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Aim International Funds Inc. II – ‘NSAR-A’ for 4/30/04

On:  Tuesday, 6/29/04, at 11:33am ET   ·   Effective:  6/29/04   ·   For:  4/30/04   ·   Accession #:  950129-4-4498   ·   File #:  811-07758

Previous ‘NSAR-A’:  ‘NSAR-A’ on 6/26/03 for 4/30/03   ·   Next & Latest:  ‘NSAR-A’ on 6/29/05 for 4/30/05

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  As Of               Filer                 Filing    For·On·As Docs:Size             Issuer                      Filing Agent

 6/29/04  Aim International Funds Inc. II   NSAR-A      4/30/04    5:77K                                    Bowne - Houston/FA

Semi-Annual Report by an Investment Company   —   Form N-SAR   —   ICA’40
Filing Table of Contents

Document/Exhibit                   Description                      Pages   Size 

 1: NSAR-A      Semi-Annual Report by an Investment Company           11     44K 
 2: EX-99.77E LEGAL  Legal Proceeding                                  6     26K 
 3: EX-99.77Q1 OTHR EXHB  Other Disclosure                            20     59K 
 4: EX-99.77Q1 OTHR EXHB  Other Disclosure                             2      6K 
 5: EX-99.77Q1 OTHR EXHB  Other Disclosure                             1      5K 


‘NSAR-A’   —   Semi-Annual Report by an Investment Company




SEC Info rendering:  Data from the Answer File, which may only contain updates to a prior Form N-SAR


Form N-SAR
 
Semi-Annual Report by an Open-End Investment Company
 
Report 
 
      Registrant:   A I M International Funds, Inc. IIList all N-SARs

Semi-Annual Report (at mid-year) for the 1st-half period ended:  4/30/04

Were there any Answer File errors in the Filing?  None Found
Was the Answer File completed by the Registrant?  Yes

Is this an Amendment to a previous Report?  No
Is this a change to a previous Report?      No
 
Registrant 
 
 1.SEC CIK:      906334
SEC File #:   811-07758

Telephone #:  713-626-1919
 
 2.Address:      11 Greenway Plaza, Suite 100
              Houston, TX  77046
 
 3.Is this the first Form N-SAR filed by the Registrant?  No
 
 4.Is this the final Form N-SAR filed by the Registrant?  No
 
 
Funds/Series Top of Form N-SAR 
                                                                                    
 7.Is the Registrant a Funds/Series (multiple portfolios) company?  Yes

The number of separate Funds/Series (portfolios) at period end:  1
The number of separate Funds/Series (portfolios) reported here: 1...

N-SAR S#      Fund/Series — Filings for F/S#… Symbols 
 
Information Common to All 
Series 2:     Invesco European FundN-SARs
 
Family of Investment Companies 
 
19.Is the Registrant/Series part of a “family” of investment companies?  Yes

Total number of registered management investment companies, Series
and portfolios (excluding any Unit Investment Trusts) in the family:  113

The Identification Code of the family for Form N-SAR Filings:  AIMFUNDSAA
 
Investment Company Type 
 
27.Is the Registrant an “open-end” investment company?  Yes, Open-End
 
Additional Disclosures 
 
77.Did the Registrant file any additional Exhibits with the filing of this
Report (listed here and filed either herewith — as one of the ‘EX-99.*’
Exhibits in this Filing — or separately and incorporated by reference)?  Yes

EX-99.77E:  Legal ProceedingYes

EX-99.77Q1: Other DisclosureYes

EX-99.77Q3: Other InfoYes
 
Subsidiaries 
 
78.Does the Registrant have any wholly-owned investment company
subsidiaries whose operating and financial data are consolidated with
that of the Registrant in this Report?  No
 
 All SeriesList of Funds/Series Reported Here 

Information Common to All Funds/Series
 
 All: Investment Adviser 
 
 8.1Name:         Invesco Funds Group, Inc.
Role:         Adviser
SEC File #:   801-01569
Location:     Denver, CO
 
 All: Principal Underwriter 
 
11.1Name:         A I M Distributors, Inc.
SEC File #:   008-21323
Location:     Houston, TX
 
 All: Shareholder Servicing/Transfer Agent 
 
12.1Name:         A I M Investment Services, Inc.
SEC File #:   084-05432
Location:     Houston, TX
 
 All: Independent Public Accountant 
 
13.1Name:         Pricewaterhousecoopers LLP
Location:     Houston, TX
 
 All: Custodian 
 
15.1Name:         State Street Bank & Trust Co.
Role:         Custodian
Location:     Boston, MA

Type of custody:  Section 17(f)(1) — Bank
 
15.2Name:         Chase Bank of Texas, N.A.
Role:         Sub-Custodian
Location:     Houston, TX

Type of custody:  Rule 17f-5 — Foreign Custodian
 
15.3Name:         Erste Bank Der Oesterreichisch Sparkassen AG
Role:         Sub-Custodian
Location:     Vienna
              Austria

Type of custody:  Rule 17f-5 — Foreign Custodian
 
15.4Name:         BNP Paribas Securities Services, S.A.
Role:         Sub-Custodian
Location:     Brussels
              Belgium

Type of custody:  Rule 17f-5 — Foreign Custodian
 
15.5Name:         UBS AG
Role:         Sub-Custodian
Location:     Zurich
              Switzerland

Type of custody:  Rule 17f-5 — Foreign Custodian
 
15.6Name:         Dresdner Bank AG
Role:         Sub-Custodian
Location:     Frankfurt
              Germany

Type of custody:  Rule 17f-5 — Foreign Custodian
 
15.7Name:         Danske Bank A/S
Role:         Sub-Custodian
Location:     Copenhagen
              Denmark

Type of custody:  Rule 17f-5 — Foreign Custodian
 
15.8Name:         Banco Santander Central Hispano Investment
Role:         Sub-Custodian
Location:     Madrid
              Spain

Type of custody:  Rule 17f-5 — Foreign Custodian
 
15.9Name:         Euroclear
Role:         Sub-Custodian
Location:     Brussels
              Belgium

Type of custody:  Rule 17f-5 — Foreign Custodian
 
15.10Name:         Nordea Bank Finland plc
Role:         Sub-Custodian
Location:     Helsinki
              Finland

Type of custody:  Rule 17f-5 — Foreign Custodian
 
15.11Name:         BNP Paribas Securities Services, S.A.
Role:         Sub-Custodian
Location:     Paris
              France

Type of custody:  Rule 17f-5 — Foreign Custodian
 
15.12Name:         State Street Bank & Trust Co., London
Role:         Sub-Custodian
Location:     London
              United Kingdom

Type of custody:  Rule 17f-5 — Foreign Custodian
 
15.13Name:         National Bank of Greece S.A.
Role:         Sub-Custodian
Location:     Athens
              Greece

Type of custody:  Rule 17f-5 — Foreign Custodian
 
15.14Name:         Bank of Ireland
Role:         Sub-Custodian
Location:     Dublin
              Ireland

Type of custody:  Rule 17f-5 — Foreign Custodian
 
15.15Name:         BNP Paribas Securities, S.A.
Role:         Sub-Custodian
Location:     Milan
              Italy

Type of custody:  Rule 17f-5 — Foreign Custodian
 
15.16Name:         Kas-Bank N.V.
Role:         Sub-Custodian
Location:     Amsterdam
              Netherlands

Type of custody:  Rule 17f-5 — Foreign Custodian
 
15.17Name:         Nordea Bank Norge Asa
Role:         Sub-Custodian
Location:     Oslo
              Norway

Type of custody:  Rule 17f-5 — Foreign Custodian
 
15.18Name:         Banco Comercial Portugues S.A.
Role:         Sub-Custodian
Location:     Porto Salvo
              Portugal

Type of custody:  Rule 17f-5 — Foreign Custodian
 
15.19Name:         Skandinaviska Enskilda Banken AB
Role:         Sub-Custodian
Location:     Stockholm
              Sweden

Type of custody:  Rule 17f-5 — Foreign Custodian
 
15.20Name:         The Development Bank of Singapore Ltd.
Role:         Sub-Custodian
Location:     Singapore
              Singapore

Type of custody:  Rule 17f-5 — Foreign Custodian
 
18.Does the Registrant’s/Series’ Custodian(s) maintain some or all of the
Registrant’s/Series’ securities in a central depository or book-entry
system pursuant to Rule 17f-4?  Yes
 
 All: Brokerage Commissions Paid on Portfolio Transactions 
 
20.The brokers who received the largest amount of gross brokerage
commissions during the period:
 
20.1Broker:       Evolution Capital, Inc.
IRS #:        13-3868618
Commissions paid ($000s)14
 
20.2Broker:       Citigroup Global Markets Inc.
IRS #:        11-2418191
Commissions paid ($000s)10
 
20.3Broker:       Deutsche Bank Securities Inc.
IRS #:        13-2730828
Commissions paid ($000s)7
 
20.4Broker:       Intermonte
Commissions paid ($000s)5
 
20.5Broker:       Carnegie, Inc.
IRS #:        13-3392829
Commissions paid ($000s)5
 
20.6Broker:       Credit Agricole Idosuez Securities Inc.
IRS #:        13-3867844
Commissions paid ($000s)4
 
20.7Broker:       Davy Stockbrokers
Commissions paid ($000s)4
 
20.8Broker:       KBC Financial Products USA, Inc.
IRS #:        13-4035459
Commissions paid ($000s)3
 
20.9Broker:       Merrill Lynch, Pierce, Fenner & Smith Inc.
IRS #:        13-5674085
Commissions paid ($000s)3
 
20.10Broker:       Alpha Strategic Management, Ltd.
IRS #:        65-0879509
Commissions paid ($000s)3
 
21.Total brokerage commissions paid by the Registrant during the period:
  Aggregate paid ($000s)67
 
 All: Holdings of Securities Issued by Registrant’s/Series’ Brokers or Dealers 
 
24.At period end, did the Registrant/Series hold any securities of the
Registrant’s/Series’ regular brokers or dealers, or of the parents of
such brokers or dealers, that derive more than 15% of gross revenue from
securities-related activities?  No
 
 All: Considerations which Affected the Participation of Brokers or Dealers 
 
26.Considerations which affected the participation of brokers or dealers or
other entities in commissions or other compensation paid on portfolio
transactions of the Registrant:

Consideration?
Sales of the Registrant’s/Series’ shares ...............................  No
Receipt of investment research and statistical info ....................  Yes
Receipt of quotations for portfolio valuations .........................  No
Ability to execute portfolio transactions to obtain the best price
  and execution ........................................................  Yes
Receipt of telephone line and wire services ............................  No
Broker or Dealer which is an affiliated person .........................  No
An arrangement to return or credit part or all of commissions or
  profits thereon...
    To an Investment Adviser or Principal Underwriter, or to an
      affiliated person of either ......................................  No
    To the Registrant ..................................................  No
Other ..................................................................  No
 
 All: Sales and Repurchases 
 
28.Monthly total Net Asset Value (NAV) of sales and repurchases of the
Registrant’s/Series’ shares:
 
1st Month of period:  ($000s)
    Total NAV of shares sold:
      New sales (including exchanges) ............................
256
      Reinvestment of dividends and distributions ................ 1,796
      Other ......................................................
    Total NAV of shares redeemed & repurchased (inc. exchanges) .. 5,334
2nd Month:
    Total NAV of shares sold:
      New sales (including exchanges) ............................
      Reinvestment of dividends and distributions ................
      Other ......................................................
    Total NAV of shares redeemed & repurchased (inc. exchanges) ..
3rd Month:
    Total NAV of shares sold:
      New sales (including exchanges) ............................
      Reinvestment of dividends and distributions ................
      Other ......................................................
    Total NAV of shares redeemed & repurchased (inc. exchanges) ..
4th Month:
    Total NAV of shares sold:
      New sales (including exchanges) ............................
      Reinvestment of dividends and distributions ................
      Other ......................................................
    Total NAV of shares redeemed & repurchased (inc. exchanges) ..
5th Month:
    Total NAV of shares sold:
      New sales (including exchanges) ............................
      Reinvestment of dividends and distributions ................
      Other ......................................................
    Total NAV of shares redeemed & repurchased (inc. exchanges) ..
6th Month:
    Total NAV of shares sold:
      New sales (including exchanges) ............................
      Reinvestment of dividends and distributions ................
      Other ......................................................
    Total NAV of shares redeemed & repurchased (inc. exchanges) ..

Total of all months:  ($000s)
    Total NAV of shares sold:
      New sales (including exchanges) ............................
256
      Reinvestment of dividends and distributions ................ 1,796
      Other ......................................................
    Total NAV of shares redeemed & repurchased (inc. exchanges) .. 5,334

Total NAV of the Registrant’s/Series’ share sales during the period
subject to a sales load ($000s)0
 
 All: Sales Load (Front-End or Deferred) and Fees (Redemption or Maintenance) 
 
29.Was a front-end sales load deducted from any share sales during the
period?  Yes
 
30.Total front-end sales loads collected from sales (including exchanges)
by Principal Underwriter or by any underwriter which is an affiliated
person of the Principal Underwriter, of the Registrant’s/Series’ shares
during the period ($000s)0

The maximum sales load rate in effect at period end as a percentage of
the offering price:  5.5%
The minimum sales load rate in effect at period end as a percentage of
the offering price:  0.0%
 
31.Net amount retained by the Registrant’s/Series’ Principal Underwriter or
by any underwriter or dealer which is an affiliated person of the
Principal Underwriter thereof from front-end sales loads collected from
sales of the Registrant’s/Series’ shares during the period ($000s)0

Amount by which payout by the Registrant’s/Series’ Principal Underwriter
or by any underwriter which is an affiliated person of the Principal
Underwriter thereof to persons or entities selling the
Registrant’s/Series’ shares exceeded that reported in Item 30 ($000s)0
 
32.Amount the Registrant’s/Series’ Principal Underwriter and any
underwriters or dealers which are affiliated persons of the Principal
Underwriter paid to dealers which are not affiliated persons of the
Principal Underwriter for selling the Registrant’s/Series’ shares that
were sold with a front-end sales load during the period ($000s)0
 
33.Amount paid to a captive retail sales force of the Registrant’s/Series’
Principal Underwriter or of any underwriter or dealer which is an
affiliated person of the Principal Underwriter for selling the
Registrant’s shares that were sold with a front-end sales load during
the period ($000s)0
 
34.Did the Registrant/Series impose a deferred or contingent deferred sales
load during the period?  Yes
 
35.Total deferred or contingent deferred sales loads collected during the
period from redemptions and repurchases of the Registrant’s/Series’
shares ($000s)6
 
36.Did the Registrant/Series retain all monies collected from the deferred
or contingent deferred sales loads during the period?  No

The net amount the Registrant/Series retained from deferred or
contingent deferred sales loads ($000s)0
 
37.Did the Registrant/Series impose a redemption fee other than a deferred
or contingent sales load during the period?  Yes
 
38.Total amount of redemption fees other than deferred or contingent
deferred sales loads collected from redemptions and repurchases of the
Registrant’s/Series’ shares during the period ($000s)0
 
39.Were any account maintenance fees or other administrative fees imposed
directly on shareholders during the period?  No
 
 All: Payment Plan for the Distribution of Fund Shares 
 
40.During the period, did the Registrant/Series have a plan of distribution
adopted pursuant to Rule 12b-1?  Yes
 
41.During the period, did the Registrant/Series use its assets directly to
make payments under the 12b-1 plan?  Yes
 
42.
For the period, the percentage of total dollars paid directly by the
Registrant/Series under the 12b-1 plan for each of the following:

Percentage of Total Amount Paid  (%)
Advertising ............................................................
Printing & mailing of prospectuses to other than current shareholders ..
Payments to underwriters ............................................... 100
Payments to brokers or dealers .........................................
Direct payments to sales personnel .....................................
Payments to banks and savings & loans ..................................
Other uses, including payments to its Investment Adviser separate
  from the advisory fee ................................................
Unallocated payments made for a combination of such services ...........
 
43.Total amount paid directly by the Registrant/Series pursuant to its
12b-1 plan ($000s)27
 
44.If an Investment Adviser or other affiliated person of the
Registrant/Series made unreimbursed payments pursuant to the 12b-1 plan,
the total amount of such payments ($000s)0
 
 All: Advisory Fee 
 
45.Did the Registrant/Series have an advisory contract during the period?  Yes
 
46.Did the Registrant/Series pay more than one Investment Adviser directly
for investment advice during the period?  No
 
47.Was the Registrant’s/Series’ advisory fee based solely on a percentage
of its assets?  Yes
 
48.Fee (single rate or step rates) applied to the Registrant’s/Series’
assets based on the advisory contract:
    Single-fee rate:  0.0%
    Step-fee rates:
      For 1st $000s:  350,000
        Annual rate:  0.75%
      Of next $000s:  350,000
        Annual rate:  0.65%
      Of next $000s:  1,300,000
        Annual rate:  0.55%
      Of next $000s:  2,000,000
        Annual rate:  0.45%
      Of next $000s:  2,000,000
        Annual rate:  0.4%
      Of next $000s:  2,000,000
        Annual rate:  0.375%
      & Above $000s:  8,000,000
        Annual rate:  0.35%
 
49.Was the Registrant’s/Series’ advisory fee during the period based solely
on a percentage of its income?  No
 
50.Was the Registrant’s/Series’ advisory fee during the period based on
some combined percentage of its income and assets?  No
 
51.Was the Registrant’s/Series’ advisory fee during the period based in
whole or in part on its investment performance?  No
 
52.Was the Registrant’s/Series’ advisory fee during the period based in
whole or in part on the assets, income or performance of other
Registrants?  No
 
53.Were the expenses of the Registrant/Series limited or reduced at any
time during the period by some agreement or understanding other than by
Blue Sky Laws?  Yes

Was the limitation that applied during the period based on...
    Assets?   Yes
    Income?   No
 
54.Indicated below are whether services were supplied or paid for wholly or
in substantial part by Investment Adviser(s) or Administrator(s) in
connection with the advisory or administrative contract(s) but for which
the Adviser(s) or Administrator(s) are not reimbursed by the Registrant:

Provided to the Registrant?
Occupancy and office rental ............................................  No
Clerical and bookkeeping services ......................................  No
Accounting services ....................................................  No
Services of independent auditors .......................................  No
Services of outside counsel ............................................  No
Registration and filing fees ...........................................  No
Stationery, supplies and printing ......................................  No
Salaries & compensation of Registrant’s interested Directors ...........  No
Salaries & compensation of Registrant’s disinterested Directors ........  No
Salaries & compensation of Registrant’s Officers who aren’t Directors ..  No
Reports to current shareholders ........................................  No
Determination of offering and redemption prices ........................  No
Trading department .....................................................  No
Prospectus preparation and printing for current shareholders ...........  No
Other ..................................................................  No
 
 All: Miscellaneous Info 
 
55.Did the Registrant/Series have any of the following outstanding at any
time during the period which exceeded 1% of aggregate net assets:
    Overdrafts?  Yes
    Bank loans?  No
 
56.During the period, did the Registrant’s/Series’ Investment Adviser(s)
have advisory clients other than investment companies?  No
 
57.Did the Registrant/Series adjust the number of its shares outstanding by
means of a stock split or stock dividend?  No
 
 All: Classification and Asset Allocation 
 
58.Is the Registrant/Series a Separate Account of an insurance company?  No
 
59.Is the Registrant/Series a management investment company?  Yes
 
60.Was the Registrant/Series a diversified investment company at any time
during the period?  Yes

Was the Registrant/Series a diversified investment company at the end of
the period?  No
 
61.The lowest minimum initial investment required by the Registrant/Series
from an investor that is not an employee or otherwise affiliated with
the Registrant/Series, its Investment Adviser, Principal Underwriter or
other affiliated entity:  $50
 
62.Does the Registrant/Series invest primarily in debt securities,
including convertible debt securities, options & futures on debt
securities or indices of debt securities?  No
 
66.Is the Registrant/Series a Fund that usually invests in equity
securities, options & futures on equity securities, indices of equity
securities or securities convertible into equity securities?  Yes

Which best describes its primary investment objective:

    Aggressive capital appreciation?  No
               Capital appreciation?  Yes
    Growth?                           No
    Growth and income?                No
               Income?                No
    Total return?                     No
 
67.Is the Registrant/Series a “balanced” Fund?  No
 
68.Does the Registrant/Series have more than 50% of its net assets at
period end invested in the securities of issuers...
    Engaged primarily in production or distribution of precious metals?  No
    Located primarily in countries other than the United States?  Yes
 
69.Is the Registrant/Series an index Fund?  No
 
 All: Investment Practices 
 
70.Activities that are permitted by the Registrant’s/Series’ investment
policies, and which were engaged in during the period:

Activity                                            Permitted Engaged In
Writing or investing in repurchase agreements?           Yes      No
Writing or investing in options on equities?             Yes      No
Writing or investing in options on debt securities?      Yes      No
Writing or investing in options on stock indices?        Yes      No
Writing or investing in interest rate futures?           Yes      No
Writing or investing in stock index futures?             Yes      No
Writing or investing in options on futures?              Yes      No
Writing or investing in options on stock index futures?  Yes      No
Writing or investing in other commodity futures?         No        
Investments in restricted securities?                    Yes to both
Investments in shares of other investment companies?     Yes to both
Investments in securities of foreign issuers?            Yes to both
Currency exchange transactions?                          Yes to both
Loaning portfolio securities?                            Yes to both
Borrowing of money?                                      No        
Purchases/sales by certain exempted affiliated persons?  Yes      No
Margin purchases?                                        No        
Short selling?                                           Yes      No
 
 All: Portfolio Turnover 
 
71.Portfolio turnover rate for the period:
 
Purchases ($000s)12,150
Sales ($000s):      20,823

Monthly average Value of portfolio ($000s)157,660

Percent turnover (lesser of Purchases or Sales, divided by Value):  8%
 
 All: Financial Info — Income and Expenses 
 
72.The number of months covered by the values in Items 72 and 73:  1

Income  ($000s)
Net interest income ..............................................
Net dividend income .............................................. 81
Account maintenance fees .........................................
Net other income ................................................. 1

Expenses  ($000s)
Advisory fees ....................................................
77
Administrator fees ...............................................
Salaries and other compensation ..................................
Shareholder Servicing Agent fees ................................. 55
Custodian fees ................................................... 1
Postage ..........................................................
Printing expenses ................................................
Directors’ fees ..................................................
Registration fees ................................................ 22
Taxes ............................................................
Interest .........................................................
Bookkeeping fees paid to anyone performing this service .......... 5
Auditing fees ....................................................
Legal fees ....................................................... 1
Marketing/distribution payments, incl. Rule 12b-1 plan payments .. 27
Amortization of organization expenses ............................
Shareholder meeting expenses .....................................
Other expenses ................................................... 10
Total expenses ................................................... 198

Expense reimbursements ($000s):   9

Net investment income ($000s):    -107

Realized capital gains ($000s):   2,350
Realized capital losses ($000s)798

Net unrealized appreciation during the period ($000s)1,715
Net unrealized depreciation during the period ($000s)0

Total income dividends for which the record date passed during the
period ($000s)1
Dividends for a second class of shares ($000s)1,874

Total capital gains distributions for which the record date passed
during the period ($000s)0
 
73.Distributions per share for which the record date passed during the
period, shown in fractions of a cent, if so declared:

Dividends from net investment income:    $0.0000

Distribution of capital gains:  $0.0000
Other distributions:            $0.0000
 
 All: Financial Info — Condensed Balance Sheet Data 
 
74.Assets  ($000s)
Cash .............................................................
Repurchase agreements ............................................
Short-term debt securities, other than repurchase agreements .....
Long-term debt securities, including convertible debt ............
Preferred, conv. preferred and adjustable-rate preferred stock ...
Common stock .....................................................
Options on equities ..............................................
Options on all futures ...........................................
Other investments ................................................
Receivables from portfolio instruments sold ......................
Receivables from affiliated persons ..............................
Other receivables ................................................
All other assets .................................................
Total assets .....................................................

Liabilities  ($000s)
Payables for portfolio instruments purchased .....................
Amounts owed to affiliated persons ...............................
Senior long-term debt ............................................
Other liabilities:
  Reverse repurchase agreements ..................................
  Short sales ....................................................
  Written options ................................................
  All other liabilities ..........................................

Equity  ($000s)
Senior equity ....................................................
Net assets of common shareholders ................................

Number of shares outstanding (000s):   0

Net Asset Value (NAV) per share (to nearest cent):  $0.00

Total number of shareholder accounts:  0

Total value of assets in segregated accounts ($000s)0
 
75.Monthly average net assets during the period ($000s)164,629
 
 Series 2Information Common to All Funds/Series  List of Funds/Series 
 
 7.Name:         Invesco European FundN-SARs

Is this the final Form N-SAR filed for this Fund/Series?  Yes
 
 Signature  Top of Form N-SAR 
                                                                                    
/s/      Sidney Dilgren      
Name:   Sidney Dilgren
Title:  VP & Treasurer

Top
Filing Submission 0000950129-04-004498   –   Alternative Formats (Word / Rich Text, HTML, Plain Text, et al.)

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