UNITED STATES

SECURITIES AND EXCHANGE COMMISSION

WASHINGTON, D.C. 20549

SCHEDULE 14A

Proxy Statement Pursuant to Section 14(a) of the

Securities Exchange Act of 1934

(Amendment No.   )

Filed by the Registrant ☒       Filed by a Party other than the Registrant ☐

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  Preliminary Proxy Statement
  Confidential, for Use of the Commission Only (as permitted by Rule 14a-6(e)(2))
  Definitive Proxy Statement
  Definitive Additional Materials
  Soliciting Material Pursuant to Under §240.14a-12§240.14a-12

TIAA-CREF FUNDS

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(Name of Person(s) Filing Proxy Statement, if other than the Registrant)
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LOGO

TIAA-CREF FUNDS

Important Notice Regarding Availability of Proxy Materials for the Special Meeting ofto Fund Shareholders of the TIAA-CREF Large-Cap Growth Fund (the “Fund”)

October [____], 202113, 2023

Although it is recommendedwe recommend that you read the complete Proxy Statement, for your convenience, we have provided a brief overview of the proposal to be voted on is provided below.on.

Q.

Q.

Why am I receiving this Proxy Statement?

 

A.

At a meeting heldThis year, you and other shareholders of TIAA-CREF Funds (the “Trust”), on September 9, 2021, the Boardbehalf of Trusteeseach series of the Fund (the “Board”) [unanimously] approved reclassifying the diversification statusTrust (each series of the Fund from “diversified”Trust, as identified on Appendix A to“non-diversified” and the elimination of a related fundamental investment restriction, subject to the approval of Fund shareholders (the “Proposal”). You are receiving the enclosed Proxy Statement, individually a “Fund,” and collectively, the “Funds”) are being asked to approve the election of board members to serve on your Fund’s board of trustees (the “Board” and the trustees, “Board Members”). The list of nominees is contained in connection with a special shareholder meeting (the “Meeting”) of the Fund to vote on the approval of the Proposal.enclosed Proxy Statement.

The Funds and certain other investment companies advised by the investment adviser to the Funds and its affiliates are currently overseen by two separate groups of board members. One of these groups consists of the current board members of the mutual funds advised by Teachers Advisors, LLC that are series of the Trust and the TIAA-CREF Life Funds (collectively referred to herein as the “TC Funds,” and the board members thereof as the “TC Board Members”). The other group consists of the current board members of the funds advised by Nuveen Fund Advisors, LLC (referred to herein as the “Nuveen Funds,” and board members thereof as the “Nuveen Board Members”). Except as otherwise noted, the TC Funds and the Nuveen Funds are collectively referred to herein as the “Fund Complex.”

The TC Board Members and the Nuveen Board Members separately determined to approve the alignment and consolidation of the membership of the boards so that all funds in the Fund Complex are overseen by the same board members. Accordingly, your Board has proposed the election of twelve (12) Board Members. Four (4) of the nominees currently serve as TC Board Members. Eight (8) of the nominees currently serve as Nuveen Board Members.

In connection with the board consolidation, seven (7) of the eleven (11) current TC Board Members are expected to resign as TC Board Members, as of December 31, 2023, and therefore are not standing for re-election. Such resigning TC Board Members will continue to serve as members of the boards of College Retirement Equities Fund (“CREF”) and TIAA Separate Account VA-1 (“VA-1”), which are other investment companies advised by Teachers Advisors, LLC or its affiliate and which are not part of the Fund Complex. Relatedly, if elected to the consolidated board of the TC Funds and the Nuveen Funds, the four current TC Board Members who are standing for election will resign from their positions on the boards CREF and VA-1.


Your Fund’s Board unanimously recommends that you vote FOR each of the Proposal.nominees.

Your vote is very important. You are encouragedWe encourage you as a shareholder to participate in your Fund’s governance by returning your vote as soon as possible. If enough shareholders do not cast their votes, theyour Fund may not be able to hold the Meetingmeeting or the vote, on the Proposal, and additional solicitation costs may need to be incurred in order to obtain sufficient shareholder participation.

Q. Why am I being asked to approve changing the Fund’s diversification status?

Q.

Why am I being asked to elect each of the nominees as Board Members?

 

A.

UnderEach of the nominees either currently serves as a TC Board Member or a Nuveen Board Member. The election of the nominees is part of the intended alignment and consolidation of the membership of the boards of the TC Funds with membership of the boards of the Nuveen Funds. If shareholders approve the election of all of the nominees, the membership of your Fund’s Board will be expanded from eleven (11) to twelve (12) members, including the eight (8) nominees who currently serve as Nuveen Board Members, as well as the four (4) nominees who currently serve as TC Board Members. Each nominee would not be deemed an “interested person” as that term is defined under the Investment Company Act of 1940, as amended (the “1940 Act”), the Fund is currently classified as “diversified.” As a diversified fund, the Fund is limited as to the amount of assets it may invest in the securities of any single issuer. The 1940 Act requires shareholders to approve a change in a fund’s classification from “diversified” to “non-diversified.” If shareholders approve changing the Fund’s classification from diversified to non-diversified, the Fund would be permitted to invest a larger portion of its assets in a smaller number of issuers, as described in greater detail in the Proxy Statement.amended.

iii


Teachers Advisors, LLC (the “Adviser”),The election of all of the Fund’s investment adviser, believes that changingnominees will bring the Fund’s classification to
non-diversified is inmembership of the best interestsboards of the Fund Complex into alignment such that funds in the Fund Complex are overseen by the same group of board members.

Your Fund’s Board has approved the proposal after evaluating the potential benefits of aligning and consolidating the boards of funds in the Fund Complex and considering the background, skills, experience and other attributes of the nominees who would make up the consolidated board.

Please note that separate proxy statements are being sent to shareholders of the other TC Funds and to shareholders of certain Nuveen Funds, who are being asked to vote on the election of the same slate of nominees to the boards of the respective funds.

Q.

What will be some of the benefits of the consolidation for shareholders?

A.

The consolidation of the Board is expected to:

Generate cost efficiencies and expense savings that would benefit shareholders; Fund management estimates that nearly all identified savings will accrue directly to Fund shareholders.

Align the Fund Complex and its shareholders because it providesBoard with Nuveen LLC’s operating model to promote growth across new, as well as similar, investment products.

Facilitate negotiating with vendors as a unified Fund Complex to obtain expected economies of scale and to standardize servicing.

Expand marketing and distribution opportunities associated with presenting the Fund’s investment team with increased flexibilityTC Funds and Nuveen Funds to better implement the Fund’s investment strategy while remaining compliant with the limits of the 1940 Act. The Fund’s benchmark index, the Russell 1000 Growth Index (the “Index”), has become more concentratedmarketplace as one Fund Complex and grow investor engagement.

Eliminate duplicate efforts in certain issuers. Certain Index constituents have grown to each represent more than 5% of the Index and, at times, 25% or more of the Index in the aggregate. As a diversified fund, the Fund is not able to invest in these large Index constituents in similar proportions as the Index. While the Fund is not an index fund, it does select securities from the Index’s universe and its performance is measured against the Index. Changing the Fund’s status to non-diversified would give the Fund’s portfolio managers enhanced flexibility to invest a greater portion of the Fund’s assets in one or more of these large Index constituents, if desired for investment purposes.Board operations.

Q.


Q.

What are some examples of the potential economic/cost benefits to shareholders?

A.

Over time, shareholders of the Funds may experience economic benefits due to reduced or eliminated contractual fees/expenses, including the potential for reduced third-party vendor fees as the result of management being able to renegotiate as one consolidated Fund Complex. Other cost savings may arise due to economies of scale if assets grow as a combined Fund Complex.

Q.

Why is this change occurring now?

A.

As Nuveen LLC’s funds business has evolved, Fund management believes that the prospective benefits of the Board consolidation (as noted above) will be advantageous for all Fund shareholders. Fund management also believes that individual investor engagement with the TC Funds and Nuveen Funds can be grown more effectively by presenting the Fund Complex to the marketplace as “one fund family” with one common source of oversight—i.e., a combined Board.

Shareholders are expected to benefit from potential expense reductions, as well as incremental savings from economies of scale and the benefits of asset growth shared across the Fund Complex.

Q.

How does the Board consolidation impact my Fund’s investment strategy or fees?

A.

The Board consolidation will not impact any Fund’s investment strategy or increase any Fund’s fees.

Q.

Whom do I call if I have questions?

 

A.

If you need any assistance, or have any questions regarding the Proposalproposal or how to vote your shares, please call Computershare Fund Services, theyour Fund’s proxy solicitor, at [1-866-641-4227]888-916-1722 with your proxy materials.material.

Q.

Q.

How do I vote my shares?

 

A.

You may vote at the Meeting,meeting, by mail, by telephone or over the Internet:

 

  

To vote at the Meetingmeeting, please follow the instructions below for attending the Meeting,meeting, which will be held virtually.

 

  

To vote by mail, please mark, sign, date and mail the enclosed proxy card. No postage is required if mailed in the United States.

 

  

To vote by telephone, please call the toll-free number located on your proxy card and follow the recorded instructions, using your proxy card as a guide.

 

  

To vote over the Internet, go to the Internet address provided on your proxy card and follow the instructions, using your proxy card as a guide.

Q. How can I attend the Meeting?


Q.

How can I attend the meeting?

 

A.

The Meetingmeeting will be a completely virtual meeting of shareholders, which will be conducted exclusively by webcast. You are entitled to participate in the Meetingmeeting only if you were a shareholder of theyour Fund as of the close of business on September 30, 2021,October 5, 2023, or if you hold a valid proxy for the Meeting. Shareholders will not be able to attendmeeting. There is no physical location for the Meeting in person.meeting.

iv


You will be able to attend the Meetingmeeting online and submit your questions online during the Meetingmeeting by visiting [meetings.computershare.com/MCGVC2D].meetnow.global/M599MNM. You also will be able to attend the meeting and vote your shares online by attending the meeting by webcast. To attend and participate in the Meeting,meeting, you will need to log on using the control number from your proxy card or Meetingmeeting notice. The control number can be found in the shaded box.

If you hold your shares through an intermediary, such as a bank or broker, you must register in advance using the instructions below.

The online Meetingmeeting will begin promptly at [2:003:30 p.m., Eastern Time ]time, on December __________, 2021. You are encouragedNovember 20, 2023. We encourage you to access the Meetingmeeting prior to the start time leaving ample time for the check in process.in. Please follow the access instructions as outlined herein.

Q. How do I register to attend the Meeting

Q.

How do I register to attend the meeting virtually on the Internet?

 

A.

If your shares are registered in your name, you do not need to register to attend the Meetingmeeting virtually on the Internet. If you hold your shares through an intermediary, such as a bank or broker, you must register in advance to attend the Meetingmeeting virtually on the Internet.

To register to attend the meeting online by webcast, you must submit proof of your proxy power (legal proxy) reflecting your Fund holdings along with your name and e-mailemail address to [shareholdermeetings@computershare.com].Computershare Fund Services. You must contact the bank or broker who holds your shares to obtain your legal proxy. Requests for registration must be labeled as “Legal Proxy” and be received no later than [5:5:00 p.m., Eastern Time],Time, three business days prior to the Meeting.meeting date.

You will receive a confirmation of your registration by e-mailemail after we receive your registration materials are received.materials.

Requests for registration should be directed to us by e-mailingemailing an image of your legal proxy to shareholdermeetings@computershare.com.

Q. Why hold a virtual meeting?

 

A.Q.

In light of the public health concerns regarding the coronavirus (COVID-19) pandemic, hosting a virtual meeting is in the best interests of the Fund and its shareholders.

v


Q. Will anyone contact me?

 

A.

You may receive a call from Computershare Fund Services, the proxy solicitor hired by the Fund,Funds, to verify that you received your proxy materials, to answer any questions you may have about the Proposalproposal and to encourage you to vote your proxy.

The Adviser recognizesWe recognize the inconvenience of the proxy solicitation process and would not impose on you if we did not believe that the mattermatters being proposed waswere important. Once your vote has been registered with the proxy solicitor, your name will be removed from the solicitor’s follow-up contact list.

Q.

Q.

How does the Board suggest that I vote?

 

A.

The Board unanimously recommends that shareholders vote FOR the Proposal.election of each of the nominees named herein.


LOGO

730 Third Avenue

New York, NY 10017-3206

(800) 842-2733

 

vi


LOGO

730 Third Avenue

New York, NY 10017-3206

TIAA-CREF Large-Cap Growth Fund

Important notice regarding availabilityNotice of proxy materials for the Special Meeting

of Shareholders to be held on December [__], 2021. The Proxy Statement for this meeting is available at: [www.proxy-direct.com/tia-30639].

Notice of Special Meeting — December [__], 2021November 20, 2023

TIAA-CREF FUNDS

TIAA-CREF Lifecycle 2010 FundTIAA-CREF Lifecycle Index 2030 FundTIAA-CREF Lifecycle 2065 FundTIAA-CREF Large-Cap Value Index Fund
TIAA-CREF Lifecycle 2015 FundTIAA-CREF Lifecycle Index 2035 FundTIAA-CREF Lifecycle Index 2065 FundTIAA-CREF Large-Cap Growth Fund
TIAA-CREF Lifecycle 2020 FundTIAA-CREF Lifecycle Index 2040 FundTIAA-CREF Equity Index FundTIAA-CREF Emerging Markets Equity Fund
TIAA-CREF Lifecycle 2025 FundTIAA-CREF Lifecycle Index 2045 FundTIAA-CREF S&P 500 Index FundTIAA-CREF Emerging Markets Equity Index Fund
TIAA-CREF Lifecycle 2030 FundTIAA-CREF Lifecycle Index 2050 FundTIAA-CREF Small-Cap Blend Index FundTIAA-CREF International Opportunities Fund
TIAA-CREF Lifecycle 2035 FundTIAA-CREF Lifecycle Index 2055 FundTIAA-CREF International Equity Index FundTIAA-CREF Emerging Markets Debt Fund
TIAA-CREF Lifecycle 2040 FundTIAA-CREF Lifecycle 2055 FundTIAA-CREF Growth & Income FundTIAA-CREF Social Choice International Equity Fund
TIAA-CREF Lifecycle 2045 FundTIAA-CREF Lifestyle Aggressive Growth FundTIAA-CREF Social Choice Equity FundTIAA-CREF Social Choice Low Carbon Equity Fund
TIAA-CREF Lifecycle 2050 FundTIAA-CREF Lifestyle Conservative FundTIAA-CREF International Equity FundTIAA-CREF International Bond Fund
TIAA-CREF Lifecycle Index 2010 FundTIAA-CREF Lifestyle Growth FundTIAA-CREF Large-Cap Value FundTIAA-CREF Quant Small/Mid-Cap Equity Fund
TIAA-CREF Lifecycle Index Retirement Income FundTIAA-CREF Lifestyle Income FundTIAA-CREF Mid-Cap Growth FundTIAA-CREF Quant International Small-Cap Equity Fund
TIAA-CREF Lifecycle Index 2015 FundTIAA-CREF Lifestyle Moderate FundTIAA-CREF Mid-Cap Value FundTIAA-CREF Real Estate Securities Fund
TIAA-CREF Lifecycle Index 2020 FundTIAA-CREF Lifecycle 2060 FundTIAA-CREF Quant Small-Cap Equity FundTIAA-CREF Core Bond Fund


TIAA-CREF Lifecycle Index 2025 FundTIAA-CREF Lifecycle Index 2060 FundTIAA-CREF Large-Cap Growth Index FundTIAA-CREF Inflation-Linked Bond Fund
TIAA-CREF Money Market FundTIAA-CREF Short-Term Bond FundTIAA-CREF High-Yield FundTIAA-CREF Core Plus Bond Fund
TIAA-CREF 5-15 Year Laddered Tax-Exempt Bond FundTIAA-CREF Bond Index FundTIAA-CREF Core Impact Bond FundTIAA-CREF Short-Term Bond Index Fund
TIAA-CREF Green Bond FundTIAA-CREF Short Duration Impact Bond FundTIAA-CREF Lifecycle Retirement Income FundTIAA-CREF Managed Allocation Fund

October 13, 2023

To the Shareholders of the TIAA-CREF Large-Cap Growth Fund:Above Funds:

Notice is hereby given that a Special Meeting of Shareholders (the “Meeting”) of TIAA-CREF Funds (the “Trust”), on behalf of itseach series TIAA-CREF Large-Cap Growth Fund (the “Fund”of the Trust (each series of the Trust, as identified above and on Appendix A to the enclosed Proxy Statement, individually a “Fund,” and collectively, the “Funds”), will be held on December [____] 2021,Monday, November 20, 2023, at [2:003:30 p.m., Eastern Time],time, for the following purposepurposes and to transact such other business, if any, as may properly come before the Meeting:

PurposeThe purposes of the Special Meeting:Meeting are:

 

 1.

To approve the change of the Fund’s classification under the Investment Company Act of 1940,elect twelve (12) individuals to serve as amended (the “1940 Act”), from “diversified” to “non-diversified”Board Members for indefinite terms and to eliminate the Fund’s related fundamental investment restriction;until their successors shall take office; and

 

 2.

To address any other business that may properly come before the Meeting or any adjournments or postponements thereof.Meeting.

The Board of Trustees has set September 30, 2021 as the record date for determining the number of votes entitled to be cast. You may vote at the Meeting only if you were a Shareholder with voting rights as of the Record Date.

By order of the Board of Trustees,

Derek Dorn

Secretary

[__], 2021


All shareholders are cordially invited to attend the Meeting, which will be held online as discussed in further detail below. In order to avoid delay and additional expense, and to assure that your shares are represented, please vote as promptly as possible, regardless of whether or not you plan to attend the Meeting. You may vote by mail, telephone or over the Internet. To vote by mail, please mark, sign, date and mail the enclosed proxy card. No postage is required if mailed in the United States. To vote by telephone, please call the toll-free number located on your proxy card and follow the recorded instructions, using your proxy card as a guide. To vote over the Internet, go to the Internet address provided on your proxy card and follow the instructions, using your proxy card as a guide.

Shareholders of record as of the close of business on September 30, 2021 are entitled to notice of, and to vote at, the Meeting or any postponement or adjournment thereof.

In light of public health concerns regarding the ongoing coronavirus (COVID-19) pandemic, the Meeting will be a completely virtual meeting of shareholders, which will be conducted exclusively by webcast. Shareholders will not be able to attend the Meeting in person. Shareholders may attend and vote at the virtual Meeting by following the instructions included in the Q&A.


LOGO

LOGO

730 Third Avenue

New York, NY 10017-3206

1


TIAA-CREF Large-Cap Growth Fund

Proxy Statement for Special Meeting to be held on December [__], 2021

This Proxy Statement is furnished in connection with the solicitation by the board of trustees (the “Board” and each trustee a “Board Member” and collectively, the “Board Members”) of TIAA-CREF Funds (the “Trust”), on behalf of its series TIAA-CREF Large-Cap Growth Fund (the “Fund”), of proxies to be voted at the Special Meeting of Shareholders to be held on December [________], 2021, at [2:00 p.m.], Eastern Time (the “Meeting”), and at any and all adjournments, postponements or delays thereof. This Proxy Statement is first being mailed to shareholders on or about October [_____], 2021.

The purpose of this Meeting is:

1.

To approve the change of the Fund’s classification under the Investment Company Act of 1940, as amended (the “1940 Act”), from “diversified” to “non-diversified” and to eliminate the Fund’s related fundamental investment restriction; and

2.

To address any other business that may properly come before the Meeting or any adjournments or postponements thereof.

At this time, the Board does not know of any other matters being presented at the Meeting or any adjournments or postponements thereof.

How do I vote?

Shareholders of record as of the close of business on September 30, 20215, 2023 (the “Record Date”) are entitled to notice of, and to vote at, the Meeting or any postponement or adjournment thereof.

You can vote in any one of three ways:

(1)

By logging on to the Internet site shown on your proxy card and following the on-screen instructions;

(2)

By marking, signing and mailing the proxy card in the envelope provided; or

(3)

By calling the toll-free telephone number shown on your proxy card and following the recorded instructions.

2


If you vote by Internet or telephone, please do not mail your proxy card.

In light of public health concerns regarding the ongoing coronavirus (COVID-19) pandemic, theThe Meeting will be a completely virtual meeting of shareholders, which will be conducted exclusively by webcast. Shareholders will not be able to attendThere is no physical location for the Meeting in person.

meeting. Shareholders will be able to attend the Meeting online and submit yourtheir questions during the Meetingmeeting by visiting [meetings.computershare.com/MCGVC2D].meetnow.global/M599MNM. Shareholders will also will be able to vote their shares online by attending the Meeting by webcast. To participate in the Meeting, shareholdersyou will need to log on using the control number from your proxy card or meeting notice. The control number can be


found in the shaded box. If you hold your shares through an intermediary, such as a bank or broker, you must register in advance using the instructions contained in the enclosed Proxy Statement.

/s/ Derek B. Dorn

Derek B. Dorn

Senior Managing Director and Corporate Secretary


LOGO

c/o Corporate Secretary

730 Third Avenue

New York, NY 10017-3206

Proxy Statement

October 13, 2023

This Proxy Statement is first being mailed to shareholders on or about October 13, 2023.

TIAA-CREF FUNDS

TIAA-CREF Lifecycle 2010 FundTIAA-CREF Lifecycle Index 2030 FundTIAA-CREF Lifecycle 2065 FundTIAA-CREF Large-Cap Value Index Fund
TIAA-CREF Lifecycle 2015 FundTIAA-CREF Lifecycle Index 2035 FundTIAA-CREF Lifecycle Index 2065 FundTIAA-CREF Large-Cap Growth Fund
TIAA-CREF Lifecycle 2020 FundTIAA-CREF Lifecycle Index 2040 FundTIAA-CREF Equity Index FundTIAA-CREF Emerging Markets Equity Fund
TIAA-CREF Lifecycle 2025 FundTIAA-CREF Lifecycle Index 2045 FundTIAA-CREF S&P 500 Index FundTIAA-CREF Emerging Markets Equity Index Fund
TIAA-CREF Lifecycle 2030 FundTIAA-CREF Lifecycle Index 2050 FundTIAA-CREF Small-Cap Blend Index FundTIAA-CREF International Opportunities Fund
TIAA-CREF Lifecycle 2035 FundTIAA-CREF Lifecycle Index 2055 FundTIAA-CREF International Equity Index FundTIAA-CREF Emerging Markets Debt Fund
TIAA-CREF Lifecycle 2040 FundTIAA-CREF Lifecycle 2055 FundTIAA-CREF Growth & Income FundTIAA-CREF Social Choice International Equity Fund
TIAA-CREF Lifecycle 2045 FundTIAA-CREF Lifestyle Aggressive Growth FundTIAA-CREF Social Choice Equity FundTIAA-CREF Social Choice Low Carbon Equity Fund
TIAA-CREF Lifecycle 2050 FundTIAA-CREF Lifestyle Conservative FundTIAA-CREF International Equity FundTIAA-CREF International Bond Fund
TIAA-CREF Lifecycle Index 2010 FundTIAA-CREF Lifestyle Growth FundTIAA-CREF Large-Cap Value FundTIAA-CREF Quant Small/Mid-Cap Equity Fund
TIAA-CREF Lifecycle Index Retirement Income FundTIAA-CREF Lifestyle Income FundTIAA-CREF Mid-Cap Growth FundTIAA-CREF Quant International Small-Cap Equity Fund
TIAA-CREF Lifecycle Index 2015 FundTIAA-CREF Lifestyle Moderate FundTIAA-CREF Mid-Cap Value FundTIAA-CREF Real Estate Securities Fund
TIAA-CREF Lifecycle Index 2020 FundTIAA-CREF Lifecycle 2060 FundTIAA-CREF Quant Small-Cap Equity FundTIAA-CREF Core Bond Fund

1


TIAA-CREF Lifecycle Index 2025 FundTIAA-CREF Lifecycle Index 2060 FundTIAA-CREF Large-Cap Growth Index FundTIAA-CREF Inflation-Linked Bond Fund
TIAA-CREF Money Market FundTIAA-CREF Short-Term Bond FundTIAA-CREF High-Yield FundTIAA-CREF Core Plus Bond Fund
TIAA-CREF 5-15 Year Laddered Tax-Exempt Bond FundTIAA-CREF Bond Index FundTIAA-CREF Core Impact Bond FundTIAA-CREF Short-Term Bond Index Fund
TIAA-CREF Green Bond FundTIAA-CREF Short Duration Impact Bond FundTIAA-CREF Lifecycle Retirement Income FundTIAA-CREF Managed Allocation Fund

This Proxy Statement is furnished in connection with the solicitation by the Board of Trustees (the “Board,” and each trustee a “Board Member” and collectively, the “Board Members”) of each of TIAA-CREF Funds (the “Trust”), on behalf of each series of the Trust (each series of the Trust, as identified above and on Appendix A, individually a “Fund,” and collectively, the “Funds”), of proxies to be voted at the Special Meeting of Shareholders to be held (along with the meeting of shareholders of certain other TC Funds and Nuveen Funds, each as defined herein) on Monday, November 20, 2023, at 3:30 p.m., Eastern time (the “Meeting”), and at any and all adjournments, postponements or delays thereof. Appendix A sets forth the name of each Fund and the abbreviated name of each Fund by which such Fund is referred to in this Proxy Statement.

Proposal

1.

To elect twelve (12) individuals to serve as Board Members for indefinite terms and until their successors shall take office.

Voting Information

Shareholders of record as of the close of business on October 5, 2023 (the “Record Date”) are entitled to notice of, and to vote at, the Meeting or any postponement or adjournment thereof.

The Meeting will be a completely virtual meeting of shareholders, which will be conducted exclusively by webcast. There is no physical location for the meeting. Shareholders will be able to attend the Meeting online and submit their questions during the meeting by visiting meetnow.global/M599MNM. Shareholders will also be able to vote their shares online by attending the Meeting by webcast. To participate in the Meeting, you will need to log on using the control number from your proxy card or meeting notice. The control number can be found in the shaded box. Shareholders may attend and vote at the virtual Meeting by followingIf you hold your shares through an intermediary, such as a bank or broker, you must register in advance using the instructions includedcontained in the Q&A or this Proxy Statement.

Can I cancel or change my vote?On the proposal coming before the Meeting as to which a choice has been specified by shareholders on the proxy, the shares will be voted accordingly. If a properly executed proxy is returned and no choice is specified, the shares will be voted FOR the election of each of the Board Member nominees listed in this Proxy Statement.

You can cancel or change your vote

2


Shareholders who execute proxies may revoke them at any time up until [____ p.m. EDT on _____], 2021. You can do thisbefore they are voted by simply voting again —filing a written notice of revocation, by executing and returningdelivering a later-datedduly executed proxy card, voting through the Internetbearing a later date, or by a toll-free telephone call— or you can cancel your vote by writing the Trust’s Corporate Secretary at: c/o the TIAA-CREF Funds, 730 Third Avenue, New York, New York 10017-3206. Cancelled or changed votes (other than votes cast in person (virtually) at the Meeting) must be received by the [____ p.m. ____], 2021 deadline.

How does a proxy work?

When you vote by proxy, you are instructing the agents named on the proxy card how to vote on your behalfattending and voting at the Meeting. If you sign and returnA prior proxy can also be revoked by voting again through the toll-free number or the Internet address listed in the proxy card, but do not specifically instruct the agents otherwise, they will vote FOR the change in the Fund’s classification under the 1940 Act and the elimination of the related fundamental investment restriction. At this time, the Board does not know of any other matters being presented at the Meeting. If other matters are brought beforecard. Merely attending the Meeting, the proxy agentshowever, will vote the proxies using their own best judgment in their discretion, as allowed by thenot revoke any previously submitted proxy. All proxies solicited by the Board that are properly executed and received by the Corporate Secretary prior to the Meeting, and are not cancelled, will be voted at the Meeting.

3


Who may vote; How many votes do I get?

Those persons who were shareholders of record as of the Record Date will be entitled to one vote for each share held and a proportionate fractional vote for each fractional share held. As of the close of business on September 30, 2021, there were [____________] Institutional Class shares, [___________] Advisor Class shares, [___________] Premier Class shares, [________] Retirement Class shares, [__________] Retail Class shares and [___________] Class W shares of the Fund outstanding. The number of votes you have is equal to the dollar value of your investment in the Fund as of the Record Date. We will count votes expressed to two decimal points.

Certain funds within the TIAA-CREF Fund Complex (the “Fund of Funds”) invest in the Fund. Shares of the Fund held by a Fund of Funds are expected to be voted by the Fund of Funds in the same proportion as the vote of other shareholders of the Fund (sometimes referred to as “echo” voting).

[As of the Record Date, the Trustees and officers of the Fund as a group owned less than 1% of the total outstanding shares of the Fund and as a group owned less than 1% of each class of shares of the Fund.]

How many votes are needed for a quorum and how do votes count?

A quorum of shareholders is required to take action at the Meeting. Ten percent of the shares entitled to vote at the Meeting, represented in person (virtually) or by proxy, will constitute a quorum of shareholders at the Meeting. Votes cast by proxy or in person (virtually) at the Meeting will be tabulated by the inspectors of election appointed for the Meeting. The inspectors of election will determine whether or not a quorum is present at the Meeting. The inspectors of election will treat abstentions as present for purposes of determining a quorum. Brokerand “broker non-votesnon-votes” are(i.e., shares held by brokers or nominees, typically in “street name,” as to which (i) instructions have not been received from the beneficial owners or persons entitled to vote and (ii) the broker or nominee does not have discretionary voting power on a particular matter. Broker non-votes typically occur when both routinematter) as present for purposes of determining a quorum.

Broker-dealer firms holding shares of a Fund in “street name” for the benefit of their customers and non-routine proposals are being considered at a meeting. Becauseclients will request the single matter presented atinstructions of such customers and clients on how to vote their shares before the Meeting is a “non-routine” matter for which a broker or nominee does not have discretionary voting powerMeeting. The Funds understand that, under the rules of the New York Stock Exchange, such broker-dealer firms may for certain “routine” matters, without instructions from their customers and clients, grant discretionary authority to the proxies designated by the Board to vote if no instructions have been received prior to the date specified in the broker-dealer firm’s request for voting instructions. The proposal is a “routine” matter and beneficial owners who do not provide proxy instructions or who do not return a proxy card may have their shares voted by broker-dealer firms in favor of the proposal.

Broker-dealers who are not members of the New York Stock Exchange may be subject to other rules, which may or may not permit them to vote your shares without instruction. We urge you to provide instructions to your broker or nominee so that your votes may be counted.

Certain funds within the TIAA-CREF fund complex (the “Fund of Funds”) invest in shares of other Funds in the Trust (the “Underlying Funds”). Shares of each Underlying Fund held by a Fund of Funds are expected to be voted by the Fund does not expect thereof Funds in the same proportion as the vote of other shareholders of the Underlying Funds (sometimes referred to as “echo” voting).

The details of the proposal to be any broker non-votes atvoted on by the Meeting.

4


For purposesshareholders of determiningeach Fund and the vote required for approval of the proposal abstentions will have the same effect as votes against the proposal. The vote required for the proposal isare set forth under the description of the proposal below.

The vote of the Trust will include each Fund that is a series of the Trust. The shareholders of record as of the Record Date of each of the Funds, voting together, will be entitled to elect the Board Members. Each outstanding full share of a Fund is entitled to one vote and each outstanding fractional share is entitled to a proportionate fractional share of one vote. Fractional votes will be counted.

 

53


PROPOSAL: CHANGE OF DIVERSIFICATION STATUS AND ELIMINATION OF FUNDAMENTAL INVESTMENT POLICYShares Outstanding

Currently,Appendix A lists the shares of each class of each Fund is classifiedthat were issued and outstanding as a “diversified” fund for purposes of Section 5(b) of the 1940 Act and has adopted a related fundamental investment restriction. As a result,Record Date.

4


PROPOSAL ONE: ELECTION OF BOARD MEMBERS

The purpose of the FundMeeting is limited asto elect members to the amount it may invest in any single issuer. Specifically, with respectBoard. Each Board Member will be elected to 75%serve an indefinite term until his or her successor shall take office. The maximum number of its total assets, the Fund may not invest in a security if, as a result of such investment, more than 5% of its total assets (calculatedBoard Members has been fixed at the time of purchase) would be invested in securities of any one issuer. Additionally, with respect to 75% of its total assets, the Fund may not hold more than 10% of the outstanding voting securities of any one issuer. These restrictions do not apply to U.S. “government securities” (as defined in the 1940 Act), securities oftwelve.

Board Consolidation

The Funds and certain other investment companies or cashadvised by the investment adviser to the Funds and cash items (including receivables).

Subject to approvalits affiliates are currently overseen by two separate groups of board members. One of these groups consists of the Fund’s shareholders, the Board has approved a change to the Fund’s classification under the 1940 Act to a “non-diversified” company and a change to the Fund’s related fundamental investment restriction. This fundamental investment restriction, which may only be changed with shareholder approval, currently provides that the Fund, as a fundamental policy, may not “with respect to at least 75%current board members of the value of its total assets, invest more than 5% of its total assets in the securities of any one issuer, other than securities issued or guaranteedmutual funds advised by the U.S. government, its agencies or instrumentalities, or hold more than 10% of the outstanding voting securities of any one issuer.” If shareholders approve changing the Fund’s classification from diversified to non-diversified (the “Proposal”), the fundamental investment restriction will be eliminated with respect to the Fund. No material changes to the Fund’s investment strategy are expected if shareholders of the Fund approve the Proposal.

Teachers Advisors, LLC (the “Adviser”), the Fund’s investment adviser, believes that changing the Fund’s classification to non-diversified is in the best interestsare series of the FundTrust and its shareholders because it providesTIAA-CREF Life Funds (“TCLF”) (collectively referred to herein as the Fund’s portfolio managers increased flexibility to better implement“TC Funds,” and the Fund’s investment strategy while remaining compliant withboard members thereof as the limits“TC Board Members”). The other group consists of the 1940 Act. The Fund’s benchmark index, the Russell 1000 Growth Index (the “Index”), has become more concentrated in certain issuers. Certain Index constituents have grown to each represent more than 5%current board members of the Index and, at times, 25% or more of the Index in the aggregate. As a diversified fund, thefunds advised by Nuveen Fund currently is not ableAdvisors, LLC (referred to invest in these large Index constituents in similar proportionsherein as the Index. While“Nuveen Funds,” and board members thereof as the Fund is not an index fund, it does select securities from“Nuveen Board Members”). Except as otherwise noted, the Index’s universe and its performance is measured against the Index. Changing the Fund’s status to non-diversified would give the Fund’s portfolio managers enhanced flexibility to invest a greater portion of the Fund’s assets in one or more of these large Index constituents, if desired for investment purposes.

6


If shareholders of the Fund approve the Proposal, the Fund may be subject to additional investment risks. As a “non-diversified” fund, the Fund would be permitted to invest a greater percentage of its assets in fewer issuers than a “diversified” fund. As a result, the Fund may be more susceptible to adverse developments affecting any single issuer held in its portfolio and may be more susceptible to greater losses because of these developments. To the extent that such issuers operate in the same or similar industry or sectors, the Fund may be more susceptible to a single economic, business, political or regulatory occurrence. Accordingly, if shareholders of the Fund approve the Proposal, the Fund could be subject to greater risk than it currently is subject to as a “diversified” fund.

Even if shareholders of the Fund approve the Proposal, the Fund intends to continue to comply with federal tax diversification restrictions of Subchapter M of the Internal Revenue Code of 1986, as amended (the “IRC”). For purposes of the IRC, the Fund operates as a “regulated investment company.” As a regulated investment company under the IRC, the Fund must diversify its holdings so that, in general, at the close of each quarter of its taxable year, (i) at least 50% of the fair market value of the Fund’s total (gross) assets is comprised of cash, cash items, U.S. government securities, securities of other regulated investment companies, and other securities limited in respect of any one issuer to an amount not greater in value than 5% of the value of the Fund’s total assets and to not more than 10% of the outstanding voting securities of such issuer; and (ii) not more than 25% of the value of its total (gross) assets is invested in the securities of any one issuer (other than U.S. government securities and securities of other regulated investment companies), two or more issuers controlled by the Fund and engaged in the same, similar or related trades or businesses, or certain publicly traded partnerships. These federal tax diversification requirements, or the Fund’s determination to comply with them, may change in the future without shareholder approval.

A non-diversified fund may from time to time temporarily operate in a diversified manner without losing its non-diversified status. As a result, at times, the Fund may not take advantage of the greater flexibility afforded a non-diversified fund. However, if following implementation of the Proposal, the Adviser were to continuously operate the Fund as diversified for three years, the Fund will once again become a diversified fund and 1940 Act provisions will require the Adviser to again seek shareholder approval to reserve the freedom of action to operate the Fund as non-diversified.

7


At a meeting held on September 9, 2021, the Board considered the recommendations of the Adviser to change the Fund’s classification to non-diversified and to eliminate the Fund’s related fundamental investment restriction. The Board considered all relevant factors, including the potential impact on the Fund and its risk profileTC Funds and the estimated costs associated with seeking shareholder approval of the proposed change for the Fund. Following its consideration of these matters, the Board unanimously approved the proposed change in the Fund’s classificationNuveen Funds are collectively referred to “non-diversified” and the elimination of the Fund’s related fundamental investment restriction.

The Board recommends that you vote FOR the Proposal.

Shareholder Approval

A quorum of shareholders is required to take action at the Meeting. Ten percent of the shares entitled to vote at the Meeting, represented in person (virtually) or by proxy, will constitute a quorum of shareholders at the Meeting. If a quorum is present at the Meeting, then the Proposal must be approved by a vote of a majority of the outstanding voting securities of the Fund, with all classes of shares voting together as a single class. The “vote of a majority of the outstanding voting securities” is defined in the 1940 Actherein as the lesser“Fund Complex.”

Each of the vote of (i) 67% or more of the shares of the Fund entitled to vote thereon present at the Meeting if the holders of more than 50% of such outstanding shares are present in person (virtually) or represented by proxy; or (ii) more than 50% of such outstanding shares of the Fund entitled to vote thereon. For purposes of determining the approval of the Proposal, abstentions will have the same effect as shares voted against the Proposal. Broker non-votes are shares held by brokers or nominees, typically in “street name,” as to which (i) instructions have not been received from beneficial owners or persons entitled to vote and (ii) the broker or nominee does not have discretionary voting power on a particular matter). Broker non-votes typically occur when both routine and non-routine proposals are being considered at a meeting. Because the single matter presented at the Meeting is a “non-routine” matter for which a broker or nominee does not have discretionary voting power under New York Stock Exchange rules, the Fund does not expect there to be any broker non-votes at the Meeting.

8


If approved by shareholders of the Fund, the change in diversification status and removal of the fundamental investment restriction will become effective when the Fund’s Prospectus and Statement of Additional Information are revised or supplemented to reflect the approval of the Proposal. If the Proposal is not approved by the Fund’s shareholders, the Fund will remain diversified and the current fundamental investment policy will remain in effect and the portfolio managers will continue to manage the Fund pursuant to its applicable investment policies, parameters and restrictions in light of prevailing market and economic conditions.

ADDITIONAL INFORMATION

Attending the Meeting

In light of public health concerns regarding the ongoing coronavirus (COVID-19) pandemic, the Meeting will be held in a virtual meeting format only. Shareholders will not be able to attend the Meeting in person. Shareholders are entitled to participate in the Meeting only if you were a shareholder of the Fund as of the close of business on the Record Date, or if you hold a valid proxy for the Meeting. Shareholders will not be able to attend the Meeting in person.

You will be able to attend the Meeting online and submit your questions during the Meeting by visiting [meetings.computershare.com/]. You also will be able to vote your shares online by attending the Meeting by webcast. To participate in the Meeting, you will need to log on using the control number from your proxy card or Meeting notice. The control number can be found in the shaded box.

If you hold your shares through an intermediary, such as a bank or broker, you must register in advance using the instructions below.

The online Meeting will begin promptly at [2:00 p.m., Eastern Time on [______], 2021. You are encouraged to access the Meeting prior to the start time leaving ample time for the check in.

To register to attend the Meeting online by webcast, you must submit proof of your proxy power (legal proxy) reflecting your Fund holdings along with your name and e-mail address to [shareholdermeetings@computershare.com]. You must contact the bank or broker who holds your shares to obtain your legal proxy. Requests for registration must be labeled as “Legal Proxy” and be received no later than [5:00 p.m., Eastern Time, three business days prior] to the Meeting date.

You will receive a confirmation of your registration by e-mail after your registration materials are received.

Requests for registration should be directed to us by e-mailing an image of your legal proxy to [shareholdermeetings@computershare.com].

9


Principal Shareholders

The persons who held of record more than 5% of any class of shares of the Fund, as of September 17, 2021, are set forth on Appendix A. To the knowledge of the Fund, as of September 17, no shareholder owned, beneficially or of record, more than 5% of any class of shares of any Fund, except as provided in Appendix A.

Information About the Fund’s Adviser, Administrator and Distributor

The Adviser and Administrator

Teachers Advisors, LLC the Fund’s investment adviser and administrator, offers advisory and investment management services to a broad range of clients, including investment companies and other pooled investment vehicles. The Adviser has overall responsibility for management of theNuveen Fund oversees the management of the Fund’s portfolio, manages the Fund’s business affairs and provides certain clerical, bookkeeping and other administrative services. The AdviserAdvisors, LLC is located at 730 Third Avenue, NY, NY 10017. The Adviser is aan indirect, wholly-owned subsidiary of Nuveen, LLC (“Nuveen”), the investment management arm of Teachers Insurance and Annuity Association of America (“TIAA”). TIAA is a life insurance company founded in 1918 by the Carnegie Foundation for the Advancement of Teaching and is the companion organization of College Retirement Equities Fund. Fund (“CREF”), the first company in the United States to issue a variable annuity.

The TC Board Members and the Nuveen Board Members separately determined to approve the alignment and consolidation of the membership of the boards so that all funds in the Fund Complex are overseen by the same board members. Accordingly, your Board has proposed the election of twelve (12) Board Members. Four (4) of the nominees currently serve as TC Board Members. Eight (8) of the nominees currently serve as Nuveen Board Members.

As noted above, each of the nominees either currently serves as a TC Board Member or a Nuveen Board Member. The election of the nominees is part of the intended alignment and consolidation of the membership of the boards of the TC Funds with membership of the boards of the Nuveen Funds. If shareholders approve the election of all of the nominees, the membership of the TC Funds boards will be expanded from eleven (11) to twelve (12) members, including the eight (8) nominees who currently serve as Nuveen Board Members, as well as the four (4) nominees who currently serve as TC Board Members.

The election of all of the nominees will bring the membership of the boards of the Fund Complex into alignment such that funds in the Fund Complex are overseen by the same group of board members. This alignment and consolidation would provide the opportunity to streamline and optimize board oversight.

The board consolidation is expected to (i) generate cost efficiencies and expense savings that would benefit Fund shareholders; (ii) align the Fund Complex and its Board with Nuveen LLC’s (“Nuveen”) operating model to promote growth across new, as well as similar, investment products; (iii) facilitate negotiating with vendors as a unified Fund Complex to obtain expected economies of scale and to standardize servicing; (iv) expand marketing and distribution opportunities associated with presenting the TC Funds and Nuveen Funds to the marketplace as one Fund Complex and grow investor engagement; and (v) eliminate duplicate efforts in Board operations.

5


Fund management believes that the prospective benefits of the board consolidation will be advantageous to all Fund shareholders.

In connection with the board consolidation, seven (7) of the eleven (11) current TC Board Members are expected to resign as TC Board Members, as of December 31, 2023, and therefore are not standing for re-election. Such resigning TC Board Members will continue to serve as members of the boards of CREF and TIAA Separate Account VA-1 (“VA-1”), which are other investment companies advised by Teachers Advisors, LLC or its affiliate and which are not part of the Fund Complex. Relatedly, if elected to the consolidated board of the TC Funds and the Nuveen Funds, the four current TC Board Members who are standing for election will resign from their positions on the boards of CREF and VA-1 as of December 31, 2023.

Your Fund’s Board has approved the proposal after evaluating the potential benefits of aligning and consolidating the boards of funds in the Fund Complex and considering the background, skills, experience and other attributes of the nominees who would make up the consolidated board.

Please note that separate proxy statements are being sent to shareholders of the other TC Funds and to shareholders of certain Nuveen Funds, who are being asked to vote on the election of the same slate of nominees to the boards of the respective funds.

Nominees

Twelve (12) nominees, including Joseph A. Boateng, Michael A. Forrester, Thomas J. Kenny and Loren M. Starr, each a TC Board Member, and Amy B. R. Lancellotta, Joanne T. Medero, Albin F. Moschner, John K. Nelson,Matthew Thornton III, Terence J. Toth, Margaret L. Wolff and Robert L. Young, each a current Nuveen Board Member, are standing for election at the Meeting. Nominees for election as Board Members are to be elected by all shareholders of the Trust to serve a term until their successors shall have been duly elected and qualified. Information about each of these twelve nominees is set forth below.

The Board of the Trust is currently composed of eleven (11) Board Members: Forrest Berkley, Joseph A. Boateng, Joseph A. Carrier, Janice C. Eberly, Nancy A. Eckl, Michael A. Forrester, Howell E. Jackson, Nicole Thorne Jenkins, Thomas J. Kenny, James M. Poterba and Loren M. Starr. Mr. Berkley, Mr. Carrier, Prof. Eberly, Ms. Eckl, Prof. Jackson, Dean Jenkins and Prof. Poterba are expected to resign from the Board of the Trust in connection with the board consolidation, effective as of December 31, 2023, and therefore are not standing for re-election, but will continue to serve on the boards of CREF and VA-1.

Mr. Berkley, Mr. Boateng, Prof. Eberly, Ms. Eckl, Mr. Forrester, Prof. Jackson, Mr. Kenny and Prof. Poterba were last elected to the Trust’s Board at a special meeting of shareholders held on July 17, 2019. Mr. Starr was appointed to the Trust’s Board effective October 1, 2022. Each of Mr. Carrier and Dean Jenkins was appointed to the Trust’s Board effective January 1, 2023.

If elected at the Meeting, Ms. Lancellotta, Ms. Medero, Mr. Moschner, Mr. Nelson,Mr. Thornton III, Mr. Toth, Ms. Wolff and Mr. Young are expected to be seated as Board Members of the Trust effective as of January 1, 2024.

It is the intention of the persons named in the enclosed proxy to vote the shares represented thereby for the election of each of the nominees listed above unless the proxy is marked otherwise. Each of the nominees has agreed to serve as a Board Member if elected. However,

6


should any nominee become unable or unwilling to accept nomination for election, the proxies will be voted for substitute nominees, if any, designated by the Trust’s present Board.

All Board Member nominees are not “interested persons” as defined in the Investment Company Act of 1940, as amended (the “1940 Act”), of the Funds or of Teachers Advisors, LLC, the Funds’ investment adviser (the “Adviser”), and have never been an employee or director of TIAA, the Adviser’s parent company, or any affiliate. Accordingly, such Board Members are deemed “Independent Board Members.”

The Board, which is composed entirely of Independent Board Members, unanimously recommends that shareholders vote FOR the election of each of the nominees named herein.

Name, Business Address
and Year of Birth
Position(s)
Held with
Funds
Term of Office
and Length of
Time Served(1)

Principal Occupation(s)

During Past Five Years

Number of
Portfolios
in Fund
Complex(2)
Overseen
by Board
Member/
Nominee

Other
Directorships
Held by
Board
Member/

Nominee
During Past
Five Years

CURRENT BOARD MEMBERS WHO ARE NOMINEES

Joseph A. Boateng

c/o Corporate Secretary

730 Third Avenue

New York, NY 10017-3206

1963

Board Member

Term: Indefinite

Length of Service: Since 2019

Chief Investment Officer, Casey Family Programs (since 2007). Director of U.S. Pension Plans, Johnson & Johnson (2002-2006).88(3)
Board Member, Lumina Foundation (since 2018) and Waterside School (since 2021); Board Member (2012-2019) and Emeritus Board Member (since 2020), Year-Up Puget Sound; Investment Advisory Committee Member and Former Chair (since 2007), Seattle City Employees’ Retirement System; Investment Committee Member (since 2012), The Seattle Foundation.

Michael A. Forrester

c/o Corporate Secretary

730 Third Avenue

New York, NY 10017-3206

1967

Board Member

Term: Indefinite

Length of service: Since 2007

Chief Executive Officer (2014-2021) and Chief Operating Officer (2007-2014), Copper Rock Capital Partners, LLC.88(3)Trustee Dexter Southfield School (since 2019); Member (since 2020), Governing Council of the IDC.

7


Name, Business Address
and Year of Birth
Position(s)
Held with
Funds
Term of Office
and Length of
Time Served(1)

Principal Occupation(s)

During Past Five Years

Number of
Portfolios
in Fund
Complex(2)
Overseen
by Board
Member/
Nominee

Other
Directorships
Held by
Board
Member/

Nominee
During Past
Five Years

Thomas J. Kenny

c/o Corporate Secretary

730 Third Avenue

New York, NY 10017-3206

1963

Chairman and Board Member

Term: Indefinite

Length of service: Since 2011. Chairman for term ending June 30, 2024. Chairman since September 13, 2017.

Advisory Director (2010-2011), Partner (2004-2010), Managing Director (1999-2004) and Co-Head of Global Cash and Fixed Income Portfolio Management Team (2002-2010), Goldman Sachs Asset Management.88(3)Director (since 2015) and Chair of the Finance and Investment Committee (since 2018), Aflac Incorporated; Director (since 2018), ParentSquare. Former Director (2012-2022) and Finance Committee Chair (2016-2022), Sansum Clinic; Former Advisory Board Member (2017-2019), B’Box; former Member (2011-2022), the University of California at Santa Barbara Arts and Lectures Advisory Council; former Investment Committee Member (2012-2020), Cottage Health System; Board Member (2009-2019) and former President of the Board (2014-2018).

8


Name, Business Address
and Year of Birth
Position(s)
Held with
Funds
Term of Office
and Length of
Time Served(1)

Principal Occupation(s)

During Past Five Years

Number of
Portfolios
in Fund
Complex(2)
Overseen
by Board
Member/
Nominee

Other
Directorships
Held by
Board
Member/

Nominee
During Past
Five Years

Loren M. Starr

c/o Corporate Secretary

730 Third Avenue

New York, NY 10017-3206

1961

Board Member

Term: Indefinite

Length of service: Since 2022

Independent Consultant/Advisor (2021-Present). Vice Chair, Senior Managing Director (2020-2021), Chief Financial Officer, Senior Managing Director (2005-2020), Invesco Ltd.88(3)
Director (since 2023), AMG. Former Chair and Member of the Board of Directors (2014-2021), Georgia Leadership Institute for School Improvement (GLISI); former Chair and Member of the Board of Trustees (2015-2018), Georgia Council on Economic Education (GCEE).
NOMINEES WHO ARE NOT CURRENTLY BOARD MEMBERS

Amy B. R. Lancellotta

333 West Wacker Drive

Chicago, IL 60606

1959

None

Term: Indefinite

Length of Service: Not Applicable

Formerly, Managing Director, Independent Directors Council (“IDC”) (2006-2019) (supports the fund independent director

community and is part of the Investment

Company Institute (“ICI”), which

represents regulated investment

companies); formerly, various positions with ICI (1989-2006)

135(3)
President and Member of the Board of Directors (since 2020), Jewish Coalition Against Domestic Abuse (JCADA).

9


Name, Business Address
and Year of Birth
Position(s)
Held with
Funds
Term of Office
and Length of
Time Served(1)

Principal Occupation(s)

During Past Five Years

Number of
Portfolios
in Fund
Complex(2)
Overseen
by Board
Member/
Nominee

Other
Directorships
Held by
Board
Member/

Nominee
During Past
Five Years

Joanne T. Medero

333 West Wacker Drive

Chicago, IL 60606

1954

None

Term: Indefinite

Length of Service: Not Applicable

Formerly, Managing Director, Government Relations and Public Policy (2009-2020) and Senior Advisor to the Vice Chairman (2018-2020), BlackRock, Inc. (global investment management firm); formerly, Managing Director, Global Head of Government Relations and Public Policy, Barclays Group (IBIM) (investment banking, investment management and wealth management businesses) (2006-2009); formerly, Managing Director, Global General Counsel and Corporate Secretary, Barclays Global Investors (global investment management firm) (1996-2006); formerly, Partner, Orrick, Herrington & Sutcliffe LLP (law firm) (1993-1995); formerly General Counsel, Commodity Futures Trading Commission (government agency overseeing U.S. derivatives markets) (1989-1993); formerly, Deputy Associate Director/Associate Director for Legal and Financial Affairs, Office of Presidential Personnel, The White House (1986-1989).135(3)
Member (since 2019) of the Board of Directors of the Baltic-American Freedom Foundation.

10


Name, Business Address
and Year of Birth
Position(s)
Held with
Funds
Term of Office
and Length of
Time Served(1)

Principal Occupation(s)

During Past Five Years

Number of
Portfolios
in Fund
Complex(2)
Overseen
by Board
Member/
Nominee

Other
Directorships
Held by
Board
Member/

Nominee
During Past
Five Years

Albin F. Moschner

333 West Wacker Drive

Chicago, IL 60606

1952

None

Term: Indefinite

Length of Service: Not Applicable

Founder and Chief Executive Officer, Northcroft Partners, LLC (management consulting) (since 2012); previously, held positions at Leap Wireless International, Inc. (consumer wireless services), including Consultant (2011-2012), Chief Operating Officer (2008-2011) and Chief Marketing Officer (2004-2008); formerly, President Verizon Card Services division of Verizon Communications, Inc. (telecommunication services) (2000-2003); formerly, President, One Point Services at One Point Communications (telecommunication services) (1999-2000); formerly, Vice President of the Board, Diba, Incorporated (internet technology provider) (1996-1997); formerly, various executive positions (1991-1996) and Chief Executive Officer (1995-1996) of Zenith Electronics Corporation (consumer electronics).135(3)Formerly, Chairman (2019) and Director (2012-2019), USA Technologies, Inc. (a provider of solutions and services to facilitate electronic payment transactions); formerly, Director, Wintrust Financial Corporation (1996-2016).

John K. Nelson

333 West Wacker Drive

Chicago, IL 60606

1962

None

Term: Indefinite

Length of Service: Not Applicable

Formerly, Senior External Advisor to the Financial Services practice of Deloitte Consulting LLP (2012-2014); Chief Executive Officer of ABN AMRO Bank N.V., North America, and Global Head of the Financial Markets Division (2007-2008), with various executive leadership roles in ABN AMRO Bank N.V. between 1996 and 2007.135(3)
Member of the Board of Directors (since 2008) of Core12 LLC. Former Member of the President’s Council (2010-2019) of Fordham University; Former Director (2009-2018) of the Curran Center for Catholic American Studies.

11


Name, Business Address
and Year of Birth
Position(s)
Held with
Funds
Term of Office
and Length of
Time Served(1)

Principal Occupation(s)

During Past Five Years

Number of
Portfolios
in Fund
Complex(2)
Overseen
by Board
Member/
Nominee

Other
Directorships
Held by
Board
Member/

Nominee
During Past
Five Years

Matthew Thornton III

333 West Wacker Drive

Chicago, IL 60606

1958

None

Term: Indefinite

Length of Service: Not Applicable

Formerly, Executive Vice President and Chief Operating Officer (2018-2019), FedEx Freight Corporation, a subsidiary of FedEx Corporation (“FedEx”) (provider of transportation, e-commerce and business services through its portfolio of companies); formerly, Senior Vice President, U.S. Operations (2006-2018), Federal Express Corporation, a subsidiary of FedEx.135(3)
Member of the Board of Directors (since 2014), The Sherwin-Williams Company (develops, manufactures, distributes and sells paints, coating and related products); Member of the Board of Directors (since 2020), Crown Castle International (provider of communications infrastructure). Former Member of the Board of Directors (2012-2018), Safe Kids Worldwide.

12


Name, Business Address
and Year of Birth
Position(s)
Held with
Funds
Term of Office
and Length of
Time Served(1)

Principal Occupation(s)

During Past Five Years

Number of
Portfolios
in Fund
Complex(2)
Overseen
by Board
Member/
Nominee

Other
Directorships
Held by
Board
Member/

Nominee
During Past
Five Years

Terence J. Toth

333 West Wacker Drive

Chicago, IL 60606

1959

None

Term: Indefinite

Length of Service: Not Applicable

Formerly, Co-Founding Partner, Promus Capital (investment advisory firm) (2008-2017); formerly, Director, Quality Control Corporation (manufacturing) (2012-2021); formerly, Director, Fulcrum IT services LLC (information technology services firm to government entities) (2010-2019); formerly, Director, Legal & General Investment Management America, Inc. (asset management) (2008-2013); formerly, CEO and President, Northern Trust Global Investments (financial services) (2004-2007); Executive Vice President, Quantitative Management & Securities Lending (2000-2004); prior thereto, various positions with Northern Trust Company (financial services); formerly, Member, Northern Trust Mutual Funds Board (2005-2007), Northern Trust Global Investments Board (2004-2007), Northern Trust Japan Board (2004-2007) and Northern Trust Hong Kong Board (1997-2004).135(3)
Chair and Member of the Board of Directors (since 2021), Kehrein Center for the Arts; Member of the Board of Directors (philanthropy) (since 2008), Catalyst Schools of Chicago; Member of the Board of Directors (since 2012) (and Former Investment Committee Chair (2017-2022)), Mather Foundation (philanthropy). formerly, Member, Chicago Fellowship Board (philanthropy) (2005-2016).

13


Name, Business Address
and Year of Birth
Position(s)
Held with
Funds
Term of Office
and Length of
Time Served(1)

Principal Occupation(s)

During Past Five Years

Number of
Portfolios
in Fund
Complex(2)
Overseen
by Board
Member/
Nominee

Other
Directorships
Held by
Board
Member/

Nominee
During Past
Five Years

Margaret L. Wolff

333 West Wacker Drive

Chicago, IL 60606

1955

None

Term: Indefinite

Length of Service: Not Applicable

Formerly, Of Counsel, Skadden, Arps, Slate, Meagher & Flom LLP (legal services) (2005-2014).135(3)
Member of the Board of Trustees (since 2005) of New York-Presbyterian Hospital. Member of the Board of Trustees (since 2004) (and former Chair (2015-2022)), The John A. Hartford Foundation (philanthropy dedicated to improving the care older adults); formerly, Member (2005-2015) and Vice Chair (2011-2015) of the Board of Trustees of Mt. Holyoke College.

14


Name, Business Address
and Year of Birth
Position(s)
Held with
Funds
Term of Office
and Length of
Time Served(1)

Principal Occupation(s)

During Past Five Years

Number of
Portfolios
in Fund
Complex(2)
Overseen
by Board
Member/
Nominee

Other
Directorships
Held by
Board
Member/

Nominee
During Past
Five Years

Robert L. Young

333 West Wacker Drive

Chicago, IL 60606

1963

None

Term: Indefinite

Length of Service: Not Applicable

Formerly, Chief Operating Officer and Director, J.P. Morgan Investment Management Inc. (financial services) (2010-2016); formerly, President and Principal Executive Officer (2013-2016), and Senior Vice President and Chief Operating Officer (2005-2010), of J.P. Morgan Funds; formerly, Director and various officer positions for J.P. Morgan Investment Management Inc. (formerly, JPMorgan Funds Management, Inc. and formerly One Group Administrative Services) and JPMorgan Distribution Services, Inc. (financial services) (formerly, One Group Dealer Services, Inc. (1999-2017).135(3)
None.
CURRENT BOARD MEMBERS WHO ARE NOT STANDING FOR RE-ELECTION AS NOMINEES

Forrest Berkley(3)

c/o Corporate Secretary

730 Third Avenue

New York, NY 10017-3206

1954

Board Member

Term: Indefinite

Length of service: Since 2006

Partner (1990-2005) and Head of Global Product Management (2003-2005), GMO (formerly, Grantham, Mayo, Van Otterloo & Co.) (investment management), and member of asset allocation portfolio management team, GMO (2003-2005).88Investment Committee Member, Maine Community Foundation. Former Director, Save the Children Federation, Inc.; Former Investment Committee Member, Elmina B. Sewall Foundation.

15


Name, Business Address
and Year of Birth
Position(s)
Held with
Funds
Term of Office
and Length of
Time Served(1)

Principal Occupation(s)

During Past Five Years

Number of
Portfolios
in Fund
Complex(2)
Overseen
by Board
Member/
Nominee

Other
Directorships
Held by
Board
Member/

Nominee
During Past
Five Years

Joseph A. Carrier(3)

c/o Corporate Secretary

730 Third Avenue

New York, NY 10017-3206

1960

Board Member

Term: Indefinite

Length of Service: Since 2023

Senior Vice President, Enterprise Risk Management, Franklin Resources, Inc. (2020-2022). Senior Managing Director, Chief Risk Officer and Chief Audit Executive, Legg Mason, Inc. (2008-2020).88Director, Franklin Templeton Irish Funds; Board Member, Cal Ripken, Sr. Foundation; Advisory Board Member, Loyola University Maryland, Sellinger School of Business and Management. Former Director, ICI Mutual Insurance Company; Former Director, Martin Currie Investment Management, Ltd.; Former Treasurer and Member of the Board of Directors, GB Charities, Inc.; Former Chair and Member of the Board of Visitors, Sacred Heart University Jack Welch College of Business & Technology.

16


Name, Business Address
and Year of Birth
Position(s)
Held with
Funds
Term of Office
and Length of
Time Served(1)

Principal Occupation(s)

During Past Five Years

Number of
Portfolios
in Fund
Complex(2)
Overseen
by Board
Member/
Nominee

Other
Directorships
Held by
Board
Member/

Nominee
During Past
Five Years

Janice C. Eberly(4)

c/o Corporate Secretary

730 Third Avenue

New York, NY 10017-3206

1962

Board Member

Term: Indefinite

Length of service: Since 2018

Distinguished Senior Fellow, MIT Sloan and Golub Center for Finance and Policy (since 2023); James R. and Helen D. Russell Professor of Finance at the Kellogg School of Management, Northwestern University (2002-2011 and since 2013), Senior Associate Dean for Strategy and Academics (since 2020) and Chair of the Finance Department (2005-2007). Vice President, American Economic Association (2020-2021). Assistant Secretary for Economic Policy, United States Department of the Treasury (2011-2013).88Member of the Board of the Office of Finance, Federal Home Loan Banks; Director, Avant, LLC.

Nancy A. Eckl (4)

c/o Corporate Secretary

730 Third Avenue

New York, NY 10017-3206

1962

Board Member

Term: Indefinite

Length of service: Since 2007

Vice President (1990-2006), American Beacon Advisors, Inc. and of certain funds advised by American Beacon Advisors, Inc.88Independent Director and Audit Committee Chair, The Lazard Funds, Inc., Lazard Retirement Series, Inc. and Lazard Global Total Return and Income Fund, Inc.

Howell E. Jackson(4)

c/o Corporate Secretary

730 Third Avenue

New York, NY 10017-3206

1954

Board Member

Term: Indefinite

Length of service: Since 2005

Special Adviser, White House Council of Economic Advisers (since 2023). James S. Reid, Jr. Professor of Law (since 2004), Senior Adviser to President and Provost (2010-2012), Acting Dean (2009), Vice Dean for Budget (2003-2006) and on the faculty (since 1989) of Harvard Law School.88Director, Build Commonwealth.

17


Name, Business Address
and Year of Birth
Position(s)
Held with
Funds
Term of Office
and Length of
Time Served(1)

Principal Occupation(s)

During Past Five Years

Number of
Portfolios
in Fund
Complex(2)
Overseen
by Board
Member/
Nominee

Other
Directorships
Held by
Board
Member/

Nominee
During Past
Five Years

Nicole Thorne Jenkins(4)

c/o Corporate Secretary

730 Third Avenue

New York, NY 10017-3206

1970

Board Member

Term: Indefinite

Length of service: Since 2023

John A. Griffin Dean of the McIntire School of Commerce at the University of Virginia (2020-present). Vice Dean (2016-2020), Von Allmen Chaired Professor of Accountancy (2017-2020), Associate Professor and EY Research Fellow (2012-2017), Gatton College of Business and Economics at the University of Kentucky.88Trustee and Audit Committee Member, Strada Education Network; Treasurer and Director, The Montpelier Foundation.

James M. Poterba(4)

c/o Corporate Secretary

730 Third Avenue

New York, NY 10017-3206

1958

Board Member

Term: Indefinite

Length of service: Since 2006

President and Chief Executive Officer (since 2008) and Program Director (1990-2008), National Bureau of Economic Research. Mitsui Professor of Economics, Massachusetts Institute of Technology (“MIT”) (since 1996); Affiliated Faculty Member of the Finance Group, Alfred P. Sloan School of Management (since 2014); Head (2006-2008) and Associate Head (1994-2000 and 2001-2006), Economics Department of MIT.88Director, National Bureau of Economic Research; Member, Congressional Budget Office Panel of Economic Advisers. Former Trustee, Alfred P. Sloan Foundation.

(1)

Length of Time Served of the current Board Members indicates the year in which the individual became a Board Member of a TC Fund.

(2)

As used in this table, the Fund Complex consists of the Nuveen Funds and the TC Funds, as well as CREF and VA-1.

(3)

In connection with the board consolidation, each nominee is also standing for election, or expected to be appointed, to oversee additional funds in the Fund Complex. If so elected, the Number of Portfolios in the Fund Complex Overseen by each Board Member will be as follows on January 1, 2024:

Joseph A. Boateng

191

Michael A. Forrester

191

Thomas J. Kenny

214

Amy B.R. Lancellotta

214

Joanne T. Medero

214

Albin F. Moschner

214

John K. Nelson

214

Loren M. Starr

213

Matthew Thornton III

214

Terence J. Toth

214

Margaret L. Wolff

214

Robert L. Young

214

In addition, certain nominees may from time to time prior to the Meeting be appointed or elected to other boards overseeing additional portfolios in the Fund Complex.

(4)

Mr. Berkley, Mr. Carrier, Prof. Eberly, Ms. Eckl, Prof. Jackson, Dean Jenkins and Prof. Poterba are expected to resign from the Board of the Trust effective as of December 31, 2023 in connection with the board consolidation.

18


Fund Share Ownership

The dollar range of equity securities beneficially owned by each Board Member and nominee in each Fund and all funds in the family of investment companies overseen or to be overseen by the Board Member or nominee as of December 31, 2022 is set forth in Appendix B.

As of December 31, 2022, each Board Member, nominee or executive officer individually, and the Board Members nominees and executive officers as a group, beneficially owned less than 1% of the outstanding shares of each Fund.

Compensation

Compensation is paid to the Board Members based on each Board Member’s service as a member of the Board of the Trust, CREF and TCLF and as a member of the Management Committee of VA-1, and Board Member compensation expenses are allocated among each of the Funds of the Trust and TCLF, the Accounts of CREF and the single portfolio of VA-1, as applicable. Effective January 1, 2023, Board Member compensation is based on the following rates: an annual retainer of $225,000; an annual long-term compensation contribution of $110,000; an annual committee chair fee of $20,000 for the Nominating and Governance Committee and $30,000 for the chairs of the Investment Committee, Operations Committee and Audit and Compliance Committee; an annual Board chair fee of $136,000; and an annual committee retainer of $20,000 for the Nominating and Governance Committee and $30,000 for the Investment Committee, Operations Committee and Audit and Compliance Committee.

Effective January 1, 2022 through December 31, 2022, Board Member compensation was based on the following rates: an annual retainer of $225,000; an annual long-term compensation contribution of $110,000; an annual committee chair fee of $20,000 for the Nominating and Governance Committee and $30,000 for the chairs of the Investment Committee, Operations Committee and Audit and Compliance Committee; an annual Board chair fee of $120,000; and an annual committee membership retainer of $20,000 for the Nominating and Governance Committee and $30,000 for the Investment Committee, Operations Committee and Audit and Compliance Committee.

The chair and members of the Executive Committee continue to not receive fees for service on that committee. The Board Members may also continue to receive non-standing committee fees, such as special, working group or ad hoc committee fees, or related chair fees, as determined by the Board. These working groups and ad hoc committees of the Board are temporary in nature; compensation associated with membership in such groups and committees is not expected to be long-term or ongoing. The level of compensation is evaluated regularly and is based on a study of compensation at comparable companies, the time and responsibilities required of the Board Members, and the need to attract and retain well-qualified Board Members.

The Trust, TCLF, CREF and VA-1 have a long-term compensation plan for Board Members. Currently, under this unfunded deferred compensation plan, annual contributions equal to $110,000 are allocated to notional investments in Trust, TCLF, CREF and VA-1 products (such as certain CREF annuities and/or certain TC Funds) selected by each Board Member. As currently structured, after the Board Member leaves this Board, benefits related to service on this Board will be paid in a lump sum or in annual installments over a period of 2 to 20 years, as requested by the Board Member. The Board may waive the mandatory retirement policy for

19


the Board Members, which would delay the commencement of benefit payments until after the Board Member eventually retires from the Board. Pursuant to a separate deferred compensation plan, Board Members also have the option to defer payments of their basic retainer, additional retainers and/or meeting fees and allocate those amounts to notional investments in certain TC Fund, CREF and VA-1 products (such as CREF annuities and/or TC Funds) selected by each Board Member. Benefits under that plan are also paid in a lump sum or in annual installments over a period of 2 to 20 years, as requested by the Board Member.

Upon consolidation of the Board, it is expected that the new Board will consider Board compensation and approve a compensation structure for the consolidated Board.

The tables set forth in Appendix C show, for each Board Member and nominee, the aggregate compensation paid by each Fund to each Board Member and nominee for its last fiscal year and the aggregate compensation paid by the Nuveen Funds, the Trust, TCLF, CREF and VA-1 to each Board Member and nominee for the calendar year ended December 31, 2022.

The Trust has adopted a mandatory retirement policy for its Board. Under this policy, Board Members shall cease to be members of the Board and resign their positions effective as of no later than the completion of the last scheduled in-person meeting of the Board while such persons are 72 years of age. Such requirement may be waived with respect to one or more Board Members for reasonable time periods upon the unanimous approval and at the sole discretion of the Board, and the Board Members eligible for the waiver are not permitted to vote on such proposal regarding their waiver. Upon consolidation of the Board, it is expected that the Board will consider and adopt a retirement policy for the Trust appropriate for the consolidated Board.

The Trust has no employees. Each officer of the Trust serves without any compensation from the Funds.

Board Leadership Structure and Related Matters

The Board is currently composed of eleven (11) Board Members, all of whom are independent or disinterested, which means that they are not “interested persons” of the Funds as defined in Section 2(a)(19) of the 1940 Act (Independent Board Members). One of the Independent Board Members, Thomas J. Kenny, serves as the Chair of the Board. The Chair’s responsibilities include: coordinating with management in the preparation of the agenda for each meeting of the Board; presiding at all meetings of the Board; and serving as a liaison with other Board Members, the Trust’s officers and other management personnel, and counsel to the Independent Board Members. The Chair also performs such other duties as the Board may from time to time determine. The Principal Executive Officer of the Trust does not serve on the Board.

The Board meets periodically to review, among other matters, the Funds’ activities, contractual arrangements with companies that provide services to the Funds and the performance of the Funds’ investment portfolios. The Board holds regularly scheduled meetings each year and may hold special meetings, as needed, to address matters arising between regular meetings. During a portion of each regularly scheduled meeting and, as the Board may determine, at its other meetings, the Board meets without management present.

The Board has established a committee structure that includes (i) standing committees, each composed solely of Independent Board Members and chaired by an Independent Board Member,

20


and (ii) non-standing committees (which, when constituted, shall be composed solely of Independent Board Members and chaired by an Independent Board Member). The Board, with the assistance of its Nominating and Governance Committee, periodically evaluates its structure and composition as well as various aspects of its operations. The Board believes that its leadership and operating structure, which includes (i) its committees, (ii) having an Independent Board Member in the position of Chairman of the Board and of each committee, and (iii) having independent counsel to the Independent Board Members, provides for independent oversight of management and is appropriate for the Trust in light of, among other factors, the asset size and nature of the Trust and the Funds, the number of portfolios overseen by the Board, the number of other funds overseen by the Board Members as the trustees of TCLF, CREF and VA-1, the arrangements for the conduct of the Funds’ operations, the number of Board Members, and the Board’s responsibilities.

Currently, Mr. Kenny serves as the independent Chair of the Board. Upon consolidation of the Board, the Board is expected to consider and adopt Board leadership positions for the consolidated Board.

Board Committees

The Board has appointed the following standing and non-standing committees and, in addition, may from time to time form certain committees on an “ad hoc” basis, each with specific responsibilities for aspects of the Trust’s operations. The charters for these committees may be found at www.tiaa.org/public/about-tiaa/corporate-governance-leadership/cref-governors-trustees. Upon consolidation of the Board, the Board is expected to consider and adopt Board leadership positions and committee structures and memberships for the consolidated Board.

(1)

An Audit and Compliance Committee, consisting solely of Independent Board Members, which assists the Board in fulfilling its oversight responsibilities relating to financial reporting, internal controls over financial reporting and certain compliance matters. The Audit and Compliance Committee is charged with, among other matters, approving and/or recommending for Board approval the appointment, compensation and retention (or termination) of the Funds’ independent registered public accounting firm. The current members of the Audit and Compliance Committee are Prof. Poterba (chair), Prof. Eberly, Mr. Forrester, Dean Jenkins, Mr. Kenny and Mr. Starr. Mr. Kenny has been designated as an “audit committee financial expert” as defined by the rules of the SEC. The number of Audit and Compliance Committee meetings held during the calendar year ended December 31, 2022 is shown in Appendix D.

(2)

An Investment Committee, consisting solely of Independent Board Members, which assists the Board in fulfilling its oversight responsibilities for the Funds’ investment performance, process, strategies and policies, the voting of proxies of the portfolio companies of the Funds and reviewing ESG criteria used by certain Funds. The current members of the Investment Committee are Mr. Boateng (chair), Mr. Berkley, Mr. Carrier, Prof. Eberly, Ms. Eckl, Mr. Forrester, Prof. Jackson, Dean Jenkins, Mr. Kenny, Prof. Poterba and Mr. Starr. The number of Investment Committee meetings held during the calendar year ended December 31, 2022 is shown in Appendix D.

21


(3)

An Executive Committee, consisting solely of Independent Board Members, which generally is vested with full Board powers for matters that arise between Board meetings. The current members of the Executive Committee are Mr. Kenny (chair), Ms. Eckl, Mr. Forrester, Prof. Jackson and Prof. Poterba. The number of Executive Committee meetings held during the calendar year ended December 31, 2022 is shown in Appendix D.

(4)

A Nominating and Governance Committee, consisting solely of Independent Board Members, which assists the Board in addressing internal governance matters of the Trust, including nominating certain Trust officers and the members of the standing committees of the Board, recommending candidates for election as Board Members, reviewing the qualification and independence of Board Members, conducting evaluations of the Board Members and of the Board and its committees and reviewing proposed changes to the Trust’s governing documents. The current members of the Nominating and Governance Committee are Mr. Forrester (chair), Ms. Eckl, Mr. Kenny and Prof. Poterba. The number of Nominating and Governance Committee meetings held during the calendar year ended December 31, 2022 is shown in Appendix D.

(5)

An Operations Committee, consisting solely of Independent Board Members, which assists the Board in fulfilling its oversight responsibilities for certain operational matters of the Trust, including oversight of contracts with various third-party service providers, valuation and certain other finance matters. The current members of the Operations Committee are Ms. Eckl (chair), Mr. Berkley, Mr. Boateng, Mr. Carrier and Prof. Jackson. The number of Operating Committee meetings held during the calendar year ended December 31, 2022 is shown in Appendix D.

Number of Board Meetings. The number of regular quarterly meetings and special meetings held by the Board during the calendar year ended December 31, 2022 is shown in Appendix D.

Board Member Attendance. During each Fund’s most recent fiscal year, each Board Member attended 75% or more of each Fund’s Board meetings and the committee meetings (if a member thereof) held during the period for which such Board Member was a Board Member.

Qualification of Board Members

The Board believes that each of the Board Members and nominees is qualified to serve as a Board Member of the Trust based on a review of the experience, qualifications, attributes or skills of each Board Member or nominee. The Board bases this view on its consideration of a variety of criteria, no single one of which is controlling. Generally, the Board looks for: character and integrity; ability to review critically, evaluate, question and discuss information provided and exercise effective business judgment in protecting shareholder interests; and willingness and ability to commit the time necessary to perform the duties of a Board Member. Each Board Member’s or nominee’s ability to perform his or her duties effectively is evidenced by his or her experience in one or more of the following fields: management, consulting, and/or board experience in the investment management industry; academic positions in relevant fields; management, consulting, and/or board experience with public companies in other fields, non-profit entities or other organizations; educational background and professional training; and experience as a Board Member of the Trust and other TC Funds or

22


as a Board Member of the Nuveen Funds. The Board seeks representative diversity within its membership and generally considers the manner in which an individual’s professional experience, education, expertise in relevant matters, general leadership experience and life experiences are complementary and, as a whole, contribute to the ability of the Board to perform its duties.

In determining that a particular nominee was qualified to serve on the Board, the Board considered each nominee’s background, skills, experience and other attributes in light of the composition of the Board with no particular factor controlling. The Board believes that Board Members need to have the ability to critically review, evaluate, question and discuss information provided to them, and to interact effectively with Fund management, service providers and counsel, in order to exercise effective business judgment in the performance of their duties, and the Board believes each nominee satisfies this standard. An effective Board Member may achieve this ability through his or her educational background; business, professional training or practice; public service or academic positions; experience from service as a board member or executive of investment funds, public companies or significant private or not-for-profit entities or other organizations; and/or other life experiences. Accordingly, set forth below is a summary of the experiences, qualifications, attributes, and skills that led to the conclusion, as of the date of this document, that each nominee should serve as a Board Member. References to the experiences, qualifications, attributes and skills of each nominee are pursuant to requirements of the Securities and Exchange Commission, do not constitute holding out of the Board or any nominee as having any special expertise or experience and shall not impose any greater responsibility or liability on any such person or on the Board by reason thereof. The standards set forth above may be re-evaluated and modified by the Board following the Board consolidation.

Current Board Members who are Nominees

Joseph A. Boateng. Mr. Boateng has been a TC Board Member since 2019. Since 2007, Mr. Boateng has served as the Chief Investment Officer for Casey Family Programs. He was previously Director of U.S. Pension Plans for Johnson & Johnson from 2002-2006. Mr. Boateng is a board member of the Lumina Foundation and Waterside School, an emeritus board member of Year Up Puget Sound, member of the Investment Advisory Committee and former Chair for the Seattle City Employees’ Retirement System, and an Investment Committee Member for The Seattle Foundation. Mr. Boateng received a B.S. from the University of Ghana and an M.B.A. from the University of California, Los Angeles.

Michael A. Forrester. Mr. Forrester has been a TC Board Member since 2007. From 2007 to 2021, he held various positions with Copper Rock Capital Partners, LLC (“Copper Rock”), including Chief Executive Officer (2014-2021), Chief Operating Officer (“COO”) (2007-2014) and Board Member (2007-2021). Mr. Forrester is currently a member of the Independent Directors Council Governing Council of the Investment Company Institute. He also serves on the Board of Trustees of the Dexter Southfield School. Mr. Forrester has a B.A. from Washington and Lee University.

Thomas J. Kenny. Mr. Kenny has been a TC Board Member since 2011. Mr. Kenny served as an Advisory Director (2010-2011), Partner (2004-2010), Managing Director (1999-2004) and Co-Head (2002-2010) of Goldman Sachs Asset Management’s Global Cash and Fixed Income

23


Portfolio Management team, having worked at Goldman Sachs since 1999. Mr. Kenny is a Director and the Chair of the Finance and Investment Committee of Aflac Incorporated and a Director of ParentSquare. He is a Former Director and Finance Committee Chair for the, Sansum Clinic; Former Advisory Board Member, B’Box; Former Member of the University of California at Santa Barbara Arts and Lectures Advisory Council; Former Investment Committee Member, Cottage Health System; and Former President of the Board of Crane Country Day School. He received a B.A. from the University of California, Santa Barbara, and an M.S. from Golden Gate University. He is a Chartered Financial Analyst and has served as Chairman of CREF since 2017.

Loren M. Starr. Mr. Starr has been a TC Board Member since 2022. Mr. Starr was Vice Chair, Senior Managing Director from 2020 to 2021, and Chief Financial Officer, Senior Managing Director from 2005 to 2020, for Invesco Ltd. Mr. Starr is also a Director for AMG. He is former Chair and member of the Board of Directors, Georgia Leadership Institute for School Improvement (GLISI); former Chair and member of the Board of Trustees, Georgia Council on Economic Education (GCEE). Mr. Starr received a B.A. and a B.S. from Columbia College, an M.B.A. from Columbia Business School, and an M.S. from Carnegie Mellon University.

Nominees who are not Currently Board Members

Amy B. R. Lancellotta. Ms. Lancellotta has been a Nuveen Board Member since 2021. After 30 years of service, Ms. Lancellotta retired at the end of 2019 from the Investment Company Institute (ICI), which represents regulated investment companies on regulatory, legislative and securities industry initiatives that affect funds and their shareholders. From November 2006 until her retirement, Ms. Lancellotta served as Managing Director of ICI’s Independent Directors Council (IDC), which supports fund independent directors in fulfilling their responsibilities to promote and protect the interests of fund shareholders. At IDC, Ms. Lancellotta was responsible for all ICI and IDC activities relating to the fund independent director community. In conjunction with her responsibilities, Ms. Lancellotta advised and represented IDC, ICI, independent directors and the investment company industry on issues relating to fund governance and the role of fund directors. She also directed and coordinated IDC’s education, communication, governance and policy initiatives. Prior to serving as Managing Director of IDC, Ms. Lancellotta held various other positions with ICI beginning in 1989. Before joining ICI, Ms. Lancellotta was an associate at two Washington, D.C. law firms. In addition, since 2020, she has been a member of the Board of Directors of the Jewish Coalition Against Domestic Abuse (JCADA), an organization that seeks to end power-based violence, empower survivors and ensure safe communities. Ms. Lancellotta received a B.A. degree from Pennsylvania State University in 1981 and a J.D. degree from the National Law Center, George Washington University (currently known as George Washington University Law School) in 1984.

Joanne T. Medero. Ms. Medero has been a Nuveen Board Member since 2021. Ms. Medero has over 30 years of financial services experience and, most recently, from December 2009 until her retirement in July 2020, she was a Managing Director in the Government Relations and Public Policy Group at BlackRock, Inc. (BlackRock). From July 2018 to July 2020, she was also Senior Advisor to BlackRock’s Vice Chairman, focusing on public policy and corporate governance issues. In 1996, Ms. Medero joined Barclays Global Investors (BGI), which merged with BlackRock in 2009. At BGI, she was a Managing Director and served as Global General Counsel and Corporate Secretary until 2006. Then, from 2006 to 2009, Ms. Medero was a Managing Director and Global Head of Government Relations and Public Policy at Barclays

24


Global Investors (BGI), which merged with BlackRock in 2009. At BGI, she was a Managing Director and served as Global General Counsel and Corporate Secretary until 2006. Then, from 2006 to 2009, Ms. Medero was a Managing Director and Global Head of Government Relations and Public Policy at Barclays Group (IBIM), where she provided policy guidance and directed legislative and regulatory advocacy programs for the investment banking, investment management and wealth management businesses. Before joining BGI, Ms. Medero was a Partner at Orrick, Herrington & Sutcliffe LLP from 1993 to 1995, where she specialized in derivatives and financial markets regulation issues. Additionally, she served as General Counsel of the Commodity Futures Trading Commission (CFTC) from 1989 to 1993 and, from 1986 to 1989, she was Deputy Associate Director/Associate Director for Legal and Financial Affairs at The White House Office of Presidential Personnel. Further, from 2006 to 2010, Ms. Medero was a member of the CFTC Global Markets Advisory Committee and she has been actively involved in financial industry associations, serving as Chair of the Steering Committee of the SIFMA (Securities Industry and Financial Markets Association) Asset Management Group (2016-2018) and Chair of the CTA (Commodity Trading Advisor), CPO (Commodity Pool Operator) and Futures Committee of the Managed Funds Association (2010-2012). Ms. Medero also chaired the Corporations, Antitrust and Securities Practice Group of The Federalist Society for Law and Public Policy (from 2010 to 2022 and 2000 to 2002). In addition, since 2019, she has been a member of the Board of Directors of the Baltic-American Freedom Foundation, which seeks to provide opportunities for citizens of the Baltic States to gain education and professional development through exchanges in the United States. Ms. Medero received a B.A. degree from St. Lawrence University in 1975 and a J.D. degree from the National Law Center, George Washington University (currently known as George Washington University Law School) in 1978.

Albin F. Moschner. Mr. Moschner has been a Nuveen Board Member since 2016. Mr. Moschner is a consultant in the wireless industry and, in July 2012, founded Northcroft Partners, LLC, a management consulting firm that provides operational, management and governance solutions. Prior to founding Northcroft Partners, LLC, Mr. Moschner held various positions at Leap Wireless International, Inc., a provider of wireless services, where he was a consultant from February 2011 to July 2012, Chief Operating Officer from July 2008 to February 2011, and Chief Marketing Officer from August 2004 to June 2008. Before he joined Leap Wireless International, Inc., Mr. Moschner was President of the Verizon Card Services division of Verizon Communications, Inc. from 2000 to 2003, and President of One Point Services at One Point Communications from 1999 to 2000. Mr. Moschner also served at Zenith Electronics Corporation as Director, President and Chief Executive Officer from 1995 to 1996, and as Director, President and Chief Operating Officer from 1994 to 1995. Mr. Moschner was Chairman of the Board (2019) and a member of the Board of Directors (2012-2019) of USA Technologies, Inc. and, from 1996 until 2016, he was a member of the Board of Directors of Wintrust Financial Corporation. In addition, he is emeritus (since 2018) of the Advisory Boards of the Kellogg School of Management (1995-2018) and the Archdiocese of Chicago Financial Council (2012-2018). Mr. Moschner received a Bachelor of Engineering degree in Electrical Engineering from The City College of New York in 1974 and a Master of Science degree in Electrical Engineering from Syracuse University in 1979.

John K. Nelson. Mr. Nelson has been a Nuveen Board Member since 2013. Mr. Nelson is on the Board of Director of Core12, LLC (since 2008), a private firm that develops branding, marketing, and communications strategies for clients. Mr. Nelson has extensive experience in global banking and markets, having served in several senior executive positions with ABN

25


AMRO Holdings N.V. and its affiliated entities and predecessors, including LaSalle Bank Corporation from 1996 to 2008, ultimately serving as Chief Executive Officer of ABN AMRO N.V. North America. During his tenure at the bank, he also served as Global Head of its Financial Markets Division, which encompassed the bank’s Currency, Commodity, Fixed Income, Emerging Markets, and Derivatives businesses. He was a member of the Foreign Exchange Committee of the Federal Reserve Bank of the United States and during his tenure with ABN AMRO served as the bank’s representative on various committees of The Bank of Canada, European Central Bank, and The Bank of England. Mr. Nelson previously served as a senior, external advisor to the financial services practice of Deloitte Consulting LLP (2012-2014). At Fordham University, he served as a director of The President’s Council (2010- 2019) and previously served as a director of The Curran Center for Catholic American Studies (2009-2018). He served as a trustee and Chairman of The Board of Trustees of Marian University (2011-2013). The President’s Council and as a director of The Curran Center for Catholic American Studies. Mr. Nelson is a graduate of Fordham University, holding a B.A. in Economics and an M.B.A. in Finance.

Matthew Thornton III. Mr. Thornton has been a Nuveen Board Member since 2020. Mr. Thornton has over 40 years of broad leadership and operating experience from his career with FedEx Corporation (“FedEx”), which, through its portfolio of companies, provides transportation, e-commerce and business services. In November 2019, Mr. Thornton retired as Executive Vice President and Chief Operating Officer of FedEx Freight Corporation (FedEx Freight), a subsidiary of FedEx, where, from May 2018 until his retirement, he had been responsible for day-to-day operations, strategic guidance, modernization of freight operations and delivering innovative customer solutions. From September 2006 to May 2018, Mr. Thornton served as Senior Vice President, U.S. Operations at Federal Express Corporation (FedEx Express), a subsidiary of FedEx. Prior to September 2006, Mr. Thornton held a range of positions of increasing responsibility with FedEx, including various management positions. In addition, Mr. Thornton currently (since 2014) serves on the Board of Directors of The Sherwin-Williams Company, where he is a member of the Audit Committee and the Nominating and Corporate Governance Committee, and the Board of Directors of Crown Castle International (since 2020), where he is a member of the Strategy Committee and the Compensation Committee. Formerly (2012-2018), he was a member of the Board of Directors of Safe Kids Worldwide®, a non-profit organization dedicated to the prevention of childhood injuries. Mr. Thornton is a member (since 2014) of the Executive Leadership Council (ELC), the nation’s premier organization of global black senior executives. He is also a member of the National Association of Corporate Directors (NACD). Mr. Thornton has been recognized by Black Enterprise on its 2017 list of the Most Powerful Executives in Corporate America and by Ebony on its 2016 Power 100 list of the world’s most influential and inspiring African Americans. Mr. Thornton received a B.B.A. degree from the University of Memphis in 1980 and an M.B.A. from the University of Tennessee in 2001.

Terence J. Toth. Mr. Toth, the Nuveen Funds’ Independent Chair, has been a Nuveen Board Member since 2008. Mr. Toth was a Co-Founding Partner of Promus Capital (2008-2017). From 2012 to 2021, he was a Director of Quality Control Corporation, from 2010 to 2019, he was a Director of Fulcrum IT Service LLC and from 2012 to 2016, he was a Director of LogicMark LLC. From 2008 to 2013, he was a Director of Legal & General Investment Management America, Inc. From 2004 to 2007, he was Chief Executive Officer and President of Northern Trust Global Investments, and Executive Vice President of Quantitative Management & Securities Lending from 2000 to 2004. He also formerly served on the Board of the Northern Trust Mutual Funds.

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He joined Northern Trust in 1994 after serving as Managing Director and Head of Global Securities Lending at Bankers Trust (1986 to 1994) and Head of Government Trading and Cash Collateral Investment at Northern Trust from 1982 to 1986. He currently serves as Chair of the Board of the Kehrein Center for the Arts (since 2021) and is on the Board of Catalyst Schools of Chicago (since 2008). He is on the Mather Foundation Board (since 2012) and was Chair of its Investment Committee from 2017 to 2022. Mr. Toth graduated with a Bachelor of Science degree from the University of Illinois, and received his MBA from New York University. In 2005, he graduated from the CEO Perspectives Program at Northwestern University.

Margaret L. Wolff. Ms. Wolff has been a Nuveen Board Member since 2016. Ms. Wolff retired from Skadden, Arps, Slate, Meagher & Flom LLP in 2014 after more than 30 years of providing client service in the Mergers & Acquisitions Group. During her legal career, Ms. Wolff devoted significant time to advising boards and senior management on U.S. and international corporate, securities, regulatory and strategic matters, including governance, shareholder, fiduciary, operational and management issues. From 2013 to 2017, she was a Board member of Travelers Insurance Company of Canada and The Dominion of Canada General Insurance Company (each of which is a part of Travelers Canada, the Canadian operation of The Travelers Companies, Inc.). Ms. Wolff has been a trustee of New York-Presbyterian Hospital since 2005 and, since 2004, she has served as a trustee of The John A. Hartford Foundation (a philanthropy dedicated to improving the care of older adults) where she formerly served as Chair from 2015 to 2022. From 2005 to 2015, she was a trustee of Mt. Holyoke College and served as Vice Chair of the Board from 2011 to 2015. Ms. Wolff received her Bachelor of Arts from Mt. Holyoke College and her Juris Doctor from Case Western Reserve University School of Law.

Robert L. Young. Mr. Young has been a Nuveen Board Member since 2017. Mr. Young has more than 30 years of experience in the investment management industry. From 1997 to 2017, he held various positions with J.P. Morgan Investment Management Inc. (“J.P. Morgan Investment”) and its affiliates (collectively, “J.P. Morgan”). Most recently, he served as Chief Operating Officer and Director of J.P. Morgan Investment (from 2010 to 2016) and as President and Principal Executive Officer of the J.P. Morgan Funds (from 2013 to 2016). As Chief Operating Officer of J.P. Morgan Investment, Mr. Young led service, administration and business platform support activities for J.P. Morgan’s domestic retail mutual fund and institutional commingled and separate account businesses, and co-led these activities for J.P. Morgan’s global retail and institutional investment management businesses. As President of the J.P. Morgan Funds, Mr. Young interacted with various service providers to these funds, facilitated the relationship between such funds and their boards, and was directly involved in establishing board agendas, addressing regulatory matters, and establishing policies and procedures. Before joining J.P. Morgan, Mr. Young, a former Certified Public Accountant (CPA), was a Senior Manager (Audit) with Deloitte & Touche LLP (formerly, Touche Ross LLP), where he was employed from 1985 to 1996. During his tenure there, he actively participated in creating, and ultimately led, the firm’s midwestern mutual fund practice. Mr. Young holds a Bachelor of Business Administration degree in Accounting from the University of Dayton and, from 2008 to 2011, he served on the Investment Committee of its Board of Trustees.

Board Members who are not Standing for Reelection as Nominees.

Forrest Berkley. Mr. Berkley is a retired partner of GMO (formerly, Grantham, Mayo, Van Otterloo & Co.), an investment management firm, since 2006. He was a partner of GMO from 1990

27


to 2005, and Head of Global Product Management from 2003 to 2005. He is an Investment Committee member of the Maine Community Foundation. He is a former Director of Save the Children Federation, Inc. and a former Investment Committee Member of the Elmina B. Sewall Foundation. Mr. Berkley received a B.A. from Yale University and an M.B.A. and a law degree from Harvard University.

Joseph A. Carrier.Joseph A. Carrier served as Senior Vice President, Enterprise Risk Management for Franklin Resources, Inc., from 2020 to 2022. He was previously Senior Managing Director, Chief Risk Officer and Chief Audit Executive at Legg Mason, Inc., from 2008 to 2020. He currently serves on the boards of the Franklin Templeton Irish Funds, Cal Ripken, Sr. Foundation, and Loyola University Maryland, Sellinger School of Business and Management, Department of Management and Organizations. He is a former Director of ICI Mutual Insurance Company and a former Director of Martin Currie Investment Management, Ltd. Mr. Carrier is also the former Treasurer and Member of the Board of Directors, GB Charities, Inc.; and the former Chair and member of the Board of Visitors, Sacred Heart University Jack Welch College of Business & Technology. Mr. Carrier received a B.A. from Loyola University Maryland.

Janice C. Eberly. Professor Eberly is the James R. and Helen D. Russell Professor of Finance at the Kellogg School of Management at Northwestern University (since 2013, and previously from 2002-2011). She has been the Senior Associate Dean for Strategy and Academics since 2020, and served as the Chair of the Finance Department from 2005 to 2007. In 2023, Professor Eberly was appointed as the Distinguished Senior Fellow at the Golub Center for Finance and Policy at MIT and the Sloan School. She is the past Vice President of the American Economics Association (2020-2021). Professor Eberly served as Assistant Secretary for Economic Policy at the United States Department of the Treasury from 2011 to 2013. Additionally, she serves as a Board Member of the Office of Finance of the Federal Home Loan Banks, and as a Director of Avant, LLC. Professor Eberly received a B.S. from the University of California at Davis and a Ph.D. from Massachusetts Institute of Technology.

Nancy A. Eckl. Ms. Eckl was Vice President of American Beacon Advisors, Inc., an investment management firm, and of the American Beacon Funds (open-end investment companies) from 1990 to 2006. Ms. Eckl also served as Vice President of certain other funds advised by American Beacon Advisors, Inc.. Ms. Eckl is an Independent Director and Audit Committee Chair of The Lazard Funds, Inc., Lazard Retirement Series, Inc. (both open-end investment companies), and Lazard Global Total Return and Income Fund, Inc. (a New York Stock Exchange listed closed-end fund). Ms. Eckl received a B.B.A. from the University of Notre Dame, and is licensed as a Certified Public Accountant in the State of Texas.

Howell E. Jackson. Professor Jackson has been James S. Reid, Jr., Professor of Law of Harvard Law School since 2004 and on the faculty since 1989. He is currently serving as a Special Adviser for the White House Council of Economic Advisers. He is a Director of Commonwealth, a non-profit organization that promotes financial innovations to enhance the opportunities and security of financially vulnerable people. Professor Jackson has a B.A. degree from Brown University and a joint J.D./M.B.A. from Harvard University.

Nicole Thorne Jenkins. Dean Jenkins has been the John A. Griffin Dean of the McIntire School of Commerce at the University of Virginia since 2020. She was previously the Vice Dean (2016-2020), Von Allmen Chaired Professor of Accountancy (2017-2020), and Associate Professor and EY Research Fellow (2012-2017) at Gatton College of Business and Economics

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at the University of Kentucky, as well as Treasurer and Director of the Montpelier Foundation.. She currently serves as a Trustee and Chair of the Audit & Finance Committee of the Strada Education Network. Dean Jenkins received a B.S. from Drexel University and a Ph.D. from the University of Iowa. She is a licensed Certified Public Accountant in the State of Maryland.

James M. Poterba. Professor Poterba has been President and CEO and a member of the Board of Directors of the National Bureau of Economic Research since 2008. He has been the Mitsui Professor of Economics at the Massachusetts Institute of Technology (“MIT”) since 1996, and an Affiliated Faculty Member of the Finance Group at the Alfred P. Sloan School of Management since 2014. Professor Poterba was the Head of the Economics Department from 2006 until 2008 at MIT, where he has taught since 1983. From 1994 to 2000 and 2001 to 2006 he was Associate Head of the Economics Department at MIT. He was the Director of the Public Economics Research Program at the National Bureau of Economic Research from 1990 to 2008. He is a member of the Congressional Budget Office Panel of Economic Advisers. Professor Poterba is a former Trustee of the Alfred P. Sloan Foundation. He holds an A.B. from Harvard College and an M.Phil. and a D.Phil. from Oxford University, where he was a Marshall Scholar.

***

Each of Mr. Berkley, Mr. Carrier, Prof. Eberly, Ms. Eckl, Prof. Jackson, Dean Jenkins and Prof. Poterba is expected to resign from the Board, effective as of December 31, 2021,2023, and therefore is not standing for election at the Meeting. If the Board consolidation is approved, each of these TC Board Members will resign from the TC Funds boards, but will continue to serve as members of the boards of CREF and VA-1. Relatedly, if elected to the consolidated board of the TC Funds and the Nuveen managed approximately $[__] trillionFunds, Mr. Boateng, Mr. Forrester, Mr. Kenny and Mr. Starr will resign from their positions on the boards of CREF and VA-1 as of December 31, 2023.

Risk Oversight

Day-to-day management of the various risks relating to the administration and operation of the Trust and the Funds is the responsibility of management, which includes professional risk management staff. The Board oversees this risk management function consistent with and as part of its oversight responsibility. The Board performs this risk management oversight directly and, as to certain matters, through its standing committees (which are described below) and, at times, through its use of non-standing committees. The following provides an overview of the principal, but not all, aspects of the Board’s oversight of risk management for the Trust and other TC Funds. The Board recognizes that it is not possible to identify all of the risks that may affect the Trust and the Funds or to develop procedures or controls that eliminate the Trust’s and the Funds’ exposure to all of these risks.

In general, a Fund’s risks include, among others, market risk, credit risk, derivatives risk, liquidity risk, valuation risk, operational risk, reputational risk, regulatory compliance risk and cyber security risk. The Board has adopted, and periodically reviews, policies and procedures designed to address certain (but not all) of these and other risks to the Trust and the Funds. In addition, under the general oversight of the Board, Advisors, the investment adviser and administrator for each Fund as well as the administrator of the Funds’ Liquidity Risk Program, and other service providers to the Funds have themselves adopted a variety of policies, procedures and controls designed to address particular risks to the Funds. Different processes, procedures and controls are employed with respect to different types of risks.

29


The Board, with advice of counsel to the Independent Board Members, also oversees risk management for the Trust and the Funds through receipt and review by the Board or its committee(s) of regular and special reports, presentations and other information from officers of the Trust and other persons, including from the Chief Risk Officer or other senior risk management personnel for Advisors and its affiliates. Senior officers of the Trust, senior officers of Advisors and its affiliates, and the Funds’ CCO regularly report to the Board and/or one or more of the Board’s committees on a range of matters, including those relating to risk management. The Board also regularly receives reports, presentations and other information from Advisors with respect to the investments and securities trading of the Funds. At least annually, the Board receives a report from the Funds’ CCO regarding the effectiveness of the Funds’ compliance program. Also, on an annual basis, the Board receives reports, presentations and other information from TIAA in connection with the Board’s consideration of the renewal of each of the Trust’s investment management agreements with Advisors and the Trust’s distribution plans under Rule 12b-1 under the 1940 Act. In addition, on an annual basis, Advisors, in its capacity as Liquidity Risk Program administrator pursuant to applicable SEC regulations, provides the Board with a written report that addresses the operation, adequacy and effectiveness of the Funds’ Liquidity Risk Program. The Board provides oversight of the Funds’ use of derivatives in accordance with Rule 18f-4 under the 1940 Act. As required by Rule 18f-4, with respect to each of the Funds that is not classified as a “limited derivatives user fund” (as defined in Rule 18f-4) or a Money Market Fund (each a “Full Compliance Fund”), the Trust has implemented a Derivatives Risk Management Program, which is reasonably designed to manage the Full Compliance Funds’ derivatives risks and to reasonably segregate the functions associated with the Program from the portfolio management of such Funds. The Board approved the designation of one or more Derivatives Risk Managers (each, a “DRM”), which are responsible for administering the Derivatives Risk Management Program for the Full Compliance Funds. To facilitate the Board’s oversight, the Board reviews, no less frequently than annually, a written report on the effectiveness of the Derivatives Risk Management Program and also more frequent reports regarding certain derivatives risk matters. With respect to each Fund that is classified as a limited derivatives user fund (each a “LDU Fund”), the Board oversees the Fund’s derivatives risks through, among other things, receiving written reports by a DRM regarding any LDU Fund’s exceedance of the derivatives exposure threshold set forth in Rule 18f-4. Additionally, as required by Rule 18f-4, the Trust has implemented written policies and procedures reasonably designed to manage the LDU Funds’ derivatives risks.

Officers of the Trust and officers and personnel of TIAA and its affiliates also report regularly to the Audit and Compliance Committee on the Trust’s internal controls over financial reporting and accounting and financial reporting policies and practices. The Funds’ CCO reports regularly to the Audit and Compliance Committee on compliance matters, and the TIAA Chief Auditor reports regularly to the Audit and Compliance Committee regarding internal audit matters. In addition, the Audit and Compliance Committee receives regular reports from the Trust’s independent registered public accounting firm on internal control and financial reporting matters.

The Operations Committee receives regular reports, presentations and other information from Trust officers and from Fund management personnel regarding valuation and certain other operational matters. In addition to regular reports, presentations and other information from Advisors and other TIAA personnel, the Operations Committee receives reports, presentations and other information regarding certain other service providers to the Trust, either directly or

30


through the Trust’s officers, Advisors personnel or other TIAA personnel, on a periodic or regular basis.

The Investment Committee regularly receives reports, presentations and other information from Advisors with respect to the investments, securities trading, portfolio liquidity, voting of proxies of the Funds’ portfolio companies, ESG criteria used by certain Funds and other portfolio management aspects of the Funds.

The Nominating and Governance Committee routinely monitors various aspects of the Board’s structure and oversight activities, including reviewing matters such as the workload of the Board, the balance of responsibilities delegated among the Board’s committees and the relevant skill sets of Board members. On an annual basis, the Nominating and Governance Committee reviews the independent status of each Board Member under the 1940 Act and the independent status of counsel to the Independent Board Members.

Note that the risk oversight process set forth above may change post-Board consolidation.

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The Officers

The following table sets forth information with respect to each officer of the Trust. Officers receive no compensation from the Funds. The officers are elected by the Board on an annual basis to serve until successors are elected and qualified. Certain officers of the Trust may be changed by the Board following the Board consolidation.

Name, Business Address
and Year of Birth
Position(s)
Held
with Funds
Length of
Time Served
with Funds
in the Fund
Complex(1)

Principal Occupation(s)

During Past Five Years

Number of
Portfolios in
Fund
Complex(1)
Served by
Officer

Richard S. Biegen

TIAA

730 Third Avenue

New York, NY 10017-3206

1962

Chief Compliance Officer

Term: Annual

Length of Service: Chief Compliance Officer since 2008

Senior Managing Director, TIAA. Chief Compliance Officer of the TIAA-CREF Fund Complex.88

Claire Borelli

TIAA

730 Third Avenue

New York, NY 10017-3206

1960

Executive Vice President

Term: Annual

Length of Service: Executive Vice President since 2023

Senior Executive Vice President, Chief People Officer of TIAA and Executive Vice President of the TIAA-CREF Fund Complex. Formerly, Senior Vice President, Chief Diversity & Talent Officer, TIAA. Prior to joining TIAA, Ms. Borelli served as Chief Human Resources Officer for the Consumer Bank and Wealth Management sectors of JPMorgan Chase & Co.88

Derek B. Dorn

TIAA

730 Third Avenue

New York, NY 10017-3206

1976

Senior Managing Director and Corporate Secretary

Term: Annual

Length of Service: Senior Managing Director and Corporate Secretary since 2020

Senior Managing Director and Corporate Secretary of TIAA and the TIAA-CREF Fund Complex. Formerly, Managing Director, Special Assistant to the CEO and Managing Director, Regulatory Affairs, TIAA. Prior to joining TIAA, Mr. Dorn served as a partner at Davis & Harman LLP and an adjunct professor of Law at Georgetown University Law Center.88

32


Name, Business Address
and Year of Birth
Position(s)
Held
with Funds
Length of
Time Served
with Funds
in the Fund
Complex(1)

Principal Occupation(s)

During Past Five Years

Number of
Portfolios in
Fund
Complex(1)
Served by
Officer

John L. Douglas

TIAA

730 Third Avenue

New York, NY 10017-3206

1950

Executive Vice President and Chief Legal, Risk and Compliance Officer

Term: Annual

Length of Service: Executive Vice President since 2021 and Chief Legal, Risk and Compliance Officer since 2022.

Senior Executive Vice President, Chief Legal, Risk and Compliance Officer of TIAA. Executive Vice President, Chief Legal, Risk and Compliance Officer of the TIAA-CREF Fund Complex. Formerly, Senior Executive Vice President, Senior Advisor to the CEO, and Senior Executive Vice President, Chief Advocacy & Oversight Officer, TIAA. Prior to joining TIAA, Mr. Douglas was a partner at Davis Polk & Wardwell LLP.88

W. Dave Dowrich

TIAA

730 Third Avenue

New York, NY 10017-3206

1967

Executive Vice President

Term: Annual

Length of Service: Executive Vice President since 2022.

Senior Executive Vice President and Chief Financial Officer of TIAA. Executive Vice President of the TIAA-CREF Fund Complex. Prior to joining TIAA, Mr. Dowrich served as Chief Financial Officer, International Businesses at Prudential Financial, Inc.88

33


Name, Business Address
and Year of Birth
Position(s)
Held
with Funds
Length of
Time Served
with Funds
in the Fund
Complex(1)

Principal Occupation(s)

During Past Five Years

Number of
Portfolios in
Fund
Complex(1)
Served by
Officer

Bradley Finkle

TIAA

730 Third Avenue

New York, NY 10017-3206

1973

Principal Executive Officer and President

Term: Annual

Length of Service: Principal Executive Officer and President since 2017.

Executive Vice President, Head of Complementary Businesses and Chief Administrative Officer of the Chief Operating Office, TIAA. Principal Executive Officer and President of the TIAA-CREF Funds and TIAA-CREF Life Funds. Formerly, Executive Vice President, Chief Operating Officer, Nuveen; President and Chief Executive Officer of CREF and TIAA Separate Account VA-1; and Senior Managing Director, Co-Head Nuveen Equities & Fixed Income and President of TIAA Investments.88

Jose Minaya

TIAA

730 Third Avenue

New York, NY 10017-3206

1971

Executive Vice President

Term: Annual

Length of Service: Executive Vice President since 2018.

Chief Executive Officer, Nuveen. Executive Vice President of the TIAA-CREF Fund Complex. Formerly, Executive Vice President, President and Chief Investment Officer, Nuveen; Executive Vice President, Chief Investment Officer and President, Nuveen Global Investments; and Senior Managing Director, President, Global Investments, TIAA.88

34


Name, Business Address
and Year of Birth
Position(s)
Held
with Funds
Length of
Time Served
with Funds
in the Fund
Complex(1)

Principal Occupation(s)

During Past Five Years

Number of
Portfolios in
Fund
Complex(1)
Served by
Officer

Colbert Narcisse

TIAA

730 Third Avenue

New York, NY 10017-3206

1965

Executive Vice President

Term: Annual

Length of Service: Executive Vice President since 2022.

Senior Executive Vice President, Chief Product and Business Development Officer of TIAA. President and Chief Executive Officer of CREF and TIAA Separate Account VA-1. Executive Vice President of TIAA-CREF Funds and TIAA-CREF Life Funds. Formerly, Executive Vice President and Head of Advisory and Corporate Solutions, TIAA. Prior to joining TIAA, Mr. Narcisse served as Managing Director and Head of International Wealth Management and Head of Traditional and Alternative Investment Products at Morgan Stanley.88

David G. Nason

TIAA

730 Third Avenue

New York, NY 10017-3206

1970

Executive Vice President

Term: Annual

Length of Service: Executive Vice President since 2020.

Senior Executive Vice President, Chief Operating Officer of TIAA. Executive Vice President of the TIAA-CREF Fund Complex. Formerly, Senior Executive Vice President, Chief Legal, Risk and Compliance Officer of TIAA. Executive Vice President, Chief Risk and Compliance Officer, TIAA. Prior to joining TIAA, Mr. Nason served as President and CEO of GE Energy Financial Services.88

35


Name, Business Address
and Year of Birth
Position(s)
Held
with Funds
Length of
Time Served
with Funds
in the Fund
Complex(1)

Principal Occupation(s)

During Past Five Years

Number of
Portfolios in
Fund
Complex(1)
Served by
Officer

E. Scott Wickerham

TIAA

730 Third Avenue

New York, NY 10017-3206

1973

Principal Financial Officer, Principal Accounting Officer and Treasurer

Term: Annual

Length of Service: Principal Financial Officer, Principal Accounting Officer and Treasurer since 2017.

Senior Managing Director, Head of Finance for Equities and Fixed Income, Nuveen. Principal Financial Officer, Principal Accounting Officer and Treasurer of the TIAA-CREF Fund Complex; and Vice President and Controller of the Nuveen Funds. Formerly, Senior Managing Director, Head, Public Investment Finance, Nuveen, and Managing Director, Head, TC Fund Administration, Nuveen.223

(1)

As used in this table, the Fund Complex consists of the Nuveen Funds and the TC Funds, as well as CREF and VA-1.

Independent Registered Public Accounting Firm

The Independent Board Members have unanimously selected PricewaterhouseCoopers LLP (“PwC”) as the independent registered public accounting firm to audit the books and records of each Fund for each such Fund’s current fiscal year. In making its selection, the Audit and Compliance Committee discussed with PwC issues involving relationships among PwC, TIAA, Nuveen, LLC, Nuveen Finance, LLC and the Trust, TCLF, CREF and VA-1, and their affiliates that could reasonably be thought to bear on PwC’s independence. PwC confirmed its independence to the Audit and Compliance Committee. As part of this process, the Audit and Compliance Committee considered that while PwC would also serve as the Independent Auditor for TIAA, Nuveen, LLC and Nuveen Finance, LLC, it relied upon PwC’s determination that this would not compromise its independence. The Audit and Compliance Committee considered that this arrangement would produce a more cost-effective audit.

PwC has informed each Fund that it has no direct or indirect material financial interest in the Funds, the Adviser or any other investment company sponsored by the Adviser or its affiliates.

A representative of PwC will be invited to be present at the Meeting if they so desire, and if present will have the opportunity to make a statement and/or answer questions if they desire to do so.

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Audit and Related Fees

The tables set forth in Appendix E provide the aggregate fees billed during each Fund’s last two fiscal years by each Fund’s independent registered public accounting firm for engagements directly related to the operations and financial reporting of each Fund including those relating (i) to each Fund for services provided to the Fund and (ii) to the Adviser and certain entities controlling, controlled by, or under common control with the Adviser that provide ongoing services to each Fund (“Adviser Entities”).

Audit Committee Pre-Approval Policies and Procedures

The Audit and Compliance Committee has adopted a Preapproval Policy for External Audit Firm Services (“Policy”). The Policy describes the types of services that may be provided by the Independent Auditor to the Trust without impairing the Independent Auditor’s independence. Under the Policy, the Audit and Compliance Committee (or its designated member) is required to preapprove certain services to be performed by the Trust’ Independent Auditor in an effort to ensure that such services do not impair the Independent Auditor’s independence.

The Policy requires the Audit and Compliance Committee to appoint the Independent Auditor to perform the financial statement audit for the Trust, including approving the terms of the engagement. The Policy also requires the Audit and Compliance Committee (or, with respect to non-audit services, its designated member) to preapprove the audit, audit-related and tax services to be provided by the Independent Auditor and the fees to be charged for provision of such services from year to year.

All services provided by the Independent Auditor for the Trust and certain non-audit services provided by the Independent Auditor to the Trust’s adviser or its affiliates for each of the two most recently ended fiscal years were preapproved by the Audit and Compliance Committee (or its designated member, as appropriate) pursuant to the Policy.

There were no amounts that were approved by the Audit and Compliance Committee pursuant to the de minimis exception under Rule 2-01(c)(7)(i)(c) of Regulation S-X.

Shareholder Approval

The affirmative vote of a plurality of the shares present and entitled to vote at the Meeting will be required to elect the Board Members. This means that the nominees receiving the highest number of affirmative votes cast at the Meeting will be elected to serve as Board Members. For purposes of determining the approval of the proposal to elect nominees for the Trust, withheld votes, abstentions and broker non-votes will have no effect on the election of Board Members.

The Board unanimously recommends that shareholders of each Fund vote FOR the election of each nominee of the Board.

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Additional Information

Attending the Meeting

The Meeting will be held in a virtual meeting format only. There is no physical location for the meeting. Shareholders may participate in the Meeting at meetnow.global/M599MNM by entering the control number found on the shareholder’s proxy card at the date and time of the Meeting. Shareholders may vote during the Meeting by following the instructions that will be available on the Meeting website during the Meeting.

If your shares are registered in your name, you do not need to register to attend the Meeting virtually on the Internet. If you hold your shares through an intermediary, such as a bank or broker, you must register in advance to attend the Meeting virtually on the Internet.

To register to attend the Meeting online by webcast, you must submit proof of your proxy power (legal proxy) reflecting your Fund holdings along with your name and email address to Computershare Fund Services. You must contact the bank or broker who holds your shares to obtain your legal proxy. Requests for registration must be labeled as “Legal Proxy” and be received no later than 5:00 p.m., Eastern Time, three business days prior to the Meeting date.

You will receive a confirmation of your registration by email after we receive your registration materials.

Requests for registration should be directed to us by emailing an image of your legal proxy to shareholdermeetings@computershare.com.

Principal Shareholders

As of the Record Date, the record owners of the specified Fund and class set forth on Appendix F held the share amounts and corresponding percentages indicated therein, which were owned either (i) beneficially by such persons or (ii) of record by such persons on behalf of customers who are the beneficial owners of such shares.

To the knowledge of the Funds, as of the Record Date, no shareholder owned, beneficially or of record, more than 5% of any class of shares of any Fund, except as provided in Appendix F.

Beneficial owners of 25% or more of a class of shares of a Fund are presumed to be in control of the class for purposes of voting on certain matters submitted to shareholders.

Information About the Adviser and Distributor

The Adviser

Teachers Advisors, LLC (“Teachers Advisors”) manages the assets of whichthe Trust, under the supervision of the Board. Teachers Advisors is an indirect wholly owned subsidiary of TIAA. Teachers Advisors is registered as an investment adviser with the SEC under the Investment Advisers Act of 1940. Teachers Advisors also manages the investments of TIAA Separate Account VA-1 and TIAA-CREF Life Funds. Through an affiliated investment adviser, TIAA-CREF Investment Management, LLC (“TCIM”), certain personnel of Teachers Advisors also manage the investment accounts of CREF. As of June 30, 2023, Teachers Advisors and TCIM together had approximately $[____]$361 billion was managed by the Adviser.of assets under management. Teachers Advisors is located at 730 Third Avenue, New York, NY 10017-3206.

38


The Distributor

Nuveen Securities, LLC, 333 West Wacker Drive, Chicago, Illinois 60606, serves as the distributor for the Fund’sFunds’ shares. The Distributor is a subsidiary of Nuveen and TIAA.

Shareholder communications with TrusteesProposals

The Trust generally does not hold annual shareholders’ meetings, but will hold special meetings as required or deemed desirable. Because the Trust does not hold regular shareholders’ meetings, the anticipated date of the next special shareholders’ meeting (if any) cannot be provided. Shareholders wishing to submit proposals for inclusion in a proxy statement for a subsequent meeting of shareholders of the Trust should send their written proposal to the Trust at 730 Third Avenue, New York, NY 10017-3206. Proposals must be received a reasonable time before the Trust begins to print and mail its proxy materials for the meeting.

Shareholder Communications

Letters or emails from shareholders addressed to the Board or individual TrusteesBoard Member may be sent to the TIAA-CREF Funds Trustees c/o Corporate Secretary, 730 Third Avenue, New York, NY 10017-3206 or via email to: trustees@tiaa.org. Certain communications will be forwarded to the Board’s Chairman and the Chairman of the Nominating and Governance Committee and, if directed to an individual Trustee, such Trustee,Chair in accordance with established policies concerning shareholderShareholder communications that have been approved by a majority of independent Trustees.

Independent Board Members.

10


Proposals for actionBoard Member Attendance at future Shareholder Meetings

Any proposals of persons with voting rights to be included in the proxy statement for the Trust’s next special meeting must be received by the Trust within a reasonable period of time prior to the meeting. The Trust is not required to and does not typically hold annual meetings of shareholders. There are no current plansShareholders. Consequently, the Trust does not have a policy with regard to hold another special meeting in 2022.a Board Member’s attendance at Shareholder meetings.

Expenses of Proxy Solicitation

The cost of preparing, printing and mailing the enclosed proxy, accompanying notice and proxy statementProxy Statement and all other costs in connection with the solicitation of proxies will be allocated topaid by the Fund. BecauseFunds (allocated among the Fund is operating above its expense cap, it is anticipatedFunds based on relative net assets). The expenses are included in the administrative expenses that are paid for from the Adviser will reimburse allnet assets of the direct expenses of the proxy solicitation that will allocated to the Fund, estimated to be approximately $[_____].Trust. Solicitation may be made by letter or telephone by officers or employees of Nuveen or the Adviser, or by dealers and their representatives. The Fund hasFunds have engaged Computershare Fund Services to assist in the solicitation of proxies. Anproxies and expect to pay an estimated costfee of $[____] plus$786,000 and reimburse Computershare Fund Services for its reasonable expenses in connection with its solicitation of proxies.

Fiscal Year

The fiscal year end of each Fund is expected for services provided by Computershare Fund Services.set forth on Appendix A.

39


Shareholder reportsReport Delivery

If you would like to see theEach Fund’s most recent TIAA-CREF Funds semiannualannual and semi-annual shareholder reports are available at the Funds’ website at tiaa.org. Each Fund will furnish, without charge, a copy of its annual reports, you can visitreport and/or semi-annual report as available upon request. Such requests should be directed to such Fund at tiaa.org. In addition, copies of each Fund’s most recent annual report and/or semi-annual report are available at the TIAA website at www.tiaa.org/prospectuses, or useby using our online request form to order print versions electronically. You can also call 800-842-2252 or write to the TIAA-CREF Funds at 730 Third Avenue, New York, New York 10017-3206, Attention: Imaging Services. These reports are furnished to shareholders without charge.

Please note that only one annual report, semi-annual report or proxy statement or notice of internet availability of proxy materials may be delivered to two or more shareholders of thea Fund who share an address, unless the Fund has received instructions to the contrary. To request a separate copy of an annual report, semi-annual report or proxy statement, or notice of internet availability of proxy materials, or for instructions as to how to request a separate copy of such documents or as to how to request a single copy if multiple copies of such documents are received, shareholders should contact the applicable Fund at the address and phone number set forth above.

Important Notice Regarding the Availability of Proxy Materials for the Shareholder Meeting To Be Held on November 20, 2023

This Proxy Statement, each Fund’s most recent annual report to shareholders, the form of proxy and the Notice of Special Meeting are available at https://www.tiaa.org/public/about-tiaa/corporate-governance-leadership/document-library. For more information, shareholders may also contact the applicable Fund at the address and phone number set forth above.

11


General

The AdviserManagement does not intend to present and does not have reason to believe that any other items of business will be presented at the Meeting. However, if other matters are properly presented to the Meeting for a vote, the proxies will be voted by the persons acting under the proxies upon such matters in accordance with their judgment of the best interests of the Fund.Funds.

A list of shareholders entitled to be present and to vote at the Meeting may be available for inspection by any shareholder to the extent required by applicable state law.

Failure of a quorum to be present at the Meeting will necessitate adjournment and may subject theyour Fund to additional expense. The persons named in the enclosed proxy may also move for and approve an adjournment of the Meeting to permit further solicitation of proxies with respect to any proposal if they determine that adjournment and further solicitation is reasonable and in the best interests of the Fund. AnyFunds. An adjournment of a meeting with respect to a matter requires the affirmative vote of shareholders may be postponed prior toa majority of the meeting byvotes cast on the Boardmatter. The persons named in the enclosed proxy card will vote in favor of any such adjournment if they believe the adjournment and will be communicated by announcement toadditional proxy solicitation are reasonable and in the best interests of shareholders.

IF YOU CANNOT BE PRESENT AT THE MEETING (VIRTUALLY), YOU ARE REQUESTED TO FILL IN, SIGN AND RETURN THE ENCLOSED PROXY PROMPTLY. NO POSTAGE IS REQUIRED IF MAILED IN THE UNITED STATES.

Derek B. Dorn

Senior Managing Director and Corporate Secretary

[___], 2021October 13, 2023

Important Notice Regarding

40


APPENDIX A

FUND INFORMATION

         Shares of Each Class Outstanding as of the Record Date
Fund Name  Abbreviated Fund Name  

Fiscal
Year

End

  

Institutional

Class

  

Premier

Class

  Retirement
Class
  

Advisor

Class

  

Retail

Class

  

Class W

TIAA-CREF Lifecycle 2010 Fund  Lifecycle 2010 Fund  5/31  56,581,215  3,702,287  20,070,487  15,236    
TIAA-CREF Lifecycle 2015 Fund  Lifecycle 2015 Fund  5/31  92,958,365  5,375,243  29,366,452  44,945    
TIAA-CREF Lifecycle 2020 Fund  Lifecycle 2020 Fund  5/31  207,642,252  11,819,256  51,178,674  77,881    
TIAA-CREF Lifecycle 2025 Fund  Lifecycle 2025 Fund  5/31  312,692,938  18,864,397  64,818,136  96,774    
TIAA-CREF Lifecycle 2030 Fund  Lifecycle 2030 Fund  5/31  363,080,881  21,743,792  66,136,022  66,192    
TIAA-CREF Lifecycle 2035 Fund  Lifecycle 2035 Fund  5/31  382,005,946  21,062,003  61,188,751  66,569    
TIAA-CREF Lifecycle 2040 Fund  Lifecycle 2040 Fund  5/31  456,975,698  23,670,772  67,840,395  43,062    
TIAA-CREF Lifecycle 2045 Fund  Lifecycle 2045 Fund  5/31  262,994,373  13,342,773  50,235,780  51,187    
TIAA-CREF Lifecycle 2050 Fund  Lifecycle 2050 Fund  5/31  201,713,996  9,209,820  35,132,606  28,967    
TIAA-CREF Lifecycle Index 2010 Fund  Lifecycle Index 2010 Fund  5/31  34,733,891  1,214,183  3,388,567  74,824    
TIAA-CREF Lifecycle Index Retirement Income Fund  Lifecycle Index Retirement Income Fund  5/31  41,919,265  225,471  2,386,768  158,113    
TIAA-CREF Lifecycle Index 2015 Fund  Lifecycle Index 2015 Fund  5/31  55,513,354  1,769,390  5,176,032  77,375    
TIAA-CREF Lifecycle Index 2020 Fund  Lifecycle Index 2020 Fund  5/31  151,463,435  4,359,405  11,356,137  562,883    
TIAA-CREF Lifecycle Index 2025 Fund  Lifecycle Index 2025 Fund  5/31  253,162,367  6,148,685  19,690,999  1,059,270    
TIAA-CREF Money Market Fund  Money Market Fund  3/31  1,008,128,219  40,065,894  613,680,096  37,278,831  298,641,521  
TIAA-CREF 5-15 Year Laddered Tax-Exempt Bond Fund  5-15 Year Laddered Tax-Exempt Bond Fund  3/31  872,832      33,672  23,283,280  
TIAA-CREF Green Bond Fund  Green Bond Fund  3/31  8,632,614  100,000  1,510,984  3,844,360  799,462  
TIAA-CREF Lifecycle Index 2030 Fund  Lifecycle Index 2030 Fund  5/31  299,482,160  7,261,601  20,557,462  1,500,304    
TIAA-CREF Lifecycle Index 2035 Fund  Lifecycle Index 2035 Fund  5/31  283,290,912  7,572,430  17,595,960  1,083,118    
TIAA-CREF Lifecycle Index 2040 Fund  Lifecycle Index 2040 Fund  5/31  276,075,960  7,494,754  15,642,106  1,019,732    
TIAA-CREF Lifecycle Index 2045 Fund  Lifecycle Index 2045 Fund  5/31  217,128,208  4,326,775  12,186,696  937,025    
TIAA-CREF Lifecycle Index 2050 Fund  Lifecycle Index 2050 Fund  5/31  179,405,587  3,359,793  10,214,601  709,910    
TIAA-CREF Lifecycle Index 2055 Fund  Lifecycle Index 2055 Fund  5/31  129,701,713  1,910,423  6,883,765  747,370    
TIAA-CREF Lifecycle 2055 Fund  Lifecycle 2055 Fund  5/31  83,112,588  3,852,538  13,925,184  26,229    
TIAA-CREF Lifestyle Aggressive Growth Fund  Lifestyle Aggressive Growth Fund  5/31  3,239,182  20,200  3,164,582  296,008  6,358,344  
TIAA-CREF Lifestyle Conservative Fund  Lifestyle Conservative Fund  5/31  4,505,621  21,687  4,108,198  284,934  17,169,108  
TIAA-CREF Lifestyle Growth Fund  Lifestyle Growth Fund  5/31  2,823,970  20,596  3,433,505  262,848  12,077,611  
TIAA-CREF Lifestyle Income Fund  Lifestyle Income Fund  5/31  1,216,536  36,837  1,567,827  10,249  4,513,947  
TIAA-CREF Lifestyle Moderate Fund  Lifestyle Moderate Fund  5/31  5,950,554  20,000  8,204,325  589,940  25,622,142  
TIAA-CREF Lifecycle 2060 Fund  Lifecycle 2060 Fund  5/31  37,395,499  1,312,087  5,835,528  34,264    
TIAA-CREF Lifecycle Index 2060 Fund  Lifecycle Index 2060 Fund  5/31  87,935,641  1,416,786  4,305,882  634,445    
TIAA-CREF Short-Term Bond Fund  Short-Term Bond Fund  3/31  54,30,291  334,386  19,672,008  19,211,155  11,708,687  88,484,179

A-1


         Shares of Each Class Outstanding as of the Record Date
Fund Name  Abbreviated Fund Name  

Fiscal
Year

End

  

Institutional

Class

  

Premier

Class

  Retirement
Class
  

Advisor

Class

  

Retail

Class

  

Class W

TIAA-CREF Bond Index Fund  Bond Index Fund  3/31  994,883,893  2,502,697  52,471,793  2,686,458  2,832,140  1,228,747,544
TIAA-CREF Short Duration Impact Bond Fund  Short Duration Impact Bond Fund  3/31  6,487,363  100,000  656,914  193,803  333,102  
TIAA-CREF Lifecycle 2065 Fund  Lifecycle 2065 Fund  5/31  3,742,610  202,586  858,057  52,891    
TIAA-CREF Lifecycle Index 2065 Fund  Lifecycle Index 2065 Fund  5/31  15,251,297  185,298  531,973  237,482    
TIAA-CREF Equity Index Fund  Equity Index Fund  10/31  414,329,908  1,396,099  21,550,975  405,346  42,346,166  729,360,996
TIAA-CREF S&P 500 Index Fund  S&P 500 Index Fund  10/31  121,569,911    45,419,231  2,911,403    
TIAA-CREF Small-Cap Blend Index Fund  Small-Cap Blend Index Fund  10/31  118,738,500    30,043,557  577,824    
TIAA-CREF International Equity Index Fund  International Equity Index Fund  10/31  488,917,972  6,700,204  58,985,585  24,076,620    407,201,722
TIAA-CREF Growth & Income Fund  Growth & Income Fund  10/31  95,099,256  382,621  28,228,676  257,338  62,928,578  141,802,125
TIAA-CREF Social Choice Equity Fund  Social Choice Equity Fund  10/31  174,852,634  1,663,072  30,558,002  1,895,960  27,526,567  
TIAA-CREF International Equity Fund  International Equity Fund  10/31  201,574,803  3,056,926  25,721,658  169,592  30,018,959  268,039,644
TIAA-CREF Large-Cap Value Fund  Large-Cap Value Fund  10/31  94,173,485  1,516,080  25,351,124  30,648  7,604,630  105,885,482
TIAA-CREF Mid-Cap Growth Fund  Mid-Cap Growth Fund  10/31  29,374,243  800,302  15,991,844  10,402  10,020,680  
TIAA-CREF Mid-Cap Value Fund  Mid-Cap Value Fund  10/31  65,361,433  1,749,520  27,366,606  26,923  12,615,117  
TIAA-CREF Quant Small-Cap Equity Fund  Quant Small-Cap Equity Fund  10/31  98,014,425  1,818,967  23,289,140  53,042  8,424,710  31,349376
TIAA-CREF Large-Cap Growth Index Fund  Large-Cap Growth Index Fund  10/31  209,353,262    18,917,649  3,708,602    
TIAA-CREF High-Yield Fund  High-Yield Fund  3/31  142,020,051  1,803,531  25,457,533  606,920  24,522,787  44,441,583
TIAA-CREF Core Impact Bond Fund  Core Impact Bond Fund  3/31  506,619,740  1,314,024  26,759,158  115,753,318  679,290,774  
TIAA-CREF Lifecycle Retirement Income Fund  Lifecycle Retirement Income Fund  5/31  16,146,324  1,033,154  12,448,826  29,824  11,656,767  
TIAA-CREF Large-Cap Value Index Fund  Large-Cap Value Index Fund  10/31  308,455,884    60,028,810  4,539,388    
TIAA-CREF Large-Cap Growth Fund  Large-Cap Growth Fund  10/31  68,069,545  361,832  16,710,963  175,364  54,424,987  114,836,544
TIAA-CREF Emerging Markets Equity Fund  Emerging Markets Equity Fund  10/31  27,148,207  623,640  8,580,902  13,982  914,372  173,224,662
TIAA-CREF Emerging Markets Equity Index Fund  Emerging Markets Equity Index Fund  10/31  107,201,379  920,067  58,455,585  439,622  1,739,861  395,106,809
TIAA-CREF International Opportunities Fund  International Opportunities Fund  10/31  9,912,458  190,681  6,401,163  2,470,789  2,729,815  146,997,285
TIAA-CREF Emerging Markets Debt Fund  Emerging Markets Debt Fund  10/31  10,295,200  25,473  2,135,818  1,360,422  1,551,797  44,454,826
TIAA-CREF Social Choice International Equity Fund  Social Choice International Equity Fund  10/31  61,271,879  70,182  54,475,498  1,022,251  2,472,451  
TIAA-CREF Social Choice Low Carbon Equity Fund  Social Choice Low Carbon Equity Fund  10/31  26,006,767  299,423  33,944,525  273,219  3,326,459  
TIAA-CREF International Bond Fund  International Bond Fund  10/31  88,741  10,285  574,450  135,420  184,963  46,920,615
TIAA-CREF Quant Small/Mid-Cap Equity Fund  Quant Small/Mid-Cap Equity Fund  10/31  6,489,480  10,000  28,027,074  2,361,250  1,638,604  47,367,242
TIAA-CREF Quant International Small-Cap Equity Fund  Quant International
Small-Cap Equity Fund
  10/31  6,836,550  7,326  773,935  8,383  93,194  109,690,497
TIAA-CREF Real Estate Securities Fund  Real Estate Securities Fund  3/31  119,405,474  1,473,106  29,654,297  4,289,501  20,312,217  
TIAA-CREF Core Bond Fund  Core Bond Fund  3/31  547,923,543  362,838  13,576,998  73,003,865  8,098,988  435,222,932
TIAA-CREF Inflation-Linked Bond Fund  Inflation-Linked Bond Fund  3/31  54,938,161  140,538  12,291,016  7,686,570  12,192,093  183,650,069
TIAA-CREF Core Plus Bond Fund  Core Plus Bond Fund  3/31  164,605,580  363,769  31,441,194  9,341,476  25,174,872  269,175,433
TIAA-CREF Short-Term Bond Index Fund  Short-Term Bond Index Fund  3/31  7,720,232  52,650  56,121,570  60,532  261,048  113,253,658
TIAA-CREF Managed Allocation Fund  Managed Allocation Fund  5/31  1,599,494    6,119,987    66,096,519  

A-2


APPENDIX B

SHARE OWNERSHIP

Dollar Range of Equity Securities By Board Members and Nominees

The following table lists the Availabilitydollar range of Proxy Materialsequity securities beneficially owned by each Board Member and nominee in each Fund and in all funds in the Family of Investment Companies overseen or to be overseen by the Board Member or nominee as of December 31, 2022. The information set forth below includes share equivalents of certain funds in which the Board Member or nominee is deemed to be invested pursuant to deferred compensation arrangements applicable to such Board Member or nominee.

   CURRENT BOARD MEMBERS NOMINEES
Fund Berkley Boateng Carrier Eberly Eckl Forrester Jackson Jenkins Kenny Poterba Starr Lancellotta Medero Moschner Nelson Thornton Toth Wolff Young
Lifecycle 2010 Fund $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0
Lifecycle 2015 Fund $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0
Lifecycle 2020 Fund Over
$100,000
 $0 $0 $0 $0 $0 $50,001-$100,000 $0 $0 Over
$100,000
 $0 $0 $0 $0 $0 $0 $0 $0 $0
Lifecycle 2025 Fund $0 Over
$100,000
 $0 Over
$100,000
 $0 $0 $0 $0 Over
$100,000
 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0
Lifecycle 2030 Fund $0 $0 $0 $0 $0 $0 Over
$100,000
 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0
Lifecycle 2035 Fund $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0
Lifecycle 2040 Fund $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0
Lifecycle 2045 Fund $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0
Lifecycle 2050 Fund $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0
Lifecycle Index 2010 Fund $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0
Lifecycle Index Retirement Income Fund $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0
Lifecycle Index 2015 Fund $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0
Lifecycle Index 2020 Fund $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0
Lifecycle Index 2025 Fund $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0

B-1


   CURRENT BOARD MEMBERS NOMINEES
Fund Berkley Boateng Carrier Eberly Eckl Forrester Jackson Jenkins Kenny Poterba Starr Lancellotta Medero Moschner Nelson Thornton Toth Wolff Young
Money Market Fund $0 $0 $0 $0 Over
$100,000
 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0
5-15 Year Laddered Tax-Exempt Bond Fund $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0
Green Bond Fund $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0
Lifecycle Index 2030 Fund $0 $0 $0 $0 $0 $0 Over
$100,000
 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0
Lifecycle Index 2035 Fund $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0
Lifecycle Index 2040 Fund $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0
Lifecycle Index 2045 Fund $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0
Lifecycle Index 2050 Fund $0 $0 $0 $0 $0 Over
$100,000
 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0
Lifecycle Index 2055 Fund $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0
Lifecycle 2055 Fund $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0
Lifestyle Aggressive Growth Fund $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0
Lifestyle Conservative Fund $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0
Lifestyle Growth Fund $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0
Lifestyle Income Fund $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0
Lifestyle Moderate Fund $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0
Lifecycle 2060 Fund $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0
Lifecycle Index 2060 Fund $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0
Short-Term Bond Fund $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0
Bond Index Fund $0 $0 $0 $0 $0 $0 $50,001-$100,000 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0
Short Duration Impact Bond Fund $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0
Lifecycle 2065 Fund $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0
Lifecycle 2065 Fund $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0

B-2


   CURRENT BOARD MEMBERS NOMINEES
Fund Berkley Boateng Carrier Eberly Eckl Forrester Jackson Jenkins Kenny Poterba Starr Lancellotta Medero Moschner Nelson Thornton Toth Wolff Young
Equity Index Fund $0 $0 $0 $0 $10,001-$50,000 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0
S&P 500 Index Fund $0 $0 $0 $0 $0 $0 $10,001-$50,000 $0 $0 Over
$100,000
 $0 $0 $0 $0 $0 $0 $0 $0 $0
Small-Cap Blend Index Fund $0 $0 $0 $0 Over
$100,000
 $0 $1-$10,000 $0 Over
$100,000
 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0
International Equity Index Fund Over
$100,000
 $0 $0 $0 $10,000-$50,000 $0 $10,001-$50,000 $0 Over
$100,000
 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0
Growth & Income Fund $0 $0 $0 $0 Over
$100,000
 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0
Social Choice Equity Fund $0 $0 $0 $0 $50,001-$100,000 $0 $0 $0 Over
$100,000
 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0
International Equity Fund Over
$100,000
 $0 $0 $0 Over
$100,000
 $0 $0 $0 Over
$100,000
 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0
Large-Cap Value Fund $0 $0 $0 $0 Over
$100,000
 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0
Mid-Cap Growth Fund $0 $0 $0 $0 $0 $0 $0 $0 Over
$100,000
 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0
Mid-Cap Value Fund $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0
Quant Small-Cap Equity Fund $0 $0 $0 $0 $10,001-$50,000 $0 $0 $0 $50,001-$100,000 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0
Large-Cap Growth Index Fund Over
$100,000
 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0
High-Yield Fund $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0
Core Impact Bond Fund $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0
Lifecycle Retirement Income Fund $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0
Large-Cap Value Index Fund $0 $0 $0 $0 $10,001-$50,000 $0 $0 $0 Over
$100,000
 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0
Large-Cap Growth Fund $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0
Emerging Markets Equity Fund $0 $10,001-$50,000 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0
Emerging Markets Equity Index Fund $0 $0 $0 $0 Over
$100,000
 $0 $1-$10,000 $0 Over
$100,000
 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0
International Opportunities Fund $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0
Emerging Markets Debt Fund $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0

B-3


   CURRENT BOARD MEMBERS NOMINEES
Fund Berkley Boateng Carrier Eberly Eckl Forrester Jackson Jenkins Kenny Poterba Starr Lancellotta Medero Moschner Nelson Thornton Toth Wolff Young
Social Choice International Equity Fund $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0
Social Choice Low Carbon Equity Fund $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0
International Bond Fund $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0
Quant Small/Mid-Cap Equity Fund $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0
Quant International Small-Cap Equity Fund $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0
Real Estate Securities Fund $0 $10,001-$50,000 $0 $0 $1-$10,000 $0 $1-$10,000 $0 Over
$100,000
 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0
Core Bond Fund $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0
Inflation-Linked Bond Fund $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0
Core Plus Bond Fund $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0
Short-Term Bond Index Fund $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0
Managed Allocation Fund $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0
Aggregate Range of Equity Securities in All Registered Investment Companies Overseen by Board Member or Nominee in Family of Investment Companies(1) Over
$100,000(2)
 Over
$100,000(2)
 $0 Over
$100,000(2)
 Over
$100,000(2)
 Over
$100,000(2)
 Over
$100,000(2)
 $0 Over
$100,000(2)
 Over
$100,000(2)
 $10,001-$50,000(2)
 $50,001-$100,000 Over
$100,000
 Over
$100,000
 Over
$100,000
 Over
$100,000
 Over
$100,000
 Over
$100,000
 Over
$100,000

(1)

As used in this table, the Family of Investment Companies includes the Nuveen Funds and the TC Funds, as well as CREF and VA-1.

(2)

Includes notional amounts allocated under both the long-term compensation plan and optional deferred compensation plan.

B-4


The table below presents information on Trustees and Nominees who own securities in companies (other than investment companies) that are advised by entities that are under common control with the Funds’ investment adviser(s) as of December 31, 2022:

      
Name of Trustee/Nominee Name of
Owners/Relationships
to Trustee/Nominee
 Companies(2) Title of
Class
 Value of
Securities(3)
  

Percent of

Class(4)

 

Thomas J. Kenny

 Thomas Joseph Kenny 2021 Trust (Mr. Kenny is Initial Trustee and Settlor.) Global Timber Resources LLC None $61,063   0.01
 KSHFO, LLC(1) Global Timber Resources Investor Fund, LP None $3,593   0.39
  KSHFO, LLC(1) Global Agriculture II Investor Fund LP None $9,448   0.67

(1)

Mr. Kenny owns 6.6% of KSHFO, LLC.

(2)

The investment advisers to the Funds, as well as the investment advisers to these Companies, are indirectly commonly controlled by Nuveen, LLC.

(3)

These amounts reflect the current value of holdings as of December 31, 2022.

(4)

These percentages reflect the overall amount committed to invest in the Companies, not current ownership percentages.

B-5


APPENDIX C

BOARD MEMBER COMPENSATION

Aggregate Compensation from the Funds

The following table sets forth, for each Board Member and nominee, the aggregate compensation paid by each Fund to each Board Member and nominee for its last fiscal year and the aggregate compensation paid by all funds in the Fund Complex to each Board Member and nominee for the Shareholder Meetingcalendar year ended December 31, 2022.(1)

   CURRENT BOARD MEMBERS NOMINEES FORMER
TRUSTEES

Fund

 Berkley Boateng Carrier(2) Eberly Eckl Forrester Jackson Jenkins(2) Kenny Poterba Starr(3) Lancellotta Medero Moschner Nelson Thornton Toth Wolff Young Sloan(4) Starks(5)
Lifecycle 2010 Fund $368 $439 N/A $411 $414 $449 $368 N/A $560 $414 $300 N/A N/A N/A N/A N/A N/A N/A N/A $95 N/A
Lifecycle 2015 Fund $844 $1,005 N/A $942 $950 $1,027 $844 N/A $1,284 $950 $710 N/A N/A N/A N/A N/A N/A N/A N/A $198 N/A
Lifecycle 2020 Fund $24 $28 N/A $26 $26 $29 $24 N/A $36 $26 $20 N/A N/A N/A N/A N/A N/A N/A N/A $5 N/A
Lifecycle 2025 Fund $58 $69 N/A $65 $66 $71 $58 N/A $89 $66 $53 N/A N/A N/A N/A N/A N/A N/A N/A $11 N/A
Lifecycle 2030 Fund $68 $82 N/A $77 $77 $84 $68 N/A $104 $77 $54 N/A N/A N/A N/A N/A N/A N/A N/A $20 N/A
Lifecycle 2035 Fund $256 $307 N/A $287 $289 $313 $256 N/A $391 $289 $202 N/A N/A N/A N/A N/A N/A N/A N/A $73 N/A
Lifecycle 2040 Fund $426 $510 N/A $478 $480 $521 $426 N/A $650 $480 $337 N/A N/A N/A N/A N/A N/A N/A N/A $120 N/A
Lifecycle 2045 Fund $225 $269 N/A $252 $253 $274 $225 N/A $343 $253 $178 N/A N/A N/A N/A N/A N/A N/A N/A $63 N/A
Lifecycle 2050 Fund $167 $200 N/A $187 $188 $204 $167 N/A $255 $188 $133 N/A N/A N/A N/A N/A N/A N/A N/A $46 N/A
Lifecycle Index 2010 Fund $504 $601 N/A $564 $567 $614 $504 N/A $767 $567 $408 N/A N/A N/A N/A N/A N/A N/A N/A $133 N/A
Lifecycle Index Retirement Income Fund $477 $570 N/A $534 $537 $582 $477 N/A $728 $537 $382 N/A N/A N/A N/A N/A N/A N/A N/A $130 N/A
Lifecycle Index 2015 Fund $850 $1,016 N/A $952 $957 $1,038 $850 N/A $1,296 $957 $676 N/A N/A N/A N/A N/A N/A N/A N/A $236 N/A
Lifecycle Index 2020 Fund $2,395 $2,863 N/A $2,683 $2,698 $2,925 $2,395 N/A $3,652 $2,698 $1,909 N/A N/A N/A N/A N/A N/A N/A N/A $660 N/A
Lifecycle Index 2025 Fund $4,112 $4,913 N/A $4,603 $4,633 $5,019 $4,112 N/A $6,269 $4,633 $3,313 N/A N/A N/A N/A N/A N/A N/A N/A $1,101 N/A
Money Market Fund $1,236 $1,431 N/A $1,358 $1,393 $1,483 $1,236 N/A $1,842 $1,393 $714 N/A N/A N/A N/A N/A N/A N/A N/A $609 N/A
5-15 Year Laddered Tax-Exempt Bond Fund $202 $233 N/A $222 $228 $242 $202 N/A $300 $228 $106 N/A N/A N/A N/A N/A N/A N/A N/A $110 N/A
Green Bond Fund $93 $108 N/A $102 $105 $112 $93 N/A $139 $105 $60 N/A N/A N/A N/A N/A N/A N/A N/A $40 N/A
Lifecycle Index 2030 Fund $4,975 $5,941 N/A $5,567 $5,605 $6,069 $4,975 N/A $7,583 $5,605 $4,038 N/A N/A N/A N/A N/A N/A N/A N/A $1,305 N/A
Lifecycle Index 2035 Fund $4,853 $5,793 N/A $5,429 $5,467 $5,919 $4,853 N/A $7,396 $5,467 $3,950 N/A N/A N/A N/A N/A N/A N/A N/A $1,262 N/A
Lifecycle Index 2040 Fund $4,997 $5,966 N/A $5,591 $5,630 $6,095 $4,997 N/A $7,616 $5,630 $4,071 N/A N/A N/A N/A N/A N/A N/A N/A $1,297 N/A
Lifecycle Index 2045 Fund $3,851 $4,596 N/A $4,307 $4,338 $4,696 $3,851 N/A $5,868 $4,338 $3,150 N/A N/A N/A N/A N/A N/A N/A N/A $987 N/A
Lifecycle Index 2050 Fund $3,200 $3,819 N/A $3,579 $3,605 $3,902 $3,200 N/A $4,877 $3,605 $2,623 N/A N/A N/A N/A N/A N/A N/A N/A $816 N/A
Lifecycle Index 2055 Fund $1,739 $2,075 N/A $1,944 $1,960 $2,120 $1,739 N/A $2,650 $1,960 $1,440 N/A N/A N/A N/A N/A N/A N/A N/A $430 N/A
Lifecycle 2055 Fund $1,100 $1,314 N/A $1,231 $1,239 $1,342 $1,100 N/A $1,676 $1,239 $883 N/A N/A N/A N/A N/A N/A N/A N/A $297 N/A
Lifestyle Aggressive Growth Fund $3,149 $3,766 N/A $3,530 $3,548 $3,848 $3,149 N/A $4,803 $3,548 $2,492 N/A N/A N/A N/A N/A N/A N/A N/A $885 N/A
Lifestyle Conservative Fund $3,803 $4,552 N/A $4,265 $4,285 $4,650 $3,803 N/A $5,803 $4,285 $2,982 N/A N/A N/A N/A N/A N/A N/A N/A $1,095 N/A
Lifestyle Growth Fund $4,649 $5,561 N/A $5,212 $5,237 $5,681 $4,649 N/A $7,092 $5,237 $3,661 N/A N/A N/A N/A N/A N/A N/A N/A $1,322 N/A
Lifestyle Income Fund $3,435 $4,112 N/A $3,853 $3,870 $4,200 $3,435 N/A $5,242 $3,870 $2,680 N/A N/A N/A N/A N/A N/A N/A N/A $1,000 N/A
Lifestyle Moderate Fund $3,913 $4,682 N/A $4,388 $4,408 $4,783 $3,913 N/A $5,970 $4,408 $3,069 N/A N/A N/A N/A N/A N/A N/A N/A $1,125 N/A
Lifecycle 2060 Fund $674 $805 N/A $755 $759 $823 $674 N/A $1,027 $759 $535 N/A N/A N/A N/A N/A N/A N/A N/A $188 N/A
Lifecycle Index 2060 Fund $755 $904 N/A $847 $851 $924 $755 N/A $1,153 $851 $587 N/A N/A N/A N/A N/A N/A N/A N/A $222 N/A
Short-Term Bond Fund $1,521 $1,758 N/A $1,670 $1,713 $1,824 $1,521 N/A $2,263 $1,713 $810 N/A N/A N/A N/A N/A N/A N/A N/A $814 N/A
Bond Index Fund $16,005 $18,494 N/A $17,572 $18,031 $19,188 $16,005 N/A $23,804 $18,031 $8,581 N/A N/A N/A N/A N/A N/A N/A N/A $8,520 N/A
Short Duration Impact Bond Fund $42 $49��N/A $46 $47 $50 $42 N/A $62 $47 $27 N/A N/A N/A N/A N/A N/A N/A N/A $18 N/A

C-1


   CURRENT BOARD MEMBERS NOMINEES FORMER
TRUSTEES

Fund

 Berkley Boateng Carrier(2) Eberly Eckl Forrester Jackson Jenkins(2) Kenny Poterba Starr(3) Lancellotta Medero Moschner Nelson Thornton Toth Wolff Young Sloan(4) Starks(5)
Lifecycle 2065 Fund $1,071 $1,282 N/A $1,202 $1,206 $1,310 $1,071 N/A $1,634 $1,206 $833 N/A N/A N/A N/A N/A N/A N/A N/A $314 N/A
Lifecycle Index 2065 Fund $2,356 $2,821 N/A $2,644 $2,655 $2,882 $2,356 N/A $3,596 $2,655 $1,836 N/A N/A N/A N/A N/A N/A N/A N/A $688 N/A
Equity Index Fund $25,327 $28,193 N/A $27,207 $28,533 $29,772 $25,327 N/A $36,654 $28,533 $6,652 N/A N/A N/A N/A N/A N/A N/A N/A $20,291 $336
S&P 500 Index Fund $5,607 $6,212 N/A $6,004 $6,316 $6,572 $5,607 N/A $8,091 $6,316 $1,397 N/A N/A N/A N/A N/A N/A N/A N/A $4,570 $83
Small-Cap Blend Index Fund $2,839 $3,142 N/A $3,038 $3,199 $3,326 $2,839 N/A $4,094 $3,199 $683 N/A N/A N/A N/A N/A N/A N/A N/A $2,338 $42
International Equity Index Fund $13,210 $14,705 N/A $14,193 $14,883 $15,531 $13,210 N/A $19,121 $14,883 $3,381 N/A N/A N/A N/A N/A N/A N/A N/A $10,667 $181
Growth & Income Fund $4,432 $4,906 N/A $4,744 $4,993 $5,193 $4,432 N/A $6,393 $4,993 $1,054 N/A N/A N/A N/A N/A N/A N/A N/A $3,660 $65
Social Choice Equity Fund $5,091 $5,649 N/A $5,458 $5,736 $5,974 $5,091 N/A $7,355 $5,736 $1,251 N/A N/A N/A N/A N/A N/A N/A N/A $4,164 $73
International Equity Fund $4,407 $4,895 N/A $4,728 $4,965 $5,174 $4,407 N/A $6,370 $4,965 $1,099 N/A N/A N/A N/A N/A N/A N/A N/A $3,588 $63
Large-Cap Value Fund $3,836 $4,272 N/A $4,123 $4,322 $4,511 $3,836 N/A $5,554 $4,322 $979 N/A N/A N/A N/A N/A N/A N/A N/A $3,100 $51
Mid-Cap Growth Fund $1,042 $1,145 N/A $1,110 $1,174 $1,216 $1,042 N/A $1,496 $1,174 $230 N/A N/A N/A N/A N/A N/A N/A N/A $880 $17
Mid-Cap Value Fund $1,472 $1,635 N/A $1,579 $1,659 $1,728 $1,472 N/A $2,128 $1,659 $368 N/A N/A N/A N/A N/A N/A N/A N/A $1,199 $21
Quant Small-Cap Equity Fund $2,065 $2,295 N/A $2,216 $2,326 $2,425 $2,065 N/A $2,986 $2,326 $536 N/A N/A N/A N/A N/A N/A N/A N/A $1,660 $28
Large-Cap Growth Index Fund $7,363 $8,178 N/A $7,897 $8,295 $8,643 $7,363 N/A $10,641 $8,295 $1,895 N/A N/A N/A N/A N/A N/A N/A N/A $5,940 $105
High-Yield Fund $2,141 $2,463 N/A $2,344 $2,412 $2,560 $2,141 N/A $3,175 $2,412 $1,107 N/A N/A N/A N/A N/A N/A N/A N/A $1,182 N/A
Core Impact Bond Fund $5,024 $5,797 N/A $5,513 $5,659 $6,020 $5,024 N/A $7,465 $5,660 $2,602 N/A N/A N/A N/A N/A N/A N/A N/A $2,762 N/A
Lifecycle Retirement Income Fund $391 $468 N/A $438 $440 $478 $391 N/A $596 $440 $306 N/A N/A N/A N/A N/A N/A N/A N/A $113 N/A
Large-Cap Value Index Fund $6,390 $7,110 N/A $6,864 $7,199 $7,511 $6,390 N/A $9,247 $7,199 $1,621 N/A N/A N/A N/A N/A N/A N/A N/A $5,174 $85
Large-Cap Growth Fund $4,282 $4,725 N/A $4,574 $4,824 $5,007 $4,282 N/A $6,164 $4,824 $995 N/A N/A N/A N/A N/A N/A N/A N/A $3,562 $66
Emerging Markets Equity Fund $1,102 $1,223 N/A $1,181 $1,242 $1,293 $1,102 N/A $1,592 $1,242 $279 N/A N/A N/A N/A N/A N/A N/A N/A $894 $16
Emerging Markets Equity Index Fund $3,781 $4,217 N/A $4,068 $4,260 $4,451 $3,781 N/A $5,480 $4,260 $997 N/A N/A N/A N/A N/A N/A N/A N/A $3,024 $50
International Opportunities Fund $1,616 $1,791 N/A $1,731 $1,820 $1,895 $1,616 N/A $2,333 $1,820 $390 N/A N/A N/A N/A N/A N/A N/A N/A $1,329 $23
Emerging Markets Debt Fund $416 $465 N/A $448 $468 $490 $416 N/A $603 $468 $114 N/A N/A N/A N/A N/A N/A N/A N/A $328 $5
Social Choice International Equity Fund $809 $908 N/A $874 $912 $956 $809 N/A $1,177 $912 $230 N/A N/A N/A N/A N/A N/A N/A N/A $630 $9
Social Choice Low Carbon Equity Fund $803 $896 N/A $864 $904 $945 $803 N/A $1,163 $904 $217 N/A N/A N/A N/A N/A N/A N/A N/A $637 $10
International Bond Fund $348 $386 N/A $373 $392 $408 $348 N/A $503 $392 $85 N/A N/A N/A N/A N/A N/A N/A N/A $285 $5
Quant Small/Mid-Cap Equity Fund $816 $911 N/A $877 $919 $960 $816 N/A $1,182 $919 $244 N/A N/A N/A N/A N/A N/A N/A N/A $625 $10
Quant International Small-Cap Equity Fund $1,019 $1,130 N/A $1,092 $1,148 $1,196 $1,019 N/A $1,472 $1,148 $247 N/A N/A N/A N/A N/A N/A N/A N/A $837 $15
Real Estate Securities Fund $2,793 $3,212 N/A $3,058 $3,147 $3,340 $2,793 N/A $4,141 $3,147 $1,387 N/A N/A N/A N/A N/A N/A N/A N/A $1,595 N/A
Core Bond Fund $7,749 $8,949 N/A $8,507 $8,730 $9,289 $7,749 N/A $11,520 $8,730 $4,049 N/A N/A N/A N/A N/A N/A N/A N/A $4,226 N/A
Inflation-Linked Bond Fund $2,328 $2,681 N/A $2,551 $2,622 $2,786 $2,328 N/A $3,455 $2,622 $1,201 N/A N/A N/A N/A N/A N/A N/A N/A $1,285 N/A
Core Plus Bond Fund $3,763 $4,341 N/A $4,129 $4,239 $4,509 $3,763 N/A $5,590 $4,239 $1,919 N/A N/A N/A N/A N/A N/A N/A N/A $2,098 N/A
Short-Term Bond Index Fund $1,094 $1,267 N/A $1,203 $1,233 $1,313 $1,094 N/A $1,630 $1,233 $609 N/A N/A N/A N/A N/A N/A N/A N/A $561 N/A
Managed Allocation Fund $2,391 $2,858 N/A $2,678 $2,693 $2,920 $2,391 N/A $3,646 $2,693 $1,903 N/A N/A N/A N/A N/A N/A N/A N/A $661 N/A
Total Compensation from funds in the Fund Complex(6) Paid to Board Members/Nominees for calendar year ended December 31, 2022 $430,000(7) (8) $425,000(6)  $430,000(7) (8) $495,000(6) $450,000(7) (8) $472,500(7) (8)  $563,750(7) $480,000(7) (8) $98,750(6) $390,250 $429,000 $371,848 $402,906 $526,950 $396,076 $443,950 $416,325 $307,491(7) (8) $5,487(7)

(1)

Includes deferred fees. Pursuant to a deferred compensation agreement with certain of the Funds, deferred amounts are treated as though an equivalent dollar amount has been invested in shares of one or more Participating Funds. Total deferred fees for the Funds (including the return from the assumed investment in the Participating Funds) payable are set forth in the following table.

(2)

Effective January 1, 2023 Mr. Carrier and Dean Jenkins were elected to serve as Trustees; Mr. Carrier and Dean Jenkins received no compensation for the fiscal year ended December 31, 2022.

(3)

Effective October 1, 2022, Mr. Starr was elected to serve as a Trustee.

C-2


(4)

Effective September 13, 2022, Mr. Sloan no longer serves as a Trustee of the Funds.

(5)

Effective January 6, 2022, Laura T. Starks no longer serves as a Trustee of the Funds.

(6)

As used in this table, the Family of Investment Companies consists of the Nuveen Funds, the TC Funds, CREF and VA-1.

(7)

Compensation figures include cash and amounts deferred under both the long-term compensation plan and optional deferred compensation plan described below, as well as amounts related to special, ad hoc working groups that are temporary in nature and not expected to be long-term, ongoing compensation.

(8)

A portion of this compensation was not actually paid based on the prior election of the Trustee to defer receipt of payment in accordance with the provisions of a deferred compensation plan for non-officer Trustees described below. For the fiscal year ended October 31, 2022, Mr. Berkley elected to defer $319,999, Prof. Eberly elected to defer $319,999, Mr. Forrester elected to defer $340,000, Prof. Jackson elected to defer $36,250, Prof. Poterba elected to defer $369,999 and Prof. Starks elected to defer $3,959 of total compensation from the TC Funds, CREF and VA-1.

Deferred Fees for the Funds

Fund Berkley Boateng Carrier Eberly Eckl Forrester Jackson Jenkins Kenny Poterba Starr Lancellotta Medero Moschner Nelson Thornton Toth Wolff Young Sloan Starks
Lifecycle 2010 Fund $368 $102 N/A $411 $102 $449 $129 N/A $102 $414 $79 N/A N/A N/A N/A N/A N/A N/A N/A $19 N/A
Lifecycle 2015 Fund $844 $235 N/A $942 $235 $1,027 $296 N/A $235 $950 $185 N/A N/A N/A N/A N/A N/A N/A N/A $40 N/A
Lifecycle 2020 Fund $24 $7 N/A $26 $7 $29 $8 N/A $7 $26 $5 N/A N/A N/A N/A N/A N/A N/A N/A $1 N/A
Lifecycle 2025 Fund $58 $16 N/A $65 $16 $71 $21 N/A $16 $66 $14 N/A N/A N/A N/A N/A N/A N/A N/A $2 N/A
Lifecycle 2030 Fund $68 $19 N/A $77 $19 $84 $24 N/A $19 $77 $14 N/A N/A N/A N/A N/A N/A N/A N/A $4 N/A
Lifecycle 2035 Fund $256 $71 N/A $287 $71 $313 $90 N/A $71 $289 $53 N/A N/A N/A N/A N/A N/A N/A N/A $15 N/A
Lifecycle 2040 Fund $426 $119 N/A $478 $119 $521 $149 N/A $119 $480 $88 N/A N/A N/A N/A N/A N/A N/A N/A $25 N/A
Lifecycle 2045 Fund $225 $63 N/A $252 $63 $274 $79 N/A $63 $253 $47 N/A N/A N/A N/A N/A N/A N/A N/A $13 N/A
Lifecycle 2050 Fund $167 $47 N/A $187 $47 $204 $59 N/A $47 $188 $35 N/A N/A N/A N/A N/A N/A N/A N/A $9 N/A
Lifecycle Index 2010 Fund $504 $140 N/A $564 $140 $614 $177 N/A $140 $567 $107 N/A N/A N/A N/A N/A N/A N/A N/A $27 N/A
Lifecycle Index Retirement Income Fund $477 $133 N/A $534 $133 $582 $167 N/A $133 $537 $100 N/A N/A N/A N/A N/A N/A N/A N/A $27 N/A
Lifecycle Index 2015 Fund $850 $237 N/A $952 $237 $1,038 $298 N/A $237 $957 $177 N/A N/A N/A N/A N/A N/A N/A N/A $48 N/A
Lifecycle Index 2020 Fund $2,395 $667 N/A $2,683 $667 $2,925 $840 N/A $667 $2,698 $500 N/A N/A N/A N/A N/A N/A N/A N/A $135 N/A
Lifecycle Index 2025 Fund $4,112 $1,145 N/A $4,603 $1,145 $5,019 $1,442 N/A $1,145 $4,633 $867 N/A N/A N/A N/A N/A N/A N/A N/A $225 N/A
Money Market Fund $1,236 $344 N/A $1,358 $344 $1,483 $433 N/A $344 $1,393 $189 N/A N/A N/A N/A N/A N/A N/A N/A $140 N/A
5-15 Year Laddered Tax-Exempt Bond Fund $202 $56 N/A $222 $56 $242 $71 N/A $56 $228 $28 N/A N/A N/A N/A N/A N/A N/A N/A $25 N/A
Green Bond Fund $93 $26 N/A $102 $26 $112 $33 N/A $26 $105 $16 N/A N/A N/A N/A N/A N/A N/A N/A $9 N/A
Lifecycle Index 2030 Fund $4,975 $1,385 N/A $5,567 $1,385 $6,069 $1,744 N/A $1,385 $5,605 $1,057 N/A N/A N/A N/A N/A N/A N/A N/A $266 N/A
Lifecycle Index 2035 Fund $4,853 $1,351 N/A $5,429 $1,351 $5,919 $1,701 N/A $1,351 $5,467 $1,033 N/A N/A N/A N/A N/A N/A N/A N/A $258 N/A
Lifecycle Index 2040 Fund $4,997 $1,392 N/A $5,591 $1,392 $6,095 $1,752 N/A $1,392 $5,630 $1,065 N/A N/A N/A N/A N/A N/A N/A N/A $265 N/A
Lifecycle Index 2045 Fund $3,851 $1,072 N/A $4,307 $1,072 $4,696 $1,350 N/A $1,072 $4,338 $824 N/A N/A N/A N/A N/A N/A N/A N/A $201 N/A
Lifecycle Index 2050 Fund $3,200 $891 N/A $3,579 $891 $3,902 $1,122 N/A $891 $3,605 $686 N/A N/A N/A N/A N/A N/A N/A N/A $166 N/A
Lifecycle Index 2055 Fund $1,739 $484 N/A $1,944 $484 $2,120 $610 N/A $484 $1,960 $376 N/A N/A N/A N/A N/A N/A N/A N/A $88 N/A
Lifecycle 2055 Fund $1,100 $306 N/A $1,231 $306 $1,342 $386 N/A $306 $1,239 $231 N/A N/A N/A N/A N/A N/A N/A N/A $61 N/A
Lifestyle Aggressive Growth Fund $3,149 $877 N/A $3,530 $877 $3,848 $1,104 N/A $877 $3,548 $653 N/A N/A N/A N/A N/A N/A N/A N/A $181 N/A
Lifestyle Conservative Fund $3,803 $1,059 N/A $4,265 $1,059 $4,650 $1,334 N/A $1,059 $4,285 $782 N/A N/A N/A N/A N/A N/A N/A N/A $224 N/A

C-3


Fund Berkley Boateng Carrier Eberly Eckl Forrester Jackson Jenkins Kenny Poterba Starr Lancellotta Medero Moschner Nelson Thornton Toth Wolff Young Sloan Starks
Lifestyle Growth Fund $4,649 $1,295 N/A $5,212 $1,295 $5,681 $1,630 N/A $1,295 $5,237 $960 N/A N/A N/A N/A N/A N/A N/A N/A $271 N/A
Lifestyle Income Fund $3,435 $957 N/A $3,853 $957 $4,200 $1,204 N/A $957 $3,870 $703 N/A N/A N/A N/A N/A N/A N/A N/A $205 N/A
Lifestyle Moderate Fund $3,913 $1,090 N/A $4,388 $1,090 $4,783 $1,372 N/A $1,090 $4,408 $805 N/A N/A N/A N/A N/A N/A N/A N/A $231 N/A
Lifecycle 2060 Fund $674 $188 N/A $755 $188 $823 $236 N/A $188 $759 $140 N/A N/A N/A N/A N/A N/A N/A N/A $38 N/A
Lifecycle Index 2060 Fund $755 $210 N/A $847 $210 $924 $265 N/A $210 $851 $154 N/A N/A N/A N/A N/A N/A N/A N/A $46 N/A
Short-Term Bond Fund $1,521 $423 N/A $1,670 $423 $1,824 $533 N/A $423 $1,713 $215 N/A N/A N/A N/A N/A N/A N/A N/A $188 N/A
Bond Index Fund $16,005 $4,457 N/A $17,572 $4,457 $19,188 $5,612 N/A $4,457 $18,031 $2,280 N/A N/A N/A N/A N/A N/A N/A N/A $1,965 N/A
Short Duration Impact Bond Fund $42 $12 N/A $46 $12 $50 $15 N/A $12 $47 $7 N/A N/A N/A N/A N/A N/A N/A N/A $4 N/A
Lifecycle 2065 Fund $1,071 $298 N/A $1,202 $298 $1,310 $375 N/A $298 $1,206 $219 N/A N/A N/A N/A N/A N/A N/A N/A $64 N/A
Lifecycle Index 2065 Fund $2,356 $656 N/A $2,644 $656 $2,882 $826 N/A $656 $2,655 $482 N/A N/A N/A N/A N/A N/A N/A N/A $141 N/A
Equity Index Fund $25,327 $7,053 N/A $27,207 $7,053 $29,772 $8,881 N/A $7,053 $28,533 $1,852 N/A N/A N/A N/A N/A N/A N/A N/A $4,866 $336
S&P 500 Index Fund $5,607 $1,561 N/A $6,004 $1,561 $6,572 $1,966 N/A $1,561 $6,316 $389 N/A N/A N/A N/A N/A N/A N/A N/A $1,101 $83
Small-Cap Blend Index Fund $2,839 $791 N/A $3,038 $791 $3,326 $996 N/A $791 $3,199 $190 N/A N/A N/A N/A N/A N/A N/A N/A $564 $42
International Equity Index Fund $13,210 $3,679 N/A $14,193 $3,679 $15,531 $4,632 N/A $3,679 $14,883 $941 N/A N/A N/A N/A N/A N/A N/A N/A $2,560 $181
Growth & Income Fund $4,432 $1,234 N/A $4,744 $1,234 $5,193 $1,554 N/A $1,234 $4,993 $294 N/A N/A N/A N/A N/A N/A N/A N/A $884 $65
Social Choice Equity Fund $5,091 $1,418 N/A $5,458 $1,418 $5,974 $1,785 N/A $1,418 $5,736 $348 N/A N/A N/A N/A N/A N/A N/A N/A $1,003 $73
International Equity Fund $4,407 $1,227 N/A $4,728 $1,227 $5,174 $1,545 N/A $1,227 $4,965 $306 N/A N/A N/A N/A N/A N/A N/A N/A $863 $63
Large-Cap Value Fund $3,836 $1,068 N/A $4,123 $1,068 $4,511 $1,345 N/A $1,068 $4,322 $273 N/A N/A N/A N/A N/A N/A N/A N/A $744 $51
Mid-Cap Growth Fund $1,042 $290 N/A $1,110 $290 $1,216 $365 N/A $290 $1,174 $64 N/A N/A N/A N/A N/A N/A N/A N/A $214 $17
Mid-Cap Value Fund 1,472 410 N/A 1,579 $410 $1,728 $516 N/A $410 $1,659 $102 N/A N/A N/A N/A N/A N/A N/A N/A $288 $21
Quant Small-Cap Equity Fund $2,065 $575 N/A $2,216 $575 $2,425 $724 N/A $575 $2,326 $149 N/A N/A N/A N/A N/A N/A N/A N/A $399 $28
Large-Cap Growth Index Fund $7,363 $2,050 N/A $7,897 $2,050 $8,643 $2,582 N/A $2,050 $8,295 $528 N/A N/A N/A N/A N/A N/A N/A N/A $1,428 $105
High-Yield Fund $2,141 $596 N/A $2,344 $596 $2,560 $751 N/A $596 $2,412 $294 N/A N/A N/A N/A N/A N/A N/A N/A $275 N/A
Core Impact Bond Fund $5,024 $1,399 N/A $5,513 $1,399 $6,020 $1,761 N/A $1,399 $5,660 $693 N/A N/A N/A N/A N/A N/A N/A N/A $639 N/A
Lifecycle Retirement Income Fund $391 $109 N/A $438 $109 $478 $137 N/A $109 $440 $80 N/A N/A N/A N/A N/A N/A N/A N/A $23 N/A
Large-Cap Value Index Fund $6,390 $1,779 N/A $6,864 $1,779 $7,511 $2,241 N/A $1,779 $7,199 $451 N/A N/A N/A N/A N/A N/A N/A N/A $1,242 $85
Large-Cap Growth Fund $4,282 $1,192 N/A $4,574 $1,192 $5,007 $1,501 N/A $1,192 $4,824 $277 N/A N/A N/A N/A N/A N/A N/A N/A $862 $66
Emerging Markets Equity Fund $1,102 $307 N/A $1,181 $307 $1,293 $386 N/A $307 $1,242 $78 N/A N/A N/A N/A N/A N/A N/A N/A $215 $16
Emerging Markets Equity Index Fund $3,781 $1,053 N/A $4,068 $1,053 $4,451 $1,326 N/A $1,053 $4,260 $278 N/A N/A N/A N/A N/A N/A N/A N/A $724 $50
International Opportunities Fund $1,616 $450 N/A $1,731 $450 $1,895 $567 N/A $450 $1,820 $109 N/A N/A N/A N/A N/A N/A N/A N/A $320 $23
Emerging Markets Debt Fund $416 $116 N/A $448 $116 $490 $146 N/A $116 $468 $32 N/A N/A N/A N/A N/A N/A N/A N/A $78 $5
Social Choice International Equity Fund $809 $225 N/A $874 $225 $956 $284 N/A $225 $912 $64 N/A N/A N/A N/A N/A N/A N/A N/A $150 $9
Social Choice Low Carbon Equity Fund $803 $224 N/A $864 $224 $945 $281 N/A $224 $904 $60 N/A N/A N/A N/A N/A N/A N/A N/A $152 $10
International Bond Fund $348 $97 N/A $373 $97 $408 $122 N/A $97 $392 $24 N/A N/A N/A N/A N/A N/A N/A N/A $69 $5
Quant Small/Mid-Cap Equity Fund $816 $227 N/A $877 $227 $960 $286 N/A $227 $919 $68 N/A N/A N/A N/A N/A N/A N/A N/A $149 $10
Quant International Small-Cap Equity Fund $1,019 $284 N/A $1,092 $284 $1,196 $357 N/A $284 $1,148 $69 N/A N/A N/A N/A N/A N/A N/A N/A $202 $15
Real Estate Securities Fund $2,793 $778 N/A $3,058 $778 $3,340 $979 N/A $778 $3,147 $369 N/A N/A N/A N/A N/A N/A N/A N/A $371 N/A
Core Bond Fund $7,749 $2,158 N/A $8,507 $2,158 $9,289 $2,717 N/A $2,158 $8,730 $1,077 N/A N/A N/A N/A N/A N/A N/A N/A $976 N/A
Inflation-Linked Bond Fund $2,328 $648 N/A $2,551 $648 $2,786 $816 N/A $648 $2,622 $319 N/A N/A N/A N/A N/A N/A N/A N/A $298 N/A
Core Plus Bond Fund $3,763 $1,048 N/A $4,129 $1,048 $4,509 $1,319 N/A $1,048 $4,239 $511 N/A N/A N/A N/A N/A N/A N/A N/A $486 N/A
Short-Term Bond Index Fund $1,094 $305 N/A $1,203 $305 $1,313 $384 N/A $305 $1,233 $162 N/A N/A N/A N/A N/A N/A N/A N/A $129 N/A
Managed Allocation Fund $2,391 $666 N/A $2,678 $666 $2,920 $838 N/A $666 $2,693 $499 N/A N/A N/A N/A N/A N/A N/A N/A $135 N/A

C-4


With respect to Be Held on December [_________], 2021

The Fund’s proxy statement is available at [www.nuveenproxy.com/Mutual-Fund- Proxy-Information/]. For more information, shareholders maythe nominees who are Nuveen Board Members, aggregate compensation figures paid by the Nuveen Funds include cash and amounts deferred under an optional deferred compensation plan, as well as amounts related to special, ad hoc working groups that are temporary in nature and not expected to be long-term, ongoing compensation. Currently, under this deferred compensation plan, Nuveen Board Members have the option to defer payments of their basic retainer, additional retainers and/or meeting fees and allocate those amounts to certain participating Nuveen Funds selected by each board member. Benefits under that plan are also contactpaid in a lump sum or in annual installments over a period of five years, as requested by the Fund at the address and phone number set forth above.

board member.

 

12C-5


Appendix AAPPENDIX D

TC FUND BOARD AND COMMITTEE MEETINGS

HELD DURING CALENDAR YEAR ENDED DECEMBER 31, 2022

Regular
Board
Meetings
 Special
Board
Meetings
 Audit and
Compliance
Committee
 Investment
Committee
 Executive
Committee
 Nominating
and
Governance
Committee
 Operations
Committee
11 1 4 6 0 7 5

Information is presented on a calendar year basis, as the Funds have different fiscal year ends.

D-1


APPENDIX E

AUDIT AND RELATED FEES

  

 

  Audit Fees(1)  Audit Related Fees(2)  Tax Fees(3)  All Other Fees(4)
     Funds  Funds  Adviser and
Related Entities
  Funds  Adviser and
Related Entities
  Funds  Adviser and
Related Entities
   Fiscal
Year
End
  Fiscal
Year
Ended
2022
  Fiscal
Year
Ended
2023
  Fiscal
Year
Ended
2022
  Fiscal
Year
Ended
2023
  Fiscal
Year
Ended
2022
  Fiscal
Year
Ended
2023
  Fiscal
Year
Ended
2022
  Fiscal
Year
Ended
2023
  Fiscal
Year
Ended
2022
  Fiscal
Year
Ended
2023
  Fiscal
Year
Ended
2022
  Fiscal
Year
Ended
2023
  Fiscal
Year
Ended
2022
  Fiscal
Year
Ended
2023
Lifecycle 2010 Fund 5/31  $16,007  $14,541  $0  $0  $0  $0  $0  $0  $0  $0  $0  $0  $0  $0
Lifecycle 2015 Fund 5/31  $16,018  $14,541  $0  $0  $0  $0  $0  $0  $0  $0  $0  $0  $0  $0
Lifecycle 2020 Fund 5/31  $16,062  $14,541  $0  $0  $0  $0  $0  $0  $0  $0  $0  $0  $0  $0
Lifecycle 2025 Fund 5/31  $16,098  $14,541  $0  $0  $0  $0  $0  $0  $0  $0  $0  $0  $0  $0
Lifecycle 2030 Fund 5/31  $16,108  $14,541  $0  $0  $0  $0  $0  $0  $0  $0  $0  $0  $0  $0
Lifecycle 2035 Fund 5/31  $16,112  $14,541  $0  $0  $0  $0  $0  $0  $0  $0  $0  $0  $0  $0
Lifecycle 2040 Fund 5/31  $16,135  $14,541  $0  $0  $0  $0  $0  $0  $0  $0  $0  $0  $0  $0
Lifecycle 2045 Fund 5/31  $16,084  $14,541  $0  $0  $0  $0  $0  $0  $0  $0  $0  $0  $0  $0
Lifecycle 2050 Fund 5/31  $16,058  $14,541  $0  $0  $0  $0  $0  $0  $0  $0  $0  $0  $0  $0
Lifecycle Index 2010 Fund 5/31  $15,997  $14,541  $0  $0  $0  $0  $0  $0  $0  $0  $0  $0  $0  $0
Lifecycle Index Retirement Income Fund 5/31  $15,996  $14,541  $0  $0  $0  $0  $0  $0  $0  $0  $0  $0  $0  $0
Lifecycle Index 2015 Fund 5/31  $16,009  $14,541  $0  $0  $0  $0  $0  $0  $0  $0  $0  $0  $0  $0
Lifecycle Index 2020 Fund 5/31  $16,059  $14,541  $0  $0  $0  $0  $0  $0  $0  $0  $0  $0  $0  $0
Lifecycle Index 2025 Fund 5/31  $16,109  $14,541  $0  $0  $0  $0  $0  $0  $0  $0  $0  $0  $0  $0
Money Market Fund 3/31  $37,064  $38,547  $0  $0  $0  $0  $0  $0  $0  $0  $0  $32  $0  $0
5-15 Year Laddered Tax-Exempt Bond Fund 3/31  $34,355  $35,729  $0  $0  $0  $0  $0  $0  $0  $0  $0  $6  $0  $0
Green Bond Fund 3/31  $44,046  $45,808  $0  $0  $0  $0  $0  $40  $0  $0  $0  $2  $0  $0
Lifecycle Index 2030 Fund 5/31  $16,132  $14,541  $0  $0  $0  $0  $0  $0  $0  $0  $0  $0  $0  $0
Lifecycle Index 2035 Fund 5/31  $14,627  $14,541  $0  $0  $0  $0  $0  $0  $0  $0  $0  $0  $0  $0
Lifecycle Index 2040 Fund 5/31  $14,631  $14,541  $0  $0  $0  $0  $0  $0  $0  $0  $0  $0  $0  $0
Lifecycle Index 2045 Fund 5/31  $14,095  $14,541  $0  $0  $0  $0  $0  $0  $0  $0  $0  $0  $0  $0
Lifecycle Index 2050 Fund 5/31  $14,575  $14,541  $0  $0  $0  $0  $0  $0  $0  $0  $0  $0  $0  $0
Lifecycle Index 2055 Fund 5/31  $15,530  $14,541  $0  $0  $0  $0  $0  $0  $0  $0  $0  $0  $0  $0
Lifecycle 2055 Fund 5/31  $16,015  $14,541  $0  $0  $0  $0  $0  $0  $0  $0  $0  $0  $0  $0
Lifestyle Aggressive Growth Fund 5/31  $15,649  $13,669  $0  $0  $0  $0  $0  $0  $0  $0  $0  $0  $0  $0
Lifestyle Conservative Fund 5/31  $15,152  $13,669  $0  $0  $0  $0  $0  $0  $0  $0  $0  $0  $0  $0
Lifestyle Growth Fund 5/31  $15,151  $13,669  $0  $0  $0  $0  $0  $0  $0  $0  $0  $0  $0  $0
Lifestyle Income Fund 5/31  $15,145  $13,669  $0  $0  $0  $0  $0  $0  $0  $0  $0  $0  $0  $0
Lifestyle Moderate Fund 5/31  $15,157  $13,669  $0  $0  $0  $0  $0  $0  $0  $0  $0  $0  $0  $0

E-1


  

 

  Audit Fees(1)  Audit Related Fees(2)  Tax Fees(3)  All Other Fees(4)
     Funds  Funds  Adviser and
Related Entities
  Funds  Adviser and
Related Entities
  Funds  Adviser and
Related Entities
   Fiscal
Year
End
  Fiscal
Year
Ended
2022
  Fiscal
Year
Ended
2023
  Fiscal
Year
Ended
2022
  Fiscal
Year
Ended
2023
  Fiscal
Year
Ended
2022
  Fiscal
Year
Ended
2023
  Fiscal
Year
Ended
2022
  Fiscal
Year
Ended
2023
  Fiscal
Year
Ended
2022
  Fiscal
Year
Ended
2023
  Fiscal
Year
Ended
2022
  Fiscal
Year
Ended
2023
  Fiscal
Year
Ended
2022
  Fiscal
Year
Ended
2023
Lifecycle 2060 Fund 5/31  $15,992  $14,541  $0  $0  $0  $0  $0  $0  $0  $0  $0  $0  $0  $0
Lifecycle Index 2060 Fund 5/31  $14,504  $14,541  $0  $0  $0  $0  $0  $0  $0  $0  $0  $0  $0  $0
Short-Term Bond Fund 3/31  $48,104  $50,028  $0  $0  $0  $0  $0  $0  $0  $0  $0  $44  $0  $0
Bond Index Fund 3/31  $78,308  $81,441  $0  $0  $0  $0  $0  $0  $0  $0  $0  $463  $0  $0
Short Duration Impact Bond Fund 3/31  $45,531  $47,352  $0  $0  $0  $0  $0  $0  $0  $0  $0  $1  $0  $0
Lifecycle 2065 Fund 5/31  $14,482  $14,541  $0  $0  $0  $0  $0  $0  $0  $0  $0  $0  $0  $0
Lifecycle Index 2065 Fund 5/31  $14,482  $14,541  $0  $0  $0  $0  $0  $0  $0  $0  $0  $0  $0  $0
High-Yield Fund 3/31  $58,137  $60,462  $0  $0  $0  $0  $0  $10  $0  $0  $0  $69  $0  $0
Core Impact Bond Fund 3/31  $45,269  $47,580  $0  $0  $0  $0  $0  $40  $0  $0  $0  $152  $0  $0
Lifecycle Retirement Income Fund 5/31  $15,995  $14,541  $0  $0  $0  $0  $0  $0  $0  $0  $0  $0  $0  $0
Real Estate Securities Fund 3/31  $39,557  $41,139  $0  $0  $0  $0  $0  $0  $0  $0  $0  $92  $0  $0
Core Bond Fund 3/31  $54,493  $57,172  $0  $0  $0  $0  $0  $0  $0  $0  $0  $231  $0  $0
Inflation-Linked Bond Fund 3/31  $39,151  $40,717  $0  $0  $0  $0  $0  $0  $0  $0  $0  $73  $0  $0
Core Plus Bond Fund 3/31  $56,779  $59,550  $0  $0  $0  $0  $0  $10  $0  $0  $0  $116  $0  $0
Short-Term Bond Index Fund 3/31  $48,036  $49,957  $0  $0  $0  $0  $0  $0  $0  $0  $0  $30  $0  $0
Managed Allocation Fund 5/31  $14,910  $13,403  $0  $0  $0  $0  $0  $0  $0  $0  $0  $0  $0  $0

(1)

“Audit Fees” are the aggregate fees billed for professional services for the audit of the Fund’s annual financial statements and services provided in connection with statutory and regulatory filings or engagements.

(2)

“Audit Related Fees” are the aggregate fees billed for assurance and related services reasonably related to the performance of the audit or review of financial statements that are not reported under “Audit Fees”.

(3)

“Tax Fees” are the aggregate fees billed for professional services for tax advice, tax compliance, and tax planning. These fees include: all global withholding tax services; excise and state tax reviews; capital gain, tax equalization and taxable basis calculation performed by the principal accountant.

(4)

“All Other Fees” are the aggregate fees billed for products and services other than “Audit Fees”, “Audit-Related Fees” and “Tax Fees”.

E-2


      Audit Fees(1)  Audit Related Fees(2)  Tax Fees(3)  All Other Fees(4)
      Funds  Funds  Adviser and
Related Entities
  Funds  Adviser and
Related Entities
  Funds  Adviser and
Related Entities
    Fiscal
Year
End
  Fiscal
Year
Ended
2021
  Fiscal
Year
Ended
2022
  Fiscal
Year
Ended
2021
  Fiscal
Year
Ended
2022
  Fiscal
Year
Ended
2021
  Fiscal
Year
Ended
2022
  Fiscal
Year
Ended
2021
  Fiscal
Year
Ended
2022
  Fiscal
Year
Ended
2021
  Fiscal
Year
Ended
2022
  Fiscal
Year
Ended
2021
  Fiscal
Year
Ended
2022
  Fiscal
Year
Ended
2021
  Fiscal
Year
Ended
2022
Equity Index Fund  10/31  $49,273  $50,873  $0  $0  $0  $0  $0  $20  $0  $0  $0  $0  $0  $0
S&P 500 Index Fund  10/31  $31,670  $32,566  $0  $0  $0  $0  $0  $0  $0  $0  $0  $0  $0  $0
Small-Cap Blend Index Fund  10/31  $46,893  $47,877  $0  $0  $0  $0  $0  $10  $0  $0  $0  $0  $0  $0
International Equity Index Fund  10/31  $54,930  $56,756  $0  $0  $0  $0  $72,653  $93,780  $0  $0  $0  $0  $0  $0
Growth & Income Fund  10/31  $44,840  $43,662  $0  $0  $0  $0  7,811  $1,953  $0  $0  $0  $0  $0  $0
Social Choice Equity Fund  10/31  $47,744  $48,763  $0  $0  $0  $0  $6,144  $34,459  $0  $0  $0  $0  $0  $0
International Equity Fund  10/31  $38,366  $37,449  $0  $0  $0  $0  $0  $0  $0  $0  $0  $0  $0  $0
Large-Cap Value Fund  10/31  $44,657  $43,992  $0  $0  $0  $0  $9,699  $74  $0  $0  $0  $0  $0  $0
Mid-Cap Growth Fund  10/31  $44,632  $43,446  $0  $0  $0  $0  $0  $0  $0  $0  $0  $0  $0  $0
Mid-Cap Value Fund  10/31  $45,690  $44,546  $0  $0  $0  $0  $1,406  $0  $0  $0  $0  $0  $0  $0
Quant Small-Cap Equity Fund  10/31  $37,797  $36,338  $0  $0  $0  $0  $0  $0  $0  $0  $0  $0  $0  $0
Large-Cap Growth Index Fund  10/31  $29,937  $28,683  $0  $0  $0  $0  $0  $0  $0  $0  $0  $0  $0  $0
Large-Cap Value Index Fund  10/31  $28,655  $28,910  $0  $0  $0  $0  $0  $10  $0  $0  $0  $0  $0  $0
Large-Cap Growth Fund  10/31  $44,096  $42,889  $0  $0  $0  $0  $8,001  $2,565  $0  $0  $0  $0  $0  $0
Emerging Markets Equity Fund  10/31  $54,228  $53,425  $0  $0  $0  $0  $1,735  $3,165  $0  $0  $0  $0  $0  $0
Emerging Markets Equity Index Fund  10/31  $57,355  $58,757  $0  $0  $0  $0  $42,841  $1,809  $0  $0  $0  $0  $0  $0
International Opportunities Fund  10/31  $47,333  $46,775  $0  $0  $13,500  $0  $18,455  $5,552  $0  $0  $0  $0  $0  $0
Emerging Markets Debt Fund  10/31  $60,452  $62,870  $0  $0  $0  $0  $0  $0  $0  $0  $0  $0  $0  $0
Social Choice International Equity Fund  10/31  $47,244  $48,763  $0  $0  $0  $0  $1,010  $2,426  $0  $0  $0  $0  $0  $0
Social Choice Low Carbon Equity Fund  10/31  $36,366  $37,449  $0  $0  $0  $0  $0  $10  $0  $0  $0  $0  $0  $0
International Bond Fund  10/31  $63,268  $63,719  $0  $0  $0  $0  $0  $0  $0  $0  $0  $0  $0  $0
Quant Small/Mid-Cap Equity Fund  10/31  $43,157  $41,912  $0  $0  $0  $0  $0  $0  $0  $0  $0  $0  $0  $0
Quant International Small-Cap Equity Fund  10/31  $49,050  $50,121  $0  $0  $0  $0  $8,339  $4,732  $0  $0  $0  $0  $0  $0

(1)

“Audit Fees” are the aggregate fees billed for professional services for the audit of the Fund’s annual financial statements and services provided in connection with statutory and regulatory filings or engagements.

(2)

“Audit Related Fees” are the aggregate fees billed for assurance and related services reasonably related to the performance of the audit or review of financial statements that are not reported under “Audit Fees”.

(3)

“Tax Fees” are the aggregate fees billed for professional services for tax advice, tax compliance, and tax planning. These fees include: all global withholding tax services; excise and state tax reviews; capital gain, tax equalization and taxable basis calculation performed by the principal accountant.

(4)

“All Other Fees” are the aggregate fees billed for products and services other than “Audit Fees”, “Audit-Related Fees” and “Tax Fees”.

E-3


     Total Non-Audit Fees
Billed to Fund
  Total Non-Audit Fees
Billed to Adviser and
Adviser Entities
(Engagements Related
Directly to the Operations
and Financial Reporting
of Fund)
  Total Non-Audit Fees
Billed to Adviser and
Adviser Entities

(All Other Engagements)
  Total
   

Fiscal

Year End

  Fiscal Year
Ended 2022
  Fiscal Year
Ended 2023
  Fiscal Year
Ended 2022
  Fiscal Year
Ended 2023
  Fiscal Year
Ended 2022
  Fiscal Year
Ended 2023
  Fiscal Year
Ended 2022
  Fiscal Year
Ended 2023
Lifecycle 2010 Fund 5/31  $0  $0  $0  $0  $0  $0  $0  $0
Lifecycle 2015 Fund 5/31  $0  $0  $0  $0  $0  $0  $0  $0
Lifecycle 2020 Fund 5/31  $0  $0  $0  $0  $0  $0  $0  $0
Lifecycle 2025 Fund 5/31  $0  $0  $0  $0  $0  $0  $0  $0
Lifecycle 2030 Fund 5/31  $0  $0  $0  $0  $0  $0  $0  $0
Lifecycle 2035 Fund 5/31  $0  $0  $0  $0  $0  $0  $0  $0
Lifecycle 2040 Fund 5/31  $0  $0  $0  $0  $0  $0  $0  $0
Lifecycle 2045 Fund 5/31  $0  $0  $0  $0  $0  $0  $0  $0
Lifecycle 2050 Fund 5/31  $0  $0  $0  $0  $0  $0  $0  $0
Lifecycle Index 2010 Fund 5/31  $0  $0  $0  $0  $0  $0  $0  $0
Lifecycle Index Retirement Income Fund 5/31  $0  $0  $0  $0  $0  $0  $0  $0
Lifecycle Index 2015 Fund 5/31  $0  $0  $0  $0  $0  $0  $0  $0
Lifecycle Index 2020 Fund 5/31  $0  $0  $0  $0  $0  $0  $0  $0
Lifecycle Index 2025 Fund 5/31  $0  $0  $0  $0  $0  $0  $0  $0
Money Market Fund 3/31  $0  $32  $0  $0  $0  $0  $0  $32
5-15 Year Laddered Tax-Exempt Bond Fund 3/31  $0  $6  $0  $0  $0  $0  $0  $6
Green Bond Fund 3/31  $0  $42  $0  $0  $0  $0  $0  $42
Lifecycle Index 2030 Fund 5/31  $0  $0  $0  $0  $0  $0  $0  $0
Lifecycle Index 2035 Fund 5/31  $0  $0  $0  $0  $0  $0  $0  $0
Lifecycle Index 2040 Fund 5/31  $0  $0  $0  $0  $0  $0  $0  $0
Lifecycle Index 2045 Fund 5/31  $0  $0  $0  $0  $0  $0  $0  $0
Lifecycle Index 2050 Fund 5/31  $0  $0  $0  $0  $0  $0  $0  $0
Lifecycle Index 2055 Fund 5/31  $0  $0  $0  $0  $0  $0  $0  $0
Lifecycle 2055 Fund 5/31  $0  $0  $0  $0  $0  $0  $0  $0
Lifestyle Aggressive Growth Fund 5/31  $0  $0  $0  $0  $0  $0  $0  $0
Lifestyle Conservative Fund 5/31  $0  $0  $0  $0  $0  $0  $0  $0
Lifestyle Growth Fund 5/31  $0  $0  $0  $0  $0  $0  $0  $0
Lifestyle Income Fund 5/31  $0  $0  $0  $0  $0  $0  $0  $0
Lifestyle Moderate Fund 5/31  $0  $0  $0  $0  $0  $0  $0  $0
Lifecycle 2060 Fund 5/31  $0  $0  $0  $0  $0  $0  $0  $0
Lifecycle Index 2060 Fund 5/31  $0  $0  $0  $0  $0  $0  $0  $0
Short-Term Bond Fund 3/31  $0  $44  $0  $0  $0  $0  $0  $44

E-4


     Total Non-Audit Fees
Billed to Fund
  Total Non-Audit Fees
Billed to Adviser and
Adviser Entities
(Engagements Related
Directly to the Operations
and Financial Reporting
of Fund)
  Total Non-Audit Fees
Billed to Adviser and
Adviser Entities

(All Other Engagements)
  Total
   

Fiscal

Year End

  Fiscal Year
Ended 2022
  Fiscal Year
Ended 2023
  Fiscal Year
Ended 2022
  Fiscal Year
Ended 2023
  Fiscal Year
Ended 2022
  Fiscal Year
Ended 2023
  Fiscal Year
Ended 2022
  Fiscal Year
Ended 2023
Bond Index Fund 3/31  $0  $463  $0  $0  $0  $0  $0  $463
Short Duration Impact Bond Fund 3/31  $0  $1  $0  $0  $0  $0  $0  $1
Lifecycle 2065 Fund 5/31  $0  $0  $0  $0  $0  $0  $0  $0
Lifecycle 2065 Fund 5/31  $0  $0  $0  $0  $0  $0  $0  $0
High-Yield Fund 3/31  $0  $79  $0  $0  $0  $0  $0  $79
Core Impact Bond Fund 3/31  $0  $192  $0  $0  $0  $0  $0  $192
Lifecycle Retirement Income Fund 5/31  $0  $0  $0  $0  $0  $0  $0  $0
Real Estate Securities Fund 3/31  $0  $92  $0  $0  $0  $0  $0  $92
Core Bond Fund 3/31  $0  $231  $0  $0  $0  $0  $0  $231
Inflation-Linked Bond Fund 3/31  $0  $73  $0  $0  $0  $0  $0  $73
Core Plus Bond Fund 3/31  $0  $126  $0  $0  $0  $0  $0  $126
Short-Term Bond Index Fund 3/31  $0  $30  $0  $0  $0  $0  $0  $30
Managed Allocation Fund 5/31  $0  $0  $0  $0  $0  $0  $0  $0

     Total Non-Audit Fees
Billed to Fund
  Total Non-Audit Fees
Billed to Adviser and
Adviser Entities
(Engagements Related
Directly to the Operations
and Financial Reporting
of Fund)
  Total Non-Audit Fees
Billed to Adviser and
Adviser Entities

(All Other Engagements)
  Total
   

Fiscal

Year End

  Fiscal Year
Ended 2021
  Fiscal Year
Ended 2022
  Fiscal Year
Ended 2021
  Fiscal Year
Ended 2022
  Fiscal Year
Ended 2021
  Fiscal Year
Ended 2022
  Fiscal Year
Ended 2021
  Fiscal Year
Ended 2022
Equity Index Fund 10/31  $0  $20  $0  $0  $0  $0  $0  $20
S&P 500 Index Fund 10/31  $0  $0  $0  $0  $0  $0  $0  $0
Small-Cap Blend Index Fund 10/31  $0  $10  $0  $0  $0  $0  $0  $10
International Equity Index Fund 10/31  $72,653  $93,780  $0  $0  $0  $0  $72,653  $93,780
Growth & Income Fund 10/31  $7,811  $1,953  $0  $0  $0  $0  $7,811  $1,953
Social Choice Equity Fund 10/31  $6,144  $34,459  $0  $0  $0  $0  $6,144  $34,459
International Equity Fund 10/31  $0  $0  $0  $0  $0  $0  $0  $0
Large-Cap Value Fund 10/31  $9,699  $74  $0  $0  $0  $0  $9,699  $74
Mid-Cap Growth Fund 10/31  $0  $0  $0  $0  $0  $0  $0  $0

E-5


     Total Non-Audit Fees
Billed to Fund
  Total Non-Audit Fees
Billed to Adviser and
Adviser Entities
(Engagements Related
Directly to the Operations
and Financial Reporting
of Fund)
  Total Non-Audit Fees
Billed to Adviser and
Adviser Entities

(All Other Engagements)
  Total
   

Fiscal

Year End

  Fiscal Year
Ended 2021
  Fiscal Year
Ended 2022
  Fiscal Year
Ended 2021
  Fiscal Year
Ended 2022
  Fiscal Year
Ended 2021
  Fiscal Year
Ended 2022
  Fiscal Year
Ended 2021
  Fiscal Year
Ended 2022
Mid-Cap Value Fund 10/31  $1,406  $0  $0  $0  $0  $0  $1,406  $0
Quant Small-Cap Equity Fund 10/31  $0  $0  $0  $0  $0  $0  $0  $0
Large-Cap Growth Index Fund 10/31  $0  $0  $0  $0  $0  $0  $0  $0
Large-Cap Value Index Fund 10/31  $0  $10  $0  $0  $0  $0  $0  $10
Large-Cap Growth Fund 10/31  $8,001  $2,565  $0  $0  $0  $0  $8,001  $2,565
Emerging Markets Equity Fund 10/31  $1,735  $3,165  $0  $0  $0  $0  $1,735  $3,165
Emerging Markets Equity Index Fund 10/31  $42,841  $1,809  $0  $0  $0  $0  $42,841  $1,809
International Opportunities Fund 10/31  $18,455  $5,552  $13,500  $0  $0  $0  $31,955  $5,552
Emerging Markets Debt Fund 10/31  $0  $0  $0  $0  $0  $0  $0  $0
Social Choice International Equity Fund 10/31  $1,010  $2,426  $0  $0  $0  $0  $1,010  $2,426
Social Choice Low Carbon Equity Fund 10/31  $0  $10  $0  $0  $0  $0  $0  $10
International Bond Fund 10/31  $0  $0  $0  $0  $0  $0  $0  $0
Quant Small/Mid-Cap Equity Fund 10/31  $0  $0  $0  $0  $0  $0  $0  $0
Quant International Small-Cap Equity Fund 10/31  $8,339  $4,732  $0  $0  $0  $0  $8,339  $4,732

E-6


APPENDIX F

LIST OF HOLDERS OF MORE THAN 5% OF ANY CLASS OF SHARES IN THEEACH FUND

As of September 17, 2021,the Record Date, the following record owners of the specified Fund and each class thereof held the share amounts and corresponding percentages indicated below, which waswere owned either (i) beneficially by such persons or (ii) of record by such persons on behalf of customers who are the beneficial owners of such shares. Beneficial owners of 25% or more of a class of thea Fund are presumed to be in control of the class for purposes of voting on certain matters submitted to shareholders.

 

    
Fund and Class Shareholder Name and Address Number of
Shares Owned
  Percentage
Owned
 

TIAA-CREF Core Impact Bond Fund —
Retail Class

 Raymond James
Omnibus for Mutual Funds
Attn: Courney Waller
880 Carillon Parkway
St. Petersburg, FL 33716-1102
  15,975,406.355   55.38
 Charles Schwab & Co. Inc.
Attn Mutual Funds
211 Main St.
San Francisco, CA 94105-1901
  6,563,340.141   22.75
 

Pershing LLC

P.O. Box 2052

Jersey City, NJ 07303-2052

  1,773,343.670   6.15

TIAA-CREF International Opportunities Fund — Retail Class

 Charles Schwab & Co. Inc.
Attn Mutual Funds
211 Main St.
San Francisco, CA 94105-1901
  583,812.743   21.39
 Charles Schwab & Co. Inc.
Special Custody A/C FBO Customers
Attn: Mutual Funds
211 Main St.
San Francisco, CA 94105-1901
  352,340.163   12.91
 

Pershing LLC

P.O. Box 2052

Jersey City, NJ 07303-2052

  261,434.192   9.58
 

Merrill Lynch, Pierce, Fenner & Smith Inc.

For the Sole Benefit of its Customers

4800 Deer Lake Dr. E.

Jacksonville, FL 32246-6484

  159,391.015   5.84
 

American Enterprise Investment Services Inc.

707 2nd Ave. S.

Minneapolis, MN 55402-2405

  152,926.240   5.60
 

National Financial Services LLC

For the Exclusive Benefit of our Customers

Attn Mutual Fund Dept 4th Floor

  141,750.564   5.19

F-1


    
Fund and Class Shareholder Name and Address Number of
Shares Owned
  Percentage
Owned
 
 

499 Washington Blvd

Jersey City, NJ 07130-1995

  
 

Wells Fargo Clearing Services LLC

Special Custody Acct for the Exclusive

Benefit of Customer

2801 Market St

Saint Louis, MO 63103-2523

  140,913.920   5.16

TIAA-CREF International Equity
Fund — Retail Class

 

Pershing LLC

P.O. Box 2052

Jersey City, NJ 07303-2052

  3,257,623.979   10.85

TIAA-CREF Social Choice Equity
Fund — Retail Class

 Charles Schwab & Co. Inc.
Attn Mutual Funds
211 Main St.
San Francisco, CA 94105-1901
  6,963,056.101   25.30
 

Pershing LLC

P.O. Box 2052

Jersey City, NJ 07303-2052

  3,754,400.208   13.64
 

National Financial Services LLC
For the exclusive benefit of our customers

Attn Mutual Fund Dept 4th Floor
499 Washington Blvd.
Jersey City, NJ 07310-1995

  2,080,095.068   7.56

TIAA-CREF Growth & Income Fund — Retail Class

 

Pershing LLC

P.O. Box 2052

Jersey City, NJ 07303-2052

  6,163,277.480   9.79
 Charles Schwab & Co. Inc.
211 Main St.
San Francisco, CA 94105-1901
  3,429,320.049   5.45

TIAA-CREF Equity Index Fund — Retail Class

 

Pershing LLC

P.O. Box 2052

Jersey City, NJ 07303-2052

  8,248,792.518   19.48

TIAA-CREF Core Bond Fund — Retail Class

 

Pershing LLC

P.O. Box 2052

Jersey City, NJ 07303-2052

  2,161,252.968   26.69

TIAA-CREF Emerging Markets Equity
Fund — Retail Class

 

Pershing LLC

P.O. Box 2052

Jersey City, NJ 07303-2052

  185,358.359   20.27
 Charles Schwab & Co. Inc.
Attn: Mutual Funds
211 Main St.
San Francisco, CA 94105-1901
  88,766.561   9.71
 

National Financial Services LLC
For the exclusive benefit of our customers

Attn Mutual Fund Dept 4th Floor
499 Washington Blvd.
Jersey City, NJ 07310-1995

  77,128.459   8.44

F-2


    
Fund and Class Shareholder Name and Address Number of
Shares Owned
  Percentage
Owned
 

TIAA-CREF Large Cap Growth Fund — Retail Class

 

Pershing LLC

P.O. Box 2052

Jersey City, NJ 07303-2052

  5,115,163.430   9.40

TIAA-CREF Emerging Markets Equity
Index Fund — Retail Class

 Charles Schwab & Co. Inc.
Attn: Mutual Funds
211 Main St.
San Francisco, CA 94105-1901
  530,744.856   30.50
 

Pershing LLC

P.O. Box 2052

Jersey City, NJ 07303-2052

  360,874.694   20.74

TIAA-CREF Lifecycle Retirement
Income Fund — Retail Class

 

Pershing LLC

P.O. Box 2052

Jersey City, NJ 07303-2052

  3,719,226.869   31.91

TIAA-CREF Lifestyle Income Fund — Retail Class

 

Pershing LLC

P.O. Box 2052

Jersey City, NJ 07303-2052

  1,793,396.189   39.73

TIAA-CREF Lifestyle Conservative
Fund — Retail Class

 

Pershing LLC

P.O. Box 2052

Jersey City, NJ 07303-2052

  8,469,406.776   49.33

TIAA-CREF Lifestyle Moderate Fund

 

Pershing LLC

P.O. Box 2052

Jersey City, NJ 07303-2052

  12,691,254.891   49.53
 Charles Schwab & Co. Inc.
Special Custody A/C FBO Customers
Attn: Mutual Funds
211 Main St.
San Francisco, CA 94105-1901
  2,791,612.475   10.90

TIAA-CREF Large-Cap Value Fund — Retail Class

 

Pershing LLC

P.O. Box 2052

Jersey City, NJ 07399-0002

  1,370,152.221   18.02

TIAA-CREF Mid-Cap Growth Fund — Retail Class

 

Pershing LLC

P.O. Box 2052

Jersey City, NJ 07303-2052

  1,023,217.112   10.21
 Charles Schwab & Co. Inc.
Attn: Mutual Funds
211 Main St.
San Francisco, CA 94105-1901
  620,504.321   6.19

TIAA-CREF Mid-Cap Value Fund — Retail Class

 

Pershing LLC

P.O. Box 2052

Jersey City, NJ 07303-2052

  1,426,814.622   11.31
 Charles Schwab & Co. Inc.
Attn: Mutual Funds
211 Main St.
San Francisco, CA 94105-1901
  936,217.746   7.42

TIAA-CREF Quant Small Cap Equity
Fund — Retail Class

 

Pershing LLC

P.O. Box 2052

Jersey City, NJ 07303-2052

  1,122,810.806   13.33

F-3


    
Fund and Class Shareholder Name and Address Number of
Shares Owned
  Percentage
Owned
 
 Charles Schwab & Co. Inc.
Attn: Mutual Funds
101 Montgomery St.
San Francisco, CA 94104-4151
  1,099,850.654   13.06

TIAA-CREF Real Estate Securities
Fund — Retail Class

 Charles Schwab & Co. Inc.
Attn: Mutual Funds
101 Montgomery St.
San Francisco, CA 94104-4151
  5,931,485.804   29.20
 

Pershing LLC

P.O. Box 2052

Jersey City, NJ 07303-2052

  2,178,382.491   10.72

TIAA-CREF Inflation-Linked Bond
Fund — Retail Class

 

Pershing LLC

P.O. Box 2052

Jersey City, NJ 07303-2052

  1,941,747.282   15.93
 Empower Trust FBO
Employee Benefits Clients 401K
8515 E. Orchard Rd. 2T2
Greenwood Vlg. Co. 8011-5002
  786,548.496   6.45
 

Merrill Lynch, Pierce, Fenner & Smith Inc.

For the Sole Benefit of its Customers

4800 Deer Lake Dr. E.

Jacksonville, FL 32246-6484

  671,376.692   5.51

TIAA-CREF Bond Index Fund — Retail Class

 

Pershing LLC

P.O. Box 2052

Jersey City, NJ 07303-2052

  824,775.352   29.12
 Charles Schwab & Co. Inc.
Attn: Mutual Funds
101 Montgomery St.
San Francisco, CA 94104-4151
  181,280.440   6.40

TIAA-CREF Lifestyle Growth Fund — Retail Class

 

Pershing LLC

P.O. Box 2052

Jersey City, NJ 07303-2052

  4,635,061.240   38.38
 Charles Schwab & Co. Inc.
Special Custody A/C FBO Customers
Attn: Mutual Funds
211 Main St.
San Francisco, CA 94105-1901
  2,219,196.438   18.37

TIAA-CREF Lifestyle Aggressive Growth Fund — Retail Class

 

Pershing LLC

P.O. Box 2052

Jersey City, NJ 07303-2052

  2,486,824.325   39.11
 Charles Schwab & Co. Inc.
Special Custody A/C FBO Customers
Attn: Mutual Funds
211 Main St.
San Francisco, CA 94105-1901
  935,952.368   14.72

TIAA-CREF High Yield Fund — Retail Class

 Charles Schwab & Co. Inc.
Attn: Mutual Funds
101 Montgomery St.
San Francisco, CA 94104-4151
  7,724,401.930   31.50

F-4


    
Fund and Class Shareholder Name and Address Number of
Shares Owned
  Percentage
Owned
 
 

Pershing LLC

P.O. Box 2052

Jersey City, NJ 07303-2052

  2,528,116.086   10.31
 

National Financial Services LLC

For the Exclusive Benefit of our Customers

Attn Mutual Fund Dept 4th Floor

499 Washington Blvd

Jersey City, NJ 07130-1995

  1,314,865.048   5.36

TIAA-CREF Core Plus Bond Fund — Retail Class

 

Pershing LLC

P.O. Box 2052

Jersey City, NJ 07303-2052

  2,877,903.371   11.43

TIAA-CREF Short-Term Bond Fund — Retail Class

 

Pershing LLC

P.O. Box 2052

Jersey City, NJ 07303-2052

  1,786,386.980   15.26

TIAA-CREF 5-15 Year Tax-Exempt Bond Fund — Retail Class

 

Pershing LLC

P.O. Box 2052

Jersey City, NJ 07303-2052

  4,663,680.547   20.84

TIAA-CREF Managed Allocation
Fund — Retail Class

 

Pershing LLC

P.O. Box 2052

Jersey City, NJ 07303-2052

  8,054,126.706   12.19

TIAA-CREF International Opportunities Fund — Institutional Class

 

TIAA-CREF Managed Allocation II AC
Attn TIAA-CREF Mutual Fund Ops
730 3rd Ave.
New York, NY 10017-3206

 

  3,238,959.382   32.68
 

TIAA-CREF Lifestyle Moderate Fund
Attn TIAA-CREF Mutual Fund Ops
730 3rd Ave.
New York, NY 10017-3206

 

  2,080,762.819   20.99
 

TIAA-CREF Lifestyle Growth Fund
Attn TIAA-CREF Mutual Fund Ops
730 3rd Ave.
New York, NY 10017-3206

 

  1,450,989.779   14.64
 

TIAA-CREF Lifestyle Aggressive Growth Fund
Attn TIAA-CREF Mutual Fund Ops
730 3rd Ave.
New York, NY 10017-3206

 

  1,418,224.950   14.31
 TIAA-CREF Lifestyle Conservative Fund
Attn TIAA-CREF Mutual Fund Ops
730 3rd Ave.
New York, NY 10017-3206
  794,896.012   8.02

TIAA-CREF Large-Cap Value Fund — Institutional Class

 TIAA Trust, N.A. as Cust/Ttee of Retirement Plans Recordkept by TIAA
Attn: Fund Operations
8500 Andrew Carnegie Blvd.
Charlotte, NC 28262-8500
  44,209,352.982   46.94

F-5


    
Fund and Class Shareholder Name and Address Number of
Shares Owned
  Percentage
Owned
 
 

TIAA-CREF
Individual & Institutional Serv Inc.
For Exclusive Benefit of Customers
Attn Patrick Nelson

730 3rd Ave.

New York, NY 10017-3206

  22,830,164.668   24.24
 

Pershing LLC

P.O. Box 2052

Jersey City, NJ 07303-2052

  16,921.461.517   17.97

TIAA-CREF Mid-Cap Growth Fund — Institutional Class

 

TIAA Trust, N.A. as Cust/Ttee of Retirement Plans Recordkept by TIAA
Attn: Fund Operations
8500 Andrew Carnegie Blvd.
Charlotte, NC 28262-8500

 

  18,512,495.517   63.02
 

TIAA-CREF
Individual & Institutional Serv Inc.
For Exclusive Benefit of Customers
Attn Patrick Nelson

730 3rd Ave.

New York, NY 10017-3206

  10,038,727.743   34.18

TIAA-CREF Mid-Cap Value
Fund — Institutional Class

 

TIAA Trust, N.A. as Cust/Ttee of Retirement Plans Recordkept by TIAA
Attn: Fund Operations
8500 Andrew Carnegie Blvd.
Charlotte, NC 28262-8500

 

  34,677,944.851   53.06
 

TIAA-CREF
Individual & Institutional Serv Inc.
For Exclusive Benefit of Customers
Attn Patrick Nelson

730 3rd Ave.

New York, NY 10017-3206

  25,688,521.155   39.30

TIAA-CREF Real Estate Securities
Fund — Institutional Class

 

TIAA Trust, N.A. as Cust/Ttee of Retirement Plans Recordkept by TIAA
Attn: Fund Operations
8500 Andrew Carnegie Blvd.
Charlotte, NC 28262-8500

 

  34,677,944.581   53.06
 

TIAA-CREF
Individual & Institutional Serv Inc.
For Exclusive Benefit of Customers
Attn Patrick Nelson

730 3rd Ave.

New York, NY 10017-3206

 

  25,688,521.155   39.30
 

Charles Schwab & Co. Inc.
Attn: Mutual Funds
101 Montgomery St.
San Francisco, CA 94104-4151

 

  41,046,654.795   34.38
 

MAC & Co.

Attn: Mutual Fund Operations

500 Grant Street

Room 151-1010

Pittsburgh, PA 15129-2502

  23,102,837.373   19.35

F-6


    
Fund and Class Shareholder Name and Address Number of
Shares Owned
  Percentage
Owned
 
 

Pershing LLC

P.O. Box 2052

Jersey City, NJ 07303-2052

  9,998,381.971   8.37

TIAA-CREF Inflation-Linked Bond
Fund — Institutional Class

 Mac & Co.
Attn: Mutual Fund Operations
500 Grant Street
Room 151-1010
Pittsburgh, PA 15219-2502
  21,405,028.990   38.96
 TIAA Trust N.A. as Custodian/Trustee of Retirement Plans Record kept by TIAA
Attn: Fund Operations
8500 Andrew Carnegie Blvd.
Charlotte, NC 28262-8500
  16,510,985.516   30.05
 

Mac & Co.
Attn: Mutual Fund Operations
500 Grant Street
Room 151-1010
Pittsburgh, PA 15219-2502

 

  4,883,251.730   8.89
 Mac & Co.
Attn: Mutual Fund Operations
500 Grant Street
Room 151-1010
Pittsburgh, PA 15219-2502
  3,510,527.635   6.39

TIAA-CREF S&P 500 Index Fund — Institutional Class

 

TIAA Trust N.A. as Custodian/Trustee of Retirement Plans Record kept by TIAA
Attn: Fund Operations
8500 Andrew Carnegie Blvd.
Charlotte, NC 28262-8500

 

  61,964,393.778   50.97
 

TIAA-CREF Individual & Institutional Serv. Inc.
For Exclusive Benefit of Customers
Attn Patrick Nelson
730 3rd Ave.
New York, NY 10017-3206

 

  17,527,444.707   14.42
 

Mac & Co.
Attn Mutual Fund Operation
500 Grant Street
Room 151-1010
Pittsburgh, PA 15219-2502

 

  12,332,852.664   10.14
 Mac & Co.
Attn Mutual Fund Operation
500 Grant Street
Room 151-1010
Pittsburgh, PA 15219-2502
  6,754,105.872   5.56

TIAA-CREF Large-Cap Growth Index Fund — Institutional Class

 Pershing LLC
PO Box 2052
Jersey City, NJ 07303-2052
  75,696,975.907   36.16

F-7


    
Fund and Class Shareholder Name and Address Number of
Shares Owned
  Percentage
Owned
 
 SEI Private Trust Company
C/O TIAA-SWP
1 Freedom Valley Drive
Oaks, PA 19456-9989
  18,177,552.520   8.68
 TIAA Trust N.A. as Custodian/Trustee of Retirement Plans Record kept by TIAA
Attn: Fund Operations
8500 Andrew Carnegie Blvd.
Charlotte, NC 28262-8500
  16,907,789.479   8.08
 Pims/Prudential Retirement as Nominee for the Trustee/Custodian Pl. 010
State of Connecticut Deferred
165 Capitol Avenue
Hartford, CT 06106-1659
  14,201,204.855   6.78
 TIAA-CREF
Individual & Institutional Serv. Inc.
For Exclusive Benefit of Customers
Attn Patrick Nelson
730 3rd Ave.
New York, NY 10017-3206
  10,498,986.186   5.01

TIAA-CREF Large-Cap Value Index
Fund — Institutional Class

 

Pershing LLC
PO Box 2052
Jersey City, NJ 07303-2052

 

  136,318,196.425   44.19
 

TIAA Trust N.A. as Custodian/Trustee of Retirement Plans Record kept by TIAA
Attn: Fund Operations
8500 Andrew Carnegie Blvd.
Charlotte, NC 28262-8500

 

  54,210,085.281   17.57
 

TIAA-CREF
Individual & Institutional Serv. Inc.
For Exclusive Benefit of Customers
Attn Patrick Nelson
730 3rd Ave
New York, NY 10017-3206

 

  29,397,071.861   9.53
 

SEI Private Trust Company
C/O TIAA-SWP
1 Freedom Valley Drive
Oaks, PA 19456-9989

 

  25,617,726.110   8.31
 

TIAA Trust N.A. as Custodian/Trustee of Retirement Plans Record kept by TIAA
Attn: Fund Operations
8500 Andrew Carnegie Blvd.
Charlotte, NC 28262-8500

 

  40,894,726.400   34.44
 TIAA-CREF Individual & Institutional Serv. Inc.
For Exclusive Benefit of Customers
Attn Patrick Nelson
730 3rd Ave.
New York, NY 10017-3206
  26,389,343.004   22.22

F-8


    
Fund and Class Shareholder Name and Address Number of
Shares Owned
  Percentage
Owned
 
 John Hancock Life Insurance
Company USA
Attn: Jhrps Trading Ops St6
200 Berkeley Street
Boston, MA 02116-5022
  9,660,827.899   8.14

TIAA-CREF Int’l Equity Index Fund —Institutional Class

 TIAA Trust N.A. as Custodian/Trustee of Retirement Plans Record kept by TIAA
Attn: Fund Operations
8500 Andrew Carnegie Blvd.
Charlotte, NC 28262-8500
  167,816,884.432   34.32
 TIAA-CREF Individual & Institutional Serv. Inc.
For Exclusive Benefit of Customers
Attn: Patrick Nelson
730 3rd Ave.
New York, NY 10017-3206
  50,631,711.281   10.36
 Mac & Co.
Attn: Mutual Fund Operation
500 Grant Street
Room 151-1010
Pittsburgh, PA 15219-2502
  45,716,655.532   9.35
 Mac & Co.
Attn: Mutual Fund Operations
500 Grant Street
Room 151-1010
Pittsburgh, PA 15219-2502
  36,262,248.818   7.42

TIAA-CREF Growth & Income Fund — Retirement Class

 JPMorgan Chase Bank NA FBO
TIAA-CREF Trust Co. as Custodian for IRA Clients
Attn: DC Plan Service Team
4 New York Plz. Fl. 17
New York, NY 10004-2413
  23,396,014.124   82.88
 TIAA Trust N.A. as Custodian/Trustee of Retirement Plans Record kept by TIAA
Attn: Fund Operations
8500 Andrew Carnegie Blvd.
Charlotte, NC 28262-8500
  2,727,386.010   9.66

TIAA-CREF Social Choice Equity
Fund — Retirement Class

 JPMorgan Chase Bank NA FBO
TIAA-CREF Trust Co. as Custodian for IRA Clients
Attn: DC Plan Service Team
4 New York Plz. Fl. 17
New York, NY 10004-2413
  24,069,271.239   78.77
 TIAA Trust N.A. as Custodian/Trustee of Retirement Plans Record kept by TIAA
Attn: Fund Operations
8500 Andrew Carnegie Blvd.
Charlotte, NC 28262-8500
  4,125,436.553   13.50

TIAA-CREF International Equity Fund — Retirement Class

 TIAA Trust N.A. as Custodian/Trustee of Retirement Plans Record kept by TIAA
Attn: Fund Operations
8500 Andrew Carnegie Blvd.
Charlotte, NC 28262-8500
  12,783,347.730   49.70

F-9


    
Fund and Class Shareholder Name and Address Number of
Shares Owned
  Percentage
Owned
 
 JPMorgan Chase Bank NA FBO
TIAA-CREF Trust Co. as Custodian for IRA Clients
Attn: DC Plan Service Team
4 New York Plz. Fl. 17
New York, NY 10004-2413
  11,865,729.752   46.13

TIAA-CREF Large-Cap Value Fund — Retirement Class

 JPMorgan Chase Bank NA FBO
TIAA-CREF Trust Co. as Custodian for IRA Clients
Attn: DC Plan Service Team
4 New York Plz. Fl. 17
New York, NY 10004-2413
  16,641,522.441   65.64
 TIAA Trust N.A. as Custodian/Trustee of Retirement Plans Record kept by TIAA
Attn: Fund Operations
8500 Andrew Carnegie Blvd.
Charlotte, NC 28262-8500
  7,333,347.134   28.93

TIAA-CREF Mid-Cap Growth Fund — Retirement Class

 JPMorgan Chase Bank NA FBO
TIAA-CREF Trust Co. as Custodian for IRA Clients
Attn: DC Plan Service Team
4 New York Plz. Fl. 17
New York, NY 10004-2413
  11,497,822.770   71.90
 TIAA Trust N.A. as Custodian/Trustee of Retirement Plans Record kept by TIAA
Attn: Fund Operations
8500 Andrew Carnegie Blvd.
Charlotte, NC 28262-8500
  3,361,105.995   21.02
 JPMorgan Custodian TIAA-CREF Trust Co Non ERISA TDA C/O JPMorgan Chase Bank
Attn: DC Plan Service Team TIAA
4 New York Plz. Fl. 12
New York, NY 10004-2413
  898,448.146   5.62

TIAA-CREF Mid-Cap Value Fund — Retirement Class

 JPMorgan Chase Bank NA FBO
TIAA-CREF Trust Co. as Custodian for IRA Clients
Attn: DC Plan Service Team
4 New York Plz. Fl. 17
New York, NY 10004-2413
  18,273,820.761   66.77
 TIAA Trust N.A. as Custodian/Trustee of Retirement Plans Record kept by TIAA
Attn: Fund Operations
8500 Andrew Carnegie Blvd.
Charlotte, NC 28262-8500
  7,540,137.299   27.55

TIAA-CREF Real Estate Securities
Fund — Retirement Class

 JPMorgan Chase Bank NA FBO
TIAA-CREF Trust Co. as Custodian for IRA Clients
Attn: DC Plan Service Team
4 New York Plz. Fl. 17
New York, NY 10004-2413
  24,192,133.325   81.58

F-10


    
Fund and Class Shareholder Name and Address Number of
Shares Owned
  Percentage
Owned
 
 TIAA Trust N.A. as Custodian/Trustee of Retirement Plans Record kept by TIAA
Attn: Fund Operations
8500 Andrew Carnegie Blvd.
Charlotte, NC 28262-8500
  3,408,759.888   11.49

TIAA-CREF S&P 500 Index Fund — Retirement Class

 JPMorgan Chase Bank NA FBO
TIAA-CREF Trust Co. as Custodian for IRA Clients
Attn: DC Plan Service Team
4 New York Plz. Fl. 17
New York, NY 10004-2413
  34,075,956.118   75.03
 TIAA Trust N.A. as Custodian/Trustee of Retirement Plans Record kept by TIAA
Attn: Fund Operations
8500 Andrew Carnegie Blvd.
Charlotte, NC 28262-8500
  6,474,514.398   14.26

TIAA-CREF Large-Cap Growth Index Fund — Retirement Class

 JPMorgan Chase Bank NA FBO
TIAA-CREF Trust Co. as Custodian for IRA Clients
Attn: DC Plan Service Team
4 New York Plz Fl. 17
New York, NY 10004-2413
  12,993,102.920   68.68
 TIAA Trust N.A. as Custodian/Trustee of Retirement Plans Record kept by TIAA
Attn: Fund Operations
8500 Andrew Carnegie Blvd.
Charlotte, NC 28262-8500
  1,265,807.650   6.69

TIAA-CREF Large-Cap Value Index
Fund — Retirement Class

 JPMorgan Chase Bank NA FBO
TIAA-CREF Trust Co. as Custodian for IRA Clients
Attn: DC Plan Service Team
4 New York Plz. Fl. 17
New York, NY 10004-2413
  50,406,053.969   83.97
 TIAA Trust N.A. as Custodian/Trustee of Retirement Plans Record kept by TIAA
Attn: Fund Operations
8500 Andrew Carnegie Blvd.
Charlotte, NC 28262-8500
  5,591,705.782   9.32

TIAA-CREF Small-Cap Blend Index
Fund — Retirement Class

 JPMorgan Chase Bank NA FBO
TIAA-CREF Trust Co. as Custodian for IRA Clients
Attn: DC Plan Service Team
4 New York Plz. Fl. 17
New York, NY 10004-2413
  22,308,775.650   74.25
 TIAA Trust N.A. as Custodian/Trustee of Retirement Plans Record kept by TIAA
Attn: Fund Operations
8500 Andrew Carnegie Blvd.
Charlotte, NC 28262-8500
  5,756,235.583   19.16

F-11


    
Fund and Class Shareholder Name and Address Number of
Shares Owned
  Percentage
Owned
 

TIAA-CREF International Equity Index Fund — Retirement Class

 JPMorgan Chase Bank NA FBO
TIAA-CREF Trust Co. as Custodian for IRA Clients
Attn: DC Plan Service Team
4 New York Plz. Fl. 17
New York, NY 10004-2413
  44,994,853.945   76.28
 TIAA Trust
N.A. as Custodian/Trustee of Retirement Plans Record kept by TIAA
Attn: Fund Operations
8500 Andrew Carnegie Blvd.
Charlotte, NC 28262-8500
  8,938,749.247   15.15

TIAA-CREF Quant Small Cap Equity Fund — Retirement Class

 

JPMorgan Chase Bank NA FBO
TIAA-CREF Trust Co. as Custodian for IRA Clients

 

Attn: DC Plan Service Team
4 New York Plz. Fl. 17
New York, NY 10004-2413

  12,037,528.695   51.69
 TIAA Trust N.A. as Custodian/Trustee of Retirement Plans Record kept by TIAA
Attn: Fund Operations
8500 Andrew Carnegie Blvd.
Charlotte, NC 28262-8500
  9,412,299.062   40.41
 JPMorgan Custodian TIAA-CREF Trust Co. Non ERISA TDA C/O JPMorgan Chase Bank
Attn: DC Plan Service Team TIAA
4 New York Plz. Fl. 12
New York, NY 10004-2413
  1,602,739.804   6.88
 TIAA Trust N.A. as Custodian/Trustee of Retirement Plans Record kept by TIAA
Attn: Fund Operations
8500 Andrew Carnegie Blvd.
Charlotte, NC 28262-8500
  61,242,238.284   62.48
 TIAA-CREF Individual & Institutional Serv. Inc.
For Exclusive Benefit of Customers
Attn Patrick Nelson
730 3rd Ave
New York, NY 10017-3206
  17,269,066.790   17.62
 Mac & Co.
Attn Mutual Fund Operation
500 Grant Street
Room 151-1010
Pittsburgh, PA 15219-2502
  6,320,193.806   6.45
 Mac & Co.
Attn: Mutual Fund Operations
500 Grant Street
Room 151-1010
Pittsburgh, PA 15219-2502
  6,174,200.545   6.30

F-12


    
Fund and Class Shareholder Name and Address Number of
Shares Owned
  Percentage
Owned
 

TIAA-CREF Emerging Markets Equity Fund — Retirement Class

 JPMorgan Chase Bank NA FBO
TIAA-CREF Trust Co. as Custodian for IRA Clients
Attn: DC Plan Service Team
4 New York Plz. Fl. 17
New York, NY 10004-2413
  7,629,270.837   88.91
 TIAA Trust N.A. as Custodian/Trustee of Retirement Plans Record kept by TIAA
Attn: Fund Operations
8500 Andrew Carnegie Blvd.
Charlotte, NC 28262-8500
  448,809.566   5.23

TIAA-CREF Emerging Markets Equity Index Fund — Retirement Class

 JPMorgan Chase Bank NA FBO
TIAA-CREF Trust Co. as Custodian for IRA Clients
Attn: DC Plan Service Team
4 New York Plz. Fl. 17
New York, NY 10004-2413
  53,825,670.120   92.08

TIAA-CREF Lifestyle Income
Fund — Retirement Class

 JPMorgan Chase Bank NA FBO
TIAA-CREF Trust Co. as Custodian for IRA Clients
Attn: DC Plan Service Team
4 New York Plz. Fl. 17
New York, NY 10004-2413
  1,407,195.067   89.75
 Pershing LLC
PO Box 2052
Jersey City, NJ 07303-2052
  129,508.057   8.26

TIAA-CREF Lifestyle Conservative
Fund — Retirement Class

 JPMorgan Chase Bank NA FBO
TIAA-CREF Trust Co. as Custodian for IRA Clients
Attn: DC Plan Service Team
4 New York Plz. Fl. 17
New York, NY 10004-2413
  3,530,444.225   85.94
 Pershing LLC
PO Box 2052
Jersey City, NJ 07303-2052
  440,254.282   10.72

TIAA-CREF Lifestyle Moderate Fund — Retirement Class

 JPMorgan Chase Bank NA FBO
TIAA-CREF Trust Co. as Custodian for IRA Clients
Attn: DC Plan Service Team
4 New York Plz. Fl. 17
New York, NY 10004-2413
  7,016,644.083   85.52
 Pershing LLC
PO Box 2052
Jersey City, NJ 07303-2052
  1,066,569.585   13.00

TIAA-CREF Lifestyle Growth Fund — Retirement Class

 JPMorgan Chase Bank NA FBO
TIAA-CREF Trust Co. as Custodian for IRA Clients
Attn: DC Plan Service Team
4 New York Plz. Fl. 17
New York, NY 10004-2413
  3,077,057.229   89.62

F-13


    
Fund and Class Shareholder Name and Address Number of
Shares Owned
  Percentage
Owned
 
 Pershing LLC
PO Box 2052
Jersey City, NJ 07303-2052
  266,788.215   7.77

TIAA-CREF Lifestyle Aggressive Growth Fund — Retirement Class

 JPMorgan Chase Bank NA FBO
TIAA-CREF Trust Co. as Custodian for IRA Clients
Attn: DC Plan Service Team
4 New York Plz. Fl. 17
New York, NY 10004-2413
  2,751,259.543   86.94
 Pershing LLC
PO Box 2052
Jersey City, NJ 07303-2052
  278,962.975   8.82

TIAA-CREF Core Impact Bond Fund — Retirement Class

 JPMorgan Chase Bank NA FBO
TIAA-CREF Trust Co. as Custodian for IRA Clients
Attn: DC Plan Service Team
4 New York Plz. Fl. 17
New York, NY 10004-2413
  23,638,362.871   88.34

TIAA-CREF International Opportunities Fund — Retirement Class

 JPMorgan Chase Bank NA FBO
TIAA-CREF Trust Co. as Custodian for IRA Clients
Attn: DC Plan Service Team
4 New York Plz. Fl. 17
New York, NY 10004-2413
  5,996,433.854   93.68

TIAA-CREF International Equity Fund — Institutional Class

 Pershing LLC
PO Box 2052
Jersey City, NJ 07303-2052
  82,498,923.336   40.93
 

TIAA Trust
N.A. as Custodian/Trustee
Of Retirement Plans Record kept by TIAA

Attn: Fund Operations
8500 Andrew Carnegie Blvd.
Charlotte, NC 28262-8500

  44,666,747.461   22.16
 TIAA-CREF
Individual & Institutional Serv. Inc.
For Exclusive Benefit of Customers
Attn Patrick Nelson
730 3rd Ave
New York, NY 10017-3206
  41,950,491.129   20.81
 SEI Private Trust Company
C/O TIAA-SWP
1 Freedom Valley Drive
Oaks, PA 19456-9989
  10,256,146.608   5.09

TIAA-CREF Growth and Income
Fund — Institutional Class

 Mac & Co.
Attn: Mutual Fund Operations
500 Grant Street
Room 151-1010
Pittsburgh, PA 15219-2502
  37,647,981.849   39.59

F-14


    
Fund and Class Shareholder Name and Address Number of
Shares Owned
  Percentage
Owned
 
 TIAA Trust
N.A. as Custodian/Trustee
Of Retirement Plans Record kept by TIAA
Attn: Fund Operations
8500 Andrew Carnegie Blvd.
Charlotte, NC 28262-8500
  22,200,363.890   23.34
 TIAA-CREF
Individual & Institutional Serv. Inc.
For Exclusive Benefit of Customers
Attn Patrick Nelson
730 3rd Ave
New York, NY 10017-3206
  16,579,894.620   17.43

TIAA-CREF Equity Index Fund — Institutional Class

 Mac & Co.
Attn: Mutual Fund Operations
500 Grant Street
Room 151-1010
Pittsburgh, PA 15219-2502
  76,883,864.888   18.56
 Mac & Co.
Attn Mutual Fund Operation
500 Grant Street
Room 151-1010
Pittsburgh, PA 15219-2502
  69,954,853.695   16.88
 Mac & Co.
Attn Mutual Fund Operation
500 Grant Street
Room 151-1010
Pittsburgh, PA 15219-2502
  60,605,866.837   14.63
 

Mac & Co.

Attn: Mutual Fund Operations
500 Grant Street
Room 151-1010
Pittsburgh, PA 15219-2502

  57,001,574.110   13.76
 Mac & Co.
Attn Mutual Fund Operation
500 Grant Street
Room 151-1010
Pittsburgh, PA 15219-2502
  36,614,243.378   8.84
 TIAA Trust N.A. as Custodian/Trustee of Retirement Plans Record kept by TIAA
Attn: Fund Operations
8500 Andrew Carnegie Blvd.
Charlotte, NC 28262-8500
  31,830,404.009   7.68

TIAA-CREF Social Choice Equity
Fund — Institutional Class

 TIAA Trust N.A. as Custodian/Trustee of Retirement Plans Record kept by TIAA
Attn: Fund Operations
8500 Andrew Carnegie Blvd.
Charlotte, NC 28262-8500
  72,363,226.886   41.39

F-15


    
Fund and Class Shareholder Name and Address Number of
Shares Owned
  Percentage
Owned
 
 National Financial Services LLC
For the Exclusive Benefit of our
Customers
Attn: Mutual Funds Dept. Fl. 4
499 Washington Blvd.
Jersey City, NJ 07310-1995
  18,496,762.274   10.58
 TIAA-CREF Individual & Institutional Serv. Inc.
For Exclusive Benefit of Customers
Attn Patrick Nelson
730 3rd Ave
New York, NY 10017-3206
  11,590,225.084   6.63
 Charles Schwab & Co. Inc.
Attn: Mutual Funds
101 Montgomery St
San Francisco, CA 94104-4151
  10,973,575.559   6.28
 Mac & Co.
Attn Mutual Fund Operation
500 Grant Street
Room 151-1010
Pittsburgh, PA 15219-2502
  10,790,752.239   6.17
 Vanguard Fiduciary Trust Company
PO Box 2900
Valley Forge, PA 19482-2900
  9,193,603.754   5.26

TIAA-CREF Core Bond Fund — Institutional Class

 Charles Schwab & Co. Inc.
Attn:Mutual Funds
211 Main St.
San Francisco, CA 94105-1901
  208,787,396.578   38.11
 Mac & Co.
Attn: Mutual Fund Operations
500 Grant Street
Room 151-1010
Pittsburgh, PA 15219-2502
  100,005,656.368   18.25
 Pershing LLC
PO Box 2052
Jersey City, NJ 07303-2052
  99,391,048.195   18.14
 SEI Private Trust Company
C/O TIAA SWP
1 Freedom Valley Drive
Oaks, PA 19456-9989
  65,052,950.735   11.87

TIAA-CREF Money Market Fund — Institutional Class

 TIAA Trust
N.A. as Custodian/Trustee of Retirement
Plans Record kept by TIAA
Attn: Fund Operations
8500 Andrew Carnegie Blvd.
Charlotte, NC 28262-8500
  765,153,601.507   75.90
 

Mac & Co.

Attn: Mutual Fund Operations
500 Grant Street
Room 151-1010
Pittsburgh, PA 15219-2502

  124,332,443.110   12.33

F-16


    
Fund and Class Shareholder Name and Address Number of
Shares Owned
  Percentage
Owned
 
 TIAA-CREF
Individual & Institutional Serv. Inc.
For Exclusive Benefit of Customers
Attn Patrick Nelson
730 3rd Ave
New York, NY 10017-3206
  62,708,877.100   6.22

TIAA-CREF Core Impact Bond Fund — Institutional Class

 Charles Schwab & Co. Inc.
Attn: Mutual Funds
211 Main St.
San Francisco, CA 94105-1901
  94,724,533.082   18.70
 National Financial Services LLC
For the Exclusive Benefit of our
Customers
Attn: Mutual Funds Dept. Fl. 4
499 Washington Blvd.
Jersey City, NJ 07310-1995
  91,265,769.095   18.01
 Morgan Stanley Smith Barney LLC
For the Exclusive Benefit of its Customers
1 New York Plz. Fl. 12
New York, NY 10004-1965
  59,643,063.704   11.77
 Pershing LLC
PO Box 2052
Jersey City, NJ 07303-2052
  50,146,721.709   9.90
 SEI Private Trust Company
C/O TIAA SWP
1 Freedom Valley Drive
Oaks, PA 19456-9989
  44,773,484.874   8.84

TIAA-CREF Lifecycle 2010 Fund — Retirement Class

 JPMorgan Chase Bank NA FBO
TIAA-CREF Trust Co. as Custodian for IRA Clients
Attn: DC Plan Service Team
4 New York Plz. Fl. 17
New York, NY 10004-2413
  9,693,904.860   48.30
 TIAA Trust
N.A. as Custodian/Trustee of Retirement Plans Record kept by TIAA
Attn: Fund Operations
8500 Andrew Carnegie Blvd.
Charlotte, NC 28262-8500
  6,724,518.988   33.50
 JPMorgan Chase Bank NA FBO
TIAA-CREF Trust Co. as Trustee/Custodian for Rhsp Clients
Attn: DC Plan Service Team
4 New York Plz. Fl. 17
New York, NY 10004-2413
  3,100,241.606   15.45

TIAA-CREF Lifecycle 2010 Fund — Institutional Class

 TIAA Trust N.A. as Custodian/Trustee of Retirement Plans Record kept by TIAA
Attn: Fund Operations
8500 Andrew Carnegie Blvd.
Charlotte, NC 28262-8500
  44,760,718.870   79.11

F-17


    
Fund and Class Shareholder Name and Address Number of
Shares Owned
  Percentage
Owned
 
 TIAA-CREF Individual & Institutional Serv. Inc
For Exclusive Benefit of Customers
Attn Patrick Nelson
730 3rd Ave.
New York, NY 10017-3206
  10,677,093.521   18.87

TIAA-CREF Lifecycle 2015 Fund — Retirement Class

 JPMorgan Chase Bank NA FBO
TIAA-CREF Trust Co. as Custodian for IRA Clients
Attn: DC Plan Service Team
4 New York Plz. Fl. 17
New York, NY 10004-2413
  15,967,470.213   54.37
 TIAA Trust N.A. as Custodian/Trustee of Retirement Plans Record kept by TIAA
Attn: Fund Operations
8500 Andrew Carnegie Blvd.
Charlotte, NC 28262-8500
  9,543,677.314   32.50
 JPMorgan Chase Bank NA FBO
TIAA-CREF Trust Co. as Trustee/Custodian for Rhsp Clients
Attn: DC Plan Service Team
4 New York Plz. Fl. 17
New York, NY 10004-2413
  3,042,500.947   10.36

TIAA-CREF Lifecycle 2015 Fund — Institutional Class

 TIAA Trust N.A. as Custodian/Trustee of Retirement Plans Record kept by TIAA
Attn: Fund Operations
8500 Andrew Carnegie Blvd.
Charlotte, NC 28262-8500
  72,600,341.165   78.10
 TIAA-CREF Individual & Institutional Serv. Inc.
For Exclusive Benefit of Customers
Attn Patrick Nelson
730 3rd Ave.
New York, NY 10017-3206
  17,362,050.948   18.68

TIAA-CREF Lifecycle 2020 Fund — Retirement Class

 JPMorgan Chase Bank NA FBO
TIAA-CREF Trust Co. as Custodian for IRA Clients
Attn: DC Plan Service Team
4 New York Plz. Fl. 17
New York, NY 10004-2413
  23,932,222.380   46.76
 TIAA Trust N.A. as Custodian/Trustee of Retirement Plans Record kept by TIAA
Attn: Fund Operations
8500 Andrew Carnegie Blvd.
Charlotte, NC 28262-8500
  20,681,586.809   40.41
 JPMorgan Chase Bank NA FBO
TIAA-CREF Trust Co. as Trustee/Custodian for Rhsp Clients
Attn: DC Plan Service Team
4 New York Plz. Fl. 17
New York, NY 10004-2413
  4,622,554.585   9.03

F-18


    
Fund and Class Shareholder Name and Address Number of
Shares Owned
  Percentage
Owned
 

TIAA-CREF Lifecycle 2020 Fund — Institutional Class

 TIAA Trust N.A. as Custodian/Trustee of Retirement Plans Record kept by TIAA Attn: Fund Operations 8500 Andrew Carnegie Blvd. Charlotte, NC 28262-8500  157,529,485.887   75.87
 TIAA-CREF Individual & Institutional Serv. Inc.
For Exclusive Benefit of Customers
Attn Patrick Nelson
730 3rd Ave.
New York, NY 10017-3206
  43,095,405.502   20.75

TIAA-CREF Lifecycle 2025 Fund — Retirement Class

 TIAA Trust N.A. as Custodian/Trustee of Retirement Plans Record kept by TIAA
Attn: Fund Operations
8500 Andrew Carnegie Blvd.
Charlotte, NC 28262-8500
  30,151,156.281   46.52
 JPMorgan Chase Bank NA FBO
TIAA-CREF Trust Co. as Custodian for IRA Clients
Attn: DC Plan Service Team
4 New York Plz. Fl. 17
New York, NY 10004-2413
  26,607,129.286   41.05
 JPMorgan Chase Bank NA FBO
TIAA-CREF Trust Co. as Trustee/Custodian for Rhsp Clients
Attn: DC Plan Service Team
4 New York Plz. Fl. 17
New York, NY 10004-2413
  5,046,615.566   7.79

TIAA-CREF Lifecycle 2025 Fund — Institutional Class

 TIAA Trust N.A. as Custodian/Trustee of Retirement Plans Record kept by TIAA
Attn: Fund Operations
8500 Andrew Carnegie Blvd.
Charlotte, NC 28262-8500
  234,714,361.063   75.06
 TIAA-CREF Individual & Institutional Serv. Inc.
For Exclusive Benefit of Customers
Attn Patrick Nelson
730 3rd Ave.
New York, NY 10017-3206
  63,044,534.710   20.16

TIAA-CREF Lifecycle 2030 Fund — Retirement Class

 TIAA Trust N.A. as Custodian/Trustee of Retirement Plans Record kept by TIAA
Attn: Fund Operations
8500 Andrew Carnegie Blvd.
Charlotte, NC 28262-8500
  33,104,779.429   50.06
 JPMorgan Chase Bank NA FBO
TIAA-CREF Trust Co. as Custodian for IRA Clients
Attn: DC Plan Service Team
4 New York Plz. Fl. 17
New York, NY 10004-2413
  24,440,611.931   36.96

F-19


    
Fund and Class Shareholder Name and Address Number of
Shares Owned
  Percentage
Owned
 
 JPMorgan Chase Bank NA FBO
TIAA-CREF Trust Co. as Trustee/Custodian for Rhsp Clients
Attn: DC Plan Service Team
4 New York Plz. Fl. 17
New York, NY 10004-2413
  4,616,683.371   6.98

TIAA-CREF Lifecycle 2030 Fund — Institutional Class

 TIAA Trust N.A. as Custodian/Trustee of Retirement Plans Record kept by TIAA
Attn: Fund Operations
8500 Andrew Carnegie Blvd.
Charlotte, NC 28262-8500
  274,251,558.563   75.53
 TIAA-CREF Individual & Institutional Serv. Inc.
For Exclusive Benefit of Customers
Attn Patrick Nelson
730 3rd Ave.
New York, NY 10017-3206
  72,603,209.690   20.00

TIAA-CREF Lifecycle 2035 Fund — Retirement Class

 TIAA Trust N.A. as Custodian/Trustee of Retirement Plans Record kept by TIAA
Attn: Fund Operations
8500 Andrew Carnegie Blvd.
Charlotte, NC 28262-8500
  33,149,514.951   54.18
 JPMorgan Chase Bank NA FBO
TIAA-CREF Trust Co. as Custodian for IRA Clients
Attn: DC Plan Service Team
4 New York Plz. Fl. 17
New York, NY 10004-2413
  21,561,406.467   35.24
 JPMorgan Chase Bank NA FBO
TIAA-CREF Trust Co. as Trustee/Custodian for Rhsp Clients
Attn: DC Plan Service Team
4 New York Plz. Fl. 17
New York, NY 10004-2413
  3,269,864.360   5.34

TIAA-CREF Lifecycle 2035 Fune — Institutional Class

 TIAA Trust N.A. as Custodian/Trustee of Retirement Plans Record kept by TIAA
Attn: Fund Operations
8500 Andrew Carnegie Blvd.
Charlotte, NC 28262-8500
  289,939,125.210   75.90
 TIAA-CREF Individual & Institutional Serv. Inc.
For Exclusive Benefit of Customers
Attn Patrick Nelson
730 3rd Ave.
New York, NY 10017-3206
  77,046,514.019   20.17

TIAA-CREF Lifecycle 2040 Fund — Retirement Class

 TIAA Trust N.A. as Custodian/Trustee of Retirement Plans Record kept by TIAA
Attn: Fund Operations
8500 Andrew Carnegie Blvd.
Charlotte, NC 28262-8500
  40,003,886.394   58.97

F-20


    
Fund and Class Shareholder Name and Address Number of
Shares Owned
  Percentage
Owned
 
 JPMorgan Chase Bank NA FBO
TIAA-CREF Trust Co. as Custodian for IRA Clients
Attn: DC Plan Service Team
4 New York Plz. Fl. 17
New York, NY 10004-2413
  22,111,459.396   32.59

TIAA-CREF Lifecycle 2040 Fund — Institutional Class

 TIAA Trust N.A. as Custodian/Trustee of Retirement Plans Record kept by TIAA
Attn: Fund Operations
8500 Andrew Carnegie Blvd.
Charlotte, NC 28262-8500
  352,435,830.688   77.12
 TIAA-CREF Individual & Institutional Serv. Inc. for Exclusive Benefit of Customers
Attn Patrick Nelson
730 3rd Ave.
New York, NY 10017-3206
  91,983,667.436   20.13

TIAA-CREF Lifecycle 2045 Fund — Retirement Class

 TIAA Trust N.A. as Custodian/Trustee of Retirement Plans Record kept by TIAA
Attn: Fund Operations
8500 Andrew Carnegie Blvd.
Charlotte, NC 28262-8500
  30,322,402.435   60.36
 JPMorgan Chase Bank NA FBO
TIAA-CREF Trust Co. as Custodian for IRA Clients
Attn: DC Plan Service Team
4 New York Plz. Fl. 17
New York, NY 10004-2413
  16,031,871.659   31.91

TIAA-CREF Lifecycle 2045 Fund — Institutional Class

 TIAA Trust N.A. as Custodian/Trustee of Retirement Plans Record kept by TIAA
Attn: Fund Operations
8500 Andrew Carnegie Blvd.
Charlotte, NC 28262-8500
  197,377,617.985   75.05
 TIAA-CREF Individual & Institutional Serv. Inc.
For Exclusive Benefit of Customers
Attn Patrick Nelson
730 3rd Ave.
New York, NY 10017-3206
  57,173,936.266   21.74

TIAA-CREF Large-Cap Growth Fund — Institutional Class

 Pershing LLC
PO Box 2052
Jersey City, NJ 07303-2052
  22,202,876.220   32.62
 TIAA Trust N.A. as Custodian/Trustee of Retirement Plans Record kept by TIAA
Attn: Fund Operations
8500 Andrew Carnegie Blvd.
Charlotte, NC 28262-8500
  18,847,837.156   27.69

F-21


    
Fund and Class Shareholder Name and Address Number of
Shares Owned
  Percentage
Owned
 
 TIAA-CREF Individual & Institutional Serv. Inc.
For Exclusive Benefit of Customers
Attn Patrick Nelson
730 3rd Ave.
New York, NY 10017-3206
  8,135,440.892   11.95

TIAA-CREF Managed Allocation
Fund — Institutional Class

 Pershing LLC
PO Box 2052
Jersey City, NJ 07303-2052
  1,137,771.498   71.13
 TIAA Trust N.A. as Custodian/Trustee of Retirement Plans Record kept by TIAA
Attn: Fund Operations
8500 Andrew Carnegie Blvd.
Charlotte, NC 28262-8500
  325,192.013   20.33

TIAA-CREF Lifestyle Income Fund — Institutional Class

 Pershing LLC
PO Box 2052
Jersey City, NJ 07303-2052
  625,740.606   51.44
 SEI Private Trust Company
C/O TIAA-SWP
1 Freedom Valley Drive
Oaks, PA 19456-9989
  317,221.156   26.08
 Ascensus Trust Company FBO
Jescar Profit Sharing Plan
P.O. Box 10758
Fargo, ND 58106-0758
  159,466.632   13.11

TIAA-CREF Equity Index Fund — Retirement Class

 JPMorgan Chase Bank NA FBO
TIAA-CREF Trust Co. as Custodian for IRA Clients
Attn: DC Plan Service Team
4 New York Plz. Fl. 17
New York, NY 10004-2413
  17,697,895.193   82.12
 TIAA Trust N.A. as Custodian/Trustee of Retirement Plans Record kept by TIAA
Attn: Fund Operations
8500 Andrew Carnegie Blvd.
Charlotte, NC 28262-8500
  1,639,784.521   7.61

TIAA-CREF Inflation-Linked Bond
Fund — Retirement Class

 JPMorgan Chase Bank NA FBO
TIAA-CREF Trust Co. as Custodian for IRA Clients
Attn: DC Plan Service Team
4 New York Plz. Fl. 17
New York, NY 10004-2413
  11,240,656.003   91.45

TIAA-CREF Large-Cap Growth Fund — Retirement Class

 JPMorgan Chase Bank NA FBO
TIAA-CREF Trust Co. as Custodian for IRA Clients
Attn: DC Plan Service Team
4 New York Plz. Fl. 17
New York, NY 10004-2413
  12,081,583.353   72.30

F-22


    
Fund and Class Shareholder Name and Address Number of
Shares Owned
  Percentage
Owned
 
 Voya Institutional Trust Company
One Orange Way B3N
Windsor, CT 06095-4773
  1,047,105.680   6.27
 TIAA Trust N.A. as Custodian/Trustee of Retirement Plans Record kept by TIAA
Attn: Fund Operations
8500 Andrew Carnegie Blvd.
Charlotte, NC 28262-8500
  994,997.982   5.95
 JPMorgan Custodian TIAA-CREF Trust
Co Non ERISA TDA C/O JPMorgan Chase Bank
Attn: DC Plan Service Team TIAA
4 New York Plz. Fl. 12
New York, NY 10004-2413
  970,905.424   5.81

TIAA-CREF Managed Allocation
Fund — Retirement Class

 JPMorgan Chase Bank NA FBO
TIAA-CREF Trust Co. as Custodian for IRA Clients
Attn: DC Plan Service Team
4 New York Plz. Fl. 17
New York, NY 10004-2413
  5,607,172.187   91.62

TIAA-CREF Money Market Fund — Retirement Class

 JPMorgan Chase Bank NA FBO
TIAA-CREF Trust Co. as Custodian for IRA Clients
Attn: DC Plan Service Team
4 New York Plz. Fl. 17
New York, NY 10004-2413
  469,344,250.550   76.48
 TIAA Trust N.A. as Custodian/Trustee of Retirement Plans Record kept by TIAA
Attn: Fund Operations
8500 Andrew Carnegie Blvd.
Charlotte, NC 28262-8500
  70,372,575.750   11.47
 JPMorgan Chase Bank NA FBO
TIAA-CREF Trust Co. as Trustee/Custodian for Rhsp Clients
Attn: DC Plan Service Team
4 New York Plz. Fl. 17
New York, NY 10004-2413
  53,378,767.660   8.70

TIAA-CREF Core Bond Fund — Retirement Class

 JPMorgan Chase Bank NA FBO
TIAA-CREF Trust Co. as Custodian for IRA Clients
Attn: DC Plan Service Team
4 New York Plz. Fl. 17
New York, NY 10004-2413
  11,098,838.260   81.75
 TIAA Trust N.A. as Custodian/Trustee of Retirement Plans Record kept by TIAA
Attn: Fund Operations
8500 Andrew Carnegie Blvd.
Charlotte, NC 28262-8500
  1,045,938.084   7.70

F-23


    
Fund and Class Shareholder Name and Address Number of
Shares Owned
  Percentage
Owned
 

TIAA-CREF High-Yield Fund — Institutional Class

 TIAA Trust N.A. as Custodian/Trustee of Retirement Plans Record kept by TIAA
Attn: Fund Operations
8500 Andrew Carnegie Blvd.
Charlotte, NC 28262-8500
  39,749,974.664   27.99
 TIAA-CREF Individual & Institutional Serv. Inc.
For Exclusive Benefit of Customers
Attn Patrick Nelson
730 3rd Ave.
New York, NY 10017-3206
  17,723,146.682   12.48
 SEI Private Trust Company
C/O TIAA SWP
1 Freedom Valley Drive
Oaks, PA 19456-9989
  16,330,056.898   11.50
 National Financial Services Corp.
For Exclusive Benefit of Our Customers
Russ Lennon
499 Washington Blvd. Fl. 5
Jersey City, NJ 07310-2010
  15,907,844.103   11.20
 Charles Schwab & Co. Inc.
Attn: Mutual Funds
211 Main St.
San Francisco, CA 94105-1901
  14,130,213.170   9.95
 Mac & Co.
Attn: Mutual Fund Operations
500 Grant Street
Room 151-1010
Pittsburgh, PA 15219-2502
  10,953,492.520   7.71

TIAA-CREF High-Yield Fund — Retirement Class

 JPMorgan Chase Bank NA FBO
TIAA-CREF Trust Co. as Custodian for IRA Clients
Attn: DC Plan Service Team
4 New York Plz. Fl. 17
New York, NY 10004-2413
  19,201,313.647   75.42
 TIAA Trust N.A. as Custodian/Trustee of Retirement Plans Record kept by TIAA
Attn: Fund Operations
8500 Andrew Carnegie Blvd.
Charlotte, NC 28262-8500
  2,488,384.964   9.77
 JPMorgan Custodian TIAA-CREF Trust
Co Non ERISA TDA C/O JPMorgan Chase Bank
Attn: DC Plan Service Team TIAA
4 New York Plz. Fl. 12
New York, NY 10004-2413
  2,234,454.999   8.78

F-24


    
Fund and Class Shareholder Name and Address Number of
Shares Owned
  Percentage
Owned
 

TIAA-CREF Core Plus Bond Fund — Retirement Class

 JPMorgan Chase Bank NA FBO
TIAA-CREF Trust Co. as Custodian for IRA Clients
Attn: DC Plan Service Team
4 New York Plz. Fl. 17
New York, NY 10004-2413
  26,673,784.830   84.84
 TIAA Trust N.A. as Custodian/Trustee of Retirement Plans Record kept by TIAA
Attn: Fund Operations
8500 Andrew Carnegie Blvd.
Charlotte, NC 28262-8500
  3,934,461.793   12.51

TIAA-CREF Core Plus Bond Fund — Institutional Class

 TIAA Trust N.A. as Custodian/Trustee of Retirement Plans Record kept by TIAA
Attn: Fund Operations
8500 Andrew Carnegie Blvd.
Charlotte, NC 28262-8500
  40,476,420.531   24.59
 TIAA-CREF Managed Allocation II AC
Attn TIAA-CREF Mutual Fund Ops
730 3rd Ave.
New York, NY 10017-3207
  36,768,110.679   22.34
 TIAA-CREF Lifestyle Moderate Fund
Attn: TIAA-CREF Mutual Fund Ops
730 3rd Ave.
New York, NY 10017-3206
  23,557,717.120   14.31
 Charles Schwab & Co. Inc.
Attn: Mutual Funds
211 Main St.
San Francisco, CA 94105-1901
  13,021,836.523   7.91
 TIAA-CREF
Individual & Institutional Serv Inc.
For Exclusive Benefit of Customers
Attn Patrick Nelson
730 3rd Ave.
New York, NY 10017-3206
  10,545,561.295   6.41
 TIAA-CREF Lifestyle Conservative Fd.
Attn: TIAA-CREF Mutual Fund Ops.
730 3rd Ave.
New York, NY 10017-3206
  10,161,151.925   6.17

TIAA-CREF Short-Term Bond Fund — Institutional Class

 SEI Private Trust Company
C/O TIAA SWP
1 Freedom Valley Drive
Oaks, PA 19456-9989
  14,322,815.703   26.34
 TIAA Trust N.A. as Custodian/Trustee of Retirement Plans Record kept by TIAA
Attn: Fund Operations
8500 Andrew Carnegie Blvd.
Charlotte, NC 28262-8500
  14,218,524.621   26.15
 TIAA-CREF Lifestyle Conservative Fd.
Attn: TIAA-CREF Mutual Fund Ops
730 3rd Ave.
New York, NY 10017-3206
  6,031,762.690   11.09

F-25


    
Fund and Class Shareholder Name and Address Number of
Shares Owned
  Percentage
Owned
 
 TIAA-CREF Individual & Institutional Serv. Inc.
For Exclusive Benefit of Customers
Attn Patrick Nelson
730 3rd Ave.
New York, NY 10017-3206
  4,245,340.972   7.81
 Capinco
C/O US Bank
PO Box 1787
Milwaukee, WI 53201-1787
  3,395,312.366   6.24
 TIAA-CREF Lifestyle Income Fund
Attn: TIAA-CREF Mutual Fund Ops
730 3rd Ave.
New York, NY 10017-3206
  2,998,783.300   5.52
 JPMorgan Chase Bank NA FBO
TIAA-CREF Trust Co. as Custodian for IRA Clients
Attn: DC Plan Service Team
4 New York Plz. Fl. 17
New York, NY 10004-2413
  18,260,229.284   92.82

TIAA-CREF 5-15 Year Laddered Tax-Exempt Bond Fund — Institutional Class

 Pershing LLC
PO Box 2052
Jersey City, NJ 07303-2052
  776,355.197   88.95
 Charles Schwab & Co. Inc.
Attn: Mutual Funds
211 Main St.
San Francisco, CA 94105-1901
  47,006.589   5.39

TIAA-CREF Lifecycle Retirement Income Fund — Institutional Class

 TIAA Trust N.A. as Custodian/Trustee of Retirement Plans Record kept by TIAA
Attn: Fund Operations
8500 Andrew Carnegie Blvd.
Charlotte, NC 28262-8500
  9,487,734.294   58.76
 

TIAA-CREF Individual & Institutional Serv Inc

For Exclusive Benefit of Customers
Attn Patrick Nelson
730 3rd Ave.
New York, NY 10017-3206

  4,646,504.506   28.78

TIAA-CREF Lifecycle Retirement Income Fund — Retirement Class

 JPMorgan Chase Bank NA FBO
TIAA-CREF Trust Co. as Custodian for IRA Clients
Attn: DC Plan Service Team
4 New York Plz. Fl. 17
New York, NY 10004-2413
  9,662,715.534   77.62
 TIAA Trust N.A. as Custodian/Trustee of Retirement Plans Record kept by TIAA
Attn: Fund Operations
8500 Andrew Carnegie Blvd.
Charlotte, NC 28262-8500
  1,780,676.205   14.30

F-26


    
Fund and Class Shareholder Name and Address Number of
Shares Owned
  Percentage
Owned
 

TIAA-CREF Emerging Markets Equity Fund — Institutional Class

 TIAA Trust N.A. as Custodian/Trustee of Retirement Plans Record kept by TIAA
Attn: Fund Operations
8500 Andrew Carnegie Blvd.
Charlotte, NC 28262-8500
  10,669,429.427   39.30
 TIAA-CREF Managed Allocation II AC
Attn TIAA-CREF Mutual Fund Ops
730 3rd Ave.
New York, NY 10017-3207
  3,824,046.850   14.09
 TIAA-CREF Lifestyle Moderate Fund
Attn: TIAA-CREF Mutual Fund Ops
730 3rd Ave.
New York, NY 10017-3206
  2,457,132.239   9.05
 Mac & Co.
Attn: Mutual Fund Operations
500 Grant Street
Room 151-1010
Pittsburgh, PA 15219-2502
  2,130,609.020   7.85
 TIAA-CREF Lifestyle Growth Fund
Attn: TIAA-CREF Mutual Fund Ops
730 3rd Ave.
New York, NY 10017-3206
  1,712,462.219   6.31
 

Capinco

C/O US Bank NA
1555 N Rivercenter Dr. Ste. 302
Milwaukee, WI 53212-3958

  1,706,665.579   6.29
 TIAA-CREF Lifestyle Aggressive
Growth Fund
Attn: TIAA-CREF Mutual Fund Ops
730 3rd Ave.
New York, NY 10017-3206
  1,672,718.720   6.16
 TIAA-CREF Individual & Institutional Serv. Inc.
For Exclusive Benefit of Customers
Attn Patrick Nelson
730 3rd Ave.
New York, NY 10017-3206
  1,456,749.651   5.37

TIAA-CREF Emerging Markets Equity Index Fund — Institutional Class

 TIAA Trust N.A. as Custodian/Trustee of Retirement Plans Record kept by TIAA
Attn: Fund Operations
8500 Andrew Carnegie Blvd.
Charlotte, NC 28262-8500
  24,013,780.032   22.40
 Mac & Co.
Attn Mutual Fund Operation
500 Grant Street
Room 151-1010
Pittsburgh, PA 15219-2502
  23,282,644.356   21.72

F-27


    
Fund and Class Shareholder Name and Address Number of
Shares Owned
  Percentage
Owned
 
 Mac & Co.
Attn: Mutual Fund Operations
500 Grant Street
Room 151-1010
Pittsburgh, PA 15219-2502
  15,196,900.911   14.18
 Mac & Co.
Attn: Mutual Fund Operations
500 Grant Street
Room 151-1010
Pittsburgh, PA 15219-2502
  12,184,267.144   11.37
 Mac & Co.
Attn Mutual Fund Operation
500 Grant Street
Room 151-1010
Pittsburgh, PA 15219-2502
  9,225,000.563   8.61
 TIAA-CREF Individual & Institutional Serv. Inc.
For Exclusive Benefit of Customers
Attn Patrick Nelson
730 3rd Ave.
New York, NY 10017-3206
  6,396,734.408   5.97
 World Health Organization
Attn Treasury
Avenue Appia 20
Geneva 27
Switzerland 1211
  6,177,729.253   5.76

TIAA-CREF Lifestyle Conservative
Fund — Institutional Class

 Pershing LLC
PO Box 2052
Jersey City, NJ 07303-2052
  2,467,989.147   54.78
 DCGT as Trustee and/or Custodian
FBO PLIC Various Retirement Plans Omnibus
Attn: NPIO Trade Desk
711 High Street
Des Moines, IA 50392-0001
  635,954.455   14.11
 SEI Private Trust Company
C/O TIAA-SWP
1 Freedom Valley Drive
Oaks, PA 19456-9989
  369,776.142   8.21

TIAA-CREF Lifestyle Moderate Fund — Institutional Class

 Pershing LLC
PO Box 2052
Jersey City, NJ 07303-2052
  2,957,273.825   49.70
 SEI Private Trust Company
C/O TIAA-SWP
1 Freedom Valley Drive
Oaks, PA 19456-9989
  1,373,618.105   23.08
 Empower Trust FBO
Employee Benefits Clients 401K
8515 E Orchard Rd. 2T2
Greenwood Vlg, CO 80111-5002
  357,726.421   6.01

F-28


    
Fund and Class Shareholder Name and Address Number of
Shares Owned
  Percentage
Owned
 

TIAA-CREF Lifestyle Growth Fund — Institutional Class

 SEI Private Trust Company
C/O TIAA-SWP
1 Freedom Valley Drive
Oaks, PA 19456-9989
  855,252.297   30.29
 Pershing LLC
PO Box 2052
Jersey City, NJ 07303-2052
  666,145.741   23.59
 Voya Institutional Trust Company
One Orange Way B3N
Windsor, CT 06095-4773
  209,793.472   7.43
 AUL American Grp Retirement Annuity
Attn: Separate Accounts
PO Box 368
Indianapolis, IN 46206-0368
  207,656.168   7.35
 John Hancock Trust Company LLC
200 Berkeley St. Ste. 7
Boston, MA 02116-5038
  200,643.417   7.11
 State Street Bank Trustee Custodian
FBO ADP Access Product
1 Lincoln St.
Boston, MA 02111-2901
  167,267.813   5.92
 Empower Trust FBO
Employee Benefits Clients 401K
8515 E Orchard Rd. 2T2
Greenwood Vlg, CO 80111-5002
  158,043.745   5.60

TIAA-CREF Lifestyle Aggressive Growth Fund — Institutional Class

 Pershing LLC
PO Box 2052
Jersey City, NJ 07303-2052
  647,399.094   19.99
 Voya Institutional Trust Company
One Orange Way B3N
Windsor, CT 06095-4773
  457,503.140   14.12
 AUL American Grp Retirement Annuity
Attn: Separate Accounts
PO Box 368
Indianapolis, IN 46206-0368
  427,191.108   13.19
 SEI Private Trust Company
C/O TIAA-SWP
1 Freedom Valley Drive
Oaks, PA 19456-9989
  295,166.717   9.11
 Empower Trust FBO
Employee Benefits Clients 401K
8515 E. Orchard Rd. 2T2
Greenwood Vlg, CO 80111-5002
  222,980.032   6.88
 Mid Atlantic Trust Company
1251 Waterfront Place
Suite 525
Pittsburgh, PA 15222-4228
  213,385.554   6.59

F-29


    
Fund and Class Shareholder Name and Address Number of
Shares Owned
  Percentage
Owned
 

TIAA-CREF Lifecycle 2050 Fund — Retirement Class

 TIAA Trust N.A. as Custodian/Trustee of Retirement Plans Record kept by TIAA
Attn: Fund Operations
8500 Andrew Carnegie Blvd.
Charlotte, NC 28262-8500
  22,298,492.547   63.47
 JPMorgan Chase Bank NA FBO
TIAA-CREF Trust Co. as Custodian for IRA Clients
Attn DC Plan Service Team
4 New York Plz. Fl. 17
New York, NY 10004-2413
  10,558,434.625   30.05

TIAA-CREF Lifecycle 2050 Fund — Institutional Class

 TIAA Trust N.A. as Custodian/Trustee of Retirement Plans Record kept by TIAA
Attn: Fund Operations
8500 Andrew Carnegie Blvd.
Charlotte, NC 28262-8500
  146,087,475.794   72.42
 TIAA-CREF Individual & Institutional Serv. Inc.
For Exclusive Benefit of Customers
Attn Patrick Nelson
730 3rd Ave.
New York, NY 10017-3206
  49,761,965.234   24.67

TIAA-CREF Lifecycle 2055 Fund — Retirement Class

 TIAA Trust N.A. as Custodian/Trustee of Retirement Plans Record kept by TIAA
Attn: Fund Operations
8500 Andrew Carnegie Blvd.
Charlotte, NC 28262-8500
  9,273,241.532   66.59
 JPMorgan Chase Bank NA FBO
TIAA-CREF Trust Co. as Custodian for IRA Clients
Attn: DC Plan Service Team
4 New York Plz. Fl. 17
New York, NY 10004-2413
  3,663,988.611   26.31

TIAA-CREF Lifecycle 2055 Fund — Institutional Class

 TIAA Trust N.A. as Custodian/Trustee of Retirement Plans Record kept by TIAA
Attn: Fund Operations
8500 Andrew Carnegie Blvd.
Charlotte, NC 28262-8500
  63,207,625.519   76.05
 TIAA-CREF Individual & Institutional Serv. Inc.
For Exclusive Benefit of Customers
Attn Patrick Nelson
730 3rd Ave.
New York, NY 10017-3206
  16,982,896.511   20.43

TIAA-CREF Emerging Markets Debt Fund — Institutional Class

 Charles Schwab & Co. Inc.
Attn: Mutual Funds
211 Main St.
San Francisco, CA 94105-1901
  3,220,258.355   31.28

F-30


    
Fund and Class Shareholder Name and Address Number of
Shares Owned
  Percentage
Owned
 
 

Capinco

C/O US Bank NA
1555 N Rivercenter Dr. Ste. 302
Milwaukee, WI 53212-3958

  1,553,879.827   15.09
 Mac & Co.
Attn: Mutual Fund Operations
500 Grant Street
Room 151-1010
Pittsburgh, PA 15219-2502
  1,394,082.040   13.54
 Morgan Stanley Smith Barney LLC
For the Exclusive Benefit of its Custodian
1 New York Plz. Fl. 12
New York, NY 10004-1965
  1,058,846.378   10.28
 Pershing LLC
P. O. Box 2052
Jersey City, NJ 07303-2052
  877,864.603   8.53
 TIAA Trust N.A. as Custodian/Trustee of Retirement Plans Record kept by TIAA
Attn: Fund Operations
8500 Andrew Carnegie Blvd.
Charlotte, NC 28262-8500
  565,606.147   5.49

TIAA-CREF Lifecycle Index 2010
Fund — Premier Class

 JPMorgan Chase Bank NA FBO
TIAA-CREF Trust Co. as Trustee/Custodian for Rhsp Clients
Attn: DC Plan Service Team
4 New York Plz. Fl. 17
New York, NY 10004-2413
  400,544.132   32.99
 TIAA Trust N.A. as Custodian/Trustee of Retirement Plans Record kept by TIAA
Attn: Fund Operations
8500 Andrew Carnegie Blvd.
Charlotte, NC 28262-8500
  384,086.725   31.63
 State Street Bank & Trust Co. FBO
Various Retirement Plans
Transamerica Retirement Solutions
Harrison, NY 10528
  240,082.311   19.77
 Reliance Trust Co. Trustee
ADP Access Large Market 401K
1100 Abernathy Rd.
Atlanta, GA 30328-5620
  121,118.542   9.98
 

Merrill Lynch Pierce Fenner & Smith Inc.

For The Sole Benefit of its Customers
4800 Deer Lake Dr. E.
Jacksonville FL 32246-6484

  68,351.515   5.63

TIAA-CREF Growth & Income Fund — Premier Class

 TIAA Trust N.A. as Custodian/Trustee of Retirement Plans Record kept by TIAA
Attn: Fund Operations
8500 Andrew Carnegie Blvd.
Charlotte, NC 28262-8500
  341,496.991   89.25

F-31


    
Fund and Class Shareholder Name and Address Number of
Shares Owned
  Percentage
Owned
 
 Charles Schwab & Co. Inc.
Attn: Mutual Funds
211 Main St.
San Francisco, CA 94105-1901
  30,132.379   7.88

TIAA-CREF Social Choice Equity
Fund — Premier Class

 TIAA Trust N.A. as Custodian/Trustee of Retirement Plans Record kept by TIAA
Attn: Fund Operations
8500 Andrew Carnegie Blvd.
Charlotte, NC 28262-8500
  1,361,306.539   81.85
 Charles Schwab & Co. Inc.
Attn: Mutual Funds
211 Main St.
San Francisco, CA 94105-1901
  124,523.361   7.49

TIAA-CREF International Equity Fund — Premier Class

 TIAA Trust N.A. as Custodian/Trustee of Retirement Plans Record kept by TIAA
Attn: Fund Operations
8500 Andrew Carnegie Blvd.
Charlotte, NC 28262-8500
  3,056,926.847   100.00

TIAA-CREF Large-Cap Value Fund — Premier Class

 TIAA Trust N.A. as Custodian/Trustee of Retirement Plans Record kept by TIAA
Attn: Fund Operations
8500 Andrew Carnegie Blvd.
Charlotte, NC 28262-8500
  1,515,029.519   99.93

TIAA-CREF Lifecycle Index 2015
Fund — Premier Class

 JPMorgan Chase Bank NA FBO
TIAA-CREF Trust Co. as Trustee/Custodian for RHSP Clients
Attn: DC Plan Service Team
4 New York Plz. Fl. 17
New York, NY 10004-2413
  941,220.683   53.19
 TIAA Trust N.A. as Custodian/Trustee of Retirement Plans Record kept by TIAA
Attn: Fund Operations
8500 Andrew Carnegie Blvd.
Charlotte, NC 28262-8500
  361,397.962   20.42
 State Street Bank & Trust Co. FBO
Various Retirement Plans
Transamerica Retirement Solutions
Harrison, NY 10528
  176,070.177   9.95
 Reliance Trust Co. Trustee
ADP Access Large Market 401K
1100 Abernathy Rd.
Atlanta, GA 30328-5620
  144,432.851   8.16
 

Merrill Lynch Pierce Fenner & Smith Inc.

For The Sole Benefit of its Customers
4800 Deer Lake Dr. E.
Jacksonville, FL 32246-6484

  140,387.033   7.93

TIAA-CREF Bond Index Fund — Institutional Class

 Pershing LLC
PO Box 2052
Jersey City, NJ 07303-2052
  598,150,981.796   60.12

F-32


    
Fund and Class Shareholder Name and Address Number of
Shares Owned
  Percentage
Owned
 
 Mac & Co.
Attn Mutual Fund Operation
500 Grant Street
Room 151-1010
Pittsburgh, PA 15219-2502
  195,423,073.866   19.64
 Mac & Co.
Attn Mutual Fund Operation
500 Grant Street
Room 151-1010
Pittsburgh, PA 15219-2502
  81,237,749.136   8.17

TIAA-CREF Mid-Cap Growth Fund — Premier Class

 TIAA Trust N.A. as Custodian Trustee of Retirement Plans Record kept by TIAA
Attn: Fund Operations
8500 Andrew Carnegie Blvd.
Charlotte, NC 28262-8500
  793,318.452   99.13

TIAA-CREF Mid-Cap Value Fund — Premier Class

 TIAA Trust N.A. as Custodian/Trustee of Retirement Plans Record kept by TIAA
Attn: Fund Operations
8500 Andrew Carnegie Blvd.
Charlotte, NC 28262-8500
  1,745,081.790   99.75

TIAA-CREF Real Estate Securities
Fund — Premier Class

 TIAA Trust N.A. as Custodian/Trustee of Retirement Plans Record kept by TIAA
Attn: Fund Operations
8500 Andrew Carnegie Blvd.
Charlotte, NC 28262-8500
  1,148,244.104   77.95
 Charles Schwab & Co. Inc.
Attn: Mutual Funds
211 Main St.
San Francisco, CA 94105-1901
  141,958.764   9.64

TIAA-CREF Lifecycle Index 2020
Fund — Premier Class

 JPMorgan Chase Bank NA FBO
TIAA-CREF Trust Co. as Trustee/Custodian for Rhsp Clients
Attn: DC Plan Service Team
4 New York Plz. Fl. 17
New York, NY 10004-2413
  2,141,146.679   49.12
 TIAA Trust N.A. as Custodian/Trustee of Retirement Plans Record kept by TIAA
Attn: Fund Operations
8500 Andrew Carnegie Blvd.
Charlotte, NC 28262-8500
  850,582.717   19.51
 Reliance Trust Co. Trustee
1100 Abernathy Rd.
Atlanta, GA 30328-5620
  604,310.662   13.86
 

Merrill Lynch Pierce Fenner & Smith Inc.

For the Sole Benefit of its Customers
4800 Deer Lake Dr. E.
Jacksonville, FL 32246-6484

  574,209.983   13.17

F-33


    
Fund and Class Shareholder Name and Address Number of
Shares Owned
  Percentage
Owned
 

TIAA-CREF International Equity Index Fund — Premier Class

 TIAA Trust N.A. as Custodian/Trustee of Retirement Plans Record kept by TIAA
Attn: Fund Operations
8500 Andrew Carnegie Blvd.
Charlotte, NC 28262-8500
  4,833,198.402   72.14
 Empower Trust FBO
Alabamaretire Deferred Compensation
C/O Fascore LLC
8515 E. Orchard Rd. 2T2
Greenwood Vlg, CO 80111-5002
  1,707,080.232   25.48

TIAA-CREF Quant Small Cap Equity Fund — Premier Class

 TIAA Trust N.A. as Custodian/Trustee of Retirement Plans Record kept by TIAA
Attn: Fund Operations
8500 Andrew Carnegie Blvd.
Charlotte, NC 28262-8500
  1,811,990.611   99.62

TIAA-CREF Equity Index Fund — Premier Class

 TIAA Trust N.A. as Custodian/Trustee of Retirement Plans Record kept by TIAA
Attn: Fund Operations
8500 Andrew Carnegie Blvd.
Charlotte, NC 28262-8500
  1,302,291.068   93.28

TIAA-CREF Inflation-Linked Bond
Fund — Premier Class

 TIAA Trust N.A. as Custodian/Trustee of Retirement Plans Record kept by TIAA
Attn: Fund Operations
8500 Andrew Carnegie Blvd.
Charlotte, NC 28262-8500
  123,091.615   87.59
 Ascensus Trust Company
P.O. Box 10758
Fargo, ND 58106-0758
  16,983.436   12.08

TIAA-CREF Lifecycle Index 2035
Fund — Retirement Class

 

TIAA Trust , N.A. AS Cust/TTEE

Of Retirement Plans

Recordkept By TIAA

Attn: Fund Operations

8500 Andrew Carnegie Blvd.

Charlotte, NC 28262-8500

  9,244,185.806   52.54
 

AUL American Grp. Retirement Annuity

Attn: Separate Accounts

PO Box 368

Indianapolis, IN 46206-0368

  3,007,098.307   17.09
 

AUL American Grp. Retirement Annuity

Attn: Separate Accounts

PO Box 368

Indianapolis, IN 46206-0368

  2,048,960.789   11.64
 

JPMorgan Chase Bank NA FBO

TIAA-CREF Trust Co. as Cust. for

IRA Clients

Attn: DC Plan Service Team

4 New York Plz., Fl. 17

New York, NY 10004-2413

  1,327,341.928   7.54

F-34


    
Fund and Class Shareholder Name and Address Number of
Shares Owned
  Percentage
Owned
 
 

JPMorgan Chase Bank NA FBO

TIAA-CREF Trust Co. as TTEE/Cust.

for RHSP Clients

Attn: DC Plan Service Team

4 New York Plz., Fl. 17

New York, NY 10004-2413

  933,874.997   5.31

TIAA-CREF Lifecycle Index 2040
Fund — Retirement Class

 

TIAA Trust, N.A. as Cust./TTEE

Of Retirement Plans

Recordkept by TIAA

Attn: Fund Operations

8500 Andrew Carnegie Blvd.

Charlotte, NC 28262-8500

  8,792,348.950   56.21
 

AUL American GRP Retirement Annuity

Attn: Separate Accounts

PO Box 368

Indianapolis, IN 46206-0368

  2,071,198.985   13.24
 

AUL American Unit Investment Trust

Attn: Separate Accounts

PO Box 368

Indianapolis, IN 46206-0368

  1,693,849.544   10.83
 

JPMorgan Chase Bank NA FBO

TIAA-CREF Trust Co. as Cust. for

IRA Clients

Attn: DC Plan Service Team

4 New York Plz., Fl. 17

New York, NY 10004-2413

  1,664,133.366   10.64

TIAA-CREF Lifecycle Index 2045
Fund — Retirement Class

 

TIAA Trust, N.A. as Cust./TTEE

Of Retirement Plans

Recordkept by TIAA

Attn: Fund Operations

8500 Andrew Carnegie Blvd.

Charlotte, NC 28262-8500

  6,734,495.017   55.26
 

AUL American GRP Retirement Annuity

Attn: Separate Accounts

PO Box 368

Indianapolis, IN 46206-0368

  1,785,064.507   14.65
 

AUL American Unit Investment Trust

Attn: Separate Accounts

PO Box 368

Indianapolis, IN 46206-0368

  1,413,370.775   11.60
 

JPMorgan Chase Bank NA FBO

TIAA-CREF Trust Co. as Cust. for

IRA Clients

Attn: DC Plan Service Team

4 New York Plz., Fl. 17

New York, NY 10004-2413

  1,310,533.871   10.75

TIAA-CREF Lifecycle Index 2050
Fund — Retirement Class

 

TIAA Trust, N.A. as Cust./TTEE

Of Retirement Plans

Recordkept by TIAA

Attn: Fund Operations

8500 Andrew Carnegie Blvd.

Charlotte, NC 28262-8500

  5,460,636.858   53.46

F-35


    
Fund and Class Shareholder Name and Address Number of
Shares Owned
  Percentage
Owned
 
 

AUL American GRP Retirement Annuity

Attn: Separate Accounts

PO Box 368

Indianapolis, IN 46206-0368

  1,613,615.227   15.80
 

AUL American Unit Investment Trust

Attn: Separate Accounts

PO Box 368

Indianapolis, IN 46206-0368

  1,394,405.485   13.65
 

JPMorgan Chase Bank NA FBO

TIAA-CREF Trust Co. as Cust. for

IRA Clients

Attn: DC Plan Service Team

4 New York Plz., Fl. 17

New York, NY 10004-2413

  1,119,264.467   10.96

TIAA-CREF Lifecycle Index 2055
Fund — Retirement Class

 

TIAA Trust, N.A. as Cust./TTEE

Of Retirement Plans

Recordkept by TIAA

Attn: Fund Operations

8500 Andrew Carnegie Blvd.

Charlotte, NC 28262-8500

  3,533,162.558   51.33
 

AUL American GRP Retirement Annuity

Attn: Separate Accounts

PO Box 368

Indianapolis, IN 46206-0368

  1,183,682.779   17.20
 

AUL American Unit Investment Trust

Attn: Separate Accounts

PO Box 368

Indianapolis, IN 46206-0368

  1,128,550.943   16.39
 

JPMorgan Chase Bank NA FBO

TIAA-CREF Trust Co. as Cust. for

IRA Clients

Attn: DC Plan Service Team

4 New York Plz., Fl. 17

New York, NY 10004-2413

  539,538.772   7.84

TIAA-CREF Lifecycle Index 2065
Fund — Retirement Class

 

TIAA Trust, N.A. as Cust./TTEE

Of Retirement Plans

Recordkept by TIAA

Attn: Fund Operations

8500 Andrew Carnegie Blvd.

Charlotte, NC 28262-8500

  154,662.094   29.07
 

AUL American Unit Investment Trust

Attn: Separate Accounts

PO Box 368

Indianapolis, IN 46206-0368

  130,814.945   24.59
 

AUL American GRP Retirement Annuity

Attn: Separate Accounts

PO Box 368

Indianapolis, IN 46206-0368

  125,537.128   23.60
 

Teachers Insurance & Annuity Assoc.

Attn: TIAA-CREF Mutual Funds Ops.

730 3rd Ave., Ste. 2A

New York, NY 10017-3207

  50,000.000   9.40

F-36


    
Fund and Class Shareholder Name and Address Number of
Shares Owned
  Percentage
Owned
 

TIAA-CREF Lifecycle Index 2060
Fund — Retirement Class

 

TIAA Trust, N.A. as Cust./TTEE

Of Retirement Plans

Recordkept by TIAA

Attn: Fund Operations

8500 Andrew Carnegie Blvd.

Charlotte, NC 28262-8500

  1,613,614.329   37.47
 

AUL American GRP Retirement Annuity

Attn: Separate Accounts

PO Box 368

Indianapolis, IN 46206-0368

  916,175.089   21.28
 

AUL American Unit Investment Trust

Attn: Separate Accounts

PO Box 368

Indianapolis, IN 46206-0368

  724,365.093   16.82
 

JPMorgan Chase Bank NA FBO

TIAA-CREF Trust Co. as Cust. for

IRA Clients

Attn: DC Plan Service Team

4 New York Plz., Fl. 17

New York, NY 10004-2413

  677,652.908   15.74

TIAA-CREF Short-Term Bond Index Fund — Premier Class

 

TIAA Trust, N.A. as Cust./TTEE

Of Retirement Plans

Recordkept by TIAA

Attn: Fund Operations

8500 Andrew Carnegie Blvd.

Charlotte, NC 28262-8500

  27,650.113   52.52
 

Teachers Insurance & Annuity Assoc.

Attn: TIAA-CREF Mutual Funds Ops.

730 3rd Ave., Ste. 2A

New York, NY 10017-3207

  25,000.000   47.48

TIAA-CREF Social Choice International Equity Fund — Institutional Class

 

SEI Private Trust Company

C/O TIAA SWP

1 Freedom Valley Drive

Oaks, PA 19456-9989

  14,214,837.321   23.20
 

TIAA Trust, N.A. as Cust./TTEE

Of Retirement Plans

Recordkept by TIAA

Attn: Fund Operations

8500 Andrew Carnegie Blvd.

Charlotte, NC 28262-8500

  14,181,630.769   23.15
 

Pershing LLC

PO Box 2052

Jersey City, NJ 07303-2052

  11,098,853.819   18.11
 

Charles Schwab & Co. Inc.

Attn: Mutual Funds

211 Main St.

San Francisco, CA 94105-1901

  10,548,910.354   17.22
 

TIAA-CREF

Individual & Institutional Serv. Inc.

For Exclusive Benefit of Customers

Attn: Patrick Nelson

730 3rd Ave.

New York, NY 10017-3206

  9,306,937.940   15.19

F-37


    
Fund and Class Shareholder Name and Address Number of
Shares Owned
  Percentage
Owned
 

TIAA-CREF Social Choice Low Carbon Equity Fund — Institutional Class

 

TIAA Trust, N.A. as Cust./TTEE

Of Retirement Plans

Recordkept by TIAA

Attn: Fund Operations

8500 Andrew Carnegie Blvd.

Charlotte, NC 28262-8500

  11,664,899.387   44.85
 

Charles Schwab & Co. Inc.

Attn: Mutual Funds

211 Main St.

San Francisco, CA 94105-1901

  6,694,592.010   25.74
 

SEI Private Trust Company

C/O TIAA SWP

1 Freedom Valley Drive

Oaks, PA 19456-9989

  3,999,520.401   15.38
 

TIAA-CREF

Individual & Institutional Serv. Inc.

For Exclusive Benefit of Customers

Attn: Patrick Nelson

730 3rd Ave.

New York, NY 10017-3206

  1,439,856.112   5.54

TIAA-CREF Green Bond Fund — Retirement Class

 

JPMorgan Chase Bank NA FBO

TIAA-CREF Trust Co. as Cust. for

IRA Clients

Attn: DC Plan Service Team

4 New York Plz., Fl. 17

New York, NY 10004-2413

  1,329,447.088   87.99
 

Teachers Insurance & Annuity Assoc.

Attn: TIAA-CREF Mutual Funds Ops.

730 3rd Ave., Ste. 2A

New York, NY 10017-3207

  100,000.000   6.62
 

Pershing LLC

PO Box 2052

Jersey City, NJ 07303-2052

  78,813.869   5.22

TIAA-CREF Green Bond Fund — Premier Class

 

Teachers Insurance & Annuity Assoc.

Attn: TIAA-CREF Mutual Funds Ops.

730 3rd Ave., Ste. 2A

New York, NY 10017-3207

  100,000.000   100.00

TIAA-CREF Green Bond Fund — Institutional Class

 

TIAA Global Public Investments LLC

Series CAT

Attn: Emilia Wiener

730 3rd Ave.

New York, NY 10017-3206

  4,943,906.802   57.27
 

Teachers Insurance & Annuity Assoc.

Attn: TIAA-CREF Mutual Funds Ops.

730 3rd Ave., Ste. 2A

New York, NY 10017-3207

  2,100,000.000   24.33
 

Charles Schwab & Co. Inc.

Attn: Mutual Funds

211 Main St.

San Francisco, CA 94105-1901

  727,621.203   8.43

F-38


    
Fund and Class Shareholder Name and Address Number of
Shares Owned
  Percentage
Owned
 

TIAA-CREF Short Duration Impact Bond Fund — Retirement Class

 

JPMorgan Chase Bank NA FBO

TIAA-CREF Trust Co. as Cust. for

IRA Clients

Attn: DC Plan Service Team

4 New York Plz., Fl. 17

New York, NY 10004-2413

  549,373.435   83.63
 

Teachers Insurance & Annuity Assoc.

Attn: TIAA-CREF Mutual Funds Ops.

730 3rd Ave., Ste. 2A

New York, NY 10017-3207

  100,000.000   15.22

TIAA-CREF Short Duration Impact Bond Fund — Premier Class

 

Teachers Insurance & Annuity Assoc.

Attn: TIAA-CREF Mutual Funds Ops.

730 3rd Ave., Ste. 2A

New York, NY 10017-3207

  100,000.000   100.00

TIAA-CREF Short Duration Impact Bond Fund — Institutional Class

 

Teachers Insurance & Annuity Assoc.

Attn: TIAA-CREF Mutual Funds Ops.

730 3rd Ave., Ste. 2A

New York, NY 10017-3207

  2,100,000.000   32.37
 

Morgan Stanley Smith Barney LLC

For the Exclusive Bene. of its Cust.

1 New York Plz., Fl. 12

New York, NY 10004-1965

  1,760,866.765   27.14
 

Bank of American NA

PO Box 843869

Dallas, TX 75284-3869

  1,545,307.918   23.82
 

Charles Schwab & Co. Inc.

Attn: Mutual Funds

211 Main St.

San Francisco, CA 94105-1901

  818,879.214   12.62

TIAA-CREF Green Bond Fund — Retail Class

 

Pershing LLC

PO Box 2052

Jersey City, NJ 07303-2052

  417,257.504   52.19
 

Teachers Insurance & Annuity Assoc.

Attn: TIAA-CREF Mutual Funds Ops.

730 3rd Ave., Ste. 2A

New York, NY 10017-3207

  100,000.000   12.51

TIAA-CREF Short Duration Impact Bond Fund — Retail Class

 

Charles Schwab & Co. Inc.

Attn: Mutual Funds

211 Main St.

San Francisco, CA 94105-1901

  110,896.324   33.29
 

Teachers Insurance & Annuity Assoc.

Attn: TIAA-CREF Mutual Funds Ops.

730 3rd Ave., Ste. 2A

New York, NY 10017-3207

  100,000.000   30.02
 

Pershing LLC

PO Box 2052

Jersey City, NJ 07303-2052

  72,136.119   21.66

F-39


    
Fund and Class Shareholder Name and Address Number of
Shares Owned
  Percentage
Owned
 
 

R Neil Vance

Susan K. Zimmerman JT TEN

202 Louise Dr.

Morrisville, PA 19067-4830

  21,423.889   6.43

TIAA-CREF Lifecycle 2010 Fund — Premier Class

 

TIAA Trust, N.A. as Cust./TTEE

Of Retirement Plans

Recordkept by TIAA

Attn: Fund Operations

8500 Andrew Carnegie Blvd.

Charlotte, NC 28262-8500

  3,669,104.522   99.10

TIAA-CREF Social Choice International Equity Fund — Premier Class

 

TIAA Trust, N.A. as Cust./TTEE

Of Retirement Plans

Recordkept by TIAA

Attn: Fund Operations

8500 Andrew Carnegie Blvd.

Charlotte, NC 28262-8500

  30,203.446   43.04
 

Heartland Bank and Trust Company

Asset Management & Trust Services

200 West College Avenue

Normal, IL 61761-2577

  22,734.280   32.39
 

Teachers Insurance & Annuity Assoc.

Attn: TIAA-CREF Mutual Funds Ops.

730 3rd Ave., Ste. 2A

New York, NY 10017-3207

  9,302.326   13.25
 

Interactive Brokers LLC

2 Pickwick Plaza

Greenwich, CT 06830-5576

  7,942.934   11.32

TIAA-CREF Social Choice Low Carbon Equity Fund — Premier Class

 

TIAA Trust, N.A. as Cust./TTEE

Of Retirement Plans

Recordkept by TIAA

Attn: Fund Operations

8500 Andrew Carnegie Blvd.

Charlotte, NC 28262-8500

  269,610.516   90.04
 

Teachers Insurance & Annuity Assoc.

Attn: TIAA-CREF Mutual Funds Ops.

730 3rd Ave., Ste. 2A

New York, NY 10017-3207

  25,000.000   8.35

TIAA-CREF Lifecycle 2025 Fund — Premier Class

 

TIAA Trust, N.A. as Cust./TTEE

Of Retirement Plans

Recordkept by TIAA

Attn: Fund Operations

8500 Andrew Carnegie Blvd.

Charlotte, NC 28262-8500

  18,550,426.422   98.34

TIAA-CREF Lifecycle 2030 Fund — Premier Class

 

TIAA Trust, N.A. as Cust./TTEE

Of Retirement Plans

Recordkept by TIAA

Attn: Fund Operations

8500 Andrew Carnegie Blvd.

Charlotte, NC 28262-8500

  21,398,047.476   98.41

F-40


    
Fund and Class Shareholder Name and Address Number of
Shares Owned
  Percentage
Owned
 

TIAA-CREF Lifecycle 2035 Fund — Premier Class

 

TIAA Trust, N.A. as Cust./TTEE

Of Retirement Plans

Recordkept by TIAA

Attn: Fund Operations

8500 Andrew Carnegie Blvd.

Charlotte, NC 28262-8500

  20,569,238.015   97.66

TIAA-CREF Lifecycle Retirement Income Fund — Premier Class

 

TIAA Trust, N.A. as Cust./TTEE

Of Retirement Plans

Recordkept by TIAA

Attn: Fund Operations

8500 Andrew Carnegie Blvd.

Charlotte, NC 28262-8500

  906,849.235   87.77
 

VRSCO

FBO AIGFSB Cust. TTEE FBO

Roger Williams Univ. 403B

2727-A Allen Parkway, 4-D1

Houston, TX 77019-2107

  89,373.335   8.65

TIAA-CREF Lifecycle 2040 Fund — Premier Class

 

TIAA Trust, N.A. as Cust./TTEE

Of Retirement Plans

Recordkept by TIAA

Attn: Fund Operations

8500 Andrew Carnegie Blvd.

Charlotte, NC 28262-8500

  23,290,633.658   98.39

TIAA-CREF Lifecycle 2045 Fund — Premier Class

 

TIAA Trust, N.A. as Cust./TTEE

Of Retirement Plans

Recordkept by TIAA

Attn: Fund Operations

8500 Andrew Carnegie Blvd.

Charlotte, NC 28262-8500

  13,068,797.009   97.95

TIAA-CREF Lifecycle 2050 Fund — Premier Class

 

TIAA Trust, N.A. as Cust./TTEE

Of Retirement Plans

Recordkept by TIAA

Attn: Fund Operations

8500 Andrew Carnegie Blvd.

Charlotte, NC 28262-8500

  9,016,382.255   97.90

TIAA-CREF Lifecycle 2055 Fund — Premier Class

 

TIAA Trust, N.A. as Cust./TTEE

Of Retirement Plans

Recordkept by TIAA

Attn: Fund Operations

8500 Andrew Carnegie Blvd.

Charlotte, NC 28262-8500

  3,780,825.491   98.14

TIAA-CREF Lifecycle 2065 Fund — Premier Class

 

TIAA Trust, N.A. as Cust./TTEE

Of Retirement Plans

Recordkept by TIAA

Attn: Fund Operations

8500 Andrew Carnegie Blvd.

Charlotte, NC 28262-8500

  152,237.523   75.15
 

Teachers Insurance & Annuity Assoc.

Attn: TIAA-CREF Mutual Funds Ops.

730 3rd Ave., Ste. 2A

New York, NY 10017-3207

  50,000.000   24.68

F-41


    
Fund and Class Shareholder Name and Address Number of
Shares Owned
  Percentage
Owned
 

TIAA-CREF Lifecycle 2060 Fund — Premier Class

 

TIAA Trust, N.A. as Cust./TTEE

Of Retirement Plans

Recordkept by TIAA

Attn: Fund Operations

8500 Andrew Carnegie Blvd.

Charlotte, NC 28262-8500

  1,267,637.759   96.61

TIAA-CREF Lifecycle Index 2010 Fund — Institutional Class

 

TIAA Trust, N.A. as Cust./TTEE

Of Retirement Plans

Recordkept by TIAA

Attn: Fund Operations

8500 Andrew Carnegie Blvd.

Charlotte, NC 28262-8500

  21,264,841.521   61.22
 

Mid Atlantic Trust Company FBO

MATC Omnibus Div. Reinvest. LTCG — RE

1251 Waterfront Place, Suite 525

Pittsburgh, PA 15222-4228

  2,233,711.520   6.43

TIAA-CREF Lifecycle Index 2015
Fund — Institutional Class

 

TIAA Trust, N.A. as Cust./TTEE

Of Retirement Plans

Recordkept by TIAA

Attn: Fund Operations

8500 Andrew Carnegie Blvd.

Charlotte, NC 28262-8500

  31,808,518.980   57.30

TIAA-CREF Lifecycle Index 2020
Fund — Institutional Class

 

TIAA Trust, N.A. as Cust./TTEE

Of Retirement Plans

Recordkept by TIAA

Attn: Fund Operations

8500 Andrew Carnegie Blvd.

Charlotte, NC 28262-8500

  74,517,621.876   49.20
 

Merrill Lynch, Pierce, Fenner & Smith Inc. For the Sole Benefit of its Customers

4800 Deer Lake Dr. E.

Jacksonville, FL 32246-6484

  8,188,059.235   5.41
 

DCGT as TTEE and/or Cust.

FBO PLIC Various Retirement Plans Omnibus

Attn: NPIO Trade Desk

711 High Street

Des Moines, IA 50392-0001

  7,857,327.846   5.19

TIAA-CREF Lifecycle Index 2025
Fund — Institutional Class

 

TIAA Trust, N.A. as Cust./TTEE

Of Retirement Plans

Recordkept by TIAA

Attn: Fund Operations

8500 Andrew Carnegie Blvd.

Charlotte, NC 28262-8500

  
 

Merrill Lynch, Pierce, Fenner & Smith Inc. For the Sole Benefit of its Customers

4800 Deer Lake Dr. E.

Jacksonville, FL 32246-6484

  

F-42


    
Fund and Class Shareholder Name and Address Number of
Shares Owned
  Percentage
Owned
 
 

DCGT as TTEE and/or Cust.

FBO PLIC Various Retirement Plans Omnibus

Attn: NPIO Trade Desk

711 High Street

Des Moines, IA 50392-0001

  
 

John Hancock Life Insurance

Company U S A

Attn: JHRPS Trading OPS ST6

200 Berkeley Street

Boston, MA 02116-5022

  

TIAA-CREF Lifecycle Index 2030
Fund — Institutional Class

 

TIAA Trust, N.A. as Cust./TTEE

Of Retirement Plans

Recordkept by TIAA

Attn: Fund Operations

8500 Andrew Carnegie Blvd.

Charlotte, NC 28262-8500

  127,848,831.843   42.69
 

DCGT as TTEE and/or Cust.

FBO PLIC Various Retirement Plans Omnibus

Attn: NPIO Trade Desk

711 High Street

Des Moines, IA 50392-0001

  17,918,544.685   5.98
 

John Hancock Life Insurance

Company U S A

Attn: JHRPS Trading OPS ST6

200 Berkeley Street

Boston, MA 02116-5022

  16,193,235.248   5.41
 

Merrill Lynch, Pierce, Fenner & Smith Inc. For the Sole Benefit of its Customers

4800 Deer Lake Dr. E.

Jacksonville, FL 32246-6484

  15,768,570.477   5.27

TIAA-CREF Lifecycle Index Retirement Income Fund — Institutional Class

 

TIAA Trust, N.A. as Cust./TTEE

Of Retirement Plans

Recordkept by TIAA

Attn: Fund Operations

8500 Andrew Carnegie Blvd.

Charlotte, NC 28262-8500

  9,449,917.481   22.54
 

Merrill Lynch, Pierce, Fenner & Smith Inc. For the Sole Benefit of its Customers

4800 Deer Lake Dr. E.

Jacksonville, FL 32246-6484

  4,055,251.421   9.67
 

PIMS/Prudential Retirement

As Nominee for the TTEE/Cust. PL 940

Oakland County 401(A)

2100 Pontiac Lake Road

Waterford, MI 48328-2762

  3,742,809.945   8.93

F-43


    
Fund and Class Shareholder Name and Address Number of
Shares Owned
  Percentage
Owned
 
 

Empower Trust FBO

Employee Benefits Clients 401K

8515 E Orchard Rd. 2T2

Greenwood Vlg., CO 80111-5002

  2,952,251.918   7.04

TIAA-CREF Lifecycle Index 2035
Fund — Institutional Class

 

TIAA Trust, N.A. as Cust./TTEE

Of Retirement Plans

Recordkept by TIAA

Attn: Fund Operations

8500 Andrew Carnegie Blvd.

Charlotte, NC 28262-8500

  128,070,446.148   45.21
 

John Hancock Life Insurance

Company U S A

Attn: JHRPS Trading OPS ST6

200 Berkeley Street

Boston, MA 02116-5022

  15,605,356.432   5.51

TIAA-CREF Lifecycle Index 2040
Fund — Institutional Class

 

TIAA Trust, N.A. as Cust./TTEE

Of Retirement Plans

Recordkept by TIAA

Attn: Fund Operations

8500 Andrew Carnegie Blvd.

Charlotte, NC 28262-8500

  144,766,711.976   52.44

TIAA-CREF Lifecycle Index 2045
Fund — Institutional Class

 

TIAA Trust, N.A. as Cust./TTEE

Of Retirement Plans

Recordkept by TIAA

Attn: Fund Operations

8500 Andrew Carnegie Blvd.

Charlotte, NC 28262-8500

  106,681,620.543   49.13
 

John Hancock Life Insurance

Company U S A

Attn: JHRPS Trading OPS ST6

200 Berkeley Street

Boston, MA 02116-5022

  11,046,619.398   5.09

TIAA-CREF Lifecycle Index 2050
Fund — Institutional Class

 

TIAA Trust, N.A. as Cust./TTEE

Of Retirement Plans

Recordkept by TIAA

Attn: Fund Operations

8500 Andrew Carnegie Blvd.

Charlotte, NC 28262-8500

  84,179,472.580   46.92
 

Mid Atlantic Trust Company

1251 Waterfront Place, Suite 525

Pittsburgh, PA 15222-4228

  10,507,234.851   5.86
 

John Hancock Life Insurance

Company U S A

Attn: JHRPS Trading OPS ST6

200 Berkeley Street

Boston, MA 02116-5022

  9,359,470.415   5.22

F-44


    
Fund and Class Shareholder Name and Address Number of
Shares Owned
  Percentage
Owned
 

TIAA-CREF Lifecycle Index 2055
Fund — Institutional Class

 

TIAA Trust, N.A. as Cust./TTEE

Of Retirement Plans

Recordkept by TIAA

Attn: Fund Operations

8500 Andrew Carnegie Blvd.

Charlotte, NC 28262-8500

  52,705,633.300   40.64
 

Empower Trust FBO

Employee Benefits Clients 401K

8515 E Orchard Rd. 2T2

Greenwood Vlg., CO 80111-5002

  9,441,244.026   7.28
 

John Hancock Life Insurance

Company U S A

Attn: JHRPS Trading OPS ST6

200 Berkeley Street

Boston, MA 02116-5022

  8,094,350.640   6.24

TIAA-CREF Lifecycle Index 2060
Fund — Institutional Class

 

TIAA Trust, N.A. as Cust./TTEE

Of Retirement Plans

Recordkept by TIAA

Attn: Fund Operations

8500 Andrew Carnegie Blvd.

Charlotte, NC 28262-8500

  25,300,303.823   28.77
 

Mid Atlantic Trust Company

1251 Waterfront Place, Suite 525

Pittsburgh, PA 15222-4228

  7,891,537.050   8.97
 

Empower Trust FBO

Employee Benefits Clients 401K

8515 E Orchard Rd. 2T2

Greenwood Vlg., CO 80111-5002

  7,664,483.495   8.72
 

John Hancock Life Insurance

Company U S A

Attn: JHRPS Trading OPS ST6

200 Berkeley Street

Boston, MA 02116-5022

  7,655,221.361   8.71
 

Nationwide Trust Company, FSB

C/O IPO Portfolio Accounting

P.O. Box 182029

Columbus, OH 43218-2029

  5,376,255.583   6.11

TIAA-CREF Lifecycle 2060 Fund — Institutional Class

 

TIAA Trust, N.A. as Cust./TTEE

Of Retirement Plans

Recordkept by TIAA

Attn: Fund Operations

8500 Andrew Carnegie Blvd.

Charlotte, NC 28262-8500

  27,289,486.057   72.98
 

TIAA-CREF

Individual & Institutional Serv. Inc.

For Exclusive Benefit of Customers

Attn: Patrick Nelson

730 3rd Ave.

New York, NY 10017-3206

  7,947,629.717   21.25

F-45


    
Fund and Class Shareholder Name and Address Number of
Shares Owned
  Percentage
Owned
 

TIAA-CREF Social Choice International Equity Fund — Retail Class

 

Charles Schwab & Co. Inc.

Attn: Mutual Funds

101 Montgomery St.

San Francisco, CA 94104-4151

  1,712,800.858   69.28
 

Pershing LLC

PO Box 2052

Jersey City, NJ 07303-2052

  314,495.020   12.72

TIAA-CREF Social Choice Low Carbon Equity Fund — Retail Class

 

Pershing LLC

PO Box 2052

Jersey City, NJ 07303-2052

  1,543,843.750   46.41
 

Charles Schwab & Co. Inc.

Attn: Mutual Funds

101 Montgomery St.

San Francisco, CA 94104-4151

  428,397.398   12.88

TIAA-CREF Lifecycle 2065 Fund — Retirement Class

 

TIAA Trust, N.A. as Cust./TTEE

Of Retirement Plans

Recordkept by TIAA

Attn: Fund Operations

8500 Andrew Carnegie Blvd.

Charlotte, NC 28262-8500

  595,063.925   69.35
 

JPMorgan Chase Bank NA FBO

TIAA-CREF Trust Co. as Cust. for

IRA Clients

Attn: DC Plan Service Team

4 New York Plz., Fl. 17

New York, NY 10004-2413

  162,709.189   18.96
 

Teachers Insurance & Annuity Assoc.

Attn: TIAA-CREF Mutual Funds Ops.

730 3rd Ave., Ste. 2A

New York, NY 10017-3207

  50,000.000   5.83

TIAA-CREF Lifecycle 2060 Fund — Retirement Class

 

TIAA Trust, N.A. as Cust./TTEE

Of Retirement Plans

Recordkept by TIAA

Attn: Fund Operations

8500 Andrew Carnegie Blvd.

Charlotte, NC 28262-8500

  3,777,945.600   64.74
 

JPMorgan Chase Bank NA FBO

TIAA-CREF Trust Co. as Cust. for

IRA Clients

Attn: DC Plan Service Team

4 New York Plz., Fl. 17

New York, NY 10004-2413

  1,570,458.685   26.91

TIAA-CREF Lifecycle Index 2065
Fund — Institutional Class

 

John Hancock Life Insurance

Company U S A

Attn: JHRPS Trading OPS ST6

200 Berkeley Street

Boston, MA 02116-5022

  3,361,390.790   22.04

F-46


    
Fund and Class Shareholder Name and Address Number of
Shares Owned
  Percentage
Owned
 
 

TIAA Trust, N.A. as Cust./TTEE

Of Retirement Plans

Recordkept by TIAA

Attn: Fund Operations

8500 Andrew Carnegie Blvd.

Charlotte, NC 28262-8500

  3,092,844.308   20.28
 

DCGT as TTEE and/or Cust.

FBO PLIC Various Retirement Plans Omnibus

Attn: NPIO Trade Desk

711 High Street

Des Moines, IA 50392-0001

  1,326,060.924   8.69
 

Diversified Investment Advisors FBO

TRS FBO Various Ret. Plan

Transamerica Retirement Solutions

Harrison, NY 10528

  1,154,783.187   7.57
 

Nationwide Trust Company, FSB

C/O IPO Portfolio Accounting

P.O. Box 182029

Columbus, OH 43218-2029

  1,056,865.958   6.93

TIAA-CREF Emerging Markets Debt Fund — Retail Class

 

Charles Schwab & Co. Inc.

Attn: Mutual Funds

211 Main St.

San Francisco, CA 94105-1901

  1,152,616.763   74.28
 

Pershing LLC

PO Box 2052

Jersey City, NJ 07303-2052

  141,630.259   9.13

TIAA-CREF Short-Term Bond Index Fund — Retail Class

 

Pershing LLC

PO Box 2052

Jersey City, NJ 07303-2052

  66,604.820   25.51
 

Ann H. Crowe TOD

Subject to TOD Rules

369 Meadow Valley Rd.

Lexington, KY 40511-8620

  17,660.893   6.77
 

Paul Tessmer POA

FBO Kathleen M. Tessmer TTEE

Kathleen M. Tessmer Family Trust

UA DTD 02/24/2003

105 North St.

Madison, WI 53704-4916

  16,250.894   6.23

TIAA-CREF Lifecycle 2065 Fund — Institutional Class

 

TIAA Trust, N.A. as Cust./TTEE

Of Retirement Plans

Recordkept by TIAA

Attn: Fund Operations

8500 Andrew Carnegie Blvd.

Charlotte, NC 28262-8500

  3,104,590.912   82.95

F-47


    
Fund and Class Shareholder Name and Address Number of
Shares Owned
  Percentage
Owned
 
 

Teachers Insurance & Annuity Assoc.

Attn: TIAA-CREF Mutual Funds Ops.

730 3rd Ave., Ste. 2A

New York, NY 10017-3207

  350,000.000   9.35

TIAA-CREF Quant Small/Mid-Cap Equity Fund — Retail Class

 

Pershing LLC

PO Box 2052

Jersey City, NJ 07303-2052

  526,064.280   32.10

TIAA-CREF International Bond Fund — Retail Class

 

Pershing LLC

PO Box 2052

Jersey City, NJ 07303-2052

  71,879.103   38.86
 

Robert P. Sticca

Celeste A. Sticca JT TEN

1230 5th St. N.

Fargo, ND 58102-2715

  15,414.874   8.33
 

Karan J Kuntz TTEE

Karan Kuntz Trust

3910 Lakeview Blvd.

Lake Oswego, OR 97035-5549

  11,153.635   6.03

TIAA-CREF Quant Small/Mid-Cap Equity Fund — Retirement Class

 

JPMorgan Chase Bank NA FBO

TIAA-CREF Trust Co. as Cust. for

IRA Clients

Attn: DC Plan Service Team

4 New York Plz., Fl. 17

New York, NY 10004-2413

  27,818,569.626   99.26

TIAA-CREF Quant Small/Mid-Cap Equity Fund — Institutional Class

 

Brown Brothers Harriman & Co.

C/O Brown Brothers & Co.

Attn: Mutual Fd. Svcs.

140 Broadway

New York, NY 10005

  2,249,718.361   34.67
 

TIAA-CREF Managed Allocation II AC

Attn: TIAA-CREF Mutual Fund Ops.

730 3rd Ave.

New York, NY 10017-3207

  1,056,496.047   16.28
 

TIAA-CREF Lifestyle Moderate Fund

Attn: TIAA-CREF Mutual Fund Ops.

730 3rd Ave.

New York, NY 10017-3206

  672,503.950   10.36
 

DCGT as TTEE and/or Cust.

FBO PLIC Various Retirement Plans Omnibus

Attn: NPIO Trade Desk

711 High Street

Des Moines, IA 50392-0001

  657,287.159   10.13
 

TIAA-CREF Lifestyle Growth Fund

Attn: TIAA-CREF Mutual Fund Ops.

730 3rd Ave.

New York, NY 10017-3206

  470,988.568   7.26

F-48


    
Fund and Class Shareholder Name and Address Number of
Shares Owned
  Percentage
Owned
 
 

TIAA-CREF Lifestyle Aggressive Growth Fund

Attn: TIAA-CREF Mutual Fund Ops.

730 3rd Ave.

New York, NY 10017-3206

  459,655.313   7.08

TIAA-CREF Quant Small/Mid-Cap Equity Fund — Premier Class

 

Teachers Insurance & Annuity Assoc.

Attn: TIAA-CREF Mutual Funds Ops.

730 3rd Ave., Ste. 2A

New York, NY 10017-3207

  10,000.000   100.00

TIAA-CREF Quant Small/Mid-Cap Equity Fund — Advisor Class

 

Pershing LLC

PO Box 2052

Jersey City, NJ 07303-2052

  1,410,739.451   59.75
 

LPL Financial

Omnibus Customer Account

Attn: Mutual Fund Trading

PO Box 509046

San Diego, CA 92150-9046

  849,454.769   35.97

TIAA-CREF International Bond Fund — Retirement Class

 

JPMorgan Chase Bank NA FBO

TIAA-CREF Trust Co. as Cust. for

IRA Clients

Attn: DC Plan Service Team

4 New York Plz., Fl. 17

New York, NY 10004-2413

  562,489.756   97.92

TIAA-CREF International Bond Fund — Institutional Class

 

TIAA Trust, N.A. as Cust./TTEE

Of Retirement Plans

Recordkept by TIAA

Attn: Fund Operations

8500 Andrew Carnegie Blvd.

Charlotte, NC 28262-8500

  63,552.346   71.61
 

Pershing LLC

PO Box 2052

Jersey City, NJ 07303-2052

  23,870.225   26.90

TIAA-CREF International Bond Fund — Premier Class

 

Teachers Insurance & Annuity Assoc.

Attn: TIAA-CREF Mutual Funds Ops.

730 3rd Ave., Ste. 2A

New York, NY 10017-3207

  10,285.132   100.00

TIAA-CREF International Bond Fund — Advisor Class

 

JP Morgan Securities LLC

FBO: 096-06018-13

4 Chase Metrotech Ctr.

Brooklyn, NY 11245-0001

  69,654.289   51.44
 

LPL Financial

Omnibus Customer Account

Attn: Mutual Fund Trading

PO Box 509046

San Diego, CA 92150-9046

  44,797.795   33.08
 

Teachers Insurance & Annuity Assoc.

Attn: TIAA-CREF Mutual Funds Ops.

730 3rd Ave., Ste. 2A

New York, NY 10017-3207

  10,274.669   7.59

F-49


    
Fund and Class Shareholder Name and Address Number of
Shares Owned
  Percentage
Owned
 
 

Charles Schwab & Co. Inc.

Attn: Mutual Funds

211 Main St.

San Francisco, CA 94105-1901

  8,982.813   6.63

TIAA-CREF Quant International Small-Cap Equity Fund — Retail Class

 

Pershing LLC

PO Box 2052

Jersey City, NJ 07303-2052

  18,629.988   19.99
 

Geeta A. Sangani POA

FBO Ashok S. Sangani

Geeta A. Sangani JT TEN

6896 Page Hollow Pl.

Fayetteville, NY 13066-9797

  16,828.739   18.06
 

Christine E. Kane

103 Gainsborough St. Apt. 203

Boston, MA 02115-4238

  11,022.466   11.83
 

Gerald A. Wempner TOD

636 River Rd. W.

Plains, MT 59859-9354

  5,123.161   5.50

TIAA-CREF Quant International Small-Cap Equity Fund — Institutional Class

 

TIAA-CREF Managed Allocation II AC

Attn: TIAA-CREF Mutual Fund Ops.

730 3rd Ave.

New York, NY 10017-3207

  2,433,270.992   35.59
 

TIAA-CREF Lifestyle Moderate Fund

Attn: TIAA-CREF Mutual Fund Ops.

730 3rd Ave.

New York, NY 10017-3206

  1,554,968.302   22.74
 

TIAA-CREF Lifestyle Growth Fund

Attn: TIAA-CREF Mutual Fund Ops.

730 3rd Ave.

New York, NY 10017-3206

  1,087,220.266   15.90
 

TIAA-CREF Lifestyle Aggressive Growth Fund

Attn: TIAA-CREF Mutual Fund Ops.

730 3rd Ave.

New York, NY 10017-3206

  1,062,500.519   15.54
 

TIAA-CREF Lifestyle Conservative Fd.

Attn: TIAA-CREF Mutual Fund Ops.

730 3rd Ave.

New York, NY 10017-3206

  594,433.045   8.69

TIAA-CREF Quant International Small-Cap Equity Fund — Retirement Class

 

JPMorgan Chase Bank NA FBO

TIAA-CREF Trust Co. as Cust. for

IRA Clients

Attn: DC Plan Service Team

4 New York Plz., Fl. 17

New York, NY 10004-2413

  767,275.414   99.14

TIAA-CREF Quant International Small-Cap Equity Fund — Premier Class

 

Teachers Insurance & Annuity Assoc.

Attn: TIAA-CREF Mutual Funds Ops.

730 3rd Ave., Ste. 2A

New York, NY 10017-3207

  7,326.892   100.00

F-50


    
Fund and Class Shareholder Name and Address Number of
Shares Owned
  Percentage
Owned
 

TIAA-CREF Quant International Small-Cap Equity Fund — Advisor Class

 

Teachers Insurance & Annuity Assoc.

Attn: TIAA-CREF Mutual Funds Ops.

730 3rd Ave., Ste. 2A

New York, NY 10017-3207

  7,320.998   87.32
 

LPL Financial

Omnibus Customer Account

Attn: Mutual Fund Trading

4707 Executive Dr.

San Diego, CA 92121-3091

  1,062.753   12.68

TIAA-CREF Emerging Markets Equity Fund — Advisor Class

 

Teachers Insurance & Annuity Assoc.

Attn: TIAA-CREF Mutual Funds Ops.

730 3rd Ave., Ste. 2A

New York, NY 10017-3207

  11,892.946   85.05
 

Pershing LLC

PO Box 2052

Jersey City, NJ 07303-2052

  1,045.375   7.48
 

Raymond James

Omnibus for Mutual Funds

Attn: Courtney Waller

880 Carillon Parkway

St. Petersburg, FL 33716-1102

  898.711   6.43

TIAA-CREF International Equity Fund — Advisor Class

 

Charles Schwab & Co. Inc.

Attn: Mutual Funds

211 Main St.

San Francisco, CA 94105-1901

  143,440.356   84.58
 

Teachers Insurance & Annuity Assoc.

Attn: TIAA-CREF Mutual Funds Ops.

730 3rd Ave., Ste. 2A

New York, NY 10017-3207

  9,784.194   5.77

TIAA-CREF International Opportunities Fund — Advisor Class

 

Band & Co

C/O US Bank

PO Box 1787

Milwaukee, WI 53201-1787

  430,565.699   17.43
 

LPL Financial

Omnibus Customer Account

Attn: Mutual Fund Trading

PO Box 509046

San Diego, CA 92150-9046

  287,331.744   11.63
 

RBC Capital Markets LLC

Borgan Shultes TTEES

MN Bakers Union Pension Fund

PO Box 509046

San Diego, CA 92150-9046

  271,895.071   11.00
 

National Financial Services LLC

For the Exclusive Benefit of Our Customers

Attn: Mutual Funds Dept., Fl. 4

499 Washington Blvd.

Jersey City, NJ 07310-1995

  174,877.752   7.08

F-51


    
Fund and Class Shareholder Name and Address Number of
Shares Owned
  Percentage
Owned
 
 

Charles Schwab & Co. Inc.

Special Custody A/C FBO Customers

Attn: Mutual Funds

211 Main St.

San Francisco, CA 94105-1901

  165,281.263   6.69
 

Morgan Stanley Smith Barney LLC

For the Exclusive Bene. of its Cust.

1 New York Plz., Fl. 12

New York, NY 10004-1965

  140,773.346   5.70
 

Pershing LLC

PO Box 2052

Jersey City, NJ 07303-2052

  138,984.422   5.63

TIAA-CREF Social Choice International Equity Fund — Advisor Class

 

Pershing LLC

PO Box 2052

Jersey City, NJ 07303-2052

  709,110.040   69.37
 

LPL Financial

Omnibus Customer Account

Attn: Mutual Fund Trading

PO Box 509046

San Diego, CA 92150-9046

  130,736.711   12.79
 

Merrill Lynch, Pierce, Fenner & Smith Inc. For the Sole Benefit of its Customers

4800 Deer Lake Dr. E.

Jacksonville, FL 32246-6484

  61,429.405   6.01

TIAA-CREF Emerging Markets Debt Fund — Advisor Class

 

UBS WM USA

0O0 11011 6100 Omni Account M/F

Spec. CDY A/C EBOC UBSFSI

1000 Harbor Blvd.

Weehawken, NJ 07086-6761

  637,002.660   46.82
 

Pershing LLC

PO Box 2052

Jersey City, NJ 07303-2052

  365,901.375   26.90
 

LPL Financial

Omnibus Customer Account

Attn: Mutual Fund Trading

PO Box 509046

San Diego, CA 92150-9046

  225,343.672   16.56

TIAA-CREF Growth & Income Fund — Advisor Class

 

Raymond James

Omnibus for Mutual Funds

Attn: Courtney Waller

880 Carillon Parkway

St. Petersburg, FL 33716-1102

  105,189.518   40.88
 

LPL Financial

Omnibus Customer Account

Attn: Mutual Fund Trading

PO Box 509046

San Diego, CA 92150-9046

  54,392.711   21.14

F-52


    
Fund and Class Shareholder Name and Address Number of
Shares Owned
  Percentage
Owned
 
 

Charles Schwab & Co. Inc.

Attn: Mutual Funds

211 Main St.

San Francisco, CA 94105-1901

  20,773.124   8.07
 

Pershing LLC

PO Box 2052

Jersey City, NJ 07303-2052

  19,090.776   7.42

TIAA-CREF Large-Cap Growth Fund — Advisor Class

 

LPL Financial

Omnibus Customer Account

Attn: Mutual Fund Trading

PO Box 509046

San Diego, CA 92150-9046

  62,229.848   35.49
 

Minnesota Life Insurance Company

400 Robert Street North

Saint Paul, MN 55101-2099

  32,655.460   18.62
 

Pershing LLC

PO Box 2052

Jersey City, NJ 07303-2052

  19,345.355   11.03
 

Raymond James

Omnibus for Mutual Funds

Attn: Courtney Waller

880 Carillon Parkway

St. Petersburg, FL 33716-1102

  17,761.318   10.13

TIAA-CREF Large-Cap Value Fund — Advisor Class

 

Raymond James

Omnibus for Mutual Funds

Attn: Courtney Waller

880 Carillon Parkway

St. Petersburg, FL 33716-1102

  8,544.920   27.88
 

LPL Financial

Omnibus Customer Account

Attn: Mutual Fund Trading

PO Box 509046

San Diego, CA 92150-9046

  7,074.180   23.08
 

Teachers Insurance & Annuity Assoc.

Attn: TIAA-CREF Mutual Funds Ops.

730 3rd Ave., Ste. 2A

New York, NY 10017-3207

  6,327.135   20.64
 

RBC Capital Markets LLC

Jon Kennedy

2260 Woodchuck Ct.

White Bear Lk., MN 55110-1060

  5,277.896   17.22
 

RBC Capital Markets LLC

Jon Kennedy

Peggy Kennedy

JT TEN/WROS

2260 Woodchuck Ct.

White Bear Lk., MN 55110-1060

  2,105.239   6.87

F-53


    
Fund and Class Shareholder Name and Address Number of
Shares Owned
  Percentage
Owned
 

TIAA-CREF Mid-Cap Growth Fund — Advisor Class

 

Teachers Insurance & Annuity Assoc.

Attn: TIAA-CREF Mutual Funds Ops.

730 3rd Ave., Ste. 2A

New York, NY 10017-3207

  5,163.023   49.63
 

Raymond James

Omnibus for Mutual Funds

Attn: Courtney Waller

880 Carillon Parkway

St. Petersburg, FL 33716-1102

  3,014.114   28.98
 

Pershing LLC

PO Box 2052

Jersey City, NJ 07303-2052

  1,627.183   15.64

TIAA-CREF Mid-Cap Value Fund — Advisor Class

 

LPL Financial

Omnibus Customer Account

Attn: Mutual Fund Trading

PO Box 509046

San Diego, CA 92150-9046

  9,504.450   35.30
 

Teachers Insurance & Annuity Assoc.

Attn: TIAA-CREF Mutual Funds Ops.

730 3rd Ave., Ste. 2A

New York, NY 10017-3207

  4,930.399   18.31
 

Raymond James

Omnibus for Mutual Funds

Attn: Courtney Waller

880 Carillon Parkway

St. Petersburg, FL 33716-1102

  4,206.538   15.62
 

Charles Schwab & Co. Inc.

Attn: Mutual Funds

211 Main St.

San Francisco, CA 94105-1901

  3,506.442   13.02
 

Morgan Stanley Smith Barney LLC

For the Exclusive Bene. of its Cust.

1 New York Plz., Fl. 12

New York, NY 10004-1965

  2,113.120   7.85
 

Pershing LLC

PO Box 2052

Jersey City, NJ 07303-2052

  1,453.264   5.40

TIAA-CREF Quant Small-Cap Equity Fund — Advisor Class

 

UBS WM USA

0O0 1101 6100 Omni Account M/F

Spec. CDY A/C EBOC UBSFSI

1000 Harbor Blvd.

Weehawken, NJ 07086-6761

  20,457.765   38.57
 

Raymond James

Omnibus for Mutual Funds

Attn: Courtney Waller

880 Carillon Parkway

St. Petersburg, FL 33716-1102

  15,401.874   29.04

F-54


    
Fund and Class Shareholder Name and Address Number of
Shares Owned
  Percentage
Owned
 
 

LPL Financial

Omnibus Customer Account

Attn: Mutual Fund Trading

PO Box 509046

San Diego, CA 92150-9046

  8,212.340   15.48
 

Teachers Insurance & Annuity Assoc.

Attn: TIAA-CREF Mutual Funds Ops.

730 3rd Ave., Ste. 2A

New York, NY 10017-3207

  6,279.208   11.84

TIAA-CREF Social Choice Equity
Fund — Advisor Class

 

VRSCO

FBO AIGFSB Cust. TTEE FBO

Glens Falls Hospital 403B

2727-A Allen Parkway, 4-D1

Houston, TX 77019-2107

  476,528.153   25.13
 

Merrill Lynch, Pierce, Fenner & Smith Inc. For the Sole Benefit of its Customers

4800 Deer Lake Dr. E.

Jacksonville, FL 32246-6484

  373,192.894   19.68
 

LPL Financial

Omnibus Customer Account

Attn: Mutual Fund Trading

PO Box 509046

San Diego, CA 92150-9046

  339,235.082   17.89
 

Pershing LLC

PO Box 2052

Jersey City, NJ 07303-2052

  258,863.236   13.65
 

Raymond James

Omnibus for Mutual Funds

Attn: Courtney Waller

880 Carillon Parkway

St. Petersburg, FL 33716-1102

  212,535.166   11.21
 

State Street Bank & Trust Co. FBO

Various Retirement Plans

Transamerica Retirement Solutions

Harrison, NY 10528

  117,810.070   6.21

TIAA-CREF Social Choice Low Carbon Equity Fund — Advisor Class

 

Raymond James

Omnibus for Mutual Funds

Attn: Courtney Waller

880 Carillon Parkway

St. Petersburg, FL 33716-1102

  141,907.624   51.94
 

Pershing LLC

PO Box 2052

Jersey City, NJ 07303-2052

  60,309.614   22.07
 

LPL Financial

Omnibus Customer Account

Attn: Mutual Fund Trading

PO Box 509046

San Diego, CA 92150-9046

  34,648.388   12.68

F-55


    
Fund and Class Shareholder Name and Address Number of
Shares Owned
  Percentage
Owned
 

TIAA-CREF Equity Index Fund — Advisor Class

 

LPL Financial

Omnibus Customer Account

Attn: Mutual Fund Trading

PO Box 509046

San Diego, CA 92150-9046

  167,514.133   41.33
 

Pershing LLC

PO Box 2052

Jersey City, NJ 07303-2052

  108,880.704   26.86
 

Raymond James

Omnibus for Mutual Funds

Attn: Courtney Waller

880 Carillon Parkway

St. Petersburg, FL 33716-1102

  72,638.361   17.92
 

RBC Capital Markets LLC

24 Dykeman Road

Delmar, NY 12054-2934

  37,570.101   9.27

TIAA-CREF Large-Cap Growth Index Fund — Advisor

 

LPL Financial

Omnibus Customer Account

Attn: Mutual Fund Trading

PO Box 509046

San Diego, CA 92150-9046

  2,309,719.558   62.28
 

Pershing LLC

PO Box 2052

Jersey City, NJ 07303-2052

  1,046,538.882   28.22
 

Charles Schwab & Co. Inc.

Attn: Mutual Funds

211 Main St.

San Francisco, CA 94105-1901

  247,968.351   6.69

TIAA-CREF Large-Cap Value Index Fund — Advisor Class

 

LPL Financial

Omnibus Customer Account

Attn: Mutual Fund Trading

PO Box 509046

San Diego, CA 92150-9046

  2,485,490.033   54.75
 

Pershing LLC

PO Box 2052

Jersey City, NJ 07303-2052

  1,917,936.328   42.25

TIAA-CREF S&P 500 Index Fund — Advisor Class

 

Pershing LLC

PO Box 2052

Jersey City, NJ 07303-2052

  2,189,042.493   75.19
 

LPL Financial

Omnibus Customer Account

Attn: Mutual Fund Trading

PO Box 509046

San Diego, CA 92150-9046

  666,262.716   22.88

TIAA-CREF Small-Cap Blend Index
Fund — Advisor Class

 

Pershing LLC

PO Box 2052

Jersey City, NJ 07303-2052

  470,153.983   81.37

F-56


    
Fund and Class Shareholder Name and Address Number of
Shares Owned
  Percentage
Owned
 
 

LPL Financial

Omnibus Customer Account

Attn: Mutual Fund Trading

PO Box 509046

San Diego, CA 92150-9046

  93,877.540   16.25

Emerging Markets Equity Index Fund — Advisor Class

 

Pershing LLC

PO Box 2052

Jersey City, NJ 07303-2052

  410,730.295   93.43

TIAA-CREF International Equity Index Fund — Advisor Class

 

Pershing LLC

PO Box 2052

Jersey City, NJ 07303-2052

  20,521,740.656   85.24
 

LPL Financial

Omnibus Customer Account

Attn: Mutual Fund Trading

PO Box 509046

San Diego, CA 92150-9046

  1,959,024.143   8.14
 

SEI Private Trust Company

C/O GWP US Advisors

1 Freedom Valley Drive

Oaks, PA 19456-9989

  1,491,687.987   6.20

TIAA-CREF Core Bond Fund — Advisor Class

 

Pershing LLC

PO Box 2052

Jersey City, NJ 07303-2052

  69,769,073.517   95.57

TIAA-CREF Bond Index Fund — Advisor Class

 

LPL Financial

Omnibus Customer Account

Attn: Mutual Fund Trading

PO Box 509046

San Diego, CA 92150-9046

  2,637,396.892   98.17

TIAA-CREF Core Plus Bond Fund — Advisor Class

 

Band & Co

C/O US Bank

PO Box 1787

Milwaukee, WI 53201-1787

  4,097,723.623   43.87
 

Empower Trust FBO

Employee Benefits Clients 401K

8515 E Orchard Rd. 2T2

Greenwood Vlg., CO 80111-5002

  1,901,326.876   20.35
 

Washinton & Co.

C/O US Bank

PO Box 1787

Milwaukee, WI 53201-1787

  484,814.833   5.19
 

National Financial Services LLC

For the Exclusive Benefit of Our Customers

Attn: Mutual Funds Dept., Fl. 4

499 Washington Blvd.

Jersey City, NJ 07310-1995

  478,297.590   5.12

TIAA-CREF Inflation-Linked Bond Fund — Advisor Class

 

Band & Co

C/O US Bank

PO Box 1787

Milwaukee, WI 53201-1787

  1,680,652.944   21.86

F-57


    
Fund and Class Shareholder Name and Address Number of
Shares Owned
  Percentage
Owned
 
 

Vantagepoint Traditional IRA

C/O Missionsquare Retirement

777 North Capital Street, NE

Washington, DC 20002-4239

  1,138,137.261   14.81
 

LPL Financial

Omnibus Customer Account

Attn: Mutual Fund Trading

PO Box 509046

San Diego, CA 92150-9046

  878,690.662   11.43
 

Raymond James

Omnibus for Mutual Funds

Attn: Courtney Waller

880 Carillon Parkway

St. Petersburg, FL 33716-1102

  437,788.408   5.70

TIAA-CREF Money Market Fund — Advisor Class

 

Pershing LLC

PO Box 2052

Jersey City, NJ 07303-2052

  36,941,204.690   99.09

TIAA-CREF Short-Term Bond Fund — Advisor Class

 

Band & Co

C/O US Bank

PO Box 1787

Milwaukee, WI 53201-1787

  5,476,640.458   28.51

TIAA-CREF Short-Term Bond Index Fund — Advisor Class

 

Pershing LLC

PO Box 2052

Jersey City, NJ 07303-2052

  39,708.303   65.60
 

Charles Schwab & Co. Inc.

Attn: Mutual Funds

211 Main St.

San Francisco, CA 94105-1901

  10,750.259   17.76
 

Teachers Insurance & Annuity Assoc.

Attn: TIAA-CREF Mutual Funds Ops.

730 3rd Ave., Ste. 2A

New York, NY 10017-3207

  10,039.187   16.58

TIAA-CREF Core Impact Bond Fund — Advisor Class

 

Merrill Lynch, Pierce, Fenner & Smith Inc. For the Sole Benefit of its Customers

4800 Deer Lake Dr. E.

Jacksonville, FL 32246-6484

  55,805,701.354   48.21
 

LPL Financial

Omnibus Customer Account

Attn: Mutual Fund Trading

PO Box 509046

San Diego, CA 92150-9046

  27,435,201.545   23.70
 

Pershing LLC

PO Box 2052

Jersey City, NJ 07303-2052

  10,710,528.201   9.25
 

Raymond James

Omnibus for Mutual Funds

Attn: Courtney Waller

880 Carillon Parkway

St. Petersburg, FL 33716-110

  6,893,726.337   5.96

F-58


    
Fund and Class Shareholder Name and Address Number of
Shares Owned
  Percentage
Owned
 

TIAA-CREF 5-15 Year Laddered Tax-Exempt Bond Fund — Advisor Class

 

LPL Financial

Omnibus Customer Account

Attn: Mutual Fund Trading

PO Box 509046

San Diego, CA 92150-9046

  13,558.583   40.27
 

Pershing LLC

PO Box 2052

Jersey City, NJ 07303-2052

  10,709.567   31.80
 

Teachers Insurance & Annuity Assoc.

Attn: TIAA-CREF Mutual Funds Ops.

730 3rd Ave., Ste. 2A

New York, NY 10017-3207

  9,404.809   27.93

TIAA-CREF Real Estate Securities
Fund — Advisor Class

 

LPL Financial

Omnibus Customer Account

Attn: Mutual Fund Trading

PO Box 509046

San Diego, CA 92150-9046

  1,981,328.902   46.19
 

Pershing LLC

PO Box 2052

Jersey City, NJ 07303-2052

  1,378,498.174   32.14
 

Raymond James

Omnibus for Mutual Funds

Attn: Courtney Waller

880 Carillon Parkway

St. Petersburg, FL 33716-110

  663,072.504   15.46

TIAA-CREF Lifestyle Aggressive Growth Fund — Advisor Class

 

Band & Co

C/O US Bank

PO Box 1787

Milwaukee, WI 53201-1787

  53,671.612   18.13
 

National Financial Services LLC

For the Exclusive Benefit of Our Customers

Attn: Mutual Funds Dept., Fl. 4

499 Washington Blvd.

Jersey City, NJ 07310-1995

  33,919.835   11.46
 

Empower Trust FBO

Employee Benefits Clients 401K

8515 E Orchard Rd. 2T2

Greenwood Vlg., CO 80111-5002

  33,297.645   11.25
 

Matrix Trust Company Trustee

American Federation of Teachers

717 17th Street

Suite 1300

Denver, CO 80202-3304

  24,195.578   8.17
 

Washington & Co.

C/O US Bank

PO Box 1787

Milwaukee, WI 53201-1787

  20,671.673   6.98

F-59


    
Fund and Class Shareholder Name and Address Number of
Shares Owned
  Percentage
Owned
 
 

Capinco

C/O US Bank

PO Box 1787

Milwaukee, WI 53201-1787

  20,117.539   6.80
 

Pershing LLC

PO Box 2052

Jersey City, NJ 07303-2052

  17,698.779   5.98
 

Matrix Trust Company Trustee

City of Hartford

717 17th Street

Suite 1300

Denver, CO 80202-3304

  14,929.331   5.04

TIAA-CREF Lifestyle Growth Fund — Advisor Class

 

Raymond James

Omnibus for Mutual Funds

Attn: Courtney Waller

880 Carillon Parkway

St. Petersburg, FL 33716-1102

  55,236.672   21.01
 

Pershing LLC

PO Box 2052

Jersey City, NJ 07303-2052

  41,180.012   15.67
 

LPL Financial

Omnibus Customer Account

Attn: Mutual Fund Trading

PO Box 509046

San Diego, CA 92150-9046

  38,343.808   14.59
 

Empower Trust FBO

Employee Benefits Clients 401K

8515 E Orchard Rd. 2T2

Greenwood Vlg., CO 80111-5002

  26,441.603   10.06
 

Matrix Trust Company Trustee

American Federation of Teachers

717 17th Street

Suite 1300

Denver, CO 80202-3304

  23,186.578   8.82
 

National Financial Services LLC

For the Exclusive Benefit of Our Customers

Attn: Mutual Funds Dept., Fl. 4

499 Washington Blvd.

Jersey City, NJ 07310-1995

  14,263.710   5.43

TIAA-CREF Lifestyle Moderate Fund — Advisor Class

 

Empower Trust FBO

Employee Benefits Clients 401K

8515 E Orchard Rd. 2T2

Greenwood Vlg., CO 80111-5002

  216,042.135   36.62
 

Pershing LLC

PO Box 2052

Jersey City, NJ 07303-2052

  88,114.663   14.94

F-60


    
Fund and Class Shareholder Name and Address Number of
Shares Owned
  Percentage
Owned
 
 

LPL Financial

Omnibus Customer Account

Attn: Mutual Fund Trading

PO Box 509046

San Diego, CA 92150-9046

  33,731.383   5.72
 

Wells Fargo Clearing Services LLC

Special Custody Acct. for the Exclusive Benefit of Customer

2801 Market St.

Saint Louis, MO 63103-2523

  30,516.350   5.17

TIAA-CREF Lifestyle Conservative
Fund — Advisor Class

 

Pershing LLC

PO Box 2052

Jersey City, NJ 07303-2052

  29,659.106   10.41
 

Matrix Trust Company as Agent For

Advisor Trust, Inc.

Sienna Systems Corp. 401K Plan

717 17th St. Ste. 1300

Denver, CO 80202-3304

  29,178.895   10.24
 

Empower Trust FBO

Retirement Plans

8515 E Orchard Rd. 2T2

Greenwood Vlg., CO 80111-5002

  21,411.807   7.51
 

Matrix Trust Company Trustee

St. Francis ISD 15

717 17th Street

Suite 1300

Denver, CO 80202-3304

  20,940.811   7.35
 

Lincoln Investment Planning LLC

FBO Lincoln Customers

601 Office Center Dr, Ste. 300

Fort Washington, PA 19034-3275

  18,435.190   6.47
 

LPL Financial

Omnibus Customer Account

Attn: Mutual Fund Trading

PO Box 509046

San Diego, CA 92150-9046

  15,523.360   5.45
 

Morgan Stanley Smith Barney LLC

For the Exclusive Bene. of its Cust.

1 New York Plz., Fl. 12

New York, NY 10004-1965

  15,316.767   5.38

TIAA-CREF Lifestyle Income Fund — Advisor Class

 

Teachers Insurance & Annuity Assoc.

Attn: TIAA-CREF Mutual Funds Ops.

730 3rd Ave., Ste. 2A

New York, NY 10017-3207

  9,459.709   92.29
 

LPL Financial

Omnibus Customer Account

Attn: Mutual Fund Trading

PO Box 509046

San Diego, CA 92150-9046

  789.621   7.70

F-61


    
Fund and Class Shareholder Name and Address Number of
Shares Owned
  Percentage
Owned
 

TIAA-CREF Lifecycle Retirement Income Fund — Advisor Class

 

LPL Financial

Omnibus Customer Account

Attn: Mutual Fund Trading

PO Box 509046

San Diego, CA 92150-9046

  13,391.495   44.90
 

Teachers Insurance & Annuity Assoc.

Attn: TIAA-CREF Mutual Funds Ops.

730 3rd Ave., Ste. 2A

New York, NY 10017-3207

  9,423.628   31.60
 

Raymond James

Omnibus for Mutual Funds

Attn: Courtney Waller

880 Carillon Parkway

St. Petersburg, FL 33716-1102

  7,009.140   23.50

TIAA-CREF Lifecycle 2010 Fund — Advisor Class

 

Teachers Insurance & Annuity Assoc.

Attn: TIAA-CREF Mutual Funds Ops.

730 3rd Ave., Ste. 2A

New York, NY 10017-3207

  9,386.123   61.60
 

Pershing LLC

PO Box 2052

Jersey City, NJ 07303-2052

  5,850.348   38.40

TIAA-CREF Lifecycle 2015 Fund — Advisor Class

 

Pershing LLC

PO Box 2052

Jersey City, NJ 07303-2052

  34,301.664   76.32
 

Teachers Insurance & Annuity Assoc.

Attn: TIAA-CREF Mutual Funds Ops.

730 3rd Ave., Ste. 2A

New York, NY 10017-3207

  10,643.603   23.68

TIAA-CREF Lifecycle 2020 Fund — Advisor Class

 

LPL Financial

Omnibus Customer Account

Attn: Mutual Fund Trading

PO Box 509046

San Diego, CA 92150-9046

  41,401.433   53.16
 

Morgan Stanley Smith Barney LLC

For the Exclusive Bene. of its Cust.

1 New York Plz., Fl. 12

New York, NY 10004-1965

  18,775.830   24.11
 

Teachers Insurance & Annuity Assoc.

Attn: TIAA-CREF Mutual Funds Ops.

730 3rd Ave., Ste. 2A

New York, NY 10017-3207

  10,478.008   13.45

TIAA-CREF Lifecycle 2025 Fund — Advisor Class

 

Minnesota Life Insurance Company

400 Robert Street North

Saint Paul, MN 55101-2099

  28,401.815   29.35
 

LPL Financial

Omnibus Customer Account

Attn: Mutual Fund Trading

PO Box 509046

San Diego, CA 92150-9046

  22,536.939   23.29

F-62


    
Fund and Class Shareholder Name and Address Number of
Shares Owned
  Percentage
Owned
 
 

RBC Capital Markets LLC

218 Fisher Road

Grosse Pte. Frms., MI 48230-1213

  12,567.070   12.99
 

RBC Capital Markets LLC

5088 Westchester Court

Clarkston, MI 48348-5037

  12,223.398   12.63
 

Teachers Insurance & Annuity Assoc.

Attn: TIAA-CREF Mutual Funds Ops.

730 3rd Ave., Ste. 2A

New York, NY 10017-3207

  10,472.577   10.82
 

Matrix Trust Company Trustee FBO

Strait Mechanical, LLC 401(K) Plan

717 17th Street

Suite 1300

Denver, CO 80202-3304

  8,123.544   8.39

TIAA-CREF Lifecycle 2030 Fund — Advisor Class

 

LPL Financial

Omnibus Customer Account

Attn: Mutual Fund Trading

PO Box 509046

San Diego, CA 92150-9046

  24,303.997   36.72
 

Matrix Trust Company Trustee FBO

Strait Mechanical, LLC 401(K) Plan

717 17th Street

Suite 1300

Denver, CO 80202-3304

  18,573.313   28.06
 

Minnesota Life Insurance Company

400 Robert Street North

Saint Paul, MN 55101-2099

  12,703.701   19.19
 

Teachers Insurance & Annuity Assoc.

Attn: TIAA-CREF Mutual Funds Ops.

730 3rd Ave., Ste. 2A

New York, NY 10017-3207

  10,545.453   15.93
 

LPL Financial

Omnibus Customer Account

Attn: Mutual Fund Trading

PO Box 509046

San Diego, CA 92150-9046

  34,837.675   52.33

TIAA-CREF Lifecycle 2035 Fund — Advisor Class

 

Teachers Insurance & Annuity Assoc.

Attn: TIAA-CREF Mutual Funds Ops.

730 3rd Ave., Ste. 2A

New York, NY 10017-3207

  10,528.061   15.82
 

Minnesota Life Insurance Company

400 Robert Street North

Saint Paul, MN 55101-2099

  9,066.465   13.62
 

Matrix Trust Company as Agent For

Advisor Trust, Inc.

Delaware Valley School District

717 17th Street, Suite 1300

  6,465.327   9.71

F-63


    
Fund and Class Shareholder Name and Address Number of
Shares Owned
  Percentage
Owned
 

TIAA-CREF Lifecycle 2040 Fund — Advisor Class

 

LPL Financial

Omnibus Customer Account

Attn: Mutual Fund Trading

PO Box 509046

San Diego, CA 92150-9046

  12,378.549   28.75
 

Minnesota Life Insurance Company

400 Robert Street North

Saint Paul, MN 55101-2099

  10,792.083   25.06
 

Teachers Insurance & Annuity Assoc.

Attn: TIAA-CREF Mutual Funds Ops.

730 3rd Ave., Ste. 2A

New York, NY 10017-3207

  10,520.119   24.43
 

Matrix Trust Company Trustee FBO

Strait Mechanical, LLC 401(K) Plan

717 17th Street

Suite 1300

Denver, CO 80202-3304

  6,677.060   15.51
 

Matrix Trust Company as Agent For

Tuscaloosa County Parking &

717 17th Street, Suite 1300

Denver, CO 80202-3304

  2,694.789   6.26

TIAA-CREF Lifecycle 2045 Fund — Advisor Class

 

Minnesota Life Insurance Company

400 Robert Street North

Saint Paul, MN 55101-2099

  35,519.276   69.39
 

Teachers Insurance & Annuity Assoc.

Attn: TIAA-CREF Mutual Funds Ops.

730 3rd Ave., Ste. 2A

New York, NY 10017-3207

  9,795.808   19.14
 

Matrix Trust Company Trustee FBO

Strait Mechanical, LLC 401(K) Plan

717 17th Street

Suite 1300

Denver, CO 80202-3304

  5,753.793   11.24

TIAA-CREF Lifecycle 2050 Fund — Advisor Class

 

Teachers Insurance & Annuity Assoc.

Attn: TIAA-CREF Mutual Funds Ops.

730 3rd Ave., Ste. 2A

New York, NY 10017-3207

  9,806.236   33.85
 

RBC Capital Markets LLC

Isabelle J. Wittebot

9940 Sashabaw Road

Clarkston, MI 48348-2035

  9,253.521   31.94
 

Matrix Trust Company Trustee FBO

Strait Mechanical, LLC 401(K) Plan

717 17th Street

Suite 1300

Denver, CO 80202-3304

  3,367.258   11.62
 

Minnesota Life Insurance Company

400 Robert Street North

Saint Paul, MN 55101-2099

  3,256.047   11.24

F-64


    
Fund and Class Shareholder Name and Address Number of
Shares Owned
  Percentage
Owned
 
 

LPL Financial

Omnibus Customer Account

Attn: Mutual Fund Trading

PO Box 509046

San Diego, CA 92150-9046

  1,760.109   6.08
 

RBC Capital Markets LLC

1030 Parrotts Cove Rd.

Greensboro, GA 30642-4824

  1,524.482   5.26

TIAA-CREF Lifecycle 2055 Fund — Advisor Class

 

Minnesota Life Insurance Company

400 Robert Street North

Saint Paul, MN 55101-2099

  11,664.480   44.47
 

Teachers Insurance & Annuity Assoc.

Attn: TIAA-CREF Mutual Funds Ops.

730 3rd Ave., Ste. 2A

New York, NY 10017-3207

  8,731.596   33.29
 

Matrix Trust Company Trustee FBO

Strait Mechanical, LLC 401(K) Plan

717 17th Street

Suite 1300

Denver, CO 80202-3304

  5,094.030   19.42

TIAA-CREF Lifecycle 2060 Fund — Advisor Class

 

Minnesota Life Insurance Company

400 Robert Street North

Saint Paul, MN 55101-2099

  13,302.853   38.82
 

Teachers Insurance & Annuity Assoc.

Attn: TIAA-CREF Mutual Funds Ops.

730 3rd Ave., Ste. 2A

New York, NY 10017-3207

  10,000.000   29.18
 

LPL Financial

Omnibus Customer Account

Attn: Mutual Fund Trading

PO Box 509046

San Diego, CA 92150-9046

  8,127.500   23.72
 

Matrix Trust Company Trustee FBO

Strait Mechanical, LLC 401(K) Plan

717 17th Street

Suite 1300

Denver, CO 80202-3304

  2,834.169   8.27

TIAA-CREF Lifecycle 2065 Fund — Advisor Class

 

Teachers Insurance & Annuity Assoc.

Attn: TIAA-CREF Mutual Funds Ops.

730 3rd Ave., Ste. 2A

New York, NY 10017-3207

  50,000.000   94.53
 

Matrix Trust Company Trustee FBO

Strait Mechanical, LLC 401(K) Plan

717 17th Street

Suite 1300

Denver, CO 80202-3304

  2,891.506   5.47

F-65


    
Fund and Class Shareholder Name and Address Number of
Shares Owned
  Percentage
Owned
 

TIAA-CREF Lifecycle Index Retirement — Advisor Class

 

Minnesota Life Insurance Company

400 Robert Street North

Saint Paul, MN 55101-2099

  85,605.837   54.14
 

Pershing LLC

PO Box 2052

Jersey City, NJ 07303-2052

  33,876.395   21.43
 

Reliance Trust Company FBO

Integrated Fin

PO Box 78446

Atlanta, GA 30357

  30,791.036   19.47

TIAA-CREF Lifecycle 2010 Fund — Advisor Class

 

Minnesota Life Insurance Company

400 Robert Street North

Saint Paul, MN 55101-2099

  67,355.270   90.02
 

Teachers Insurance & Annuity Assoc.

Attn: TIAA-CREF Mutual Funds Ops.

730 3rd Ave., Ste. 2A

New York, NY 10017-3207

  7,469.170   9.98

TIAA-CREF Lifecycle 2015 Fund — Advisor Class

 

Minnesota Life Insurance Company

400 Robert Street North

Saint Paul, MN 55101-2099

  69,687.594   90.06
 

Teachers Insurance & Annuity Assoc.

Attn: TIAA-CREF Mutual Funds Ops.

730 3rd Ave., Ste. 2A

New York, NY 10017-3207

  7,239.510   9.36

TIAA-CREF Lifecycle 2020 Fund — Advisor Class

 

Minnesota Life Insurance Company

400 Robert Street North

Saint Paul, MN 55101-2099

  518,532.401   92.12

TIAA-CREF Lifecycle 2025 Fund — Advisor Class

 

Minnesota Life Insurance Company

400 Robert Street North

Saint Paul, MN 55101-2099

  1,026,143.046   96.87

TIAA-CREF Lifecycle 2030 Fund — Advisor Class

 

Minnesota Life Insurance Company

400 Robert Street North

Saint Paul, MN 55101-2099

  1,475,803.276   98.37

TIAA-CREF Lifecycle 2035 Fund — Advisor Class

 

Minnesota Life Insurance Company

400 Robert Street North

Saint Paul, MN 55101-2099

  1,025,594.202   94.69

TIAA-CREF Lifecycle 2040 Fund — Advisor Class

 

Minnesota Life Insurance Company

400 Robert Street North

Saint Paul, MN 55101-2099

  1,002,038.483   98.26

TIAA-CREF Lifecycle 2045 Fund — Advisor Class

 

Minnesota Life Insurance Company

400 Robert Street North

Saint Paul, MN 55101-2099

  910,870.732   97.21

TIAA-CREF Lifecycle 2050 Fund — Advisor Class

 

Minnesota Life Insurance Company

400 Robert Street North

Saint Paul, MN 55101-2099

  690,693.557   97.29

TIAA-CREF Lifecycle 2055 Fund — Advisor Class

 

Minnesota Life Insurance Company

400 Robert Street North

Saint Paul, MN 55101-2099

  737,083.527   98.62

F-66


    
Fund and Class Shareholder Name and Address Number of
Shares Owned
  Percentage
Owned
 

TIAA-CREF Lifecycle 2060 Fund — Advisor Class

 

Minnesota Life Insurance Company

400 Robert Street North

Saint Paul, MN 55101-2099

  621,616.151   97.98

TIAA-CREF Core Bond Fund — Class W

 

TIAA-CREF IMF Lifecycle Fund #2025

Attn: TIAA-CREF Mutual Funds Ops.

730 3rd Ave.

New York, NY 10017-3206

  84,146,887.572   19.33
 

TIAA-CREF IMF Lifecycle Fund #2030

Attn: TIAA-CREF Mutual Funds Ops.

730 3rd Ave.

New York, NY 10017-3206

  83,449,619.969   19.17
 

TIAA-CREF IMF Lifecycle Fund #2035

Attn: TIAA-CREF Mutual Funds Ops.

730 3rd Ave.

New York, NY 10017-3206

  69,366,186.563   15.94
 

TIAA-CREF IMF Lifecycle Fund #2020

Attn: TIAA-CREF Mutual Funds Ops.

730 3rd Ave.

New York, NY 10017-3206

  59,344,169.085   13.64
 

TIAA-CREF IMF Lifecycle Fund #2040

Attn: TIAA-CREF Mutual Funds Ops.

730 3rd Ave.

New York, NY 10017-3206

  52,068,724.075   11.96
 

TIAA-CREF IMF Lifecycle Fund #2015

Attn: TIAA-CREF Mutual Funds Ops.

730 3rd Ave.

New York, NY 10017-3206

  27,941,583.982   6.42

TIAA-CREF Bond Index Fund — Class W

 

TIAA-CREF Lifecycle Index 2030 Fund

Attn: TIAA-CREF Mutual Funds Ops.

730 3rd Ave.

New York, NY 10017-3206

  248,194,133.979   20.20
 

TIAA-CREF Lifecycle Index 2025 Fund

Attn: TIAA-CREF Mutual Funds Ops.

730 3rd Ave.

New York, NY 10017-3206

  217,628,047.251   17.71
 

TIAA-CREF Lifecycle Index 2035 Fund

Attn: TIAA-CREF Mutual Funds Ops.

730 3rd Ave.

New York, NY 10017-3206

  210,916,446.809   17.17
 

TIAA-CREF Lifecycle Index 2040 Fund

Attn: TIAA-CREF Mutual Funds Ops.

730 3rd Ave.

New York, NY 10017-3206

  153,842,892.284   12.52
 

TIAA-CREF Lifecycle Index 2020 Fund

Attn: TIAA-CREF Mutual Funds Ops.

730 3rd Ave.

New York, NY 10017-3206

  125,354,923.399   10.20

F-67


    
Fund and Class Shareholder Name and Address Number of
Shares Owned
  Percentage
Owned
 
 

TIAA-CREF Lifecycle Index 2045 Fund

Attn: TIAA-CREF Mutual Funds Ops.

730 3rd Ave.

New York, NY 10017-3206

  81,955,696.077   6.67

TIAA-CREF Core Plus Bond Fund — Class W

 

TIAA-CREF IMF Lifecycle Fund #2025

Attn: TIAA-CREF Mutual Funds Ops.

730 3rd Ave.

New York, NY 10017-3206

  52,008,396.413   19.32
 

TIAA-CREF IMF Lifecycle Fund #2030

Attn: TIAA-CREF Mutual Funds Ops.

730 3rd Ave.

New York, NY 10017-3206

  51,583,350.815   19.16
 

TIAA-CREF IMF Lifecycle Fund #2035

Attn: TIAA-CREF Mutual Funds Ops.

730 3rd Ave.

New York, NY 10017-3206

  42,861,941.553   15.92
 

TIAA-CREF IMF Lifecycle Fund #2020

Attn: TIAA-CREF Mutual Funds Ops.

730 3rd Ave.

New York, NY 10017-3206

  36,736,276.827   13.65
 

TIAA-CREF IMF Lifecycle Fund #2040

Attn: TIAA-CREF Mutual Funds Ops.

730 3rd Ave.

New York, NY 10017-3206

  32,253,481.812   11.98
 

TIAA-CREF IMF Lifecycle Fund #2015

Attn: TIAA-CREF Mutual Funds Ops.

730 3rd Ave.

New York, NY 10017-3206

  17,259,729.430   6.41

Emerging Markets Debt Fund — Class W

 

TIAA-CREF IMF Lifecycle Fund #2025

Attn: TIAA-CREF Mutual Funds Ops.

730 3rd Ave.

New York, NY 10017-3206

  8,469,549.449   19.05
 

TIAA-CREF IMF Lifecycle Fund #2030

Attn: TIAA-CREF Mutual Funds Ops.

730 3rd Ave.

New York, NY 10017-3206

  8,391,600.723   18.88
 

TIAA-CREF IMF Lifecycle Fund #2035

Attn: TIAA-CREF Mutual Funds Ops.

730 3rd Ave.

New York, NY 10017-3206

  6,979,229.457   15.70
 

TIAA-CREF IMF Lifecycle Fund #2020

Attn: TIAA-CREF Mutual Funds Ops.

730 3rd Ave.

New York, NY 10017-3206

  5,980,290.994   13.45
 

TIAA-CREF IMF Lifecycle Fund #2040

Attn: TIAA-CREF Mutual Funds Ops.

730 3rd Ave.

New York, NY 10017-3206

  5,248,316.079   11.81

F-68


    
Fund and Class Shareholder Name and Address Number of
Shares Owned
  Percentage
Owned
 
 

TIAA-CREF IMF Lifecycle Fund #2015

Attn: TIAA-CREF Mutual Funds Ops.

730 3rd Ave.

New York, NY 10017-3206

  2,812,909.862   6.33

Emerging Markets Equity Fund — Class W

 

TIAA-CREF Lifecycle Fund #2040

Attn: TIAA-CREF Mutual Fund Ops.

730 3rd Ave.

New York, NY 10017-3206

  34,622,837.486   19.99
 

TIAA-CREF Lifecycle Fund #2045

Attn: TIAA-CREF Mutual Fund Ops.

730 3rd Ave.

New York, NY 10017-3206

  26,555,041.642   15.33
 

TIAA-CREF Lifecycle Fund #2035

Attn: TIAA-CREF Mutual Fund Ops.

730 3rd Ave.

New York, NY 10017-3206

  24,787,360.679   14.31
 

TIAA-CREF Lifecycle Fund #2050

Attn: TIAA-CREF Mutual Fund Ops.

730 3rd Ave.

New York, NY 10017-3206

  21,384,946.187   12.35
 

TIAA-CREF Lifecycle Fund #2030

Attn: TIAA-CREF Mutual Fund Ops.

730 3rd Ave.

New York, NY 10017-3206

  19,887,207.221   11.48
 

TIAA-CREF Lifecycle Fund #2025

Attn: TIAA-CREF Mutual Fund Ops.

730 3rd Ave.

New York, NY 10017-3206

  14,508,514.119   8.38
 

TIAA-CREF Lifecycle Fund #2055

Attn: TIAA-CREF Mutual Fund Ops.

730 3rd Ave.

New York, NY 10017-3206

  10,536,296.319   6.08

TIAA-CREF Emerging Markets Equity Index Fund — Class W

 

TIAA-CREF Lifecycle Index 2040 Fund

Attn: TIAA-CREF Mutual Fund Ops.

730 3rd Ave.

New York, NY 10017-3206

  63,802,484.255   16.15
 

TIAA-CREF Lifecycle Index 2045 Fund

Attn: TIAA-CREF Mutual Fund Ops.

730 3rd Ave.

New York, NY 10017-3206

  56,008,243.935   14.18
 

TIAA-CREF Lifecycle Index 2035 Fund

Attn: TIAA-CREF Mutual Fund Ops.

730 3rd Ave.

New York, NY 10017-3206

  53,646,780.372   13.58
 

TIAA-CREF Lifecycle Index 2050 Fund

Attn: TIAA-CREF Mutual Fund Ops.

730 3rd Ave.

New York, NY 10017-3206

  48,522,484.832   12.28

F-69


    
Fund and Class Shareholder Name and Address Number of
Shares Owned
  Percentage
Owned
 
 

TIAA-CREF Lifecycle Index 2030 Fund

Attn: TIAA-CREF Mutual Fund Ops.

730 3rd Ave.

New York, NY 10017-3206

  45,626,522.639   11.55
 

TIAA-CREF Lifecycle Index 2025 Fund

Attn: TIAA-CREF Mutual Fund Ops.

730 3rd Ave.

New York, NY 10017-3206

  30,964,231.363   7.84
 

TIAA-CREF IMF Lifecycle Index

Fund 2055

Attn: TIAA-CREF Mutual Funds Ops.

730 3rd Ave.

New York, NY 10017-3206

  28,547,864.785   7.23

TIAA-CREF Equity Index Fund — Class W

 

TIAA-CREF Lifecycle Index 2040 Fund

Attn: TIAA-CREF Mutual Fund Ops.

730 3rd Ave.

New York, NY 10017-3206

  126,120,781.111   17.29
 

TIAA-CREF Lifecycle Index 2045 Fund

Attn: TIAA-CREF Mutual Fund Ops.

730 3rd Ave.

New York, NY 10017-3206

  110,733,050.319   15.18
 

TIAA-CREF Lifecycle Index 2035 Fund

Attn: TIAA-CREF Mutual Fund Ops.

730 3rd Ave.

New York, NY 10017-3206

  106,075,207.841   14.54
 

TIAA-CREF Lifecycle Index 2050 Fund

Attn: TIAA-CREF Mutual Fund Ops.

730 3rd Ave.

New York, NY 10017-3206

  95,950,715.586   13.16
 

TIAA-CREF Lifecycle Index 2030 Fund

Attn: TIAA-CREF Mutual Fund Ops.

730 3rd Ave.

New York, NY 10017-3206

  90,181,862.309   12.36
 

TIAA-CREF Lifecycle Index 2025 Fund

Attn: TIAA-CREF Mutual Fund Ops.

730 3rd Ave.

New York, NY 10017-3206

  61,175,822.373   8.39
 

TIAA-CREF IMF Lifecycle Index

Fund 2055

Attn: TIAA-CREF Mutual Funds Ops.

730 3rd Ave.

New York, NY 10017-3206

  56,451,936.549   7.74

TIAA-CREF Growth & Income Fund — Class W

 

TIAA-CREF Lifecycle Fund #2040

Attn: TIAA-CREF Mutual Fund Ops.

730 3rd Ave.

New York, NY 10017-3206

  28,629,844.031   20.19
 

TIAA-CREF Lifecycle Fund #2045

Attn: TIAA-CREF Mutual Fund Ops.

730 3rd Ave.

New York, NY 10017-3206

  21,930,021.306   15.47

F-70


    
Fund and Class Shareholder Name and Address Number of
Shares Owned
  Percentage
Owned
 
 

TIAA-CREF Lifecycle Fund #2035

Attn: TIAA-CREF Mutual Fund Ops.

730 3rd Ave.

New York, NY 10017-3206

  20,456,928.941   14.43
 

TIAA-CREF Lifecycle Fund #2050

Attn: TIAA-CREF Mutual Fund Ops.

730 3rd Ave.

New York, NY 10017-3206

  17,665,105.297   12.46
 

TIAA-CREF Lifecycle Fund #2030

Attn: TIAA-CREF Mutual Fund Ops.

730 3rd Ave.

New York, NY 10017-3206

  16,432,492.198   11.59
 

TIAA-CREF Lifecycle Fund #2025

Attn: TIAA-CREF Mutual Fund Ops.

730 3rd Ave.

New York, NY 10017-3206

  11,966,596.634   8.44
 

TIAA-CREF Lifecycle Fund #2055

Attn: TIAA-CREF Mutual Fund Ops.

730 3rd Ave.

New York, NY 10017-3206

  8,731,028.318   6.16

TIAA-CREF High-Yield Fund — Class W

 

TIAA-CREF IMF Lifecycle Fund #2025

Attn: TIAA-CREF Mutual Fund Ops.

730 3rd Ave.

New York, NY 10017-3206

  8,464,001.677   19.05
 

TIAA-CREF IMF Lifecycle Fund #2030

Attn: TIAA-CREF Mutual Fund Ops.

730 3rd Ave.

New York, NY 10017-3206

  8,399,119.789   18.90
 

TIAA-CREF IMF Lifecycle Fund #2035

Attn: TIAA-CREF Mutual Fund Ops.

730 3rd Ave.

New York, NY 10017-3206

  6,990,598.520   15.73
 

TIAA-CREF IMF Lifecycle Fund #2020

Attn: TIAA-CREF Mutual Fund Ops.

730 3rd Ave.

New York, NY 10017-3206

  5,973,784.692   13.44
 

TIAA-CREF IMF Lifecycle Fund #2040

Attn: TIAA-CREF Mutual Fund Ops.

730 3rd Ave.

New York, NY 10017-3206

  5,259,019.531   11.83
 

TIAA-CREF IMF Lifecycle Fund #2015

Attn: TIAA-CREF Mutual Fund Ops.

730 3rd Ave.

New York, NY 10017-3206

  2,810,399.887   6.32

TIAA-CREF Inflation-Linked Bond
Fund — Class W

 

TIAA-CREF Lifecycle Index 2025 Fund

Attn: TIAA-CREF Mutual Fund Ops.

730 3rd Ave.

New York, NY 10017-3206

  28,193,764.383   15.35

F-71


    
Fund and Class Shareholder Name and Address Number of
Shares Owned
  Percentage
Owned
 
 

TIAA-CREF Lifecycle Index 2030 Fund

Attn: TIAA-CREF Mutual Fund Ops.

730 3rd Ave.

New York, NY 10017-3206

  22,461,429.227   12.23
 

TIAA-CREF Lifecycle Index 2020 Fund

Attn: TIAA-CREF Mutual Fund Ops.

730 3rd Ave.

New York, NY 10017-3206

  21,211,463.407   11.55
 

TIAA-CREF IMF Lifecycle Fund #2025

Attn: TIAA-CREF Mutual Fund Ops.

730 3rd Ave.

New York, NY 10017-3206

  19,952,166.161   10.86
 

TIAA-CREF IMF Lifecycle Fund #2020

Attn: TIAA-CREF Mutual Fund Ops.

730 3rd Ave.

New York, NY 10017-3206

  18,164,403.467   9.89
 

TIAA-CREF IMF Lifecycle Fund #2030

Attn: TIAA-CREF Mutual Fund Ops.

730 3rd Ave.

New York, NY 10017-3206

  14,315,398.376   7.79
 

TIAA-CREF IMF Lifecycle Fund #2015

Attn: TIAA-CREF Mutual Fund Ops.

730 3rd Ave.

New York, NY 10017-3206

  10,611,613.549   5.78
 

TIAA-CREF Lifecycle Index 2015 Fund

Attn: TIAA-CREF Mutual Fund Ops.

730 3rd Ave.

New York, NY 10017-3206

  9,305,992.803   5.07

TIAA-CREF International Bond Fund — Class W

 

TIAA-CREF IMF Lifecycle Fund #2025

Attn: TIAA-CREF Mutual Fund Ops.

730 3rd Ave.

New York, NY 10017-3206

  9,048,583.572   19.28
 

TIAA-CREF IMF Lifecycle Fund #2030

Attn: TIAA-CREF Mutual Fund Ops.

730 3rd Ave.

New York, NY 10017-3206

  9,028,022.412   19.24
 

TIAA-CREF IMF Lifecycle Fund #2035

Attn: TIAA-CREF Mutual Fund Ops.

730 3rd Ave.

New York, NY 10017-3206

  7,467,096.290   15.91
 

TIAA-CREF IMF Lifecycle Fund #2020

Attn: TIAA-CREF Mutual Fund Ops.

730 3rd Ave.

New York, NY 10017-3206

  6,420,013.909   13.68
 

TIAA-CREF IMF Lifecycle Fund #2040

Attn: TIAA-CREF Mutual Fund Ops.

730 3rd Ave.

New York, NY 10017-3206

  5,637,329.161   12.01

F-72


    
Fund and Class Shareholder Name and Address Number of
Shares Owned
  Percentage
Owned
 
 

TIAA-CREF IMF Lifecycle Fund #2015

Attn: TIAA-CREF Mutual Fund Ops.

730 3rd Ave.

New York, NY 10017-3206

  3,004,985.237   6.40

TIAA-CREF International Equity Fund — Class W

 

TIAA-CREF IMF Lifecycle Fund #2040

Attn: TIAA-CREF Mutual Fund Ops.

730 3rd Ave.

New York, NY 10017-3206

  53,686,971.891   20.03
 

TIAA-CREF IMF Lifecycle Fund #2045

Attn: TIAA-CREF Mutual Fund Ops.

730 3rd Ave.

New York, NY 10017-3206

  41,149,522.567   15.35
 

TIAA-CREF IMF Lifecycle Fund #2035

Attn: TIAA-CREF Mutual Fund Ops.

730 3rd Ave.

New York, NY 10017-3206

  38,426,668.910   14.34
 

TIAA-CREF IMF Lifecycle Fund #2050

Attn: TIAA-CREF Mutual Fund Ops.

730 3rd Ave.

New York, NY 10017-3206

  33,144,219.002   12.37
 

TIAA-CREF IMF Lifecycle Fund #2030

Attn: TIAA-CREF Mutual Fund Ops.

730 3rd Ave.

New York, NY 10017-3206

  30,840,992.720   11.51
 

TIAA-CREF IMF Lifecycle Fund #2025

Attn: TIAA-CREF Mutual Fund Ops.

730 3rd Ave.

New York, NY 10017-3206

  22,388,510.763   8.35
 

TIAA-CREF IMF Lifecycle Fund #2055

Attn: TIAA-CREF Mutual Fund Ops.

730 3rd Ave.

New York, NY 10017-3206

  16,335,581.134   6.09

International Equity Index Fund — Class W

 

TIAA-CREF Lifecycle Index 2040 Fund

Attn: TIAA-CREF Mutual Fund Ops.

730 3rd Ave.

New York, NY 10017-3206

  70,426,595.351   17.30
 

TIAA-CREF Lifecycle Index 2045 Fund

Attn: TIAA-CREF Mutual Fund Ops.

730 3rd Ave.

New York, NY 10017-3206

  61,804,781.824   15.18
 

TIAA-CREF Lifecycle Index 2035 Fund

Attn: TIAA-CREF Mutual Fund Ops.

730 3rd Ave.

New York, NY 10017-3206

  59,212,819.762   14.54
 

TIAA-CREF Lifecycle Index 2050 Fund

Attn: TIAA-CREF Mutual Fund Ops.

730 3rd Ave.

New York, NY 10017-3206

  53,558,210.958   13.15

F-73


    
Fund and Class Shareholder Name and Address Number of
Shares Owned
  Percentage
Owned
 
 

TIAA-CREF Lifecycle Index 2030 Fund

Attn: TIAA-CREF Mutual Fund Ops.

730 3rd Ave.

New York, NY 10017-3206

  50,363,563.537   12.37
 

TIAA-CREF Lifecycle Index 2025 Fund

Attn: TIAA-CREF Mutual Fund Ops.

730 3rd Ave.

New York, NY 10017-3206

  34,149,432.533   8.39
 

TIAA-CREF IMF Lifecycle Index

Fund 2055

Attn: TIAA-CREF Mutual Funds Ops.

730 3rd Ave.

New York, NY 10017-3206

  31,510,522.742   7.74

TIAA-CREF International Opportunities Fund — Class W

 

TIAA-CREF IMF Lifecycle Fund #2040

Attn: TIAA-CREF Mutual Fund Ops.

730 3rd Ave.

New York, NY 10017-3206

  29,372,375.272   19.98
 

TIAA-CREF IMF Lifecycle Fund #2045

Attn: TIAA-CREF Mutual Fund Ops.

730 3rd Ave.

New York, NY 10017-3206

  22,533,321.320   15.33
 

TIAA-CREF IMF Lifecycle Fund #2035

Attn: TIAA-CREF Mutual Fund Ops.

730 3rd Ave.

New York, NY 10017-3206

  21,052,422.045   14.32
 

TIAA-CREF IMF Lifecycle Fund #2050

Attn: TIAA-CREF Mutual Fund Ops.

730 3rd Ave.

New York, NY 10017-3206

  18,154,739.456   12.35
 

TIAA-CREF IMF Lifecycle Fund #2030

Attn: TIAA-CREF Mutual Fund Ops.

730 3rd Ave.

New York, NY 10017-3206

  16,930,956.386   11.52
 

TIAA-CREF IMF Lifecycle Fund #2025

Attn: TIAA-CREF Mutual Fund Ops.

730 3rd Ave.

New York, NY 10017-3206

  12,307,192.664   8.37
 

TIAA-CREF IMF Lifecycle Fund #2055

Attn: TIAA-CREF Mutual Fund Ops.

730 3rd Ave.

New York, NY 10017-3206

  8,989,883.436   6.12

TIAA-CREF Quant International Small-Cap Equity Fund — Class W

 

TIAA-CREF IMF Lifecycle Fund #2040

Attn: TIAA-CREF Mutual Fund Ops.

730 3rd Ave.

New York, NY 10017-3206

  21,995,523.529   20.05
 

TIAA-CREF IMF Lifecycle Fund #2045

Attn: TIAA-CREF Mutual Fund Ops.

730 3rd Ave.

New York, NY 10017-3206

  16,844,996.586   15.36

F-74


    
Fund and Class Shareholder Name and Address Number of
Shares Owned
  Percentage
Owned
 
 

TIAA-CREF IMF Lifecycle Fund #2035

Attn: TIAA-CREF Mutual Fund Ops.

730 3rd Ave.

New York, NY 10017-3206

  15,733,978.940   14.34
 

TIAA-CREF IMF Lifecycle Fund #2050

Attn: TIAA-CREF Mutual Fund Ops.

730 3rd Ave.

New York, NY 10017-3206

  13,566,166.760   12.37
 

TIAA-CREF IMF Lifecycle Fund #2030

Attn: TIAA-CREF Mutual Fund Ops.

730 3rd Ave.

New York, NY 10017-3206

  12,639,630.109   11.52
 

TIAA-CREF IMF Lifecycle Fund #2025

Attn: TIAA-CREF Mutual Fund Ops.

730 3rd Ave.

New York, NY 10017-3206

  9,215,474.320   8.40
 

TIAA-CREF IMF Lifecycle Fund #2055

Attn: TIAA-CREF Mutual Fund Ops.

730 3rd Ave.

New York, NY 10017-3206

  6,673,696.754   6.08

TIAA-CREF Large-Cap Growth Fund — Class W

 

TIAA-CREF IMF Lifecycle Fund #2040

Attn: TIAA-CREF Mutual Fund Ops.

730 3rd Ave.

New York, NY 10017-3206

  23,175,168.892   20.18
 

TIAA-CREF IMF Lifecycle Fund #2045

Attn: TIAA-CREF Mutual Fund Ops.

730 3rd Ave.

New York, NY 10017-3206

  17,771,462.324   15.48
 

TIAA-CREF IMF Lifecycle Fund #2035

Attn: TIAA-CREF Mutual Fund Ops.

730 3rd Ave.

New York, NY 10017-3206

  16,565,042.444   14.42
 

TIAA-CREF IMF Lifecycle Fund #2050

Attn: TIAA-CREF Mutual Fund Ops.

730 3rd Ave.

New York, NY 10017-3206

  14,322,407.317   12.47
 

TIAA-CREF IMF Lifecycle Fund #2030

Attn: TIAA-CREF Mutual Fund Ops.

730 3rd Ave.

New York, NY 10017-3206

  13,311,051.939   11.59
 

TIAA-CREF IMF Lifecycle Fund #2025

Attn: TIAA-CREF Mutual Fund Ops.

730 3rd Ave.

New York, NY 10017-3206

  9,700,136.449   8.45
 

TIAA-CREF IMF Lifecycle Fund #2055

Attn: TIAA-CREF Mutual Fund Ops.

730 3rd Ave.

New York, NY 10017-3206

  7,067,074.739   6.15

F-75


    
Fund and Class Shareholder Name and Address Number of
Shares Owned
  Percentage
Owned
 

TIAA-CREF Large-Cap Value Fund — Class W

 

TIAA-CREF IMF Lifecycle Fund #2040

Attn: TIAA-CREF Mutual Fund Ops.

730 3rd Ave.

New York, NY 10017-3206

  21,332,233.156   20.15
 

TIAA-CREF IMF Lifecycle Fund #2045

Attn: TIAA-CREF Mutual Fund Ops.

730 3rd Ave.

New York, NY 10017-3206

  16,347,911.909   15.44
 

TIAA-CREF IMF Lifecycle Fund #2035

Attn: TIAA-CREF Mutual Fund Ops.

730 3rd Ave.

New York, NY 10017-3206

  15,248,861.123   14.40
 

TIAA-CREF IMF Lifecycle Fund #2050

Attn: TIAA-CREF Mutual Fund Ops.

730 3rd Ave.

New York, NY 10017-3206

  13,168,909.667   12.44
 

TIAA-CREF IMF Lifecycle Fund #2030

Attn: TIAA-CREF Mutual Fund Ops.

730 3rd Ave.

New York, NY 10017-3206

  12,249,365.098   11.57
 

TIAA-CREF IMF Lifecycle Fund #2025

Attn: TIAA-CREF Mutual Fund Ops.

730 3rd Ave.

New York, NY 10017-3206

  8,914,897.644   8.42
 

TIAA-CREF IMF Lifecycle Fund #2055

Attn: TIAA-CREF Mutual Fund Ops.

730 3rd Ave.

New York, NY 10017-3206

  6,485,488.922   6.13

TIAA-CREF Short-Term Bond Fund — Class W

 

TIAA-CREF IMF Lifecycle Fund #2025

Attn: TIAA-CREF Mutual Fund Ops.

730 3rd Ave.

New York, NY 10017-3206

  20,827,114.761   23.54
 

TIAA-CREF IMF Lifecycle Fund #2020

Attn: TIAA-CREF Mutual Fund Ops.

730 3rd Ave.

New York, NY 10017-3206

  18,960,850.329   21.43
 

TIAA-CREF IMF Lifecycle Fund #2030

Attn: TIAA-CREF Mutual Fund Ops.

730 3rd Ave.

New York, NY 10017-3206

  14,947,541.890   16.89
 

TIAA-CREF IMF Lifecycle Fund #2015

Attn: TIAA-CREF Mutual Fund Ops.

730 3rd Ave.

New York, NY 10017-3206

  11,082,689.772   12.52
 

TIAA-CREF IMF Lifecycle Fund #2010

Attn: TIAA-CREF Mutual Fund Ops.

730 3rd Ave.

New York, NY 10017-3206

  11,004,078.889   12.44

F-76


    
Fund and Class Shareholder Name and Address Number of
Shares Owned
  Percentage
Owned
 
 

TIAA-CREF IMF Lifecycle Fund #2035

Attn: TIAA-CREF Mutual Fund Ops.

730 3rd Ave.

New York, NY 10017-3206

  6,183,840.440   6.99

TIAA-CREF Short-Term Bond Index Fund — Class W

 

TIAA-CREF Lifecycle Index 2025 Fund

Attn: TIAA-CREF Mutual Funds Ops.

730 3rd Ave.

New York, NY 10017-3206

  30,622,131.232   27.04
 

TIAA-CREF Lifecycle Index 2030 Fund

Attn: TIAA-CREF Mutual Funds Ops.

730 3rd Ave.

New York, NY 10017-3206

  24,376,891.761   21.52
 

TIAA-CREF Lifecycle Index 2020 Fund

Attn: TIAA-CREF Mutual Funds Ops.

730 3rd Ave.

New York, NY 10017-3206

  22,940,426.205   20.26
 

TIAA-CREF Lifecycle Index 2015 Fund

Attn: TIAA-CREF Mutual Funds Ops.

730 3rd Ave.

New York, NY 10017-3206

  10,052,503.776   8.88
 

TIAA-CREF Lifecycle Index 2035 Fund

Attn: TIAA-CREF Mutual Funds Ops.

730 3rd Ave.

New York, NY 10017-3206

  9,760,632.305   8.62
 

TIAA-CREF Lifecycle Index 2010 Fund

Attn: TIAA-CREF Mutual Funds Ops.

730 3rd Ave.

New York, NY 10017-3206

  8,585,942.991   7.58
 

TIAA-CREF Lifecycle Indx. Ret. Inc. Fd.

Attn: TIAA-CREF Mutual Funds Ops.

730 3rd Ave.

New York, NY 10017-3206

  6,915,129.987   6.11

TIAA-CREF Quant Small/Mid-Cap Equity Fund — Class W

 

TIAA-CREF IMF Lifecycle Fund #2040

Attn: TIAA-CREF Mutual Fund Ops.

730 3rd Ave.

New York, NY 10017-3206

  9,569,143.373   20.20
 

TIAA-CREF IMF Lifecycle Fund #2045

Attn: TIAA-CREF Mutual Fund Ops.

730 3rd Ave.

New York, NY 10017-3206

  7,329,101.673   15.47
 

TIAA-CREF IMF Lifecycle Fund #2035

Attn: TIAA-CREF Mutual Fund Ops.

730 3rd Ave.

New York, NY 10017-3206

  6,837,515.631   14.44
 

TIAA-CREF IMF Lifecycle Fund #2050

Attn: TIAA-CREF Mutual Fund Ops.

730 3rd Ave.

New York, NY 10017-3206

  5,908,169.886   12.47

F-77


    
Fund and Class Shareholder Name and Address Number of
Shares Owned
  Percentage
Owned
 
 

TIAA-CREF IMF Lifecycle Fund #2030

Attn: TIAA-CREF Mutual Fund Ops.

730 3rd Ave.

New York, NY 10017-3206

  5,488,710.924   11.59
 

TIAA-CREF IMF Lifecycle Fund #2025

Attn: TIAA-CREF Mutual Fund Ops.

730 3rd Ave.

New York, NY 10017-3206

  3,993,924.818   8.43
 

TIAA-CREF IMF Lifecycle Fund #2055

Attn: TIAA-CREF Mutual Fund Ops.

730 3rd Ave.

New York, NY 10017-3206

  2,907,379.921   6.14

TIAA-CREF Quant International Small-Cap Equity Fund — Class W

 

TIAA-CREF IMF Lifecycle Fund #2040

Attn: TIAA-CREF Mutual Fund Ops.

730 3rd Ave.

New York, NY 10017-3206

  6,329,261.831   20.19
 

TIAA-CREF IMF Lifecycle Fund #2045

Attn: TIAA-CREF Mutual Fund Ops.

730 3rd Ave.

New York, NY 10017-3206

  4,848,425.503   15.47
 

TIAA-CREF IMF Lifecycle Fund #2035

Attn: TIAA-CREF Mutual Fund Ops.

730 3rd Ave.

New York, NY 10017-3206

  4,523,937.547   14.43
 

TIAA-CREF IMF Lifecycle Fund #2050

Attn: TIAA-CREF Mutual Fund Ops.

730 3rd Ave.

New York, NY 10017-3206

  3,907,191.652   12.46
 

TIAA-CREF IMF Lifecycle Fund #2030

Attn: TIAA-CREF Mutual Fund Ops.

730 3rd Ave.

New York, NY 10017-3206

  3,633,296.373   11.59
 

TIAA-CREF IMF Lifecycle Fund #2025

Attn: TIAA-CREF Mutual Fund Ops.

730 3rd Ave.

New York, NY 10017-3206

  2,648,044.302   8.45
 

TIAA-CREF IMF Lifecycle Fund #2055

Attn: TIAA-CREF Mutual Fund Ops.

730 3rd Ave.

New York, NY 10017-3206

  1,925,439.109   6.14

TIAA-CREF Green Bond Fund — Advisor Class

 

LPL Financial

Omnibus Customer Account

Attn: Mutual Fund Trading

PO Box 509046

San Diego, CA 92150-9046

  3,578,615.968   93.09

TIAA-CREF Short Duration Impact Bond Fund — Advisor Class

 

Assoc.

Attn: TIAA-CREF Mutual Funds Ops.

730 3rd Ave., Ste. 2A

New York, NY 10017-3207

  100,000.000   51.60

F-78


    
Fund and Class Shareholder Name and Address Number of
Shares Owned
  Percentage
Owned
 
 

UBS WM USA

0O0 1101 6100 Omni Account M/F

Spec. CDY A/C EBOC UBSFSI

1000 Harbor Blvd.

Weehawken, NJ 07086-6761

  48,705.899   25.13
 

JP Morgan Securities LLC

Omnibus Account For the Exclusive Benefit of Customers

4 Chase Metrotech Center

3rd Floor Mutual Fund Department

Brooklyn, NY 11245-0003

  22,797.262   11.76
 

LPL Financial

Omnibus Customer Account

Attn: Mutual Fund Trading

PO Box 509046

San Diego, CA 92150-9046

  10,869.006   5.61

TIAA-CREF Lifecycle Index 2065
Fund — Advisor Class

 

Minnesota Life Insurance Company

400 Robert Street North

Saint Paul, MN 55101-2099

  171,443.151   72.19
 

Teachers Insurance & Annuity Assoc.

Attn: TIAA-CREF Mutual Funds Ops.

730 3rd Ave., Ste. 2A

New York, NY 10017-3207

  50,000.000   21.05

F-79


Percentage ofNumber of Shares
ClassLOGO 

Name and Address of Owner730 Third Avenue

New York, NY 10017-3206

 OwnershipOwned

 

A-1


Percentage ofNumber of Shares
Class

Name and Address of Owner

OwnershipOwned

A-2


Percentage ofNumber of Shares
Class

Name and Address of Owner

OwnershipOwned

A-3


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TIAA-CREF Large-Cap Growth FundA11031 (11/23)

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PO Box 43131 Providence, RI 02940-3131 EVERY VOTE IS BEING SOLICITEDIMPORTANT EASY VOTING OPTIONS: VOTE ON THE INTERNET Log on to: www.proxy-direct.com or scan the QR code Follow the on-screen instructions available 24 hours VOTE BY PHONE Call 1-800-337-3503 Follow the recorded instructions available 24 hours VOTE BY MAIL Vote, sign and date this Proxy Card and return in the postage-paid envelope VOTE AT THE BOARD OF TRUSTEES. The undersigned shareholder(s) of TIAA-CREF Large-Cap Growth Fund (the “Fund”)VIRTUAL MEETING Visit: meetnow.global/M599MNM on November 20 at 3:30 p.m., a series of TIAA-CREF Funds (the “Trust), revoking previous proxies, hereby appoints [], [], and [], or any one of them as true and lawful attorneys with power of substitution of each, to vote all shares of the Fund that the undersigned is entitled to vote at the Special Meeting of Shareholders to be held virtually at the following Website: meetings.computershare.com/[], on December [], 2021, at 2:00 p.m. Eastern Time, and at any and all adjournments or postponements thereof as indicated on the reverse side.Time. To participateParticipate in the Virtual Meeting, enter the 14-digit control number from the shaded box on this card. InPlease detach at perforation before mailing. TIAA-CREF Funds Special Meeting of Shareholders to be held on November 20, 2023 This Proxy Card is solicited on behalf of the Board of Trustees By signing this form, I authorize Derek B. Dorn, Mary Catherine Benedetto, and Rachael Zufall, singly or together, with power of substitution in each, to represent me and cast my vote at the TIAA-CREF Funds Special Meeting of Shareholders, and any adjournment or postponement thereof. They will vote as I instruct. If no directions are given, or if the instructions are contradictory, the proxies will vote (i) FOR the election of all listed nominees; and (ii) at their discretion the proxy holders named above are authorized to vote upon suchon any other matters asthat may properly come before the meeting, orand any adjournment or postponement thereof.

Receipt of the Notice of the The TIAA-CREF Funds Special Meeting of Shareholders and the accompanying Proxy Statement is hereby acknowledged. The shares of TIAA-CREF Large-Cap Growth Fund represented hereby will be held virtually at the following Website: meetnow.global/M599MNM on Monday, November 20, 2023, at 3:30 p.m. Eastern Time. Unless you have voted as indicatedby Internet or FORtelephone, please sign and date this ballot on the proposal if no choice is indicated.

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IF YOU VOTE ON THE INTERNET OR BY TELEPHONE,

YOU NEED NOT RETURN THIS PROXY CARD

FUNDS FUNDS FUNDS TIAA-CREF 5–15 Year Laddered Tax-Exempt Bond Fund TIAA-CREF Bond Index Fund TIAA-CREF Core Bond Fund TIAA-CREF Core Bond Plus Fund TIAA-CREF Core Impact Bond Fund TIAA-CREF Emerging Markets Debt Fund TIAA-CREF Emerging Markets Equity Fund TIAA-CREF Emerging Markets Equity Index Fund TIAA-CREF Equity Index Fund TIAA-CREF Green Bond Fund TIAA-CREF Growth & Income Fund TIAA-CREF High-Yield Fund TIAA-CREF Inflation-Linked Bond Fund TIAA-CREF International Bond Fund TIAA-CREF International Equity Fund TIAA-CREF International Equity Index Fund TIAA-CREF International Opportunities Fund TIAA-CREF Large-Cap Growth Fund TIAA-CREF Large-Cap Growth Index Fund TIAA-CREF Large-Cap Value Fund TIAA-CREF Large-Cap Value Index Fund TIAA-CREF Lifecycle 2010 Fund TIAA-CREF Lifecycle 2015 Fund TIAA-CREF Lifecycle 2020 Fund TIAA-CREF Lifecycle 2025 Fund TIAA-CREF Lifecycle 2030 Fund TIAA-CREF Lifecycle 2035 Fund TIAA-CREF Lifecycle 2040 Fund TIAA-CREF Lifecycle 2045 Fund TIAA-CREF Lifecycle 2050 Fund TIAA-CREF Lifecycle 2055 Fund TIAA-CREF Lifecycle 2060 Fund TIAA-CREF Lifecycle 2065 Fund TIAA-CREF Lifecycle Index 2010 Fund Please detach at perforation before mailing. TO VOTE, MARK BLOCKS BELOW IN BLUE OR BLACK INK AS SHOWN IN THIS EXAMPLE: X Proposal The Board of Trustees recommends a vote FOR Proposal 1. 1. To elect twelve (12) Board Members: ☐ To vote FOR all Nominees ☐ To vote AGAINST all Nominees ☐ To vote to ABSTAIN for all Nominees; or vote separately by Nominee below: FOR AGAINST ABSTAIN FOR AGAINST ABSTAIN FOR AGAINST ABSTAIN 01 Joseph A. Boateng ☐ ☐ ☐ 02 Michael A. Forrester ☐ ☐ ☐ 03 Thomas J. Kenny ☐ ☐ ☐ 04 Amy B.R. Lancellotta ☐ ☐ ☐ 05 Joanne T. Medero☐ ☐ ☐ 06 Albin F. Moschner☐ ☐ ☐ 07 John K. Nelson ☐ ☐ ☐ 08 Loren M. Starr☐ ☐ ☐ 09 Matthew Thornton III☐ ☐ ☐ 10 Terence J. Toth ☐ ☐ ☐ 11 Margaret L. Wolff ☐ ☐ ☐ 12 Robert L. Young ☐ ☐ ☐ Authorized Signatures — This section must be completed for your vote to be counted. — Sign and Date Below Note: Please sign exactly as your name(s) appear(s) on this Proxy Card, and date it. When shares are held jointly, each holder should sign. When signing as attorney, executor, guardian, administrator, trustee, officer of corporation or other entity or in another representative capacity, please give the full title under the signature. Date (mm/dd/yyyy) — Please print date below Signature 1 — Please keep signature within the box Signature 2 — Please keep signature within the box Scanner bar code xxxxxxxxxxxxxx TCF 1 33519 xxxxxxxx 

TO VOTE, MARK BLOCKS BELOW IN BLUE OR BLACK INK AS SHOWN IN THIS EXAMPLE:LOGO

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PO Box 43131 Providence, RI 02940-3131 EVERY VOTE IS IMPORTANT EASY VOTING OPTIONS: VOTE ON THE INTERNET Log on to: www.proxy-direct.com or scan the QR code Follow the on-screen instructions available 24 hours VOTE BY PHONE Call 1-800-337-3503 Follow the recorded instructions available 24 hours VOTE BY MAIL Vote, sign and date this Proxy Card and return in the postage-paid envelope VOTE AT THE VIRTUAL MEETING Visit: meetnow.global/M599MNM on November 20 at 3:30 p.m., Eastern Time. To Participate in the Virtual Meeting, enter the 14-digit control number from the shaded box on this card. Please detach at perforation before mailing. TIAA-CREF Funds Special Meeting of Shareholders to be held on November 20, 2023 This Proxy Card is solicited on behalf of the Board of Trustees By signing this form, I authorize Derek B. Dorn, Mary Catherine Benedetto, and Rachael Zufall, singly or together, with power of substitution in each, to represent me and cast my vote at the TIAA-CREF Funds Special Meeting of Shareholders, and any adjournment or postponement thereof. They will vote as I instruct. If no directions are given, or if the instructions are contradictory, the proxies will vote (i) FOR the election of all listed nominees; and (ii) at their discretion on any other matters that may properly come before the meeting, and any adjournment or postponement thereof. The TIAA-CREF Funds Special Meeting of Shareholders will be held virtually at the following Website: meetnow.global/M599MNM on Monday, November 20, 2023, at 3:30 p.m. Eastern Time. Unless you have voted by Internet or telephone, please sign and date this ballot on the reverse side and return it in the enclosed postage-paid envelope to Computershare, P.O. Box 43131, Providence, RI 02940-9433. Computershare has been engaged to tabulate ballots returned by mail to preserve the confidentiality of your ballot. VOTE VIA THE INTERNET: www.proxy-direct.com VOTE VIA THE TELEPHONE: 1-800-337-3503 TCF_33519_090523 PLEASE SIGN AND DATE ON THE REVERSE SIDE [GRAPHIC APPEARS HERE]xxxxxxxxxxxxxx code


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TIAA-CREF Lifecycle Index Retirement Income Fund EVERY VOTE IS IMPORTANT! Important Notice Regarding the Availability of Proxy Materials for the TIAA-CREF Funds Special Meeting of Shareholders to be held on November 20, 2023 The Proxy Statement for this Meeting is Available at: https://www.proxy-direct.com/tia-33519 IF YOU VOTE ON THE INTERNET OR BY TELEPHONE, YOU NEED NOT RETURN THIS PROXY CARD FUNDSFUNDS FUNDS TIAA-CREF Lifecycle Index 2015 FundTIAA-CREF Lifecycle Index 2020 Fund TIAA-CREF Lifecycle Index 2025 Fund TIAA-CREF Lifecycle Index 2030 FundTIAA-CREF Lifecycle Index 2035 Fund TIAA-CREF Lifecycle Index 2040 Fund TIAA-CREF Lifecycle Index 2045 FundTIAA-CREF Lifecycle Index 2050 Fund TIAA-CREF Lifecycle Index 2055 Fund TIAA-CREF Lifecycle Index 2060 FundTIAA-CREF Lifecycle Index 2065 Fund TIAA-CREF Lifecycle Index Retirement Fund TIAA-CREF Lifecycle Retirement Income Fund TIAA-CREF Lifestyle Aggressive Growth Fund TIAA-CREF Lifestyle Conservative Fund TIAA-CREF Lifestyle Growth Fund TIAA-CREF Lifestyle Income Fund TIAA-CREF Lifestyle Moderate Fund TIAA-CREF Managed Allocation Fund TIAA-CREF Mid-Cap Growth Fund TIAA-CREF Mid-Cap Value Fund TIAA-CREF Money Market Fund TIAA-CREF Quant International Small-Cap Equity Fund TIAA-CREF Quant Small /Mid-Cap Equity Fund TIAA-CREF Quant Small-Cap Equity Fund TIAA-CREF Real Estate Securities Fund TIAA-CREF S&P 500 Index Fund TIAA-CREF Short Duration Impact Bond Fund TIAA-CREF Short-Term Bond Fund TIAA-CREF Short-Term Bond Index Fund TIAA-CREF Small-Cap Blend Index Fund TIAA-CREF Social Choice Equity Fund TIAA-CREF Social Choice International Equity FundTIAA-CREF Social Choice Low Carbon Equity Fund Please detach at perforation before mailing. TO VOTE, MARK BLOCKS BELOW IN BLUE OR BLACK INK AS SHOWN IN THIS EXAMPLE: X Proposal The Board of Trustees recommends a vote FOR Proposal 1. 1. To elect twelve (12) Board Members: ☐ To vote FOR all Nominees ☐ To vote AGAINST all Nominees ☐ To vote to ABSTAIN for all Nominees; or vote separately by Nominee below: FOR AGAINST ABSTAIN FOR AGAINST ABSTAIN FOR AGAINST ABSTAIN 01 Joseph A. Boateng ☐ ☐ ☐ 02 Michael A. Forrester ☐ ☐ ☐ 03 Thomas J. Kenny ☐ ☐ ☐ 04 Amy B.R. Lancellotta ☐ ☐ ☐ 05 Joanne T. Medero☐ ☐ ☐ 06 Albin F. Moschner☐ ☐ ☐ 07 John K. Nelson ☐ ☐ ☐ 08 Loren M. Starr☐ ☐ ☐ 09 Matthew Thornton III☐ ☐ ☐ 10 Terence J. Toth ☐ ☐ ☐ 11 Margaret L. Wolff ☐ ☐ ☐ 12 Robert L. Young ☐ ☐ ☐ Authorized Signatures — This section must be completed for your vote to be counted. — Sign and Date Below Note: Please sign exactly as your name(s) appear(s) on this Proxy Card, and date it. When shares are held jointly, each holder should sign. When signing as attorney, executor, guardian, administrator, trustee, officer of corporation or other entity or in another representative capacity, please give the full title under the signature. Date (mm/dd/yyyy) — Please print date below Signature 1 — Please keep signature within the box Signature 2 — Please keep signature within the box Scanner bar code xxxxxxxxxxxxxx TCF 1 33519 xxxxxxxx 


LOGO

PO Box 43131 Providence, RI 02940-3131 EASY VOTING OPTIONS: VOTE ON THE INTERNET Log on to: www.proxy-direct.com or scan the QR code Follow the on-screen instructions available 24 hours VOTE BY PHONE Call 1-866-298-8476 Follow the recorded instructions available 24 hours VOTE BY MAIL Vote, sign and date this Voting 1. Instruction Card and return in the postage-paid envelopeVOTE AT THE VIRTUAL MEETING Visit: meetnow.global/M599MNM on November 20 at 3:30 p.m., Eastern Time. To Participate in the Virtual Meeting, enter the 14-digit control number from the shaded box on this card. Please detach at perforation before mailing. TIAA-CREF Funds Special Meeting of Shareholders to be held on November 20, 2023 This Voting Instruction Card is solicited on behalf of the Board of Trustees [INSURANCE COMPANY NAME DROP-IN] The above-referenced insurance company (the “Company”) is using this Voting Instruction Card to solicit voting instructions from its contract owners who hold unit values in a separate account of the Company that invests in the fund(s) listed on the reverse side. The undersigned contract owner instructs the Company to vote, at the Special Meeting of Shareholders and at any adjournments or postponements thereof (the “Meeting”), all shares of the Fund(s) attributable to his or her contract or interest in the relevant separate account as directed. They will vote as I instruct. If no directions are given, or if the instructions are contradictory, the proxies will vote (i) FOR the election of all listed nominees; and (ii) at their discretion on any other matters that may properly come before the meeting, and any adjournment or postponement thereof. The TIAA-CREF Funds Special Meeting of Shareholders will be held virtually at the following Website: meetnow.global/M599MNM on Monday, November 20, 2023, at 3:30 p.m. Eastern Time. Unless you have voted by Internet or telephone, please sign and date this ballot on the reverse side and return it in the enclosed postage-paid envelope to Computershare, P.O. Box 43131, Providence, RI 02940-9433. Computershare has been engaged to tabulate ballots returned by mail to preserve the confidentiality of your ballot. VOTE VIA THE INTERNET: www.proxy-direct.com VOTE VIA THE TELEPHONE: 1-866-298-8476 TCF_33519_090523_VI PLEASE SIGN AND DATE ON THE REVERSE SIDE xxxxxxxxxxxxxxcode


LOGO

EVERY CONTRACT OWNER’S VOTE IS IMPORTANT! Important Notice Regarding the Availability of Proxy Materials for the TIAA-CREF Funds Special Meeting of Shareholders to be held on November 20, 2023 The Proxy Statement for this Meeting is Available at: https://www.proxy-direct.com/tia-33519 IF YOU VOTE ON THE INTERNET OR BY TELEPHONE, YOU NEED NOT RETURN THIS VOTING INSTRUCTION CARD FUNDSFUNDS FUNDS TIAA-CREF 5–15 Year Laddered Tax-Exempt Bond FundTIAA-CREF Bond Index Fund TIAA-CREF Core Bond Fund TIAA-CREF Core Plus Bond Fund TIAA-CREF Core Impact Bond Fund TIAA-CREF Emerging Markets Debt Fund TIAA-CREF Emerging Markets Equity Fund TIAA-CREF Emerging Markets Equity Index Fund TIAA-CREF Equity Index Fund TIAA-CREF Green Bond Fund TIAA-CREF Growth & Income Fund TIAA-CREF High-Yield Fund TIAA-CREF Inflation-Linked Bond Fund TIAA-CREF International Bond Fund TIAA-CREF International Equity Fund TIAA-CREF International Equity Index Fund TIAA-CREF International Opportunities Fund TIAA-CREF Large-Cap Growth Fund TIAA-CREF Large-Cap Growth Index Fund TIAA-CREF Large-Cap Value Fund TIAA-CREF Large-Cap Value Index Fund TIAA-CREF Lifecycle 2010 Fund TIAA-CREF Lifecycle 2015 Fund TIAA-CREF Lifecycle 2020 Fund TIAA-CREF Lifecycle 2025 Fund TIAA-CREF Lifecycle 2030 Fund TIAA-CREF Lifecycle 2035 Fund TIAA-CREF Lifecycle 2040 Fund TIAA-CREF Lifecycle 2045 Fund TIAA-CREF Lifecycle 2050 Fund TIAA-CREF Lifecycle 2055 Fund TIAA-CREF Lifecycle 2060 Fund TIAA-CREF Lifecycle 2065 Fund TIAA-CREF Lifecycle Index 2010 Fund Please detach at perforation before mailing. TO VOTE, MARK BLOCKS BELOW IN BLUE OR BLACK INK AS SHOWN IN THIS EXAMPLE: X Proposal The Board of Trustees recommends a vote FOR Proposal 1. 1. To elect twelve (12) Board Members: ☐ To vote FOR all Nominees ☐ To vote AGAINST all Nominees ☐ To vote to ABSTAIN for all Nominees; or vote separately by Nominee below: FOR AGAINST ABSTAIN FOR AGAINST ABSTAIN FOR AGAINST ABSTAIN 01 Joseph A. Boateng ☐ ☐ ☐ 02 Michael A. Forrester ☐ ☐ ☐ 03 Thomas J. Kenny ☐ ☐ ☐ 04 Amy B.R. Lancellotta ☐ ☐ ☐ 05 Joanne T. Medero☐ ☐ ☐ 06 Albin F. Moschner☐ ☐ ☐ 07 John K. Nelson ☐ ☐ ☐ 08 Loren M. Starr☐ ☐ ☐ 09 Matthew Thornton III☐ ☐ ☐ 10 Terence J. Toth ☐ ☐ ☐ 11 Margaret L. Wolff ☐ ☐ ☐ 12 Robert L. Young ☐ ☐ ☐ Authorized Signatures — This section must be completed for your vote to be counted. — Sign and Date Below Note: Please sign exactly as your name(s) appear(s) on this Voting Instruction Card, and date it. When shares are held jointly, each holder should sign. When signing as attorney, executor, guardian, administrator, trustee, officer of corporation or other entity or in another representative capacity, please give the full title under the signature. Date (mm/dd/yyyy) — Please print date below Signature 1 — Please keep signature within the box Signature 2 — Please keep signature within the box Scanner bar code xxxxxxxxxxxxxxTCF 2 33519xxxxxxxx 


LOGO

PO Box 43131 Providence, RI 02940-3131 EASY VOTING OPTIONS: VOTE ON THE INTERNET Log on to: www.proxy-direct.com or scan the QR code Follow the on-screen instructions available 24 hours VOTE BY PHONE Call 1-866-298-8476 Follow the recorded instructions available 24 hours VOTE BY MAIL Vote, sign and date this Voting Instruction Card and return in the postage-paid envelope VOTE AT THE VIRTUAL MEETING Visit: meetnow.global/M599MNM on November 20 at 3:30 p.m., Eastern Time. To Participate in the Virtual Meeting, enter the 14-digit control number from the shaded box on this card. Please detach at perforation before mailing. TIAA-CREF Funds Special Meeting of Shareholders to be held on November 20, 2023 This Voting Instruction Card is solicited on behalf of the Board of Trustees [INSURANCE COMPANY NAME DROP-IN] The above-referenced insurance company (the “Company”) is using this Voting Instruction Card to solicit voting instructions from its contract owners who hold unit values in a separate account of the Company that invests in the fund(s) listed on the reverse side. The undersigned contract owner instructs the Company to vote, at the Special Meeting of Shareholders and at any adjournments or postponements thereof (the “Meeting”), all shares of the Fund(s) attributable to his or her contract or interest in the relevant separate account as directed. They will vote as I instruct. If no directions are given, or if the instructions are contradictory, the proxies will vote (i) FOR the election of all listed nominees; and (ii) at their discretion on any other matters that may properly come before the meeting, and any adjournment or postponement thereof. The TIAA-CREF Funds Special Meeting of Shareholders will be held virtually at the following Website: meetnow.global/M599MNM on Monday, November 20, 2023, at 3:30 p.m. Eastern Time. Unless you have voted by Internet or telephone, please sign and date this ballot on the reverse side and return it in the enclosed postage-paid envelope to Computershare, P.O. Box 43131, Providence, RI 02940-9433. Computershare has been engaged to tabulate ballots returned by mail to preserve the confidentiality of your ballot. VOTE VIA THE INTERNET: www.proxy-direct.com VOTE VIA THE TELEPHONE: 1-866-298-8476 TCF_33519_090523_VI PLEASE SIGN AND DATE ON THE REVERSE SIDE xxxxxxxxxxxxxxcode


LOGO

EVERY CONTRACT OWNER’S VOTE IS IMPORTANT! Important Notice Regarding the Availability of Proxy Materials for the TIAA-CREF Funds Special Meeting of Shareholders to be held on November 20, 2023 The Proxy Statement for this Meeting is Available at: https://www.proxy-direct.com/tia-33519 IF YOU VOTE ON THE INTERNET OR BY TELEPHONE, YOU NEED NOT RETURN THIS VOTING INSTRUCTION CARD FUNDS FUNDS FUNDS TIAA-CREF Lifecycle Index 2015 Fund TIAA-CREF Lifecycle Index 2020 Fund TIAA-CREF Lifecycle Index 2025 Fund TIAA-CREF Lifecycle Index 2030 Fund TIAA-CREF Lifecycle Index 2035 Fund TIAA-CREF Lifecycle Index 2040 Fund TIAA-CREF Lifecycle Index 2045 Fund TIAA-CREF Lifecycle Index 2050 Fund TIAA-CREF Lifecycle Index 2055 Fund TIAA-CREF Lifecycle Index 2060 Fund TIAA-CREF Lifecycle Index 2065 Fund TIAA-CREF Lifecycle Index Retirement Income Fund TIAA-CREF Lifecycle Retirement Income Fund TIAA-CREF Lifestyle Aggressive Growth Fund TIAA-CREF Lifestyle Conservative Fund TIAA-CREF Lifestyle Growth Fund TIAA-CREF Lifestyle Income Fund TIAA-CREF Lifestyle Moderate Fund TIAA-CREF Managed Allocation Fund TIAA-CREF Mid-Cap Growth Fund TIAA-CREF Mid-Cap Value Fund TIAA-CREF Money Market Fund TIAA-CREF Quant International Small-Cap Equity Fund TIAA-CREF Quant Small /Mid-Cap Equity Fund TIAA-CREF Quant Small-Cap Equity Fund TIAA-CREF Real Estate Securities Fund TIAA-CREF S&P 500 Index Fund TIAA-CREF Short Duration Impact Bond Fund TIAA-CREF Short-Term Bond Fund TIAA-CREF Short-Term Bond Index Fund TIAA-CREF Small-Cap Blend Index Fund TIAA-CREF Social Choice Equity Fund TIAA-CREF Social Choice International Equity Fund TIAA-CREF Social Choice Low Carbon Equity Fund Please detach at perforation before mailing. TO VOTE, MARK BLOCKS BELOW IN BLUE OR BLACK INK AS SHOWN IN THIS EXAMPLE: X A Proposal The Board of Trustees recommends a vote FOR Proposal 1. 1. To elect twelve (12) Board Members: ☐ To vote FOR all Nominees    ☐ To vote AGAINST all Nominees    ☐ To vote to ABSTAIN for all Nominees; or vote separately by Nominee below: FOR    AGAINST ABSTAIN FOR    AGAINST ABSTAIN FOR    AGAINST ABSTAIN 01 Joseph A. Boateng ☐ ☐ ☐ 02 Michael A. Forrester ☐ ☐ ☐ 03 Thomas J. Kenny ☐ ☐ ☐ 04 Amy B.R. Lancellotta ☐ ☐ ☐ 05 Joanne T. Medero ☐ ☐ ☐ 06 Albin F. Moschner ☐ ☐ ☐ 07 John K. Nelson ☐ ☐ ☐ 08 Loren M. Starr ☐ ☐ ☐ 09 Matthew Thornton III ☐ ☐ ☐ 10 Terence J. Toth ☐ ☐ ☐ 11 Margaret L. Wolff ☐ ☐ ☐ 12 Robert L. Young ☐ ☐ ☐ B Authorized Signatures — This section must be completed for your vote to be counted. — Sign and Date Below Note: Please sign exactly as your name(s) appear(s) on this Voting Instruction Card, and date it. When shares are held jointly, each holder should sign. When signing as attorney, executor, guardian, administrator, trustee, officer of corporation or other entity or in another representative capacity, please give the full title under the signature. Date (mm/dd/yyyy) — Please print date below Signature 1 — Please keep signature within the box Signature 2 — Please keep signature within the box Scanner bar code  xxxxxxxxxxxxxx    TCF 2 33519    xxxxxxxx

Proposal        The Board of Trustees recommends a vote FOR the Proposal.

FORAGAINSTABSTAIN
1.  

To approve the change of the Fund’s classification under the Investment Company Act of 1940, as amended (the “1940 Act”), from “diversified” to “non-diversified” and to eliminate the Fund’s related fundamental investment restriction.

2.

To address any other business that may properly come before the meeting.

 B 

Authorized Signatures — This section must be completed for your vote to be counted. — Sign and Date Below

Note:

Please sign exactly as your name(s) appear(s) on this Proxy Card, and date it. When shares are held jointly, each holder should sign. When signing as attorney, executor, guardian, administrator, trustee, officer of corporation or other entity or in another representative capacity, please give the full title under the signature.

Date (mm/dd/yyyy) — Please print date belowSignature 1 — Please keep signature within the boxSignature 2 — Please keep signature within the box
/        /

Scanner bar code

xxxxxxxxxxxxxxLCG 32350xxxxxxxx