Year-end dividend and capital gains information for 2010 is provided below.

The tables below exclude capital gains and quarterly dividends paid earlier in 2010 and income that is paid monthly. If a T. Rowe Price fund is not listed in the tables of funds that have declared, that fund did not declare a year-end dividend. This excludes funds that pay monthly dividends.

Remember, you should not prepare your taxes until you receive all of your official tax forms. Please note, T. Rowe Price Small-Cap Value Fund, T. Rowe Price Real Estate Fund, and T. Rowe Price Global Real Estate Fund will receive 1099-DIV and 1099-B tax forms in mid-February.

Group A
Record and Declaration Date: December 10, 2010
Ex-Dividend and Reinvestment Date: December 13, 2010
Payment Date: December 14, 2010
Group B
Record and Declaration Date: December 13, 2010
Ex-Dividend and Reinvestment Date: December 14, 2010
Payment Date: December 15, 2010
Group C
Record and Declaration Date: December 14, 2010
Ex-Dividend and Reinvestment Date: December 15, 2010
Payment Date: December 16, 2010
Year-End Distributions
  Per Share Amounts
T. Rowe Price Domestic Stock Funds Income Dividends
Short-Term
Gains
Long-Term
Gains
Group A
Balanced $0.105
Dividend Growth $0.09
Equity Income $0.11
Equity Index 500 $0.16
Extended Equity Market Index $0.12
Growth & Income $0.065
Personal Strategy Balanced $0.12
Personal Strategy Growth $0.36 $0.01
Personal Strategy Income $0.13
Real Estate $0.12
Tax-Efficient Equity $0.021
Total Equity Market Index $0.195
Domestic Stock Funds—Advisor Class
Dividend Growth—Advisor Class $0.08
Equity Income—Advisor Class $0.10
Real Estate—Advisor Class $0.11
Domestic Stock Funds—R Class
Equity Income—R Class $0.09
Year-End Distributions
  Per Share Amounts
T. Rowe Price Domestic Stock Funds Income Dividends
Short-Term
Gains
Long-Term
Gains
Group B
Blue Chip Growth $0.02
Capital Appreciation $0.35 $0.05
Growth Stock $0.017
Mid-Cap Growth $2.27
Mid-Cap Value $0.41
New America Growth $0.03 $0.06 $0.34
New America Growth1 $0.025
Small-Cap Stock $0.05 $0.04 $1.16
Small-Cap Value $0.26 $0.09 $0.43
U.S. Large-Cap Core $0.13 $0.22 $0.07
Value $0.40
Domestic Stock Funds—Advisor Class
Capital Appreciation—Advisor Class $0.30 $0.05
Mid-Cap Growth—Advisor Class $2.27
Mid-Cap Value—Advisor Class $0.35
New America Growth—Advisor Class $0.05 $0.34
New America Growth—Advisor Class1 $0.025
Small-Cap Stock—Advisor Class $0.02 $1.16
Small-Cap Value—Advisor Class $0.19 $0.09 $0.43
U.S. Large-Cap Core—Advisor Class $0.13 $0.22 $0.07
Value—Advisor Class $0.40
Domestic Stock Funds—R Class
Mid-Cap Growth—R Class $2.27
Mid-Cap Value—R Class $0.30
1The declaration date for this special distribution is December 30, 2010, the ex-dividend and reinvestment date and the pay date are December 31, 2010.
Year-End Distributions
  Per Share Amounts
T. Rowe Price Domestic Stock Funds Income Dividends
Short-Term
Gains
Long-Term
Gains
Group C
Capital Opportunity $0.17
Financial Services $0.13
Health Sciences $0.16
Media & Telecommunications $0.30
New Era $0.45 $0.14
New Horizons $0.94
Domestic Stock Funds—Advisor Class
Capital Opportunity—Advisor Class $0.12
Domestic Stock Funds—R Class
Capital Opportunity—R Class $0.08
For more information on the T. Rowe Price Advisor- and R-Class funds, please visit our website for financial intermediaries at www.troweprice.com/fi.
Record and Declaration Date: December 6, 2010
Ex-Dividend and Reinvestment Date: December 7, 2010
Payment Date: December 8, 2010
Year-End Distributions
  Per Share Amounts
T. Rowe Price Domestic Bond Funds Income Dividends
Short-Term
Gains
Long-Term
Gains
Domestic Bond Funds
Corporate Income Paid monthly $0.12
High Yield Paid monthly $0.01
Inflation Protected Bond Paid monthly $0.14
New Income Paid monthly $0.04 $0.04
Strategic Income Paid monthly $0.18 $0.06
Summit GNMA Paid monthly $0.09
U.S. Bond Index Paid monthly $0.002
U.S. Treasury Intermediate Paid monthly $0.01 $0.09
U.S. Treasury Long-Term Paid monthly $0.05 $0.13
Domestic Bond Funds—Advisor Class
High Yield—Advisor Class Paid monthly $0.01
New Income—Advisor Class Paid monthly $0.04 $0.04
Strategic Income—Advisor Class Paid monthly $0.18 $0.06
Domestic Bond Funds—R Class
New Income—R Class Paid monthly $0.04 $0.04
For more information on the T. Rowe Price Advisor- and R-Class funds, please visit our website for financial intermediaries at www.troweprice.com/fi.
Record and Declaration Date: December 15, 2010
Ex-Dividend and Reinvestment Date: December 16, 2010
Payment Date: December 17, 2010
Year-End Distributions
  Per Share Amounts
T. Rowe Price International Stock Funds Income Dividends
Short-Term
Gains
Long-Term
Gains
International Stock Funds
Africa & Middle East $0.12 $0.04
Emerging Markets Stock $0.10 $0.34
European Stock $0.29
Global Infrastructure $0.14
Global Large-Cap Stock $0.13 $0.37 $0.29
Global Real Estate $0.24 $0.25 $0.02
Global Stock $0.08 $0.02
International Discovery $0.17 $0.43
International Equity Index $0.28 $0.01
International Growth & Income $0.30
International Stock $0.15 $0.04
Japan $0.04
Latin America $0.28 $0.23
New Asia $0.09 $0.15
Overseas Stock $0.15
International Stock Funds—Advisor Class
Global Infrastructure—Advisor Class $0.14
Global Large-Cap Stock—Advisor Class $0.11 $0.37 $0.29
Global Real Estate—Advisor Class $0.24 $0.25 $0.02
Global Stock—Advisor Class $0.03 $0.02
International Growth & Income—Advisor Class $0.27
International Stock—Advisor Class $0.15 $0.04
International Stock Funds—R Class
International Growth & Income—R Class $0.24
International Stock—R Class $0.09 $0.04
Year-End Distributions
  Per Share Amounts
T. Rowe Price International Bond Funds Income Dividends
Short-Term
Gains
Long-Term
Gains
International Bond Funds
International Bond $0.17
International Bond Funds—Advisor Class
International Bond—Advisor Class $0.17
For more information on the T. Rowe Price Advisor- and R-Class funds, please visit our website for financial intermediaries at www.troweprice.com/fi.
Record and Declaration Date: December 20, 2010
Ex-Dividend and Reinvestment Date: December 21, 2010
Payment Date: December 22, 2010
Year-End Distributions
  Per Share Amounts
T. Rowe Price Retirement and Spectrum Funds Income Dividends
Short-Term
Gains
Long-Term
Gains
Retirement and Spectrum Funds
Retirement 2005 $0.28 $0.02
Retirement 2010 $0.35 $0.03
Retirement 2015 $0.23 $0.02
Retirement 2020 $0.29 $0.02
Retirement 2025 $0.19 $0.01
Retirement 2030 $0.24 $0.02
Retirement 2035 $0.15 $0.01
Retirement 2040 $0.22 $0.01
Retirement 2045 $0.14 $0.01
Retirement 2050 $0.12 $0.005 $0.006
Retirement 2055 $0.12 $0.005
Spectrum Growth $0.17
Spectrum Income $0.04
Spectrum International $0.16 $0.02
Retirement Funds—Advisor Class
Retirement 2005—Advisor Class $0.25 $0.02
Retirement 2010—Advisor Class $0.32 $0.03
Retirement 2015—Advisor Class $0.21 $0.02
Retirement 2020—Advisor Class $0.26 $0.02
Retirement 2025—Advisor Class $0.16 $0.01
Retirement 2030—Advisor Class $0.21 $0.02
Retirement 2035—Advisor Class $0.13 $0.01
Retirement 2040—Advisor Class $0.18 $0.01
Retirement 2045—Advisor Class $0.12 $0.01
Retirement 2050—Advisor Class $0.10 $0.005 $0.006
Retirement 2055—Advisor Class $0.10 $0.005
Retirement Funds—R Class
Retirement 2005—R Class $0.23 $0.02
Retirement 2010—R Class $0.28 $0.03
Retirement 2015—R Class $0.20 $0.02
Retirement 2020—R Class $0.22 $0.02
Retirement 2025—R Class $0.15 $0.01
Retirement 2030—R Class $0.17 $0.02
Retirement 2035—R Class $0.12 $0.01
Retirement 2040—R Class $0.15 $0.01
Retirement 2045—R Class $0.11 $0.01
Retirement 2050—R Class $0.08 $0.005 $0.006
Retirement 2055—R Class $0.09 $0.005
For more information on the T. Rowe Price Advisor- and R-Class funds, please visit our website for financial intermediaries at www.troweprice.com/fi.
Record and Declaration Date: December 16, 2010
Ex-Dividend and Reinvestment Date: December 17, 2010
Payment Date: December 20, 2010
Year-End Distributions
  Per Share Amounts
T. Rowe Price Institutional Funds Income Dividends
Short-Term
Gains
Long-Term
Gains
Institutional Funds
Institutional Africa & Middle East $0.10 $0.03
Institutional Core Plus Paid monthly $0.06 $0.14
Institutional Emerging Markets Bond Paid monthly $0.24
Institutional Emerging Markets Equity $0.12 $0.21
Institutional Floating Rate $0.01
Institutional Global Equity $0.06 $0.01
Institutional Global Large-Cap Equity $0.14 $0.01 $0.19
Institutional High Yield Paid monthly $0.06 $0.09
Institutional International Bond Paid monthly $0.23
Institutional International Growth Equity* $0.20 $0.05
Institutional Large-Cap Core Growth $0.03
Institutional Large-Cap Growth $0.04
Institutional Large-Cap Value $0.30
Institutional Mid-Cap Equity Growth $0.02 $0.07 $0.06
Institutional Small-Cap Stock $0.05 $0.02
Institutional U.S. Structured Research $0.09
*Formerly Institutional Foreign Equity Fund. Name change effective June 1, 2010.
For more information on the T. Rowe Price Institutional funds, please visit our website for financial intermediaries at www.troweprice.com/fi.
Record and Declaration Date: December 16, 2010
Ex-Dividend and Reinvestment Date: December 17, 2010
Payment Date: December 20, 2010
Year-End Distributions
  Per Share Amounts
T. Rowe Price Variable Annuity Portfolios2 Income Dividends
Short-Term
Gains
Long-Term
Gains
Variable Annuity Portfolios
Equity Income Portfolio $0.09
Equity Index 500 Portfolio $0.04
International Stock Portfolio $0.12 $0.04
Mid-Cap Growth Portfolio $1.30
New America Growth Portfolio $0.04 $0.46
Personal Strategy Balanced Portfolio $0.11
Variable Annuity Portfolios—II Class
Equity Income Portfolio—II Class $0.08
Mid-Cap Growth Portfolio—II Class $1.30
For existing clients who are considering an exchange or investment into a new portfolio and would like to request a prospectus, please call 1-800-469-6587. The prospectus includes investment objectives, risks, fees, expenses, and other information that should be read carefully before investing.
2The T. Rowe Price No-Load Variable Annuity is issued by Security Benefit Life Insurance Company (Form V6021). In New York, it is issued by First Security Benefit Life Insurance and Annuity Company of New York, White Plains, New York (FSB201 – 11/96). The Variable Annuity, which has been available since April 1995, and in New York since November 1995, has limitations; contact your representative. It is distributed by T. Rowe Price Investment Services, Inc., T. Rowe Price Insurance Agency, Inc., and T. Rowe Price Insurance Agency of Texas, Inc. The underlying portfolios are managed by T. Rowe Price Associates, Inc. The Security Benefit Group of companies and the T. Rowe Price companies are not affiliated. The Variable Annuity may not be available in all states.