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  • DEF 14A Filing

T. Rowe Price U.S. Equity Research Fund DEF 14ADefinitive proxy

Filed: 9 Apr 18, 12:00am
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    • DEF 14A Definitive proxy
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    SCHEDULE 14A INFORMATION

    Proxy Statement Pursuant to Section 14(a) of the

    Securities Exchange Act of 1934

    (Amendment No. )

    Filed by the Registrant [X]

    Filed by a party other than the Registrant [ ]

    Check the appropriate box:

    // Preliminary Proxy Statement

    /X/ Definitive Proxy Statement

    // Definitive Additional Materials

    // Soliciting Material pursuant to Rule 14a-11(c) or Section Rule 14a-12

    // Confidential, For Use of the Commission Only (as permitted by Rule 14a-6(e) (2))

    T. Rowe Price Balanced Fund, Inc. 033-38791/811-6275

    T. Rowe Price Blue Chip Growth Fund, Inc. 033-49581/811-7059

    T. Rowe Price Capital Appreciation Fund, Inc. 033-05646/811-4519

    T. Rowe Price Capital Appreciation & Income Fund, Inc. 333-219171/811-23212

    T. Rowe Price Capital Opportunity Fund, Inc. 033-56015/811-07225

    T. Rowe Price Corporate Income Fund, Inc. 033-62275/811-07353

    T. Rowe Price Credit Opportunities Fund, Inc. 333-194114/811-22939

    T. Rowe Price Diversified Mid-Cap Growth Fund, Inc. 333-109958/811-21454

    T. Rowe Price Dividend Growth Fund, Inc. 033-49187/811-7055

    T. Rowe Price Equity Income Fund, Inc. 033-00070/811-4400

    T. Rowe Price Equity Series, Inc. 033-52161/811-07143

    T. Rowe Price Financial Services Fund, Inc. 333-09551/811-07749

    T. Rowe Price Fixed Income Series, Inc. 033-52749/811-07153

    T. Rowe Price Floating Rate Fund, Inc. 333-174605/811-22557

    T. Rowe Price Global Allocation Fund, Inc. 333-187446/811-22810

    T. Rowe Price Global Multi-Sector Bond Fund, Inc. 333-154155/811-22243

    T. Rowe Price Global Real Estate Fund, Inc. 333-153130/811-22218

    T. Rowe Price Global Technology Fund, Inc. 333-40086/811-09995

    T. Rowe Price GNMA Fund, Inc. 033-01041/811-4441

    T. Rowe Price Government Money Fund, Inc. 002-54926/811-2603

    T. Rowe Price Growth & Income Fund, Inc. 002-79190/811-3566

    T. Rowe Price Growth Stock Fund, Inc. 002-10780/811-579

    T. Rowe Price Health Sciences Fund, Inc. 033-63759/811-07381

    T. Rowe Price High Yield Fund, Inc. 002-93707/811-4119

    T. Rowe Price Index Trust, Inc. 033-32859/811-5986

    T. Rowe Price Inflation Protected Bond Fund, Inc. 333-99241/811-21185

    T. Rowe Price Institutional Equity Funds, Inc. 333-04753/811-07639

    T. Rowe Price Institutional Income Funds, Inc. 333-84634/811-21055

    T. Rowe Price Institutional International Funds, Inc. 033-29697/811-5833

    T. Rowe Price Intermediate Tax-Free High Yield Fund, Inc. 333-196145/811-22968

    T. Rowe Price International Funds, Inc. 002-65539/811-2958


    T. Rowe Price International Index Fund, Inc. 333-44964/811-10063

    T. Rowe Price International Series, Inc. 033-52171/811-07145

    T. Rowe Price Limited Duration Inflation Focused Bond Fund, Inc. 333-136805/811-21919

    T. Rowe Price Media & Telecommunications Fund, Inc. 333-27963/811-07075

    T. Rowe Price Mid-Cap Growth Fund, Inc. 033-47806/811-6665

    T. Rowe Price Mid-Cap Value Fund, Inc. 333-02993/811-07605

    T. Rowe Price Multi-Sector Account Portfolios, Inc. 333-178660/811-22620

    T. Rowe Price Multi-Strategy Total Return Fund, Inc. 333-218649/ 811-23261

    T. Rowe Price New America Growth Fund, Inc. 002-99122/811-4358

    T. Rowe Price New Era Fund, Inc. 002-29866/811-1710

    T. Rowe Price New Horizons Fund, Inc. 002-18099/811-958

    T. Rowe Price New Income Fund, Inc. 002-48848/811-2396

    T. Rowe Price Personal Strategy Funds, Inc. 033-53675/811-07173

    T. Rowe Price Quantitative Management Funds, Inc. 333-26323/811-08203

    T. Rowe Price Real Assets Fund, Inc. 333-166395/811-22410

    T. Rowe Price Real Estate Fund, Inc. 333-36137/811-08371

    T. Rowe Price Reserve Investment Funds, Inc. 811-08279

    T. Rowe Price Retirement Funds, Inc. 333-92380/811-21149

    T. Rowe Price Science & Technology Fund, Inc. 033-16567/811-5299

    T. Rowe Price Short-Term Bond Fund, Inc. 002-87568/811-3894

    T. Rowe Price Small-Cap Stock Fund, Inc. 002-12171/811-696

    T. Rowe Price Small-Cap Value Fund, Inc. 002-43237/811-2215

    T. Rowe Price Spectrum Fund, Inc. 033-10992/811-4998

    T. Rowe Price State Tax-Free Funds, Inc. 033-06533/811-4521

    T. Rowe Price Summit Funds, Inc. 033-50319/811-7093

    T. Rowe Price Summit Municipal Funds, Inc. 033-50321/811-7095

    T. Rowe Price Tax-Efficient Funds, Inc. 333-26441/811-08207

    T. Rowe Price Tax-Exempt Money Fund, Inc. 002-67029/811-3055

    T. Rowe Price Tax-Free High Yield Fund, Inc. 002-94641/811-4163

    T. Rowe Price Tax-Free Income Fund, Inc. 002-57265/811-2684

    T. Rowe Price Tax-Free Short-Intermediate Fund, Inc. 002-87059/811-3872

    T. Rowe Price Total Return Fund, Inc. 333-213574/811-23180

    T. Rowe Price U.S. Bond Enhanced Index Fund, Inc. 333-45018/811-10093

    T. Rowe Price U.S. Large-Cap Core Fund, Inc. 333-158764/811-22293

    T. Rowe Price U.S. Treasury Funds, Inc. 033-30531/811-5860

    T. Rowe Price Value Fund, Inc. 033-54963/811-07209

    ________________________________________________________________

    (Name of Registrant as Specified in its Charter)

    ________________________________________________________________

    (Name of Person(s) Filing Proxy Statement)


    Payment of Filing Fee (Check the appropriate box):

    [X] No fee required.

    [ ] Fee computed on table below per Exchange Act Rules 14a-6(i) and 0-11.

    1) Title of each class of securities to which transaction applies:

    ____________________________________________________

    2) Aggregate number of securities to which transaction applies:

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    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:

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    [ ] Check box if any part of the fee is offset as provided by Exchange Act Rule 0-11(a)(2) and

    identify the filing for which the offsetting fee was paid previously. Identify the previous

    filing by registration statement number, or the form or schedule and the date of its filing.

    1) Amount previously paid:

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    Proxy Information

    May 11, 2018

    This proxy material concerns the:

    T. Rowe Price Funds

    Dear Shareholder:

    We cordially invite you to attend a joint special meeting of shareholders (the “Shareholder Meeting”) of all of the mutual funds sponsored and managed by T. Rowe Price Associates, Inc. (each a “Fund” and together the “T. Rowe Price Funds”) on Wednesday, July 25, 2018, at 8:00 a.m., Eastern time, at the headquarters of T. Rowe Price Associates, Inc. (“T. Rowe Price”), 100 East Pratt Street, Baltimore, Maryland 21201. A complete list of the T. Rowe Price Funds is included in Exhibit 1. The following matters will be considered and acted upon at that time:

    1. Elect four (4) directors for each Fund who have not been previously elected by shareholders;

    2. Amend the investment objectives of each of the Communications & Technology, International Bond, and New Income Funds;

    3. Amend the fundamental policy on commodities of each of the Dividend Growth, Institutional High Yield, Institutional Large-Cap Growth, Institutional Large-Cap Value, Institutional Mid-Cap Equity Growth, Institutional Small-Cap Stock, New America Growth, and QM U.S. Small-Cap Growth Equity Funds, and the Emerging Markets Local Multi-Sector Account Portfolio;

    4. Amend the industry concentration policy of the Emerging Europe Fund;

    5. Reclassify the diversification status of each of the Communications & Technology, Financial Services, Global Consumer, Global Industrials, Global Technology, Health Sciences, New Era, Real Estate, and Science & Technology Funds, and the Health Sciences Portfolio from diversified to nondiversified; and

    6. To transact such other business as may properly come before the Shareholder Meeting and any adjournments or postponements thereof.


    Since the T. Rowe Price Funds’ last joint shareholder meeting in 2013, several directors have retired, one director recently passed away, and new directors have been added to replace those who have retired. In conjunction with these changes and more long-term succession planning, it has become necessary to seek shareholder approval to elect four directors for each Fund. If all proposed nominees are elected, each Fund’s board of directors (each a “Board,” and together, the “Boards”) will be composed of at least 75% independent directors and the same independent directors would serve on each Fund’s Board. With the exception of one proposed interested director, the directors standing for election already serve on the Boards of the T. Rowe Price Funds.

    We are also taking this opportunity to seek shareholder approval to make changes to certain Funds’ investment objectives and policies. You are being asked to vote on those proposals only if you own shares of those Funds.

    You are receiving these combined proxy materials for any Fund(s) you own. We have combined all of the above proposals into this single proxy statement to reduce Fund expenses associated with separate mailings for each impacted Fund.

    We realize that it may be difficult for most shareholders to attend the Shareholder Meeting and vote their shares in person. However, we do need your vote in order to reach a quorum at the Shareholder Meeting with respect to each Fund. You can vote online, by telephone, or by mail, as explained in the enclosed materials. By voting promptly, you can help the Funds that you own avoid the expense of additional mailings.

    If you have any questions or would like additional information concerning the matters proposed for action at the Shareholder Meeting, please call one of our service representatives at 1-800-541-5910. Your participation in this vote is extremely important.

    In closing, I would like to note that, after thirty years at T. Rowe Price, I will retire at the end of this year. Serving as the Chair of your mutual funds’ Boards for the last 12 years has been an honor and a privilege, and I look forward to remaining a fellow shareholder for many years to come.

    As always, thank you for investing with T. Rowe Price.

    Sincerely,

    Edward C. Bernard
    Chairman of the Board


    Notice of Joint Special Meeting of Shareholders

      

    T. Rowe Price Funds

    T. Rowe Price Funds
    100 East Pratt Street
    Baltimore, Maryland 21202

     

    Darrell N. Braman
    Secretary

     

    May 11, 2018

     

    A joint special meeting of shareholders (the “Shareholder Meeting”) of all of the mutual funds sponsored and managed by T. Rowe Price Associates, Inc. (each a “Fund” and together the “T. Rowe Price Funds”) will be held on Wednesday, July 25, 2018, at 8:00 a.m., Eastern time, at the headquarters of T. Rowe Price Associates, Inc., 100 East Pratt Street, Baltimore, Maryland 21201. A complete list of the T. Rowe Price Funds is included in Exhibit 1. The following matters will be acted upon at that time:

     

    1. Elect four (4) directors for each Fund who have not previously been elected by shareholders;

    2. Amend the investment objectives of each of the Communications & Technology, International Bond, and New Income Funds;

    3. Amend the fundamental policy on commodities of each of the Dividend Growth, Institutional High Yield, Institutional Large-Cap Growth, Institutional Large-Cap Value, Institutional Mid-Cap Equity Growth, Institutional Small-Cap Stock, New America Growth, and QM U.S. Small-Cap Growth Equity Funds, and the Emerging Markets Local Multi-Sector Account Portfolio;

    4. Amend the industry concentration policy of the Emerging Europe Fund;

    5. Reclassify the diversification status of each of the Communications &


      
     

    6. Technology, Financial Services, Global Consumer, Global Industrials, Global Technology, Health Sciences, New Era, Real Estate, and Science & Technology Funds, and the Health Sciences Portfolio from diversified to nondiversified; and

    7. To transact such other business as may properly come before the Shareholder Meeting and any adjournments or postponements thereof.

     

    Only shareholders of record at the close of business on April 26, 2018, are entitled to notice of, and to vote at, this Shareholder Meeting or any adjournment or postponement thereof. The board of directors of each T. Rowe Price Fund recommends that you vote in favor of each applicable proposal.

    DARRELL N. BRAMAN

    SECRETARY

    PAGE 2


     

    YOUR VOTE IS IMPORTANT

    Shareholders are urged to designate their choice on the matters to be acted upon by using one of the following three methods:

    1. Vote online.

    · Read the proxy statement.

    · Go to the online voting site found on your proxy card.

    · Enter the control number found on your proxy card.

    · Follow the instructions using your proxy card as a guide.

    2. Vote by telephone.

    · Read the proxy statement.

    · Call the toll-free number found on your proxy card.

    · Enter the control number found on your proxy card.

    · Follow the recorded instructions using your proxy card as a guide.

    3. Vote by mail.

    · Date, sign, and return the enclosed proxy card in the envelope provided, which requires no postage if mailed in the United States.

    If you vote online or by telephone, your vote must be received no later than 7:59 a.m. on July 25, 2018. If you vote by mail, your vote must be received at the address referenced on the proxy card on or before July 24, 2018.

    Your prompt response will help to achieve a quorum at the Shareholder Meeting and avoid the additional expenses to the T. Rowe Price Funds and their shareholders of further mailings or phone calls.

    PAGE 3


    Joint Special Meeting of Shareholders—July 25, 2018

    PROXY STATEMENT

    This proxy material relates to all of the mutual funds sponsored and managed by T. Rowe Price Associates, Inc. (each a “Fund,” and together, the “T. Rowe Price Funds” or the “Funds”). A complete list of the T. Rowe Price Funds is included in Exhibit 1. This document provides you with the information you need in order to vote on the matters coming before the upcoming joint special meeting and is furnished in connection with the solicitation of proxies by the Funds. If you have any questions, please feel free to call us toll free at 1-800-541-5910.

    Who is asking for my vote?

    The Boards of Directors (each, a “Board” and together, the “Boards”) of the T. Rowe Price Funds request that you vote on the proposals listed in the Notice of Joint Special Meeting of Shareholders, as applicable. The votes will be formally counted at the Joint Special Meeting of Shareholders (the “Shareholder Meeting”) on Wednesday, July 25, 2018, and if the Shareholder Meeting is adjourned or postponed, on the date of the adjourned or postponed meeting. Fund shareholders may vote in person at the Shareholder Meeting, online, by telephone, or by returning a completed proxy card in the postage-paid envelope provided. Details can be found on the enclosed proxy insert. Do not mail the proxy card if you are voting online or telephone.

    Who is eligible to vote?

    Shareholders of record at the close of business on April 26, 2018, (the “record date”) of each Fund are hereby notified of the Shareholder Meeting and are entitled to one vote for each full share and a proportionate vote for each fractional share of each Fund they held as of the record date. The Notice of Joint Special Meeting of Shareholders, the proxy card, and the Proxy Statement began mailing to shareholders of record on or about May 11, 2018. Shareholders of a Fund are entitled to vote on each proposal with respect to that Fund and not with respect to any Fund of which they do not own any shares as of the record date.

    Under Maryland law, shares owned by two or more persons (whether as joint tenants, co-fiduciaries, or otherwise) will be voted as follows, unless a written instrument or court order providing to the contrary has been filed with a Fund: (1) if only one votes, that vote will bind all; (2) if more than one votes, the vote of the majority will bind all; and (3) if more than one votes and the vote is evenly divided, the vote will be cast proportionately.

    PAGE 4


    What are shareholders being asked to vote on?

    At a meeting held on March 5, 2018, the Boards, including the independent directors, unanimously approved submitting the following proposals to the shareholders of the Funds to be considered and acted upon:

      

    Proposal

    Funds Affected

    1. Elect four (4) directors;

    All Funds

    2. Amend the Fund’s investment objective;

    Communications & Technology, International Bond, and New Income Funds

    3. Amend the Fund’s fundamental policy on commodities;

    Dividend Growth, Institutional High Yield, Institutional Large-Cap Growth, Institutional Large-Cap Value, Institutional Mid-Cap Equity Growth, Institutional Small-Cap Stock, New America Growth, and QM U.S. Small-Cap Growth Equity Funds, and the Emerging Markets Local Multi-Sector Account Portfolio

    4. Amend the Fund’s industry concentration policy;

    Emerging Europe Fund

    5. Reclassify the Fund’s diversification status from diversified to nondiversified; and

    Communications & Technology, Financial Services, Global Consumer, Global Industrials, Global Technology, Health Sciences, New Era, Real Estate, and Science & Technology Funds, and the Health Sciences Portfolio (the “Sector Funds”)

    6. To transact such other business as may properly come before the Shareholder Meeting and any adjournments or postponements thereof.

    All Funds

    PAGE 5


    How can I get more information about the Funds?

    A copy of each Fund’s most recent prospectus, annual and semiannual shareholder reports, and Statement of Additional Information (“SAI”) are available at no cost by visiting our website at troweprice.com/prospectus; by calling 1-800-541-5910; or by writing to T. Rowe Price, 4515 Painters Mill Road, Owings Mills, Maryland 21117.

    PROPOSAL NO. 1 — Election of Directors

    Under the Investment Company Act of 1940, as amended (the “1940 Act”), a certain percentage of each Fund’s Board must be elected by shareholders. Due to the retirement of several directors over the past few years and the recent passing of one director, it has become necessary for the Funds to hold a shareholder meeting in order to elect directors. With the exception of one proposed interested director, David Oestreicher, each of the other proposed nominees presently serves as a director on the current Boards, but none of these proposed nominees have yet been elected by shareholders. The current directors that are not being nominated for shareholder approval at the upcoming Shareholder Meeting were previously elected by each Fund’s shareholders at a shareholder meeting held on October 22, 2013. Each of these current directors not being nominated, with the exception of Edward Bernard, will continue to serve on the Boards following the Shareholder Meeting. Mr. Bernard plans on retiring from T. Rowe Price Associates, Inc. on December 31, 2018. As a result, he will resign from his role as a director and Chairman of the Boards of all T. Rowe Price Funds at the conclusion of the meeting of the Boards on July 25, 2018, which will immediately follow the shareholder meeting, subject to all the interested director nominees having been elected by shareholders. The Boards are in the process of further assessing long-term Board structure and succession planning. All of the current Boards are composed of at least 75% independent directors and that will continue to be the case if the proposed nominees are elected.

    If all proposed nominees are elected, there will be ten independent directors and two interested directors on each Fund’s Board. An important benefit of these elections is that the same independent directors will serve on the Boards of all of the T. Rowe Price Funds. This approach is designed to provide effective governance by exposing the directors to a wider range of business issues and market trends, allowing the directors to better share their knowledge, background, and experience, and permitting the Boards to operate more efficiently, particularly with respect to matters common to all Funds.

    PAGE 6


    What are the primary responsibilities of the Boards and how often do they meet?

    The directors are responsible for the general oversight of each Fund’s business and for assuring that each Fund is managed in the best interests of its shareholders. The directors meet regularly to review a wide variety of matters affecting or potentially affecting the Funds, including performance, investment programs, compliance matters, advisory fees and expenses, service providers, and business and regulatory affairs.

    The Boards of the T. Rowe Price Funds held five regularly scheduled formal meetings during calendar year 2017. The Funds are not required to hold annual meetings of shareholders. Accordingly, no annual meeting of shareholders shall be held in any year in which it is not otherwise required to be held unless the Boards determine otherwise. If a shareholder meeting to elect directors is held, the policy is that all nominee directors are encouraged to attend, subject to availability. Although the Boards have direct responsibility over various matters (such as approval of advisory contracts and review of Fund performance), each Board also exercises certain of its oversight responsibilities through several committees that it has established and which report back to the full Boards. The Boards believe that a committee structure is an effective means to permit directors to focus on particular operations or issues affecting the Funds, including risk oversight. Each Board currently has three standing committees, a Committee of Independent Directors, a Joint Audit Committee, and an Executive Committee, which are described in greater detail in the following paragraphs.

    The Committee of Independent Directors, which consists of all of the independent directors of the Funds, is responsible for, among other things, seeking, reviewing and selecting candidates to fill independent director vacancies on each Fund’s Board; periodically evaluating the compensation payable to the independent directors; and performing certain functions with respect to the governance of the Funds. The Lead Independent Director serves as chairman of the committee. Anthony W. Deering served as Lead Independent Director of each Board until he passed away on November 17, 2017. John G. Schreiber currently serves as the interim Lead Independent Director of each Board as the Boards assess long-term Board structure and succession planning. The committee will consider written recommendations from shareholders for possible nominees for independent directors. Nominees, like current directors, will be considered based on the ability to review critically, evaluate, question, and discuss information provided to them, to interact effectively with the Funds’ management and counsel and the various service providers to the Funds, and to exercise reasonable business judgment in the performance of their duties as directors. Nominees will be considered in light of their individual experience, qualifications, attributes, or

    PAGE 7


    skills. Nominees will also be considered based on their independence from T. Rowe Price and other principal service providers. Other than executive sessions in connection with Board meetings, the Committee of Independent Directors formally met one time in 2017.

    The Joint Audit Committee consists of only independent directors. The current members of the committee are Bruce W. Duncan, Paul F. McBride, Cecilia E. Rouse, and Mark R. Tercek. Mr. Duncan serves as chairman of the committee and is considered an “audit committee financial expert,” as defined by the Securities and Exchange Commission (the “SEC”). The Joint Audit Committee holds three regular meetings during each fiscal year. Two of the meetings include the attendance of the independent registered public accounting firm of the T. Rowe Price Funds as the Joint Audit Committee reviews: (1) the services provided; (2) the findings of the most recent audits; (3) management’s response to the findings of the most recent audits; (4) the scope of the audits to be performed; (5) the accountants’ fees; (6) the qualifications, independence, and performance of the independent registered public accounting firm; and (7) any accounting questions relating to particular areas of the T. Rowe Price Funds’ operations or the operations of parties dealing with the T. Rowe Price Funds, as circumstances indicate. A third meeting is devoted primarily to a review of the risk management program of the Funds’ investment adviser. The Joint Audit Committee met three times in 2017.

    The Executive Committee, which consists of each Fund’s interested directors, has been authorized by the Boards to exercise all powers of the Boards of the Funds in the intervals between regular meetings of the Boards, except for those powers prohibited by statute from being delegated. All actions of the Executive Committee must be approved in advance by one independent director and reviewed after the fact by the full Board. The Executive Committee for each Fund does not hold regularly scheduled meetings. The Executive Committee was not called upon to take any action on behalf of any Funds during 2017.

    From time to time, the independent directors may create a special committee (“Special Committee”) comprised of independent directors, whose purpose is to review certain limited topics that require in-depth consideration outside of the Boards’ regular review. The Bank of New York Mellon (“BNY Mellon”) Special Committee was established in December 2014 to review matters relating to the transition of fund accounting services from T. Rowe Price to BNY Mellon and the proposed Fund Accounting Agreement between the T. Rowe Price Funds and BNY Mellon. The members of the BNY Mellon Special Committee are Robert J. Gerrard, Paul F. McBride (chair), and Cecilia E. Rouse. The BNY Mellon Special Committee met once during 2017. The Section 15(c) Special Committee was established in August 2015 to review

    PAGE 8


    matters relating to the outsourcing to Broadridge Financial Solutions of the advisory contract renewal reporting pursuant to Section 15(c) under the 1940 Act. The members of the Section 15(c) Special Committee are Robert J. Gerrard, Paul F. McBride (chair), and John G. Schreiber. The Section 15(c) Special Committee met once during 2017.

    Like other mutual funds, the Funds are subject to risks, including investment, compliance, operational, and valuation risks, among others. The Boards oversee risk as part of their oversight of the Funds. Risk oversight is addressed as part of various Board and committee activities. The Board, directly or through its committees, interacts with and reviews reports from, among others, the investment adviser or its affiliates, the Funds’ Chief Compliance Officer, the Funds’ independent registered public accounting firm, legal counsel, and internal auditors for T. Rowe Price or its affiliates, as appropriate, regarding risks faced by the Funds and the risk management programs of the investment adviser and certain other service providers. Also, the Joint Audit Committee receives periodic reports from members of the adviser’s Risk Management Oversight Committee on the significant risks inherent to the adviser’s business, including aggregate investment risks, reputational risk, business continuity risk, technology and cyber-security risk, and operational risk. As of each Fund’s last fiscal year end, each director attended at least 75% of the aggregate meetings of the Board and any committees on which he or she served, with the exception of Mr. Tercek with respect to Funds with a fiscal year end of December 31, 2017 or February 28, 2018. Please see Exhibit 1 for each Fund’s fiscal year end. Although Mr. Tercek did not attend at least 75% of the aggregate meetings of the Boards and any committees on which he served for the T. Rowe Price Funds with fiscal years ending December 31, 2017 and February 28, 2018, Mr. Tercek did attend at least 75% of the aggregate meetings of the Boards and the committees on which he served for all other T. Rowe Price Funds. His absences during the meetings held in fiscal years ended December 31, 2017 and February 28, 2018 were due to short-term conflicts relating to other commitments.

    The actual day-to-day risk management functions with respect to the Funds are subsumed within the responsibilities of the investment adviser, its affiliates that serve as investment subadvisers to the Funds, and other service providers (depending on the nature of the risk) that carry out the Funds’ investment management and business affairs. Although the risk management policies of T. Rowe Price and its affiliates, and the Funds’ other service providers, are reasonably designed to be effective, those policies and their implementation vary among service providers over time, and there is no guarantee that they will always be effective. An investment in a T. Rowe Price Fund may be negatively impacted because of the operational risks arising from factors such as processing errors and human errors, inadequate or failed internal or external processes, failures in systems and technology, changes in personnel

    PAGE 9


    and errors caused by third party service providers or trading counterparties. Although the Funds attempt to minimize such failures through controls and oversight, it is not possible to identify all of the operational risks that may affect a Fund or to develop processes and controls that completely eliminate or mitigate the occurrence of such failures. A Fund and its shareholders could be negatively impacted as a result. Processes and controls developed may not eliminate or mitigate the occurrence or effects of all risks, and some risks may be simply beyond any control of the Funds, T. Rowe Price and its affiliates, or other service providers.

    If a shareholder wishes to send a communication to any of the Boards, or to a specified director, the communication should be submitted in writing to Darrell Braman, Secretary of the T. Rowe Price Funds, 100 East Pratt Street, Baltimore, MD 21202, who will forward such communication to the directors.

    Who are the directors and director nominees?

    The Boards have proposed the persons listed below for election as director, each to hold office until the next annual meeting (if any), retirement, or resignation, or until his or her successor is duly elected and qualified. Shareholders are being asked to elect the directors of their respective Fund(s) only. A shareholder using the enclosed proxy card, or voting by telephone or online, can vote for all or any of the nominees or withhold his or her vote from all or any of such nominees. If the proxy card is properly executed but unmarked, or a telephone or online vote is submitted without an election, it will be voted for all of the nominees. Each of the nominees has agreed to serve as a director if elected; however, should any nominee become unable or unwilling to accept nomination or election, the persons named in the proxy will exercise their voting power in favor of such other person or persons as the Boards may recommend. There are no family relationships among these nominees.

    Independent Directors Teresa Bryce Bazemore, Ronald J. Daniels, Bruce W. Duncan, Robert J. Gerrard, Jr., Paul F. McBride, Cecilia E. Rouse, John G. Schreiber, and Mark R. Tercek currently serve as independent directors to all of the T. Rowe Price Funds. Shareholders are being asked to elect Teresa Bryce Bazemore and Ronald J. Daniels to the Boards of all the T. Rowe Price Funds. Bruce W. Duncan, Robert J. Gerrard, Jr., Paul F. McBride, Cecilia E. Rouse, John G. Schreiber, and Mark R. Tercek were elected by the shareholders of all Funds in 2013 and are therefore not standing for shareholder election at this time.

    Interested Directors Interested directors are considered as such because of their relationships with T. Rowe Price and its affiliates. They are also shareholders of T. Rowe Price Group, Inc., the parent company of the Funds’

    PAGE 10


    investment adviser. Edward C. Bernard currently serves as interested director and Chairman of the Board for all of the T. Rowe Price Funds. Mr. Bernard plans to retire from T. Rowe Price on December 31, 2018, and step down as a director and Chairman of the Boards assuming the election of all interested director nominees, with such resignation to occur at the conclusion of the upcoming July 25th meeting of the Boards. Edward A. Wiese currently serves as interested director for all of the domestic fixed income Funds. Robert W. Sharps currently serves as interested director for the domestic equity and international Funds.

    Shareholders are being asked to elect Mr. Wiese to continue serving on the Boards of domestic fixed income Funds and to elect Mr. Sharps to continue serving on the Boards of the domestic equity and international Funds. Shareholders are also being asked to elect David Oestreicher to begin serving as an interested director on the Boards of all T. Rowe Price Funds. Mr. Bernard will resign as director upon the election of Mr. Oestreicher to ensure that each Board has only two interested directors.

    Each director’s/nominee’s experience, qualifications, attributes, or skills, on an individual basis and in combination with those of the other directors and nominees, have led to the conclusion that each director/nominee should serve on the Boards of the T. Rowe Price Funds. Attributes common to all directors/ nominees include the ability to review critically, evaluate, question, and discuss information provided to them, to interact effectively with the Funds’ management and counsel and the various service providers to the Funds, and to exercise reasonable business judgment in the performance of their duties as director. In addition, the actual service and commitment of the current directors during their tenure on the Funds’ Boards is taken into consideration in concluding that each should continue to serve. A director’s/nominee’s ability to perform his or her duties effectively may have been attained through his or her educational background or professional training; business, consulting, public service, or academic positions; experience from service as a director of the T. Rowe Price Funds, public companies, non-profit entities, or other organizations; or other experiences. Each director/nominee brings a diverse perspective to the Boards. Each director’s/nominee’s mailing address is 100 E. Pratt Street, Baltimore, MD 21202.

    Set forth below is a brief discussion of the specific experience, qualifications, attributes, or skills of each director or director nominee that led to the conclusion that he or she should serve (or continue to serve) as a director.

    Edward C. Bernard (not standing for election) has been an interested director and Chairman of the Board of all the T. Rowe Price Funds since 2006. Mr. Bernard has more than 25 years of experience in the investment management industry, all of which have been with T. Rowe Price. In addition to his responsibilities with T. Rowe Price and the T. Rowe Price Funds,

    PAGE 11


    Mr. Bernard served as chairman (from 2009 to 2011) and is currently the vice chairman of the Board of Governors of the Investment Company Institute (“ICI”), the national trade association for the mutual fund industry. Mr. Bernard plans to retire from T. Rowe Price on December 31, 2018 and step down as a director and Chairman of the Boards at the conclusion of the upcoming July 25th meeting of the Boards.

    Teresa Bryce Bazemore (standing for election) has more than 25 years of experience as a senior executive in the mortgage banking field, including building both mortgage insurance and services businesses. From July 2008 through April 2017, Ms. Bazemore served as the President of Radian Guaranty where she oversaw the strategic planning, business development, and operations of the mortgage insurance business line. Prior to Radian Guaranty, she was Senior Vice President, General Counsel, and Secretary for Nexstar Financial Corporation, and General Counsel of the mortgage banking line of business at Bank of America. Ms. Bazemore currently serves on the Board of Directors of the Federal Home Loan Bank of Pittsburgh and of Chimera Investment Corporation. She has been an independent director of the T. Rowe Price Funds since January 2018.

    Ronald J. Daniels (standing for election) is the 14th president of Johns Hopkins University, a position he has held since 2009. In that role, he serves as the chair of the Executive Committee of Johns Hopkins Medicine and is a professor in the Department of Political Science. Previously, he was provost and professor of law at the University of Pennsylvania and dean and James M. Tory Professor of Law at the University of Toronto. He has been an independent director of the T. Rowe Price Funds since January 2018.

    Bruce W. Duncan (not standing for election) has substantial experience in the field of commercial real estate. He currently serves as chairman of the Board of First Industrial Realty Trust, and he served as president until September 2016 and chief executive officer until December 2016. In May 2016, Mr. Duncan became a member of the Board and Compensation Committee of Boston Properties. He has been an independent director of the T. Rowe Price Funds since October 2013. In September 2014, he became a member of the Joint Audit Committee and, in July 2017, he became the chairman of the committee. In September 2016, Mr. Duncan became a member of the Board and Finance Committee of Marriott International, Inc. In October 2017, Mr. Duncan became a member of the board of governors of the ICI and a member of the governing board of the Independent Directors Council, a national association for mutual fund independent directors that is part of the ICI.

    Robert J. Gerrard, Jr. (not standing for election) has been an independent director of certain T. Rowe Price Funds since 2012 (and all T. Rowe Price Funds since October 2013) and served as a chairman of the Joint Audit

    PAGE 12


    Committee until July 2017. He has substantial legal and business experience in the industries relating to communications and interactive data services. He has served on the Board and Compensation Committee for Syniverse Holdings and as general counsel to Scripps Networks.

    Paul F. McBride (not standing for election) has served in various management and senior leadership roles with the Black & Decker Corporation and General Electric Company. He led businesses in the materials, industrial, and consumer durable segments, and has significant global experience. He has served on the Boards of a number of private and nonprofit entities, including Vizzia Technologies, Dunbar Armored, Gilman School, Living Classrooms Foundation, and Bridges Baltimore. He has been an independent director of the T. Rowe Price Funds since October 2013 and, in September 2014, he became a member of the Joint Audit Committee.

    David Oestreicher (standing for election) is the chief legal counsel for T. Rowe Price and a member of the firm’s management committee. David serves as a member of the ICI Mutual Insurance Company Board of Governors, a member of its executive committee and chairman of its risk management committee. He also serves as a director on the Board of the Investment Adviser Association and previously served as the chairman of its legal and regulatory committee. In addition, he previously served as the chairman of the international committee of the ICI. Before joining T. Rowe Price in 1997, Mr. Oestreicher was special counsel in the Division of Market Regulation with the SEC.

    Cecilia E. Rouse (not standing for election) has been an independent director of certain T. Rowe Price Funds since 2012 (and all T. Rowe Price Funds since October 2013) and became a member of the Joint Audit Committee in September 2014. Dr. Rouse has extensive experience in the fields of higher education and economic research. She has served in a variety of roles at Princeton University, including as a dean, professor, and leader of research in labor economics. She has also served on the Board of the National Bureau of Economic Research and MDRC, a nonprofit education and social policy organization dedicated to improving programs and policies that affect the poor, and as a member of numerous entities, including the American Economic Association, National Bureau of Economic Research, National Academy of Education, and the Association of Public Policy and Management Policy Council.

    John G. Schreiber (not standing for election) has been an independent director of the T. Rowe Price Funds for more than 20 years and served as a member of the Joint Audit Committee until September 2015. He currently serves as the interim Lead Independent Director. He has significant experience investing in real estate transactions and brings substantial financial services and investment management experience to the Boards. He is the president of

    PAGE 13


    Centaur Capital Partners, Inc. and a retired partner and cofounder of Blackstone Real Estate Advisors. He previously served as chairman and chief executive officer of JMB Urban Development Co. and executive vice president of JMB Realty Corporation. Mr. Schreiber currently serves on the Boards of JMB Realty Corporation, Brixmor Property Group, Hilton Worldwide, and is a trustee of Loyola University of Chicago, and is a past Board member of Urban Shopping Centers, Inc., Host Hotels & Resorts, Inc., The Rouse Company, General Growth Properties, AMLI Residential Properties Trust, Blackstone Mortgage Trust, Invitation Homes, and Hudson Pacific Properties.

    Robert W. Sharps (standing for election) has been an interested director of the domestic equity and international T. Rowe Price Funds since April 2017. Mr. Sharps served as the co-head of Global Equities at T. Rowe Price until February 2018, at which point he became the Head of Investments. He has served as the Group Chief Investment Officer for T. Rowe Price since April 2017. He is also a member of the T. Rowe Price Management Committee, Management Compensation Committee, International Steering Committee, Equity Steering Committee, Asset Allocation Committee, and Product Strategy Committee. Prior to joining T. Rowe Price in 1997, Mr. Sharps was a senior consultant at KPMG Peat Marwick. In addition to his various offices held with T. Rowe Price and its affiliates, Mr. Sharps is a Chartered Financial Analyst.

    Mark R. Tercek (not standing for election) has been an independent director of the T. Rowe Price Funds since 2009. Mr. Tercek served as chairman of the Joint Audit Committee until September 2014 and served as a member of the committee since July 2017. He brings substantial financial services experience to the Boards. He was a managing director of Goldman Sachs and is currently president and chief executive officer of The Nature Conservancy.

    Edward A. Wiese (standing for election) has been an interested director of the domestic fixed income T. Rowe Price Funds since 2015. Mr. Wiese is a Chartered Financial Analyst with over 30 years of investment experience, all of which have been with T. Rowe Price. He currently serves as the director of fixed income for T. Rowe Price and as the chairman of the T. Rowe Price Fixed Income Steering Committee, and served as a portfolio manager for various short-term bond and low duration domestic bond strategies until December 2016.

    The following table entitled “Independent Directors / Nominees” provides biographical information for the independent directors, including those who have been nominated for election as an independent director, along with their principal occupation(s) during the past five years and any directorships of public companies and other investment companies. The directors of the Funds believe it is important to have an investment in the T. Rowe Price Funds. Directors are expected to invest the equivalent of at least one year of their directors’ fees in the T. Rowe Price Funds and new directors are given at

    PAGE 14


    least three years to reach this threshold. The directors allocate their investments among the T. Rowe Price Funds based on their own investment objectives. Accordingly, the table also shows their ownership in the Funds on which they currently serve or to which they are being nominated to serve as director, as well as their total ownership in all of the T. Rowe Price Funds. The table entitled “Interested Directors / Nominees” provides similar information, except the information pertains to the interested directors, including those who have been nominated for election as an interested director.

        

    Independent Directors / Nominees

     

    Name, Year of Birth, Position on Fund Board, and Principal Occupations and Other Directorships of Public Companies

    Dollar Range of Fund Shares Beneficially Owned, Directly or Indirectly, as of 12/31/2017

    Total Dollar Range of Shares Owned, Directly or Indirectly, in All Funds as of 12/31/2017

    Teresa Bryce Bazemore, 1959

    Director / Nominee of all T. Rowe Price Funds (191 portfolios)

    President, Radian Guaranty (2008 to 2017); Member, Bazemore Consulting LLC (2018 to present)

    Chimera Investment Corporation (2017 to present); Federal Home Loan Bank of Pittsburgh (2017 to present)

    Blue Chip Growth

    Emerging Markets Local Currency Bond

    Over $100,000(a)

    Over $100,000(a)

    Over $100,000(a)

    Ronald J. Daniels, 1959

    Director / Nominee of all T. Rowe Price Funds (191 portfolios)

    President, The Johns Hopkins University(b) and Professor, Political Science Department, The Johns Hopkins University (2009 to present)

    Lyndhurst Holdings (2015 to present)

    None

    None

    None

    PAGE 15


        

    Independent Directors / Nominees

     

    Name, Year of Birth, Position on Fund Board, and Principal Occupations and Other Directorships of Public Companies

    Dollar Range of Fund Shares Beneficially Owned, Directly or Indirectly, as of 12/31/2017

    Total Dollar Range of Shares Owned, Directly or Indirectly, in All Funds as of 12/31/2017

    Bruce W. Duncan, 1951

    Director of all T. Rowe Price Funds (191 portfolios)

    Chief Executive Officer and Director (January 2009 to December 2016), Chairman of the Board (January 2016 to present), and President (January 2009 to September 2016), First Industrial Realty Trust, owner and operator of industrial properties; Chairman of the Board (2005 to September 2016) and Director (1999 to September 2016), Starwood Hotels & Resorts, a hotel and leisure company

    Starwood Hotels & Resorts (1999 to September 2016); Boston Properties (May 2016 to present); Marriott International, Inc. (September 2016 to present)

    Emerging Markets Stock

    Over $100,000

    Over $100,000

    PAGE 16


        

    Independent Directors / Nominees

     

    Name, Year of Birth, Position on Fund Board, and Principal Occupations and Other Directorships of Public Companies

    Dollar Range of Fund Shares Beneficially Owned, Directly or Indirectly, as of 12/31/2017

    Total Dollar Range of Shares Owned, Directly or Indirectly, in All Funds as of 12/31/2017

    Robert J. Gerrard, Jr., 1952

    Director of all T. Rowe Price Funds (191 portfolios)

    Advisory Board Member, Pipeline Crisis/Winning Strategies, a collaborative working to improve opportunities for young African Americans (1997 to January 2016)

    None

    Blue Chip Growth

    Capital Appreciation

    Capital Opportunities

    Communications & Technology

    Dividend Growth

    Emerging Europe

    Emerging Markets Bond

    Emerging Markets Stock

    Emerging Markets Value Stock

    European Stock

    Financial Services

    Floating Rate Fund—I Class

    Global Stock

    Global Technology

    Growth Stock

    Health Sciences

    International Discovery

    International Stock

    Japan

    Latin America

    Mid-Cap Growth Fund—Advisor Class

    New America Growth

    New Horizons

    Personal Strategy Balanced

    Personal Strategy Growth

    QM U.S. Small & Mid-Cap Core Equity

    Retirement 2020

    Retirement 2025

    Retirement 2030

    Retirement 2035

    Retirement 2060

    Science & Technology

    Small-Cap Stock

    Small-Cap Value

    U.S. Large-Cap Core

    $10,001–$50,000

    Over $100,000

    $50,001–$100,000

    Over $100,000

    $10,001–$50,000

    $10,001–$50,000

    $1–$10,000

    $10,001–$50,000

    $10,001–$50,000

    $1–$10,000

    $50,001–$100,000

    $10,001–$50,000

    $10,001–$50,000

    Over $100,000

    $50,001–$100,000

    $50,001–$100,000

    $10,001–$50,000

    $10,001–$50,000

    $10,001–$50,000

    $1–$10,000

    Over $100,000

    $10,001–$50,000

    Over $100,000

    $50,001–$100,000

    $50,001–$100,000

    $10,001–$50,000

    $50,001–$100,000

    $50,001–$100,000

    $10,001–$50,000

    $10,001–$50,000

    $10,001–$50,000

    $50,001–$100,000

    $50,001–$100,000

    $1–$10,000

    $10,001–$50,000

    Over $100,000

    Paul F. McBride, 1956

    Director of all T. Rowe Price Funds (191 portfolios)

    Advisory Board Member, Vizzia Technologies (2015 to present); Board Member, Dunbar Armored (2012 to present)

    None

    Capital Appreciation

    Health Sciences

    New America Growth

    Real Estate

    Tax-Free High Yield

    Over $100,000

    Over $100,000

    Over $100,000

    Over $100,000

    Over $100,000

    Over $100,000

    PAGE 17


        

    Independent Directors / Nominees

     

    Name, Year of Birth, Position on Fund Board, and Principal Occupations and Other Directorships of Public Companies

    Dollar Range of Fund Shares Beneficially Owned, Directly or Indirectly, as of 12/31/2017

    Total Dollar Range of Shares Owned, Directly or Indirectly, in All Funds as of 12/31/2017

    Cecilia E. Rouse, Ph.D., 1963

    Director of all T. Rowe Price Funds (191 portfolios)

    Dean, Woodrow Wilson School (2012 to present); Professor and Researcher, Princeton University (1992 to present); Member of National Academy of Education (2010 to present); Director, MDRC, a nonprofit education and social policy research organization (2011 to present); Research Associate of Labor Studies Program at the National Bureau of Economic Research (2011 to 2015); Board Member of the National Bureau of Economic Research (2011 to present); Chair of Committee on the Status of Minority Groups in the Economic Profession of the American Economic Association (2012 to 2017); Vice President (2015 to 2016), American Economic Association

    None

    Personal Strategy Balanced

    Retirement 2030

    Over $100,000

    Over $100,000

    Over $100,000

    PAGE 18


        

    Independent Directors / Nominees

     

    Name, Year of Birth, Position on Fund Board, and Principal Occupations and Other Directorships of Public Companies

    Dollar Range of Fund Shares Beneficially Owned, Directly or Indirectly, as of 12/31/2017

    Total Dollar Range of Shares Owned, Directly or Indirectly, in All Funds as of 12/31/2017

    John G. Schreiber, 1946

    Director of all T. Rowe Price Funds (191 portfolios)

    Owner/President, Centaur Capital Partners, Inc., a real estate investment company (1991 to present); Cofounder, Partner, and Cochairman of the Investment Committee, Blackstone Real Estate Advisors, L.P. (1992 to 2015); Director, General Growth Properties, Inc. (2010 to 2013); Director, Blackstone Mortgage Trust, a real estate finance company (2012 to 2016); Director and Chairman of the Board, Brixmor Property Group, Inc. (2013 to present); Director, Hilton Worldwide (2013 to present); Director, Hudson Pacific Properties (2014 to 2016); Director, Invitation Homes (2014 to present) General Growth Properties, Inc. (2010 to 2013); Blackstone Mortgage Trust (2012 to 2016); Hilton Worldwide (2013 to present); Brixmor Property Group, Inc. (2013 to present); Hudson Pacific Properties (2014 to 2016)

    Blue Chip Growth

    Cash Reserves

    Emerging Markets Stock

    GNMA

    Government Money

    Growth & Income

    High Yield

    Japan

    Latin America

    New Era

    New Income

    Short-Term Bond

    Summit Municipal Income

    Summit Municipal Intermediate

    Summit Municipal Money

    Tac-Free High Yield

    U.S. Treasury Intermediate

    U.S. Treasury Long-Term

    U.S. Treasury Money

    Value Fund—I Class

    Over $100,000

    Over $100,000

    Over $100,000

    Over $100,000

    $10,001–$50,000

    Over $100,000

    Over $100,000

    Over $100,000

    Over $100,000

    Over $100,000

    Over $100,000

    Over $100,000

    Over $100,000

    Over $100,000

    $50,001–$100,000

    Over $100,000

    Over $100,000

    Over $100,000

    $1–$10,000

    Over $100,000

    Over $100,000

    Mark R. Tercek, 1957

    Director of all T. Rowe Price Funds (191 portfolios)

    President and Chief Executive Officer, The Nature Conservancy (2008 to present)

    None

    Cash Reserves

    Emerging Markets Stock

    Over $100,000

    Over $100,000

    Over $100,000

    (a) Holdings information for Ms. Bazemore is as of February 28, 2018.

    (b) William J. Stromberg, President and Chief Executive Officer of T. Rowe Price Group, Inc. (the parent company of the T. Rowe Price Funds’ investment adviser), has served on the Board of Trustees of Johns Hopkins University since 2014 and is a member of the Johns Hopkins University’s Board’s Compensation Committee.

    PAGE 19


        

    Interested Directors / Nominees

     

    Name, Year of Birth, Position on Fund Board, and Principal Occupations and Other Directorships of Public Companies

    Dollar Range of Fund Shares Beneficially Owned, Directly or Indirectly, as of 12/31/2017

    Total Dollar Range of Shares Owned, Directly or Indirectly, in All Funds as of 12/31/2017

    Edward C. Bernard, 1956

    Director and Chairman of all T. Rowe Price Funds (191 portfolios)

    Director and Vice President, T. Rowe Price Associates, Inc.; Vice Chairman of the Board, Director, and Vice President, T. Rowe Price Group, Inc.; Chairman of the Board, Director, and Vice President, T. Rowe Price Investment Services, Inc. and T. Rowe Price Services, Inc.; Chairman of the Board and Director, T. Rowe Price Retirement Plan Services, Inc.; Chairman of the Board, Chief Executive Officer, Director, and President, T. Rowe Price International and T. Rowe Price Trust Company

    None

    Capital Appreciation

    Cash Reserves

    Emerging Markets Stock

    Equity Income

    Global Stock

    Government Money

    Growth Stock

    High Yield

    Institutional Global Focused Growth Equity

    Institutional Mid-Cap Equity Growth

    Institutional Small-Cap Stock

    Intermediate Tax-Free High Yield Fund—I Class

    International Discovery

    International Stock

    New Asia

    New Asia Fund—I Class

    New Horizons

    Real Estate Fund—I Class

    Retirement 2055

    Science & Technology

    Science & Technology Fund—I Class

    Short-Term Bond Fund—I Class

    Small-Cap Stock Fund—I Class

    Small-Cap Value

    Spectrum Growth

    Spectrum Income

    Spectrum International

    Summit Municipal Intermediate

    Tax-Free Short-Intermediate Fund—I Class

    Total Equity Market Index

    U.S. Treasury Money

    Over $100,000

    Over $100,000

    $50,001–$100,000

    Over $100,000

    Over $100,000

    Over $100,000

    Over $100,000

    $10,001–$50,000

    Over $100,000

    Over $100,000

    $10,001–$50,000

    Over $100,000

    $10,001–$50,000

    $10,001–$50,000

    $10,001–$50,000

    Over $100,000

    $50,001–$100,000

    Over $100,000

    Over $100,000

    Over $100,000

    Over $100,000

    Over $100,000

    Over $100,000

    $50,001–$100,000

    Over $100,000

    $10,001–$50,000

    Over $100,000

    Over $100,000

    Over $100,000

    Over $100,000

    Over $100,000

    Over $100,000

    PAGE 20


        

    Interested Directors / Nominees

     

    Name, Year of Birth, Position on Fund Board, and Principal Occupations and Other Directorships of Public Companies

    Dollar Range of Fund Shares Beneficially Owned, Directly or Indirectly, as of 12/31/2017

    Total Dollar Range of Shares Owned, Directly or Indirectly, in All Funds as of 12/31/2017

    David Oestreicher, 1967

    Director/Nominee of all T. Rowe Price Funds (191 portfolios)

    Vice President, all T. Rowe Price Funds

    Chief Legal Officer and Vice President, T. Rowe Price Group, Inc.; Director and Vice President, T. Rowe Price Investment Services, Inc., T. Rowe Price Retirement Plan Services, Inc., T. Rowe Price Services, Inc., and T. Rowe Price Trust Company; Vice President, T. Rowe Price Associates, Inc., T. Rowe Price Hong Kong Limited, T. Rowe Price International Ltd, and T. Rowe Price Singapore Private Ltd.

    None

    Equity Income

    Government Money

    Health Sciences Fund—I Class

    Institutional High Yield

    Institutional Small-Cap Stock

    Institutional Global Focused Growth Equity

    New America Growth Fund—I Class

    New Asia Fund—I Class

    Retirement 2025

    Retirement 2030

    Retirement 2035

    Science & Technology

    U.S. Treasury Money

    $10,001–$50,000

    Over $100,000

    Over $100,000

    $50,001–$100,000

    Over $100,000

    $10,001–$50,000

    Over $100,000

    $10,001–$50,000

    $10,001–$50,000

    $10,001–$50,000

    $50,001–$100,000

    Over $100,000

    $10,001–$50,000

    Over $100,000

    Robert W. Sharps, 1971

    Director/Nominee of domestic equity and international T. Rowe Price Funds (135 portfolios)

    Vice President, T. Rowe Price Associates, Inc., T. Rowe Price Group, Inc., and T. Rowe Price Trust Company

    President, Equity Series and Institutional Equity Funds; Vice President, Blue Chip Growth Fund, Growth Stock Fund, Institutional International Funds, International Funds, Multi-Strategy Total Return Fund, New America Growth Fund, Personal Strategy Funds, Retirement Funds, and Spectrum Fund

    None

    Capital Appreciation

    Cash Reserves

    Credit Opportunities

    Dividend Growth

    Financial Services Fund—I Class

    Floating Rate Fund—I Class

    Global Allocation

    Global Real Estate Fund—I Class

    Government Money

    Health Sciences Fund—I Class

    High Yield

    Institutional Global Focused Growth Equity

    Institutional Large-Cap Growth

    Institutional Mid-Cap Equity Growth

    Institutional Small-Cap Stock

    Latin America Fund—I Class

    Maryland Short-Term Tax-Free Bond

    Maryland Tax-Free Bond

    Maryland Tax-Free Money

    New America Growth Fund—I Class

    New Asia Fund—I Class

    Spectrum Growth

    Tax-Free High Yield

    U.S. Treasury Money

    Ultra Short-Term Bond

    Over $100,000

    Over $100,000

    Over $100,000

    Over $100,000

    $50,001–$100,000

    Over $100,000

    Over $100,000

    $10,001–$50,000

    $1–$10,000

    Over $100,000

    Over $100,000

    Over $100,000

    Over $100,000

    Over $100,000

    Over $100,000

    $10,001–$50,000

    Over $100,000

    Over $100,000

    $1–$10,000

    Over $100,000

    Over $100,000

    Over $100,000

    Over $100,000

    Over $100,000

    Over $100,000

    Over $100,000

    PAGE 21


        

    Interested Directors / Nominees

     

    Name, Year of Birth, Position on Fund Board, and Principal Occupations and Other Directorships of Public Companies

    Dollar Range of Fund Shares Beneficially Owned, Directly or Indirectly, as of 12/31/2017

    Total Dollar Range of Shares Owned, Directly or Indirectly, in All Funds as of 12/31/2017

    Edward A. Wiese, 1959

    Director/Nominee of domestic fixed income T. Rowe Price Funds (56 portfolios)

    Vice President, T. Rowe Price Associates, Inc., T. Rowe Price Group, Inc., T. Rowe Price International, and T. Rowe Price Trust Company

    President, Fixed Income Series, High Yield Fund, and Multi-Sector Account Portfolios

    None

    Cash Reserves

    Dynamic Global Bond

    Emerging Markets Bond

    Global High Income Bond

    Global Stock

    Global Technology

    Government Money

    Health Sciences

    Institutional Floating Rate

    International Stock

    New Era

    Science & Technology

    Science & Technology Fund—Advisor Class

    Short-Term Bond

    Short-Term Bond Fund—I Class

    Spectrum Growth

    Total Equity Market Index

    U.S. Treasury Money

    Over $100,000

    Over $100,000

    $50,001–$100,000

    Over $100,000

    Over $100,000

    $10,001–$50,000

    Over $100,000

    Over $100,000

    Over $100,000

    $1–$10,000

    $10,001–$50,000

    $10,001–$50,000

    Over $100,000

    $50,001–$100,000

    Over $100,000

    $10,001–$50,000

    $10,001–$50,000

    Over $100,000

    Over $100,000

    PAGE 22


    The following table entitled “Term of T. Rowe Price Funds Directorship” shows the year from which each current director has served on each Fund’s Board (or that of the corporation of which the Fund is a part). Please note that Mr. Oestreicher is not shown in the table because he does not currently serve on the Board of any T. Rowe Price Fund.

    Term of T. Rowe Price Funds Directorship

               

    Corporation

    Bazemore

    Daniels

    Duncan

    Gerrard

    McBride

    Rouse

    Sharps

    Schreiber

    Tercek

    Wiese

    Balanced Fund

    2018

    2018

    2013

    2012

    2013

    2012

    2017

    2001

    2009

    —

    Blue Chip Growth Fund

    2018

    2018

    2013

    2012

    2013

    2012

    2017

    2001

    2009

    —

    Capital Appreciation Fund

    2018

    2018

    2013

    2012

    2013

    2012

    2017

    2001

    2009

    —

    Capital Appreciation & Income Fund

    2018

    2018

    2017

    2017

    2017

    2017

    2017

    2017

    2017

    —

    Capital Opportunity Fund

    2018

    2018

    2013

    2012

    2013

    2012

    2017

    2001

    2009

    —

    Communications & Technology Fund

    2018

    2018

    2013

    2012

    2013

    2012

    2017

    2001

    2009

    —

    Corporate Income Fund

    2018

    2018

    2013

    2013

    2013

    2013

    —

    1995

    2009

    2015

    Credit Opportunities Fund

    2018

    2018

    2014

    2014

    2014

    2014

    —

    2014

    2014

    2015

    Diversified Mid-Cap Growth Fund

    2018

    2018

    2013

    2012

    2013

    2012

    2017

    2003

    2009

    —

    Dividend Growth Fund

    2018

    2018

    2013

    2012

    2013

    2012

    2017

    2001

    2009

    —

    Equity Income Fund

    2018

    2018

    2013

    2012

    2013

    2012

    2017

    2001

    2009

    —

    Equity Series

    2018

    2018

    2013

    2012

    2013

    2012

    2017

    2001

    2009

    —

    Financial Services Fund

    2018

    2018

    2013

    2012

    2013

    2012

    2017

    2001

    2009

    —

    Fixed Income Series

    2018

    2018

    2013

    2013

    2013

    2013

    —

    1994

    2009

    2015

    Floating Rate Fund

    2018

    2018

    2013

    2013

    2013

    2013

    —

    2011

    2011

    2015

    Global Allocation Fund

    2018

    2018

    2013

    2013

    2013

    2013

    2017

    2013

    2013

    —

    Global Multi-Sector Bond Fund

    2018

    2018

    2013

    2013

    2013

    2013

    —

    2008

    2009

    2015

    Global Real Estate Fund

    2018

    2018

    2013

    2012

    2013

    2012

    2017

    2008

    2009

    —

    Global Technology Fund

    2018

    2018

    2013

    2012

    2013

    2012

    2017

    2001

    2009

    —

    GNMA Fund

    2018

    2018

    2013

    2013

    2013

    2013

    —

    1992

    2009

    2015

    Government Money Fund

    2018

    2018

    2013

    2013

    2013

    2013

    —

    1992

    2009

    2015

    Growth & Income Fund

    2018

    2018

    2013

    2012

    2013

    2012

    2017

    2001

    2009

    —

    Growth Stock Fund

    2018

    2018

    2013

    2012

    2013

    2012

    2017

    2001

    2009

    —

    PAGE 23


               

    Corporation

    Bazemore

    Daniels

    Duncan

    Gerrard

    McBride

    Rouse

    Sharps

    Schreiber

    Tercek

    Wiese

    Health Sciences Fund

    2018

    2018

    2013

    2012

    2013

    2012

    2017

    2001

    2009

    —

    High Yield Fund

    2018

    2018

    2013

    2013

    2013

    2013

    —

    1992

    2009

    2015

    Index Trust

    2018

    2018

    2013

    2012

    2013

    2012

    2017

    2001

    2009

    —

    Inflation Protected Bond Fund

    2018

    2018

    2013

    2013

    2013

    2013

    —

    2002

    2009

    2015

    Institutional Equity Funds

    2018

    2018

    2013

    2012

    2013

    2012

    2017

    2001

    2009

    —

    Institutional Income Funds

    2018

    2018

    2013

    2013

    2013

    2013

    —

    2002

    2009

    2015

    Institutional International Funds

    2018

    2018

    2013

    2012

    2013

    2012

    2017

    2001

    2009

    —

    Intermediate Tax-Free High Yield Fund

    2018

    2018

    2014

    2014

    2014

    2014

    —

    2014

    2014

    2015

    International Funds

    2018

    2018

    2013

    2012

    2013

    2012

    2017

    2001

    2009

    —

    International Index Fund

    2018

    2018

    2013

    2012

    2013

    2012

    2017

    2001

    2009

    —

    International Series

    2018

    2018

    2013

    2012

    2013

    2012

    2017

    2001

    2009

    —

    Limited Duration Inflation Focused Bond Fund

    2018

    2018

    2013

    2013

    2013

    2013

    —

    2006

    2009

    2015

    Mid-Cap Growth Fund

    2018

    2018

    2013

    2012

    2013

    2012

    2017

    2001

    2009

    —

    Mid-Cap Value Fund

    2018

    2018

    2013

    2012

    2013

    2012

    2017

    2001

    2009

    —

    Multi-Sector Account Portfolios

    2018

    2018

    2013

    2013

    2013

    2013

    —

    2012

    2012

    2015

    Multi-Strategy Total Return Fund

    2018

    2018

    2017

    2017

    2017

    2017

    2017

    2017

    2017

    —

    New America Growth Fund

    2018

    2018

    2013

    2012

    2013

    2012

    2017

    2001

    2009

    —

    New Era Fund

    2018

    2018

    2013

    2012

    2013

    2012

    2017

    2001

    2009

    —

    New Horizons Fund

    2018

    2018

    2013

    2012

    2013

    2012

    2017

    2001

    2009

    —

    New Income Fund

    2018

    2018

    2013

    2013

    2013

    2013

    —

    1992

    2009

    2015

    Personal Strategy Funds

    2018

    2018

    2013

    2012

    2013

    2012

    2017

    2001

    2009

    —

    Quantitative Management Funds

    2018

    2018

    2013

    2012

    2013

    2012

    2017

    2001

    2009

    —

    Real Assets Fund

    2018

    2018

    2013

    2012

    2013

    2012

    2017

    2010

    2010

    —

    Real Estate Fund

    2018

    2018

    2013

    2012

    2013

    2012

    2017

    2001

    2009

    —

    PAGE 24


               

    Corporation

    Bazemore

    Daniels

    Duncan

    Gerrard

    McBride

    Rouse

    Sharps

    Schreiber

    Tercek

    Wiese

    TRP Reserve Investment Funds

    2018

    2018

    2013

    2013

    2013

    2013

    —

    1997

    2009

    2015

    Retirement Funds

    2018

    2018

    2013

    2012

    2013

    2012

    2017

    2002

    2009

    —

    Science & Technology Fund

    2018

    2018

    2013

    2012

    2013

    2012

    2017

    2001

    2009

    —

    Short-Term Bond Fund

    2018

    2018

    2013

    2013

    2013

    2013

    —

    1992

    2009

    2015

    Small-Cap Stock Fund

    2018

    2018

    2013

    2012

    2013

    2012

    2017

    2001

    2009

    —

    Small-Cap Value Fund

    2018

    2018

    2013

    2012

    2013

    2012

    2017

    2001

    2009

    —

    Spectrum Fund

    2018

    2018

    2013

    2012

    2013

    2012

    2017

    2001

    2009

    —

    State Tax-Free Funds

    2018

    2018

    2013

    2013

    2013

    2013

    —

    1992

    2009

    2015

    Summit Income Funds

    2018

    2018

    2013

    2013

    2013

    2013

    —

    1993

    2009

    2015

    Summit Municipal Funds

    2018

    2018

    2013

    2013

    2013

    2013

    —

    1993

    2009

    2015

    Tax-Efficient Funds

    2018

    2018

    2013

    2012

    2013

    2012

    2017

    2001

    2009

    —

    Tax-Exempt Money Fund

    2018

    2018

    2013

    2013

    2013

    2013

    —

    1992

    2009

    2015

    Tax-Free High Yield Fund

    2018

    2018

    2013

    2013

    2013

    2013

    —

    1992

    2009

    2015

    Tax-Free Income Fund

    2018

    2018

    2013

    2013

    2013

    2013

    —

    1992

    2009

    2015

    Tax-Free Short-Intermediate Fund

    2018

    2018

    2013

    2013

    2013

    2013

    —

    1992

    2009

    2015

    Total Return Fund

    2018

    2018

    2016

    2016

    2016

    2016

    —

    2016

    2016

    2016

    U.S. Bond Enhanced Index Fund

    2018

    2018

    2013

    2013

    2013

    2013

    —

    2000

    2009

    2015

    U.S. Large-Cap Core Fund

    2018

    2018

    2013

    2012

    2013

    2012

    2017

    2009

    2009

    —

    U.S. Treasury Funds

    2018

    2018

    2013

    2013

    2013

    2013

    —

    1992

    2009

    2015

    Value Fund

    2018

    2018

    2013

    2012

    2013

    2012

    2017

    2001

    2009

    —

    PAGE 25


    What are the directors paid for their services to the Funds?

    Messrs. Oestreicher (if elected), Sharps, and Weise are considered “interested persons” of the Funds because they are employed by, and also serve as officers of, T. Rowe Price and its affiliates. The officers of the Funds and interested directors do not receive any compensation or benefits from the Funds for their service.

    As of January 1, 2018, the independent directors are paid $310,000 annually for their service on the Boards. The Lead Independent Director receives an additional $150,000 annually for serving in this capacity. An independent director serving on the Joint Audit Committee receives an additional $30,000 annually for his/her service and the chairman of the Joint Audit Committee receives an additional $10,000 for his/her service. An independent director serving as a member of a Special Committee of the Independent Directors receives an additional $1,500 per meeting of the Special Committee.

    The following table entitled “Compensation” shows the accrued amounts paid by each Fund, and the total compensation that was paid from all of the Funds, to all of the independent directors for the 2017 calendar year. The fees are allocated to each Fund on a pro rata basis based on each Fund’s net assets relative to the other Funds. The independent directors of the Funds do not receive any pension or retirement benefits from the Funds or T. Rowe Price.

    Compensation

             

    Fund

    Aggregate Compensation From

    Bazemore*

    Daniels*

    Duncan

    Gerrard

    McBride

    Rouse

    Schreiber

    Tercek

    Africa & Middle East

    —

    —

    $59

    $58

    $59

    $59

    $54

    $56

    Asia Opportunities

    —

    —

    21

    20

    21

    21

    19

    20

    Balanced

    —

    —

    1,723

    1,683

    1,717

    1,710

    1,555

    1,611

    Blue Chip Growth

    —

    —

    16,835

    16,388

    16,772

    16,688

    15,186

    15,768

    Blue Chip Growth Portfolio

    —

    —

    443

    430

    441

    439

    399

    415

    California Tax-Free Bond

    —

    —

    271

    265

    270

    269

    245

    253

    California Tax-Free Money

    —

    —

    22

    21

    21

    21

    19

    20

    Capital Appreciation

    —

    —

    12,265

    11,982

    12,222

    12,168

    11,066

    11,467

    Capital Appreciation & Income(a)

    —

    —

    —

    —

    —

    —

    —

    —

    Capital Opportunity

    —

    —

    241

    235

    240

    239

    217

    225

    Cash Reserves

    —

    —

    975

    953

    971

    967

    880

    911

    Communications & Technology

    —

    —

    1,888

    1,839

    1,881

    1,872

    1,703

    1,768

    Corporate Income

    —

    —

    406

    397

    405

    403

    366

    380

    Credit Opportunities

    —

    —

    20

    19

    20

    20

    18

    19

    Diversified Mid-Cap Growth

    —

    —

    313

    305

    312

    311

    283

    293

    Dividend Growth

    —

    —

    3,369

    3,286

    3,357

    3,341

    3,040

    3,153

    Dynamic Global Bond

    —

    —

    179

    172

    179

    176

    162

    169

    Emerging Europe

    —

    —

    77

    75

    77

    76

    69

    72

    PAGE 26


             

    Fund

    Aggregate Compensation From

    Bazemore*

    Daniels*

    Duncan

    Gerrard

    McBride

    Rouse

    Schreiber

    Tercek

    Emerging Markets Bond

    —

    —

    2,876

    2,812

    2,866

    2,854

    2,595

    2,688

    Emerging Markets Corporate Bond

    —

    —

    26

    25

    26

    26

    23

    24

    Emerging Markets Corporate Multi-Sector Account Portfolio(b)

    —

    —

    14

    13

    13

    13

    12

    13

    Emerging Markets Local Currency Bond

    —

    —

    136

    132

    135

    134

    122

    127

    Emerging Markets Local Multi-Sector Account Portfolio(b)

    —

    —

    13

    13

    13

    13

    12

    13

    Emerging Markets Stock

    —

    —

    3,887

    3,780

    3,872

    3,851

    3,507

    3,642

    Emerging Markets Value Stock

    —

    —

    14

    14

    14

    14

    13

    13

    Equity Income

    —

    —

    9,761

    9,570

    9,732

    9,692

    8,811

    9,112

    Equity Income Portfolio

    —

    —

    321

    314

    320

    318

    289

    300

    Equity Index 500

    —

    —

    12,797

    12,540

    12,759

    12,705

    11,551

    11,949

    Equity Index 500 Portfolio

    —

    —

    8

    8

    8

    8

    7

    8

    European Stock

    —

    —

    474

    462

    472

    470

    427

    444

    Extended Equity Market Index

    —

    —

    357

    349

    356

    354

    322

    333

    Financial Services

    —

    —

    335

    329

    334

    333

    303

    313

    Floating Rate

    —

    —

    414

    403

    412

    410

    373

    387

    Floating Rate Multi-Sector Account Portfolio(b)

    —

    —

    32

    31

    32

    32

    29

    30

    Georgia Tax-Free Bond

    —

    —

    139

    136

    138

    138

    125

    130

    Global Allocation

    —

    —

    108

    105

    107

    107

    97

    101

    Global Consumer

    —

    —

    5

    5

    5

    5

    5

    5

    Global Growth Stock

    —

    —

    53

    51

    53

    53

    48

    50

    Global High Income Bond

    —

    —

    32

    31

    32

    32

    29

    30

    Global Industrials

    —

    —

    9

    9

    9

    9

    9

    9

    Global Multi-Sector Bond

    —

    —

    189

    183

    188

    187

    170

    177

    Global Real Estate

    —

    —

    93

    91

    92

    92

    84

    86

    Global Stock

    —

    —

    304

    295

    303

    301

    274

    285

    Global Technology

    —

    —

    2,042

    1,976

    2,034

    2,022

    1,841

    1,918

    GNMA

    —

    —

    628

    615

    626

    623

    567

    586

    Government Money

    —

    —

    3,638

    3,558

    3,626

    3,610

    3,283

    3,400

    Government Money Portfolio

    —

    —

    12

    11

    12

    12

    11

    11

    Government Reserve

    —

    —

    7,511

    7,340

    7,480

    7,451

    6,774

    7,019

    Growth & Income

    —

    —

    773

    755

    771

    767

    698

    723

    Growth Stock

    —

    —

    21,657

    21,152

    21,582

    21,485

    19,541

    20,252

    Health Sciences

    —

    —

    4,818

    4,701

    4,800

    4,779

    4,347

    4,507

    Health Sciences Portfolio

    —

    —

    275

    269

    274

    273

    248

    258

    High Yield

    —

    —

    4,189

    4,105

    4,175

    4,159

    3,780

    3,910

    High Yield Multi-Sector Account Portfolio(b)

    —

    —

    8

    8

    8

    8

    7

    7

    PAGE 27


             

    Fund

    Aggregate Compensation From

    Bazemore*

    Daniels*

    Duncan

    Gerrard

    McBride

    Rouse

    Schreiber

    Tercek

    Inflation Protected Bond

    —

    —

    211

    206

    210

    209

    190

    197

    Institutional Africa & Middle East

    —

    —

    76

    74

    75

    75

    68

    71

    Institutional Cash Reserves

    —

    —

    18

    18

    18

    18

    17

    17

    Institutional Core Plus

    —

    —

    226

    221

    225

    224

    203

    211

    Institutional Credit Opportunities

    —

    —

    11

    11

    11

    11

    10

    10

    Institutional Emerging Markets Bond

    —

    —

    144

    140

    143

    142

    130

    135

    Institutional Emerging Markets Equity

    —

    —

    572

    554

    569

    566

    515

    537

    Institutional Floating Rate

    —

    —

    2,189

    2,138

    2,181

    2,171

    1,975

    2,046

    Institutional Frontier Markets Equity

    —

    —

    24

    24

    24

    24

    22

    23

    Institutional Global Focused Growth Equity

    —

    —

    18

    18

    18

    18

    16

    17

    Institutional Global Growth Equity

    —

    —

    174

    170

    174

    173

    157

    163

    Institutional Global Multi-Sector Bond

    —

    —

    13

    13

    13

    13

    12

    12

    Institutional Global Value Equity

    —

    —

    5

    4

    5

    5

    4

    4

    Institutional High Yield

    —

    —

    776

    759

    773

    770

    700

    725

    Institutional International Bond

    —

    —

    158

    154

    157

    157

    142

    148

    Institutional International Concentrated Equity

    —

    —

    200

    194

    199

    198

    180

    187

    Institutional International Core Equity

    —

    —

    69

    68

    69

    69

    63

    65

    Institutional International Growth Equity

    —

    —

    24

    23

    24

    23

    21

    22

    Institutional Large-Cap Core Growth

    —

    —

    1,179

    1,149

    1,175

    1,169

    1,064

    1,104

    Institutional Large-Cap Growth

    —

    —

    6,086

    5,934

    6,064

    6,035

    5,491

    5,696

    Institutional Large-Cap Value

    —

    —

    1,518

    1,481

    1,513

    1,505

    1,370

    1,420

    Institutional Long Duration Credit

    —

    —

    16

    16

    16

    16

    15

    15

    Institutional Mid-Cap Equity Growth

    —

    —

    2,772

    2,704

    2,762

    2,749

    2,501

    2,594

    Institutional Small-Cap Stock

    —

    —

    1,671

    1,629

    1,664

    1,657

    1,507

    1,563

    Institutional U.S. Structured Research

    —

    —

    273

    267

    272

    271

    246

    255

    Intermediate Tax-Free High Yield

    —

    —

    23

    22

    23

    23

    21

    21

    International Bond

    —

    —

    2,154

    2,101

    2,146

    2,137

    1,942

    2,015

    International Bond(USD Hedged)

    —

    —

    24

    22

    24

    23

    22

    23

    PAGE 28


             

    Fund

    Aggregate Compensation From

    Bazemore*

    Daniels*

    Duncan

    Gerrard

    McBride

    Rouse

    Schreiber

    Tercek

    International Concentrated Equity

    —

    —

    9

    9

    9

    9

    8

    8

    International Discovery

    —

    —

    2,688

    2,607

    2,677

    2,663

    2,424

    2,522

    International Equity Index

    —

    —

    238

    232

    238

    236

    215

    223

    International Stock

    —

    —

    6,827

    6,675

    6,803

    6,774

    6,160

    6,380

    International Stock Portfolio

    —

    —

    153

    149

    152

    151

    138

    143

    International Value Equity

    —

    —

    5,663

    5,529

    5,644

    5,618

    5,109

    5,297

    Investment-Grade Corporate Multi-Sector Account Portfolio(b)

    —

    —

    44

    43

    44

    43

    39

    41

    Japan

    —

    —

    247

    240

    246

    244

    223

    231

    Latin America

    —

    —

    287

    279

    285

    284

    258

    268

    Limited Duration Inflation Focused Bond

    —

    —

    3,530

    3,449

    3,517

    3,502

    3,185

    3,300

    Limited-Term Bond Portfolio

    —

    —

    181

    177

    180

    179

    163

    169

    Maryland Short-Term Tax-Free Bond

    —

    —

    86

    84

    86

    85

    77

    80

    Maryland Tax-Free Bond

    —

    —

    980

    958

    977

    972

    884

    916

    Maryland Tax-Free Money

    —

    —

    35

    35

    35

    35

    32

    33

    Mid-Cap Growth

    —

    —

    12,028

    11,736

    11,985

    11,930

    10,851

    11,253

    Mid-Cap Growth Portfolio

    —

    —

    191

    187

    190

    189

    172

    179

    Mid-Cap Index

    —

    —

    3

    3

    3

    3

    2

    2

    Mid-Cap Value

    —

    —

    5,910

    5,784

    5,890

    5,865

    5,333

    5,521

    Mortgage-Backed Securities Multi-Sector Account Portfolio(b)

    —

    —

    53

    52

    53

    53

    48

    50

    Multi-Strategy Total Return(c)

    3

    3

    4

    3

    4

    4

    5

    4

    New America Growth

    —

    —

    1,712

    1,669

    1,706

    1,698

    1,544

    1,602

    New America Growth Portfolio

    —

    —

    85

    83

    85

    85

    77

    80

    New Asia

    —

    —

    1,232

    1,200

    1,227

    1,221

    1,111

    1,153

    New Era

    —

    —

    1,567

    1,532

    1,562

    1,555

    1,414

    1,464

    New Horizons

    —

    —

    8,466

    8,250

    8,435

    8,395

    7,637

    7,926

    New Income

    —

    —

    14,896

    14,544

    14,841

    14,779

    13,435

    13,930

    New Jersey Tax-Free Bond

    —

    —

    167

    163

    167

    166

    151

    156

    New York Tax-Free Bond

    —

    —

    208

    203

    207

    206

    187

    194

    New York Tax-Free Money

    —

    —

    25

    24

    24

    24

    22

    23

    Overseas Stock

    —

    —

    6,173

    6,014

    6,150

    6,122

    5,568

    5,780

    Personal Strategy Balanced

    —

    —

    955

    933

    952

    947

    862

    893

    Personal Strategy Balanced Portfolio

    —

    —

    73

    72

    73

    73

    66

    69

    Personal Strategy Growth

    —

    —

    844

    822

    841

    837

    762

    791

    PAGE 31


             

    Fund

    Aggregate Compensation From

    Bazemore*

    Daniels*

    Duncan

    Gerrard

    McBride

    Rouse

    Schreiber

    Tercek

    Personal Strategy Income

    —

    —

    806

    786

    803

    800

    728

    755

    QM Global Equity

    —

    —

    6

    6

    6

    6

    6

    6

    QM U.S. Small & Mid-Cap Core Equity

    —

    —

    17

    16

    17

    17

    15

    16

    QM U.S. Small-Cap Growth Equity

    —

    —

    1,910

    1,850

    1,902

    1,891

    1,722

    1,793

    QM U.S. Value Equity

    —

    —

    8

    8

    8

    8

    7

    7

    Real Assets

    —

    —

    1,471

    1,442

    1,467

    1,461

    1,328

    1,373

    Real Estate

    —

    —

    2,759

    2,701

    2,750

    2,738

    2,490

    2,577

    Retirement 2005

    —

    —

    779

    762

    776

    773

    703

    727

    Retirement 2010

    —

    —

    2,385

    2,337

    2,377

    2,367

    2,152

    2,226

    Retirement 2015

    —

    —

    4,052

    3,971

    4,039

    4,023

    3,657

    3,782

    Retirement 2020

    —

    —

    11,229

    10,999

    11,193

    11,147

    10,134

    10,486

    Retirement 2025

    —

    —

    9,305

    9,104

    9,275

    9,235

    8,397

    8,694

    Retirement 2030

    —

    —

    11,890

    11,633

    11,851

    11,801

    10,729

    11,109

    Retirement 2035

    —

    —

    7,117

    6,960

    7,093

    7,063

    6,422

    6,651

    Retirement 2040

    —

    —

    8,359

    8,176

    8,332

    8,296

    7,543

    7,812

    Retirement 2045

    —

    —

    4,417

    4,317

    4,402

    4,383

    3,986

    4,129

    Retirement 2050

    —

    —

    3,531

    3,448

    3,519

    3,503

    3,186

    3,302

    Retirement 2055

    —

    —

    1,499

    1,463

    1,494

    1,487

    1,353

    1,403

    Retirement 2060

    —

    —

    116

    112

    116

    115

    105

    110

    Retirement Balanced

    —

    —

    1,216

    1,191

    1,212

    1,207

    1,097

    1,136

    Retirement I 2005 Fund—I Class

    —

    —

    34

    32

    34

    33

    30

    32

    Retirement I 2010 Fund—I Class

    —

    —

    129

    125

    128

    128

    116

    121

    Retirement I 2015 Fund—I Class

    —

    —

    232

    225

    231

    230

    209

    218

    Retirement I 2020 Fund—I Class

    —

    —

    768

    742

    764

    760

    692

    722

    Retirement I 2025 Fund—I Class

    —

    —

    626

    603

    623

    619

    564

    589

    Retirement I 2030 Fund—I Class

    —

    —

    921

    889

    917

    912

    830

    867

    Retirement I 2035 Fund—I Class

    —

    —

    523

    503

    520

    517

    471

    492

    Retirement I 2040 Fund—I Class

    —

    —

    707

    682

    703

    699

    637

    665

    Retirement I 2045 Fund—I Class

    —

    —

    342

    329

    341

    339

    308

    322

    Retirement I 2050 Fund—I Class

    —

    —

    371

    358

    369

    367

    334

    349

    Retirement I 2055 Fund—I Class

    —

    —

    121

    116

    120

    119

    109

    114

    Retirement I 2060 Fund—I Class

    —

    —

    17

    16

    16

    16

    15

    16

    Retirement Balanced I Fund—I Class

    —

    —

    73

    71

    73

    72

    66

    69

    Retirement Income 2020

    —

    —

    2

    1

    2

    2

    1

    2

    Science & Technology

    —

    —

    2,033

    1,981

    2,026

    2,016

    1,834

    1,904

    Short-Term

    —

    —

    1,154

    1,143

    1,153

    1,149

    1,043

    1,072

    Short-Term Bond

    —

    —

    2,184

    2,139

    2,177

    2,168

    1,971

    2,040

    Short-Term Government

    —

    —

    0

    0

    0

    0

    0

    0

    Small-Cap Index

    —

    —

    3

    3

    3

    3

    2

    3

    PAGE 32


             

    Fund

    Aggregate Compensation From

    Bazemore*

    Daniels*

    Duncan

    Gerrard

    McBride

    Rouse

    Schreiber

    Tercek

    Small-Cap Stock

    —

    —

    4,160

    4,076

    4,147

    4,130

    3,755

    3,884

    Small-Cap Value

    —

    —

    4,308

    4,214

    4,294

    4,275

    3,888

    4,025

    Spectrum Growth

    —

    —

    1,589

    1,553

    1,584

    1,577

    1,434

    1,486

    Spectrum Income

    —

    —

    2,869

    2,804

    2,859

    2,846

    2,589

    2,682

    Spectrum International

    —

    —

    585

    569

    582

    580

    527

    547

    Summit Municipal Income

    —

    —

    558

    545

    556

    553

    503

    522

    Summit Municipal Intermediate

    —

    —

    2,026

    1,975

    2,019

    2,009

    1,828

    1,897

    Summit Municipal Money Market

    —

    —

    55

    54

    55

    55

    50

    51

    Target 2005

    —

    —

    14

    13

    13

    13

    12

    13

    Target 2010

    —

    —

    28

    27

    28

    27

    25

    26

    Target 2015

    —

    —

    79

    77

    78

    78

    71

    74

    Target 2020

    —

    —

    106

    103

    106

    105

    96

    99

    Target 2025

    —

    —

    89

    87

    89

    88

    80

    83

    Target 2030

    —

    —

    91

    89

    91

    91

    82

    86

    Target 2035

    —

    —

    55

    53

    55

    54

    49

    51

    Target 2040

    —

    —

    47

    46

    47

    46

    42

    44

    Target 2045

    —

    —

    32

    31

    32

    31

    29

    30

    Target 2050

    —

    —

    22

    22

    22

    22

    20

    21

    Target 2055

    —

    —

    12

    12

    12

    12

    11

    12

    Target 2060

    —

    —

    3

    3

    3

    3

    3

    3

    Tax-Efficient Equity

    —

    —

    107

    105

    107

    107

    97

    101

    Tax-Exempt Money

    —

    —

    159

    156

    159

    158

    144

    149

    Tax-Free High Yield

    —

    —

    2,086

    2,036

    2,078

    2,069

    1,882

    1,951

    Tax-Free Income

    —

    —

    1,143

    1,117

    1,139

    1,134

    1,032

    1,069

    Tax-Free Short-Intermediate

    —

    —

    882

    863

    879

    875

    796

    824

    Total Equity Market Index

    —

    —

    679

    663

    676

    673

    612

    635

    Total Return

    —

    —

    13

    13

    13

    13

    12

    13

    Treasury Reserve

    —

    —

    1,595

    1,560

    1,591

    1,583

    1,441

    1,492

    U.S. Bond Enhanced Index

    —

    —

    296

    289

    295

    294

    267

    277

    U.S. High Yield

    —

    —

    20

    18

    19

    19

    18

    19

    U.S. Large-Cap Core

    —

    —

    179

    174

    178

    177

    161

    168

    U.S. Treasury Intermediate

    —

    —

    176

    171

    175

    174

    159

    165

    U.S. Treasury Long-Term

    —

    —

    236

    228

    237

    233

    215

    223

    U.S. Treasury Money

    —

    —

    2,463

    2,389

    2,451

    2,438

    2,221

    2,310

    Ultra Short-Term Bond

    —

    —

    157

    153

    156

    156

    142

    147

    Value

    —

    —

    10,843

    10,600

    10,806

    10,758

    9,785

    10,135

    Virginia Tax-Free Bond

    —

    —

    524

    512

    522

    520

    473

    490

    * Effective January 1, 2018, Ms. Bazemore and Mr. Daniels were elected as independent directors of the T. Rowe Price Funds.

    (a) Prior to commencement of operations.

    (b) Directors’ fees were paid by T. Rowe Price on behalf of the Fund.

    (c) Estimated for the period February 24, 2018, through December 31, 2018.

    PAGE 33


    What vote is required to elect the directors?

    Four directors have been nominated for shareholder approval for each Board. Proposal 1 requires the affirmative vote of a plurality of the shares present and entitled to vote at the meeting to elect the Board members of that Fund. All shareholders of each corporation, regardless of whether the corporation consists of one or multiple series and/or classes vote together. Thus, if a quorum is present at the Shareholder Meeting for each corporation, the proposal to elect the director nominees will be approved with respect to those director nominees who receive the largest number of votes, with no majority approval requirement.

    The Boards of Directors, including the Funds’ independent directors, recommend that shareholders vote FOR all of the proposed nominees.

    PROPOSAL NO. 2 — Amend the Investment Objective for each of the Communications & Technology, International Bond, and New Income Funds

    Communications & Technology Fund

    The Communications & Technology Fund’s current investment objective is as follows:

     “The fund seeks to provide long-term capital growth through the common  stocks of media, technology, and telecommunications companies.”

    The Fund, which was formerly the Media & Telecommunications Fund, changed its name on May 1, 2018. The Fund’s new name is more reflective of the Fund’s portfolio and how the Fund is currently managed. The investment universe available to the Fund has evolved since the Fund adopted its former name in 1997 and its current investment objective in 1999, and Internet-related securities now represent a much more significant portion of the Fund’s holdings while media and telecommunications companies are less significant.

    The Board proposes that the Communications & Technology Fund’s investment objective be changed to the following:

     “The fund seeks to provide long-term capital growth.”

    The proposed investment objective is more general and does not include references to investments in companies in specific industries or sectors, which is intended to provide the Fund with more long-term flexibility. In addition, the reference to media companies has been removed from the proposed investment objective in order to avoid confusion in light of the Fund’s name change. The Board, upon recommendation by the Fund’s investment adviser, believes that shareholders will benefit from the proposed investment objective

    PAGE 34


    as it will allow the portfolio manager greater flexibility to execute the Fund’s investment program in the future, as the Fund’s investments and the industries and sectors in which it invests continue to evolve.

    There will be no material changes to the Fund’s current investment program, or to the Fund’s overall risk profile, as a result of the proposed change to the Fund’s investment objective. The Fund’s current policy of normally investing at least 80% of its net assets (including any borrowings for investment purposes) in securities of communications and technology companies, which is required due to the Fund’s name, will not change. The Fund’s investments in communications and technology companies include those that are involved in a variety of industries, including, but not limited to, Internet-related industries such as e-commerce and digital products and services; media, including publishing, advertising, broadcasting, and cable and satellite TV; movies and entertainment; telecommunication and wireless telecommunication services; computer hardware, software, and networking services; and components and equipment.

    International Bond Fund

    The International Bond Fund’s current investment objective is as follows:

     “The fund seeks to provide high current income and capital appreciation by  investing primarily in high-quality, nondollar-denominated bonds outside  the U.S.”

    The Board proposes that the International Bond Fund’s investment objective be changed to the following:

     “The fund seeks to provide current income and capital appreciation.”

    The Board, upon recommendation by the Fund’s investment adviser, believes that it is in the interests of the Fund’s shareholders to approve a more general investment objective to provide the Fund with more long-term flexibility.

    The inclusion of the phrase “…primarily in high-quality, nondollar-denominated bonds outside the U.S.” (emphasis added) in the Fund’s current investment objective has led the Fund to adopt a policy of normally investing at least 65% of its net assets in non-U.S. dollar-denominated foreign bonds that are rated investment grade (i.e., BBB- or equivalent, or better), as determined by at least one major credit rating agency or, if unrated, deemed to be of comparable quality by T. Rowe Price. While the Fund has no plans to deviate from this policy at this time, the Board recognizes that requiring 65% of the Fund’s assets to be invested in non-U.S. dollar-denominated foreign bonds that are rated investment grade over time could prove unnecessarily restrictive in certain market environments or as the Fund’s investable universe changes. In fact, the Fund’s policy to comply with the requirement in its

    PAGE 35


    investment objective to invest primarily in “high quality bonds” has been amended previously with approval by its Board. In 2011, the Board approved changing the policy from requiring a minimum of 65% in foreign bonds rated AA or better to requiring a minimum of 65% in foreign bonds rated in the three highest credit categories (i.e., A- or equivalent, or better), and in 2015, the Board approved further changing the policy to require a minimum of 65% in foreign bonds rated investment grade. These changes were made to provide additional flexibility in light of the overall credit quality decline in the international bond market and changes in credit quality in emerging market bonds, many of which had moved from noninvestment grade to lower investment grade (BBB- or better).

    In addition, if the Fund’s shareholders approve the proposed investment objective, the Fund would have the same investment objective as the T. Rowe Price Institutional International Bond Fund and T. Rowe Price International Bond Fund (USD Hedged), which are similarly managed Funds although the T. Rowe Price International Bond Fund (USD Hedged) differs by maintaining at least 80% U.S. dollar currency exposure through hedging. Lastly, the proposed investment objective no longer refers to the Fund seeking current income that is “high.” The term “high,” like the term “high-quality,” is a relative term, difficult to quantify, and it could be unnecessarily restrictive in certain market environments.

    There will be no material changes to the Fund’s current investment program, or to the Fund’s overall risk profile, as a result of these changes. In addition, the Fund’s current policy of normally investing at least 80% of net assets in foreign bonds, which is required under SEC rules due to the Fund’s name, will not change, and there will be no changes to either of the following investment policies: (1) the Fund may invest up to 20% of its total assets in bonds that have received a below investment-grade rating (i.e., BB or equivalent, or lower); and (2) up to 20% of total assets may be invested in U.S. dollar-denominated bonds. These three policies overlap with (and are more restrictive than) the 65% policy described above. Therefore, if shareholders approve the investment objective change, the 65% policy will be removed from the Fund as it is duplicative of the other policies adopted by the Fund.

    New Income Fund

    The New Income Fund’s current investment objective is as follows:

     “The fund seeks the highest level of income consistent with the preservation  of capital over time by investing primarily in marketable debt securities.”

    The Board proposes that the New Income Fund’s investment objective be changed to the following:

    PAGE 36


     “The fund seeks to maximize total return through income and capital  appreciation.”

    The Fund’s Board, upon recommendation by the Fund’s investment adviser, believes that it is in the interests of the Fund’s shareholders to approve a more general investment objective to provide the Fund with more long-term flexibility. The Board also believes that shareholders will benefit from the proposed investment objective as it removes ambiguity around the phrase “marketable debt securities” and better reflects the Fund’s investment strategies.

    Similar to the policy described above for International Bond Fund, the inclusion of the phrase “…primarily in marketable debt securities” (emphasis added) in the Fund’s investment objective has led the Fund to normally invest at least 65% of its net assets in marketable debt securities. This policy dates back to the Fund’s inception in 1973. In practice, the Fund has interpreted a “marketable debt security to mean an “investment-grade bond” (i.e., BBB- or equivalent, or better).

    In addition, the proposed investment objective better reflects the Fund’s investment strategy. Capital preservation is typically associated with Funds that invest in the highest quality, short-term instruments, such as money market or short-term bond Funds, and the Fund’s investment adviser therefore recommends removing it from the Fund’s objective. Funds that seek total return through income and capital appreciation, on the other hand, generally have the ability to invest in lower-rated debt securities (including lower-rated investment-grade securities), and a wider variety of securities (such as derivatives), both of which are a component of the Fund’s strategies.

    There will be no material changes to the Fund’s current investment program, or to the Fund’s overall risk profile, as a result of these changes. In addition, the following two operating policies, which are stated in the Fund’s prospectus, will remain unchanged: (1) the Fund will invest at least 80% of its total assets in income-producing securities, which may include, but are not limited to, U.S. government and agency obligations, mortgage- and asset-backed securities, corporate bonds, foreign bonds, commercial mortgage-backed securities, and Treasury inflation protected securities; and (2) 80% of the debt securities purchased by the Fund will be rated investment grade (i.e., rated in one of the four highest rating categories) by each of the major credit rating agencies (Standard & Poor’s, Moody’s, and Fitch) that have assigned a rating to the security or, if unrated, deemed to be of investment-grade quality by T. Rowe Price. These two restrictions are more appropriate limits on the Fund’s investments than a reference to “marketable debt securities.” Additionally, these two policies overlap with (and are more restrictive than) the 65% policy described above. Therefore, if shareholders

    PAGE 37


    approve the investment objective change, the 65% policy will be removed from the Fund as it is duplicative of other Fund policies.

    What vote is required to approve each Fund’s amendment to its investment objective?

    Proposal No. 2 requires the affirmative vote of the lesser of: (1) 67% or more of the relevant Fund’s shares represented at the Shareholder Meeting if the holders of more than 50% of the outstanding shares are present in person or by proxy; or (2) more than 50% of the Fund’s outstanding shares. Shareholders of all classes of a particular Fund vote together on the proposal affecting that Fund. However, the approval to amend a particular Fund’s investment objective is not contingent upon obtaining approval to amend any other Funds’ investment objectives under this proposal.

    If the proposed amendment to each Fund’s investment objective is approved by shareholders, it is expected to become effective on or about August 1, 2018. An supplement to each Fund’s summary prospectus will be sent to shareholders to notify them of the changes.

    The Boards of Directors, including the Funds’ independent directors, recommend that shareholders of the relevant Fund vote FOR Proposal No. 2 with respect to their Fund.

    PROPOSAL NO. 3 — Amend the fundamental policy on commodities of each of the Dividend Growth, Institutional High Yield, Institutional Large-Cap Growth, Institutional Large-Cap Value, Institutional Mid-Cap Equity Growth, Institutional Small-Cap Stock, New America Growth, and QM U.S. Small-Cap Growth Equity Funds, and the Emerging Markets Local Multi-Sector Account Portfolio

    The Dividend Growth, Institutional High Yield, Institutional Large-Cap Growth, Institutional Large-Cap Value, Institutional Mid-Cap Equity Growth, Institutional Small-Cap Stock, New America Growth, and QM U.S. Small-Cap Growth Equity Funds, and the Emerging Markets Local Multi-Sector Account Portfolio currently have the following fundamental policy on commodities:

     “The funds may not, as a matter of fundamental policy, purchase or sell  physical commodities, except that the funds may enter into futures  contracts and options thereon.”

    The Board is proposing to replace this policy with a new fundamental policy relating to commodities. The Board is proposing, upon recommendation by the Fund’s investment adviser, that the Funds adopt the following policy on commodities:

    PAGE 38


     “The funds may not, as a matter of fundamental policy, purchase or sell  commodities except to the extent permitted by applicable law.”

    The 1940 Act requires an investment company to state its fundamental investment restriction regarding the purchase and sale of commodities in its SAI. The Boards believe that changing the term “physical commodities” to “commodities” in the policy better conforms with the 1940 Act requirements, and the increased flexibility from broadening the policy from investments only in commodity-related futures and options to any commodity-related investments permitted by law that will benefit fund shareholders.

    Since the initial adoption of this policy for these Funds, the financial markets and regulatory guidance have evolved and new types of financial instruments have become available as potential investment opportunities, including investments in commodity-linked instruments. The proposed fundamental investment policy would align these Funds’ policy on commodities with the rest of the T. Rowe Price Funds (with the exception of certain short-term bond and money market funds, whose investment programs do not permit the use of derivatives). Most of the other T. Rowe Price Funds adopted this proposed policy after obtaining shareholder approval of a similar proposal in 2013, and any T. Rowe Price Funds that have launched since that date have adopted this policy at their inception. Therefore, approval of this policy would align it with the commodities policy of all other T. Rowe Price Funds other than certain short-term bond and money market funds.

    The Boards and T. Rowe Price consider the proposed policy to be well-suited to today’s regulatory and investment environments. The policy would still provide that direct investments in commodities are prohibited. It is intended to preserve the Funds’ flexibility to invest in a variety of modern financial instruments and will allow the Funds to buy and sell various financial instruments representing interests in commodities and enter into swaps and other commodity-related derivative transactions involving commodities. T. Rowe Price does not anticipate any immediate changes to the manner in which any of the T. Rowe Price Funds are managed, or any of the Funds’ overall risk profiles, as a result of this change. However, the policy reflects the notion that increasing numbers of mutual funds are using investments in commodity-related derivatives transactions to help meet their investment objectives and should provide the Funds with greater flexibility in the future to pursue new investment opportunities as they become available.

    What vote is required to revise the fundamental policy on commodities for each Fund?

    Proposal No. 3 requires the affirmative vote of the lesser of: (1) 67% or more of the relevant Fund’s shares represented at the Shareholder Meeting if the holders of more than 50% of the outstanding shares are present in person or

    PAGE 39


    by proxy; or (2) more than 50% of the Fund’s outstanding shares. Shareholders of all classes of a particular fund vote together on the proposal affecting that Fund. However, the approval to revise the fundamental policy on commodities for a particular Fund is not contingent upon obtaining approval to adopt a new fundamental policy on commodities for any other Funds under this proposal.

    If the proposed amendment to the fundamental policy is approved by shareholders, it is expected to become effective on or about August 1, 2018, and the Funds’ SAI will be revised accordingly.

    The Boards of Directors, including the Funds’ independent directors, recommend that shareholders of the relevant Fund vote FOR Proposal No. 3 with respect to their Fund.

    PROPOSAL NO. 4 — Amend the industry concentration policy of the Emerging Europe Fund

    The 1940 Act requires every mutual fund to adopt a fundamental investment policy regarding industry concentration. A Fund is considered by the SEC to concentrate its investments in a particular industry or group of industries if it invests more than 25% of its net assets (exclusive of certain items such as cash; U.S., state, or local government securities, or related agencies or instrumentalities; and certain tax-exempt securities) in issuers of a particular industry or group of industries.

    Generally, a Fund may not reserve the freedom of action to concentrate pursuant to its investment manager’s discretion and without shareholder approval, unless the specific conditions under which any changes in concentration will be made are set forth in the Fund’s prospectus and SAI. To satisfy this standard, the SEC believes that a Fund must clearly describe, in as much detail as is practicable, the circumstances under which the Fund may concentrate its investments.

    Currently, the Emerging Europe Fund may not concentrate in any one industry. The Fund has the following fundamental investment policy regarding industry concentration:

    The Fund will not:

     Purchase the securities of any issuer if, as a result, more than 25% of the  value of the fund’s net assets would be invested in the securities of issuers  having their principal business activities in the same industry.

    The Board, upon recommendation from the Fund’s investment adviser, is proposing to change the Fund’s industry concentration policy as follows:

    PAGE 40


    The Fund may not:

     Purchase the securities of any issuer (other than securities issued or  guaranteed by the U.S. Government or any of its agencies or  instrumentalities) if, as a result, more than 25% of the fund’s net assets  would be invested in the securities of companies whose principal business  activities are in the same industry, except that the fund may purchase the  securities of any issuer if, as a result, no more than 35% of the fund’s net  assets would be invested in any industry that accounts for more than 20%  of the emerging European market as a whole, as measured by an index  determined by T. Rowe Price to be an appropriate measure of the emerging  European market.

    The emerging European investable universe, due to its limited geographic scope and underdeveloped nature, can have significant concentration in a single industry. For example, as of February 16, 2018, the MSCI Emerging Markets Europe Index, the Fund’s current benchmark, is highly concentrated in two industries, with approximately 34% of its weighted constituents in banks and approximately 31% of its weighted constituents in oil & gas companies. This index is representative of the investable market in emerging Europe – with 86 constituents, the index covers approximately 85% of the market capitalization in six emerging European countries, including the Czech Republic, Greece, Hungary, Poland, Russia, and Turkey. Thus, the Fund’s current concentration policy can create a significant weighting difference between the Fund and the broader opportunity set in emerging European markets, and this difference can have a material impact on the performance of the Fund. T. Rowe Price believes that by extending the Fund’s ability to invest in an industry above 25% in instances where the broader emerging European markets are similarly concentrated (over 20% in any one industry), the Fund can better capitalize on investment opportunities across the emerging European universe, while investing in accordance with its historic investment strategy. Furthermore, as emerging European markets continue to evolve, T. Rowe Price believes that a more flexible concentration policy can enhance the Fund’s ability to respond to changes in market conditions. For example, should the emerging European markets become significantly concentrated in some other industry over time, the Fund would have the ability to invest up to 35% of its net assets in that particular industry. In fact, the industries that have dominated the emerging European markets have historically changed over time, and we expect this trend to continue.

    As noted, the Fund’s current benchmark is the MSCI Emerging Markets Europe Index. For purposes of this fundamental policy, the Fund would not consider its benchmark to be fundamental, and therefore the Fund’s benchmark could be changed without a shareholder vote. While T. Rowe Price could adopt a different benchmark index to represent the emerging

    PAGE 41


    European investable universe in the future, such index would only be used if determined by T. Rowe Price and the Fund’s Board to be an appropriate measure of the emerging European markets based on index characteristics. Furthermore, any such changes to the benchmark index used to evaluate compliance with this industry concentration policy for the Fund would be approved by the Board and shareholders would receive appropriate notice of the change. T. Rowe Price believes that this flexibility around the benchmark index is necessary as an index provider may discontinue an index, stop publishing it, or change the composition of the index such that it no longer is an appropriate representation of the emerging European markets.

    T. Rowe Price believes that the proposed change to the Fund’s industry concentration policy will not substantially change the nature of the Fund, as the policy will only permit the Fund to concentrate in an industry up to 35% of its net assets.

    T. Rowe Price currently expects that the Fund will likely concentrate in the banking industry if the proposal is approved, as the banking industry currently represents a significant portion of the emerging European universe and the Fund’s current benchmark. To the extent that the Fund has significant investments in the banking industry, the Fund will be particularly sensitive to the risks of the banking industry. Risks associated with banks and financial companies are already disclosed in the Fund’s prospectus as follows:

     To the extent the fund has significant investments in banking companies, it  is more susceptible to adverse developments affecting such companies and  may perform poorly during a downturn in the banking industry. Banks can  be adversely affected by, among other things, regulatory changes, interest  rate movements, the availability of capital and the cost to borrow, and the  rate of debt defaults. Banks are often subject to extensive governmental  regulation and intervention, and the potential for additional regulation  could reduce profit margins and adversely affect the scope of their  activities, and the amount of capital they must maintain, and limit the  amounts and types of loans and other financial commitments they can  make. In addition, companies in the banking industry may also be  adversely affected by decreases in the availability of money or asset  valuations, credit rating downgrades, increased competition, and adverse  conditions in other related markets.

     The oversight of, and regulations applicable to, banks in emerging  European markets may be ineffective when compared with the regulatory  frameworks for banks in developed markets. Banks in emerging markets  may have significantly less access to capital than banks in more developed  markets, leading them to be more likely to fail under adverse economic  conditions. In addition, the impact of future regulation on any individual

    PAGE 42


     bank, or on the financial services sector as a whole, can be very difficult to  predict.

    What vote is required to revise the Emerging Europe Fund’s industry concentration policy?

    Proposal No. 4 requires the affirmative vote of the lesser of: (1) 67% or more of the Fund’s shares represented at the Shareholder Meeting if the holders of more than 50% of the outstanding shares are present in person or by proxy; or (2) more than 50% of the fund’s outstanding shares. Shareholders of all classes of the Emerging Europe Fund vote together on Proposal No. 4. If Proposal No. 4 is not approved by shareholders of the Fund, the Fund’s current fundamental investment policy regarding industry concentration will remain in effect.

    If the proposed amendment to the fundamental policy is approved by shareholders, it is expected to become effective on or about August 1, 2018, and the Fund’s prospectus and SAI will be revised accordingly.

    The Boards of Directors, including the Fund’s independent directors, recommend that shareholders of the Fund vote FOR Proposal No. 4.

    PROPOSAL NO. 5 — Reclassify the diversification status of each of the Communications & Technology, Financial Services, Global Consumer, Global Industrials, Global Technology, Health Sciences, New Era, Real Estate, and Science & Technology Funds, and the Health Sciences Portfolio from diversified to nondiversified

    If Proposal No. 5 is approved, each of the Communications & Technology Fund, Financial Services Fund, Global Consumer Fund, Global Industrials Fund, Global Technology Fund, Health Sciences Fund, Health Sciences Portfolio, New Era Fund, Real Estate Fund, and Science & Technology Fund (together, the “Sector Funds”) would no longer be subject to the following policy:

     Each may not (1) purchase a security if, as a result, with respect to 75% of  the value of the fund’s total assets, more than 5% of the value of the fund’s  total assets would be invested in the securities of a single issuer, except for  cash, securities issued or guaranteed by the U.S. government, its agencies,  or instrumentalities, and securities of other investment companies; and
     (2) purchase a security if, as a result, with respect to 75% of the value of  the fund’s total assets, more than 10% of the outstanding voting securities  of any issuer would be held by the fund (other than obligations issued or  guaranteed by the U.S. government, its agencies, or instrumentalities).

    PAGE 43


    Section 5(b) of the 1940 Act requires mutual funds to be classified as either diversified or nondiversified, and a Fund’s diversification status is considered a fundamental policy. Diversified Funds are subject to the restrictions included in the above policy and nondiversified Funds are not. As a result, a nondiversified Fund is permitted to hold a greater percentage of its assets in the securities of a single issuer. In addition, under the 1940 Act, a nondiversified Fund is permitted to operate as a diversified Fund, but a diversified Fund cannot become nondiversified unless shareholders approve the change. Under applicable SEC guidance, if a nondiversified Fund operates for more than three years as diversified, it is considered diversified for SEC diversification purposes, and T. Rowe Price would need to present the change to the Board and then shareholders for approval if it wanted to switch back to nondiversified.

    Sector Funds tend to have more concentrated benchmarks with limited investable opportunity sets. As a result, many mutual funds from other sponsors that focus on particular sectors operate as nondiversified Funds. With respect to the T. Rowe Price Funds, the Communications & Technology and Global Technology Funds, in particular, have historically been constrained by operating as diversified since they tend to have more than 5% or greater positions in their portfolio companies than other more broadly diversified Funds. The proposed change to the diversification policy will provide each Sector Fund with greater flexibility in executing its investment program, but will not substantially affect the way each Fund is managed.

    If the proposal is approved, each Sector Fund would continue to be subject to diversification tests under Subchapter M of the Internal Revenue Code that apply to regulated investment companies. To qualify, among other requirements, each Fund must limit its investment so that, at the close of each quarter of the taxable year, (1) not more than 25% of the Fund’s total assets will be invested in the securities of a single issuer, and (2) with respect to 50% of its total assets, not more than 5% of its total assets will be invested in the securities of a single issuer and the Fund will not own more than 10% of the outstanding voting securities of a single issuer.

    What vote is required to reclassify the diversification status of each Sector Fund from diversified to nondiversified?

    Proposal No. 5 requires the affirmative vote of the lesser of: (1) 67% or more of the relevant Fund’s shares represented at the Shareholder Meeting if the holders of more than 50% of the outstanding shares are present in person or by proxy; or (2) more than 50% of the Fund’s outstanding shares. Shareholders of all classes of a particular Fund vote together on the proposal affecting that Fund. If Proposal No. 5 is not approved by shareholders of a Fund, the Fund will remain diversified. In addition, the approval to reclassify

    PAGE 44


    a particular Fund to nondiversified is not contingent upon obtaining approval to reclassify the diversification status for any of the other Sector Funds under this proposal.

    If the proposed amendment to the fundamental policy is approved by shareholders, it is expected to become effective on or about August 1, 2018, and each Sector Fund’s prospectus and SAI will be revised accordingly.

    The Boards of Directors of the Sector Funds, including the Sector Funds’ independent directors, recommend that shareholders of the relevant Fund vote FOR Proposal No. 5 with respect to their Fund.

    FURTHER INFORMATION ABOUT VOTING AND THE SHAREHOLDER MEETING

    What is the required quorum?

    To hold a shareholders meeting for the T. Rowe Price Funds, one-third of a Fund’s shares entitled to be voted must have been received by proxy or be present in person at the meeting. In the event that a quorum is present but sufficient votes in favor of a proposal are not received by the Shareholder Meeting date, the persons named as proxies may propose one or more adjournments to permit further solicitation of proxies. Any such adjournment will require the affirmative vote of a majority of the shares present in person or by proxy at the Shareholder Meeting to be adjourned. Shares voted against a proposal will be voted against the proposed adjournment. The persons named as proxies will vote in favor of such adjournment if they determine that additional solicitation is reasonable and in the interests of a Fund’s shareholders.

    How are the votes counted?

    The individuals named as proxies (or their substitutes) on the enclosed proxy card (or cards, if you have multiple Funds or accounts) will vote according to your directions if your proxy is received properly executed, or in accordance with your instructions given when voting by telephone or online. With respect to Proposal No. 1 to elect directors, you may direct the proxy holders to vote your shares on the proposal by checking the appropriate box “FOR ALL NOMINEES” or “FOR ALL EXCEPT,” or instruct them not to vote those shares on the proposal by checking the “WITHHOLD AUTHORITY” box.

    With respect to Proposal Nos. 2, 3, 4, and 5, you may direct the proxy holders to vote FOR or AGAINST or ABSTAIN. Alternatively, you may simply sign, date, and return your proxy card(s) with no specific instructions as to the proposals. If you properly execute your proxy card, or submit your vote

    PAGE 45


    via the telephone or online, and give no voting instructions with respect to the election of directors or any of the other proposals, your shares will be voted FOR ALL NOMINEES and FOR all of the other proposals on which you are entitled to vote.

    Abstentions and “broker nonvotes” (as described below) are counted for purposes of determining whether a quorum is present for purposes of convening the Shareholder Meeting. Broker nonvotes are shares held by a broker or nominee for which an executed proxy is received by the Fund but are not voted as to one or more proposals because instructions have not been received from the beneficial owners or persons entitled to vote, and the broker or nominee does not have discretionary voting power. Since Proposal No. 1 must be approved by a plurality vote, abstentions and broker nonvotes will have no effect on the result of the vote. Because Proposal Nos. 2, 3, 4, and 5 must be approved by a percentage of voting securities present at the meeting or a majority of the Fund’s outstanding shares, abstentions and broker nonvotes will be considered to be voting securities that are present and will have the effect of being counted as votes against the applicable proposal.

    For shares of a Fund held in an individual retirement account (“IRA”) or Coverdell education savings account (“ESA”) that is sponsored by T. Rowe Price Trust Company and for which T. Rowe Price Trust Company serves as custodian, T. Rowe Price Trust Company shall, without written direction from the investor, vote shares for which no voting instructions are timely received in the same proportion as shares for which voting instructions from other shareholders are timely received.

    For shares of the Funds that are series of T. Rowe Price Equity Series, Inc., T. Rowe Price Fixed Income Series, Inc., and T. Rowe Price International Series, Inc. (collectively, the “Variable Insurance Portfolios”) held by insurance company separate accounts for which the insurance company has not received timely voting instructions, as well as shares the insurance company owns, those shares shall be voted in the same proportion as shares for which voting instructions from contract holders are timely received.

    Shares of the T. Rowe Price Funds that are held by other T. Rowe Price Funds will be voted in the same proportion as shares for which voting instructions from other shareholders are timely received.

    Can additional matters be acted upon at the Shareholder Meeting?

    T. Rowe Price knows of no other business that may come before the Shareholder Meeting. However, if any additional matters are properly presented at the Shareholder Meeting, it is intended that the persons named in the enclosed proxy, or their substitutes, will vote on such matters in accordance with their judgment.

    PAGE 46


    Are the T. Rowe Price Funds required to hold annual meetings?

    Under Maryland law, each T. Rowe Price Fund is not required to hold an annual meeting of shareholders. The Boards have determined that the Funds will take advantage of this Maryland law provision to avoid the significant expenses associated with holding an annual meeting of shareholders, including legal, accounting, printing, and mailing fees incurred in preparing proxy materials. Accordingly, no annual meeting of shareholders shall be held in any year in which a meeting is not otherwise required to be held under the 1940 Act or Maryland law, unless the Boards determine otherwise. However, special meetings of shareholders will be held in accordance with applicable law or when otherwise determined by the Boards.

    If a shareholder wishes to present a proposal to be included in a proxy statement for a subsequent shareholder meeting, the proposal must be submitted in writing and received by Darrell Braman, Secretary of the T. Rowe Price Funds, 100 East Pratt Street, Baltimore, Maryland 21202, within a reasonable time before a Fund begins to print and mail its proxy materials for the meeting. The timely submission of a proposal does not guarantee its consideration at the meeting.

    How are proxies delivered and votes recorded?

    This Proxy Statement was mailed along with a proxy voting card and prepaid envelope. You may record your votes on the enclosed proxy card and mail it in the accompanying prepaid envelope to Proxy Tabulator, P.O. Box 808002, Louisville, KY 40233-9893. Any mailed proxies sent to this address will be delivered to Computershare Limited (“Computershare”), which T. Rowe Price has retained to tabulate the votes. In addition, the Funds have arranged through Computershare to have votes recorded through online or by telephone. The telephone and online voting procedures are reasonably designed to authenticate shareholders’ identities, to allow shareholders to authorize the voting of their shares in accordance with their instructions, and to confirm that their instructions have been properly recorded. Computershare is also responsible for assisting T. Rowe Price in determining whether quorum is achieved for a particular Fund and whether sufficient votes are received to approve a proposal.

    Some shareholders will not automatically receive a copy of this entire Proxy Statement in the mail, but will instead receive a notice that informs them of how to access all of the proxy materials on a publicly available website (commonly referred to as “notice and access”). Shareholders who receive such a notice will not be able to return the notice to have their vote recorded. However, they can access the proxy materials at www.proxydirect.com/trp-29734 to vote eligible shares or may use the instructions on the notice to request a paper or email copy of the proxy materials at no charge.

    PAGE 47


    The SEC has adopted rules that permit investment companies, such as the T. Rowe Price Funds, and intermediaries to satisfy the delivery requirements for proxy statements with respect to two or more shareholders sharing the same address by delivering a single proxy statement addressed to those shareholders. This process, which is commonly referred to as “householding,” could result in extra convenience and cost savings for the Funds and their shareholders. Unless a Fund has received contrary instructions, only one copy of this Proxy Statement will be mailed to two or more shareholders who share an address. If you need additional copies, do not want your mailings to be “householded,” or would like to request a single copy if multiple copies are being received, please call 1-800-225-5132 or write us at P.O. Box 17630, Baltimore, Maryland 21297-1630.

    How can proxies be solicited, and who pays for the costs involved with the proxy?

    Directors and officers of a Fund, or employees of T. Rowe Price (and its affiliates) may solicit proxies by mail, in person, electronically (assuming that applicable requirements are met) or by telephone. In the event that votes are solicited by telephone, shareholders would be called at the telephone number T. Rowe Price has in its records for their accounts, and would be asked for certain identifying information, such as their address. The shareholders would then be given an opportunity to authorize proxies to vote their shares at the Shareholder Meeting in accordance with their instructions. To ensure that shareholders’ instructions have been recorded correctly, confirmation of the instructions is also mailed and a special toll-free number provided in case the information contained in the confirmation is incorrect.

    To help ensure that sufficient shares of common stock are represented at the Shareholder Meeting to permit approval of the proposals outlined in the Proxy Statement, the Funds will also use the solicitation services of Computershare to assist them in soliciting proxies.

    Who pays for the costs involved with the proxy?

    For managing the T. Rowe Price Funds’ overall proxy campaign, Computershare will receive a fee plus reimbursement for out-of-pocket expenses. Computershare will also receive fees in connection with the printing, preparing, assembling, mailing, and transmitting of proxy materials on behalf of the T. Rowe Price Funds, tabulating those votes that are received, and any solicitation of additional votes. The fees received by Computershare will vary based on the level of additional solicitation necessary to achieve quorum and shareholder approval. In addition to the fees paid to Computershare, securities brokers, custodians, fiduciaries, and other persons holding shares as nominees will be reimbursed, upon request, for their reasonable expenses in sending solicitation materials to the principals of the

    PAGE 48


    accounts. The fees for these services, along with printing, postage and solicitation services are estimated to range between $13.5 and $15 million. All costs of the Shareholder Meeting and the proxy campaign, including the use of Computershare and the reimbursement to brokers for solicitation and the preparation of proxy materials, will be paid for by each Fund in proportion to its relative asset size at the time of the Shareholder Meeting (except for the Multi-Sector Account Portfolios). For any Funds subject to contractual expense limitations or all-inclusive management fee rates, the proxy expenses over and above any contractually stated fee rate will be borne by T. Rowe Price.

    Can I change my vote after I mail my proxy?

    Any proxy, including those given online or by telephone, may be revoked at any time before the votes have been submitted for tabulation at the Shareholder Meeting by filing a written notice of revocation with a Fund, by delivering a properly executed proxy bearing a later date, or by attending the Shareholder Meeting and voting in person. If you vote via telephone or online, you can change your vote up until 7:59 a.m. on July 25, 2018.

    GENERAL INFORMATION ABOUT THE FUNDS

    Who are the Funds’ investment adviser, principal underwriter, and other service providers?

    T. Rowe Price serves as investment adviser to all of the T. Rowe Price Funds and provides the Funds with investment management services. T. Rowe Price is a wholly owned subsidiary of T. Rowe Price Group Inc. While T. Rowe Price is responsible for supervising and overseeing the Funds’ investment programs, T. Rowe Price has entered into investment subadvisory agreements with T. Rowe Price Hong Kong Limited (“Price Hong Kong”), T. Rowe Price International Ltd (“Price International”), and/or T. Rowe Price Japan, Inc. (“Price Japan”) on behalf of certain T. Rowe Price Funds. Price Hong Kong and Price Japan are wholly owned subsidiaries of T. Rowe Price International, and T. Rowe Price International is a wholly owned subsidiary of T. Rowe Price.

    Each Fund also has fund accounting agreements with T. Rowe Price and The Bank of New York Mellon; an underwriting agreement with T. Rowe Price Investment Services, Inc. (“Investment Services”); and a transfer agency agreement with T. Rowe Price Services, Inc. (“Price Services”). The taxable Funds also have a transfer agency agreement with T. Rowe Price Retirement Plan Services, Inc. (“RPS”). Investment Services, Price Services, and RPS are wholly owned subsidiaries of T. Rowe Price.

    PAGE 51


    T. Rowe Price Trust Company serves as trustee and/or custodian for certain IRAs, ESAs, and small business retirement plans that utilize the Funds as investment options, and is a wholly owned subsidiary of T. Rowe Price.

    The address for T. Rowe Price, Investment Services, and T. Rowe Price Trust Company is 100 East Pratt Street, Baltimore, MD 21202. The address for Price Services and RPS is 4515 Painters Mill Road, Owings Mills, MD 21117. The address for The Bank of New York Mellon is 225 Liberty Street, New York, New York 10286.

    The Funds have a policy to not pay any commissions to affiliated broker-dealers.

    Who are the Funds’ executive officers?

    John R. Gilner serves as Chief Compliance Officer for the T. Rowe Price Funds. In addition, Mr. Gilner is the Chief Compliance Officer and a Vice President of T. Rowe Price, as well as a Vice President of T. Rowe Price Group, Inc. Catherine D. Mathews serves as Treasurer for the T. Rowe Price Funds. Ms. Mathews is a Vice President of T. Rowe Price and T. Rowe Price Group, Inc. Darrell N. Braman serves as Secretary for the T. Rowe Price Funds. Mr. Braman is a Vice President of T. Rowe Price and T. Rowe Price Group, Inc. The following table, entitled “Executive Officers of the Funds,” lists the other executive officers of the Funds covered by this Proxy Statement and their positions with each Fund, T. Rowe Price, and T. Rowe Price Group, Inc., as of April 6, 2018. Each executive officer has been an officer of T. Rowe Price, T. Rowe Price Group, Inc., and the Funds for at least the last five years unless otherwise indicated.

        

    Executive Officers of the Funds

    Officer, Year of Birth

    Position With Fund

    Position With T. Rowe Price

    Position With T. Rowe Price Group

    Balanced Fund

       

    Charles M. Shriver, 1967

    President

    Vice President

    Vice President

    Blue Chip Growth Fund

       

    Larry J. Puglia, 1960

    President

    Vice President

    Vice President

    Capital Appreciation Fund

       

    David R. Giroux, 1975

    President

    Vice President

    Vice President

    Capital Appreciation & Income Fund

       

    David R. Giroux, 1975

    Co-President

    Vice President

    Vice President

    Steven D. Krichbaum, 1977

    Co-President

    Vice President

    Vice President

    Paul M. Massaro, 1975

    Co-President

    Vice President

    Vice President

    Capital Opportunity Fund

       

    Ann M. Holcomb, 1972

    Co-President

    Vice President

    Vice President

    Jason B. Polun, 1974

    Co-President

    Vice President

    Vice President

    Thomas H. Watson, 1977

    Co-President

    Vice President

    Vice President

    Communications & Technology Fund

       

    Paul D. Greene II, 1978

    President

    Vice President

    Vice President

    PAGE 52


        

    Executive Officers of the Funds

    Officer, Year of Birth

    Position With Fund

    Position With T. Rowe Price

    Position With T. Rowe Price Group

    Corporate Income Fund

       

    David A. Tiberii, 1965

    Steve Boothe, 1977

    Lauren T. Wagandt, 1984

    President

    Executive Vice President

    Executive Vice President

    Vice President

    Vice President

    Vice President

    Vice President

    Vice President

    Vice President

    Credit Opportunities Fund

       

    Rodney M. Rayburn, 1970a

    President

    Vice President

    Vice President

    Diversified Mid-Cap Growth Fund

       

    Donald J. Peters, 1959

    Donald J. Easley, 1971

    President

    Executive Vice President

    Vice President

    Vice President

    Vice President

    Vice President

    Dividend Growth Fund

       

    Thomas J. Huber, 1966

    President

    Vice President

    Vice President

    Equity Income Fund

       

    John D. Linehan, 1965

    President

    Vice President

    Vice President

    Equity Series

       

    Robert W. Sharps, 1971

    Ziad Bakri, 1980

    Brian W.H. Berghuis, 1958

    John D. Linehan, 1965

    Larry J. Puglia, 1960

    Charles M. Shriver, 1967

    Ken D. Uematsu, 1969

    Justin P. White, 1981

    President

    Executive Vice President

    Executive Vice President

    Executive Vice President

    Executive Vice President

    Executive Vice President

    Executive Vice President

    Executive Vice President

    Vice President

    Vice President

    Vice President

    Vice President

    Vice President

    Vice President

    Vice President

    Vice President

    Vice President

    Vice President

    Vice President

    Vice President

    Vice President

    Vice President

    Vice President

    Vice President

    Financial Services Fund

       

    Gabriel Solomon, 1977

    President

    Vice President

    Vice President

    Fixed Income Series

       

    Cheryl A. Mickel, 1967

    Joseph K. Lynagh, 1958

    Micahel F. Reinartz, 1973

    President

    Executive Vice President

    Executive Vice President

    Vice President

    Vice President

    Vice President

    Vice President

    Vice President

    Vice President

    Floating Rate Fund

       

    Paul M. Massaro, 1975

    President

    Vice President

    Vice President

    Global Allocation Fund

       

    Charles M. Shriver, 1967

    President

    Vice President

    Vice President

    Global Multi-Sector Bond Fund

       

    Steven C. Huber, 1958

    Kenneth A. Orchard, 1975

    President

    Executive Vice President

    Vice President

    —

    Vice President

    Vice President

    Global Real Estate Fund

       

    Nina P. Jones, 1980

    President

    Vice President

    Vice President

    Global Technology Fund

       

    Joshua K. Spencer, 1973

    President

    Vice President

    Vice President

    GNMA Fund

       

    Andrew C. McCormick, 1960

    President

    Vice President

    Vice President

    Government Money Fund

       

    Joseph K. Lynagh, 1958

    President

    Vice President

    Vice President

    Growth & Income Fund

       

    Jeffrey Rottinghaus, 1970

    President

    Vice President

    Vice President

    Growth Stock Fund

       

    Joseph B. Fath, 1971

    President

    Vice President

    Vice President

    Health Sciences Fund

       

    Ziad Bakri, 1980

    President

    Vice President

    Vice President

    High Yield Fund

       

    Edward A. Wiese, 1959

    Kevin P. Loome, 1967b

    Mark J. Vaselkiv, 1958

    President

    Executive Vice President

    Executive Vice President

    Vice President

    Vice President

    Vice President

    Vice President

    Vice President

    Vice President

    Index Trust

       

    Ken D. Uematsu, 1969

    President

    Vice President

    Vice President

    PAGE 53


        

    Executive Officers of the Funds

    Officer, Year of Birth

    Position With Fund

    Position With T. Rowe Price

    Position With T. Rowe Price Group

    Inflation Protected Bond Fund

       

    Stephen L. Bartolini, 1977

    President

    Vice President

    Vice President

    Institutional Equity Funds

       

    Robert W. Sharps, 1971

    Francisco Alonso, 1978

    Brian W.H. Berghuis, 1958

    Mark S. Finn, 1963

    Ann M. Holcomb, 1972

    John D. Linehan, 1965

    Heather K. McPherson, 1967

    Jason B. Polun, 1974

    Larry J. Puglia, 1960

    Taymour R. Tamaddon, 1976

    Thomas H. Watson, 1977

    President

    Executive Vice President

    Executive Vice President

    Executive Vice President

    Executive Vice President

    Executive Vice President

    Executive Vice President

    Executive Vice President

    Executive Vice President

    Executive Vice President

    Executive Vice President

    Vice President

    Vice President

    Vice President

    Vice President

    Vice President

    Vice President

    Vice President

    Vice President

    Vice President

    Vice President

    Vice President

    Vice President

    Vice President

    Vice President

    Vice President

    Vice President

    Vice President

    Vice President

    Vice President

    Vice President

    Vice President

    Vice President

    Institutional Income Funds

       

    Mark J. Vaselkiv, 1958

    Brian J. Brennan, 1964

    Steven C. Huber, 1958

    Joseph K. Lynagh, 1958

    Paul M. Massaro, 1975

    Rodney M. Rayburn, 1970a

    David A. Tiberii, 1965

    President

    Executive Vice President

    Executive Vice President

    Executive Vice President

    Executive Vice President

    Executive Vice President

    Executive Vice President

    Vice President

    Vice President

    Vice President

    Vice President

    Vice President

    Vice President

    Vice President

    Vice President

    Vice President

    Vice President

    Vice President

    Vice President

    Vice President

    Vice President

    Institutional International Funds

       

    Christopher D. Alderson, 1962

    Oliver D.M. Bell, 1969

    R. Scott Berg, 1972

    Richard N. Clattenburg, 1979

    Michael J. Conelius, 1964

    David J. Eiswert, 1972

    Arif Husain, 1972

    Andrew J. Keirle, 1974

    Sebastien Mallet, 1974

    Raymond A. Mills, 1960

    Joshua Nelson, 1977

    Jason Nogueira, 1974

    Kenneth A. Orchard, 1975

    Gonzalo Pangaro, 1968

    Federico Santilli, 1974

    President

    Executive Vice President

    Executive Vice President

    Executive Vice President

    Executive Vice President

    Executive Vice President

    Executive Vice President

    Executive Vice President

    Executive Vice President

    Executive Vice President

    Executive Vice President

    Executive Vice President

    Executive Vice President

    Executive Vice President

    Executive Vice President

    —

    —

    Vice President

    Vice President

    Vice President

    Vice President

    —

    —

    —

    Vice President

    Vice President

    Vice President

    —

    —

    —

    Vice President

    Vice President

    Vice President

    Vice President

    Vice President

    Vice President

    Vice President

    Vice President

    Vice President

    Vice President

    Vice President

    Vice President

    Vice President

    Vice President

    Vice President

    Intermediate Tax-Free High Yield Fund

       

    James M. Murphy, 1967

    R. Lee Arnold, Jr., 1970

    President

    Executive Vice President

    Vice President

    Vice President

    Vice President

    Vice President

    PAGE 54


        

    Executive Officers of the Funds

    Officer, Year of Birth

    Position With Fund

    Position With T. Rowe Price

    Position With T. Rowe Price Group

    International Funds

       

    Christopher D. Alderson, 1962

    Ulle Adamson, 1979

    Peter J. Bates, 1974

    Oliver D.M. Bell, 1969

    R. Scott Berg, 1972

    Archibald Ciganer, 1976

    Richard N. Clattenburg, 1979

    Michael J. Conelius, 1964

    Michael Della Vedova, 1969

    David J. Eiswert, 1972

    Arif Husain, 1972

    Andrew J. Keirle, 1974

    Anh Lu, 1968

    Jonathan H.W. Matthews, 1975

    Raymond A. Mills, 1960

    Eric C. Moffett, 1979

    Samy B. Muaddi, 1984

    Joshua Nelson, 1977

    Jason Nogueira, 1974

    Kenneth A. Orchard, 1975

    Gonzalo Pangaro, 1968

    Federico Santilli, 1974

    Dean Tenerelli, 1964

    Justin Thomson, 1968

    Mark J. Vaselkiv, 1958

    Verena E. Wachnitz, 1978

    Ernest C. Yeung, 1979

    President

    Executive Vice President

    Executive Vice President

    Executive Vice President

    Executive Vice President

    Executive Vice President

    Executive Vice President

    Executive Vice President

    Executive Vice President

    Executive Vice President

    Executive Vice President

    Executive Vice President

    Executive Vice President

    Executive Vice President

    Executive Vice President

    Executive Vice President

    Executive Vice President

    Executive Vice President

    Executive Vice President

    Executive Vice President

    Executive Vice President

    Executive Vice President

    Executive Vice President

    Executive Vice President

    Executive Vice President

    Executive Vice President

    Executive Vice President

    —

    —

    Vice President

    —

    Vice President

    Vice President

    Vice President

    Vice President

    —

    Vice President

    —

    —

    —

    —

    Vice President

    —

    Vice President

    Vice President

    Vice President

    —

    —

    —

    —

    —

    Vice President

    —

    —

    Vice President

    Vice President

    Vice President

    Vice President

    Vice President

    Vice President

    Vice President

    Vice President

    Vice President

    Vice President

    Vice President

    Vice President

    Vice President

    Vice President

    Vice President

    Vice President

    Vice President

    Vice President

    Vice President

    Vice President

    Vice President

    Vice President

    Vice President

    Vice President

    Vice President

    Vice President

    Vice President

    International Index Fund

       

    Neil Smith, 1972

    President

    —

    Vice President

    International Series

       

    Christopher D. Alderson, 1962

    Richard N. Clattenburg, 1979

    President

    Executive Vice President

    —

    Vice President

    Vice President

    Vice President

    Limited Duration Inflation Focused Bond Fund

      

    Stephen L. Bartolini, 1977

    President

    Vice President

    Vice President

    Mid-Cap Growth Fund

       

    Brian W.H. Berghuis, 1958

    John F. Wakeman, 1962

    President

    Executive Vice President

    Vice President

    Vice President

    Vice President

    Vice President

    Mid-Cap Value Fund

       

    David J. Wallack, 1960

    Heather K. McPherson, 1967

    President

    Executive Vice President

    Vice President

    Vice President

    Vice President

    Vice President

    Multi-Sector Account Portfolios

       

    Edward A. Wiese, 1959

    Steve Boothe, 1977

    Andrew J. Keirle, 1974

    Paul M. Massaro, 1975

    Andrew C. McCormick, 1960

    Samy B. Muaddi, 1984

    Mark J. Vaselkiv, 1958

    President

    Executive Vice President

    Executive Vice President

    Executive Vice President

    Executive Vice President

    Executive Vice President

    Executive Vice President

    Vice President

    Vice President

    —

    Vice President

    Vice President

    Vice President

    Vice President

    Vice President

    Vice President

    Vice President

    Vice President

    Vice President

    Vice President

    Vice President

    Multi-Strategy Total Return Fund

       

    Richard de los Reyes, 1975

    Stefan Hubrich, 1974

    Co-President

    Co-President

    Vice President

    Vice President

    Vice President

    Vice President

    New America Growth Fund

       

    Justin P. White, 1981

    President

    Vice President

    Vice President

    New Era Fund

       

    Shawn T. Driscoll, 1975

    President

    Vice President

    Vice President

    PAGE 55


        

    Executive Officers of the Funds

    Officer, Year of Birth

    Position With Fund

    Position With T. Rowe Price

    Position With T. Rowe Price Group

    New Horizons Fund

       

    Henry M. Ellenbogen, 1973

    President

    Vice President

    Vice President

    New Income Fund

       

    Daniel O. Shackelford, 1958

    Stephen L. Bartolini, 1977

    President

    Executive Vice President

    Vice President

    Vice President

    Vice President

    Vice President

    Personal Strategy Funds

       

    Charles M. Shriver, 1967

    President

    Vice President

    Vice President

    Quantitative Management Fund

       

    Sudhir Nanda, 1959

    Vinit Agrawal, 1987

    Prashant G. Jeyaganesh, 1983

    Farris G. Shuggi, 1984

    President

    Executive Vice President

    Executive Vice President

    Executive Vice President

    Vice President

    Vice President

    Vice President

    Vice President

    Vice President

    Vice President

    Vice President

    Vice President

    Real Assets Fund

       

    Wyatt A. Lee, 1971

    President

    Vice President

    Vice President

    Real Estate Fund

       

    David M. Lee, 1962

    President

    Vice President

    Vice President

    TRP Reserve Investment Funds

       

    Joseph K. Lynagh, 1958

    President

    Vice President

    Vice President

    Retirement Funds

       

    Jerome A. Clark, 1961

    Wyatt A. Lee, 1971

    President

    Executive Vice President

    Vice President

    Vice President

    Vice President

    Vice President

    Science & Technology Fund

       

    Kennard W. Allen, 1977

    President

    Vice President

    Vice President

    Short-Term Bond Fund

       

    Cheryl A. Mickel, 1967

    Joseph K. Lynagh, 1958

    Michael F. Reinartz, 1973

    President

    Executive Vice President

    Executive Vice President

    Vice President

    Vice President

    Vice President

    Vice President

    Vice President

    Vice President

    Small-Cap Stock Fund

       

    Francisco M. Alonso, 1978

    President

    Vice President

    Vice President

    Small-Cap Value Fund

       

    J. David Wagner, 1974

    President

    Vice President

    Vice President

    Spectrum Funds

       

    Charles M. Shriver, 1967

    President

    Vice President

    Vice President

    State Tax-Free Fund

       

    Hugh D. McGuirk, 1960

    Charles B. Hill, 1961

    Joseph K. Lynagh, 1958

    Konstantine B. Mallas, 1963

    President

    Executive Vice President

    Executive Vice President

    Executive Vice President

    Vice President

    Vice President

    Vice President

    Vice President

    Vice President

    Vice President

    Vice President

    Vice President

    Summit Funds

       

    Joseph K. Lynagh, 1958

    President

    Vice President

    Vice President

    Summit Municipal Funds

       

    Hugh D. McGuirk, 1960

    Charles B. Hill, 1961

    Joseph K. Lynagh, 1958

    Konstantine B. Mallas, 1963

    President

    Executive Vice President

    Executive Vice President

    Executive Vice President

    Vice President

    Vice President

    Vice President

    Vice President

    Vice President

    Vice President

    Vice President

    Vice President

    Tax-Efficient Funds

       

    Donald J. Peters, 1959

    President

    Vice President

    Vice President

    Tax-Exempt Money Fund

       

    Joseph K. Lynagh, 1958

    President

    Vice President

    Vice President

    Tax-Free High Yield Fund

       

    James M. Murphy, 1967

    R. Lee Arnold, Jr., 1970

    President

    Executive Vice President

    Vice President

    Vice President

    Vice President

    Vice President

    Tax-Free Income Fund

       

    Konstantine B. Mallas, 1963

    President

    Vice President

    Vice President

    Tax-Free Short-Intermediate Fund

       

    Charles B. Hill, 1961

    President

    Vice President

    Vice President

    PAGE 56


        

    Executive Officers of the Funds

    Officer, Year of Birth

    Position With Fund

    Position With T. Rowe Price

    Position With T. Rowe Price Group

    Total Return Fund

       

    Andrew C. McCormick, 1960

    Christopher P. Brown, Jr., 1977

    President

    Executive Vice President

    Vice President

    Vice President

    Vice President

    Vice President

    U.S. Bond Enhanced Index Fund

       

    Robert M. Larkins, 1973

    President

    Vice President

    Vice President

    U.S. Large-Cap Core Fund

       

    Jeffrey Rottinghaus, 1970

    President

    Vice President

    Vice President

    U.S. Treasury Funds

       

    Brian J. Brennan, 1964

    Joseph K. Lynagh, 1958

    President

    Executive Vice President

    Vice President

    Vice President

    Vice President

    Vice President

    Value Fund

       

    Mark S. Finn, 1963

    President

    Vice President

    Vice President

    a Prior to 2014, Rodney M. Rayburn was Managing Director of Värde Partners.

    b Prior to 2017, Kevin P. Loome was Head of U.S. Credit at Henderson Global Investors and prior to 2013, he was Head of High Yield and Bank Loans at Delaware Investments.

    As of February 28, 2018, the directors and executive officers of the T. Rowe Price Funds, as a group, owned less than 1% of the outstanding shares of any fund, except as shown in the following table.

      

    Fund

    %

    Asia Opportunities

    2.3

    Cash Reserves

    1.4

    Credit Opportunities

    1.0

    Emerging Markets Value Stock

    4.5

    Global Consumer

    7.3

    Global Growth Stock

    1.6

    Global Industrials

    1.2

    Institutional Global Focused Growth Equity

    10.9

    Institutional Global Multi-Sector Bond

    3.9

    Institutional Global Value Equity

    4.0

    Intermediate Tax-Free High Yield

    2.8

    Maryland Short-Term Tax-Free Bond

    3.8

    Maryland Tax-Free Money

    1.6

    Summit Municipal Money Market

    2.3

    Tax-Efficient Equity

    4.9

    Total Return

    3.9

    Ultra Short-Term Bond

    1.3

    U.S. Treasury Money

    1.5

    How many outstanding shares are there of each Fund?

    The following table, entitled “Outstanding Shares of Capital Stock,” sets forth the outstanding shares of capital stock of each Fund and class, as applicable, as of February 28, 2018.

    Outstanding Shares of Capital Stock

      

     Fund

    Outstanding Shares
    of Capital Stock

    Africa & Middle East

    14,937,442.896

    Africa & Middle East Fund—I Class

    806,596.756

    Asia Opportunities

    8,128,148.370

    PAGE 57


      

     Fund

    Outstanding Shares
    of Capital Stock

    Asia Opportunities Fund—Advisor Class

    43,885.667

    Asia Opportunities Fund—I Class

    609,115.100

    Balanced

    154,733,430.168

    Balanced Fund—I Class

    12,572,647.043

    Blue Chip Growth

    349,360,984.256

    Blue Chip Growth Fund—Advisor Class

    36,341,175.408

    Blue Chip Growth Fund—I Class

    94,102,858.012

    Blue Chip Growth Fund—R Class

    8,446,455.335

    Blue Chip Growth Portfolio

    26,764,582.111

    Blue Chip Growth Portfolio—II

    15,190,195.269

    California Tax-Free Bond

    55,183,773.808

    California Tax-Free Bond Fund—I Class

    984,138.995

    California Tax-Free Money

    59,008,429.288

    California Tax-Free Money Fund—I Class

    250,000.000

    Capital Appreciation & Income

    10,000.000

    Capital Appreciation & Income Fund—Advisor Class

    —

    Capital Appreciation & Income Fund—I Class

    —

    Capital Appreciation

    901,377,339.406

    Capital Appreciation Fund—Advisor Class

    36,878,167.310

    Capital Appreciation Fund—I Class

    92,433,156.162

    Capital Opportunity

    21,801,795.637

    Capital Opportunity Fund—Advisor Class

    490,305.759

    Capital Opportunity Fund—I Class

    1,735,684.665

    Capital Opportunity Fund—R Class

    221,883.539

    Cash Reserves

    2,352,060,120.435

    Communications & Technology Fund*

    48,872,842.000

    Communications & Technology Fund—I Class*

    1,484,601.023

    Corporate Income

    95,103,896.220

    Corporate Income Fund—I Class

    5,909,057.261

    Credit Opportunities

    5,221,145.394

    Credit Opportunities Fund—Advisor Class

    31,927.674

    Credit Opportunities Fund—I Class

    29,411.765

    Diversified Mid-Cap Growth

    28,808,252.417

    Diversified Mid-Cap Growth Fund—I Class

    745,211.143

    Dividend Growth

    143,308,752.754

    Dividend Growth Fund—Advisor Class

    8,427,875.500

    Dividend Growth Fund—I Class

    54,458,335.869

    Dynamic Global Bond

    312,133,475.617

    Dynamic Global Bond Fund—Advisor Class

    91,576,555.626

    Dynamic Global Bond Fund—I Class

    37,769.494

    Emerging Europe

    11,971,505.820

    Emerging Europe Fund—I Class

    347,053.264

    Emerging Markets Bond

    387,542,384.729

    Emerging Markets Bond Fund—Advisor Class

    193,477.048

    Emerging Markets Bond Fund—I Class

    90,379,766.299

    Emerging Markets Corporate Bond Fund

    5,357,891.267

    Emerging Markets Corporate Bond Fund—Advisor Class

    159,828.439

    Emerging Markets Corporate Bond Fund—I Class

    656,968.202

    Emerging Markets Corporate Multi-Sector Account Portfolio

    3,374,735.968

    Emerging Markets Local Currency Bond

    58,785,491.260

    Emerging Markets Local Currency Bond Fund—Advisor Class

    35,971.039

    Emerging Markets Local Currency Bond Fund—I Class

    24,968,662.022

    Emerging Markets Local Multi-Sector Account Portfolio

    5,525,995.464

    Emerging Markets Stock

    192,325,539.567

    PAGE 58


      

     Fund

    Outstanding Shares
    of Capital Stock

    Emerging Markets Stock Fund—I Class

    58,941,538.972

    Emerging Markets Value Stock

    3,777,274.931

    Emerging Markets Value Stock Fund—Advisor Class

    39,129.355

    Emerging Markets Value Stock Fund—I Class

    275,974.689

    Equity Income

    513,936,678.554

    Equity Income Fund—Advisor Class

    12,348,380.456

    Equity Income Fund—I Class

    126,131,829.701

    Equity Income Fund—R Class

    2,770,941.018

    Equity Income Portfolio

    18,011,282.536

    Equity Income Portfolio—II

    7,117,896.989

    Equity Index 500

    343,480,594.464

    Equity Index 500 Fund—I Class

    41,455,191.826

    Equity Index 500 Portfolio

    914,527.748

    European Stock

    56,148,767.418

    European Stock Fund—I Class

    763,771.599

    Extended Equity Market Index Fund

    30,191,861.067

    Financial Services

    28,851,317.125

    Financial Services Fund—I Class

    716,518.957

    Floating Rate

    144,199,108.656

    Floating Rate Fund—Advisor Class

    5,889,905.435

    Floating Rate Fund—I Class

    9,311,184.179

    Floating Rate Multi-Sector Account Portfolio

    8,179,487.150

    Georgia Tax-Free Bond

    29,056,344.483

    Georgia Tax-Free Bond Fund—I Class

    406,326.316

    Global Allocation

    25,729,931.726

    Global Allocation Fund—Advisor Class

    844,117.879

    Global Allocation Fund—I Class

    2,977,278.451

    Global Consumer

    1,304,634.255

    Global Growth Stock Fund

    6,408,778.534

    Global Growth Stock Fund—Advisor Class

    80,390.133

    Global Growth Stock Fund—I Class

    5,486,677.857

    Global High Income Bond

    6,980,818.547

    Global High Income Bond Fund—Advisor Class

    148,312.966

    Global High Income Bond Fund—I Class

    2,468,156.084

    Global Industrials

    1,943,315.522

    Global Industrials Fund—I Class

    116,152.394

    Global Multi-Sector Bond

    49,610,568.298

    Global Multi-Sector Bond Fund—Advisor Class

    2,233,701.508

    Global Multi-Sector Bond Fund—I Class

    4,861,166.669

    Global Real Estate

    6,706,141.564

    Global Real Estate Fund—Advisor Class

    1,052,577.775

    Global Real Estate Fund—I Class

    672,131.909

    Global Stock

    20,727,310.740

    Global Stock Fund—Advisor Class

    825,246.002

    Global Stock Fund—I Class

    4,664,463.927

    Global Technology

    354,179,984.721

    Global Technology Fund—I Class

    24,943,550.819

    GNMA

    147,684,344.824

    GNMA Fund—I Class

    384,291.989

    Government Money

    8,025,997,840.913

    Government Money Fund—I Class

    135,500,967.270

    Government Money Portfolio

    32,568,271.650

    Government Reserve

    11,471,938,480.100

    Growth & Income

    66,021,363.228

    PAGE 59


      

     Fund

    Outstanding Shares
    of Capital Stock

    Growth & Income Fund—I Class

    195,921.045

    Growth Stock

    584,522,801.654

    Growth Stock Fund—Advisor Class

    52,075,180.039

    Growth Stock Fund—I Class

    151,877,452.829

    Growth Stock Fund—R Class

    16,612,006.611

    Health Sciences

    157,701,262.242

    Health Sciences Fund—I Class

    6,929,543.913

    Health Sciences Portfolio

    2,129,975.944

    Health Sciences Portfolio—II

    14,852,916.895

    High Yield

    936,289,342.644

    High Yield Fund—Advisor Class

    7,789,074.882

    High Yield Fund—I Class

    263,968,833.731

    High Yield Multi-Sector Account Portfolio

    1,437,557.777

    Inflation-Protected Bond

    35,790,079.554

    Inflation-Protected Bond Fund—I Class

    5,027,613.680

    Institutional Africa & Middle East Fund

    29,386,023.878

    Institutional Cash Reserves

    120,897,606.860

    Institutional Core Plus

    38,415,691.334

    Institutional Credit Opportunities

    2,970,051.126

    Institutional Emerging Markets Bond

    40,885,734.271

    Institutional Emerging Markets Equity

    44,302,704.109

    Institutional Floating Rate

    475,960,016.996

    Institutional Floating Rate Fund—F Class

    58,080,733.139

    Institutional Frontier Markets Equity

    6,840,565.661

    Institutional Global Focused Growth Equity

    7,940,351.800

    Institutional Global Growth Equity

    15,615,304.858

    Institutional Global Multi-Sector Bond Fund

    2,122,940.182

    Institutional Global Value Equity

    848,694.414

    Institutional High Yield

    174,151,303.804

    Institutional International Bond

    45,960,165.965

    Institutional International Concentrated Equity

    38,486,913.565

    Institutional International Core Equity

    13,577,467.797

    Institutional International Growth Equity

    2,354,417.890

    Institutional Large-Cap Core Growth

    83,860,703.060

    Institutional Large-Cap Growth

    435,236,090.718

    Institutional Large-Cap Value

    168,266,094.665

    Institutional Long Duration Credit

    3,804,010.757

    Institutional Mid-Cap Equity Growth

    123,300,093.083

    Institutional Small-Cap Stock

    183,771,651.240

    Institutional U.S. Structured Research

    45,541,461.099

    Intermediate Tax-Free High Yield

    5,098,436.302

    Intermediate Tax-Free High Yield Fund—Advisor Class

    56,934.107

    Intermediate Tax-Free High Yield Fund—I Class

    290,169.491

    International Bond

    223,604,596.989

    International Bond Fund—Advisor Class

    943,322.239

    International Bond Fund—I Class

    61,138,640.022

    International Bond (USD Hedged)

    235,219,519.373

    International Bond (USD Hedged)—Advisor Class

    25,000.000

    International Bond (USD Hedged)—I Class

    38,446,577.924

    International Concentrated Equity

    10,316,856.643

    International Concentrated Equity Fund—Advisor Class

    152,751.644

    International Concentrated Equity Fund—I Class

    401,167.476

    International Discovery

    76,670,983.997

    International Discovery Fund—I Class

    43,951,361.212

    PAGE 60


      

     Fund

    Outstanding Shares
    of Capital Stock

    International Equity Index

    42,358,036.696

    International Stock

    665,273,428.433

    International Stock Fund—Advisor Class

    7,840,679.915

    International Stock Fund—I Class

    146,720,623.022

    International Stock Fund—R Class

    503,705.995

    International Stock Portfolio

    21,995,288.784

    International Value Equity Fund

    759,085,852.868

    International Value Equity Fund—Advisor Class

    10,647,229.043

    International Value Equity Fund—I Class

    125,939,467.648

    International Value Equity Fund—R Class

    4,457,374.184

    Investment-Grade Corporate Multi-Sector Account Portfolio

    10,633,486.703

    Japan

    56,190,971.588

    Japan Fund—I Class

    420,062.441

    Latin America

    26,929,216.777

    Latin America Fund—I Class

    642,748.339

    Limited Duration Inflation Focused Bond

    1,520,577,681.548

    Limited Duration Inflation Focused Bond Fund—I Class

    189,981,038.443

    Limited-Term Bond Portfolio

    91,013,822.494

    Limited-Term Bond Portfolio—II

    1,546,116.104

    Maryland Short-Term Tax-Free Bond

    32,716,528.346

    Maryland Short-Term Tax-Free Bond Fund—I Class

    4,144,453.806

    Maryland Tax-Free Bond

    211,420,491.206

    Maryland Tax-Free Bond Fund—I Class

    4,296,300.901

    Maryland Tax-Free Money

    76,964,606.053

    Maryland Tax-Free Money Fund—I Class

    351,452.310

    Mid-Cap Growth

    273,099,877.798

    Mid-Cap Growth Fund—Advisor Class

    11,632,477.411

    Mid-Cap Growth Fund—I Class

    53,732,345.557

    Mid-Cap Growth Fund—R Class

    1,698,727.524

    Mid-Cap Growth Portfolio

    14,416,409.098

    Mid-Cap Growth Portfolio—II

    1,731,282.137

    Mid-Cap Index

    475,000.000

    Mid-Cap Index Fund—I Class

    25,000.000

    Mid-Cap Value

    349,966,192.605

    Mid-Cap Value Fund—Advisor Class

    10,259,099.008

    Mid-Cap Value Fund—I Class

    82,133,634.108

    Mid-Cap Value Fund—R Class

    6,655,128.010

    Mortgage-Backed Securities Multi-Sector Account Portfolio

    11,612,692.700

    New America Growth

    74,100,675.255

    New America Growth Fund—Advisor Class

    6,389,730.421

    New America Growth Fund—I Class

    10,979,208.857

    New America Growth Portfolio

    7,912,349.574

    New Asia

    143,813,076.530

    New Asia Fund—I Class

    17,650,434.436

    New Era

    66,059,493.155

    New Era Fund—I Class

    41,403,383.386

    New Horizons

    337,830,107.098

    New Horizons Fund—I Class

    74,661,844.700

    New Income

    2,491,776,571.898

    New Income Fund—Advisor Class

    5,264,135.647

    New Income Fund—I Class

    756,808,414.795

    New Income Fund—R Class

    474,166.620

    New Jersey Tax-Free Bond

    34,651,712.986

    New Jersey Tax-Free Bond Fund—I Class

    21,425.076

    PAGE 61


      

     Fund

    Outstanding Shares
    of Capital Stock

    New York Tax-Free Bond

    41,065,773.139

    New York Tax-Free Bond Fund—I Class

    738,578.316

    New York Tax-Free Money

    57,169,887.425

    New York Tax-Free Money Fund—I Class

    250,000.000

    Overseas Stock

    946,700,848.091

    Overseas Stock Fund—Advisor Class

    457,395.579

    Overseas Stock Fund—I Class

    430,779,733.331

    Personal Strategy Balanced

    91,440,285.901

    Personal Strategy Balanced Fund—I Class

    7,420,793.703

    Personal Strategy Balanced Portfolio

    8,668,385.633

    Personal Strategy Growth

    61,316,841.480

    Personal Strategy Growth Fund—I Class

    4,540,686.355

    Personal Strategy Income

    99,110,527.949

    Personal Strategy Income Fund—I Class

    11,802,775.850

    QM Global Equity

    1,417,494.380

    QM Global Equity Fund—Advisor Class

    25,000.000

    QM Global Equity Fund—I Class

    50,212.216

    QM U.S. Small & Mid-Cap Core Equity

    3,936,654.026

    QM U.S. Small & Mid-Cap Core Equity Fund—Advisor Class

    38,875.862

    QM U.S. Small & Mid-Cap Core Equity Fund—I Class

    54,894.402

    QM U.S. Small-Cap Growth Equity

    126,567,471.028

    QM U.S. Small-Cap Growth Equity Fund—Advisor Class

    781,615.237

    QM U.S. Small-Cap Growth Equity Fund—I Class

    50,643,243.769

    QM U.S. Value Equity

    1,517,213.090

    QM U.S. Value Equity Fund—Advisor Class

    25,000.000

    QM U.S. Value Equity Fund—I Class

    55,385.964

    Real Assets

    230,132,049.752

    Real Assets Fund—I Class

    50,083,508.008

    Real Estate

    140,308,098.080

    Real Estate Fund—Advisor Class

    7,124,293.034

    Real Estate Fund—I Class

    66,406,746.756

    Retirement 2005

    108,312,737.181

    Retirement 2005 Fund—Advisor Class

    6,538,627.787

    Retirement 2005 Fund—R Class

    4,284,155.265

    Retirement 2010

    225,038,126.266

    Retirement 2010 Fund—Advisor Class

    25,869,154.185

    Retirement 2010 Fund—R Class

    14,061,682.628

    Retirement 2015

    469,498,614.632

    Retirement 2015 Fund—Advisor Class

    38,635,116.131

    Retirement 2015 Fund—R Class

    26,133,949.361

    Retirement 2020

    823,115,085.434

    Retirement 2020 Fund—Advisor Class

    113,041,209.661

    Retirement 2020 Fund—R Class

    72,638,097.165

    Retirement 2025

    949,811,012.071

    Retirement 2025 Fund—Advisor Class

    99,958,453.204

    Retirement 2025 Fund—R Class

    75,915,031.629

    Retirement 2030

    767,347,528.144

    Retirement 2030 Fund—Advisor Class

    115,955,050.212

    Retirement 2030 Fund—R Class

    84,011,458.839

    Retirement 2035

    663,064,851.864

    Retirement 2035 Fund—Advisor Class

    75,599,057.927

    Retirement 2035 Fund—R Class

    60,226,855.977

    Retirement 2040

    502,338,774.031

    Retirement 2040 Fund—Advisor Class

    86,447,879.192

    PAGE 62


      

     Fund

    Outstanding Shares
    of Capital Stock

    Retirement 2040 Fund—R Class

    57,964,020.100

    Retirement 2045

    422,370,690.205

    Retirement 2045 Fund—Advisor Class

    54,453,537.679

    Retirement 2045 Fund—R Class

    44,210,651.021

    Retirement 2050

    373,423,246.139

    Retirement 2050 Fund—Advisor Class

    77,966,147.703

    Retirement 2050 Fund—R Class

    54,587,184.760

    Retirement 2055

    174,037,559.498

    Retirement 2055 Fund—Advisor Class

    29,546,558.140

    Retirement 2055 Fund—R Class

    22,902,952.549

    Retirement 2060

    28,485,269.275

    Retirement 2060 Fund—Advisor Class

    3,858,291.861

    Retirement 2060 Fund—R Class

    3,396,194.737

    Retirement Balanced

    136,500,175.064

    Retirement Balanced Fund—Advisor Class

    13,911,193.067

    Retirement Balanced Fund—R Class

    15,021,554.733

    Retirement I 2005 Fund—I Class

    14,722,607.176

    Retirement I 2010 Fund—I Class

    41,240,995.792

    Retirement I 2015 Fund—I Class

    79,049,794.537

    Retirement I 2020 Fund—I Class

    266,260,676.712

    Retirement I 2025 Fund—I Class

    234,625,755.824

    Retirement I 2030 Fund—I Class

    303,685,240.190

    Retirement I 2035 Fund—I Class

    187,893,838.797

    Retirement I 2040 Fund—I Class

    232,255,914.053

    Retirement I 2045 Fund—I Class

    125,105,203.385

    Retirement I 2050 Fund—I Class

    125,141,855.611

    Retirement I 2055 Fund—I Class

    46,723,533.852

    Retirement I 2060 Fund—I Class

    8,278,990.960

    Retirement Balanced I Fund—I Class

    18,764,642.687

    Retirement Income 2020

    2,381,105.325

    Science & Technology

    98,832,180.577

    Science & Technology Fund—Advisor Class

    15,466,126.957

    Science & Technology Fund—I Class

    4,488,110.486

    Short-Term Bond

    913,748,995.636

    Short-Term Bond Fund—Advisor Class

    8,187,212.564

    Short-Term Bond Fund—I Class

    148,739,317.554

    Short-Term

    563,028,275.285

    Short-Term Government

    —

    Small-Cap Index

    475,000.000

    Small-Cap Index Fund—I Class

    25,000.000

    Small-Cap Stock

    166,782,586.705

    Small-Cap Stock Fund—Advisor Class

    4,127,451.908

    Small-Cap Stock Fund—I Class

    26,089,858.637

    Small-Cap Value

    159,819,337.066

    Small-Cap Value Fund—Advisor Class

    16,661,266.696

    Small-Cap Value Fund—I Class

    30,770,263.182

    Spectrum Growth

    155,648,569.098

    Spectrum Income

    537,453,497.362

    Spectrum International

    109,325,450.182

    Summit Municipal Income

    120,897,038.703

    Summit Municipal Income Fund—Advisor Class

    508,832.134

    Summit Municipal Intermediate

    491,538,341.089

    Summit Municipal Intermediate Fund—Advisor Class

    640,778.621

    Summit Municipal Money Market

    128,458,620.574

    PAGE 63


      

     Fund

    Outstanding Shares
    of Capital Stock

    Target 2005

    2,936,590.960

    Target 2005 Fund—Advisor Class

    128,341.654

    Target 2005 Fund—I Class

    124,807.419

    Target 2010

    5,049,798.683

    Target 2010 Fund—Advisor Class

    482,344.544

    Target 2010 Fund—I Class

    350,533.020

    Target 2015

    15,061,422.265

    Target 2015 Fund—Advisor Class

    521,790.722

    Target 2015 Fund—I Class

    886,729.269

    Target 2020

    19,258,102.599

    Target 2020 Fund—Advisor Class

    2,181,619.341

    Target 2020 Fund—I Class

    1,585,089.571

    Target 2025

    17,487,793.350

    Target 2025 Fund—Advisor Class

    1,193,913.278

    Target 2025 Fund—I Class

    1,099,531.870

    Target 2030

    16,063,988.227

    Target 2030 Fund—Advisor Class

    2,422,157.185

    Target 2030 Fund—I Class

    976,215.413

    Target 2035

    10,349,362.175

    Target 2035 Fund—Advisor Class

    1,001,165.062

    Target 2035 Fund—I Class

    830,004.614

    Target 2040

    8,543,807.448

    Target 2040 Fund—Advisor Class

    978,410.764

    Target 2040 Fund—I Class

    646,052.591

    Target 2045

    5,608,320.193

    Target 2045 Fund—Advisor Class

    704,577.963

    Target 2045 Fund—I Class

    642,661.280

    Target 2050

    4,112,065.806

    Target 2050 Fund—Advisor Class

    581,132.615

    Target 2050 Fund—I Class

    551,983.117

    Target 2055

    2,237,825.568

    Target 2055 Fund—Advisor Class

    349,342.925

    Target 2055 Fund—I Class

    299,629.240

    Target 2060

    989,035.916

    Target 2060 Fund—Advisor Class

    98,315.892

    Target 2060 Fund—I Class

    63,024.172

    Tax-Efficient Equity

    9,983,830.468

    Tax-Efficient Equity Fund—I Class

    202,088.594

    Tax-Exempt Money

    342,472,370.933

    Tax-Exempt Money Fund—I Class

    7,181,528.960

    Tax-Free High Yield

    326,811,010.994

    Tax-Free High Yield Fund—Advisor Class

    91,278,026.117

    Tax-Free High Yield Fund—I Class

    40,177,242.414

    Tax-Free Income

    190,699,173.262

    Tax-Free Income Fund—Advisor Class

    61,086,635.542

    Tax-Free Income Fund—I Class

    17,597,687.243

    Tax-Free Short-Intermediate

    327,271,765.379

    Tax-Free Short-Intermediate Fund—Advisor Class

    1,417,738.972

    Tax-Free Short-Intermediate Fund—I Class

    36,657,084.739

    Total Equity Market Index

    57,626,498.463

    Total Return

    3,800,907.125

    Total Return Fund—Advisor Class

    25,000.000

    Total Return Fund—I Class

    65,601.065

    Treasury Reserve

    3,979,167,725.200

    PAGE 64


      

     Fund

    Outstanding Shares
    of Capital Stock

    U.S. Bond Enhanced Index

    71,551,572.557

    U.S. High Yield

    7,571,200.537

    U.S. High Yield Fund—Advisor Class

    1,117,291.969

    U.S. High Yield Fund—I Class

    4,042,398.597

    U.S. Large-Cap Core

    21,076,957.650

    U.S. Large-Cap Core Fund—Advisor Class

    812,591.807

    U.S. Large-Cap Core Fund—I Class

    870,417.022

    U.S. Treasury Intermediate

    79,532,055.058

    U.S. Treasury Intermediate Fund—I Class

    857,673.417

    U.S. Treasury Long-Term

    317,875,315.636

    U.S. Treasury Long-Term Fund—I Class

    56,630,253.943

    U.S. Treasury Money

    5,238,337,925.886

    U.S. Treasury Money Fund—I Class

    844,616,169.397

    Ultra Short-Term Bond

    98,253,786.481

    Ultra Short-Term Bond Fund—I Class

    9,561,169.046

    Value

    564,352,937.116

    Value Fund—Advisor Class

    11,870,813.581

    Value Fund—I Class

    110,609,269.191

    Virginia Tax-Free Bond

    102,891,984.406

    Virginia Tax-Free Bond Fund—I Class

    1,837,253.848

    * On February 28, 2018, the Fund's name was the Media & Telecommunications Fund.

    Who are the principal holders of the Funds’ shares?

    The following table, entitled “Principal Holders of Fund Shares,” provides the shareholders of record that owned more than 5% of the indicated Funds and/or classes, as of February 28, 2018.

        

    Principal Holders of Fund Shares

    FUND

    SHAREHOLDER

    SHARES

    %

    AFRICA & MIDDLE EAST

    NATIONAL FINANCIAL SERVICES

    JERSEY CITY NJ 07310-2010

    2,750,567

    18.42

     

    SPECTRUM INTERNATIONAL FUND

    811,200

    5.43

     

    T ROWE PRICE ASSOCIATES

    BALTIMORE MD 21202-1009

     

     

    AFRICA & MIDDLE EAST FUND—

    TRUSTEES OF T ROWE PRICE

    750,256

    93.02(a)

    I CLASS

    U.S. RETIREMENT PROGRAM

    BALTIMORE MD 21289-0001

     

     

    ASIA OPPORTUNITIES

    NATIONAL FINANCIAL SERVICES

    1,244,145

    15.32

    ASIA OPPORTUNITIES FUND—

    NATIONAL FINANCIAL SERVICES

    12,717

    28.98(b)

    ADVISOR CLASS

    PERSHING LLC

    JERSEY CITY NJ 07399-0002

    3,623

    8.25

     

    T ROWE PRICE ASSOCIATES

    25,000

    56.97(c)

    ASIA OPPORTUNITIES FUND—I CLASS

    CHARLES SCHWAB & CO INC

    SAN FRANCISCO CA 94105-1905

    115,036

    18.89

     

    ERIC C MOFFETT

    135,087

    22.18

     

    PERSHING LLC

    58,728

    9.64

     

    ROBERT S KAPLAN

    38,243

    6.28

     

    JAMIE SCHUVAL JT TEN

     

     

     

    TRUSTEES OF T ROWE PRICE

    126,362

    20.75

     

    U.S. RETIREMENT PROGRAM

     

     

     

    WELLS FARGO CLEARING SERVICES LLC

    SAINT LOUIS MO 63103-2523

    113,416

    18.62

    PAGE 65


        

    Principal Holders of Fund Shares

    FUND

    SHAREHOLDER

    SHARES

    %

    BALANCED

    NATIONAL FINANCIAL SERVICES

    10,728,207

    7.06

     

    T ROWE PRICE TRUST CO INC

    BALTIMORE MD 21297-1215

    37,873,966

    24.92

    BALANCED FUND—I CLASS

    NORTHERN TRUST CO AS TRUSTEE

    CHICAGO IL 60675-2994

    2,738,905

    17.89

     

    T ROWE PRICE RPS INC

    BALTIMORE MD 21297-1215

    1,329,400

    8.68

     

    UBATCO & CO

    2,017,304

    13.18

     

    FBO COLLEGE SAVINGS GROUP

    LINCOLN NE 68501-2535

     

     

     

    UBATCO & CO FBO ACES TRUST FUND

    LINCOLN NE 68512-4823

    2,277,558

    14.88

    BLUE CHIP GROWTH

    CHARLES SCHWAB & CO INC

    25,490,611

    7.30

     

    NATIONAL FINANCIAL SERVICES

    53,332,686

    15.27

     

    T ROWE PRICE RPS INC

    23,461,404

    6.72

     

    WELLS FARGO CLEARING SERVICES LLC

    37,043,055

    10.61

    BLUE CHIP GROWTH FUND—ADVISOR

    CHARLES SCHWAB & CO INC

    2,573,759

    7.08

    CLASS

    GREAT-WEST TRUST COMPANY LLC FBO

    2,142,592

    5.90

     

    EMPLOYEE BENEFITS CLIENTS 401K

    GREENWOOD VLG CO 80111-5002

     

     

     

    NATIONAL FINANCIAL SERVICES

    5,752,557

    15.83

     

    RELIANCE TRUST COMPANY FBO

    2,516,573

    6.93

     

    INSPER 401K

    ATLANTA GA 30358-0004

     

     

    BLUE CHIP GROWTH FUND—I CLASS

    CHARLES SCHWAB & CO INC

    6,574,025

    6.99

     

    EDWARD D JONES & CO

    SAINT LOUIS MO 63131-3729

    18,284,871

    19.45

     

    J.P. MORGAN SECURITIES LLC

    BROOKLYN NY 11245-0003

    5,310,931

    5.65

     

    NATIONAL FINANCIAL SERVICES

    15,619,872

    16.62

     

    WELLS FARGO BANK NA

    MINNEAPOLIS, MN 55480-1533

    5,355,442

    5.70

    BLUE CHIP GROWTH FUND—R CLASS

    DCGT AS TTEE AND/OR CUST

    679,914

    8.05

     

    FBO PLIC VARIOUS RETIREMENT PLANS

    DES MOINES IA 50392-0001

     

     

     

    NFS LLC FEBO

    451,900

    5.35

     

    STATE STREET BANK TRUST CO

     

     

     

    TTEE VARIOUS RETIREMENT PLANS

    HARRISON NY 10528-2418

     

     

     

    SAMMONS FINANCIAL NETWORK LLC

    657,741

    7.79

     

    STATE STREET BANK AND TRUST AS

    1,568,813

    18.57

     

    TRUSTEE AND/OR CUSTODIAN

     

     

     

    FBO ADP ACCESS PRODUCT

    BOSTON MA 02111-2901

     

     

    PAGE 66


        

    Principal Holders of Fund Shares

    FUND

    SHAREHOLDER

    SHARES

    %

    BLUE CHIP GROWTH PORTFOLIO

    AUL

    1,366,805

    5.11

     

    AMERICAN INDIVDUAL VARIABLE

     

     

     

    ANNUITY UNIT TRUST 1

    INDIANAPOLIS IN 46206-0368

     

     

     

    GREAT-WEST LIFE & ANNUITY

    2,154,958

    8.05

     

    CLIENT PLANS

    ENGLEWOOD, CO 80111-5002

     

     

     

    MUTUAL OF AMERICA SEPARATE

    3,146,265

    11.76

     

    ACCOUNT NO 1

    NEW YORK NY 10022-6839

     

     

     

    MUTUAL OF AMERICA SEPARATE

    5,942,179

    22.20

     

    ACCOUNT NO 2

     

     

     

    NATIONWIDE INSURANCE COMPANY

    COLUMBUS OH 43218-2029

    2,091,258

    7.81

     

    NATIONWIDE LIFE INSURANCE COMPANY

    COLUMBUS OH 43218-2029

    2,706,745

    10.11

     

    NYLIAC

    JERSEY CITY NJ 07302-4600

    2,924,560

    10.93

    BLUE CHIP GROWTH PORTFOLIO—II

    AMERITAS LIFE INSURANCE CORP

    1,843,631

    12.14

     

    AMERITAS VARIABLE SEP ACCT VA-2

    LINCOLN NE 68510-2234

     

     

     

    GUARDIAN INSURANCE & ANNUITY CO

    1,479,498

    9.74

     

    RETIREMENT SOLUTIONS FM&C NRO

    BETHLEHEM PA 18017-9464

     

     

     

    JEFFERSON NATIONAL LIFE INS CO

    LOUISVILLE KY 40223-6178

    1,958,175

    12.89

     

    NATIONWIDE LIFE INSURANCE COMPANY

    1,593,176

    10.49

     

    PACIFIC SELECT EXEC

    3,549,527

    23.37

     

    SEPARATE ACCOUNT OF PACIFIC LIFE

    NEWPORT BEACH CA 92660-6307

     

     

    CALIFORNIA TAX-FREE BOND

    CHARLES SCHWAB & CO INC

    3,838,853

    6.96

     

    NATIONAL FINANCIAL SERVICES

    11,506,130

    20.87

    CALIFORNIA TAX-FREE BOND FUND—I CLASS

    ANTON YERGAT LIVING TRUST

    NEWPORT BEACH CA 92658-5000

    230,146

    23.39

     

    CHARLES SCHWAB & CO INC

    153,299

    15.58

     

    DANIEL E. RAMIREZ

    121,576

    12.35

     

    DANIEL G JENSON & EVELYN H JENSON

    FAM TRUST

    97,477

    9.90

     

    ELLEN B MILLER AGENT/POA

    61,612

    6.26

     

    ALICE N BESSMAN OR ELLEN

     

     

     

    BESSMAN MILLER TR THE BESSMAN

     

     

     

    TRUST AGRMNT

     

     

    CALIFORNIA TAX-FREE MONEY

    MARK A WALSH T O D

    9,497,000

    16.14

    CALIFORNIA TAX-FREE MONEY FUND—

    T ROWE PRICE ASSOCIATES

    250,000

    100.00(c)

    I CLASS

     

     

     

    CAPITAL APPRECIATION & INCOME

    T ROWE PRICE ASSOCIATES

    10,000

    100.00(c)

    CAPITAL APPRECIATION

    CHARLES SCHWAB & CO INC

    91,392,760

    10.14

     

    NATIONAL FINANCIAL SERVICES

    111,345,006

    12.36

     

    PERSHING LLC

    48,749,310

    5.41

     

    TD AMERITRADE INC

    OMAHA NE 68103-2226

    54,545,091

    6.05

    PAGE 67


        

    Principal Holders of Fund Shares

    FUND

    SHAREHOLDER

    SHARES

    %

    CAPITAL APPRECIATION FUND—

    AMERITAS LIFE INSURANCE CORP

    2,529,632

    6.86

    ADVISOR CLASS

    SEPARATE ACCOUNT G

     

     

     

    CHARLES SCHWAB & CO INC

    7,101,268

    19.26

     

    NATIONAL FINANCIAL SERVICES

    7,920,233

    21.48

     

    UMB BANK

    3,612,678

    9.80

     

    FBO FIDUCIARY FOR TAX DEFERRED

     

     

     

    ACCOUNTS

    TOPEKA, KS 66636-0001

     

     

    CAPITAL APPRECIATION FUND—I CLASS

    CHARLES SCHWAB & CO INC

    19,169,706

    20.75

     

    NATIONAL FINANCIAL SERVICES

    17,452,229

    18.89

     

    PERSHING LLC

    4,933,227

    5.34

     

    TD AMERITRADE INC

    9,131,047

    9.88

    CAPITAL OPPORTUNITY

    LVIP BLENDED CORE EQUITY

    4,179,653

    19.17

     

    MANAGED VOLATILITY FUND

    FORT WAYNE IN 46802-3506

     

     

     

    NATIONAL FINANCIAL SERVICES

    3,430,328

    15.74

    CAPITAL OPPORTUNITY FUND—

    CHARLES SCHWAB & CO INC

    123,623

    25.44(b)

    ADVISOR CLASS

    DCGT AS TTEE AND/OR CUST

    27,231

    5.60

     

    FBO PLIC VARIOUS RETIREMENT PLANS

     

     

     

    FIIOC AS AGENT FBO

    113,104

    23.27

     

    SHEPHERD ELECTRIC COMPANY INC

     

     

     

    401K AND PROFIT SHARING PLAN

    COVINGTON KY 41015-1987

     

     

     

    NATIONAL FINANCIAL SERVICES

    28,462

    5.86

     

    TD AMERITRADE INC

    66,728

    13.73

    CAPITAL OPPORTUNITY FUND—I CLASS

    COMFORT & CO

    167,168

    9.63

     

    FBO OLD POINT FINANCIAL 401(K) PSP

    NEWPORT NEWS VA 23606-1926

     

     

     

    NATIONWIDE TRUST COMPANY

    COLUMBUS, OH 43218-2029

    1,118,914

    64.47(b)

    CAPITAL OPPORTUNITY FUND—

    CAPITAL BANK & TRUST COMPANY TTEE

    33,527

    15.11

    R CLASS

    JEFF WYLER AUTO FAMILY INC RSP 401K

    GREENWOOD VLG CO 80111-5002

     

     

     

    CAPITAL BANK & TRUST COMPANY TTEE

    44,597

    20.10

     

    MACHINERY SYSTEMS INC EMPLOYEES PSP

     

     

     

    DCGT AS TTEE AND/OR CUST

    17,430

    7.86

     

    FBO PLIC VARIOUS RETIREMENT PLANS

     

     

     

    NATIONWIDE TRUST CO FSB

    COLUMBUS OH 43218-2029

    20,267

    9.13

     

    RELIANCE TRUST CO., CUSTODIAN

    12,789

    5.76

     

    FBO MASSMUTUAL OMNIBUS PPL/SMF

    ATLANTA, GA 30362-1529

     

     

     

    RELIANCE TRUST COMPANY FBO

    12,739

    5.74

     

    MTRMLS INC

    ATLANTA GA 30358-0004

     

     

    COMMUNICATIONS & TECHNOLOGY

    CHARLES SCHWAB & CO INC

    2,447,508

    5.01

     

    NATIONAL FINANCIAL SERVICES

    3,230,224

    6.61

     

    T ROWE PRICE TRUST CO INC

    2,942,591

    6.02

     

    MEDIA & TELECOMMUNICATION FUND

     

     

    COMMUNICATIONS & TECHNOLOGY

    KAMAEHU L P

    81,545

    5.49

    FUND—I CLASS

    TD AMERITRADE INC

    82,479

    5.56

     

    TRUSTEES OF T ROWE PRICE

    595,845

    40.14(a)

     

    U.S. RETIREMENT PROGRAM

     

     

    PAGE 68


        

    Principal Holders of Fund Shares

    FUND

    SHAREHOLDER

    SHARES

    %

    CORPORATE INCOME

    SPECTRUM INCOME FUND

    47,312,270

    49.77(d)

     

    T. ROWE PRICE ASSOCIATES

     

     

    CORPORATE INCOME FUND—I CLASS

    KB INSURANCE CO LTD

    3,104,913

    52.54(b)

     

    SEOUL, 06134

    REPUBLIC OF KOREA

     

     

     

    PERSHING LLC

    852,138

    14.42

     

    ROBERT W SMITH

    516,950

    8.75

     

    TERESA O SMITH

     

     

     

    TRUSTEES OF T ROWE PRICE

    689,432

    11.67

     

    U.S. RETIREMENT PROGRAM

     

     

    CREDIT OPPORTUNITIES

    T ROWE PRICE ASSOCIATES

    2,475,000

    47.52(c)

    CREDIT OPPORTUNITIES FUND—

    CHARLES SCHWAB & CO INC

    6,553

    20.53

    ADVISOR CLASS

    T ROWE PRICE ASSOCIATES

    25,000

    78.30(c)

    CREDIT OPPORTUNITIES FUND—

    T ROWE PRICE ASSOCIATES

    29,412

    100.00(c)

    I CLASS

     

     

     

    DIVERSIFIED MID-CAP GROWTH

    NATIONAL FINANCIAL SERVICES

    2,065,135

    7.19

     

    PERSHING LLC

    1,550,914

    5.40

    DIVERSIFIED MID-CAP GROWTH

    BONNIE G MAIER TR

    51,336

    6.89

    FUND—I CLASS

    JULIA LAMB MAIER IRREVOCABLE TRUST

    WILMINGTON DE 19810-4344

     

     

     

    EDUARD GORDON

    49,750

    6.68

     

    INNA GORDON JT TEN T O D

     

     

     

    NATIONAL FINANCIAL SERVICES

    296,036

    39.73(b)

     

    TRUSTEES OF T ROWE PRICE

    284,386

    38.16(a)

     

    U.S. RETIREMENT PROGRAM

     

     

    DIVIDEND GROWTH

    LPL FINANCIAL

    SAN DIEGO CA 92121-3091

    9,313,156

    6.50

     

    MLPF&S FOR THE SOLE BENEFIT OF

    9,985,392

    6.97

     

    ITS CUSTOMERS

    JACKSONVILLE FL 32246-6484

     

     

     

    NATIONAL FINANCIAL SERVICES

    24,522,273

    17.12

     

    PERSHING LLC

    8,350,792

    5.83

    DIVIDEND GROWTH FUND—

    CHARLES SCHWAB & CO INC

    550,907

    6.54

    ADVISOR CLASS

    GREAT-WEST TRUST COMPANY LLC FBO

    509,873

    6.05

     

    EMPLOYEE BENEFITS CLIENTS 401K

     

     

     

    JOHN HANCOCK TRUST COMPANY

    WESTWOOD MA 02090-2321

    439,384

    5.21

     

    MATRIX TRUST COMPANY TRUSTEE FBO

    497,549

    5.90

     

    VISTA 401(K) RETIREMENT PLAN

    PHOENIX AZ 85072-2129

     

     

     

    NATIONAL FINANCIAL SERVICES

    3,892,795

    46.19(b)

    DIVIDEND GROWTH FUND—I CLASS

    EDWARD D JONES & CO

    20,814,079

    38.24(b)

     

    NATIONAL FINANCIAL SERVICES

    18,973,444

    34.86(b)

    PAGE 69


        

    Principal Holders of Fund Shares

    FUND

    SHAREHOLDER

    SHARES

    %

    DYNAMIC GLOBAL BOND

    T ROWE PRICE ASSOCIATES

    18,709,605

    5.99

     

    RETIREMENT PORTFOLIO 2010

     

     

     

    T ROWE PRICE ASSOCIATES

    22,526,474

    7.22

     

    RETIREMENT PORTFOLIO 2040

     

     

     

    T ROWE PRICE ASSOCIATES

    28,181,200

    9.03

     

    RETIREMENT PORTFOLIO 2015

     

     

     

    T ROWE PRICE ASSOCIATES

    69,844,651

    22.38

     

    RETIREMENT PORTFOLIO 2020

     

     

     

    T ROWE PRICE ASSOCIATES

    52,890,194

    16.94

     

    RETIREMENT PORTFOLIO 2025

     

     

     

    T ROWE PRICE ASSOCIATES

    53,492,630

    17.14

     

    RETIREMENT PORTFOLIO 2030

     

     

     

    T ROWE PRICE ASSOCIATES

    26,245,816

    8.41

     

    RETIREMENT PORTFOLIO 2035

     

     

    DYNAMIC GLOBAL BOND FUND—

    LPL FINANCIAL

    7,393

    19.57

    ADVISOR CLASS 

    PERSHING LLC

    5,109

    13.53

     

    T ROWE PRICE ASSOCIATES

    25,000

    66.19(c)

    DYNAMIC GLOBAL BOND FUND—I CLASS

    LADYBIRD & CO

    BALTIMORE MD 21202-1009

    17,360,348

    18.96

     

    LADYBUG & CO

    BALTIMORE MD 21202-1009

    10,535,431

    11.51

     

    MAC & CO

    PITTSBURGH PA 15219-2502

    5,083,633

    5.55

     

    T ROWE PRICE ASSOCIATES

    10,028,042

    10.95

     

    RETIREMENT I 2020 FUND

     

     

     

    T ROWE PRICE ASSOCIATES

    7,864,731

    8.59

     

    RETIREMENT I 2025 FUND

     

     

     

    T ROWE PRICE ASSOCIATES

    8,309,397

    9.07

     

    RETIREMENT I 2030 FUND

     

     

    EMERGING EUROPE

    NATIONAL FINANCIAL SERVICES

    788,991

    6.59

     

    SPECTRUM INTERNATIONAL FUND

    651,321

    5.44

     

    T ROWE PRICE ASSOCIATES

     

     

     

    TD AMERITRADE INC

    628,486

    5.25

    EMERGING EUROPE FUND—I CLASS

    T ROWE PRICE ASSOCIATES

    18,911

    5.45

     

    TRUSTEES OF T ROWE PRICE

    325,445

    93.77(a)

     

    U.S. RETIREMENT PROGRAM

     

     

    EMERGING MARKETS BOND

    SPECTRUM INCOME FUND

    36,092,242

    9.31

     

    T. ROWE PRICE ASSOCIATES

     

     

     

    T ROWE PRICE ASSOCIATES

    24,544,733

    6.33

     

    RETIREMENT PORTFOLIO 2015

     

     

     

    T ROWE PRICE ASSOCIATES

    58,546,443

    15.11

     

    RETIREMENT PORTFOLIO 2020

     

     

     

    T ROWE PRICE ASSOCIATES

    42,213,260

    10.89

     

    RETIREMENT PORTFOLIO 2025

     

     

     

    T ROWE PRICE ASSOCIATES

    40,260,900

    10.39

     

    RETIREMENT PORTFOLIO 2030

     

     

    EMERGING MARKETS BOND FUND—

    PERSHING LLC

    57,313

    29.62(b)

    ADVISOR CLASS

    T ROWE PRICE ASSOCIATES

    21,459

    11.09

    EMERGING MARKETS BOND FUND—

    J.P. MORGAN SECURITIES LLC

    38,828,535

    43.04(b)

    I CLASS

    T ROWE PRICE ASSOCIATES

    8,402,334

    9.31

     

    RETIREMENT I 2020 FUND

     

     

     

    T ROWE PRICE ASSOCIATES

    6,343,826

    7.03

     

    RETIREMENT I 2025 FUND

     

     

     

    T ROWE PRICE ASSOCIATES

    6,334,430

    7.02

     

    RETIREMENT I 2030 FUND

     

     

    PAGE 70


        

    Principal Holders of Fund Shares

    FUND

    SHAREHOLDER

    SHARES

    %

    EMERGING MARKETS CORPORATE

    T ROWE PRICE ASSOCIATES

    2,271,697

    42.40(c)

    BOND

    TD AMERITRADE INC

    440,410

    8.22

    EMERGING MARKETS CORPORATE

    LPL FINANCIAL

    17,032

    10.66

    BOND FUND—ADVISOR CLASS

    NATIONAL FINANCIAL SERVICES

    101,473

    63.49(b)

     

    T ROWE PRICE ASSOCIATES

    25,117

    15.71

    EMERGING MARKETS CORPORATE

    CHARLES A MORRIS

    100,840

    15.35

    BOND FUND—I CLASS

    ELISE D MORRIS JT TEN T O D

     

     

     

    CHARLES SCHWAB & CO INC

    419,637

    63.87(b)

     

    TRUSTEES OF T ROWE PRICE

    86,339

    13.14

     

    U.S. RETIREMENT PROGRAM

     

     

    EMERGING MARKETS CORPORATE

    CBE OF NEW BRUNSWICK

    1,420,963

    42.11(b)

    MULTI-SECTOR ACCOUNT PORTFOLIO

    EM BOND MAP

    FREDERICTON NB E3B 5H8 CANADA

     

     

     

    GENERAL DYNAMICS CORP 401K

    413,744

    12.26

     

    PLAN MASTER TRUST CP

    FALLS CHURCH VA 22042-4541

     

     

     

    T ROWE PRICE ASSOCIATES

    1,200,000

    35.56(c)

    EMERGING MARKETS LOCAL

    PERSHING LLC

    3,428,894

    5.83

    CURRENCY BOND

    SPECTRUM INCOME FUND

    48,736,125

    82.91(d)

     

    T. ROWE PRICE ASSOCIATES

      

    EMERGING MARKETS LOCAL

    CHARLES SCHWAB & CO INC

    7,812

    21.72

    CURRENCY BOND FUND—ADVISOR

    T ROWE PRICE ASSOCIATES

    25,084

    69.73(c)

    CLASS

      

     

    EMERGING MARKETS LOCAL

    CURRENCY BOND FUND—I CLASS

    THE NORTHWESTERN MUTUAL LIFE INSURANCE COMPANY

    MILWAUKEE WI 53202-4703

    22,886,308

    91.66(b)

    EMERGING MARKETS LOCAL MULTI-

    CBE OF NEW BRUNSWICK

    4,278,201

    77.42(b)

    SECTOR ACCOUNT PORTFOLIO

    T ROWE PRICE ASSOCIATES

    1,200,000

    21.72

    EMERGING MARKETS STOCK

    MLPF&S FOR THE SOLE BENEFIT OF

    22,168,413

    11.53

     

    ITS CUSTOMERS

     

     

     

    NATIONAL FINANCIAL SERVICES

    10,138,885

    5.27

     

    T ROWE PRICE ASSOCIATES

    15,216,540

    7.91

     

    RETIREMENT PORTFOLIO 2040

     

     

     

    T ROWE PRICE ASSOCIATES

    13,443,456

    6.99

     

    RETIREMENT PORTFOLIO 2020

     

     

     

    T ROWE PRICE ASSOCIATES

    13,227,015

    6.88

     

    RETIREMENT PORTFOLIO 2025

     

     

     

    T ROWE PRICE ASSOCIATES

    18,846,907

    9.80

     

    RETIREMENT PORTFOLIO 2030

     

     

     

    T ROWE PRICE ASSOCIATES

    12,269,893

    6.38

     

    RETIREMENT PORTFOLIO 2035

     

     

    EMERGING MARKETS STOCK FUND—

    NATIONAL FINANCIAL SERVICES

    18,481,195

    31.36(b)

    I CLASS

    TD AMERITRADE INC

    3,416,272

    5.80

     

    VANGUARD FIDUCIARY TRUST COMPANY

    VALLEY FORGE PA 19482-2600

    4,691,086

    7.96

    EMERGING MARKETS VALUE STOCK

    CHARLES SCHWAB & CO INC

    194,101

    5.13

     

    T ROWE PRICE ASSOCIATES

    675,000

    17.82

    PAGE 71


        

    Principal Holders of Fund Shares

    FUND

    SHAREHOLDER

    SHARES

    %

    EMERGING MARKETS VALUE STOCK FUND—ADVISOR CLASS

    E TRADE SECURITIES LLC

    JERSEY CITY NJ 07303-0484

    9,732

    24.88

     

    T ROWE PRICE ASSOCIATES

    25,000

    63.89(c)

    EMERGING MARKETS VALUE STOCK FUND—I CLASS

    ERIC C MOFFETT

    MIRI C MOFFETT

    71,403

    25.87(b)

     

    T ROWE PRICE ASSOCIATES

    21,259

    7.70

     

    T ROWE PRICE TRUST CO INC

    82,291

    29.82(e)

     

    CUST FOR THE IRA OF JAMES D HARLAN

     

     

     

    TRUSTEES OF T ROWE PRICE

    92,296

    33.44(a)

     

    U.S. RETIREMENT PROGRAM

     

     

    EQUITY INCOME

    NATIONAL FINANCIAL SERVICES

    42,458,256

    8.26

     

    T ROWE PRICE TRUST CO INC

    34,299,600

    6.68

    EQUITY INCOME FUND—ADVISOR

    CHARLES SCHWAB & CO INC 

    703,416

    5.70

    CLASS

    NATIONAL FINANCIAL SERVICES

    7,608,950

    61.63(b)

    EQUITY INCOME FUND—I CLASS

    EDWARD D JONES & CO

    63,557,943

    50.41(b)

     

    NATIONAL FINANCIAL SERVICES

    15,370,653

    12.19

     

    T ROWE PRICE RPS INC

    8,926,392

    7.08

     

    TD AMERITRADE INC

    11,724,235

    9.30

    EQUITY INCOME FUND—R CLASS

    AMERICAN UNITED LIFE

    235,187

    8.49

     

    AMERICAN UNIT INVESTMENT TRUST

     

     

     

    AMERICAN UNITED LIFE

    520,597

    18.79

     

    SEPARATE ACCOUNT II

     

     

     

    DCGT AS TTEE AND/OR CUST

    152,821

    5.52

     

    FBO PLIC VARIOUS RETIREMENT PLANS

     

     

     

    HARTFORD LIFE INSURANCE CO

    315,651

    11.39

     

    SEPARATE ACCOUNT

    HARTFORD CT 06104-2999

     

     

     

    NATIONWIDE TRUST CO FSB

    204,412

    7.38

    EQUITY INCOME PORTFOLIO

    AMERICAN UNITED LIFE

    1,560,738

    8.67

     

    AMERICAN UNIT INVESTMENT TRUST

    INDIANAPOLIS IN 46206-0368

     

     

     

    AMERICAN UNITED LIFE

    2,497,339

    13.87

     

    SEPARATE ACCOUNT II

     

     

     

    LINCOLN BENEFIT LIFE CO

    941,640

    5.23

     

    LINCOLN BENEFIT VARIABLE LIFE

    PALATINE IL 60094-4210

     

     

     

    PRUCO LIFE INSURANCE COMPANY

    2,179,850

    12.10

     

    FLEXIBLE PREMIUM

     

     

     

    VARIABLE ANNUITY ACCOUNT

    NEWARK NJ 07102-2917

     

     

     

    SECURITY BENEFIT LIFE INS CO

    2,372,097

    13.17

     

    FBO T ROWE PRICE NO LOAD V A

    TOPEKA KS 66636-0001

     

     

    EQUITY INCOME PORTFOLIO—II

    AXA EQUITABLE LIFE INSURANCE CO

    NEW YORK NY 10104-0101

    473,716

    6.66

     

    JEFFERSON NATIONAL LIFE INS CO

    518,814

    7.29

     

    LINCOLN BENEFIT LIFE CO

    LINCOLN BENEFIT VARIABLE ANNUITY

    TOPEKA KS 66636-0001

    366,889

    5.15

     

    NATIONWIDE INSURANCE COMPANY

    861,985

    12.11

     

    NATIONWIDE INSURANCE COMPANY

    869,661

    12.22

     

    PACIFIC SELECT EXEC

    2,361,218

    33.17(f)

     

    SEPARATE ACCOUNT OF PACIFIC LIFE

     

     

    PAGE 72


        

    Principal Holders of Fund Shares

    FUND

    SHAREHOLDER

    SHARES

    %

    EQUITY INDEX 500

    T ROWE PRICE ASSOCIATES

    17,720,661

    5.16

     

    RETIREMENT PORTFOLIO 2040

     

     

     

    T ROWE PRICE ASSOCIATES

    19,451,344

    5.66

     

    RETIREMENT PORTFOLIO 2015

     

     

     

    T ROWE PRICE ASSOCIATES

    51,665,186

    15.04

     

    RETIREMENT PORTFOLIO 2020

     

     

     

    T ROWE PRICE ASSOCIATES

    37,834,474

    11.01

     

    RETIREMENT PORTFOLIO 2025

     

     

     

    T ROWE PRICE ASSOCIATES

    39,349,375

    11.46

     

    RETIREMENT PORTFOLIO 2030

     

     

     

    T ROWE PRICE ASSOCIATES

    19,665,939

    5.73

     

    RETIREMENT PORTFOLIO 2035

     

     

    EQUITY INDEX 500 FUND—I CLASS

    T ROWE PRICE ASSOCIATES

    2,281,473

    5.50

     

    RETIREMENT I 2015 FUND

     

     

     

    T ROWE PRICE ASSOCIATES

    7,462,288

    18.00

     

    RETIREMENT I 2020 FUND

     

     

     

    T ROWE PRICE ASSOCIATES

    5,660,421

    13.65

     

    RETIREMENT I 2025 FUND

     

     

     

    T ROWE PRICE ASSOCIATES

    6,213,438

    14.99

     

    RETIREMENT I 2030 FUND

     

     

     

    T ROWE PRICE ASSOCIATES

    3,214,145

    7.75

     

    RETIREMENT I 2035 FUND

     

     

     

    T ROWE PRICE ASSOCIATES

    3,197,520

    7.71

     

    RETIREMENT I 2040 FUND

     

     

    EQUITY INDEX 500 PORTFOLIO

    NYLIAC

    129,170

    14.12

     

    SECURITY BENEFIT LIFE INS CO

    753,256

    82.37(g)

    EUROPEAN STOCK

    CHARLES SCHWAB & CO INC

    4,625,752

    8.24

     

    SPECTRUM INTERNATIONAL FUND

    12,265,816

    21.85

    EUROPEAN STOCK FUND—I CLASS

    CHARLES SCHWAB & CO INC

    84,906

    11.12

     

    NATIONAL FINANCIAL SERVICES

    207,430

    27.16(b)

     

    TRUSTEES OF T ROWE PRICE

    385,013

    50.41(a)

     

    U.S. RETIREMENT PROGRAM

     

     

    EXTENDED EQUITY MARKET INDEX

    TD AMERITRADE INC

    1,851,615

    6.13

    FINANCIAL SERVICES

    CHARLES SCHWAB & CO INC

    1,666,398

    5.78

     

    PERSHING LLC

    2,295,162

    7.96

     

    T ROWE PRICE SERVICES INC

    1,460,186

    5.06

     

    EDUCATION TRUST OF ALASKA

     

     

     

    PORTFOLIO FUTURE TRENDS

     

     

    FINANCIAL SERVICES FUND—I CLASS

    TRUSTEES OF T ROWE PRICE

    628,056

    87.65(a)

     

    U.S. RETIREMENT PROGRAM

     

     

    FLOATING RATE

    NATIONAL FINANCIAL SERVICES

    8,098,814

    5.62

     

    PERSHING LLC

    7,237,783

    5.02

     

    SPECTRUM INCOME FUND

    37,603,365

    26.08(d)

     

    T. ROWE PRICE ASSOCIATES

     

     

     

    T ROWE PRICE ASSOCIATES

    11,049,509

    7.66

     

    RETIREMENT PORTFOLIO 2020

     

     

     

    T ROWE PRICE ASSOCIATES

    7,680,627

    5.33

     

    RETIREMENT PORTFOLIO 2025

      

    FLOATING RATE FUND—ADVISOR

    CHARLES SCHWAB & CO INC

    1,099,945

    18.68

    CLASS

    NATIONAL FINANCIAL SERVICES

    3,495,984

    59.37(b)

     

    PERSHING LLC

    705,344

    11.98

     

    TD AMERITRADE INC

    319,545

    5.43

    PAGE 73


        

    Principal Holders of Fund Shares

    FUND

    SHAREHOLDER

    SHARES

    %

    FLOATING RATE FUND—I CLASS

    NATIONAL FINANCIAL SERVICES

    553,480

    5.94

     

    ROBERT S KAPLAN

    576,207

    6.19

     

    JAMIE SCHUVAL JT TEN

     

     

     

    T ROWE PRICE ASSOCIATES

    550,094

    5.91

     

    RETIREMENT I 2015 FUND

     

     

     

    T ROWE PRICE ASSOCIATES

    1,525,838

    16.39

     

    RETIREMENT I 2020 FUND

     

     

     

    T ROWE PRICE ASSOCIATES

    1,115,135

    11.98

     

    RETIREMENT I 2025 FUND

     

     

     

    T ROWE PRICE ASSOCIATES

    1,011,327

    10.86

     

    RETIREMENT I 2030 FUND

     

     

    FLOATING RATE MULTI-SECTOR

    CBE OF NEW BRUNSWICK

    3,169,043

    38.74(b)

    ACCOUNT PORTFOLIO

    FLOATING RATE MAP

     

     

     

    GENERAL DYNAMICS CORP 401K

    1,231,679

    15.06

     

    PLAN MASTER TRUST CP

     

     

     

    ILLINOIS STUDENT ASSISTANCE

    551,397

    6.74

     

    COMMISSION

    DEERFIELD IL 60015-5209

     

     

     

    T ROWE PRICE ASSOCIATES

    2,500,000

    30.56(c)

     

    XCEL ENERGY INC.

    MINNEAPOLIS MN 55401-1993

    449,731

    5.50

    GEORGIA TAX-FREE BOND

    CHARLES SCHWAB & CO INC

    3,531,257

    12.17

     

    NATIONAL FINANCIAL SERVICES

    4,903,476

    16.90

     

    SEI PRIVATE TRUST COMPANY

    OAKS PA 19456-9989

    4,311,789

    14.86

    GEORGIA TAX-FREE BOND FUND—

    CHARLES SCHWAB & CO INC

    53,792

    13.47

    I CLASS

    GARY E IVEY

    182,635

    45.73(b)

     

    NORA T HUGHES

    27,674

    6.93

     

    STEPHEN M HUGHES

    24,450

    6.12

     

    T ROWE PRICE ASSOCIATES

    21,777

    5.45

     

    WILLIAM KENT NICHOLS T O D

    88,886

    22.26

    GLOBAL ALLOCATION

    MORGAN STANLEY SMITH BARNEY

    JERSEY CITY NJ 07311

    2,725,082

    10.60

     

    NATIONAL FINANCIAL SERVICES

    2,809,210

    10.93

     

    PERSHING LLC

    2,106,273

    8.20

     

    RAYMOND JAMES

    ST PETERSBURG FL 33716-1100

    3,506,114

    13.64

     

    T ROWE PRICE ASSOCIATES

    2,475,000

    9.63

     

    UBS WM USA

    WEEHAWKEN NJ 07086-6761

    1,989,847

    7.74

    GLOBAL ALLOCATION FUND—ADVISOR

    CHARLES SCHWAB & CO INC

    94,380

    11.17

     

    CHARLES SCHWAB & CO INC

    59,725

    7.07

     

    LPL FINANCIAL

    86,805

    10.27

     

    NATIONAL FINANCIAL SERVICES 

    425,573

    50.37(b)

     

    PERSHING LLC

    90,670

    10.73

     

    RAYMOND JAMES

    45,440

    5.38

    PAGE 74


        

    Principal Holders of Fund Shares

    FUND

    SHAREHOLDER

    SHARES

    %

    GLOBAL ALLOCATION FUND—I CLASS

    CHARLES SCHWAB & CO INC

    511,036

    17.16

     

    JOHN D. BESSON

    154,624

    5.19

     

    KAREN S. BESSON JT TEN

     

     

     

    NATIONAL FINANCIAL SERVICES

    358,571

    12.04

     

    PERSHING LLC

    413,695

    13.90

     

    SAXON & CO

    CLEVELAND OH 44101-4597

    156,753

    5.26

     

    TD AMERITRADE INC

    245,258

    8.24

     

    TRUSTEES OF T ROWE PRICE

    578,594

    19.43

     

    U.S. RETIREMENT PROGRAM

     

     

     

    WILLIAM J STROMBERG

    162,893

    5.47

    GLOBAL CONSUMER

    NATIONAL FINANCIAL SERVICES

    103,809

    7.94

     

    T ROWE PRICE ASSOCIATES

    700,000

    53.57(c)

    GLOBAL GROWTH STOCK FUND—

    ASCENSUS TRUST COMPANY FBO

    4,275

    5.32

    ADVISOR CLASS

    MUSKINGUM IRON & METAL CO SALARY

    FARGO ND 58106-0758

     

     

     

    CHARLES SCHWAB & CO INC

    5,178

    6.44

     

    MARK SMITH & GREGG DEVILBISS TTEE

    20,770

    25.84(b)

     

    KENTNER SELLERS LLP PSP

     

     

     

    C/O FASCORE LLC

    GREENWOOD VLG CO 80111-5002

     

     

     

    NATIONAL FINANCIAL SERVICES

    6,373

    7.93

     

    PERSHING LLC

    13,890

    17.28

     

    T ROWE PRICE ASSOCIATES

    25,000

    31.10(c)

    GLOBAL GROWTH STOCK FUND—

    MAC & CO

    643,397

    11.73

    I CLASS

    MAC & CO

    1,601,743

    29.19(b)

     

    MAC & CO

    1,715,521

    31.27(b)

     

    NATIONAL MERIT SCHOLARSHIP

    862,142

    15.71

     

    CORPORATION

    EVANSTON IL 60201-4897

     

     

     

    TRUSTEES OF T ROWE PRICE

    453,569

    8.27

     

    U.S. RETIREMENT PROGRAM

     

     

    GLOBAL HIGH INCOME BOND

    NATIONAL FINANCIAL SERVICES

    1,059,763

    15.19

     

    T ROWE PRICE ASSOCIATES

    1,475,000

    21.14

    GLOBAL HIGH INCOME BOND FUND—

    CHARLES SCHWAB & CO INC

    28,639

    19.31

    ADVISOR CLASS

    NATIONAL FINANCIAL SERVICES

    15,691

    10.58

     

    PERSHING LLC

    31,867

    21.49

     

    T ROWE PRICE ASSOCIATES

    25,000

    16.86

     

    TD AMERITRADE INC

    47,114

    31.77(b)

    GLOBAL HIGH INCOME BOND FUND—

    CHARLES SCHWAB & CO INC

    1,652,117

    66.94(b)

    I CLASS

    T ROWE PRICE TRUST CO INC

    161,304

    6.54

     

    CUST FOR THE IRA OF DAVID MILLER

     

     

     

    TD AMERITRADE INC

    416,672

    16.88

     

    TRUSTEES OF T ROWE PRICE

    152,207

    6.17

     

    U.S. RETIREMENT PROGRAM

     

     

    GLOBAL INDUSTRIALS

    T ROWE PRICE ASSOCIATES

    700,000

    36.15(c)

    GLOBAL INDUSTRIALS FUND—I CLASS

    T ROWE PRICE ASSOCIATES

    20,644

    17.77

     

    TRUSTEES OF T ROWE PRICE

    95,508

    82.23(a)

     

    U.S. RETIREMENT PROGRAM

     

     

    GLOBAL MULTI-SECTOR BOND

    CHARLES SCHWAB & CO INC

    4,282,231

    8.64

     

    NATIONAL FINANCIAL SERVICES

    5,720,515

    11.54

     

    TD AMERITRADE INC

    4,500,351

    9.08

    PAGE 75


        

    Principal Holders of Fund Shares

    FUND

    SHAREHOLDER

    SHARES

    %

    GLOBAL MULTI-SECTOR BOND FUND—

    LPL FINANCIAL

    165,015

    7.39

    ADVISOR CLASS

    NATIONAL FINANCIAL SERVICES

    1,027,198

    45.99(b)

     

    PERSHING LLC

    217,247

    9.73

     

    TD AMERITRADE INC

    566,634

    25.37(b)

    GLOBAL MULTI-SECTOR BOND FUND— I CLASS

    AMERICAN TRUST CENTER

    BISMARCK ND 58501-4023 

    335,122

    6.89

     

    CENTBANK &CO

    JUNCTION CITY, KS 66441-0700

    547,748

    11.27

     

    LINCOLN RETIREMENT SERVICES COMPANY

    285,161

    5.87

     

    FBO NORTHSTAR ANESTHESIA 401K PSP

    FORT WAYNE IN 46801-7876

     

     

     

    NATIONAL FINANCIAL SERVICES

    505,683

    10.40

     

    SEI PRIVATE TRUST COMPANY

    1,125,421

    23.15

     

    SEI PRIVATE TRUST COMPANY

    284,214

    5.85

    GLOBAL REAL ESTATE

    CHARLES SCHWAB & CO INC

    482,114

    7.21

     

    NATIONAL FINANCIAL SERVICES

    550,990

    8.24

     

    PERSHING LLC

    340,943

    5.10

     

    TD AMERITRADE INC

    768,587

    11.49

    GLOBAL REAL ESTATE FUND—ADVISOR

    CHARLES SCHWAB & CO INC

    202,571

    19.27

    CLASS

    GREAT-WEST LIFE & ANNUITY

    76,635

    7.29

     

    FBO FUTURE FUNDS II

     

     

     

    GREAT-WEST TRUST COMPANY LLC FBO

    253,643

    24.12

     

    EMPLOYEE BENEFITS CLIENTS 401K

     

     

     

    LINCOLN RETIREMENT SERVICES COMPANY

    87,097

    8.28

     

    FBO OAKLAWN HOSPITAL 403(B) PLAN

     

     

     

    NATIONAL FINANCIAL SERVICES

    177,828

    16.91

    GLOBAL REAL ESTATE FUND—I CLASS

    NATIONAL FINANCIAL SERVICES

    495,019

    73.66(b)

     

    TRUSTEES OF T ROWE PRICE

    135,912

    20.22

     

    U.S. RETIREMENT PROGRAM

     

     

    GLOBAL STOCK

    NATIONAL FINANCIAL SERVICES

    1,696,045

    8.20

     

    PERSHING LLC

    1,485,722

    7.18

    GLOBAL STOCK FUND—ADVISOR

    NATIONAL FINANCIAL SERVICES

    51,860

    6.28

    CLASS

    TRUST COMPANY OF AMERICA

    ENGLEWOOD CO 80155-6503

    61,635

    7.47

     

    UMB BANK CUSTODIAN

    620,723

    75.22(b)

     

    FBO FIDUCIARY FOR VARIOUS

     

     

     

    RETIREMENT PROGRAMS

    TOPEKA KS 66636-0001

     

     

    GLOBAL STOCK FUND—I CLASS

    JPMORGAN CHASE BANK NA AS CUSTODIAN

    FBO E&Y PARTNERSHIP DEFINED BENEFIT

    BROOKLYN NY 11245-0003

    957,570

    20.53

     

    JPMORGAN CHASE BANK NA AS CUSTODIAN

    DIRECTED TRUSTEE FOR ERNST & Y

    1,116,445

    23.94

     

    JPMORGAN CHASE BANK NA AS CUSTODIAN

    DIRECTED TRUSTEE FOR THE ER

    754,952

    16.19

     

    JPMORGAN CHASE BANK NA AS CUSTODIAN

    574,852

    12.32

     

    NATIONAL FINANCIAL SERVICES

    558,871

    11.98

    PAGE 76


        

    Principal Holders of Fund Shares

    FUND

    SHAREHOLDER

    SHARES

    %

    GLOBAL TECHNOLOGY

    CHARLES SCHWAB & CO INC

    22,021,351

    6.22

     

    MLPF&S FOR THE SOLE BENEFIT OF

    19,016,252

    5.37

     

    ITS CUSTOMERS

     

     

     

    NATIONAL FINANCIAL SERVICES

    35,608,965

    10.06

     

    PERSHING LLC

    25,077,057

    7.09

     

    WELLS FARGO CLEARING SERVICES LLC

    18,480,109

    5.22

    GLOBAL TECHNOLOGY FUND—I CLASS

    CHARLES SCHWAB & CO INC

    6,603,254

    26.68(b)

     

    NATIONAL FINANCIAL SERVICES

    6,157,950

    24.88

     

    SEI PRIVATE TRUST COMPANY

    1,300,858

    5.26

     

    TAYNIK & CO

    QUINCY MA 02169-0938

    1,532,799

    6.19

     

    TD AMERITRADE INC

    1,703,177

    6.88

     

    TRUSTEES OF T ROWE PRICE

    2,499,045

    10.10

     

    U.S. RETIREMENT PROGRAM

     

     

    GNMA

    SPECTRUM INCOME FUND

    62,483,424

    42.32(d)

     

    T. ROWE PRICE ASSOCIATES

     

     

    GNMA FUND—I CLASS

    CHARLES SCHWAB & CO INC

    42,838

    11.15

     

    T ROWE PRICE ASSOCIATES

    26,882

    7.00

     

    TRUSTEES OF T ROWE PRICE

    306,875

    79.85(a)

     

    U.S. RETIREMENT PROGRAM

     

     

    GOVERNMENT MONEY

    T ROWE PRICE ASSOCIATES

    777,306,329

    9.69

     

    T ROWE PRICE INTERNATIONAL LTD

    LONDON EC4N 4T2 UNITED KINGDOM

    404,365,794

    5.04

    GOVERNMENT MONEY FUND—I CLASS

    LEIGH C KIRBY

    8,093,503

    6.02

     

    SAXON & CO

    6,800,000

    5.06

     

    STEPHEN WILLIAM BOESEL

    16,391,314

    12.20

    GOVERNMENT MONEY PORTFOLIO

    AMERICAN NATIONAL GROUP

    3,119,444

    9.58

     

    UNALLOCATED VA CORP

    GALVESTON TX 77550-7947

     

     

     

    HORACE MANN LIFE INSURANCE CO

    19,839,690

    60.92(f)

     

    SEPARATE ACCOUNT

    SPRINGFIELD IL 62715-0002

     

     

     

    SECURITY BENEFIT LIFE INS CO

    7,822,487

    24.02

     

    FBO T ROWE PRICE NO LOAD V A

     

     

    GOVERNMENT RESERVE

    COVEWATER & CO

    BALTIMORE MD 21202-1009

    763,508,892

    6.66

     

    SEAMILE & CO

    BALTIMORE MD 21202-1009

    1,426,839,649

    12.44

     

    TUNA & CO

    BALTIMORE MD 21202-1009

    1,253,977,955

    10.93

    GROWTH & INCOME

    T ROWE PRICE TRUST CO INC

    3,964,422

    6.01

    GROWTH & INCOME FUND—I CLASS

    CHARLES SCHWAB & CO INC

    20,710

    10.57

     

    GARY M JACOBS

    84,088

    42.92(b)

     

    JANET L JACOBS JT TEN

    BOULDER CO 80302-6737

     

     

     

    HERMAN & WALTER SAMUELSON

    34,473

    17.60

     

    FOUNDATION INC

    TOWSON MD 21204-4905

     

     

     

    STEPHEN HUDSON

    15,201

    7.76

     

    POA JO ANNE HUDSON TRS

     

     

     

    HUDSON FAMILY REVOCABLE TRUST

     

     

     

    TRAC 2000

    10,487

    5.35

     

    BEAN KINNEY & KORMAN PC 401K

     

     

     

    LISA A ANTONELLI

     

     

    PAGE 77


        

    Principal Holders of Fund Shares

    FUND

    SHAREHOLDER

    SHARES

    %

    GROWTH STOCK

    NATIONAL FINANCIAL SERVICES

    43,088,868

    7.37

     

    T ROWE PRICE ASSOCIATES

    47,144,993

    8.07

     

    RETIREMENT PORTFOLIO 2040

     

     

     

    T ROWE PRICE ASSOCIATES

    48,548,796

    8.31

     

    RETIREMENT PORTFOLIO 2030

     

     

     

    T ROWE PRICE ASSOCIATES

    35,473,851

    6.07

     

    RETIREMENT PORTFOLIO 2035

     

     

     

    T ROWE PRICE TRUST CO INC

    33,499,282

    5.73

    GROWTH STOCK FUND—ADVISOR

    NATIONAL FINANCIAL SERVICES

    12,826,729

    24.66

    CLASS

    NATIONWIDE INSURANCE COMPANY

    5,050,786

    9.71

     

    VANTAGETRUST – NAV

    WASHINGTON DC 20002-4239

    6,346,360

    12.20

     

    VANTAGETRUST - UNITIZED

    3,553,762

    6.83

    GROWTH STOCK FUND—I CLASS

    CHARLES SCHWAB & CO INC

    17,602,100

    11.59

     

    NATIONAL FINANCIAL SERVICES

    15,579,506

    10.26

     

    T ROWE PRICE ASSOCIATES

    8,233,218

    5.42

     

    RETIREMENT I 2040 FUND

     

     

    GROWTH STOCK FUND—R CLASS

    AXA EQUITABLE FOR SA NO 65

    SECAUCUS NJ 07094-3619

    1,152,961

    6.94

     

    DCGT AS TTEE AND/OR CUST

    845,186

    5.09

     

    FBO PLIC VARIOUS RETIREMENT PLANS

     

     

     

    HARTFORD LIFE INSURANCE CO

    1,288,413

    7.76

     

    SEPARATE ACCOUNT

     

     

     

    STATE STREET BANK AND TRUST AS

    2,726,853

    16.42

     

    TRUSTEE AND/OR CUSTODIAN

     

     

     

    FBO ADP ACCESS PRODUCT

     

     

     

    SUNTRUST BANK

    GREENWOOD VLG CO 80111-5002

    1,388,028

    8.36

     

    UMB BANK NA SFR

    1,467,407

    8.83

     

    FBO FIDUCIARY FOR TAX DEFERRED

     

     

     

    ACCOUNTS GROUP

     

     

    HEALTH SCIENCES

    CHARLES SCHWAB & CO INC

    8,629,767

    5.47

     

    JOHN HANCOCK LIFE

    10,224,300

    6.48

     

    INSURANCE CO USA

    BOSTON MA 02210-2804

     

     

     

    NATIONAL FINANCIAL SERVICES

    12,684,636

    8.04

    HEALTH SCIENCES FUND—I CLASS

    CHARLES SCHWAB & CO INC

    362,221

    5.28

     

    NATIONAL FINANCIAL SERVICES

    1,109,341

    16.16

     

    TRUSTEES OF T ROWE PRICE

    U.S. RETIREMENT PROGRAM

    1,413,586

    20.59

    HEALTH SCIENCES PORTFOLIO

    AMERICAN NATIONAL GROUP

    286,789

    13.46

     

    UNALLOCATED VA CORP

    GALVESTON TX 77550-7947

     

     

     

    MODERN WOODMEN OF AMERICA

    TOPEKA KS 66636-0001

    476,708

    22.38

     

    NATIONWIDE INSURANCE COMPANY

    324,299

    15.23

     

    SECURITY BENEFIT LIFE INS CO

    614,629

    28.86(g)

     

    FBO T ROWE PRICE NO LOAD V A

     

     

    HEALTH SCIENCES PORTFOLIO—II

    AXA EQUITABLE LIFE INSURANCE CO

    3,540,943

    23.84

     

    SEPARATE ACCOUNT 70

     

     

     

    NATIONWIDE LIFE INSURANCE COMPANY

    916,171

    6.17

     

    NATIONWIDELIFE INSURANCE COMPANY

    6,162,848

    41.49(f)

    PAGE 78


        

    Principal Holders of Fund Shares

    FUND

    SHAREHOLDER

    SHARES

    %

    HIGH YIELD

    SPECTRUM INCOME FUND

    147,841,810

    15.79

     

    T. ROWE PRICE ASSOCIATES

     

     

     

    T ROWE PRICE ASSOCIATES

    86,726,187

    9.26

     

    RETIREMENT PORTFOLIO 2020

     

     

     

    T ROWE PRICE ASSOCIATES

    62,488,431

    6.67

     

    RETIREMENT PORTFOLIO 2025

     

     

     

    T ROWE PRICE ASSOCIATES

    59,479,693

    6.35

     

    RETIREMENT PORTFOLIO 2030

     

     

    HIGH YIELD FUND—ADVISOR CLASS

    CHARLES SCHWAB & CO INC

    918,673

    11.80

     

    NATIONAL FINANCIAL SERVICES

    3,977,397

    51.08(b)

     

    RELIANCE TRUST COMPANY FBO

    493,792

    6.34

     

    RETIREMENT PLANS SERVICED BY METLIFE C/O FASCORE LLC

     

     

     

    GREENWOOD VLG CO 80111-5002

     

     

    HIGH YIELD FUND—I CLASS

    EDWARD D JONES & CO

    122,953,046

    46.61(b)

     

    NATIONAL FINANCIAL SERVICES

    49,291,175

    18.68

    HIGH YIELD MULTI-SECTOR ACCOUNT PORTFOLIO

    BALTIMORE EQUITABLE SOCIETY

    BALTIMORE MD 21201-3808

    79,935

    5.56

     

    GENERAL DYNAMICS CORP 401K

    275,768

    19.18

     

    PLAN MASTER TRUST CP

     

     

     

    ILLINOIS STUDENT ASSISTANCE

    81,854

    5.69

     

    COMMISSION

     

     

     

    T ROWE PRICE ASSOCIATES

    1,000,000

    69.56(c)

    INFLATION PROTECTED BOND

    NATIONAL FINANCIAL SERVICES

    1,960,303

    5.48

     

    SPECTRUM INCOME FUND

    8,274,743

    23.12

     

    T. ROWE PRICE ASSOCIATES

     

     

     

    T ROWE PRICE RPS INC

    1,790,612

    5.00

    INFLATION PROTECTED BOND FUND—I CLASS

    BREAD & CO

    BALTIMORE MD 21202-1009

    1,129,975

    22.48

     

    LADYBIRD & CO

    1,070,356

    21.29

     

    LADYBUG & CO

    727,439

    14.47

     

    LAKESIDE & CO

    384,255

    7.64

     

    TRUSTEES OF T ROWE PRICE

    333,646

    6.64

     

    U.S. RETIREMENT PROGRAM

     

     

    INSTITUTIONAL AFRICA & MIDDLE

    NATIONAL FINANCIAL SERVICES

    20,475,977

    69.68(b)

    EAST

    NORTHERN TRUST AS CUSTODIAN FBO

    1,861,352

    6.33

     

    JOHN E FETZER INSTITUTE

     

     

     

    UNIVERSITY OF ARKANSAS

    6,444,767

    21.93

     

    FOUNDATION INC

    FAYETTEVILLE AR 72701-6944

     

     

    INSTITUIONAL CASH RESERVES

    T ROWE PRICE ASSOCIATES

    50,000,000

    41.36(c)

     

    T ROWE PRICE SERVICES INC

    20,000,000

    16.54

     

    T ROWE PRICE RETIREMENT PLAN

    SERVICES INC

    50,000,000

    41.36(a)

    INSTITUTIONAL CORE PLUS

    BAND & CO

    MILWAUKEE WI 53212-3958

    3,135,519

    8.16

     

    JEANETTE STUMP &

    3,805,240

    9.91

     

    JAMES CARNEY & HOWARD KLINE TRS

     

     

     

    SPECIAL METALS CORPORATION RETIREE BENEFIT TRUST

    PITTSBURGH PA 15222-1209

     

     

     

    NATIONAL FINANCIAL SERVICES

    10,544,565

    27.45(b)

     

    SEI PRIVATE TRUST COMPANY

    4,455,833

    11.60

    PAGE 79


        

    Principal Holders of Fund Shares

    FUND

    SHAREHOLDER

    SHARES

    %

    INSTITUTIONAL CREDIT OPPORTUNITIES

    BOWMAN & CO

    BALTIMORE MD 21202-1009

    297,226

    10.01

     

    T ROWE PRICE ASSOCIATES

    2,500,000

    84.17(c)

     

    TRUSTEES OF T ROWE PRICE

    172,825

    5.82

     

    U.S. RETIREMENT PROGRAM

     

     

    INSTITUTIONAL EMERGING MARKETS

    CHARLES SCHWAB & CO INC

    4,665,571

    11.41

    BOND

    LADYBIRD & CO

    12,686,734

    31.03(d)

     

    LADYBUG & CO

    8,684,375

    21.24

     

    LAKESIDE & CO

    3,488,920

    8.53

     

    NATIONAL FINANCIAL SERVICES

    2,579,240

    6.31

     

    VANGUARD FIDUCIARY TRUST COMPANY

    2,357,139

    5.77

    INSTITUTIONAL EMERGING MARKETS EQUITY

    GOLDMAN SACHS & CO

    NEW YORK NY 10004-2434

    5,886,788

    13.30

     

    JPMORGAN CHASE BANK NA AS CUSTODIAN

    2,557,409

    5.78

     

    LAKESIDE & CO

    2,705,593

    6.11

     

    NATIONAL FINANCIAL SERVICES

    4,778,841

    10.79

     

    WELLS FARGO BANK NA FBO

    MINNEAPOLIS MN 55480-1533

    12,252,130

    27.68(b)

    INSTITUTIONAL FLOATING RATE

    CHARLES SCHWAB & CO INC

    50,841,230

    10.68

     

    J.P. MORGAN SECURITIES LLC

    53,038,135

    11.14

     

    NATIONAL FINANCIAL SERVICES

    58,781,540

    12.35

     

    TD AMERITRADE INC

    29,196,826

    6.14

     

    TUNA & CO

    79,181,706

    16.64

     

    WELLS FARGO BANK NA

    53,912,714

    11.33

    INSTITUTIONAL FLOATING RATE

    CHARLES SCHWAB & CO INC

    4,140,853

    7.13

    FUND—F CLASS

    NATIONAL FINANCIAL SERVICES

    4,684,160

    8.07

     

    SAXON & CO

    PHILADELPHIA PA 19182-0001

    28,266,738

    48.69(b)

     

    SAXON & CO

    3,927,026

    6.76

     

    TD AMERITRADE INC

    9,921,202

    17.09

    INSTITUTIONAL FRONTIER MARKETS

    CHARLES SCHWAB & CO INC

    470,540

    6.88

    EQUITY

    NATIONAL FINANCIAL SERVICES

    736,098

    10.76

     

    SEI PRIVATE TRUST COMPANY

    2,051,602

    30.00(b)

     

    T ROWE PRICE ASSOCIATES

    2,520,186

    36.85(c)

    INSTITUTIONAL GLOBAL FOCUSED

    NATIONAL FINANCIAL SERVICES

    1,205,696

    30.37(b)

    GROWTH EQUITY

    TRUSTEES OF T ROWE PRICE

    2,764,480

    69.63(a)

     

    U.S. RETIREMENT PROGRAM

     

     

    INSTITUTIONAL GLOBAL GROWTH

    CHARLES SCHWAB & CO INC

    3,758,293

    24.07

    EQUITY

    NATIONAL FINANCIAL SERVICES

    9,148,603

    58.59(b)

     

    SAXON & CO

    813,316

    5.21

     

    STATE STREET BANK AND TRUST AS

    1,448,965

    9.28

     

    TTEE FOR THE MASTER TRUST FOR

     

     

     

    DEFINED BENEFIT PLANS

     

     

     

    OF SYNGENTA CORPORATION

    KANSAS CITY MO 64105-1307

     

     

    INSTITUTIONAL GLOBAL MULTI-SECTOR BOND

    CAPINCO

    MILWAUKEE WI 53212-3958

    613,018

    28.88(b)

     

    JPMORGAN CHASE BANK, N. A.

    538,484

    25.37(b)

     

    NATIONAL FINANCIAL SERVICES

    469,310

    22.11

     

    TRUSTEES OF T ROWE PRICE

    502,128

    23.65

     

    U.S. RETIREMENT PROGRAM

     

     

    INSTITUTIONAL GLOBAL VALUE EQUITY

    T ROWE PRICE ASSOCIATES

    700,000

    82.48(c)

     

    TRUSTEES OF T ROWE PRICE

    148,694

    17.52

     

    U.S. RETIREMENT PROGRAM

     

     

    PAGE 80


        

    Principal Holders of Fund Shares

    FUND

    SHAREHOLDER

    SHARES

    %

    INSTITUTIONAL HIGH YIELD

    BREAD & CO

    15,221,579

    8.75

     

    GOLDMAN SACHS & CO

    21,211,306

    12.19

     

    LADYBIRD & CO

    10,110,212

    5.81

     

    NATIONAL FINANCIAL SERVICES

    28,964,869

    16.64

     

    TUNA & CO

    13,561,319

    7.79

    INSTITUTIONAL INTERNATIONAL BOND

    LADYBIRD & CO

    11,300,678

    24.59

     

    LADYBUG & CO

    8,297,601

    18.06

     

    LAKESIDE & CO

    3,678,099

    8.00

     

    PERSHING LLC

    3,394,071

    7.39

     

    TD AMERITRADE INC

    13,955,599

    30.37(b)

    INSTITUTIONAL INTERNATIONAL

    CHARLES SCHWAB & CO INC

    9,412,224

    24.51

    CONCENTRATED EQUITY

    COLUMBIA TRUST PARTNERS

    SALEM OR 97308-1012

    2,300,824

    5.99

     

    NATIONAL FINANCIAL SERVICES

    9,886,624

    25.75(b)

     

    PERSHING LLC

    7,891,747

    20.55

     

    T ROWE PRICE ASSOCIATES

    4,862,792

    12.66

    INSTITUTIONAL INTERNATIONAL CORE

    CHARLES SCHWAB & CO INC

    691,285

    5.09

    EQUITY

    DEKALB COUNTY PENSION PLAN

    DECATUR GA 30030-3222

    9,911,540

    73.00(b)

     

    WELLS FARGO BANK NA

    1,499,211

    11.04

    INSTITUTIONAL INTERNATIONAL

    BNA FOREIGN EQUITY FUND

    899,183

    38.19(b)

    GROWTH EQUITY

    KEYBANK NA

    329,305

    13.99

     

    LINK-BELT EE RETMT-T. ROWE PRICE PR

    CLEVELAND OH 44101-4871

     

     

     

    NATIONAL FINANCIAL SERVICES

    814,471

    34.59(b)

     

    SAXON & CO

    144,494

    6.14

    INSTITUTIONAL LARGE-CAP CORE

    NATIONAL FINANCIAL SERVICES

    32,155,572

    38.34(b)

    GROWTH

    VANGUARD FIDUCIARY TRUST COMPANY

    10,546,980

    12.58

     

    T ROWE INSTITUTIONAL CLASS

    VALLEY FORGE PA 19482-2600

     

     

    INSTITUTIONAL LARGE-CAP GROWTH

    BANK OF AMERICA NA TRUSTEE FOR

    22,959,048

    5.28

     

    MERRILL LYNCH & CO INC 401K SAVINGS & INVESTMENT PLAN

    HOUSTON TX 77002-2700

     

     

     

    BANK OF AMERICA NA TRUSTEE FOR

    51,266,388

    11.78

     

    THE BANK OF AMERICA 401K PLAN

     

     

     

    CHARLES SCHWAB & CO INC

    24,754,261

    5.69

     

    EDWARD D JONES & CO

    40,743,463

    9.36

     

    NATIONAL FINANCIAL SERVICES

    82,207,346

    18.89

    INSTITUTIONAL LARGE-CAP VALUE

    CHARLES SCHWAB & CO INC

    11,961,837

    7.11

     

    NATIONAL FINANCIAL SERVICES

    81,660,545

    48.53(b)

     

    TIAA, FSB CUST/TTEE FBO

    18,102,321

    10.76

     

    RETIREMENT PLANS FOR WHICH

     

     

     

    TIAA ACTS AS RECORDKEEPER

    SAINT LOUIS MO 63102-2748

     

     

    INSTITUTIONAL LONG DURATION

    BAND & CO

    867,016

    22.79

    CREDIT

    INVESTMENT COMPANY INSTITUTE

    WASHINGTON DC 20005-2110

    751,722

    19.76

     

    NATIONAL FINANCIAL SERVICES

    628,215

    16.51

     

    T ROWE PRICE ASSOCIATES

    1,500,000

    39.43(c)

    PAGE 81


        

    Principal Holders of Fund Shares

    FUND

    SHAREHOLDER

    SHARES

    %

    INSTITUTIONAL MID-CAP EQUITY GROWTH

    KY PUBLIC EMP DEF COMP AUTHORITY

    COLUMBUS OH 43218-2029

    6,267,363

    5.11

     

    NATIONAL FINANCIAL SERVICES

    39,201,266

    31.95(b)

     

    THE STATE OF WISCONSIN DEF COMP BRD FBO WISCONSIN DCP

    GREENWOOD VLG CO 80111-5002

    9,532,062

    7.77

     

    VANGUARD FIDUCIARY TRUST COMPANY

    13,196,120

    10.75

     

    T ROWE INSTITUTIONAL CLASS

     

     

    INSTITUTIONAL SMALL-CAP STOCK

    NATIONAL FINANCIAL SERVICES

    54,934,329

    29.89(b)

     

    NORTHERN TRUST COMPANY

    16,487,607

    8.97

     

    FBO PFIZER SAVINGS AND

     

     

     

    INVESTMENT PLAN

     

     

     

    STATE OF FLORIDA PUBLIC

    10,948,721

    5.96

     

    EMPLOYEES OPTIONAL RETIREMENT

     

     

     

    PROGRAM-FLORIDA RETIREMENT SYSTEM

    TALLAHASSEE FL 32308-7743

     

     

     

    STATE OF MINNESOTA

    28,586,302

    15.56

     

    FBO MINNESOTA STATE RETIREMENT SYST

    GREENWOOD VLG CO 80111-5002

     

     

     

    VANGUARD FIDUCIARY TRUST COMPANY

    29,380,073

    15.99

     

    T ROWE INSTITUTIONAL CLASS

     

     

    INSTITUTIONAL U.S. STRUCTURED

    GREAT-WEST TRUST COMPANY LLC

    2,853,490

    6.27

     RESEARCH

    FBO DEFINED BENEFIT PLANS

     

     

     

    JOHN HANCOCK TRUST COMPANY

    3,062,775

    6.73

     

    MAC & CO

    2,630,975

    5.78

     

    MCWOOD & CO

    RALEIGH NC 27626-0522

    3,885,672

    8.53

     

    NATIONAL FINANCIAL SERVICES

    10,214,702

    22.43

     

    WELLS FARGO BANK FBO

    VARIOUS RETIREMENT PLANS

    4,004,330

    8.79

     

    CHARLOTTE NC 28288-0001

     

     

     

    WELLS FARGO BANK NA FBO

    T. ROWE PRICE INSTL STRUCTURED RSRC

    5,791,861

    12.72

     

    WELLS FARGO BANK NA FBO

    UCARE MINNESOTA

    7,446,528

    16.35

    INTERMEDIATE TAX-FREE HIGH YIELD

    CHARLES SCHWAB & CO INC

    438,999

    8.61

     

    T ROWE PRICE ASSOCIATES

    3,002,273

    58.89(c)

    INTERMEDIATE TAX-FREE HIGH YIELD

    LPL FINANCIAL

    23,192

    40.73(b)

    FUND—ADVISOR CLASS

    NATIONAL FINANCIAL SERVICES

    5,413

    9.51

     

    PERSHING LLC

    3,304

    5.80

     

    T ROWE PRICE ASSOCIATES

    25,000

    43.91(c)

    INTERMEDIATE TAX-FREE HIGH YIELD

    J D EISNER F R ROCKWELL TRS

    55,366

    19.08

    FUND—I CLASS

    JOHN R ROCKWELL MARITAL TRUST

     

     

     

    JONATHAN D EISNER

    19,282

    6.65

     

    EDWARD C BERNARD TRS

     

     

     

    SCOTT R ROCKWELL 2010 TRUST

     

     

     

    T ROWE PRICE ASSOCIATES

    24,248

    8.36

     

    TERRY ROSELL

    146,353

    50.44(b)

    PAGE 82


        

    Principal Holders of Fund Shares

    FUND

    SHAREHOLDER

    SHARES

    %

    INTERNATIONAL BOND

    SPECTRUM INCOME FUND

    55,611,901

    24.87

     

    T. ROWE PRICE ASSOCIATES

     

     

     

    T ROWE PRICE ASSOCIATES

    19,034,495

    8.51

     

    RETIREMENT PORTFOLIO 2020

     

     

     

    T ROWE PRICE ASSOCIATES

    13,812,713

    6.18

     

    RETIREMENT PORTFOLIO 2025

     

     

     

    T ROWE PRICE ASSOCIATES

    14,590,093

    6.53

     

    RETIREMENT PORTFOLIO 2030

     

     

     

    WELLS FARGO CLEARING SERVICES LLC

    11,832,639

    5.29

    INTERNATIONAL BOND FUND—

    CHARLES SCHWAB & CO INC

    50,909

    5.40

    ADVISOR CLASS

    LPL FINANCIAL

    145,502

    15.42

     

    MORGAN STANLEY SMITH BARNEY

    56,653

    6.01

     

    NATIONAL FINANCIAL SERVICES

    153,558

    16.28

     

    PERSHING LLC

    76,300

    8.09

     

    RAYMOND JAMES

    94,120

    9.98

     

    TD AMERITRADE INC

    170,033

    18.02

    INTERNATIONAL BOND FUND—I CLASS

    EDWARD D JONES & CO

    45,846,058

    75.02(b)

    INTERNATIONAL BOND (USD HEDGED)

    T ROWE PRICE ASSOCIATES

    14,025,345

    5.96

     

    RETIREMENT PORTFOLIO 2010

     

     

     

    T ROWE PRICE ASSOCIATES

    16,698,555

    7.10

     

    RETIREMENT PORTFOLIO 2040

     

     

     

    T ROWE PRICE ASSOCIATES

    21,243,871

    9.03

     

    RETIREMENT PORTFOLIO 2015

     

     

     

    T ROWE PRICE ASSOCIATES

    53,038,566

    22.55

     

    RETIREMENT PORTFOLIO 2020

     

     

     

    T ROWE PRICE ASSOCIATES

    40,484,354

    17.21

     

    RETIREMENT PORTFOLIO 2025

     

     

     

    T ROWE PRICE ASSOCIATES

    40,411,287

    17.18

     

    RETIREMENT PORTFOLIO 2030

     

     

     

    T ROWE PRICE ASSOCIATES

    19,583,844

    8.33

     

    RETIREMENT PORTFOLIO 2035

     

     

    INTERNATIONAL BOND (USD

    T ROWE PRICE ASSOCIATES

    25,000

    100.00(c)

    HEDGED)—ADVISOR CLASS

     

     

     

    INTERNATIONAL BOND (USD

    T ROWE PRICE ASSOCIATES

    2,487,490

    6.47

    HEDGED)—I CLASS

    RETIREMENT I 2015 FUND

     

     

     

    T ROWE PRICE ASSOCIATES

    7,604,579

    19.78

     

    RETIREMENT I 2020 FUND

     

     

     

    T ROWE PRICE ASSOCIATES

    6,004,571

    15.62

     

    RETIREMENT I 2025 FUND

     

     

     

    T ROWE PRICE ASSOCIATES

    6,315,048

    16.43

     

    RETIREMENT I 2030 FUND

     

     

     

    T ROWE PRICE ASSOCIATES

    3,167,020

    8.24

     

    RETIREMENT I 2035 FUND

     

     

     

    T ROWE PRICE ASSOCIATES

    2,912,757

    7.58

     

    RETIREMENT I 2040 FUND

     

     

    INTERNATIONAL CONCENTRATED EQUITY

    NATIONAL FINANCIAL SERVICES

    8,472,463

    82.15(b)

    INTERNATIONAL CONCENTRATED

    CHARLES SCHWAB & CO INC

    8,013

    5.25

    EQUITY FUND—ADVISOR CLASS

    GREAT-WEST TRUST COMPANY LLC FBO

    17,825

    11.67

     

    EMPLOYEE BENEFITS CLIENTS 401K

     

     

     

    NATIONAL FINANCIAL SERVICES

    39,387

    25.78(b)

     

    PERSHING LLC

    8,864

    5.80

     

    T ROWE PRICE ASSOCIATES

    25,000

    16.37

     

    TD AMERITRADE INC

    49,190

    32.20(b)

    PAGE 83


        

    Principal Holders of Fund Shares

    FUND

    SHAREHOLDER

    SHARES

    %

    INTERNATIONAL CONCENTRATED

    NATIONAL FINANCIAL SERVICES

    140,336

    34.98(b)

    EQUITY FUND—I CLASS

    PERSHING LLC

    49,861

    12.43

     

    T ROWE PRICE ASSOCIATES

    25,961

    6.47

     

    TD AMERITRADE INC

    21,257

    5.30

     

    TRUSTEES OF T ROWE PRICE

    154,486

    38.51(a)

     

    U.S. RETIREMENT PROGRAM

     

     

    INTERNATIONAL DISCOVERY

    NATIONAL FINANCIAL SERVICES

    9,651,389

    12.59

     

    PERSHING LLC

    5,153,398

    6.72

    INTERNATIONAL DISCOVERY FUND—

    CHARLES SCHWAB & CO INC

    2,952,063

    6.72

    I CLASS

    EDWARD D JONES & CO

    9,783,505

    22.27

     

    NATIONAL FINANCIAL SERVICES

    11,356,213

    25.85(b)

     

    VANGUARD FIDUCIARY TRUST COMPANY

    6,747,085

    15.36

    INTERNATIONAL EQUITY INDEX

    MARYLAND COLLEGE INVESTMENT PLAN

    5,994,944

    14.16

     

    GLOBAL EQUITY MARKET INDEX

    BALTIMORE MD 21202-1009

     

     

    INTERNATIONAL STOCK

    T ROWE PRICE ASSOCIATES

    67,800,719

    10.19

     

    RETIREMENT PORTFOLIO 2040

     

     

     

    T ROWE PRICE ASSOCIATES

    58,999,269

    8.87

     

    RETIREMENT PORTFOLIO 2020

     

     

     

    T ROWE PRICE ASSOCIATES

    58,452,005

    8.79

     

    RETIREMENT PORTFOLIO 2025

     

     

     

    T ROWE PRICE ASSOCIATES

    83,377,976

    12.53

     

    RETIREMENT PORTFOLIO 2030

     

     

     

    T ROWE PRICE ASSOCIATES

    54,493,781

    8.19

     

    RETIREMENT PORTFOLIO 2035

     

     

     

    T ROWE PRICE ASSOCIATES

    37,596,346

    5.65

     

    RETIREMENT PORTFOLIO 2045

     

     

    INTERNATIONAL STOCK FUND—

    NATIONAL FINANCIAL SERVICES

    6,185,094

    78.93(b)

    ADVISOR CLASS

    TD AMERITRADE TRUST COMPANY

    447,992

    5.72

    INTERNATIONAL STOCK FUND—

    EDWARD D JONES & CO

    33,702,158

    22.98

    I CLASS

    NATIONAL FINANCIAL SERVICES

    27,661,438

    18.86

     

    T ROWE PRICE ASSOCIATES

    8,432,041

    5.75

     

    RETIREMENT I 2020 FUND

     

     

     

    T ROWE PRICE ASSOCIATES

    8,620,530

    5.88

     

    RETIREMENT I 2025 FUND

     

     

     

    T ROWE PRICE ASSOCIATES

    12,825,332

    8.74

     

    RETIREMENT I 2030 FUND

     

     

     

    T ROWE PRICE ASSOCIATES

    8,798,026

    6.00

     

    RETIREMENT I 2035 FUND

     

     

     

    T ROWE PRICE ASSOCIATES

    11,754,263

    8.01

     

    RETIREMENT I 2040 FUND

     

     

    INTERNATIONAL STOCK FUND—

    ACCESS INC TTEE FBO

    29,550

    5.87

    R CLASS

    ACCESS INC 401K PSP

    GREENWOOD VLG CO 80111-5002

     

     

     

    AMERICAN UNITED LIFE

    80,090

    15.90

     

    SEPARATE ACCOUNT II

     

     

     

    AXA EQUITABLE FOR SA NO 65

    50,819

    10.09

     

    CAPITAL BANK & TRUST COMPANY TTEE

    41,462

    8.23

     

    PATTCO LLC 401K

     

     

     

    DCGT AS TTEE AND/OR CUST

    63,673

    12.64

     

    FBO PLIC VARIOUS RETIREMENT PLANS

     

     

     

    NATIONWIDE TRUST CO FSB

    27,958

    5.55

    PAGE 84


        

    Principal Holders of Fund Shares

    FUND

    SHAREHOLDER

    SHARES

    %

    INTERNATIONAL STOCK PORTFOLIO

    ALLAMERICA FINANCIAL LIFE

    2,511,469

    11.42

     

    INSURANCE AND ANNUITY COMPANY

    TOPEKA KS 66636-1000

     

     

     

    FARM BUREAU LIFE INS CO

    WEST DES MOINES IA 50266-5997

    1,181,483

    5.37

     

    NYLIAC

    2,724,148

    12.39

     

    PRUCO LIFE INSURANCE COMPANY

    1,156,283

    5.26

     

    PLAZ ANNUITY

     

     

     

    PRUCO LIFE INSURANCE COMPANY

    4,863,165

    22.11

     

    PLAZ LIFE

     

     

     

    SECURITY BENEFIT LIFE INS CO

    1,256,059

    5.71

     

    FBO T ROWE PRICE NO LOAD V A

     

     

     

    TRANSAMERICA PREMIER LIFE INSURANCE

    2,362,149

    10.74

     

    WRL SERIES LIFE CORPORATE ACCOUNT

    CEDAR RAPIDS IA 52499-3830

     

     

    INTERNATIONAL VALUE EQUITY

    T ROWE PRICE ASSOCIATES

    94,250,789

    12.42

     

    RETIREMENT PORTFOLIO 2040

     

     

     

    T ROWE PRICE ASSOCIATES

    82,932,458

    10.93

     

    RETIREMENT PORTFOLIO 2020

     

     

     

    T ROWE PRICE ASSOCIATES

    81,632,916

    10.75

     

    RETIREMENT PORTFOLIO 2025

     

     

     

    T ROWE PRICE ASSOCIATES

    116,306,145

    15.32

     

    RETIREMENT PORTFOLIO 2030

     

     

     

    T ROWE PRICE ASSOCIATES

    76,199,531

    10.04

     

    RETIREMENT PORTFOLIO 2035

     

     

     

    T ROWE PRICE ASSOCIATES

    52,807,526

    6.96

     

    RETIREMENT PORTFOLIO 2045

     

     

     

    T ROWE PRICE ASSOCIATES

    42,852,177

    5.65

     

    RETIREMENT PORTFOLIO 2050

     

     

    INTERNATIONAL VALUE EQUITY

    AMERICAN UNITED LIFE

    722,479

    6.79

    FUND—ADVISOR CLASS

    AMERICAN UNIT INVESTMENT TRUST

     

     

     

    NATIONAL FINANCIAL SERVICES

    1,973,464

    18.54

     

    PERSHING LLC

    2,269,510

    21.32

     

    STATE STREET BANK AND TRUST AS

    2,295,869

    21.56

     

    TRUSTEE AND/OR CUSTODIAN

     

     

     

    FBO ADP ACCESS PRODUCT

     

     

     

    VRSCO

    577,334

    5.42

     

    FBO AIGFSB CUST TTEE FBO

     

     

     

    MT SINAI 403B

     

     

    INTERNATIONAL VALUE EQUITY

    T ROWE PRICE ASSOCIATES

    11,909,406

    9.46

    FUND—I CLASS

    RETIREMENT I 2020 FUND

     

     

     

    T ROWE PRICE ASSOCIATES

    12,273,693

    9.75

     

    RETIREMENT I 2025 FUND

     

     

     

    T ROWE PRICE ASSOCIATES

    18,195,832

    14.45

     

    RETIREMENT I 2030 FUND

     

     

     

    T ROWE PRICE ASSOCIATES

    12,488,876

    9.92

     

    RETIREMENT I 2035 FUND

     

     

     

    T ROWE PRICE ASSOCIATES

    16,633,238

    13.21

     

    RETIREMENT I 2040 FUND

     

     

     

    T ROWE PRICE ASSOCIATES

    9,287,500

    7.37

     

    RETIREMENT I 2045 FUND

     

     

     

    T ROWE PRICE ASSOCIATES

    9,286,834

    7.37

     

    RETIREMENT I 2050 FUND

     

     

    PAGE 85


        

    Principal Holders of Fund Shares

    FUND

    SHAREHOLDER

    SHARES

    %

    INTERNATIONAL VALUE EQUITY

    AMERICAN UNITED LIFE

    347,800

    7.81

    FUND—R CLASS

    SEPARATE ACCOUNT II

     

     

     

    DCGT AS TTEE AND/OR CUST

    303,937

    6.82

     

    FBO PLIC VARIOUS RETIREMENT PLANS

     

     

     

    SAMMONS FINANCIAL NETWORK LLC

    550,391

    12.36

     

    STATE STREET BANK AND TRUST AS

    1,021,277

    22.93

     

    TRUSTEE AND/OR CUSTODIAN

     

     

     

    FBO ADP ACCESS PRODUCT

     

     

    INVESTMENT-GRADE CORPORATE

    ALLEN & COMPANY

    1,110,284

    10.44

    MULTI-SECTOR ACCOUNT PORTFOLIO

    BALTIMORE EQUITABLE SOCIETY

    1,070,265

    10.07

     

    CBE OF NEW BRUNSWICK

    707,506

    6.65

     

    IG CORPORATE MAP

     

     

     

    GENERAL DYNAMICS CORP 401K

    4,719,338

    44.38(b)

     

    PLAN MASTER TRUST CP

     

     

     

    ILLINOIS STUDENT ASSISTANCE

    2,026,094

    19.05

     

    COMMISSION

     

     

     

    T ROWE PRICE ASSOCIATES

    1,000,000

    9.40

    JAPAN

    CHARLES SCHWAB & CO INC

    3,026,686

    5.40

     

    MORGAN STANLEY SMITH BARNEY

    20,697,842

    36.90(b)

     

    SPECTRUM INTERNATIONAL FUND

    13,063,803

    23.29

     

    T ROWE PRICE ASSOCIATES

     

     

    JAPAN FUND—I CLASS

    CHARLES SCHWAB & CO INC

    24,110

    5.74

     

    J.P. MORGAN SECURITIES LLC

    33,398

    7.95

     

    TRUSTEES OF T ROWE PRICE

    338,117

    80.49(a)

     

    U.S. RETIREMENT PROGRAM

     

     

    LATIN AMERICA

    CHARLES SCHWAB & CO INC

    1,473,230

    5.47

     

    NATIONAL FINANCIAL SERVICES

    2,613,455

    9.71

    LATIN AMERICA FUND—I CLASS

    ROBERT D AWALT

    55,933

    8.70

     

    KATHERINE J AWALT JT TEN

     

     

     

    TRUSTEES OF T ROWE PRICE

    522,265

    81.25(a)

     

    U.S. RETIREMENT PROGRAM

     

     

    LIMITED DURATION INFLATION

    T ROWE PRICE ASSOCIATES

    156,056,447

    10.26

    FOCUSED BOND

    RETIREMENT INCOME PORTFOLIO

     

     

     

    T ROWE PRICE ASSOCIATES

    158,618,664

    10.43

     

    RETIREMENT PORTFOLIO 2010

     

     

     

    T ROWE PRICE ASSOCIATES

    203,518,137

    13.38

     

    RETIREMENT PORTFOLIO 2015

     

     

     

    T ROWE PRICE ASSOCIATES

    347,591,072

    22.86

     

    RETIREMENT PORTFOLIO 2020

     

     

     

    T ROWE PRICE ASSOCIATES

    160,800,295

    10.57

     

    RETIREMENT PORTFOLIO 2025

     

     

     

    T ROWE PRICE ASSOCIATES

    99,439,612

    6.54

     

    RETIREMENT PORTFOLIO 2030

     

     

    PAGE 86


        

    Principal Holders of Fund Shares

    FUND

    SHAREHOLDER

    SHARES

    %

    LIMITED DURATION INFLATION

    T ROWE PRICE ASSOCIATES

    10,427,985

    5.49

    FOCUSED BOND FUND—I CLASS

    TARGET 2020 FUND

     

     

     

    T ROWE PRICE ASSOCIATES

    12,997,760

    6.84

     

    RETIREMENT BALANCED I FUND

     

     

     

    T ROWE PRICE ASSOCIATES

    15,736,989

    8.28

     

    RETIREMENT I 2010 FUND

     

     

     

    T ROWE PRICE ASSOCIATES

    23,913,915

    12.59

     

    RETIREMENT I 2015 FUND

     

     

     

    T ROWE PRICE ASSOCIATES

    50,159,761

    26.40(c)

     

    RETIREMENT I 2020 FUND

     

     

     

    T ROWE PRICE ASSOCIATES

    24,139,856

    12.71

     

    RETIREMENT I 2025 FUND

     

     

     

    T ROWE PRICE ASSOCIATES

    15,940,334

    8.39

     

    RETIREMENT I 2030 FUND

     

     

    LIMITED-TERM BOND PORTFOLIO

    JPMORGAN CHASE BANK CUST FBO

    8,876,769

    9.75

     

    INTELLIGENT VARIABLE ANNUITY

     

     

     

    TIAA-CREF LIFE INSURANCE CO

    CHARLOTTE NC 28262-8551

     

     

     

    NATIONWIDE INSURANCE COMPANY

    18,554,398

    20.39

     

    TRANSAMERICA PREMIER LIFE INSURANCE EM PRIVATE PLACEMENT

    46,728,077

    51.34(f)

    LIMITED-TERM BOND PORTFOLIO—II

    JEFFERSON NATIONAL LIFE INS CO

    1,445,944

    93.52(f)

    MARYLAND SHORT-TERM TAX-FREE

    CHARLES SCHWAB & CO INC

    2,879,178

    8.81

    BOND

    PERSHING LLC

    1,912,381

    5.85

    MARYLAND SHORT-TERM TAX-FREE BOND FUND—I CLASS

    BANK OF NEW YORK MELLON N.A.

    PITTSBURGH PA 15253-4005

    721,411

    17.41

     

    JOHN D BESSON

    1,019,970

    24.61

     

    KAREN S BESSON TEN ENT

     

     

    MARYLAND TAX-FREE BOND

    CHARLES SCHWAB & CO INC

    14,013,943

    6.63

     

    NATIONAL FINANCIAL SERVICES

    14,012,744

    6.63

    MARYLAND TAX-FREE BOND FUND—

    BANK OF NEW YORK MELLON N.A.

    506,915

    11.80

    I CLASS

    CHARLES SCHWAB & CO INC

    333,058

    7.75

     

    NORMAN FREIDKIN

    263,506

    6.13

     

    VANGUARD BROKERAGE SERVICES

    VALLEY FORGE PA 19482-1170

    272,164

    6.33

    MARYLAND TAX-FREE MONEY

    KEITH A. LEE

    16,801,961

    21.75

    MARYLAND TAX-FREE MONEY FUND—

    DAVID C TOLBERT

    101,452

    28.87(b)

    I CLASS

    DEBRA J TOLBERT JT TEN

     

     

     

    T ROWE PRICE ASSOCIATES

    250,000

    71.13(c)

    MID-CAP GROWTH

    CHARLES SCHWAB & CO INC

    16,656,510

    6.10

     

    NATIONAL FINANCIAL SERVICES

    33,947,659

    12.43

     

    T ROWE PRICE TRUST CO INC

    32,554,317

    11.92

    MID-CAP GROWTH FUND—ADVISOR

    NATIONAL FINANCIAL SERVICES

    3,372,701

    28.99(b)

     

    RELIANCE TRUST COMPANY FBO

    1,396,111

    12.00

     

    INSPER 401K

     

     

     

    VOYA INSTITUTIONAL TRUST AS

    1,910,913

    16.43

     

    TRUSTEE FOR THE ADP TOTALSOURCE

     

     

     

    RETIREMENT SAVINGS PLAN

    BRAINTREE MA 02184-8747

     

     

    MID-CAP GROWTH FUND—I CLASS

    CHARLES SCHWAB & CO INC

    6,522,336

    12.14

     

    NATIONAL FINANCIAL SERVICES

    9,556,572

    17.79

     

    STANDARD INSURANCE CO

    PORTLAND OR 97204-1093

    3,373,589

    6.28

    PAGE 87


        

    Principal Holders of Fund Shares

    FUND

    SHAREHOLDER

    SHARES

    %

    MID-CAP GROWTH FUND—R CLASS

    AMERICAN UNITED LIFE

    265,804

    15.65

     

    SEPARATE ACCOUNT II

     

     

     

    NATIONWIDE TRUST CO FSB

    227,642

    13.40

     

    SUNTRUST BANK

    213,975

    12.60

     

    VOYA INSTITUTIONAL TRUST COMPANY

    WINDSOR CT 06095-4774

    92,589

    5.45

     

    VOYA RETIREMENT INS & ANNUITY CO

    201,846

    11.88

    MID-CAP GROWTH PORTFOLIO

    C M LIFE INSURANCE CO

    SPRINGFIELD MA 01111-0001

    1,908,117

    13.24

     

    FARM BUREAU LIFE INS CO

    857,740

    5.95

     

    M M L BAYSTATE LIFE INS CO

    SPRINGFIELD MA 01111-0001

    1,595,860

    11.07

     

    MASS MUTUAL LIFE INS CO

    SPRINGFIELD MA 01111-0001

    1,977,568

    13.72

     

    MODERN WOODMEN OF AMERICA

    1,585,611

    11.00

     

    SECURITY BENEFIT LIFE INS CO

    2,253,670

    15.63

     

    FBO T ROWE PRICE NO LOAD V A

     

     

     

    TRANSAMERICA LIFE INSURANCE

    1,022,704

    7.09

     

    EM PRIVATE PLACEMENT

    CEDAR RAPIDS IA 52499-2390

     

     

    MID-CAP GROWTH PORTFOLIO—II

    LINCOLN NATIONAL LIFE INS CO

    193,994

    11.21

     

    SEPARATE ACCOUNT MUTUAL FUND

    FORT WAYNE IN 46802-3506

     

     

     

    NATIONWIDE INSURANCE COMPANY

    894,994

    51.70(f)

     

    NATIONWIDE LIFE INSURANCE COMPANY

    619,018

    35.75(f)

    MID-CAP INDEX

    T ROWE PRICE ASSOCIATES

    475,000

    100.00(c)

    MID-CAP INDEX FUND—I CLASS

    T ROWE PRICE ASSOCIATES

    25,000

    100.00(c)

    MID-CAP VALUE

    NATIONAL FINANCIAL SERVICES

    26,307,399

    7.52

     

    T ROWE PRICE ASSOCIATES

    20,482,874

    5.85

     

    RETIREMENT PORTFOLIO 2040

     

     

     

    T ROWE PRICE ASSOCIATES

    18,109,860

    5.18

     

    RETIREMENT PORTFOLIO 2020

     

     

     

    T ROWE PRICE ASSOCIATES

    17,867,222

    5.11

     

    RETIREMENT PORTFOLIO 2025

     

     

     

    T ROWE PRICE ASSOCIATES

    25,534,491

    7.30

     

    RETIREMENT PORTFOLIO 2030

     

     

     

    T ROWE PRICE RPS INC

    18,317,890

    5.23

    MID-CAP VALUE FUND—ADVISOR

    NATIONAL FINANCIAL SERVICES

    4,768,180

    46.48(b)

    CLASS

    SUNTRUST BANK

    521,306

    5.08

    MID-CAP VALUE FUND—I CLASS

    EDWARD D JONES & CO

    4,774,478

    5.81

     

    NATIONAL FINANCIAL SERVICES

    12,239,805

    14.90

     

    STATE OF SOUTH CAROLINA TRUSTEE

    5,492,312

    6.69

     

    FBO STATE OF SOUTH CAROLINA 401K

     

     

     

    GREENWOOD VLG CO 80111-5002

     

     

    MID-CAP VALUE FUND—R CLASS

    NATIONWIDE TRUST CO FSB

    1,562,981

    23.49

     

    STATE STREET BANK AND TRUST AS

    2,880,636

    43.28(b)

     

    TRUSTEE AND/OR CUSTODIAN

     

     

     

    FBO ADP ACCESS PRODUCT

     

     

     

    VOYA RETIREMENT INS & ANNUITY CO

    411,853

    6.19

    PAGE 88


        

    Principal Holders of Fund Shares

    FUND

    SHAREHOLDER

    SHARES

    %

    MORTGAGE-BACKED SECURITIES

    ALLEN & COMPANY

    961,671

    8.28

    MULTI-SECTOR ACCOUNT PORTFOLIO

    BALTIMORE EQUITABLE SOCIETY

    789,819

    6.80

     

    CBE OF NEW BRUNSWICK

    1,777,637

    15.31

     

    MORTGAGE BACKED SECURITIES MAP

     

     

     

    GENERAL DYNAMICS CORP 401K

    3,481,850

    29.98(b)

     

    PLAN MASTER TRUST CP

     

     

     

    ILLINOIS STUDENT ASSISTANCE

    1,485,721

    12.79

     

    COMMISSION

     

     

     

    T ROWE PRICE ASSOCIATES

    1,000,000

    8.61

     

    XCEL ENERGY INC.

    2,115,995

    18.22

    MULTI-STRATEGY TOTAL RETURN

    T ROWE PRICE ASSOCIATES

    4,975,000

    100.00(c)

    MULTI-STRATEGY TOTAL RETURN—I CLASS

    T ROWE PRICE ASSOCIATES

    25,000

    100.00(c)

    NEW AMERICA GROWTH

    CHARLES SCHWAB & CO INC

    7,905,639

    10.67

     

    NATIONAL FINANCIAL SERVICES

    14,335,720

    19.35

     

    T ROWE PRICE TRUST CO INC

    4,936,613

    6.66

    NEW AMERICA GROWTH FUND—

    CHARLES SCHWAB & CO INC

    518,387

    8.11

    ADVISOR CLASS

    DCGT AS TTEE AND/OR CUST

    328,286

    5.14

     

    FBO PLIC VARIOUS RETIREMENT PLANS

     

     

     

    MATRIX TRUST COMPANY TRUSTEE FBO

    356,387

    5.58

     

    VALLEY MEDICAL CENTER 403B

     

     

     

    NATIONAL FINANCIAL SERVICES

    1,339,454

    20.96

     

    SANTA BARBARA CNTY TREAS

    TX COLL TT

    539,360

    8.44

     

    FBO SANTA BARBARA COUNTY DCP

    GREENWOOD VLG CO 80111-5002

     

     

     

    VRSCO

    1,231,289

    19.27

     

    FBO AIGFSB CUST TTEE FBO

     

     

     

    WAKEMED RET SAV PLAN 403B

     

     

    NEW AMERICA GROWTH FUND—

    GREAT-WEST TRUST COMPANY LLC TTEE

    590,656

    5.38

    I CLASS

    RECORDKEEPING FOR LARGE BENEFIT PL

     

     

     

    NATIONAL FINANCIAL SERVICES

    4,491,287

    40.91(b)

     

    T ROWE PRICE RPS INC

    742,905

    6.77

    NEW AMERICA GROWTH PORTFOLIO

    FARM BUREAU LIFE INS CO

    452,928

    5.72

     

    MODERN WOODMEN OF AMERICA

    743,845

    9.40

     

    NATIONWIDE INSURANCE COMPANY

    1,535,108

    19.40

     

    NATIONWIDE LIFE INSURANCE COMPANY

    1,533,288

    19.38

     

    PARAGON LIFE INSURANCE CO

    SAINT LOUIS MO 63128-3499

    523,250

    6.61

     

    SECURITY BENEFIT LIFE INS CO

    1,312,173

    16.58

     

    FBO T ROWE PRICE NO LOAD V A

     

     

    NEW ASIA

    CHARLES SCHWAB & CO INC

    9,185,301

    6.39

     

    NATIONAL FINANCIAL SERVICES

    14,307,073

    9.95

     

    SPECTRUM INTERNATIONAL FUND

    10,260,157

    7.14

     

    T ROWE PRICE ASSOCIATES

     

     

    NEW ASIA FUND—I CLASS

    CHARLES SCHWAB & CO INC

    1,183,486

    6.71

     

    J.P. MORGAN SECURITIES LLC

    8,333,422

    47.23(b)

     

    NATIONAL FINANCIAL SERVICES

    1,420,357

    8.05

     

    TRUSTEES OF T ROWE PRICE

    1,216,474

    6.89

     

    U.S. RETIREMENT PROGRAM

     

     

    NEW ERA

    CHARLES SCHWAB & CO INC

    5,469,949

    8.28

     

    NATIONAL FINANCIAL SERVICES

    8,569,980

    12.98

    NEW ERA FUND—I CLASS

    NATIONAL FINANCIAL SERVICES

    17,993,283

    43.46(b)

    PAGE 89


        

    Principal Holders of Fund Shares

    FUND

    SHAREHOLDER

    SHARES

    %

    NEW HORIZONS

    NATIONAL FINANCIAL SERVICES

    34,240,949

    10.14

     

    T ROWE PRICE TRUST CO INC

    36,165,469

    10.71

    NEW HORIZONS FUND—I CLASS

    NATIONAL FINANCIAL SERVICES

    22,202,903

    29.74(b)

     

    T ROWE PRICE RPS INC

    6,792,850

    9.10

    NEW INCOME

    SPECTRUM INCOME FUND

    161,836,655

    6.49

     

    T. ROWE PRICE ASSOCIATES

     

     

     

    T ROWE PRICE ASSOCIATES

    143,353,886

    5.75

     

    RETIREMENT PORTFOLIO 2040

     

     

     

    T ROWE PRICE ASSOCIATES

    180,466,429

    7.24

     

    RETIREMENT PORTFOLIO 2015

     

     

     

    T ROWE PRICE ASSOCIATES

    448,095,778

    17.98

     

    RETIREMENT PORTFOLIO 2020

     

     

     

    T ROWE PRICE ASSOCIATES

    339,719,476

    13.63

     

    RETIREMENT PORTFOLIO 2025

     

     

     

    T ROWE PRICE ASSOCIATES

    342,763,130

    13.76

     

    RETIREMENT PORTFOLIO 2030

     

     

     

    T ROWE PRICE ASSOCIATES

    167,875,566

    6.74

     

    RETIREMENT PORTFOLIO 2035

     

     

    NEW INCOME FUND—ADVISOR CLASS

    JOHN HANCOCK TRUST COMPANY

    285,883

    5.44

     

    MORGAN STANLEY SMITH BARNEY

    316,713

    6.02

     

    NATIONAL FINANCIAL SERVICES

    451,545

    8.59

     

    PERSHING LLC

    776,250

    14.76

     

    STATE STREET BANK AND TRUST AS

    265,044

    5.04

     

    TRUSTEE AND/OR CUSTODIAN

     

     

     

    FBO ADP ACCESS PRODUCT

     

     

     

    WTRISC CO IRA OMNIBUS ACCT

    1,212,804

    23.06

    NEW INCOME FUND—I CLASS

    EDWARD D JONES & CO

    88,763,164

    11.73

     

    J.P. MORGAN SECURITIES LLC

    303,971,570

    40.18(b)

     

    T ROWE PRICE ASSOCIATES

    65,059,479

    8.60

     

    RETIREMENT I 2020 FUND

     

     

     

    T ROWE PRICE ASSOCIATES

    51,071,932

    6.75

     

    RETIREMENT I 2025 FUND

     

     

     

    T ROWE PRICE ASSOCIATES

    53,956,339

    7.13

     

    RETIREMENT I 2030 FUND

     

     

    NEW INCOME FUND—R CLASS

    CAMILLE VANDEVANTER DDS PS TTEE

    39,899

    8.41

     

    FBO CAMILLE VANDEVANTER DDS PS 401K RET

    GREENWOOD VLG CO 80111-5002

     

     

     

    EMJAY CORPORATION CUSTODIAN FBO

    37,951

    8.00

     

    PLANS OF GREAT WEST FINANCIAL

    GREENWOOD VLG CO 80111-5002

     

     

     

    K CHADWICK K BLALOCK TTEES

    36,741

    7.75

     

    FIERCE ISAKOWITZ & BLALOCK LLC

     

     

     

    NATIONWIDE TRUST CO FSB

    38,029

    8.02

     

    STATE STREET BANK AND TRUST AS

    146,114

    30.81(b)

     

    TRUSTEE AND/OR CUSTODIAN

     

     

     

    FBO ADP ACCESS PRODUCT

     

     

     

    VRSCO

    30,862

    6.51

     

    FBO AIGFSB CUST TTEE FBO UNIV OF NORTH TEXAS OPT RET PL 40313

    HOUSTON TX 77019-7117

     

     

    NEW JERSEY TAX-FREE BOND

    NATIONAL FINANCIAL SERVICES

    10,334,333

    29.88(b)

    NEW JERSEY TAX-FREE BOND FUND—

    I CLASS

    T ROWE PRICE ASSOCIATES

    20,868

    97.40(c)

    NEW YORK TAX-FREE BOND

    NATIONAL FINANCIAL SERVICES

    3,014,159

    7.34

    PAGE 90


        

    Principal Holders of Fund Shares

    FUND

    SHAREHOLDER

    SHARES

    %

    NEW YORK TAX-FREE BOND FUND—

    THE JOHN S D'ALIMONTE REV TRUST

    103,207

    13.97

    I CLASS

    MELVIN K SPIGELMAN

    MERLYN N SPIGELMAN JT TEN

    86,437

    11.70

     

    ROBERT S KAPLAN

    JAMIE SCHUVAL JT TEN

    366,588

    49.63(b)

     

    SEI PRIVATE TRUST COMPANY

    92,544

    12.53

    NEW YORK TAX-FREE MONEY

    H MARK GLASBERG

    9,468,127

    16.56

     

    PAULA D GLASBERG JT TEN T O D

     

     

    NEW YORK TAX-FREE MONEY FUND—

    T ROWE PRICE ASSOCIATES

    250,000

    100.00(c)

    I CLASS

     

     

     

    OVERSEAS STOCK

    T ROWE PRICE ASSOCIATES

    129,436,868

    13.67

     

    RETIREMENT PORTFOLIO 2040

     

     

     

    T ROWE PRICE ASSOCIATES

    112,600,406

    11.89

     

    RETIREMENT PORTFOLIO 2020

     

     

     

    T ROWE PRICE ASSOCIATES

    111,691,287

    11.80

     

    RETIREMENT PORTFOLIO 2025

     

     

     

    T ROWE PRICE ASSOCIATES

    158,844,654

    16.78

     

    RETIREMENT PORTFOLIO 2030

     

     

     

    T ROWE PRICE ASSOCIATES

    104,503,597

    11.04

     

    RETIREMENT PORTFOLIO 2035

     

     

     

    T ROWE PRICE ASSOCIATES

    72,098,978

    7.62

     

    RETIREMENT PORTFOLIO 2045

     

     

     

    T ROWE PRICE ASSOCIATES

    58,672,412

    6.20

     

    RETIREMENT PORTFOLIO 2050

     

     

    OVERSEAS STOCK FUND—ADVISOR

    GREAT-WEST TRUST COMPANY LLC FBO

    35,453

    7.75

    CLASS

    EMPLOYEE BENEFITS CLIENTS 401K

     

     

     

    PERSHING LLC

    58,695

    12.83

     

    SUNTRUST BANK

    198,195

    43.33(b)

     

    T ROWE PRICE ASSOCIATES

    26,316

    5.75

     

    TD AMERITRADE INC

    24,144

    5.28

     

    TRUST COMPANY OF AMERICA

    113,031

    24.71

    OVERSEAS STOCK FUND—I CLASS

    EDWARD D JONES & CO

    53,914,464

    12.52

     

    J.P. MORGAN SECURITIES LLC

    74,512,902

    17.30

     

    NATIONAL FINANCIAL SERVICES

    94,130,701

    21.86

     

    T ROWE PRICE ASSOCIATES

    24,643,122

    5.72

     

    RETIREMENT I 2030 FUND

     

     

     

    T ROWE PRICE ASSOCIATES

    22,454,989

    5.21

     

    RETIREMENT I 2040 FUND

     

     

     

    WELLS FARGO BANK NA

    27,792,844

    6.45

    PERSONAL STRATEGY BALANCED

    NATIONAL FINANCIAL SERVICES

    16,998,410

    18.59

     

    T ROWE PRICE TRUST CO INC

    7,666,090

    8.38

     

    BALANCED

     

     

    PERSONAL STRATEGY BALANCED

    NATIONAL FINANCIAL SERVICES

    3,390,921

    45.70(b)

    FUND—I CLASS

    T ROWE PRICE RPS INC

    491,846

    6.63

    PERSONAL STRATEGY BALANCED

    FARM BUREAU LIFE INS CO

    1,009,932

    11.65

    PORTFOLIO

    MODERN WOODMEN OF AMERICA

    1,409,007

    16.25

     

    NYLIAC

    557,218

    6.43

     

    NYLIM CENTER

     

     

     

    PARAGON LIFE INSURANCE CO

    1,187,243

    13.70

     

    SECURITY BENEFIT LIFE INS CO

    1,954,494

    22.55

     

    FBO T ROWE PRICE NO LOAD V A

     

     

    PERSONAL STRATEGY GROWTH

    NATIONAL FINANCIAL SERVICES

    8,997,078

    14.67

     

    NATIONWIDE TRUST COMPANY FSB

    4,151,705

    6.77

     

    T ROWE PRICE TRUST CO INC

    3,141,361

    5.12

    PAGE 91


        

    Principal Holders of Fund Shares

    FUND

    SHAREHOLDER

    SHARES

    %

    PERSONAL STRATEGY GROWTH

    JOHN HANCOCK TRUST COMPANY LLC

    227,966

    5.02

    FUND—I CLASS

    NATIONAL FINANCIAL SERVICES

    1,675,835

    36.91(b)

     

    PERSHING LLC

    455,904

    10.04

    PERSONAL STRATEGY INCOME

    NATIONAL FINANCIAL SERVICES

    9,495,863

    9.58

    PERSONAL STRATEGY INCOME FUND—

    NATIONAL FINANCIAL SERVICES

    8,471,916

    71.80(b)

    I CLASS

      

     

    QM GLOBAL EQUITY

    T ROWE PRICE ASSOCIATES

    950,000

    67.02(c)

    QM GLOBAL EQUITY FUND—ADVISOR

    T ROWE PRICE ASSOCIATES

    25,000

    100.00(c)

    CLASS

     

     

     

    QM GLOBAL EQUITY FUND—I CLASS

    T ROWE PRICE ASSOCIATES

    25,000

    49.79(c)

     

    TRUSTEES OF T ROWE PRICE

    24,389

    48.57(a)

     

    U.S. RETIREMENT PROGRAM

     

     

    QM U.S. SMALL & MID-CAP CORE

    T ROWE PRICE ASSOCIATES

    950,000

    24.12

    EQUITY

    TD AMERITRADE INC

    359,707

    9.13

    QM U.S. SMALL & MID-CAP CORE

    PERSHING LLC

    5,718

    14.71

    EQUITY FUND—ADVISOR CLASS

    T ROWE PRICE ASSOCIATES

    25,000

    64.31(c)

     

    UMB BANK NA C/F

    2,709

    6.97

     

    DANIEL R SAFRANEK SEPIRA

    SMITHTOWN NY 11787-4124

     

     

     

    UMB BANK NA C/F

    3,373

    8.68

     

    RAYMOND J HENDERSON

    PAWLING NY 12564-4205

     

     

    QM U.S. SMALL & MID-CAP CORE

    PERSHING LLC

    5,657

    10.30

    EQUITY FUND—I CLASS

    T ROWE PRICE ASSOCIATES

    25,000

    45.54(c)

     

    TRUSTEES OF T ROWE PRICE

    23,472

    42.76(a)

     

    U.S. RETIREMENT PROGRAM

     

     

    QM U.S. SMALL-CAP GROWTH EQUITY

    LPL FINANCIAL

    6,654,928

    5.26

     

    MORGAN STANLEY SMITH BARNEY

    16,552,042

    13.09

     

    NATIONAL FINANCIAL SERVICES

    15,018,465

    11.87

     

    PERSHING LLC

    11,208,192

    8.86

     

    UBS WM USA

    6,608,608

    5.23

     

    WELLS FARGO CLEARING SERVICES LLC

    6,995,511

    5.53

    QM U.S. SMALL-CAP GROWTH EQUITY

    JOHN HANCOCK LIFE

    121,496

    15.54

    FUND—ADVISOR CLASS

    INSURANCE USA

     

     

     

    LPL FINANCIAL

    43,902

    5.62

     

    NATIONAL FINANCIAL SERVICES

    183,779

    23.51

     

    UMB BANK CUSTODIAN

    367,338

    47.00(b)

     

    SECURITY FINANCIAL RESOURCES

     

     

    QM U.S. SMALL-CAP GROWTH EQUITY

    CHARLES SCHWAB & CO INC

    8,274,845

    16.37

    FUND—I CLASS

    NATIONAL FINANCIAL SERVICES

    8,778,331

    17.37

     

    PERSHING LLC

    4,436,875

    8.78

     

    STATE STREET BANK AND TRUST COMPANY

    10,279,199

    20.34

     

    AS TRUSTEE OF THE TRUST FOR THE NEW YORK STATE DC PLAN

    QUINCY MA 02169-0938

     

     

    QM U.S. VALUE EQUITY

    T ROWE PRICE ASSOCIATES

    650,000

    42.84(c)

    QM U.S. VALUE EQUITY FUND—ADVISOR CLASS

    T ROWE PRICE ASSOCIATES

    25,000

    100.00(c)

    QM U.S. VALUE EQUITY FUND—

    DONALD E HINES TRUST

    4,007

    7.24

    I CLASS

    T ROWE PRICE ASSOCIATES

    25,000

    45.14(c)

     

    TRUSTEES OF T ROWE PRICE

    23,331

    42.12(a)

     

    U.S. RETIREMENT PROGRAM

     

     

    PAGE 92


        

    Principal Holders of Fund Shares

    FUND

    SHAREHOLDER

    SHARES

    %

    REAL ASSETS

    T ROWE PRICE ASSOCIATES

    30,717,058

    13.35

     

    RETIREMENT PORTFOLIO 2040

     

     

     

    T ROWE PRICE ASSOCIATES

    27,140,972

    11.79

     

    RETIREMENT PORTFOLIO 2020

     

     

     

    T ROWE PRICE ASSOCIATES

    26,828,598

    11.66

     

    RETIREMENT PORTFOLIO 2025

     

     

     

    T ROWE PRICE ASSOCIATES

    37,604,380

    16.34

     

    RETIREMENT PORTFOLIO 2030

     

     

     

    T ROWE PRICE ASSOCIATES

    24,929,271

    10.83

     

    RETIREMENT PORTFOLIO 2035

     

     

     

    T ROWE PRICE ASSOCIATES

    16,867,727

    7.33

     

    RETIREMENT PORTFOLIO 2045

     

     

     

    T ROWE PRICE ASSOCIATES

    13,830,978

    6.01

     

    RETIREMENT PORTFOLIO 2050

     

     

    REAL ASSETS FUND—I CLASS

    BREAD & CO

    5,116,454

    10.22

     

    LADYBUG & CO

    2,693,490

    5.38

     

    LAKESIDE & CO

    3,365,124

    6.72

     

    T ROWE PRICE ASSOCIATES

    3,863,272

    7.71

     

    RETIREMENT I 2020 FUND

     

     

     

    T ROWE PRICE ASSOCIATES

    3,935,628

    7.86

     

    RETIREMENT I 2025 FUND

     

     

     

    T ROWE PRICE ASSOCIATES

    5,747,051

    11.47

     

    RETIREMENT I 2030 FUND

     

     

     

    T ROWE PRICE ASSOCIATES

    4,009,046

    8.00

     

    RETIREMENT I 2035 FUND

     

     

     

    T ROWE PRICE ASSOCIATES

    5,289,488

    10.56

     

    RETIREMENT I 2040 FUND

     

     

     

    T ROWE PRICE ASSOCIATES

    2,930,816

    5.85

     

    RETIREMENT I 2045 FUND

     

     

     

    T ROWE PRICE ASSOCIATES

    2,933,876

    5.86

     

    RETIREMENT I 2050 FUND

     

     

    REAL ESTATE

    CHARLES SCHWAB & CO INC

    7,227,265

    5.16

     

    NATIONAL FINANCIAL SERVICES

    20,570,351

    14.69

     

    PERSHING LLC

    25,987,585

    18.55

     

    WELLS FARGO CLEARING SERVICES LLC

    15,832,608

    11.30

    REAL ESTATE FUND—ADVISOR CLASS

    NATIONAL FINANCIAL SERVICES

    849,651

    11.93

     

    RELIANCE TRUST COMPANY FBO

    2,839,807

    39.87(b)

     

    INSPER 401K

     

     

    REAL ESTATE FUND—I CLASS

    WELLS FARGO BANK NA

    52,936,891

    79.91(b)

    RETIREMENT 2005

    NATIONAL FINANCIAL SERVICES

    19,843,313

    18.32

     

    T ROWE PRICE RPS INC

    16,558,255

    15.29

    RETIREMENT 2005 FUND—ADVISOR

    NATIONAL FINANCIAL SERVICES

    1,621,619

    24.80

     

    TAYNIK & CO

    BOSTON MA 02117-9130

    356,193

    5.45

     

    WTRISC CO IRA OMNIBUS ACCT

    WASHINGTON DC 20002-4239

    1,259,267

    19.26

    RETIREMENT 2005 FUND—R CLASS

    AXA EQUITABLE FOR SA NO 65

    589,604

    13.76

     

    STATE STREET BANK AND TRUST AS

    979,539

    22.86

     

    TRUSTEE AND/OR CUSTODIAN

     

     

     

    FBO ADP ACCESS PRODUCT

     

     

     

    VOYA RETIREMENT INS & ANNUITY CO

    954,505

    22.28

    RETIREMENT 2010

    NATIONAL FINANCIAL SERVICES

    34,026,929

    15.13

     

    T ROWE PRICE RPS INC

    26,866,308

    11.94

    PAGE 93


        

    Principal Holders of Fund Shares

    FUND

    SHAREHOLDER

    SHARES

    %

    RETIREMENT 2010 FUND—ADVISOR

    NATIONAL FINANCIAL SERVICES

    4,572,123

    17.67

    CLASS

    TAYNIK & CO

    2,458,373

    9.50

    RETIREMENT 2010 FUND—R CLASS

    STATE STREET BANK AND TRUST AS

    5,043,025

    35.88(b)

     

    TRUSTEE AND/OR CUSTODIAN

     

     

     

    FBO ADP ACCESS PRODUCT

     

     

     

    SUNTRUST BANK

    957,681

    6.81

    RETIREMENT 2015

    NATIONAL FINANCIAL SERVICES

    77,816,119

    16.58

     

    T ROWE PRICE RPS INC

    88,009,289

    18.75

    RETIREMENT 2015 FUND—ADVISOR

    NATIONAL FINANCIAL SERVICES

    9,246,160

    23.93

    CLASS

    RELIANCE TRUST COMPANY FBO

    2,009,225

    5.20

     

    RETIREMENT PLANS SERVICED BY METLIFE

     

     

    RETIREMENT 2015 FUND—R CLASS

    AXA EQUITABLE FOR SA NO 65

    1,881,372

    7.20

     

    STATE STREET BANK AND TRUST AS

    7,828,351

    29.95(b)

     

    TRUSTEE AND/OR CUSTODIAN

     

     

     

    FBO ADP ACCESS PRODUCT

     

     

     

    VOYA RETIREMENT INS & ANNUITY CO

    3,436,839

    13.15

    RETIREMENT 2020

    NATIONAL FINANCIAL SERVICES

    179,631,802

    21.83

     

    T ROWE PRICE RPS INC

    185,572,373

    22.55

    RETIREMENT 2020 FUND—ADVISOR

    NATIONAL FINANCIAL SERVICES

    23,540,374

    20.83

    CLASS

    TAYNIK & CO

    8,521,009

    7.54

    RETIREMENT 2020 FUND—R CLASS

    STATE STREET BANK AND TRUST AS

    26,028,396

    35.83(b)

     

    TRUSTEE AND/OR CUSTODIAN

     

     

     

    FBO ADP ACCESS PRODUCT

     

     

     

    TAYNIK & CO

    3,903,179

    5.37

    RETIREMENT 2025

    NATIONAL FINANCIAL SERVICES

    228,019,214

    24.01

     

    T ROWE PRICE RPS INC

    257,285,342

    27.09(a)

    RETIREMENT 2025 FUND—ADVISOR

    NATIONAL FINANCIAL SERVICES

    24,839,776

    24.85

    CLASS

    TAYNIK & CO

    5,431,251

    5.43

    RETIREMENT 2025 FUND—R CLASS

    AXA EQUITABLE FOR SA NO 65

    5,753,909

    7.58

     

    STATE STREET BANK AND TRUST AS

    25,704,760

    33.86(b)

     

    TRUSTEE AND/OR CUSTODIAN

     

     

     

    FBO ADP ACCESS PRODUCT

     

     

     

    VOYA RETIREMENT INS & ANNUITY CO

    9,370,694

    12.34

    RETIREMENT 2030

    NATIONAL FINANCIAL SERVICES

    180,182,641

    23.48

     

    T ROWE PRICE RPS INC

    187,892,194

    24.49

    RETIREMENT 2030 FUND—ADVISOR

    NATIONAL FINANCIAL SERVICES

    24,039,980

    20.73

    CLASS

    TAYNIK & CO

    10,076,353

    8.69

    RETIREMENT 2030 FUND—R CLASS

    STATE STREET BANK AND TRUST AS

    34,201,654

    40.71(b)

     

    TRUSTEE AND/OR CUSTODIAN

     

     

     

    FBO ADP ACCESS PRODUCT

     

     

     

    TAYNIK & CO

    4,383,941

    5.22

    RETIREMENT 2035

    NATIONAL FINANCIAL SERVICES

    175,926,840

    26.53(b)

     

    T ROWE PRICE RPS INC

    176,972,941

    26.69(a)

    RETIREMENT 2035 FUND—ADVISOR CLASS

    NATIONAL FINANCIAL SERVICES

    19,704,172

    26.06(b)

    RETIREMENT 2035 FUND—R CLASS

    AXA EQUITABLE FOR SA NO 65

    3,982,807

    6.61

     

    STATE STREET BANK AND TRUST AS

    22,403,457

    37.20(b)

     

    TRUSTEE AND/OR CUSTODIAN

     

     

     

    FBO ADP ACCESS PRODUCT

     

     

     

    VOYA RETIREMENT INS & ANNUITY CO

    7,140,867

    11.86

    RETIREMENT 2040

    NATIONAL FINANCIAL SERVICES

    131,679,407

    26.22(b)

     

    T ROWE PRICE RPS INC

    116,010,101

    23.10

    PAGE 94


        

    Principal Holders of Fund Shares

    FUND

    SHAREHOLDER

    SHARES

    %

    RETIREMENT 2040 FUND—ADVISOR

    NATIONAL FINANCIAL SERVICES

    19,859,211

    22.97

    CLASS

    TAYNIK & CO

    7,489,936

    8.66

    RETIREMENT 2040 FUND—R CLASS

    STATE STREET BANK AND TRUST AS

    25,279,445

    43.61(b)

     

    TRUSTEE AND/OR CUSTODIAN

     

     

     

    FBO ADP ACCESS PRODUCT

     

     

     

    TAYNIK & CO

    2,979,714

    5.14

    RETIREMENT 2045

    NATIONAL FINANCIAL SERVICES

    124,433,969

    29.46(b)

     

    T ROWE PRICE RPS INC

    111,512,896

    26.41(a)

    RETIREMENT 2045 FUND—ADVISOR

    NATIONAL FINANCIAL SERVICES

    14,987,193

    27.52(b)

    CLASS

    RELIANCE TRUST COMPANY FBO

    2,745,143

    5.04

     

    RETIREMENT PLANS SERVICED BY METLIFE

     

     

    RETIREMENT 2045 FUND—R CLASS

    AXA EQUITABLE FOR SA NO 65

    2,429,001

    5.49

     

    STATE STREET BANK AND TRUST AS

    17,361,403

    39.27(b)

     

    TRUSTEE AND/OR CUSTODIAN

     

     

     

    FBO ADP ACCESS PRODUCT

     

     

     

    VOYA RETIREMENT INS & ANNUITY CO

    5,167,616

    11.69

    RETIREMENT 2050

    NATIONAL FINANCIAL SERVICES

    117,198,492

    31.39(b)

     

    T ROWE PRICE RPS INC

    83,486,217

    22.36

    RETIREMENT 2050 FUND—ADVISOR

    NATIONAL FINANCIAL SERVICES

    20,302,481

    26.04(b)

    CLASS

    STATE STREET BANK AND TRUST AS

    4,754,495

    6.10

     

    TRUSTEE AND/OR CUSTODIAN

     

     

     

    FBO ADP ACCESS PRODUCT

     

     

     

    TAYNIK & CO

    6,027,590

    7.73

    RETIREMENT 2050 FUND—R CLASS

    STATE STREET BANK AND TRUST AS

    24,450,470

    44.79(b)

     

    TRUSTEE AND/OR CUSTODIAN

     

     

     

    FBO ADP ACCESS PRODUCT

     

     

     

    TAYNIK & CO

    3,102,178

    5.68

    RETIREMENT 2055

    NATIONAL FINANCIAL SERVICES

    53,710,143

    30.86(b)

     

    T ROWE PRICE RPS INC

    43,709,135

    25.12(a)

    RETIREMENT 2055 FUND—ADVISOR CLASS

    NATIONAL FINANCIAL SERVICES

    9,405,045

    31.83(b)

    RETIREMENT 2055 FUND—R CLASS

    AXA EQUITABLE FOR SA NO 65

    1,333,323

    5.82

     

    STATE STREET BANK AND TRUST AS

    9,916,161

    43.30(b)

     

    TRUSTEE AND/OR CUSTODIAN

     

     

     

    FBO ADP ACCESS PRODUCT

     

     

     

    VOYA RETIREMENT INS & ANNUITY CO

    2,113,135

    9.23

    RETIREMENT 2060

    NATIONAL FINANCIAL SERVICES

    7,515,343

    26.38(b)

     

    T ROWE PRICE RPS INC

    7,683,265

    26.97(a)

    RETIREMENT 2060 FUND—ADVISOR

    DCGT AS TTEE AND/OR CUST

    223,519

    5.79

    CLASS

    FBO PLIC VARIOUS RETIREMENT PLANS

     

     

     

    NATIONAL FINANCIAL SERVICES

    1,141,951

    29.60(b)

     

    VALIC SEPARATE ACCOUNT A

    HOUSTON TX 77009

    201,107

    5.21

    RETIREMENT 2060 FUND—R CLASS

    STATE STREET BANK AND TRUST AS

    1,590,777

    46.84(b)

     

    TRUSTEE AND/OR CUSTODIAN

     

     

     

    FBO ADP ACCESS PRODUCT

     

     

     

    VOYA RETIREMENT INS & ANNUITY CO

    235,429

    6.93

    RETIREMENT BALANCED

    NATIONAL FINANCIAL SERVICES

    12,994,876

    9.52

     

    T ROWE PRICE RPS INC

    13,249,420

    9.71

    PAGE 95


        

    Principal Holders of Fund Shares

    FUND

    SHAREHOLDER

    SHARES

    %

    RETIREMENT BALANCED FUND—

    CHARLES SCHWAB & CO INC

    717,017

    5.15

    ADVISOR CLASS

    LINCOLN FINANCIAL GROUP TRUST CO

    724,406

    5.21

     

    FBO ROLLOVER IRA PLANS

    CONCORD NH 03301-3258

     

     

     

    NATIONAL FINANCIAL SERVICES

    2,068,893

    14.87

     

    STATE STREET BANK AND TRUST AS

    1,128,682

    8.11

     

    TRUSTEE AND/OR CUSTODIAN

     

     

     

    FBO ADP ACCESS PRODUCT

     

     

     

    TAYNIK & CO

    1,476,945

    10.62

    RETIREMENT BALANCED FUND—R

    PIMS/PRUDENTIAL RETIREMENT

    2,596,216

    17.28

    CLASS

    AS NOMINEE FOR THE TTEE/CUST PL

     

     

     

    NEPC - TAFT HARTLEY IRONWORKERS

    SALT LAKE CTY UT 84130-0124

     

     

     

    STATE STREET BANK AND TRUST AS

    5,972,384

    39.76(b)

     

    TRUSTEE AND/OR CUSTODIAN

     

     

     

    FBO ADP ACCESS PRODUCT

     

     

    RETIREMENT I 2005 FUND—I CLASS

    GREAT-WEST TRUST COMPANY LLC TTEE

    793,482

    5.39

     

    RECORDKEEPING FOR LARGE BENEFIT PL

     

     

     

    NATIONAL FINANCIAL SERVICES

    7,729,174

    52.50(b)

    RETIREMENT I 2010 FUND—I CLASS

    NATIONAL FINANCIAL SERVICES

    13,361,946

    32.40(b)

     

    STATE STREET BANK & TRUST CO

    3,429,476

    8.32

     

    AS CUSTODIAN FOR MML

     

     

     

    FBO ITS CLIENTS

     

     

    RETIREMENT I 2015 FUND—I CLASS

    NATIONAL FINANCIAL SERVICES

    35,082,064

    44.38(b)

    RETIREMENT I 2020 FUND—I CLASS

    NATIONAL FINANCIAL SERVICES

    108,229,139

    40.65(b)

     

    STATE STREET BANK & TRUST CO

    19,773,626

    7.43

     

    AS CUSTODIAN FOR MML

     

     

     

    FBO ITS CLIENTS

     

     

    RETIREMENT I 2025 FUND—I CLASS

    NATIONAL FINANCIAL SERVICES

    112,038,717

    47.75(b)

    RETIREMENT I 2030 FUND—I CLASS

    NATIONAL FINANCIAL SERVICES

    119,995,275

    39.51(b)

     

    STATE STREET BANK & TRUST CO

    27,778,648

    9.15

     

    AS CUSTODIAN FOR MML

     

     

     

    FBO ITS CLIENTS

     

     

    RETIREMENT I 2035 FUND—I CLASS

    CHARLES SCHWAB & CO INC

    10,098,090

    5.37

     

    NATIONAL FINANCIAL SERVICES

    88,759,629

    47.24(b)

     

    STATE STREET BANK & TRUST CO

    10,517,466

    5.60

     

    AS CUSTODIAN FOR MML

     

     

     

    FBO ITS CLIENTS

     

     

    RETIREMENT I 2040 FUND—I CLASS

    NATIONAL FINANCIAL SERVICES

    87,505,019

    37.68(b)

     

    STATE STREET BANK & TRUST CO

    21,248,110

    9.15

     

    AS CUSTODIAN FOR MML

     

     

     

    FBO ITS CLIENTS

     

     

    RETIREMENT I 2045 FUND—I CLASS

    CHARLES SCHWAB & CO INC

    7,028,112

    5.62

     

    NATIONAL FINANCIAL SERVICES

    58,366,357

    46.65(b)

     

    STATE STREET BANK & TRUST CO

    8,841,647

    7.07

     

    AS CUSTODIAN FOR MML

     

     

     

    FBO ITS CLIENTS

     

     

    RETIREMENT I 2050 FUND—I CLASS

    FIFTH THIRD BANK TR

    10,040,195

    8.02

     

    FBO CINTAS PARTNERS PLAN

    CINCINNATI OH 45202-3191

     

     

     

    NATIONAL FINANCIAL SERVICES

    48,234,133

    38.55(b)

     

    STATE STREET BANK & TRUST CO

    11,928,887

    9.53

     

    AS CUSTODIAN FOR MML

     

     

     

    FBO ITS CLIENTS

     

     

    PAGE 96


        

    Principal Holders of Fund Shares

    FUND

    SHAREHOLDER

    SHARES

    %

    RETIREMENT I 2055 FUND—I CLASS

    NATIONAL FINANCIAL SERVICES

    23,911,457

    51.18(b)

     

    STATE STREET BANK & TRUST CO

    2,546,815

    5.45

     

    AS CUSTODIAN FOR MML

     

     

     

    FBO ITS CLIENTS

     

     

    RETIREMENT I 2060 FUND—I CLASS

    NATIONAL FINANCIAL SERVICES

    3,824,589

    46.20(b)

    RETIREMENT BALANCED I FUND—

    FIFTH THIRD BANK TR

    2,072,191

    11.04

    I CLASS

    NATIONAL FINANCIAL SERVICES

    4,215,715

    22.47

     

    WELLS FARGO BANK

    1,118,840

    5.96

    SCIENCE & TECHNOLOGY

    T ROWE PRICE RPS INC

    10,427,045

    10.55

    SCIENCE & TECHNOLOGY FUND—

    JOHN HANCOCK LIFE

    13,267,082

    85.79(b)

    ADVISOR CLASS

    INSURANCE CO USA

     

     

    SCIENCE & TECHNOLOGY FUND— I CLASS

    CHARLES SCHWAB & CO INC

    234,016

    5.22

     

    DCGT AS TTEE AND/OR CUST

    265,945

    5.93

     

    FBO PLIC VARIOUS RETIREMENT PLANS

     

     

     

    NAVID KAUSAR

    234,145

    5.22

     

    T ROWE PRICE RPS INC

    468,865

    10.45

     

    TRUSTEES OF T ROWE PRICE

    1,615,579

    36.00(a)

     

    U.S. RETIREMENT PROGRAM

     

     

    SHORT-TERM BOND

    MARYLAND COLLEGE INVESTMENT PLAN

    62,086,283

    6.80

     

    PORTFOLIO 2018

     

     

     

    SPECTRUM INCOME FUND

    68,200,614

    7.47

     

    T. ROWE PRICE ASSOCIATES

     

     

     

    T ROWE PRICE ASSOCIATES

    83,828,229

    9.18

    SHORT-TERM BOND FUND—ADVISOR

    CHARLES SCHWAB & CO INC

    420,061

    5.13

    CLASS

    NATIONAL FINANCIAL SERVICES

    2,632,124

    32.16(b)

     

    PERSHING LLC

    454,704

    5.55

     

    TD AMERITRADE INC

    1,968,717

    24.05

     

    WELLS FARGO BANK NA

    1,036,100

    12.66

    SHORT-TERM BOND FUND—I CLASS

    EDWARD D JONES & CO

    16,243,117

    10.92

     

    NATIONAL FINANCIAL SERVICES

    63,931,868

    42.99(b)

     

    T ROWE PRICE PROGRAM FOR

    12,213,491

    8.21

     

    CHARITABLE GIVING GIFT

     

     

     

    PRESERVATION POOL

    OWINGS MILLS MD 21117-4903

     

     

    SHORT-TERM

    JPMORGAN CHASE BANK AS AGENT

    72,037,948

    12.64

     

    FOR INSTITUTIONAL FUNDS

    NEWARK DE 19713-2105

     

     

     

    STATE STREET BANK & TRUST CO AGENT

    496,936,418

    87.19(b)

     

    FOR T ROWE INSTITUTIONAL FUNDS

     

     

    SMALL-CAP INDEX

    T ROWE PRICE ASSOCIATES

    475,000

    100.00(c)

    SMALL-CAP INDEX FUND—I CLASS

    T ROWE PRICE ASSOCIATES

    25,000

    100.00(c)

    SMALL-CAP STOCK

    NATIONAL FINANCIAL SERVICES

    14,961,465

    9.02

     

    T ROWE PRICE ASSOCIATES

    8,404,979

    5.07

     

    RETIREMENT PORTFOLIO 2040

     

     

     

    T ROWE PRICE ASSOCIATES

    10,532,935

    6.35

     

    RETIREMENT PORTFOLIO 2030

     

     

     

    T ROWE PRICE TRUST CO INC

    9,714,416

    5.86

     

    TRPOTC FUND

     

     

    PAGE 97


        

    Principal Holders of Fund Shares

    FUND

    SHAREHOLDER

    SHARES

    %

    SMALL-CAP STOCK FUND—ADVISOR

    CHARLES SCHWAB & CO INC

    270,499

    6.55

    CLASS

    DCGT AS TTEE AND/OR CUST

    220,268

    5.34

     

    FBO PLIC VARIOUS RETIREMENT PLANS

     

     

     

    NATIONAL FINANCIAL SERVICES

    1,264,000

    30.63(b)

     

    VANGUARD FIDUCIARY TRUST COMPANY

    445,100

    10.78

     

    T ROWE PRICE ADVISOR CLASS FUNDS

    VALLEY FORGE PA 19482-2900

     

     

     

    WELLS FARGO BANK FBO

    367,530

    8.91

     

    VARIOUS RETIREMENT PLANS

     

     

    SMALL-CAP STOCK FUND—I CLASS

    CHARLES SCHWAB & CO INC

    2,944,188

    10.88

     

    NATIONAL FINANCIAL SERVICES

    4,402,888

    16.27

     

    T ROWE PRICE ASSOCIATES

    1,644,331

    6.08

     

    RETIREMENT I 2030 FUND

     

     

     

    T ROWE PRICE ASSOCIATES

    1,507,436

    5.57

     

    RETIREMENT I 2040 FUND

     

     

    SMALL-CAP VALUE

    NATIONAL FINANCIAL SERVICES

    10,052,254

    6.29

     

    T ROWE PRICE ASSOCIATES

    8,187,572

    5.12

     

    RETIREMENT PORTFOLIO 2040

     

     

     

    T ROWE PRICE ASSOCIATES

    10,262,928

    6.42

     

    RETIREMENT PORTFOLIO 2030

     

     

     

    T ROWE PRICE TRUST CO INC

    10,125,842

    6.34

    SMALL-CAP VALUE FUND—ADVISOR

    NATIONAL FINANCIAL SERVICES

    1,466,860

    8.81

    CLASS

    RAYMOND JAMES

    13,548,655

    81.36(b)

    SMALL-CAP VALUE FUND—I CLASS

    EDWARD D JONES & CO

    5,999,000

    19.50

     

    T ROWE PRICE ASSOCIATES

    1,575,095

    5.12

     

    RETIREMENT I 2030 FUND

     

     

     

    T ROWE PRICE RPS INC

    4,877,217

    15.85

    SPECTRUM INCOME

    MARYLAND COLLEGE INVESTMENT PLAN

    26,915,632

    5.01

     

    PORTFOLIO 2021

     

     

     

    MARYLAND COLLEGE INVESTMENT PLAN

    29,716,276

    5.53

     

    PORTFOLIO 2024

     

     

     

    T ROWE PRICE TRUST CO INC

    35,467,932

    6.60

    SUMMIT MUNICIPAL INCOME

    EDWARD D JONES & CO

    16,709,112

    13.83

     

    J.P. MORGAN SECURITIES LLC

    13,438,803

    11.12

     

    RAYMOND JAMES

    12,156,606

    10.06

     

    SAXON & CO

    13,763,172

    11.39

     

    WELLS FARGO CLEARING SERVICES LLC

    17,355,690

    14.36

    SUMMIT MUNICIPAL INCOME FUND—

    LPL FINANCIAL

    415,201

    81.60(b)

    ADVISOR CLASS

    NATIONAL FINANCIAL SERVICES

    73,588

    14.46

    SUMMIT MUNICIPAL INTERMEDIATE

    CHARLES SCHWAB & CO INC

    78,463,233

    15.98

     

    EDWARD D JONES & CO

    41,787,660

    8.51

     

    J.P. MORGAN SECURITIES LLC

    101,119,093

    20.60

     

    WELLS FARGO CLEARING SERVICES LLC

    63,019,624

    12.84

    SUMMIT MUNICIPAL INTERMEDIATE

    CHARLES SCHWAB & CO INC

    329,661

    51.45(b)

    FUND—ADVISOR CLASS

    CITBANCO A PARTNERSHIP

    STORM LAKE IA 50588-1227

    74,150

    11.57

     

    NATIONAL FINANCIAL SERVICES

    180,499

    28.17(b)

    SUMMIT MUNICIPAL MONEY MARKET

    JAMES S. RIEPE

    15,673,450

    12.12

    TARGET 2005 FUND—ADVISOR CLASS

    NATIONAL FINANCIAL SERVICES

    78,633

    61.27(b)

     

    RELIANCE TRUST CO TTEE ADP

    23,571

    18.37

     

    ACCESS LARGE MARKET 401K

    ATLANTA GA 30328-5620

     

     

     

    T ROWE PRICE ASSOCIATES

    25,000

    19.48

    PAGE 98


        

    Principal Holders of Fund Shares

    FUND

    SHAREHOLDER

    SHARES

    %

    TARGET 2005 FUND—I CLASS

    T ROWE PRICE ASSOCIATES

    24,582

    19.70

     

    T ROWE PRICE TRUST CO INC

    91,581

    73.38(e)

     

    CUST FOR THE ROLLOVER IRA OF

     

     

     

    CHRISTOPHER R BURNHAM

     

     

    TARGET 2010 FUND—ADVISOR CLASS

    FIIOC AS AGENT FBO

    30,917

    6.41

     

    INTERNATIONAL YOUTH FOUNDATION

     

     

     

    NATIONAL FINANCIAL SERVICES

    296,291

    61.43(b)

     

    RELIANCE TRUST CO TTEE ADP

    154,655

    32.06(b)

     

    ACCESS LARGE MARKET 401K

     

     

    TARGET 2010 FUND—I CLASS

    GREAT-WEST TRUST COMPANY LLC FBO

    26,773

    7.64

     

    EMPLOYEE BENEFITS CLIENTS 401K

     

     

     

    REBECCA L. BESSON

    273,748

    78.09(b)

     

    STUART B COOPER TEN ENT

     

     

     

    T ROWE PRICE ASSOCIATES

    24,390

    6.96

    TARGET 2015

    T ROWE PRICE RPS INC

    992,061

    6.59

    TARGET 2015 FUND—ADVISOR CLASS

    GREAT WEST TRUST CO LLC

    130,445

    25.00(b)

     

    FBO RECORDKEEPING FOR VARIOUS

     

     

     

    BENEFIT PL OMNIPUTNAM

     

     

     

    GREAT-WEST TRUST COMPANY LLC FBO

    68,730

    13.17

     

    EMPLOYEE BENEFITS CLIENTS 401K

     

     

     

    NATIONAL FINANCIAL SERVICES

    201,333

    38.59(b)

     

    STATE STREET BANK AND TRUST AS

    43,898

    8.41

     

    TRUSTEE AND/OR CUSTODIAN

     

     

     

    FBO ADP ACCESS PRODUCT

     

     

     

    WELLS FARGO BANK FBO

    42,300

    8.11

     

    VARIOUS RETIREMENT PLANS

     

     

    TARGET 2015 FUND—I CLASS

    GREAT-WEST TRUST COMPANY LLC FBO

    92,501

    10.43

     

    EMPLOYEE BENEFITS CLIENTS 401K

     

     

     

    NATIONAL FINANCIAL SERVICES

    67,511

    7.61

     

    T ROWE PRICE TRUST CO INC

    115,747

    13.05

     

    CUST FOR THE ROLLOVER IRA OF

     

     

     

    ALBERT K MONAGAN JR

     

     

     

    T ROWE PRICE TRUST CO INC

    95,316

    10.75

     

    CUST FOR THE ROLLOVER IRA OF

     

     

     

    DAVID L HINTZ

     

     

     

    T ROWE PRICE TRUST CO INC

    105,898

    11.94

     

    CUST FOR THE ROLLOVER IRA OF

     

     

     

    DENNIS W CULLEN

     

     

     

    T ROWE PRICE TRUST CO INC

    89,450

    10.09

     

    CUST FOR THE ROLLOVER IRA OF

     

     

     

    LINDA M RIDDELL

     

     

     

    T ROWE PRICE TRUST CO INC

    95,082

    10.72

     

    CUST FOR THE ROLLOVER IRA OF

     

     

     

    ROBERT A CRIDER

     

     

     

    T ROWE PRICE TRUST CO INC

    100,822

    11.37

     

    CUST FOR THE ROLLOVER IRA OF

     

     

     

    ROLLIN G SEARS

     

     

    TARGET 2020

    NATIONAL FINANCIAL SERVICES

    1,649,023

    8.56

     

    T ROWE PRICE RPS INC

    2,588,056

    13.44

    PAGE 99


        

    Principal Holders of Fund Shares

    FUND

    SHAREHOLDER

    SHARES

    %

    TARGET 2020 FUND—ADVISOR CLASS

    GREAT WEST TRUST CO LLC

    156,580

    7.18

     

    FBO RECORDKEEPING FOR VARIOUS

     

     

     

    GREAT-WEST TRUST COMPANY LLC FBO

    297,830

    13.65

     

    EMPLOYEE BENEFITS CLIENTS 401K

     

     

     

    NATIONAL FINANCIAL SERVICES

    642,669

    29.46(b)

     

    RELIANCE TRUST CO TTEE ADP

    851,294

    39.02(b)

     

    ACCESS LARGE MARKET 401K

     

     

    TARGET 2020 FUND—I CLASS

    GREAT-WEST TRUST COMPANY LLC FBO

    256,084

    16.16

     

    EMPLOYEE BENEFITS CLIENTS 401K

     

     

     

    NATIONAL FINANCIAL SERVICES

    281,082

    17.73

     

    SANDRA L KRISZTAL AGENT

    118,971

    7.51

     

    TRP/ POA

     

     

     

    T ROWE PRICE CO CUST FOR THE

     

     

     

    ROLLOVER IRA OF RUBEN J KRISZTAL

    LEAWOOD KS 66209-1048

     

     

     

    T ROWE PRICE TRUST CO INC

    99,238

    6.26

     

    CUST FOR THE ROLLOVER IRA OF

     

     

     

    DOUGLAS J CROCKETT

     

     

     

    T ROWE PRICE TRUST CO INC

    196,669

    12.41

     

    CUST FOR THE ROLLOVER IRA OF

     

     

     

    DWIGHT T COLES

     

     

     

    T ROWE PRICE TRUST CO INC

    106,255

    6.70

     

    CUST FOR THE ROLLOVER IRA OF

     

     

     

    KEITH EDICK

     

     

     

    T ROWE PRICE TRUST CO INC

    115,542

    7.29

     

    CUST FOR THE ROLLOVER IRA OF

     

     

     

    ROBERT T ERRINGTON

     

     

    TARGET 2025

    NATIONAL FINANCIAL SERVICES

    1,217,505

    6.96

     

    T ROWE PRICE RPS INC

    3,227,162

    18.45

     

    WELLS FARGO BANK FBO

    1,407,811

    8.05

     

    VARIOUS RETIREMENT PLANS

     

     

    TARGET 2025 FUND—ADVISOR CLASS

    GREAT WEST TRUST CO LLC

    342,574

    28.69(b)

     

    FBO RECORDKEEPING FOR VARIOUS

     

     

     

    GREAT-WEST TRUST COMPANY LLC FBO

    204,004

    17.09

     

    EMPLOYEE BENEFITS CLIENTS 401K

     

     

     

    NATIONAL FINANCIAL SERVICES

    403,045

    33.76(b)

     

    RELIANCE TRUST CO TTEE ADP

    102,528

    8.59

     

    ACCESS LARGE MARKET 401K

     

     

     

    STATE STREET BANK AND TRUST AS

    95,114

    7.97

     

    TRUSTEE AND/OR CUSTODIAN

     

     

     

    FBO ADP ACCESS PRODUCT

     

     

    TARGET 2025 FUND—I CLASS

    CHARLES SCHWAB & CO INC

    291,032

    26.47(b)

     

    GREAT-WEST TRUST COMPANY LLC FBO

    208,557

    18.97

     

    EMPLOYEE BENEFITS CLIENTS 401K

     

     

     

    NATIONAL FINANCIAL SERVICES

    90,800

    8.26

     

    NONAB & CO

    62,641

    5.70

     

    E H KLECKNER, INC PS 401(K) PLAN

    WELLSBORO PA 16901-1517

     

     

     

    NONAB & CO

    54,953

    5.00

     

    FBO STROBELS SUPPLY, INC 401(K) PSP

     

     

     

    NONAB & CO

    61,272

    5.57

     

    FBO WEST MILTON STATE BANK 401(K)

     

     

    TARGET 2030

    NATIONAL FINANCIAL SERVICES

    2,608,011

    16.23

     

    T ROWE PRICE RPS INC

    4,230,950

    26.32(a)

    PAGE 100


        

    Principal Holders of Fund Shares

    FUND

    SHAREHOLDER

    SHARES

    %

    TARGET 2030 FUND—ADVISOR CLASS

    FIIOC AS AGENT FBO

    301,409

    12.44

     

    INTERNATIONAL YOUTH FOUNDATION

     

     

     

    GREAT WEST TRUST CO LLC

    235,379

    9.72

     

    FBO RECORDKEEPING FOR VARIOUS

     

     

     

    NATIONAL FINANCIAL SERVICES

    907,099

    37.45(b)

     

    RELIANCE TRUST CO TTEE ADP

    819,021

    33.81(b)

     

    ACCESS LARGE MARKET 401K

     

     

    TARGET 2030 FUND—I CLASS

    ASCENSUS TRUST COMPANY FBO

    60,243

    6.17

     

    HRM ENTERPRISES INC 401(K) PLAN

     

     

     

    CHARLES SCHWAB & CO INC

    52,467

    5.37

     

    GREAT-WEST TRUST COMPANY LLC FBO

    104,147

    10.67

     

    EMPLOYEE BENEFITS CLIENTS 401K

     

     

     

    MATRIX TRUST COMPANY TRUSTEE FBO

    234,575

    24.03

     

    CHRISTIAN APPALACHIAN PROJECT INC

     

     

     

    NATIONAL FINANCIAL SERVICES

    85,602

    8.77

     

    T ROWE PRICE TRUST CO INC

    108,361

    11.10

     

    CUST FOR THE ROLLOVER IRA OF

     

     

     

    GARRETT COLMORGEN

     

     

    TARGET 2035

    NATIONAL FINANCIAL SERVICES

    1,319,052

    12.74

     

    T ROWE PRICE RPS INC

    3,042,174

    29.38(a)

     

    WELLS FARGO BANK FBO

    893,541

    8.63

     

    VARIOUS RETIREMENT PLANS

     

     

    TARGET 2035 FUND—ADVISOR CLASS

    GREAT WEST TRUST CO LLC

    188,080

    18.79

     

    FBO RECORDKEEPING FOR VARIOUS

     

     

     

    GREAT-WEST TRUST COMPANY LLC FBO

    136,936

    13.68

     

    EMPLOYEE BENEFITS CLIENTS 401K

     

     

     

    NATIONAL FINANCIAL SERVICES

    581,014

    58.03(b)

     

    STATE STREET BANK AND TRUST AS

    57,045

    5.70

     

    TRUSTEE AND/OR CUSTODIAN

     

     

     

    FBO ADP ACCESS PRODUCT

     

     

    TARGET 2035 FUND—I CLASS

    CHARLES SCHWAB & CO INC

    234,007

    28.19(b)

     

    GREAT-WEST TRUST COMPANY LLC FBO

    253,739

    30.57(b)

     

    EMPLOYEE BENEFITS CLIENTS 401K

     

     

     

    NATIONAL FINANCIAL SERVICES

    98,892

    11.91

    TARGET 2040

    NATIONAL FINANCIAL SERVICES

    1,362,870

    15.94

     

    T ROWE PRICE RPS INC

    2,438,808

    28.53(a)

     

    WELLS FARGO BANK FBO

    556,295

    6.51

     

    VARIOUS RETIREMENT PLANS

     

     

    TARGET 2040 FUND—ADVISOR CLASS

    FIIOC AS AGENT FBO

    69,213

    7.07

     

    INTERNATIONAL YOUTH FOUNDATION

     

     

     

    GREAT WEST TRUST CO LLC

    153,068

    15.64

     

    FBO RECORDKEEPING FOR VARIOUS

     

     

     

    NATIONAL FINANCIAL SERVICES

    689,531

    70.47(b)

    TARGET 2040 FUND—I CLASS

    ASCENSUS TRUST COMPANY FBO

    91,479

    14.16

     

    HRM ENTERPRISES INC 401(K) PLAN

     

     

     

    GREAT-WEST TRUST COMPANY LLC FBO

    273,307

    42.30(b)

     

    EMPLOYEE BENEFITS CLIENTS 401K

     

     

     

    MATRIX TRUST COMPANY TRUSTEE FBO

    39,107

    6.05

     

    CHRISTIAN APPALACHIAN PROJECT INC

     

     

     

    NATIONAL FINANCIAL SERVICES

    60,170

    9.31

    TARGET 2045

    NATIONAL FINANCIAL SERVICES

    753,478

    13.42

     

    T ROWE PRICE RPS INC

    1,734,243

    30.88(a)

     

    WELLS FARGO BANK FBO

    449,648

    8.01

     

    VARIOUS RETIREMENT PLANS

     

     

    PAGE 101


        

    Principal Holders of Fund Shares

    FUND

    SHAREHOLDER

    SHARES

    %

    TARGET 2045 FUND—ADVISOR CLASS

    GREAT WEST TRUST CO LLC

    85,126

    12.08

     

    FBO RECORDKEEPING FOR VARIOUS

     

     

     

    GREAT-WEST TRUST COMPANY LLC FBO

    57,078

    8.10

     

    EMPLOYEE BENEFITS CLIENTS 401K

     

     

     

    NATIONAL FINANCIAL SERVICES

    500,920

    71.09(b)

    TARGET 2045 FUND—I CLASS

    CHARLES SCHWAB & CO INC

    219,489

    34.15(b)

     

    GREAT-WEST TRUST COMPANY LLC FBO

    288,646

    44.91(b)

     

    EMPLOYEE BENEFITS CLIENTS 401K

     

     

     

    NATIONAL FINANCIAL SERVICES

    37,560

    5.84

    TARGET 2050

    NATIONAL FINANCIAL SERVICES

    868,888

    21.11

     

    T ROWE PRICE RPS INC

    916,549

    22.27

    TARGET 2050 FUND—ADVISOR CLASS

    FIIOC AS AGENT FBO

    78,456

    13.50

     

    INTERNATIONAL YOUTH FOUNDATION

     

     

     

    GREAT WEST TRUST CO LLC

    54,589

    9.39

     

    FBO RECORDKEEPING FOR VARIOUS

     

     

     

    NATIONAL FINANCIAL SERVICES

    357,072

    61.44(b)

     

    WELLS FARGO BANK FBO

    37,694

    6.49

     

    VARIOUS RETIREMENT PLANS

     

     

    TARGET 2050 FUND—I CLASS

    ASCENSUS TRUST COMPANY FBO

    35,089

    6.36

     

    HRM ENTERPRISES INC 401(K) PLAN

     

     

     

    GREAT-WEST TRUST COMPANY LLC FBO

    297,373

    53.87(b)

     

    EMPLOYEE BENEFITS CLIENTS 401K

     

     

     

    MATRIX TRUST COMPANY TRUSTEE FBO

    37,981

    6.88

     

    CHRISTIAN APPALACHIAN PROJECT INC

     

     

     

    NATIONAL FINANCIAL SERVICES

    89,306

    16.18

    TARGET 2055

    GREAT-WEST TRUST COMPANY LLC TTEE

    115,207

    5.15

     

    CRAIG HOSPITAL BASIC & SUPPLMNTL

     

     

     

    NATIONAL FINANCIAL SERVICES

    325,938

    14.58

     

    T ROWE PRICE RPS INC

    533,802

    23.88

     

    WELLS FARGO BANK FBO

    128,983

    5.77

     

    VARIOUS RETIREMENT PLANS

     

     

    TARGET 2055 FUND—ADVISOR CLASS

    GREAT WEST TRUST CO LLC

    20,950

    6.00

     

    FBO RECORDKEEPING FOR VARIOUS

     

     

     

    GREAT-WEST TRUST COMPANY LLC FBO

    33,371

    9.55

     

    EMPLOYEE BENEFITS CLIENTS 401K

     

     

     

    NATIONAL FINANCIAL SERVICES

    259,650

    74.33(b)

    TARGET 2055 FUND—I CLASS

    CHARLES SCHWAB & CO INC

    67,160

    22.42

     

    GREAT-WEST TRUST COMPANY LLC FBO

    165,327

    55.19(b)

     

    EMPLOYEE BENEFITS CLIENTS 401K

     

     

     

    NATIONAL FINANCIAL SERVICES

    19,407

    6.48

    TARGET 2060

    CHARLES SCHWAB & CO INC

    61,633

    6.22

     

    NATIONAL FINANCIAL SERVICES

    79,170

    7.99

     

    STATE STREET BANK AND TRUST AS

    56,989

    5.75

     

    TRUSTEE AND/OR CUSTODIAN

     

     

     

    FBO ADP ACCESS PRODUCT

     

     

     

    T ROWE PRICE RPS INC

    74,301

    7.50

    PAGE 102


        

    Principal Holders of Fund Shares

    FUND

    SHAREHOLDER

    SHARES

    %

    TARGET 2060 FUND—ADVISOR CLASS

    MATRIX TRUST COMPANY TRUSTEE FBO

    8,977

    9.13

     

    UI LABS 401(K) PLAN

     

     

     

    NATIONAL FINANCIAL SERVICES

    26,497

    26.95(b)

     

    RELIANCE TRUST CO TTEE ADP

    8,721

    8.87

     

    ACCESS LARGE MARKET 401K

     

     

     

    STATE STREET BANK AND TRUST AS

    11,318

    11.51

     

    TRUSTEE AND/OR CUSTODIAN

     

     

     

    FBO ADP ACCESS PRODUCT

     

     

     

    T ROWE PRICE ASSOCIATES

    25,000

    25.43(c)

    TARGET 2060 FUND—I CLASS

    GREAT-WEST TRUST COMPANY LLC FBO

    14,757

    23.42

     

    EMPLOYEE BENEFITS CLIENTS 401K

     

     

     

    NATIONAL FINANCIAL SERVICES

    5,649

    8.96

     

    T ROWE PRICE ASSOCIATES

    27,902

    44.27(c)

    TAX-EFFICIENT EQUITY FUND—I CLASS

    GAIL D BUCKNER

    176,110

    87.15(b)

     

    TED I DUNLAP

    16,523

    8.18

     

    CONNIE R DUNLAP JT TEN

     

     

    TAX-EXEMPT MONEY FUND—I CLASS

    DAVID MASON

    4,471,088

    62.26(b)

     

    DORIS IRENE MASON JT TEN

     

     

     

    KENT G SHENG

    1,102,744

    15.36

     

    ROBERT B OTT

    1,357,697

    18.91

     

    PAULA S OTT JT TEN

     

     

    TAX-FREE HIGH YIELD

    CHARLES SCHWAB & CO INC

    30,164,552

    9.24

     

    GOLDMAN SACHS & CO

    SALT LAKE CITY UT 84101-2199

    50,631,031

    15.50

     

    NATIONAL FINANCIAL SERVICES

    28,440,967

    8.71

     

    PERSHING LLC

    20,824,337

    6.38

    TAX-FREE HIGH YIELD FUND—ADVISOR

    NATIONAL FINANCIAL SERVICES

    90,241,466

    99.06(b)

    CLASS

      

     

    TAX-FREE HIGH YIELD FUND—I CLASS

    BNYH FIXED INCOME LLC

    2,067,350

    5.13

     

    EDWARD D JONES & CO

    16,648,397

    41.32(b)

     

    J.P. MORGAN SECURITIES LLC

    5,005,177

    12.42

     

    MORI & CO

    KANSAS CITY MO 64106-1802

    7,294,909

    18.11

     

    SEI PRIVATE TRUST COMPANY

    2,292,774

    5.69

    TAX-FREE INCOME

    NATIONAL FINANCIAL SERVICES

    15,446,304

    8.10

    TAX-FREE INCOME FUND—ADVISOR CLASS

    NATIONAL FINANCIAL SERVICES

    57,318,910

    93.86(b)

    TAX-FREE INCOME FUND—I CLASS

    J.P. MORGAN SECURITIES LLC

    4,233,686

    24.07

     

    SEI PRIVATE TRUST COMPANY

    3,040,153

    17.28

     

    SEI PRIVATE TRUST COMPANY

    7,076,063

    40.23(b)

    TAX-FREE SHORT-INTERMEDIATE

    CHARLES SCHWAB & CO INC

    45,699,503

    13.97

     

    NATIONAL FINANCIAL SERVICES

    29,084,045

    8.89

     

    T ROWE PRICE ASSOCIATES

    34,412,351

    10.52

     

    WELLS FARGO CLEARING SERVICES LLC

    42,840,943

    13.10

    TAX-FREE SHORT-INTERMEDIATE

    2012 JOSEPH A MCKINNEY JR

    175,078

    12.35

    FUND—ADVISOR CLASS

    LIVING TRUST

    GREENSBORO NC 27401-2767

     

     

     

    CHARLES SCHWAB & CO INC

    190,384

    13.43

     

    NATIONAL FINANCIAL SERVICES

    751,990

    53.05(b)

     

    PERSHING LLC

    100,562

    7.09

     

    RAYMOND JAMES

    92,125

    6.50

    PAGE 103


        

    Principal Holders of Fund Shares

    FUND

    SHAREHOLDER

    SHARES

    %

    TAX-FREE SHORT-INTERMEDIATE FUND

    CHARLES SCHWAB & CO INC

    3,594,650

    9.82

    —I CLASS

    EDWARD D JONES & CO

    2,238,339

    6.11

     

    PERSHING LLC

    3,795,348

    10.36

     

    TD AMERITRADE INC

    10,209,199

    27.88(b)

    TOTAL EQUITY MARKET INDEX

    EDUCATION TRUST OF ALASKA

    5,804,464

    10.09

     

    TOTAL EQUITY MARKET INDEX PORTFOLIO

    BALTIMORE MD 21202-1009

     

     

     

    MARYLAND COLLEGE INVESTMENT PLAN

    5,885,923

    10.23

     

    GLOBAL EQUITY MARKET INDEX

     

     

    TOTAL RETURN

    T ROWE PRICE ASSOCIATES

    2,450,000

    64.50(c)

    TOTAL RETURN FUND—ADVISOR

    CLASS

    T ROWE PRICE ASSOCIATES

    25,000

    100.00(c)

    TOTAL RETURN FUND—I CLASS

    T ROWE PRICE ASSOCIATES

    25,000

    38.11(c)

     

    TRUSTEES OF T ROWE PRICE

    40,601

    61.89(a)

     

    U.S. RETIREMENT PROGRAM

     

     

    TREASURY RESERVE

    BARNACLESAIL

    BALTIMORE MD 21202-1009

    1,583,098,533

    39.79(d)

     

    BRIDGESAIL & CO

    BALTIMORE MD 21202-1009

    496,665,459

    12.48

     

    MILDSHIP & CO

    BALTIMORE MD 21202-1009

    587,549,705

    14.77

     

    T ROWE PRICE

    240,275,167

    6.04

     

    RETIREMENT PLAN SERVICE INC

    OWINGS MILLS MD 21117-4903

     

     

    U.S. BOND ENHANCED INDEX

    EDUCATION TRUST OF ALASKA

    6,740,544

    9.42

     

    ACT PORTFOLIO

     

     

     

    NATIONAL FINANCIAL SERVICES

    7,798,654

    10.90

    U.S. HIGH YIELD

    TD AMERITRADE INC

    1,084,042

    14.32

    U.S. HIGH YIELD FUND—ADVISOR

    CHARLES SCHWAB & CO INC

    56,014

    5.02

    CLASS

    MORGAN STANLEY SMITH BARNEY

    167,703

    15.03

     

    NATIONAL FINANCIAL SERVICES

    696,672

    62.44(b)

    U.S. HIGH YIELD FUND—I CLASS

    MORGAN STANLEY SMITH BARNEY

    1,043,563

    25.83(b)

     

    T ROWE PRICE ASSOCIATES

    2,147,205

    53.14(c)

     

    UBS WM USA

    273,748

    6.78

    U.S. LARGE-CAP CORE

    CHARLES SCHWAB & CO INC

    1,445,239

    6.86

     

    NATIONAL FINANCIAL SERVICES

    3,867,134

    18.35

     

    PERSHING LLC

    1,735,131

    8.23

    U.S. LARGE-CAP CORE FUND—

    CHARLES SCHWAB & CO INC

    81,497

    10.03

    ADVISOR CLASS

    LPL FINANCIAL

    116,069

    14.28

     

    NATIONAL FINANCIAL SERVICES

    182,681

    22.48

     

    PERSHING LLC

    145,527

    17.91

     

    STATE STREET BANK AND TRUST AS

    55,473

    6.83

     

    TRUSTEE AND/OR CUSTODIAN

     

     

     

    FBO ADP ACCESS PRODUCT

     

     

     

    TD AMERITRADE INC

    87,303

    10.74

    U.S. LARGE-CAP CORE FUND—I CLASS

    MARIL & CO FBO 61

    GREEN BAY WI 54304-5280

    194,753

    22.38

     

    MITRA & CO FBO 61

    GREEN BAY WI 54304-5280

    72,685

    8.35

     

    TRUSTEES OF T ROWE PRICE

    169,364

    19.46

     

    U.S. RETIREMENT PROGRAM

     

     

     

    VALLEE & CO FBO 61

    GREEN BAY WI 54304-5280

    355,266

    40.82(b)

    PAGE 104


        

    Principal Holders of Fund Shares

    FUND

    SHAREHOLDER

    SHARES

    %

    U.S. TREASURY INTERMEDIATE

    MLPF&S FOR THE SOLE BENEFIT OF

    11,865,475

    14.94

     

    ITS CUSTOMERS

     

     

     

    SPECTRUM INCOME FUND

    10,858,051

    13.67

     

    T. ROWE PRICE ASSOCIATES

     

     

    U.S. TREASURY INTERMEDIATE FUND—

    CHARLES SCHWAB & CO INC

    45,396

    5.29

    I CLASS

    THE DEAN A AND CYNTHIA A FOATE

    188,374

    21.96

     

    LIVING TRUST

     

     

     

    JAMES C COLLINS

    237,484

    27.69(b)

     

    JOANNE A ERNST JT TEN

     

     

     

    T ROWE PRICE ASSOCIATES

    43,403

    5.06

     

    TRUSTEES OF T ROWE PRICE

    343,017

    39.99(a)

     

    U.S. RETIREMENT PROGRAM

     

     

    U.S. TREASURY LONG-TERM

    SPECTRUM INCOME FUND

    20,481,758

    6.44

     

    T. ROWE PRICE ASSOCIATES

     

     

     

    T ROWE PRICE ASSOCIATES

    28,526,097

    8.97

     

    RETIREMENT PORTFOLIO 2040

     

     

     

    T ROWE PRICE ASSOCIATES

    19,928,485

    6.27

     

    RETIREMENT PORTFOLIO 2015

     

     

     

    T ROWE PRICE ASSOCIATES

    54,621,467

    17.18

     

    RETIREMENT PORTFOLIO 2020

     

     

     

    T ROWE PRICE ASSOCIATES

    45,321,062

    14.26

     

    RETIREMENT PORTFOLIO 2025

     

     

     

    T ROWE PRICE ASSOCIATES

    51,034,232

    16.06

     

    RETIREMENT PORTFOLIO 2030

     

     

     

    T ROWE PRICE ASSOCIATES

    28,331,399

    8.91

     

    RETIREMENT PORTFOLIO 2035

     

     

    U.S. TREASURY LONG-TERM FUND—

    LADYBUG & CO

    3,760,688

    6.64

    I CLASS

    LAKESIDE & CO

    2,995,383

    5.29

     

    T ROWE PRICE ASSOCIATES

    7,901,024

    13.95

     

    RETIREMENT I 2020 FUND

     

     

     

    T ROWE PRICE ASSOCIATES

    6,794,736

    12.00

     

    RETIREMENT I 2025 FUND

     

     

     

    T ROWE PRICE ASSOCIATES

    7,980,862

    14.09

     

    RETIREMENT I 2030 FUND

     

     

     

    T ROWE PRICE ASSOCIATES

    4,620,470

    8.16

     

    RETIREMENT I 2035 FUND

     

     

     

    T ROWE PRICE ASSOCIATES

    5,015,411

    8.86

     

    RETIREMENT I 2040 FUND

     

     

    U.S. TREASURY MONEY FUND—

    EDWARD D JONES & CO

    587,504,944

    69.75(b)

    I CLASS

       

    ULTRA SHORT-TERM BOND

    CHARLES SCHWAB & CO INC

    7,870,371

    8.01

     

    T ROWE PRICE ASSOCIATES

    24,721,121

    25.17(c)

    ULTRA SHORT-TERM BOND FUND—

    INVESTMENT COMPANY INSTITUTE

    601,324

    6.29

    I CLASS

    KIRK A HASSINGER

    500,541

    5.24

     

    SANDRA R HASSINGER JT TEN

     

     

     

    PERSHING LLC

    3,516,404

    36.78(b)

     

    RUDDERFLAG & CO

    BALTIMORE MD 21202-1009

    4,033,865

    42.19(b)

    PAGE 105


        

    Principal Holders of Fund Shares

    FUND

    SHAREHOLDER

    SHARES

    %

    VALUE

    T ROWE PRICE ASSOCIATES

    83,370,303

    14.77

     

    RETIREMENT PORTFOLIO 2040

     

     

     

    T ROWE PRICE ASSOCIATES

    37,471,809

    6.64

     

    RETIREMENT PORTFOLIO 2020

     

     

     

    T ROWE PRICE ASSOCIATES

    50,367,950

    8.93

     

    RETIREMENT PORTFOLIO 2025

     

     

     

    T ROWE PRICE ASSOCIATES

    85,557,566

    15.16

     

    RETIREMENT PORTFOLIO 2030

     

     

     

    T ROWE PRICE ASSOCIATES

    62,411,688

    11.06

     

    RETIREMENT PORTFOLIO 2035

     

     

     

    T ROWE PRICE ASSOCIATES

    83,370,303

    14.77

     

    RETIREMENT PORTFOLIO 2040

     

     

     

    T ROWE PRICE ASSOCIATES

    47,726,659

    8.46

     

    RETIREMENT PORTFOLIO 2045

     

     

     

    T ROWE PRICE ASSOCIATES

    38,997,255

    6.91

     

    RETIREMENT PORTFOLIO 2050

     

     

    VALUE FUND—ADVISOR CLASS

    MORGAN STANLEY SMITH BARNEY

    1,733,665

    14.61

     

    NATIONAL FINANCIAL SERVICES

    3,735,302

    31.47(b)

     

    TAYNIK & CO

    631,500

    5.32

     

    VOYA RETIREMENT INS & ANNUITY CO

    1,036,710

    8.73

    VALUE FUND—I CLASS

    T ROWE PRICE ASSOCIATES

    7,554,436

    6.83

     

    RETIREMENT I 2025 FUND

     

     

     

    T ROWE PRICE ASSOCIATES

    13,392,945

    12.11

     

    RETIREMENT I 2030 FUND

     

     

     

    T ROWE PRICE ASSOCIATES

    10,220,594

    9.24

     

    RETIREMENT I 2035 FUND

     

     

     

    T ROWE PRICE ASSOCIATES

    14,641,196

    13.24

     

    RETIREMENT I 2040 FUND

     

     

     

    T ROWE PRICE ASSOCIATES

    8,399,754

    7.59

     

    RETIREMENT I 2045 FUND

     

     

     

    T ROWE PRICE ASSOCIATES

    8,401,658

    7.60

     

    RETIREMENT I 2050 FUND

     

     

    VIRGINIA TAX-FREE BOND

    CHARLES SCHWAB & CO INC

    7,898,292

    7.68

     

    NATIONAL FINANCIAL SERVICES

    10,391,659

    10.10

    VIRGINIA TAX-FREE BOND FUND—

    DAVID M LANSER OR

    240,937

    13.11

    I CLASS

    ANDREE W LANSER TRUSTS

     

     

     

    HEIDI K STEWART

    181,930

    9.90

     

    RICHARD W STEWART TRS

     

     

     

    HEIDI K STEWART REVOCABLE TRUST

     

     

     

    MARJORIE Y VOKEL REV LIV TRUST

    136,795

    7.45

     

    WELLS FARGO BANK NA FBO

    HII DB PLAN POOL ACCOUNT

    911,231

    49.60(b)

      

    (a)

    T. Rowe Price Retirement Plan Services, Inc., is a wholly owned subsidiary of T. Rowe Price Associates, Inc., which is a wholly owned subsidiary of T. Rowe Price Group, Inc., each a Maryland corporation. T. Rowe Price Retirement Plan Services, Inc. is not the beneficial owner of these shares. Such shares are held of record by T. Rowe Price Retirement Plan Services, Inc. and are normally voted by various retirement plans and retirement plan participants.

    (b)

    At the level of ownership indicated, the shareholder may be able to determine the outcome of any matters affecting a fund or one of its classes that are submitted to shareholders for vote.

    (c)

    T. Rowe Price Associates, Inc. is a wholly owned subsidiary of T. Rowe Price Group, Inc., each a Maryland corporation. Shares owned by T. Rowe Price Associates, Inc. may represent discretionary investments and/or a contribution to the fund at its inception that provided the fund with sufficient capital to invest in accordance with its investment program. At the level of ownership indicated, T. Rowe Price Associates, Inc. may be able to determine the outcome of most issues that were submitted to shareholders for vote.

    PAGE 106


      

    (d)

    The indicated percentage of the outstanding shares of this fund are owned by another T. Rowe Price fund and held in the nominee name indicated. Shares of the fund are “echo-voted” by the T. Rowe Price fund that owns the shares in the same proportion that the shares of the underlying fund are voted by other shareholders.

    (e)

    T. Rowe Price Trust Company is a wholly owned subsidiary of T. Rowe Price Associates, Inc., which is a wholly owned subsidiary of T. Rowe Price Group, Inc., each a Maryland corporation. T. Rowe Price Trust Company is not the beneficial owner of these shares. Such shares are held of record by T. Rowe Price Trust Company and are normally voted by various retirement plans and retirement plan participants.

    (f)

    At the level of ownership indicated, the shareholder may be able to determine the outcome of any matters that are submitted to shareholders for vote.

    (g)

    Security Benefit Life Insurance Company, organized under the laws of Kansas, owns the percentage indicated (in connection with issuing the T. Rowe Price Variable Annuity) of the outstanding shares of the fund. Under current law, the insurance company must vote these shares in accordance with instructions received by underlying contract holders.

    PAGE 107


    INFORMATION ABOUT INDEPENDENT REGISTERED PUBLIC ACCOUNTANTS

    The Joint Audit Committee has selected PricewaterhouseCoopers LLP (“PricewaterhouseCoopers”) as the independent registered public accounting firm for the T. Rowe Price Funds for their current fiscal years, and such selection has also been approved by the Funds’ independent directors. Representatives of PricewaterhouseCoopers are not expected to be present at the Shareholder Meeting or available to make a statement or respond to any shareholders’ questions.

    The following table, entitled “Independent Auditor Fees,” sets forth the amounts accrued by each Fund for audit, audit-related, tax, and all other fees in each of the last two fiscal years. Audit fees are billed for professional services rendered by PricewaterhouseCoopers for the audit of each Fund’s annual financial statements and for services normally provided in connection with statutory and regulatory filings.

    Audit-related fees are billed to the T. Rowe Price Funds for assurance and related services by PricewaterhouseCoopers that are reasonably related to the performance of the audit of each Fund’s financial statements. The nature of services comprising these fees is the issuance of a report on internal controls. Tax fees are billed to the T. Rowe Price Funds for services rendered by PricewaterhouseCoopers for tax compliance, tax advice, and tax planning.

    The nature of services comprising these fees includes the review of distribution calculations and the preparation of federal, state, and excise tax returns. All other fees are billed for all other services rendered to the T. Rowe Price Funds by PricewaterhouseCoopers. The nature of the service comprising these fees is based on agreed-upon procedures relating to advisory contract approvals by the T. Rowe Price Funds’ Boards of Directors. The Joint Audit Committee has considered whether the provisions of the services covered under “Other Fees” is compatible with maintaining the independence of PricewaterhouseCoopers.

    Independent Auditor Fees

             

    Fund

    Audit Fees

    Audit Related Fees

    Tax Fees

    All Other Fees

    Previous Fiscal Year

    Current Fiscal Year

    Previous Fiscal Year

    Current Fiscal Year

    Previous Fiscal Year

    Current Fiscal Year

    Previous Fiscal Year

    Current Fiscal Year

    Africa & Middle East

    $17,778

    $22,311

    $389

    —

    $4,281

    $4,414

    $128

    —

    Asia Opportunities

    5,957

    22,034

    389

    —

    2,097

    4,353

    128

    —

    Balanced

    19,784

    26,283

    232

    —

    4,312

    5,707

    125

    —

    Blue Chip Growth

    54,521

    31,441

    232

    —

    11,331

    6,691

    125

    —

    Blue Chip Growth Portfolio

    15,648

    18,276

    232

    —

    3,494

    3,962

    125

    —

    California Tax-Free Bond

    14,174

    30,479

    75

    —

    3,142

    5,790

    123

    —

    PAGE 106


             

    Fund

    Audit Fees

    Audit Related Fees

    Tax Fees

    All Other Fees

    Previous Fiscal Year

    Current Fiscal Year

    Previous Fiscal Year

    Current Fiscal Year

    Previous Fiscal Year

    Current Fiscal Year

    Previous Fiscal Year

    Current Fiscal Year

    California Tax-Free Money

    12,974

    24,170

    75

    —

    2,892

    4,246

    123

    —

    Capital Appreciation

    47,004

    39,486

    232

    —

    9,792

    8,502

    125

    —

    Capital Opportunity

    19,351

    18,135

    232

    —

    3,429

    3,933

    125

    —

    Cash Reserves

    22,887

    21,274

    389

    —

    4,780

    4,660

    128

    —

    Communications & Technology

    26,282

    32,439

    232

    —

    4,195

    6,533

    125

    —

    Corporate Income

    15,593

    15,969

    848

    —

    3,164

    3,474

    134

    —

    Credit Opportunities

    4,472

    14,732

    848

    —

    1,010

    3,108

    134

    —

    Diversified Mid-Cap Growth

    17,857

    23,954

    232

    —

    3,433

    3,938

    125

    —

    Dividend Growth

    21,383

    20,299

    232

    —

    4,647

    4,377

    125

    —

    Dynamic Global Bond

    31,892

    25,835

    149

    —

    3,756

    5,624

    109

    —

    Emerging Europe

    17,735

    22,400

    389

    —

    4,267

    4,433

    128

    —

    Emerging Markets Bond

    40,792

    34,446

    232

    —

    9,152

    7,488

    125

    —

    Emerging Markets Corporate Bond

    18,137

    25,886

    232

    —

    4,174

    5,636

    125

    —

    Emerging Markets Corporate Multi-Sector Account Portfolio

    17,676

    25,009

    853

    —

    3,880

    5,490

    —

    —

    Emerging Markets Local Currency Bond

    18,808

    26,158

    232

    —

    4,333

    5,695

    125

    —

    Emerging Markets Local Multi-Sector Account Portfolio

    17,676

    25,009

    853

    —

    3,880

    5,490

    —

    —

    Emerging Markets Stock

    59,896

    43,699

    389

    —

    13,419

    9,555

    128

    —

    Emerging Markets Value Stock

    12,121

    18,972

    —

    —

    2,661

    3,682

    60

    —

    Equity Income

    44,514

    27,278

    232

    —

    9,132

    5,846

    125

    —

    Equity Income Portfolio

    15,781

    18,255

    232

    —

    3,510

    3,959

    125

    —

    Equity Index 500

    47,947

    29,015

    232

    —

    9,973

    6,195

    125

    —

    Equity Index 500 Portfolio

    14,677

    17,932

    232

    —

    3,296

    3,890

    125

    —

    European Stock

    24,117

    25,846

    389

    —

    5,636

    5,186

    128

    —

    Extended Equity Market Index

    15,609

    18,233

    232

    —

    3,482

    3,953

    125

    —

    Financial Services

    19,399

    18,158

    232

    —

    3,441

    3,937

    125

    —

    Floating Rate

    13,272

    18,495

    848

    —

    3,126

    3,546

    134

    —

    Floating Rate Multi-Sector Account Portfolio

    27,243

    38,041

    853

    —

    5,980

    8,351

    —

    —

    Georgia Tax-Free Bond

    13,569

    30,379

    75

    —

    3,017

    5,770

    123

    —

    Global Allocation

    13,647

    9,548

    389

    —

    2,926

    2,024

    128

    —

    Global Consumer

    11,542

    20,869

    —

    —

    2,534

    4,535

    79

    —

    Global Growth Stock

    17,519

    22,218

    389

    —

    4,227

    4,394

    128

    —

    PAGE 109


             

    Fund

    Audit Fees

    Audit Related Fees

    Tax Fees

    All Other Fees

    Previous Fiscal Year

    Current Fiscal Year

    Previous Fiscal Year

    Current Fiscal Year

    Previous Fiscal Year

    Current Fiscal Year

    Previous Fiscal Year

    Current Fiscal Year

    Global High Income Bond

    31,854

    25,823

    149

    —

    3,754

    5,622

    109

    —

    Global Industrials

    12,137

    24,939

    232

    —

    2,868

    4,419

    125

    —

    Global Multi-Sector Bond

    14,730

    20,872

    848

    —

    3,001

    4,552

    134

    —

    Global Real Estate

    22,924

    20,765

    232

    —

    4,357

    4,511

    125

    —

    Global Stock

    19,625

    23,407

    389

    —

    4,683

    4,652

    128

    —

    Global Technology

    27,064

    31,340

    232

    —

    3,988

    6,464

    125

    —

    GNMA

    15,630

    17,531

    848

    —

    3,559

    3,816

    134

    —

    Government Money

    27,408

    31,925

    848

    —

    5,771

    6,958

    134

    —

    Government Money Portfolio

    13,021

    18,132

    232

    —

    2,873

    3,934

    125

    —

    Growth & Income

    20,700

    18,607

    232

    —

    3,701

    4,031

    125

    —

    Growth Stock

    72,273

    37,589

    232

    —

    14,812

    7,815

    125

    —

    Health Sciences

    37,199

    34,429

    232

    —

    6,915

    7,291

    125

    —

    Health Sciences Portfolio

    18,132

    29,576

    232

    —

    3,488

    6,269

    125

    —

    High Yield

    38,773

    35,787

    848

    —

    7,519

    7,807

    134

    —

    High Yield Multi-Sector Account Portfolio

    17,676

    25,009

    853

    —

    3,880

    5,490

    —

    —

    Inflation Protected Bond

    14,861

    14,913

    848

    —

    3,024

    3,243

    134

    —

    Institutional Africa & Middle East

    17,920

    20,190

    389

    —

    4,312

    4,431

    128

    —

    Institutional Cash Reserves

    —

    7,505

    —

    —

    —

    702

    —

    —

    Institutional Core Plus

    13,340

    15,149

    848

    —

    3,137

    3,295

    134

    —

    Institutional Credit Opportunities

    4,464

    12,475

    848

    —

    1,008

    3,096

    134

    —

    Institutional Emerging Markets Bond

    19,134

    26,274

    232

    —

    4,402

    5,720

    125

    —

    Institutional Emerging Markets Equity

    21,668

    22,399

    389

    —

    5,119

    4,911

    128

    —

    Institutional Floating Rate

    20,230

    22,884

    848

    —

    4,420

    4,986

    134

    —

    Institutional Frontier Markets Equity

    19,536

    19,882

    (878)(a)

    —

    4,288

    4,364

    60

    —

    Institutional Global Focused Growth Equity

    17,525

    20,019

    389

    —

    4,229

    4,394

    128

    —

    Institutional Global Growth Equity

    18,666

    20,673

    389

    —

    4,479

    4,536

    128

    —

    Institutional Global Multi-Sector Bond

    11,824

    792

    848

    —

    3,072

    (1,430)(a)

    134

    —

    Institutional Global Value Equity

    17,090

    19,785

    389

    —

    4,134

    4,343

    128

    —

    Institutional High Yield

    17,079

    18,448

    848

    —

    3,815

    4,017

    134

    —

    Institutional International Bond

    19,465

    26,422

    232

    —

    4,474

    5,753

    125

    —

    PAGE 110


             

    Fund

    Audit Fees

    Audit Related Fees

    Tax Fees

    All Other Fees

    Previous Fiscal Year

    Current Fiscal Year

    Previous Fiscal Year

    Current Fiscal Year

    Previous Fiscal Year

    Current Fiscal Year

    Previous Fiscal Year

    Current Fiscal Year

    Institutional International Concentrated Equity

    18,328

    20,439

    389

    —

    4,406

    4,485

    128

    —

    Institutional International Core Equity

    17,796

    20,097

    389

    —

    4,290

    4,411

    128

    —

    Institutional International Growth Equity

    17,342

    19,904

    389

    —

    4,188

    4,369

    128

    —

    Institutional Large-Cap Core Growth

    17,392

    18,861

    232

    —

    3,850

    4,082

    125

    —

    Institutional Large-Cap Growth

    31,636

    23,934

    232

    —

    6,712

    5,061

    125

    —

    Institutional Large-Cap Value

    18,030

    19,087

    232

    —

    3,974

    4,129

    125

    —

    Institutional Long Duration Credit

    8,158

    1,915

    848

    —

    1,982

    153

    134

    —

    Institutional Mid-Cap Equity Growth

    23,994

    20,997

    232

    —

    4,665

    4,362

    125

    —

    Institutional Small-Cap Stock

    20,204

    20,166

    232

    —

    3,908

    4,104

    125

    —

    Institutional U.S. Structured Research

    15,567

    18,193

    232

    —

    3,473

    3,945

    125

    —

    Intermediate Tax-Free High Yield

    13,452

    27,967

    —

    —

    2,953

    5,746

    99

    —

    International Bond

    43,848

    35,700

    232

    —

    9,821

    7,769

    125

    —

    International Bond (USD Hedged)

    —

    1,463

    —

    —

    —

    321

    —

    —

    International Concentrated Equity

    19,456

    22,001

    (878)(a)

    —

    4,271

    4,346

    60

    —

    International Discovery

    40,765

    32,333

    389

    —

    8,809

    7,071

    128

    —

    International Equity Index

    19,525

    21,128

    389

    —

    4,659

    4,635

    128

    —

    International Stock

    89,492

    59,693

    389

    —

    19,847

    13,035

    128

    —

    International Stock Portfolio

    19,277

    20,884

    232

    —

    4,433

    4,537

    125

    —

    International Value Equity

    76,558

    52,364

    389

    —

    17,064

    11,437

    128

    —

    Investment-Grade Corporate Multi-Sector Account Portfolio

    27,243

    38,041

    853

    —

    5,980

    8,351

    —

    —

    Japan

    18,735

    22,974

    389

    —

    4,490

    4,557

    128

    —

    Latin America

    19,376

    23,452

    389

    —

    4,607

    4,662

    128

    —

    Limited Duration Inflation Focused Bond

    32,719

    30,043

    848

    —

    6,422

    6,553

    134

    —

    Limited-Term Bond Portfolio

    13,954

    24,269

    232

    —

    3,065

    5,280

    125

    —

    Maryland Short-Term Tax-Free Bond

    13,327

    30,332

    75

    —

    2,965

    5,760

    123

    —

    PAGE 111


             

    Fund

    Audit Fees

    Audit Related Fees

    Tax Fees

    All Other Fees

    Previous Fiscal Year

    Current Fiscal Year

    Previous Fiscal Year

    Current Fiscal Year

    Previous Fiscal Year

    Current Fiscal Year

    Previous Fiscal Year

    Current Fiscal Year

    Maryland Tax-Free Bond

    18,153

    31,155

    75

    —

    3,962

    5,932

    123

    —

    Maryland Tax-Free Money

    13,137

    24,196

    75

    —

    2,926

    4,251

    123

    —

    Mid-Cap Growth

    49,374

    29,275

    232

    —

    9,725

    6,088

    125

    —

    Mid-Cap Growth Portfolio

    17,691

    18,892

    232

    —

    3,397

    3,925

    125

    —

    Mid-Cap Index

    12,617

    13,556

    —

    —

    1,948

    3,670

    79

    —

    Mid-Cap Value

    29,768

    23,015

    232

    —

    6,298

    4,950

    125

    —

    Mortgage-Backed Securities Multi-Sector Account Portfolio

    17,676

    25,009

    853

    —

    3,880

    5,490

    —

    —

    New America Growth

    19,888

    19,976

    232

    —

    4,331

    4,235

    125

    —

    New America Growth Portfolio

    14,880

    18,396

    232

    —

    3,337

    3,905

    125

    —

    New Asia

    35,122

    26,578

    389

    —

    7,574

    5,822

    128

    —

    New Era

    18,560

    19,320

    232

    —

    4,049

    4,180

    125

    —

    New Horizons

    40,019

    41,188

    232

    —

    14,597

    6,104

    125

    —

    New Income

    84,502

    80,064

    848

    —

    16,215

    17,480

    134

    —

    New Jersey Tax-Free Bond

    13,734

    30,403

    75

    —

    3,050

    5,775

    123

    —

    New York Tax-Free Bond

    13,959

    30,443

    75

    —

    3,096

    5,783

    123

    —

    New York Tax-Free Money

    12,993

    24,173

    75

    —

    2,896

    4,246

    123

    —

    Overseas Stock

    74,546

    52,332

    389

    —

    16,634

    11,424

    128

    —

    Personal Strategy Balanced

    17,754

    17,894

    848

    —

    3,756

    3,864

    134

    —

    Personal Strategy Balanced Portfolio

    17,381

    19,186

    232

    —

    3,335

    3,903

    125

    —

    Personal Strategy Growth

    17,346

    17,435

    848

    —

    3,677

    3,767

    134

    —

    Personal Strategy Income

    17,136

    17,906

    848

    —

    3,634

    3,871

    134

    —

    QM Global Equity

    12,104

    20,325

    —

    —

    2,657

    4,416

    79

    —

    QM U.S. Small & Mid-Cap Core Equity

    10,392

    17,546

    —

    —

    2,281

    3,806

    79

    —

    QM U.S. Small-Cap Growth Equity

    19,697

    21,241

    232

    —

    3,900

    4,116

    125

    —

    QM U.S. Value Equity

    10,392

    17,545

    —

    —

    2,281

    3,805

    79

    —

    Real Assets

    20,213

    19,714

    232

    —

    4,398

    4,267

    125

    —

    Real Estate

    22,029

    20,529

    232

    —

    4,778

    4,434

    125

    —

    Retirement 2005

    5,929

    10,568

    848

    —

    1,566

    2,268

    134

    —

    Retirement 2010

    8,688

    14,678

    848

    —

    2,107

    3,122

    134

    —

    Retirement 2015

    11,166

    18,570

    848

    —

    2,597

    3,938

    134

    —

    Retirement 2020

    21,149

    34,537

    848

    —

    4,568

    7,288

    134

    —

    Retirement 2025

    16,692

    28,328

    848

    —

    3,693

    6,000

    134

    —

    Retirement 2030

    20,795

    34,413

    848

    —

    4,501

    7,270

    134

    —

    Retirement 2035

    13,675

    23,228

    848

    —

    3,098

    4,930

    134

    —

    Retirement 2040

    15,999

    26,526

    848

    —

    3,555

    5,618

    134

    —

    Retirement 2045

    10,000

    17,316

    848

    —

    2,372

    3,690

    134

    —

    PAGE 112


             

    Fund

    Audit Fees

    Audit Related Fees

    Tax Fees

    All Other Fees

    Previous Fiscal Year

    Current Fiscal Year

    Previous Fiscal Year

    Current Fiscal Year

    Previous Fiscal Year

    Current Fiscal Year

    Previous Fiscal Year

    Current Fiscal Year

    Retirement 2050

    8,794

    15,529

    848

    —

    2,134

    3,316

    134

    —

    Retirement 2055

    6,173

    11,281

    848

    —

    1,616

    2,423

    134

    —

    Retirement 2060

    4,619

    5,926

    229

    —

    1,014

    1,034

    33

    —

    Retirement Balanced

    6,971

    11,804

    848

    —

    1,770

    2,521

    134

    —

    Retirement I 2005 Fund—I Class

    5,200

    3,808

    70

    —

    1,141

    836

    10

    —

    Retirement I 2010 Fund—I Class

    5,200

    3,884

    70

    —

    1,141

    852

    10

    —

    Retirement I 2015 Fund—I Class

    5,200

    3,933

    70

    —

    1,141

    864

    10

    —

    Retirement I 2020 Fund—I Class

    5,200

    4,357

    70

    —

    1,141

    956

    10

    —

    Retirement I 2025 Fund—I Class

    5,200

    4,200

    70

    —

    1,141

    922

    10

    —

    Retirement I 2030 Fund—I Class

    5,200

    4,408

    70

    —

    1,141

    968

    10

    —

    Retirement I 2035 Fund—I Class

    5,200

    4,085

    70

    —

    1,141

    897

    10

    —

    Retirement I 2040 Fund—I Class

    5,200

    4,230

    70

    —

    1,141

    929

    10

    —

    Retirement I 2045 Fund—I Class

    5,200

    3,982

    70

    —

    1,141

    874

    10

    —

    Retirement I 2050 Fund—I Class

    5,200

    3,974

    70

    —

    1,141

    873

    10

    —

    Retirement I 2055 Fund—I Class

    5,200

    3,836

    70

    —

    1,141

    842

    10

    —

    Retirement I 2060 Fund—I Class

    5,200

    3,796

    70

    —

    1,141

    833

    10

    —

    Retirement Balanced I Fund—I Class

    5,200

    3,829

    70

    —

    1,141

    841

    10

    —

    Retirement Income 2020

    —

    7,267

    —

    —

    —

    1,595

    —

    —

    Science & Technology

    26,385

    31,204

    232

    —

    4,209

    6,522

    125

    —

    Short-Term Bond

    28,453

    25,942

    848

    —

    5,565

    5,655

    134

    —

    Short-Term

    14,704

    4,842

    848

    —

    3,371

    1,480

    134

    —

    Small-Cap Index

    12,617

    13,556

    —

    —

    1,948

    3,670

    79

    —

    Small-Cap Stock

    28,522

    22,902

    232

    —

    5,537

    4,679

    125

    —

    Small-Cap Value

    24,564

    32,180

    232

    —

    12,485

    5,389

    125

    —

    Spectrum Growth

    10,215

    12,104

    232

    —

    2,192

    2,596

    125

    —

    Spectrum Income

    12,663

    13,091

    232

    —

    2,676

    2,800

    125

    —

    Spectrum International

    7,972

    11,279

    232

    —

    1,754

    2,425

    125

    —

    Summit Municipal Income

    15,230

    22,659

    389

    —

    3,416

    4,969

    128

    —

    Summit Municipal Intermediate

    22,801

    26,035

    389

    —

    4,856

    5,696

    128

    —

    Summit Municipal Money Market

    12,932

    16,534

    389

    —

    2,972

    3,629

    128

    —

    Target 2005

    11,674

    (888)(a)

    848

    —

    1,930

    —

    134

    —

    Target 2010

    11,684

    (879)(a)

    848

    —

    1,932

    —

    134

    —

    Target 2015

    11,719

    (848)(a)

    848

    —

    1,938

    —

    134

    —

    Target 2020

    11,731

    (834)(a)

    848

    —

    1,940

    —

    134

    —

    PAGE 113


             

    Fund

    Audit Fees

    Audit Related Fees

    Tax Fees

    All Other Fees

    Previous Fiscal Year

    Current Fiscal Year

    Previous Fiscal Year

    Current Fiscal Year

    Previous Fiscal Year

    Current Fiscal Year

    Previous Fiscal Year

    Current Fiscal Year

    Target 2025

    11,713

    (847)(a)

    848

    —

    1,937

    —

    134

    —

    Target 2030

    11,717

    (846)(a)

    848

    —

    1,938

    —

    134

    —

    Target 2035

    11,693

    (867)(a)

    848

    —

    1,933

    —

    134

    —

    Target 2040

    11,688

    (872)(a)

    848

    —

    1,932

    —

    134

    —

    Target 2045

    11,683

    (880)(a)

    848

    —

    1,931

    —

    134

    —

    Target 2050

    11,675

    (887)(a)

    848

    —

    1,930

    —

    134

    —

    Target 2055

    11,673

    (891)(a)

    848

    —

    1,929

    —

    134

    —

    Target 2060

    8,617

    3,934

    229

    —

    970

    1,059

    33

    —

    Tax-Efficient Equity

    14,922

    33,847

    75

    —

    3,349

    7,058

    123

    —

    Tax-Exempt Money

    14,604

    22,114

    75

    —

    3,221

    4,298

    123

    —

    Tax-Free High Yield

    27,008

    27,421

    75

    —

    4,982

    6,111

    123

    —

    Tax-Free Income

    19,227

    29,032

    75

    —

    4,180

    5,969

    123

    —

    Tax-Free Short-Intermediate

    21,956

    26,504

    75

    —

    3,917

    5,922

    123

    —

    Total Equity Market Index

    16,263

    18,466

    232

    —

    3,615

    4,001

    125

    —

    Total Return

    —

    6,521

    —

    —

    —

    603

    —

    —

    Treasury Reserve

    72,008

    86,663

    1,696

    —

    14,747

    18,890

    268

    —

    U.S. Bond Enhanced Index

    13,982

    22,076

    389

    —

    3,172

    4,843

    128

    —

    U.S. High Yield

    —

    18,596

    —

    —

    —

    206

    —

    —

    U.S. Large-Cap Core

    18,943

    18,045

    232

    —

    3,352

    3,913

    125

    —

    U.S. Treasury Intermediate

    12,863

    15,086

    848

    —

    3,045

    3,281

    134

    —

    U.S. Treasury Long-Term

    12,634

    15,039

    848

    —

    3,000

    3,270

    134

    —

    U.S. Treasury Money

    16,838

    20,534

    848

    —

    3,792

    4,472

    134

    —

    Ultra Short-Term Bond

    13,152

    1,970

    848

    —

    3,096

    —

    134

    —

    Value

    43,707

    27,536

    232

    —

    9,105

    5,895

    125

    —

    Virginia Tax-Free Bond

    15,660

    30,737

    75

    —

    3,450

    5,845

    123

    —

    (a) Amount shown is negative due to a correction in fees accrued versus fees actually paid by the fund.

    PAGE 114


    Exhibit 1

    T. ROWE PRICE FUNDS

    (each a “fund” and collectively, the “funds” or “Price Funds”)

       

    Funds

    Ticker

    Fiscal
    Year

    T. ROWE PRICE BALANCED FUND, INC.

      

    T. Rowe Price Balanced Fund

    RPBAX

    12/31

    T. Rowe Price Balanced Fund—I Class

    RBAIX

    12/31

    T. ROWE PRICE BLUE CHIP GROWTH FUND, INC.

      

    T. Rowe Price Blue Chip Growth Fund

    TRBCX

    12/31

    T. Rowe Price Blue Chip Growth Fund—Advisor Class

    PABGX

    12/31

    T. Rowe Price Blue Chip Growth Fund—I Class

    TBCIX

    12/31

    T. Rowe Price Blue Chip Growth Fund—R Class

    RRBGX

    12/31

    T. ROWE PRICE CAPITAL APPRECIATION FUND, INC.

      

    T. Rowe Price Capital Appreciation Fund

    PRWCX

    12/31

    T. Rowe Price Capital Appreciation Fund—Advisor Class

    PACLX

    12/31

    T. Rowe Price Capital Appreciation Fund—I Class

    TRAIX

    12/31

    T. ROWE PRICE CAPITAL APPRECIATION & INCOME FUND, INC.

      

    T. Rowe Price Capital Appreciation & Income Fund

    TCAPX

    12/31

    T. Rowe Price Capital Appreciation & Income Fund—Advisor Class

    TCAMX

    12/31

    T. Rowe Price Capital Appreciation & Income Fund—I Class

    TCIFX

    12/31

    T. ROWE PRICE CAPITAL OPPORTUNITY FUND, INC.

      

    T. Rowe Price Capital Opportunity Fund

    PRCOX

    12/31

    T. Rowe Price Capital Opportunity Fund—Advisor Class

    PACOX

    12/31

    T. Rowe Price Capital Opportunity Fund—I Class

    PCCOX

    12/31

    T. Rowe Price Capital Opportunity Fund—R Class

    RRCOX

    12/31

    T. ROWE PRICE COMMUNICATIONS & TECHNOLOGY FUND, INC.

      

    T. Rowe Price Communications & Technology Fund

    PRMTX

    12/31

    T. Rowe Price Communications & Technology Fund—I Class

    TTMIX

    12/31

    T. ROWE PRICE CORPORATE INCOME FUND, INC.

      

    T. Rowe Price Corporate Income Fund

    PRPIX

    5/31

    T. Rowe Price Corporate Income Fund—I Class

    TICCX

    5/31

    T. ROWE PRICE CREDIT OPPORTUNITIES FUND, INC.

      

    T. Rowe Price Credit Opportunities Fund

    PRCPX

    5/31

    T. Rowe Price Credit Opportunities Fund—Advisor Class

    PAOPX

    5/31

    T. Rowe Price Credit Opportunities Fund—I Class

    TCRRX

    5/31

    T. ROWE PRICE DIVERSIFIED MID-CAP GROWTH FUND, INC.

      

    T. Rowe Price Diversified Mid-Cap Growth Fund

    PRDMX

    12/31

    T. Rowe Price Diversified Mid-Cap Growth Fund—I Class

    RPTTX

    12/31

    T. ROWE PRICE DIVIDEND GROWTH FUND, INC.

      

    T. Rowe Price Dividend Growth Fund

    PRDGX

    12/31

    T. Rowe Price Dividend Growth Fund—Advisor Class

    TADGX

    12/31

    T. Rowe Price Dividend Growth Fund—I Class

    PDGIX

    12/31

    T. ROWE PRICE EQUITY INCOME FUND, INC.

      

    T. Rowe Price Equity Income Fund

    PRFDX

    12/31

    T. Rowe Price Equity Income Fund—Advisor Class

    PAFDX

    12/31

    T. Rowe Price Equity Income Fund—I Class

    REIPX

    12/31

    T. Rowe Price Equity Income Fund—R Class

    RRFDX

    12/31

    T. ROWE PRICE EQUITY SERIES, INC.

     

    12/31

    T. Rowe Price Blue Chip Growth Portfolio

     

    12/31

    T. Rowe Price Blue Chip Growth Portfolio—II

     

    12/31

    T. Rowe Price Equity Income Portfolio

     

    12/31

    T. Rowe Price Equity Income Portfolio—II

     

    12/31

    T. Rowe Price Equity Index 500 Portfolio

     

    12/31

    T. Rowe Price Health Sciences Portfolio

     

    12/31

    T. Rowe Price Health Sciences Portfolio—II

     

    12/31

    PAGE 113


       

    Funds

    Ticker

    Fiscal
    Year

    T. Rowe Price Mid-Cap Growth Portfolio

     

    12/31

    T. Rowe Price Mid-Cap Growth Portfolio—II

     

    12/31

    T. Rowe Price New America Growth Portfolio

     

    12/31

    T. Rowe Price Personal Strategy Balanced Portfolio

     

    12/31

    T. ROWE PRICE FINANCIAL SERVICES FUND, INC.

      

    T. Rowe Price Financial Services Fund

    PRISX

    12/31

    T. Rowe Price Financial Services Fund—I Class

    TFIFX

    12/31

    T. ROWE PRICE FIXED INCOME SERIES, INC.

     

     

    T. Rowe Price Limited-Term Bond Portfolio

     

    12/31

    T. Rowe Price Limited-Term Bond Portfolio—II

     

    12/31

    T. Rowe Price Government Money Portfolio

     

    12/31

    T. ROWE PRICE FLOATING RATE FUND, INC.

      

    T. Rowe Price Floating Rate Fund

    PRFRX

    5/31

    T. Rowe Price Floating Rate Fund—Advisor Class

    PAFRX

    5/31

    T. Rowe Price Floating Rate Fund—I Class

    TFAIX

    5/31

    T. ROWE PRICE GLOBAL ALLOCATION FUND, INC.

      

    T. Rowe Price Global Allocation Fund

    RPGAX

    10/31

    T. Rowe Price Global Allocation Fund—Advisor Class

    PAFGX

    10/31

    T. Rowe Price Global Allocation Fund—I Class

    TGAFX

    10/31

    T. ROWE PRICE GLOBAL MULTI-SECTOR BOND FUND, INC.

      

    T. Rowe Price Global Multi-Sector Bond Fund

    PRSNX

    5/31

    T. Rowe Price Global Multi-Sector Bond Fund—Advisor Class

    PRSAX

    5/31

    T. Rowe Price Global Multi-Sector Bond Fund—I Class

    PGMSX

    5/31

    T. ROWE PRICE GLOBAL REAL ESTATE FUND, INC.

      

    T. Rowe Price Global Real Estate Fund

    TRGRX

    12/31

    T. Rowe Price Global Real Estate Fund—Advisor Class

    PAGEX

    12/31

    T. Rowe Price Global Real Estate Fund—I Class

    TIRGX

    12/31

    T. ROWE PRICE GLOBAL TECHNOLOGY FUND, INC.

      

    T. Rowe Price Global Technology Fund

    PRGTX

    12/31

    T. Rowe Price Global Technology Fund—I Class

    PGTIX

    12/31

    T. ROWE PRICE GNMA FUND, INC.

      

    T. Rowe Price GNMA Fund

    PRGMX

    5/31

    T. Rowe Price GNMA Fund—I Class

    PRXAX

    5/31

    T. ROWE PRICE GOVERNMENT MONEY FUND, INC.

      

    T. Rowe Price Government Money Fund

    PRRXX

    5/31

    T. Rowe Price Government Money Fund—I Class

    TTGXX

    5/31

    T. ROWE PRICE GROWTH & INCOME FUND, INC.

      

    T. Rowe Price Growth & Income Fund

    PRGIX

    12/31

    T. Rowe Price Growth & Income Fund—I Class

    TGTIX

    12/31

    T. ROWE PRICE GROWTH STOCK FUND, INC.

      

    T. Rowe Price Growth Stock Fund

    PRGFX

    12/31

    T. Rowe Price Growth Stock Fund—Advisor Class

    TRSAX

    12/31

    T. Rowe Price Growth Stock Fund—I Class

    PRUFX

    12/31

    T. Rowe Price Growth Stock Fund—R Class

    RRGSX

    12/31

    T. ROWE PRICE HEALTH SCIENCES FUND, INC.

      

    T. Rowe Price Health Sciences Fund

    PRHSX

    12/31

    T. Rowe Price Health Sciences Fund—I Class

    THISX

    12/31

    T. ROWE PRICE HIGH YIELD FUND, INC.

      

    T. Rowe Price High Yield Fund

    PRHYX

    5/31

    T. Rowe Price High Yield Fund—Advisor Class

    PAHIX

    5/31

    T. Rowe Price High Yield Fund—I Class

    PRHIX

    5/31

    T. Rowe Price U.S. High Yield Fund

    TUHYX

    5/31

    T. Rowe Price U.S. High Yield Fund—Advisor Class

    TUHAX

    5/31

    T. Rowe Price U.S. High Yield Fund—I Class

    TUHIX

    5/31

    T. ROWE PRICE INDEX TRUST, INC.

     

     

    T. Rowe Price Equity Index 500 Fund

    PREIX

    12/31

    T. Rowe Price Equity Index 500 Fund—I Class

    PRUIX

    12/31

    PAGE 116


       

    Funds

    Ticker

    Fiscal
    Year

    T. Rowe Price Extended Equity Market Index Fund

    PEXMX

    12/31

    T. Rowe Price Mid-Cap Index Fund

     

    12/31

    T. Rowe Price Mid-Cap Index Fund—I Class

     

    12/31

    T. Rowe Price Small-Cap Index Fund

     

    12/31

    T. Rowe Price Small-Cap Index Fund—I Class

     

    12/31

    T. Rowe Price Total Equity Market Index Fund

    POMIX

    12/31

    T. ROWE PRICE INFLATION PROTECTED BOND FUND, INC.

      

    T. Rowe Price Inflation Protected Bond Fund

    PRIPX

    5/31

    T. Rowe Price Inflation Protected Bond Fund—I Class

    TIIPX

    5/31

    T. ROWE PRICE INSTITUTIONAL EQUITY FUNDS, INC.

     

     

    T. Rowe Price Institutional Large-Cap Core Growth Fund

    TPLGX

    12/31

    T. Rowe Price Institutional Large-Cap Growth Fund

    TRLGX

    12/31

    T. Rowe Price Institutional Large-Cap Value Fund

    TILCX

    12/31

    T. Rowe Price Institutional Mid-Cap Equity Growth Fund

    PMEGX

    12/31

    T. Rowe Price Institutional Small-Cap Stock Fund

    TRSSX

    12/31

    T. Rowe Price Institutional U.S. Structured Research Fund

    TRISX

    12/31

    T. ROWE PRICE INSTITUTIONAL INCOME FUNDS, INC.

     

     

    T. Rowe Price Institutional Cash Reserves Fund

    ICFXX

    5/31

    T. Rowe Price Institutional Core Plus Fund

    TICPX

    5/31

    T. Rowe Price Institutional Credit Opportunities Fund

    TRXPX

    5/31

    T. Rowe Price Institutional Floating Rate Fund

    RPIFX

    5/31

    T. Rowe Price Institutional Floating Rate Fund—F Class

    PFFRX

    5/31

    T. Rowe Price Institutional Global Multi-Sector Bond Fund

    RPGMX

    5/31

    T. Rowe Price Institutional High Yield Fund

    TRHYX

    5/31

    T. Rowe Price Institutional Long Duration Credit Fund

    RPLCX

    5/31

    T. ROWE PRICE INSTITUTIONAL INTERNATIONAL FUNDS, INC.

     

     

    T. Rowe Price Institutional Africa & Middle East Fund

    TRIAX

    10/31

    T. Rowe Price Institutional Emerging Markets Bond Fund

    TREBX

    12/31

    T. Rowe Price Institutional Emerging Markets Equity Fund

    IEMFX

    10/31

    T. Rowe Price Institutional Frontier Markets Equity Fund

    PRFFX

    10/31

    T. Rowe Price Institutional Global Focused Growth Equity Fund

    TRGSX

    10/31

    T. Rowe Price Institutional Global Growth Equity Fund

    RPIGX

    10/31

    T. Rowe Price Institutional Global Value Equity Fund

    PRIGX

    10/31

    T. Rowe Price Institutional International Bond Fund

    RPIIX

    12/31

    T. Rowe Price Institutional International Concentrated Equity Fund

    RPICX

    10/31

    T. Rowe Price Institutional International Core Equity Fund

    TRCEX

    10/31

    T. Rowe Price Institutional International Growth Equity Fund

    PRFEX

    10/31

    T. ROWE PRICE INTERMEDIATE TAX-FREE HIGH YIELD FUND, INC.

      

    T. Rowe Price Intermediate Tax-Free High Yield Fund

    PRIHX

    2/28

    T. Rowe Price Intermediate Tax-Free High Yield Fund—Advisor Class

    PRAHX

    2/28

    T. Rowe Price Intermediate Tax-Free High Yield Fund—I Class

    TFHAX

    2/28

    T. ROWE PRICE INTERNATIONAL FUNDS, INC.

     

     

    T. Rowe Price Africa & Middle East Fund

    TRAMX

    10/31

    T. Rowe Price Africa & Middle East Fund—I Class

    PRAMX

    10/31

    T. Rowe Price Asia Opportunities Fund

    TRAOX

    10/31

    T. Rowe Price Asia Opportunities Fund—Advisor Class

    PAAOX

    10/31

    T. Rowe Price Asia Opportunities Fund—I Class

    TRASX

    10/31

    T. Rowe Price Dynamic Global Bond Fund

    RPIEX

    12/31

    T. Rowe Price Dynamic Global Bond Fund—Advisor Class

    PAIEX

    12/31

    T. Rowe Price Dynamic Global Bond Fund—I Class

    RPEIX

    12/31

    T. Rowe Price Emerging Europe Fund

    TREMX

    10/31

    T. Rowe Price Emerging Europe Fund—I Class

    TTEEX

    10/31

    T. Rowe Price Emerging Markets Bond Fund

    PREMX

    12/31

    T. Rowe Price Emerging Markets Bond Fund—Advisor Class

    PAIKX

    12/31

    T. Rowe Price Emerging Markets Bond Fund—I Class

    PRXIX

    12/31

    T. Rowe Price Emerging Markets Corporate Bond Fund

    TRECX

    12/31

    T. Rowe Price Emerging Markets Corporate Bond Fund—Advisor Class

    PACEX

    12/31

    PAGE 117


       

    Funds

    Ticker

    Fiscal
    Year

    T. Rowe Price Emerging Markets Corporate Bond Fund—I Class

    TECIX

    12/31

    T. Rowe Price Emerging Markets Local Currency Bond Fund

    PRELX

    12/31

    T. Rowe Price Emerging Markets Local Currency Bond Fund—Advisor Class

    PAELX

    12/31

    T. Rowe Price Emerging Markets Local Currency Bond Fund—I Class

    TEIMX

    12/31

    T. Rowe Price Emerging Markets Stock Fund

    PRMSX

    10/31

    T. Rowe Price Emerging Markets Stock Fund—I Class

    PRZIX

    10/31

    T. Rowe Price Emerging Markets Value Stock Fund

    PRIJX

    10/31

    T. Rowe Price Emerging Markets Value Stock Fund—Advisor Class

    PAIJX

    10/31

    T. Rowe Price Emerging Markets Value Stock Fund—I Class

    REVIX

    10/31

    T. Rowe Price European Stock Fund

    PRESX

    10/31

    T. Rowe Price European Stock Fund—I Class

    TEUIX

    10/31

    T. Rowe Price Global Consumer Fund

    PGLOX

    12/31

    T. Rowe Price Global Growth Stock Fund

    RPGEX

    10/31

    T. Rowe Price Global Growth Stock Fund—Advisor Class

    PAGLX

    10/31

    T. Rowe Price Global Growth Stock Fund—I Class

    RGGIX

    10/31

    T. Rowe Price Global High Income Bond Fund

    RPIHX

    12/31

    T. Rowe Price Global High Income Bond Fund—Advisor Class

    PAIHX

    12/31

    T. Rowe Price Global High Income Bond Fund—I Class

    RPOIX

    12/31

    T. Rowe Price Global Industrials Fund

    RPGIX

    12/31

    T. Rowe Price Global Industrials Fund—I Class

    TRGAX

    12/31

    T. Rowe Price Global Stock Fund

    PRGSX

    10/31

    T. Rowe Price Global Stock Fund—Advisor Class

    PAGSX

    10/31

    T. Rowe Price Global Stock Fund—I Class

    TRGLX

    10/31

    T. Rowe Price International Bond Fund

    RPIBX

    12/31

    T. Rowe Price International Bond Fund—Advisor Class

    PAIBX

    12/31

    T. Rowe Price International Bond Fund—I Class

    RPISX

    12/31

    T. Rowe Price International Bond Fund (USD Hedged)

    TNIBX

    12/31

    T. Rowe Price International Bond Fund (USD Hedged)—Advisor Class

    TTABX

    12/31

    T. Rowe Price International Bond Fund (USD Hedged)—I Class

    TNBMX

    12/31

    T. Rowe Price International Concentrated Equity Fund

    PRCNX

    10/31

    T. Rowe Price International Concentrated Equity Fund—Advisor Class

    PRNCX

    10/31

    T. Rowe Price International Concentrated Equity Fund—I Class

    RICIX

    10/31

    T. Rowe Price International Discovery Fund

    PRIDX

    10/31

    T. Rowe Price International Discovery Fund—I Class

    TIDDX

    10/31

    T. Rowe Price International Stock Fund

    PRITX

    10/31

    T. Rowe Price International Stock Fund—Advisor Class

    PAITX

    10/31

    T. Rowe Price International Stock Fund—I Class

    PRIUX

    10/31

    T. Rowe Price International Stock Fund—R Class

    RRITX

    10/31

    T. Rowe Price International Value Equity Fund

    TRIGX

    10/31

    T. Rowe Price International Value Equity Fund—Advisor Class

    PAIGX

    10/31

    T. Rowe Price International Value Equity Fund—I Class

    TRTIX

    10/31

    T. Rowe Price International Value Equity Fund—R Class

    RRIGX

    10/31

    T. Rowe Price Japan Fund

    PRJPX

    10/31

    T. Rowe Price Japan Fund—I Class

    RJAIX

    10/31

    T. Rowe Price Latin America Fund

    PRLAX

    10/31

    T. Rowe Price Latin America Fund—I Class

    RLAIX

    10/31

    T. Rowe Price New Asia Fund

    PRASX

    10/31

    T. Rowe Price New Asia Fund —I Class

    PNSIX

    10/31

    T. Rowe Price Overseas Stock Fund

    TROSX

    10/31

    T. Rowe Price Overseas Stock Fund—Advisor Class

    PAEIX

    10/31

    T. Rowe Price Overseas Stock Fund—I Class

    TROIX

    10/31

    T. ROWE PRICE INTERNATIONAL INDEX FUND, INC.

     

     

    T. Rowe Price International Equity Index Fund

    PIEQX

    10/31

    T. ROWE PRICE INTERNATIONAL SERIES, INC.

     

     

    T. Rowe Price International Stock Portfolio

     

    12/31

    PAGE 118


       

    Funds

    Ticker

    Fiscal
    Year

    T. ROWE PRICE LIMITED DURATION INFLATION FOCUSED BOND FUND, INC.

      

    T. Rowe Price Limited Duration Inflation Focused Bond Fund

    TRBFX

    5/31

    T. Rowe Price Limited Duration Inflation Focused Bond Fund—I Class

    TRLDX

    5/31

    T. ROWE PRICE MID-CAP GROWTH FUND, INC.

      

    T. Rowe Price Mid-Cap Growth Fund

    RPMGX

    12/31

    T. Rowe Price Mid-Cap Growth Fund—Advisor Class

    PAMCX

    12/31

    T. Rowe Price Mid-Cap Growth Fund—I Class

    RPTIX

    12/31

    T. Rowe Price Mid-Cap Growth Fund—R Class

    RRMGX

    12/31

    T. ROWE PRICE MID-CAP VALUE FUND, INC.

      

    T. Rowe Price Mid-Cap Value Fund

    TRMCX

    12/31

    T. Rowe Price Mid-Cap Value Fund—Advisor Class

    TAMVX

    12/31

    T. Rowe Price Mid-Cap Value Fund—I Class

    TRMIX

    12/31

    T. Rowe Price Mid-Cap Value Fund—R Class

    RRMVX

    12/31

    T. ROWE PRICE MULTI-SECTOR ACCOUNT PORTFOLIOS, INC.

     

     

    T. Rowe Price Emerging Markets Corporate Multi-Sector Account Portfolio

     

    12/31

    T. Rowe Price Emerging Markets Local Multi-Sector Account Portfolio

     

    12/31

    T. Rowe Price Floating Rate Multi-Sector Account Portfolio

     

    2/28

    T. Rowe Price High Yield Multi-Sector Account Portfolio

     

    2/28

    T. Rowe Price Investment-Grade Corporate Multi-Sector Account Portfolio

     

    2/28

    T. Rowe Price Mortgage-Backed Securities Multi-Sector Account Portfolio

     

    2/28

    T. ROWE PRICE MULTI-STRATEGY TOTAL RETURN FUND, INC.

      

    T. Rowe Price Multi-Strategy Total Return Fund

    TMSRX

    10/31

    T. Rowe Price Multi-Strategy Total Return Fund—Advisor Class

    TMSAX

    10/31

    T. Rowe Price Multi-Strategy Total Return Fund—I Class

    TMSSX

    10/31

    T. ROWE PRICE NEW AMERICA GROWTH FUND, INC.

      

    T. Rowe Price New America Growth Fund

    PRWAX

    12/31

    T. Rowe Price New America Growth Fund—Advisor Class

    PAWAX

    12/31

    T. Rowe Price New America Growth Fund—I Class

    PNAIX

    12/31

    T. ROWE PRICE NEW ERA FUND, INC.

      

    T. Rowe Price New Era Fund

    PRNEX

    12/31

    T. Rowe Price New Era Fund—I Class

    TRNEX

    12/31

    T. ROWE PRICE NEW HORIZONS FUND, INC.

      

    T. Rowe Price New Horizons Fund

    PRNHX

    12/31

    T. Rowe Price New Horizons Fund—I Class

    PRJIX

    12/31

    T. ROWE PRICE NEW INCOME FUND, INC.

      

    T. Rowe Price New Income Fund

    PRCIX

    5/31

    T. Rowe Price New Income Fund—Advisor Class

    PANIX

    5/31

    T. Rowe Price New Income Fund—I Class

    PRXEX

    5/31

    T. Rowe Price New Income Fund—R Class

    RRNIX

    5/31

    T. ROWE PRICE PERSONAL STRATEGY FUNDS, INC.

     

     

    T. Rowe Price Personal Strategy Balanced Fund

    TRPBX

    5/31

    T. Rowe Price Personal Strategy Balanced Fund—I Class

    TPPAX

    5/31

    T. Rowe Price Personal Strategy Growth Fund

    TRSGX

    5/31

    T. Rowe Price Personal Strategy Growth Fund—I Class

    TGIPX

    5/31

    T. Rowe Price Personal Strategy Income Fund

    PRSIX

    5/31

    T. Rowe Price Personal Strategy Income Fund—I Class

    PPIPX

    5/31

    T. ROWE PRICE QUANTITATIVE MANAGEMENT FUNDS, INC.

     

     

    T. Rowe Price QM Global Equity Fund

    TQGEX

    12/31

    T. Rowe Price QM Global Equity Fund—Advisor Class

    TQGAX

    12/31

    T. Rowe Price QM Global Equity Fund—I Class

    TQGIX

    12/31

    T. Rowe Price QM U.S. Small & Mid-Cap Core Equity Fund

    TQSMX

    12/31

    T. Rowe Price QM U.S. Small & Mid-Cap Core Equity Fund—Advisor Class

    TQSAX

    12/31

    T. Rowe Price QM U.S. Small & Mid-Cap Core Equity Fund—I Class

    TQSIX

    12/31

    T. Rowe Price QM U.S. Small-Cap Growth Equity Fund

    PRDSX

    12/31

    T. Rowe Price QM U.S. Small-Cap Growth Equity Fund—Advisor Class

    TQAAX

    12/31

    T. Rowe Price QM U.S. Small-Cap Growth Equity Fund—I Class

    TQAIX

    12/31

    T. Rowe Price QM U.S. Value Equity Fund

    TQMVX

    12/31

    PAGE 119


       

    Funds

    Ticker

    Fiscal
    Year

    T. Rowe Price QM U.S. Value Equity Fund—Advisor Class

    TQVAX

    12/31

    T. Rowe Price QM U.S. Value Equity Fund—I Class

    TQVIX

    12/31

    T. ROWE PRICE REAL ASSETS FUND, INC.

      

    T. Rowe Price Real Assets Fund

    PRAFX

    12/31

    T. Rowe Price Real Assets Fund—I Class

    PRIKX

    12/31

    T. ROWE PRICE REAL ESTATE FUND, INC.

      

    T. Rowe Price Real Estate Fund

    TRREX

    12/31

    T. Rowe Price Real Estate Fund—Advisor Class

    PAREX

    12/31

    T. Rowe Price Real Estate Fund—I Class

    TIRRX

     

    T. ROWE PRICE RESERVE INVESTMENT FUNDS, INC.

     

     

    T. Rowe Price Government Reserve Fund

     

    5/31

    T. Rowe Price Short-Term Fund

     

    5/31

    T. Rowe Price Short-Term Government Fund

     

    5/31

    T. Rowe Price Treasury Reserve Fund

     

    5/31

    T. ROWE PRICE RETIREMENT FUNDS, INC.

     

     

    T. Rowe Price Retirement 2005 Fund

    TRRFX

    5/31

    T. Rowe Price Retirement 2005 Fund—Advisor Class

    PARGX

    5/31

    T. Rowe Price Retirement 2005 Fund—R Class

    RRTLX

    5/31

    T. Rowe Price Retirement 2010 Fund

    TRRAX

    5/31

    T. Rowe Price Retirement 2010 Fund—Advisor Class

    PARAX

    5/31

    T. Rowe Price Retirement 2010 Fund—R Class

    RRTAX

    5/31

    T. Rowe Price Retirement 2015 Fund

    TRRGX

    5/31

    T. Rowe Price Retirement 2015 Fund—Advisor Class

    PARHX

    5/31

    T. Rowe Price Retirement 2015 Fund—R Class

    RRTMX

    5/31

    T. Rowe Price Retirement 2020 Fund

    TRRBX

    5/31

    T. Rowe Price Retirement 2020 Fund—Advisor Class

    PARBX

    5/31

    T. Rowe Price Retirement 2020 Fund—R Class

    RRTBX

    5/31

    T. Rowe Price Retirement 2025 Fund

    TRRHX

    5/31

    T. Rowe Price Retirement 2025 Fund—Advisor Class

    PARJX

    5/31

    T. Rowe Price Retirement 2025 Fund—R Class

    RRTNX

    5/31

    T. Rowe Price Retirement 2030 Fund

    TRRCX

    5/31

    T. Rowe Price Retirement 2030 Fund—Advisor Class

    PARCX

    5/31

    T. Rowe Price Retirement 2030 Fund—R Class

    RRTCX

    5/31

    T. Rowe Price Retirement 2035 Fund

    TRRJX

    5/31

    T. Rowe Price Retirement 2035 Fund—Advisor Class

    PARKX

    5/31

    T. Rowe Price Retirement 2035 Fund—R Class

    RRTPX

    5/31

    T. Rowe Price Retirement 2040 Fund

    TRRDX

    5/31

    T. Rowe Price Retirement 2040 Fund—Advisor Class

    PARDX

    5/31

    T. Rowe Price Retirement 2040 Fund—R Class

    RRTDX

    5/31

    T. Rowe Price Retirement 2045 Fund

    TRRKX

    5/31

    T. Rowe Price Retirement 2045 Fund—Advisor Class

    PARLX

    5/31

    T. Rowe Price Retirement 2045 Fund—R Class

    RRTRX

    5/31

    T. Rowe Price Retirement 2050 Fund

    TRRMX

    5/31

    T. Rowe Price Retirement 2050 Fund—Advisor Class

    PARFX

    5/31

    T. Rowe Price Retirement 2050 Fund—R Class

    RRTFX

    5/31

    T. Rowe Price Retirement 2055 Fund

    TRRNX

    5/31

    T. Rowe Price Retirement 2055 Fund—Advisor Class

    PAROX

    5/31

    T. Rowe Price Retirement 2055 Fund—R Class

    RRTVX

    5/31

    T. Rowe Price Retirement 2060 Fund

    TRRLX

    5/31

    T. Rowe Price Retirement 2060 Fund—Advisor Class

    TRRYX

    5/31

    T. Rowe Price Retirement 2060 Fund—R Class

    TRRZX

    5/31

    T. Rowe Price Retirement Balanced Fund

    TRRIX

    5/31

    T. Rowe Price Retirement Balanced Fund—Advisor Class

    PARIX

    5/31

    T. Rowe Price Retirement Balanced Fund—R Class

    RRTIX

    5/31

    T. Rowe Price Retirement I 2005 Fund—I Class

    TRPFX

    5/31

    T. Rowe Price Retirement I 2010 Fund—I Class

    TRPAX

    5/31

    T. Rowe Price Retirement I 2015 Fund—I Class

    TRFGX

    5/31

    PAGE 120


       

    Funds

    Ticker

    Fiscal
    Year

    T. Rowe Price Retirement I 2020 Fund—I Class

    TRBRX

    5/31

    T. Rowe Price Retirement I 2025 Fund—I Class

    TRPHX

    5/31

    T. Rowe Price Retirement I 2030 Fund—I Class

    TRPCX

    5/31

    T. Rowe Price Retirement I 2035 Fund—I Class

    TRPJX

    5/31

    T. Rowe Price Retirement I 2040 Fund—I Class

    TRPDX

    5/31

    T. Rowe Price Retirement I 2045 Fund—I Class

    TRPKX

    5/31

    T. Rowe Price Retirement I 2050 Fund—I Class

    TRPMX

    5/31

    T. Rowe Price Retirement I 2055 Fund—I Class

    TRPNX

    5/31

    T. Rowe Price Retirement I 2060 Fund—I Class

    TRPLX

    5/31

    T. Rowe Price Retirement Balanced I Fund—I Class

    TRPTX

    5/31

    T. Rowe Price Retirement Income 2020 Fund

    TRLAX

    12/31

    T. Rowe Price Target 2005 Fund

    TRARX

    5/31

    T. Rowe Price Target 2005 Fund—Advisor Class

    PANRX

    5/31

    T. Rowe Price Target 2005 Fund—I Class

    TFRRX

    5/31

    T. Rowe Price Target 2010 Fund

    TRROX

    5/31

    T. Rowe Price Target 2010 Fund—Advisor Class

    PAERX

    5/31

    T. Rowe Price Target 2010 Fund—I Class

    TORFX

    5/31

    T. Rowe Price Target 2015 Fund

    TRRTX

    5/31

    T. Rowe Price Target 2015 Fund—Advisor Class

    PAHRX

    5/31

    T. Rowe Price Target 2015 Fund—I Class

    TTRTX

    5/31

    T. Rowe Price Target 2020 Fund

    TRRUX

    5/31

    T. Rowe Price Target 2020 Fund—Advisor Class

    PAIRX

    5/31

    T. Rowe Price Target 2020 Fund—I Class

    TTURX

    5/31

    T. Rowe Price Target 2025 Fund

    TRRVX

    5/31

    T. Rowe Price Target 2025 Fund—Advisor Class

    PAJRX

    5/31

    T. Rowe Price Target 2025 Fund—I Class

    TRVVX

    5/31

    T. Rowe Price Target 2030 Fund

    TRRWX

    5/31

    T. Rowe Price Target 2030 Fund—Advisor Class

    PAKRX

    5/31

    T. Rowe Price Target 2030 Fund—I Class

    TWRRX

    5/31

    T. Rowe Price Target 2035 Fund

    RPGRX

    5/31

    T. Rowe Price Target 2035 Fund—Advisor Class

    PATVX

    5/31

    T. Rowe Price Target 2035 Fund—I Class

    TPGPX

    5/31

    T. Rowe Price Target 2040 Fund

    TRHRX

    5/31

    T. Rowe Price Target 2040 Fund—Advisor Class

    PAHHX

    5/31

    T. Rowe Price Target 2040 Fund—I Class

    TRXRX

    5/31

    T. Rowe Price Target 2045 Fund

    RPTFX

    5/31

    T. Rowe Price Target 2045 Fund—Advisor Class

    PAFFX

    5/31

    T. Rowe Price Target 2045 Fund—I Class

    TRFWX

    5/31

    T. Rowe Price Target 2050 Fund

    TRFOX

    5/31

    T. Rowe Price Target 2050 Fund—Advisor Class

    PAOFX

    5/31

    T. Rowe Price Target 2050 Fund—I Class

    TOORX

    5/31

    T. Rowe Price Target 2055 Fund

    TRFFX

    5/31

    T. Rowe Price Target 2055 Fund—Advisor Class

    PAFTX

    5/31

    T. Rowe Price Target 2055 Fund—I Class

    TRPPX

    5/31

    T. Rowe Price Target 2060 Fund

    TRTFX

    5/31

    T. Rowe Price Target 2060 Fund—Advisor Class

    TRTGX

    5/31

    T. Rowe Price Target 2060 Fund—I Class

    TTOIX

    5/31

    T. ROWE PRICE SCIENCE & TECHNOLOGY FUND, INC.

      

    T. Rowe Price Science & Technology Fund

    PRSCX

    12/31

    T. Rowe Price Science & Technology Fund—Advisor Class

    PASTX

    12/31

    T. Rowe Price Science & Technology Fund—I Class

    TSNIX

    12/31

    T. ROWE PRICE SHORT-TERM BOND FUND, INC.

      

    T. Rowe Price Short-Term Bond Fund

    PRWBX

    5/31

    T. Rowe Price Short-Term Bond Fund—Advisor Class

    PASHX

    5/31

    T. Rowe Price Short-Term Bond Fund—I Class

    TBSIX

    5/31

    T. Rowe Price Ultra Short-Term Bond Fund

    TRBUX

    5/31

    T. Rowe Price Ultra Short-Term Bond Fund—I Class

    TRSTX

    5/31

    PAGE 121


       

    Funds

    Ticker

    Fiscal
    Year

    T. ROWE PRICE SMALL-CAP STOCK FUND, INC.

      

    T. Rowe Price Small-Cap Stock Fund

    OTCFX

    12/31

    T. Rowe Price Small-Cap Stock Fund—Advisor Class

    PASSX

    12/31

    T. Rowe Price Small-Cap Stock Fund—I Class

    OTIIX

    12/31

    T. ROWE PRICE SMALL-CAP VALUE FUND, INC.

      

    T. Rowe Price Small-Cap Value Fund

    PRSVX

    12/31

    T. Rowe Price Small-Cap Value Fund—Advisor Class

    PASVX

    12/31

    T. Rowe Price Small-Cap Value Fund—I Class

    PRVIX

    12/31

    T. ROWE PRICE SPECTRUM FUND, INC.

     

     

    Spectrum Growth Fund

    PRSGX

    12/31

    Spectrum Income Fund

    RPSIX

    12/31

    Spectrum International Fund

    PSILX

    12/31

    T. ROWE PRICE STATE TAX-FREE FUNDS, INC.

     

     

    T. Rowe Price California Tax-Free Bond Fund

    PRXCX

    2/28

    T. Rowe Price California Tax-Free Bond Fund—I Class

    TCFEX

    2/28

    T. Rowe Price California Tax-Free Money Fund

    PCTXX

    2/28

    T. Rowe Price California Tax-Free Money Fund—I Class

    TCBXX

    2/28

    T. Rowe Price Georgia Tax-Free Bond Fund

    GTFBX

    2/28

    T. Rowe Price Georgia Tax-Free Bond Fund—I Class

    TBGAX

    2/28

    T. Rowe Price Maryland Short-Term Tax-Free Bond Fund

    PRMDX

    2/28

    T. Rowe Price Maryland Short-Term Tax-Free Bond Fund—I Class

    TRMUX

    2/28

    T. Rowe Price Maryland Tax-Free Bond Fund

    MDXBX

    2/28

    T. Rowe Price Maryland Tax-Free Bond Fund—I Class

    TFBIX

    2/28

    T. Rowe Price Maryland Tax-Free Money Fund

    TMDXX

    2/28

    T. Rowe Price Maryland Tax-Free Money Fund—I Class

    TWNXX

    2/28

    T. Rowe Price New Jersey Tax-Free Bond Fund

    NJTFX

    2/28

    T. Rowe Price New Jersey Tax-Free Bond Fund—I Class

    TRJIX

    2/28

    T. Rowe Price New York Tax-Free Bond Fund

    PRNYX

    2/28

    T. Rowe Price New York Tax-Free Bond Fund—I Class

    TRYIX

    2/28

    T. Rowe Price New York Tax-Free Money Fund

    NYTXX

    2/28

    T. Rowe Price New York Tax-Free Money Fund—I Class

    TRNXX

    2/28

    T. Rowe Price Virginia Tax-Free Bond Fund

    PRVAX

    2/28

    T. Rowe Price Virginia Tax-Free Bond Fund—I Class

    TFBVX

    2/28