS RASCENSUS TRUST COMPANY FBO
KWANGJA T(K)O FUND RETIREMENT FUND
P.O. BOX 10758
FARGO, ND 58106
5.58%
DELAWARE STRATEGIC INCOME FUND CLASS RASCENSUS TRUST COMPANY FBO
SCHUYLKILL TOWNSHIP
P.O. BOX 10758
FARGO, ND 58106
5.48%
DELAWARE STRATEGIC INCOME FUND CLASS RMATRIX TRUST COMPANY CUST. FBO
HARRISON WESTERN CONSTRUCTION401(K)
717 17TH STREET
SUITE 1300
DENVER CO 80202
59.26%
DELAWARE STRATEGIC INCOME FUND CLASS RMG TRUST COMPANY CUST. FBO
IMPACT RETIREMENT 401(K) PLAN
717 17TH STREET
SUITE 1300
DENVER CO 80202
15.07%
DELAWARE INTERNATIONAL VALUE EQUITY CLASS RSTATE STREET BANK AND TRUST TTEE
AND/OR CUSTODIAN
(FBO) ADP ACCESS PRODUCT
1 LINCOLN ST
BOSTON MA 02111-2901
24.39%
DELAWARE GLOBAL LISTED REAL ASSETS FUND CLASS RASCENSUS TRUST COMPANY FBO
AG RISK SOLUTIONS RETIREMENT PLAN
P.O. BOX 10758
FARGO, ND 58106
12.68%
DELAWARE GLOBAL LISTED REAL ASSETS FUND CLASS RASCENSUS TRUST COMPANY FBO
MID STATE OIL 401K
P.O. BOX 10758
FARGO, ND 58106
6.04%


DELAWARE GLOBAL LISTED REAL ASSETS FUND CLASS RASCENSUS TRUST COMPANY FBO
MONTROY ANDERSON 401(K) PLAN
P.O. BOX 10758
FARGO, ND 58106
5.70%
DELAWARE GLOBAL LISTED REAL ASSETS FUND CLASS RRELIANCE TRUST COMPANY FBO
MASSMUTUAL DMF
P.O. BOX 48529
ATLANTA GA 30362
5.27%
DELAWARE DIVERSIFIED INCOME FUND CLASS RHARTFORD LIFE INSURANCE CO SEP ACCT
ATTN UIT OPERATIONS
PO BOX 2999
HARTFORD CT 06104-2999
24.69%
DELAWARE DIVERSIFIED INCOME FUND CLASS RLINCOLN RETIREMENT SERVICES CO
FBO CITY OF RAHWAY 457B
P.O. BOX 7876
FORT WAYNE IN  46801-7876
5.43%
DELAWARE DIVERSIFIED INCOME FUND CLASS RMASSACHUSETTS MUTUAL LIFE
INSURANCE COMPANY
1295 STATE STREET
MIP M200-INVST
SPRINGFIELD MA  01111
5.97%
DELAWARE SELECT GROWTH FUND CLASS RASCENSUS TRUST COMPANY FBO
ENTERTAINMENT SERVICES GROUP, INC.
P.O. BOX 10758
FARGO, ND 58106
15.17%
DELAWARE SELECT GROWTH FUND CLASS RASCENSUS TRUST COMPANY FBO
SYDNOR HYDRO/RIVER GOLF 401(K) PLAN
P.O. BOX 10758
FARGO, ND 58106
14.83%
DELAWARE SELECT GROWTH FUND CLASS RASCENSUS TRUST COMPANY FBO
THE ELVIS ASSOCIATES 401(K) PLAN
P.O. BOX 10758
FARGO, ND 58106
5.39%


DELAWARE SELECT GROWTH FUND CLASS RMG TRUST COMPANY CUST. FBO
MIDWEST HELICOPTER AIRWAYS, INC. CA
717 17TH STREET
SUITE 1300
DENVER CO 80202
7.72%
DELAWARE SELECT GROWTH FUND CLASS RMID ATLANTIC TRUST COMPANY FBO
UFCW NATIONAL HEALTH WELFARE FUND
1251 WATERFRONT PLACE, SUITE 525
PITTSBURGH, PA 15222
7.07%
DELAWARE SELECT GROWTH FUND CLASS RRELIANCE TRUST COMPANY FBO
MASSMUTUAL DMF
P.O. BOX 48529
ATLANTA GA 30362
24.81%
DELAWARE STRATEGIC ALLOCATION FUND CLASS RASCENSUS TRUST COMPANY FBO
BUTLER BALANCING COMPANY INC
PO BOX 10758
FARGO ND 58106-0758
27.97%
DELAWARE STRATEGIC ALLOCATION FUND CLASS RDR. TENCZA FBO
TENCZA DENTAL ASSOCIATES P C 401(K)
427 CATTELL STREET
EASTON, PA 18042
31.32%
DELAWARE STRATEGIC ALLOCATION FUND CLASS RJOHN SWIDWINSKI FBO
P A C FEDERAL CREDIT UNION 401(K) P
2889 EAST MAPLE RD
TROY, MI 48083
8.76%
DELAWARE STRATEGIC ALLOCATION FUND CLASS RMID ATLANTIC TRUST COMPANY FBO
AQUINAS INSTITUTE OF THEOLOGY
1251 WATERFRONT PLACE, SUITE 525
PITTSBURGH, PA 15222
5.93%


DELAWARE STRATEGIC ALLOCATION FUND CLASS RMID ATLANTIC TRUST COMPANY FBO
INDUSTRIAL PHYSICAL CAPABILITY
1251 WATERFRONT PLACE, SUITE 525
PITTSBURGH, PA 15222
13.66%
DELAWARE CORPORATE BOND FUND CLASS RDCGT AS TTEE AND/OR CUST
FBO PLIC VARIOUS RETIREMENT PLANS
OMNIBUS
ATTN NPIO TRADE DESK
711 HIGH STREET
DES MOINES, IA 50392
62.08%
DELAWARE SMALL CAP VALUE FUND CLASS RDCGT AS TTEE AND/OR CUST
FBO PLIC VARIOUS RETIREMENT PLANS
OMNIBUS
ATTN NPIO TRADE DESK
711 HIGH STREET
DES MOINES, IA 50392
21.38%
DELAWARE SMALL CAP VALUE FUND CLASS RPIMS/PRUDENTIAL RETIREMENT
AS NOMINEE FOR THE TTEE/CUST
THE PETERSON COMPANIES
12500 FAIR LAKE CIR STE 400
FAIRFAX VA 22033
6.82%
DELAWARE SMALL CAP VALUE FUND CLASS RSTATE STREET BANK AND TRUST TTEE
AND/OR CUSTODIAN
(FBO) ADP ACCESS PRODUCT
1 LINCOLN ST
BOSTON MA 02111-2901
29.37%
DELAWARE HIGH YIELD OPPORTUNITIES FUND CLASS RASCENSUS TRUST COMPANY FBO
QUEST CORPORATION
P.O. BOX 10758
FARGO, ND 58106
8.92%
DELAWARE HIGH YIELD OPPORTUNITIES FUND CLASS RDCGT AS TTEE AND/OR CUST
FBO PLIC VARIOUS RETIREMENT PLANS
OMNIBUS
ATTN NPIO TRADE DESK
711 HIGH STREET
DES MOINES, IA 50392
12.17%


DELAWARE HIGH YIELD OPPORTUNITIES FUND CLASS RMID ATLANTIC TRUST COMPANY FBO
OAKTREE FUNDING CORP 401(K)
1251 WATERFRONT PLACE, SUITE 525
PITTSBURGH, PA 15222
7.12%
DELAWARE HIGH YIELD OPPORTUNITIES FUND CLASS RVOYA RETIREMENT INSURANCE AND
ANNUITY COMPANY
1 ORANGE WAY
WINDSOR CT 06095-4773
14.72%
DELAWARE EMERGING MARKETS FUND CLASS RDCGT AS TTEE AND/OR CUST
FBO PLIC VARIOUS RETIREMENT PLANS
OMNIBUS
ATTN NPIO TRADE DESK
711 HIGH STREET
DES MOINES, IA 50392
13.43%
DELAWARE EMERGING MARKETS FUND CLASS RHARTFORD LIFE INSURANCE CO SEP ACCT
ATTN UIT OPERATIONS
PO BOX 2999
HARTFORD CT 06104-2999
7.17%
DELAWARE EMERGING MARKETS FUND CLASS RMASSACHUSETTS MUTUAL LIFE
INSURANCE COMPANY
1295 STATE STREET
MIP M200-INVST
SPRINGFIELD MA  01111
43.06%
DELAWARE EMERGING MARKETS FUND CLASS RPIMS/PRUDENTIAL RETIREMENT
AS NOMINEE FOR THE TTEE/CUST
MAMMOET USA SOUTH, INC 401(K)
20525 FM 521
ROSHARON TX 77583
7.63%
DELAWARE HIGH YIELD OPPORTUNITIES FUND CLASS R6BANK OF STOCKTON
WEALTH MANGEMENT GROUP
555 WEST BENJAMIN HOLT DRIVE BLDG A
STOCKTON CA  952073888
10.33%


DELAWARE HIGH YIELD OPPORTUNITIES FUND CLASS R6DESERET MUTUAL BENEFIT ADMIN AS
TRUSTEE FOR DESERET MUTUAL RETIREE
MEDICAL & LIFE PL TR(EQUITY SUBST)
179 SOCIAL HALL AVE SUITE 100
SALT LAKE CITY UT  84111-1542
13.48%
DELAWARE HIGH YIELD OPPORTUNITIES FUND CLASS R6MAC & CO
FBO PUBLIC PENSION
ATTN MUTUAL FUND OPS
PO BOX 3198
500 GRANT ST
PITTSBURGH PA 15258-0000
70.04%
DELAWARE WEALTH BUILDER FUND CLASS RASCENSUS TRUST COMPANY FBO
BUTLER BALANCING COMPANY INC
PO BOX 10758
FARGO ND 58106-0758
7.72%
DELAWARE WEALTH BUILDER FUND CLASS RMID ATLANTIC TRUST COMPANY FBO
PETTERSEN AND SILBERMAN DENTAL
1251 WATERFRONT PLACE, SUITE 525
PITTSBURGH, PA 15222
8.95%
DELAWARE WEALTH BUILDER FUND CLASS RMID ATLANTIC TRUST COMPANY FBO
PMALLIANCE, INC 401K PLAN
1251 WATERFRONT PLACE, SUITE 525
PITTSBURGH, PA 15222
19.95%
DELAWARE WEALTH BUILDER FUND CLASS RMLPF&S FOR THE SOLE BENEFIT OF ITS
CUSTOMERS
ATTENTION: FUND ADMIN SEC
4800 DEER LAKE DRIVE EAST, 2ND FL
JACKSONVILLE FL 32246-6484
7.72%
DELAWARE WEALTH BUILDER FUND CLASS RMORGAN STANLEY SMITH BARNEY LLC
FOR THE EXCLUSIVE BENEFIT OF ITS
CUSTOMERS
1 NEW YORK PLAZA FL 12
NEW YORK NY  10004-1901
11.14%


DELAWARE WEALTH BUILDER FUND CLASS RRELIANCE TRUST COMPANY FBO
MASSMUTUAL DMF
P.O. BOX 48529
ATLANTA GA 30362
22.71%
DELAWARE GLOBAL LISTED REAL ASSETS FUND CLASS R6BOND STREET CUSTODIANS LIMITED
ACF MACQUARIE ASSET MANAGEMENT
HOLDINGS P/L
MACQUARIE BANK C/O INTERNATIONAL
OPERATION SHELLEY STREET NO 1
SYDNEY NSW 2000 AUSTRALIA
26.16%
DELAWARE GLOBAL LISTED REAL ASSETS FUND CLASS R6BOND STREET CUSTODIANS LIMITED
ACF MACQUARIE ASSET MANAGEMENT
HOLDINGS P/L
MACQUARIE BANK C/O INTERNATIONAL
OPERATION SHELLEY STREET NO 1
SYDNEY NSW 2000 AUSTRALIA
5.80%
DELAWARE GLOBAL LISTED REAL ASSETS FUND CLASS R6LINCOLN RETIREMENT SERVICES COMPANY
FBO MMH INC RETIREMENT PLAN
PO BOX 7876
FORT WAYNE IN  46801-7876
61.60%
DELAWARE EXTENDED DURATION BOND FUND CLASS RDCGT AS TTEE AND/OR CUST
FBO PLIC VARIOUS RETIREMENT PLANS
OMNIBUS
ATTN NPIO TRADE DESK
711 HIGH STREET
DES MOINES, IA 50392
8.00%
DELAWARE EXTENDED DURATION BOND FUND CLASS RHARTFORD LIFE INSURANCE CO SEP ACCT
ATTN UIT OPERATIONS
PO BOX 2999
HARTFORD CT 06104-2999
29.16%


DELAWARE EXTENDED DURATION BOND FUND CLASS RMASSACHUSETTS MUTUAL LIFE INS CO
1295 STATE STREET
MIP C105
SPRINGFIELD MA 01111-0001
15.99%
DELAWARE EXTENDED DURATION BOND FUND CLASS RVOYA RETIREMENT INSURANCE AND
ANNUITY COMPANY
1 ORANGE WAY
WINDSOR CT 06095-4773
21.04%
DELAWARE SMALL CAP CORE FUND CLASS RLINCOLN NATIONAL LIFE INSURANCE CO
1300 S CLINTON ST
FORT WAYNE IN 46802-3506
11.80%
DELAWARE SMALL CAP CORE FUND CLASS RMATRIX TRUST COMPANY CUST FBO
MADISON MEDICAL AFFILIATES, INC. EM
PO BOX 52129
PHOENIX AZ 85072
8.76%
DELAWARE SMALL CAP CORE FUND CLASS RSTATE STREET BANK AND TRUST TTEE
AND/OR CUSTODIAN
(FBO) ADP ACCESS PRODUCT
1 LINCOLN ST
BOSTON MA 02111-2901
8.73%
DELAWARE SMALL CAP CORE FUND CLASS RVOYA INSTITUTIONAL TRUST COMPANY
1 ORANGE WAY
WINDSOR CT 06095-4773
13.45%
DELAWARE CORPORATE BOND FUND CLASS R6BOND STREET CUSTODIANS LIMITED
ACF MACQUARIE ASSET MANAGEMENT
HOLDINGS P/L
MACQUARIE BANK C/O INTERNATIONAL
OPERATION SHELLEY STREET NO 1
SYDNEY NSW 2000 AUSTRALIA
10.37%


DELAWARE CORPORATE BOND FUND CLASS R6JP MORGAN SECURITIES LLC
OMNIBUS ACCOUNT FOR THE EXCLUSIVE
BENEFIT OF CUSTOMERS
4 CHASE METROTECH CENTER
3RD FLOOR MUTUAL FUND DEPARTMENT
BROOKLYN NY  11245
12.52%
DELAWARE CORPORATE BOND FUND CLASS R6MATRIX TRUST COMPANY CUST. FBO
PENSERV PENSELECT SMARTSAV
717 17TH STREET
SUITE 1300
DENVER CO 80202
9.21%
DELAWARE CORPORATE BOND FUND CLASS R6MLPF&S FOR THE SOLE BENEFIT OF ITS
CUSTOMERS
ATTENTION: FUND ADMIN SEC
4800 DEER LAKE DRIVE EAST, 2ND FL
JACKSONVILLE FL 32246-6484
56.01%
DELAWARE INTERNATIONAL SMALL CAP FUND R6BOND STREET CUSTODIANS LIMITED
ACF MACQUARIE ASSET MANAGEMENT
HOLDINGS P/L
MACQUARIE BANK C/O INTERNATIONAL
OPERATION SHELLEY STREET NO 1
SYDNEY NSW 2000 AUSTRALIA
9.73%
DELAWARE INTERNATIONAL SMALL CAP FUND R6CAPINCO C/O US BANK NA
1555 N. RIVERCENTER DRIVE STE. 302
MILWAUKEE WI 53212
73.01%
DELAWARE INTERNATIONAL SMALL CAP FUND R6WELLS FARGO BANK FBO
VARIOUS RETIREMENT PLANS
1525 WEST WT HARRIS BLVD
CHARLOTTE, NC 28288-1076
6.36%


DELAWARE VALUE FUND CLASS RDCGT AS TTEE AND/OR CUST
FBO PLIC VARIOUS RETIREMENT PLANS
OMNIBUS
ATTN NPIO TRADE DESK
711 HIGH STREET
DES MOINES, IA 50392
17.05%
DELAWARE VALUE FUND CLASS RRELIANCE TRUST COMPANY FBO
MASSMUTUAL DMF
P.O. BOX 48529
ATLANTA GA 30362
5.83%
DELAWARE VALUE FUND CLASS RSTATE STREET BANK AND TRUST TTEE
AND/OR CUSTODIAN
(FBO) ADP ACCESS PRODUCT
1 LINCOLN ST
BOSTON MA 02111-2901
37.23%
DELAWARE INTERNATIONAL VALUE EQUITY R6ASCENSUS TRUST COMPANY FBO
DGA 401(K) PROFIT SHARING PLAN
P.O. BOX 10758
FARGO, ND 58106
20.51%
DELAWARE INTERNATIONAL VALUE EQUITY R6BOND STREET CUSTODIANS LIMITED
ACF MACQUARIE ASSET MANAGEMENT
HOLDINGS P/L
MACQUARIE BANK C/O INTERNATIONAL
OPERATION SHELLEY STREET NO 1
SYDNEY NSW 2000 AUSTRALIA
25.38%
DELAWARE INTERNATIONAL VALUE EQUITY R6BOND STREET CUSTODIANS LIMITED
ACF MACQUARIE ASSET MANAGEMENT
HOLDINGS P/L
MACQUARIE BANK C/O INTERNATIONAL
OPERATION SHELLEY STREET NO 1
SYDNEY NSW 2000 AUSTRALIA
5.63%


DELAWARE INTERNATIONAL VALUE EQUITY R6MATRIX TRUST COMPANY CUST. FBO
PENSERV PENSELECT SMARTSAV
717 17TH STREET
SUITE 1300
DENVER CO 80202
18.74%
DELAWARE INTERNATIONAL VALUE EQUITY R6MID ATLANTIC TRUST COMPANY FBO
MILLER BOAT LINE, INC. 401(K)
1251 WATERFRONT PLACE, SUITE 525
PITTSBURGH, PA 15222
5.12%
DELAWARE HEALTHCARE FUND CLASS AAMERICAN ENTERPRISE INVESTMENT SVC
707 2ND AVE SOUTH
MINNEAPOLIS MN  55402-2405
6.18%
DELAWARE HEALTHCARE FUND CLASS ACHARLES SCHWAB & CO INC
SPEC CUSTODY ACCT FOR THE EXCL
BNFT OF CUSTS ATTN MUT FDS
211 MAIN ST
SAN FRANCISCO CA  94105-1905
9.55%
DELAWARE HEALTHCARE FUND CLASS ALIU-ER CHEN
AND DAWN DING JT WROS
SUBJECT TO DSCI TOD RULES
33 GREEN HILL RD
BROOKLINE MA 02445-5906
18.81%
DELAWARE HEALTHCARE FUND CLASS AMLPF&S FOR THE SOLE BENEFIT OF ITS
CUSTOMERS
ATTENTION: FUND ADMIN SEC
4800 DEER LAKE DRIVE EAST, 2ND FL
JACKSONVILLE FL 32246-6484
5.12%
DELAWARE HEALTHCARE FUND CLASS ANATIONAL FINANCIAL SERVICES LLC
(FBO) OUR CUSTOMERS
ATTN MUTUAL FUNDS DEPARTMENT
4TH FLOOR
499 WASHINGTON BLVD
JERSEY CITY NJ  07310
6.34%


DELAWARE HEALTHCARE FUND CLASS ARBC CAPITAL MARKETS LLC
MUTUAL FUND OMNIBUS PROCESSING
OMNIBUS
ATTN MUTUAL FUND OPS MANAGER
60 SOUTH SIXTH STREET-P08
MINNEAPOLIS MN  55402-4400
10.90%
DELAWARE HEALTHCARE FUND CLASS AWELLS FARGO CLEARING SVCS LLC
SPECIAL CUSTODY ACCT FOR THE
EXCLUSIVE BENEFIT OF CUSTOMER
2801 MARKET ST
SAINT LOUIS MO 63103-2523
8.07%
DELAWARE HEALTHCARE FUND CLASS CAMERICAN ENTERPRISE INVESTMENT SVC
707 2ND AVE SOUTH
MINNEAPOLIS MN  55402-2405
7.92%
DELAWARE HEALTHCARE FUND CLASS CCHARLES SCHWAB & CO INC
SPECIAL CUSTODY ACCT FBO CUSTOMERS
ATTN MUTUAL FUNDS
211 MAIN ST
SAN FRANCISCO CA  94105
11.50%
DELAWARE HEALTHCARE FUND CLASS CLPL FINANCIAL
OMNIBUS CUSTOMER ACCOUNT
ATTN LINDSAY OTOOLE
4707 EXECUTIVE DRIVE
SAN DIEGO CA  92121
7.89%
DELAWARE HEALTHCARE FUND CLASS CMLPF&S FOR THE SOLE BENEFIT OF ITS
CUSTOMERS
ATTENTION: FUND ADMIN SEC
4800 DEER LAKE DRIVE EAST, 2ND FL
JACKSONVILLE FL 32246-6484
6.40%
DELAWARE HEALTHCARE FUND CLASS CMORGAN STANLEY SMITH BARNEY LLC
FOR THE EXCLUSIVE BENEFIT OF ITS
CUSTOMERS
1 NEW YORK PLAZA FL 12
NEW YORK NY  10004-1901
15.01%


DELAWARE HEALTHCARE FUND CLASS CRAYMOND JAMES
OMNIBUS FOR MUTUAL FUNDS
ATTN COURTNEY WALLER
880 CARILLON PARKWAY
ST PETERSBURG FL  33713
5.92%
DELAWARE HEALTHCARE FUND CLASS CWELLS FARGO CLEARING SVCS LLC
SPECIAL CUSTODY ACCT FOR THE
EXCLUSIVE BENEFIT OF CUSTOMER
2801 MARKET ST
SAINT LOUIS MO 63103-2523
24.66%
DELAWARE HEALTHCARE FUND CLASS IAMERICAN ENTERPRISE INVESTMENT SVC
707 2ND AVE SOUTH
MINNEAPOLIS MN  55402-2405
18.30%
DELAWARE HEALTHCARE FUND CLASS ILPL FINANCIAL
OMNIBUS CUSTOMER ACCOUNT
ATTN LINDSAY OTOOLE
4707 EXECUTIVE DRIVE
SAN DIEGO CA  92121
8.06%
DELAWARE HEALTHCARE FUND CLASS IMLPF&S FOR THE SOLE BENEFIT OF ITS
CUSTOMERS
ATTENTION: FUND ADMIN SEC
4800 DEER LAKE DRIVE EAST, 2ND FL
JACKSONVILLE FL 32246-6484
10.97%
DELAWARE HEALTHCARE FUND CLASS IMORGAN STANLEY SMITH BARNEY LLC
FOR THE EXCLUSIVE BENEFIT OF ITS
CUSTOMERS
1 NEW YORK PLAZA FL 12
NEW YORK NY  10004-1901
12.08%
DELAWARE HEALTHCARE FUND CLASS INATIONAL FINANCIAL SERVICES LLC
(FBO) OUR CUSTOMERS
ATTN MUTUAL FUNDS DEPARTMENT
4TH FLOOR
499 WASHINGTON BLVD
JERSEY CITY NJ  07310
7.48%


DELAWARE HEALTHCARE FUND CLASS IPERSHING LLC
1 PERSHING PLAZA
JERSEY CITY NJ  07399-0002
6.29%
DELAWARE HEALTHCARE FUND CLASS IRAYMOND JAMES
OMNIBUS FOR MUTUAL FUNDS
ATTN COURTNEY WALLER
880 CARILLON PARKWAY
ST PETERSBURG FL  33713
7.47%
DELAWARE HEALTHCARE FUND CLASS IWELLS FARGO CLEARING SVCS LLC
SPECIAL CUSTODY ACCT FOR THE
EXCLUSIVE BENEFIT OF CUSTOMER
2801 MARKET ST
SAINT LOUIS MO 63103-2523
6.05%
DELAWARE HEALTHCARE FUND CLASS RASCENSUS TRUST COMPANY FBO
PRESTOTECH SOLUTIONS 401(K)
P.O. BOX 10758
FARGO, ND 58106
6.29%
DELAWARE HEALTHCARE FUND CLASS RASCENSUS TRUST COMPANY FBO
TRUTH FOR LIFE RETIREMENT PLAN
P.O. BOX 10758
FARGO, ND 58106
6.28%
DELAWARE HEALTHCARE FUND CLASS RBRIAN WEST FBO
M & M AMERICAN LOGISTICS INC 401(K)
7300 INDUSTRIAL ROW DRIVE
MASON, OH 45040
5.65%
DELAWARE HEALTHCARE FUND CLASS RMATRIX TRUST COMPANY CUST. FBO
ADMERASIA 401(K) PROFIT SHARING PLAN
717 17TH STREET
SUITE 1300
DENVER CO 80202
5.58%
DELAWARE HEALTHCARE FUND CLASS RPAI TRUST COMPANY, INC.
ALDERCREST DEVELOPMENT CORP. 401(K)
1300 ENTERPRISE DRIVE
DE PERE WI 541150000
8.12%


DELAWARE HEALTHCARE FUND CLASS RSTATE STREET BANK AND TRUST TTEE
AND/OR CUSTODIAN
(FBO) ADP ACCESS PRODUCT
1 LINCOLN ST
BOSTON MA 02111-2901
12.72%
DELAWARE MID CAP VALUE FUND CLASS ALPL FINANCIAL
OMNIBUS CUSTOMER ACCOUNT
ATTN LINDSAY OTOOLE
4707 EXECUTIVE DRIVE
SAN DIEGO CA  92121
7.18%
DELAWARE MID CAP VALUE FUND CLASS ANATIONAL FINANCIAL SERVICES LLC
(FBO) OUR CUSTOMERS
ATTN MUTUAL FUNDS DEPARTMENT
4TH FLOOR
499 WASHINGTON BLVD
JERSEY CITY NJ  07310
5.01%
DELAWARE MID CAP VALUE FUND CLASS APERSHING LLC
1 PERSHING PLAZA
JERSEY CITY NJ  07399-0002
24.57%
DELAWARE MID CAP VALUE FUND CLASS CAMERICAN ENTERPRISE INVESTMENT SVC
707 2ND AVE SOUTH
MINNEAPOLIS MN  55402-2405
9.64%
DELAWARE MID CAP VALUE FUND CLASS CLPL FINANCIAL
OMNIBUS CUSTOMER ACCOUNT
ATTN LINDSAY OTOOLE
4707 EXECUTIVE DRIVE
SAN DIEGO CA  92121
7.16%
DELAWARE MID CAP VALUE FUND CLASS CNATIONAL FINANCIAL SERVICES LLC
(FBO) OUR CUSTOMERS
ATTN MUTUAL FUNDS DEPARTMENT
4TH FLOOR
499 WASHINGTON BLVD
JERSEY CITY NJ  07310
6.67%


DELAWARE MID CAP VALUE FUND CLASS CPERSHING LLC
1 PERSHING PLAZA
JERSEY CITY NJ  07399-0002
29.57%
DELAWARE MID CAP VALUE FUND CLASS CRAYMOND JAMES
OMNIBUS FOR MUTUAL FUNDS
ATTN COURTNEY WALLER
880 CARILLON PARKWAY
ST PETERSBURG FL  33713
34.26%
DELAWARE MID CAP VALUE FUND CLASS ICHARLES SCHWAB & CO INC
SPECIAL CUSTODY ACCT FBO CUSTOMERS
ATTN MUTUAL FUNDS
211 MAIN ST
SAN FRANCISCO CA  94105
74.64%
DELAWARE MID CAP VALUE FUND CLASS INATIONAL FINANCIAL SERVICES LLC
(FBO) OUR CUSTOMERS
ATTN MUTUAL FUNDS DEPARTMENT
4TH FLOOR
499 WASHINGTON BLVD
JERSEY CITY NJ  07310
6.66%
DELAWARE MID CAP VALUE FUND CLASS RASCENSUS TRUST COMPANY FBO
WABASHA DENTISTRY 401(K) PLAN
P.O. BOX 10758
FARGO, ND 58106
20.58%
DELAWARE MID CAP VALUE FUND CLASS RMATRIX TRUST COMPANY AS AGENT FOR
NEWPORT TRUST COMPANY
FRITCHER CONSTRUCTION 401(K) P
LAN
35 IRON POINT CIRCLE
FOLSOM CA 95630
28.42%
DELAWARE MID CAP VALUE FUND CLASS RMID ATLANTIC TRUST COMPANY FBO
JARVIS LAND SURVEY INC 401(K)
1251 WATERFRONT PLACE, SUITE 525
PITTSBURGH, PA 15222
6.85%


DELAWARE MID CAP VALUE FUND CLASS RPAI TRUST COMPANY, INC.
OAKLAND LUBRICATION CO 401(K) P/S P
1300 ENTERPRISE DRIVE
DE PERE WI 541150000
35.47%
DELAWARE INTERNATIONAL SMALL CAP FUND CLASS ALPL FINANCIAL
OMNIBUS CUSTOMER ACCOUNT
ATTN LINDSAY OTOOLE
4707 EXECUTIVE DRIVE
SAN DIEGO CA  92121
12.07%
DELAWARE INTERNATIONAL SMALL CAP FUND CLASS ANATIONAL FINANCIAL SERVICES LLC
(FBO) OUR CUSTOMERS
ATTN MUTUAL FUNDS DEPARTMENT
4TH FLOOR
499 WASHINGTON BLVD
JERSEY CITY NJ  07310
9.79%
DELAWARE INTERNATIONAL SMALL CAP FUND CLASS APERSHING LLC
1 PERSHING PLAZA
JERSEY CITY NJ  07399-0002
5.56%
DELAWARE INTERNATIONAL SMALL CAP FUND CLASS ARAYMOND JAMES
OMNIBUS FOR MUTUAL FUNDS
ATTN COURTNEY WALLER
880 CARILLON PARKWAY
ST PETERSBURG FL  33713
6.40%
DELAWARE INTERNATIONAL SMALL CAP FUND CLASS CAMERICAN ENTERPRISE INVESTMENT SVC
707 2ND AVE SOUTH
MINNEAPOLIS MN  55402-2405
6.47%
DELAWARE INTERNATIONAL SMALL CAP FUND CLASS CLPL FINANCIAL
OMNIBUS CUSTOMER ACCOUNT
ATTN LINDSAY OTOOLE
4707 EXECUTIVE DRIVE
SAN DIEGO CA  92121
32.23%


DELAWARE INTERNATIONAL SMALL CAP FUND CLASS CMORGAN STANLEY SMITH BARNEY LLC
FOR THE EXCLUSIVE BENEFIT OF ITS
CUSTOMERS
1 NEW YORK PLAZA FL 12
NEW YORK NY  10004-1901
15.62%
DELAWARE INTERNATIONAL SMALL CAP FUND CLASS CNATIONAL FINANCIAL SERVICES LLC
(FBO) OUR CUSTOMERS
ATTN MUTUAL FUNDS DEPARTMENT
4TH FLOOR
499 WASHINGTON BLVD
JERSEY CITY NJ  07310
12.12%
DELAWARE INTERNATIONAL SMALL CAP FUND CLASS CPERSHING LLC
1 PERSHING PLAZA
JERSEY CITY NJ  07399-0002
7.05%
DELAWARE INTERNATIONAL SMALL CAP FUND CLASS CUBS WM USA
SPEC CDY A/C EXL BEN CUSTOMERS
OF UBSFSI
1000 HARBOR BLVD
WEEHAWKEN, NJ  07086
14.16%
DELAWARE INTERNATIONAL SMALL CAP FUND CLASS CWELLS FARGO CLEARING SVCS LLC
SPECIAL CUSTODY ACCT FOR THE
EXCLUSIVE BENEFIT OF CUSTOMER
2801 MARKET ST
SAINT LOUIS MO 63103-2523
5.11%
DELAWARE INTERNATIONAL SMALL CAP FUND CLASS IAMERICAN ENTERPRISE INVESTMENT SVC
707 2ND AVE SOUTH
MINNEAPOLIS MN  55402-2405
5.12%
DELAWARE INTERNATIONAL SMALL CAP FUND CLASS IBAND & CO
C/O US BANK NA
1555 N RIVERCENTER DR STE 302
MILWAUKEE WI  53212-3958
16.15%


DELAWARE INTERNATIONAL SMALL CAP FUND CLASS ICHARLES SCHWAB & CO INC
SPECIAL CUSTODY ACCT FBO CUSTOMERS
ATTN MUTUAL FUNDS
211 MAIN ST
SAN FRANCISCO CA  94105
50.82%
DELAWARE INTERNATIONAL SMALL CAP FUND CLASS ILPL FINANCIAL
OMNIBUS CUSTOMER ACCOUNT
ATTN LINDSAY OTOOLE
4707 EXECUTIVE DRIVE
SAN DIEGO CA  92121
6.26%
DELAWARE INTERNATIONAL SMALL CAP FUND CLASS RMACQUARIE MANAGEMENT HOLDINGS INC
C/O RICK SALUS
100 INDEPENDENCE
610 MARKET STREET 7TH FLOOR
PHILADELPHIA PA 19106-2354
7.71%
DELAWARE INTERNATIONAL SMALL CAP FUND CLASS RMID ATLANTIC TRUST COMPANY FBO
DELASOFT INC 401(K) PROFIT SHARING
1251 WATERFRONT PLACE, SUITE 525
PITTSBURGH, PA 15222
82.01%
DELAWARE TAX-FREE USA FUND CLASS IAMERICAN ENTERPRISE INVESTMENT SVC
707 2ND AVE SOUTH
MINNEAPOLIS MN  55402-2405
13.01%
DELAWARE TAX-FREE USA FUND CLASS ICHARLES SCHWAB & CO INC
SPECIAL CUSTODY ACCT FBO CUSTOMERS
ATTN MUTUAL FUNDS
211 MAIN ST
SAN FRANCISCO CA  94105
11.97%
DELAWARE TAX-FREE USA FUND CLASS ILPL FINANCIAL
OMNIBUS CUSTOMER ACCOUNT
ATTN LINDSAY OTOOLE
4707 EXECUTIVE DRIVE
SAN DIEGO CA  92121
8.58%


DELAWARE TAX-FREE USA FUND CLASS IMLPF&S FOR THE SOLE BENEFIT OF ITS
CUSTOMERS
ATTENTION: FUND ADMIN SEC
4800 DEER LAKE DRIVE EAST, 2ND FL
JACKSONVILLE FL 32246-6484
7.69%
DELAWARE TAX-FREE USA FUND CLASS IMORGAN STANLEY SMITH BARNEY LLC
FOR THE EXCLUSIVE BENEFIT OF ITS
CUSTOMERS
1 NEW YORK PLAZA FL 12
NEW YORK NY  10004-1901
5.52%
DELAWARE TAX-FREE USA FUND CLASS INATIONAL FINANCIAL SERVICES LLC
(FBO) OUR CUSTOMERS
ATTN MUTUAL FUNDS DEPARTMENT
4TH FLOOR
499 WASHINGTON BLVD
JERSEY CITY NJ  07310
15.97%
DELAWARE TAX-FREE USA FUND CLASS IRAYMOND JAMES
OMNIBUS FOR MUTUAL FUNDS
ATTN COURTNEY WALLER
880 CARILLON PARKWAY
ST PETERSBURG FL  33713
12.94%
DELAWARE TAX-FREE USA FUND CLASS IWELLS FARGO CLEARING SVCS LLC
SPECIAL CUSTODY ACCT FOR THE
EXCLUSIVE BENEFIT OF CUSTOMER
2801 MARKET ST
SAINT LOUIS MO 63103-2523
5.74%
DELAWARE TAX-FREE USA INTERMEDIATE CLASS IJP MORGAN SECURITIES LLC
OMNIBUS ACCOUNT FOR THE EXCLUSIVE
BENEFIT OF CUSTOMERS
4 CHASE METROTECH CENTER
3RD FLOOR MUTUAL FUND DEPARTMENT
BROOKLYN NY  11245
12.37%


DELAWARE TAX-FREE USA INTERMEDIATE CLASS ILPL FINANCIAL
OMNIBUS CUSTOMER ACCOUNT
ATTN LINDSAY OTOOLE
4707 EXECUTIVE DRIVE
SAN DIEGO CA  92121
32.89%
DELAWARE TAX-FREE USA INTERMEDIATE CLASS IMLPF&S FOR THE SOLE BENEFIT OF ITS
CUSTOMERS
ATTENTION: FUND ADMIN SEC
4800 DEER LAKE DRIVE EAST, 2ND FL
JACKSONVILLE FL 32246-6484
16.09%
DELAWARE TAX-FREE USA INTERMEDIATE CLASS INATIONAL FINANCIAL SERVICES LLC
(FBO) OUR CUSTOMERS
ATTN MUTUAL FUNDS DEPARTMENT
4TH FLOOR
499 WASHINGTON BLVD
JERSEY CITY NJ  07310
16.82%
DELAWARE NATL HIGH YIELD MUNI BOND FUND CLASS ICHARLES SCHWAB & CO INC
SPECIAL CUSTODY ACCT FBO CUSTOMERS
ATTN MUTUAL FUNDS
211 MAIN ST
SAN FRANCISCO CA  94105
5.94%
DELAWARE NATL HIGH YIELD MUNI BOND FUND CLASS IGOLDMAN SACHS & CO
C/O MUTUAL FUND OPS
295 CHIPETA WAY
SALT LAKE CITY UT  84108
23.88%
DELAWARE NATL HIGH YIELD MUNI BOND FUND CLASS IMLPF&S FOR THE SOLE BENEFIT OF ITS
CUSTOMERS
ATTENTION: FUND ADMIN SEC
4800 DEER LAKE DRIVE EAST, 2ND FL
JACKSONVILLE FL 32246-6484
18.64%
DELAWARE NATL HIGH YIELD MUNI BOND FUND CLASS INATIONAL FINANCIAL SERVICES LLC
(FBO) OUR CUSTOMERS
ATTN MUTUAL FUNDS DEPARTMENT
4TH FLOOR
499 WASHINGTON BLVD
JERSEY CITY NJ  07310
9.87%


DELAWARE NATL HIGH YIELD MUNI BOND FUND CLASS IPERSHING LLC
1 PERSHING PLAZA
JERSEY CITY NJ  07399-0002
5.56%
DELAWARE NATL HIGH YIELD MUNI BOND FUND CLASS IUBS WM USA
SPEC CDY A/C EXL BEN CUSTOMERS
OF UBSFSI
1000 HARBOR BLVD
WEEHAWKEN, NJ  07086
11.14%
MACQUARIE EMERGING MARKETS PORTFOLIO IIDOUGLAS BESHAROV
5630 WISCONSIN AVE APT 801
CHEVY CHASE MD  20815-4455
6.91%
MACQUARIE EMERGING MARKETS PORTFOLIO IIMARIANO RIVERA
AND CLARA RIVERA JT WROS
425 RIDGEWAY
WHITE PLAINS NY 10605-4205
9.92%
MACQUARIE EMERGING MARKETS PORTFOLIO IISOCIETY OF ST SULPICE FOUNDATION US
INC - ADMINISTRATION & SERVICES
5408 ROLAND AVE
BALTIMORE MD 21210-1988
33.81%
MACQUARIE EMERGING MARKETS PORTFOLIO IISOCIETY OF ST SULPICE FOUNDATION US
INC VESTRY
5408 ROLAND AVE
BALTIMORE MD 21210-1988
9.07%
MACQUARIE EMERGING MARKETS PORTFOLIO IISOCIETY OF ST SULPICE FOUNDATION
US INC - RETIREMENT
5408 ROLAND AVE
BALTIMORE MD  21210-1988
17.64%
MACQUARIE EMERGING MARKETS PORTFOLIO IISOCMA
1400 CRYSTAL DR SUITE 630
ARLINGTON VA 22202-0000
5.55%


MACQUARIE EMERGING MARKETS PORTFOLIO IIST STEPHENS & ST AGNES SCHOOL
FOUNDATION TRUST 1991
400 FONTAINE ST
ALEXANDRIA VA 22302-3700
8.08%
DELAWARE LIMITED-TERM DIVERSIFIED INCOME FUND R6JOHN HANCOCK TRUST COMPANY LLC
690 CANTON ST SUITE 100
WESTWOOD, MA 02090
44.91%
DELAWARE LIMITED-TERM DIVERSIFIED INCOME FUND R6LINCOLN RETIREMENT SERVICES COMPANY
FBO MACQUARIE HOLDINGS USA INC 401A
PO BOX 7876
FORT WAYNE IN  46801-7876
31.94%
DELAWARE LIMITED-TERM DIVERSIFIED INCOME FUND R6LINCOLN RETIREMENT SERVICES COMPANY
FBO MMH INC EMPLOYEES SAV & 401K
PO BOX 7876
FORT WAYNE IN  46801-7876
15.49%
DELAWARE LIMITED-TERM DIVERSIFIED INCOME FUND R6MLPF&S FOR THE SOLE BENEFIT OF ITS
CUSTOMERS
ATTENTION: FUND ADMIN SEC
4800 DEER LAKE DRIVE EAST, 2ND FL
JACKSONVILLE FL 32246-6484
5.10%
DELAWARE COVERED CALL STRATEGY FUND CLASS ACHARLES SCHWAB & CO INC
SPECIAL CUSTODY ACCT FBO CUSTOMERS
ATTN MUTUAL FUNDS
211 MAIN ST
SAN FRANCISCO CA  94105
6.29%
DELAWARE COVERED CALL STRATEGY FUND CLASS AMATRIX TRUST COMPANY CUST. FBO
PEN SERV DELAWARE/FORESTERS
717 17TH STREET
SUITE 1300
DENVER CO 80202
21.30%


DELAWARE COVERED CALL STRATEGY FUND CLASS ICHARLES SCHWAB & CO INC
SPECIAL CUSTODY A/C FBO CUSTOMERS
ATTN MUTUAL FUNDS
211 MAIN ST
SAN FRANCISCO CA 94105
33.55%
DELAWARE COVERED CALL STRATEGY FUND CLASS ICHARLES SCHWAB & CO INC
SPECIAL CUSTODY ACCT FBO CUSTOMERS
ATTN MUTUAL FUNDS
211 MAIN ST
SAN FRANCISCO CA  94105
38.14%
DELAWARE COVERED CALL STRATEGY FUND CLASS ILPL FINANCIAL
4707 EXECUTIVE DR
SAN DIEGO CA 92121
8.45%
DELAWARE COVERED CALL STRATEGY FUND CLASS IMORI & CO
922 WALNUT ST
MAILSTOP TBTS 2
KANSAS CITY MO 64106
5.82%
DELAWARE COVERED CALL STRATEGY FUND CLASS INATIONAL FINANCIAL SERVICES LLC
(FBO) OUR CUSTOMERS
ATTN MUTUAL FUNDS DEPARTMENT
4TH FLOOR
499 WASHINGTON BLVD
JERSEY CITY NJ  07310
7.38%
DELAWARE COVERED CALL STRATEGY FUND CLASS R6CHARLES SCHWAB & CO INC
SPECIAL CUSTODY A/C FBO CUSTOMERS
ATTN MUTUAL FUNDS
211 MAIN ST
SAN FRANCISCO CA 94105
5.66%
DELAWARE COVERED CALL STRATEGY FUND CLASS R6MACQUARIE INVESTMENT MANAGEMENT
ADVISORS
100 INDEPENDENCE
610 MARKET STREET 7TH FLOOR
PHILADELPHIA PA 19106-2354
23.84%


DELAWARE COVERED CALL STRATEGY FUND CLASS R6PERSHING LLC
1 PERSHING PLAZA
JERSEY CITY NJ  07399-0002
70.50%
DELAWARE EQUITY INCOME FUND CLASS AMATRIX TRUST COMPANY CUST. FBO
PEN SERV DELAWARE/FORESTERS
717 17TH STREET
SUITE 1300
DENVER CO 80202
19.89%
DELAWARE EQUITY INCOME FUND CLASS ICHARLES SCHWAB & CO INC
SPECIAL CUSTODY ACCT FBO CUSTOMERS
ATTN MUTUAL FUNDS
211 MAIN ST
SAN FRANCISCO CA  94105
33.00%
DELAWARE EQUITY INCOME FUND CLASS ILPL FINANCIAL
4707 EXECUTIVE DR
SAN DIEGO CA 92121
9.69%
DELAWARE EQUITY INCOME FUND CLASS INATIONAL FINANCIAL SERVICES LLC
(FBO) OUR CUSTOMERS
ATTN MUTUAL FUNDS DEPARTMENT
4TH FLOOR
499 WASHINGTON BLVD
JERSEY CITY NJ  07310
7.23%
DELAWARE EQUITY INCOME FUND CLASS IPERSHING LLC
1 PERSHING PLAZA
JERSEY CITY NJ  07399-0002
7.75%
DELAWARE EQUITY INCOME FUND CLASS IRAYMOND JAMES
OMNIBUS FOR MUTUAL FUNDS
ATTN COURTNEY WALLER
880 CARILLON PARKWAY
ST PETERSBURG FL  33713
7.29%
DELAWARE EQUITY INCOME FUND CLASS ISEI PRIVATE TRUST COMPANY
C/O GWP US ADVISORS
1 FREEDOM VALLEY DR
OAKS PA 19456-9989
22.28%


DELAWARE EQUITY INCOME FUND CLASS R6CHARLES SCHWAB & CO INC
SPECIAL CUSTODY A/C FBO CUSTOMERS
ATTN MUTUAL FUNDS
211 MAIN ST
SAN FRANCISCO CA 94105
41.08%
DELAWARE EQUITY INCOME FUND CLASS R6MACQUARIE INVESTMENT MANAGEMENT
ADVISORS
100 INDEPENDENCE
610 MARKET STREET 7TH FLOOR
PHILADELPHIA PA 19106-2354
58.92%
DELAWARE GLOBAL EQUITY FUND CLASS AMATRIX TRUST COMPANY CUST. FBO
PEN SERV DELAWARE/FORESTERS
717 17TH STREET
SUITE 1300
DENVER CO 80202
19.57%
DELAWARE GLOBAL EQUITY FUND CLASS ICHARLES SCHWAB & CO INC
SPECIAL CUSTODY ACCT FBO CUSTOMERS
ATTN MUTUAL FUNDS
211 MAIN ST
SAN FRANCISCO CA  94105
91.74%
DELAWARE GLOBAL EQUITY FUND CLASS R6CHARLES SCHWAB & CO INC
SPECIAL CUSTODY A/C FBO CUSTOMERS
ATTN MUTUAL FUNDS
211 MAIN ST
SAN FRANCISCO CA 94105
10.18%
DELAWARE GLOBAL EQUITY FUND CLASS R6MACQUARIE INVESTMENT MANAGEMENT
ADVISORS
100 INDEPENDENCE
610 MARKET STREET 7TH FLOOR
PHILADELPHIA PA 19106-2354
8.52%
DELAWARE GLOBAL EQUITY FUND CLASS R6MATRIX TRUST COMPANY CUST. FBO
PENSERV PENSELECT SMARTSAV
717 17TH STREET
SUITE 1300
DENVER CO 80202
81.30%


DELAWARE GROWTH AND INCOME FUND CLASS AMATRIX TRUST COMPANY CUST. FBO
PEN SERV DELAWARE/FORESTERS
717 17TH STREET
SUITE 1300
DENVER CO 80202
25.72%
DELAWARE GROWTH AND INCOME FUND CLASS ICHARLES SCHWAB & CO INC
SPECIAL CUSTODY ACCT FBO CUSTOMERS
ATTN MUTUAL FUNDS
211 MAIN ST
SAN FRANCISCO CA  94105
49.93%
DELAWARE GROWTH AND INCOME FUND CLASS ILPL FINANCIAL
4707 EXECUTIVE DR
SAN DIEGO CA 92121
10.24%
DELAWARE GROWTH AND INCOME FUND CLASS INATIONAL FINANCIAL SERVICES LLC
(FBO) OUR CUSTOMERS
ATTN MUTUAL FUNDS DEPARTMENT
4TH FLOOR
499 WASHINGTON BLVD
JERSEY CITY NJ  07310
7.05%
DELAWARE GROWTH AND INCOME FUND CLASS IPERSHING LLC
1 PERSHING PLAZA
JERSEY CITY NJ  07399-0002
9.20%
DELAWARE GROWTH AND INCOME FUND CLASS IRAYMOND JAMES
OMNIBUS FOR MUTUAL FUNDS
ATTN COURTNEY WALLER
880 CARILLON PARKWAY
ST PETERSBURG FL  33713
7.13%
DELAWARE GROWTH AND INCOME FUND CLASS ISEI PRIVATE TRUST COMPANY
C/O GWP US ADVISORS
1 FREEDOM VALLEY DR
OAKS PA 19456-9989
5.96%


DELAWARE GROWTH AND INCOME FUND CLASS R6CHARLES SCHWAB & CO INC
SPECIAL CUSTODY A/C FBO CUSTOMERS
ATTN: MUTUAL FUNDS
211 MAIN ST
SAN FRANCISCO CA 94105
93.63%
DELAWARE GROWTH AND INCOME FUND CLASS R6MACQUARIE INVESTMENT MANAGEMENT
ADVISORS
100 INDEPENDENCE
610 MARKET STREET 7TH FLOOR
PHILADELPHIA PA 19106-2354
6.37%
DELAWARE HEDGED U.S. EQUITY OPPORTUNITIES FUND ACHARLES SCHWAB & CO INC
SPECIAL CUSTODY ACCT FBO CUSTOMERS
ATTN MUTUAL FUNDS
211 MAIN ST
SAN FRANCISCO CA  94105
8.66%
DELAWARE HEDGED U.S. EQUITY OPPORTUNITIES FUND AMATRIX TRUST COMPANY CUST. FBO
PEN SERV DELAWARE/FORESTERS
717 17TH STREET
SUITE 1300
DENVER CO 80202
14.33%
DELAWARE HEDGED U.S. EQUITY OPPORTUNITIES FUND ICHARLES SCHWAB & CO INC
SPECIAL CUSTODY ACCT FBO CUSTOMERS
ATTN MUTUAL FUNDS
211 MAIN ST
SAN FRANCISCO CA  94105
79.42%
DELAWARE HEDGED U.S. EQUITY OPPORTUNITIES FUND ILPL FINANCIAL
4707 EXECUTIVE DR
SAN DIEGO CA 92121
8.35%
DELAWARE HEDGED U.S. EQUITY OPPORTUNITIES FUND INATIONAL FINANCIAL SERVICES LLC
(FBO) OUR CUSTOMERS
ATTN MUTUAL FUNDS DEPARTMENT
4TH FLOOR
499 WASHINGTON BLVD
JERSEY CITY NJ  07310
6.00%


DELAWARE HEDGED U.S. EQUITY OPPORTUNITIES FUND R6CHARLES SCHWAB & CO INC
SPECIAL CUSTODY A/C FBO CUSTOMERS
ATTN MUTUAL FUNDS
211 MAIN ST
SAN FRANCISCO CA 94105
22.65%
DELAWARE HEDGED U.S. EQUITY OPPORTUNITIES FUND R6MACQUARIE INVESTMENT MANAGEMENT
ADVISORS
100 INDEPENDENCE
610 MARKET STREET 7TH FLOOR
PHILADELPHIA PA 19106-2354
77.35%
DELAWARE TAX-FREE NEW JERSEY FUND CLASS APERSHING LLC
1 PERSHING PLAZA
JERSEY CITY NJ  07399-0002
6.64%
DELAWARE TAX-FREE NEW JERSEY FUND CLASS ILPL FINANCIAL
4707 EXECUTIVE DR
SAN DIEGO CA 92121
87.47%
DELAWARE TAX-FREE NEW JERSEY FUND CLASS IUBS WM USA
SPEC CDY A/C EXL BEN CUSTOMERS
OF UBSFSI
1000 HARBOR BLVD
WEEHAWKEN, NJ  07086
5.25%
DELAWARE OPPORTUNITY FUND CLASS AMATRIX TRUST COMPANY CUST. FBO
PEN SERV DELAWARE/FORESTERS
717 17TH STREET
SUITE 1300
DENVER CO 80202
23.77%
DELAWARE OPPORTUNITY FUND CLASS ASAMMONS RETIREMENT SOLUTION
4546 CORPORATE DR STE 100
WEST DES MOINES IA 50266-5911
9.72%


DELAWARE OPPORTUNITY FUND CLASS ICHARLES SCHWAB & CO INC
SPECIAL CUSTODY ACCT FBO CUSTOMERS
ATTN MUTUAL FUNDS
211 MAIN ST
SAN FRANCISCO CA  94105
29.21%
DELAWARE OPPORTUNITY FUND CLASS ILPL FINANCIAL
4707 EXECUTIVE DR
SAN DIEGO CA 92121
34.46%
DELAWARE OPPORTUNITY FUND CLASS INATIONAL FINANCIAL SERVICES LLC
(FBO) OUR CUSTOMERS
ATTN MUTUAL FUNDS DEPARTMENT
4TH FLOOR
499 WASHINGTON BLVD
JERSEY CITY NJ  07310
7.50%
DELAWARE OPPORTUNITY FUND CLASS IPERSHING LLC
1 PERSHING PLAZA
JERSEY CITY NJ  07399-0002
12.56%
DELAWARE OPPORTUNITY FUND CLASS ISEI PRIVATE TRUST COMPANY
C/O GWP US ADVISORS
1 FREEDOM VALLEY DR
OAKS PA 19456-9989
10.49%
DELAWARE OPPORTUNITY FUND CLASS R6CHARLES SCHWAB & CO INC
SPECIAL CUSTODY A/C FBO CUSTOMERS
ATTN MUTUAL FUNDS
211 MAIN ST
SAN FRANCISCO CA 94105
21.69%
DELAWARE OPPORTUNITY FUND CLASS R6MACQUARIE INVESTMENT MANAGEMENT
ADVISORS
100 INDEPENDENCE
610 MARKET STREET 7TH FLOOR
PHILADELPHIA PA 19106-2354
5.69%


DELAWARE OPPORTUNITY FUND CLASS R6MATRIX TRUST COMPANY CUST. FBO
YOUNG ARCHITECTURAL, LLC 401K PLAN
717 17TH ST STE 1300
DENVER CO 80202-3304
69.83%
DELAWARE TAX-FREE OREGON FUND CLASS ALPL FINANCIAL
4707 EXECUTIVE DR
SAN DIEGO CA 92121
5.38%
DELAWARE TAX-FREE OREGON FUND CLASS ILPL FINANCIAL
4707 EXECUTIVE DR
SAN DIEGO CA 92121
52.39%
DELAWARE TAX-FREE OREGON FUND CLASS INATIONAL FINANCIAL SERVICES LLC
(FBO) OUR CUSTOMERS
ATTN MUTUAL FUNDS DEPARTMENT
4TH FLOOR
499 WASHINGTON BLVD
JERSEY CITY NJ  07310
9.07%
DELAWARE TAX-FREE OREGON FUND CLASS IPERSHING LLC
1 PERSHING PLAZA
JERSEY CITY NJ  07399-0002
13.62%
DELAWARE TAX-FREE OREGON FUND CLASS IRAYMOND JAMES
OMNIBUS FOR MUTUAL FUNDS
ATTN COURTNEY WALLER
880 CARILLON PARKWAY
ST PETERSBURG FL  33713
22.20%
DELAWARE PREMIUM INCOME FUND CLASS AMATRIX TRUST COMPANY CUST. FBO
PEN SERV DELAWARE/FORESTERS
717 17TH STREET
SUITE 1300
DENVER CO 80202
13.08%
DELAWARE PREMIUM INCOME FUND CLASS ICHARLES SCHWAB & CO INC
SPECIAL CUSTODY A/C FBO CUSTOMERS
ATTN: MUTUAL FUNDS
211 MAIN ST
SAN FRANCISCO CA 94105
14.90%


DELAWARE PREMIUM INCOME FUND CLASS ICHARLES SCHWAB & CO INC
SPECIAL CUSTODY ACCT FBO CUSTOMERS
ATTN MUTUAL FUNDS
211 MAIN ST
SAN FRANCISCO CA  94105
49.69%
DELAWARE PREMIUM INCOME FUND CLASS ILPL FINANCIAL
4707 EXECUTIVE DR
SAN DIEGO CA 92121
19.49%
DELAWARE PREMIUM INCOME FUND CLASS INATIONAL FINANCIAL SERVICES LLC
(FBO) OUR CUSTOMERS
ATTN MUTUAL FUNDS DEPARTMENT
4TH FLOOR
499 WASHINGTON BLVD
JERSEY CITY NJ  07310
5.73%
DELAWARE PREMIUM INCOME FUND CLASS R6MACQUARIE INVESTMENT MANAGEMENT
ADVISORS
100 INDEPENDENCE
610 MARKET STREET 7TH FLOOR
PHILADELPHIA PA 19106-2354
69.65%
DELAWARE PREMIUM INCOME FUND CLASS R6PERSHING LLC
1 PERSHING PLAZA
JERSEY CITY NJ  07399-0002
30.35%
DELAWARE GROWTH EQUITY FUND CLASS AMATRIX TRUST COMPANY CUST. FBO
PEN SERV DELAWARE/FORESTERS
717 17TH STREET
SUITE 1300
DENVER CO 80202
23.28%


DELAWARE GROWTH EQUITY FUND CLASS ICHARLES SCHWAB & CO INC
SPECIAL CUSTODY ACCT FBO CUSTOMERS
ATTN MUTUAL FUNDS
211 MAIN ST
SAN FRANCISCO CA  94105
75.80%
DELAWARE GROWTH EQUITY FUND CLASS ILPL FINANCIAL
4707 EXECUTIVE DR
SAN DIEGO CA 92121
8.61%
DELAWARE GROWTH EQUITY FUND CLASS INATIONAL FINANCIAL SERVICES LLC
(FBO) OUR CUSTOMERS
ATTN MUTUAL FUNDS DEPARTMENT
4TH FLOOR
499 WASHINGTON BLVD
JERSEY CITY NJ  07310
8.22%
DELAWARE GROWTH EQUITY FUND CLASS R6DCGT AS TTEE AND/OR CUST
FBO PLIC VARIOUS RETIREMENT PLANS
OMNIBUS
ATTN NPIO TRADE DESK
711 HIGH STREET
DES MOINES, IA 50392
69.74%
DELAWARE GROWTH EQUITY FUND CLASS R6MATRIX TRUST COMPANY CUST. FBO
PENSERV PENSELECT SMARTSAV
717 17TH STREET
SUITE 1300
DENVER CO 80202
25.77%
DELAWARE TOTAL RETURN FUND CLASS AMATRIX TRUST COMPANY CUST. FBO
PEN SERV DELAWARE/FORESTERS
717 17TH STREET
SUITE 1300
DENVER CO 80202
20.26%
DELAWARE TOTAL RETURN FUND CLASS ICHARLES SCHWAB & CO INC
SPECIAL CUSTODY ACCT FBO CUSTOMERS
ATTN MUTUAL FUNDS
211 MAIN ST
SAN FRANCISCO CA  94105
21.81%


DELAWARE TOTAL RETURN FUND CLASS ILPL FINANCIAL
4707 EXECUTIVE DR
SAN DIEGO CA 92121
19.00%
DELAWARE TOTAL RETURN FUND CLASS INATIONAL FINANCIAL SERVICES LLC
(FBO) OUR CUSTOMERS
ATTN MUTUAL FUNDS DEPARTMENT
4TH FLOOR
499 WASHINGTON BLVD
JERSEY CITY NJ  07310
5.80%
DELAWARE TOTAL RETURN FUND CLASS IPERSHING LLC
1 PERSHING PLAZA
JERSEY CITY NJ  07399-0002
10.28%
DELAWARE TOTAL RETURN FUND CLASS IRAYMOND JAMES
OMNIBUS FOR MUTUAL FUNDS
ATTN COURTNEY WALLER
880 CARILLON PARKWAY
ST PETERSBURG FL  33713
6.37%
DELAWARE TOTAL RETURN FUND CLASS ISEI PRIVATE TRUST COMPANY
C/O GWP US ADVISORS
1 FREEDOM VALLEY DRIVE
OAKS PA 19456
32.65%
DELAWARE TOTAL RETURN FUND CLASS R6CHARLES SCHWAB & CO INC
SPECIAL CUSTODY A/C FBO CUSTOMERS
ATTN MUTUAL FUNDS
211 MAIN ST
SAN FRANCISCO CA 94105
25.43%
DELAWARE TOTAL RETURN FUND CLASS R6MACQUARIE INVESTMENT MANAGEMENT
ADVISORS
100 INDEPENDENCE
610 MARKET STREET 7TH FLOOR
PHILADELPHIA PA 19106-2354
19.10%


DELAWARE TOTAL RETURN FUND CLASS R6MATRIX TRUST COMPANY AS AGENT FOR
ADVISOR TRUST, INC.
WOOSTER CITY SCHOOL DISTRICT 403(B)
717 17TH STREET, SUITE 1300
DENVER CO 80202
19.89%
DELAWARE TOTAL RETURN FUND CLASS R6MATRIX TRUST COMPANY CUST. FBO
YOUNG ARCHITECTURAL, LLC 401K PLAN
717 17TH ST STE 1300
DENVER CO 80202-3304
35.58%
VIP FUND FOR INCOME  STANDARD CLASSFIRST INVESTORS LIFE LEVEL PREMIUM
VARIABLE LIFE INSURANCE
SEPARATE ACCOUNT B
40 WALL ST
NEW YORK NY 10005
46.80%
VIP FUND FOR INCOME  STANDARD CLASSFIRST INVESTORS LIFE
SEPARATE ACCOUNT E
40 WALL ST
NEW YORK NY 10005
10.17%
VIP FUND FOR INCOME  STANDARD CLASSFIRST INVESTORS LIFE
VARIABLE ANNUITY FUND C
40 WALL ST
NEW YORK NY 10005
18.68%
VIP FUND FOR INCOME  STANDARD CLASSFIRST INVESTORS LIFE
VARIABLE ANNUITY FUND D
40 WALL ST
NEW YORK NY 10005
20.49%
VIP GROWTH EQUITY  STANDARD CLASSFIRST INVESTORS LIFE LEVEL PREMIUM
VARIABLE LIFE INSURANCE
SEPARATE ACCOUNT B
40 WALL ST
NEW YORK NY 10005
42.52%
VIP GROWTH EQUITY  STANDARD CLASSFIRST INVESTORS LIFE
SEPARATE ACCOUNT E
40 WALL ST
NEW YORK NY 10005
15.61%


VIP GROWTH EQUITY  STANDARD CLASSFIRST INVESTORS LIFE
VARIABLE ANNUITY FUND C
40 WALL ST
NEW YORK NY 10005
21.27%
VIP GROWTH EQUITY  STANDARD CLASSFIRST INVESTORS LIFE
VARIABLE ANNUITY FUND D
40 WALL ST
NEW YORK NY 10005
20.60%
VIP EQUITY INCOME  STANDARD CLASSFIRST INVESTORS LIFE LEVEL PREMIUM
VARIABLE LIFE INSURANCE
SEPARATE ACCOUNT B
40 WALL ST
NEW YORK NY 10005
48.11%
VIP EQUITY INCOME  STANDARD CLASSFIRST INVESTORS LIFE
SEPARATE ACCOUNT E
40 WALL ST
NEW YORK NY 10005
10.56%
VIP EQUITY INCOME  STANDARD CLASSFIRST INVESTORS LIFE
VARIABLE ANNUITY FUND C
40 WALL ST
NEW YORK NY 10005
22.12%
VIP EQUITY INCOME  STANDARD CLASSFIRST INVESTORS LIFE
VARIABLE ANNUITY FUND D
40 WALL ST
NEW YORK NY 10005
19.21%
VIP GROWTH AND INCOME  STANDARD CLASSFIRST INVESTORS LIFE LEVEL PREMIUM
VARIABLE LIFE INSURANCE
SEPARATE ACCOUNT B
40 WALL ST
NEW YORK NY 10005
68.79%
VIP GROWTH AND INCOME  STANDARD CLASSFIRST INVESTORS LIFE
SEPARATE ACCOUNT E
40 WALL ST
NEW YORK NY 10005
5.66%


VIP GROWTH AND INCOME  STANDARD CLASSFIRST INVESTORS LIFE
VARIABLE ANNUITY FUND C
40 WALL ST
NEW YORK NY 10005
16.01%
VIP GROWTH AND INCOME  STANDARD CLASSFIRST INVESTORS LIFE
VARIABLE ANNUITY FUND D
40 WALL ST
NEW YORK NY 10005
9.53%
VIP OPPORTUNITY  STANDARD CLASSFIRST INVESTORS LIFE LEVEL PREMIUM
VARIABLE LIFE INSURANCE
SEPARATE ACCOUNT B
40 WALL ST
NEW YORK NY 10005
21.89%
VIP OPPORTUNITY  STANDARD CLASSFIRST INVESTORS LIFE
SEPARATE ACCOUNT E
40 WALL ST
NEW YORK NY 10005
22.84%
VIP OPPORTUNITY  STANDARD CLASSFIRST INVESTORS LIFE
VARIABLE ANNUITY FUND C
40 WALL ST
NEW YORK NY 10005
19.49%
VIP OPPORTUNITY  STANDARD CLASSFIRST INVESTORS LIFE
VARIABLE ANNUITY FUND D
40 WALL ST
NEW YORK NY 10005
23.44%
VIP OPPORTUNITY  STANDARD CLASSMIDLAND NATIONAL LIFE
SEPARATE ACCOUNT C
4350 WESTOWN PKWY
WEST DES MOINES IA 50266-1144
12.34%


VIP LIMITED DURATION BOND  STANDARD CLASSFIRST INVESTORS LIFE LEVEL PREMIUM
VARIABLE LIFE INSURANCE
SEPARATE ACCOUNT B
40 WALL ST
NEW YORK NY 10005
26.95%
VIP LIMITED DURATION BOND  STANDARD CLASSFIRST INVESTORS LIFE
SEPARATE ACCOUNT E
40 WALL ST
NEW YORK NY 10005
12.67%
VIP LIMITED DURATION BOND  STANDARD CLASSFIRST INVESTORS LIFE
VARIABLE ANNUITY FUND C
40 WALL ST
NEW YORK NY 10005
31.40%
VIP LIMITED DURATION BOND  STANDARD CLASSFIRST INVESTORS LIFE
VARIABLE ANNUITY FUND D
40 WALL ST
NEW YORK NY 10005
28.98%
VIP SPECIAL SITUATIONS  STANDARD CLASSFIRST INVESTORS LIFE LEVEL PREMIUM
VARIABLE LIFE INSURANCE
SEPARATE ACCOUNT B
40 WALL ST
NEW YORK NY 10005
69.56%
VIP SPECIAL SITUATIONS  STANDARD CLASSFIRST INVESTORS LIFE
SEPARATE ACCOUNT E
40 WALL ST
NEW YORK NY 10005
7.18%
VIP SPECIAL SITUATIONS  STANDARD CLASSFIRST INVESTORS LIFE
VARIABLE ANNUITY FUND C
40 WALL ST
NEW YORK NY 10005
14.74%
VIP SPECIAL SITUATIONS  STANDARD CLASSFIRST INVESTORS LIFE
VARIABLE ANNUITY FUND D
40 WALL ST
NEW YORK NY 10005
8.51%


VIP INTERNATIONAL  STANDARD CLASSFIRST INVESTORS LIFE LEVEL PREMIUM
VARIABLE LIFE INSURANCE
SEPARATE ACCOUNT B
40 WALL ST
NEW YORK NY 10005
48.20%
VIP INTERNATIONAL  STANDARD CLASSFIRST INVESTORS LIFE
SEPARATE ACCOUNT E
40 WALL ST
NEW YORK NY 10005
5.13%
VIP INTERNATIONAL  STANDARD CLASSFIRST INVESTORS LIFE
VARIABLE ANNUITY FUND C
40 WALL ST
NEW YORK NY 10005
12.10%
VIP INTERNATIONAL  STANDARD CLASSFIRST INVESTORS LIFE
VARIABLE ANNUITY FUND D
40 WALL ST
NEW YORK NY 10005
8.71%
VIP INTERNATIONAL  STANDARD CLASSTIAA CREF LIFE SEPARATE
ACCOUNT VA-1 LIFE INSURANCE CO
8500 ANDREW CARNEGIE BLVD # E3/N6
CHARLOTTE NC 28262-8500
22.26%
VIP TOTAL RETURN  STANDARD CLASSFIRST INVESTORS LIFE LEVEL PREMIUM
VARIABLE LIFE INSURANCE
SEPARATE ACCOUNT B
40 WALL ST
NEW YORK NY 10005
13.32%
VIP TOTAL RETURN  STANDARD CLASSFIRST INVESTORS LIFE
SEPARATE ACCOUNT E
40 WALL ST
NEW YORK NY 10005
17.50%
VIP TOTAL RETURN  STANDARD CLASSFIRST INVESTORS LIFE
VARIABLE ANNUITY FUND C
40 WALL ST
NEW YORK NY 10005
26.00%


VIP TOTAL RETURN  STANDARD CLASSFIRST INVESTORS LIFE
VARIABLE ANNUITY FUND D
40 WALL ST
NEW YORK NY 10005
42.83%
VIP TOTAL RETURN  SERVICE CLASSMACQUARIE INVESTMENT MANAGEMENT
ADVISERS
ATTN RICK SALUS
100 INDEPENDENCE
610 MARKET STREET 7TH FLOOR
PHILADELPHIA PA 19106-2354
100.00%
VIP INVESTMENT GRADE  STANDARD CLASSFIRST INVESTORS LIFE LEVEL PREMIUM
VARIABLE LIFE INSURANCE
SEPARATE ACCOUNT B
40 WALL ST
NEW YORK NY 10005
30.28%
VIP INVESTMENT GRADE  STANDARD CLASSFIRST INVESTORS LIFE
SEPARATE ACCOUNT E
40 WALL ST
NEW YORK NY 10005
11.46%
VIP INVESTMENT GRADE  STANDARD CLASSFIRST INVESTORS LIFE
VARIABLE ANNUITY FUND C
40 WALL ST
NEW YORK NY 10005
32.12%
VIP INVESTMENT GRADE  STANDARD CLASSFIRST INVESTORS LIFE
VARIABLE ANNUITY FUND D
40 WALL ST
NEW YORK NY 10005
26.14%
VIP INVESTMENT GRADE  SERVICE CLASSMACQUARIE INVESTMENT MANAGEMENT
ADVISERS
ATTN RICK SALUS
100 INDEPENDENCE
610 MARKET STREET 7TH FLOOR
PHILADELPHIA PA 19106-2354
100.00%


VIP EMERGING MARKETS SERIES STANDARD CLASSLINCOLN LIFE
1300 S CLINTON ST
FORT WAYNE IN 46802-3518
80.15%
VIP EMERGING MARKETS SERIES STANDARD CLASSNY LIFE INSURANCE & ANNUITY CORP
169 LACKAWANNA AVE
PARSIPPANY NJ  07054-1007
5.07%
VIP EMERGING MARKETS SERIES STANDARD CLASSTALCOTT RESOLUTION LIFE
INSURANCE COMPANY
PO BOX 5051
HARTFORD CT  06102
9.59%
VIP EMERGING MARKETS SERIES SERVICE CLASSLINCOLN LIFE
1300 S CLINTON ST
FORT WAYNE IN 46802-3518
85.90%
VIP SMALL CAP VALUE SERIES STANDARD CLASSBRIGHTHOUSE LIFE INSURANCE CO
ATTN: SHAREHOLDER ACCOUNTING DEPT
1 CITY PL
HARTFORD CT 06103-3432
7.01%
VIP SMALL CAP VALUE SERIES STANDARD CLASSLINCOLN LIFE
1300 S CLINTON ST
FORT WAYNE IN 46802-3518
61.78%
VIP SMALL CAP VALUE SERIES STANDARD CLASSNY LIFE INSURANCE & ANNUITY CORP
169 LACKAWANNA AVE
PARSIPPANY NJ  07054-1007
9.45%
VIP SMALL CAP VALUE SERIES STANDARD CLASSTIAA CREF LIFE SEPARATE
ACCOUNT VA-1 LIFE INSURANCE CO
8500 ANDREW CARNEGIE BLVD # E3/N6
CHARLOTTE NC 28262-8500
7.35%


VIP SMALL CAP VALUE SERIES SERVICE CLASSLINCOLN LIFE
1300 S CLINTON ST
FORT WAYNE IN 46802-3518
70.33%
VIP SMALL CAP VALUE SERIES SERVICE CLASSNATIONWIDE LIFE INSURANCE COMPANY
NWVAII
C/O IPO PORTFOLIO ACCOUNTING
P.O. BOX 182029
COLUMBUS OH 43218-2029
7.39%
VIP SMALL CAP VALUE SERIES SERVICE CLASSNY LIFE INSURANCE & ANNUITY CORP
169 LACKAWANNA AVE
PARSIPPANY NJ  07054-1007
5.09%
VIP INTERNATIONAL SERVICE CLASSGREAT-WEST LIFE & ANNUITY
FBO COLI VUL
8515 E ORCHARD RD 2T2
GREENWOOD VILLAGE CO 80111
28.27%
VIP INTERNATIONAL SERVICE CLASSGREAT-WEST LIFE & ANNUITY
FBO VARIABLE ANNUITY SMARTTRACK
8515 E ORCHARD RD 2T2
GREENWOOD VILLAGE CO 80111
64.18%
OPTIMUM LARGE CAP GROWTH FUND ALPL FINANCIAL
OMNIBUS CUSTOMER ACCOUNT
ATTN LINDSAY OTOOLE
4707 EXECUTIVE DRIVE
SAN DIEGO CA  92121
93.01%
OPTIMUM LARGE CAP GROWTH FUND CLPL FINANCIAL
OMNIBUS CUSTOMER ACCOUNT
ATTN LINDSAY OTOOLE
4707 EXECUTIVE DRIVE
SAN DIEGO CA  92121
93.61%
OPTIMUM LARGE CAP GROWTH FUND ILPL FINANCIAL
OMNIBUS CUSTOMER ACCOUNT
ATTN LINDSAY OTOOLE
4707 EXECUTIVE DRIVE
SAN DIEGO CA  92121
97.40%


OPTIMUM LARGE CAP VALUE FUND ALPL FINANCIAL
OMNIBUS CUSTOMER ACCOUNT
ATTN LINDSAY OTOOLE
4707 EXECUTIVE DRIVE
SAN DIEGO CA  92121
94.11%
OPTIMUM LARGE CAP VALUE FUND CLPL FINANCIAL
OMNIBUS CUSTOMER ACCOUNT
ATTN LINDSAY OTOOLE
4707 EXECUTIVE DRIVE
SAN DIEGO CA  92121
94.86%
OPTIMUM LARGE CAP VALUE FUND ILPL FINANCIAL
OMNIBUS CUSTOMER ACCOUNT
ATTN LINDSAY OTOOLE
4707 EXECUTIVE DRIVE
SAN DIEGO CA  92121
97.96%
OPTIMUM SMALL-MID CAP GROWTH FUND ALPL FINANCIAL
OMNIBUS CUSTOMER ACCOUNT
ATTN LINDSAY OTOOLE
4707 EXECUTIVE DRIVE
SAN DIEGO CA  92121
92.71%
OPTIMUM SMALL-MID CAP GROWTH FUND CLPL FINANCIAL
OMNIBUS CUSTOMER ACCOUNT
ATTN LINDSAY OTOOLE
4707 EXECUTIVE DRIVE
SAN DIEGO CA  92121
92.97%
OPTIMUM SMALL-MID CAP GROWTH FUND ILPL FINANCIAL
OMNIBUS CUSTOMER ACCOUNT
ATTN LINDSAY OTOOLE
4707 EXECUTIVE DRIVE
SAN DIEGO CA  92121
97.67%
OPTIMUM SMALL-MID CAP VALUE FUND ALPL FINANCIAL
OMNIBUS CUSTOMER ACCOUNT
ATTN LINDSAY OTOOLE
4707 EXECUTIVE DRIVE
SAN DIEGO CA  92121
95.66%
OPTIMUM SMALL-MID CAP VALUE FUND CLPL FINANCIAL
OMNIBUS CUSTOMER ACCOUNT
ATTN LINDSAY OTOOLE
4707 EXECUTIVE DRIVE
SAN DIEGO CA  92121
95.47%


OPTIMUM SMALL-MID CAP VALUE FUND ILPL FINANCIAL
OMNIBUS CUSTOMER ACCOUNT
ATTN LINDSAY OTOOLE
4707 EXECUTIVE DRIVE
SAN DIEGO CA  92121
98.45%
OPTIMUM INTERNATIONAL FUND ALPL FINANCIAL
OMNIBUS CUSTOMER ACCOUNT
ATTN LINDSAY OTOOLE
4707 EXECUTIVE DRIVE
SAN DIEGO CA  92121
95.72%
OPTIMUM INTERNATIONAL FUND CLPL FINANCIAL
OMNIBUS CUSTOMER ACCOUNT
ATTN LINDSAY OTOOLE
4707 EXECUTIVE DRIVE
SAN DIEGO CA  92121
95.17%
OPTIMUM INTERNATIONAL FUND ILPL FINANCIAL
OMNIBUS CUSTOMER ACCOUNT
ATTN LINDSAY OTOOLE
4707 EXECUTIVE DRIVE
SAN DIEGO CA  92121
98.54%
OPTIMUM FIXED INCOME FUND ALPL FINANCIAL
OMNIBUS CUSTOMER ACCOUNT
ATTN LINDSAY OTOOLE
4707 EXECUTIVE DRIVE
SAN DIEGO CA  92121
96.17%
OPTIMUM FIXED INCOME FUND CLPL FINANCIAL
OMNIBUS CUSTOMER ACCOUNT
ATTN LINDSAY OTOOLE
4707 EXECUTIVE DRIVE
SAN DIEGO CA  92121
96.68%
OPTIMUM FIXED INCOME FUND ILPL FINANCIAL
OMNIBUS CUSTOMER ACCOUNT
ATTN LINDSAY OTOOLE
4707 EXECUTIVE DRIVE
SAN DIEGO CA  92121
98.75%





APPENDIX F
TRUSTEE COMPENSATION

The following table sets forth the aggregate dollar range of shares of the Delaware Investments® Family of Funds that are beneficially ownedcompensation paid to each current Independent Trustee by each Trustee Nominee as of October 31, 2014.

Thomas L.AnnPatrick P.Joseph W.John A.Lucinda S.Frances A.Thomas K.Janet L.J. Richard
Fund    Bennett    Borowiec    Coyne    Chow    Fry    Landreth    Sevilla-Sacasa    Whitford    Yeomans    Zecher
Delaware Cash Reserve® FundOver$10,000 -
$100,000$50,000
Delaware Core Plus Bond Fund$1-$10,000
Delaware Corporate Bond Fund
Delaware Diversified Floating Rate FundOver
$100,000
Delaware Diversified Income Fund$1-$10,000$10,001 -
 $50,000
Delaware Dividend Income Fund$50,001 -Over
$100,000$100,000
Delaware Emerging Markets Fund$50,001 -Over$10,001 -$50,001 -
$100,000$100,000$50,000$100,000
Delaware Emerging Markets Debt Fund
Delaware Extended Duration Bond Fund
Delaware Focus Global Growth FundOver
$100,000
Delaware Foundation® Conservation$10,001 -
Allocation Fund$50,000
Delaware Foundation GrowthOverOver
Allocation Fund$100,000$100,000



Table of Contents

Thomas L.AnnPatrick P.Joseph W.John A.Lucinda S.Frances A.Thomas K.Janet L.J. Richard
Fund    Bennett    Borowiec    Coyne    Chow    Fry    Landreth    Sevilla-Sacasa    Whitford    Yeomans    Zecher
Delaware Foundation® Moderate$10,001 -
Allocation Fund$50,000
Delaware Global Real Estate
Opportunities Fund
Delaware Global Value Fund$10,001 -
$50,000
Delaware Healthcare FundOver
$100,000
Delaware High-Yield$10,001 -
Opportunities Fund$50,000
Delaware Inflation Protected Bond Fund
Delaware International ValueOver
Equity Fund$100,000
Delaware Limited-Term Diversified$1-$10,000
Income Fund
Delaware Mid Cap Value Fund
Delaware Minnesota High-Yield
Municipal Bond Fund
Delaware National High-Yield
Municipal Bond Fund
Delaware Select Growth Fund
Delaware Small Cap Core Fund$50,001 -Over
$100,000$100,000



Table of Contents

Thomas L.AnnPatrick P.Joseph W.John A.Lucinda S.Frances A.Thomas K.Janet L.J. Richard
Fund    Bennett    Borowiec    Coyne    Chow    Fry    Landreth    Sevilla-Sacasa    Whitford    Yeomans    Zecher
Delaware Small Cap Value FundOver$50,001 -
$100,000$100,000
Delaware Smid Cap Growth Fund
Delaware Tax-Free Arizona Fund
Delaware Tax-Free California Fund
Delaware Tax-Free Colorado Fund
Delaware Tax-Free Idaho Fund
Delaware Tax-Free Minnesota Fund
Delaware Tax-Free Minnesota
Intermediate Fund
Delaware Tax-Free New York Fund
Delaware Tax-Free Pennsylvania Fund
Delaware Tax-Free USA Fund
Delaware Tax-Free USA
Intermediate Fund
Delaware U.S. Growth Fund$50,001 -Over
$100,000$100,000
Delaware Value®FundOver$50,000 -OverOver
$100,000$100,000$100,000$100,000
Delaware VIP®Diversified
Income Series



Table of Contents

Thomas L.AnnPatrick P.Joseph W.John A.Lucinda S.Frances A.Thomas K.Janet L.J. Richard
FundBennettBorowiecCoyneChowFryLandrethSevilla-SacasaWhitfordYeomansZecher
Delaware VIP®Emerging Markets Series
Delaware VIP®High Yield Series
Delaware VIP®International Value
Equity Series
Delaware VIP®Limited-Term
Diversified Income Series
Delaware VIP®REIT Series$10,001 -
$50,000
Delaware VIP®Small Cap Value Series
Delaware VIP®Smid Cap Growth Series$10,001 -
$50,000
Delaware VIP® U.S. Growth Series
Delaware VIP® Value SeriesOver
$100,000
The Core Plus Fixed Income Portfolio
The Emerging Markets Portfolio
The Emerging Markets Portfolio II
The Focus Smid-Cap Growth
Equity Portfolio
The High-Yield Bond Portfolio
The International Equity Portfolio



Table of Contents

Thomas L.AnnPatrick P.Joseph W.John A.Lucinda S.Frances A.Thomas K.Janet L.J. Richard
Fund    Bennett    Borowiec    Coyne    Chow    Fry    Landreth    Sevilla-Sacasa    Whitford    Yeomans    Zecher
The Labor Select International
Equity Portfolio
The Large-Cap Growth Equity Portfolio
The Large-Cap Value Equity Portfolio 
The Real Estate Investment Trust
Portfolio (also known as Delaware
REIT Fund)
The Select 20 Portfolio
Aggregate dollar range of shares of theOver$50,001-OverOverOverOver$50,001-OverOverOver
Delaware Investments®Family of Funds:$100,000$100,000$100,000$100,000$100,000$100,000$100,000$100,000$100,000$100,000



Table of Contents

APPENDIX E –TRUSTEECOMPENSATION

Thefollowing tabledescribes theaggregatecompensationreceived by the currentIndependentTrustees from each Trust and the totalcompensationtotal compensation received from theDelawareInvestments®the Delaware Funds by Macquarie for which he or she served as aan Independent Trustee for the 12-month period endedDecember 31, 2014. Only theIndependentTrusteesreceiveddesignated below.  Messrs. Dobbs and Harroz and Ms. Lawrence did not serve as a Trustee of any Trust during the most recently completed fiscal year and therefore did not receive any compensation from the Trust.

Frances A.
Thomas L.Joseph W.John A.Lucinda S.Sevilla-Thomas K.Janet L.J. Richard
Trust   Bennett   Chow   Fry   Landreth   Sacasa   Whitford   Yeomans   Zecher
Delaware Group®Adviser Funds55543.3646087.8944814.1045043.6045043.6044856.9949481.6144423.97
Delaware Group Cash Reserve1398.181163.701123.651134.121134.121129.271244.531118.56
Delaware Group Equity Funds I32.0426.5125.8525.9725.9725.8228.5425.62
Delaware Group Equity Funds II32658.5626976.3426470.8326482.1326482.1326342.4329118.9826109.65
Delaware Group Equity Funds IV10528.278738.468496.868536.278536.278501.159382.388425.70
Delaware Group Equity Funds V22017.6418225.3317798.8917852.7917852.7917762.3219619.2517618.03
Delaware Group Foundation Funds®3550.742948.892859.202879.292879.292866.673161.292844.06
Delaware Group Global & International Funds21168.9517526.9517101.7417163.9917163.9917075.2218863.216938.75
Delaware Group Government Fund1485.361238.821193.191204.801204.801201.651322.551187.70
Delaware Group Income Funds19047.2015804.9415362.9815446.5215446.5215381.7716965.9315236.27
Delaware Group Limited-Term Government Funds8364.756958.726730.416783.716783.716758.327448.626692.50
Delaware Group State Tax-Free Income Trust3026.732512.912440.652454.642454.642445.872695.512421.22
Delaware Group Tax-Free Fund8170.566786.236584.436626.426626.426602.647274.906536.68
Delaware Pooled®Trust14570.3712093.3411742.1011814.8911814.8911757.7712977.1211662.02
Delaware VIP®Trust50412.5041808.7640677.7140880.1840880.1840698.5544905.5640336.04
Voyageur Insured Funds550.97457.56444.10446.82446.82445.27490.61440.79
Voyageur Intermediate Tax Free Funds654.22543.01527.53530.56530.56528.56582.58523.32
Voyageur Mutual Funds6521.015401.655270.255288.285288.285265.965809.945214.71
Voyageur Mutual Funds II1222.141014.57985.60991.13991.13987.531088.49977.47
Voyageur Mutual Funds III6683.235549.125388.575418.405418.405394.535954.365351.51
Voyageur Tax Free Funds3513.332917.502832.412849.282849.282839.003128.872810.42
TOTAL – 12-month period ended December 31, 2014271,120.11224,781.20218,871.05219,853.79219,853.79218,867.29241,544.82216,894.99

Trusts. Only the Independent Trustees received compensation from the Trusts.
 JeromeThomas L.
Bennett
Anne D.Joseph W.John A.LucindaFrances A. Sevilla-Thomas K.ChristiannaJanet L.
TrustAbernathy(Chair)BorowiecChowFryLandreth*SacasaWhitfordWoodYeomans
Delaware Group® Adviser Funds
(FYE 10/31/2020)
$33,277$44,406$32,101$30,775$30,807$30,638$32,937$34,661$33,140$32,937
Delaware Group Cash Reserve
(FYE 3/31/2021)
$467$618$443$429$437$347$465$483$467$455
Delaware Group Equity Funds I
(FYE 10/31/2020)
$406$537$384$367$376$367$400$424$405$400
Delaware Group Equity Funds II
(FYE 11/30/2020)
$62,860$82,590$59,397$56,224$58,016$56,224$61,710$65,173$62,860$61,710
Delaware Group Equity Funds IV
(FYE 9/30/2020)
$47,612$35,038$34,003$32,654$33,106$33,024$34,793$37,060$35,408$34,793
Delaware Group Equity Funds IV
(FYE 3/31/2021)
$27,210$35,845$25,694$25,003$25,425$19,195$27,009$28,008$27,120$26,307
Delaware Group Equity Funds V
(FYE 11/30/2020)
$51,621$67,462$48,736$46,015$47,363$46,015$50,423$53,309$51,621$50,423
Delaware Group Foundation Funds (FYE 3/31/2021)
$1,346$1,776$1,274$1,232$1,256$1,011$1,336$1,393$1,346$1,309
Delaware Group Global & International Funds
(FYE 11/30/2020)
$30,677$40,080$28,976$27,360$28,139$27,360$29,981$31,682$30,677$29,981
Delaware Group Government Fund (FYE 7/31/2021)
$600$838$605$589$579$594$609$631$596$619
Delaware Group Income Funds
(FYE 7/31/2021)
$10,759$15,011$10,863$10,557$10,376$10,649$10,920$11,298$10,682$11,089
           
Delaware Group Limited-Term Government Funds
(FYE 12/31/2020)
$2,428$3,185$2,300$2,173$2,233$2,173$2,383$2,511$2,428$2,383
Delaware Group State Tax-Free Income Trust (FYE 8/31/2021)
$8,885$12,052$8,269$8,649$8,538$3,967$8,890$9,027$8,885$8,837



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APPENDIX F – PRINCIPAL OFFICERS OF THE TRUSTS

Principal
Position(s)Occupation(s)
Name, Address,Held withLength ofDuring Past
and Birth Datethe TrustsTime Served5 Years
Patrick P. Coyne1Chairman,Chairman and TrusteePatrick P. Coyne has
2005 Market StreetPresident, Chiefsince August 16, 2006served in various executive
Philadelphia,Executive Officer,capacities at different times
PA 19103and TrusteePresident and Chief Executiveat Delaware Investments.2
Officer since August 1, 2006
April 1963
David F. ConnorSenior ViceSenior Vice PresidentDavid F. Connor has served
2005 Market StreetPresident, Deputysince May 2013; Deputyas Deputy General Counsel
Philadelphia,General Counsel,General Counsel sinceof Delaware Investments
PA 19103and SecretarySeptember 2000; Secretarysince 2000.
since October 2005
December 1963
Daniel V. GeatensVice PresidentTreasurer since October 2007Daniel V. Geatens has
2005 Market Streetand Treasurerserved in various capacities
Philadelphia,at different times at
PA 19103Delaware Investments.
October 1972
David P. O’ConnorExecutive ViceExecutive Vice PresidentDavid P. O’Connor has
2005 Market StreetPresident, Generalsince February 2012; Generalserved in various executive
Philadelphia,Counsel, and ChiefCounsel and Chief Legaland legal capacities
PA 19103Legal OfficerOfficer since October 2005at different times at
Delaware Investments.
February 1966
Richard SalusSenior ViceChief Financial OfficerRichard Salus has served in
2005 Market StreetPresident and Chiefsince November 2006various executive capacities
Philadelphia,Financial Officerat different times at
PA 19103Delaware Investments.
October 1963
____________________
1Patrick P. Coyne is considered to be an “Interested Trustee” because he is an executive officer of DMC.
2Delaware Investments is the marketing name for Delaware Management Holdings, Inc. and its subsidiaries, including the Funds’ investment advisor, principal underwriter, and transfer agent.
Delaware Group Tax-Free Fund
(FYE 8/31/2021)
$14,365$19,482$13,265$14,001$13,804$5,697$14,293$14,537$14,365$14,217
Delaware Pooled® Trust
(FYE 10/31/2020)
$4,855$6,501$4,697$4,505$4,506$4,483$4,810$5,055$4,834$4,810
Delaware VIP® Trust
(FYE 12/31/2020)
$54,853$66,556$49,673$46,937$48,281$46,937$51,478$54,338$52,535$51,475
Voyageur Insured Funds
(FYE 8/31/2021)
$8,885$12,052$8,269$8,649$8,538$3,967$8,890$9,027$8,885$8,837
Voyageur Intermediate Tax Free Funds
(FYE 8/31/2021)
$8,885$12,052$8,269$8,649$8,538$3,967$8,890$9,027$8,885$8,837
Voyageur Mutual Funds
(FYE 8/31/2021)
$8,885$12,052$8,269$8,649$8,538$3,967$8,890$9,027$8,885$8,837
Voyageur Mutual Funds II
(FYE 8/31/2021)
$8,885$12,052$8,269$8,649$8,538$3,967$8,890$9,027$8,885$8,837
Voyageur Mutual Funds III
(FYE 10/31/2020)
$1,645$2,189$1,583$1,516$1,520$1,510$1,624$1,712$1,638$1,624
Voyageur Tax Free Funds
(FYE 8/31/2021)
$8,885$12,052$8,269$8,649$8,538$3,967$8,890$9,027$8,885$8,837
  
*Ms. Landreth, a former Trustee, received compensation from the Trust prior to her death on Jan. 31, 2021.


APPENDIX G – AUDITOR INFORMATION


FEES FOR AUDIT AND OTHER SERVICES

The following table shows, for each Trust:



Audit Fees. The aggregateaudit fees billed for each of the last two fiscal years for professional services rendered by PwC forcategory are those fees associated with the audit of theeach Trust’s annual financial statements and for review of the financial statements included in the Trust’s annual reports or for services that are normally are provided by PwC in connection with statutory and regulatory filings or engagements and registration consents.  All of the audit services for thosethe fiscal years.years indicated for each Trust were approved by the Audit Committee in accordance with its pre-approval policies and procedures.
Audit-Related Fees.

 Audit-related fees refer to the assurance and related services by the independent public accounting firm that are reasonably related to the performance of each Trust’s annual financial statements and are not otherwise included under the “audit fees” category.

Tax Fees. The aggregate  Tax fees billed in each of the last two fiscal yearsrefer to fees for professional services rendered by PwCthe registered principal accounting firm for tax compliance, tax advice and tax planning.

Affiliate Audit-RelatedAll Other Fees. The aggregate All other fees billed by PWC for services relatingrefer to the performance of the audit of the financial statements of DMCfees related to internal control reviews, strategy and other service providers under common control with DMCconsulting, financial information systems design and that relate directly to the operations or financial reporting of the Trusts.

Aggregate Non-Audit Fees. The aggregate non-audit fees billed by PwC for services rendered to the Trusts and to DMCimplementation, consulting on other information systems, and other service providers under common control with DMC.

AffiliateAggregate
      Audit      Tax      Audit-Related      Non-Audit
TrustFeesFeesFeesFees
Delaware Group®Adviser Funds
       10/31/1497,615.0016,434.00
       10/31/13117,640.0021,650.00
Delaware Group Cash Reserve
       3/31/1428,000.003,160.00
       3/31/1324,835.003,000.00
Delaware Group Equity Funds I
       10/31/1426,259.904,740.00
       10/31/1323,035.004,500.00
Delaware Group Equity Funds II
       11/30/1426,750.004,741.00
       11/30/1323,435.004,500.00
Delaware Group Equity Funds IV
       9/30/1454,000.009,480.00
       9/30/1347,170.009,000.00
Delaware Group Equity Funds V
       11/30/1487,789.8014,223.00
       11/30/1377,405.0013,500.00
Delaware Group Foundation Funds®
       9/30/14124,605.0015,327.00
       9/30/13109,305.0014,550.00

tax services.


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AffiliateAggregate
AuditTaxAudit-RelatedNon-Audit
Trust      Fees      Fees      Fees      Fees
Delaware Group® Global & International Funds
       11/30/14108,800.0029,605.00
       11/30/13123,675.0028,100.00
Delaware Group Government Fund
       7/31/14114,004.8013,218.00
       7/31/1367,970.009,700.00
Delaware Group Income Funds
       7/31/14186,019.8025,545.00
       7/31/13163,175.0024,250.00
Delaware Group Limited-Term
Government Funds
       12/31/1440,400.005,109.00 
       12/31/1335,435.004,850.00
Delaware Group State Tax-Free Income Trust
       8/31/1434,125.004,214.00
       8/31/1329,935.004,000.00
Delaware Group Tax-Free Fund
       8/31/1469,160.008,428.00
       8/31/1360,670.008,000.00
Delaware Pooled®Trust
       10/31/14303,684.9058,785.00
       10/31/13317,855.0065,150.00
Delaware VIP®Trust
       12/31/14290,521.0051,832.00
       12/31/13254,850.0049,200.00 
Voyageur Insured Funds
       8/31/1434,125.004,214.00
       8/31/1329,935.004,000.00
Voyageur Intermediate Tax Free Funds
       8/31/1434,125.004,214.00
       8/31/1329,935.004,000.00
Voyageur Mutual Funds
       8/31/14171,080.0021,070.00
       8/31/13150,075.0020,000.00
Voyageur Mutual Funds II
       8/31/1434,125.004,214.00
       8/31/1329,935.004,000.00
Voyageur Mutual Funds III
       10/31/1426,715.009,482.00
       10/31/1345,670.009,000.00
Voyageur Tax Free Funds
       8/31/1434,125.004,214.00
       8/31/1329.935.004,000.00



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APPENDIX H – PRE-APPROVAL POLICIES AND PROCEDURES

The Trust’s Audit Committee has adopted Pre-Approval Policies and Procedures, which are set forth below.

AUDIT COMMITTEE OF THE
DELAWARE INVESTMENTS® FAMILY OF FUNDS

PROCEDURES FOR ENGAGEMENT OF
INDEPENDENT AUDITORS
FOR AUDIT AND NON-AUDIT SERVICES

I.Objective

These procedures (the “Procedures”) set forth the understanding of the Audit Committee of the Delaware Investments Family of Funds (the “Funds”) regarding the retention of the Funds’ independent auditors (the “Auditors”) to provide: (i) audit and permissible non-audit services to the Funds; (ii) non-audit services to the Funds’ investment advisers, and to any “control affiliates” (as defined below) of such investment advisers, that relate directly to the Funds’ operations or financial reporting; and (iii) certain other non-audit services to the Funds’ investment advisers and their control affiliates. The purpose of these Procedures is to ensure the Auditors’ independence and objectivity with respect to their audit services to the Funds.

II.Approval Procedures

A.Services provided to the Funds.

The engagement of the Auditors to provide audit or non-audit services to the Funds (referred to herein as “Fund Services”) shall be approved by the Funds’ Audit Committee prior to the commencement of any such engagement.

The engagement of the Auditors to provide the Fund Services listed on Annex I-A hereto, which include services customarily required by one or more of the Funds in the ordinary course of their operations, is hereby approved by the Audit Committee.

The engagement of the Auditors to provide any other Fund Services shall require prior approval by the Audit Committee and/or by the Chairperson or another member of the Audit Committee in accordance with Section IV of these Procedures.

The Auditors shall report to the Audit Committee at each of its regular meetings regarding all new or additional Fund Services not previously pre-approved at a meeting of the Audit Committee, including a general description of the services and projected fees, and the means by which such Fund Services were approved by the Audit Committee (i.e., whether listed on Annex I-A or specifically approved in accordance with Section IV).



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B.Fund-related services provided to Adviser entities.

The engagement of the Auditors to provide non-audit services to the Funds’ investment advisers, or to any control affiliates of such investment advisers, that relate directly to the Funds’ operations or financial reporting (referred to herein as “Fund-Related Adviser Services”) shall be approved by the Funds’ Audit Committee prior to the commencement of any such engagement. For purposes of these Procedures, the term “control affiliate” means any entity controlling, controlled by, or under common control with a Fund’s investment adviser that provides ongoing services to a Fund, and the term “investment adviser” is deemed to exclude any unaffiliated sub-adviser whose role is primarily portfolio management and is sub-contracted or overseen by a Fund’s investment adviser. Attached as Annex II is a list of parties deemed to be either an investment adviser to a Fund or a control affiliate of any such investment adviser (collectively referred to herein as “Adviser entities”) for purposes of these Procedures.

The engagement of the Auditors to provide the Fund-Related Adviser Services listed on Annex I-B, which include services customarily required by one or more Adviser entities in the ordinary course of their operations, is hereby approved by the Audit Committee.

The engagement of the Auditors to provide any other Fund-Related Adviser Services shall require prior approval by the Audit Committee and/or by the Chairperson or another member of the Audit Committee in accordance with Section IV of these Procedures.

The Auditors shall report to the Audit Committee at each of its regular meetings regarding all new or additional Fund-Related Adviser Services not previously pre-approved at a meeting of the Audit Committee, including a general description of the services and projected fees, and the means by which such Fund-Related Adviser Services were approved by the Audit Committee (i.e., whether listed on Annex I-B or specifically approved in accordance with Section IV).

C.Certain other services provided to Adviser entities.

The Audit Committee recognizes that there are cases where services proposed to be provided by the Auditors to Adviser entities are not Fund-Related Adviser Services within the meaning of these Procedures, but nonetheless may be relevant to the Committee’s ongoing evaluation of the Auditors’ independence and objectivity with respect to their audit services to the Funds. As a result, in all cases where an Adviser entity engages the Auditors to provide non-audit services that are not Fund Services or Fund-Related Adviser Services and the projected fees for such engagement

TrustAudit FeesAudit-Related FeesTax FeesAll Other Fees
Delaware Group Adviser Funds
10/31/19
10/31/20
 
$115,560
$79,310
 
-
-

$17,310
$10,700
 
-
-
Delaware Group Cash Reserve
3/31/20
3/31/21

$33,140
$32,380
 
-
-

$6,500
$6,500
 
-
-
Delaware Group Equity Funds I
10/31/19
10/31/20

$31,090
$30,330
-
-

$4,850
$4,850
 
-
-
Delaware Group Equity Funds II
11/30/19
11/30/20

$31,670
$30,910
-
-

$4,850
$4,850
 
-
-
Delaware Group Equity Funds IV
9/30/20

$567,680
 
-

$96,510
 
-
Delaware Group Equity Funds IV
3/31/20
3/31/21
 
$90,050
$87,770
 
-
-

$16,500
$16,500
 -
-



Delaware Group Equity Funds V
11/30/19
11/30/20

$103,940
$101,660

-
-


$17,310
-
-
Delaware Group Foundation Funds
3/31/20
3/31/21

$49,240
$48,480
-
-

$6,501
$6,501
-
-
Delaware Group Global & International Funds
11/30/19
11/30/20

$128,880
$94,380
-
-


$26,440
19,830

-
-
Delaware Group Government Fund
7/31/20
7/31/21

$90,870
$81,783
-


$13,000
$13,000
-
-
Delaware Group Income Funds
7/31/20
7/31/21

$172,640
$155,376
-
-

$26,000
$26,000
-
-
Delaware Group Limited-Term Government Funds
12/31/19
12/31/20


$360,490
$126,340
-
-


$38,080
$17,500
-
-
Delaware Group State Tax-Free Income Trust
8/31/19
8/31/20
$40,400
$36,640
-
-
$5,500
$5,500
-
-
Delaware Group Tax-Free Fund
8/31/19
8/31/20
$81,840
$80,320
-
-
$11,000
$11,000
-
-
Delaware Pooled Trust
10/31/19
10/31/20

$237,130
$231,810
-
-
$41,230
$41,230
-
-
Delaware VIP Trust
12/31/19
12/31/20
$921,410
$662,180

-
-

$103,000
$87,780
-
-
Voyageur Insured Funds
8/31/19
8/31/20
$40,400
$39,640
-
-
$5,500
$5,500
-
-
Voyageur Intermediate Tax-Free Funds
8/31/19
8/31/20
$40,400
$39,640
-
-
$5,500
$5,500
-
-
Voyageur Mutual Funds
8/31/19
8/31/20
$202,530
$198,720
-
-
$27,500
$27,500
-
-


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exceed $25,000, the Auditors will notify the Audit Committee not later than its next meeting. Such notification shall include a general description of the services to be provided, the entity that is to be the recipient of such services and the projected fees.

III.Internal Controls

The Audit Committee expects the Auditors to implement and maintain effective internal controls to: (A) monitor the Auditors’ independence; (B) prevent the Auditors from providing any impermissible non-audit services to the Funds; (C) prevent the Auditors from providing any Fund Services or Fund-Related Adviser Services without first obtaining assurances that any pre-approval required by these Procedures has been obtained; and (D) tabulate and calculate its fees that are required to be disclosed annually in compliance with Independence Standards Board No. 1.

The Audit Committee also expects Delaware Management Company (“DMC”) to develop, implement and maintain effective internal controls with respect to (B) and (C) above.

IV.

Voyageur Mutual Funds II
8/31/19
8/31/20

$40,400
$39,640
-
-
$5,500
$5,500
-
-
Voyageur Mutual Funds III
10/31/19
10/31/20
$31,630
$30,870
-
-

$4,850
$4,850
-
-
Voyageur Tax Free Funds
8/31/19
8/31/20
$40,400
$39,640
-
-

$5,500
$5,500
-
-


Pre-Approval Process

Pre-approval procedures for the engagement of the Auditors to provide any Fund Services not listed on Annex I-A to these Procedures or any Fund-Related Adviser Services not listed Annex I-B to these Procedures shall be as follows:

a brief written request shall be prepared detailing the proposed engagement with an explanation as to why the work is proposed to be performed by the Auditors (e.g., particular expertise, timing, etc.);
the request should be addressed to the Audit Committee with copies to the Funds’ Chief Financial Officer and Chief Legal Officer;
if time reasonably permits, the request shall be included in the meeting materials for the upcoming Audit Committee meeting when the Committee will consider the proposed engagement and approve or deny the request;
should the request require more immediate action, the written request should be e-mailed, faxed or otherwise delivered to the Audit Committee Chairperson, with copies to the Funds’ Chief Financial Officer and Chief Legal Officer, followed by a telephone call to the Chairperson of the Audit Committee.Officer.  The Chairperson of the Audit Committee may approve or deny the request on behalf of the Audit Committee, or, in the Chairperson’sChairperson's discretion, determine to call a special meeting of the Audit Committee for the purpose of considering the proposal.  Should the Chairperson of the Audit Committee be unavailable, any othera designated member of the Audit Committee, as determined by the Audit Committee, may serve as an alternate for the purpose of approving or denying the request.


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V.Scope of Procedures

These Procedures shall apply to both direct and indirect engagements of the Auditors.  Indirect engagements are situations where the Auditors are engaged to provide Fund Services or Fund-Related Adviser Services by a service provider to a Fund or Adviser entity at an Adviser entity’sentity's explicit or implicit direction or recommendation (e.g., the engagement of the Auditors by counsel to an Adviser entity to provide services relating to a Fund or Adviser entity).

VI.


Periodic Certification by AuditorsANNEX I-A

In connection with each regular Audit Committee meeting, the Auditors shall certify in writing to the Audit Committee that they have complied with all provisions of these Procedures.

VII.Amendments; Annual Approval by Audit Committee

These Procedures may be amended from time to time by the Audit Committee. Prompt notice of any amendments will be provided to the Auditors and DMC. These Procedures shall be reviewed and approved at least annually by the Audit Committee. Each approval of these Procedures shall be deemed to constitute a new prospective approval of those services listed above as of the date of such approval.

Initially Approved: December 15, 2005
Last Approved: August 19, 2014



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ANNEX I-A

Pre-Approved Fund Services


ServiceRange of Fees
Audit Services
 
Statutory audits or financial audits for new Fundsup to $40,000$50,000 per Fund
Services associated with SEC registration statements (e.g., Form N-1A, Form N-14, etc.), periodic reports and other documents filed with the SEC or other documents issued in connection with securities offerings (e.g., comfort letters for closed-end Fund offerings, consents), and assistance in responding to SEC comment letters
up to $10,000 per Fund
Consultations by Fund management as to the accounting or disclosure treatment of transactions or events and/or the actual or potential impact of final or proposed rules, standards or interpretations by the SEC, FASB, or other regulatory or standard-setting bodies (Note: Under SEC rules, some consultations may be considered “audit-related services” rather than “audit services”)
up to $25,000 in the aggregate
Audit-Related Services
 
Consultations by Fund management as to the accounting or disclosure treatment of transactions or events and /or the actual or potential impact of final or proposed rules, standards or interpretations by the SEC, FASB, or other regulatory or standard-setting bodies (Note: Under SEC rules, some consultations may be considered “audit services” rather than “audit-related services”)
up to $25,000 in the aggregate
Tax Services
 
U.S. federal, state and local and international tax planning and advice (e.g., consulting on statutory, regulatory or administrative developments, evaluation of Funds’ tax compliance function, etc.)
up to $25,000 in the aggregate
U.S. federal, state and local tax compliance (e.g., excise distribution reviews, etc.)up to $5,000 per Fund
Review of federal, state, local and international income, franchise and other tax returnsup to $5,000 per Fund



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ANNEX I-B


Pre-Approved Fund-Related Adviser Services


ServiceRange of Fees
Non-Audit Services 
Services associated with periodic reports and other documents filed with the SEC and assistance in responding to SEC comment lettersup to $10,000 in the aggregate



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ANNEX II

Delaware Management Business Trust

Delaware Distributors, L.P.

Delaware Investments Fund Service Company

Delaware Service Company, Inc.

Retirement Financial Services, Inc.

Macquarie Capital Investment Management LLC

Jackson Square Partners, LLC



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APPENDIX I – TRUSTEES AND OFFICERS OF DMC

The following persons have held the following positions with the Trusts and with DMC during the past two years. The principal business address of each is 2005 Market Street, Philadelphia, Pennsylvania 19103-7094.

Item 31.

Business and Other Connections of the Investment Adviser.

Delaware Management Company (the “Manager”), a series of Delaware Management Business Trust, serves as investment manager to the Registrant and also serves as investment manager or sub-advisor to certain of the other funds in the Delaware Investments® Funds (Delaware Group® Adviser Funds, Delaware Group Cash Reserve, Delaware Group Equity Funds I, Delaware Group Equity Funds II, Delaware Group Equity Funds IV, Delaware Group Equity Funds V, Delaware Group Foundation Funds, Delaware Group Global & International Funds, Delaware Group Government Fund, Delaware Group Income Funds, Delaware Group Limited-Term Government Funds, Delaware Group State Tax-Free Income Trust, Delaware Group Tax-Free Fund, Delaware Pooled® Trust, Delaware VIP® Trust, Voyageur Insured Funds, Voyageur Intermediate Tax Free Funds, Voyageur Mutual Funds, Voyageur Mutual Funds II, Voyageur Mutual Funds III, Voyageur Tax Free Funds, Delaware Investments Dividend and Income Fund, Inc., Delaware Investments Colorado Municipal Income Fund, Inc., Delaware Investments National Municipal Income Fund, Delaware Investments Minnesota Municipal Income Fund II, Inc., and Delaware Enhanced Global Dividend and Income Fund) and the Optimum Fund Trust, as well as to certain non-affiliated registered investment companies. In addition, certain officers of the Manager also serve as trustees and/or officers of other Delaware Investments Funds and Optimum Fund Trust. A company indirectly owned by the Manager’s parent company acts as principal underwriter to the mutual funds in the Delaware Investments Funds (see Item 32 below) and another such company acts as the shareholder services, dividend disbursing, accounting servicing and transfer agent for all of the Delaware Investments Funds.

Unless otherwise noted, the following persons serving as directors or officers of the Manager have held the following positions during the [Trust]’s past two fiscal years. Unless otherwise noted, the principal business address of the directors and officers of the Manager is 2005 Market Street, Philadelphia, PA 19103-7094.




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Name and PrincipalPositions and OfficesPositions and OfficesOther Positions and
Business Addresswith Managerwith RegistrantOffices Held
Patrick P. CoynePresidentChairman/President/ChiefMr. Coyne has served
Executive Officerin various executive
capacities within
Delaware Investments
Michael J. HoganExecutive ViceExecutive ViceMr. Hogan has served
President/Head of EquityPresident/Head of Equityin various executive
InvestmentsInvestmentscapacities within
Delaware Investments
David P. O’ConnorExecutive ViceExecutive ViceMr. O’Connor has served
President/StrategicPresident/Strategicin various executive
Investment RelationshipsInvestment Relationshipscapacities within
and Initiatives/Generaland Initiatives/GeneralDelaware Investments
CounselCounsel
Senior Vice
President/Strategic
Investment Relationships
and Initiatives/General
Counsel/Optimum
Fund Trust
See Yeng QuekExecutive ViceExecutive ViceMr. Quek has served
President/ManagingPresident/Managingin various executive
Director/Head of FixedDirector/Head of Fixedcapacities within
Income InvestmentsIncome InvestmentsDelaware Investments
Philip N. RussoExecutive ViceNoneMr. Russo has served
President/Chiefin various executive
Administrative Officercapacities within
Delaware Investments
Joseph R. BaxterSenior ViceSenior ViceMr. Baxter has served in
President/Head ofPresident/Head ofvarious capacities within
Municipal BondMunicipal BondDelaware Investments
Department/SeniorDepartment/Senior
Portfolio ManagerPortfolio Manager
Christopher S. BeckSenior ViceSenior ViceMr. Beck has served in
President/ChiefPresident/Chiefvarious capacities within
Investment Officer—Investment Officer -Delaware Investments
Small Cap Value/Small Cap Value/Mid-Cap
Mid-Cap Value EquityValue Equity
Michael P. BuckleySenior ViceSenior ViceMr. Buckley has served in
President/Director ofPresident/Director ofvarious capacities within
Municipal ResearchMunicipal ResearchDelaware Investments
Stephen J. BuschSenior ViceSenior ViceMr. Busch has served in
President/InvestmentPresident/Investmentvarious capacities within
AccountingAccountingDelaware Investments
Michael F. CapuzziSenior ViceSenior ViceMr. Capuzzi has served in
President/InvestmentPresident/Investmentvarious capacities within
SystemsSystemsDelaware Investments



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Name and PrincipalPositions and OfficesPositions and OfficesOther Positions and
Business Addresswith Managerwith RegistrantOffices Held
Liu-Er ChenSenior ViceSenior ViceMr. Chen has served in
President/ChiefPresident/Chiefvarious capacities within
Investment Officer,Investment Officer,Delaware Investments
Emerging Markets andEmerging Markets and
HealthcareHealthcare
David F. ConnorSenior ViceSenior ViceMr. Connor has served in
President/Deputy GeneralPresident/Deputy Generalvarious capacities within
Counsel/SecretaryCounsel/SecretaryDelaware Investments
Vice President/Deputy
General Counsel/
Secretary – Optimum
Fund Trust
Stephen J. CzepielSenior ViceSenior ViceMr. Czepiel has served in
President/SeniorPresident/Senior Portfoliovarious capacities within
Portfolio ManagerManagerDelaware Investments
Craig C. DembekSenior ViceSenior ViceMr. Dembek has served in
President/Co-Head ofPresident/Co-Head ofvarious capacities within
Credit Research/SeniorCredit Research/SeniorDelaware Investments
Research AnalystResearch Analyst
Roger A. EarlyManaging Director,Managing Director,Mr. Early has served in
Co-Head of Fixed IncomeCo-Head of Fixed Incomevarious capacities within
Investments, SeniorInvestments, SeniorDelaware Investments
Vice President/Co-ChiefVice President/Co-Chief
Investment Officer—Investment Officer-Total
Total Return FixedReturn Fixed Income
Income StrategyStrategy
Stuart M. GeorgeSenior ViceSenior ViceMr. George has served in
President/Head of EquityPresident/Head ofvarious capacities within
TradingEquity TradingDelaware Investments
Gregory A. GizziSenior ViceSenior ViceMr. Gizzi has served in
President/SeniorPresident/Seniorvarious capacities with
Portfolio ManagerPortfolio ManagerDelaware Investments
Edward GraySenior ViceSenior ViceMr. Gray has served in
President/ChiefPresident/Chiefvarious capacities within
Investment Officer—Investment Officer –Delaware Investments
Global and InternationalGlobal and
Value EquityInternational
Value Equity
Paul GrilloSenior ViceSenior ViceMr. Grillo has served in
President/Co-ChiefPresident/Co-Chiefvarious capacities within
Investment Officer—Investment Officer—Delaware Investments
Total Return FixedTotal Return Fixed
Income StrategyIncome Strategy




Table of Contents

Name and PrincipalPositions and OfficesPositions and OfficesOther Positions and
Business Addresswith Managerwith RegistrantOffices Held
Sharon HillSenior ViceSenior ViceMs. Hill has served in
President/Head of EquityPresident/Head ofvarious capacities within
Quantitative ResearchEquity QuantitativeDelaware Investments
and AnalyticsResearch and Analytics
James L. HinkleySenior ViceSenior ViceMr. Hinkley has served in
President/Head ofPresident/Head ofvarious capacities within
Product ManagementProduct ManagementDelaware Investments
Kashif IshaqSenior ViceSenior ViceMr. Ishaq has served in
President/Head ofPresident/Head ofvarious capacities within
Investment GradeInvestment GradeDelaware Investments
Corporate Bond TradingCorporate Bond Trading
Paul MatlackSenior ViceSenior ViceMr. Matlack has served in
President/SeniorPresident/Senior Portfoliovarious capacities within
Portfolio Manager/FixedManager/Fixed IncomeDelaware Investments
Income StrategistStrategist
Christopher McCarthySenior ViceSenior ViceMr. McCarthy has
President/FinancialPresident/Financialserved in various
Institutions SalesInstitutions Salescapacities within
Delaware Investments
John P. McCarthySenior ViceVice President/SeniorMr. McCarthy has
President/Co-Head ofResearch Analystserved in various
Credit Research/Seniorcapacities within
Research AnalystDelaware Investments
Brian McDonnellSenior ViceSenior ViceMr. McDonnell has
President/SeniorPresident/Seniorserved in various
Portfolio Manager/SeniorPortfolio Manager/Seniorcapacities within
Structured ProductsStructured ProductsDelaware Investments
Analyst/TraderAnalyst/Trader
Timothy D. McGarritySenior ViceSenior ViceMr. McGarrity has
President/FinancialPresident/Financialserved in various
Services OfficerServices Officercapacities within
Delaware Investments
Francis X. MorrisSenior ViceSenior ViceMr. Morris has served in
President/ChiefPresident/Chiefvarious capacities within
Investment Officer -Investment Officer -Delaware Investments
Core EquityCore Equity
Brian L. Murray, Jr.Senior ViceSenior ViceMr. Murray has served in
President/ChiefPresident/Chiefvarious capacities within
Compliance OfficerCompliance OfficerDelaware Investments
Susan L. NataliniSenior ViceSenior ViceMs. Natalini has served in
President/Head of EquityPresident/Head ofvarious capacities within
and Fixed IncomeEquity and FixedDelaware Investments
Business OperationsIncome Business
Operations



Table of Contents

Name and PrincipalPositions and OfficesPositions and OfficesOther Positions and
Business Addresswith Managerwith RegistrantOffices Held
D. Tysen NuttSenior ViceSenior ViceMr. Nutt has served in
President/Senior PortfolioPresident/Senior Portfoliovarious capacities within
Manager/Team LeaderManager/Team LeaderDelaware Investments
Philip O. ObazeeSenior ViceSenior ViceMr. Obazee has served in
President/StructuredPresident/Structuredvarious capacities within
Products and DerivativesProducts and DerivativesDelaware Investments
Terrance M. O’BrienSenior ViceSenior ViceMr. O’Brien has served
President/Head of FixedPresident/Head of Fixedin various capacities with
Income QuantitativeIncome QuantitativeDelaware Investments
Analysis DepartmentAnalysis Department
Marlene PetterSenior ViceSenior ViceMs. Petter has served in
President/MarketingPresident/Marketingvarious capacities within
CommunicationsCommunicationsDelaware Investments
Richard SalusSenior ViceSenior ViceMr. Salus has served in
President/Controller/President/Chief Financialvarious capacities within
TreasurerOfficerDelaware Investments
Senior Vice President/
Chief Financial Officer –
Optimum Fund Trust
Christopher M. TestaSenior ViceSenior ViceMr. Testa has served in
President/SeniorPresident/Seniorvarious capacities within
Portfolio Manager sincePortfolio Manager sinceDelaware Investments
January 2014January 2014
Babak ZenouziSenior ViceSenior ViceMr. Zenouzi has served in
President/ChiefPresident/Chiefvarious capacities within
Investment Officer—Investment Officer-Delaware Investments
Real Estate SecuritiesReal Estate Securities
and Income Solutionsand Income Solutions
Gary T. AbramsVice President/SeniorVice President/SeniorMr. Abrams has served in
Equity TraderEquity Tradervarious capacities within
Delaware Investments
Christopher S. AdamsVice President/SeniorVice President/SeniorMr. Adams has served in
Portfolio ManagerPortfolio Managervarious capacities within
Delaware Investments
Damon J. AndresVice President/SeniorVice President/SeniorMr. Andres has served in
Portfolio ManagerPortfolio Managervarious capacities within
Delaware Investments
Wayne A. AnglaceVice President/SeniorVice President/SeniorMr. Anglace has served in
Portfolio ManagerPortfolio Managervarious capacities within
Delaware Investments



Table of Contents

Name and PrincipalPositions and OfficesPositions and OfficesOther Positions and
Business Addresswith Managerwith RegistrantOffices Held
Margaret MacCarthyVice President/Vice President/Ms. Bacon has served in
BaconInvestment SpecialistInvestment Specialistvarious capacities within
Delaware Investments
Patricia L. BakelyVice President/AssistantVice President/AssistantMs. Bakely has served in
ControllerControllervarious capacities within
Delaware Investments
Kristen E.Vice President/SeniorVice President/SeniorMs. Bartholdson has
Bartholdson-PeterPortfolio ManagerPortfolio Managerserved in various
capacities within
Delaware Investments
Todd BassionVice President/PortfolioVice President/PortfolioMr. Bassion has served in
ManagerManagervarious capacities within
Delaware Investments
Jo Anne BennickVice President/15(c)Vice President/15(c)Ms. Bennick has served in
ReportingReportingvarious capacities within
Delaware Investments
Richard E. BiesterVice President/SeniorVice President/SeniorMr. Biester has served in
Equity TraderEquity Tradervarious capacities within
Delaware Investments
Sylvie S. BlenderVice President/FinancialVice President/FinancialMs. Blender has served in
Institutions ClientInstitutions Clientvarious capacities within
ServicesServicesDelaware Investments
Kevin BockVice President/MunicipalVice President/MunicipalMr. Bock has served in
Credit AnalystCredit Analystvarious capacities within
Delaware Investments
Zoe BradleyVice President/MunicipalVice President/MunicipalMs. Bradley has served in
Bond Portfolio AnalystBond Portfolio Analystvarious capacities within
Delaware Investments
Vincent A. BrancaccioVice President/SeniorVice President/SeniorMr. Brancaccio has
Equity TraderEquity Traderserved in various
capacities within
Delaware Investments
Adam H. BrownVice President/PortfolioVice President/PortfolioMr. Brown has served in
ManagerManagervarious capacities within
Delaware Investments
Carolyn Brown-JordanVice President/Vice President/Ms. Brown-Jordan
Investment AccountingInvestment Accountinghas served in various
capacities within
Delaware Investments
McAfee S. BurkeVice President/SeniorVice President/SeniorMr. Burke has served in
Equity AnalystEquity Analystvarious capacities within
Delaware Investments



Table of Contents

Name and PrincipalPositions and OfficesPositions and OfficesOther Positions and
Business Addresswith Managerwith RegistrantOffices Held
Mathew J. CalabroVice President/DeputyVice President/DeputyMr. Calabro has served in
Chief ComplianceChief Compliance Officervarious capacities within
OfficerDelaware Investments
Vice President/Chief
Compliance Officer -
Optimum Fund Trust
Mary Ellen M. CarrozzaVice President/ClientVice President/ClientMs. Carrozza has served in
ServicesServicesvarious capacities within
Delaware Investments
Steven G. CatricksVice President/PortfolioVice President/PortfolioMr. Catricks has served in
Manager/Equity AnalystManager/Equity Analystvarious capacities within
Delaware Investments
Wen-Dar ChenVice President/PortfolioVice President/PortfolioMr. Chen has served in
Manager—InternationalManager - Internationalvarious capacities within
DebtDebtDelaware Investments
Anthony G. CiavarelliVice President/AssociateVice President/AssociateMr. Ciavarelli has
General Counsel/General Counsel/served in various
Assistant SecretaryAssistant Secretarycapacities within
Delaware Investments
Sean ConnerVice President/DirectorVice President/DirectorMr. Connor has served in
of Fixed Income Productof Fixed Income Productvarious capacities within
ManagementManagementDelaware Investments
Michael CostanzoVice President/Vice President/Mr. Costanzo has served in
Performance AnalystPerformance Analystvarious capacities within
ManagerManagerDelaware Investments
Kishor K. DagaVice President/Vice President/Mr. Daga has served in
Institutional AccountInstitutional Accountvarious capacities within
ServicesServicesDelaware Investments
Cori E. DaggettVice President/AssociateVice President/AssociateMs. Daggett has served in
General Counsel/General Counsel/various capacities within
Assistant SecretaryAssistant SecretaryDelaware Investments
Ion DanVice President/SeniorVice President/SeniorMr. Dan has served in
Structured ProductsStructured Productsvarious capacities within
Analyst/TraderAnalyst/TraderDelaware Investments
Guido DeAscanis IIIVice President/SeniorVice President/SeniorMr. DeAscanis has
Credit Research AnalystCredit Research Analystserved in various
capacities within
Delaware Investments
Kevin C. DoneganVice President/Head ofVice President/Head ofMr. Donegan has served in
Business ManagerBusiness Managervarious capacities within
Delaware Investments
and/or its affiliates
since 1994




Table of Contents

Name and PrincipalPositions and OfficesPositions and OfficesOther Positions and
Business Addresswith Managerwith RegistrantOffices Held
Camillo D’OrazioVice President/Ex-USVice President/Ex-USMr. D’Orazio has served in
Client Service OfficerClient Service Officervarious capacities within
Delaware Investments
Michael E. DresninVice President/AssociateVice President/AssociateMr. Dresnin has served in
General Counsel/General Counsel/various capacities within
Assistant SecretaryAssistant SecretaryDelaware Investments
Joel A. EttingerVice President/TaxationVice President – TaxationMr. Ettinger has served in
various capacities within
Delaware Investments
Richard J. FilipVice President/PortfolioVice President/PortfolioMr. Filip has served in
Analyst/Trader-Analyst/Trader-various capacities within
Convertible andConvertible andDelaware Investments
Municipal StrategiesMunicipal Strategies
Michelle FinderVice President/SeniorVice President/SeniorMs. Finder has served in
Credit Research AnalystCredit Research Analystvarious capacities within
Delaware Investments
Joseph FiorillaVice President – TradingVice President – TradingMr. Fiorilla has served in
OperationsOperationsvarious capacities within
Delaware Investments
Charles E. FishVice President/SeniorVice President/SeniorMr. Fish has served in
Equity TraderEquity Tradervarious capacities within
Delaware Investments
Clifford M. FisherVice President/MunicipalVice President/MunicipalMr. Fisher has served in
Credit AnalystCredit Analystvarious capacities within
Delaware Investments
Patrick FoleyVice President/DirectorVice President/DirectorMr. Foley has served in
of Equity Productof Equity Productvarious capacities within
ManagementManagementDelaware Investments
Denise A. FranchettiVice President/PortfolioVice President/PortfolioMs. Franchetti has
Manager/SeniorManager/Senior Researchserved in various
Research AnalystAnalystcapacities within
Delaware Investments
Lawrence G. FrankoVice President/SeniorVice President/SeniorMr. Franko has served in
Equity AnalystEquity Analystvarious capacities within
Delaware Investments
Eric FreiVice President/Vice President/Mr. Frei has served in
Government andGovernment and Agencyvarious capacities within
Agency Analyst/TraderAnalyst/TraderDelaware Investments
Michael FriedmanVice President/SeniorVice President/SeniorMr. Friedman has served in
Equity AnalystEquity Analystvarious capacities within
Delaware Investments



Table of Contents

Name and PrincipalPositions and OfficesPositions and OfficesOther Positions and
Business Addresswith Managerwith RegistrantOffices Held
Mark FrymiareVice President/Vice President/MarketingMr. Frymiare has served in
Marketing SupportSupport Servicesvarious capacities within
ServicesDelaware Investments
Daniel V. GeatensVice President/Vice President/TreasurerMr. Geatens has served in
Director of Financialvarious capacities within
AdministrationDelaware Investments
Vice President/Treasurer –
Optimum Fund Trust
Christopher GowllandVice President/SeniorVice President/SeniorMr. Gowlland has
Quantitative AnalystQuantitative Analystserved in various
capacities within
Delaware Investments
David J. HamiltonVice President/CreditVice President/CreditMr. Hamilton has
Research AnalystResearch Analystserved in various
capacities within
Delaware Investments
Brian HannonVice President/High YieldVice President/High YieldMr. Hannon has served in
Trader since April 2013Trader since April 2013various capacities within
Delaware Investments
Scott HastingsVice President/SeniorVice President/SeniorMr. Hastings has served in
Equity AnalystEquity Analystvarious capacities within
Delaware Investments
Duane HewlettVice President/Vice President/StructuredMr. Hewlett has served in
Structured ProductProduct Analyst/Tradervarious capacities within
Analyst/TraderDelaware Investments
J. David HillmeyerVice President/SeniorVice President/SeniorMr. Hillmeyer has
Portfolio ManagerPortfolio Managerserved in various
capacities within
Delaware Investments
Jerel A. HopkinsVice President/AssociateVice President/AssociateMr. Hopkins has served in
General Counsel/General Counsel/various capacities within
Assistant SecretaryAssistant SecretaryDelaware Investments
Chungwei HsiaVice President/EmergingVice President/EmergingMr. Hsia has served in
and Developed Marketsand Developed Marketsvarious capacities within
AnalystAnalystDelaware Investments
Cynthia IsomVice President/PortfolioVice President/PortfolioMs. Isom has served in
ManagerManagervarious capacities within
Delaware Investments
Stephen M. JuszczyszynVice President/PortfolioVice President/PortfolioMr. Juszczyszyn has
Manager/SeniorManager/Seniorserved in various
Structured ProductsStructured Productscapacities within
Analyst/TraderAnalyst/TraderDelaware Investments



Table of Contents

Name and PrincipalPositions and OfficesPositions and OfficesOther Positions and
Business Addresswith Managerwith RegistrantOffices Held
William F. KeelanVice President/SeniorVice President/SeniorMr. Keelan has served in
Quantitative AnalystQuantitative Analystvarious capacities within
Delaware Investments
Nancy KeenanVice President/DomesticVice President/DomesticMs. Keenan has served in
Equity, Senior ProductEquity, Senior Productvarious capacities within
ManagerManagerDelaware Investments
Colleen KneibVice President/MunicipalVice President/MunicipalMs. Kneib has served in
Credit AnalystCredit Analystvarious capacities within
Delaware Investments
Daniel KoVice President/SeniorVice President/SeniorMr. Ko has served in
Equity AnalystEquity Analystvarious capacities within
Delaware Investments
Anu B. KothariVice President/SeniorVice President/SeniorMs. Kothari has served in
Equity AnalystEquity Analystvarious capacities within
Delaware Investments
Nikhil G. LalvaniVice President/SeniorVice President/SeniorMr. Lalvani has served in
Portfolio ManagerPortfolio Managervarious capacities within
Delaware Investments
Jamie LaScalaVice President/GlobalVice President/GlobalMs. LaScala has served in
Equities/Senior ProductEquities/Senior Productvarious capacities within
ManagerManagerDelaware Investments
Kevin LamVice President/PortfolioVice President/PortfolioMr. Lam has served in
Manager-Fixed IncomeManager - Fixed Incomevarious capacities within
Separately ManagedSeparately ManagedDelaware Investments
AccountsAccounts
Steven A. LandisVice President/SeniorVice President/SeniorMr. Landis has served in
Portfolio Manager -Portfolio Manager –various capacities within
Emerging Markets DebtEmerging Markets DebtDelaware Investments
Anthony A. LombardiVice President/SeniorVice President/SeniorMr. Lombardi has
Portfolio ManagerPortfolio Managerserved in various
capacities within
Delaware Investments
Kent MaddenVice President/PortfolioVice President/PortfolioMr. Madden has served in
Manager/Equity AnalystManager/Equity Analystvarious capacities within
Delaware Investments
Andrew McEvoyVice President/TradeVice President/TradeMr. McEvoy has served in
SettlementsSettlementsvarious capacities within
Delaware Investments
Kelley McKeeVice President/PortfolioVice President/PortfolioMs. McKee has served in
Manager/Equity AnalystManager/Equity Analystvarious capacities within
Delaware Investments



Table of Contents

Name and PrincipalPositions and OfficesPositions and OfficesOther Positions and
Business Addresswith Managerwith RegistrantOffices Held
Carleen MichalskiVice President/ProductVice President/ProductMs. Michalski has
ManagerManagerserved in various
capacities within
Delaware Investments
Saj MoradiVice President/SeniorVice President/SeniorMr. Moradi has served in
Credit Research AnalystCredit Research Analystvarious capacities within
Delaware Investments
Michael S. MorrisVice President/SeniorVice President/SeniorMr. Morris has served in
Portfolio ManagerPortfolio Managervarious capacities within
Delaware Investments
ConstantineVice President/ProductVice President/ProductMr. Mylonas has served in
(“Charlie”) MylonasManager (SinceManagervarious capacities within
June 2010)Delaware Investments
Donald G. PadillaVice President/SeniorVice President/SeniorMr. Padilla has served in
Portfolio ManagerPortfolio Managervarious capacities within
Delaware Investments
Alexendra R. ParsonVice President/FinancialVice President/FinancialMs. Parson has served in
Institutions ClientInstitutions Clientvarious capacities within
ServicesServicesDelaware Investments
Will RainbowVice President/Vice President/Mr. Rainbow has served in
Engagement Strategy &Engagement Strategy &various capacities within
AnalyticsAnalyticsDelaware Investments
Mansur Z. RasulVice President/HeadVice President/HeadMr. Rasul has served in
of Emerging Marketsof Emerging Marketsvarious capacities within
Credit TradingCredit TradingDelaware Investments
Carl RiceVice President/SeniorVice President/SeniorMr. Rice has served in
Investment SpecialistInvestment Specialistvarious capacities within
Delaware Investments
Joseph T. RoginaVice President/SeniorVice President/SeniorMr. Rogina has served in
Equity TraderEquity Tradervarious capacities within
Delaware Investments
Kevin C. SchildtVice President/SeniorVice President/SeniorMr. Schildt has served in
Research AnalystResearch Analystvarious capacities within
Delaware Investments
Scott B. SchroederVice President/Vice President/Mr. Schroeder has
Investment GradeInvestment Gradeserved in various
Corporate Bond TraderCorporate Bond Tradercapacities within
Delaware Investments
Brian ScottoVice President/Vice President/Mr. Scotto has served in
Government andGovernment andvarious capacities within
Agency TraderAgency TraderDelaware Investments




Table of Contents

Name and PrincipalPositions and OfficesPositions and OfficesOther Positions and
Business Addresswith Managerwith RegistrantOffices Held
Richard D. SeidelVice President/AssistantVice President/AssistantMr. Seidel has served in
Controller/AssistantController/Assistantvarious capacities within
TreasurerTreasurerDelaware Investments
Catherine A. SekleckiVice President/FinancialVice President/FinancialMs. Seklecki has served in
Institutions ClientInstitutions Clientvarious capacities within
ServicesServicesDelaware Investments
Sean M. SimmonsVice President/Vice President/Mr. Simmons has served in
International BondInternational Bondvarious capacities within
TraderTraderDelaware Investments
Barry SlawterVice President/RetailVice President/RetailMr. Slawter has served in
Marketing & ContentMarketing & Contentvarious capacities within
StrategyStrategyDelaware Investments
Frank StrengerVice President/HighVice President/High YieldMr. Strenger has served in
Yield TraderTradervarious capacities within
Delaware Investments
Molly ThompsonVice President/SeniorVice President/SeniorMs. Thompson has
Product Manager,Product Manager,served in various
Specialty Products andSpecialty Products andcapacities within
SolutionsSolutionsDelaware Investments
Nitin P. TutejaVice President/Vice President/Mr. Tuteja has served in
Quantitative AnalystQuantitative Analystvarious capacities within
Delaware Investments
John C. Van Roden IIIVice President/MunicipalVice President/MunicipalMr. Roden has served in
Bond Trader/Head ofBond Trader/Head ofvarious capacities within
Municipal Bond TradingMunicipal Bond TradingDelaware Investments
Robert A. Vogel, Jr.Vice President/SeniorVice President/SeniorMr. Vogel has served in
Portfolio ManagerPortfolio Managervarious capacities within
Delaware Investments
Nael H. WahaidiVice President/Vice President/Mr. Wahaidi has served in
Quantitative AnalystQuantitative Analystvarious capacities within
Delaware Investments
Jeffrey S. WangVice President/SeniorVice President/SeniorMr. Wang has served in
Equity AnalystEquity Analystvarious capacities within
Delaware Investments
Michael G. WildsteinVice President/SeniorVice President/SeniorMr. Wildstein has served
Portfolio ManagerPortfolio Managerin various capacities within
Delaware Investments
Kathryn R. WilliamsVice President/AssociateVice President/AssociateMs. Williams has served in
General Counsel/General Counsel/various capacities within
Assistant SecretaryAssistant SecretaryDelaware Investments
Wei XiaoVice President/SeniorVice President/SeniorMr. Xiao has served in
Equity AnalystEquity Analystvarious capacities within
Delaware Investments



Table of Contents

APPENDIX J – NUMBER OF SHARES OF EACH FUND OUTSTANDING

AS OF JANUARY 22, 2015

Fund NameClassShares Outstanding
Delaware Cash Reserve® FundA180,130,175.220
Delaware Cash Reserve FundConsultant5,640,698.250
Delaware Cash Reserve FundC9,090,747.250
Delaware Core Plus Bond FundA7,701,268.348
Delaware Core Plus Bond FundI4,528,529.791
Delaware Core Plus Bond FundC1,043,525.249
Delaware Core Plus Bond FundR876,629.075
Delaware Corporate Bond FundA79,687,174.657
Delaware Corporate Bond FundC34,257,179.910
Delaware Corporate Bond FundI100,339,036.267
Delaware Corporate Bond FundR4,985,532.038
Delaware Diversified Floating Rate FundA12,667,985.849
Delaware Diversified Floating Rate FundC10,082,985.747
Delaware Diversified Floating Rate FundI30,208,543.884
Delaware Diversified Floating Rate FundR83,416.251
Delaware Diversified Income FundA226,634,684.562
Delaware Diversified Income FundC127,557,013.866
Delaware Diversified Income FundI271,746,675.278
Delaware Diversified Income FundR13,073,351.362
Delaware Dividend Income FundA23,784,072.310
Delaware Dividend Income FundC22,964,444.501
Delaware Dividend Income FundI11,538,819.950
Delaware Dividend Income FundR280,542.559
The Core Plus Fixed Income PortfolioDPT11,266,291.992
The Emerging Markets PortfolioDPT29,745,206.820
The Emerging Markets Portfolio IIDPT4,507,383.238
The Focus Smid-Cap Growth Equity PortfolioDPT2,608,377.739
The High-Yield Bond PortfolioDPT20,788,390.825
The International Equity PortfolioDPT28,561,406.439
The Labor Select International Equity PortfolioDPT26,398,853.402
The Large-Cap Growth Equity PortfolioDPT18,100,660.242
The Large-Cap Value Equity PortfolioDPT8,365,667.041
The Select 20 PortfolioDPT10,884,446.745



Table of Contents

Fund NameClassShares Outstanding
Delaware Emerging Markets FundA25,243,296.365
Delaware Emerging Markets FundI147,200,012.060
Delaware Emerging Markets FundC13,049,055.628
Delaware Emerging Markets FundR1,091,924.524
Delaware Emerging Markets Debt FundA255.541
Delaware Emerging Markets Debt FundC254.053
Delaware Emerging Markets Debt FundI2,227,000.029
Delaware Emerging Markets Debt FundR255.052
Delaware Extended Duration Bond FundA39,283,480.639
Delaware Extended Duration Bond FundC5,015,088.373
Delaware Extended Duration Bond FundI52,875,627.090
Delaware Extended Duration Bond FundR4,890,116.313
Delaware Focus Global Growth FundA1,467,447.944
Delaware Focus Global Growth FundC306,505.280
Delaware Focus Global Growth FundI4,863,935.592
Delaware Focus Global Growth FundR7,793.860
Delaware Foundation® Conservative Allocation FundA5,121,726.294
Delaware Foundation Conservative Allocation FundC3,419,170.008
Delaware Foundation Conservative Allocation FundI1,813,566.930
Delaware Foundation Conservative Allocation FundR742,427.151
Delaware Foundation Growth Allocation FundA4,207,896.248
Delaware Foundation Growth Allocation FundC1,024,954.490
Delaware Foundation Growth Allocation FundI1,818,481.788
Delaware Foundation Growth Allocation FundR1,406,953.153
Delaware Foundation Moderate Allocation FundA16,517,792.245
Delaware Foundation Moderate Allocation FundC2,376,168.603
Delaware Foundation Moderate Allocation FundI5,116,589.189
Delaware Foundation Moderate Allocation FundR1,970,040.361
Delaware Global Real Estate Opportunities FundA989,479.560
Delaware Global Real Estate Opportunities FundC313,608.978
Delaware Global Real Estate Opportunities FundI6,196,180.997
Delaware Global Real Estate Opportunities FundR19,929.761
Delaware Global Value FundA1,438,815.262
Delaware Global Value FundC492,810.958
Delaware Global Value FundI201,773.575
Delaware Healthcare FundA10,629,397.020



Table of Contents

Fund NameClassShares Outstanding
Delaware Healthcare FundC3,764,397.432
Delaware Healthcare FundI8,840,919.393
Delaware Healthcare FundR275,484.803
Delaware High-Yield Opportunities FundA66,200,340.351
Delaware High-Yield Opportunities FundC18,790,876.849
Delaware High-Yield Opportunities FundI54,007,167.156
Delaware High-Yield Opportunities FundR3,508,567.260
Delaware Inflation Protected Bond FundA2,946,571.810
Delaware Inflation Protected Bond FundC2,127,573.325
Delaware Inflation Protected Bond FundI2,005,726.489
Delaware International Value Equity FundA5,496,118.782
Delaware International Value Equity FundI13,463,706.151
Delaware International Value Equity FundC2,161,109.423
Delaware International Value Equity FundR155,597.130
Delaware Limited-Term Diversified Income FundA55,229,370.232
Delaware Limited-Term Diversified Income FundI63,362,011.832
Delaware Limited-Term Diversified Income FundC20,482,327.777
Delaware Limited-Term Diversified Income FundR921,376.469
Delaware Mid Cap Value FundA724,517.696
Delaware Mid Cap Value FundC188,859.850
Delaware Mid Cap Value FundI177,559.766
Delaware Mid Cap Value FundR8,844.851
Delaware Minnesota High-Yield Municipal Bond FundI1,107,096.545
Delaware Minnesota High-Yield Municipal Bond FundA11,246,337.277
Delaware Minnesota High-Yield Municipal Bond FundC2,986,602.875
Delaware National High-Yield Municipal Bond FundA20,881,436.292
Delaware National High-Yield Municipal Bond FundC7,694,952.516
Delaware National High-Yield Municipal Bond FundI50,587,827.879
The Real Estate Investment Trust Portfolio
(also known as Delaware REIT Fund)
A6,553,264.239
The Real Estate Investment Trust Portfolio
(also known as Delaware REIT Fund)
C1,551,333.532
The Real Estate Investment Trust Portfolio
(also known as Delaware REIT Fund)
I7,563,923.736
The Real Estate Investment Trust Portfolio
(also known as Delaware REIT Fund)
R869,139.258
Delaware Select Growth FundA8,197,496.870
Delaware Select Growth FundC2,543,124.746




Table of Contents

Fund NameClassShares Outstanding
Delaware Select Growth FundI9,781,506.623
Delaware Select Growth FundR424,824.875
Delaware Small Cap Core FundA7,536,954.722
Delaware Small Cap Core FundC3,268,970.132
Delaware Small Cap Core FundI14,206,056.992
Delaware Small Cap Core FundR875,541.657
Delaware Small Cap Value FundA15,137,123.862
Delaware Small Cap Value FundI32,662,612.894
Delaware Small Cap Value FundC2,468,219.565
Delaware Small Cap Value FundR1,665,367.618
Delaware Smid Cap Growth FundA29,200,495.257
Delaware Smid Cap Growth FundI10,031,706.483
Delaware Smid Cap Growth FundC3,855,582.592
Delaware Smid Cap Growth FundR637,127.226
Delaware Tax-Free Pennsylvania FundA54,791,017.471
Delaware Tax-Free Pennsylvania FundC4,051,590.033
Delaware Tax-Free Pennsylvania FundI915,557.255
Delaware Tax-Free Arizona FundI35,893.880
Delaware Tax-Free Arizona FundA6,958,131.931
Delaware Tax-Free Arizona FundC555,771.538
Delaware Tax-Free California FundI940,964.843
Delaware Tax-Free California FundA5,705,156.408
Delaware Tax-Free California FundC1,347,627.470
Delaware Tax-Free Colorado FundI399,489.844
Delaware Tax-Free Colorado FundA16,048,350.049
Delaware Tax-Free Colorado FundC1,056,358.114
Delaware Tax-Free Idaho FundI241,559.014
Delaware Tax-Free Idaho FundA6,672,468.310
Delaware Tax-Free Idaho FundC2,588,778.490
Delaware Tax-Free Minnesota FundI1,976,592.292
Delaware Tax-Free Minnesota FundA39,108,484.299
Delaware Tax-Free Minnesota FundC3,351,978.115
Delaware Tax-Free Minnesota Intermediate FundI234,935.405
Delaware Tax-Free Minnesota Intermediate FundA7,757,609.194
Delaware Tax-Free Minnesota Intermediate FundC1,088,033.069
Delaware Tax-Free New York FundI850,690.267
Delaware Tax-Free New York FundA4,219,527.067



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Fund NameClassShares Outstanding
Delaware Tax-Free New York FundC1,592,315.879
Delaware Tax-Free USA FundA41,790,673.147
Delaware Tax-Free USA FundC2,524,136.833
Delaware Tax-Free USA FundI2,172,660.516
Delaware Tax-Free USA Intermediate FundA19,236,120.173
Delaware Tax-Free USA Intermediate FundC4,376,276.529
Delaware Tax-Free USA Intermediate FundI38,254,254.659
Delaware U.S. Growth FundA14,768,555.806
Delaware U.S. Growth FundC4,039,501.372
Delaware U.S. Growth FundI112,601,595.540
Delaware U.S. Growth FundR980,941.227
Delaware Value® FundA138,034,543.643
Delaware Value FundC25,187,420.947
Delaware Value FundI232,480,293.284
Delaware Value FundR2,555,234.953
Delaware VIP® Diversified Income SeriesStandard43,476,904.793
Delaware VIP Diversified Income SeriesService170,211,695.701
Delaware VIP Emerging Markets SeriesStandard8,862,400.467
Delaware VIP Emerging Markets SeriesService18,736,588.113
Delaware VIP High Yield SeriesStandard24,223,096.874
Delaware VIP High Yield SeriesService36,671,706.355
Delaware VIP International Value Equity SeriesStandard5,322,726.466
Delaware VIP International Value Equity SeriesService13,817.886
Delaware VIP Limited-Term Diversified Income SeriesStandard6,027,385.614
Delaware VIP Limited-Term Diversified Income SeriesService143,414,243.049
Delaware VIP REIT SeriesStandard16,864,494.222
Delaware VIP REIT SeriesService16,331,310.708
Delaware VIP Small Cap Value SeriesStandard9,375,947.835
Delaware VIP Small Cap Value SeriesService17,893,171.747
Delaware VIP Smid Cap Growth SeriesStandard12,746,160.391
Delaware VIP Smid Cap Growth SeriesService6,958,172.795
Delaware VIP U.S. Growth SeriesStandard11,739,065.537
Delaware VIP U.S. Growth SeriesService26,892,368.375
Delaware VIP Value SeriesStandard17,893,256.656
Delaware VIP Value SeriesService11,232,526.788



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APPENDIX K – 1% SHARE OWNERSHIP

As of January 22, 2015, the officers and Trustees of the Trusts, as a group, owned 1% or more of the outstanding voting shares of the following Funds and classes:

Fund      Class      Shareholders Address      Total Shares      Percentage
DELAWARE GLOBAL VALUE FUND ATODD BASSION 1,438,815.262 2.6467% 
BOSTON MA 02109-1428  
 
DELAWARE HEALTHCARE FUNDALIU-ER CHEN AND10,629,397.0206.9531%
DAWN DING JT WROS
BROOKLINE MA 02445
 
DELAWARE MID CAP VALUE FUNDAKELLEY A MCKEE724,517.6961.2947%
PHILADELPHIA PA 19146



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APPENDIX L – 5% SHARE OWNERSHIP

The following table shows, as of January 22, 2015, the accounts of each class of each Fund that own of record 5% or more of such class. Unless otherwise indicated, the Trusts have no knowledge of beneficial ownership.


Fund Name and Class      Shareholders Name and Address      Total Shares      Percentage
DELAWAREFIRST CLEARING LLC431,498.8107.65%
CASH RESERVE® FUNDSPECIAL CUSTODY ACCT FOR THE 
CONSULTANTEXCLUSIVE BENEFIT OF CUSTOMER
CLASS2801 MARKET ST
SAINT LOUIS MO 63103-2523
 
DELAWARE CASHDELAWARE DISTRIBUTORS L.P.17,707,892.4909.83%
RESERVE FUNDCORPORATE ACCOUNTING
CLASS A2005 MARKET ST FL 9
PHILA PA 19103-7007
 
DELAWARE CASHFIRST CLEARING LLC1,051,505.94011.57%
RESERVE FUNDSPECIAL CUSTODY ACCT FOR THE
CLASS CEXCLUSIVE BENEFIT OF CUSTOMER
2801 MARKET ST
SAINT LOUIS MO 63103-2523
 
DELAWARE CASHMORGAN STANLEY SMITH BARNEY972,254.10010.69%
RESERVE FUNDHARBORSIDE FINANCIAL CENTER
CLASS CPLAZA 2 3RD FL
JERSEY CITY NJ 07311
 
DELAWARE CASHUBS WM USA886,066.8709.75%
RESERVE FUNDOMNI ACCOUNT M/F
CLASS CATTN DEPARTMENT MANAGER
499 WASHINGTON BLVD FL 9
JERSEY CITY NJ 07310-2055
 
DELAWARE CASHMLPF&S FOR THE SOLE676,133.4807.44%
RESERVE FUNDBENEFIT OF ITS CUSTOMERS
CLASS CATTENTION: FUND ADMIN SEC
4800 DEER LAKE DRIVE EAST, 2ND FL
JACKSONVILLE FL 32246-6484
 
DELAWARE CASHROXANNE A PONTOW TTEE1,007,277.40011.08%
RESERVE FUNDJANET P KOENNECKE
CLASS CREVOCABLE LIVING TRUST
SANDY OR 97055
 
DELAWARE CORECHARLES SCHWAB & CO INC1,326,081.81517.22%
PLUS BOND FUNDSPEC CUSTODY ACCT FOR THE EXCL
CLASS ABNFT OF CUSTS
ATTN MUT FDS
211 MAIN ST
SAN FRANCISCO CA 94105-1905
 
DELAWARE COREPERSHING LLC618,576.0678.03%
PLUS BOND FUND1 PERSHING PLAZA
CLASS AJERSEY CITY NJ 07399-0002



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Fund Name and Class      Shareholders Name and Address      Total Shares      Percentage
DELAWARE COREMLPF&S FOR THE SOLE295,328.85928.30%
PLUS BOND FUNDBENEFIT OF ITS CUSTOMERS
CLASS CATTENTION: FUND ADMIN SEC 
4800 DEER LAKE DRIVE EAST, 2ND FL
JACKSONVILLE FL 32246-6484
 
DELAWARE COREMORGAN STANLEY SMITH BARNEY177,279.25716.99%
PLUS BOND FUNDHARBORSIDE FINANCIAL CENTER
CLASS CPLAZA 2 3RD FL
JERSEY CITY NJ 07311
 
DELAWARE COREPERSHING LLC86,795.4898.32%
PLUS BOND FUND1 PERSHING PLAZA
CLASS CJERSEY CITY NJ 07399-0002
 
DELAWARE CORENATIONAL FINANCIAL77,918.1007.47%
PLUS BOND FUNDSERVICES LLC
CLASS C(FBO) OUR CUSTOMERS
ATTN MUTUAL FUNDS
DEPARTMENT
499 WASHINGTON BLVD 4TH FLOOR
JERSEY CITY NJ 07310
 
DELAWARE CORERAYMOND JAMES72,872.5326.98%
PLUS BOND FUNDOMNIBUS FOR MUTUAL FUNDS
CLASS CATTN COURTNEY WALLER
880 CARILLON PARKWAY
ST PETERSBURG FL 33713
 
DELAWARE COREFIRST CLEARING LLC66,860.0396.41%
PLUS BOND FUNDSPECIAL CUSTODY ACCT FOR THE
CLASS CEXCLUSIVE BENEFIT OF CUSTOMER
2801 MARKET ST
SAINT LOUIS MO 63103-2523
 
DELAWARE CORENATIONAL FINANCIAL1,295,988.45928.62%
PLUS BOND FUNDSERVICES LLC
CLASS I(FBO) OUR CUSTOMERS
ATTN MUTUAL FUNDS
DEPARTMENT
499 WASHINGTON BLVD 4TH FLOOR
JERSEY CITY NJ 07310
 
DELAWARE CORERAYMOND JAMES339,097.6207.49%
PLUS BOND FUNDATTN COURTNEY WALLER
CLASS I880 CARILLON PARKWAY
ST PETERSBURG FL 33713
 
DELAWARE COREWELLS FARGO BANK NA884,160.56719.52%
PLUS BOND FUNDFBO BMI PENSION - FUNDS
CLASS IPO BOX 1533
MINNEAPOLIS, MN 55480



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Fund Name and Class      Shareholders Name and Address      Total Shares      Percentage
DELAWARE CORE DRAPER & CO505,995.003  11.17% 
PLUS BOND FUND801 LANCASTER AVE   
CLASS IBRYN MAWR, PA 19010 
 
DELAWARE CORELINCOLN RETIREMENT SERVICES CO231,286.7535.11%
PLUS BOND FUNDFBO MACQUARIE HOLDINGS
CLASS IUSA INC 401A
P.O. BOX 7876
FORT WAYNE IN 46801-7876 
 
DELAWARE CORELINCOLN RETIREMENT SERVICES CO602,481.00268.73%
PLUS BOND FUNDFBO SANTAFE HLTHCRE 401K
CLASS RP.O. BOX 7876
 FORT WAYNE IN 46801-7876
 
DELAWARE COREMLPF&S FOR THE SOLE74,152.9598.46%
PLUS BOND FUNDBENEFIT OF ITS CUSTOMERS
CLASS RATTENTION: FUND ADMIN SEC
4800 DEER LAKE DRIVE EAST, 2ND FL
JACKSONVILLE FL 32246-6484
 
DELAWARENATIONAL FINANCIAL12,045,674.53315.12%
CORPORATESERVICES LLC
BOND FUND (FBO) OUR CUSTOMERS
CLASS AATTN MUTUAL FUNDS
DEPARTMENT
499 WASHINGTON BLVD 4TH FLOOR
JERSEY CITY NJ 07310
 
DELAWAREPERSHING LLC6,388,219.1068.02%
CORPORATE1 PERSHING PLAZA
BOND FUNDJERSEY CITY NJ 07399-0002
CLASS A
 
DELAWAREMLPF&S FOR THE SOLE6,251,346.4297.84%
CORPORATEBENEFIT OF ITS CUSTOMERS
BOND FUNDATTENTION: FUND ADMIN SEC
CLASS A4800 DEER LAKE DRIVE EAST, 2ND FL
JACKSONVILLE FL 32246-6484
 
DELAWAREFIRST CLEARING LLC4,283,845.4105.38%
CORPORATESPECIAL CUSTODY ACCT FOR THE
BOND FUNDEXCLUSIVE BENEFIT OF CUSTOMER
CLASS A2801 MARKET ST
SAINT LOUIS MO 63103-2523
 
DELAWAREDCGT AS TTEE4,255,208.6375.34%
CORPORATECUST FBO PLIC VARIOUS
BOND FUNDRETIREMENT PLANS OMNIBUS
CLASS AATTN NPIO TRADE DESK
711 HIGH STREET
 DES MOINES, IA 50303



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Fund Name and Class      Shareholders Name and Address      Total Shares      Percentage
DELAWAREMLPF&S FOR THE SOLE13,318,831.34038.88%
CORPORATEBENEFIT OF ITS CUSTOMERS
BOND FUNDATTENTION: FUND ADMIN SEC
CLASS C4800 DEER LAKE DRIVE EAST, 2ND FL
JACKSONVILLE FL 32246-6484
 
DELAWAREFIRST CLEARING LLC5,208,103.75015.20%
CORPORATESPECIAL CUSTODY ACCT FOR THE
BOND FUNDEXCLUSIVE BENEFIT OF CUSTOMER
CLASS C2801 MARKET ST
SAINT LOUIS MO 63103-2523
 
DELAWAREMORGAN STANLEY SMITH BARNEY3,223,555.1979.41%
CORPORATEHARBORSIDE FINANCIAL CENTER
BOND FUNDPLAZA 2 3RD FL
CLASS CJERSEY CITY NJ 07311
 
DELAWAREPERSHING LLC2,676,606.2127.81%
CORPORATE1 PERSHING PLAZA
BOND FUNDJERSEY CITY NJ 07399-0002
CLASS C
 
DELAWARENATIONAL FINANCIAL2,056,589.6956.00%
CORPORATESERVICES LLC
BOND FUND(FBO) OUR CUSTOMERS
CLASS CATTN MUTUAL FUNDS
DEPARTMENT
499 WASHINGTON BLVD 4TH FLOOR
JERSEY CITY NJ 07310
 
DELAWARERAYMOND JAMES1,745,162.1685.09%
CORPORATEOMNIBUS FOR MUTUAL FUNDS
BOND FUNDATTN COURTNEY WALLER
CLASS C880 CARILLON PARKWAY
ST PETERSBURG FL 33713
 
DELAWAREMLPF&S FOR THE SOLE46,739,306.85146.58%
CORPORATEBENEFIT OF ITS CUSTOMERS
BOND FUNDATTENTION: FUND ADMIN SEC
CLASS I4800 DEER LAKE DRIVE EAST, 2ND FL
JACKSONVILLE FL 32246-6484
 
DELAWAREUBS WM USA12,685,003.03512.64%
CORPORATEOMNI ACCOUNT M/F
BOND FUNDATTN DEPARTMENT MANAGER
CLASS I499 WASHINGTON BLVD FL 9
JERSEY CITY NJ 07310-2055
 
DELAWARENATIONAL FINANCIAL10,132,554.07710.10%
CORPORATESERVICES LLC
BOND FUND(FBO) OUR CUSTOMERS
CLASS IATTN MUTUAL FUNDS
DEPARTMENT
499 WASHINGTON BLVD 4TH FLOOR
 JERSEY CITY NJ 07310



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Fund Name and Class      Shareholders Name and Address      Total Shares      Percentage
DELAWAREFIRST CLEARING LLC9,360,669.2259.33%
CORPORATESPECIAL CUSTODY ACCT FOR THE
BOND FUNDEXCLUSIVE BENEFIT OF CUSTOMER
CLASS I2801 MARKET ST
SAINT LOUIS MO 63103-2523
 
DELAWAREMORGAN STANLEY SMITH BARNEY5,134,756.0775.12%
CORPORATEHARBORSIDE FINANCIAL CENTER
BOND FUNDPLAZA 2 3RD FL
CLASS IJERSEY CITY NJ 07311
 
DELAWAREMLPF&S FOR THE SOLE907,307.00418.20%
CORPORATEBENEFIT OF ITS CUSTOMERS
BOND FUNDATTENTION: FUND ADMIN SEC
CLASS R4800 DEER LAKE DRIVE EAST, 2ND FL
JACKSONVILLE FL 32246-6484
 
DELAWAREDCGT AS TTEE AND/OR CUST2,534,577.71850.84%
CORPORATEFBO PLIC VARIOUS RETIREMENT
BOND FUNDPLANS OMNIBUS
CLASS RATTN NPIO TRADE DESK
711 HIGH STREET
DES MOINES, IA 50303
 
DELAWAREPERSHING LLC2,142,391.96516.91%
DIVERSIFIED1 PERSHING PLAZA
FLOATING RATEJERSEY CITY NJ 07399-0002
FUND CLASS A
 
DELAWAREMLPF&S FOR THE SOLE1,280,313.05510.11%
DIVERSIFIEDBENEFIT OF ITS CUSTOMERS
FLOATING RATEATTENTION: FUND ADMIN SEC
FUND CLASS A4800 DEER LAKE DRIVE EAST, 2ND FL
JACKSONVILLE FL 32246-6484
 
DELAWAREMORGAN STANLEY SMITH BARNEY1,161,782.3229.17%
DIVERSIFIEDHARBORSIDE FINANCIAL CENTER
FLOATING RATEPLAZA 2 3RD FL
FUND CLASS AJERSEY CITY NJ 07311
 
DELAWAREUBS WM USA1,054,985.4638.33%
DIVERSIFIEDOMNI ACCOUNT M/F
FLOATING RATEATTN DEPARTMENT MANAGER
FUND CLASS A499 WASHINGTON BLVD FL 9
JERSEY CITY NJ 07310-2055
 
DELAWAREFIRST CLEARING LLC742,027.3565.86%
DIVERSIFIEDSPECIAL CUSTODY ACCT FOR THE
FLOATING RATEEXCLUSIVE BENEFIT OF CUSTOMER
FUND CLASS A2801 MARKET ST
 SAINT LOUIS MO 63103-2523



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Fund Name and Class      Shareholders Name and Address      Total Shares      Percentage
DELAWARENATIONAL FINANCIAL731,470.9625.77%
DIVERSIFIEDSERVICES LLC
FLOATING RATE(FBO) OUR CUSTOMERS
FUND CLASS AATTN MUTUAL FUNDS
DEPARTMENT
499 WASHINGTON BLVD 4TH FLOOR
JERSEY CITY NJ 07310
 
DELAWAREMLPF&S FOR THE SOLE3,598,768.20635.69%
DIVERSIFIEDBENEFIT OF ITS CUSTOMERS
FLOATING RATEATTENTION: FUND ADMIN SEC
FUND CLASS C4800 DEER LAKE DRIVE EAST, 2ND FL
JACKSONVILLE FL 32246-6484
 
DELAWAREFIRST CLEARING LLC1,757,906.41917.43%
DIVERSIFIEDSPECIAL CUSTODY ACCT FOR THE
FLOATING RATEEXCLUSIVE BENEFIT OF CUSTOMER
FUND CLASS C2801 MARKET ST
SAINT LOUIS MO 63103-2523
 
DELAWAREMORGAN STANLEY SMITH BARNEY1,243,993.89412.34%
DIVERSIFIEDHARBORSIDE FINANCIAL CENTER
FLOATING RATEPLAZA 2 3RD FL
FUND CLASS CJERSEY CITY NJ 07311
 
DELAWAREUBS WM USA999,544.8489.91%
DIVERSIFIEDOMNI ACCOUNT M/F
FLOATING RATEATTN DEPARTMENT MANAGER
FUND CLASS C499 WASHINGTON BLVD FL 9
JERSEY CITY NJ 07310-2055
 
DELAWARELPL FINANCIAL511,382.1145.07%
DIVERSIFIED--OMNIBUS CUSTOMER ACCOUNT--
FLOATING RATEATTN: LINDSAY O’TOOLE
FUND CLASS C9785 TOWNE CENTRE DR
SAN DIEGO CA 92121
 
DELAWAREMLPF&S FOR THE SOLE11,810,183.01939.10%
DIVERSIFIEDBENEFIT OF ITS CUSTOMERS
FLOATING RATEATTENTION: FUND ADMIN SEC
FUND CLASS I4800 DEER LAKE DRIVE EAST, 2ND FL
JACKSONVILLE FL 32246-6484
 
DELAWAREMORGAN STANLEY SMITH BARNEY5,517,271.02318.26%
DIVERSIFIEDHARBORSIDE FINANCIAL CENTER
FLOATING RATEPLAZA 2 3RD FL
FUND CLASS IJERSEY CITY NJ 07311
 
DELAWAREFIRST CLEARING LLC4,690,079.42915.53%
DIVERSIFIEDSPECIAL CUSTODY ACCT FOR THE
FLOATING RATEEXCLUSIVE BENEFIT OF CUSTOMER
FUND CLASS I2801 MARKET ST
 SAINT LOUIS MO 63103-2523



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Fund Name and Class      Shareholders Name and Address      Total Shares      Percentage
DELAWAREUBS WM USA3,733,834.57312.36%
DIVERSIFIEDOMNI ACCOUNT M/F
FLOATING RATEATTN DEPARTMENT MANAGER
FUND CLASS I499 WASHINGTON BLVD FL 9
JERSEY CITY NJ 07310-2055
 
DELAWAREMORGAN STANLEY SMITH BARNEY75,169.50990.11%
DIVERSIFIEDHARBORSIDE FINANCIAL CENTER
FLOATING RATEPLAZA 2 3RD FL
FUND CLASS RJERSEY CITY NJ 07311
 
DELAWARENATIONAL FINANCIAL31,484,443.10513.89%
DIVERSIFIEDSERVICES LLC
INCOME FUND(FBO) OUR CUSTOMERS
CLASS AATTN MUTUAL FUNDS
DEPARTMENT
499 WASHINGTON BLVD 4TH FLOOR
JERSEY CITY NJ 07310
 
DELAWAREMLPF&S FOR THE SOLE29,131,578.95212.85%
DIVERSIFIEDBENEFIT OF ITS CUSTOMERS
INCOME FUNDATTENTION: FUND ADMIN SEC
CLASS A4800 DEER LAKE DRIVE EAST, 2ND FL
JACKSONVILLE FL 32246-6484
 
DELAWARELPL FINANCIAL15,561,912.2516.87%
DIVERSIFIED--OMNIBUS CUSTOMER ACCOUNT--
INCOME FUNDATTN: LINDSAY O’TOOLE
CLASS A9785 TOWNE CENTRE DR
SAN DIEGO CA 92121
 
DELAWAREPERSHING LLC15,406,131.6086.80%
DIVERSIFIED1 PERSHING PLAZA
INCOME FUNDJERSEY CITY NJ 07399-0002
CLASS A
 
DELAWAREUBS WM USA11,820,163.5485.22%
DIVERSIFIEDOMNI ACCOUNT M/F
INCOME FUNDATTN DEPARTMENT MANAGER
CLASS A499 WASHINGTON BLVD FL 9
JERSEY CITY NJ 07310-2055
 
DELAWAREMLPF&S FOR THE SOLE35,829,534.69128.09%
DIVERSIFIEDBENEFIT OF ITS CUSTOMERS
INCOME FUNDATTENTION: FUND ADMIN SEC
CLASS C4800 DEER LAKE DRIVE EAST, 2ND FL
JACKSONVILLE FL 32246-6484
 
DELAWAREMORGAN STANLEY SMITH BARNEY19,839,224.13215.55%
DIVERSIFIEDHARBORSIDE FINANCIAL CENTER
INCOME FUNDPLAZA 2 3RD FL
CLASS CJERSEY CITY NJ 07311



Table of Contents

Fund Name and Class      Shareholders Name and Address      Total Shares      Percentage
DELAWAREFIRST CLEARING LLC14,429,180.58411.31%
DIVERSIFIEDSPECIAL CUSTODY ACCT FOR THE
INCOME FUNDEXCLUSIVE BENEFIT OF CUSTOMER
CLASS C2801 MARKET ST
SAINT LOUIS MO 63103-2523
 
DELAWAREUBS WM USA11,823,778.2599.27%
DIVERSIFIEDOMNI ACCOUNT M/F
INCOME FUNDATTN DEPARTMENT MANAGER
CLASS C499 WASHINGTON BLVD FL 9
JERSEY CITY NJ 07310-2055
 
DELAWARENATIONAL FINANCIAL SERVICES LLC9,961,931.8837.81%
DIVERSIFIED(FBO) OUR CUSTOMERS
INCOME FUNDATTN MUTUAL FUNDS
CLASS CDEPARTMENT
499 WASHINGTON BLVD 4TH FLOOR
JERSEY CITY NJ 07310
 
DELAWARERAYMOND JAMES8,645,720.0416.78%
DIVERSIFIEDOMNIBUS FOR MUTUAL FUNDS
INCOME FUNDATTN COURTNEY WALLER
CLASS C880 CARILLON PARKWAY
ST PETERSBURG FL 33713
 
DELAWAREFIRST CLEARING LLC57,855,432.56521.29%
DIVERSIFIEDSPECIAL CUSTODY ACCT FOR THE
INCOME FUNDEXCLUSIVE BENEFIT OF CUSTOMER
CLASS I2801 MARKET ST
SAINT LOUIS MO 63103-2523
 
DELAWAREUBS WM USA53,269,810.45919.60%
DIVERSIFIEDOMNI ACCOUNT M/F
INCOME FUNDATTN DEPARTMENT MANAGER
CLASS I499 WASHINGTON BLVD FL 9
JERSEY CITY NJ 07310-2055
 
DELAWAREMLPF&S FOR THE SOLE41,941,694.86515.43%
DIVERSIFIEDBENEFIT OF ITS CUSTOMERS
INCOME FUNDATTENTION: FUND ADMIN SEC
CLASS I4800 DEER LAKE DRIVE EAST, 2ND FL
JACKSONVILLE FL 32246-6484
 
DELAWAREMORGAN STANLEY SMITH BARNEY29,868,102.82610.99%
DIVERSIFIEDHARBORSIDE FINANCIAL CENTER
INCOME FUNDPLAZA 2 3RD FL
CLASS IJERSEY CITY NJ 07311
 
DELAWARELPL FINANCIAL24,790,601.6309.12%
DIVERSIFIED--OMNIBUS CUSTOMER ACCOUNT--
INCOME FUNDATTN: LINDSAY O’TOOLE
CLASS I9785 TOWNE CENTRE DR
 SAN DIEGO CA 92121



Table of Contents

Fund Name and Class      Shareholders Name and Address      Total Shares      Percentage
DELAWAREPERSHING LLC20,990,481.2157.72%
DIVERSIFIED1 PERSHING PLAZA
INCOME FUNDJERSEY CITY NJ 07399-0002
CLASS I
 
DELAWAREMLPF&S FOR THE SOLE3,542,231.14127.10%
DIVERSIFIEDBENEFIT OF ITS CUSTOMERS
INCOME FUNDATTENTION: FUND ADMIN SEC
CLASS R4800 DEER LAKE DRIVE EAST, 2ND FL
JACKSONVILLE FL 32246-6484
 
DELAWAREHARTFORD LIFE INSURANCE CO1,769,468.29713.53%
DIVERSIFIEDSEP ACCT
INCOME FUNDATTN UIT OPERATIONS
CLASS RPO BOX 2999
HARTFORD CT 06104-2999
 
DELAWAREFIRST CLEARING LLC2,701,645.96311.36%
DIVIDENDSPECIAL CUSTODY ACCT FOR THE
INCOME FUNDEXCLUSIVE BENEFIT OF CUSTOMER
CLASS A2801 MARKET ST
SAINT LOUIS MO 63103-2523
 
DELAWARENATIONAL FINANCIAL2,610,235.50410.97%
DIVIDENDSERVICES LLC
INCOME FUND(FBO) OUR CUSTOMERS
CLASS AATTN MUTUAL FUNDS
DEPARTMENT
499 WASHINGTON BLVD 4TH FLOOR
JERSEY CITY NJ 07310
 
DELAWAREMLPF&S FOR THE SOLE2,235,906.2579.40%
DIVIDENDBENEFIT OF ITS CUSTOMERS
INCOME FUNDATTENTION: FUND ADMIN SEC
CLASS A4800 DEER LAKE DRIVE EAST, 2ND FL
JACKSONVILLE FL 32246-6484
 
DELAWARELPL FINANCIAL1,711,966.0357.20%
DIVIDEND--OMNIBUS CUSTOMER ACCOUNT--
INCOME FUNDATTN: LINDSAY O’TOOLE
CLASS A9785 TOWNE CENTRE DR
SAN DIEGO CA 92121
 
DELAWAREPERSHING LLC1,546,263.9236.50%
DIVIDEND1 PERSHING PLAZA
INCOME FUNDJERSEY CITY NJ 07399-0002
CLASS A
 
DELAWAREMORGAN STANLEY SMITH BARNEY1,423,567.1985.99%
DIVIDENDHARBORSIDE FINANCIAL CENTER
INCOME FUNDPLAZA 2 3RD FL
CLASS AJERSEY CITY NJ 07311



Table of Contents

Fund Name and Class      Shareholders Name and Address      Total Shares      Percentage
DELAWARECHARLES SCHWAB & CO INC1,240,648.9065.22%
DIVIDENDSPECIAL CUSTODY ACCT
INCOME FUNDFBO CUSTOMERS
CLASS AATTN MUTUAL FUNDS
211 MAIN ST
SAN FRANCISCO CA 94105-1905
 
DELAWAREMLPF&S FOR THE SOLE6,033,383.12226.27%
DIVIDENDBENEFIT OF ITS CUSTOMERS
INCOME FUNDATTENTION: FUND ADMIN SEC
CLASS C4800 DEER LAKE DRIVE EAST, 2ND FL
JACKSONVILLE FL 32246-6484
 
DELAWAREMORGAN STANLEY SMITH BARNEY3,738,438.49016.28%
DIVIDENDHARBORSIDE FINANCIAL CENTER
INCOME FUNDPLAZA 2 3RD FL
CLASS CJERSEY CITY NJ 07311
 
DELAWAREFIRST CLEARING LLC3,582,402.55715.60%
DIVIDENDSPECIAL CUSTODY ACCT FOR THE
INCOME FUNDEXCLUSIVE BENEFIT OF CUSTOMER
CLASS C2801 MARKET ST
SAINT LOUIS MO 63103-2523
 
DELAWAREUBS WM USA2,024,058.9768.81%
DIVIDENDOMNI ACCOUNT M/F
INCOME FUNDATTN DEPARTMENT MANAGER
CLASS C499 WASHINGTON BLVD FL 9
JERSEY CITY NJ 07310-2055
 
DELAWARENATIONAL FINANCIAL1,477,357.0016.43%
DIVIDENDSERVICES LLC
INCOME FUND(FBO) OUR CUSTOMERS
CLASS CATTN MUTUAL FUNDS
DEPARTMENT
499 WASHINGTON BLVD 4TH FLOOR
JERSEY CITY NJ 07310
 
DELAWARERAYMOND JAMES1,323,264.6115.76%
DIVIDENDOMNIBUS FOR MUTUAL FUNDS
INCOME FUNDATTN COURTNEY WALLER
CLASS C880 CARILLON PARKWAY
ST PETERSBURG FL 33713
 
DELAWAREMLPF&S FOR THE SOLE3,391,835.71529.39%
DIVIDENDBENEFIT OF ITS CUSTOMERS
INCOME FUNDATTENTION: FUND ADMIN SEC
CLASS I4800 DEER LAKE DRIVE EAST, 2ND FL
JACKSONVILLE FL 32246-6484
 
DELAWAREMORGAN STANLEY SMITH BARNEY2,371,582.38920.55%
DIVIDENDHARBORSIDE FINANCIAL
INCOME FUNDCENTER PLAZA 2 3RD FL
CLASS IJERSEY CITY NJ 07311



Table of Contents

Fund Name and Class      Shareholders Name and Address      Total Shares      Percentage
DELAWAREFIRST CLEARING LLC2,125,171.05918.42%
DIVIDENDSPECIAL CUSTODY ACCT FOR THE
INCOME FUNDEXCLUSIVE BENEFIT OF CUSTOMER
CLASS I2801 MARKET ST
SAINT LOUIS MO 63103-2523
 
DELAWAREUBS WM USA1,110,097.9209.62%
DIVIDENDOMNI ACCOUNT M/F
INCOME FUNDATTN DEPARTMENT MANAGER
CLASS I499 WASHINGTON BLVD FL 9
JERSEY CITY NJ 07310-2055
 
DELAWARELPL FINANCIAL692,840.4966.00%
DIVIDEND--OMNIBUS CUSTOMER ACCOUNT--
INCOME FUNDATTN: LINDSAY O’TOOLE
CLASS I9785 TOWNE CENTRE DR
SAN DIEGO CA 92121
 
DELAWARENATIONAL FINANCIAL686,138.5395.95%
DIVIDENDSERVICES LLC
INCOME FUND(FBO) OUR CUSTOMERS
CLASS IATTN MUTUAL FUNDS
DEPARTMENT
499 WASHINGTON BLVD 4TH FLOOR
JERSEY CITY NJ 07310
 
DELAWARERELIANCE TRUST COMPANY121,411.28543.28%
DIVIDENDFBO MASSMUTUAL DMF
INCOME FUNDP.O. BOX 48529
CLASS RATLANTA GA 30362
 
DELAWAREASCENSUS TRUST COMPANY25,702.9569.16%
DIVIDENDFBO WOODSTOCK INTERNAL
INCOME FUNDMEDICINE SPECIAL
CLASS RP.O. BOX 10758
FARGO, ND 58106
 
DELAWAREASCENSUS TRUST COMPANY14,641.0775.22%
DIVIDENDFBO GRUBBS CHEVROLET, INC.
INCOME FUND401(K) PLAN
CLASS RP.O. BOX 10758
FARGO, ND 58106
 
DELAWAREMLPF&S FOR THE SOLE60,914.14421.71%
DIVIDENDBENEFIT OF ITS CUSTOMERS
INCOME FUNDATTENTION: FUND ADMIN SEC
CLASS R4800 DEER LAKE DRIVE EAST, 2ND FL
JACKSONVILLE FL 32246-6484
 
DELAWAREPERSHING LLC14,737.6215.25%
DIVIDEND1 PERSHING PLAZA
INCOME FUNDJERSEY CITY NJ 07399-0002
CLASS R



Table of Contents

Fund Name and Class      Shareholders Name and Address      Total Shares      Percentage
DELAWAREDELAWARE MANAGEMENT252.36398.76%
EMERGINGHOLDINGS, INC.
MARKETS DEBTC/O RICK SALUS
FUND CLASS A2005 MARKET ST
PHILADELPHIA PA 19103-7028
 
DELAWAREDEL MANAGEMENT HOLDINGS, INC.250.84998.74%
EMERGINGC/O RICK SALUS
MARKETS DEBT2005 MARKET ST
FUND CLASS CPHILADELPHIA PA 19103-7028
 
DELAWAREDEL MANAGEMENT HOLDINGS, INC.2,226,996.781100.00%
EMERGINGC/O RICK SALUS
MARKETS DEBT2005 MARKET ST
FUND CLASS IPHILADELPHIA PA 19103-7028
 
DELAWAREDEL MANAGEMENT HOLDINGS, INC.251.84298.74%
EMERGINGC/O RICK SALUS
MARKETS DEBT2005 MARKET ST
FUND CLASS RPHILADELPHIA PA 19103-7028
 
DELAWARENATIONAL FINANCIAL3,738,834.25314.81%
EMERGINGSERVICES LLC
MARKETS FUND(FBO) OUR CUSTOMERS
CLASS AATTN MUTUAL FUNDS
DEPARTMENT
499 WASHINGTON BLVD 4TH FLOOR
JERSEY CITY NJ 07310
 
DELAWAREMLPF&S FOR THE SOLE2,856,699.29511.32%
EMERGINGBENEFIT OF ITS CUSTOMERS
MARKETS FUNDATTENTION: FUND ADMIN SEC
CLASS A4800 DEER LAKE DRIVE EAST, 2ND FL
JACKSONVILLE FL 32246-6484
 
DELAWAREPERSHING LLC2,845,611.60911.27%
EMERGING1 PERSHING PLAZA
MARKETS FUNDJERSEY CITY NJ 07399-0002
CLASS A
 
DELAWARECHARLES SCHWAB & CO INC1,903,933.9657.54%
EMERGINGSPEC CUSTODY ACCT FOR THE EXCL
MARKETS FUNDBNFT OF CUSTS ATTN MUT FDS
CLASS A211 MAIN ST
SAN FRANCISCO CA 94105-1905
 
DELAWAREMORGAN STANLEY SMITH BARNEY1,767,732.3977.00%
EMERGINGHARBORSIDE FINANCIAL CENTER
MARKETS FUNDPLAZA 2 3RD FL
CLASS AJERSEY CITY NJ 07311
 
DELAWARELPL FINANCIAL1,316,222.7505.21%
EMERGING--OMNIBUS CUSTOMER ACCOUNT--
MARKETS FUNDATTN: LINDSAY O’TOOLE
CLASS A9785 TOWNE CENTRE DR
SAN DIEGO CA 92121



Table of Contents

Fund Name and Class      Shareholders Name and Address      Total Shares      Percentage
DELAWAREMLPF&S FOR THE SOLE3,248,708.43624.90%
EMERGINGBENEFIT OF ITS CUSTOMERS
MARKETS FUNDATTENTION: FUND ADMIN SEC
CLASS C4800 DEER LAKE DRIVE EAST, 2ND FL
JACKSONVILLE FL 32246-6484
 
DELAWAREMORGAN STANLEY SMITH BARNEY2,621,020.57220.09%
EMERGINGHARBORSIDE FINANCIAL CENTER
MARKETS FUNDPLAZA 2 3RD FL
CLASS CJERSEY CITY NJ 07311
 
DELAWAREFIRST CLEARING LLC1,549,859.44311.88%
EMERGINGSPECIAL CUSTODY ACCT FOR THE
MARKETS FUNDEXCLUSIVE BENEFIT OF CUSTOMER
CLASS C2801 MARKET ST
SAINT LOUIS MO 63103-2523
 
DELAWAREUBS WM USA1,212,789.6069.29%
EMERGINGOMNI ACCOUNT M/F
MARKETS FUNDATTN DEPARTMENT MANAGER
CLASS C499 WASHINGTON BLVD FL 9
JERSEY CITY NJ 07310-2055
 
DELAWARENATIONAL FINANCIAL777,038.3055.95%
EMERGINGSERVICES LLC
MARKETS FUND(FBO) OUR CUSTOMERS
CLASS CATTN MUTUAL FUNDS
DEPARTMENT
499 WASHINGTON BLVD 4TH FLOOR
JERSEY CITY NJ 07310
 
DELAWARELPL FINANCIAL739,546.9055.67%
EMERGING--OMNIBUS CUSTOMER ACCOUNT--
MARKETS FUNDATTN: LINDSAY O’TOOLE
CLASS C9785 TOWNE CENTRE DR
SAN DIEGO CA 92121
 
DELAWAREPERSHING LLC659,052.8695.05%
EMERGING1 PERSHING PLAZA
MARKETS FUNDJERSEY CITY NJ 07399-0002
CLASS C
 
DELAWARECHARLES SCHWAB & CO INC38,592,893.59926.22%
EMERGINGSPEC CUSTODY ACCT FOR THE EXCL
MARKETS FUNDBNFT OF CUSTS ATTN MUT FDS
CLASS I211 MAIN ST
SAN FRANCISCO CA 94105-1905
 
DELAWAREMLPF&S FOR THE SOLE27,438,911.95318.64%
EMERGINGBENEFIT OF ITS CUSTOMERS
MARKETS FUNDATTENTION: FUND ADMIN SEC
CLASS I4800 DEER LAKE DRIVE EAST, 2ND FL
JACKSONVILLE FL 32246-6484



Table of Contents

Fund Name and Class      Shareholders Name and Address      Total Shares      Percentage
DELAWAREPERSHING LLC16,616,056.58011.29%
EMERGING1 PERSHING PLAZA
MARKETS FUNDJERSEY CITY NJ 07399-0002
CLASS I
 
DELAWARENATIONAL FINANCIAL8,847,994.8346.01%
EMERGINGSERVICES LLC
MARKETS FUND(FBO) OUR CUSTOMERS
CLASS IATTN MUTUAL FUNDS
DEPARTMENT
499 WASHINGTON BLVD 4TH FLOOR
JERSEY CITY NJ 07310
 
DELAWAREEDWARD D JONES AND CO8,806,642.4695.98%
EMERGINGFOR THE BENEFIT OF CUSTOMERS
MARKETS FUND12555 MANCHESTER ROAD
CLASS IST LOUIS MO 63131-3710
 
DELAWAREMLPF&S FOR THE SOLE369,593.22433.85%
EMERGINGBENEFIT OF ITS CUSTOMERS
MARKETS FUNDATTENTION: FUND ADMIN SEC
CLASS R4800 DEER LAKE DRIVE EAST, 2ND FL
JACKSONVILLE FL 32246-6484
 
DELAWAREMASSACHUSETTS MUTUAL LIFE108,509.8029.94%
EMERGINGINSURANCE COMPANY
MARKETS FUND1295 STATE STREET - MIP M200-INVST
CLASS RSPRINGFIELD MA 01111
 
DELAWAREMASSACHUSETTS MUTUAL LIFE65,188.7985.97%
EMERGINGINSURANCE COMPANY
MARKETS FUND1295 STATE STREET - MIP C105
CLASS RSPRINGFIELD MA 01111-0001
 
DELAWAREDCGT AS TTEE AND/OR CUST218,935.41920.05%
EMERGINGFBO PLIC VARIOUS RETIREMENT
MARKETS FUNDPLANS OMNIBUS
CLASS RATTN NPIO TRADE DESK
711 HIGH STREET
DES MOINES, IA 50303
 
DELAWARENATIONAL FINANCIAL5,305,795.04713.51%
EXTENDEDSERVICES LLC
DURATION BOND(FBO) OUR CUSTOMERS
FUND CLASS AATTN MUTUAL FUNDS
DEPARTMENT
499 WASHINGTON BLVD 4TH FLOOR
JERSEY CITY NJ 07310
 
DELAWAREPERSHING LLC2,225,823.9535.67%
EXTENDED1 PERSHING PLAZA
DURATION BONDJERSEY CITY NJ 07399-0002
FUND CLASS A



Table of Contents

Fund Name and Class      Shareholders Name and Address      Total Shares      Percentage
DELAWAREMLPF&S FOR THE SOLE2,002,979.0095.10%
EXTENDEDBENEFIT OF ITS CUSTOMERS
DURATION BONDATTENTION: FUND ADMIN SEC
FUND CLASS A4800 DEER LAKE DRIVE EAST, 2ND FL
JACKSONVILLE FL 32246-6484
 
DELAWAREMASSACHUSETTS MUTUAL LIFE11,171,265.47128.44%
EXTENDEDINSURANCE COMPANY
DURATION BOND1295 STATE STREET - MIP C105
FUND CLASS ASPRINGFIELD MA 01111-0001
 
DELAWAREDCGT AS TTEE2,555,713.7756.51%
EXTENDEDCUST FBO PLIC
DURATION BONDVARIOUS RETIREMENT
FUND CLASS APLANS OMNIBUS
ATTN NPIO TRADE DESK
711 HIGH STREET
DES MOINES, IA 50303
 
DELAWAREMLPF&S FOR THE SOLE1,059,913.80421.13%
EXTENDEDBENEFIT OF ITS CUSTOMERS
DURATION BONDATTENTION: FUND ADMIN SEC
FUND CLASS C4800 DEER LAKE DRIVE EAST, 2ND FL
JACKSONVILLE FL 32246-6484
 
DELAWARENATIONAL FINANCIAL772,438.43515.40%
EXTENDEDSERVICES LLC
DURATION BOND(FBO) OUR CUSTOMERS
FUND CLASS CATTN MUTUAL FUNDS
DEPARTMENT
499 WASHINGTON BLVD 4TH FLOOR
JERSEY CITY NJ 07310
 
DELAWAREFIRST CLEARING LLC629,859.00212.56%
EXTENDEDSPECIAL CUSTODY ACCT FOR THE
DURATION BONDEXCLUSIVE BENEFIT OF CUSTOMER
FUND CLASS C2801 MARKET ST
SAINT LOUIS MO 63103-2523
 
DELAWAREPERSHING LLC523,394.10110.44%
EXTENDED1 PERSHING PLAZA
DURATION BONDJERSEY CITY NJ 07399-0002
FUND CLASS C
 
DELAWARERAYMOND JAMES449,367.0138.96%
EXTENDEDOMNIBUS FOR MUTUAL FUNDS
DURATION BONDATTN COURTNEY WALLER
FUND CLASS C880 CARILLON PARKWAY
ST PETERSBURG FL 33713
 
DELAWARELPL FINANCIAL259,977.7305.18%
EXTENDED--OMNIBUS CUSTOMER ACCOUNT--
DURATION BONDATTN: LINDSAY O’TOOLE
FUND CLASS C9785 TOWNE CENTRE DR
SAN DIEGO CA 92121



Table of Contents

Fund Name and Class      Shareholders Name and Address      Total Shares      Percentage
DELAWARENATIONAL FINANCIAL8,214,293.74715.54%
EXTENDEDSERVICES LLC
DURATION BOND(FBO) OUR CUSTOMERS
FUND CLASS IATTN MUTUAL FUNDS
DEPARTMENT
499 WASHINGTON BLVD 4TH FLOOR
JERSEY CITY NJ 07310
 
DELAWARECHARLES SCHWAB & CO INC6,128,466.56511.59%
EXTENDEDSPEC CUSTODY ACCT FOR THE EXCL
DURATION BONDBNFT OF CUSTS ATTN MUT FDS
FUND CLASS I211 MAIN ST
SAN FRANCISCO CA 94105-1905
 
DELAWAREFIRST CLEARING LLC3,456,561.4246.54%
EXTENDEDSPECIAL CUSTODY ACCT FOR THE
DURATION BONDEXCLUSIVE BENEFIT OF CUSTOMER
FUND CLASS I2801 MARKET ST
SAINT LOUIS MO 63103-2523
 
DELAWAREUBS WM USA2,985,925.1505.65%
EXTENDEDOMNI ACCOUNT M/F
DURATION BONDATTN DEPARTMENT MANAGER
FUND CLASS I499 WASHINGTON BLVD FL 9
JERSEY CITY NJ 07310-2055
 
DELAWAREMAC & CO4,154,172.6117.86%
EXTENDEDATTN MUTUAL FUND OPS
DURATION BOND525 WILLIAM PENN PLACE
FUND CLASS IPITTSBURGH PA 15230
 
DELAWAREMASSACHUSETTS MUTUAL1,488,191.97330.43%
EXTENDEDLIFE INS CO
DURATION BOND1295 STATE STREET - MIP C105
FUND CLASS RSPRINGFIELD MA 01111-0001
 
DELAWAREHARTFORD LIFE INSURANCE CO354,418.0397.25%
EXTENDEDSEP ACCT
DURATION BONDATTN UIT OPERATIONS
FUND CLASS RPO BOX 2999
HARTFORD CT 06104-2999
 
DELAWAREDCGT AS TTEE AND/OR CUST940,397.85019.23%
EXTENDEDFBO PLIC VARIOUS RETIREMENT
DURATION BONDPLANS OMNIBUS
FUND CLASS RATTN NPIO TRADE DESK
711 HIGH STREET
DES MOINES, IA 50303
 
DELAWAREVOYA RETIREMENT INSURANCE AND1,252,160.31525.61%
EXTENDEDANNUITY COMPANY
DURATION BOND1 ORANGE WAY
FUND CLASS RWINDSOR CT 06095-4773



Table of Contents

Fund Name and Class      Shareholders Name and Address      Total Shares      Percentage
DELAWARESTATE STREET BANK AND348,911.7427.14%
EXTENDEDTRUST COMPANY
DURATION BONDFBO TAYNIK & CO
FUND CLASS R1200 CROWN COLONY DR
QUINCY MA 02169-0938
 
DELAWAREPERSHING LLC288,523.90619.66%
FOCUS GLOBAL1 PERSHING PLAZA
GROWTH FUNDJERSEY CITY NJ 07399-0002
CLASS A
 
DELAWARENATIONAL FINANCIAL285,881.05519.48%
FOCUS GLOBALSERVICES LLC
GROWTH FUND(FBO) OUR CUSTOMERS
CLASS AATTN MUTUAL FUNDS
DEPARTMENT
499 WASHINGTON BLVD 4TH FLOOR
JERSEY CITY NJ 07310
 
DELAWAREMORGAN STANLEY SMITH BARNEY108,044.2677.36%
FOCUS GLOBALHARBORSIDE FINANCIAL CENTER
GROWTH FUNDPLAZA 2 3RD FL
CLASS AJERSEY CITY NJ 07311
 
DELAWARELPL FINANCIAL84,143.2405.73%
FOCUS GLOBAL--OMNIBUS CUSTOMER ACCOUNT--
GROWTH FUNDATTN: LINDSAY O’TOOLE
CLASS A9785 TOWNE CENTRE DR
SAN DIEGO CA 92121
 
DELAWAREMORGAN STANLEY SMITH BARNEY60,585.43819.77%
FOCUS GLOBALHARBORSIDE FINANCIAL CENTER
GROWTH FUNDPLAZA 2 3RD FL
CLASS CJERSEY CITY NJ 07311
 
DELAWAREPERSHING LLC43,418.14714.17%
FOCUS GLOBAL1 PERSHING PLAZA
GROWTH FUNDJERSEY CITY NJ 07399-0002
CLASS C
 
DELAWAREUBS WM USA41,376.53913.50%
FOCUS GLOBALOMNI ACCOUNT M/F
GROWTH FUNDATTN DEPARTMENT MANAGER
CLASS C499 WASHINGTON BLVD FL 9
JERSEY CITY NJ 07310-2055
 
DELAWARERAYMOND JAMES40,383.78113.18%
FOCUS GLOBALOMNIBUS FOR MUTUAL FUNDS
GROWTH FUNDATTN COURTNEY WALLER
CLASS C880 CARILLON PARKWAY
ST PETERSBURG FL 33713



Table of Contents

Fund Name and Class      Shareholders Name and Address      Total Shares      Percentage
DELAWARELPL FINANCIAL35,969.71711.74%
FOCUS GLOBAL--OMNIBUS CUSTOMER ACCOUNT--
GROWTH FUNDATTN: LINDSAY O’TOOLE
CLASS C9785 TOWNE CENTRE DR
SAN DIEGO CA 92121
 
DELAWARENATIONAL FINANCIAL19,220.8156.27%
FOCUS GLOBALSERVICES LLC
GROWTH FUND(FBO) OUR CUSTOMERS
CLASS CATTN MUTUAL FUNDS
DEPARTMENT
499 WASHINGTON BLVD
JERSEY CITY NJ 07310
 
DELAWAREMORGAN STANLEY SMITH BARNEY3,239,766.30666.61%
FOCUS GLOBALHARBORSIDE FINANCIAL CENTER
GROWTH FUNDPLAZA 2 3RD FL
CLASS IJERSEY CITY NJ 07311
 
DELAWARENATIONAL FINANCIAL826,734.23817.00%
FOCUS GLOBALSERVICES LLC
GROWTH FUND(FBO) OUR CUSTOMERS
CLASS IATTN MUTUAL FUNDS
DEPARTMENT
499 WASHINGTON BLVD 4TH FLOOR
JERSEY CITY NJ 07310
 
DELAWAREUBS WM USA312,398.7686.42%
FOCUS GLOBALOMNI ACCOUNT M/F
GROWTH FUNDATTN DEPARTMENT MANAGER
CLASS I499 WASHINGTON BLVD FL 9
JERSEY CITY NJ 07310-2055
 
DELAWARERELIANCE TRUST COMPANY277,837.8065.71%
FOCUS GLOBALFBO RIS
GROWTH FUNDPO BOX 48529
CLASS IATLANTA GA 30362
 
DELAWARECOUNSEL TRUST DBA MATC FBO4,965.23663.71%
FOCUS GLOBALPERFORMANCE AIR
GROWTH FUNDMECHANICAL INC
CLASS R401(K) PROFIT SHARING
PLAN & TRUST
1251 WATERFRONT PLACE SUITE 525
PITTSBURGH, PA 15222
 
DELAWAREMG TRUST COMPANY1,722.04222.09%
FOCUS GLOBALCUST. FBO C. MCHUGH INSURANCE
GROWTH FUNDAGENCY, INC.
CLASS R717 17TH STREET SUITE 1300
DENVER CO 80202



Table of Contents

Fund Name and Class      Shareholders Name and Address      Total Shares      Percentage
DELAWARENFS LLC622.0767.98%
FOCUS GLOBALFEBO JONATHAN VICTOR &
GROWTH FUNDCAROL VICTOR
CLASS RWHEELING IL 60090
 
DELAWAREMLPF&S FOR THE SOLE555,401.12310.84%
FOUNDATION®BENEFIT OF ITS CUSTOMERS
CONSERVATIVEATTENTION: FUND ADMIN SEC
ALLOCATION FUND4800 DEER LAKE DRIVE EAST, 2ND FL
CL AJACKSONVILLE FL 32246-6484
 
DELAWAREFIRST CLEARING LLC349,900.8536.83%
FOUNDATIONSPECIAL CUSTODY ACCT FOR THE
CONSERVATIVEEXCLUSIVE BENEFIT OF CUSTOMER
ALLOCATION FUND2801 MARKET ST
CL ASAINT LOUIS MO 63103-2523
 
DELAWAREPERSHING LLC258,740.8245.05%
FOUNDATION1 PERSHING PLAZA
CONSERVATIVEJERSEY CITY NJ 07399-0002
ALLOCATION FUND
CL A
 
DELAWARELINCOLN FINANCIAL GROUP446,073.3808.71%
FOUNDATIONTRUST CO
CONSERVATIVEFBO ROLLOVER IRA PLANS
ALLOCATION FUND1 GRANITE PL
CL ACONCORD NH 03301-3258
 
DELAWAREFIRST CLEARING LLC591,555.44017.30%
FOUNDATIONSPECIAL CUSTODY ACCT FOR THE
CONSERVATIVEEXCLUSIVE BENEFIT OF CUSTOMER
ALLOCATION FUND2801 MARKET ST
CL CSAINT LOUIS MO 63103-2523
 
DELAWAREMLPF&S FOR THE SOLE533,438.08115.60%
FOUNDATIONBENEFIT OF ITS CUSTOMERS
CONSERVATIVEATTENTION: FUND ADMIN SEC
ALLOCATION FUND4800 DEER LAKE DRIVE EAST, 2ND FL
CL CJACKSONVILLE FL 32246-6484
 
DELAWARELPL FINANCIAL344,439.32210.07%
FOUNDATION--OMNIBUS CUSTOMER ACCOUNT--
CONSERVATIVEATTN: LINDSAY O’TOOLE
ALLOCATION FUND9785 TOWNE CENTRE DR
CL CSAN DIEGO CA 92121
 
DELAWARENATIONAL FINANCIAL296,522.5298.67%
FOUNDATIONSERVICES LLC
CONSERVATIVE(FBO) OUR CUSTOMERS
ALLOCATION FUNDATTN MUTUAL FUNDS
CL CDEPARTMENT
499 WASHINGTON BLVD 4TH FLOOR
JERSEY CITY NJ 07310



Table of Contents

Fund Name and Class      Shareholders Name and Address      Total Shares      Percentage
DELAWAREMORGAN STANLEY SMITH BARNEY286,450.0568.38%
FOUNDATION®HARBORSIDE FINANCIAL
CONSERVATIVECENTER PLAZA 2 3RD FL
ALLOCATION FUNDJERSEY CITY NJ 07311
CL C
 
DELAWAREUBS WM USA217,883.1196.37%
FOUNDATIONOMNI ACCOUNT M/F
CONSERVATIVEATTN DEPARTMENT MANAGER
ALLOCATION FUND499 WASHINGTON BLVD FL 9
CL CJERSEY CITY NJ 07310-2055
 
DELAWAREPERSHING LLC191,910.3965.61%
FOUNDATION1 PERSHING PLAZA
CONSERVATIVEJERSEY CITY NJ 07399-0002
ALLOCATION FUND
CL C
 
DELAWARECHARLES SCHWAB & CO INC186,520.8205.46%
FOUNDATIONSPECIAL CUSTODY ACCT
CONSERVATIVEFBO CUSTOMERS
ALLOCATION FUNDATTN MUTUAL FUNDS
CL C211 MAIN ST
SAN FRANCISCO CA 94105-1905
 
DELAWARELINCOLN RETIREMENT SERVICES CO179,569.5579.90%
FOUNDATIONFBO MACQUARIE HOLDINGS USA
CONSERVATIVEINC 401K
ALLOCATION FUNDP.O. BOX 7876
CL IFORT WAYNE IN 46801-7876
 
DELAWARELINCOLN RETIREMENT SERVICES120,550.0856.65%
FOUNDATIONCOMPANY
CONSERVATIVEFBO APPLIED INFORMATION
ALLOCATION FUNDSCIENCES
CL IPO BOX 7876
FORT WAYNE IN 46801-7876
 
DELAWAREFIRST CLEARING LLC286,665.81515.81%
FOUNDATIONSPECIAL CUSTODY ACCT FOR THE
CONSERVATIVEEXCLUSIVE BENEFIT OF CUSTOMER
ALLOCATION FUND2801 MARKET ST
CL ISAINT LOUIS MO 63103-2523
 
DELAWAREMLPF&S FOR THE SOLE259,149.93314.29%
FOUNDATIONBENEFIT OF ITS CUSTOMERS
CONSERVATIVEATTENTION: FUND ADMIN SEC
ALLOCATION FUND4800 DEER LAKE DRIVE EAST, 2ND FL
CL IJACKSONVILLE FL 32246-6484
 
DELAWARECHARLES SCHWAB & CO INC100,672.4265.55%
FOUNDATIONSPEC CUSTODY ACCT FOR THE EXCL
CONSERVATIVEBNFT OF CUSTS ATTN MUT FDS
ALLOCATION FUND211 MAIN ST
CL ISAN FRANCISCO CA 94105-1905



Table of Contents

Fund Name and Class      Shareholders Name and Address      Total Shares      Percentage
DELAWARELPL FINANCIAL94,434.5835.21%
FOUNDATION®--OMNIBUS CUSTOMER ACCOUNT--
CONSERVATIVEATTN: LINDSAY O’TOOLE 
ALLOCATION FUND9785 TOWNE CENTRE DR
CL ISAN DIEGO CA 92121 
 
DELAWAREBOND STREET CUSTODIANS LTD150,016.7318.27%
FOUNDATIONACF MACQUARIE GROUP SERVICES
CONSERVATIVEAUSTRALIA PTY LTD
ALLOCATION FUNDLEVEL 20 N 1 MARTIN PLACE
CL ISYDNEY NSW 2000 AUSTRALIA
 
DELAWAREBOND STREET CUSTODIANS LTD108,775.6666.00%
FOUNDATIONACF MACQUARIE GROUP SERVICES
CONSERVATIVEAUSTRALIA PTY LTD
ALLOCATION FUNDLEVEL 20 N 1 MARTIN PLACE
CL ISYDNEY NSW 2000 AUSTRALIA
 
DELAWAREMLPF&S FOR THE SOLE89,696.89112.08%
FOUNDATIONBENEFIT OF ITS CUSTOMERS
CONSERVATIVEATTENTION: FUND ADMIN SEC
ALLOCATION FUND4800 DEER LAKE DRIVE EAST, 2ND FL
CL RJACKSONVILLE FL 32246-6484
 
DELAWARENFS LLC332,064.00844.73%
FOUNDATIONFEBO STATE STREET BANK TRUST CO
CONSERVATIVETTEE VARIOUS RETIREMENT PLANS
ALLOCATION FUND440 MAMARONECK AVE
CL RHARRISON NY 10528-2418
 
DELAWARELINCOLN RETIREMENT SERVICES148,439.16019.99%
FOUNDATIONCOMPANY
CONSERVATIVEFBO GOODWILL INDUSTRIES
ALLOCATION FUNDOF NORTH GA
CL RPO BOX 7876
FORT WAYNE IN 46801-7876
 
DELAWAREMLPF&S FOR THE SOLE764,525.50418.17%
FOUNDATIONBENEFIT OF ITS CUSTOMERS
GROWTHATTENTION: FUND ADMIN SEC
ALLOCATION FUND4800 DEER LAKE DRIVE EAST, 2ND FL
CLASS AJACKSONVILLE FL 32246-6484
 
DELAWAREMLPF&S FOR THE SOLE100,843.4029.84%
FOUNDATIONBENEFIT OF ITS CUSTOMERS
GROWTHATTENTION: FUND ADMIN SEC
ALLOCATION FUND4800 DEER LAKE DRIVE EAST, 2ND FL
CLASS CJACKSONVILLE FL 32246-6484
 
DELAWAREPERSHING LLC93,962.3279.17%
FOUNDATION1 PERSHING PLAZA
GROWTHJERSEY CITY NJ 07399-0002
ALLOCATION FUND
CLASS C



Table of Contents

Fund Name and Class      Shareholders Name and Address      Total Shares      Percentage
DELAWAREMORGAN STANLEY SMITH BARNEY64,921.3206.33%
FOUNDATION®HARBORSIDE FINANCIAL CENTER 
GROWTHPLAZA 2 3RD FL
ALLOCATION FUNDJERSEY CITY NJ 07311 
CLASS C
 
DELAWARELPL FINANCIAL57,494.4635.61%
FOUNDATION--OMNIBUS CUSTOMER ACCOUNT--
GROWTHATTN: LINDSAY O’TOOLE
ALLOCATION FUND9785 TOWNE CENTRE DR
CLASS CSAN DIEGO CA 92121
 
DELAWARELINCOLN RETIREMENT SERVICES CO558,395.45830.71%
FOUNDATIONFBO MACQUARIE HOLDINGS USA
GROWTHINC 401K
ALLOCATION FUNDP.O. BOX 7876
CLASS IFORT WAYNE IN 46801-7876
 
DELAWAREASCENSUS TRUST COMPANY102,581.3495.64%
FOUNDATIONFBO CONCORD SERVICING
GROWTHCORPORATION 401(K)
ALLOCATION FUNDP.O. BOX 10758
CLASS IFARGO, ND 58106
 
DELAWAREBOND STREET CUSTODIANS LTD496,429.10027.30%
FOUNDATIONACF MACQUARIE GROUP SERVICES
GROWTHAUSTRALIA PTY LTD
ALLOCATION FUNDLEVEL 20 N 1 MARTIN PLACE
CLASS ISYDNEY NSW 2000 AUSTRALIA
 
DELAWARELINCOLN RETIREMENT SERVICES CO291,349.98916.02%
FOUNDATIONFBO MACQUARIE HOLDINGS USA
GROWTHINC 401A
ALLOCATION FUNDP.O. BOX 7876
CLASS IFORT WAYNE IN 46801-7876
 
DELAWAREMLPF&S FOR THE SOLE97,204.5276.91%
FOUNDATIONBENEFIT OF ITS CUSTOMERS
GROWTHATTENTION: FUND ADMIN SEC
ALLOCATION FUND4800 DEER LAKE DRIVE EAST, 2ND FL
CLASS RJACKSONVILLE FL 32246-6484
 
DELAWARENFS LLC1,074,615.58376.38%
FOUNDATIONFEBO STATE STREET BANK TRUST CO
GROWTHTTEE VARIOUS RETIREMENT PLANS
ALLOCATION FUND440 MAMARONECK AVE
CLASS RHARRISON NY 10528-2418
 
DELAWAREMLPF&S FOR THE SOLE325,416.00613.69%
FOUNDATIONBENEFIT OF ITS CUSTOMERS
MODERATEATTENTION: FUND ADMIN SEC
ALLOCATION FUND4800 DEER LAKE DRIVE EAST, 2ND FL
CLASS CJACKSONVILLE FL 32246-6484



Table of Contents

Fund Name and Class      Shareholders Name and Address      Total Shares      Percentage
DELAWAREFIRST CLEARING LLC295,225.75212.42%
FOUNDATION®SPECIAL CUSTODY ACCT FOR THE 
MODERATEEXCLUSIVE BENEFIT OF CUSTOMER
ALLOCATION FUND2801 MARKET ST
CLASS CSAINT LOUIS MO 63103-2523
 
DELAWAREUBS WM USA237,298.6029.99%
FOUNDATIONOMNI ACCOUNT M/F
MODERATEATTN DEPARTMENT MANAGER
ALLOCATION FUND499 WASHINGTON BLVD FL 9
CLASS CJERSEY CITY NJ 07310-2055
 
DELAWAREPERSHING LLC175,382.2617.38%
FOUNDATION1 PERSHING PLAZA
MODERATEJERSEY CITY NJ 07399-0002
ALLOCATION FUND
CLASS C
 
DELAWAREMORGAN STANLEY SMITH BARNEY152,392.1856.41%
FOUNDATIONHARBORSIDE FINANCIAL CENTER
MODERATEPLAZA 2 3RD FL
ALLOCATION FUNDJERSEY CITY NJ 07311
CLASS C
 
DELAWARENATIONAL FINANCIAL144,838.5416.10%
FOUNDATIONSERVICES LLC
MODERATE(FBO) OUR CUSTOMERS
ALLOCATION FUNDATTN MUTUAL FUNDS
CLASS CDEPARTMENT
499 WASHINGTON BLVD 4TH FLOOR
JERSEY CITY NJ 07310
 
DELAWARELPL FINANCIAL122,442.1465.15%
FOUNDATION--OMNIBUS CUSTOMER ACCOUNT--
MODERATEATTN: LINDSAY O’TOOLE
ALLOCATION FUND9785 TOWNE CENTRE DR
CLASS CSAN DIEGO CA 92121
 
DELAWARELINCOLN RETIREMENT SERVICES CO725,566.66414.18%
FOUNDATIONFBO MACQUARIE HOLDINGS USA
MODERATEINC 401K
ALLOCATION FUNDP.O. BOX 7876
CLASS IFORT WAYNE IN 46801-7876
 
DELAWARENATIONAL FINANCIAL299,814.7345.86%
FOUNDATIONSERVICES LLC
MODERATE(FBO) OUR CUSTOMERS
ALLOCATION FUNDATTN MUTUAL FUNDS
CLASS IDEPARTMENT
499 WASHINGTON BLVD 4TH FLOOR
JERSEY CITY NJ 07310



Table of Contents

Fund Name and Class      Shareholders Name and Address      Total Shares      Percentage
DELAWAREBOND STREET CUSTODIANS LTD2,386,980.77746.65%
FOUNDATION®ACF MACQUARIE GROUP SERVICES 
MODERATEAUSTRALIA PTY LTD 
ALLOCATION FUNDLEVEL 20 N 1 MARTIN PLACE
CLASS ISYDNEY NSW 2000 AUSTRALIA
 
DELAWAREBOND STREET CUSTODIANS LTD433,794.7248.48%
FOUNDATIONACF MACQUARIE GROUP SERVICES
MODERATEAUSTRALIA PTY LTD
ALLOCATION FUNDLEVEL 20 N 1 MARTIN PLACE
CLASS ISYDNEY NSW 2000 AUSTRALIA
 
DELAWARELINCOLN RETIREMENT SERVICES CO439,123.6998.58%
FOUNDATIONFBO MACQUARIE HOLDINGS USA
MODERATEINC 401A
ALLOCATION FUNDP.O. BOX 7876
CLASS IFORT WAYNE IN 46801-7876
 
DELAWARENFS LLC1,754,387.09689.05%
FOUNDATIONFEBO STATE STREET BANK TRUST CO
MODERATETTEE VARIOUS RETIREMENT PLANS
ALLOCATION FUND440 MAMARONECK AVE
CLASS RHARRISON NY 10528-2418
 
DELAWARE GLOBALCHARLES SCHWAB & CO INC211,151.36921.34%
REAL ESTATESPEC CUSTODY ACCT FOR THE EXCL
OPPORTUNITIESBNFT OF CUSTS ATTN MUT FDS
FUND A211 MAIN ST
SAN FRANCISCO CA 94105-1905
 
DELAWARE GLOBALMORGAN STANLEY SMITH BARNEY74,650.0947.54%
REAL ESTATEHARBORSIDE FINANCIAL CENTER
OPPORTUNITIESPLAZA 2 3RD FL
FUND AJERSEY CITY NJ 07311
 
DELAWARE GLOBALLPL FINANCIAL53,961.9625.45%
REAL ESTATE--OMNIBUS CUSTOMER ACCOUNT--
OPPORTUNITIESATTN: LINDSAY O’TOOLE
FUND A9785 TOWNE CENTRE DR
SAN DIEGO CA 92121
 
DELAWARE GLOBALPERSHING LLC52,417.5025.30%
REAL ESTATE1 PERSHING PLAZA
OPPORTUNITIESJERSEY CITY NJ 07399-0002
FUND A
 
DELAWARE GLOBALMORGAN STANLEY SMITH BARNEY130,348.75141.56%
REAL ESTATEHARBORSIDE FINANCIAL CENTER
OPPORTUNITIESPLAZA 2 3RD FL
FUND CJERSEY CITY NJ 07311
 
DELAWARE GLOBALRAYMOND JAMES22,522.3447.18%
REAL ESTATEOMNIBUS FOR MUTUAL FUNDS
OPPORTUNITIESATTN COURTNEY WALLER
FUND C880 CARILLON PARKWAY
ST PETERSBURG FL 33713



Table of Contents

Fund Name and Class      Shareholders Name and Address      Total Shares      Percentage
DELAWARE GLOBALNATIONAL FINANCIAL737,517.62711.90%
REAL ESTATESERVICES LLC 
OPPORTUNITIES(FBO) OUR CUSTOMERS
FUND IATTN MUTUAL FUNDS
DEPARTMENT 
499 WASHINGTON BLVD 4TH FLOOR
JERSEY CITY NJ 07310 
 
DELAWARE GLOBALMORGAN STANLEY SMITH BARNEY702,688.22511.34%
REAL ESTATEHARBORSIDE FINANCIAL CENTER
OPPORTUNITIESPLAZA 2 3RD FL
FUND IJERSEY CITY NJ 07311
 
DELAWARE GLOBALASSETMARK TRUST COMPANY4,033,337.61165.09%
REAL ESTATEFBO ASSETMARK, INC AND CLIENTS
OPPORTUNITIESAND OTHER CUSTODIAL CLIENTS
FUND I3200 N CENTRAL AVE FL 7
PHOENIX AZ 85012-2468
 
DELAWARE GLOBALMG TRUST COMPANY3,425.71517.19%
REAL ESTATECUST. FBO GSC SURVEYING INC
OPPORTUNITIES401K PLAN & TRUST
FUND R717 17TH STREET SUITE 1300
DENVER CO 80202
 
DELAWARE GLOBALPAI TRUST COMPANY, INC.3,370.14416.91%
REAL ESTATEMIKE NEWMAN PHOTO
OPPORTUNITIESRETOUCHING, INC.
FUND R1300 ENTERPRISE DRIVE
DE PERE WI 54115-0000
 
DELAWARE GLOBALMATRIX TRUST COMPANY2,850.46214.30%
REAL ESTATECUST. FBO ADAIR & EVANS, AN
OPPORTUNITIESACCOUNTANCY CORP
FUND R717 17TH STREET SUITE 1300
DENVER CO 80202
 
DELAWARE GLOBALMG TRUST COMPANY2,575.96112.93%
REAL ESTATECUST. FBO KUCHLER POLK SCHELL
OPPORTUNITIESWEINER & RICHES
FUND R717 17TH STREET SUITE 1300
DENVER CO 80202-0000
 
DELAWARE GLOBALPAI TRUST COMPANY, INC2,537.96112.73%
REAL ESTATEHARTZELL & ASSOCIATES,
OPPORTUNITIESINC. 401(K)
FUND R1300 ENTERPRISE DRIVE
DE PERE WI 54115-0000
 
DELAWARE GLOBALPAI TRUST COMPANY, INC.1,095.1565.50%
REAL ESTATEWYOMING STATE BANK
OPPORTUNITIES1300 ENTERPRISE DRIVE
FUND RDE PERE WI 541150000



Table of Contents

Fund Name and Class      Shareholders Name and Address      Total Shares      Percentage
DELAWARE GLOBALDELAWARE MANAGEMENT1,164.1745.84%
REAL ESTATEHOLDINGS, INC.
OPPORTUNITIESC/O RICK SALUS 
FUND R2005 MARKET ST
PHILADELPHIA PA 19103-7028
 
DELAWARE GLOBALSTATE STREET BANK TTEE2,171.94710.90%
REAL ESTATECUST FBO ADP ACCESS
OPPORTUNITIES401K PRODUCT
FUND R1 LINCOLN ST
BOSTON MA 02111-2901
 
DELAWARENATIONAL FINANCIAL200,185.74813.91%
GLOBAL VALUESERVICES LLC
FUND CLASS A(FBO) OUR CUSTOMERS
ATTN MUTUAL FUNDS
DEPARTMENT
499 WASHINGTON BLVD 4TH FLOOR
JERSEY CITY NJ 07310
 
DELAWAREFIRST CLEARING LLC128,534.0088.93%
GLOBAL VALUESPECIAL CUSTODY ACCT FOR THE
FUND CLASS AEXCLUSIVE BENEFIT OF CUSTOMER
2801 MARKET ST
SAINT LOUIS MO 63103-2523
 
DELAWAREPERSHING LLC108,793.8847.56%
GLOBAL VALUE1 PERSHING PLAZA
FUND CLASS AJERSEY CITY NJ 07399-0002
 
DELAWAREFIRST CLEARING LLC78,012.79315.83%
GLOBAL VALUESPECIAL CUSTODY ACCT FOR THE
FUND CLASS CEXCLUSIVE BENEFIT OF CUSTOMER
2801 MARKET ST
SAINT LOUIS MO 63103-2523
 
DELAWARENATIONAL FINANCIAL69,511.65914.11%
GLOBAL VALUESERVICES LLC
FUND CLASS C(FBO) OUR CUSTOMERS
ATTN MUTUAL FUNDS
DEPARTMENT
499 WASHINGTON BLVD 4TH FLOOR
JERSEY CITY NJ 07310
 
DELAWAREMLPF&S FOR THE SOLE62,496.74212.68%
GLOBAL VALUEBENEFIT OF ITS CUSTOMERS
FUND CLASS CATTENTION: FUND ADMIN SEC
4800 DEER LAKE DRIVE EAST, 2ND FL
JACKSONVILLE FL 32246-6484
 
DELAWAREPERSHING LLC39,021.2557.92%
GLOBAL VALUE1 PERSHING PLAZA
FUND CLASS CJERSEY CITY NJ 07399-0002



Table of Contents

Fund Name and Class      Shareholders Name and Address      Total Shares      Percentage
DELAWARENATIONAL FINANCIAL78,284.06938.80%
GLOBAL VALUESERVICES LLC 
FUND CLASS I(FBO) OUR CUSTOMERS
ATTN MUTUAL FUNDS
DEPARTMENT
499 WASHINGTON BLVD 4TH FLOOR
JERSEY CITY NJ 07310
 
DELAWAREFIRST CLEARING LLC41,217.01020.43%
GLOBAL VALUESPECIAL CUSTODY ACCT FOR THE
FUND CLASS IEXCLUSIVE BENEFIT OF CUSTOMER
2801 MARKET ST
SAINT LOUIS MO 63103-2523
 
DELAWAREMLPF&S FOR THE SOLE26,763.81713.26%
GLOBAL VALUEBENEFIT OF ITS CUSTOMERS
FUND CLASS IATTENTION: FUND ADMIN SEC
4800 DEER LAKE DRIVE EAST, 2ND FL
JACKSONVILLE FL 32246-6484
 
DELAWAREPERSHING LLC20,761.33510.29%
GLOBAL VALUE1 PERSHING PLAZA
FUND CLASS IJERSEY CITY NJ 07399-0002
 
DELAWAREBOND STREET CUSTODIANS LTD11,914.5555.90%
GLOBAL VALUEACF MACQUARIE GROUP SERVICES
FUND CLASS IAUSTRALIA PTY LTD
LEVEL 20 N 1 MARTIN PLACE
SYDNEY NSW 2000 AUSTRALIA
 
DELAWAREPERSHING LLC1,559,166.89414.67%
HEALTHCARE1 PERSHING PLAZA
FUND CLASS AJERSEY CITY NJ 07399-0002
 
DELAWARENATIONAL FINANCIAL811,224.9967.63%
HEALTHCARESERVICES LLC
FUND CLASS A(FBO) OUR CUSTOMERS
ATTN MUTUAL FUNDS
DEPARTMENT
499 WASHINGTON BLVD 4TH FLOOR
JERSEY CITY NJ 07310
 
DELAWARELPL FINANCIAL740,185.3656.96%
HEALTHCARE--OMNIBUS CUSTOMER ACCOUNT--
FUND CLASS AATTN: LINDSAY O’TOOLE
9785 TOWNE CENTRE DR
SAN DIEGO CA 92121
 
DELAWAREMLPF&S FOR THE SOLE629,410.0895.92%
HEALTHCAREBENEFIT OF ITS CUSTOMERS
FUND CLASS AATTENTION: FUND ADMIN SEC
4800 DEER LAKE DRIVE EAST, 2ND FL
JACKSONVILLE FL 32246-6484



Table of Contents

Fund Name and Class      Shareholders Name and Address      Total Shares      Percentage
DELAWARECHARLES SCHWAB & CO INC605,012.1005.69%
HEALTHCARESPEC CUSTODY ACCT FOR THE EXCL
FUND CLASS ABNFT OF CUSTS ATTN MUT FDS
211 MAIN ST 
SAN FRANCISCO CA 94105-1905 
 
DELAWARELIU-ER CHEN &739,068.7056.95%
HEALTHCAREDAWN DING JT WROS
FUND CLASS ABROOKLINE MA 02445
 
DELAWAREMLPF&S FOR THE SOLE983,938.54526.14%
HEALTHCAREBENEFIT OF ITS CUSTOMERS
FUND CLASS CATTENTION: FUND ADMIN SEC
4800 DEER LAKE DRIVE EAST, 2ND FL
JACKSONVILLE FL 32246-6484
 
DELAWAREUBS WM USA404,979.31210.76%
HEALTHCAREOMNI ACCOUNT M/F
FUND CLASS CATTN DEPARTMENT MANAGER
499 WASHINGTON BLVD FL 9
JERSEY CITY NJ 07310-2055
 
DELAWAREFIRST CLEARING LLC397,283.68710.55%
HEALTHCARESPECIAL CUSTODY ACCT FOR THE
FUND CLASS CEXCLUSIVE BENEFIT OF CUSTOMER
2801 MARKET ST
SAINT LOUIS MO 63103-2523
 
DELAWAREPERSHING LLC334,898.7828.90%
HEALTHCARE1 PERSHING PLAZA
FUND CLASS CJERSEY CITY NJ 07399-0002
 
DELAWAREMORGAN STANLEY SMITH BARNEY271,660.7797.22%
HEALTHCAREHARBORSIDE FINANCIAL CENTER
FUND CLASS CPLAZA 2 3RD FL
JERSEY CITY NJ 07311
 
DELAWARELPL FINANCIAL243,420.5556.47%
HEALTHCARE--OMNIBUS CUSTOMER
FUND CLASS CACCOUNT—
ATTN: LINDSAY O’TOOLE
9785 TOWNE CENTRE DR
SAN DIEGO CA 92121
 
DELAWAREUBS WM USA2,081,576.16823.54%
HEALTHCAREOMNI ACCOUNT M/F
FUND CLASS IATTN DEPARTMENT MANAGER
499 WASHINGTON BLVD FL 9
JERSEY CITY NJ 07310-2055
 
DELAWAREMLPF&S FOR THE SOLE1,220,705.98013.81%
HEALTHCAREBENEFIT OF ITS CUSTOMERS
FUND CLASS IATTENTION: FUND ADMIN SEC
4800 DEER LAKE DRIVE EAST, 2ND FL
JACKSONVILLE FL 32246-6484



Table of Contents

Fund Name and Class      Shareholders Name and Address      Total Shares      Percentage
DELAWAREFIRST CLEARING LLC1,180,368.29913.35%
HEALTHCARESPECIAL CUSTODY ACCT FOR THE
FUND CLASS IEXCLUSIVE BENEFIT OF CUSTOMER
2801 MARKET ST 
SAINT LOUIS MO 63103-2523
 
DELAWARENATIONAL FINANCIAL949,744.45510.74%
HEALTHCARESERVICES LLC
FUND CLASS I(FBO) OUR CUSTOMERS
ATTN MUTUAL FUNDS
DEPARTMENT
499 WASHINGTON BLVD 4TH FLOOR
JERSEY CITY NJ 07310
 
DELAWARELPL FINANCIAL821,987.8879.30%
HEALTHCARE--OMNIBUS CUSTOMER ACCOUNT--
FUND CLASS IATTN: LINDSAY O’TOOLE
9785 TOWNE CENTRE DR
SAN DIEGO CA 92121
 
DELAWAREMORGAN STANLEY SMITH BARNEY485,260.5605.49%
HEALTHCAREHARBORSIDE FINANCIAL CENTER
FUND CLASS IPLAZA 2 3RD FL
JERSEY CITY NJ 07311
 
DELAWAREASCENSUS TRUST COMPANY30,523.68711.08%
HEALTHCAREFBO STYLEX, INC.
FUND CLASS RRETIREMENT SAVINGS PLAN
P.O. BOX 10758
FARGO, ND 58106
 
DELAWAREMLPF&S FOR THE SOLE91,310.73333.15%
HEALTHCAREBENEFIT OF ITS CUSTOMERS
FUND CLASS RATTENTION: FUND ADMIN SEC
4800 DEER LAKE DRIVE EAST, 2ND FL
JACKSONVILLE FL 32246-6484
 
DELAWARESTATE STREET BANK TTEE24,519.2308.90%
HEALTHCARECUST FBO ADP ACCESS 401K
FUND CLASS RPRODUCT
1 LINCOLN ST
BOSTON MA 02111-2901
 
DELAWARENATIONAL FINANCIAL11,573,425.79817.48%
HIGH YIELDSERVICES LLC
OPPORTUNITIES(FBO) OUR CUSTOMERS
FUND CLASS AATTN MUTUAL FUNDS
DEPARTMENT
499 WASHINGTON BLVD 4TH FLOOR
JERSEY CITY NJ 07310



Table of Contents

Fund Name and Class      Shareholders Name and Address      Total Shares      Percentage
DELAWARELPL FINANCIAL6,878,161.65610.39%
HIGH YIELD--OMNIBUS CUSTOMER ACCOUNT--
OPPORTUNITIESATTN: LINDSAY O’TOOLE 
FUND CLASS A9785 TOWNE CENTRE DR 
SAN DIEGO CA 92121
 
DELAWAREFIRST CLEARING LLC5,765,838.7558.71%
HIGH YIELDSPECIAL CUSTODY ACCT FOR THE
OPPORTUNITIESEXCLUSIVE BENEFIT OF CUSTOMER
FUND CLASS A2801 MARKET ST
SAINT LOUIS MO 63103-2523
 
DELAWAREPERSHING LLC4,446,629.7506.72%
HIGH YIELD1 PERSHING PLAZA
OPPORTUNITIESJERSEY CITY NJ 07399-0002
FUND CLASS A
 
DELAWARELPL FINANCIAL3,673,999.47819.55%
HIGH YIELD--OMNIBUS CUSTOMER ACCOUNT--
OPPORTUNITIESATTN: LINDSAY O’TOOLE
FUND CLASS C9785 TOWNE CENTRE DR
SAN DIEGO CA 92121
 
DELAWARENATIONAL FINANCIAL2,360,266.29512.56%
HIGH YIELDSERVICES LLC
OPPORTUNITIES(FBO) OUR CUSTOMERS
FUND CLASS CATTN MUTUAL FUNDS
DEPARTMENT
499 WASHINGTON BLVD 4TH FLOOR
JERSEY CITY NJ 07310
 
DELAWAREFIRST CLEARING LLC2,095,866.77911.15%
HIGH YIELDSPECIAL CUSTODY ACCT FOR THE
OPPORTUNITIESEXCLUSIVE BENEFIT OF CUSTOMER
FUND CLASS C2801 MARKET ST
SAINT LOUIS MO 63103-2523
 
DELAWAREMORGAN STANLEY SMITH BARNEY1,922,170.07110.23%
HIGH YIELDHARBORSIDE FINANCIAL CENTER
OPPORTUNITIESPLAZA 2 3RD FL
FUND CLASS CJERSEY CITY NJ 07311
 
DELAWAREMLPF&S FOR THE SOLE1,880,887.54210.01%
HIGH YIELDBENEFIT OF ITS CUSTOMERS
OPPORTUNITIESATTENTION: FUND ADMIN SEC
FUND CLASS C4800 DEER LAKE DRIVE EAST, 2ND FL
JACKSONVILLE FL 32246-6484
 
DELAWAREUBS WM USA1,601,222.7888.52%
HIGH YIELDOMNI ACCOUNT M/F
OPPORTUNITIESATTN DEPARTMENT MANAGER
FUND CLASS C499 WASHINGTON BLVD FL 9
JERSEY CITY NJ 07310-2055



Table of Contents

Fund Name and Class      Shareholders Name and Address      Total Shares      Percentage
DELAWAREPERSHING LLC1,037,452.9785.52%
HIGH YIELD1 PERSHING PLAZA
OPPORTUNITIESJERSEY CITY NJ 07399-0002
FUND CLASS C
 
DELAWARELPL FINANCIAL24,962,179.84946.22%
HIGH YIELD--OMNIBUS CUSTOMER ACCOUNT--
OPPORTUNITIESATTN: LINDSAY O’TOOLE
FUND CLASS I9785 TOWNE CENTRE DR
SAN DIEGO CA 92121
 
DELAWARE FIRST CLEARING LLC4,789,688.7028.87%
HIGH YIELDSPECIAL CUSTODY ACCT FOR THE
OPPORTUNITIESEXCLUSIVE BENEFIT OF CUSTOMER
FUND CLASS I2801 MARKET ST
SAINT LOUIS MO 63103-2523
 
DELAWAREMLPF&S FOR THE SOLE3,060,713.8505.67%
HIGH YIELDBENEFIT OF ITS CUSTOMERS
OPPORTUNITIESATTENTION: FUND ADMIN SEC
FUND CLASS I4800 DEER LAKE DRIVE EAST, 2ND FL
JACKSONVILLE FL 32246-6484
 
DELAWAREMLPF&S FOR THE SOLE257,764.6647.35%
HIGH YIELDBENEFIT OF ITS CUSTOMERS
OPPORTUNITIESATTENTION: FUND ADMIN SEC
FUND CLASS R4800 DEER LAKE DRIVE EAST, 2ND FL
JACKSONVILLE FL 32246-6484
 
DELAWAREWELLS FARGO BANK NA187,683.2365.35%
HIGH YIELDFBO TEVA PHARMACEUTICALS 
OPPORTUNITIESNQ TRUST  
FUND CLASS RPO BOX 1533
MINNEAPOLIS, MN 55480
 
DELAWAREDCGT AS TTEE AND/OR CUST277,690.8557.91%
HIGH YIELDFBO PLIC VARIOUS RETIREMENT
OPPORTUNITIESPLANS OMNIBUS
FUND CLASS RATTN NPIO TRADE DESK
711 HIGH STREET
DES MOINES, IA 50303
 
DELAWAREVOYA RETIREMENT INSURANCE AND637,428.55818.17%
HIGH YIELDANNUITY COMPANY
OPPORTUNITIES1 ORANGE WAY
FUND CLASS RWINDSOR CT 06095-4773
 
DELAWARESTATE STREET BANK AND TRUST CO301,587.6518.60%
HIGH YIELDFBO TAYNIK & CO
OPPORTUNITIES1200 CROWN COLONY DR
FUND CLASS RQUINCY MA 02169-0938



Table of Contents

Fund Name and Class      Shareholders Name and Address      Total Shares      Percentage
DELAWARENATIONAL FINANCIAL379,669.88312.89%
INFLATIONSERVICES LLC
PROTECTED(FBO) OUR CUSTOMERS
BOND FUNDATTN MUTUAL FUNDS
CLASS ADEPARTMENT
499 WASHINGTON BLVD 4TH FLOOR
JERSEY CITY NJ 07310
 
DELAWAREMLPF&S FOR THE SOLE367,532.48412.47%
INFLATIONBENEFIT OF ITS CUSTOMERS
PROTECTEDATTENTION: FUND ADMIN SEC
BOND FUND4800 DEER LAKE DRIVE EAST, 2ND FL
CLASS AJACKSONVILLE FL 32246-6484
 
DELAWAREPERSHING LLC348,911.82711.84%
INFLATION1 PERSHING PLAZA
PROTECTEDJERSEY CITY NJ 07399-0002
BOND FUND
CLASS A
 
DELAWAREFIRST CLEARING LLC189,310.1476.42%
INFLATIONSPECIAL CUSTODY ACCT FOR THE
PROTECTEDEXCLUSIVE BENEFIT OF CUSTOMER
BOND FUND2801 MARKET ST
CLASS ASAINT LOUIS MO 63103-2523
 
DELAWARELPL FINANCIAL158,342.0245.37%
INFLATION--OMNIBUS CUSTOMER ACCOUNT--
PROTECTEDATTN: LINDSAY O’TOOLE
BOND FUND9785 TOWNE CENTRE DR
CLASS ASAN DIEGO CA 92121
 
DELAWARELINCOLN RETIREMENT SERVICES CO168,553.1945.72%
INFLATIONFBO VALLEY HEALTH 403B
PROTECTEDP.O. BOX 7876
BOND FUNDFORT WAYNE IN 46801-7876
CLASS A
 
DELAWAREMLPF&S FOR THE SOLE550,000.63525.85%
INFLATIONBENEFIT OF ITS CUSTOMERS
PROTECTEDATTENTION: FUND ADMIN SEC
BOND FUND4800 DEER LAKE DRIVE EAST, 2ND FL
CLASS CJACKSONVILLE FL 32246-6484
 
DELAWAREFIRST CLEARING LLC397,632.50618.69%
INFLATIONSPECIAL CUSTODY ACCT FOR THE
PROTECTEDEXCLUSIVE BENEFIT OF CUSTOMER
BOND FUND2801 MARKET ST
CLASS CSAINT LOUIS MO 63103-2523
 
DELAWAREPERSHING LLC235,273.67711.06%
INFLATION1 PERSHING PLAZA
PROTECTEDJERSEY CITY NJ 07399-0002
BOND FUND
CLASS C



Table of Contents

Fund Name and Class      Shareholders Name and Address      Total Shares      Percentage
DELAWARENATIONAL FINANCIAL200,999.0049.45%
INFLATIONSERVICES LLC
PROTECTED(FBO) OUR CUSTOMERS
BOND FUNDATTN MUTUAL FUNDS
CLASS CDEPARTMENT
499 WASHINGTON BLVD 4TH FLOOR
JERSEY CITY NJ 07310
 
DELAWARERAYMOND JAMES180,005.6188.46%
INFLATIONOMNIBUS FOR MUTUAL FUNDS
PROTECTEDATTN COURTNEY WALLER
BOND FUND880 CARILLON PARKWAY
CLASS CST PETERSBURG FL 33713
 
DELAWAREMORGAN STANLEY SMITH BARNEY138,943.4186.53%
INFLATIONHARBORSIDE FINANCIAL CENTER
PROTECTEDPLAZA 2 3RD FL
BOND FUNDJERSEY CITY NJ 07311
CLASS C
 
DELAWAREUBS WM USA131,777.6846.19%
INFLATIONOMNI ACCOUNT M/F
PROTECTEDATTN DEPARTMENT MANAGER
BOND FUND499 WASHINGTON BLVD FL 9
CLASS CJERSEY CITY NJ 07310-2055
 
DELAWARELINCOLN RETIREMENT SERVICES CO100,939.9815.03%
INFLATIONFBO SAN ANTONIO COMM
PROTECTEDP.O. BOX 7876
BOND FUNDFORT WAYNE IN 46801-7876
CLASS I
 
DELAWAREUBS WM USA175,731.5258.76%
INFLATIONOMNI ACCOUNT M/F
PROTECTEDATTN DEPARTMENT MANAGER
BOND FUND499 WASHINGTON BLVD FL 9
CLASS IJERSEY CITY NJ 07310-2055
 
DELAWAREMLPF&S FOR THE SOLE141,570.5167.06%
INFLATIONBENEFIT OF ITS CUSTOMERS
PROTECTEDATTENTION: FUND ADMIN SEC
BOND FUND4800 DEER LAKE DRIVE EAST, 2ND FL
CLASS IJACKSONVILLE FL 32246-6484
 
DELAWAREFIRST CLEARING LLC132,328.1766.60%
INFLATIONSPECIAL CUSTODY ACCT FOR THE
PROTECTEDEXCLUSIVE BENEFIT OF CUSTOMER
BOND FUND2801 MARKET ST
CLASS ISAINT LOUIS MO 63103-2523



Table of Contents

Fund Name and Class      Shareholders Name and Address      Total Shares      Percentage
DELAWARENATIONAL FINANCIAL125,519.6146.26%
INFLATIONSERVICES LLC
PROTECTED(FBO) OUR CUSTOMERS
BOND FUNDATTN MUTUAL FUNDS
CLASS IDEPARTMENT
499 WASHINGTON BLVD
JERSEY CITY NJ 07310
 
DELAWARENATIONWIDE TRUST126,972.6916.33%
INFLATIONCOMPANY FSB
PROTECTEDC/O IPO PORTFOLIO ACCOUNTING
BOND FUNDPO BOX 182029
CLASS ICOLUMBUS OH 43218-2029
 
DELAWARELINCOLN RETIREMENT SERVICES CO225,481.32511.24%
INFLATIONFBO MARY FREE BED
PROTECTEDREHAB HOSP 403B
BOND FUNDP.O. BOX 7876
CLASS IFORT WAYNE IN 46801-7876
 
DELAWARELINCOLN RETIREMENT SERVICES CO174,879.7968.72%
INFLATIONFBO PENINSULA REGIONAL MED
PROTECTEDCTR 403B
BOND FUNDP.O. BOX 7876
CLASS IFORT WAYNE IN 46801-7876
 
DELAWARELINCOLN RETIREMENT SERVICES CO168,676.5428.41%
INFLATIONFBO UT SYSTEM ORP
PROTECTEDP.O. BOX 7876
BOND FUNDFORT WAYNE IN 46801-7876
CLASS I
 
DELAWARENATIONAL FINANCIAL1,179,171.13521.45%
INTERNATIONALSERVICES LLC
VALUE EQUITY FUND(FBO) OUR CUSTOMERS
CLASS AATTN MUTUAL FUNDS
DEPARTMENT
499 WASHINGTON BLVD 4TH FLOOR
JERSEY CITY NJ 07310
 
DELAWAREFIRST CLEARING LLC495,150.9089.01%
INTERNATIONALSPECIAL CUSTODY ACCT FOR THE
VALUE EQUITY FUNDEXCLUSIVE BENEFIT OF CUSTOMER
CLASS A2801 MARKET ST
SAINT LOUIS MO 63103-2523
 
DELAWAREMORGAN STANLEY SMITH BARNEY353,300.2356.43%
INTERNATIONALHARBORSIDE FINANCIAL CENTER
VALUE EQUITY FUNDPLAZA 2 3RD FL
CLASS AJERSEY CITY NJ 07311



Table of Contents

Fund Name and Class      Shareholders Name and Address      Total Shares      Percentage
DELAWAREMORGAN STANLEY SMITH BARNEY584,989.18427.07%
INTERNATIONALHARBORSIDE FINANCIAL CENTER
VALUE EQUITY FUNDPLAZA 2 3RD FL
CLASS CJERSEY CITY NJ 07311
 
DELAWAREFIRST CLEARING LLC293,818.33513.60%
INTERNATIONALSPECIAL CUSTODY ACCT FOR THE
VALUE EQUITY FUNDEXCLUSIVE BENEFIT OF CUSTOMER
CLASS C2801 MARKET ST
SAINT LOUIS MO 63103-2523
 
DELAWAREMLPF&S FOR THE SOLE200,537.2289.28%
INTERNATIONALBENEFIT OF ITS CUSTOMERS
VALUE EQUITY FUNDATTENTION: FUND ADMIN SEC
CLASS C4800 DEER LAKE DRIVE EAST, 2ND FL
JACKSONVILLE FL 32246-6484
 
DELAWAREUBS WM USA135,806.8466.28%
INTERNATIONALOMNI ACCOUNT M/F
VALUE EQUITY FUNDATTN DEPARTMENT MANAGER
CLASS C499 WASHINGTON BLVD FL 9
JERSEY CITY NJ 07310-2055
 
DELAWAREMORGAN STANLEY SMITH BARNEY9,007,971.87666.91%
INTERNATIONALHARBORSIDE FINANCIAL CENTER
VALUE EQUITY FUNDPLAZA 2 3RD FL
CLASS IJERSEY CITY NJ 07311
 
DELAWAREFIRST CLEARING LLC2,400,935.42017.83%
INTERNATIONALSPECIAL CUSTODY ACCT FOR THE
VALUE EQUITY FUNDEXCLUSIVE BENEFIT OF CUSTOMER
CLASS I2801 MARKET ST
SAINT LOUIS MO 63103-2523
 
DELAWAREUBS WM USA962,410.4407.15%
INTERNATIONALOMNI ACCOUNT M/F
VALUE EQUITY FUNDATTN DEPARTMENT MANAGER
CLASS I499 WASHINGTON BLVD FL 9
JERSEY CITY NJ 07310-2055
 
DELAWAREASCENSUS TRUST COMPANY43,350.89427.86%
INTERNATIONALFBO SINGLETON ASSOCIATES
VALUE EQUITY FUND401(K) PLAN
CLASS RP.O. BOX 10758
FARGO, ND 58106
 
DELAWAREASCENSUS TRUST COMPANY15,268.8789.81%
INTERNATIONALFBO MEMORIAL & ST. ELIZABETH
VALUE EQUITY FUNDHC, LLP
CLASS RP.O. BOX 10758
 FARGO, ND 58106



Table of Contents

Fund Name and Class      Shareholders Name and Address      Total Shares      Percentage
DELAWAREMG TRUST COMPANY11,429.4317.35%
INTERNATIONALCUST. FBO ENTERTAINMENT
VALUE EQUITY FUNDSERVICES GROUP, INC.
CLASS R717 17TH STREET SUITE 1300
DENVER CO 80202
 
DELAWAREMG TRUST COMPANY8,503.7755.47%
INTERNATIONALCUST. FBO SUSTAINABLE DESIGN
VALUE EQUITY FUNDCONSULTING, LLC
CLASS R717 17TH STREET SUITE 1300
DENVER CO 80202
 
DELAWAREMLPF&S FOR THE SOLE34,625.32622.25%
INTERNATIONALBENEFIT OF ITS CUSTOMERS
VALUE EQUITY FUNDATTENTION: FUND ADMIN SEC
CLASS R4800 DEER LAKE DRIVE EAST, 2ND FL
JACKSONVILLE FL 32246-6484
 
DELAWARENATIONAL FINANCIAL24,235,260.83443.88%
LIMITED-TERMSERVICES LLC
DIVERSIFIED(FBO) OUR CUSTOMERS
INCOME  FUNDATTN MUTUAL FUNDS
CLASS ADEPARTMENT
499 WASHINGTON BLVD 4TH FLOOR
JERSEY CITY NJ 07310
 
DELAWAREMLPF&S FOR THE SOLE3,660,310.1626.63%
LIMITED-TERMBENEFIT OF ITS CUSTOMERS
DIVERSIFIEDATTENTION: FUND ADMIN SEC
INCOME FUND4800 DEER LAKE DRIVE EAST, 2ND FL
CLASS AJACKSONVILLE FL 32246-6484
 
DELAWAREMORGAN STANLEY SMITH BARNEY2,928,859.4535.30%
LIMITED-TERMHARBORSIDE FINANCIAL CENTER
DIVERSIFIEDPLAZA 2 3RD FL
INCOME FUNDJERSEY CITY NJ 07311
CLASS A
 
DELAWAREPERSHING LLC2,790,173.1985.05%
LIMITED-TERM1 PERSHING PLAZA
DIVERSIFIEDJERSEY CITY NJ 07399-0002
INCOME FUND
CLASS A
 
DELAWAREMLPF&S FOR THE SOLE4,472,449.74521.84%
LIMITED-TERMBENEFIT OF ITS CUSTOMERS
DIVERSIFIEDATTENTION: FUND ADMIN SEC
INCOME FUND4800 DEER LAKE DRIVE EAST, 2ND FL
CLASS CJACKSONVILLE FL 32246-6484
 
DELAWAREFIRST CLEARING LLC2,896,099.96814.14%
LIMITED-TERMSPECIAL CUSTODY ACCT FOR THE
DIVERSIFIEDEXCLUSIVE BENEFIT OF CUSTOMER
INCOME FUND2801 MARKET ST
CLASS CSAINT LOUIS MO 63103-2523



Table of Contents

Fund Name and Class      Shareholders Name and Address      Total Shares      Percentage
DELAWAREMORGAN STANLEY SMITH BARNEY2,805,156.77113.70%
LIMITED-TERMHARBORSIDE FINANCIAL CENTER
DIVERSIFIEDPLAZA 2 3RD FL
INCOME FUNDJERSEY CITY NJ 07311
CLASS C
 
DELAWAREUBS WM USA2,556,261.52712.48%
LIMITED-TERMOMNI ACCOUNT M/F
DIVERSIFIEDATTN DEPARTMENT MANAGER
INCOME FUND499 WASHINGTON BLVD FL 9
CLASS CJERSEY CITY NJ 07310-2055
 
DELAWARERAYMOND JAMES1,801,235.3588.79%
LIMITED-TERMOMNIBUS FOR MUTUAL FUNDS
DIVERSIFIEDATTN COURTNEY WALLER
INCOME FUND880 CARILLON PARKWAY
CLASS CST PETERSBURG FL 33713
 
DELAWARENATIONAL FINANCIAL1,565,166.9477.64%
LIMITED-TERMSERVICES LLC
DIVERSIFIED(FBO) OUR CUSTOMERS
INCOME FUNDATTN MUTUAL FUNDS
CLASS CDEPARTMENT
499 WASHINGTON BLVD 4TH FLOOR
JERSEY CITY NJ 07310
 
DELAWAREUBS WM USA11,713,241.86018.49%
LIMITED-TERMOMNI ACCOUNT M/F
DIVERSIFIEDATTN DEPARTMENT MANAGER
INCOME FUND499 WASHINGTON BLVD FL 9
CLASS IJERSEY CITY NJ 07310-2055
 
DELAWAREMLPF&S FOR THE SOLE8,579,948.13013.54%
LIMITED-TERMBENEFIT OF ITS CUSTOMERS
DIVERSIFIEDATTENTION: FUND ADMIN SEC
INCOME FUND4800 DEER LAKE DRIVE EAST, 2ND FL
CLASS IJACKSONVILLE FL 32246-6484
 
DELAWAREMORGAN STANLEY SMITH BARNEY6,562,920.58110.36%
LIMITED-TERMHARBORSIDE FINANCIAL CENTER
DIVERSIFIEDPLAZA 2 3RD FL
INCOME FUNDJERSEY CITY NJ 07311
CLASS I
 
DELAWAREPERSHING LLC6,462,553.29110.20%
LIMITED-TERM1 PERSHING PLAZA
DIVERSIFIEDJERSEY CITY NJ 07399-0002
INCOME FUND
CLASS I
 
DELAWARENATIONAL FINANCIAL5,696,143.8098.99%
LIMITED-TERMSERVICES LLC
DIVERSIFIED(FBO) OUR CUSTOMERS
INCOME FUNDATTN MUTUAL FUNDS
CLASS IDEPARTMENT
499 WASHINGTON BLVD 4TH FLOOR
JERSEY CITY NJ 07310



Table of Contents

Fund Name and Class      Shareholders Name and Address      Total Shares      Percentage
DELAWAREFIRST CLEARING LLC4,585,248.7457.24%
LIMITED-TERMSPECIAL CUSTODY ACCT FOR THE
DIVERSIFIEDEXCLUSIVE BENEFIT OF CUSTOMER
INCOME FUND2801 MARKET ST
CLASS ISAINT LOUIS MO 63103-2523
 
DELAWARECHARLES SCHWAB & CO INC3,688,109.5195.82%
LIMITED-TERMSPEC CUSTODY ACCT FOR THE EXCL
DIVERSIFIEDBNFT OF CUSTS ATTN MUT FDS
INCOME FUND211 MAIN ST
CLASS ISAN FRANCISCO CA 94105-1905
 
DELAWAREC/O MARSHALL & ILSLEY TRUST6,620,748.08710.45%
LIMITED-TERMCO NA VALLEE & CO
DIVERSIFIED11270 W PARK PL STE 400
INCOME FUNDMILWAUKEE WI 53224-3638
CLASS I
 
DELAWAREMLPF&S FOR THE SOLE239,990.14126.05%
LIMITED-TERMBENEFIT OF ITS CUSTOMERS
DIVERSIFIEDATTENTION: FUND ADMIN SEC
INCOME FUND4800 DEER LAKE DRIVE EAST, 2ND FL
CLASS RJACKSONVILLE FL 32246-6484
 
DELAWARELINCOLN NATIONAL LIFE INS CO77,102.4198.37%
LIMITED-TERM1300 S CLINTON ST
DIVERSIFIEDFORT WAYNE IN 46802-3506
INCOME FUND
CLASS R        
 
DELAWARE MIDPERSHING LLC88,511.31912.22%
CAP VALUE FUND1 PERSHING PLAZA
CLASS AJERSEY CITY NJ 07399-0002
 
DELAWARE MIDNATIONAL FINANCIAL66,337.5019.16%
CAP VALUE FUNDSERVICES LLC
CLASS A(FBO) OUR CUSTOMERS
ATTN MUTUAL FUNDS
DEPARTMENT
499 WASHINGTON BLVD 4TH FLOOR
JERSEY CITY NJ 07310
 
DELAWARE MIDLINCOLN FINANCIAL GROUP48,633.3466.71%
CAP VALUE FUNDTRUST CO
CLASS AFBO ROLLOVER IRA PLANS
1 GRANITE PL
CONCORD NH 03301-3258
 
DELAWARE MIDLPL FINANCIAL35,792.83118.95%
CAP VALUE FUND--OMNIBUS CUSTOMER ACCOUNT--
CLASS CATTN: LINDSAY O’TOOLE
9785 TOWNE CENTRE DR
SAN DIEGO CA 92121



Table of Contents

Fund Name and Class      Shareholders Name and Address      Total Shares      Percentage
DELAWARE MIDNATIONAL FINANCIAL26,807.10514.19%
CAP VALUE FUNDSERVICES LLC
CLASS C(FBO) OUR CUSTOMERS
ATTN MUTUAL FUNDS
DEPARTMENT
499 WASHINGTON BLVD 4TH FLOOR
JERSEY CITY NJ 07310
 
DELAWARE MIDBNYM I S TRUST CO9,829.2305.20%
CAP VALUE FUNDCUST ROTH IRA
CLASS CFBO JENNIFER SCHEINBAUM
FALLS CHURCH VA 22043
 
DELAWARE MIDRAYMOND JAMES18,558.90310.45%
CAP VALUE FUNDOMNIBUS FOR MUTUAL FUNDS
CLASS IATTN COURTNEY WALLER
880 CARILLON PARKWAY
ST PETERSBURG FL 33713
 
DELAWARE MIDWELLS FARGO BANK NA127,513.20171.81%
CAP VALUE FUNDFBO TEVA PHARMACEUTICALS
CLASS INQ TRUST
PO BOX 1533
MINNEAPOLIS, MN 55480
 
DELAWARE MIDBOND STREET CUSTODIANS LTD19,611.84711.05%
CAP VALUE FUNDACF MACQUARIE GROUP SERVICES
CLASS IAUSTRALIA PTY LTD
LEVEL 20 N 1 MARTIN PLACE
SYDNEY NSW 2000 AUSTRALIA
 
DELAWARE MIDCATHY SCHREIBER7,116.32180.46%
CAP VALUE FUNDFBO REGIONAL EAST TEXAS
CLASS RFOOD BANK
401 K PLAN
805 S WHEATLEY ST STE 600
RIDGELAND MS 39157-5005
 
DELAWARE MIDRYAN THORPE653.5567.39%
CAP VALUE FUNDFBO 24 HOUR RECORD RETRIEVER &
CLASS RABSTRACT
401 K PLAN
805 S WHEATLEY ST STE 600
RIDGELAND MS 39157-5005
 
DELAWARE MIDDONALD BLASLAND473.5915.35%
CAP VALUE FUNDFBO PW LABORATORIES INC
CLASS R401K PSP
805 S WHEATLEY ST STE 600
RIDGELAND MS 39157-5005



Table of Contents

Fund Name and Class      Shareholders Name and Address      Total Shares      Percentage
DELAWAREPERSHING LLC2,041,965.48818.16%
MINNESOTA HIGH-1 PERSHING PLAZA
YIELD MUNICIPALJERSEY CITY NJ 07399-0002
BOND FUND CLASS A
 
DELAWAREFIRST CLEARING LLC1,516,172.17013.48%
MINNESOTA HIGH-SPECIAL CUSTODY ACCT FOR THE
YIELD MUNICIPALEXCLUSIVE BENEFIT OF CUSTOMER
BOND FUND CLASS A2801 MARKET ST
SAINT LOUIS MO 63103-2523
 
DELAWARELPL FINANCIAL785,985.1226.99%
MINNESOTA HIGH---OMNIBUS CUSTOMER ACCOUNT--
YIELD MUNICIPALATTN: LINDSAY O’TOOLE
BOND FUND CLASS A9785 TOWNE CENTRE DR
SAN DIEGO CA 92121
 
DELAWAREPERSHING LLC469,380.41015.72%
MINNESOTA HIGH-1 PERSHING PLAZA
YIELD MUNICIPALJERSEY CITY NJ 07399-0002
BOND FUND CLASS C
 
DELAWAREMORGAN STANLEY SMITH BARNEY384,738.73312.88%
MINNESOTA HIGH-HARBORSIDE FINANCIAL CENTER
YIELD MUNICIPALPLAZA 2 3RD FL
BOND FUND CLASS CJERSEY CITY NJ 07311
 
DELAWAREUBS WM USA318,002.81810.65%
MINNESOTA HIGH-OMNI ACCOUNT M/F
YIELD MUNICIPALATTN DEPARTMENT MANAGER
BOND FUND CLASS C499 WASHINGTON BLVD FL 9
JERSEY CITY NJ 07310-2055
 
DELAWAREUBS WM USA429,272.39838.77%
MINNESOTA HIGH-OMNI ACCOUNT M/F
YIELD MUNICIPALATTN DEPARTMENT MANAGER
BOND FUND CLASS I499 WASHINGTON BLVD FL 9
JERSEY CITY NJ 07310-2055
 
DELAWAREMORGAN STANLEY SMITH BARNEY291,117.31926.30%
MINNESOTA HIGH-HARBORSIDE FINANCIAL CENTER
YIELD MUNICIPALPLAZA 2 3RD FL
BOND FUND CLASS IJERSEY CITY NJ 07311
 
DELAWAREMLPF&S FOR THE SOLE194,599.00917.58%
MINNESOTA HIGH-BENEFIT OF ITS CUSTOMERS
YIELD MUNICIPALATTENTION: FUND ADMIN SEC
BOND FUND CLASS I4800 DEER LAKE DRIVE EAST, 2ND FL
JACKSONVILLE FL 32246-6484
 
DELAWAREFIRST CLEARING LLC185,119.84416.72%
MINNESOTA HIGH-SPECIAL CUSTODY ACCT FOR THE
YIELD MUNICIPALEXCLUSIVE BENEFIT OF CUSTOMER
BOND FUND CLASS I2801 MARKET ST
SAINT LOUIS MO 63103-2523



Table of Contents

Fund Name and Class      Shareholders Name and Address      Total Shares      Percentage
DELAWAREFIRST CLEARING LLC3,138,930.83615.03%
NATIONAL HIGH-SPECIAL CUSTODY ACCT FOR THE
YIELD MUNICIPALEXCLUSIVE BENEFIT OF CUSTOMER 
BOND FUND CLASS A2801 MARKET ST
SAINT LOUIS MO 63103-2523 
 
DELAWARENATIONAL FINANCIAL1,979,538.9609.48%
NATIONAL HIGH-SERVICES LLC
YIELD MUNICIPAL(FBO) OUR CUSTOMERS
BOND FUND CLASS AATTN MUTUAL FUNDS
DEPARTMENT
499 WASHINGTON BLVD 4TH FLOOR
JERSEY CITY NJ 07310
 
DELAWAREMLPF&S FOR THE SOLE1,786,796.6938.56%
NATIONAL HIGH-BENEFIT OF ITS CUSTOMERS
YIELD MUNICIPALATTENTION: FUND ADMIN SEC
BOND FUND CLASS A4800 DEER LAKE DRIVE EAST, 2ND FL
JACKSONVILLE FL 32246-6484
 
DELAWAREMORGAN STANLEY SMITH BARNEY1,687,529.3018.08%
NATIONAL HIGH-HARBORSIDE FINANCIAL CENTER
YIELD MUNICIPALPLAZA 2 3RD FL
BOND FUND CLASS AJERSEY CITY NJ 07311
 
DELAWARELPL FINANCIAL1,683,197.6728.06%
NATIONAL HIGH---OMNIBUS CUSTOMER ACCOUNT--
YIELD MUNICIPALATTN: LINDSAY O’TOOLE
BOND FUND CLASS A9785 TOWNE CENTRE DR
SAN DIEGO CA 92121
 
DELAWAREUBS WM USA1,478,004.6637.08%
NATIONAL HIGH-OMNI ACCOUNT M/F
YIELD MUNICIPALATTN DEPARTMENT MANAGER
BOND FUND CLASS A499 WASHINGTON BLVD FL 9
JERSEY CITY NJ 07310-2055
 
DELAWAREMLPF&S FOR THE SOLE2,065,444.25226.84%
NATIONAL HIGH-BENEFIT OF ITS CUSTOMERS
YIELD MUNICIPALATTENTION: FUND ADMIN SEC
BOND FUND CLASS C4800 DEER LAKE DRIVE EAST, 2ND FL
JACKSONVILLE FL 32246-6484
 
DELAWAREFIRST CLEARING LLC1,283,349.91516.68%
NATIONAL HIGH-SPECIAL CUSTODY ACCT FOR THE
YIELD MUNICIPALEXCLUSIVE BENEFIT OF CUSTOMER
BOND FUND CLASS C2801 MARKET ST
SAINT LOUIS MO 63103-2523
 
DELAWAREMORGAN STANLEY SMITH BARNEY1,175,611.92315.28%
NATIONAL HIGH-HARBORSIDE FINANCIAL CENTER
YIELD MUNICIPALPLAZA 2 3RD FL
BOND FUND CLASS CJERSEY CITY NJ 07311



Table of Contents

Fund Name and Class      Shareholders Name and Address      Total Shares      Percentage
DELAWAREUBS WM USA1,043,078.34013.56%
NATIONAL HIGH-OMNI ACCOUNT M/F 
YIELD MUNICIPALATTN DEPARTMENT MANAGER 
BOND FUND CLASS C499 WASHINGTON BLVD FL 9
JERSEY CITY NJ 07310-2055
 
DELAWAREGOLDMAN SACHS & CO29,197,969.69557.72%
NATIONAL HIGH-C/O MUTUAL FUND OPS
YIELD MUNICIPAL295 CHIPETA WAY
BOND FUND CLASS ISALT LAKE CITY UT 84108
 
DELAWAREMLPF&S FOR THE SOLE7,855,347.15915.53%
NATIONAL HIGH-BENEFIT OF ITS CUSTOMERS
YIELD MUNICIPALATTENTION: FUND ADMIN SEC
BOND FUND CLASS I4800 DEER LAKE DRIVE EAST, 2ND FL
JACKSONVILLE FL 32246-6484
 
DELAWAREUBS WM USA4,043,677.9137.99%
NATIONAL HIGH-OMNI ACCOUNT M/F
YIELD MUNICIPALATTN DEPARTMENT MANAGER
BOND FUND CLASS I499 WASHINGTON BLVD FL 9
JERSEY CITY NJ 07310-2055
 
DELAWAREFIRST CLEARING LLC3,369,598.8806.66%
NATIONAL HIGH-SPECIAL CUSTODY ACCT FOR THE
YIELD MUNICIPALEXCLUSIVE BENEFIT OF CUSTOMER
BOND FUND CLASS I2801 MARKET ST
SAINT LOUIS MO 63103-2523
 
DELAWARE REITNATIONAL FINANCIAL1,754,178.71026.77%
FUND CLASS ASERVICES LLC
(FBO) OUR CUSTOMERS
ATTN MUTUAL FUNDS
DEPARTMENT
499 WASHINGTON BLVD 4TH FLOOR
JERSEY CITY NJ 07310
 
DELAWARE REITPERSHING LLC554,156.2728.46%
FUND CLASS A1 PERSHING PLAZA
JERSEY CITY NJ 07399-0002
 
DELAWARE REITFIRST CLEARING LLC401,203.5076.12%
FUND CLASS ASPECIAL CUSTODY ACCT FOR THE
EXCLUSIVE BENEFIT OF CUSTOMER
2801 MARKET ST
SAINT LOUIS MO 63103-2523
 
DELAWARE REITNATIONAL FINANCIAL280,472.17118.08%
FUND CLASS CSERVICES LLC
(FBO) OUR CUSTOMERS
ATTN MUTUAL FUNDS
DEPARTMENT
499 WASHINGTON BLVD 4TH FLOOR
JERSEY CITY NJ 07310



Table of Contents

Fund Name and Class      Shareholders Name and Address      Total Shares      Percentage
DELAWARE REITPERSHING LLC217,225.12414.00%
FUND CLASS C1 PERSHING PLAZA 
JERSEY CITY NJ 07399-0002
 
DELAWARE REITRAYMOND JAMES149,632.9019.65%
FUND CLASS COMNIBUS FOR MUTUAL FUNDS
ATTN COURTNEY WALLER
880 CARILLON PARKWAY
ST PETERSBURG FL 33713
 
DELAWARE REITUBS WM USA145,039.8559.35%
FUND CLASS COMNI ACCOUNT M/F
ATTN DEPARTMENT MANAGER
499 WASHINGTON BLVD FL 9
JERSEY CITY NJ 07310-2055
 
DELAWARE REITMLPF&S FOR THE SOLE127,976.2598.25%
FUND CLASS CBENEFIT OF ITS CUSTOMERS
ATTENTION: FUND ADMIN SEC
4800 DEER LAKE DRIVE EAST, 2ND FL
JACKSONVILLE FL 32246-6484
 
DELAWARE REITLPL FINANCIAL122,177.3677.88%
FUND CLASS C--OMNIBUS CUSTOMER ACCOUNT--
ATTN: LINDSAY O’TOOLE
9785 TOWNE CENTRE DR
SAN DIEGO CA 92121
 
DELAWARE REITMORGAN STANLEY SMITH BARNEY102,189.5786.59%
FUND CLASS CHARBORSIDE FINANCIAL CENTER
PLAZA 2 3RD FL
JERSEY CITY NJ 07311
 
DELAWARE REITFIRST CLEARING LLC90,268.7345.82%
FUND CLASS CSPECIAL CUSTODY ACCT FOR THE
EXCLUSIVE BENEFIT OF CUSTOMER
2801 MARKET ST
SAINT LOUIS MO 63103-2523
 
DELAWARE REITLINCOLN RETIREMENT SERVICES CO704,658.7029.32%
FUND CLASS IFBO VIRTUA HEALTH INC 401K
P.O. BOX 7876
FORT WAYNE IN 46801-7876
 
DELAWARE REITCHARLES SCHWAB & CO INC5,211,728.56968.90%
FUND CLASS ISPEC CUSTODY ACCT FOR THE EXCL
BNFT OF CUSTS ATTN MUT FDS
211 MAIN ST
SAN FRANCISCO CA 94105-1905
 
DELAWARE REITRELIANCE TRUST COMPANY111,803.81512.86%
FUND CLASS RFBO MASSMUTUAL DMF
P.O. BOX 48529
ATLANTA GA 30362



Table of Contents

Fund Name and Class      Shareholders Name and Address      Total Shares      Percentage
DELAWARE REITMLPF&S FOR THE SOLE110,349.78712.70%
FUND CLASS RBENEFIT OF ITS CUSTOMERS 
ATTENTION: FUND ADMIN SEC 
4800 DEER LAKE DRIVE EAST, 2ND FL
JACKSONVILLE FL 32246-6484
 
DELAWARE REITDCGT AS TTEE48,054.3865.53%
FUND CLASS RCUST FBO PLIC VARIOUS
RETIREMENT PLANS OMNIBUS
ATTN NPIO TRADE DESK
711 HIGH STREET
DES MOINES, IA 50303
 
DELAWARENATIONAL FINANCIAL749,744.1169.15%
SELECT GROWTHSERVICES LLC
FUND CLASS A(FBO) OUR CUSTOMERS
ATTN MUTUAL FUNDS
DEPARTMENT
499 WASHINGTON BLVD 4TH FLOOR
JERSEY CITY NJ 07310
 
DELAWAREMLPF&S FOR THE SOLE659,119.0518.04%
SELECT GROWTHBENEFIT OF ITS CUSTOMERS
FUND CLASS AATTENTION: FUND ADMIN SEC
4800 DEER LAKE DRIVE EAST, 2ND FL
JACKSONVILLE FL 32246-6484
 
DELAWAREFIRST CLEARING LLC633,900.8517.73%
SELECT GROWTHSPECIAL CUSTODY ACCT FOR THE
FUND CLASS AEXCLUSIVE BENEFIT OF CUSTOMER
2801 MARKET ST
SAINT LOUIS MO 63103-2523
 
DELAWAREPERSHING LLC609,864.2017.44%
SELECT GROWTH1 PERSHING PLAZA
FUND CLASS AJERSEY CITY NJ 07399-0002
 
DELAWARECHARLES SCHWAB & CO INC410,692.2855.01%
SELECT GROWTHSPECIAL CUSTODY ACCT
FUND CLASS AFBO CUSTOMERS
ATTN MUTUAL FUNDS
211 MAIN ST
SAN FRANCISCO CA 94105-1905
 
DELAWAREMLPF&S FOR THE SOLE476,874.05018.75%
SELECT GROWTHBENEFIT OF ITS CUSTOMERS
FUND CLASS CATTENTION: FUND ADMIN SEC
4800 DEER LAKE DRIVE EAST, 2ND FL
JACKSONVILLE FL 32246-6484
 
DELAWAREFIRST CLEARING LLC386,033.21615.18%
SELECT GROWTHSPECIAL CUSTODY ACCT FOR THE
FUND CLASS CEXCLUSIVE BENEFIT OF CUSTOMER
2801 MARKET ST
SAINT LOUIS MO 63103-2523



Table of Contents

Fund Name and Class      Shareholders Name and Address      Total Shares      Percentage
DELAWAREMORGAN STANLEY SMITH BARNEY353,270.60213.89%
SELECT GROWTHHARBORSIDE FINANCIAL CENTER 
FUND CLASS CPLAZA 2 3RD FL
JERSEY CITY NJ 07311
 
DELAWARENATIONAL FINANCIAL199,780.2157.86%
SELECT GROWTHSERVICES LLC
FUND CLASS C(FBO) OUR CUSTOMERS
ATTN MUTUAL FUNDS
DEPARTMENT
499 WASHINGTON BLVD 4TH FLOOR
JERSEY CITY NJ 07310
 
DELAWARERAYMOND JAMES174,481.5726.86%
SELECT GROWTHOMNIBUS FOR MUTUAL FUNDS
FUND CLASS CATTN COURTNEY WALLER
880 CARILLON PARKWAY
ST PETERSBURG FL 33713
 
DELAWAREPERSHING LLC144,650.0845.69%
SELECT GROWTH1 PERSHING PLAZA
FUND CLASS CJERSEY CITY NJ 07399-0002
 
DELAWAREEDWARD D JONES AND CO3,496,896.16135.75%
SELECT GROWTHFOR THE BENEFIT OF CUSTOMERS
FUND CLASS I12555 MANCHESTER ROAD
ST LOUIS MO 63131-3710
 
DELAWAREFIRST CLEARING LLC2,873,632.74229.38%
SELECT GROWTHSPECIAL CUSTODY ACCT FOR THE
FUND CLASS IEXCLUSIVE BENEFIT OF CUSTOMER
2801 MARKET ST
SAINT LOUIS MO 63103-2523
 
DELAWAREUBS WM USA490,249.4585.01%
SELECT GROWTHOMNI ACCOUNT M/F
FUND CLASS IATTN DEPARTMENT MANAGER
499 WASHINGTON BLVD FL 9
JERSEY CITY NJ 07310-2055
 
DELAWAREATTN MUTUAL FUNDS686,614.1597.02%
SELECT GROWTHADMINISTRATOR
FUND CLASS IC/O EDWARD JONES TRUST CO
SEI PRIVATE TRUSTCO
1 FREEDOM VALLEY DR
OAKS PA 19456-9989
 
DELAWARERELIANCE TRUST COMPANY76,937.91518.11%
SELECT GROWTHFBO MASSMUTUAL DMF
FUND CLASS RP.O. BOX 48529
ATLANTA GA 30362



Table of Contents

Fund Name and Class      Shareholders Name and Address      Total Shares      Percentage
DELAWAREMATRIX TRUST COMPANY56,832.29313.38%
SELECT GROWTHCUST. FBO THE STRATFORD FIRE 
FUND CLASS RAND POLICE
717 17TH STREET SUITE 1300
DENVER CO 80202
 
DELAWAREPIMS/PRUDENTIAL RETIREMENT27,178.5076.40%
SELECT GROWTHAS NOMINEE FOR THE TTEE/CUST PL
FUND CLASS RFUNAI CORPORATION, INC.
19900 VAN NESS AVE.
TORRANCE CA 90501
 
DELAWAREPIMS/PRUDENTIAL RETIREMENT24,313.7095.72%
SELECT GROWTHAS NOMINEE FOR THE TTEE/CUST PL
FUND CLASS RSMR AUTOMOTIVE SYSTEMS
USA, INC.
1855 BUSHA HWY
MARYSVILLE MI 480401892
 
DELAWAREMLPF&S FOR THE SOLE51,363.68712.09%
SELECT GROWTHBENEFIT OF ITS CUSTOMERS
FUND CLASS RATTENTION: FUND ADMIN SEC
4800 DEER LAKE DRIVE EAST, 2ND FL
JACKSONVILLE FL 32246-6484
 
DELAWAREMLPF&S FOR THE SOLE1,229,571.17116.31%
SMALL CAP COREBENEFIT OF ITS CUSTOMERS
FUND CLASS AATTENTION: FUND ADMIN SEC
4800 DEER LAKE DRIVE EAST, 2ND FL
JACKSONVILLE FL 32246-6484
 
DELAWARERAYMOND JAMES705,311.0319.36%
SMALL CAP COREOMNIBUS FOR MUTUAL FUNDS
FUND CLASS AATTN COURTNEY WALLER
880 CARILLON PARKWAY
ST PETERSBURG FL 33713
 
DELAWARERAYMOND JAMES954,939.26029.21%
SMALL CAP COREOMNIBUS FOR MUTUAL FUNDS
FUND CLASS CATTN COURTNEY WALLER
880 CARILLON PARKWAY
ST PETERSBURG FL 33713
 
DELAWAREMLPF&S FOR THE SOLE357,570.56110.94%
SMALL CAP COREBENEFIT OF ITS CUSTOMERS
FUND CLASS CATTENTION: FUND ADMIN SEC
4800 DEER LAKE DRIVE EAST, 2ND FL
JACKSONVILLE FL 32246-6484
 
DELAWAREFIRST CLEARING LLC321,638.9269.84%
SMALL CAP CORESPECIAL CUSTODY ACCT FOR THE
FUND CLASS CEXCLUSIVE BENEFIT OF CUSTOMER
2801 MARKET ST
SAINT LOUIS MO 63103-2523



Table of Contents

Fund Name and Class      Shareholders Name and Address      Total Shares      Percentage
DELAWAREMORGAN STANLEY SMITH BARNEY298,067.2789.12%
SMALL CAP COREHARBORSIDE FINANCIAL CENTER  
FUND CLASS CPLAZA 2 3RD FL
JERSEY CITY NJ 07311
 
DELAWAREPERSHING LLC197,243.9076.03%
SMALL CAP CORE1 PERSHING PLAZA
FUND CLASS CJERSEY CITY NJ 07399-0002
 
DELAWARENATIONAL FINANCIAL1,328,037.2239.35%
SMALL CAP CORESERVICES LLC
FUND CLASS I(FBO) OUR CUSTOMERS
ATTN MUTUAL FUNDS
DEPARTMENT
499 WASHINGTON BLVD 4TH FLOOR
JERSEY CITY NJ 07310
 
DELAWARECHARLES SCHWAB & CO INC1,063,628.1537.49%
SMALL CAP CORESPEC CUSTODY ACCT FOR THE EXCL
FUND CLASS IBNFT OF CUSTS ATTN MUT FDS
211 MAIN ST
SAN FRANCISCO CA 94105-1905
 
DELAWAREMLPF&S FOR THE SOLE885,379.8906.23%
SMALL CAP COREBENEFIT OF ITS CUSTOMERS
FUND CLASS IATTENTION: FUND ADMIN SEC
4800 DEER LAKE DRIVE EAST, 2ND FL
JACKSONVILLE FL 32246-6484
 
DELAWARERAYMOND JAMES846,143.8895.96%
SMALL CAP COREOMNIBUS FOR MUTUAL FUNDS
FUND CLASS IATTN COURTNEY WALLER
880 CARILLON PARKWAY
ST PETERSBURG FL 33713
 
DELAWARELPL FINANCIAL832,644.1295.86%
SMALL CAP CORE--OMNIBUS CUSTOMER ACCOUNT--
FUND CLASS IATTN: LINDSAY O’TOOLE
9785 TOWNE CENTRE DR
SAN DIEGO CA 92121
 
DELAWAREPERSHING LLC812,633.9555.72%
SMALL CAP CORE1 PERSHING PLAZA
FUND CLASS IJERSEY CITY NJ 07399-0002
 
DELAWAREFIRST CLEARING LLC727,392.9195.12%
SMALL CAP CORESPECIAL CUSTODY ACCT FOR THE
FUND CLASS IEXCLUSIVE BENEFIT OF CUSTOMER
2801 MARKET ST
SAINT LOUIS MO 63103-2523
 
DELAWAREUBATCO & CO2,109,104.56114.85%
SMALL CAP COREFBO COLLEGE SAVINGS GROUP
FUND CLASS IPO BOX 82535
LINCOLN NE 68501-2535



Table of Contents

Fund Name and Class      Shareholders Name and Address      Total Shares      Percentage
DELAWARERELIANCE TRUST COMPANY853,784.2186.01%
SMALL CAP COREFBO RETIREMENT PLANS SERVICED 
FUND CLASS IBY METLIFE
C/O FASCORE LLC 
8515 E ORCHARD RD 2T2
GREENWOOD VILLAGE CO 80111
 
DELAWARERELIANCE TRUST COMPANY104,135.00511.89%
SMALL CAP COREFBO MASSMUTUAL DMF
FUND CLASS RP.O. BOX 48529
ATLANTA GA 30362
 
DELAWAREASCENSUS TRUST COMPANY51,831.2975.92%
SMALL CAP COREFBO NAGEL PRECISION INC PS
FUND CLASS R401K PLAN
PO BOX 10758
FARGO ND 58106-0758
 
DELAWARELINCOLN NATIONAL LIFE INS CO216,360.50324.71%
SMALL CAP CORE1300 S CLINTON ST
FUND CLASS RFORT WAYNE IN 46802-3506
 
DELAWAREMLPF&S FOR THE SOLE1,472,351.8219.73%
SMALL CAPBENEFIT OF ITS CUSTOMERS
VALUE FUNDATTENTION: FUND ADMIN SEC
CLASS A4800 DEER LAKE DRIVE EAST, 2ND FL
JACKSONVILLE FL 32246-6484
 
DELAWARENATIONAL FINANCIAL1,240,156.1988.19%
SMALL CAPSERVICES LLC
VALUE FUND(FBO) OUR CUSTOMERS
CLASS AATTN MUTUAL FUNDS
DEPARTMENT
499 WASHINGTON BLVD 4TH FLOOR
JERSEY CITY NJ 07310
 
DELAWARECHARLES SCHWAB & CO INC831,528.8495.49%
SMALL CAPSPEC CUSTODY ACCT FOR THE EXCL
VALUE FUNDBNFT OF CUSTS ATTN MUT FDS
CLASS A211 MAIN ST
SAN FRANCISCO CA 94105-1905
 
DELAWAREPERSHING LLC815,403.8385.39%
SMALL CAP1 PERSHING PLAZA
VALUE FUNDJERSEY CITY NJ 07399-0002
CLASS A
 
DELAWAREDCGT AS TTEE1,069,257.2257.06%
SMALL CAPCUST FBO PLIC VARIOUS
VALUE FUNDRETIREMENT PLANS OMNIBUS
CLASS AATTN NPIO TRADE DESK
711 HIGH STREET
DES MOINES, IA 50303



Table of Contents

Fund Name and Class      Shareholders Name and Address      Total Shares      Percentage
DELAWAREMLPF&S FOR THE SOLE432,083.77617.51%
SMALL CAPBENEFIT OF ITS CUSTOMERS 
VALUE FUNDATTENTION: FUND ADMIN SEC
CLASS C4800 DEER LAKE DRIVE EAST, 2ND FL
JACKSONVILLE FL 32246-6484
 
DELAWAREMORGAN STANLEY SMITH BARNEY418,913.44616.97%
SMALL CAPHARBORSIDE FINANCIAL CENTER
VALUE FUNDPLAZA 2 3RD FL
CLASS CJERSEY CITY NJ 07311
 
DELAWARENATIONAL FINANCIAL318,778.51712.92%
SMALL CAPSERVICES LLC
VALUE FUND(FBO) OUR CUSTOMERS
CLASS CATTN MUTUAL FUNDS
DEPARTMENT
499 WASHINGTON BLVD 4TH FLOOR
JERSEY CITY NJ 07310
 
DELAWAREFIRST CLEARING LLC218,132.5968.84%
SMALL CAPSPECIAL CUSTODY ACCT FOR THE
VALUE FUNDEXCLUSIVE BENEFIT OF CUSTOMER
CLASS C2801 MARKET ST
SAINT LOUIS MO 63103-2523
 
DELAWARERAYMOND JAMES177,626.1937.20%
SMALL CAPOMNIBUS FOR MUTUAL FUNDS
VALUE FUNDATTN COURTNEY WALLER
CLASS C880 CARILLON PARKWAY
ST PETERSBURG FL 33713
 
DELAWAREPERSHING LLC153,958.6046.24%
SMALL CAP1 PERSHING PLAZA
VALUE FUNDJERSEY CITY NJ 07399-0002
CLASS C
 
DELAWAREMORGAN STANLEY SMITH BARNEY9,264,034.93328.36%
SMALL CAPHARBORSIDE FINANCIAL CENTER
VALUE FUNDPLAZA 2 3RD FL
CLASS IJERSEY CITY NJ 07311
 
DELAWARENATIONAL FINANCIAL3,629,022.22411.11%
SMALL CAPSERVICES LLC
VALUE FUND(FBO) OUR CUSTOMERS
CLASS IATTN MUTUAL FUNDS
DEPARTMENT
499 WASHINGTON BLVD
JERSEY CITY NJ 07310
 
DELAWARECHARLES SCHWAB & CO INC3,046,170.3969.33%
SMALL CAPSPEC CUSTODY ACCT FOR THE EXCL
VALUE FUNDBNFT OF CUSTS ATTN MUT FDS
CLASS I211 MAIN ST
SAN FRANCISCO CA 94105-1905



Table of Contents

Fund Name and Class      Shareholders Name and Address      Total Shares      Percentage
DELAWAREPERSHING LLC2,283,254.2286.99%
SMALL CAP1 PERSHING PLAZA 
VALUE FUNDJERSEY CITY NJ 07399-0002 
CLASS I
 
DELAWARERELIANCE TRUST COMPANY97,209.2725.84%
SMALL CAPFBO MASSMUTUAL DMF
VALUE FUNDP.O. BOX 48529
CLASS RATLANTA GA 30362
 
DELAWAREMLPF&S FOR THE SOLE256,369.31315.39%
SMALL CAPBENEFIT OF ITS CUSTOMERS
VALUE FUNDATTENTION: FUND ADMIN SEC
CLASS R4800 DEER LAKE DRIVE EAST, 2ND FL
JACKSONVILLE FL 32246-6484
 
DELAWARESTATE STREET BANK TTEE211,770.57612.72%
SMALL CAPCUST FBO ADP ACCESS
VALUE FUND401K PRODUCT
CLASS R1 LINCOLN ST
BOSTON MA 02111-2901
 
DELAWAREDCGT AS TTEE AND/OR CUST571,231.45834.30%
SMALL CAPFBO PLIC VARIOUS RETIREMENT
VALUE FUNDPLANS OMNIBUS
CLASS RATTN NPIO TRADE DESK
711 HIGH STREET
DES MOINES, IA 50303
 
DELAWARE SMIDMLPF&S FOR THE SOLE2,284,977.0747.83%
CAP GROWTHBENEFIT OF ITS CUSTOMERS
FUND CLASS AATTENTION: FUND ADMIN SEC
4800 DEER LAKE DRIVE EAST, 2ND FL
JACKSONVILLE FL 32246-6484
 
DELAWARE SMIDFIRST CLEARING LLC1,922,216.3286.58%
CAP GROWTHSPECIAL CUSTODY ACCT FOR THE
FUND CLASS AEXCLUSIVE BENEFIT OF CUSTOMER
2801 MARKET ST
SAINT LOUIS MO 63103-2523
 
DELAWARE SMIDNATIONAL FINANCIAL1,746,701.1415.98%
CAP GROWTHSERVICES LLC
FUND CLASS A(FBO) OUR CUSTOMERS
ATTN MUTUAL FUNDS
DEPARTMENT
499 WASHINGTON BLVD 4TH FLOOR
JERSEY CITY NJ 07310
 
DELAWARE SMIDPERSHING LLC1,488,093.6995.10%
CAP GROWTH1 PERSHING PLAZA
FUND CLASS AJERSEY CITY NJ 07399-0002



Table of Contents

Fund Name and Class      Shareholders Name and Address      Total Shares      Percentage
DELAWARE SMIDMLPF&S FOR THE SOLE902,914.82423.42%
CAP GROWTHBENEFIT OF ITS CUSTOMERS 
FUND CLASS CATTENTION: FUND ADMIN SEC 
4800 DEER LAKE DRIVE EAST, 2ND FL
JACKSONVILLE FL 32246-6484
 
DELAWARE SMIDMORGAN STANLEY SMITH BARNEY564,427.50414.64%
CAP GROWTHHARBORSIDE FINANCIAL CENTER
FUND CLASS CPLAZA 2 3RD FL
JERSEY CITY NJ 07311
 
DELAWARE SMIDFIRST CLEARING LLC507,803.68913.17%
CAP GROWTHSPECIAL CUSTODY ACCT FOR THE
FUND CLASS CEXCLUSIVE BENEFIT OF CUSTOMER
2801 MARKET ST
SAINT LOUIS MO 63103-2523
 
DELAWARE SMIDNATIONAL FINANCIAL235,092.2446.10%
CAP GROWTHSERVICES LLC
FUND CLASS C(FBO) OUR CUSTOMERS
ATTN MUTUAL FUNDS
DEPARTMENT
499 WASHINGTON BLVD 4TH FLOOR
JERSEY CITY NJ 07310
 
DELAWARE SMIDPERSHING LLC199,449.9395.17%
CAP GROWTH1 PERSHING PLAZA
FUND CLASS CJERSEY CITY NJ 07399-0002
 
DELAWARE SMIDMORGAN STANLEY SMITH BARNEY2,267,853.78122.61%
CAP GROWTHHARBORSIDE FINANCIAL CENTER
FUND CLASS IPLAZA 2 3RD FL
JERSEY CITY NJ 07311
 
DELAWARE SMIDCHARLES SCHWAB & CO INC1,428,341.18114.24%
CAP GROWTHSPEC CUSTODY ACCT FOR THE EXCL
FUND CLASS IBNFT OF CUSTS
ATTN MUT FDS
211 MAIN ST
SAN FRANCISCO CA 94105-1905
 
DELAWARE SMIDNATIONAL FINANCIAL1,052,380.60410.49%
CAP GROWTHSERVICES LLC
FUND CLASS I(FBO) OUR CUSTOMERS
ATTN MUTUAL FUNDS
DEPARTMENT
499 WASHINGTON BLVD 4TH FLOOR
JERSEY CITY NJ 07310
 
DELAWARE SMIDFIRST CLEARING LLC717,621.7027.15%
CAP GROWTHSPECIAL CUSTODY ACCT FOR THE
FUND CLASS IEXCLUSIVE BENEFIT OF CUSTOMER
2801 MARKET ST
SAINT LOUIS MO 63103-2523



Table of Contents

Fund Name and Class      Shareholders Name and Address      Total Shares      Percentage
DELAWARE SMIDUBS WM USA577,796.4645.76%
CAP GROWTHOMNI ACCOUNT M/F
FUND CLASS IATTN DEPARTMENT MANAGER  
499 WASHINGTON BLVD FL 9
JERSEY CITY NJ 07310-2055
 
DELAWARE SMIDVANGUARD FIDUCIARY1,176,617.20011.73%
CAP GROWTHTR COMPANY
FUND CLASS I400 DEVON PARK DRIVE 123
WAYNE PA 19087-1816
 
DELAWARE SMIDWILMINGTON TRUST RISC TTEE70,283.20211.03%
CAP GROWTHFBO HARLAN LABORATORIES, INC.
FUND CLASS R401(K) PLAN
P.O. BOX 52129
PHOENIX AZ 85072
 
DELAWARE SMIDMLPF&S FOR THE SOLE263,635.54341.38%
CAP GROWTHBENEFIT OF ITS CUSTOMERS
FUND CLASS RATTENTION: FUND ADMIN SEC
4800 DEER LAKE DRIVE EAST, 2ND FL
JACKSONVILLE FL 32246-6484
 
DELAWARE TAX-FIRST CLEARING LLC1,375,961.77819.77%
FREE ARIZONASPECIAL CUSTODY ACCT FOR THE
FUND CLASS AEXCLUSIVE BENEFIT OF CUSTOMER
2801 MARKET ST
SAINT LOUIS MO 63103-2523
 
DELAWARE TAX-CHARLES SCHWAB & CO INC762,515.36910.96%
FREE ARIZONASPECIAL CUSTODY ACCT
FUND CLASS AFBO CUSTOMERS
ATTN MUTUAL FUNDS
211 MAIN ST
SAN FRANCISCO CA 94105-1905
 
DELAWARE TAX-MLPF&S FOR THE SOLE537,940.9607.73%
FREE ARIZONABENEFIT OF ITS CUSTOMERS
FUND CLASS AATTENTION: FUND ADMIN SEC
4800 DEER LAKE DRIVE EAST, 2ND FL
JACKSONVILLE FL 32246-6484
 
DELAWARE TAX-MORGAN STANLEY SMITH BARNEY494,473.4187.11%
FREE ARIZONAHARBORSIDE FINANCIAL CENTER
FUND CLASS APLAZA 2 3RD FL
JERSEY CITY NJ 07311
 
DELAWARE TAX-RBC CAPITAL MARKETS LLC458,413.7766.59%
FREE ARIZONABEVERLY G RUBIN &
FUND CLASS AJONATHAN LAMPITT TTEES
SCOTTSDALE AZ 85254



Table of Contents

Fund Name and Class      Shareholders Name and Address      Total Shares      Percentage
DELAWARE TAX-MLPF&S FOR THE SOLE171,110.05130.79%
FREE ARIZONABENEFIT OF ITS CUSTOMERS 
FUND CLASS CATTENTION: FUND ADMIN SEC
4800 DEER LAKE DRIVE EAST, 2ND FL
JACKSONVILLE FL 32246-6484
 
DELAWARE TAX-FIRST CLEARING LLC128,114.74123.05%
FREE ARIZONASPECIAL CUSTODY ACCT FOR THE
FUND CLASS CEXCLUSIVE BENEFIT OF CUSTOMER
2801 MARKET ST
SAINT LOUIS MO 63103-2523
 
DELAWARE TAX-MORGAN STANLEY SMITH BARNEY53,790.5379.68%
FREE ARIZONAHARBORSIDE FINANCIAL CENTER
FUND CLASS CPLAZA 2 3RD FL
JERSEY CITY NJ 07311
 
DELAWARE TAX-CHARLES SCHWAB & CO INC52,660.6199.48%
FREE ARIZONASPECIAL CUSTODY ACCT
FUND CLASS CFBO CUSTOMERS
ATTN MUTUAL FUNDS
211 MAIN ST
SAN FRANCISCO CA 94105-1905
 
DELAWARE TAX-MORGAN STANLEY SMITH BARNEY14,339.09239.95%
FREE ARIZONAHARBORSIDE FINANCIAL CENTER
FUND CLASS IPLAZA 2 3RD FL
JERSEY CITY NJ 07311
 
DELAWARE TAX-MLPF&S FOR THE SOLE13,134.46336.59%
FREE ARIZONABENEFIT OF ITS CUSTOMERS
FUND CLASS IATTENTION: FUND ADMIN SEC
4800 DEER LAKE DRIVE EAST, 2ND FL
JACKSONVILLE FL 32246-6484
 
DELAWARE TAX-UBS WM USA8,223.87722.91%
FREE ARIZONAOMNI ACCOUNT M/F
FUND CLASS IATTN DEPARTMENT MANAGER
499 WASHINGTON BLVD FL 9
JERSEY CITY NJ 07310-2055
 
DELAWARE TAX-FIRST CLEARING LLC1,866,384.41332.71%
FREE CALIFORNIASPECIAL CUSTODY ACCT FOR THE
FUND CLASS AEXCLUSIVE BENEFIT OF CUSTOMER
2801 MARKET ST
SAINT LOUIS MO 63103-2523
 
DELAWARE TAX-MORGAN STANLEY SMITH BARNEY625,397.97710.96%
FREE CALIFORNIAHARBORSIDE FINANCIAL CENTER
FUND CLASS APLAZA 2 3RD FL
JERSEY CITY NJ 07311



Table of Contents

Fund Name and Class      Shareholders Name and Address      Total Shares      Percentage
DELAWARE TAX-NATIONAL FINANCIAL387,114.0146.79%
FREE CALIFORNIASERVICES LLC
FUND CLASS A(FBO) OUR CUSTOMERS 
ATTN MUTUAL FUNDS
DEPARTMENT 
499 WASHINGTON BLVD 4TH FLOOR
JERSEY CITY NJ 07310
 
DELAWARE TAX-PERSHING LLC318,395.9375.58%
FREE CALIFORNIA1 PERSHING PLAZA
FUND CLASS AJERSEY CITY NJ 07399-0002
 
DELAWARE TAX-UBS WM USA316,765.6415.55%
FREE CALIFORNIAOMNI ACCOUNT M/F
FUND CLASS AATTN DEPARTMENT MANAGER
499 WASHINGTON BLVD FL 9
JERSEY CITY NJ 07310-2055
 
DELAWARE TAX-MLPF&S FOR THE SOLE379,206.80728.14%
FREE CALIFORNIABENEFIT OF ITS CUSTOMERS
FUND CLASS CATTENTION: FUND ADMIN SEC
4800 DEER LAKE DRIVE EAST, 2ND FL
JACKSONVILLE FL 32246-6484
 
DELAWARE TAX-MORGAN STANLEY SMITH BARNEY324,381.19424.07%
FREE CALIFORNIAHARBORSIDE FINANCIAL CENTER
FUND CLASS CPLAZA 2 3RD FL
JERSEY CITY NJ 07311
 
DELAWARE TAX-FIRST CLEARING LLC156,697.94911.63%
FREE CALIFORNIASPECIAL CUSTODY ACCT FOR THE
FUND CLASS CEXCLUSIVE BENEFIT OF CUSTOMER
2801 MARKET ST
SAINT LOUIS MO 63103-2523
 
DELAWARE TAX-UBS WM USA101,684.1317.55%
FREE CALIFORNIAOMNI ACCOUNT M/F
FUND CLASS CATTN DEPARTMENT MANAGER
499 WASHINGTON BLVD FL 9
JERSEY CITY NJ 07310-2055
 
DELAWARE TAX-CHARLES SCHWAB & CO INC75,764.0505.62%
FREE CALIFORNIASPECIAL CUSTODY ACCT
FUND CLASS CFBO CUSTOMERS
ATTN MUTUAL FUNDS
211 MAIN ST
SAN FRANCISCO CA 94105-1905
 
DELAWARE TAX-PERSHING LLC71,247.3635.29%
FREE CALIFORNIA1 PERSHING PLAZA
FUND CLASS CJERSEY CITY NJ 07399-0002



Table of Contents

Fund Name and Class      Shareholders Name and Address      Total Shares      Percentage
DELAWARE TAX-MORGAN STANLEY SMITH BARNEY420,184.17344.65% 
FREE CALIFORNIAHARBORSIDE FINANCIAL CENTER
FUND CLASS IPLAZA 2 3RD FL
JERSEY CITY NJ 07311
 
DELAWARE TAX-MLPF&S FOR THE SOLE310,939.00433.04%
FREE CALIFORNIABENEFIT OF ITS CUSTOMERS
FUND CLASS IATTENTION: FUND ADMIN SEC
4800 DEER LAKE DRIVE EAST, 2ND FL
JACKSONVILLE FL 32246-6484
 
DELAWARE TAX-UBS WM USA209,654.04922.28%
FREE CALIFORNIAOMNI ACCOUNT M/F
FUND CLASS IATTN DEPARTMENT MANAGER
499 WASHINGTON BLVD FL 9
JERSEY CITY NJ 07310-2055
 
DELAWARE TAX-FIRST CLEARING LLC2,650,250.11316.51%
FREE COLORADOSPECIAL CUSTODY ACCT FOR THE
FUND CLASS AEXCLUSIVE BENEFIT OF CUSTOMER
2801 MARKET ST
SAINT LOUIS MO 63103-2523
 
DELAWARE TAX-MORGAN STANLEY SMITH BARNEY1,137,853.2767.09%
FREE COLORADOHARBORSIDE FINANCIAL
FUND CLASS ACENTER PLAZA 2 3RD FL
JERSEY CITY NJ 07311
 
DELAWARE TAX-CHARLES SCHWAB & CO INC857,661.5165.34%
FREE COLORADOSPECIAL CUSTODY ACCT
FUND CLASS AFBO CUSTOMERS
ATTN MUTUAL FUNDS
211 MAIN ST
SAN FRANCISCO CA 94105-1905
 
DELAWARE TAX-FIRST CLEARING LLC251,779.11723.83%
FREE COLORADOSPECIAL CUSTODY ACCT FOR THE
FUND CLASS CEXCLUSIVE BENEFIT OF CUSTOMER
2801 MARKET ST
SAINT LOUIS MO 63103-2523
 
DELAWARE TAX-UBS WM USA204,440.37719.35%
FREE COLORADOOMNI ACCOUNT M/F
FUND CLASS CATTN DEPARTMENT MANAGER
499 WASHINGTON BLVD FL 9
JERSEY CITY NJ 07310-2055
 
DELAWARE TAX-PERSHING LLC63,766.3326.04%
FREE COLORADO1 PERSHING PLAZA
FUND CLASS CJERSEY CITY NJ 07399-0002
 
DELAWARE TAX-MLPF&S FOR THE SOLE62,721.6255.94%
FREE COLORADOBENEFIT OF ITS CUSTOMERS
FUND CLASS CATTENTION: FUND ADMIN SEC
4800 DEER LAKE DRIVE EAST, 2ND FL
JACKSONVILLE FL 32246-6484



Table of Contents

Fund Name and Class      Shareholders Name and Address      Total Shares      Percentage
DELAWARE TAX-UBS WM USA256,825.12064.29%
FREE COLORADOOMNI ACCOUNT M/F
FUND CLASS IATTN DEPARTMENT MANAGER 
499 WASHINGTON BLVD FL 9
JERSEY CITY NJ 07310-2055
 
DELAWARE TAX-MLPF&S FOR THE SOLE110,761.59327.73%
FREE COLORADOBENEFIT OF ITS CUSTOMERS
FUND CLASS IATTENTION: FUND ADMIN SEC
4800 DEER LAKE DRIVE EAST, 2ND FL
JACKSONVILLE FL 32246-6484
 
DELAWAREFIRST CLEARING LLC1,519,498.06922.77%
TAX-FREE IDAHOSPECIAL CUSTODY ACCT FOR THE
FUND CLASS AEXCLUSIVE BENEFIT OF CUSTOMER
2801 MARKET ST
SAINT LOUIS MO 63103-2523
 
DELAWARECHARLES SCHWAB & CO INC1,019,316.03615.28%
TAX-FREE IDAHOSPECIAL CUSTODY ACCT
FUND CLASS AFBO CUSTOMERS
ATTN MUTUAL FUNDS
211 MAIN ST
SAN FRANCISCO CA 94105-1905
 
DELAWAREPERSHING LLC566,152.0038.48%
TAX-FREE IDAHO1 PERSHING PLAZA
FUND CLASS AJERSEY CITY NJ 07399-0002
 
DELAWAREMORGAN STANLEY SMITH BARNEY404,941.2926.07%
TAX-FREE IDAHOHARBORSIDE FINANCIAL
FUND CLASS ACENTER PLAZA 2 3RD FL
JERSEY CITY NJ 07311
 
DELAWAREUBS WM USA346,675.3375.20%
TAX-FREE IDAHOOMNI ACCOUNT M/F
FUND CLASS AATTN DEPARTMENT MANAGER
499 WASHINGTON BLVD FL 9
JERSEY CITY NJ 07310-2055
 
DELAWAREMLPF&S FOR THE SOLE335,354.3865.03%
TAX-FREE IDAHOBENEFIT OF ITS CUSTOMERS
FUND CLASS AATTENTION: FUND ADMIN SEC
4800 DEER LAKE DRIVE EAST, 2ND FL
JACKSONVILLE FL 32246-6484
 
DELAWAREFIRST CLEARING LLC1,168,236.04345.13%
TAX-FREE IDAHOSPECIAL CUSTODY ACCT FOR THE
FUND CLASS CEXCLUSIVE BENEFIT OF CUSTOMER
2801 MARKET ST
SAINT LOUIS MO 63103-2523



Table of Contents

Fund Name and Class      Shareholders Name and Address      Total Shares      Percentage
DELAWAREMLPF&S FOR THE SOLE278,580.80810.76%
TAX-FREE IDAHOBENEFIT OF ITS CUSTOMERS 
FUND CLASS CATTENTION: FUND ADMIN SEC 
 4800 DEER LAKE DRIVE EAST, 2ND FL
JACKSONVILLE FL 32246-6484
 
DELAWARECHARLES SCHWAB & CO INC269,946.27910.43%
TAX-FREE IDAHOSPECIAL CUSTODY ACCT
FUND CLASS CFBO CUSTOMERS
ATTN MUTUAL FUNDS
211 MAIN ST
SAN FRANCISCO CA 94105-1905
 
DELAWARERAYMOND JAMES236,344.3809.13%
TAX-FREE IDAHOOMNIBUS FOR MUTUAL FUNDS
FUND CLASS CATTN COURTNEY WALLER
880 CARILLON PARKWAY
ST PETERSBURG FL 33713
 
DELAWARELPL FINANCIAL129,658.4705.01%
TAX-FREE IDAHO--OMNIBUS CUSTOMER ACCOUNT--
FUND CLASS CATTN: LINDSAY O’TOOLE
9785 TOWNE CENTRE DR
SAN DIEGO CA 92121
 
DELAWAREMLPF&S FOR THE SOLE140,026.27757.97%
TAX-FREE IDAHOBENEFIT OF ITS CUSTOMERS
FUND CLASS IATTENTION: FUND ADMIN SEC
4800 DEER LAKE DRIVE EAST, 2ND FL
JACKSONVILLE FL 32246-6484
 
DELAWAREUBS WM USA63,913.77626.46%
TAX-FREE IDAHOOMNI ACCOUNT M/F
FUND CLASS IATTN DEPARTMENT MANAGER
499 WASHINGTON BLVD FL 9
JERSEY CITY NJ 07310-2055
 
DELAWAREMORGAN STANLEY SMITH BARNEY26,721.35311.06%
TAX-FREE IDAHOHARBORSIDE FINANCIAL CENTER
FUND CLASS IPLAZA 2 3RD FL
JERSEY CITY NJ 07311
 
DELAWARE TAX-PERSHING LLC4,747,238.45712.14%
FREE MINNESOTA1 PERSHING PLAZA
FUND CLASS AJERSEY CITY NJ 07399-0002
 
DELAWARE TAX-FIRST CLEARING LLC2,793,109.2057.14%
FREE MINNESOTASPECIAL CUSTODY ACCT FOR THE
FUND CLASS AEXCLUSIVE BENEFIT OF CUSTOMER
2801 MARKET ST
SAINT LOUIS MO 63103-2523



Table of Contents

Fund Name and Class      Shareholders Name and Address      Total Shares      Percentage
DELAWARE TAX-NATIONAL FINANCIAL2,371,169.7426.06%
FREE MINNESOTASERVICES LLC
FUND CLASS A(FBO) OUR CUSTOMERS  
ATTN MUTUAL FUNDS
DEPARTMENT
 499 WASHINGTON BLVD 4TH FLOOR
JERSEY CITY NJ 07310
 
DELAWARE TAX-PERSHING LLC510,578.23615.23%
FREE MINNESOTA1 PERSHING PLAZA
FUND CLASS CJERSEY CITY NJ 07399-0002
 
DELAWARE TAX-FIRST CLEARING LLC272,205.2818.12%
FREE MINNESOTASPECIAL CUSTODY ACCT FOR THE
FUND CLASS CEXCLUSIVE BENEFIT OF CUSTOMER
2801 MARKET ST
SAINT LOUIS MO 63103-2523
 
DELAWARE TAX-UBS WM USA244,324.9157.29%
FREE MINNESOTAOMNI ACCOUNT M/F
FUND CLASS CATTN DEPARTMENT MANAGER
499 WASHINGTON BLVD FL 9
JERSEY CITY NJ 07310-2055
 
DELAWARE TAX-MLPF&S FOR THE SOLE172,689.4565.15%
FREE MINNESOTABENEFIT OF ITS CUSTOMERS
FUND CLASS CATTENTION: FUND ADMIN SEC
4800 DEER LAKE DRIVE EAST, 2ND FL
JACKSONVILLE FL 32246-6484
 
DELAWARE TAX-UBS WM USA830,226.89542.00%
FREE MINNESOTAOMNI ACCOUNT M/F
FUND CLASS IATTN DEPARTMENT MANAGER
499 WASHINGTON BLVD FL 9
JERSEY CITY NJ 07310-2055
 
DELAWARE TAX-NATIONAL FINANCIAL605,623.57930.64%
FREE MINNESOTASERVICES LLC
FUND CLASS I(FBO) OUR CUSTOMERS
ATTN MUTUAL FUNDS
DEPARTMENT
499 WASHINGTON BLVD 4TH FLOOR
JERSEY CITY NJ 07310
 
DELAWARE TAX-MLPF&S FOR THE SOLE317,338.90916.05%
FREE MINNESOTABENEFIT OF ITS CUSTOMERS
FUND CLASS IATTENTION: FUND ADMIN SEC
4800 DEER LAKE DRIVE EAST, 2ND FL
JACKSONVILLE FL 32246-6484
 
DELAWARE TAX-MORGAN STANLEY SMITH BARNEY101,462.7685.13%
FREE MINNESOTAHARBORSIDE FINANCIAL CENTER
FUND CLASS IPLAZA 2 3RD FL
JERSEY CITY NJ 07311



Table of Contents

Fund Name and Class      Shareholders Name and Address      Total Shares      Percentage
DELAWARE TAX-PERSHING LLC1,904,807.99224.55%
FREE MINNESOTA1 PERSHING PLAZA
INT FUNDJERSEY CITY NJ 07399-0002  
CLASS A
 
DELAWARE TAX-LPL FINANCIAL796,278.01610.26%
FREE MINNESOTA--OMNIBUS CUSTOMER
INT FUNDACCOUNT—
CLASS AATTN: LINDSAY O’TOOLE
 9785 TOWNE CENTRE DR
SAN DIEGO CA 92121
 
DELAWARE TAX-FIRST CLEARING LLC696,241.8268.97%
FREE MINNESOTASPECIAL CUSTODY ACCT FOR THE
INT FUNDEXCLUSIVE BENEFIT OF CUSTOMER
CLASS A2801 MARKET ST
SAINT LOUIS MO 63103-2523
 
DELAWARE TAX-MORGAN STANLEY SMITH BARNEY392,454.5335.06%
FREE MINNESOTAHARBORSIDE FINANCIAL CENTER
INT FUNDPLAZA 2 3RD FL
CLASS AJERSEY CITY NJ 07311
 
DELAWARE TAX-FIRST CLEARING LLC221,280.30520.34%
FREE MINNESOTASPECIAL CUSTODY ACCT FOR THE
INT FUNDEXCLUSIVE BENEFIT OF CUSTOMER
CLASS C2801 MARKET ST
SAINT LOUIS MO 63103-2523
 
DELAWARE TAX-PERSHING LLC157,438.42614.47%
FREE MINNESOTA1 PERSHING PLAZA
INT FUNDJERSEY CITY NJ 07399-0002
CLASS C
 
DELAWARE TAX-UBS WM USA81,042.7347.45%
FREE MINNESOTAOMNI ACCOUNT M/F
INT FUNDATTN DEPARTMENT MANAGER
CLASS C499 WASHINGTON BLVD FL 9
JERSEY CITY NJ 07310-2055
 
DELAWARE TAX-CHARLES SCHWAB & CO INC72,455.7436.66%
FREE MINNESOTASPECIAL CUSTODY ACCT
INT FUNDFBO CUSTOMERS
CLASS CATTN MUTUAL FUNDS
211 MAIN ST
SAN FRANCISCO CA 94105-1905
 
DELAWARE TAX-NATIONAL FINANCIAL68,763.7986.32%
FREE MINNESOTASERVICES LLC
INT FUND(FBO) OUR CUSTOMERS
CLASS CATTN MUTUAL FUNDS
DEPARTMENT
499 WASHINGTON BLVD 4TH FLOOR
JERSEY CITY NJ 07310



Table of Contents

Fund Name and Class      Shareholders Name and Address      Total Shares      Percentage
DELAWARE TAX-MORGAN STANLEY SMITH BARNEY53,859.78422.93%
FREE MINNESOTAHARBORSIDE FINANCIAL CENTER 
INT FUNDPLAZA 2 3RD FL 
CLASS IJERSEY CITY NJ 07311
 
DELAWARE TAX-UBS WM USA27,710.50411.79%
FREE MINNESOTAOMNI ACCOUNT M/F
INT FUNDATTN DEPARTMENT MANAGER
CLASS I499 WASHINGTON BLVD FL 9
JERSEY CITY NJ 07310-2055
 
DELAWARE TAX-MLPF&S FOR THE SOLE24,625.26810.48%
FREE MINNESOTABENEFIT OF ITS CUSTOMERS
INT FUNDATTENTION: FUND ADMIN SEC
CLASS I4800 DEER LAKE DRIVE EAST, 2ND FL
JACKSONVILLE FL 32246-6484
 
DELAWARE TAX-LPL FINANCIAL14,371.9246.12%
FREE MINNESOTA--OMNIBUS CUSTOMER ACCOUNT--
INT FUNDATTN: LINDSAY O’TOOLE
CLASS I9785 TOWNE CENTRE DR
SAN DIEGO CA 92121
 
DELAWARE TAX-ROBERT W BAIRD & CO. INC.44,943.23219.13%
FREE MINNESOTA777 EAST WISCONSIN AVENUE
INT FUNDMILWAUKEE WI 53202-5391
CLASS I
 
DELAWARE TAX-ROBERT W BAIRD & CO. INC.27,913.67011.88%
FREE MINNESOTA777 EAST WISCONSIN AVENUE
INT FUNDMILWAUKEE WI 53202-5391
CLASS I
 
DELAWARE TAX-ROBERT W BAIRD & CO. INC.14,273.3666.08%
FREE MINNESOTA777 EAST WISCONSIN AVENUE
INT FUNDMILWAUKEE WI 53202-5391
CLASS I
 
DELAWARE TAX-ROBERT W BAIRD & CO. INC.12,954.8905.51%
FREE MINNESOTA777 EAST WISCONSIN AVENUE
INT FUNDMILWAUKEE WI 53202-5391
CLASS I
 
DELAWARE TAX-LPL FINANCIAL916,380.60221.72%
FREE NEW YORK--OMNIBUS CUSTOMER ACCOUNT--
FUND CLASS AATTN: LINDSAY O’TOOLE
9785 TOWNE CENTRE DR
SAN DIEGO CA 92121
 
DELAWARE TAX-FIRST CLEARING LLC652,165.95915.46%
FREE NEW YORKSPECIAL CUSTODY ACCT FOR THE
FUND CLASS AEXCLUSIVE BENEFIT OF CUSTOMER
2801 MARKET ST
SAINT LOUIS MO 63103-2523



Table of Contents

Fund Name and Class      Shareholders Name and Address      Total Shares      Percentage
DELAWAREPERSHING LLC485,565.54011.51%
TAX-FREE1 PERSHING PLAZA
NEW YORK FUNDJERSEY CITY NJ 07399-0002
CLASS A
 
DELAWAREMORGAN STANLEY SMITH BARNEY395,923.1169.38%
TAX-FREEHARBORSIDE FINANCIAL CENTER
NEW YORK FUNDPLAZA 2 3RD FL
CLASS AJERSEY CITY NJ 07311
 
DELAWAREMLPF&S FOR THE SOLE255,625.8166.06%
TAX-FREEBENEFIT OF ITS CUSTOMERS
NEW YORK FUNDATTENTION: FUND ADMIN SEC
CLASS A4800 DEER LAKE DRIVE EAST, 2ND FL
JACKSONVILLE FL 32246-6484
 
DELAWAREMLPF&S FOR THE SOLE860,776.77754.06%
TAX-FREEBENEFIT OF ITS CUSTOMERS
NEW YORK FUNDATTENTION: FUND ADMIN SEC
CLASS C4800 DEER LAKE DRIVE EAST, 2ND FL
JACKSONVILLE FL 32246-6484
 
DELAWAREMORGAN STANLEY SMITH BARNEY213,758.22013.42%
TAX-FREEHARBORSIDE FINANCIAL CENTER
NEW YORK FUNDPLAZA 2 3RD FL
CLASS CJERSEY CITY NJ 07311
 
DELAWAREFIRST CLEARING LLC130,127.4718.17%
TAX-FREESPECIAL CUSTODY ACCT FOR THE
NEW YORK FUNDEXCLUSIVE BENEFIT OF CUSTOMER
CLASS C2801 MARKET ST
SAINT LOUIS MO 63103-2523
 
DELAWAREUBS WM USA129,220.3408.12%
TAX-FREEOMNI ACCOUNT M/F
NEW YORK FUNDATTN DEPARTMENT MANAGER
CLASS C499 WASHINGTON BLVD FL 9
JERSEY CITY NJ 07310-2055
 
DELAWAREUBS WM USA570,233.40967.03%
TAX-FREEOMNI ACCOUNT M/F
NEW YORK FUNDATTN DEPARTMENT MANAGER
CLASS I499 WASHINGTON BLVD FL 9
JERSEY CITY NJ 07310-2055
 
DELAWAREMORGAN STANLEY SMITH BARNEY151,475.03417.81%
TAX-FREEHARBORSIDE FINANCIAL CENTER
NEW YORK FUNDPLAZA 2 3RD FL
CLASS IJERSEY CITY NJ 07311
 
DELAWAREMLPF&S FOR THE SOLE128,012.17315.05%
TAX-FREEBENEFIT OF ITS CUSTOMERS
NEW YORK FUNDATTENTION: FUND ADMIN SEC
CLASS I4800 DEER LAKE DRIVE EAST, 2ND FL
JACKSONVILLE FL 32246-6484



Table of Contents

Fund Name and Class      Shareholders Name and Address      Total Shares      Percentage
DELAWARENATIONAL FINANCIAL6,051,932.43511.05%
TAX-FREESERVICES LLC
PENNSYLVANIA(FBO) OUR CUSTOMERS
FUND CLASS AATTN MUTUAL FUNDS
DEPARTMENT
499 WASHINGTON BLVD 4TH FLOOR
JERSEY CITY NJ 07310
 
DELAWAREFIRST CLEARING LLC5,913,991.54010.79%
TAX-FREESPECIAL CUSTODY ACCT FOR THE
PENNSYLVANIAEXCLUSIVE BENEFIT OF CUSTOMER
FUND CLASS A2801 MARKET ST
SAINT LOUIS MO 63103-2523
 
DELAWAREMORGAN STANLEY SMITH BARNEY4,017,901.7447.33%
TAX-FREEHARBORSIDE FINANCIAL CENTER
PENNSYLVANIAPLAZA 2 3RD FL
FUND CLASS AJERSEY CITY NJ 07311
 
DELAWARECHARLES SCHWAB & CO INC3,718,131.9316.79%
TAX-FREESPECIAL CUSTODY ACCT
PENNSYLVANIAFBO CUSTOMERS
FUND CLASS AATTN MUTUAL FUNDS
211 MAIN ST
SAN FRANCISCO CA 94105-1905
 
DELAWAREMORGAN STANLEY SMITH BARNEY653,529.69916.13%
TAX-FREEHARBORSIDE FINANCIAL CENTER
PENNSYLVANIAPLAZA 2 3RD FL
FUND CLASS CJERSEY CITY NJ 07311
 
DELAWAREFIRST CLEARING LLC467,489.28811.54%
TAX-FREESPECIAL CUSTODY ACCT FOR THE
PENNSYLVANIAEXCLUSIVE BENEFIT OF CUSTOMER
FUND CLASS C2801 MARKET ST
SAINT LOUIS MO 63103-2523
 
DELAWAREMLPF&S FOR THE SOLE428,304.86510.57%
TAX-FREEBENEFIT OF ITS CUSTOMERS
PENNSYLVANIAATTENTION: FUND ADMIN SEC
FUND CLASS C4800 DEER LAKE DRIVE EAST, 2ND FL
JACKSONVILLE FL 32246-6484
 
DELAWARELPL FINANCIAL403,021.3679.95%
TAX-FREE--OMNIBUS CUSTOMER ACCOUNT--
PENNSYLVANIAATTN: LINDSAY O’TOOLE
FUND CLASS C9785 TOWNE CENTRE DR
SAN DIEGO CA 92121
 
DELAWARERAYMOND JAMES294,350.0007.27%
TAX-FREEOMNIBUS FOR MUTUAL FUNDS
PENNSYLVANIAATTN COURTNEY WALLER
FUND CLASS C880 CARILLON PARKWAY
ST PETERSBURG FL 33713



Table of Contents

Fund Name and Class      Shareholders Name and Address      Total Shares      Percentage
DELAWARECHARLES SCHWAB & CO INC263,599.5366.51%
TAX-FREESPECIAL CUSTODY ACCT
PENNSYLVANIAFBO CUSTOMERS
FUND CLASS CATTN MUTUAL FUNDS
211 MAIN ST
SAN FRANCISCO CA 94105-1905
 
DELAWAREPERSHING LLC212,294.9255.24%
TAX-FREE1 PERSHING PLAZA
PENNSYLVANIAJERSEY CITY NJ 07399-0002
FUND CLASS C
 
DELAWAREMLPF&S FOR THE SOLE287,920.77931.45%
TAX-FREEBENEFIT OF ITS CUSTOMERS
PENNSYLVANIAATTENTION: FUND ADMIN SEC
FUND CLASS I4800 DEER LAKE DRIVE EAST, 2ND FL
JACKSONVILLE FL 32246-6484
 
DELAWAREUBS WM USA226,476.51324.74%
TAX-FREEOMNI ACCOUNT M/F
PENNSYLVANIAATTN DEPARTMENT MANAGER
FUND CLASS I499 WASHINGTON BLVD FL 9
JERSEY CITY NJ 07310-2055
 
DELAWAREMORGAN STANLEY SMITH BARNEY198,383.05521.67%
TAX-FREEHARBORSIDE FINANCIAL CENTER
PENNSYLVANIAPLAZA 2 3RD FL
FUND CLASS IJERSEY CITY NJ 07311
 
DELAWARERAYMOND JAMES101,853.74011.12%
TAX-FREEOMNIBUS FOR MUTUAL FUNDS
PENNSYLVANIAATTN COURTNEY WALLER
FUND CLASS I880 CARILLON PARKWAY
ST PETERSBURG FL 33713
 
DELAWARENATIONAL FINANCIAL10,124,418.14324.23%
TAX-FREE USASERVICES LLC
FUND CLASS A(FBO) OUR CUSTOMERS
ATTN MUTUAL FUNDS
DEPARTMENT
499 WASHINGTON BLVD 4TH FLOOR
JERSEY CITY NJ 07310
 
DELAWAREFIRST CLEARING LLC4,007,945.5689.59%
TAX-FREE USASPECIAL CUSTODY ACCT FOR THE
FUND CLASS AEXCLUSIVE BENEFIT OF CUSTOMER
2801 MARKET ST
SAINT LOUIS MO 63103-2523
 
DELAWAREMORGAN STANLEY SMITH BARNEY2,736,715.8586.55%
TAX-FREE USAHARBORSIDE FINANCIAL CENTER
FUND CLASS APLAZA 2 3RD FL
JERSEY CITY NJ 07311



Table of Contents

Fund Name and Class      Shareholders Name and Address      Total Shares      Percentage
DELAWAREMLPF&S FOR THE SOLE697,828.83027.65%
TAX-FREE USABENEFIT OF ITS CUSTOMERS
FUND CLASS CATTENTION: FUND ADMIN SEC
4800 DEER LAKE DRIVE EAST, 2ND FL
JACKSONVILLE FL 32246-6484
 
DELAWAREMORGAN STANLEY SMITH BARNEY301,782.70611.96%
TAX-FREE USAHARBORSIDE FINANCIAL CENTER
FUND CLASS CPLAZA 2 3RD FL
JERSEY CITY NJ 07311
 
DELAWAREFIRST CLEARING LLC229,360.7519.09%
TAX-FREE USASPECIAL CUSTODY ACCT FOR THE
FUND CLASS CEXCLUSIVE BENEFIT OF CUSTOMER
2801 MARKET ST
SAINT LOUIS MO 63103-2523
 
DELAWARELPL FINANCIAL195,838.2757.76%
TAX-FREE USA--OMNIBUS CUSTOMER ACCOUNT--
FUND CLASS CATTN: LINDSAY O’TOOLE
9785 TOWNE CENTRE DR
SAN DIEGO CA 92121
 
DELAWAREUBS WM USA183,512.2887.27%
TAX-FREE USAOMNI ACCOUNT M/F
FUND CLASS CATTN DEPARTMENT MANAGER
499 WASHINGTON BLVD FL 9
JERSEY CITY NJ 07310-2055
 
DELAWARECHARLES SCHWAB & CO INC174,513.1406.91%
TAX-FREE USASPECIAL CUSTODY ACCT
FUND CLASS CFBO CUSTOMERS
ATTN MUTUAL FUNDS
211 MAIN ST
SAN FRANCISCO CA 94105-1905
 
DELAWARENATIONAL FINANCIAL145,340.8755.76%
TAX-FREE USASERVICES LLC
FUND CLASS C(FBO) OUR CUSTOMERS
ATTN MUTUAL FUNDS
DEPARTMENT
499 WASHINGTON BLVD 4TH FLOOR
JERSEY CITY NJ 07310
 
DELAWAREMLPF&S FOR THE SOLE648,816.99429.86%
TAX-FREE USABENEFIT OF ITS CUSTOMERS
FUND CLASS IATTENTION: FUND ADMIN SEC
4800 DEER LAKE DRIVE EAST, 2ND FL
JACKSONVILLE FL 32246-6484
 
DELAWAREMORGAN STANLEY SMITH BARNEY455,062.57120.94%
TAX-FREE USAHARBORSIDE FINANCIAL CENTER
FUND CLASS IPLAZA 2 3RD FL
JERSEY CITY NJ 07311



Table of Contents

Fund Name and Class      Shareholders Name and Address      Total Shares      Percentage
DELAWAREFIRST CLEARING LLC314,905.65214.49%
TAX-FREE USASPECIAL CUSTODY ACCT FOR THE
FUND CLASS IEXCLUSIVE BENEFIT OF CUSTOMER
2801 MARKET ST
SAINT LOUIS MO 63103-2523
 
DELAWARELPL FINANCIAL275,140.88812.66%
TAX-FREE USA--OMNIBUS CUSTOMER ACCOUNT--
FUND CLASS IATTN: LINDSAY O’TOOLE
9785 TOWNE CENTRE DR
SAN DIEGO CA 92121
 
DELAWAREUBS WM USA222,330.65510.23%
TAX-FREE USAOMNI ACCOUNT M/F
FUND CLASS IATTN DEPARTMENT MANAGER
499 WASHINGTON BLVD FL 9
JERSEY CITY NJ 07310-2055
 
DELAWARELPL FINANCIAL3,519,606.61518.30%
TAX-FREE USA--OMNIBUS CUSTOMER ACCOUNT--
INTERMEDIATEATTN: LINDSAY O’TOOLE
CLASS A9785 TOWNE CENTRE DR
SAN DIEGO CA 92121
 
DELAWARENATIONAL FINANCIAL3,234,244.40316.81%
TAX-FREE USASERVICES LLC
INTERMEDIATE(FBO) OUR CUSTOMERS
CLASS AATTN MUTUAL FUNDS
DEPARTMENT
499 WASHINGTON BLVD 4TH FLOOR
JERSEY CITY NJ 07310
 
DELAWARECHARLES SCHWAB & CO INC1,648,085.5288.57%
TAX-FREE USASPEC CUSTODY ACCT FOR THE EXCL
INTERMEDIATEBNFT OF CUSTS ATTN MUT FDS
CLASS A211 MAIN ST
SAN FRANCISCO CA 94105-1905
 
DELAWAREFIRST CLEARING LLC1,501,498.7227.81%
TAX-FREE USASPECIAL CUSTODY ACCT FOR THE
INTERMEDIATEEXCLUSIVE BENEFIT OF CUSTOMER
CLASS A2801 MARKET ST
SAINT LOUIS MO 63103-2523
 
DELAWAREPERSHING LLC1,104,620.1265.74%
TAX-FREE USA1 PERSHING PLAZA
INTERMEDIATEJERSEY CITY NJ 07399-0002
CLASS A
 
DELAWAREMLPF&S FOR THE SOLE1,739,323.75139.74%
TAX-FREE USABENEFIT OF ITS CUSTOMERS
INTERMEDIATEATTENTION: FUND ADMIN SEC
CLASS C4800 DEER LAKE DRIVE EAST, 2ND FL
 JACKSONVILLE FL 32246-6484



Table of Contents

Fund Name and Class      Shareholders Name and Address      Total Shares      Percentage
DELAWAREMORGAN STANLEY SMITH BARNEY582,140.38213.30%
TAX-FREE USAHARBORSIDE FINANCIAL CENTER
INTERMEDIATEPLAZA 2 3RD FL
CLASS CJERSEY CITY NJ 07311
 
DELAWARELPL FINANCIAL558,240.37312.76%
TAX-FREE USA--OMNIBUS CUSTOMER ACCOUNT--
INTERMEDIATEATTN: LINDSAY O’TOOLE
CLASS C9785 TOWNE CENTRE DR
SAN DIEGO CA 92121
 
DELAWAREFIRST CLEARING LLC545,886.95112.47%
TAX-FREE USASPECIAL CUSTODY ACCT FOR THE
INTERMEDIATEEXCLUSIVE BENEFIT OF CUSTOMER
CLASS C2801 MARKET ST
SAINT LOUIS MO 63103-2523
 
DELAWAREMLPF&S FOR THE SOLE19,941,891.59052.13%
TAX-FREE USABENEFIT OF ITS CUSTOMERS
INTERMEDIATEATTENTION: FUND ADMIN SEC
CLASS I4800 DEER LAKE DRIVE EAST, 2ND FL
JACKSONVILLE FL 32246-6484
 
DELAWARENATIONAL FINANCIAL4,595,144.42912.01%
TAX-FREE USASERVICES LLC
INTERMEDIATE(FBO) OUR CUSTOMERS
CLASS IATTN MUTUAL FUNDS
DEPARTMENT
499 WASHINGTON BLVD 4TH FLOOR
JERSEY CITY NJ 07310
 
DELAWARELPL FINANCIAL4,500,494.71311.76%
TAX-FREE USA--OMNIBUS CUSTOMER ACCOUNT--
INTERMEDIATEATTN: LINDSAY O’TOOLE
CLASS I9785 TOWNE CENTRE DR
SAN DIEGO CA 92121
 
DELAWARECHARLES SCHWAB & CO INC2,602,176.8566.80%
TAX-FREE USASPEC CUSTODY ACCT FOR THE EXCL
INTERMEDIATEBNFT OF CUSTS ATTN MUT FDS
CLASS I211 MAIN ST
SAN FRANCISCO CA 94105-1905
 
DELAWAREMORGAN STANLEY SMITH BARNEY1,982,103.5475.18%
TAX-FREE USAHARBORSIDE FINANCIAL CENTER
INTERMEDIATEPLAZA 2 3RD FL
CLASS IJERSEY CITY NJ 07311
 
DELAWARE U.S.CHARLES SCHWAB & CO INC1,512,650.96810.24%
GROWTH FUNDSPEC CUSTODY ACCT FOR THE EXCL
CLASS ABNFT OF CUSTS ATTN MUT FDS
211 MAIN ST
 SAN FRANCISCO CA 94105-1905



Table of Contents

Fund Name and Class      Shareholders Name and Address      Total Shares      Percentage
DELAWARE U.S.NATIONAL FINANCIAL1,247,802.3688.45%
GROWTH FUNDSERVICES LLC
CLASS A(FBO) OUR CUSTOMERS
ATTN MUTUAL FUNDS
DEPARTMENT
499 WASHINGTON BLVD 4TH FLOOR
JERSEY CITY NJ 07310
 
DELAWARE U.S.MLPF&S FOR THE SOLE999,055.5946.76%
GROWTH FUNDBENEFIT OF ITS CUSTOMERS
CLASS AATTENTION: FUND ADMIN SEC
4800 DEER LAKE DRIVE EAST, 2ND FL
JACKSONVILLE FL 32246-6484
 
DELAWARE U.S.MLPF&S FOR THE SOLE1,066,014.39826.39%
GROWTH FUNDBENEFIT OF ITS CUSTOMERS
CLASS CATTENTION: FUND ADMIN SEC
4800 DEER LAKE DRIVE EAST, 2ND FL
JACKSONVILLE FL 32246-6484
 
DELAWARE U.S.MORGAN STANLEY SMITH BARNEY646,114.77815.99%
GROWTH FUNDHARBORSIDE FINANCIAL CENTER
CLASS CPLAZA 2 3RD FL
JERSEY CITY NJ 07311
 
DELAWARE U.S.FIRST CLEARING LLC577,242.61614.29%
GROWTH FUNDSPECIAL CUSTODY ACCT FOR THE
CLASS CEXCLUSIVE BENEFIT OF CUSTOMER
2801 MARKET ST
SAINT LOUIS MO 63103-2523
 
DELAWARE U.S.RAYMOND JAMES564,820.20613.98%
GROWTH FUNDOMNIBUS FOR MUTUAL FUNDS
CLASS CATTN COURTNEY WALLER
880 CARILLON PARKWAY
ST PETERSBURG FL 33713
 
DELAWARE U.S.PERSHING LLC235,525.7655.83%
GROWTH FUND1 PERSHING PLAZA
CLASS CJERSEY CITY NJ 07399-0002
 
DELAWARE U.S.WELLS FARGO BANK21,783,221.30719.35%
GROWTH FUNDFBO WELLS FARGO BANK PLAN
CLASS I1525 WEST WT HARRIS BLVD
CHARLOTTE, NC 28288-1151
 
DELAWARE U.S.EDWARD D JONES AND CO19,406,408.66317.23%
GROWTH FUNDFOR THE BENEFIT OF CUSTOMERS
CLASS I12555 MANCHESTER ROAD
ST LOUIS MO 63131-3710
 
DELAWARE U.S.FIRST CLEARING LLC14,795,234.08113.14%
GROWTH FUNDSPECIAL CUSTODY ACCT FOR THE
CLASS IEXCLUSIVE BENEFIT OF CUSTOMER
2801 MARKET ST
SAINT LOUIS MO 63103-2523



Table of Contents

Fund Name and Class      Shareholders Name and Address      Total Shares      Percentage
DELAWARE U.S.NATIONAL FINANCIAL9,833,863.5498.73%
GROWTH FUNDSERVICES LLC
CLASS I(FBO) OUR CUSTOMERS
ATTN MUTUAL FUNDS
DEPARTMENT
499 WASHINGTON BLVD 4TH FLOOR
JERSEY CITY NJ 07310
 
DELAWARE U.S.MORGAN STANLEY SMITH BARNEY8,883,050.3337.89%
GROWTH FUNDHARBORSIDE FINANCIAL CENTER
CLASS IPLAZA 2 3RD FL
JERSEY CITY NJ 07311
 
DELAWARE U.S.WELLS FARGO BANK NA11,524,758.05210.23%
GROWTH FUNDFBO OMNIBUS ACCOUNT
CLASS IREINV/REINV
PO BOX 1533
MINNEAPOLIS MN 55480-1533
 
DELAWARE U.S.GREAT-WEST TRUST COMPANY122,649.83712.50%
GROWTH FUNDLLC TTEE EMPLOYEE BENEFITS
CLASS RCLIENTS 401K
8515 E ORCHARD RD 2T2
GREENWOOD VILLAGE CO 80111
 
DELAWARE U.S.RELIANCE TRUST COMPANY85,748.0688.74%
GROWTH FUNDFBO MASSMUTUAL DMF
CLASS RP.O. BOX 48529
ATLANTA GA 30362
 
DELAWARE U.S.MG TRUST COMPANY TRUSTEE54,761.9255.58%
GROWTH FUNDIIF DATA SOLUTIONS, INC.
CLASS R717 17TH STREET SUITE 1300
DENVER CO 80202
 
DELAWARE U.S.MLPF&S FOR THE SOLE275,041.99228.04%
GROWTH FUNDBENEFIT OF ITS CUSTOMERS
CLASS RATTENTION: FUND ADMIN SEC
4800 DEER LAKE DRIVE EAST, 2ND FL
JACKSONVILLE FL 32246-6484
 
DELAWARENATIONAL FINANCIAL36,128,514.81726.17%
VALUE® FUNDSERVICES LLC
CLASS A(FBO) OUR CUSTOMERS
ATTN MUTUAL FUNDS
DEPARTMENT
499 WASHINGTON BLVD 4TH FLOOR
JERSEY CITY NJ 07310
 
DELAWAREMLPF&S FOR THE SOLE12,200,657.2968.84%
VALUE FUNDBENEFIT OF ITS CUSTOMERS
CLASS AATTENTION: FUND ADMIN SEC
4800 DEER LAKE DRIVE EAST, 2ND FL
JACKSONVILLE FL 32246-6484



Table of Contents

Fund Name and Class      Shareholders Name and Address      Total Shares      Percentage
DELAWAREMLPF&S FOR THE SOLE11,285,247.06244.81%
VALUE FUNDBENEFIT OF ITS CUSTOMERS
CLASS CATTENTION: FUND ADMIN SEC
4800 DEER LAKE DRIVE EAST, 2ND FL
JACKSONVILLE FL 32246-6484
 
DELAWAREMORGAN STANLEY SMITH BARNEY3,158,261.55112.54%
VALUE FUNDHARBORSIDE FINANCIAL CENTER
CLASS CPLAZA 2 3RD FL
JERSEY CITY NJ 07311
 
DELAWAREFIRST CLEARING LLC2,363,701.4749.38%
VALUE FUNDSPECIAL CUSTODY ACCT FOR THE
CLASS CEXCLUSIVE BENEFIT OF CUSTOMER
2801 MARKET ST
SAINT LOUIS MO 63103-2523
 
DELAWARENATIONAL FINANCIAL88,503,046.64238.07%
VALUE FUNDSERVICES LLC
CLASS I(FBO) OUR CUSTOMERS
ATTN MUTUAL FUNDS
DEPARTMENT
499 WASHINGTON BLVD 4TH FLOOR
JERSEY CITY NJ 07310
 
DELAWAREFIRST CLEARING LLC57,051,173.93824.54%
VALUE FUNDSPECIAL CUSTODY ACCT FOR THE
CLASS IEXCLUSIVE BENEFIT OF CUSTOMER
2801 MARKET ST
SAINT LOUIS MO 63103-2523
 
DELAWAREMLPF&S FOR THE SOLE25,987,802.65911.18%
VALUE FUNDBENEFIT OF ITS CUSTOMERS
CLASS IATTENTION: FUND ADMIN SEC
4800 DEER LAKE DRIVE EAST, 2ND FL
JACKSONVILLE FL 32246-6484
 
DELAWAREMORGAN STANLEY SMITH BARNEY21,137,525.1629.09%
VALUE FUNDHARBORSIDE FINANCIAL CENTER
CLASS IPLAZA 2 3RD FL
JERSEY CITY NJ 07311
 
DELAWARERELIANCE TRUST COMPANY318,632.28312.47%
VALUE FUNDFBO MASSMUTUAL DMF
CLASS RP.O. BOX 48529
ATLANTA GA 30362
 
DELAWAREPIMS/PRUDENTIAL RETIREMENT201,096.9067.87%
VALUE FUNDAS NOMINEE FOR THE TTEE/CUST PL
CLASS RCATHOLIC DIOCESE OF
ARLINGTON
200 NORTH GLEBE ROAD SUITE 600
ARLINGTON VA 22203



Table of Contents

Fund Name and Class      Shareholders Name and Address      Total Shares      Percentage
DELAWAREMLPF&S FOR THE SOLE834,989.09032.68%
VALUE® FUNDBENEFIT OF ITS CUSTOMERS
CLASS RATTENTION: FUND ADMIN SEC
4800 DEER LAKE DRIVE EAST, 2ND FL
JACKSONVILLE FL 32246-6484
 
DELAWARESTATE STREET BANK TTEE465,981.20118.24%
VALUE FUNDCUST FBO ADP ACCESS 401K
CLASS RPRODUCT
1 LINCOLN ST
BOSTON MA 02111-2901
 
THE FOCUS SMID-CAPSEI PRIVATE TRUST COMPANY153,474.5595.88%
GROWTH EQUITYC/O STATE STREET
PORTFOLIOFBO CHF INTL LONG TERM
DPT CLASSINVESTMENT
MGR 961 ROCKEFELLER & CO
ONE FREEDOM VALLEY DR
OAKS PA 19456
 
THE FOCUS SMID-CAPTHE PHILADELPHIA FOUNDATION245,162.6089.40%
GROWTH EQUITY1234 MARKET ST STE 1800
PORTFOLIOPHILADELPHIA PA 19107-3792
DPT CLASS
 
THE FOCUS SMID-CAPTHE RONALD REAGAN230,577.0818.84%
GROWTH EQUITYPRESIDENTIAL FOUNDATION &
PORTFOLIOINSTITUTE - ENDOWMENT
DPT CLASS40 PRESIDENTIAL DR
SIMI VALLEY CA 93065-0699
 
THE FOCUS SMID-CAPNORTHERN TRUST CUSTODIAN576,112.80522.09%
GROWTH EQUITYFBO CM INVESTMENTS LLC
PORTFOLIOPO BOX 92956
DPT CLASSCHICAGO IL 60675-2956
 
THE FOCUS SMID-CAPNORTHERN TRUST CO310,193.24611.89%
GROWTH EQUITYCUST CONGREGATION OF THE
PORTFOLIOMISSION INTERNATIONAL FUND
DPT CLASSPO BOX 92956
CHICAGO IL 60675-2956
 
THE FOCUS SMID-CAPSAHARA INVESTMENTS LLC602,375.70323.09%
GROWTH EQUITY1 N FRANKLIN ST STE 2360
PORTFOLIOCHICAGO IL 60606-3545
DPT CLASS
 
THE CORE PLUS FIXEDMAC & CO1,410,261.49712.52%
INCOME PORTFOLIOFBO PB&T
DPT CLASSATTN MUTUAL FUND OPERATIONS
525 WILLIAM PENN PLACE
PITTSBURGH PA 15230-3198



Table of Contents

Fund Name and Class      Shareholders Name and Address      Total Shares      Percentage
THE  CORE PLUS FIXEDTHE NORTHERN TRUST CO3,495,682.33631.03%
INCOME PORTFOLIOTRUSTEE
DPT CLASSFBO GEORGIA GULF
50 S LA SALLE ST
CHICAGO IL 60603-1003
 
THE  CORE PLUS FIXEDNORTHERN CALIFORNIA3,117,961.48827.68%
INCOME PORTFOLIOCARPENTERS REGIONAL COUNCIL
DPT CLASSLABOR ORGANIZATION ASSETS
265 HEGENBERGER RD STE 200
OAKLAND CA 94621-1480
 
THE  CORE PLUS FIXEDPENSION FUND IBEW 96716,941.7426.36%
INCOME PORTFOLIODEFINED BENEFIT PLAN
DPT CLASSPO BOX 5817
WALLINGFORD CT 06492-7617
 
THE  CORE PLUS FIXEDUMWA SELECTIVE STRIKE FUND913,705.5848.11%
INCOME PORTFOLIO18354 QUANTICO GATEWAY DR
DPT CLASSSTE 200
TRIANGLE VA 22172-1779
 
THE  CORE PLUS FIXEDSHEET METAL WORKERS LOCAL852,559.1107.57%
INCOME PORTFOLIOUNION NO 17 INSURANCE FUND
DPT CLASS1157 ADAMS ST 1ST FLOOR
DORCHESTER MA 02124
 
THE EMERGINGSTATE UNIVERSITIES RETIREMENT6,408,738.77721.55%
MARKETS PORTFOLIOSYSTEM OF ILLINOIS
DPT CLASS1901 FOX DR
CHAMPAIGN IL 61820-7333
 
THE EMERGINGMASTER TRUST BETWEEN PFIZER4,448,824.94514.96%
MARKETS PORTFOLIOINC AND THE NORTHERN TRUST CO
DPT CLASS235 E 42ND ST
NEW YORK NY 10017-5703
 
THE EMERGINGSEI PRIVATE TRUST COMPANY4,217,107.32714.18%
MARKETS PORTFOLIOC/O SUN TRUST BANK FBO AMA
DPT CLASSATTN: MUTUAL FUNDS
ONE FREEDOM VALLEY DRIVE
OAKS PA 19456-9989
 
THE EMERGINGSEI PRIVATE TRUST CO2,255,043.3277.58%
MARKETS PORTFOLIOC/O SUNTRUST BANK FBO AMA
DPT CLASSATTN: MUTUAL FUNDS
1 FREEDOM VALLEY DRIVE
OAKS PA 19456-9989
 
THE EMERGINGTHE SPENCER FOUNDATION1,976,279.2416.64%
MARKETS PORTFOLIO625 N MICHIGAN AVE STE 1600
DPT CLASSCHICAGO IL 60611-3109



Table of Contents

Fund Name and Class      Shareholders Name and Address      Total Shares      Percentage
THE EMERGINGMOORINGS CAPITAL LLC3,710,691.35412.47%
MARKETS PORTFOLIO701 GREEN VALLEY RD STE 300
DPT CLASSGREENSBORO NC 27408-7096
 
THE EMERGINGSTATE STREET BANK AND TRUST CO1,449,792.08032.16%
MARKETSTTEE ONE GAS INC
PORTFOLIO IIMASTER TRUST FOR DEFINED
DPT CLASSBENEFIT PLANS
1200 CROWN COLONY DR
QUINCY MA 02169-0938
 
THE EMERGINGASSOCIATED SULPICIANS527,736.72711.71%
MARKETSOF THE US - ADMINISTRATION
PORTFOLIO II& SERVICES
DPT CLASS5408 ROLAND AVE
BALTIMORE MD 21210-1988
 
THE EMERGINGSOCIETY OF ST SULPICE263,868.3645.85%
MARKETSFOUNDATION US INC -
PORTFOLIO IIRETIREMENT
DPT CLASS5408 ROLAND AVE
BALTIMORE MD 21210-1988
 
THE EMERGINGRETIREMENT PLAN FOR EMPLOYEES571,984.43812.69%
MARKETSOF ONEOK INC AND SUBSIDIARIES
PORTFOLIO II100 W 5TH ST
DPT CLASSTULSA OK 74103-4279
 
THE EMERGINGTHE NORTHERN TRUST COMPANY326,046.5597.23%
MARKETSCUST FBO PETER NORTON
PORTFOLIO IIUNITRUST
DPT CLASSPO BOX 92956
CHICAGO IL 60675-2956
 
THE EMERGINGMARIANO RIVERA &254,178.5615.64%
MARKETSCLARA RIVERA JT WROS
PORTFOLIO IIRYE NY 10580
DPT CLASS
 
THE HIGH YIELDAMALGAMATED BANK OF1,086,614.4785.23%
BOND PORTFOLIOCHICAGO
DPT CLASSFBO CONSTRUCTION WORKERS
PENSION FUND
LAKE COUNTY & VICINITY
1W MONROE
CHICAGO IL 60603
 
THE HIGH YIELDDESERET MUTUAL BENEFIT2,957,475.33914.23%
BOND PORTFOLIOADMIN AS TRUSTEE FOR DESERET
DPT CLASSMUTUAL EMPLOYEE PENSION
TRUST (FIXED INCOME)
179 SOCIAL HALL AVE, SUITE 100
SALT LAKE CITY UT 84111-1542



Table of Contents

Fund Name and Class      Shareholders Name and Address      Total Shares      Percentage
THE HIGH YIELDSTATE STREET BANK & TRUST2,297,062.01111.05%
BOND PORTFOLIOFBO GEORGIA STATE UNIVERSITY
DPT CLASSFOUNDATION INC
CUST GORDON E DAVIES
PO BOX 3963
ATLANTA GA 30302-3963
 
THE HIGH YIELDBANK OF STOCKTON1,965,948.8979.46%
BOND PORTFOLIOATTN TRUST DEPT
DPT CLASSPO BOX 201014
STOCKTON CA 952011110
 
THE HIGH YIELDMAC & CO1,797,050.8568.64%
BOND PORTFOLIOPUBLIC PENSION
DPT CLASSMUTUAL FUND OPS
PO BOX 3198
PITTSBURGH PA 15230-3198
 
THE HIGH YIELDNORTHERN TRUST1,059,833.0205.10%
BOND PORTFOLIOCUST FBO AURORA HEALTH CARE
DPT CLASSFOUNDATION INC
PO BOX 92956
CHICAGO IL 60675-2956
 
THE HIGH YIELDSAXON & CO1,266,459.8676.09%
BOND PORTFOLIOFBO 20-46-002-6810047
DPT CLASSPO BOX 7780-1888
PHILADELPHIA PA 19182
 
THE HIGH YIELDNORTHERN TRUST AS TRUSTEE1,683,682.9508.10%
BOND PORTFOLIOFBO AURORA HEALTH CARE INC
DPT CLASSPENSION PLAN
PO BOX 92956
CHICAGO IL 60675-2956
 
THE INTERNATIONALNATIONAL FINANCIAL1,725,168.7006.04%
EQUITY PORTFOLIOSERVICES LLC
DPT CLASSFOR THE EXCLUSIVE BENEFIT
OF OUR CUSTOMERS
ATTN MUTUAL FUNDS DEPT FL4
499 WASHINGTON BLVD
JERSEY CITY NJ 07310-2010
 
THE INTERNATIONALWELLS FARGO BANK NA6,647,348.60523.27%
EQUITY PORTFOLIOFBO OMNIBUS ACCOUNT
DPT CLASSCASH/CASH
PO BOX 1533
MINNEAPOLIS MN 55480-1533
 
THE INTERNATIONALMARYLAND PREPAID4,720,009.79316.53%
EQUITY PORTFOLIOCOLLEGE TRUST
DPT CLASS217 E REDWOOD ST STE 1350
BALTIMORE MD 21202-3314



Table of Contents

Fund Name and Class      Shareholders Name and Address      Total Shares      Percentage
THE INTERNATIONALMAC & CO3,745,842.93413.12%
EQUITY PORTFOLIOMUTUAL FUND OPERATIONS
DPT CLASSMUTUAL FUNDS OPS-TC
PO BOX 3198
PITTSBURGH PA 15230-3198
 
THE INTERNATIONALWELLS FARGO BANK NA2,338,069.0498.19%
EQUITY PORTFOLIOFBO OMNIBUS ACCOUNT
DPT CLASSREINV/REINV
PO BOX 1533
MINNEAPOLIS MN 55480-1533
 
THE INTERNATIONALNORTHERN TRUST CO TTEE1,577,103.6345.52%
EQUITY PORTFOLIOFBO UBS FINANCIAL SERVICES INC
DPT CLASSPENSION PLAN TR
PO BOX 92956
CHICAGO IL 60675-2956
 
THE LABOR SELECTLOCAL 804 I.B.T & LOCAL 447 I.A.M.4,654,083.28417.63%
INTERNATIONALUPS MULTI-EMPLOYER
EQUITY PORTFOLIORETIREMENT PLAN
DPT CLASS55 GLENLAKE PKWY NE
ATLANTA GA 30328-3474
 
THE LABOR SELECTMICHIGAN LABORERS2,662,069.07410.08%
INTERNATIONALPENSION FUND
EQUITY PORTFOLIO30700 TELEGRAPH RD STE 2400
DPT CLASSBINGHAM FARMS MI 48025-4534
 
THE LABOR SELECTCOMERICA BANK2,403,171.3549.10%
INTERNATIONALFBO SAN FRANCISCO
EQUITY PORTFOLIOCULINARY BARTENDERS &
DPT CLASSSERVICE EMPLOYEES
PO BOX 75000 M/C 3446
DETROIT MI 48275-0001
 
THE LABOR SELECTINDUSTRICORP & CO1,634,601.2516.19%
INTERNATIONALFBO SHEET METAL #10
EQUITY PORTFOLIOPENSION PLAN
DPT CLASS312 CENTRAL AVE SE STE 508
MINNEAPOLIS MN 55414-1166
 
THE LABOR SELECTNORTHERN TRUST1,619,691.2766.14%
INTERNATIONALCUSTODIAN FBO MIDWEST
EQUITY PORTFOLIOOPERATING ENGINEERS WELFARE
DPT CLASSPO BOX 92956
CHICAGO IL 60675-2956
 
THE LABOR SELECTWACHOVIA BANK1,584,369.9456.00%
INTERNATIONALFBO SMW 10 CORE FUND
EQUITY PORTFOLIO1076 DEFINED BENEFIT PLAN
DPT CLASS1525 W WT HARRIS BLVD
CHARLOTTE NC 28262-8522



Table of Contents

Fund Name and Class      Shareholders Name and Address      Total Shares      Percentage
THE LABOR SELECTIRON WORKERS MID-AMERICA1,466,164.8805.55%
INTERNATIONALPENSION PLAN
EQUITY PORTFOLIO2350 EAST 170TH STREET
DPT CLASSLANSING IL 60438-1000
 
THE LARGE-CAPTHE NORTHERN TRUST CO2,189,642.48412.10%
GROWTH EQUITYAS TRUSTEE
PORTFOLIOFBO GANNETT-DV
DPT CLASS801 S CANAL ST
CHICAGO IL 60607-2994
 
THE LARGE-CAPLISA AND DOUGLAS1,713,754.3799.47%
GROWTH EQUITYGOLDMAN FUND
PORTFOLIOC/O MONTE VISTA
DPT CLASSMANAGEMENT CO
455 MARKET ST STE 1690
SAN FRANCISCO CA 94105-2444
 
THE LARGE-CAPJOHN AND MARCIA GOLDMAN1,358,264.1687.50%
GROWTH EQUITYFOUNDATION
PORTFOLIOC/O MONTE VISTA
DPT CLASSMANAGEMENT CO
455 MARKET ST STE 1690
SAN FRANCISCO CA 94105-2444
 
THE LARGE-CAPTHE BATCHELOR FOUNDATION INC1,414,530.4657.81%
GROWTH EQUITY1680 MICHIGAN AVE PH-1
PORTFOLIOMIAMI BEACH FL 33139-2514
DPT CLASS
 
THE LARGE-CAPUS BANK NA941,384.9075.20%
GROWTH EQUITYFBO SPOKANE EMPLOYEES
PORTFOLIORETIREMENT SYSTEM - DELAWARE
DPT CLASSPO BOX 1787
MILWAUKEE WI 53201-1787
 
THE LARGE-CAPTHE NEWSPAPER GUILD906,989.6355.01%
GROWTH EQUITYINTERNATIONAL PENSION FUND
PORTFOLIO501 3RD STREET NW 6TH FL
DPT CLASSWASHINGTON DC 20001-0000
 
THE LARGE-CAPNORTHERN TRUST CO1,679,744.1489.28%
GROWTH EQUITYFBO SHELBY OPEB
PORTFOLIOCHICAGO IL 60603
DPT CLASS
 
THE LARGE-CAPPINNACLE HEALTH SYSTEM2,358,120.42813.03%
GROWTH EQUITY409 S 2ND ST STE 2B
PORTFOLIOHARRISBURG PA 17104-1612
DPT CLASS



Table of Contents

Fund Name and Class      Shareholders Name and Address      Total Shares      Percentage
THE LARGE-CAPSTATE STREET BANK &459,317.1185.49%
VALUE EQUITYTRUST CO TTEE
PORTFOLIOONE GAS INC
DPT CLASSVEBA MASTER TRUST FOR
COLLECTIVE BARGAINING UNIT
FORMER EMPLOYEES
1200 CROWN COLONY DR
QUINCY MA 02169-0938
 
THE LARGE-CAPCOMMUNITY FOUNDATION OF697,534.5638.34%
VALUE EQUITYGREATER DES MOINES
PORTFOLIO1915 GRAND AVE
DPT CLASSDES MOINES IA 50309-3311
 
THE LARGE-CAPARKANSAS COMMUNITY580,719.7036.94%
VALUE EQUITYFOUNDATION INC
PORTFOLIO1400 W MARKHAM STE 206
DPT CLASSLITTLE ROCK AR 72201
 
THE LARGE-CAPTHE COMMUNITY FOUNDATION OF490,013.7525.86%
VALUE EQUITYNORTHEAST FLORIDA INC
PORTFOLIO245 RIVERSIDE AVE STE 310
DPT CLASSJACKSONVILLE FL 32202-4945
 
THE LARGE-CAPMUHLENBERG COLLEGE599,081.0587.16%
VALUE EQUITY2400 CHEW ST
PORTFOLIOALLENTOWN PA 18104-5586
DPT CLASS
 
THE LARGE-CAPGENESIS HEALTH INC1,134,681.98913.56%
VALUE EQUITYD/B/A BROOKS HEALTH SYSTEM
PORTFOLIO3599 UNIVERSITY BLVD S
DPT CLASSJACKSONVILLE FL 32216-4252
 
THE LARGE-CAPWELLS FARGO BANK NA1,027,231.38812.28%
VALUE EQUITYFBO GHS PENSION-LOOMIS
PORTFOLIOPO BOX 1533
DPT CLASSMINNEAPOLIS MN 55480-1533
 
THE LARGE-CAPWELLS FARGO BANK NA1,006,951.36212.04%
VALUE EQUITYFBO GMC FUND DEP-LOOMIS
PORTFOLIOPO BOX 1533
DPT CLASSMINNEAPOLIS MN 55480-1533
 
THE LARGE-CAPNORTHERN TRUST CO621,732.2047.43%
VALUE EQUITYCUST FBO MARTIN
PORTFOLIOMEMORIAL CENTER
DPT CLASS50 S LA SALLE ST
CHICAGO IL 60603-1003
 
THE LARGE-CAPNORTHERN TRUST CO TRUSTEE428,541.1165.12%
VALUE EQUITYFBO MARTIN MEMORIAL
PORTFOLIOHEALTH SYSTEM PENSION
DPT CLASS50 S LA SALLE ST
CHICAGO IL 60603-1003



Table of Contents

Fund Name and Class      Shareholders Name and Address      Total Shares      Percentage
THE SELECT 20FIRST WESTERN1,044,087.0819.59%
PORTFOLIOFBO L LEE STRYKER
DPT CLASSIRREVOCABLE TRUST
FBO PATRICIA A STRYKER
FWTB TTEE
C/O M&I TRUST CO NA - ATTN MF
MILWAUKEE WI 53224
 
THE SELECT 20THE OREGON COMMUNITY4,481,131.38141.17%
PORTFOLIOFOUNDATION
DPT CLASS1221 SW YAMHILL ST STE 100
PORTLAND OR 97205-2108
 
THE SELECT 20MARKET STREET ACTIVELY2,748,135.30025.25%
PORTFOLIOMANAGED FUND
DPT CLASS80 E MARKET ST STE 300
CORNING NY 14830-2722
 
DELAWARE VIP®LINCOLN LIFE162,066,834.92895.21%
DIVERSIFIED INCOME1300 S CLINTON ST
SERVICE CLASSFORT WAYNE IN 46802-3518
 
DELAWARE VIPLINCOLN LIFE27,577,634.51963.43%
DIVERSIFIED INCOME1300 S CLINTON ST
SERIES STANDARDFORT WAYNE IN 46802-3518
CLASS
 
DELAWARE VIPMAC & CO7,434,604.42817.10%
DIVERSIFIED INCOMEFBO LVIP MODERATE PROFILE
SERIES STANDARDATTN MUTUAL FUND OPS
CLASSPO BOX 3198
PITTSBURGH PA 15230-3198
 
DELAWARE VIPTIAA CREF LIFE4,561,771.78510.49%
DIVERSIFIED INCOMESEPARATE ACCOUNT
SERIES STANDARDVA-1 LIFE INSURANCE CO
CLASS8500 ANDREW CARNEGIE BLVD #
E3/N6
CHARLOTTE NC 28262-8500
 
DELAWARE VIPMAC & CO3,164,799.4677.28%
DIVERSIFIED INCOMEFBO LVIP CONSERVATIVE PROFILE
SERIES STANDARDATTN MUTUAL FUND OPS
CLASSPO BOX 3198
PITTSBURGH PA 15230-3198
 
DELAWARE VIPLINCOLN LIFE16,929,037.13790.35%
EMERGING MARKETS1300 S CLINTON ST
SERIES SERVICEFORT WAYNE IN 46802-3518
CLASS
 
DELAWARE VIPLINCOLN LIFE5,439,129.51961.37%
EMERGING MARKETS1300 S CLINTON ST
SERIES STANDARDFORT WAYNE IN 46802-3518
CLASS



Table of Contents

Fund Name and Class      Shareholders Name and Address      Total Shares      Percentage
DELAWARE VIPHARTFORD LIFE INSURANCE CO2,231,701.58025.18%
EMERGING MARKETSSEP ACCT
SERIES STANDARDATTN UIT OPERATIONS
CLASSPO BOX 2999
HARTFORD CT 06104-2999
 
DELAWARE VIP®LINCOLN LIFE34,632,466.58994.44%
HIGH YIELD SERIES1300 S CLINTON ST
SERVICE CLASSFORT WAYNE IN 46802-3518
 
DELAWARE VIPLINCOLN LIFE ANNUITY OF NY1,854,975.7655.06%
HIGH YIELD SERIES1300 S CLINTON ST
SERVICE CLASSFORT WAYNE IN 46802-3506
 
DELAWARE VIPLINCOLN LIFE20,473,585.20084.52%
HIGH YIELD SERIES1300 S CLINTON ST
STANDARD CLASSFORT WAYNE IN 46802-3518
 
DELAWARE VIPLINCOLN LIFE1,918,414.9137.92%
HIGH YIELD SERIES1300 S CLINTON ST
STANDARD CLASSFORT WAYNE IN 46802-3518
 
DELAWARE VIPNATIONWIDE LIFE INSURANCE11,638.46284.23%
INTERNATIONALCOMPANY NWPP
VALUE EQUITYC/O IPO PORTFOLIO ACCOUNTING
SERIES SERVICEPO BOX 182029
CLASSCOLUMBUS OH 43218-2029
 
DELAWARE VIPCOMMONWEALTH ANNUITY & LIFE2,179.38815.77%
INTERNATIONALINSURANCE CO (SE2)
VALUE EQUITY132 TURNPIKE ROAD SUITE 210
SERIES SERVICESOUTHBOROUGH MA 01772
CLASS
 
DELAWARE VIPCOMMONWEALTH ANNUITY & LIFE2,730,793.48651.30%
INTERNATIONALINSURANCE CO (SE2)
VALUE EQUITY132 TURNPIKE ROAD SUITE 210
SERIES STANDARDSOUTHBOROUGH MA 01772
CLASS
 
DELAWARE VIPTIAA CREF LIFE2,139,584.89040.20%
INTERNATIONALSEPARATE ACCOUNT
VALUE EQUITYVA-1 LIFE INSURANCE CO
SERIES STANDARD8500 ANDREW CARNEGIE BLVD #
CLASSE3/N6
CHARLOTTE NC 28262-8500
 
DELAWARE VIPLINCOLN LIFE138,681,196.33696.70%
LIMITED-TERM1300 S CLINTON ST
DIVERSIFIED SERIESFORT WAYNE IN 46802-3518
SERVICE CLASS
 
DELAWARE VIPLINCOLN LIFE5,105,817.35184.71%
LIMITED-TERM1300 S CLINTON ST
DIVERSIFIED SERIESFORT WAYNE IN 46802-3518
STANDARD CLASS



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Fund Name and Class      Shareholders Name and Address      Total Shares      Percentage
DELAWARE VIPCOMMONWEALTH ANNUITY & LIFE703,366.53411.67%
LIMITED-TERMINSURANCE CO (SE2)
DIVERSIFIED SERIES132 TURNPIKE ROAD SUITE 210
STANDARD CLASSSOUTHBOROUGH MA 01772
 
DELAWARE VIP REIT®LINCOLN LIFE13,858,345.16684.86%
SERIES SERVICE1300 S CLINTON ST
CLASSFORT WAYNE IN 46802-3518
 
DELAWARE VIP REITLINCOLN LIFE ANNUITY OF NY1,523,671.8559.33%
SERIES SERVICE1300 S CLINTON ST
CLASSFORT WAYNE IN 46802-3506
 
DELAWARE VIP REITHORACE MANN INSURANCE939,149.8015.75%
SERIES SERVICESEP ACCOUNT
CLASS1 HORACE MANN PLZ
SPRINGFIELD IL 62715-0002
 
DELAWARE VIP REITLINCOLN LIFE16,100,925.79395.47%
SERIES STANDARD1300 S CLINTON ST
CLASSFORT WAYNE IN 46802-3518
 
DELAWARE VIPLINCOLN LIFE15,429,144.65886.23%
SMALL CAP VALUE1300 S CLINTON ST
SERIES SERVICEFORT WAYNE IN 46802-3518
CLASS
 
DELAWARE VIPLINCOLN LIFE5,612,285.92459.86%
SMALL CAP VALUE1300 S CLINTON ST
SERIES STANDARDFORT WAYNE IN 46802-3518
CLASS
 
DELAWARE VIPMETLIFE INSURANCE CO OF CT1,089,364.14411.62%
SMALL CAP VALUEATTN: SHAREHOLDER ACCTG DEPT
SERIES STANDARD1 CITY PL
CLASSHARTFORD CT 06103-3432
 
DELAWARE VIPNY LIFE INSURANCE &934,865.7719.97%
SMALL CAP VALUEANNUITY CORP
SERIES STANDARD169 LACKAWANNA AVE
CLASSPARSIPPANY NJ 07054-1007
 
DELAWARE  VIP SMIDLINCOLN LIFE5,862,800.42784.26%
CAP GROWTH SERIES1300 S CLINTON ST
SERVICEFORT WAYNE IN 46802-3518
 
DELAWARE  VIP SMIDLINCOLN LIFE ANNUITY OF NY427,978.5926.15%
CAP GROWTH SERIES1300 S CLINTON ST
SERVICEFORT WAYNE IN 46802-3506
 
DELAWARE  VIP SMIDLINCOLN LIFE11,369,826.62789.20%
CAP GROWTH SERIES1300 S CLINTON ST
STANDARDFORT WAYNE IN 46802-3518
 
DELAWARE  VIP SMIDCOMMONWEALTH ANNUITY & LIFE943,522.1367.40%
CAP GROWTH SERIESINSURANCE CO (SE2)
STANDARD132 TURNPIKE ROAD SUITE 210
SOUTHBOROUGH MA 01772



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Fund Name and Class      Shareholders Name and Address      Total Shares      Percentage
DELAWARE VIP® U.S.LINCOLN LIFE26,249,505.17297.61%
GROWTH SERIES1300 S CLINTON ST
SERVICE CLASSFORT WAYNE IN 46802-3518
 
DELAWARE VIP U.S.MAC & CO4,476,338.03738.13%
GROWTH SERIESFBO LVIP MODERATE PROFILE
STANDARD CLASSATTN MUTUAL FUND OPS
PO BOX 3198
PITTSBURGH PA 15230-3198
 
DELAWARE VIP U.S.MAC & CO2,948,271.99725.12%
GROWTH SERIESFBO LVIP MOD
STANDARD CLASSAGGRESSIVE PROFILE
ATTN MUTUAL FUND OPS
PO BOX 3198
PITTSBURGH PA 15230-3198
 
DELAWARE VIP U.S.LINCOLN LIFE2,360,918.16620.11%
GROWTH SERIES1300 S CLINTON ST
STANDARD CLASSFORT WAYNE IN 46802-3518
 
DELAWARE VIP U.S.MAC & CO1,616,699.49713.77%
GROWTH SERIESFBO LVIP CONSERVATIVE PROFILE
STANDARD CLASSATTN MUTUAL FUND OPS
PO BOX 3198
PITTSBURGH PA 15230-3198
 
DELAWARE VIPLINCOLN LIFE10,761,316.08595.80%
VALUE SERIES1300 S CLINTON ST
SERVICE CLASSFORT WAYNE IN 46802-3518
 
DELAWARE VIPLINCOLN LIFE12,372,292.37369.15%
VALUE SERIES1300 S CLINTON ST
STANDARD CLASSFORT WAYNE IN 46802-3518
 
DELAWARE VIPMAC & CO2,327,972.43213.01%
VALUE SERIESFBO LVIP MODERATE PROFILE
STANDARD CLASSATTN MUTUAL FUND OPS
PO BOX 3198
PITTSBURGH PA 15230-3198
 
DELAWARE VIPMAC & CO1,504,239.6778.41%
VALUE SERIESFBO LVIP MOD
STANDARD CLASSAGGRESSIVE PROFILE
ATTN MUTUAL FUND OPS
PO BOX 3198
PITTSBURGH PA 15230-3198
 
DELAWARE VIPCOMMONWEALTH ANNUITY & LIFE1,038,636.5395.80%
VALUE SERIESINSURANCE CO (SE2)
STANDARD CLASS132 TURNPIKE ROAD SUITE 210
SOUTHBOROUGH MA 01772



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DELAWARE VIP TRUST
PROXY FOR A SPECIAL MEETING OF SHAREHOLDERS TO BE HELD MARCH 31, 2015
THIS PROXY IS SOLICITED ON BEHALF OF THE BOARDS OF TRUSTEES OF THE FUNDS

The undersigned hereby revokes all previous proxies for his/her shares and appoint(s) A.G. Ciavarelli, Deidre A. Downes, Cori E. Daggett, and Emilia P. Wang, or any of them, with the right of substitution, proxies of the undersigned at the joint special meeting of shareholders of Delaware Investments® Funds, including shareholders of each registrant (each, a “Trust”) and fund (“Fund”) listed on Schedule A, to be held at the offices of Stradley Ronon Stevens & Young, LLP, 2005 Market Street, 26th Floor, Philadelphia, Pennsylvania 19103, on March 31, 2015 at 3:00 p.m., Eastern time, or at any postponements or adjournments thereof, with all the powers which the undersigned would possess if personally present, and instructs them to vote in their discretion upon any matters which may properly be acted upon at this Meeting and specifically asindicated on thereverse side of this proxy card. Please refer to the proxy statement for a discussion of these matters.

The undersigned acknowledges receipt of the Notice of The Joint Special Meeting of Shareholders and of the accompanying Proxy Statement, which describes the matters to be considered and voted on.

This proxy will be voted as instructed. If no specification is made for a proposal, the proxy will be voted “FOR” the proposal. The Proxies are authorized in their discretion to vote upon such other matters as may come before the Meeting or any adjournments or postponements thereof.

VOTE VIA THE INTERNET: www.proxy-direct.com
VOTE BY TELEPHONE:  1-800-337-3503

NOTE: PLEASE SIGN YOUR NAME EXACTLY AS IT APPEARS ON THIS PROXY. IF YOU ARE SIGNING ON BEHALF OF AN ESTATE, TRUST OR CORPORATION, PLEASE STATE YOUR TITLE OR CAPACITY.


Signature

DateDEL_26420_012815

FUNDSFUNDSFUNDS
Delaware VIP® Diversified Income SeriesDelaware VIP® Emerging Markets SeriesDelaware VIP® High Yield Series
Delaware VIP® International Value Equity Series   Delaware VIP® Limited-Term Diversified Inc. Series   Delaware VIP® REIT Series
Delaware VIP® Small Cap Value SeriesDelaware VIP® Smid Cap Growth SeriesDelaware VIP® U.S. Growth Series
Delaware VIP® Value Series

VOTING OPTIONS
Read your proxy statement and have it at hand when voting.



VOTE ON THE INTERNET
Log on to:
www.proxy-direct.com
or scan the QR code
Follow the on-screen instructions
available 24 hours



VOTE BY PHONE
Call 1-800-337-3503
Follow the recorded
instructions
available 24 hours



VOTE BY MAIL
Vote, sign and date this Proxy
Card and return it in the
postage-paid envelope.



VOTE IN PERSON
Attend Shareholder Meeting
2005 Market Street, 26th Floor
Philadelphia, PA 19103
On March 31, 2015




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THE BOARDS RECOMMEND THAT YOU VOTE “FOR” THE PROPOSALS.

In their discretion, the proxy holders are authorized to vote upon such other matters as may properly come before the Meeting or any adjournment thereof.
Properly executed proxies will be voted as specified. If no other specification is made, such shares will be voted “FOR” each proposal.

TO VOTE, MARK BLOCKS BELOW IN BLUE OR BLACK INK. Example:  

1.To elect Trustees for each of the Trusts:To withhold authority to vote for any individual nominee(s) mark the “For All Except” and write the nominee number(s) on the line provided.
         01.  Thomas L. Bennett       02.  Ann Borowiec03.Joseph W. Chow04.  Patrick P. Coyne
05.  John A. Fry06.Lucinda S. Landreth       07.  Frances A. Sevilla-Sacasa       08.Thomas K. Whitford       
09.  Janet L. Yeomans10.J. Richard Zecher

FORWITHHOLDFOR ALLFORWITHHOLDFOR ALL
ALLALLEXCEPTALLALLEXCEPT
01 Delaware VIP® Diversified Income Series02 Delaware VIP® Emerging Markets Series
03 Delaware VIP® High Yield Series04 Delaware VIP® International Value Equity Series
05 Delaware VIP® Limited-Term Diversified Inc. Series06 Delaware VIP® REIT Series
07 Delaware VIP® Small Cap Value Series08 Delaware VIP® Smid Cap Growth Series
09 Delaware VIP® U.S. Growth Series10 Delaware VIP® Value Series

2.To approve the implementation of a new “manager of managers” order for each Fund.
FORAGAINSTABSTAINFORAGAINSTABSTAIN
01 Delaware VIP® Diversified Income Series02 Delaware VIP® Emerging Markets Series
03 Delaware VIP® High Yield Series04 Delaware VIP® International Value Equity Series
05 Delaware VIP® Limited-Term Diversified Inc. Series06 Delaware VIP® REIT Series
07 Delaware VIP® Small Cap Value Series08 Delaware VIP® Smid Cap Growth Series
09 Delaware VIP® U.S. Growth Series10 Delaware VIP® Value Series

3.To revise the fundamental investment restriction relating to lending for each Fund.
FORAGAINSTABSTAINFORAGAINSTABSTAIN
01 Delaware VIP® Diversified Income Series02 Delaware VIP® Emerging Markets Series
03 Delaware VIP® High Yield Series04 Delaware VIP® International Value Equity Series
05 Delaware VIP® Limited-Term Diversified Inc. Series06 Delaware VIP® REIT Series
07 Delaware VIP® Small Cap Value Series08 Delaware VIP® Smid Cap Growth Series
09 Delaware VIP® U.S. Growth Series10 Delaware VIP® Value Series

4.To revise the fundamental concentration restriction to remove the reference to banking instruments for the Delaware Cash Reserve Fund, a series of Delaware Group® Cash Reserve.
Not Applicable

5.aTo revise provisions of each Trust’s Agreement and Declaration of Trust related to documenting the transfer of shares.
FORAGAINSTABSTAINFORAGAINSTABSTAIN
01 Delaware VIP® Diversified Income Series02 Delaware VIP® Emerging Markets Series
03 Delaware VIP® High Yield Series04 Delaware VIP® International Value Equity Series
05 Delaware VIP® Limited-Term Diversified Inc. Series06 Delaware VIP® REIT Series
07 Delaware VIP® Small Cap Value Series08 Delaware VIP® Smid Cap Growth Series
09 Delaware VIP® U.S. Growth Series10 Delaware VIP® Value Series

5.bTo revise provisions of each Trust’s Agreement and Declaration of Trust related to shareholder disclosure of certain information upon board demand.
FORAGAINSTABSTAINFORAGAINSTABSTAIN
01 Delaware VIP® Diversified Income Series02 Delaware VIP® Emerging Markets Series
03 Delaware VIP® High Yield Series04 Delaware VIP® International Value Equity Series
05 Delaware VIP® Limited-Term Diversified Inc. Series06 Delaware VIP® REIT Series
07 Delaware VIP® Small Cap Value Series08 Delaware VIP® Smid Cap Growth Series
09 Delaware VIP® U.S. Growth Series10 Delaware VIP® Value Series

5.cTo revise provisions of each Trust’s By-Laws so that Delaware law will apply to matters related to proxies.
FORAGAINSTABSTAINFORAGAINSTABSTAIN
01 Delaware VIP® Diversified Income Series02 Delaware VIP® Emerging Markets Series
03 Delaware VIP® High Yield Series04 Delaware VIP® International Value Equity Series
05 Delaware VIP® Limited-Term Diversified Inc. Series06 Delaware VIP® REIT Series
07 Delaware VIP® Small Cap Value Series08 Delaware VIP® Smid Cap Growth Series
09 Delaware VIP® U.S. Growth Series10 Delaware VIP® Value Series

Important Notice Regarding the Availability of Proxy Materials for the
Special Meeting of Shareholders to Be Held on March 31, 2015.
The Proxy Statement for this Meeting is available at:
https://www.proxy-direct.com/del-26420



Table of Contents

IMPORTANT: PLEASE SIGN AND DATE BEFORE MAILING.
DEL_26420_012815



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PROXY-VIP 2/15