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Preliminary Proxy Statement
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Confidential, for Use of the Commission Only (as permitted by Rule 14a-6(e)(2))
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Definitive Proxy Statement
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Definitive Additional Materials
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Soliciting Material Pursuant to §240.14a-12
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No fee required.
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Fee computed on table below per Exchange Act Rules 14a-6(i)(1) and 0-11.
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(1)
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Title of each class of securities to which transaction applies:
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(2)
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Aggregate number of securities to which transaction applies:
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(3)
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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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(4)
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Proposed maximum aggregate value of transaction:
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(5)
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Total fee paid:
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☐
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Fee paid previously with preliminary materials.
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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.
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(1)
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Amount Previously Paid:
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(2)
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Form, Schedule or Registration Statement No.:
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(3)
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Filing Party:
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(4)
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Date Filed:
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1. |
To approve a new investment advisory agreement for each Fund.
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2. |
To approve each Fund’s ability to rely on a new manager of managers exemptive order.
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Sincerely,
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Philip J. Sanders
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President of the Trusts
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Shareholders
Entitled to Vote
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First Meeting Proposal
1. To elect fourteen (14) trustees to the Board of Trustees of each Trust (the “Trustee Election Proposal”).
Second Meeting Proposals
1. To approve a new investment advisory agreement for each Fund (the “New Investment Advisory Agreement Proposal”).
2. To approve each Fund’s
ability to rely on a new manager of managers exemptive order (the “Manager of Managers Proposal”).
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All shareholders of each Trust, voting separately
All shareholders of each Fund, voting separately
All shareholders of each Fund, voting separately
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By Order of the Board of Trustees of
Ivy Funds
InvestEd Portfolios and
Ivy Variable Insurance Portfolios
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Philip J. Sanders
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President of the Trusts
[ ], 2021
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Shareholders
Entitled to Vote
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First Meeting Proposal
1. To elect fourteen (14) trustees to the Board of Trustees of each Trust (the “Trustee Election Proposal”).
Second Meeting Proposals
1. To approve a new investment advisory agreement for each Fund (the “New Investment Advisory Agreement Proposal”).
2. To
approve each Fund’s ability to rely on a new manager of managers exemptive order (the “Manager of Managers Proposal”).
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All shareholders of each Trust, voting separately
All shareholders of each Fund, voting separately
All shareholders of each Fund, voting separately
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NAME,
ADDRESS AND
YEAR OF BIRTH
|
POSITION(S)
HELD OR TO BE HELD WITH THE TRUSTS |
TRUSTEE
SINCE |
PRINCIPAL
OCCUPATION(S) DURING PAST 5 YEARS |
NUMBER
OF FUNDS IN FUND COMPLEX OVERSEEN OR TO BE OVERSEEN |
OTHER
DIRECTORSHIPS HELD DURING PAST 5 YEARS |
Jerome D. Abernathy
100 Independence,
610 Market Street
Philadelphia, PA
19106-2354
1959
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Trustee
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N/A
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Managing Member, Stonebrook Capital Management, LLC (financial technology: macro factors and databases) (January 1993–Present)
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[ ]
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None
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Thomas L. Bennett
100 Independence,
610 Market Street
Philadelphia, PA
19106-2354
1947
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Chair and Trustee
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N/A
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Private Investor (March 2004–Present)
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[ ]
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None
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Ann D. Borowiec
100 Independence,
610 Market Street
Philadelphia, PA
19106-2354
1958
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Trustee
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N/A
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Chief Executive Officer, Private Wealth Management (2011–2013) and Market Manager, New Jersey Private Bank (2005–2011)—J.P.Morgan Chase & Co.
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[ ]
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Director—Banco Santander International (October 2016–December 2019)
Director—Santander Bank,
N.A. (December 2016–
December 2019)
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Joseph W. Chow
100 Independence,
610 Market Street
Philadelphia, PA
19106-2354
1953
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Trustee
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N/A
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Private Investor (April 2011–Present)
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[ ]
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Director and Audit Committee Member—Hercules Technology
Growth Capital, Inc. (July 2004–July 2014)
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H. Jeffrey Dobbs
6300 Lamar Avenue
Overland Park, KS
66202
1955
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Trustee
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Ivy Funds: 2019
InvestEd: 2019
Ivy VIP: 2019
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Global Sector Chairman, Industrial Manufacturing—KPMG LLP (2010-2015)
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[ ]
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Director—Valparaiso University (2012-Present)
Director—TechAccel LLC (2015-Present) (Tech R&D)
Board Member—Kansas City Repertory Theatre (2015-Present)
Board Member—PatientsVoices, Inc. (healthcare) (2018-Present)
Kansas City Campus for Animal Care (2018-Present)
Director—National Association of Manufacturers (2010- 2015)
Director—The Children’s Center (2003-2015)
Director—Metropolitan Affairs Coalition (2003-2015)
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NAME,
ADDRESS AND
YEAR OF BIRTH
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POSITION(S)
HELD OR TO BE HELD WITH THE TRUSTS |
TRUSTEE
SINCE |
PRINCIPAL
OCCUPATION(S) DURING PAST 5 YEARS |
NUMBER
OF FUNDS IN FUND COMPLEX OVERSEEN OR TO BE OVERSEEN |
OTHER
DIRECTORSHIPS HELD DURING PAST 5 YEARS |
Director—Michigan Roundtable for Diversity and Inclusion (2003-2015)
Trustee—Ivy NextShares (2019)
Trustee—Ivy VIP (2019-Present) (28 portfolios overseen)
Trustee—InvestEd Portfolios (2019-Present) (10 portfolios overseen)
Trustee—Ivy High Income Opportunities Fund (2019-Present) (1 portfolio overseen)
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John A. Fry
100 Independence,
610 Market Street
Philadelphia, PA
19106-2354
1960
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Trustee
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N/A
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President—Drexel University (August 2010–Present)
President—Franklin & Marshall College (July 2002–June 2010)
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[ ]
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Director; Compensation
Committee and Governance Committee Member—Community Health Systems (May 2004–Present)
Director—Drexel Morgan
& Co.(2015–December 2019)
Director and Audit Committee Member— vTv Therapeutics Inc. (2017–Present)
Director and Audit Committee Member—FS Credit Real Estate Income Trust, Inc. (2018–Present)
Director and Audit Committee Member—Federal Reserve Bank of Philadelphia (January
2020–Present)
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Joseph Harroz, Jr.
6300 Lamar Avenue
Overland Park, KS
66202
1967
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Trustee
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Ivy Funds: 1998
InvestEd: 2001
Ivy VIP: 1998
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President (2020-Present), Interim President (2019-2020), Vice President (2010-2019) and Dean (2010-2019)—College of Law, University of Oklahoma
Managing Member—Harroz Investments, LLC, (commercial enterprises) (1998-2019)
Managing Member—St. Clair, LLC (commercial enterprises) (2019-Present)
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[ ]
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Director—OU Medicine, Inc. (2020-Present)
Director and Shareholder—Valliance Bank (2007-Present)
Director—Foundation Healthcare (formerly Graymark HealthCare) (2008-2017)
Trustee—the Mewbourne Family Support Organization (2006 - present) (non-profit)
Independent Director—LSQ Manager, Inc. (real estate) (2007-2016)
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NAME,
ADDRESS AND
YEAR OF BIRTH
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POSITION(S)
HELD OR TO BE HELD WITH THE TRUSTS |
TRUSTEE
SINCE |
PRINCIPAL
OCCUPATION(S) DURING PAST 5 YEARS |
NUMBER
OF FUNDS IN FUND COMPLEX OVERSEEN OR TO BE OVERSEEN |
OTHER
DIRECTORSHIPS HELD DURING PAST 5 YEARS |
Director—Oklahoma Foundation for Excellence (non-profit) (2008-Present)
Independent Chairman and Trustee—Waddell & Reed Advisors Funds (Independent Chairman: 2015-2018; Trustee: 1998-2018)
Independent Chairman and Trustee—Ivy NextShares (2016-2019)
Independent Chairman and Trustee—Ivy VIP (Independent Chairman: 2015-Present; Trustee: 1998-Present) (28 portfolios overseen)
Independent Chairman and Trustee—InvestEd Portfolios (Independent Chairman: 2015-Present; Trustee: 2001-Present) (10 portfolios overseen)
Independent Chairman and Trustee—Ivy High Income Opportunities Fund (2013-Present) (1 portfolio overseen)
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Lucinda S. Landreth
100 Independence,
610 Market Street
Philadelphia, PA
19106-2354
1947
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Trustee
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N/A
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Private Investor
(2004–Present)
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[ ]
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None
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Sandra A. J. Lawrence
6300 Lamar Avenue
Overland Park, KS
66202
1957
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Trustee
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Ivy Funds: 2019
InvestEd: 2019
Ivy VIP: 2019
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Retired
Formerly, Chief Administrative Officer—Children’s Mercy Hospitals and Clinics (2016-2019); and CFO—Children’s Mercy Hospitals and Clinics (2005-2016)
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[ ]
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Director—Hall Family Foundation (1993-Present)
Director—Westar Energy (utility) (2004-2018)
Trustee—Nelson-Atkins Museum of Art (non-profit) (2007-2020)
Director—Turn the Page KC (non-profit) (2012-2016)
Director—Kansas Metropolitan Business and Healthcare
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NAME,
ADDRESS AND
YEAR OF BIRTH
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POSITION(S)
HELD OR TO BE HELD WITH THE TRUSTS |
TRUSTEE
SINCE |
PRINCIPAL
OCCUPATION(S) DURING PAST 5 YEARS |
NUMBER
OF FUNDS IN FUND COMPLEX OVERSEEN OR TO BE OVERSEEN |
OTHER
DIRECTORSHIPS HELD DURING PAST 5 YEARS |
Coalition (non-profit) (2017-2019)
Director—National Association of Corporate Directors (non-profit) (2017-Present)
Director—American Shared Hospital Services (medical device) (2017-Present)
Director—Evergy, Inc., Kansas City Power & Light Company, KCP&L Greater Missouri Operations Company, Westar Energy, Inc. and Kansas Gas and Electric Company (related utility
companies) (2018-Present)
Director—Stowers (research) (2018);
CoChair—Women Corporate, Directors (director education) (2018-2020)
Trustee—Ivy NextShares (2019)
Trustee—Ivy VIP (2019-Present) (28 portfolios overseen)
Trustee—InvestEd Portfolios (2019-Present) (10 portfolios overseen)
Trustee—Ivy High Income Opportunities Fund (2019-Present) (1 portfolio overseen)
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Frances A. Sevilla-Sacasa
100 Independence,
610 Market Street
Philadelphia, PA
19106-2354
1956
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Trustee
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N/A
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Private Investor
(January 2017–Present)
Chief Executive Officer— Banco Itaú International
(April 2012–December 2016)
Executive Advisor to Dean (August 2011–March 2012) and Interim Dean (January 2011–July 2011)—University of Miami School of Business Administration
President—U.S. Trust Bank of America Private Wealth
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[ ]
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Trust Manager and Audit
Committee Chair—Camden Property Trust (August 2011–Present)
Director; Strategic Planning
and Reserves Committee and Nominating and Governance Committee Member—Callon Petroleum Company (December 2019–Present)
Director; Audit Committee
Member—Carrizo Oil & Gas, Inc.(March 2018–December 2019)
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NAME,
ADDRESS AND
YEAR OF BIRTH
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POSITION(S)
HELD OR TO BE HELD WITH THE TRUSTS |
TRUSTEE
SINCE |
PRINCIPAL
OCCUPATION(S) DURING PAST 5 YEARS |
NUMBER
OF FUNDS IN FUND COMPLEX OVERSEEN OR TO BE OVERSEEN |
OTHER
DIRECTORSHIPS HELD DURING PAST 5 YEARS |
Management (Private Banking) (July 2007–December 2008)
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Thomas K. Whitford
100 Independence,
610 Market Street
Philadelphia, PA
19106-2354
1956
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Trustee
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N/A
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Vice Chairman (2010–April 2013)—PNC Financial Services Group
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[ ]
|
Director—HSBC North
America Holdings Inc.
(December 2013–Present)
Director—HSBC USA Inc. (July 2014–Present)
Director—HSBC Bank
USA, National Association
(July 2014–March 2017)
Director—HSBC Finance
Corporation (December 2013–April 2018)
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Christianna Wood
100 Independence,
610 Market Street
Philadelphia, PA
19106-2354
1959
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Trustee
|
N/A
|
Chief Executive Officer and President—Gore Creek Capital, Ltd. (August 2009–Present)
|
[ ]
|
Director; Finance
Committee and Audit
Committee Member—
H&R Block Corporation
(July 2008–Present)
Director; Investments Committee, Capital and Finance Committee and Audit Committee Member—Grange Insurance (2013–Present)
Trustee; Chair of Nominating and Governance Committee and Member of Audit Committee—The Merger Fund (2013–Present), The Merger Fund VL
(2013–Present), WCM
Alternatives: Event-Driven
Fund(2013–Present), and
WCM Alternatives: Credit
Event Fund (December 2017–Present)
Director; Chair of Governance Committee and Audit Committee Member—International Securities Exchange (2010–2016)
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Janet L. Yeomans
100 Independence,
610 Market Street
Philadelphia, PA
19106-2354
1948
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Trustee
|
N/A
|
Vice President and Treasurer
(January 2006–July 2012), Vice President—Mergers & Acquisitions (January 2003–January 2006), and Vice President and Treasurer (July 1995–January 2003)—3M Company
|
[ ]
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Director; Personnel and
Compensation Committee
Chair; Member of Nominating, Investments, and Audit Committees for various periods throughout directorship—Okabena Company (2009–2017)
|
NAME,
ADDRESS AND YEAR OF BIRTH |
POSITION(S)
HELD OR TO BE HELD WITH
THE TRUSTS |
TRUSTEE
SINCE |
PRINCIPAL
OCCUPATION(S) DURING PAST
5 YEARS |
NUMBER
OF FUNDS IN FUND COMPLEX OVERSEEN OR TO BE OVERSEEN |
OTHER
DIRECTORSHIPS HELD
|
|
Shawn K. Lytle
100 Independence,
610 Market Street
Philadelphia, PA
19106-2354
1970
|
Trustee
|
N/A
|
Global Head of Macquarie Investment Management (January 2019 – Present); Head of Americas of Macquarie Group (December 2017 – Present); Deputy Global Head of Macquarie Investment Management (2017 – 2019);
President of Macquarie Investment Management Americas (2015 – 2017)
|
[ ]
|
Trustee—UBS
Relationship Funds, SMA
Relationship Trust, and UBS Funds (May 2010–
April 2015)
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Fund
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Unaffiliated Sub-Adviser
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Ivy Securian Core Bond Fund
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Securian Asset Management, Inc.
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Ivy Securian Real Estate Securities Fund
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Securian Asset Management, Inc.
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Ivy LaSalle Global Real Estate Fund
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LaSalle Investment Management Securities, LLC
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Ivy Apollo Strategic Income Fund
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Apollo Credit Management, LLC
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Ivy Apollo Multi-Asset Income Fund
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Apollo Credit Management, LLC
LaSalle Investment Management Securities, LLC
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Ivy Pictet Targeted Return Bond Fund
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Pictet Asset Management SA
Pictet Asset Management Limited
|
Ivy ProShares S&P 500 Dividend Aristocrats Index Fund
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ProShares Advisors LLC
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Ivy ProShares Russell 2000 Dividend Growers Index Fund
|
ProShares Advisors LLC
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Ivy ProShares Interest Rate Hedged High Yield Index Fund
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ProShares Advisors LLC
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Ivy ProShares S&P 500 Bond Index Fund
|
ProShares Advisors LLC
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Ivy ProShares MSCI ACWI Index Fund
|
ProShares Advisors LLC
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Ivy PineBridge High Yield Fund
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PineBridge Investments LLC
|
Ivy Wilshire Global Allocation Fund
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Wilshire Associates, Inc.
|
Ivy Pzena International Value Fund
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Pzena Investment Management, LLC
|
Ivy International Small Cap Fund
|
Mackenzie Investments Europe Limited
Mackenzie Investments Asia Limited
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Ivy Pictet Emerging Markets Local Currency Debt Fund
|
Pictet Asset Management Limited
Pictet Asset Management (Singapore) PTE Ltd
|
Ivy VIP Securian Real Estate Securities
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Securian Asset Management, Inc.
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Ivy VIP Pathfinder Moderately Conservative — Managed Volatility
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Securian Asset Management, Inc.
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Ivy VIP Pathfinder Moderately Aggressive — Managed Volatility
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Securian Asset Management, Inc.
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Ivy VIP Pathfinder Moderate — Managed Volatility
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Securian Asset Management, Inc.
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Fund
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Platform
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Affiliated Sub-Adviser(s)
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Ivy Mid Cap Growth Fund
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Equity
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MFMHK, MIMGL
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Ivy Mid Cap Income Opportunities Fund
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Equity
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MFMHK, MIMGL
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Ivy Large Cap Growth Fund
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Equity
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MFMHK, MIMGL
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Ivy Core Equity Fund
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Equity
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MFMHK, MIMGL
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Ivy Global Growth Fund
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Equity
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MFMHK, MIMGL
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Ivy Science & Technology Fund
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Equity
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MFMHK, MIMGL
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Ivy International Core Equity Fund
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Equity
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MFMHK, MIMGL
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Ivy Managed International Opportunities Fund
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Equity
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MFMHK, MIMGL
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Ivy Accumulative Fund
|
Equity
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MFMHK, MIMGL
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Fund
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Platform
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Affiliated Sub-Adviser(s)
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Ivy Small Cap Growth Fund
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Equity
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MFMHK, MIMGL
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Ivy Small Cap Core Fund
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Equity
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MFMHK, MIMGL
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Ivy International Small Cap Fund
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Equity
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MFMHK, MIMGL
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Ivy Global Equity Income Fund
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Equity
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MFMHK, MIMGL
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Ivy Value Fund
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Equity
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MFMHK, MIMGL
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Ivy Emerging Markets Equity Fund
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Equity
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MFMHK, MIMGL
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Ivy Energy Fund
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Equity
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MFMHK, MIMGL
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Ivy Natural Resources Fund
|
Equity
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MFMHK, MIMGL
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Ivy Balanced Fund
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Multi Asset
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MIMAK, MFMHK, MIMGL, MIMEL
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Ivy Asset Strategy Fund
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Multi Asset
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MIMAK, MFMHK, MIMGL, MIMEL
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Ivy Wilshire Global Allocation Fund
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Multi Asset
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MIMAK, MFMHK, MIMGL, MIMEL
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Ivy Apollo Multi-Asset Income Fund
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Multi Asset
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MIMAK, MFMHK, MIMGL, MIMEL
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Ivy Limited Term Bond Fund
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Fixed Income
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MIMEL, MIMGL, MIMAK
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Ivy Government Securities Fund
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Fixed Income
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MIMEL, MIMGL, MIMAK
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Ivy High Income Fund
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Fixed Income
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MIMEL, MIMGL, MIMAK
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Ivy Corporate Bond Fund
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Fixed Income
|
MIMEL, MIMGL, MIMAK
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Ivy Crossover Credit Fund
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Fixed Income
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MIMEL, MIMGL, MIMAK
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Ivy Global Bond Fund
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Fixed Income
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MIMEL, MIMGL, MIMAK
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Ivy VIP Mid Cap Growth Fund
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Equity
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MFMHK, MIMGL
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Ivy VIP Growth Fund
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Equity
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MFMHK, MIMGL
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Ivy VIP Core Equity Fund
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Equity
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MFMHK, MIMGL
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Ivy VIP Global Growth Fund
|
Equity
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MFMHK, MIMGL
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Ivy VIP Science and Technology Fund
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Equity
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MFMHK, MIMGL
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Ivy VIP International Core Equity Fund
|
Equity
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MFMHK, MIMGL
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Ivy VIP Small Cap Growth Fund
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Equity
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MFMHK, MIMGL
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Ivy VIP Small Cap Core Fund
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Equity
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MFMHK, MIMGL
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Ivy VIP Global Equity Income Fund
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Equity
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MFMHK, MIMGL
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Ivy VIP Natural Resources Fund
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Equity
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MFMHK, MIMGL
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Ivy VIP Energy Fund
|
Equity
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MFMHK, MIMGL
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Ivy VIP Value Fund
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Equity
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MFMHK, MIMGL
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Ivy VIP Balanced Fund
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Multi Asset
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MIMAK, MFMHK, MIMGL, MIMEL
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Ivy VIP Asset Strategy
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Multi Asset
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MIMAK, MFMHK, MIMGL, MIMEL
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Ivy VIP Pathfinder Conservative Fund
|
Multi Asset
|
MIMAK, MFMHK, MIMGL, MIMEL
|
Ivy VIP Pathfinder Moderately Conservative Fund
|
Multi Asset
|
MIMAK, MFMHK, MIMGL, MIMEL
|
Ivy VIP Pathfinder Moderate Fund
|
Multi Asset
|
MIMAK, MFMHK, MIMGL, MIMEL
|
Ivy VIP Pathfinder Moderately Aggressive Fund
|
Multi Asset
|
MIMAK, MFMHK, MIMGL, MIMEL
|
Ivy VIP Pathfinder Aggressive Fund
|
Multi Asset
|
MIMAK, MFMHK, MIMGL, MIMEL
|
Ivy VIP Pathfinder Moderately Conservative
Managed Volatility Fund
|
Multi Asset
|
MIMAK, MFMHK, MIMGL, MIMEL
|
Ivy VIP Pathfinder Moderate Managed
Volatility Fund
|
Multi Asset
|
MIMAK, MFMHK, MIMGL, MIMEL
|
Ivy VIP Pathfinder Moderately Aggressive
Managed Volatility Fund
|
Multi Asset
|
MIMAK, MFMHK, MIMGL, MIMEL
|
Ivy VIP Limited-Term Bond Fund
|
Fixed Income
|
MIMEL, MIMGL, MIMAK
|
Ivy VIP Corporate Bond Fund
|
Fixed Income
|
MIMEL, MIMGL, MIMAK
|
Ivy VIP High Income Fund
|
Fixed Income
|
MIMEL, MIMGL, MIMAK
|
Ivy VIP Global Bond Fund
|
Fixed Income
|
MIMEL, MIMGL, MIMAK
|
• |
The nature, extent, and quality of the services to be provided to the Funds by DMC post-Transaction are expected to be of at least the same level as the services currently provided to the Funds by IICO.
|
• |
DMC’s stated commitment to maintaining and enhancing the Ivy Fund Complex shareholder experience.
|
• |
DMC does not propose changes to the investment objective(s) of any Funds.
|
• |
The proposed New Investment Advisory Agreement does not change any Fund’s contractual advisory fee rate.
|
• |
The portfolio managers and portfolio management teams at IICO that manage the Funds are expected to continue to do so post-Transaction as employees of Macquarie, if they choose to become employees of Macquarie.
|
• |
DMC proposes that the same Unaffiliated Sub-Advisers be retained post-Transaction.
|
• |
DMC may utilize certain Affiliated Sub-Advisers to leverage Macquarie’s global equity and/or global fixed income investment platform in providing advisory, trading and other services to the Funds.
|
• |
DDLP’s distribution capabilities, including its significant network of intermediary relationships, which may provide additional opportunities for the Funds to grow assets and lower fees and expenses through increased economies of scale.
|
• |
The support expressed by the current senior management team at IICO for the Transaction and IICO’s recommendation that the Boards approve the proposed New Investment Advisory Agreement.
|
• |
The commitments of Macquarie and WDR to bear all of the direct expenses of the Transaction, including all legal costs and costs associated with the proxy solicitation, regardless of whether the Transaction is consummated.
|
• |
In addition to the matters noted above, in their deliberations regarding approval of the proposed New Investment Advisory Agreement, the Boards considered the factors discussed below, among others.
|
Ivy Funds:
|
Ivy Accumulative Fund
|
Ivy Wilshire Global Allocation Fund
|
Ivy Mid Cap Income Opportunities Fund
|
Ivy Pzena International Value Fund
|
Ivy Apollo Strategic Income Fund
|
Ivy California Municipal High Income Fund
|
Ivy Corporate Bond Fund
|
Ivy Crossover Credit Fund
|
Ivy Government Securities Fund
|
Ivy Pictet Emerging Markets Local Currency Debt Fund
|
Ivy Pictet Targeted Return Bond Fund
|
Ivy PineBridge High Yield Fund
|
Ivy International Small Cap Fund
|
Ivy Apollo Multi-Asset Income Fund
|
Ivy Cash Management Fund
|
Ivy Core Equity Fund
|
Ivy Large Cap Growth Fund
|
Ivy Mid Cap Growth Fund
|
Ivy Small Cap Core Fund
|
Ivy Small Cap Growth Fund
|
Ivy Value Fund
|
Ivy Global Bond Fund
|
Ivy High Income Fund
|
Ivy Limited-Term Bond Fund
|
Ivy Municipal Bond Fund
|
Ivy Municipal High Income Fund
|
Ivy Securian Core Bond Fund
|
Ivy Emerging Markets Equity Fund
|
Ivy Global Equity Income Fund
|
Ivy Global Growth Fund
|
Ivy International Core Equity Fund
|
Ivy Managed International Opportunities Fund
|
Ivy Asset Strategy Fund
|
Ivy Balanced Fund
|
Ivy Energy Fund
|
Ivy LaSalle Global Real Estate Fund
|
Ivy Natural Resources Fund
|
Ivy Science and Technology Fund
|
Ivy Securian Real Estate Securities Fund
|
Ivy Government Money Market Fund
|
Ivy ProShares S&P 500 Dividend Aristocrats Index Fund
|
Ivy ProShares Russell 2000 Dividend Growers Index Fund
|
Ivy ProShares Interest Rate Hedged High Yield Index Fund
|
Ivy ProShares S&P 500 Bond Index Fund
|
Ivy ProShares MSCI ACWI Index Fund
|
InvestEd Portfolios:
|
InvestEd 90 Portfolio
|
InvestEd 80 Portfolio
|
InvestEd 70 Portfolio
|
InvestEd 60 Portfolio
|
InvestEd 50 Portfolio
|
InvestEd 40 Portfolio
|
InvestEd 30 Portfolio
|
InvestEd 20 Portfolio
|
InvestEd 10 Portfolio
|
InvestEd 0 Portfolio
|
Ivy Variable Insurance Portfolios:
|
Ivy VIP Pathfinder Moderate – Managed Volatility
|
Ivy VIP Pathfinder Moderately Aggressive – Managed Volatility
|
Ivy VIP Pathfinder Moderately Conservative – Managed Volatility
|
Ivy VIP Core Equity
|
Ivy VIP Growth
|
Ivy VIP Mid Cap Growth
|
Ivy VIP Small Cap Core
|
Ivy VIP Small Cap Growth
|
Ivy VIP Value
|
Ivy VIP Corporate Bond
|
Ivy VIP Global Bond
|
Ivy VIP High Income
|
Ivy VIP Limited-Term Bond
|
Ivy VIP Global Equity Income
|
Ivy VIP Global Growth
|
Ivy VIP International Core Equity
|
Ivy VIP Asset Strategy
|
Ivy VIP Balanced
|
Ivy VIP Energy
|
Ivy VIP Natural Resources
|
Ivy VIP Science and Technology
|
Ivy VIP Securian Real Estate Securities
|
Ivy VIP Government Money Market
|
Ivy VIP Pathfinder Aggressive
|
Ivy VIP Pathfinder Moderately Aggressive
|
Ivy VIP Pathfinder Moderate
|
Ivy VIP Pathfinder Moderately Conservative
|
Ivy VIP Pathfinder Conservative
|
Fund
|
Shares
|
InvestEd 90 Portfolio
|
|
InvestEd 80 Portfolio
|
|
InvestEd 70 Portfolio
|
|
InvestEd 60 Portfolio
|
|
InvestEd 50 Portfolio
|
|
InvestEd 40 Portfolio
|
|
InvestEd 30 Portfolio
|
|
InvestEd 20 Portfolio
|
|
InvestEd 10 Portfolio
|
|
InvestEd 0 Portfolio
|
Fund
|
Shares
|
|||
Class A
|
Class B
|
Class C
|
Class E
|
|
Ivy Accumulative Fund
|
||||
Ivy Apollo Multi-Asset Income Fund
|
||||
Ivy Apollo Strategic Income Fund
|
||||
Ivy Asset Strategy Fund
|
||||
Ivy Balanced Fund
|
||||
Ivy California Municipal High Income Fund
|
||||
Ivy Cash Management Fund
|
||||
Ivy Core Equity Fund
|
||||
Ivy Corporate Bond Fund
|
||||
Ivy Crossover Credit Fund
|
||||
Ivy Emerging Markets Equity Fund
|
||||
Ivy Energy Fund
|
||||
Ivy Global Bond Fund
|
||||
Ivy Global Equity Income Fund
|
||||
Ivy Global Growth Fund
|
||||
Ivy Government Money Market Fund
|
||||
Ivy Government Securities Fund
|
||||
Ivy High Income Fund
|
||||
Ivy International Small Cap Fund
|
||||
Ivy International Core Equity Fund
|
||||
Ivy Large Cap Growth Fund
|
||||
Ivy LaSalle Global Real Estate Fund
|
||||
Ivy Limited-Term Bond Fund
|
Ivy Managed International Opportunities Fund
|
||||
Ivy Mid Cap Growth Fund
|
||||
Ivy Mid Cap Income Opportunities Fund
|
||||
Ivy Municipal Bond Fund
|
||||
Ivy Municipal High Income Fund
|
||||
Ivy Natural Resources Fund
|
||||
Ivy Pictet Emerging Markets Local Currency Debt Fund
|
||||
Ivy Pictet Targeted Return Bond Fund
|
||||
Ivy PineBridge High Yield Fund
|
||||
Ivy ProShares Interest Rate Hedged High Yield Index Fund
|
||||
Ivy ProShares MSCI ACWI Index Fund
|
||||
Ivy ProShares Russell 2000 Dividend Growers Index Fund
|
||||
Ivy ProShares S&P 500 Bond Index Fund
|
||||
Ivy ProShares S&P 500 Dividend Aristocrats Index Fund
|
||||
Ivy Pzena International Value Fund
|
||||
Ivy Science and Technology Fund
|
||||
Ivy Securian Core Bond Fund
|
||||
Ivy Securian Real Estate Securities Fund
|
||||
Ivy Small Cap Core Fund
|
||||
Ivy Small Cap Growth Fund
|
||||
Ivy Value Fund
|
||||
Ivy Wilshire Global Allocation Fund
|
Fund
|
Shares
|
|||
Class I
|
Class N
|
Class R
|
Class Y
|
|
Ivy Accumulative Fund
|
||||
Ivy Apollo Multi-Asset Income Fund
|
||||
Ivy Apollo Strategic Income Fund
|
||||
Ivy Asset Strategy Fund
|
||||
Ivy Balanced Fund
|
||||
Ivy California Municipal High Income Fund
|
||||
Ivy Cash Management Fund
|
||||
Ivy Core Equity Fund
|
||||
Ivy Corporate Bond Fund
|
||||
Ivy Crossover Credit Fund
|
||||
Ivy Emerging Markets Equity Fund
|
||||
Ivy Energy Fund
|
||||
Ivy Global Bond Fund
|
||||
Ivy Global Equity Income Fund
|
||||
Ivy Global Growth Fund
|
Ivy Government Money Market Fund
|
||||
Ivy Government Securities Fund
|
||||
Ivy High Income Fund
|
||||
Ivy International Small Cap Fund
|
||||
Ivy International Core Equity Fund
|
||||
Ivy Large Cap Growth Fund
|
||||
Ivy LaSalle Global Real Estate Fund
|
||||
Ivy Limited-Term Bond Fund
|
||||
Ivy Managed International Opportunities Fund
|
||||
Ivy Mid Cap Growth Fund
|
||||
Ivy Mid Cap Income Opportunities Fund
|
||||
Ivy Municipal Bond Fund
|
||||
Ivy Municipal High Income Fund
|
||||
Ivy Natural Resources Fund
|
||||
Ivy Pictet Emerging Markets Local Currency Debt Fund
|
||||
Ivy Pictet Targeted Return Bond Fund
|
||||
Ivy PineBridge High Yield Fund
|
||||
Ivy ProShares Interest Rate Hedged High Yield Index Fund
|
||||
Ivy ProShares MSCI ACWI Index Fund
|
||||
Ivy ProShares Russell 2000 Dividend Growers Index Fund
|
||||
Ivy ProShares S&P 500 Bond Index Fund
|
||||
Ivy ProShares S&P 500 Dividend Aristocrats Index Fund
|
||||
Ivy Pzena International Value Fund
|
||||
Ivy Science and Technology Fund
|
||||
Ivy Securian Core Bond Fund
|
||||
Ivy Securian Real Estate Securities Fund
|
||||
Ivy Small Cap Core Fund
|
||||
Ivy Small Cap Growth Fund
|
||||
Ivy Value Fund
|
||||
Ivy Wilshire Global Allocation Fund
|
Fund
|
Shares
|
|
Class I
|
Class II
|
|
Ivy VIP Asset Strategy
|
||
Ivy VIP Balanced
|
||
Ivy VIP Core Equity
|
||
Ivy VIP Corporate Bond
|
||
Ivy VIP Energy
|
||
Ivy VIP Global Bond
|
Ivy VIP Global Equity Income
|
||
Ivy VIP Global Growth
|
||
Ivy VIP Government Money Market
|
||
Ivy VIP Growth
|
||
Ivy VIP High Income
|
||
Ivy VIP International Core Equity
|
||
Ivy VIP Limited-Term Bond
|
||
Ivy VIP Mid Cap Growth
|
||
Ivy VIP Natural Resources
|
||
Ivy VIP Pathfinder Aggressive
|
||
Ivy VIP Pathfinder Conservative
|
||
Ivy VIP Pathfinder Moderate
|
||
Ivy VIP Pathfinder Moderate – Managed Volatility
|
||
Ivy VIP Pathfinder Moderately Aggressive
|
||
Ivy VIP Pathfinder Moderately Aggressive – Managed Volatility
|
||
Ivy VIP Pathfinder Moderately Conservative
|
||
Ivy VIP Pathfinder Moderately Conservative – Managed Volatility
|
||
Ivy VIP Science and Technology
|
||
Ivy VIP Securian Real Estate Securities
|
||
Ivy VIP Small Cap Core
|
||
Ivy VIP Small Cap Growth
|
||
Ivy VIP Value
|
Trust
|
Fiscal Year End
|
# of Governance Committee Meetings
|
# of Audit Committee Meetings
|
# of Investment Oversight Committee Meetings
|
# of Executive Committee Meetings
|
Ivy Funds
|
3/31/20*
|
5
|
4
|
4
|
0
|
Ivy Funds
|
6/30/20**
|
5
|
4
|
4
|
0
|
Ivy Funds
|
9/30/19***
|
5
|
4
|
4
|
0
|
InvestEd Portfolios
|
12/31/19
|
5
|
4
|
4
|
0
|
Ivy VIP
|
12/31/19
|
5
|
4
|
4
|
0
|
Ivy Asset Strategy Fund
Ivy Balanced Fund
Ivy Core Equity Fund
Ivy Emerging Markets Equity Fund
Ivy Energy Fund
Ivy Global Bond Fund
Ivy Global Equity Income Fund
Ivy Global Growth Fund
Ivy Government Money Market Fund
Ivy High Income Fund
Ivy International Core Equity Fund
Ivy Large Cap Growth Fund
Ivy LaSalle Global Real Estate Fund
|
Ivy Limited-Term Bond Fund
Ivy Managed International Opportunities Fund
Ivy Mid Cap Growth Fund
Ivy Mid Cap Income Opportunities Fund
Ivy Municipal Bond Fund
Ivy Municipal High Income Fund
Ivy Natural Resources Fund
Ivy Pzena International Value Fund
Ivy Science and Technology Fund
Ivy Securian Core Bond Fund
Ivy Securian Real Estate Securities Fund
Ivy Small Cap Core Fund
Ivy Small Cap Growth Fund
Ivy Value Fund
|
Ivy Accumulative Fund
|
Ivy Wilshire Global Allocation Fund
|
Ivy Apollo Multi-Asset Income Fund
Ivy Apollo Strategic Income Fund
Ivy California Municipal High Income Fund
Ivy Cash Management Fund
Ivy Corporate Bond Fund
Ivy Crossover Credit Fund
Ivy Government Securities Fund
Ivy International Small Cap Fund
Ivy Pictet Emerging Markets Local Currency Debt Fund
|
Ivy Pictet Targeted Return Bond Fund
Ivy PineBridge High Yield Fund
Ivy ProShares S&P 500 Dividend Aristocrats Index Fund
Ivy ProShares Russell 2000 Dividend Growers Index Fund
Ivy ProShares Interest Rate Hedged High Yield Index Fund
Ivy ProShares S&P 500 Bond Index Fund
Ivy ProShares MSCI ACWI Index Fund
|
1. |
Identifying and recommending for nomination candidates to serve as Independent Trustees.
|
2. |
Reviewing periodically the workload and composition of the Board and, as the Committee deems appropriate, making recommendations to the Board regarding the size and composition of the Board.
|
4. |
Reviewing annually and making recommendations to the Board regarding Independent Trustee compensation and related matters.
|
5. |
Overseeing the implementation of the Trusts’ governance practices and policies.
|
6. |
Overseeing the Trusts’ program for compliance under Rule 38a-1 under the 1940 Act and the Trusts’ implementation and enforcement of compliance policies and procedures thereunder (the “Compliance Program”).
|
7. |
Overseeing the Trusts’ Chief Compliance Officer (the “CCO”).
|
8. |
Monitoring and oversight of counsel.
|
9. |
Receiving reports from the respective Code of Ethics Oversight Committees and the Internal Compliance Controls Committees of Waddell & Reed, Inc. (“WRI”), and Waddell & Reed Services Company (“WRSCO”) made by such Committees
pursuant to the settlement entered into by WRI, and WRSCO with the U.S. Securities and Exchange Commission.
|
1. |
Composition. The Committee shall be composed of three or more Independent Trustees.
|
2. |
Compensation. The Board shall determine the compensation of Committee members, including the Chairman of the Committee (the “Chairman”).
|
3. |
Selection and Removal. The Board shall appoint members of the Committee, including the Chairman, for one-year terms. There is no limit on the number of consecutive terms that a Committee member or a Chairman can serve. By a
majority vote, the Board may remove or replace members of the Committee and designate a different member as Chairman for any reason at any time.
|
1. |
Meetings. The Committee shall meet at least twice annually, or more frequently as circumstances dictate. Meetings may be called by the Chairman or by a majority of the Committee members upon reasonable notice to the other members
of the Committee. Meetings shall be chaired by the Chairman or, in his or her absence, by a member chosen by the Committee. Meetings may be conducted with members present in person or by telephone or other communications facilities that
permit all persons participating in the meeting to hear or communicate with each other simultaneously, and the Committee may act by written consent, to the extent permitted by law and by the Bylaws of the Trusts. The presence in person or by
telephone of a majority of the Committee members shall constitute a quorum for the transaction of business. If a quorum is not present, the member(s) of the Committee who is/are present may select any other members of the Board to serve on
the Committee for such meeting in the place of any absent member. The act of a majority of the members present at a meeting at which a quorum is present shall be the act of the Committee. The Committee may consult with management and
representatives of the servicing agents as the Committee deems appropriate and to ask such persons to attend meetings and provide pertinent information as necessary.
|
2. |
Minutes. The Committee shall keep minutes of its meetings and provide copies of such minutes to the Board for its review.
|
1. |
Candidate Identification and Recommendation.
|
a. |
The Committee shall identify and recommend to the Board candidates for selection and nomination as an Independent Trustee. The Committee shall consider recommendations for potential candidates from any source it deems appropriate.
|
b. |
The Committee shall evaluate potential candidates’ qualifications for Board membership and their independence from each Trust’s investment adviser and other principal service providers. The Committee shall consider the effect of any
relationships delineated in the 1940 Act or other types of relationships, e.g., business, financial or family relationships with the investment adviser(s) or other principal service providers, which
might impair independence. In determining potential candidates’ qualifications for Board membership, the Committee may consider the specific experience, education, qualifications and other skills in light of the Trusts’ business and
structure, diversity and such other factors as the Committee may consider relevant.
|
c. |
The Committee shall nominate candidates for new or vacant Board positions based on its evaluation of which applicants or potential candidates are well qualified to serve and
|
4. |
Consideration of Submissions by Shareholders of Potential Nominees. The Committee shall consider potential candidates for nomination identified by one or more shareholders of a Trust. Shareholders can submit recommendations in
writing to the attention of the Chairman at an address to be maintained by Trust management for this purpose.
|
5. |
Board Composition. The Committee shall periodically review the workload and composition of the Board to determine whether it may be appropriate to recommend that the Board increase or reduce the number of positions on the Board.
|
6. |
Independent Chairman. The Committee shall nominate candidates to serve as Independent Chairman of the Board (the “Independent Chairman”). The Committee may consider all factors it may determine to be appropriate to fulfilling the
role of the Independent Chairman.
|
7. |
Board Compensation. The Committee shall annually review the compensation paid to Independent Trustees, including the appropriateness and amount of any special compensation for specific positions or services, such as service on
Board committees, as a Chairman or the Independent Chairman, and shall recommend any proposed changes in compensation paid to the Independent Trustees. The Committee shall periodically review and recommend to the Independent Trustees whether
to amend policies relating to Independent Trustees’ investments in the Trusts, retirement age, Trustee Emeritus and deferred fee agreements.
|
8. |
Oversight of the Compliance Program and the CCO.
|
a. |
Oversight of Compliance Program.
|
i. |
To the extent the Committee deems necessary or appropriate, the Committee shall review and evaluate the CCO’s written reports to the Board, and shall also review any periodic compliance report that the chief compliance officer (or his or
her designee) of a service provider to the Trusts has prepared for the Board or the Committee.
|
ii. |
The Committee may request from time to time such other reports from the CCO and the Service Providers as the Committee deems necessary or appropriate to fulfilling its responsibilities, including reports regarding the planning, scope and
staffing of the CCO’s ongoing oversight and annual review of the adequacy of the Trusts’ and Service Providers’ Compliance Programs and the effectiveness of their implementation.
|
b. |
Oversight of CCO.
|
i. |
The Committee shall assist the Board in the selection, appointment, review and retention and termination of the Trusts’ CCO.
|
ii. |
In connection with the selection of a new CCO, the Committee shall review and evaluate the qualifications of each candidate for appointment as the Trusts’ CCO.
|
iii. |
The Committee shall review and evaluate the CCO’s performance, including, when applicable, consideration of the CCO’s effectiveness in devising, implementing, maintaining and updating the Trusts’ Compliance Program and the CCO’s overall
performance, including the CCO reporting any material compliance matters to the Independent Chairman of the Board or directly to the Board.
|
iv. |
The Committee shall assist the Board in evaluating and approving the compensation paid to the CCO.
|
9. |
Monitoring Counsel. The Committee shall monitor the performance of legal counsel employed by the Trusts, and by the Independent Trustees, and shall be responsible for the supervision of counsel to the Independent Trustees.
|
10. |
Other Duties.
|
a. |
The Board shall adopt and approve this Charter and may amend it on the Board’s own motion. The Committee shall review this charter annually and recommend to the Board any necessary or appropriate changes thereto.
|
b. |
The Committee shall report its activities to the Board on a regular basis and make such recommendations with respect to its functions and other matters as the Committee deems necessary and appropriate
|
c. |
The Committee shall, from time to time, recommend to the Board policies concerning Board governance matters, as requested by the Independent Chairman or the Board.
|
d. |
The Committee shall coordinate with counsel for the Trusts and the Independent Trustees to establish and carry out a process for an annual evaluation by the Board of the performance of the Board and, as applicable, the various committees
of the Board.
|
e. |
The Committee shall review, as it deems necessary or appropriate, the responsibilities of the committees of the Board, whether there is a continuing need for each committee, whether there is a need for additional committees and whether
committees should be combined or reorganized and shall make recommendations to the Board on these matters.
|
f. |
The Committee shall address such other matters as the Board may from time to time refer to the Committee. The Committee shall also authorize and oversee investigations into any matters within the Committee’s scope of responsibilities. In
that regard, the Committee shall be empowered to use assets of the Trusts to retain independent counsel, consultants or other professionals to assist in the conduct of any such investigation.
|
Trustee
|
Fund
|
Dollar Range
of Shares Owned |
Aggregate Dollar Range of Equity Securities in All Funds Overseen or to be Overseen by Nominee in Fund Complex
|
Independent Trustees
|
|||
H. Jeffrey Dobbs
|
Ivy Emerging Markets Equity Fund
|
$10,001-$50,000
|
Over $100,000
|
Ivy Global Growth Fund
|
$10,001-$50,000
|
||
Ivy Large Cap Growth Fund
|
$10,001-$50,000
|
||
Ivy Science and Technology Fund
|
$10,001-$50,000
|
||
Joseph Harroz, Jr.1
|
Ivy Variable Portfolios
|
See note 1 below
|
Over $100,000
|
Ivy Apollo Multi-Asset Income Fund
|
Over $100,000
|
||
Ivy Apollo Strategic Income Fund
|
Over $100,000
|
||
Ivy International Small Cap Fund
|
Over $100,000
|
||
Ivy Pictet Emerging Markets Local Currency Debt Fund
|
Over $100,000
|
||
Ivy Wilshire Global Allocation Fund
|
$10,001-$50,000
|
||
Ivy Core Equity Fund
|
$10,001-$50,000
|
||
Ivy Emerging Markets Equity Fund
|
Over $100,000
|
||
Ivy Energy Fund
|
$50,001-$100,000
|
||
Ivy Global Equity Income Fund
|
$10,001-$50,000
|
||
Ivy International Core Equity Fund
|
Over $100,000
|
||
Ivy Large Cap Growth Fund
|
Over $100,000
|
||
Ivy Natural Resources Fund
|
$1-$10,000
|
||
Ivy Value Fund
|
Over $100,000
|
||
Ivy Balanced Fund
|
$10,001-$50,000
|
||
Ivy Science and Technology Fund
|
Over $100,000
|
||
Ivy Securian Core Bond Fund
|
Over $100,000
|
||
Ivy Mid Cap Growth Fund
|
Over $100,000
|
||
Sandra A. J. Lawrence
|
Ivy International Core Equity Fund
|
$50,001-$100,000
|
Over $100,000
|
Ivy Mid Cap Growth Fund
|
Over $100,000
|
||
Ivy Science and Technology Fund
|
Over $100,000
|
||
Independent Trustee Candidates
|
|||
Jerome D. Abernathy
|
None
|
None
|
None
|
Thomas L. Bennett
|
None
|
None
|
None
|
Ann D. Borowiec
|
None
|
None
|
None
|
Joseph W. Chow
|
None
|
None
|
None
|
John A. Fry
|
None
|
None
|
None
|
Lucinda S. Landreth
|
None
|
None
|
None
|
Frances A. Sevilla-Sacasa
|
None
|
None
|
None
|
Trustee
|
Fund
|
Dollar Range
of Shares Owned |
Aggregate Dollar Range of Equity Securities in All Funds Overseen or to be Overseen by Nominee in Fund Complex
|
Thomas K. Whitford
|
None
|
None
|
None
|
Christianna Wood
|
None
|
None
|
None
|
Janet L. Yeomans
|
None
|
None
|
None
|
Interested Trustee Candidate
|
|||
Shawn K. Lytle
|
None
|
None
|
None
|
Ivy VIP Small Cap Core
|
|
over $100,000
|
|
FUND NAME
|
CLASS
|
SHAREHOLDER
|
CITY
|
STATE
|
TOTAL SHARES OWNED
|
% OF CLASS
|
IVY ACCUMALTIVE FUND
|
B
|
CHARLES SCHWAB & CO. INC.
|
SAN FRANCISCO
|
CA
|
2,421.937
|
7.04%
|
|
B
|
MICHAEL WILLIAMS
|
FULTON
|
NY
|
1,994.088
|
5.79%
|
|
B
|
BARBARA GRUBBS
|
COLUMBIA
|
SC
|
1,730.947
|
5.03%
|
|
B
|
LISA GODLEWSKI
|
MUNSTER
|
IN
|
1,798.129
|
5.23%
|
|
C
|
TAMMY NUNN
|
NASHVILLE
|
TN
|
24,293.282
|
6.14%
|
|
N
|
CHARLES SCHWAB & CO INC
|
SAN FRANCISCO
|
CA
|
20,761.188
|
46.08%
|
|
N
|
IVY INVESTMENT MANAGEMENT COMPANY
|
MISSION
|
KS
|
24,295.432
|
53.92%
|
IVY APOLLO MULTI-ASSET INCOME FUND
|
A
|
EDWARD JONES
|
SAINT LOUIS
|
MO
|
507,130.339
|
6.06%
|
|
N
|
EDWARD JONES
|
SAINT LOUIS
|
MO
|
118,415.414
|
35.56%
|
|
C
|
NATIONAL FINANCIAL SVCS CORP
|
BOSTON
|
MA
|
127,103.992
|
13.40%
|
|
C
|
UBS FINANCIAL SERVICES INC
|
JERSEY CITY
|
NJ
|
53,830.123
|
5.68%
|
|
C
|
AMERICAN ENTERPRISE INVESTMENT SVC
|
MINNEAPOLIS
|
MN
|
139,198.277
|
14.68%
|
|
C
|
RAYMOND JAMES & ASSOCIATES
|
ST PETERSBURG
|
FL
|
49,682.700
|
5.24%
|
|
C
|
LPL FINANCIAL
|
SAN DIEGO
|
CA
|
86,483.184
|
9.12%
|
|
C
|
STIFEL NICOLAUS & CO INC
|
ST LOUIS
|
MO
|
53,605.088
|
5.65%
|
|
Y
|
IVY INVESTMENT MANAGEMENT COMPANY
|
MISSION
|
KS
|
303,476.671
|
95.13%
|
|
N
|
IVY INVESTMENT MANAGEMENT COMPANY
|
MISSION
|
KS
|
201,520.914
|
60.52%
|
IVY APOLLO STRATEGIC INCOME FUND
|
ALL
|
IVY INVESTMENT MANAGEMENT COMPANY
|
MISSION
|
KS
|
2,340,338.873
|
6.37%
|
N
|
EDWARD JONES
|
SAINT LOUIS
|
MO
|
106,242.355
|
94.28%
|
|
|
A
|
IVY INVESTMENT MANAGEMENT COMPANY
|
MISSION
|
KS
|
2,340,338.873
|
21.77%
|
|
C
|
AMERICAN ENTERPRISE INVESTMENT SVC
|
MINNEAPOLIS
|
MN
|
46,525.644
|
8.59%
|
|
C
|
RAYMOND JAMES & ASSOCIATES
|
ST PETERSBURG
|
FL
|
29,872.486
|
5.51%
|
|
C
|
LPL FINANCIAL
|
SAN DIEGO
|
CA
|
43,235.668
|
7.98%
|
|
Y
|
CHARLES SCHWAB & CO INC
|
SAN FRANCISCO
|
CA
|
160,254.161
|
92.09%
|
|
Y
|
AMERITRADE INC
|
OMAHA
|
NE
|
13,349.011
|
7.67%
|
IVY ASSET STRATEGY FUND
|
ALL
|
NATIONAL FINANCIAL SVCS CORP
|
BOSTON
|
MA
|
6,855,106.412
|
6.04%
|
ALL
|
MERRILL LYNCH PIERCE FENNER & SMITH
|
JACKSONVILLE
|
FL
|
5,880,267.849
|
5.19%
|
|
ALL
|
FIRST CLEARING LLC
|
ST LOUIS
|
MO
|
10,762,127.447
|
9.49%
|
|
ALL
|
MORGAN STANLEY SMITH BARNEY LLC
|
NY
|
NY
|
7,376,231.638
|
6.50%
|
|
R
|
MID ATLANTIC TRUST
|
PITTSBURGH
|
PA
|
71,489.852
|
5.68%
|
|
|
R
|
MASSACHUSETTS MUTUAL LIFE
|
SPRINGFIELD
|
MA
|
91,577.642
|
7.27%
|
|
Y
|
VOYA INSTITUTIONAL TRUST COMPANY
|
WINDSOR
|
CT
|
2,500,247.095
|
53.99%
|
|
A
|
CHARLES SCHWAB & CO INC
|
SAN FRANCISCO
|
CA
|
3,257,473.443
|
5.12%
|
|
A
|
NATIONAL FINANCIAL SVCS CORP
|
BOSTON
|
MA
|
4,165,690.029
|
6.55%
|
|
A
|
MERRILL LYNCH PIERCE FENNER & SMITH
|
JACKSONVILLE
|
FL
|
4,991,417.241
|
7.85%
|
|
A
|
FIRST CLEARING LLC
|
ST LOUIS
|
MO
|
6,671,450.335
|
10.49%
|
|
A
|
MORGAN STANLEY SMITH BARNEY LLC
|
NY
|
NY
|
6,535,816.663
|
10.28%
|
|
B
|
CHARLES SCHWAB & CO INC
|
SAN FRANCISCO
|
CA
|
49,424.122
|
8.70%
|
|
B
|
NATIONAL FINANCIAL SVCS CORP
|
BOSTON
|
MA
|
55,447.397
|
9.76%
|
|
B
|
FIRST CLEARING LLC
|
ST LOUIS
|
MO
|
138,175.936
|
24.33%
|
|
C
|
NATIONAL FINANCIAL SVCS CORP
|
BOSTON
|
MA
|
1,144,023.537
|
10.05%
|
|
C
|
UBS FINANCIAL SERVICES INC
|
JERSEY CITY
|
NJ
|
793,208.822
|
6.97%
|
|
C
|
FIRST CLEARING LLC
|
ST LOUIS
|
MO
|
2,303,940.325
|
20.25%
|
|
C
|
LPL FINANCIAL
|
SAN DIEGO
|
CA
|
1,081,405.694
|
9.50%
|
|
I
|
UBS FINANCIAL SERVICES INC
|
JERSEY CITY
|
NJ
|
1,646,658.248
|
5.57%
|
|
I
|
FIRST CLEARING LLC
|
ST LOUIS
|
MO
|
1,603,059.486
|
5.42%
|
|
R
|
MERRILL LYNCH PIERCE FENNER & SMITH
|
JACKSONVILLE
|
FL
|
75,918.029
|
6.03%
|
|
R
|
STATE STREET BANK TR
|
BOSTON
|
MA
|
64,407.523
|
5.11%
|
|
R
|
HARTFORD LIFE INSURANCE COMPANY
|
WINDSOR
|
CT
|
393,919.130
|
31.27%
|
|
R
|
SAMMONS FINANCIAL NETWORK LLC
|
W DES MOINES
|
IA
|
330,209.562
|
26.22%
|
|
Y
|
CHARLES SCHWAB & CO INC
|
SAN FRANCISCO
|
CA
|
246,605.017
|
5.32%
|
|
Y
|
NATIONAL FINANCIAL SVCS CORP
|
BOSTON
|
MA
|
353,492.039
|
7.63%
|
|
Y
|
NATIONWIDE INVESTMENT SVCS CORP
|
COLUMBUS
|
OH
|
527,642.952
|
11.39%
|
|
N
|
CHARLES SCHWAB & CO INC
|
SAN FRANCISCO
|
CA
|
684,722.328
|
84.87%
|
IVY BALANCED FUND
|
A
|
EDWARD JONES
|
SAINT LOUIS
|
MO
|
3,463,291.982
|
6.41%
|
|
R
|
MID ATLANTIC TRUST
|
PITTSBURGH
|
PA
|
57,727.906
|
12.29%
|
|
R
|
LINCOLN RETIREMENT SERVICES CO
|
FORT WAYNE
|
IN
|
28,600.285
|
6.09%
|
|
R
|
VOYA INSTITUTIONAL TRUST COMPANY
|
WINDSOR
|
CT
|
58,650.538
|
12.48%
|
|
Y
|
MID ATLANTIC TRUST
|
PITTSBURGH
|
PA
|
74,959.361
|
12.42%
|
|
N
|
EDWARD JONES
|
SAINT LOUIS
|
MO
|
136,831.223
|
31.56%
|
|
B
|
CHARLES SCHWAB & CO INC
|
SAN FRANCISCO
|
CA
|
27,735.158
|
5.31%
|
|
B
|
NATIONAL FINANCIAL SVCS CORP
|
BOSTON
|
MA
|
28,049.417
|
5.37%
|
|
B
|
MERRILL LYNCH PIERCE FENNER & SMITH
|
JACKSONVILLE
|
FL
|
70,400.454
|
13.47%
|
|
B
|
FIRST CLEARING LLC
|
ST LOUIS
|
MO
|
129,787.546
|
24.84%
|
|
B
|
AMERICAN ENTERPRISE INVESTMENT SVC
|
MINNEAPOLIS
|
MN
|
34,528.629
|
6.61%
|
|
B
|
LPL FINANCIAL
|
SAN DIEGO
|
CA
|
49,114.515
|
9.40%
|
|
B
|
STIFEL NICOLAUS & CO INC
|
ST LOUIS
|
MO
|
30,745.449
|
5.88%
|
|
C
|
NATIONAL FINANCIAL SVCS CORP
|
BOSTON
|
MA
|
786,502.798
|
8.48%
|
|
C
|
FIRST CLEARING LLC
|
ST LOUIS
|
MO
|
1,220,034.302
|
13.15%
|
|
C
|
AMERICAN ENTERPRISE INVESTMENT SVC
|
MINNEAPOLIS
|
MN
|
1,325,430.355
|
14.29%
|
|
C
|
RAYMOND JAMES & ASSOCIATES
|
ST PETERSBURG
|
FL
|
737,106.950
|
7.95%
|
|
C
|
LPL FINANCIAL
|
SAN DIEGO
|
CA
|
716,734.690
|
7.73%
|
|
R
|
SAMMONS FINANCIAL NETWORK LLC
|
W DES MOINES
|
IA
|
264,168.775
|
56.23%
|
|
R
|
AMERICAN UNITED LIFE INS CO
|
INDIANAPOLIS
|
IN
|
29,272.139
|
6.23%
|
|
Y
|
CHARLES SCHWAB & CO INC
|
SAN FRANCISCO
|
CA
|
59,840.350
|
9.92%
|
|
Y
|
NATIONAL FINANCIAL SVCS CORP
|
BOSTON
|
MA
|
85,236.236
|
14.13%
|
|
Y
|
NATIONWIDE INVESTMENT SVCS CORP
|
COLUMBUS
|
OH
|
183,136.447
|
30.35%
|
|
Y
|
MINNESOTA LIFE INSURANCE CO
|
SAINT PAUL
|
MN
|
38,984.421
|
6.46%
|
|
Y
|
MERRILL LYNCH PIERCE FENNER & SMITH
|
JACKSONVILLE
|
FL
|
65,455.575
|
10.85%
|
|
N
|
CHARLES SCHWAB & CO INC
|
SAN FRANCISCO
|
CA
|
211,995.833
|
48.90%
|
|
N
|
NATIONWIDE INVESTMENT SVCS CORP
|
COLUMBUS
|
OH
|
52,314.393
|
12.07%
|
IVY CALIFORNIA MUNICIPAL HIGH INCOME FUND
|
ALL
|
IVY INVESTMENT MANAGEMENT COMPANY
|
MISSION
|
KS
|
1,000,000.000
|
29.65%
|
A
|
IVY INVESTMENT MANAGEMENT COMPANY
|
MISSION
|
KS
|
500,000.000
|
28.20%
|
|
|
A
|
DAVID & ESTHER WEISWASSER TRUST
|
PASADENA
|
CA
|
144,465.247
|
8.15%
|
|
A
|
GARY A DAPELO LIVING TRUST
|
MONARCH BEACH
|
CA
|
148,414.116
|
8.37%
|
|
C
|
IVY INVESTMENT MANAGEMENT COMPANY
|
MISSION
|
KS
|
100,000.000
|
59.15%
|
|
C
|
LPL FINANCIAL
|
SAN DIEGO
|
CA
|
10,663.248
|
6.31%
|
|
C
|
MICHELLE SILVA
|
SAN JOSE
|
CA
|
10,685.993
|
6.32%
|
|
I
|
IVY INVESTMENT MANAGEMENT COMPANY
|
MISSION
|
KS
|
300,000.000
|
23.00%
|
|
Y
|
CHARLES SCHWAB & CO INC
|
SAN FRANCISCO
|
CA
|
22,775.560
|
18.07%
|
|
Y
|
IVY INVESTMENT MANAGEMENT COMPANY
|
MISSION
|
KS
|
100,000.000
|
79.35%
|
IVY CASH MANAGEMENT FUND
|
ALL
|
PERSHING LLC
|
JERSEY CITY
|
NJ
|
541,541,796.960
|
41.38%
|
A
|
PERSHING LLC
|
JERSEY CITY
|
NJ
|
541,541,796.960
|
41.47%
|
|
|
B
|
IVY INVESTMENT MANAGEMENT COMPANY
|
MISSION
|
KS
|
240,000.000
|
59.33%
|
|
B
|
STANKA CONSULTING
|
S LAKE TAHOE
|
CA
|
21,360.272
|
5.28%
|
|
B
|
DEANNA DIX-BROWN
|
PRATT
|
KS
|
60,974.080
|
15.07%
|
|
B
|
ALICE J MORRIS
|
LAKEVILLE
|
MN
|
23,986.366
|
5.93%
|
|
C
|
ROBERT B WAGNER JR.
|
LEVITTOWN
|
PA
|
161,980.910
|
6.55%
|
|
C
|
THOMAS E DEARING
|
HUTCHINSON
|
KS
|
151,147.490
|
6.11%
|
IVY CORE EQUITY FUND
|
R
|
PAI TRUST CO INC
|
DE PERE
|
WI
|
2,968.386
|
9.40%
|
|
N
|
WADDELL & REED ADVISORS WILSHIRE
|
SHAWNEE MISSION
|
KS
|
2,884,026.090
|
60.36%
|
|
B
|
FIRST CLEARING LLC
|
ST LOUIS
|
MO
|
41,146.666
|
16.23%
|
|
C
|
NATIONAL FINANCIAL SVCS CORP
|
BOSTON
|
MA
|
165,230.007
|
5.49%
|
|
R
|
MERRILL LYNCH PIERCE FENNER & SMITH
|
JACKSONVILLE
|
FL
|
28,256.439
|
89.45%
|
|
Y
|
CHARLES SCHWAB & CO INC
|
SAN FRANCISCO
|
CA
|
653,035.262
|
44.63%
|
|
Y
|
NATIONAL FINANCIAL SVCS CORP
|
BOSTON
|
MA
|
392,341.941
|
26.81%
|
|
Y
|
NATIONWIDE INVESTMENT SVCS CORP
|
COLUMBUS
|
OH
|
151,162.824
|
10.33%
|
|
Y
|
MERRILL LYNCH PIERCE FENNER & SMITH
|
JACKSONVILLE
|
FL
|
93,323.047
|
6.38%
|
|
N
|
WADDELL & REED
|
SHAWNEE MISSION
|
KS
|
879,897.799
|
9.21%
|
IVY CORPORATE BOND FUND
|
C
|
WEST SUBURBAN TEACHERS UNION LOCAL
|
WESTMONT
|
IL
|
33,155.300
|
5.45%
|
|
N
|
WADDELL & REED ADVISORS WILSHIRE
|
SHAWNEE MISSION
|
KS
|
6,533,614.026
|
75.95%
|
|
B
|
LPL FINANCIAL
|
SAN DIEGO
|
CA
|
5,864.914
|
23.73%
|
|
ELIZABETH MCELWEE
|
TUMWATER
|
WA
|
1,296.700
|
5.25%
|
|
|
C
|
LPL FINANCIAL
|
SAN DIEGO
|
CA
|
45,443.138
|
7.46%
|
|
MARJORIE HYLAND
|
SCHENECTADY
|
NY
|
30,684.514
|
5.04%
|
|
|
Y
|
IVY INVESTMENT MANAGEMENT COMPANY
|
MISSION
|
KS
|
39,808.917
|
100.00%
|
IVY CROSSOVER CREDIT FUND
|
ALL
|
IVY INVESTMENT MANAGEMENT COMPANY
|
MISSION
|
KS
|
1,983,333.333
|
36.36%
|
ALL
|
AMERICAN ENTERPRISE INVESTMENT SVC
|
MINNEAPOLIS
|
MN
|
339,533.809
|
6.22%
|
|
A
|
IVY INVESTMENT MANAGEMENT COMPANY
|
MISSION
|
KS
|
1,000,000.000
|
59.32%
|
|
|
I
|
IVY INVESTMENT MANAGEMENT COMPANY
|
MISSION
|
KS
|
833,333.333
|
24.09%
|
|
I
|
AMERICAN ENTERPRISE INVESTMENT SVC
|
MINNEAPOLIS
|
MN
|
308,316.181
|
8.91%
|
|
I
|
LPL FINANCIAL
|
SAN DIEGO
|
CA
|
224,225.018
|
6.48%
|
|
Y
|
IVY INVESTMENT MANAGEMENT COMPANY
|
MISSION
|
KS
|
100,000.000
|
97.55%
|
|
N
|
WADDELL & REED
|
SHAWNEE MISSION
|
KS
|
91,986.804
|
14.75%
|
|
N
|
IVY INVESTMENT MANAGEMENT COMPANY
|
MISSION
|
KS
|
50,000.000
|
24.05%
|
|
N
|
INVESTED INCOME PORTFOLIO
|
SHAWNEE MISSION
|
KS
|
14,569.447
|
7.01%
|
|
N
|
BANK OF NEW YORK MELLON
|
SHAWNEE MISSION
|
KS
|
45,272.457
|
10.89%
|
IVY EMERGING MARKETS EQUITY FUND
|
ALL
|
CHARLES SCHWAB & CO INC
|
SAN FRANCISCO
|
CA
|
4,066,196.339
|
5.30%
|
ALL
|
NATIONAL FINANCIAL SVCS CORP
|
BOSTON
|
MA
|
5,040,569.991
|
6.57%
|
|
ALL
|
MERRILL LYNCH PIERCE FENNER & SMITH
|
JACKSONVILLE
|
FL
|
6,873,133.698
|
8.97%
|
|
ALL
|
FIRST CLEARING LLC
|
ST LOUIS
|
MO
|
4,273,176.619
|
5.57%
|
|
ALL
|
AMERICAN ENTERPRISE INVESTMENT SVC
|
MINNEAPOLIS
|
MN
|
5,410,602.863
|
7.06%
|
|
R
|
MID ATLANTIC TRUST
|
PITTSBURGH
|
PA
|
42,900.024
|
10.60%
|
|
|
N
|
EDWARD JONES
|
SAINT LOUIS
|
MO
|
1,794,006.975
|
15.35%
|
|
N
|
WADDELL & REED ADVISORS WILSHIRE
|
SHAWNEE MISSION
|
KS
|
3,410,611.064
|
29.18%
|
|
A
|
NATIONAL FINANCIAL SVCS CORP
|
BOSTON
|
MA
|
864,494.671
|
6.55%
|
|
B
|
MERRILL LYNCH PIERCE FENNER & SMITH
|
JACKSONVILLE
|
FL
|
1,651.455
|
6.66%
|
|
B
|
FIRST CLEARING LLC
|
ST LOUIS
|
MO
|
2,111.256
|
8.51%
|
|
B
|
AMERICAN ENTERPRISE INVESTMENT SVC
|
MINNEAPOLIS
|
MN
|
4,375.779
|
17.65%
|
|
B
|
LPL FINANCIAL
|
SAN DIEGO
|
CA
|
1,329.552
|
5.36%
|
|
C
|
UBS FINANCIAL SERVICES INC
|
JERSEY CITY
|
NJ
|
144,616.016
|
5.66%
|
|
C
|
FIRST CLEARING LLC
|
ST LOUIS
|
MO
|
565,977.749
|
22.17%
|
|
C
|
MORGAN STANLEY SMITH BARNEY LLC
|
NY
|
NY
|
319,615.573
|
12.52%
|
|
C
|
AMERICAN ENTERPRISE INVESTMENT SVC
|
MINNEAPOLIS
|
MN
|
451,129.562
|
17.67%
|
|
C
|
RAYMOND JAMES & ASSOCIATES
|
ST PETERSBURG
|
FL
|
163,890.314
|
6.42%
|
|
C
|
LPL FINANCIAL
|
SAN DIEGO
|
CA
|
172,831.351
|
6.77%
|
|
I
|
CHARLES SCHWAB & CO INC
|
SAN FRANCISCO
|
CA
|
2,531,087.118
|
5.36%
|
|
I
|
NATIONAL FINANCIAL SVCS CORP
|
BOSTON
|
MA
|
3,835,216.883
|
8.13%
|
|
I
|
MERRILL LYNCH PIERCE FENNER & SMITH
|
JACKSONVILLE
|
FL
|
5,231,797.345
|
11.08%
|
|
I
|
FIRST CLEARING LLC
|
ST LOUIS
|
MO
|
3,314,139.968
|
7.02%
|
|
I
|
AMERICAN ENTERPRISE INVESTMENT SVC
|
MINNEAPOLIS
|
MN
|
4,550,371.392
|
9.64%
|
|
I
|
LPL FINANCIAL
|
SAN DIEGO
|
CA
|
3,087,437.319
|
6.54%
|
|
R
|
MERRILL LYNCH PIERCE FENNER & SMITH
|
JACKSONVILLE
|
FL
|
27,281.768
|
6.74%
|
|
R
|
STATE STREET BANK TR
|
BOSTON
|
MA
|
220,703.921
|
54.55%
|
|
R
|
FRONTIER TRUSTCO
|
PORTLAND
|
OR
|
25,673.563
|
6.35%
|
|
Y
|
MERRILL LYNCH PIERCE FENNER & SMITH
|
JACKSONVILLE
|
FL
|
1,252,369.584
|
78.71%
|
|
N
|
CHARLES SCHWAB & CO INC
|
SAN FRANCISCO
|
CA
|
1,026,803.832
|
8.78%
|
|
N
|
IVY MANAGED INTERNTIONAL
|
MISSION
|
KS
|
1,863,582.208
|
15.94%
|
IVY ENERGY FUND
|
ALL
|
VOYA INSTITUTIONAL TRUST COMPANY
|
WINDSOR
|
CT
|
2,191,827.002
|
6.44%
|
R
|
VOYA INSTITUTIONAL TRUST COMPANY
|
WINDSOR
|
CT
|
2,097,330.762
|
59.69%
|
|
|
N
|
VOYA INSTITUTIONAL TRUST COMPANY
|
WINDSOR
|
CT
|
28,532.012
|
6.84%
|
|
B
|
CHARLES SCHWAB & CO INC
|
SAN FRANCISCO
|
CA
|
5,829.536
|
8.17%
|
|
B
|
FIRST CLEARING LLC
|
ST LOUIS
|
MO
|
4,135.272
|
5.79%
|
|
B
|
AMERICAN ENTERPRISE INVESTMENT SVC
|
MINNEAPOLIS
|
MN
|
49,705.364
|
69.64%
|
|
C
|
NATIONAL FINANCIAL SVCS CORP
|
BOSTON
|
MA
|
126,496.577
|
7.42%
|
|
C
|
FIRST CLEARING LLC
|
ST LOUIS
|
MO
|
116,223.899
|
6.82%
|
|
C
|
MORGAN STANLEY SMITH BARNEY LLC
|
NY
|
NY
|
108,264.819
|
6.35%
|
|
C
|
AMERICAN ENTERPRISE INVESTMENT SVC
|
MINNEAPOLIS
|
MN
|
337,450.586
|
19.80%
|
|
C
|
RAYMOND JAMES & ASSOCIATES
|
ST PETERSBURG
|
FL
|
164,607.145
|
9.66%
|
|
C
|
LPL FINANCIAL
|
SAN DIEGO
|
CA
|
188,695.473
|
11.07%
|
|
R
|
SAMMONS FINANCIAL NETWORK LLC
|
W DES MOINES
|
IA
|
1,215,418.843
|
34.59%
|
|
Y
|
CHARLES SCHWAB & CO INC
|
SAN FRANCISCO
|
CA
|
225,792.432
|
20.12%
|
|
Y
|
GWFS EQUITIES INC
|
GREENWOOD VILLAGE
|
CO
|
347,213.211
|
30.94%
|
|
Y
|
GWFS EQUITIES INC
|
GREENWOOD VILLAGE
|
CO
|
66,145.647
|
5.89%
|
|
Y
|
NATIONWIDE INVESTMENT SVCS CORP
|
COLUMBUS
|
OH
|
170,171.471
|
15.16%
|
|
N
|
CHARLES SCHWAB & CO INC
|
SAN FRANCISCO
|
CA
|
50,104.548
|
12.01%
|
|
N
|
GWFS EQUITIES INC
|
GREENWOOD VILLAGE
|
CO
|
78,920.116
|
18.92%
|
|
N
|
NATIONWIDE INVESTMENT SVCS CORP
|
COLUMBUS
|
OH
|
78,118.931
|
18.73%
|
|
N
|
FIDELITY MANAGEMENT TRUST CO
|
COVINGTON
|
KY
|
28,399.845
|
6.81%
|
|
N
|
STATE STREET BANK TR
|
BOSTON
|
MA
|
53,046.252
|
12.72%
|
|
N
|
HARTFORD LIFE INSURANCE COMPANY
|
WINDSOR
|
CT
|
25,290.346
|
6.06%
|
|
N
|
FRONTIER TRUSTCO
|
PORTLAND
|
OR
|
29,800.853
|
7.14%
|
IVY GLOBAL BOND FUND
|
ALL
|
WADDELL & REED ADVISORS WILSHIRE
|
SHAWNEE MISSION
|
KS
|
5,224,101.485
|
11.15%
|
B
|
MARY DOWNEY
|
DENVER
|
CO
|
2,016.164
|
5.74%
|
|
|
R
|
MID ATLANTIC TRUST
|
PITTSBURGH
|
PA
|
1,344.804
|
5.01%
|
|
N
|
WADDELL & REED ADVISORS WILSHIRE
|
SHAWNEE MISSION
|
KS
|
5,224,101.485
|
87.86%
|
|
B
|
AMERICAN ENTERPRISE INVESTMENT SVC
|
MINNEAPOLIS
|
MN
|
4,055.222
|
11.55%
|
|
B
|
LPL FINANCIAL
|
SAN DIEGO
|
CA
|
15,809.284
|
45.02%
|
|
C
|
FIRST CLEARING LLC
|
ST LOUIS
|
MO
|
113,009.047
|
19.73%
|
|
C
|
AMERICAN ENTERPRISE INVESTMENT SVC
|
MINNEAPOLIS
|
MN
|
50,526.929
|
8.82%
|
|
C
|
RAYMOND JAMES & ASSOCIATES
|
ST PETERSBURG
|
FL
|
65,764.670
|
11.48%
|
|
C
|
LPL FINANCIAL
|
SAN DIEGO
|
CA
|
30,351.398
|
5.30%
|
|
I
|
AMERICAN ENTERPRISE INVESTMENT SVC
|
MINNEAPOLIS
|
MN
|
1,481,975.507
|
6.52%
|
|
R
|
SAMMONS FINANCIAL NETWORK LLC
|
W DES MOINES
|
IA
|
24,496.761
|
91.22%
|
|
Y
|
CHARLES SCHWAB & CO INC
|
SAN FRANCISCO
|
CA
|
9,857.558
|
11.17%
|
|
Y
|
NATIONWIDE INVESTMENT SVCS CORP
|
COLUMBUS
|
OH
|
60,296.130
|
68.30%
|
|
Y
|
OPPENHEIMER & CO INC
|
NY
|
NY
|
13,366.293
|
15.14%
|
IVY GLOBAL EQUITY INCOME FUND
|
N
|
EDWARD JONES
|
SAINT LOUIS
|
MO
|
134,798.074
|
7.05%
|
|
B
|
IVY INVESTMENT MANAGEMENT COMPANY
|
MISSION
|
KS
|
102,777.779
|
64.36%
|
|
C
|
UBS FINANCIAL SERVICES INC
|
JERSEY CITY
|
NJ
|
44,603.152
|
6.31%
|
|
C
|
FIRST CLEARING LLC
|
ST LOUIS
|
MO
|
39,034.516
|
5.52%
|
|
C
|
MORGAN STANLEY SMITH BARNEY LLC
|
NY
|
NY
|
97,974.387
|
13.86%
|
|
C
|
RAYMOND JAMES & ASSOCIATES
|
ST PETERSBURG
|
FL
|
74,525.092
|
10.55%
|
|
R
|
IVY FUNDS DISTRIBUTOR
|
MISSION
|
KS
|
22,104.332
|
82.30%
|
|
R
|
FRONTIER TRUSTCO
|
PORTLAND
|
OR
|
4,349.186
|
16.19%
|
|
Y
|
CHARLES SCHWAB & CO INC
|
SAN FRANCISCO
|
CA
|
26,066.444
|
17.48%
|
|
Y
|
NATIONWIDE INVESTMENT SVCS CORP
|
COLUMBUS
|
OH
|
89,103.037
|
59.75%
|
|
Y
|
MERRILL LYNCH PIERCE FENNER & SMITH
|
JACKSONVILLE
|
FL
|
17,139.084
|
11.49%
|
|
N
|
CHARLES SCHWAB & CO INC
|
SAN FRANCISCO
|
CA
|
331,859.008
|
17.37%
|
|
N
|
IVY MANAGED INTERNTIONAL
|
MISSION
|
KS
|
1,443,531.605
|
75.55%
|
IVY GLOBAL GROWTH FUND
|
Y
|
MID ATLANTIC TRUST
|
PITTSBURGH
|
PA
|
3,835.243
|
6.56%
|
|
N
|
EDWARD JONES
|
SAINT LOUIS
|
MO
|
18,117.178
|
5.18%
|
|
B
|
CHARLES SCHWAB & CO INC
|
SAN FRANCISCO
|
CA
|
348.746
|
5.77%
|
|
B
|
FIRST CLEARING LLC
|
ST LOUIS
|
MO
|
1,317.312
|
21.78%
|
|
B
|
MORGAN STANLEY SMITH BARNEY LLC
|
NY
|
NY
|
320.326
|
5.30%
|
|
B
|
AMERICAN ENTERPRISE INVESTMENT SVC
|
MINNEAPOLIS
|
MN
|
370.098
|
6.12%
|
|
B
|
ROBERT GEHRKE
|
MOKENA
|
IL
|
579.488
|
9.58%
|
|
B
|
ARTHUR CROTEAU
|
MARCO ISLAND
|
FL
|
347.074
|
5.74%
|
|
C
|
UBS FINANCIAL SERVICES INC
|
JERSEY CITY
|
NJ
|
8,637.249
|
6.08%
|
|
R
|
SAMMONS FINANCIAL NETWORK LLC
|
W DES MOINES
|
IA
|
17,411.206
|
97.95%
|
|
Y
|
NATIONWIDE INVESTMENT SVCS CORP
|
COLUMBUS
|
OH
|
11,579.138
|
19.81%
|
|
Y
|
MERRILL LYNCH PIERCE FENNER & SMITH
|
JACKSONVILLE
|
FL
|
19,262.427
|
32.95%
|
|
Y
|
MILLENNIUM TRUST CO LLC
|
OAK BROOK
|
IL
|
16,751.956
|
28.65%
|
|
N
|
IVY MANAGED INTERNTIONAL
|
MISSION
|
KS
|
322,548.287
|
92.23%
|
IVY GOVERNMENT MONEY MARKET FUND
|
ALL
|
EDWARD JONES
|
SAINT LOUIS
|
MO
|
28,481,513.104
|
14.75%
|
ALL
|
PERSHING LLC
|
JERSEY CITY
|
NJ
|
37,499,575.460
|
19.42%
|
|
A
|
EDWARD JONES
|
SAINT LOUIS
|
MO
|
28,448,652.394
|
16.47%
|
|
A
|
PERSHING LLC
|
JERSEY CITY
|
NJ
|
37,499,575.460
|
21.71%
|
|
B
|
IVY INVESTMENT MANAGEMENT COMPANY
|
MISSION
|
KS
|
345,000.000
|
50.37%
|
|
B
|
MERRILL LYNCH PIERCE FENNER & SMITH
|
JACKSONVILLE
|
FL
|
123,854.220
|
18.08%
|
|
B
|
FIRST CLEARING LLC
|
ST LOUIS
|
MO
|
75,617.342
|
11.04%
|
|
B
|
MORGAN STANLEY SMITH BARNEY LLC
|
NY
|
NY
|
48,912.769
|
7.14%
|
|
C
|
CHARLES SCHWAB & CO INC
|
SAN FRANCISCO
|
CA
|
488,813.871
|
6.39%
|
|
C
|
NATIONAL FINANCIAL SVCS CORP
|
BOSTON
|
MA
|
521,901.456
|
6.82%
|
|
C
|
FIRST CLEARING LLC
|
ST LOUIS
|
MO
|
425,430.114
|
5.56%
|
|
C
|
RAYMOND JAMES & ASSOCIATES
|
ST PETERSBURG
|
FL
|
491,604.920
|
6.42%
|
|
C
|
LPL FINANCIAL
|
SAN DIEGO
|
CA
|
519,039.889
|
6.78%
|
|
C
|
VALA HOLDINGS LTD
|
PARMA
|
OH
|
686,841.600
|
8.97%
|
|
C
|
JEFFREY & CAROL FARREN
|
ALIQUIPPA
|
PA
|
580,314.380
|
7.58%
|
|
N
|
IVY INVESTMENT MANAGEMENT COMPANY
|
MISSION
|
KS
|
250,000.000
|
100.00%
|
IVY GOVERNMENT SECURITIES FUND
|
ALL
|
WADDELL & REED ADVISORS WILSHIRE
|
SHAWNEE MISSION
|
KS
|
7,566,197.286
|
10.46%
|
ALL
|
INVESTED INCOME PORTFOLIO
|
SHAWNEE MISSION
|
KS
|
3,728,281.914
|
5.16%
|
|
N
|
WADDELL & REED ADVISORS WILSHIRE
|
SHAWNEE MISSION
|
KS
|
7,566,197.286
|
25.04%
|
|
|
B
|
CHARLES SCHWAB & CO INC
|
SAN FRANCISCO
|
CA
|
2,251.482
|
10.11%
|
|
B
|
DEBRA COLVIN
|
FLORENCE
|
OR
|
2,342.952
|
10.52%
|
|
B
|
JOHN HETTERICH
|
WEST ISLIP
|
NY
|
4,125.685
|
18.53%
|
|
C
|
CHARLES SCHWAB & CO INC
|
SAN FRANCISCO
|
CA
|
22,091.964
|
5.26%
|
|
C
|
LPL FINANCIAL
|
SAN DIEGO
|
CA
|
35,888.442
|
8.55%
|
|
C
|
STIFEL NICOLAUS & CO INC
|
ST LOUIS
|
MO
|
38,420.397
|
9.15%
|
|
C
|
ALAN THOMPSON
|
SALEM
|
OR
|
39,132.219
|
9.32%
|
|
N
|
WADDELL & REED
|
SHAWNEE MISSION
|
KS
|
8,441,254.323
|
9.31%
|
|
N
|
INVESTED INCOME PORTFOLIO
|
SHAWNEE MISSION
|
KS
|
3,728,281.914
|
12.34%
|
|
N
|
INVESTED FIXED INCOME PORTFOLIO
|
SHAWNEE MISSION
|
KS
|
2,805,025.886
|
9.28%
|
|
N
|
BANK OF NEW YORK MELLON
|
SHAWNEE MISSION
|
KS
|
7,269,106.942
|
8.02%
|
IVY HIGH INCOME FUND
|
ALL
|
NATIONAL FINANCIAL SVCS CORP
|
BOSTON
|
MA
|
31,128,466.607
|
5.32%
|
ALL
|
FIRST CLEARING LLC
|
ST LOUIS
|
MO
|
30,304,133.863
|
5.18%
|
|
ALL
|
AMERICAN ENTERPRISE INVESTMENT SVC
|
MINNEAPOLIS
|
MN
|
31,337,598.860
|
5.36%
|
|
R
|
VOYA INSTITUTIONAL TRUST COMPANY
|
WINDSOR
|
CT
|
2,971,900.658
|
42.98%
|
|
|
B
|
CHARLES SCHWAB & CO INC
|
SAN FRANCISCO
|
CA
|
92,808.165
|
6.04%
|
|
B
|
NATIONAL FINANCIAL SVCS CORP
|
BOSTON
|
MA
|
167,606.723
|
10.91%
|
|
B
|
FIRST CLEARING LLC
|
ST LOUIS
|
MO
|
291,183.934
|
18.95%
|
|
B
|
RBC CAPITAL MARKETS CORPORATION
|
MINNEAPOLIS
|
MN
|
276,852.732
|
18.02%
|
|
B
|
AMERICAN ENTERPRISE INVESTMENT SVC
|
MINNEAPOLIS
|
MN
|
79,754.465
|
5.19%
|
|
C
|
NATIONAL FINANCIAL SVCS CORP
|
BOSTON
|
MA
|
4,525,334.514
|
7.44%
|
|
C
|
FIRST CLEARING LLC
|
ST LOUIS
|
MO
|
10,757,576.587
|
17.68%
|
|
C
|
AMERICAN ENTERPRISE INVESTMENT SVC
|
MINNEAPOLIS
|
MN
|
8,723,564.941
|
14.34%
|
|
C
|
RAYMOND JAMES & ASSOCIATES
|
ST PETERSBURG
|
FL
|
3,254,299.525
|
5.35%
|
|
C
|
LPL FINANCIAL
|
SAN DIEGO
|
CA
|
5,389,771.695
|
8.86%
|
|
I
|
NATIONAL FINANCIAL SVCS CORP
|
BOSTON
|
MA
|
13,947,640.201
|
5.81%
|
|
I
|
AMERICAN ENTERPRISE INVESTMENT SVC
|
MINNEAPOLIS
|
MN
|
14,629,378.055
|
6.10%
|
|
I
|
LPL FINANCIAL
|
SAN DIEGO
|
CA
|
14,131,417.010
|
5.89%
|
|
R
|
STATE STREET BANK TR
|
BOSTON
|
MA
|
434,157.072
|
6.28%
|
|
R
|
SAMMONS FINANCIAL NETWORK LLC
|
W DES MOINES
|
IA
|
3,197,884.805
|
46.25%
|
|
Y
|
CHARLES SCHWAB & CO INC
|
SAN FRANCISCO
|
CA
|
5,105,698.285
|
26.46%
|
|
Y
|
GWFS EQUITIES INC
|
GREENWOOD VILLAGE
|
CO
|
1,376,791.971
|
7.14%
|
|
Y
|
NATIONWIDE INVESTMENT SVCS CORP
|
COLUMBUS
|
OH
|
1,423,205.312
|
7.38%
|
|
Y
|
MERRILL LYNCH PIERCE FENNER & SMITH
|
JACKSONVILLE
|
FL
|
1,598,408.224
|
8.28%
|
|
Y
|
AMERITRADE INC
|
OMAHA
|
NE
|
1,265,217.502
|
6.56%
|
|
N
|
CHARLES SCHWAB & CO INC
|
SAN FRANCISCO
|
CA
|
2,267,785.926
|
20.90%
|
|
N
|
NATIONAL FINANCIAL SVCS CORP
|
BOSTON
|
MA
|
1,684,583.472
|
15.53%
|
|
N
|
NATIONWIDE INVESTMENT SVCS CORP
|
COLUMBUS
|
OH
|
2,414,170.915
|
11.13%
|
|
N
|
STATE STREET BANK TR
|
BOSTON
|
MA
|
1,066,286.302
|
9.83%
|
IVY INTERNATIONAL CORE EQUITY FUND
|
ALL
|
WADDELL & REED ADVISORS WILSHIRE
|
SHAWNEE MISSION
|
KS
|
7,728,991.948
|
5.26%
|
ALL
|
CHARLES SCHWAB & CO INC
|
SAN FRANCISCO
|
CA
|
7,800,019.578
|
5.31%
|
|
ALL
|
NATIONAL FINANCIAL SVCS CORP
|
BOSTON
|
MA
|
16,184,833.280
|
11.01%
|
|
ALL
|
AMERICAN ENTERPRISE INVESTMENT SVC
|
MINNEAPOLIS
|
MN
|
11,072,293.354
|
7.53%
|
|
N
|
VOYA INSTITUTIONAL TRUST COMPANY
|
WINDSOR
|
CT
|
2,967,703.013
|
9.44%
|
|
N
|
WADDELL & REED ADVISORS WILSHIRE
|
SHAWNEE MISSION
|
KS
|
7,728,991.948
|
24.60%
|
|
|
A
|
MERRILL LYNCH PIERCE FENNER & SMITH
|
JACKSONVILLE
|
FL
|
1,134,722.711
|
5.64%
|
|
A
|
MORGAN STANLEY SMITH BARNEY LLC
|
NY
|
NY
|
1,575,623.149
|
7.83%
|
|
B
|
FIRST CLEARING LLC
|
ST LOUIS
|
MO
|
8,775.503
|
21.04%
|
|
B
|
RBC CAPITAL MARKETS CORPORATION
|
MINNEAPOLIS
|
MN
|
2,804.698
|
6.72%
|
|
B
|
LPL FINANCIAL
|
SAN DIEGO
|
CA
|
2,347.330
|
5.63%
|
|
C
|
NATIONAL FINANCIAL SVCS CORP
|
BOSTON
|
MA
|
370,175.346
|
8.03%
|
|
C
|
FIRST CLEARING LLC
|
ST LOUIS
|
MO
|
467,964.421
|
10.16%
|
|
C
|
MORGAN STANLEY SMITH BARNEY LLC
|
NY
|
NY
|
587,874.685
|
12.76%
|
|
C
|
AMERICAN ENTERPRISE INVESTMENT SVC
|
MINNEAPOLIS
|
MN
|
971,231.516
|
21.08%
|
|
C
|
LPL FINANCIAL
|
SAN DIEGO
|
CA
|
324,739.870
|
7.05%
|
|
I
|
NATIONAL FINANCIAL SVCS CORP
|
BOSTON
|
MA
|
11,011,110.136
|
13.41%
|
|
I
|
MORGAN STANLEY SMITH BARNEY LLC
|
NY
|
NY
|
5,079,525.868
|
6.18%
|
|
I
|
AMERICAN ENTERPRISE INVESTMENT SVC
|
MINNEAPOLIS
|
MN
|
9,382,200.446
|
11.42%
|
|
R
|
STATE STREET BANK TR
|
BOSTON
|
MA
|
420,884.035
|
14.00%
|
|
R
|
SAMMONS FINANCIAL NETWORK LLC
|
W DES MOINES
|
IA
|
2,098,417.286
|
69.82%
|
|
Y
|
CHARLES SCHWAB & CO INC
|
SAN FRANCISCO
|
CA
|
614,575.095
|
11.69%
|
|
Y
|
GWFS EQUITIES INC
|
GREENWOOD VILLAGE
|
CO
|
510,817.371
|
9.72%
|
|
Y
|
NATIONAL FINANCIAL SVCS CORP
|
BOSTON
|
MA
|
1,656,262.600
|
31.51%
|
|
Y
|
NATIONWIDE INVESTMENT SVCS CORP
|
COLUMBUS
|
OH
|
488,149.892
|
9.29%
|
|
Y
|
MERRILL LYNCH PIERCE FENNER & SMITH
|
JACKSONVILLE
|
FL
|
907,182.764
|
17.26%
|
|
N
|
CHARLES SCHWAB & CO INC
|
SAN FRANCISCO
|
CA
|
3,043,801.229
|
9.69%
|
|
N
|
NATIONAL FINANCIAL SVCS CORP
|
BOSTON
|
MA
|
2,368,486.278
|
7.54%
|
|
N
|
SAXON & CO
|
PHILADELPHIA
|
PA
|
1,764,114.561
|
5.61%
|
|
N
|
IVY MANAGED INTERNTIONAL
|
MISSION
|
KS
|
3,071,158.921
|
9.77%
|
|
N
|
RELIANCE TRUST COMPANY
|
ATLANTA
|
GA
|
1,871,824.296
|
5.96%
|
IVY INTERNATIONAL SMALL CAP FUND
|
ALL
|
WADDELL & REED ADVISORS WILSHIRE
|
SHAWNEE MISSION
|
KS
|
2,440,181.678
|
24.95%
|
ALL
|
IVY MANAGED INTERNTIONAL
|
MISSION
|
KS
|
1,301,571.806
|
13.31%
|
|
ALL
|
IVY INVESTMENT MANAGEMENT COMPANY
|
MISSION
|
KS
|
812,543.856
|
8.31%
|
|
ALL
|
AMERITRADE INC
|
OMAHA
|
NE
|
861,934.604
|
8.81%
|
|
N
|
WADDELL & REED ADVISORS WILSHIRE
|
SHAWNEE MISSION
|
KS
|
2,440,181.678
|
56.64%
|
|
|
A
|
IVY INVESTMENT MANAGEMENT COMPANY
|
MISSION
|
KS
|
692,463.534
|
60.25%
|
|
C
|
IVY INVESTMENT MANAGEMENT COMPANY
|
MISSION
|
KS
|
100,000.001
|
79.21%
|
|
I
|
AMERITRADE INC
|
OMAHA
|
NE
|
861,494.396
|
20.64%
|
|
Y
|
CHARLES SCHWAB & CO INC
|
SAN FRANCISCO
|
CA
|
4,327.605
|
17.73%
|
|
Y
|
IVY INVESTMENT MANAGEMENT COMPANY
|
MISSION
|
KS
|
20,080.321
|
82.27%
|
|
N
|
IVY MANAGED INTERNTIONAL
|
MISSION
|
KS
|
1,301,571.806
|
30.21%
|
IVY LARGE CAP GROWTH FUND
|
R
|
MASSACHUSETTS MUTUAL LIFE
|
SPRINGFIELD
|
MA
|
31,019.489
|
5.90%
|
|
N
|
EDWARD JONES
|
SAINT LOUIS
|
MO
|
464,461.857
|
8.74%
|
|
N
|
WADDELL & REED ADVISORS WILSHIRE
|
SHAWNEE MISSION
|
KS
|
2,901,757.799
|
54.62%
|
|
B
|
NATIONAL FINANCIAL SVCS CORP
|
BOSTON
|
MA
|
17,560.645
|
7.23%
|
|
B
|
MERRILL LYNCH PIERCE FENNER & SMITH
|
JACKSONVILLE
|
FL
|
12,279.448
|
5.06%
|
|
B
|
FIRST CLEARING LLC
|
ST LOUIS
|
MO
|
27,633.096
|
11.38%
|
|
B
|
WADDELL & REED FINANCIAL INC
|
MISSION
|
KS
|
72,581.651
|
29.88%
|
|
C
|
FIRST CLEARING LLC
|
ST LOUIS
|
MO
|
267,108.165
|
6.64%
|
|
C
|
AMERICAN ENTERPRISE INVESTMENT SVC
|
MINNEAPOLIS
|
MN
|
231,130.570
|
5.75%
|
|
C
|
RAYMOND JAMES & ASSOCIATES
|
ST PETERSBURG
|
FL
|
320,443.452
|
7.97%
|
|
C
|
LPL FINANCIAL
|
SAN DIEGO
|
CA
|
226,347.880
|
5.63%
|
|
I
|
MORGAN STANLEY SMITH BARNEY LLC
|
NY
|
NY
|
4,959,333.099
|
5.98%
|
|
R
|
HARTFORD LIFE INSURANCE COMPANY
|
WINDSOR
|
CT
|
222,499.100
|
42.35%
|
|
R
|
SAMMONS FINANCIAL NETWORK LLC
|
W DES MOINES
|
IA
|
221,082.351
|
42.08%
|
|
Y
|
CHARLES SCHWAB & CO INC
|
SAN FRANCISCO
|
CA
|
119,314.347
|
10.57%
|
|
Y
|
NATIONAL FINANCIAL SVCS CORP
|
BOSTON
|
MA
|
82,192.999
|
7.28%
|
|
Y
|
NATIONWIDE INVESTMENT SVCS CORP
|
COLUMBUS
|
OH
|
124,492.788
|
11.03%
|
|
Y
|
AMERITRADE INC
|
OMAHA
|
NE
|
248,732.893
|
22.04%
|
|
Y
|
HARTFORD LIFE INSURANCE COMPANY
|
WINDSOR
|
CT
|
395,660.771
|
35.06%
|
|
N
|
WADDELL & REED
|
SHAWNEE MISSION
|
KS
|
398,814.976
|
7.51%
|
|
N
|
HARTFORD LIFE INSURANCE COMPANY
|
WINDSOR
|
CT
|
270,696.904
|
5.09%
|
IVY LASALLE GLOBAL REAL ESTATE FUND
|
ALL
|
WADDELL & REED ADVISORS WILSHIRE
|
SHAWNEE MISSION
|
KS
|
1,077,419.255
|
11.85%
|
R
|
VOYA INSTITUTIONAL TRUST COMPANY
|
WINDSOR
|
CT
|
112,314.722
|
98.47%
|
|
|
N
|
WADDELL & REED ADVISORS WILSHIRE
|
SHAWNEE MISSION
|
KS
|
1,077,419.255
|
76.43%
|
|
B
|
IVY INVESTMENT MANAGEMENT COMPANY
|
MISSION
|
KS
|
65,344.554
|
95.57%
|
|
C
|
IVY INVESTMENT MANAGEMENT COMPANY
|
MISSION
|
KS
|
246,330.076
|
78.54%
|
|
Y
|
CHARLES SCHWAB & CO INC
|
SAN FRANCISCO
|
CA
|
8,163.623
|
8.55%
|
|
LPL FINANCIAL
|
SAN DIEGO
|
CA
|
87,011.444
|
91.13%
|
|
|
N
|
WADDELL & REED
|
SHAWNEE MISSION
|
KS
|
128,258.661
|
9.10%
|
IVY LIMITED-TERM BOND FUND
|
A
|
EDWARD JONES
|
SAINT LOUIS
|
MO
|
2,226,221.414
|
6.06%
|
|
B
|
NATIONAL FINANCIAL SVCS CORP
|
BOSTON
|
MA
|
3,206.330
|
7.95%
|
|
B
|
MERRILL LYNCH PIERCE FENNER & SMITH
|
JACKSONVILLE
|
FL
|
4,277.615
|
10.61%
|
|
B
|
FIRST CLEARING LLC
|
ST LOUIS
|
MO
|
9,195.899
|
22.80%
|
|
B
|
RAYMOND JAMES & ASSOCIATES
|
ST PETERSBURG
|
FL
|
2,255.460
|
5.59%
|
|
B
|
LINDA FRANCESONCE
|
HAVERHILL
|
MA
|
2,383.339
|
5.91%
|
|
C
|
CHARLES SCHWAB & CO INC
|
SAN FRANCISCO
|
CA
|
914,251.477
|
29.56%
|
|
C
|
MERRILL LYNCH PIERCE FENNER & SMITH
|
JACKSONVILLE
|
FL
|
271,451.632
|
8.78%
|
|
C
|
FIRST CLEARING LLC
|
ST LOUIS
|
MO
|
266,107.328
|
8.61%
|
|
C
|
LPL FINANCIAL
|
SAN DIEGO
|
CA
|
185,061.663
|
5.98%
|
|
E
|
MOLLY J STEADMAN
|
OVERLAND PARK
|
KS
|
39,338.909
|
5.63%
|
|
E
|
PHILLIP BAIRRINGTON
|
BRYAN
|
TX
|
49,069.498
|
7.03%
|
|
E
|
TIMOTHY F DEGNAN
|
OAK BROOK
|
IL
|
83,947.013
|
12.02%
|
|
R
|
MERRILL LYNCH PIERCE FENNER & SMITH
|
JACKSONVILLE
|
FL
|
10,233.742
|
26.21%
|
|
R
|
MATRIX TRUST COMPANY AS AGENT FOR
|
DENVER
|
CO
|
28,793.523
|
73.76%
|
|
Y
|
CHARLES SCHWAB & CO INC
|
SAN FRANCISCO
|
CA
|
63,210.206
|
24.62%
|
|
Y
|
NATIONWIDE INVESTMENT SVCS CORP
|
COLUMBUS
|
OH
|
73,297.962
|
28.55%
|
|
Y
|
MERRILL LYNCH PIERCE FENNER & SMITH
|
JACKSONVILLE
|
FL
|
21,246.954
|
8.28%
|
|
Y
|
AMERITRADE INC
|
OMAHA
|
NE
|
51,085.043
|
19.90%
|
|
N
|
WADDELL & REED
|
SHAWNEE MISSION
|
KS
|
578,153.769
|
6.52%
|
|
N
|
INVESTED INCOME PORTFOLIO
|
SHAWNEE MISSION
|
KS
|
1,671,825.915
|
18.85%
|
|
N
|
INVESTED FIXED INCOME PORTFOLIO
|
SHAWNEE MISSION
|
KS
|
2,476,263.919
|
27.91%
|
|
N
|
BANK OF NEW YORK MELLON
|
SHAWNEE MISSION
|
KS
|
2,491,384.227
|
14.04%
|
IVY MANAGED INTERNATIONAL OPPORTUNITIES FUND
|
C
|
MID ATLANTIC TRUST
|
PITTSBURGH
|
PA
|
13,548.588
|
11.36%
|
|
R
|
MID ATLANTIC TRUST
|
PITTSBURGH
|
PA
|
5,226.075
|
17.72%
|
|
N
|
EDWARD JONES
|
SAINT LOUIS
|
MO
|
9,062.126
|
28.82%
|
|
B
|
CHARLES SCHWAB & CO INC
|
SAN FRANCISCO
|
CA
|
1,237.512
|
15.37%
|
|
B
|
NANCY DUDCHIK
|
BRANFORD
|
CT
|
572.862
|
7.12%
|
|
B
|
KEVIN TULLAR
|
HOSPERS
|
IA
|
492.385
|
6.12%
|
|
B
|
MARK EDWARD JENNINGS
|
NORMAN
|
OK
|
602.688
|
7.49%
|
|
B
|
ELSA INTERLANDI
|
BERLIN
|
CT
|
407.758
|
5.07%
|
|
C
|
FIRST CLEARING LLC
|
ST LOUIS
|
MO
|
19,728.171
|
16.54%
|
|
R
|
IVY FUNDS DISTRIBUTOR
|
MISSION
|
KS
|
24,271.845
|
82.28%
|
|
Y
|
CHARLES SCHWAB & CO INC
|
SAN FRANCISCO
|
CA
|
3,546.840
|
31.58%
|
|
Y
|
NATIONWIDE INVESTMENT SVCS CORP
|
COLUMBUS
|
OH
|
6,165.383
|
54.89%
|
|
Y
|
FIRST CLEARING LLC
|
ST LOUIS
|
MO
|
655.586
|
5.84%
|
|
N
|
IVY INVESTMENT MANAGEMENT COMPANY
|
MISSION
|
KS
|
22,381.379
|
71.18%
|
IVY MID CAP GROWTH FUND
|
ALL
|
CHARLES SCHWAB & CO INC
|
SAN FRANCISCO
|
CA
|
10,564,108.080
|
5.62%
|
ALL
|
NATIONAL FINANCIAL SVCS CORP
|
BOSTON
|
MA
|
13,339,307.071
|
7.10%
|
|
ALL
|
MORGAN STANLEY SMITH BARNEY LLC
|
NY
|
NY
|
11,373,008.331
|
6.05%
|
|
R
|
MID ATLANTIC TRUST
|
PITTSBURGH
|
PA
|
132,055.224
|
5.40%
|
|
|
R
|
VOYA INSTITUTIONAL TRUST COMPANY
|
WINDSOR
|
CT
|
720,206.324
|
29.47%
|
|
N
|
EDWARD JONES
|
SAINT LOUIS
|
MO
|
3,985,882.516
|
24.66%
|
|
B
|
NATIONAL FINANCIAL SVCS CORP
|
BOSTON
|
MA
|
21,949.643
|
11.00%
|
|
B
|
FIRST CLEARING LLC
|
ST LOUIS
|
MO
|
32,709.825
|
16.39%
|
|
B
|
AMERICAN ENTERPRISE INVESTMENT SVC
|
MINNEAPOLIS
|
MN
|
11,084.461
|
5.55%
|
|
C
|
NATIONAL FINANCIAL SVCS CORP
|
BOSTON
|
MA
|
657,317.228
|
9.01%
|
|
C
|
UBS FINANCIAL SERVICES INC
|
JERSEY CITY
|
NJ
|
410,033.806
|
5.62%
|
|
C
|
FIRST CLEARING LLC
|
ST LOUIS
|
MO
|
586,316.503
|
8.03%
|
|
C
|
MORGAN STANLEY SMITH BARNEY LLC
|
NY
|
NY
|
369,502.595
|
5.06%
|
|
C
|
AMERICAN ENTERPRISE INVESTMENT SVC
|
MINNEAPOLIS
|
MN
|
561,081.289
|
7.69%
|
|
C
|
RAYMOND JAMES & ASSOCIATES
|
ST PETERSBURG
|
FL
|
1,382,227.459
|
18.94%
|
|
C
|
LPL FINANCIAL
|
SAN DIEGO
|
CA
|
548,455.783
|
7.52%
|
|
C
|
STIFEL NICOLAUS & CO INC
|
ST LOUIS
|
MO
|
414,955.129
|
5.69%
|
|
I
|
CHARLES SCHWAB & CO INC
|
SAN FRANCISCO
|
CA
|
7,515,914.805
|
8.75%
|
|
I
|
NATIONAL FINANCIAL SVCS CORP
|
BOSTON
|
MA
|
5,264,385.939
|
6.13%
|
|
I
|
MORGAN STANLEY SMITH BARNEY LLC
|
NY
|
NY
|
9,229,390.914
|
10.74%
|
|
I
|
AMERICAN ENTERPRISE INVESTMENT SVC
|
MINNEAPOLIS
|
MN
|
5,173,976.096
|
6.02%
|
|
I
|
RAYMOND JAMES & ASSOCIATES
|
ST PETERSBURG
|
FL
|
4,629,723.638
|
5.39%
|
|
R
|
NATIONAL FINANCIAL SVCS CORP
|
BOSTON
|
MA
|
122,717.770
|
5.02%
|
|
R
|
DAVID LERNER ASSOCIATES INC
|
SYOSSET
|
NY
|
150,344.190
|
6.15%
|
|
R
|
SAMMONS FINANCIAL NETWORK LLC
|
W DES MOINES
|
IA
|
596,712.682
|
24.42%
|
|
R
|
FRONTIER TRUSTCO
|
PORTLAND
|
OR
|
230,947.524
|
9.45%
|
|
Y
|
CHARLES SCHWAB & CO INC
|
SAN FRANCISCO
|
CA
|
1,188,579.828
|
12.66%
|
|
Y
|
GWFS EQUITIES INC
|
GREENWOOD VILLAGE
|
CO
|
697,062.430
|
7.42%
|
|
Y
|
NATIONAL FINANCIAL SVCS CORP
|
BOSTON
|
MA
|
2,284,578.652
|
24.33%
|
|
Y
|
NATIONWIDE INVESTMENT SVCS CORP
|
COLUMBUS
|
OH
|
1,763,763.335
|
9.39%
|
|
Y
|
MINNESOTA LIFE INSURANCE CO
|
SAINT PAUL
|
MN
|
822,444.634
|
8.76%
|
|
Y
|
MERRILL LYNCH PIERCE FENNER & SMITH
|
JACKSONVILLE
|
FL
|
603,785.048
|
6.43%
|
|
Y
|
JOHN HANCOCK TRUST COMPANY LLC
|
WESTWOOD
|
MA
|
615,023.245
|
6.55%
|
|
N
|
CHARLES SCHWAB & CO INC
|
SAN FRANCISCO
|
CA
|
898,454.807
|
5.56%
|
|
N
|
NATIONAL FINANCIAL SVCS CORP
|
BOSTON
|
MA
|
3,703,624.218
|
22.92%
|
|
N
|
SEI PRIVATE TRUST CO
|
OAKS
|
PA
|
2,384,246.470
|
14.75%
|
IVY MID CAP INCOME OPPORTUNITIES FUND
|
ALL
|
NATIONAL FINANCIAL SVCS CORP
|
BOSTON
|
MA
|
10,822,648.397
|
14.74%
|
ALL
|
AMERICAN ENTERPRISE INVESTMENT SVC
|
MINNEAPOLIS
|
MN
|
13,488,368.569
|
18.37%
|
|
ALL
|
RAYMOND JAMES & ASSOCIATES
|
ST PETERSBURG
|
FL
|
6,021,712.292
|
8.20%
|
|
ALL
|
LPL FINANCIAL
|
SAN DIEGO
|
CA
|
5,067,800.631
|
6.90%
|
|
A
|
EDWARD JONES
|
SAINT LOUIS
|
MO
|
788,517.135
|
8.56%
|
|
|
R
|
MID ATLANTIC TRUST
|
PITTSBURGH
|
PA
|
7,482.382
|
15.46%
|
|
R
|
MAC & CO
|
PITTSBURGH
|
PA
|
3,594.730
|
7.43%
|
|
N
|
EDWARD JONES
|
SAINT LOUIS
|
MO
|
2,728,046.543
|
53.90%
|
|
N
|
WADDELL & REED ADVISORS WILSHIRE
|
SHAWNEE MISSION
|
KS
|
663,234.124
|
13.11%
|
|
A
|
NATIONAL FINANCIAL SVCS CORP
|
BOSTON
|
MA
|
969,974.393
|
10.53%
|
|
A
|
RAYMOND JAMES & ASSOCIATES
|
ST PETERSBURG
|
FL
|
532,341.457
|
5.78%
|
|
C
|
UBS FINANCIAL SERVICES INC
|
JERSEY CITY
|
NJ
|
151,619.509
|
10.82%
|
|
C
|
AMERICAN ENTERPRISE INVESTMENT SVC
|
MINNEAPOLIS
|
MN
|
210,931.772
|
15.05%
|
|
C
|
RAYMOND JAMES & ASSOCIATES
|
ST PETERSBURG
|
FL
|
203,978.130
|
14.55%
|
|
C
|
LPL FINANCIAL
|
SAN DIEGO
|
CA
|
90,115.046
|
6.43%
|
|
C
|
STIFEL NICOLAUS & CO INC
|
ST LOUIS
|
MO
|
99,593.523
|
7.10%
|
|
I
|
NATIONAL FINANCIAL SVCS CORP
|
BOSTON
|
MA
|
9,181,495.669
|
16.24%
|
|
I
|
FIRST CLEARING LLC
|
ST LOUIS
|
MO
|
2,939,805.139
|
5.20%
|
|
I
|
AMERICAN ENTERPRISE INVESTMENT SVC
|
MINNEAPOLIS
|
MN
|
13,050,616.767
|
23.08%
|
|
I
|
RAYMOND JAMES & ASSOCIATES
|
ST PETERSBURG
|
FL
|
5,285,125.361
|
9.35%
|
|
I
|
LPL FINANCIAL
|
SAN DIEGO
|
CA
|
4,891,331.794
|
8.65%
|
|
R
|
STATE STREET BANK TR
|
BOSTON
|
MA
|
17,684.811
|
36.55%
|
|
R
|
FRONTIER TRUSTCO
|
PORTLAND
|
OR
|
9,049.404
|
18.70%
|
|
R
|
MATRIX TRUST COMPANY AS AGENT FOR
|
DENVER
|
CO
|
3,329.611
|
6.88%
|
|
R
|
PLANMEMBER OMNIBUS ACCOUNT
|
CARPINTERIA
|
CA
|
4,486.519
|
9.27%
|
|
Y
|
CHARLES SCHWAB & CO INC
|
SAN FRANCISCO
|
CA
|
435,741.107
|
37.09%
|
|
Y
|
NATIONAL FINANCIAL SVCS CORP
|
BOSTON
|
MA
|
613,008.390
|
52.18%
|
|
N
|
CHARLES SCHWAB & CO INC
|
SAN FRANCISCO
|
CA
|
328,123.464
|
6.48%
|
|
N
|
GWFS EQUITIES INC
|
GREENWOOD VLG
|
CO
|
761,565.127
|
15.05%
|
IVY MUNICIPAL BOND
|
B
|
MAX G & NORMA L WARD REV TRUST
|
CLAYTON
|
KS
|
3,814.421
|
16.96%
|
|
N
|
EDWARD JONES
|
SAINT LOUIS
|
MO
|
79,294.040
|
96.17%
|
|
B
|
FIRST CLEARING LLC
|
ST LOUIS
|
MO
|
1,581.072
|
7.03%
|
|
B
|
MORGAN STANLEY SMITH BARNEY LLC
|
NY
|
NY
|
4,271.331
|
18.99%
|
|
B
|
JOHN M & PATRICIA R SPECK
|
CENTERVIEW
|
MO
|
5,228.520
|
23.24%
|
|
B
|
ALAN W MARIETTA & JUDITH M MARIETTA
|
OBERLIN
|
KS
|
1,902.796
|
8.46%
|
|
B
|
KATHRYN FROST
|
NAMPA
|
ID
|
1,140.846
|
5.07%
|
|
C
|
UBS FINANCIAL SERVICES INC
|
JERSEY CITY
|
NJ
|
62,831.131
|
6.19%
|
|
FIRST CLEARING LLC
|
ST LOUIS
|
MO
|
143,119.330
|
14.09%
|
|
|
Y
|
WADDELL & REED FINANCIAL INC
|
MISSION
|
KS
|
36,182.573
|
99.99%
|
IVY MUNICIPAL HIGH INCOME FUND
|
ALL
|
P DANIEL ORLICH
|
NAPLES
|
FL
|
10,468,452.397
|
5.29%
|
A
|
P DANIEL ORLICH
|
NAPLES
|
FL
|
10,468,452.397
|
8.54%
|
|
|
N
|
EDWARD JONES
|
SAINT LOUIS
|
MO
|
155,934.434
|
74.21%
|
|
N
|
JP MORGAN SECURITIES LLC
|
BROOKLYN
|
NY
|
13,762.252
|
6.55%
|
|
B
|
PERSHING LLC
|
JERSEY CITY
|
NJ
|
18,491.128
|
9.56%
|
|
B
|
MERRILL LYNCH PIERCE FENNER & SMITH
|
JACKSONVILLE
|
FL
|
33,744.509
|
17.44%
|
|
B
|
FIRST CLEARING LLC
|
ST LOUIS
|
MO
|
52,059.582
|
26.91%
|
|
B
|
RAYMOND JAMES & ASSOCIATES
|
ST PETERSBURG
|
FL
|
11,372.001
|
5.88%
|
|
C
|
UBS FINANCIAL SERVICES INC
|
JERSEY CITY
|
NJ
|
1,625,185.619
|
15.54%
|
|
C
|
FIRST CLEARING LLC
|
ST LOUIS
|
MO
|
1,621,726.667
|
15.50%
|
|
C
|
AMERICAN ENTERPRISE INVESTMENT SVC
|
MINNEAPOLIS
|
MN
|
933,490.472
|
8.92%
|
|
C
|
RAYMOND JAMES & ASSOCIATES
|
ST PETERSBURG
|
FL
|
566,266.191
|
5.41%
|
|
I
|
NATIONAL FINANCIAL SVCS CORP
|
BOSTON
|
MA
|
7,870,261.921
|
12.41%
|
|
I
|
FIRST CLEARING LLC
|
ST LOUIS
|
MO
|
3,496,983.100
|
5.51%
|
|
I
|
LPL FINANCIAL
|
SAN DIEGO
|
CA
|
3,401,663.972
|
5.36%
|
|
Y
|
AMERITRADE INC
|
OMAHA
|
NE
|
245,350.563
|
26.20%
|
|
Y
|
LPL FINANCIAL
|
SAN DIEGO
|
CA
|
653,018.112
|
69.73%
|
|
N
|
CHARLES SCHWAB & CO INC
|
SAN FRANCISCO
|
CA
|
40,416.640
|
19.24%
|
IVY NATURAL RESOURCES FUND
|
ALL
|
MORGAN STANLEY SMITH BARNEY LLC
|
NY
|
NY
|
1,499,966.234
|
7.76%
|
ALL
|
HARTFORD LIFE INSURANCE COMPANY
|
WINDSOR
|
CT
|
1,023,136.029
|
5.30%
|
A
|
MORGAN STANLEY SMITH BARNEY LLC
|
NY
|
NY
|
646,779.576
|
5.74%
|
|
|
B
|
CHARLES SCHWAB & CO INC
|
SAN FRANCISCO
|
CA
|
2,759.175
|
17.52%
|
|
C
|
FIRST CLEARING LLC
|
ST LOUIS
|
MO
|
52,671.926
|
10.95%
|
|
C
|
MORGAN STANLEY SMITH BARNEY LLC
|
NY
|
NY
|
30,349.163
|
6.31%
|
|
C
|
RAYMOND JAMES & ASSOCIATES
|
ST PETERSBURG
|
FL
|
41,861.857
|
8.70%
|
|
C
|
LPL FINANCIAL
|
SAN DIEGO
|
CA
|
52,472.250
|
10.91%
|
|
I
|
UBS FINANCIAL SERVICES INC
|
JERSEY CITY
|
NJ
|
428,781.655
|
7.71%
|
|
I
|
MORGAN STANLEY SMITH BARNEY LLC
|
NY
|
NY
|
820,838.139
|
14.76%
|
|
R
|
HARTFORD LIFE INSURANCE COMPANY
|
WINDSOR
|
CT
|
552,096.227
|
61.87%
|
|
R
|
MG TRUST COMPANY CUST
|
DENVER
|
CO
|
45,062.095
|
5.05%
|
|
R
|
SAMMONS FINANCIAL NETWORK LLC
|
W DES MOINES
|
IA
|
149,980.179
|
16.81%
|
|
Y
|
NATIONWIDE INVESTMENT SVCS CORP
|
COLUMBUS
|
OH
|
106,132.072
|
13.05%
|
|
Y
|
MERRILL LYNCH PIERCE FENNER & SMITH
|
JACKSONVILLE
|
FL
|
42,411.514
|
5.21%
|
|
Y
|
HARTFORD LIFE INSURANCE COMPANY
|
WINDSOR
|
CT
|
471,039.802
|
57.91%
|
|
N
|
CHARLES SCHWAB & CO INC
|
SAN FRANCISCO
|
CA
|
25,616.439
|
29.21%
|
|
N
|
GWFS EQUITIES INC
|
GREENWOOD VILLAGE
|
CO
|
9,378.379
|
10.69%
|
|
N
|
NATIONWIDE INVESTMENT SVCS CORP
|
COLUMBUS
|
OH
|
5,859.841
|
6.68%
|
|
N
|
DAVID LERNER ASSOCIATES INC
|
SYOSSET
|
NY
|
13,129.325
|
14.97%
|
|
N
|
FRONTIER TRUSTCO
|
PORTLAND
|
OR
|
5,464.363
|
6.23%
|
|
N
|
RELIANCE TRUST COMPANY
|
ATLANTA
|
GA
|
6,939.414
|
7.91%
|
IVY PICTET EMERGING MARKETS LOCAL CURRENCY DEBT FUND
|
ALL
|
WADDELL & REED ADVISORS WILSHIRE
|
SHAWNEE MISSION
|
KS
|
2,381,531.409
|
37.84%
|
ALL
|
IVY INVESTMENT MANAGEMENT COMPANY
|
MISSION
|
KS
|
516,432.493
|
8.21%
|
|
N
|
WADDELL & REED ADVISORS WILSHIRE
|
SHAWNEE MISSION
|
KS
|
2,381,531.409
|
100.00%
|
|
|
A
|
IVY INVESTMENT MANAGEMENT COMPANY
|
MISSION
|
KS
|
287,898.089
|
47.55%
|
|
A
|
DAVID FUNK & SHIRLENE FUNK
|
HANSEN
|
ID
|
53,478.762
|
8.83%
|
|
C
|
IVY INVESTMENT MANAGEMENT COMPANY
|
MISSION
|
KS
|
199,565.690
|
94.56%
|
|
Y
|
IVY INVESTMENT MANAGEMENT COMPANY
|
MISSION
|
KS
|
28,968.714
|
100.00%
|
IVY PICTET TARGETED RETURN BOND FUND
|
ALL
|
WADDELL & REED ADVISORS WILSHIRE
|
SHAWNEE MISSION
|
KS
|
6,323,123.428
|
32.73%
|
N
|
WADDELL & REED ADVISORS WILSHIRE
|
SHAWNEE MISSION
|
KS
|
6,323,123.428
|
99.91%
|
|
|
A
|
IVY INVESTMENT MANAGEMENT COMPANY
|
MISSION
|
KS
|
533,333.333
|
27.43%
|
|
A
|
DAVID FUNK & SHIRLENE FUNK
|
HANSEN
|
ID
|
101,002.848
|
5.20%
|
|
C
|
IVY INVESTMENT MANAGEMENT COMPANY
|
MISSION
|
KS
|
350,000.000
|
76.56%
|
|
C
|
LPL FINANCIAL
|
SAN DIEGO
|
CA
|
52,495.844
|
11.48%
|
|
Y
|
IVY INVESTMENT MANAGEMENT COMPANY
|
MISSION
|
KS
|
24,271.845
|
97.27%
|
IVY PINEBRIDGE HIGH YIELD FUND
|
ALL
|
WADDELL & REED ADVISORS WILSHIRE
|
SHAWNEE MISSION
|
KS
|
3,809,536.141
|
26.95%
|
ALL
|
NATIONAL FINANCIAL SVCS CORP
|
BOSTON
|
MA
|
1,294,831.573
|
9.16%
|
|
N
|
WADDELL & REED ADVISORS WILSHIRE
|
SHAWNEE MISSION
|
KS
|
3,809,536.141
|
92.07%
|
|
|
A
|
IVY INVESTMENT MANAGEMENT COMPANY
|
MISSION
|
KS
|
550,544.017
|
29.75%
|
|
I
|
NATIONAL FINANCIAL SVCS CORP
|
BOSTON
|
MA
|
1,294,831.573
|
15.89%
|
|
N
|
CHARLES SCHWAB & CO INC
|
SAN FRANCISCO
|
CA
|
328,046.083
|
7.93%
|
IVY PROSHARES INTEREST RATE HEDGED HIGH YIELD INDEX FUND
|
ALL
|
IVY INVESTMENT MANAGEMENT COMPANY
|
MISSION
|
KS
|
900,000.000
|
21.73%
|
A
|
IVY INVESTMENT MANAGEMENT COMPANY
|
MISSION
|
KS
|
300,000.000
|
84.83%
|
|
|
E
|
IVY INVESTMENT MANAGEMENT COMPANY
|
MISSION
|
KS
|
100,000.000
|
85.63%
|
|
I
|
IVY INVESTMENT MANAGEMENT COMPANY
|
MISSION
|
KS
|
400,000.000
|
11.21%
|
|
R
|
IVY INVESTMENT MANAGEMENT COMPANY
|
MISSION
|
KS
|
100,000.000
|
96.44%
|
IVY PROSHARES MSCI ACWI INDEX FUND
|
ALL
|
IVY INVESTMENT MANAGEMENT COMPANY
|
MISSION
|
KS
|
1,375,000.000
|
24.31%
|
A
|
IVY INVESTMENT MANAGEMENT COMPANY
|
MISSION
|
KS
|
750,000.000
|
48.86%
|
|
|
A
|
AMERITRADE INC
|
OMAHA
|
NE
|
82,488.797
|
5.37%
|
|
A
|
DOUGLAS L BASKINS
|
FORT COLLINS
|
CO
|
97,485.678
|
6.35%
|
|
E
|
IVY INVESTMENT MANAGEMENT COMPANY
|
MISSION
|
KS
|
100,000.000
|
67.07%
|
|
I
|
IVY INVESTMENT MANAGEMENT COMPANY
|
MISSION
|
KS
|
525,000.000
|
13.22%
|
IVY PROSHARES RUSSELL 2000 DIVIDEND GROWERS INDEX FUND
|
ALL
|
WADDELL & REED ADVISORS WILSHIRE
|
SHAWNEE MISSION
|
KS
|
1,018,719.620
|
12.05%
|
N
|
WADDELL & REED ADVISORS WILSHIRE
|
SHAWNEE MISSION
|
KS
|
1,018,719.620
|
80.84%
|
|
|
A
|
IVY INVESTMENT MANAGEMENT COMPANY
|
MISSION
|
KS
|
120,000.000
|
65.10%
|
|
A
|
AMERITRADE INC
|
OMAHA
|
NE
|
14,351.384
|
7.79%
|
|
A
|
AMY TRAWICK
|
BURKE
|
VA
|
10,940.466
|
5.93%
|
|
E
|
IVY INVESTMENT MANAGEMENT COMPANY
|
MISSION
|
KS
|
80,000.000
|
73.60%
|
|
N
|
WADDELL & REED
|
SHAWNEE MISSION
|
KS
|
87,445.700
|
6.94%
|
IVY PROSHARES S&P 500 BOND INDEX FUND
|
A
|
IVY INVESTMENT MANAGEMENT COMPANY
|
MISSION
|
KS
|
300,000.000
|
66.92%
|
|
E
|
IVY INVESTMENT MANAGEMENT COMPANY
|
MISSION
|
KS
|
100,000.000
|
53.62%
|
|
E
|
KIRAN KAMITY
|
SAN JOSE
|
CA
|
12,814.580
|
6.87%
|
|
R
|
IVY INVESTMENT MANAGEMENT COMPANY
|
MISSION
|
KS
|
100,000.000
|
95.67%
|
IVY PROSHARES S&P 500 DIVIDEND ARISTOCRATS INDEX FUND
|
ALL
|
WADDELL & REED ADVISORS WILSHIRE
|
SHAWNEE MISSION
|
KS
|
5,246,677.006
|
17.12%
|
N
|
WADDELL & REED ADVISORS WILSHIRE
|
SHAWNEE MISSION
|
KS
|
5,246,677.006
|
84.61%
|
|
|
A
|
IVY INVESTMENT MANAGEMENT COMPANY
|
MISSION
|
KS
|
120,000.000
|
38.43%
|
|
A
|
AMERITRADE INC
|
OMAHA
|
NE
|
27,763.250
|
8.89%
|
|
E
|
IVY INVESTMENT MANAGEMENT COMPANY
|
MISSION
|
KS
|
80,000.000
|
35.09%
|
|
E
|
STEVEN W HUNT
|
ALAMO HEIGHTS
|
TX
|
14,106.348
|
6.19%
|
|
R
|
IVY INVESTMENT MANAGEMENT COMPANY
|
MISSION
|
KS
|
80,000.000
|
95.96%
|
|
N
|
WADDELL & REED
|
SHAWNEE MISSION
|
KS
|
347,715.442
|
5.61%
|
IVY PZENA INTERNATIONAL VALUE FUND
|
ALL
|
WADDELL & REED ADVISORS WILSHIRE
|
SHAWNEE MISSION
|
KS
|
2,919,389.016
|
21.08%
|
ALL
|
IVY MANAGED INTERNTIONAL
|
MISSION
|
KS
|
1,160,926.133
|
8.38%
|
|
Y
|
MID ATLANTIC TRUST
|
PITTSBURGH
|
PA
|
14,452.629
|
25.15%
|
|
Y
|
A FARID BOLOURI
|
MILWAUKIE
|
OR
|
7,383.944
|
12.85%
|
|
N
|
WADDELL & REED ADVISORS WILSHIRE
|
SHAWNEE MISSION
|
KS
|
2,919,389.016
|
58.82%
|
|
B
|
CHARLES SCHWAB & CO INC
|
SAN FRANCISCO
|
CA
|
512.409
|
11.33%
|
|
B
|
NATIONAL FINANCIAL SVCS CORP
|
BOSTON
|
MA
|
343.362
|
7.59%
|
|
B
|
FIRST CLEARING LLC
|
ST LOUIS
|
MO
|
1,139.259
|
25.19%
|
|
B
|
AMERITRADE INC
|
OMAHA
|
NE
|
474.010
|
10.48%
|
|
C
|
CHARLES SCHWAB & CO INC
|
SAN FRANCISCO
|
CA
|
3,485.301
|
7.00%
|
|
C
|
FIRST CLEARING LLC
|
ST LOUIS
|
MO
|
3,469.173
|
6.97%
|
|
C
|
LPL FINANCIAL
|
SAN DIEGO
|
CA
|
5,085.910
|
10.21%
|
|
C
|
JOYCE MILANI
|
E NORTHPORT
|
NY
|
3,165.304
|
6.36%
|
|
C
|
HOWELL IRA STRAUSS
|
SHARON HILL
|
PA
|
2,960.948
|
5.95%
|
|
C
|
BRADLEY J GARMS
|
ROSEMOUNT
|
MN
|
2,691.581
|
5.40%
|
|
C
|
PAMELA NAGAMI
|
COVINA
|
CA
|
2,523.935
|
5.07%
|
|
R
|
IVY FUNDS DISTRIBUTOR
|
MISSION
|
KS
|
18,534.753
|
98.24%
|
|
Y
|
CHARLES SCHWAB & CO INC
|
SAN FRANCISCO
|
CA
|
4,026.456
|
7.01%
|
|
Y
|
NATIONWIDE INVESTMENT SVCS CORP
|
COLUMBUS
|
OH
|
21,055.880
|
36.63%
|
|
Y
|
MINNESOTA LIFE INSURANCE CO
|
SAINT PAUL
|
MN
|
8,384.176
|
14.59%
|
|
N
|
NATIONAL FINANCIAL SVCS CORP
|
BOSTON
|
MA
|
472,562.072
|
9.52%
|
|
N
|
IVY MANAGED INTERNTIONAL
|
MISSION
|
KS
|
1,160,926.133
|
23.39%
|
IVY SCIENCE AND TECHNOLOGY FUND
|
ALL
|
NATIONAL FINANCIAL SVCS CORP
|
BOSTON
|
MA
|
5,922,666.449
|
5.52%
|
R
|
VOYA INSTITUTIONAL TRUST COMPANY
|
WINDSOR
|
CT
|
335,595.737
|
18.43%
|
|
|
R
|
MASSACHUSETTS MUTUAL LIFE
|
SPRINGFIELD
|
MA
|
121,052.582
|
6.65%
|
|
Y
|
VOYA INSTITUTIONAL TRUST COMPANY
|
WINDSOR
|
CT
|
447,007.741
|
9.37%
|
|
N
|
MID ATLANTIC TRUST
|
PITTSBURGH
|
PA
|
110,034.736
|
5.91%
|
|
N
|
VOYA INSTITUTIONAL TRUST COMPANY
|
WINDSOR
|
CT
|
114,827.950
|
6.17%
|
|
B
|
CHARLES SCHWAB & CO INC
|
SAN FRANCISCO
|
CA
|
21,713.821
|
7.02%
|
|
B
|
MERRILL LYNCH PIERCE FENNER & SMITH
|
JACKSONVILLE
|
FL
|
15,918.159
|
5.15%
|
|
B
|
FIRST CLEARING LLC
|
ST LOUIS
|
MO
|
33,703.133
|
10.90%
|
|
B
|
AMERICAN ENTERPRISE INVESTMENT SVC
|
MINNEAPOLIS
|
MN
|
42,215.753
|
13.65%
|
|
B
|
LPL FINANCIAL
|
SAN DIEGO
|
CA
|
17,251.937
|
5.58%
|
|
C
|
NATIONAL FINANCIAL SVCS CORP
|
BOSTON
|
MA
|
593,502.205
|
8.41%
|
|
C
|
UBS FINANCIAL SERVICES INC
|
JERSEY CITY
|
NJ
|
599,391.295
|
8.50%
|
|
C
|
FIRST CLEARING LLC
|
ST LOUIS
|
MO
|
882,307.176
|
12.51%
|
|
C
|
MORGAN STANLEY SMITH BARNEY LLC
|
NY
|
NY
|
376,834.837
|
5.34%
|
|
C
|
AMERICAN ENTERPRISE INVESTMENT SVC
|
MINNEAPOLIS
|
MN
|
674,451.066
|
9.56%
|
|
C
|
RAYMOND JAMES & ASSOCIATES
|
ST PETERSBURG
|
FL
|
653,634.798
|
9.27%
|
|
C
|
LPL FINANCIAL
|
SAN DIEGO
|
CA
|
550,398.934
|
7.80%
|
|
I
|
NATIONAL FINANCIAL SVCS CORP
|
BOSTON
|
MA
|
1,814,324.747
|
6.42%
|
|
R
|
FIDELITY MANAGEMENT TRUST CO
|
COVINGTON
|
KY
|
94,149.682
|
5.17%
|
|
R
|
HARTFORD LIFE INSURANCE COMPANY
|
WINDSOR
|
CT
|
362,205.111
|
19.90%
|
|
R
|
SAMMONS FINANCIAL NETWORK LLC
|
W DES MOINES
|
IA
|
589,983.702
|
32.41%
|
|
Y
|
CHARLES SCHWAB & CO INC
|
SAN FRANCISCO
|
CA
|
758,479.528
|
15.89%
|
|
Y
|
GWFS EQUITIES INC
|
GREENWOOD VILLAGE
|
CO
|
516,271.671
|
10.82%
|
|
Y
|
|
GREENWOOD VLG
|
CO
|
327,206.714
|
6.86%
|
|
Y
|
NATIONAL FINANCIAL SVCS CORP
|
BOSTON
|
MA
|
1,271,742.091
|
26.65%
|
|
Y
|
NATIONWIDE INVESTMENT SVCS CORP
|
COLUMBUS
|
OH
|
337,912.759
|
7.08%
|
|
N
|
CHARLES SCHWAB & CO INC
|
SAN FRANCISCO
|
CA
|
392,429.465
|
21.08%
|
|
N
|
JP MORGAN CHASE BANK
|
WALNUT CREEK
|
CA
|
166,209.005
|
8.93%
|
|
N
|
NATIONAL FINANCIAL SVCS CORP
|
BOSTON
|
MA
|
564,700.993
|
30.34%
|
IVY SECURIAN CORE BOND FUND
|
ALL
|
WADDELL & REED ADVISORS WILSHIRE
|
SHAWNEE MISSION
|
KS
|
9,864,476.025
|
8.81%
|
ALL
|
AMERICAN ENTERPRISE INVESTMENT SVC
|
MINNEAPOLIS
|
MN
|
8,425,597.259
|
7.53%
|
|
A
|
EDWARD JONES
|
SAINT LOUIS
|
MO
|
1,787,134.339
|
8.89%
|
|
|
R
|
MID ATLANTIC TRUST
|
PITTSBURGH
|
PA
|
80,804.216
|
97.10%
|
|
Y
|
TIAA, FSB
|
ST. LOUIS
|
MO
|
359,102.120
|
38.51%
|
|
N
|
EDWARD JONES
|
SAINT LOUIS
|
MO
|
1,940,860.599
|
12.15%
|
|
N
|
WADDELL & REED ADVISORS WILSHIRE
|
SHAWNEE MISSION
|
KS
|
9,864,476.025
|
61.75%
|
|
B
|
CHARLES SCHWAB & CO INC
|
SAN FRANCISCO
|
CA
|
3,833.541
|
10.31%
|
|
B
|
NATIONAL FINANCIAL SVCS CORP
|
BOSTON
|
MA
|
8,264.258
|
22.23%
|
|
B
|
FIRST CLEARING LLC
|
ST LOUIS
|
MO
|
3,744.029
|
10.07%
|
|
B
|
AMERICAN ENTERPRISE INVESTMENT SVC
|
MINNEAPOLIS
|
MN
|
5,358.559
|
14.42%
|
|
B
|
KEVIN P VILLALOBOS
|
CORONA
|
CA
|
2,614.371
|
7.03%
|
|
C
|
FIRST CLEARING LLC
|
ST LOUIS
|
MO
|
273,695.508
|
21.51%
|
|
C
|
AMERICAN ENTERPRISE INVESTMENT SVC
|
MINNEAPOLIS
|
MN
|
85,844.675
|
6.75%
|
|
C
|
RAYMOND JAMES & ASSOCIATES
|
ST PETERSBURG
|
FL
|
276,783.352
|
21.75%
|
|
I
|
FIRST CLEARING LLC
|
ST LOUIS
|
MO
|
3,883,660.127
|
5.31%
|
|
I
|
AMERICAN ENTERPRISE INVESTMENT SVC
|
MINNEAPOLIS
|
MN
|
8,029,115.635
|
10.98%
|
|
Y
|
CHARLES SCHWAB & CO INC
|
SAN FRANCISCO
|
CA
|
446,859.561
|
47.92%
|
|
Y
|
NATIONWIDE INVESTMENT SVCS CORP
|
COLUMBUS
|
OH
|
53,581.536
|
5.75%
|
IVY SECURIAN REAL ESTATE SECURITIES FUND
|
ALL
|
MINNESOTA LIFE INSURANCE CO
|
SAINT PAUL
|
MN
|
2,809,680.364
|
19.89%
|
R
|
MID ATLANTIC TRUST
|
PITTSBURGH
|
PA
|
6,704.776
|
34.89%
|
|
|
N
|
EDWARD JONES
|
SAINT LOUIS
|
MO
|
18,901.538
|
82.57%
|
|
B
|
FIRST CLEARING LLC
|
ST LOUIS
|
MO
|
3,139.482
|
12.31%
|
|
B
|
RAYMOND JAMES & ASSOCIATES
|
ST PETERSBURG
|
FL
|
1,346.853
|
5.28%
|
|
B
|
ROBERT C MCALLISTER & EUGENIE MCALLISTER
|
CINNCINATI
|
OH
|
3,021.101
|
11.85%
|
|
C
|
FIRST CLEARING LLC
|
ST LOUIS
|
MO
|
15,370.090
|
13.05%
|
|
R
|
STATE STREET BANK TR
|
BOSTON
|
MA
|
2,663.137
|
13.86%
|
|
R
|
MG TRUST COMPANY CUST
|
DENVER
|
CO
|
3,462.813
|
18.02%
|
|
R
|
FRONTIER TRUSTCO
|
PORTLAND
|
OR
|
5,103.549
|
26.55%
|
|
Y
|
MINNESOTA LIFE INSURANCE CO
|
SAINT PAUL
|
MN
|
2,809,680.364
|
98.04%
|
|
N
|
CHARLES SCHWAB & CO INC
|
SAN FRANCISCO
|
CA
|
3,073.953
|
13.43%
|
IVY SMALL CAP CORE FUND
|
ALL
|
NATIONAL FINANCIAL SVCS CORP
|
BOSTON
|
MA
|
2,783,125.545
|
8.48%
|
ALL
|
AMERICAN ENTERPRISE INVESTMENT SVC
|
MINNEAPOLIS
|
MN
|
3,032,993.249
|
9.24%
|
|
R
|
VOYA INSTITUTIONAL TRUST COMPANY
|
WINDSOR
|
CT
|
253,360.821
|
25.09%
|
|
|
N
|
EDWARD JONES
|
SAINT LOUIS
|
MO
|
1,222,151.633
|
38.67%
|
|
N
|
WADDELL & REED ADVISORS WILSHIRE
|
SHAWNEE MISSION
|
KS
|
538,234.379
|
17.03%
|
|
B
|
CHARLES SCHWAB & CO INC
|
SAN FRANCISCO
|
CA
|
2,400.385
|
8.20%
|
|
B
|
NATIONAL FINANCIAL SVCS CORP
|
BOSTON
|
MA
|
1,941.474
|
6.64%
|
|
B
|
MERRILL LYNCH PIERCE FENNER & SMITH
|
JACKSONVILLE
|
FL
|
2,210.972
|
7.56%
|
|
B
|
MORGAN STANLEY SMITH BARNEY LLC
|
NY
|
NY
|
4,095.908
|
14.00%
|
|
B
|
LPL FINANCIAL
|
SAN DIEGO
|
CA
|
4,717.736
|
16.12%
|
|
B
|
CHARLES & KAREN MAGID
|
LEXINGTON
|
MA
|
1,769.525
|
6.05%
|
|
C
|
CHARLES SCHWAB & CO INC
|
SAN FRANCISCO
|
CA
|
84,180.188
|
6.27%
|
|
C
|
NATIONAL FINANCIAL SVCS CORP
|
BOSTON
|
MA
|
92,025.798
|
6.85%
|
|
C
|
UBS FINANCIAL SERVICES INC
|
JERSEY CITY
|
NJ
|
98,109.522
|
7.30%
|
|
C
|
FIRST CLEARING LLC
|
ST LOUIS
|
MO
|
128,835.304
|
9.59%
|
|
C
|
AMERICAN ENTERPRISE INVESTMENT SVC
|
MINNEAPOLIS
|
MN
|
173,043.484
|
12.88%
|
|
C
|
RAYMOND JAMES & ASSOCIATES
|
ST PETERSBURG
|
FL
|
91,445.586
|
6.81%
|
|
I
|
NATIONAL FINANCIAL SVCS CORP
|
BOSTON
|
MA
|
2,298,829.525
|
12.00%
|
|
I
|
AMERICAN ENTERPRISE INVESTMENT SVC
|
MINNEAPOLIS
|
MN
|
2,640,046.721
|
13.79%
|
|
R
|
SAMMONS FINANCIAL NETWORK LLC
|
W DES MOINES
|
IA
|
601,927.322
|
59.61%
|
|
Y
|
CHARLES SCHWAB & CO INC
|
SAN FRANCISCO
|
CA
|
31,305.882
|
7.23%
|
|
Y
|
NATIONAL FINANCIAL SVCS CORP
|
BOSTON
|
MA
|
83,713.465
|
19.33%
|
|
Y
|
NATIONWIDE INVESTMENT SVCS CORP
|
COLUMBUS
|
OH
|
42,882.911
|
9.90%
|
|
Y
|
MINNESOTA LIFE INSURANCE CO
|
SAINT PAUL
|
MN
|
49,051.277
|
11.33%
|
|
Y
|
MERRILL LYNCH PIERCE FENNER & SMITH
|
JACKSONVILLE
|
FL
|
56,725.487
|
13.10%
|
|
Y
|
AMERITRADE INC
|
OMAHA
|
NE
|
22,552.785
|
5.21%
|
|
Y
|
MG TRUST COMPANY CUST
|
DENVER
|
CO
|
52,770.833
|
12.19%
|
|
N
|
CHARLES SCHWAB & CO INC
|
SAN FRANCISCO
|
CA
|
200,700.563
|
6.35%
|
|
N
|
RELIANCE TRUST COMPANY
|
ATLANTA
|
GA
|
314,356.646
|
9.95%
|
|
N
|
JOHN HANCOCK
|
VARIOUS
|
--
|
333,132.164
|
10.54%
|
IVY SMALL CAP GROWTH FUND
|
ALL
|
NATIONAL FINANCIAL SVCS CORP
|
BOSTON
|
MA
|
7,984,228.005
|
6.58%
|
R
|
VOYA INSTITUTIONAL TRUST COMPANY
|
WINDSOR
|
CT
|
1,249,845.142
|
37.72%
|
|
|
R
|
MASSACHUSETTS MUTUAL LIFE
|
SPRINGFIELD
|
MA
|
230,901.871
|
6.97%
|
|
Y
|
MASSACHUSETTS MUTUAL LIFE
|
SPRINGFIELD
|
MA
|
387,866.164
|
8.18%
|
|
Y
|
LISI COMPANIES
|
TORRANCE
|
CA
|
312,861.513
|
6.60%
|
|
N
|
EDWARD JONES
|
SAINT LOUIS
|
MO
|
468,319.813
|
5.82%
|
|
N
|
NEW HORIZONS BAKING 401K
|
PHOENIX
|
AZ
|
555,378.860
|
6.90%
|
|
B
|
NATIONAL FINANCIAL SVCS CORP
|
BOSTON
|
MA
|
17,505.089
|
9.70%
|
|
B
|
FIRST CLEARING LLC
|
ST LOUIS
|
MO
|
15,453.683
|
8.56%
|
|
B
|
LPL FINANCIAL
|
SAN DIEGO
|
CA
|
12,731.199
|
7.05%
|
|
C
|
NATIONAL FINANCIAL SVCS CORP
|
BOSTON
|
MA
|
254,423.209
|
5.43%
|
|
C
|
FIRST CLEARING LLC
|
ST LOUIS
|
MO
|
482,141.555
|
10.29%
|
|
C
|
MORGAN STANLEY SMITH BARNEY LLC
|
NY
|
NY
|
243,596.359
|
5.20%
|
|
C
|
AMERICAN ENTERPRISE INVESTMENT SVC
|
MINNEAPOLIS
|
MN
|
240,424.247
|
5.13%
|
|
C
|
RAYMOND JAMES & ASSOCIATES
|
ST PETERSBURG
|
FL
|
442,299.536
|
9.44%
|
|
C
|
LPL FINANCIAL
|
SAN DIEGO
|
CA
|
323,674.286
|
6.91%
|
|
I
|
CHARLES SCHWAB & CO INC
|
SAN FRANCISCO
|
CA
|
2,671,374.140
|
6.73%
|
|
I
|
NATIONAL FINANCIAL SVCS CORP
|
BOSTON
|
MA
|
4,542,541.411
|
11.45%
|
|
R
|
SAMMONS FINANCIAL NETWORK LLC
|
W DES MOINES
|
IA
|
855,894.689
|
25.83%
|
|
R
|
RELIANCE TRUST COMPANY
|
ATLANTA
|
GA
|
197,664.322
|
5.96%
|
|
Y
|
CHARLES SCHWAB & CO INC
|
SAN FRANCISCO
|
CA
|
344,870.201
|
7.27%
|
|
Y
|
NATIONAL FINANCIAL SVCS CORP
|
BOSTON
|
MA
|
647,986.121
|
13.67%
|
|
Y
|
RELIANCE TRUST COMPANY
|
ATLANTA
|
GA
|
876,396.342
|
18.48%
|
|
Y
|
JOHN HANCOCK TRUST COMPANY LLC
|
WESTWOOD
|
MA
|
882,438.566
|
18.61%
|
|
N
|
GWFS EQUITIES INC
|
GREENWOOD VILLAGE
|
CO
|
466,516.094
|
5.79%
|
|
N
|
NATIONAL FINANCIAL SVCS CORP
|
BOSTON
|
MA
|
1,694,355.207
|
21.04%
|
|
N
|
ARENT FOX 401K PLAN
|
WASHINGTON
|
DC
|
773,803.836
|
9.61%
|
|
N
|
KEYBANK NA
|
CLEVELAND
|
OH
|
434,899.065
|
5.40%
|
IVY VALUE FUND
|
ALL
|
WADDELL & REED ADVISORS WILSHIRE
|
SHAWNEE MISSION
|
KS
|
4,663,472.353
|
8.95%
|
ALL
|
AMERICAN ENTERPRISE INVESTMENT SVC
|
MINNEAPOLIS
|
MN
|
11,013,576.157
|
21.13%
|
|
B
|
TROY GAINES
|
NEWPORT NEWS
|
VA
|
1,690.298
|
5.12%
|
|
|
Y
|
MID ATLANTIC TRUST
|
PITTSBURGH
|
PA
|
467.704
|
11.37%
|
|
N
|
WADDELL & REED ADVISORS WILSHIRE
|
SHAWNEE MISSION
|
KS
|
4,663,472.353
|
84.60%
|
|
B
|
CHARLES SCHWAB & CO INC
|
SAN FRANCISCO
|
CA
|
2,681.910
|
8.12%
|
|
B
|
NATIONAL FINANCIAL SVCS CORP
|
BOSTON
|
MA
|
1,852.014
|
5.61%
|
|
B
|
FIRST CLEARING LLC
|
ST LOUIS
|
MO
|
2,614.293
|
7.91%
|
|
B
|
RAYMOND JAMES & ASSOCIATES
|
ST PETERSBURG
|
FL
|
6,544.568
|
19.81%
|
|
B
|
STIFEL NICOLAUS & CO INC
|
ST LOUIS
|
MO
|
1,889.512
|
5.72%
|
|
C
|
FIRST CLEARING LLC
|
ST LOUIS
|
MO
|
38,528.717
|
10.73%
|
|
C
|
RAYMOND JAMES & ASSOCIATES
|
ST PETERSBURG
|
FL
|
84,119.135
|
23.43%
|
|
C
|
LPL FINANCIAL
|
SAN DIEGO
|
CA
|
30,044.397
|
8.37%
|
|
I
|
AMERICAN ENTERPRISE INVESTMENT SVC
|
MINNEAPOLIS
|
MN
|
10,948,459.091
|
33.63%
|
|
R
|
IVY FUNDS DISTRIBUTOR
|
MISSION
|
KS
|
13,915.094
|
98.74%
|
|
Y
|
MERRILL LYNCH PIERCE FENNER & SMITH
|
JACKSONVILLE
|
FL
|
1,555.802
|
37.81%
|
|
Y
|
MG TRUST COMPANY CUST
|
DENVER
|
CO
|
1,950.872
|
47.41%
|
|
N
|
CHARLES SCHWAB & CO INC
|
SAN FRANCISCO
|
CA
|
382,089.202
|
6.93%
|
IVY WILSHIRE GLOBAL ALLOCATION FUND
|
N
|
CHARLES SCHWAB & CO INC
|
SAN FRANCISCO
|
CA
|
5,579.827
|
16.29%
|
|
N
|
IVY INVESTMENT MANAGEMENT COMPANY
|
MISSION
|
KS
|
28,669.725
|
83.71%
|
FUND NAME
|
CLASS
|
SHAREHOLDER
|
CITY
|
STATE
|
% OF CLASS
|
INVESTED 90 PORTFOLIO
|
ALL
|
ARIZONA STATE BOARD OF INVESTMENT IN ITS CAPACITY AS TRUSTEE OF THE FAMILY COLLEGE SAVINGS PROGRAM TRUST FUND
|
PHOENIX
|
AZ
|
100.00%
|
INVESTED 80 PORTFOLIO
|
ALL
|
ARIZONA STATE BOARD OF INVESTMENT IN ITS CAPACITY AS TRUSTEE OF THE FAMILY COLLEGE SAVINGS PROGRAM TRUST FUND
|
PHOENIX
|
AZ
|
100.00%
|
INVESTED 70 PORTFOLIO
|
ALL
|
ARIZONA STATE BOARD OF INVESTMENT IN ITS CAPACITY AS TRUSTEE OF THE FAMILY COLLEGE SAVINGS PROGRAM TRUST FUND
|
PHOENIX
|
AZ
|
100.00%
|
INVESTED 60 PORTFOLIO
|
ALL
|
ARIZONA STATE BOARD OF INVESTMENT IN ITS CAPACITY AS TRUSTEE OF THE FAMILY COLLEGE SAVINGS PROGRAM TRUST FUND
|
PHOENIX
|
AZ
|
100.00%
|
INVESTED 50 PORTFOLIO
|
ALL
|
ARIZONA STATE BOARD OF INVESTMENT IN ITS CAPACITY AS TRUSTEE OF THE FAMILY COLLEGE SAVINGS PROGRAM TRUST FUND
|
PHOENIX
|
AZ
|
100.00%
|
INVESTED 40 PORTFOLIO
|
ALL
|
ARIZONA STATE BOARD OF INVESTMENT IN ITS CAPACITY AS TRUSTEE OF THE FAMILY COLLEGE SAVINGS PROGRAM TRUST FUND
|
PHOENIX
|
AZ
|
100.00%
|
INVESTED 30 PORTFOLIO
|
ALL
|
ARIZONA STATE BOARD OF INVESTMENT IN ITS CAPACITY AS TRUSTEE OF THE FAMILY COLLEGE SAVINGS
|
PHOENIX
|
AZ
|
100.00%
|
PROGRAM TRUST FUND
|
|||||
INVESTED 20 PORTFOLIO
|
ALL
|
ARIZONA STATE BOARD OF INVESTMENT IN ITS CAPACITY AS TRUSTEE OF THE FAMILY COLLEGE SAVINGS PROGRAM TRUST FUND
|
PHOENIX
|
AZ
|
100.00%
|
INVESTED 10 PORTFOLIO
|
ALL
|
ARIZONA STATE BOARD OF INVESTMENT IN ITS CAPACITY AS TRUSTEE OF THE FAMILY COLLEGE SAVINGS PROGRAM TRUST FUND
|
PHOENIX
|
AZ
|
100.00%
|
INVESTED 0 PORTFOLIO
|
ALL
|
ARIZONA STATE BOARD OF INVESTMENT IN ITS CAPACITY AS TRUSTEE OF THE FAMILY COLLEGE SAVINGS PROGRAM TRUST FUND
|
PHOENIX
|
AZ
|
100.00%
|
FUND NAME
|
CLASS
|
SHAREHOLDER
|
CITY
|
STATE
|
TOTAL SHARES OWNED
|
% OF CLASS
|
IVY VIP ASSET STRATEGY FUND
|
ALL
|
NATIONWIDE INVESTMENT SVCS CORP
|
COLUMBUS
|
OH
|
29,471,823.416
|
40.21%
|
I
|
IVY INVESTMENT MANAGEMENT COMPANY
|
MISSION
|
KS
|
35,001.693
|
94.85%
|
|
|
I
|
LINCOLN NATIONAL LIFE INSURANCE CO
|
FORT WAYNE
|
IN
|
1,900.104
|
5.15%
|
|
II
|
NATIONWIDE INVESTMENT SVCS CORP
|
COLUMBUS
|
OH
|
29,471,823.416
|
40.23%
|
|
II
|
MINNESOTA LIFE INSURANCE CO
|
SAINT PAUL
|
MN
|
15,600,576.263
|
21.30%
|
|
II
|
OHIO NATIONAL LIFE INSURANCE CO
|
CINCINNATI
|
OH
|
13,472,713.462
|
18.39%
|
IVY VIP BALANCED FUND
|
II
|
NATIONWIDE INVESTMENT SVCS CORP
|
COLUMBUS
|
OH
|
8,954,573.731
|
22.68%
|
|
II
|
MINNESOTA LIFE INSURANCE CO
|
SAINT PAUL
|
MN
|
25,308,898.715
|
64.10%
|
|
II
|
UNITED INVESTORS LIFE
|
BIRMINGHAM
|
AL
|
2,775,221.922
|
7.03%
|
IVY VIP CORE EQUITY FUND
|
II
|
BANK OF NEW YORK-MELLON
|
MISSION
|
KS
|
5,369,494.835
|
10.46%
|
|
II
|
NATIONWIDE INVESTMENT SVCS CORP
|
COLUMBUS
|
OH
|
11,684,647.778
|
22.77%
|
|
II
|
MINNESOTA LIFE INSURANCE CO
|
SAINT PAUL
|
MN
|
8,358,351.576
|
16.29%
|
|
II
|
WADDELL & REED INC
|
MISSION
|
KS
|
11,715,516.138
|
11.42%
|
|
II
|
UNITED INVESTORS LIFE
|
BIRMINGHAM
|
AL
|
9,031,382.376
|
17.60%
|
IVY VIP CORPORATE BOND FUND
|
II
|
BANK OF NEW YORK-MELLON
|
MISSION
|
KS
|
19,832,443.556
|
17.52%
|
|
II
|
NATIONWIDE INVESTMENT SVCS CORP
|
COLUMBUS
|
OH
|
12,565,035.016
|
11.10%
|
|
II
|
MINNESOTA LIFE INSURANCE CO
|
SAINT PAUL
|
MN
|
20,714,254.481
|
18.30%
|
|
II
|
WADDELL & REED INC
|
MISSION
|
KS
|
43,033,644.568
|
12.67%
|
IVY VIP ENERGY FUND
|
ALL
|
PACIFIC LIFE
|
NEWPORT BEACH
|
CA
|
7,724,340.374
|
44.11%
|
I
|
IVY INVESTMENT MANAGEMENT COMPANY
|
MISSION
|
KS
|
44,326.774
|
52.11%
|
|
|
I
|
LINCOLN NATIONAL LIFE INSURANCE CO
|
FORT WAYNE
|
IN
|
40,734.234
|
47.89%
|
|
II
|
NATIONWIDE INVESTMENT SVCS CORP
|
COLUMBUS
|
OH
|
3,267,527.789
|
18.75%
|
|
II
|
MINNESOTA LIFE INSURANCE CO
|
SAINT PAUL
|
MN
|
1,412,392.235
|
8.10%
|
|
II
|
PACIFIC LIFE
|
NEWPORT BEACH
|
CA
|
7,724,340.374
|
44.32%
|
|
II
|
LINCOLN NATIONAL LIFE INSURANCE CO
|
FORT WAYNE
|
IN
|
2,902,801.265
|
16.66%
|
IVY VIP GLOBAL BOND FUND
|
II
|
JEFFERSON NATIONAL
|
LOUISVILLE
|
KY
|
271,158.350
|
6.94%
|
|
II
|
NATIONWIDE INVESTMENT SVCS CORP
|
COLUMBUS
|
OH
|
1,310,358.167
|
33.54%
|
|
II
|
MINNESOTA LIFE INSURANCE CO
|
SAINT PAUL
|
MN
|
1,112,570.658
|
28.48%
|
|
II
|
GUARDIAN INSURANCE & ANNUITY
|
BETHLEHEM
|
PA
|
954,812.574
|
24.44%
|
|
II
|
MIDLAND NATIONAL LIFE INSURANCE
|
WEST DES MOINES
|
IA
|
198,581.608
|
5.08%
|
IVY VIP GLOBAL EQUITY INCOME FUND
|
ALL
|
WADDELL & REED INC
|
MISSION
|
KS
|
14,818,622.185
|
28.29%
|
II
|
BANK OF NEW YORK-MELLON
|
MISSION
|
KS
|
10,541,702.857
|
20.12%
|
|
|
II
|
NATIONWIDE INVESTMENT SVCS CORP
|
COLUMBUS
|
OH
|
4,705,984.438
|
8.98%
|
|
II
|
MINNESOTA LIFE INSURANCE CO
|
SAINT PAUL
|
MN
|
2,894,141.362
|
5.52%
|
|
II
|
WADDELL & REED INC
|
MISSION
|
KS
|
24,585,421.809
|
23.46%
|
IVY VIP GLOBAL GROWTH FUND
|
II
|
NATIONWIDE INVESTMENT SVCS CORP
|
COLUMBUS
|
OH
|
10,360,861.895
|
28.58%
|
|
II
|
MINNESOTA LIFE INSURANCE CO
|
SAINT PAUL
|
MN
|
16,554,924.620
|
45.66%
|
|
II
|
UNITED INVESTORS LIFE
|
BIRMINGHAM
|
AL
|
7,681,032.099
|
21.19%
|
IVY VIP GOVERNMENT MONEY MARKET FUND
|
II
|
BANK OF NEW YORK-MELLON
|
MISSION
|
KS
|
13,830,197.480
|
14.41%
|
|
II
|
NATIONWIDE INVESTMENT SVCS CORP
|
COLUMBUS
|
OH
|
32,383,813.940
|
33.75%
|
|
II
|
MINNESOTA LIFE INSURANCE CO
|
SAINT PAUL
|
MN
|
12,225,952.820
|
12.74%
|
|
II
|
WADDELL & REED INC
|
MISSION
|
KS
|
18,641,258.400
|
9.71%
|
|
II
|
UNITED INVESTORS LIFE
|
BIRMINGHAM
|
AL
|
5,047,015.790
|
5.26%
|
IVY VIP GROWTH FUND
|
II
|
BANK OF NEW YORK-MELLON
|
MISSION
|
KS
|
7,361,167.780
|
10.43%
|
|
II
|
NATIONWIDE INVESTMENT SVCS CORP
|
COLUMBUS
|
OH
|
18,178,112.728
|
25.75%
|
|
II
|
MINNESOTA LIFE INSURANCE CO
|
SAINT PAUL
|
MN
|
5,602,940.417
|
7.94%
|
|
II
|
WADDELL & REED INC
|
MISSION
|
KS
|
16,053,428.671
|
11.37%
|
|
II
|
UNITED INVESTORS LIFE
|
BIRMINGHAM
|
AL
|
15,650,198.973
|
22.17%
|
IVY VIP HIGH INCOME FUND
|
ALL
|
AXA EQUITABLE LIFE INSURANCECOMPANY
|
JERSEY CITY
|
NJ
|
133,904,872.532
|
51.69%
|
I
|
BANK OF NEW YORK-MELLON
|
MISSION
|
KS
|
1,541,769.152
|
25.95%
|
|
|
I
|
WADDELL & REED INC
|
MISSION
|
KS
|
3,554,534.154
|
14.96%
|
|
I
|
LINCOLN NATIONAL LIFE INSURANCE CO
|
FORT WAYNE
|
IN
|
419,365.366
|
7.06%
|
|
II
|
NATIONWIDE INVESTMENT SVCS CORP
|
COLUMBUS
|
OH
|
58,153,785.872
|
22.98%
|
|
II
|
MINNESOTA LIFE INSURANCE CO
|
SAINT PAUL
|
MN
|
26,234,899.940
|
10.37%
|
|
II
|
AXA EQUITABLE LIFE INSURANCECOMPANY
|
JERSEY CITY
|
NJ
|
133,904,872.532
|
52.90%
|
IVY VIP INTERNATIONAL CORE EQUITY FUND
|
II
|
BANK OF NEW YORK-MELLON
|
MISSION
|
KS
|
4,784,127.565
|
12.04%
|
|
II
|
MINNESOTA LIFE INSURANCE CO
|
SAINT PAUL
|
MN
|
17,889,923.584
|
45.01%
|
|
II
|
WADDELL & REED INC
|
MISSION
|
KS
|
11,157,003.006
|
14.04%
|
IVY VIP LIMITED-TERM BOND FUND
|
II
|
BANK OF NEW YORK-MELLON
|
MISSION
|
KS
|
20,777,262.936
|
24.20%
|
|
II
|
MINNESOTA LIFE INSURANCE CO
|
SAINT PAUL
|
MN
|
8,547,882.655
|
9.96%
|
|
II
|
WADDELL & REED INC
|
MISSION
|
KS
|
47,900,854.825
|
13.95%
|
IVY VIP MID CAP GROWTH FUND
|
ALL
|
NATIONWIDE INVESTMENT SVCS CORP
|
COLUMBUS
|
OH
|
15,987,746.645
|
40.66%
|
I
|
BANK OF NEW YORK-MELLON
|
MISSION
|
KS
|
3,494,616.977
|
25.05%
|
|
|
I
|
WADDELL & REED INC
|
MISSION
|
KS
|
8,391,288.320
|
20.05%
|
|
II
|
NATIONWIDE INVESTMENT SVCS CORP
|
COLUMBUS
|
OH
|
15,987,746.645
|
63.02%
|
|
II
|
MINNESOTA LIFE INSURANCE CO
|
SAINT PAUL
|
MN
|
5,363,284.538
|
21.14%
|
|
II
|
LINCOLN NATIONAL LIFE INSURANCE CO
|
FORT WAYNE
|
IN
|
1,450,709.761
|
5.72%
|
IVY VIP NATURAL RESOURCES FUND
|
II
|
NATIONWIDE INVESTMENT SVCS CORP
|
COLUMBUS
|
OH
|
3,278,097.680
|
14.46%
|
|
II
|
MINNESOTA LIFE INSURANCE CO
|
SAINT PAUL
|
MN
|
9,775,784.439
|
43.12%
|
|
II
|
AXA EQUITABLE LIFE INSURANCECOMPANY
|
JERSEY CITY
|
NJ
|
1,408,838.746
|
6.21%
|
|
II
|
OHIO NATIONAL LIFE INSURANCE CO
|
CINCINNATI
|
OH
|
7,329,900.801
|
32.33%
|
IVY VIP PATHFINDER AGGRESSIVE FUND
|
II
|
NATIONWIDE INVESTMENT SVCS CORP
|
COLUMBUS
|
OH
|
8,368,999.976
|
60.58%
|
|
II
|
MINNESOTA LIFE INSURANCE CO
|
SAINT PAUL
|
MN
|
5,132,458.645
|
37.15%
|
IVY VIP PATHFINDER CONSERVATIVE FUND
|
II
|
NATIONWIDE INVESTMENT SVCS CORP
|
COLUMBUS
|
OH
|
15,756,093.200
|
74.91%
|
|
II
|
MINNESOTA LIFE INSURANCE CO
|
SAINT PAUL
|
MN
|
5,207,039.744
|
24.76%
|
IVY VIP PATHFINDER MODERATELY AGGRESSIVE FUND
|
II
|
NATIONWIDE INVESTMENT SVCS CORP
|
COLUMBUS
|
OH
|
111,793,172.012
|
72.51%
|
|
II
|
MINNESOTA LIFE INSURANCE CO
|
SAINT PAUL
|
MN
|
40,676,764.964
|
26.38%
|
IVY VIP PATHFINDER MODERATELY CONSERVATIVE FUND
|
II
|
NATIONWIDE INVESTMENT SVCS CORP
|
COLUMBUS
|
OH
|
27,269,193.712
|
73.56%
|
|
II
|
MINNESOTA LIFE INSURANCE CO
|
SAINT PAUL
|
MN
|
9,653,900.434
|
26.04%
|
IVY VIP PATHFINDER MODERATE – MANAGED VOLATILITY FUND
|
II
|
NATIONWIDE INVESTMENT SVCS CORP
|
COLUMBUS
|
OH
|
41,449,233.507
|
32.80%
|
|
II
|
MINNESOTA LIFE INSURANCE CO
|
SAINT PAUL
|
MN
|
84,882,564.740
|
67.16%
|
IVY VIP PATHFINDER MODERATE FUND
|
II
|
NATIONWIDE INVESTMENT SVCS CORP
|
COLUMBUS
|
OH
|
95,079,605.899
|
74.55%
|
|
II
|
MINNESOTA LIFE INSURANCE CO
|
SAINT PAUL
|
MN
|
31,369,851.403
|
24.60%
|
IVY VIP PATHFINDER MODERATELY AGGRESSIVE – MANAGED VOLATILITY FUND
|
II
|
NATIONWIDE INVESTMENT SVCS CORP
|
COLUMBUS
|
OH
|
1,815,930.390
|
10.32%
|
|
II
|
MINNESOTA LIFE INSURANCE CO
|
SAINT PAUL
|
MN
|
15,715,702.831
|
89.28%
|
IVY VIP PATHFINDER MODERATELY CONSERVATIVE – MANAGED VOLATILITY FUND
|
II
|
NATIONWIDE INVESTMENT SVCS CORP
|
COLUMBUS
|
OH
|
8,555,821.948
|
56.30%
|
|
II
|
MINNESOTA LIFE INSURANCE CO
|
SAINT PAUL
|
MN
|
6,641,554.538
|
43.70%
|
IVY VIP SCIENCE AND TECHNOLOGY FUND
|
I
|
LINCOLN NATIONAL LIFE INSURANCE CO
|
FORT WAYNE
|
IN
|
58,370.524
|
100.00%
|
II
|
NATIONWIDE INVESTMENT SVCS CORP
|
COLUMBUS
|
OH
|
5,404,024.140
|
28.65%
|
|
|
II
|
MINNESOTA LIFE INSURANCE CO
|
SAINT PAUL
|
MN
|
3,809,880.240
|
20.20%
|
|
II
|
OHIO NATIONAL LIFE INSURANCE CO
|
CINCINNATI
|
OH
|
3,557,705.571
|
18.86%
|
|
II
|
UNITED INVESTORS LIFE
|
BIRMINGHAM
|
AL
|
3,190,139.820
|
16.92%
|
|
II
|
LINCOLN NATIONAL LIFE INSURANCE CO
|
FORT WAYNE
|
IN
|
1,332,627.232
|
7.07%
|
IVY VIP SECURIAN REAL ESTATE SECURITIES FUND
|
II
|
NATIONWIDE INVESTMENT SVCS CORP
|
COLUMBUS
|
OH
|
3,108,927.982
|
69.68%
|
|
II
|
MINNESOTA LIFE INSURANCE CO
|
SAINT PAUL
|
MN
|
1,143,788.138
|
25.64%
|
IVY VIP SMALL CAP CORE FUND
|
II
|
NATIONWIDE INVESTMENT SVCS CORP
|
COLUMBUS
|
OH
|
1,203,795.985
|
9.11%
|
|
II
|
MINNESOTA LIFE INSURANCE CO
|
SAINT PAUL
|
MN
|
9,355,027.942
|
70.79%
|
|
II
|
MIDLAND NATIONAL LIFE INSURANCE
|
WEST DES MOINES
|
IA
|
887,168.502
|
6.71%
|
IVY VIP SMALL CAP GROWTH FUND
|
ALL
|
AXA EQUITABLE LIFE INSURANCECOMPANY
|
JERSEY CITY
|
NJ
|
9,994,262.498
|
26.00%
|
I
|
BANK OF NEW YORK-MELLON
|
MISSION
|
KS
|
1,221,579.498
|
25.33%
|
|
|
I
|
WADDELL & REED INC
|
MISSION
|
KS
|
2,971,516.853
|
20.54%
|
|
II
|
NATIONWIDE INVESTMENT SVCS CORP
|
COLUMBUS
|
OH
|
8,421,592.317
|
25.06%
|
|
II
|
MINNESOTA LIFE INSURANCE CO
|
SAINT PAUL
|
MN
|
6,974,633.360
|
20.75%
|
|
II
|
AXA EQUITABLE LIFE INSURANCECOMPANY
|
JERSEY CITY
|
NJ
|
9,994,262.498
|
29.73%
|
|
II
|
UNITED INVESTORS LIFE
|
BIRMINGHAM
|
AL
|
5,419,969.778
|
16.12%
|
IVY VIP VALUE FUND
|
II
|
BANK OF NEW YORK-MELLON
|
MISSION
|
KS
|
10,989,837.949
|
15.11%
|
|
II
|
NATIONWIDE INVESTMENT SVCS CORP
|
COLUMBUS
|
OH
|
8,218,576.278
|
11.30%
|
|
II
|
MINNESOTA LIFE INSURANCE CO
|
SAINT PAUL
|
MN
|
20,555,138.823
|
28.27%
|
|
II
|
WADDELL & REED INC
|
MISSION
|
KS
|
23,776,484.339
|
16.35%
|
Aggregate Compensation for the Fiscal Year Ended March 31, 2020
|
||||||||
Current Independent Trustees
|
|
Aggregate Compensation from the Ivy Funds
|
|
|
Total Compensation from the Fund Complex
|
|
||
James M. Concannon
|
|
$
|
219,296
|
|
|
$
|
261,250
|
|
H. Jeffrey Dobbs
|
215,045
|
256,264
|
||||||
James D. Gressett
|
|
|
232,920
|
|
|
|
277,500
|
|
Joseph Harroz, Jr.
|
|
|
326,924
|
|
|
|
388,750
|
|
Glendon E. Johnson, Jr.
|
|
|
243,400
|
|
|
|
290,000
|
|
Sandra A. J. Lawrence
|
219,237
|
261,264
|
||||||
Frank J. Ross, Jr.
|
|
|
255,990
|
|
|
|
305,000
|
|
Michael G. Smith
|
|
|
251,798
|
|
|
|
300,000
|
|
Edward M. Tighe*
|
|
|
251,798
|
|
|
|
300,000
|
|
James M. Concannon
|
|
$ 132,500
|
|
|
H. Jeffrey Dobbs
|
0
|
|||
James D. Gressett
|
|
|
37,500
|
|
Joseph Harroz, Jr.
|
|
|
38,875
|
|
Glendon E. Johnson, Jr.
|
|
|
0
|
|
Sandra A. J. Lawrence
|
0
|
|||
Frank J. Ross, Jr.
|
|
|
0
|
|
Michael G. Smith
|
|
|
113,125
|
|
Edward M. Tighe*
|
|
|
120,500
|
|
Current Independent Trustees
|
Aggregate Compensation from Ivy Funds
|
|
|
Total Compensation from the Fund Complex
|
|
|||||
James M. Concannon
|
$
|
$
|
257,800
|
|
|
$
|
307,500
|
|
||
H. Jeffrey Dobbs
|
251,518
|
300,000
|
||||||||
James D. Gressett
|
|
243,148
|
|
|
|
290,000
|
|
|||
Joseph Harroz, Jr.
|
|
322,801
|
|
|
|
385,000
|
|
|||
Glendon E. Johnson, Jr.
|
|
243,149
|
|
|
|
290,000
|
|
|||
Sandra A. J. Lawrence
|
255,709
|
305,000
|
||||||||
Frank J. Ross, Jr.
|
|
255,725
|
|
|
|
305,000
|
|
|||
Michael G. Smith
|
|
251,533
|
|
|
|
300,000
|
|
|||
Edward M. Tighe*
|
|
251,533
|
|
|
|
300,000
|
|
James M. Concannon
|
|
|
$170,000
|
|
H. Jeffrey Dobbs
|
0
|
|||
James D. Gressett
|
|
|
50,000
|
|
Joseph Harroz, Jr.
|
|
|
38,500
|
|
Glendon E. Johnson, Jr.
|
|
|
0
|
|
Sandra A. J. Lawrence
|
0
|
|||
Frank J. Ross, Jr.
|
|
|
0
|
|
Michael G. Smith
|
|
|
76,250
|
|
Edward M. Tighe*
|
|
|
91,000
|
|
Aggregate Compensation for the Fiscal Year Ended September 30, 2019
|
||||||||
Current Independent Trustees
|
|
Aggregate Compensation from the Ivy Funds
|
|
|
Total Compensation from the Fund Complex
|
|
||
James M. Concannon
|
|
$
|
238,683
|
|
|
$
|
284,500
|
|
H. Jeffrey Dobbs
|
89,289
|
106,264
|
||||||
James D. Gressett
|
|
|
251,673
|
|
|
|
300,000
|
|
Joseph Harroz, Jr.
|
|
|
325,735
|
|
|
|
388,250
|
|
Glendon E. Johnson, Jr.
|
|
|
244,970
|
|
|
|
292,000
|
|
Sandra A. J. Lawrence
|
89,289
|
106,264
|
||||||
Frank J. Ross, Jr.
|
|
|
260,069
|
|
|
|
310,000
|
|
Michael G. Smith
|
|
|
244,986
|
|
|
|
292,000
|
|
Edward M. Tighe*
|
|
|
244,986
|
|
|
|
292,000
|
|
James M. Concannon
|
|
|
$145,000
|
|
H. Jeffrey Dobbs
|
0
|
|||
James D. Gressett
|
|
|
50,000
|
|
Joseph Harroz, Jr.
|
|
|
39,625
|
|
Glendon E. Johnson, Jr.
|
|
|
0
|
|
Sandra A. J. Lawrence
|
0
|
|||
Frank J. Ross, Jr.
|
|
|
0
|
|
Michael G. Smith
|
|
|
150,000
|
|
Edward M. Tighe*
|
|
|
142,125
|
|
Current Independent Trustees
|
Aggregate Compensation from Ivy VIP
|
Aggregate Compensation from InvestEd
|
|
|
Total Compensation from the Fund Complex
|
|
|||||
James M. Concannon
|
$
|
43,172
|
$
|
1,835
|
|
|
$
|
280,750
|
|
||
H. Jeffrey Dobbs
|
27,869
|
1,186
|
181,264
|
||||||||
James D. Gressett
|
45,387
|
|
1,923
|
|
|
|
295,000
|
|
|||
Joseph Harroz, Jr.
|
59,126
|
|
2,511
|
|
|
|
384,500
|
|
|||
Glendon E. Johnson, Jr.
|
44,138
|
|
1,876
|
|
|
|
287,000
|
|
|||
Sandra A. J. Lawrence
|
27,869
|
1,186
|
181,264
|
||||||||
Frank J. Ross, Jr.
|
46,913
|
|
1,991
|
|
|
|
305,000
|
|
|||
Michael G. Smith
|
44,899
|
|
1,909
|
|
|
|
292,000
|
|
|||
Edward M. Tighe*
|
44,899
|
|
1,909
|
|
|
|
292,000
|
|
James M. Concannon
|
|
$
|
160,000
|
|
H. Jeffrey Dobbs
|
0
|
James D. Gressett
|
|
|
50,000
|
|
Joseph Harroz, Jr.
|
|
|
39,250
|
|
Glendon E. Johnson, Jr.
|
|
|
0
|
|
Sandra A. J. Lawrence
|
0
|
|||
Frank J. Ross, Jr.
|
|
|
0
|
|
Michael G. Smith
|
|
|
150,000
|
|
Edward M. Tighe*
|
|
|
150,000
|
|
Director Emeritus
|
|
Total Compensation from the Trust
|
|
Total Compensation from the Fund Complex1
|
William T. Morgan
|
|
$37,572
|
|
$43,500
|
Paul S. Wise
|
|
32,535
|
|
36,000
|
1
|
The fees paid to each Trustee or Director Emeritus are allocated among the Ivy Funds that were in existence at the time the Trustee or Director elected Emeritus status, based on each Fund’s net assets at that
time.
|
Director Emeritus
|
|
Total Compensation from the Trust
|
|
Total Compensation from the Fund Complex
|
Jarold W. Boettcher
|
|
$167,836
|
|
$200,000
|
John A. Dillingham
|
|
142,008
|
|
170,000
|
Albert W. Herman
|
|
85,759
|
|
127,500
|
William T. Morgan
|
|
37,572
|
|
43,500
|
Frederick Vogel III
|
|
60,440
|
|
78,500
|
Paul S. Wise
|
|
32,535
|
|
36,000
|
Fund Name
|
Effective Date
|
Management Fee Schedule (as a percentage of average daily net assets) Annual Rate
|
Ivy Accumulative Fund
|
[•][•],[•]
|
Net Assets Fee
Up to $1 billion 0.70% of net assets
Over $1 billion and up to $2 billion 0.65% of net assets
Over $2 billion and up to $3 billion 0.60% of net assets
Over $3 billion 0.55% of net assets
|
Ivy Apollo Multi-Asset Income Fund
|
[•][•],[•]
|
Net Assets Fee
Up to $1 billion 0.70% of net assets
Over $1 billion and up to $2 billion 0.65% of net assets
Over $2 billion and up to $3 billion 0.61% of net assets
In excess of $3 billion 0.58% of net assets
|
Ivy Apollo Strategic Income Fund
|
[•][•],[•]
|
Net Assets Fee
Up to $1 billion 0.68% of net assets
Over $1 billion and up to $2 billion 0.62% of net assets
Over $2 billion and up to $3 billion 0.58% of net assets
In excess of $3 billion 0.57% of net assets
|
Ivy Asset Strategy Fund
|
[•][•],[•]
|
Net Assets Fee
Up to $1 billion 0.70% of net assets
Over $1 billion and up to $2 billion 0.65% of net assets
Over $2 billion and up to $3 billion 0.60% of net assets
Over $3 billion and up to $28 billion 0.55% of net assets
Over $28 billion and up to $53 billion 0.545% of net assets
In excess of $53 billion 0.54% of net assets
|
Ivy Balanced Fund
|
[•][•],[•]
|
Net Assets Fee
Up to $1 billion 0.70% of net assets
Over $1 billion and up to $2 billion 0.65% of net assets
Over $2 billion and up to $3 billion 0.60% of net assets
Over $3 billion and up to $5 billion 0.55% of net assets
Over $5 billion and up to $10 billion 0.54% of net assets
In excess of $10 billion 0.53% of net assets
|
Ivy California Municipal High Income Fund
|
[•][•],[•]
|
Net Assets Fee
Up to $500 million 0.525% of net assets
Over $500 million and up to $1 billion 0.50% of net assets
Over $1 billion and up to $1.5 billion 0.45% of net assets
Over $1.5 billion and up to $5 billion 0.40% of net assets
Over $5 billion and up to $10 billion 0.395% of net assets
Over $10 billion and up to $15 billion 0.39% of net assets
In excess of $15 billion 0.385% of net assets
|
Ivy Cash Management Fund
|
[•][•],[•]
|
Net Assets Fee
Up to $1 billion 0.35% of net assets
Over $1 billion 0.30% of net assets
|
Ivy Core Equity Fund
|
[•][•],[•]
|
Net Assets Fee
Up to $1 billion 0.70% of net assets
Over $1 billion and up to $2 billion 0.65% of net assets
Over $2 billion and up to $3 billion 0.60% of net assets
Over $3 billion and up to $5 billion 0.55% of net assets
Over $5 billion and up to $6 billion 0.525% of net assets
Over $6 billion and up to $10 billion 0.50% of net assets
In excess of $10 billion 0.49% of net assets
|
Fund Name
|
Effective Date
|
Management Fee Schedule (as a percentage of average daily net assets) Annual Rate
|
Ivy Corporate Bond Fund | [•][•],[•] |
Net Assets Fee
Up to $1 billion 0.475% of net assets
Over $1 billion and up to $1.5 billion 0.45% of net assets
Over $1.5 billion 0.40% of net assets
|
Ivy Crossover Credit Fund
|
[•][•],[•]
|
Net Assets Fee
Up to $500 million 0.50% of net assets
Over $500 million and up to $1 billion 0.45% of net assets
Over $1 billion and up to $2.5 billion 0.425% of net assets
Over $2.5 billion and up to $5 billion 0.40% of net assets
In excess of $5 billion 0.375%
|
Ivy Emerging Markets Equity Fund
|
[•][•],[•]
|
Net Assets Fee
Up to $500 million 1.00% of net assets
Over $500 million and up to $1 billion 0.85% of net assets
Over $1 billion and up to $2 billion 0.83% of net assets
Over $2 billion and up to $3 billion 0.80% of net assets
Over $3 billion and up to $5 billion 0.76% of net assets
Over $5 billion and up to $10 billion 0.755% of net assets
In excess of $10 billion 0.75% of net assets
|
Ivy Energy Fund
|
[•][•],[•]
|
Net Assets Fee
Up to $1 billion 0.85% of net assets
Over $1 billion and up to $2 billion 0.83% of net assets
Over $2 billion and up to $3 billion 0.80% of net assets
Over $3 billion and up to $5 billion 0.76% of net assets
Over $5 billion and up to $10 billion 0.755% of net assets
In excess of $10 billion 0.75% of net assets
|
Ivy Global Bond Fund
|
[•][•],[•]
|
Net Assets Fee
Up to $500 million 0.625% of net assets
Over $500 million and up to $1 billion 0.60% of net assets
Over $1 billion and up to $1.5 billion 0.55% of net assets
Over $1.5 billion and up to $5 billion 0.50% of net assets
Over $5 billion and up to $10 billion 0.49% of net assets
In excess of $10 billion 0.48% of net assets
|
Ivy Global Equity Income Fund
|
[•][•],[•]
|
Net Assets Fee
Up to $1 billion 0.70% of net assets
Over $1 billion and up to $2 billion 0.65% of net assets
Over $2 billion and up to $3 billion 0.60% of net assets
Over $3 billion and up to $5 billion 0.55% of net assets
Over $5 billion and up to $10 billion 0.545% of net assets
In excess of $10 billion 0.54% of net assets
|
Ivy Global Growth Fund
|
[•][•],[•]
|
Net Assets Fee
Up to $1 billion 0.85% of net assets
Over $1 billion and up to $2 billion 0.83% of net assets
Over $2 billion and up to $3 billion 0.80% of net assets
Over $3 billion and up to $5 billion 0.70% of net assets
Over $5 billion and up to $10 billion 0.695% of net assets
In excess of $10 billion 0.69% of net assets
|
Ivy Government Money Market Fund
|
[•][•],[•]
|
Net Assets Fee
Up to $1 billion 0.35% of net assets
In excess of $1 billion 0.30% of net assets
|
Ivy Government Securities Fund
|
[•][•],[•]
|
Net Assets Fee
Up to $500 million 0.50% of net assets
Over $500 million and up to $1 billion 0.45% of net assets
Over $1 billion and up to $1.5 billion 0.40% of net assets
In excess of $1.5 billion 0.35% of net assets
|
Ivy High Income Fund
|
[•][•],[•]
|
Net Assets Fee
Up to $500 million 0.625% of net assets
Over $500 million and up to $1 billion 0.60% of net assets
Over $1 billion and up to $1.5 billion 0.55% of net assets
Over $1.5 billion and up to $10 billion 0.50% of net assets
Over $10 billion and up to $20 billion 0.49% of net assets
In excess of $20 billion 0.48% of net assets
|
Ivy International Small Cap Fund
|
[•][•],[•]
|
Net Assets Fee
Up to $1 billion 1.00% of net assets
Over $1 billion and up to $2 billion 0.95% of net assets
Over $2 billion and up to $5 billion 0.90% of net assets
In excess of $5 billion 0.85% of net assets
|
Fund Name
|
Effective Date
|
Management Fee Schedule (as a percentage of average daily net assets) Annual Rate
|
Ivy International Core Equity Fund
|
[•][•],[•]
|
Net Assets Fee
Up to $1 billion 0.85% of net assets
Over $1 billion and up to $2 billion 0.83% of net assets
Over $2 billion and up to $3 billion 0.80% of net assets
Over $3 billion and up to $5 billion 0.70% of net assets
Over $5 billion and up to $10 billion 0.69% of net assets
In excess of $10 billion 0.68% of net assets
|
Ivy Large Cap Growth Fund
|
[•][•],[•]
|
Net Assets Fee
Up to $1 billion 0.70% of net assets
Over $1 billion and up to $2 billion 0.65% of net assets
Over $2 billion and up to $3 billion 0.60% of net assets
Over $3 billion and up to $5 billion 0.55% of net assets
Over $5 billion and up to $10 billion 0.545% of net assets
In excess of $10 billion 0.54% of net assets
|
Ivy LaSalle Global Real Estate Fund
|
[•][•],[•]
|
Net Assets Fee
Up to $1 billion 0.95% of net assets
Over $1 billion and up to $2 billion 0.92% of net assets
Over $2 billion and up to $3 billion 0.87% of net assets
Over $3 billion and up to $5 billion 0.84% of net assets
Over $5 billion and up to $10 billion 0.825% of net assets
In excess of $10 billion 0.80% of net assets
|
Ivy Limited-Term Bond Fund
|
[•][•],[•]
|
Net Assets Fee
Up to $500 million 0.50% of net assets
Over $500 million and up to $1 billion 0.45% of net assets
Over $1 billion and up to $1.5 billion 0.40% of net assets
Over $1.5 billion and up to $5 billion 0.35% of net assets
Over $5 billion and up to $10 billion 0.34% of net assets
In excess of $10 billion 0.33% of net assets
|
Ivy Managed International Opportunities Fund
|
[•][•],[•]
|
A cash fee computed each day on the net assets of the Fund at the annual rate of 0.05% of net assets.
|
Ivy Mid Cap Growth Fund
|
[•][•],[•]
|
Net Assets Fee
Up to $1 billion 0.85% of net assets
Over $1 billion and up to $2 billion 0.83% of net assets
Over $2 billion and up to $3 billion 0.80% of net assets
Over $3 billion and up to $5 billion 0.76% of net assets
Over $5 billion and up to $10 billion 0.73% of net assets
Over $10 billion and up to $15 billion 0.70% of net assets
In excess of $10 billion 0.67% of net assets
|
Ivy Mid Cap Income Opportunities Fund
|
[•][•],[•]
|
Net Assets Fee
Up to $1 billion 0.85% of net assets
Over $1 billion and up to $2 billion 0.83% of net assets
Over $2 billion and up to $3 billion 0.80% of net assets
Over $3 billion and up to $5 billion 0.76% of net assets
Over $5 billion and up to $10 billion 0.73% of net assets
Over $10 billion and up to $15 billion 0.70% of net assets
In excess of $10 billion 0.67% of net assets
|
Ivy Municipal Bond Fund
|
[•][•],[•]
|
Net Assets Fee
Up to $500 million 0.525% of net assets
Over $500 million and up to $1 billion 0.50% of net assets
Over $1 billion and up to $1.5 billion 0.45% of net assets
Over $1.5 billion and up to $5 billion 0.40% of net assets
Over $5 billion and up to $10 billion 0.395% of net assets
Over $10 billion and up to $15 billion 0.39% of net assets
In excess of $10 billion 0.385% of net assets
|
Ivy Municipal High Income Fund
|
[•][•],[•]
|
Net Assets Fee
Up to $500 million 0.525% of net assets
Over $500 million and up to $1 billion 0.50% of net assets
Over $1 billion and up to $1.5 billion 0.45% of net assets
Over $1.5 billion and up to $5 billion 0.40% of net assets
Over $5 billion and up to $10 billion 0.395% of net assets
Over $10 billion and up to $15 billion 0.39% of net assets
In excess of $10 billion 0.385% of net assets
|
Fund Name
|
Effective Date
|
Management Fee Schedule (as a percentage of average daily net assets) Annual Rate
|
Ivy Natural Resources Fund
|
[•][•],[•]
|
Net Assets Fee
Up to $1 billion 0.85% of net assets
Over $1 billion and up to $2 billion 0.83% of net assets
Over $2 billion and up to $3 billion 0.80% of net assets
Over $3 billion and up to $5 billion 0.76% of net assets
Over $5 billion and up to $10 billion 0.73% of net assets
In excess of $10 billion 0.70% of net assets
|
Ivy Pictet Emerging Markets Local Currency Debt Fund
|
[•][•],[•]
|
Net Assets Fee
Up to $1 billion 0.75% of net assets
Over $1 billion and up to $2 billion 0.725% of net assets
Over $2 billion and up to $5 billion 0.70% of net assets
Over $5 billion and up to $10 billion 0.675% of net assets
In excess of $10 billion 0.65% of net assets
|
Ivy Pictet Targeted Return Bond Fund
|
[•][•],[•]
|
Net Assets Fee
Up to $1 billion 0.90% of net assets
Over $1 billion and up to $2 billion 0.85% of net assets
Over $2 billion and up to $5 billion 0.80% of net assets
In excess of $5 billion 0.75% of net assets
|
Ivy PineBridge High Yield Fund
|
[•][•],[•]
|
Net Assets Fee
Up to $500 million 0.625% of net assets
Over $500 million and up to $1 billion 0.60% of net assets
Over $1 billion and up to $1.5 billion 0.55% of net assets
Over $1.5 billion and up to $10 billion 0.50% of net assets
Over $10 billion and up to $20 billion 0.49% of net assets
In excess of $20 billion 0.48% of net assets
|
Ivy ProShares Interest Rate Hedged High Yield Index Fund
|
[•][•],[•]
|
Net Assets Fee
Up to $1 billion 0.50% of net assets
Over $1 billion and up to $2 billion 0.48% of net assets
Over $2 billion and up to $5 billion 0.46% of net assets
In excess of $5 billion 0.45% of net assets
|
Ivy ProShares MSCI ACWI Index Fund
|
[•][•],[•]
|
Net Assets Fee
Up to $1 billion 0.45% of net assets
Over $1 billion and up to $2 billion 0.43% of net assets
Over $2 billion and up to $5 billion 0.41% of net assets
In excess of $5 billion 0.40% of net assets
|
Ivy ProShares Russell 2000 Dividend Growers Index Fund
|
[•][•],[•]
|
Net Assets Fee
Up to $1 billion 0.40% of net assets
Over $1 billion and up to $2 billion 0.38% of net assets
Over $2 billion and up to $5 billion 0.36% of net assets
In excess of $5 billion 0.35% of net assets
|
Ivy ProShares S&P 500 Bond Index Fund
|
[•][•],[•]
|
Net Assets Fee
Up to $1 billion 0.20% of net assets
Over $1 billion and up to $2 billion 0.18% of net assets
Over $2 billion and up to $5 billion 0.16% of net assets
In excess of $5 billion 0.15% of net assets
|
Ivy ProShares S&P 500 Dividend Aristocrats Index Fund
|
[•][•],[•]
|
Net Assets Fee
Up to $1 billion 0.35% of net assets
Over $1 billion and up to $2 billion 0.33% of net assets
Over $2 billion and up to $5 billion 0.31% of net assets
In excess of $5 billion 0.30% of net assets
|
Ivy Pzena International Value Fund
|
[•][•],[•]
|
Net Assets Fee
Up to $500 million 1.00% of net assets
Over $500 million and up to $1 billion 0.85% of net assets
Over $1 billion and up to $2 billion 0.83% of net assets
Over $2 billion and up to $3 billion 0.80% of net assets
Over $3 billion and up to $5 billion 0.76% of net assets
Over $5 billion and up to $10 billion 0.73% of net assets
In excess of $10 billion 0.70% of net assets
|
Ivy Science and Technology Fund
|
[•][•],[•]
|
Net Assets Fee
Up to $1 billion 0.85% of net assets
Over $1 billion and up to $2 billion 0.83% of net assets
Over $2 billion and up to $3 billion 0.80% of net assets
Over $3 billion and up to $8 billion 0.76% of net assets
Over $8 billion and up to $13 billion 0.755% of net assets
In excess of $13 billion 0.75% of net assets
|
Fund Name
|
Effective Date
|
Management Fee Schedule (as a percentage of average daily net assets) Annual Rate
|
Ivy Securian Core Bond Fund
|
[•][•],[•]
|
Net Assets Fee
Up to $500 million 0.525% of net assets
Over $500 million and up to $1 billion 0.50% of net assets
Over $1 billion and up to $1.5 billion 0.45% of net assets
Over $1.5 billion and up to $5 billion 0.40% of net assets
Over $5 billion and up to $10 billion 0.395% of net assets
In excess of $10 billion 0.39% of net assets
|
Ivy Securian Real Estate Securities Fund
|
[•][•],[•]
|
Net Assets Fee
Up to $1 billion 0.90% of net assets
Over $1 billion and up to $2 billion 0.87% of net assets
Over $2 billion and up to $3 billion 0.84% of net assets
Over $3 billion and up to $5 billion 0.80% of net assets
Over $5 billion and up to $10 billion 0.76% of net assets
In excess of $10 billion 0.72% of net assets
|
Ivy Small Cap Core Fund
|
[•][•],[•]
|
Net Assets Fee
Up to $1 billion 0.85% of net assets
Over $1 billion and up to $2 billion 0.83% of net assets
Over $2 billion and up to $3 billion 0.80% of net assets
Over $3 billion and up to $5 billion 0.76% of net assets
Over $5 billion and up to $10 billion 0.73% of net assets
In excess of $10 billion 0.72% of net assets
|
Ivy Small Cap Growth Fund
|
[•][•],[•]
|
Net Assets Fee
Up to $1 billion 0.85% of net assets
Over $1 billion and up to $2 billion 0.83% of net assets
Over $2 billion and up to $3 billion 0.80% of net assets
Over $3 billion and up to $5 billion 0.76% of net assets
Over $5 billion and up to $10 billion 0.73% of net assets
In excess of $10 billion 0.72% of net assets
|
Ivy Value Fund
|
[•][•],[•]
|
Net Assets Fee
Up to $1 billion 0.70% of net assets
Over $1 billion and up to $2 billion 0.65% of net assets
Over $2 billion and up to $3 billion 0.60% of net assets
Over $3 billion and up to $5 billion 0.55% of net assets
Over $5 billion and up to $10 billion 0.545% of net assets
In excess of $10 billion 0.54% of net assets
|
Ivy Wilshire Global Allocation Fund
|
[•][•],[•]
|
Predecessor Strategy
Net Assets Fee
Up to $1 billion 0.70% of net assets
Over $1 billion and up to $2 billion 0.65% of net assets
Over $2 billion and up to $3 billion 0.60% of net assets
Over $3 billion 0.55% of net assets
Successor Strategy
Net Assets Fee
Up to $500 million 0.06% of net assets
Over $500 million and up to $1 billion 0.05% of net assets
Over $1 billion and up to $2 billion 0.04% of net assets
Over $2 billion 0.03% of net assets
|
Ivy VIP Asset Strategy*
|
[•][•],[•]
|
Net Assets Fee
Up to $1 billion 0.70%
Over $1 billion and up to $2 billion 0.65%
Over $2 billion and up to $3 billion 0.60%
In excess of $3 billion 0.55%
|
Ivy VIP Balanced*
|
[•][•],[•]
|
Net Assets Fee
Up to $1 billion 0.70%
Over $1 billion and up to $2 billion 0.65%
Over $2 billion and up to $3 billion 0.60%
In excess of $3 billion 0.55%
|
Ivy VIP Core Equity*
|
[•][•],[•]
|
Net Assets Fee
Up to $1 billion 0.70%
Over $1 billion and up to $2 billion 0.65%
Over $2 billion and up to $3 billion 0.60%
In excess of $3 billion 0.55%
|
Fund Name
|
Effective Date
|
Management Fee Schedule (as a percentage of average daily net assets) Annual Rate
|
Ivy VIP Corporate Bond*
|
[•][•],[•]
|
Net Assets Fee
Up to $1 billion 0.475%
Over $1 billion and up to $1.5 billion 0.450%
Over 1.5 billion 0.400%
|
Ivy VIP Energy*
|
[•][•],[•]
|
Net Assets Fee
Up to $1 billion 0.85%
Over $1 billion and up to $2 billion 0.83%
Over $2 billion and up to $3 billion 0.80%
Over $3 billion 0.76%
|
Ivy VIP Global Bond*
|
[•][•],[•]
|
Net Assets Fee
Up to $500 million 0.625%
Over $500 million and up to $1 billion 06.00%
Over $1 billion and up to $1.5 billion 0.550%
Over $1.5 billion 0.500%
|
Ivy VIP Global Equity Income*
|
[•][•],[•]
|
Net Assets Fee
Up to $1 billion 0.70%
Over $1 billion and up to $2 billion 0.65%
Over $2 billion and up to $3 billion 0.60%
Over $3 billion 0.55%
|
Ivy VIP Global Growth*
|
[•][•],[•]
|
Net Assets Fee
Up to $1 billion 0.85%
Over $1 billion and up to $2 billion 0.83%
Over $2 billion and up to $3 billion 0.80%
Over $3 billion 0.76%
|
Ivy VIP Government Money Market*
|
[•][•],[•]
|
Net Assets Fee
Up to $1 billion 0.35%
Over $1 billion 0.30%
|
Ivy VIP Growth*
|
[•][•],[•]
|
Net Assets Fee
Up to $1 billion 0.70%
Over $1 billion and up to $2 billion 0.65%
Over $2 billion and up to $3 billion 0.60%
Over $3 billion 0.55%
|
Ivy VIP High Income*
|
[•][•],[•]
|
Net Assets Fee
Up to $500 million 0.625%
Over $500 million and up to $1 billion 0.600%
Over $1 billion and up to $1.5 billion 0.550%
Over $1.5 billion 0.500%
|
Ivy VIP Limited-Term Bond*
|
[•][•],[•]
|
Net Assets Fee
Up to $500 million 0.50%
Over $500 million and up to $1 billion 0.45%
Over $1 billion and up to $1.5 billion 0.40%
Over $1.5 billion 0.35%
|
Ivy VIP Mid Cap Growth*
|
[•][•],[•]
|
Net Assets Fee
Up to $1 billion 0.85%
Over $1 billion and up to $2 billion 0.83%
Over $2 billion and up to $3 billion 0.80%
Over $3 billion 0.76%
|
Ivy VIP Science and Technology*
|
[•][•],[•]
|
Net Assets Fee
Up to $1 billion 0.85%
Over $1 billion and up to $2 billion 0.83%
Over $2 billion and up to $3 billion 0.80%
Over $3 billion 0.76%
|
Ivy VIP Small Cap Growth*
|
[•][•],[•]
|
Net Assets Fee
Up to $1 billion 0.85%
Over $1 billion and up to $2 billion 0.83%
Over $2 billion and up to $3 billion 0.80%
Over $3 billion 0.76%
|
Ivy VIP Value*
|
[•][•],[•]
|
Net Assets Fee
Up to $1 billion 0.70%
Over $1 billion and up to $2 billion 0.65%
Over $2 billion and up to $3 billion 0.60%
Over $3 billion 0.55%
|
Ivy VIP Pathfinder Aggressive*
|
[•][•],[•]
|
Net Assets Fee
All net assets 0.00%
|
Ivy VIP Pathfinder Moderately Aggressive*
|
[•][•],[•]
|
Net Assets Fee
All net assets 0.00%
|
Ivy VIP Pathfinder Moderate*
|
[•][•],[•]
|
Net Assets Fee
All net assets 0.00%
|
Ivy VIP Pathfinder Moderately Conservative*
|
[•][•],[•]
|
Net Assets Fee
All net assets 0.00%
|
Ivy VIP Pathfinder Conservative*
|
[•][•],[•]
|
Net Assets Fee
All net assets 0.00%
|
Ivy VIP International Core Equity
|
[•][•],[•]
|
Net Assets Fee
Up to $1 billion 0.85%
Over $1 billion and up to $2 billion 0.83%
Over $2 billion and up to $3 billion 0.80%
Over $3 billion 0.76%
|
Ivy VIP Natural Resources
|
[•][•],[•]
|
Net Assets Fee
Up to $1 billion 0.85%
Over $1 billion and up to $2 billion 0.83%
Over $2 billion and up to $3 billion 0.80%
Over $billion and up to $5 billion 0.76%
Over $5 billion and up to $10 billion 0.73%
Over $10 billion 0.70%
|
Ivy VIP Pathfinder Moderate – Managed Volatility
|
[•][•],[•]
|
Net Assets Fee
Up to $500 million 0.20%
Over $500 million and up to $1 billion 0.17%
Over $1 billion 0.15%
|
Ivy VIP Pathfinder Moderately Aggressive – Managed Volatility
|
[•][•],[•]
|
Net Assets Fee
Up to $500 million 0.20%
Over $500 million and up to $1 billion 0.17%
Over $1 billion 0.15%
|
Ivy VIP Pathfinder Moderately Conservative – Managed Volatility
|
[•][•],[•]
|
Net Assets Fee
Up to $500 million 0.20%
Over $500 million and up to $1 billion 0.17%
Over $1 billion 0.15%
|
Ivy VIP Securian Real Estate Securities
|
[•][•],[•]
|
Net Fund Assets Fee
Up to $1 billion 0.90%
Over $1 billion and up to $2 billion 0.87%
Over $2 billion and up to $3 billion 0.84%
Over $3 billion 0.80%
|
Ivy VIP Small Cap Core
|
[•][•],[•]
|
Net Fund Assets Fee
Up to $1 billion 0.85%
Over $1 billion and up to $2 billion 0.83%
Over $2 billion and up to $3 billion 0.80%
Over $3 billion 0.76%
|
InvestEd 90 Portfolio
|
[•][•],[•]
|
Delaware Management Company will not receive, and will not have any right to, reimbursement from any Fund of Management Fees pursuant to this Investment Management Agreement.
|
InvestEd 80 Portfolio
|
[•][•],[•]
|
Delaware Management Company will not receive, and will not have any right to, reimbursement from any Fund of Management Fees pursuant to this Investment Management Agreement.
|
InvestEd 70 Portfolio
|
[•][•],[•]
|
Delaware Management Company will not receive, and will not have any right to, reimbursement from any Fund of Management Fees pursuant to this Investment Management Agreement.
|
InvestEd 60 Portfolio
|
[•][•],[•]
|
Delaware Management Company will not receive, and will not have any right to, reimbursement from any Fund of Management Fees pursuant to this Investment Management Agreement.
|
InvestEd 50 Portfolio
|
[•][•],[•]
|
Delaware Management Company will not receive, and will not have any right to, reimbursement from any Fund of Management Fees pursuant to this Investment Management Agreement.
|
InvestEd 40 Portfolio
|
[•][•],[•]
|
Delaware Management Company will not receive, and will not have any right to, reimbursement from any Fund of Management Fees pursuant to this Investment Management Agreement.
|
InvestEd 30 Portfolio
|
[•][•],[•]
|
Delaware Management Company will not receive, and will not have any right to, reimbursement from any Fund of Management Fees pursuant to this Investment Management Agreement.
|
InvestEd 20 Portfolio
|
[•][•],[•]
|
Delaware Management Company will not receive, and will not have any right to, reimbursement from any Fund of Management Fees pursuant to this Investment Management Agreement.
|
InvestEd 10 Portfolio
|
[•][•],[•]
|
Delaware Management Company will not receive, and will not have any right to, reimbursement from any Fund of Management Fees pursuant to this Investment Management Agreement.
|
InvestEd 0 Portfolio
|
[•][•],[•]
|
Delaware Management Company will not receive, and will not have any right to, reimbursement from any Fund of Management Fees pursuant to this Investment Management Agreement.
|
* |
If a Fund’s net assets are less than $25 million, Delaware Management Company has agreed to voluntarily waive the management fee, subject to its right to change or modify this waiver
|
Name
|
Position
|
Brian Lawrence Murray
|
SVP, Global Chief Compliance Officer
|
David Forrester Connor
|
SVP, General Counsel, Secretary
|
Shawn Keith Lytle
|
Chief Executive Officer, President, Trustee
|
Roger Allen Early
|
EVP
|
Richard Salus
|
SVP
|
Stephen Hoban
|
Chief Financial Officer
|
John Leonard
|
EVP Global Chair of Equities
|
David Brenner
|
SVP Chief Administration Officer
|
Brett Lewthwaite
|
EVP, Chief Investment Officer
|
Name
|
Address
|
Delaware Investments Management Company, LLC
|
100 Independence, 610 Market Street, Philadelphia, PA 19106
|
Macquarie Management Holdings, Inc.
|
100 Independence, 610 Market Street, Philadelphia, PA 19106
|
Macquarie Affiliated Managers (USA) Inc.
|
125 West 55th Street, New York, NY 10019
|
Macquarie Affiliated Managers Holdings (USA) Inc.
|
125 West 55th Street, New York, NY 10019
|
Macquarie FG Holdings Inc.
|
125 West 55th Street, New York, NY 10019
|
Macquarie Equities (US) Holdings Pty Limited
|
125 West 55th Street, New York, NY 10019
|
Macquarie Group (US) Holdings No. 1 Pty Limited
|
Level 6, 50 Martin Place, Sydney, New South Wales, 2000Australia
|
Macquarie Corporate International Holdings Pty Limited
|
Level 6, 50 Martin Place, Sydney, New South Wales, 2000Australia
|
Macquarie Corporate Holdings Pty Limited
|
Level 6, 50 Martin Place, Sydney, New South Wales, 2000Australia
|
Macquarie Financial Holdings Pty Limited
|
Level 6, 50 Martin Place, Sydney, New South Wales, 2000Australia
|
Macquarie Group Limited
|
Level 6, 50 Martin Place, Sydney NSW 2000, Australia
|
DMC-Managed Fund
|
Effective Fee Rate based on Net Assets as of November 30, 2020
|
Net Assets as of November 30, 2020 ($)
|
DMC has contractually agreed to waive all or a portion of its investment advisory fees and/or pay/reimburse expenses to cap total expenses at a specified amount as of September
30, 2020
(Yes/No)*
|
Delaware Strategic Allocation Fund
|
0.65%
|
244,334,947
|
Yes
|
Delaware Total Return Fund
|
0.65%
|
553,824,002
|
Yes
|
Delaware Wealth Builder Fund
|
0.65%
|
400,058,404
|
Yes
|
Delaware Floating Rate Fund
|
0.50%
|
115,018,714
|
Yes
|
Delaware Floating Rate II Fund
|
0.50%
|
55,480,503
|
Yes
|
Delaware Corporate Bond Fund
|
0.48%
|
1,220,657,567
|
Yes
|
Delaware Investment Grade Fund
|
0.50%
|
259,914,362
|
Yes
|
Delaware Emerging Markets Fund
|
1.14%
|
5,728,643,403
|
Yes
|
Delaware Emerging Markets Debt Corporate Fund
|
0.75%
|
69,318,013
|
Yes
|
Delaware International Fund
|
0.85%
|
287,558,394
|
Yes
|
Delaware International Value Equity Fund
|
0.85%
|
318,977,155
|
Yes
|
Delaware International Small Cap Fund
|
0.85%
|
115,046,067
|
Yes
|
Delaware Healthcare Fund
|
0.82%
|
1,228,928,452
|
No
|
Delaware Fund for Income
|
0.65%
|
429,963,422
|
Yes
|
Delaware High-Yield Opportunities Fund
|
0.65%
|
171,866,183
|
Yes
|
Delaware National High-Yield Municipal Bond Fund
|
0.51%
|
1,425,828,921
|
Yes
|
Delaware Diversified Income Fund
|
0.46%
|
3,696,373,172
|
Yes
|
Delaware Growth Equity Fund
|
0.65%
|
611,749,531
|
Yes
|
Delaware Select Growth Fund
|
0.75%
|
364,694,260
|
Yes
|
Delaware U.S. Growth Fund
|
0.57%
|
2,729,434,114
|
Yes
|
Delaware Covered Call Strategy Fund
|
0.80%
|
155,825,078
|
Yes
|
Delaware Equity Income Fund
|
0.65%
|
315,948,893
|
Yes
|
Delaware Growth and Income Fund
|
0.60%
|
1,083,139,391
|
Yes
|
Delaware Value Fund
|
0.51%
|
10,440,029,289
|
No
|
Delaware Smid Cap Growth Fund
|
0.69%
|
4,398,608,538
|
No
|
Delaware Mid Cap Value Fund
|
0.75%
|
78,179,497
|
Yes
|
Delaware Opportunity Fund
|
0.75%
|
666,357,390
|
Yes
|
Delaware Extended Duration Bond Fund
|
0.54%
|
580,671,111
|
Yes
|
Delaware Strategic Income Fund
|
0.55%
|
44,989,849
|
Yes
|
Delaware Strategic Income II Fund
|
0.55%
|
94,260,607
|
Yes
|
Delaware Tax-Free California Fund
|
0.55%
|
84,660,163
|
Yes
|
Delaware Minnesota High-Yield Municipal Bond Fund
|
0.55%
|
202,510,630
|
Yes
|
Delaware Tax-Free Minnesota Fund
|
0.54%
|
585,498,302
|
Yes
|
DMC-Managed Fund
|
Effective Fee Rate based on Net Assets as of November 30, 2020
|
Net Assets as of November 30, 2020 ($)
|
DMC has contractually agreed to waive all or a portion of its investment advisory fees and/or pay/reimburse expenses to cap total expenses at a specified amount as of September
30, 2020
(Yes/No)*
|
Delaware Tax-Free Minnesota Intermediate Fund
|
0.50%
|
89,526,928
|
Yes
|
Delaware Tax-Free USA Intermediate Fund
|
0.50%
|
590,019,535
|
Yes
|
Delaware Tax-Free USA Fund
|
0.55%
|
632,761,536
|
Yes
|
Delaware Tax-Free New Jersey Fund
|
0.55%
|
30,988,345
|
Yes
|
Delaware Tax-Free New York Fund
|
0.55%
|
89,460,750
|
Yes
|
Delaware Tax-Free Pennsylvania Fund
|
0.55%
|
441,565,075
|
Yes
|
Delaware Tax-Free Arizona Fund
|
0.50%
|
81,404,165
|
Yes
|
Delaware Tax-Free Colorado Fund
|
0.55%
|
225,123,732
|
Yes
|
Delaware Tax-Free Idaho Fund
|
0.55%
|
110,033,958
|
Yes
|
Delaware Tax-Free Oregon Fund
|
0.55%
|
42,033,615
|
Yes
|
Delaware Hedged U.S. Equity Opportunities Fund
|
1.15%
|
75,974,073
|
Yes
|
Delaware Premium Income Fund
|
0.80%
|
60,285,678
|
Yes
|
Delaware Limited Duration Bond Fund
|
0.50%
|
171,444,091
|
Yes
|
Delaware Limited-Term Diversified Income Fund
|
0.50%
|
447,187,074
|
Yes
|
Delaware Small Cap Core Fund
|
0.65%
|
5,939,522,299
|
No
|
Delaware Small Cap Growth Fund
|
0.75%
|
114,983,867
|
Yes
|
Delaware Small Cap Value Fund
|
0.65%
|
4,684,380,657
|
No
|
Delaware Special Situations Fund
|
0.75%
|
321,364,775
|
Yes
|
Delaware Investments Ultrashort Fund
|
0.30%
|
90,492,257
|
Yes
|
Delaware Global Listed Real Assets Fund
|
0.75%
|
105,259,276
|
Yes
|
Delaware International Opportunities Bond Fund
|
0.75%
|
26,109,521
|
Yes
|
Delaware Global Equity Fund
|
0.85%
|
285,941,356
|
Yes
|
Delaware VIP Total Return Series
|
0.65%
|
52,952,954
|
Yes
|
Delaware VIP Investment Grade Series
|
0.50%
|
59,846,034
|
Yes
|
Delaware VIP Emerging Markets Series
|
1.24%
|
658,361,437
|
Yes
|
Delaware VIP International Series
|
0.85%
|
156,466,235
|
Yes
|
Delaware VIP Fund for Income Series
|
0.65%
|
97,067,023
|
Yes
|
Delaware VIP High Yield Series
|
0.65%
|
193,404,725
|
Yes
|
Delaware VIP Diversified Income Series
|
0.58%
|
2,682,671,397
|
Yes
|
Delaware VIP Growth Equity Series
|
0.65%
|
100,917,959
|
Yes
|
Delaware VIP U.S. Growth Series
|
0.65%
|
428,912,956
|
No
|
Delaware VIP Equity Income Series
|
0.65%
|
109,993,147
|
Yes
|
Delaware VIP Growth and Income Series
|
0.65%
|
452,598,878
|
Yes
|
Delaware VIP Value Series
|
0.63%
|
762,312,339
|
No
|
Delaware VIP Opportunity Series
|
0.75%
|
82,120,851
|
Yes
|
Delaware VIP Smid Cap Core Series
|
0.74%
|
619,438,677
|
No
|
Delaware VIP REIT Series
|
0.75%
|
377,561,427
|
Yes
|
Delaware VIP Limited Duration Bond Series
|
0.50%
|
29,871,724
|
Yes
|
Delaware VIP Limited-Term Diversified Income Series
|
0.48%
|
1,388,935,388
|
Yes
|
Delaware VIP Small Cap Value Series
|
0.71%
|
1,234,821,322
|
No
|
Delaware VIP Special Situations Series
|
0.75%
|
204,074,734
|
Yes
|
DMC-Managed Fund
|
Effective Fee Rate based on Net Assets as of November 30, 2020
|
Net Assets as of November 30, 2020 ($)
|
DMC has contractually agreed to waive all or a portion of its investment advisory fees and/or pay/reimburse expenses to cap total expenses at a specified amount as of September
30, 2020
(Yes/No)*
|
Delaware Enhanced Global Dividend & Income Fund
|
0.95%
|
124,876,294
|
No
|
Delaware Investments Dividend & Income Fund, Inc.
|
0.55%
|
73,575,681
|
No
|
Delaware Investments Colorado Municipal Income Fund, Inc.
|
0.40%
|
73,862,517
|
No
|
Delaware Investments National Municipal Income Fund
|
0.40%
|
66,432,258
|
No
|
Delaware Investments Minnesota Municipal Income Fund II, Inc.
|
0.40%
|
171,769,276
|
No
|
* |
For these Funds, DMC has contractually agreed to waive all or a portion of its investment advisory fees and/or pay/reimburse expenses to cap total expenses at a specified amount as disclosed in each Fund’s current
prospectus and/or SAI.
|
Fund Name
|
FYE
|
Advisory Fee Paid to IICO**
|
Shareholder Servicing Fee Paid to WISC
|
Out-of-Pocket Expenses of WISC
|
Accounting and Administrative Services Fees Paid to WISC
|
Distribution and Service Fees Paid (or Accrued) to IDI* - Class A
|
Distribution and Service Fees Paid (or Accrued) to IDI* - Class B
|
Distribution and Service Fees Paid (or Accrued) to IDI* - Class C
|
Distribution and Service Fees Paid (or Accrued) to IDI* - Class E
|
Distribution and Service Fees Paid (or Accrued) to IDI* - Class R
|
Distribution and Service Fees Paid (or Accrued) to IDI* - Class Y
|
Ivy Asset Strategy Fund
|
3/31/20
|
$ 18,978,586
|
$ 2,291,333
|
$ 2,823,511
|
$ 274,761
|
$ 3,483,288
|
$ 343,545
|
$ 5,003,742
|
$ 92,164
|
$ 202,116
|
$ 344,912
|
Ivy Balanced Fund
|
3/31/20
|
$ 16,661,373
|
$ 2,503,639
|
$ 1,305,034
|
$ 274,761
|
$ 3,210,792
|
$ 311,607
|
$ 3,253,761
|
$ 574
|
$ 64,600
|
$ 53,166
|
Ivy Core Equity Fund
|
3/31/20
|
$ 25,879,641
|
$ 4,105,121
|
$ 1,299,893
|
$ 274,761
|
$ 7,360,880
|
$ 64,043
|
$ 482,713
|
$ 35,018
|
$ 2,897
|
$ 61,033
|
Ivy Emerging Markets Equity Fund
|
3/31/20
|
$ 15,859,734
|
$ 716,377
|
$ 753,146
|
$ 278,473
|
$ 788,086
|
$ 14,523
|
$ 625,464
|
$ 748
|
$ 65,286
|
$ 103,788
|
Ivy Energy Fund
|
3/31/20
|
$ 2,248,285
|
$ 85,319
|
$ 202,876
|
$ 102,559
|
$ 243,372
|
$ 7,099
|
$ 186,656
|
$ 207
|
$ 70,950
|
$ 31,061
|
Ivy Global Bond Fund
|
3/31/20
|
$ 2,946,682
|
$ 16,693
|
$ 107,779
|
$ 141,731
|
$ 497,896
|
$ 8,134
|
$ 72,996
|
$ -
|
$ 3,436
|
$ 2,289
|
Ivy Global Equity Income Fund
|
3/31/20
|
$ 5,277,536
|
$ 945,895
|
$ 360,415
|
$ 210,492
|
$ 894,578
|
$ 36,143
|
$ 164,991
|
$ 13,163
|
$ 3,365
|
$ 17,008
|
Ivy Global Growth Fund
|
3/31/20
|
$ 7,977,979
|
$ 1,140,747
|
$ 380,725
|
$ 236,384
|
$ 1,135,752
|
$ 7,361
|
$ 76,682
|
$ 433
|
$ 6,208
|
$ 10,120
|
Ivy Government Money Market Fund
|
3/31/20
|
$ 552,575
|
$ 246,292
|
$ 122,752
|
$ 69,147
|
$ -
|
$ 10,030
|
$ 85,042
|
$ -
|
$ -
|
$ -
|
Ivy High Income Fund
|
3/31/20
|
$ 25,428,387
|
$ 4,715,560
|
$ 2,161,342
|
$ 278,473
|
$ 4,616,932
|
$ 314,584
|
$ 6,156,326
|
$ 22,701
|
$ 295,077
|
$ 525,797
|
Ivy International Core Equity Fund
|
3/31/20
|
$ 35,511,594
|
$ 921,577
|
$ 974,348
|
$ 278,473
|
$ 1,263,382
|
$ 24,294
|
$ 1,292,436
|
$ 17,931
|
$ 476,811
|
$ 817,440
|
Ivy Large Cap Growth Fund
|
3/31/20
|
$ 28,195,786
|
$ 2,593,487
|
$ 1,302,315
|
$ 274,761
|
$ 5,550,920
|
$ 79,737
|
$ 841,693
|
$ 53,415
|
$ 89,702
|
$ 87,130
|
Ivy LaSalle Global Real Estate Fund
|
3/31/20
|
$ 1,226,674
|
$ 38,706
|
$ 21,584
|
$ 69,790
|
$ 42,539
|
$ 7,861
|
$ 40,272
|
$ -
|
$ 26,332
|
$ 13,011
|
Ivy Limited-Term Bond Fund
|
3/31/20
|
$ 5,420,307
|
$ 1,282,168
|
$ 346,444
|
$ 274,761
|
$ 941,504
|
$ 24,357
|
$ 371,614
|
$ 13,422
|
$ 2,649
|
$ 16,581
|
Ivy Managed International Opportunities Fund
|
3/31/20
|
$ 76,816
|
$ -
|
$ 44,096
|
$ 44,067
|
$ 154,265
|
$ 2,533
|
$ 20,380
|
$ 1,282
|
$ 3,117
|
$ 774
|
Ivy Mid Cap Growth Fund
|
3/31/20
|
$ 37,182,326
|
$ 2,204,286
|
$ 1,273,814
|
$ 274,761
|
$ 4,243,554
|
$ 117,358
|
$ 1,944,992
|
$ 32,568
|
$ 308,950
|
$ 701,805
|
Ivy Mid Cap Income Opportunities Fund
|
3/31/20
|
$ 6,002,890
|
$ 173,400
|
$ 176,796
|
$ 211,218
|
$ 382,133
|
$ -
|
$ 190,522
|
$ -
|
$ 17,300
|
$ 42,039
|
Ivy Municipal Bond Fund
|
3/31/20
|
$ 4,132,387
|
$ 352,425
|
$ 89,514
|
$ 216,927
|
$ 1,177,756
|
$ 9,294
|
$ 177,307
|
$ -
|
$ -
|
$ 1,256
|
Ivy Municipal High Income Fund
|
3/31/20
|
$ 5,930,309
|
$ 403,623
|
$ 250,570
|
$ 267,336
|
$ 1,652,385
|
$ 46,098
|
$ 950,499
|
$ -
|
$ -
|
$ 15,855
|
Ivy Natural Resources Fund
|
3/31/20
|
$ 2,699,748
|
$ 739,208
|
$ 495,592
|
$ 113,537
|
$ 450,497
|
$ 8,803
|
$ 126,789
|
$ 8,096
|
$ 63,131
|
$ 37,472
|
Ivy Pzena International Value Fund
|
3/31/20
|
$ 2,121,709
|
$ 335,120
|
$ 113,997
|
$ 99,544
|
$ 167,579
|
$ 1,799
|
$ 16,574
|
$ -
|
$ 1,407
|
$ 3,343
|
Ivy Science and Technology Fund
|
3/31/20
|
$ 60,828,604
|
$ 7,155,849
|
$ 3,126,100
|
$ 274,761
|
$ 10,499,624
|
$ 324,757
|
$ 5,223,081
|
$ 99,510
|
$ 656,006
|
$ 1,082,007
|
Ivy Securian Core Bond Fund
|
3/31/20
|
$ 5,225,974
|
$ 267,100
|
$ 171,894
|
$ 268,586
|
$ 486,014
|
$ 14,340
|
$ 126,732
|
$ 9,270
|
$ 7,579
|
$ 19,265
|
Ivy Securian Real Estate Securities Fund
|
3/31/20
|
$ 3,387,755
|
$ 703,584
|
$ 220,212
|
$ 138,807
|
$ 415,518
|
$ 13,535
|
$ 44,197
|
$ 8,026
|
$ 3,539
|
$ 221,006
|
Ivy Small Cap Core Fund
|
3/31/20
|
$ 5,863,079
|
$ 317,608
|
$ 212,800
|
$ 188,972
|
$ 417,895
|
$ 12,849
|
$ 309,242
|
$ 534
|
$ 92,995
|
$ 32,959
|
Ivy Small Cap Growth Fund
|
3/31/20
|
$ 21,157,537
|
$ 1,724,156
|
$ 1,092,213
|
$ 278,473
|
$ 2,622,488
|
$ 52,810
|
$ 766,269
|
$ 26,132
|
$ 307,687
|
$ 330,176
|
Ivy Value Fund
|
3/31/20
|
$ 7,516,296
|
$ 1,354,259
|
$ 333,502
|
$ 273,038
|
$ 877,846
|
$ 14,220
|
$ 126,726
|
$ 505
|
$ 1,634
|
$ 593
|
Total
|
$ 354,290,569
|
$ 37,333,532
|
$ 19,763,264
|
$ 5,689,354
|
$ 53,577,475
|
$ 1,871,714
|
$ 28,677,698
|
$ 435,699
|
$ 2,772,774
|
$ 4,571,886
|
** |
For Funds managed solely by IICO, IICO has voluntarily agreed to waive its management fee for any day that the Fund’s net assets are less than $25 million, subject to IICO’s right to change or modify this waiver.
|
Fund Name
|
FYE
|
Advisory Fee Paid to IICO**
|
Shareholder Servicing Fee Paid to WISC
|
Out-of-Pocket Expenses of WISC
|
Accounting and Administrative Services Fees Paid to WISC
|
Distribution and Service Fees Paid (or Accrued) to IDI* - Class A
|
Distribution and Service Fees Paid (or Accrued) to IDI* - Class B
|
Distribution and Service Fees Paid (or Accrued) to IDI* - Class C
|
Ivy Accumulative Fund
|
6/30/20
|
$ 9,440,331
|
$ 1,109,722
|
$ 402,982
|
$ 271,208
|
$ 2,770,061
|
$ 6,434
|
$ 30,055
|
Ivy Wilshire Global Allocation Fund
|
6/30/20
|
$ 262,752
|
$ 599
|
$ 435,124
|
$ 174,942
|
$ 1,869,009
|
$ 26,719
|
$ 92,627
|
Total
|
$ 9,703,083
|
$ 1,110,321
|
$ 838,106
|
$ 446,150
|
$ 4,639,070
|
$ 33,153
|
$ 122,682
|
** |
For Funds managed solely by IICO, IICO has voluntarily agreed to waive its management fee for any day that the Fund’s net assets are less than $25 million, subject to IICO’s right to change or modify this waiver.
|
Fund Name
|
FYE
|
Advisory Fee Paid to IICO**
|
Shareholder Servicing Fee Paid to WISC
|
Out-of-Pocket Expenses of WISC
|
Accounting and Administrative Services Fees Paid to WISC
|
Distribution and Service Fees Paid (or Accrued) to IDI* - Class A
|
Distribution and Service Fees Paid (or Accrued) to IDI* - Class B
|
Distribution and Service Fees Paid (or Accrued) to IDI* - Class C
|
Distribution and Service Fees Paid (or Accrued) to IDI* - Class E
|
Distribution and Service Fees Paid (or Accrued) to IDI* - Class R
|
Distribution and Service Fees Paid (or Accrued) to IDI* - Class Y
|
Ivy Apollo Multi-Asset Income Fund
|
9/30/2019
|
$ 3,049,111
|
$ 180,936
|
$ 90,960
|
$ 137,423
|
$ 302,769
|
$ -
|
$ 149,176
|
$ -
|
$ -
|
$ 12,778
|
Ivy Apollo Strategic Income Fund
|
9/30/2019
|
$ 2,870,886
|
$ 124,948
|
$ 49,857
|
$ 140,115
|
$ 295,045
|
$ -
|
$ 58,282
|
$ -
|
$ -
|
$ 17,798
|
Ivy California Municipal High Income Fund
|
9/30/2019
|
$ 35,990
|
$ 726
|
$ 353
|
$ 27,716
|
$ 26,720
|
$ -
|
$ 17,996
|
$ -
|
$ -
|
$ 2,557
|
Ivy Cash Management Fund
|
9/30/2019
|
$ 4,368,661
|
$ 2,908,953
|
$ 1,183,321
|
$ 255,924
|
$ -
|
$ 5,899
|
$ 13,255
|
$ -
|
$ -
|
$ -
|
Ivy Corporate Bond Fund
|
9/30/2019
|
$ 4,339,651
|
$ 1,392,877
|
$ 289,684
|
$ 231,672
|
$ 866,630
|
$ 6,235
|
$ 38,329
|
$ 615
|
$ 1,229
|
$ 613
|
Ivy Crossover Credit Fund
|
9/30/2019
|
$ 67,632
|
$ 1,226
|
$ 17
|
$ 29,721
|
$ 28,976
|
$ -
|
$ -
|
$ 1,236
|
$ 2,466
|
$ 2,476
|
Ivy Government Securities Fund
|
9/30/2019
|
$ 1,624,173
|
$ 176,871
|
$ 70,739
|
$ 114,309
|
$ 170,593
|
$ 2,587
|
$ 11,721
|
$ 621
|
$ 1,242
|
$ 619
|
Ivy International Small Cap Fund
|
9/30/2019
|
$ 1,303,898
|
$ 20,306
|
$ 7,984
|
$ 69,507
|
$ 38,956
|
$ -
|
$ 17,525
|
$ -
|
$ -
|
$ 5,179
|
Ivy Pictet Emerging Markets Local Currency Debt Fund
|
9/30/2019
|
$ 719,147
|
$ 19,719
|
$ 6,062
|
$ 69,419
|
$ 26,376
|
$ -
|
$ 19,213
|
$ 4,269
|
$ 8,460
|
$ 6,977
|
Ivy Pictet Targeted Return Bond Fund
|
9/30/2019
|
$ 1,666,227
|
$ 143,788
|
$ 36,608
|
$ 92,555
|
$ 53,613
|
$ -
|
$ 40,624
|
$ -
|
$ -
|
$ 8,694
|
Ivy PineBridge High Yield Fund
|
9/30/2019
|
$ 460,600
|
$ 2,341
|
$ 1,316
|
$ 51,806
|
$ 21,060
|
$ -
|
$ -
|
$ -
|
$ 2,422
|
$ -
|
Total
|
$ 20,505,976
|
$ 4,972,691
|
$ 1,736,901
|
$ 1,220,167
|
$ 1,830,738
|
$ 14,721
|
$ 366,121
|
$ 6,741
|
$ 15,819
|
$ 57,691
|
** |
For Funds managed solely by IICO, IICO has voluntarily agreed to waive its management fee for any day that the Fund’s net assets are less than $25 million, subject to IICO’s right to change or modify this waiver.
|
Fund Name
|
FYE
|
Advisory Fee Paid to IICO
|
Shareholder Servicing Fee Paid to WISC
|
Out-of-Pocket Expenses of WISC
|
Accounting and Administrative Services Fees Paid to WISC
|
Distribution and Service Fees Paid (or Accrued) to IDI* - Class A
|
Distribution and Service Fees Paid (or Accrued) to IDI* - Class E
|
Distribution and Service Fees Paid (or Accrued) to IDI* - Class R
|
Ivy ProShares Interest Rate Hedged High Yield Index Fund
|
9/30/2019
|
$ 156,596
|
$ 2,448
|
$ 14
|
$ 43,737
|
$ 7,602
|
$ 2,745
|
$ 4,840
|
Ivy ProShares MSCI ACWI Index Fund
|
9/30/2019
|
$ 180,596
|
$ 5,628
|
$ 28
|
$ 60,080
|
$ 36,201
|
$ 1,242
|
$ 11,267
|
Ivy ProShares Russell 2000 Dividend Growers Index Fund
|
9/30/2019
|
$ 524,153
|
$ 5,208
|
$ 22,988
|
$ 66,357
|
$ 4,961
|
$ 1,071
|
$ 4,279
|
Ivy ProShares S&P 500 Bond Index Fund
|
9/30/2019
|
$ 174,667
|
$ 2,540
|
$ 10
|
$ 59,058
|
$ 7,698
|
$ 2,472
|
$ 5,077
|
Ivy ProShares S&P 500 Dividend Aristocrats Index Fund
|
9/30/2019
|
$ 1,255,395
|
$ 2,386
|
$ 12
|
$ 128,934
|
$ 5,343
|
$ 4,181
|
$ 4,843
|
Total
|
$ 2,291,407
|
$ 18,210
|
$ 23,052
|
$ 358,166
|
$ 61,805
|
$ 11,711
|
$ 30,306
|
Fund Name
|
FYE
|
Advisory Fee Paid to IICO
|
Out-of-Pocket Expenses of WISC
|
Accounting and Administrative Services Paid to WISC
|
Distribution and Service Fees Paid to IDI* – Class II
|
Ivy VIP Asset Strategy
|
12/31/2019
|
$ 5,391,373
|
$ 30,205
|
$ 199,809
|
$ 1,925,037
|
Ivy VIP Balanced
|
12/31/2019
|
$ 2,304,300
|
$ 11,025
|
$ 96,285
|
$ 822,965
|
Ivy VIP Core Equity
|
12/31/2019
|
$ 4,814,859
|
$ -
|
$ 165,564
|
$ 1,419,742
|
Ivy VIP Corporate Bond
|
12/31/2019
|
$ 2,637,936
|
$ 15,845
|
$ 144,936
|
$ 1,388,388
|
Ivy VIP Energy
|
12/31/2019
|
$ 354,200
|
$ 3,763
|
$ 27,903
|
$ 103,664
|
Ivy VIP Global Bond
|
12/31/2019
|
$ -
|
$ 2,710
|
$ 13,657
|
$ 53,924
|
Ivy VIP Global Equity Income
|
12/31/2019
|
$ 2,062,313
|
$ 9,430
|
$ 92,815
|
$ 736,540
|
Ivy VIP Global Growth
|
12/31/2019
|
$ 1,233,276
|
$ -
|
$ 63,013
|
$ 248,224
|
Ivy VIP Government Money Market
|
12/31/2019
|
$ 757,658
|
$ 7,376
|
$ 82,394
|
$ -
|
Ivy VIP Growth
|
12/31/2019
|
$ 5,295,420
|
$ 22,039
|
$ 191,518
|
$ 1,891,222
|
Ivy VIP High Income
|
12/31/2019
|
$ 5,460,798
|
$ 26,865
|
$ 213,797
|
$ 2,113,996
|
Ivy VIP International Core Equity
|
12/31/2019
|
$ 6,016,020
|
$ 18,774
|
$ 167,323
|
$ 1,769,418
|
Ivy VIP Limited-Term Bond
|
12/31/2019
|
$ 2,620,515
|
$ 13,342
|
$ 134,132
|
$ 1,318,436
|
Ivy VIP Mid Cap Growth
|
12/31/2019
|
$ 4,006,627
|
$ -
|
$ 134,944
|
$ 712,711
|
Ivy VIP Natural Resources
|
12/31/2019
|
$ 756,407
|
$ 6,484
|
$ 43,436
|
$ 222,474
|
Ivy VIP Science and Technology
|
12/31/2019
|
$ 4,441,484
|
$ 17,815
|
$ 140,778
|
$ 1,304,776
|
Ivy VIP Securian Real Estate Securities
|
12/31/2019
|
$ 298,007
|
$ 3,804
|
$ 26,802
|
$ 91,977
|
Ivy VIP Small Cap Core
|
12/31/2019
|
$ 1,649,233
|
$ 7,091
|
$ 70,422
|
$ 485,070
|
Ivy VIP Small Cap Growth
|
12/31/2019
|
$ 3,224,525
|
$ -
|
$ 123,909
|
$ 828,740
|
Ivy VIP Value
|
12/31/2019
|
$ 3,386,206
|
$ 14,204
|
$ 131,184
|
$ 1,209,359
|
Ivy VIP Pathfinder Aggressive
|
12/31/2019
|
N/A
|
$ 3,270
|
$ 24,190
|
$ -
|
Ivy VIP Pathfinder Conservative
|
12/31/2019
|
N/A
|
$ 934
|
$ 27,637
|
$ -
|
Ivy VIP Pathfinder Moderate
|
12/31/2019
|
N/A
|
$ 18,724
|
$ 119,309
|
$ -
|
Ivy VIP Pathfinder Moderate - Managed Volatility
|
12/31/2019
|
$ 1,282,891
|
$ 16,110
|
$ 114,992
|
$ -
|
Ivy VIP Pathfinder Moderately Aggressive
|
12/31/2019
|
N/A
|
$ 21,965
|
$ 146,671
|
$ -
|
Ivy VIP Pathfinder Moderately Aggressive - Managed Volatility
|
12/31/2019
|
$ 181,655
|
$ 3,653
|
$ 26,864
|
$ -
|
Ivy VIP Pathfinder Moderately Conservative
|
12/31/2019
|
N/A
|
$ 6,874
|
$ 52,577
|
$ -
|
Ivy VIP Pathfinder Moderately Conservative - Managed Volatility
|
12/31/2019
|
$ 156,660
|
$ 3,468
|
$ 25,597
|
$ -
|
Total
|
$ 58,332,363
|
$ 285,770
|
$ 2,802,458
|
$ 18,646,663
|
Fund Name
|
FYE
|
Advisory Fee Paid to IICO*
|
Shareholder Servicing Fee Paid to WISC**
|
Out-of-Pocket Expenses of WISC**
|
Accounting and Administrative Services Fees Paid to WISC**
|
Distribution and Service Fees Paid (or Accrued) to W&R ***
|
InvestEd 90 Portfolio
|
12/31/2019
|
$ -
|
$ -
|
$ -
|
$ -
|
$ 67,698
|
InvestEd 80 Portfolio
|
12/31/2019
|
$ -
|
$ -
|
$ -
|
$ -
|
$ -
|
InvestEd 70 Portfolio
|
12/31/2019
|
$ -
|
$ -
|
$ -
|
$ -
|
$ 296,585
|
InvestEd 60 Portfolio
|
12/31/2019
|
$ -
|
$ -
|
$ -
|
$ -
|
$ 203,127
|
InvestEd 50 Portfolio
|
12/31/2019
|
$ -
|
$ -
|
$ -
|
$ -
|
$ -
|
InvestEd 40 Portfolio
|
12/31/2019
|
$ -
|
$ -
|
$ -
|
$ -
|
$ 195,399
|
InvestEd 30 Portfolio
|
12/31/2019
|
$ -
|
$ -
|
$ -
|
$ -
|
$ -
|
InvestEd 20 Portfolio
|
12/31/2019
|
$ -
|
$ -
|
$ -
|
$ -
|
$ 270,434
|
InvestEd 10 Portfolio
|
12/31/2019
|
$ -
|
$ -
|
$ -
|
$ -
|
$ -
|
InvestEd 0 Portfolio
|
12/31/2019
|
$ -
|
$ -
|
$ -
|
$ -
|
$ 124,334
|
Total
|
$ -
|
$ -
|
$ -
|
$ -
|
$ 1,157,577
|
** |
Effective January 1, 2006, the fee payable to WISC under the Administrative and Shareholder Servicing Agreement and the Accounting Services Agreement was contractually eliminated. After that date, the Portfolios
no longer pay any administrative and shareholder servicing fees or accounting services fees to WISC (or any out-of-pocket expenses of WISC).
|
*** |
InvestEd 10 Portfolio, InvestEd 30 Portfolio, InvestEd 50 Portfolio and InvestEd 80 Portfolio had not commenced operations as of December 31, 2019, and therefore did not pay or accrue any service or distribution
fees. Waddell & Reed served as the distributor of each Portfolio then in existence for the fiscal year ended December 31, 2019. The amount above reflect the fees paid (or accrued) as service fees and distribution fees to Waddell &
Reed by each Portfolio then in existence under the Plan.
|
Name
|
Position with Trust
|
Officer, Employee, Director, General Partner, or Shareholder of IICO
|
Other Material Interest in IICO or its Affiliates
|
Owns Securities in IICO Affiliate
|
Officer, Employee, Director, General Partner, or Shareholder of DMC
|
Other Material Interests in DMC or its Affiliates
|
Owns Securities in DMC Affiliate
|
James M. Concannon
|
Trustee
|
No
|
No
|
[No]
|
[]
|
[]
|
[]
|
H. Jeffrey Dobbs
|
Trustee
|
No
|
No
|
[No]
|
[]
|
[]
|
[]
|
James D. Gressett
|
Trustee
|
No
|
No
|
[No]
|
[]
|
[]
|
[]
|
Joseph Harroz, Jr.
|
Chairman and Trustee
|
No
|
No
|
[No]
|
[]
|
[]
|
[]
|
Glendon E. Johnson, Jr.
|
Trustee
|
No
|
No
|
[No]
|
[]
|
[]
|
[]
|
Sandra A.J. Lawrence
|
Trustee
|
No
|
No
|
[No]
|
[]
|
[]
|
[]
|
Frank J. Ross, Jr.
|
Trustee
|
No
|
No
|
[No]
|
[]
|
[]
|
[]
|
Michael G. Smith
|
Trustee
|
No
|
No
|
[No]
|
[]
|
[]
|
[]
|
Philip J. Sanders
|
Trustee and President
|
Yes - President, CEO and Chairman, IICO (2016 to present)
|
Yes - CEO of WDR (2016 to present)
|
[Yes]
|
[]
|
[]
|
[]
|
Jennifer K. Dulski
|
Secretary
|
Yes - Senior Vice President and Associate General Counsel of IICO (2018 to present)
|
Yes - Senior Vice President and Associate General Counsel of Waddell & Reed and IDI (2018 to present)
|
[Yes]
|
[]
|
[]
|
[]
|
Joseph W. Kauten
|
Vice President, Treasurer, and Principal Financial Officer
|
No
|
No
|
[Yes]
|
[]
|
[]
|
[]
|
Scott J. Schneider
|
Vice President, Chief Compliance Officer
|
Yes - Vice President of IICO (2006 to present)
|
No
|
[Yes]
|
[]
|
[]
|
[]
|
Philip A. Shipp
|
Assistant Secretary
|
No
|
Yes - Vice President of Waddell & Reed and IDI (2010 to present)
|
[Yes]
|
[]
|
[]
|
[]
|
Trust Name
|
Date of Current Advisory Agreement
|
Date Current Advisory Agreement was Last Submitted to Shareholder Vote
|
Purpose of Last Submission of Current Advisory Agreement to Shareholder Vote
|
Date of Last Approval by Board of Trustees of Continuance of Current Advisory Agreement
|
Ivy Funds
|
[November 13, 2008], as amended [November 5, 2018]
|
[]
|
[Original Approval]
|
August 12, 2020
|
Ivy Variable Insurance Portfolios (Subadvised)
|
[July 29, 2016], as amended [April 30, 2018]
|
[]
|
[Original Approval]
|
August 12, 2020
|
Ivy Variable Insurance Portfolios (Non-Subadvised)
|
[July 29, 2016], as amended [April 30, 2018]
|
[]
|
[Original Approval]
|
August 12, 2020
|
InvestEd Portfolios
|
[October 1, 2016], as amended [August 12, 2020]
|
[]
|
[Original Approval]
|
August 12, 2020
|
* |
In general, each Current Investment Advisory Agreement was last approved by shareholders (or, to the extent applicable, the initial shareholder) of the relevant Fund either in connection with the
initial approval of such agreement or in connection with a later amendment requiring such approval.
|
|
March 31, 2020
|
March 31, 2019
|
Audit Fees(1)
|
$526,500
|
$513,550
|
Audit-Related Fees(2)
|
0
|
0
|
Tax Fees(3)
|
145,875
|
208,873
|
All Other Fees(4)
|
71,445
|
199,009
|
Total
|
$743,820
|
$921,432
|
|
June 30, 2020
|
June 30, 2019
|
Audit Fees(1)
|
$30,800
|
$30,000
|
Audit-Related Fees(2)
|
0
|
0
|
Tax Fees(3)
|
21,180
|
29,440
|
All Other Fees(4)
|
3,905
|
11,891
|
Total
|
$55,885
|
$71,331
|
|
September 30, 2020
|
September 30, 2019
|
Audit Fees(1)
|
$433,100
|
$422,700
|
Audit-Related Fees(2)
|
0
|
0
|
Tax Fees(3)
|
87,360
|
73,440
|
All Other Fees(4)
|
7,854
|
4,977
|
Total
|
$528,314
|
$501,117
|
|
December 31, 2019
|
December 31, 2018
|
Audit Fees(1)
|
$418,300
|
$403,250
|
Audit-Related Fees(2)
|
0
|
0
|
Tax Fees(3)
|
153,170
|
171,479
|
All Other Fees(4)
|
34,116
|
46,611
|
Total
|
$605,586
|
$621,340
|
|
December 31, 2019
|
December 31, 2018
|
Audit Fees(1)
|
$52,200
|
$51,000
|
Audit-Related Fees(2)
|
0
|
0
|
Tax Fees(3)
|
22,560
|
21,900
|
All Other Fees(4)
|
16,044
|
5,406
|
Total
|
$90,804
|
$78,306
|
* |
Ivy Funds with a March 31 fiscal year end, as set forth in Appendix C.
|
** |
Ivy Funds with a June 30 fiscal year end, as set forth in Appendix C.
|
(1) |
Audit fees category are those fees associated with the audit of the Fund’s annual financial statements or services that are normally provided in connection with statutory and regulatory filings or engagements and registration consents.
All of the audit services for the fiscal years indicated for each Trust were approved by the Audit Committee in accordance with its pre-approval policies and procedures.
|
(2) |
Audit-related fees refer to the assurance and related services by the independent public accounting firm that are reasonably related to the performance of the Fund’s annual financial statements and are not otherwise included under the
“audit fees” category above.
|
(3) |
Tax fees refer to fees for professional services rendered by the registered principal accounting firm for tax compliance, tax advice and tax planning.
|
(4) |
All other fees refer to fees related to internal control reviews, strategy and other consulting, financial information systems design and implementation, consulting on other information systems, and other tax services.
|
2020 fiscal year
|
2019 fiscal year
|
|
Ivy Funds (3/31 fiscal year end)
|
$217,320
|
$407,882
|
Ivy Funds (6/30 fiscal year end)
|
25,085
|
41,331
|
Ivy Funds (9/30 fiscal year end)
|
78,417
|
95,214
|
2019 fiscal year
|
2018 fiscal year
|
|
Ivy VIP (12/31 fiscal year end)
|
$187,286
|
$218,090
|
InvestEd (12/31 fiscal year end)
|
38,604
|
27,306
|
2020 fiscal year
|
2019 fiscal year
|
|
Ivy Funds (3/31 fiscal year end)
|
$60,500
|
$81,900
|
Ivy Funds (6/30 fiscal year end)
|
60,500
|
41,300
|
Ivy Funds (9/30 fiscal year end)
|
43,050
|
74,000
|
2019 fiscal year
|
2018 fiscal year
|
|
Ivy VIP (12/31 fiscal year end)
|
$73,500
|
$91,000
|
InvestEd (12/31 fiscal year end)
|
73,500
|
91,000
|