L40 BARRON’S•Funds Quarterly April 6, 2020sCopyright LipperMunicipal Bond Funds Data provided by
T ROWE PRICE NY TF BD NY 434.3 11.55 –1.11 2.88 3.18 2.74 3.93 11.22 –0.37
T ROWE PRICE SUM MIC GM 1606.4 11.80 –2.54 2.07 3.34 2.80 4.30 11.40 –0.45
T ROWE PRICE SUM MIT IMD 3089.3 11.94 –1.07 2.60 3.01 2.44 3.41 11.68 –0.27
T ROWE PRICE TF INC GM 1665.9 9.99 –1.80 2.62 3.27 2.65 3.98 9.67 –0.37
T ROWE PRICE TF INC;ADV GM 401.5 10.00 –1.88 2.29 2.94 2.33 3.65 9.67 –0.37T ROWE PRICE TX-FR HY HM 3720.0 11.48 –6.16 –0.90 2.77 2.75 4.98 11.01 –0.50
T ROWE PRICE TX-FR GAB OTH 282.8 11.53 –1.11 3.02 3.27 2.59 3.78 11.21 –0.36
T ROWE PRICE TX-FR NJB NJ 404.1 11.99 –1.71 2.31 3.40 2.79 3.99 11.65 –0.38
T ROWE PRICE TX-FR VAB VA 1161.4 11.95 –1.18 2.84 3.18 2.73 3.83 11.58 –0.39
T ROWE PRICE TXFR SI SIM 1352.5 5.60 –0.51 1.61 1.63 1.27 1.73 5.55 –0.04THORNBURG INT MUNI;A IMD 306.1 14.07 –1.00 2.41 2.62 1.95 3.20 13.78 –0.31
THORNBURG LTD MUNI;A SIM 880.1 14.36 –0.34 1.91 1.84 1.38 2.20 14.21 –0.15
THORNBURG LTD MUNI;C SIM 279.1 14.39 –0.40 1.65 1.60 1.14 1.94 14.23 –0.16
THORNBURG LTD MUNI;Ir SIM 4372.1 14.37 –0.21 2.22 2.14 1.69 2.51 14.21 –0.16
THRIVENT FDS MUN BD;An GM 1209.4 11.25 –1.03 3.28 3.18 2.48 3.72 10.92 –0.37TIAA-CREF 5-15YLTEB;RTL IMD 264.2 10.51 –2.43 1.91 3.14 2.14 3.21 10.25 –0.25
USAA CA BOND;FUND CAG 676.7 11.17 –0.96 3.62 3.87 3.11 5.03 10.85 –0.35
USAA NY BOND;FUND NY 217.7 11.80 –1.63 2.60 3.15 2.60 4.01 11.43 –0.43
USAA TAX-EX INTM-TM;FUND IMD 4784.6 13.33 –1.60 2.55 3.69 2.73 3.91 12.99 –0.36
USAA TAX-EX LNG-TM;FUND GM 2400.9 13.22 –1.65 2.83 3.64 3.04 4.52 12.75 –0.49USAA TAX-EX SHT-TM;FUND SMD 1270.2 10.32 –1.55 0.22 1.31 0.93 1.59 10.24 –0.05
USAA VA BOND;FUND VA 684.7 11.26 –1.18 2.39 3.10 2.64 3.89 10.98 –0.33
VANGUARD CA INTM-TRM;ADM CAT 15507.9 11.95 –0.57 3.55 3.62 2.93 4.07 11.70 –0.27
VANGUARD CA INTM-TRM;INV CAT 1916.3 11.95 –0.59 3.47 3.53 2.84 3.98 11.70 –0.27
VANGUARD CA LNG-TM;ADM CAG 4710.2 12.40 –0.43 5.00 4.70 3.77 4.97 12.04 –0.41VANGUARD CA LNG-TM;INV CAG 720.5 12.40 –0.45 4.92 4.61 3.68 4.88 12.04 –0.41
VANGUARD HI YLD TXEX;ADM GM 15197.2 11.33 –2.70 2.75 4.58 3.86 4.96 10.93 –0.44
VANGUARD HI YLD TXEX;INV GM 2516.7 11.33 –2.72 2.67 4.49 3.77 4.88 10.93 –0.44
VANGUARD INT-TM TXEX;ADM IMD 73664.6 14.31 –0.49 3.59 3.59 2.90 3.77 13.99 –0.33
VANGUARD INT-TM TXEX;INV IMD 3745.5 14.31 –0.51 3.51 3.50 2.81 3.68 13.99 –0.33VANGUARD LG-TM TX-EX;ADM GM 14019.8 11.75 –0.52 4.70 4.67 3.79 4.71 11.39 –0.40
VANGUARD LG-TM TX-EX;INV GM 1020.6 11.75 –0.54 4.62 4.58 3.70 4.62 11.39 –0.40
VANGUARD LTD-TM TXEX;ADM SIM 29613.4 10.97 –0.53 1.94 2.02 1.63 1.81 10.87 –0.10
VANGUARD LTD-TM TXEX;INV SIM 1360.5 10.97 –0.55 1.86 1.93 1.54 1.73 10.87 –0.10
VANGUARD MA TAX-EX;INV MA 2397.9 11.03 0.00 5.19 4.57 3.49 4.25 10.66 –0.43VANGUARD NJ LNG-TRM;ADM NJ 2334.5 12.08 –2.13 3.38 5.06 3.92 4.49 11.67 –0.46
VANGUARD NJ LNG-TRM;INV NJ 319.7 12.08 –2.15 3.29 4.97 3.83 4.40 11.67 –0.46
VANGUARD NY LNG-TRM;ADM NY 4990.8 11.84 –0.46 4.42 4.28 3.58 4.40 11.44 –0.43
VANGUARD NY LNG-TRM;INV NY 592.4 11.84 –0.48 4.34 4.20 3.49 4.31 11.44 –0.43
VANGUARD OH LT TX-EX;INV OH 1513.0 12.79 0.54 5.49 4.81 3.93 4.61 12.38 –0.44VANGUARD PA LNG-TRM;ADM PA 3845.8 11.82 0.43 5.76 5.21 4.10 4.74 11.47 –0.38
VANGUARD PA LNG-TRM;INV PA 397.4 11.82 0.41 5.68 5.12 4.01 4.65 11.47 –0.38
VANGUARD SH-TM TX-EX;ADM SMD 16345.7 15.77 –0.10 1.54 1.51 1.20 1.09 15.70 –0.07
VANGUARD SH-TM TX-EX;INV SMD 955.9 15.77 –0.12 1.46 1.42 1.11 1.00 15.70 –0.07
VIRTUS SEIX IG T/E;Ir IMD 275.7 11.70 0.30 4.34 3.44 2.60 3.61 11.47 –0.23WA CA MUNI;A CAG 321.0 15.49 –3.07 1.57 2.83 2.20 3.87 15.03 –0.49
WA INT-TERM MUNI;A IMD 631.3 6.21 –3.13 0.54 2.16 1.78 2.99 6.05 –0.16
WA INT-TERM MUNI;C IMD 228.4 6.22 –3.25 –0.04 1.57 1.19 2.39 6.05 –0.17
WA INT-TERM MUNI;Ir IMD 1250.0 6.21 –3.09 0.70 2.32 1.96 3.15 6.04 –0.17
WA MANAGED MUNI;A GM 3041.7 15.62 –4.10 0.07 2.42 2.05 3.78 15.15 –0.50WA MANAGED MUNI;C GM 227.5 15.63 –4.22 –0.49 1.85 1.48 3.20 15.16 –0.50
WA MANAGED MUNI;Ir GM 1037.5 15.65 –4.05 0.24 2.57 2.19 3.91 15.17 –0.51
WA MUNI HIGH INCOME;A HM 258.2 13.46 –5.24 –0.61 2.64 2.50 4.26 12.99 –0.48
WA MUNI HIGH INCOME;Ir HM 167.4 13.39 –5.16 –0.39 2.83 2.66 4.42 12.93 –0.47
WA NY MUNI;A NY 409.6 12.92 –1.71 2.46 3.04 2.24 3.28 12.54 –0.40WA SH DUR MUNI INC;A SMD 345.0 5.04 –1.35 0.66 1.19 0.87 1.22 4.99 –0.04
WA SH DUR MUNI INC;C SMD 191.1 5.04 –1.43 0.32 0.84 0.52 0.89 4.99 –0.04
WA SH DUR MUNI INC;Ir SMD 275.8 5.04 –1.31 0.80 1.32 0.98 1.34 4.99 –0.04
WELLSFARGO CA TXFR;A CAG 466.2 11.73 –1.41 2.82 3.27 2.61 4.53 NA NA
WELLSFARGO CA TXFR;ADMr CAG 283.4 11.75 –1.44 3.02 3.48 2.82 4.74 NA NAWELLSFARGO STR MUN B;A SIM 534.9 9.00 –1.52 1.16 2.35 1.96 2.64 8.87 –0.13
WELLSFARGO UL ST MI;A SMD 377.6 9.56 –0.10 0.99 1.10 0.67 0.70 9.53 –0.02
WELLSFARGO UL ST MI;Ir SMD 571.9 9.56 –0.13 1.29 1.41 0.97 1.00 9.53 –0.03
WILMINGTON MUNI BD;INSTr IMD 305.2 12.95 –2.42 1.72 2.66 2.20 3.31 12.65 –0.30LATEST LATESTWK’SDATA
REPORTED NAV RETURNTHROUGH3/31 (asofThursday)
ASSETS ($SHR) QTR 1YR 3YRS 5YRS 10YRS CLOSE WK’S
NAME OBJ ($MIL) 3/31/20 (Annualized) NAV CHGLIPPERMUTUALFUNDINVESTMENTPERFORMANCEAVERAGES
SpecialQuarterlySummaryReport:Thursday,April2,2020
AnnualizedTotalReinvestmentPerformance
NAV No. 3/31/05- 3/31/10- 3/31/15- 3/31/19- 12/31/19-
Mil.$ Funds 3/31/20 3/31/20 3/31/20 3/31/20 3/31/20
GeneralEquity
1,850.0 16 SpecialtyDvsfdEq +4.13% +12.01% +7.03% -7.76% -17.39%
348,388.1 113 S&P500 +7.11 +9.95 +6.23 -7.33 -19.62
39,949.4 172 Mid-CapValue +4.39 +5.17 -3.30 -27.49 -34.13
42,997.0 237 Small-CapValue +3.14 +3.65 -4.58 -32.61 -37.60
104,518.1 356 Mid-CapCore +5.31 +6.31 -.81 -20.74 -28.83
180,636.6 408 Mid-CapGrowth +7.67 +9.88 +5.17 -9.57 -19.53
191,951.4 426 Large-CapValue +4.96 +6.81 +1.44 -17.03 -26.94
141,788.4 453 Multi-CapValue +4.32 +5.89 -.25 -20.97 -29.08
203,137.3 470 EquityIncome +5.74 +7.18 +2.18 -15.06 -24.24
209,683.4 526 Multi-CapGrowth +8.19 +10.59 +6.67 -5.06 -15.46
116,420.1 626 Small-CapGrowth +7.40 +9.08 +3.10 -16.78 -23.70
578,809.7 634 Large-CapCore +6.74 +8.99 +5.07 -8.28 -20.06
816,916.7 644 Large-CapGrowth +8.82 +11.55 +8.91 -.97 -13.80
337,903.7 651 Multi-CapCore +5.99 +7.97 +3.10 -11.69 -22.07
162,108.7 879 Small-CapCore +4.89 +5.52 -2.05 -26.56 -32.97
3,478,918.5 6,710 GeneralEquity +6.28 +8.04 +2.61 -15.08 -24.32OtherEquity
915.1 17 LatinAmerican +3.49% -5.39% -3.86% -34.88% -45.93%
12,347.1 19 IntlSm/Mid-CapValue +3.38 +2.19 -3.84 -25.83 -29.99
16,696.2 21 IntlLarge-CapValue +1.57 +.56 -3.74 -20.18 -27.50
6,765.6 22 Telecommunication +5.00 +6.07 +2.89 -4.63 -13.03
3,360.1 25 PacificRegion +5.13 +4.17 +1.58 -13.66 -19.79
4,755.6 25 Japanese +3.83 +7.20 +3.45 -7.98 -18.75
5,448.0 39 GlobalLargeCapValue +4.72 +4.93 +.21 -16.86 -24.77
11,485.3 46 Utility +7.68 +8.69 +4.60 -7.06 -16.20
10,551.4 50 PacificExJapan +5.93 +3.90 +.74 -11.44 -17.89
14,968.0 57 IntlSm/Mid-CapCore +3.46 +2.26 -2.79 -23.19 -28.94
1,696.4 62 NaturalResources -3.82 -9.44 -19.28 -53.21 -49.58
4,532.0 62 FinancialServices +1.63 +4.15 -.72 -23.97 -35.14
7,155.0 63 PreciousMetal +1.88 -5.63 +4.17 +2.96 -20.97
88,950.4 63 GlobalLargeCapCore +5.60 +5.85 +2.44 -10.57 -20.74
8,165.9 70 EquityMktNeutral +2.29 +1.70 -2.35 -5.74 -2.39
4,445.9 71 EuropeanRegion +3.37 +2.84 -1.52 -14.24 -24.30
3,162.3 73 ChinaRegion +7.84 +4.47 +4.49 -3.42 -10.20
1,053.2 78 DedicatedShortBias -16.51 -17.68 -12.70 +4.85 +25.49
23,620.7 82 IntlLarge-CapCore +2.70 +1.59 -2.71 -16.72 -24.30
48,506.4 82 Health/Biotechnology +10.79 +12.87 +3.37 -2.77 -12.76
43,812.0 135 Science&Technology +10.17 +12.62 +11.62 -.39 -14.01
19,626.2 142 GlobalMulti-CapValue +3.36 +3.66 -.82 -17.48 -25.16
21,142.1 144 GlobalMulti-CapCore +4.54 +5.31 +1.48 -13.27 -22.11
104,731.2 183 GlobalLargeCapGrowth +6.80 +7.71 +5.27 -5.45 -17.07
63,326.3 198 IntlMulti-CapValue +1.56 +.43 -4.06 -22.73 -28.63
42,014.1 216 IntlSm/Mid-CapGrowth +5.07 +4.88 +.43 -16.82 -26.24
58,984.7 228 GlobalMulti-CapGrowth +6.38 +7.63 +4.54 -7.02 -17.41
214,404.4 238 IntlLarge-CapGrowth +4.12 +3.12 +.72 -10.12 -20.20
39,862.5 240 RealEstate +5.79 +7.27 +.11 -15.89 -23.24
28,081.1 278 Long/ShortEquity +2.67 +3.18 +.46 -8.87 -13.63
175,295.8 381 IntlMulti-CapCore +2.31 +1.93 -1.68 -16.36 -23.74
285,440.9 495 IntlMulti-CapGrowth +3.47 +3.55 +.68 -10.87 -20.82
273,992.8 754 EmergingMarkets +5.07 +.73 -1.02 -18.08 -24.85
1,610,662.9 3,880 WorldEquity +4.19 +3.35 +.12 -14.64 -22.92
5,467,942.1 13,238 Equity -EFPA +5.42 +6.08 +1.18 -14.42 -22.55Other
witha%Change 6,596 10,679 16,212 21,376 21,986
GlobalFlexiblePort
Long-TermMedian +4.91% +5.33% +1.80% -9.20% -18.21%
594.1 18 Specialty&Misc +6.78 +7.27 +2.86 -13.73 -19.36
7,401.7 77 ConvertibleSecurities +6.10 +6.76 +4.07 -2.18 -11.86
18,947.7 121 Mixed-AssetTarget2010 +4.16 +4.87 +2.63 -1.63 -8.38
86,757.5 220 Mixed-AssetTarget2020 +4.33 +5.30 +2.58 -3.19 -10.21
91,494.4 227 Mixed-AssetTarget2030+ +5.05 +6.32 +2.84 -7.98 -16.71
130,003.9 243 Mixed-AssetTarget2030 +4.73 +6.00 +2.84 -6.05 -14.17
47,654.9 327 Mixed-AssetTargetAllocCons +3.84 +4.07 +1.72 -4.07 -10.00
340,960.0 475 Mixed-AssetTargetAllocGro +5.11 +5.97 +2.48 -8.13 -16.46
173,766.0 553 FlexiblePortfolio +4.29 +4.13 +.68 -8.91 -15.15
220,014.0 594 Mixed-AssetTargetAllocMod +4.54 +5.08 +2.07 -6.31 -13.71
177,820.0 776 WorldIncome +3.53 +2.25 +.93 -5.27 -10.35
1,890,591.0 3,799 DomesticL-TFixedInc +3.70 +3.18 +1.82 +.39 -4.16
1,534,299.3 4,561 MixedEquity +4.62 +5.36 +2.22 -7.02 -14.68
9,537,679.1 24,067 L-TEquityandFixedTaxInc +4.96 +5.38 +1.50 -10.07 -17.46SecuritiesMarketsIndexes
Value U.S.Equities
2,584.5 S&P500IndexP +5.36% +8.25% +4.56% -8.81% -20.00%
2,865.7 Russell2000IXP +4.28 +5.44 -1.64 -25.11 -30.89
3,581.2 S&PIndustrialsP +6.67 +9.04 +5.37 -6.83 -18.08
10,301.8 NYSECompositeP +2.45 +3.30 -1.12 -18.86 -25.96
21,917.1 DowJonesInd.AverageP +5.03 +7.28 +4.28 -15.47 -23.20
InternationalEquities
5,671.9 FTS-E100:PdIXP +.99% -.01% -3.49% -22.08% -24.80%
9,935.8 DAX:DmIXTr +5.66 +4.91 -3.65 -13.80 -25.01
18,917.0 Nikkei225Average:YenP +3.27 +5.49 -.30 -10.79 -20.04AnnualizedPerformanceWithDividendsReinvested
Value
5,269.2 S&P500DailyReinv +7.58% +10.53% +6.73% -6.98% -19.60%
21,917.1 DowJonesIndMthReinv +7.70 +9.95 +6.83 -13.37 -22.68P-Priceonlyindex.Calculatedwithoutreinvestmentofdividends. Source:LipperQUARTERLYDOWJONESUTILITYAVERAGEThis table lists the earnings of the Dow Jones Utility Average component stocks based upon generally accepted
accountingprinciples.Earningsincludediscontinuedandnonrecurringitemsbutexcludeextraordinaryitemsand
accountingchangesasreportedbythecompanyandadjustedbytheDowDivisorineffectatquarterend.Thetotal
dividendsofthecomponentstocksarebasedupontherecorddateandadjustedbytheDowDivisorineffectatquar-
ter end. The payout ratio is the latest 12-months dividends divided by the latest 12-months earnings. r-Revised.
Year Quarter Clos. Qtrly % Qtrly 12-Mo. P/E Qtrly 12-Mo. Divs Payout
Ended Ended Avg. Chg. Chg. Earns Earns Ratio Divs Divs Yield Ratio2020 Mar. 31 756.16 —123.01 —13.99 NA NA NA 6.69 25.95 3.43 NA
2019 Dec. 31 879.17 + 0.51 + 0.06 6.69 38.15 23.0 6.45 25.61 2.91 0.6713
Sep. 30 878.66 + 68.00 + 8.39 12.44 35.38 24.8 6.41 25.24 2.87 0.7134
June 28 810.66 + 31.94 + 4.10 8.40 32.76 24.7 6.40 24.87 3.07 0.7592
Mar. 29 778.72 + 65.79 + 9.23 10.62 29.20 26.7 6.35 24.47 3.14 0.8380l 0
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