-----BEGIN PRIVACY-ENHANCED MESSAGE----- Proc-Type: 2001,MIC-CLEAR Originator-Name: webmaster@www.sec.gov Originator-Key-Asymmetric: MFgwCgYEVQgBAQICAf8DSgAwRwJAW2sNKK9AVtBzYZmr6aGjlWyK3XmZv3dTINen TWSM7vrzLADbmYQaionwg5sDW3P6oaM5D3tdezXMm7z1T+B+twIDAQAB MIC-Info: RSA-MD5,RSA, NP0ijgaoMo+JH06MRPcFv9s+/i1ehU4adLun7WlTZBVPAKIBInAQpc9bAj9xDfcc Q/QLFliWxDouYiHyuF/fHg== 0000950149-03-002514.txt : 20031106 0000950149-03-002514.hdr.sgml : 20031106 20031105195747 ACCESSION NUMBER: 0000950149-03-002514 CONFORMED SUBMISSION TYPE: N-CSR PUBLIC DOCUMENT COUNT: 5 CONFORMED PERIOD OF REPORT: 20030831 FILED AS OF DATE: 20031106 EFFECTIVENESS DATE: 20031106 FILER: COMPANY DATA: COMPANY CONFORMED NAME: SCHWAB INVESTMENTS CENTRAL INDEX KEY: 0000869365 STATE OF INCORPORATION: MA FISCAL YEAR END: 0831 FILING VALUES: FORM TYPE: N-CSR SEC ACT: 1940 Act SEC FILE NUMBER: 811-06200 FILM NUMBER: 03980805 BUSINESS ADDRESS: STREET 1: 101 MONTGOMERY ST CITY: SAN FRANCISCO STATE: CA ZIP: 94104 BUSINESS PHONE: 4156277000 MAIL ADDRESS: STREET 1: 101 MONTGOMERY ST CITY: SAN FRANCISCO STATE: CA ZIP: 94104 N-CSR 1 f93533nvcsr.txt FORM N-CSR FOR SCHWAB INVESTMENTS UNITED STATES SECURITIES AND EXCHANGE COMMISSION Washington, D.C. 20549 FORM N-CSR CERTIFIED SHAREHOLDER REPORT OF REGISTERED MANAGEMENT INVESTMENT COMPANIES Investment Company Act file number: 811-6200 Schwab Investments ----------------------------------------------- (Exact name of registrant as specified in charter) 101 Montgomery Street, San Francisco, California 94104 ------------------------------------------------------------------- (Address of principal executive offices) (Zip code) Randall W. Merk Schwab Investments 101 Montgomery Street, San Francisco, California 94104 ----------------------------------------------------------- (Name and address of agent for service) Registrant's telephone number, including area code: (415) 627-7000 Date of fiscal year end: August 31 Date of reporting period: September 1, 2002 - August 31, 2003 Item 1: Report(s) to Shareholders. SCHWAB TAX-FREE BOND FUNDS ANNUAL REPORT August 31, 2003 Schwab Short/Intermediate Tax-Free Bond Fund(TM) Schwab Long-Term Tax-Free Bond Fund(TM) Schwab California Short/Intermediate Tax-Free Bond Fund(TM) Schwab California Long-Term Tax-Free Bond Fund(TM) [CHARLES SCHWAB LOGO] Four funds designed to offer tax-free income. In this report Management's Discussion .............................................. 2 The president of SchwabFunds(R) and the funds' manager take a look at the factors that shaped fund performance during the report period. Performance at a Glance .............. 5 Schwab Short/Intermediate Tax-Free Bond Fund(TM) Ticker Symbol: SWITX The fund seeks high current income that is exempt from federal income tax, consistent with capital preservation. 1 Performance and Fund Facts ........... 7 Financial Statements ................. 15 Schwab Long-Term Tax-Free Bond Fund(TM) Ticker symbol: SWNTX The fund seeks high current income that is exempt from federal income tax, consistent with capital preservation. 1 Performance and Fund Facts ........... 9 Financial Statements ................. 25 Schwab California Short/Intermediate Tax-Free Bond Fund(TM) Ticker symbol: SWCSX The fund seeks high current income exempt from federal and California personal income tax that is consistent with capital preservation. 1 Performance and Fund Facts ........... 11 Financial Statements ................. 34 Schwab California Long-Term Tax-Free Bond Fund(TM) Ticker symbol: SWCAX The fund seeks high current income exempt from federal and California personal income tax that is consistent with capital preservation. 1 Performance and Fund Facts ........... 13 Financial Statements ................. 43 Financial notes ...................................................... 52 Fund Trustees ........................................................ 56 Glossary ............................................................. 59 Fund manager: Charles Schwab Investment Management, Inc. Distributor and transfer agent: Charles Schwab & Co., Inc. (Schwab). 1 A portion of income may be subject to the alternative minimum tax (AMT) and, for the national funds, state and local income taxes as well. [PHOTO OF CHARLES R. SCHWAB] Charles R. Schwab Chairman FROM THE CHAIRMAN With the stock market showing signs of life, and many expecting bond prices to decline, many investors are wondering whether this is a good time to own bonds. As someone who has faith in the long-term potential of stocks, I certainly understand where this question is coming from. However, the truth is that owning stocks and owning bonds is not an either/or proposition. A well-balanced portfolio contains both. Perhaps the most important reason to own bonds is to help protect you against the things you can't predict. In 2000, how many U.S. investors expected a three-year stock market downturn? I doubt that in 1990 many people in Japan expected a 12-year downturn, either. Yet both happened. Similarly, we were all caught off-guard by the terrible events of 9/11. In the wake of this tragedy, investors clamored for Treasury securities, bidding up their prices while stocks stumbled. Can you lose money investing in bond funds? Absolutely. When bond yields increase, prices decline. But the point of owning a diversified portfolio is that it is nearly impossible to successfully time the market. That's why at Schwab we have long advocated a disciplined approach towards asset allocation. If you have any questions about the allocation of your portfolio, or whether owning bond funds makes sense in your portfolio, I hope you will feel free to draw on the expertise of our professionals. That's why they're there: to help you find answers. Thank you for your continued trust in SchwabFunds(R). Sincerely, /s/ Charles Schwab MANAGEMENT'S DISCUSSION for the year ended August 31, 2003 [PHOTO OF RANDALL W. MERK] RANDALL W. MERK is President and CEO of Charles Schwab Investment Management, Inc. and is president of each of the funds covered in this report. He joined the firm in August of 2002, bringing with him 24 years of experience in the asset management industry. Dear Shareholder: The second half of the report period saw what could be a turning point in the bond markets. After a long decline to historically low levels, interest rates rebounded sharply in June of 2003, which meant lower share prices for many bond funds. On the next few pages we discuss some of the factors that, in our view, contributed to this trend, and what it meant for the funds covered in this report. With their regular income and historically lower volatility (compared with stocks), bonds do have the potential to help cushion a portfolio against the effects of stock market volatility. It appears unlikely that bonds will continue to post the significant total returns we've seen in recent years. However, the basic reasons for keeping bond investments in a portfolio -- income and lower volatility -- are always worth remembering. I believe these reasons are as valid today as they have been in the past. Before closing, I want to say a few words about an issue that has been in the headlines recently: mutual fund integrity. Along with management expertise and customer service, integrity is a key element of what we have to offer. All of us at SchwabFunds(R) strive to maintain high standards in our operations. Nevertheless, we continue to scrutinize our operations. We believe that treating all shareholders equally is a basic principle of a mutual fund, and it's a principle we at SchwabFunds take very seriously. Nothing means more to our business than the trust of our shareholders. We don't take that trust for granted. I want to thank you for investing with us, and I hope you'll let us know if there is anything else we can do to help you reach your financial goals. Sincerely, /s/ Randall W. Merk Past performance does not indicate future results. 2 Schwab Tax-Free Bond Funds [PHOTO OF JOANNE LARKIN] JOANNE LARKIN, a vice president of the investment adviser, has had overall management responsibility for the funds since their inception. She joined the firm in 1992, and has worked in fixed-income asset management and research since 1984. THE ECONOMY AND THE MARKET ECONOMIC UNCERTAINTY GRADUALLY GAVE WAY TO MORE ENCOURAGING ECONOMIC SIGNS TOWARD THE END OF THE REPORT PERIOD. The beginning of the report period saw the U.S. economy behaving more or less as it had since late 2001, with no clear signs of either significant growth or contraction. In March 2003, not long after the conclusion of major hostilities in Iraq, stock prices began to rise, and by the end of the report period, it appeared that the economy was finally beginning to gather strength. THE FEDERAL RESERVE (THE FED) CUT SHORT-TERM INTEREST RATES TWICE DURING THE PERIOD. The two cuts -- 0.50% in November 2002 and 0.25% in June 2003 -- brought the Fed funds target rate to an historic low of 1.00%. The cuts reflected the Fed's concerns that an economic recovery was not materializing as rapidly as one might have hoped and deflation remained a risk. THE BOND MARKET REACTED DRAMATICALLY TO THE FED'S JUNE 2003 RATE CUT. Yields of benchmark 10-year Treasury bonds, which had been drifting downward since before the beginning of the report period, suddenly skyrocketed. In keeping with their inverse relationship to yields, market prices of these bonds began the period drifting upward, then plummeted after the June cut. YIELDS OF MUNICIPAL SECURITIES: Effective Yields of Five-Year and 30-Year Municipal Bonds [LINE GRAPH]
5-Year AAA 30-Year Bond GO Bond Buyer 40 Index 31-Aug-93 3.92 5.61 30-Sep-93 3.71 5.51 29-Oct-93 3.73 5.59 30-Nov-93 3.97 5.90 31-Dec-93 3.83 5.60 31-Jan-94 3.70 5.51 28-Feb-94 4.02 6.09 31-Mar-94 4.71 7.04 29-Apr-94 4.82 7.02 31-May-94 4.77 6.89 30-Jun-94 4.83 6.92 29-Jul-94 4.69 6.62 31-Aug-94 4.71 6.55 30-Sep-94 4.92 6.93 31-Oct-94 5.11 7.36 30-Nov-94 5.37 7.73 30-Dec-94 5.30 7.28 31-Jan-95 5.12 6.86 28-Feb-95 5.01 6.47 31-Mar-95 4.83 6.40 28-Apr-95 4.84 6.43 31-May-95 4.48 6.04 30-Jun-95 4.57 6.37 31-Jul-95 4.40 6.38 31-Aug-95 4.31 6.30 29-Sep-95 4.30 6.23 31-Oct-95 4.23 5.99 30-Nov-95 4.15 5.74 29-Dec-95 4.14 5.65 31-Jan-96 4.09 5.70 29-Feb-96 4.09 5.99 29-Mar-96 4.38 6.44 30-Apr-96 4.49 6.50 31-May-96 4.64 6.45 28-Jun-96 4.61 6.26 31-Jul-96 4.56 6.18 30-Aug-96 4.57 6.21 30-Sep-96 4.48 6.00 31-Oct-96 4.40 5.94 29-Nov-96 4.18 5.73 31-Dec-96 4.25 5.87 31-Jan-97 4.41 6.02 28-Feb-97 4.34 5.96 31-Mar-97 4.61 6.26 30-Apr-97 4.67 6.15 30-May-97 4.60 5.88 30-Jun-97 4.41 5.79 31-Jul-97 4.10 5.38 29-Aug-97 4.34 5.73 30-Sep-97 4.21 5.61 31-Oct-97 4.16 5.59 28-Nov-97 4.17 5.50 31-Dec-97 4.06 5.35 30-Jan-98 4.04 5.30 27-Feb-98 4.03 5.44 31-Mar-98 4.09 5.46 30-Apr-98 4.23 5.68 29-May-98 4.09 5.34 30-Jun-98 4.10 5.36 31-Jul-98 4.07 5.41 31-Aug-98 3.87 5.19 30-Sep-98 3.77 5.09 30-Oct-98 3.70 5.34 30-Nov-98 3.73 5.25 31-Dec-98 3.77 5.34 29-Jan-99 3.63 5.21 26-Feb-99 3.70 5.33 31-Mar-99 3.86 5.39 30-Apr-99 3.80 5.47 31-May-99 4.00 5.62 30-Jun-99 4.39 5.91 30-Jul-99 4.31 5.94 31-Aug-99 4.39 6.21 30-Sep-99 4.45 6.31 29-Oct-99 4.62 6.53 30-Nov-99 4.55 6.42 31-Dec-99 4.72 6.55 31-Jan-00 4.94 6.68 29-Feb-00 4.94 6.43 31-Mar-00 4.85 6.09 28-Apr-00 4.95 6.21 31-May-00 5.11 6.46 30-Jun-00 4.80 6.02 31-Jul-00 4.62 5.84 31-Aug-00 4.47 5.75 30-Sep-00 4.54 5.93 31-Oct-00 4.49 5.80 30-Nov-00 4.46 5.79 31-Dec-00 4.23 5.40 31-Jan-01 3.85 5.37 28-Feb-01 3.82 5.39 30-Mar-01 3.75 5.39 30-Apr-01 3.95 5.77 31-May-01 3.79 5.61 29-Jun-01 3.74 5.57 31-Jul-01 3.59 5.33 31-Aug-01 3.38 5.11 30-Sep-01 3.31 5.31 31-Oct-01 3.14 5.26 30-Nov-01 3.44 5.45 31-Dec-01 3.76 5.64 31-Jan-02 3.45 5.45 28-Feb-02 3.29 5.33 31-Mar-02 3.95 5.71 30-Apr-02 3.46 5.47 31-May-02 3.40 5.53 30-Jun-02 3.19 5.40 31-Jul-02 2.93 5.27 31-Aug-02 2.83 5.14 30-Sep-02 2.53 4.67 31-Oct-02 2.91 5.09 30-Nov-02 2.92 5.29 31-Dec-02 2.59 4.99 31-Jan-03 2.55 5.14 28-Feb-03 2.37 4.97 31-Mar-03 2.50 4.91 30-Apr-03 2.44 4.84 31-May-03 2.12 4.57 30-Jun-03 2.17 4.66 31-Jul-03 2.83 5.45 31-Aug-03 2.82 5.30
THE SPREAD BETWEEN SHORT- AND LONG-TERM MUNI YIELDS CONTINUED TO WIDEN THROUGHOUT THE REPORT PERIOD, AS SHORT-TERM YIELDS FELL FASTER THAN LONG-TERM YIELDS. Yields, or interest rates, represent the cost of borrowing money. Rapid economic growth, waning investor interest in bonds, an increase in the issuance of bonds, or the expectation of higher inflation can drive rates up, while the opposite conditions can push rates down. Data source: Bloomberg L.P. Schwab Tax-Free Bond Funds 3 MANAGEMENT'S DISCUSSION continued Compared with taxable bonds, the performance of muni bonds generally remained very robust throughout the period. Why did this particular rate cut -- which, after all, was the 13th made by the Fed since January of 2001 -- have such a significant effect on bond markets? We believe the answer is twofold. First, the bond market seemed to be expecting a cut of half a percent. By lowering the Fed funds rate by only a quarter of a percent, the Fed was seen as signaling that its outlook for the economy was positive. Second, prior to the cut, many investors appeared to believe the Fed was prepared to resort to unconventional easing methods, since short-term rates could not be cut much further. In particular, the Fed had indicated that it might begin to purchase longer-term Treasury bonds, which would raise their value and therefore lower yields. When, at the time of the June 2003 rate cut, the Fed also stated that it was no longer considering unconventional easing, the price of longer Treasuries, which had risen in anticipation of Fed purchases, fell back again. THE YIELD SPREADS BETWEEN TREASURIES AND ALL GRADES OF CORPORATES NARROWED DRAMATICALLY. From early within the report period almost until the end, the difference between yields offered by corporate bonds and those offered by benchmark 10-year Treasury bonds narrowed. It was the fastest and largest decline in at least 14 years. It is our belief that this decline reflected a growing perception on the part of bond investors that most corporations that had survived the difficulties of the past few years were not likely to suffer significant financial YIELD ADVANTAGE OF MUNIS OVER TREASURIES: For Five-Year Bonds; Tax Brackets Shown are the Highest Applicable TREMENDOUS INVESTOR DEMAND FOR QUALITY BROUGHT TREASURY YIELDS SO LOW THAT THE YIELD ADVANTAGE OF MUNIS INCREASED SUBSTANTIALLY. This chart shows how much more the average five-year muni yielded than the average five-year Treasury after federal (or combined California and federal) income tax. Data source: Bloomberg L.P. [LINE GRAPH]
Federal Federal/CA 35.0% Bracket 41.05% Bracket 31-Aug-93 0.81 1.10 30-Sep-93 0.61 0.90 29-Oct-93 0.58 0.87 30-Nov-93 0.62 0.93 31-Dec-93 0.44 0.76 31-Jan-94 0.44 0.74 28-Feb-94 0.40 0.73 31-Mar-94 0.66 1.04 29-Apr-94 0.51 0.91 31-May-94 0.38 0.78 30-Jun-94 0.31 0.73 29-Jul-94 0.32 0.72 31-Aug-94 0.29 0.70 30-Sep-94 0.19 0.63 31-Oct-94 0.24 0.70 30-Nov-94 0.31 0.78 30-Dec-94 0.21 0.69 31-Jan-95 0.24 0.70 28-Feb-95 0.43 0.86 31-Mar-95 0.23 0.66 28-Apr-95 0.37 0.78 31-May-95 0.55 0.91 30-Jun-95 0.69 1.05 31-Jul-95 0.40 0.77 31-Aug-95 0.37 0.73 29-Sep-95 0.39 0.75 31-Oct-95 0.45 0.81 30-Nov-95 0.56 0.90 29-Dec-95 0.64 0.97 31-Jan-96 0.69 1.00 29-Feb-96 0.36 0.71 29-Mar-96 0.42 0.79 30-Apr-96 0.32 0.71 31-May-96 0.33 0.73 28-Jun-96 0.41 0.80 31-Jul-96 0.29 0.69 30-Aug-96 0.20 0.61 30-Sep-96 0.28 0.67 31-Oct-96 0.46 0.82 29-Nov-96 0.39 0.74 31-Dec-96 0.21 0.59 31-Jan-97 0.35 0.73 28-Feb-97 0.19 0.57 31-Mar-97 0.22 0.63 30-Apr-97 0.40 0.80 30-May-97 0.37 0.77 30-Jun-97 0.26 0.65 31-Jul-97 0.27 0.62 29-Aug-97 0.30 0.67 30-Sep-97 0.32 0.68 31-Oct-97 0.45 0.80 28-Nov-97 0.37 0.73 31-Dec-97 0.35 0.69 30-Jan-98 0.54 0.87 27-Feb-98 0.40 0.74 31-Mar-98 0.44 0.78 30-Apr-98 0.57 0.91 29-May-98 0.48 0.82 30-Jun-98 0.55 0.88 31-Jul-98 0.50 0.83 31-Aug-98 0.75 1.04 30-Sep-98 1.03 1.29 30-Oct-98 0.95 1.21 30-Nov-98 0.82 1.09 31-Dec-98 0.82 1.09 29-Jan-99 0.67 0.95 26-Feb-99 0.31 0.62 31-Mar-99 0.54 0.85 30-Apr-99 0.41 0.73 31-May-99 0.37 0.71 30-Jun-99 0.72 1.06 30-Jul-99 0.55 0.90 31-Aug-99 0.58 0.93 30-Sep-99 0.71 1.06 29-Oct-99 0.76 1.11 30-Nov-99 0.58 0.95 31-Dec-99 0.60 0.98 31-Jan-00 0.60 1.00 29-Feb-00 0.65 1.05 31-Mar-00 0.75 1.13 28-Apr-00 0.70 1.10 31-May-00 0.87 1.27 30-Jun-00 0.78 1.15 31-Jul-00 0.63 1.00 31-Aug-00 0.59 0.95 30-Sep-00 0.74 1.09 31-Oct-00 0.71 1.07 30-Nov-00 0.93 1.26 31-Dec-00 0.99 1.29 31-Jan-01 0.75 1.04 28-Feb-01 0.79 1.07 30-Mar-01 0.79 1.06 30-Apr-01 0.77 1.07 31-May-01 0.60 0.89 29-Jun-01 0.52 0.82 31-Jul-01 0.65 0.92 31-Aug-01 0.53 0.80 30-Sep-01 0.84 1.07 31-Oct-01 0.88 1.09 30-Nov-01 0.80 1.04 31-Dec-01 0.96 1.22 31-Jan-02 0.61 0.87 28-Feb-02 0.57 0.82 31-Mar-02 0.83 1.12 30-Apr-02 0.60 0.86 31-May-02 0.57 0.83 30-Jun-02 0.57 0.81 31-Jul-02 0.69 0.90 31-Aug-02 0.74 0.93 30-Sep-02 0.86 1.02 31-Oct-02 1.14 1.30 30-Nov-02 0.79 0.99 31-Dec-02 0.81 0.98 31-Jan-03 0.64 0.82 28-Feb-03 0.64 0.80 31-Mar-03 0.74 0.90 30-Apr-03 0.65 0.82 31-May-03 0.63 0.77 30-Jun-03 0.60 0.75 31-Jul-03 0.74 0.93 31-Aug-03 0.57 0.78
4 Schwab Tax-Free Bond Funds PERFORMANCE AT A GLANCE Total return for the 12 months ended 8/31/03 SCHWAB SHORT/INTERMEDIATE TAX-FREE BOND FUND(TM) ......... 2.50% Index .......................... 3.06% Category Average 1 ............. 2.09% Performance Details ............ page 7 SCHWAB LONG-TERM TAX-FREE BOND FUND(TM) ......... 4.01% Index .......................... 3.14% Category Average 2 ............. 2.07% Performance Details ............ page 9 SCHWAB CALIFORNIA SHORT/INTERMEDIATE TAX-FREE BOND FUND(TM) ......... 2.15% Index .......................... 3.06% Category Average 3 ............. 1.52% Performance Details ............ page 11 SCHWAB CALIFORNIA LONG-TERM TAX-FREE BOND FUND(TM)......... 2.14% Index .......................... 3.14% Category Average 4 ............. 1.34% Performance Details ............ page 13
setbacks going forward. The difference in risk between Treasuries (which are essentially considered risk-free) and corporate bonds was therefore perceived to be substantially less than it had been for the past several years. MOST SECTORS OF THE BOND MARKET POSTED POSITIVE TOTAL RETURNS FOR THE REPORT PERIOD, BUT LAGGED WELL BEHIND THE ROBUST RETURNS POSTED BY MOST TYPES OF STOCKS. In general, corporate bonds were the stand-out story in terms of bond total return during the period. Muni bonds also performed well, with yields during the period approaching those of Treasuries, even before factoring in the effect of taxes (chart, page 4). THE FUNDS ALL OF THE FUNDS POSTED NET GAINS FOR THE REPORT PERIOD AND MET THE GOAL OF PROVIDING TAX-FREE INCOME. Throughout the period, each fund maintained about three-quarters of its assets or more in bonds in the top two credit categories. With muni investors concerned about credit quality in light of many states' well-publicized fiscal woes, high-quality bonds were in demand during the report period, which made a positive contribution to fund performance. ISSUANCE OF MUNI BONDS RAN AT RECORD-SETTING LEVELS DURING THE REPORT PERIOD. Two reasons contributing to this trend were the eagerness of municipal issuers to bring bonds to market while rates are still relatively low, and the decision of numerous states to resort to bond financing to help cope with budget deficits. Nationally, the state with the most widely publicized budget problems was California. This affected the two California funds as well as the two national funds, as California's issuance of new bonds was so great that it All fund and index figures on this page assume dividends and distributions were reinvested. Index figures do not include trading and management costs, which would lower performance. Indices are unmanaged, and you cannot invest in them directly. Each fund's share price and principal values change, and when you sell your shares they may be worth more or less than what you paid for them. Past performance does not indicate future results. Expenses may be partially absorbed by fund management. Without these reductions, the fund's total return would have been lower. Performance does not reflect the deduction of taxes that a shareholder would pay on fund distributions or on the redemption of fund shares. A portion of income may be subject to the alternative minimum tax (AMT) and, for the national funds, state and local income tax as well. 1 Source for category information: Morningstar, Inc. As of 8/31/03, there were 96 funds in the Municipal Short Bond Fund category for the one-year period, 73 for the five-year period and 31 for the ten-year period. 2 Source for category information: Morningstar, Inc. As of 8/31/03, there were 259 funds in the Municipal National Long Bond Fund category for the one-year period, 205 for the five-year period and 110 for the ten-year period. 3 Source for category information: Morningstar, Inc. As of 8/31/03, there were 52 funds in the Municipal California Intermediate/Short Bond Fund category for the one-year period, 34 for the five-year period and 15 for the ten-year period. 4 Source for category information: Morningstar, Inc. As of 8/31/03, there were 132 funds in the Municipal California Long Bond Fund category for the one-year period, 106 for the five-year period and 59 for the ten-year period. Schwab Tax-Free Bond Funds 5 As of the end of the report period, all funds in this report were positioned to take advantage of a modest economic recovery and to weather a degree of volatility. was noticeable in the muni market nationwide. One result was that the yields on California bonds rose, in part because of the reduction in credit quality but also because the higher volume of issuance meant a plentiful supply at a time when many bond investors already held as many California bonds as they preferred to own. CREDIT ISSUES ALSO AFFECTED SOME BOND SECTORS. Tobacco settlement bonds and unenhanced airport and airline bonds underperformed during the report period, while enhanced bonds (bonds whose credit is supplemented by a third party) and bonds for essential services outperformed. Performance of all four funds benefited by our decision to avoid tobacco and unenhanced airport or airline bonds. IN SCHWAB SHORT-INTERMEDIATE TAX-FREE BOND FUND(TM) AND SCHWAB LONG-TERM TAX-FREE BOND FUND(TM), our holdings of California bonds varied during the report period. Given the increase of supply of California General Obligations (a portion of the funds' California holdings), we anticipated them getting cheaper as more came into the market. As a result, we reduced our California General Obligation holdings to zero by the end of the period in the national funds. Our strategy with these holdings was to seek to take advantage of changes in the attractiveness of California bonds relative to other bonds. This strategy allowed us to realize some price appreciation during the period. On the weighted average maturity front, we kept the short-term fund's maturity close to the long end of its allowable maximum of five years. This helped us to avoid much of the volatility in the short-maturity end of the market. IN THE SCHWAB CALIFORNIA SHORT-INTERMEDIATE TAX-FREE BOND FUND(TM) AND SCHWAB CALIFORNIA LONG-TERM TAX-FREE BOND FUND(TM), our challenge during the report period was to identify a large, diverse range of muni bonds, all from California issuers, that met our high standards for credit quality. This was an area where, in our opinion, the strength of our in-house credit research group made a significant difference. Because of their extensive knowledge of the many hundreds of California bond issuers, the credit research group was able to identify bonds that offered attractive yields without exposing shareholders to undue credit risk. We will continue to monitor the state's changing fiscal situation with an eye toward protecting shareholder interests and capitalizing on potential opportunities. The views expressed here are those of fund management as of the report date and may change subsequent to that date. 6 Schwab Tax-Free Bond Funds SCHWAB SHORT/INTERMEDIATE TAX-FREE BOND FUND(TM) PERFORMANCE as of 8/31/03 AVERAGE ANNUAL TOTAL RETURNS 1, 2 This bar chart compares performance of the fund with the Lehman Brothers 3-Year Municipal Bond Index and the Morningstar Municipal Short Bond Fund category. [BAR CHART]
LEHMAN BROTHERS 3-YEAR MUNICIPAL CATEGORY FUND BOND INDEX AVERAGE 1 YEAR 2.50% 3.06% 2.09% 5 YEARS 4.31% 4.87% 3.87% 10 YEARS 4.30% 4.88% 4.22%
PERFORMANCE OF A HYPOTHETICAL $10,000 INVESTMENT 1 This graph shows performance since inception of a hypothetical $10,000 investment in the fund, compared with a similar investment in the Lehman Brothers 3-Year Municipal Bond Index. $15,244 FUND $16,113 LEHMAN BROTHERS 3-YEAR MUNICIPAL BOND INDEX [LINE GRAPH]
Lehman Brothers 3-Year Municipal Fund Bond Index 31-Aug-93 $10,000 $10,000 30-Sep-93 $10,059 $10,044 31-Oct-93 $10,081 $10,065 30-Nov-93 $10,042 $10,052 31-Dec-93 $10,174 $10,158 31-Jan-94 $10,276 $10,240 28-Feb-94 $10,125 $10,144 31-Mar-94 $9,937 $10,022 30-Apr-94 $9,997 $10,081 31-May-94 $10,039 $10,128 30-Jun-94 $10,028 $10,131 31-Jul-94 $10,121 $10,215 31-Aug-94 $10,142 $10,252 30-Sep-94 $10,091 $10,226 31-Oct-94 $10,033 $10,201 30-Nov-94 $9,963 $10,183 31-Dec-94 $10,061 $10,227 31-Jan-95 $10,158 $10,312 28-Feb-95 $10,272 $10,421 31-Mar-95 $10,362 $10,514 30-Apr-95 $10,397 $10,550 31-May-95 $10,582 $10,711 30-Jun-95 $10,584 $10,737 31-Jul-95 $10,685 $10,850 31-Aug-95 $10,774 $10,935 30-Sep-95 $10,809 $10,966 31-Oct-95 $10,867 $11,018 30-Nov-95 $10,945 $11,089 31-Dec-95 $10,994 $11,135 31-Jan-96 $11,070 $11,222 29-Feb-96 $11,051 $11,225 31-Mar-96 $11,002 $11,198 30-Apr-96 $10,995 $11,211 31-May-96 $11,001 $11,221 30-Jun-96 $11,058 $11,289 31-Jul-96 $11,128 $11,351 31-Aug-96 $11,132 $11,368 30-Sep-96 $11,202 $11,437 31-Oct-96 $11,286 $11,517 30-Nov-96 $11,390 $11,624 31-Dec-96 $11,383 $11,630 31-Jan-97 $11,419 $11,681 28-Feb-97 $11,476 $11,738 31-Mar-97 $11,414 $11,677 30-Apr-97 $11,452 $11,728 31-May-97 $11,549 $11,823 30-Jun-97 $11,609 $11,892 31-Jul-97 $11,763 $12,034 31-Aug-97 $11,733 $12,010 30-Sep-97 $11,807 $12,096 31-Oct-97 $11,858 $12,149 30-Nov-97 $11,886 $12,185 31-Dec-97 $11,971 $12,268 31-Jan-98 $12,043 $12,348 28-Feb-98 $12,056 $12,374 31-Mar-98 $12,075 $12,394 30-Apr-98 $12,045 $12,377 31-May-98 $12,158 $12,492 30-Jun-98 $12,198 $12,534 31-Jul-98 $12,228 $12,580 31-Aug-98 $12,340 $12,702 30-Sep-98 $12,441 $12,783 31-Oct-98 $12,484 $12,844 30-Nov-98 $12,508 $12,875 31-Dec-98 $12,543 $12,906 31-Jan-99 $12,664 $13,023 28-Feb-99 $12,639 $13,038 31-Mar-99 $12,646 $13,049 30-Apr-99 $12,674 $13,090 31-May-99 $12,642 $13,072 30-Jun-99 $12,522 $12,993 31-Jul-99 $12,590 $13,057 31-Aug-99 $12,569 $13,072 30-Sep-99 $12,610 $13,122 31-Oct-99 $12,566 $13,123 30-Nov-99 $12,633 $13,181 31-Dec-99 $12,607 $13,160 31-Jan-00 $12,596 $13,184 29-Feb-00 $12,625 $13,225 31-Mar-00 $12,747 $13,292 30-Apr-00 $12,713 $13,295 31-May-00 $12,694 $13,308 30-Jun-00 $12,917 $13,477 31-Jul-00 $13,014 $13,586 31-Aug-00 $13,135 $13,690 30-Sep-00 $13,140 $13,694 31-Oct-00 $13,212 $13,771 30-Nov-00 $13,268 $13,826 31-Dec-00 $13,450 $13,981 31-Jan-01 $13,621 $14,192 28-Feb-01 $13,660 $14,247 31-Mar-01 $13,747 $14,347 30-Apr-01 $13,670 $14,325 31-May-01 $13,782 $14,456 30-Jun-01 $13,851 $14,521 31-Jul-01 $13,962 $14,638 31-Aug-01 $14,111 $14,791 30-Sep-01 $14,152 $14,864 31-Oct-01 $14,246 $14,961 30-Nov-01 $14,133 $14,915 31-Dec-01 $14,045 $14,900 31-Jan-02 $14,235 $15,089 28-Feb-02 $14,368 $15,202 31-Mar-02 $14,146 $14,976 30-Apr-02 $14,403 $15,196 31-May-02 $14,457 $15,284 30-Jun-02 $14,593 $15,415 31-Jul-02 $14,730 $15,536 31-Aug-02 $14,868 $15,635 30-Sep-02 $15,046 $15,759 31-Oct-02 $14,917 $15,672 30-Nov-02 $14,882 $15,677 31-Dec-02 $15,115 $15,902 31-Jan-03 $15,107 $15,953 28-Feb-03 $15,252 $16,055 31-Mar-03 $15,246 $16,036 30-Apr-03 $15,310 $16,079 31-May-03 $15,561 $16,203 30-Jun-03 $15,497 $16,177 31-Jul-03 $15,147 $16,032 31-Aug-03 $15,244 $16,113
All figures on this page assume dividends and distributions were reinvested. Index figures do not include trading and management costs, which would lower performance. Indices are unmanaged, and you cannot invest in them directly. The fund's share price and principal values change, and when you sell your shares they may be worth more or less than what you paid for them. Past performance does not indicate future results. 1 Fund expenses have been partially absorbed by fund management. Without these reductions, the fund's total return would have been lower. Performance does not reflect the deduction of taxes that a shareholder would pay on fund distributions or on the redemption of fund shares. 2 Source for category information: Morningstar, Inc. As of 8/31/03, there were 96 funds in the Municipal Short Bond Fund category for the one-year period, 73 for the five-year period and 31 for the ten-year period. Schwab Tax-Free Bond Funds 7 SCHWAB SHORT/INTERMEDIATE TAX-FREE BOND FUND(TM) FUND FACTS as of 8/31/03 STATISTICS NUMBER OF HOLDINGS 67 - ----------------------------------------------------- FUND CATEGORY 1 Interest Rate Sensitivity Short Credit Quality High - ----------------------------------------------------- 30-DAY SEC YIELD 2 2.32% - ----------------------------------------------------- 12-MONTH YIELD 2.87% - ----------------------------------------------------- TAXABLE-EQUIVALENT YIELD 2 3.57% - ----------------------------------------------------- WEIGHTED AVERAGE MATURITY 4.6 yrs - ----------------------------------------------------- WEIGHTED AVERAGE DURATION 3.9 yrs - ----------------------------------------------------- WEIGHTED AVERAGE CREDIT QUALITY AAA - ----------------------------------------------------- PORTFOLIO TURNOVER RATE 11% - -----------------------------------------------------
PORTFOLIO COMPOSITION These charts show three different views of the fund's portfolio: by type of security, credit quality of the security and remaining maturity. All figures are shown as a percentage of the fund's investments. Holdings may have changed since the report date. BY SECURITY TYPE [PIE CHART] 61.3% REVENUE BONDS 24.6% GENERAL OBLIGATION BONDS 13.0% CERTIFICATES OF PARTICIPATION 1.0% SPECIAL TAX BONDS 0.1% OTHER INVESTMENT COMPANIES
BY CREDIT QUALITY 3 [PIE CHART] 70.7% AAA 12.2% AA 8.3% A 1.0% BBB 7.8% SHORT-TERM RATINGS OR UNRATED SECURITIES
BY MATURITY [PIE CHART] 7.3% 0-6 MONTHS 15.9% 7-36 MONTHS 31.0% 37-60 MONTHS 45.8% MORE THAN 60 MONTHS
1 Source: Morningstar, Inc. Interest rate sensitivity and credit quality are two main components of bond performance. The assessment reflects the fund's portfolio as of 8/31/03, which may have changed since then, and is not a precise indication of risk or performance--past, present or future. Definitions of fund categories: Sensitivity (measured as duration): Short, up to 4.5 years; Medium, more than 4.5 years to less than seven years; Long, seven years or greater. Credit quality: High, AA or better; Medium, A or BBB; Low, BB or lower. 2 This is the taxable-equivalent 30-day SEC yield for a hypothetical investor in the highest federal tax bracket (35.0%). Your tax rate may be different. The yield does not reflect the deduction of taxes that a shareholder would pay on fund distributions or on the redemption of fund shares. 3 Based on ratings by Standard & Poor's and Moody's. Where ratings are different, the chart uses the higher rating. 8 Schwab Tax-Free Bond Funds SCHWAB LONG-TERM TAX-FREE BOND FUND(TM) PERFORMANCE as of 8/31/03 AVERAGE ANNUAL TOTAL RETURNS 1, 2 This bar chart compares performance of the fund with the Lehman Brothers General Municipal Bond Index and the Morningstar Municipal National Long Bond Fund category. [BAR CHART]
LEHMAN BROTHERS GENERAL MUNICIPAL CATEGORY FUND BOND INDEX AVERAGE 1 YEAR 4.01% 3.14% 2.07% 5 YEARS 4.84% 5.31% 3.89% 10 YEARS 5.52% 5.84% 4.81%
PERFORMANCE OF A HYPOTHETICAL $10,000 INVESTMENT 1 This graph shows performance over ten years of a hypothetical $10,000 investment in the fund, compared with a similar investment in the Lehman Brothers General Municipal Bond Index. $17,121 FUND $17,655 LEHMAN BROTHERS GENERAL MUNICIPAL BOND INDEX [LINE GRAPH]
Lehman Brothers General Municipal Fund Bond Index 31-Aug-93 $10,000 $10,000 30-Sep-93 $10,126 $10,114 31-Oct-93 $10,142 $10,133 30-Nov-93 $10,039 $10,044 31-Dec-93 $10,276 $10,256 31-Jan-94 $10,386 $10,373 28-Feb-94 $10,105 $10,105 31-Mar-94 $9,672 $9,693 30-Apr-94 $9,732 $9,775 31-May-94 $9,832 $9,860 30-Jun-94 $9,743 $9,800 31-Jul-94 $9,935 $9,984 31-Aug-94 $9,957 $10,019 30-Sep-94 $9,788 $9,872 31-Oct-94 $9,552 $9,697 30-Nov-94 $9,304 $9,521 31-Dec-94 $9,553 $9,731 31-Jan-95 $9,904 $10,009 28-Feb-95 $10,201 $10,300 31-Mar-95 $10,320 $10,418 30-Apr-95 $10,292 $10,431 31-May-95 $10,682 $10,763 30-Jun-95 $10,518 $10,669 31-Jul-95 $10,609 $10,770 31-Aug-95 $10,730 $10,907 30-Sep-95 $10,806 $10,976 31-Oct-95 $10,980 $11,135 30-Nov-95 $11,153 $11,320 31-Dec-95 $11,285 $11,428 31-Jan-96 $11,329 $11,515 29-Feb-96 $11,222 $11,437 31-Mar-96 $11,084 $11,291 30-Apr-96 $11,041 $11,259 31-May-96 $11,034 $11,254 30-Jun-96 $11,189 $11,377 31-Jul-96 $11,292 $11,481 31-Aug-96 $11,251 $11,478 30-Sep-96 $11,455 $11,639 31-Oct-96 $11,605 $11,771 30-Nov-96 $11,820 $11,986 31-Dec-96 $11,757 $11,936 31-Jan-97 $11,739 $11,958 28-Feb-97 $11,852 $12,068 31-Mar-97 $11,640 $11,908 30-Apr-97 $11,783 $12,008 31-May-97 $11,973 $12,188 30-Jun-97 $12,102 $12,318 31-Jul-97 $12,488 $12,660 31-Aug-97 $12,304 $12,541 30-Sep-97 $12,483 $12,690 31-Oct-97 $12,571 $12,771 30-Nov-97 $12,679 $12,846 31-Dec-97 $12,914 $13,034 31-Jan-98 $13,047 $13,168 28-Feb-98 $13,022 $13,172 31-Mar-98 $13,055 $13,184 30-Apr-98 $12,986 $13,125 31-May-98 $13,220 $13,332 30-Jun-98 $13,271 $13,384 31-Jul-98 $13,313 $13,417 31-Aug-98 $13,511 $13,625 30-Sep-98 $13,670 $13,796 31-Oct-98 $13,649 $13,796 30-Nov-98 $13,697 $13,844 31-Dec-98 $13,706 $13,879 31-Jan-99 $13,867 $14,044 28-Feb-99 $13,775 $13,982 31-Mar-99 $13,807 $14,002 30-Apr-99 $13,822 $14,037 31-May-99 $13,675 $13,955 30-Jun-99 $13,358 $13,754 31-Jul-99 $13,363 $13,804 31-Aug-99 $13,059 $13,693 30-Sep-99 $12,995 $13,699 31-Oct-99 $12,702 $13,551 30-Nov-99 $12,896 $13,694 31-Dec-99 $12,710 $13,592 31-Jan-00 $12,606 $13,533 29-Feb-00 $12,814 $13,690 31-Mar-00 $13,254 $13,990 30-Apr-00 $13,122 $13,908 31-May-00 $12,994 $13,835 30-Jun-00 $13,451 $14,202 31-Jul-00 $13,657 $14,399 31-Aug-00 $13,917 $14,621 30-Sep-00 $13,781 $14,545 31-Oct-00 $14,005 $14,704 30-Nov-00 $14,170 $14,815 31-Dec-00 $14,688 $15,181 31-Jan-01 $14,714 $15,332 28-Feb-01 $14,751 $15,381 31-Mar-01 $14,883 $15,519 30-Apr-01 $14,673 $15,351 31-May-01 $14,818 $15,517 30-Jun-01 $14,946 $15,621 31-Jul-01 $15,190 $15,852 31-Aug-01 $15,487 $16,114 30-Sep-01 $15,384 $16,059 31-Oct-01 $15,599 $16,250 30-Nov-01 $15,468 $16,114 31-Dec-01 $15,245 $15,961 31-Jan-02 $15,551 $16,237 28-Feb-02 $15,735 $16,433 31-Mar-02 $15,432 $16,111 30-Apr-02 $15,741 $16,425 31-May-02 $15,844 $16,526 30-Jun-02 $16,004 $16,701 31-Jul-02 $16,228 $16,916 31-Aug-02 $16,452 $17,119 30-Sep-02 $16,867 $17,494 31-Oct-02 $16,626 $17,204 30-Nov-02 $16,548 $17,131 31-Dec-02 $16,909 $17,493 31-Jan-03 $16,882 $17,449 28-Feb-03 $17,129 $17,693 31-Mar-03 $17,201 $17,704 30-Apr-03 $17,334 $17,821 31-May-03 $17,757 $18,238 30-Jun-03 $17,645 $18,160 31-Jul-03 $16,997 $17,524 31-Aug-03 $17,121 $17,655
All figures on this page assume dividends and distributions were reinvested. Index figures do not include trading and management costs, which would lower performance. Indices are unmanaged, and you cannot invest in them directly. The fund's share price and principal values change, and when you sell your shares they may be worth more or less than what you paid for them. Past performance does not indicate future results. 1 Fund expenses have been partially absorbed by fund management. Without these reductions, the fund's total return would have been lower. Performance does not reflect the deduction of taxes that a shareholder would pay on fund distributions or on the redemption of fund shares. 2 Source for category information: Morningstar, Inc. As of 8/31/03, there were 259 funds in the Municipal National Long Bond Fund category for the one-year period, 205 for the five-year period and 110 for the ten-year period. Schwab Tax-Free Bond Funds 9 SCHWAB LONG-TERM TAX-FREE BOND FUND(TM) FUND FACTS as of 8/31/03 STATISTICS NUMBER OF HOLDINGS 46 - ----------------------------------------------------- FUND CATEGORY 1 Interest Rate Sensitivity Long Credit Quality High - ----------------------------------------------------- 30-DAY SEC YIELD 2 4.20% - ----------------------------------------------------- 12-MONTH YIELD 4.08% - ----------------------------------------------------- TAXABLE-EQUIVALENT YIELD 2 6.46% - ----------------------------------------------------- WEIGHTED AVERAGE MATURITY 14.3 yrs - ----------------------------------------------------- WEIGHTED AVERAGE DURATION 8.6 yrs - ----------------------------------------------------- WEIGHTED AVERAGE CREDIT QUALITY AAA - ----------------------------------------------------- PORTFOLIO TURNOVER RATE 22% - -----------------------------------------------------
PORTFOLIO COMPOSITION These charts show three different views of the fund's portfolio: by type of security, credit quality of the security and remaining maturity. All figures are shown as a percentage of the fund's investments. Holdings may have changed since the report date. BY SECURITY TYPE [PIE CHART] 72.9% REVENUE BONDS 19.2% GENERAL OBLIGATION BONDS 7.9% CERTIFICATES OF PARTICIPATION
BY CREDIT QUALITY 3 [PIE CHART] 87.9% AAA 6.4% AA 4.5% A 1.2% BBB
BY MATURITY [PIE CHART] 1.5% 0-1 YEAR 17.4% 2-10 YEARS 68.1% 11-20 YEARS 13.0% 21-30 YEARS
1 Source: Morningstar, Inc. Interest rate sensitivity and credit quality are two main components of bond performance. The assessment reflects the fund's portfolio as of 8/31/03, which may have changed since then, and is not a precise indication of risk or performance--past, present or future. Definitions of fund categories: Sensitivity (measured as duration): Short, up to 4.5 years; Medium, more than 4.5 years to less than seven years; Long, seven years or greater. Credit quality: High, AA or better; Medium, A or BBB; Low, BB or lower. 2 This is the taxable-equivalent 30-day SEC yield for a hypothetical investor in the highest federal tax bracket (35.0%). Your tax rate may be different. Fund expenses have been partially absorbed by fund management. Without these reductions, the fund's 30-day SEC yield would have been 4.196%. The yield does not reflect the deduction of taxes that a shareholder would pay on fund distributions or on the redemption of fund shares. 3 Based on ratings by Standard & Poor's and Moody's. Where ratings are different, the chart uses the higher rating. 10 Schwab Tax-Free Bond Funds SCHWAB CALIFORNIA SHORT/INTERMEDIATE TAX-FREE BOND FUND(TM) PERFORMANCE as of 8/31/03 AVERAGE ANNUAL TOTAL RETURNS 1, 2 This bar chart compares performance of the fund with the Lehman Brothers 3-Year Municipal Bond Index and the Morningstar Municipal California Intermediate/Short Bond Fund category. [BAR CHART]
LEHMAN BROTHERS 3-YEAR MUNICIPAL CATEGORY FUND BOND INDEX AVERAGE 1 YEAR 2.15% 3.06% 1.52% 5 YEARS 4.23% 4.87% 4.36% 10 YEARS 4.34% 4.88% 4.68%
PERFORMANCE OF A HYPOTHETICAL $10,000 INVESTMENT 1 This graph shows performance since inception of a hypothetical $10,000 investment in the fund, compared with a similar investment in the Lehman Brothers 3-Year Municipal Bond Index. $15,294 FUND $16,113 LEHMAN BROTHERS 3-YEAR MUNICIPAL BOND INDEX [LINE GRAPH]
Lehman Brothers 3-Year Municipal Fund Bond Index 31-Aug-93 $10,000 $10,000 30-Sep-93 $10,069 $10,044 31-Oct-93 $10,081 $10,065 30-Nov-93 $10,052 $10,052 31-Dec-93 $10,182 $10,158 31-Jan-94 $10,253 $10,240 28-Feb-94 $10,112 $10,144 31-Mar-94 $9,933 $10,022 30-Apr-94 $9,982 $10,081 31-May-94 $10,015 $10,128 30-Jun-94 $9,996 $10,131 31-Jul-94 $10,097 $10,215 31-Aug-94 $10,130 $10,252 30-Sep-94 $10,091 $10,226 31-Oct-94 $10,022 $10,201 30-Nov-94 $9,912 $10,183 31-Dec-94 $9,971 $10,227 31-Jan-95 $10,091 $10,312 28-Feb-95 $10,240 $10,421 31-Mar-95 $10,332 $10,514 30-Apr-95 $10,348 $10,550 31-May-95 $10,555 $10,711 30-Jun-95 $10,538 $10,737 31-Jul-95 $10,651 $10,850 31-Aug-95 $10,754 $10,935 30-Sep-95 $10,812 $10,966 31-Oct-95 $10,894 $11,018 30-Nov-95 $10,974 $11,089 31-Dec-95 $11,013 $11,135 31-Jan-96 $11,081 $11,222 29-Feb-96 $11,073 $11,225 31-Mar-96 $11,025 $11,198 30-Apr-96 $11,041 $11,211 31-May-96 $11,048 $11,221 30-Jun-96 $11,108 $11,289 31-Jul-96 $11,179 $11,351 31-Aug-96 $11,195 $11,368 30-Sep-96 $11,267 $11,437 31-Oct-96 $11,342 $11,517 30-Nov-96 $11,448 $11,624 31-Dec-96 $11,443 $11,630 31-Jan-97 $11,481 $11,681 28-Feb-97 $11,540 $11,738 31-Mar-97 $11,467 $11,677 30-Apr-97 $11,519 $11,728 31-May-97 $11,617 $11,823 30-Jun-97 $11,691 $11,892 31-Jul-97 $11,835 $12,034 31-Aug-97 $11,816 $12,010 30-Sep-97 $11,890 $12,096 31-Oct-97 $11,921 $12,149 30-Nov-97 $11,961 $12,185 31-Dec-97 $12,037 $12,268 31-Jan-98 $12,121 $12,348 28-Feb-98 $12,147 $12,374 31-Mar-98 $12,155 $12,394 30-Apr-98 $12,123 $12,377 31-May-98 $12,226 $12,492 30-Jun-98 $12,253 $12,534 31-Jul-98 $12,318 $12,580 31-Aug-98 $12,430 $12,702 30-Sep-98 $12,541 $12,783 31-Oct-98 $12,569 $12,844 30-Nov-98 $12,607 $12,875 31-Dec-98 $12,618 $12,906 31-Jan-99 $12,727 $13,023 28-Feb-99 $12,727 $13,038 31-Mar-99 $12,745 $13,049 30-Apr-99 $12,760 $13,090 31-May-99 $12,740 $13,072 30-Jun-99 $12,641 $12,993 31-Jul-99 $12,707 $13,057 31-Aug-99 $12,698 $13,072 30-Sep-99 $12,762 $13,122 31-Oct-99 $12,715 $13,123 30-Nov-99 $12,780 $13,181 31-Dec-99 $12,701 $13,160 31-Jan-00 $12,764 $13,184 29-Feb-00 $12,816 $13,225 31-Mar-00 $12,925 $13,292 30-Apr-00 $12,862 $13,295 31-May-00 $12,906 $13,308 30-Jun-00 $13,103 $13,477 31-Jul-00 $13,239 $13,586 31-Aug-00 $13,373 $13,690 30-Sep-00 $13,337 $13,694 31-Oct-00 $13,421 $13,771 30-Nov-00 $13,464 $13,826 31-Dec-00 $13,621 $13,981 31-Jan-01 $13,833 $14,192 28-Feb-01 $13,833 $14,247 31-Mar-01 $13,896 $14,347 30-Apr-01 $13,765 $14,325 31-May-01 $13,932 $14,456 30-Jun-01 $14,001 $14,521 31-Jul-01 $14,139 $14,638 31-Aug-01 $14,302 $14,791 30-Sep-01 $14,301 $14,864 31-Oct-01 $14,423 $14,961 30-Nov-01 $14,351 $14,915 31-Dec-01 $14,288 $14,900 31-Jan-02 $14,452 $15,089 28-Feb-02 $14,543 $15,202 31-Mar-02 $14,322 $14,976 30-Apr-02 $14,529 $15,196 31-May-02 $14,626 $15,284 30-Jun-02 $14,722 $15,415 31-Jul-02 $14,832 $15,536 31-Aug-02 $14,969 $15,635 30-Sep-02 $15,175 $15,759 31-Oct-02 $14,948 $15,672 30-Nov-02 $14,957 $15,677 31-Dec-02 $15,164 $15,902 31-Jan-03 $15,147 $15,953 28-Feb-03 $15,266 $16,055 31-Mar-03 $15,274 $16,036 30-Apr-03 $15,341 $16,079 31-May-03 $15,538 $16,203 30-Jun-03 $15,460 $16,177 31-Jul-03 $15,195 $16,032 31-Aug-03 $15,294 $16,113
All figures on this page assume dividends and distributions were reinvested. Index figures do not include trading and management costs, which would lower performance. Indices are unmanaged, and you cannot invest in them directly. The fund's share price and principal values change, and when you sell your shares they may be worth more or less than what you paid for them. Past performance does not indicate future results. 1 Fund expenses have been partially absorbed by fund management. Without these reductions, the fund's total return would have been lower. Performance does not reflect the deduction of taxes that a shareholder would pay on fund distributions or on the redemption of fund shares. 2 Source for category information: Morningstar, Inc. As of 8/31/03, there were 52 funds in the Municipal California Intermediate/Short Bond Fund category for the one-year period, 34 for the five-year period and 15 for the ten-year period. Schwab Tax-Free Bond Funds 11 SCHWAB CALIFORNIA SHORT/INTERMEDIATE TAX-FREE BOND FUND(TM) FUND FACTS as of 8/31/03 STATISTICS NUMBER OF HOLDINGS 69 - ----------------------------------------------------- FUND CATEGORY 1 Interest Rate Sensitivity Short Credit Quality High - ----------------------------------------------------- 30-DAY SEC YIELD 2 2.34% - ----------------------------------------------------- 12-MONTH YIELD 2.99% - ----------------------------------------------------- TAXABLE-EQUIVALENT YIELD 2 3.97% - ----------------------------------------------------- WEIGHTED AVERAGE MATURITY 4.4 yrs - ----------------------------------------------------- WEIGHTED AVERAGE DURATION 3.5 yrs - ----------------------------------------------------- WEIGHTED AVERAGE CREDIT QUALITY AA - ----------------------------------------------------- PORTFOLIO TURNOVER RATE 11% - -----------------------------------------------------
PORTFOLIO COMPOSITION These charts show three different views of the fund's portfolio: by type of security, credit quality of the security and remaining maturity. All figures are shown as a percentage of the fund's investments. Holdings may have changed since the report date. BY SECURITY TYPE [PIE CHART] 57.2% REVENUE BONDS 18.9% GENERAL OBLIGATION BONDS 18.2% CERTIFICATES OF PARTICIPATION 5.7% SPECIAL TAX BONDS
BY CREDIT QUALITY 3 [PIE CHART] 56.2% AAA 16.5% AA 16.4% A 3.2% BBB 7.7% SHORT-TERM RATINGS OR UNRATED SECURITIES
BY MATURITY [PIE CHART] 6.1% 0-6 MONTHS 32.9% 7-36 MONTHS 15.3% 37-60 MONTHS 45.7% MORE THAN 60 MONTHS
1 Source: Morningstar, Inc. Interest rate sensitivity and credit quality are two main components of bond performance. The assessment reflects the fund's portfolio as of 8/31/03, which may have changed since then, and is not a precise indication of risk or performance--past, present or future. Definitions of fund categories: Sensitivity (measured as duration): Short, up to 4.5 years; Medium, more than 4.5 years to less than seven years; Long, seven years or greater. Credit quality: High, AA or better; Medium, A or BBB; Low, BB or lower. 2 This is the taxable-equivalent 30-day SEC yield for a hypothetical investor in the highest combined federal and California tax bracket (41.05%). Your tax rate may be different. The yield does not reflect the deduction of taxes that a shareholder would pay on fund distributions or on the redemption of fund shares. 3 Based on ratings by Standard & Poor's and Moody's. Where ratings are different, the chart uses the higher rating. 12 Schwab Tax-Free Bond Funds SCHWAB CALIFORNIA LONG-TERM TAX-FREE BOND FUND(TM) PERFORMANCE as of 8/31/03 AVERAGE ANNUAL TOTAL RETURNS 1, 2 This bar chart compares performance of the fund with the Lehman Brothers General Municipal Bond Index and the Morningstar Municipal California Long Bond Fund category. [BAR CHART]
LEHMAN BROTHERS GENERAL MUNICIPAL CATEGORY FUND BOND INDEX AVERAGE 1 YEAR 2.14% 3.14% 1.34% 5 YEARS 4.67% 5.31% 3.94% 10 YEARS 5.35% 5.84% 4.99%
PERFORMANCE OF A HYPOTHETICAL $10,000 INVESTMENT 1 This graph shows performance over ten years of a hypothetical $10,000 investment in the fund, compared with a similar investment in the Lehman Brothers General Municipal Bond Index. $16,849 FUND $17,655 LEHMAN BROTHERS GENERAL MUNICIPAL BOND INDEX [LINE GRAPH]
Lehman Brothers General Municipal Fund Bond Index 31-Aug-93 $10,000 $10,000 30-Sep-93 $10,111 $10,114 31-Oct-93 $10,145 $10,133 30-Nov-93 $10,023 $10,044 31-Dec-93 $10,250 $10,256 31-Jan-94 $10,356 $10,373 28-Feb-94 $10,056 $10,105 31-Mar-94 $9,549 $9,693 30-Apr-94 $9,618 $9,775 31-May-94 $9,699 $9,860 30-Jun-94 $9,601 $9,800 31-Jul-94 $9,814 $9,984 31-Aug-94 $9,829 $10,019 30-Sep-94 $9,664 $9,872 31-Oct-94 $9,406 $9,697 30-Nov-94 $9,183 $9,521 31-Dec-94 $9,334 $9,731 31-Jan-95 $9,727 $10,009 28-Feb-95 $10,049 $10,300 31-Mar-95 $10,146 $10,418 30-Apr-95 $10,141 $10,431 31-May-95 $10,482 $10,763 30-Jun-95 $10,309 $10,669 31-Jul-95 $10,368 $10,770 31-Aug-95 $10,516 $10,907 30-Sep-95 $10,602 $10,976 31-Oct-95 $10,812 $11,135 30-Nov-95 $11,040 $11,320 31-Dec-95 $11,189 $11,428 31-Jan-96 $11,267 $11,515 29-Feb-96 $11,168 $11,437 31-Mar-96 $10,982 $11,291 30-Apr-96 $10,927 $11,259 31-May-96 $10,935 $11,254 30-Jun-96 $11,075 $11,377 31-Jul-96 $11,197 $11,481 31-Aug-96 $11,192 $11,478 30-Sep-96 $11,377 $11,639 31-Oct-96 $11,502 $11,771 30-Nov-96 $11,741 $11,986 31-Dec-96 $11,674 $11,936 31-Jan-97 $11,683 $11,958 28-Feb-97 $11,793 $12,068 31-Mar-97 $11,586 $11,908 30-Apr-97 $11,701 $12,008 31-May-97 $11,917 $12,188 30-Jun-97 $12,020 $12,318 31-Jul-97 $12,477 $12,660 31-Aug-97 $12,306 $12,541 30-Sep-97 $12,467 $12,690 31-Oct-97 $12,553 $12,771 30-Nov-97 $12,648 $12,846 31-Dec-97 $12,846 $13,034 31-Jan-98 $13,010 $13,168 28-Feb-98 $13,000 $13,172 31-Mar-98 $12,978 $13,184 30-Apr-98 $12,915 $13,125 31-May-98 $13,141 $13,332 30-Jun-98 $13,179 $13,384 31-Jul-98 $13,196 $13,417 31-Aug-98 $13,408 $13,625 30-Sep-98 $13,604 $13,796 31-Oct-98 $13,599 $13,796 30-Nov-98 $13,672 $13,844 31-Dec-98 $13,670 $13,879 31-Jan-99 $13,815 $14,044 28-Feb-99 $13,769 $13,982 31-Mar-99 $13,803 $14,002 30-Apr-99 $13,796 $14,037 31-May-99 $13,671 $13,955 30-Jun-99 $13,435 $13,754 31-Jul-99 $13,419 $13,804 31-Aug-99 $13,195 $13,693 30-Sep-99 $13,188 $13,699 31-Oct-99 $12,878 $13,551 30-Nov-99 $13,042 $13,694 31-Dec-99 $12,831 $13,592 31-Jan-00 $12,701 $13,533 29-Feb-00 $12,955 $13,690 31-Mar-00 $13,391 $13,990 30-Apr-00 $13,233 $13,908 31-May-00 $13,179 $13,835 30-Jun-00 $13,616 $14,202 31-Jul-00 $13,855 $14,399 31-Aug-00 $14,207 $14,621 30-Sep-00 $14,148 $14,545 31-Oct-00 $14,260 $14,704 30-Nov-00 $14,408 $14,815 31-Dec-00 $14,784 $15,181 31-Jan-01 $14,868 $15,332 28-Feb-01 $14,896 $15,381 31-Mar-01 $15,014 $15,519 30-Apr-01 $14,756 $15,351 31-May-01 $14,938 $15,517 30-Jun-01 $14,997 $15,621 31-Jul-01 $15,286 $15,852 31-Aug-01 $15,682 $16,114 30-Sep-01 $15,589 $16,059 31-Oct-01 $15,783 $16,250 30-Nov-01 $15,703 $16,114 31-Dec-01 $15,511 $15,961 31-Jan-02 $15,724 $16,237 28-Feb-02 $15,888 $16,433 31-Mar-02 $15,523 $16,111 30-Apr-02 $15,792 $16,425 31-May-02 $15,896 $16,526 30-Jun-02 $16,027 $16,701 31-Jul-02 $16,244 $16,916 31-Aug-02 $16,487 $17,119 30-Sep-02 $16,955 $17,494 31-Oct-02 $16,507 $17,204 30-Nov-02 $16,450 $17,131 31-Dec-02 $16,781 $17,493 31-Jan-03 $16,705 $17,449 28-Feb-03 $17,003 $17,693 31-Mar-03 $17,018 $17,704 30-Apr-03 $17,175 $17,821 31-May-03 $17,624 $18,238 30-Jun-03 $17,464 $18,160 31-Jul-03 $16,798 $17,524 31-Aug-03 $16,849 $17,655
All figures on this page assume dividends and distributions were reinvested. Index figures do not include trading and management costs, which would lower performance. Indices are unmanaged, and you cannot invest in them directly. The fund's share price and principal values change, and when you sell your shares they may be worth more or less than what you paid for them. Past performance does not indicate future results. 1 Fund expenses have been partially absorbed by fund management. Without these reductions, the fund's total return would have been lower. Performance does not reflect the deduction of taxes that a shareholder would pay on fund distributions or on the redemption of fund shares. 2 Source for category information: Morningstar, Inc. As of 8/31/03, there were 132 funds in the Municipal California Long Bond Fund category for the one-year period, 106 for the five-year period and 59 for the ten-year period. Schwab Tax-Free Bond Funds 13 SCHWAB CALIFORNIA LONG-TERM TAX-FREE BOND FUND(TM) FUND FACTS as of 8/31/03 STATISTICS NUMBER OF HOLDINGS 80 - ----------------------------------------------------- FUND CATEGORY 1 Interest Rate Sensitivity Long Credit Quality High - ----------------------------------------------------- 30-DAY SEC YIELD 2 4.47% - ----------------------------------------------------- 12-MONTH YIELD 4.29% - ----------------------------------------------------- TAXABLE-EQUIVALENT YIELD 2 7.58% - ----------------------------------------------------- WEIGHTED AVERAGE MATURITY 18.4 yrs - ----------------------------------------------------- WEIGHTED AVERAGE DURATION 9.7 yrs - ----------------------------------------------------- WEIGHTED AVERAGE CREDIT QUALITY AA - ----------------------------------------------------- PORTFOLIO TURNOVER RATE 29% - -----------------------------------------------------
PORTFOLIO COMPOSITION These charts show three different views of the fund's portfolio: by type of security, credit quality of the security and remaining maturity. All figures are shown as a percentage of the fund's investments. Holdings may have changed since the report date. BY SECURITY TYPE [PIE CHART] 70.7% REVENUE BONDS 10.7% SPECIAL TAX BONDS 10.6% GENERAL OBLIGATION BONDS 7.9% CERTIFICATES OF PARTICIPATION 0.1% OTHER INVESTMENT COMPANIES
BY CREDIT QUALITY 3 [PIE CHART] 72.7% AAA 4.4% AA 10.0% A 12.8% BBB 0.1% SHORT-TERM RATINGS OR UNRATED SECURITIES
BY MATURITY [PIE CHART] 2.8% 0-1 YEAR 6.5% 2-10 YEARS 54.0% 11-20 YEARS 30.6% 21-30 YEARS 6.1% MORE THAN 30 YEARS
1 Source: Morningstar, Inc. Interest rate sensitivity and credit quality are two main components of bond performance. The assessment reflects the fund's portfolio as of 8/31/03, which may have changed since then, and is not a precise indication of risk or performance--past, present or future. Definitions of fund categories: Sensitivity (measured as duration): Short, up to 4.5 years; Medium, more than 4.5 years to less than seven years; Long, seven years or greater. Credit quality: High, AA or better; Medium, A or BBB; Low, BB or lower. 2 This is the taxable-equivalent 30-day SEC yield for a hypothetical investor in the highest combined federal and California tax bracket (41.05%). Your tax rate may be different. The yield does not reflect the deduction of taxes that a shareholder would pay on fund distributions or on the redemption of fund shares. 3 Based on ratings by Standard & Poor's and Moody's. Where ratings are different, the chart uses the higher rating. p14 Schwab Tax-Free Bond Funds SCHWAB SHORT/INTERMEDIATE TAX-FREE BOND FUND FINANCIAL STATEMENTS FINANCIAL HIGHLIGHTS
9/1/02- 9/1/01- 9/1/00- 9/1/99- 9/1/98- 8/31/03 8/31/02 8/31/01 8/31/00 8/31/99 - ------------------------------------------------------------------------------------------------------------------------------------ PER-SHARE DATA ($) - ------------------------------------------------------------------------------------------------------------------------------------ Net asset value at beginning of period 10.63 10.42 10.08 10.05 10.26 ------------------------------------------------------------------------------- Income from investment operations: Net investment income 0.30 0.35 0.39 0.41 0.40 Net realized and unrealized gains or losses (0.04) 0.20 0.34 0.03 (0.21) ------------------------------------------------------------------------------- Total income from investment operations 0.26 0.55 0.73 0.44 0.19 Less distributions: Dividends from net investment income (0.30) (0.34) (0.39) (0.41) (0.40) ------------------------------------------------------------------------------- Net asset value at end of period 10.59 10.63 10.42 10.08 10.05 ------------------------------------------------------------------------------- Total return (%) 2.50 5.37 7.42 4.50 1.86 RATIOS/SUPPLEMENTAL DATA (%) - ------------------------------------------------------------------------------------------------------------------------------------ Ratios to average net assets: Net operating expenses 0.60 0.49 0.49 0.49 1 0.49 Gross operating expenses 0.63 0.70 0.73 0.75 0.81 Net investment income 2.83 3.29 3.84 4.11 3.87 Portfolio turnover rate 11 28 14 11 8 Net assets, end of period ($ x 1,000,000) 159 139 109 76 87
1 The ratio of net operating expenses would have been 0.50% if certain non-routine expenses (proxy fees) had been included. See financial notes. 15 SCHWAB SHORT/INTERMEDIATE TAX-FREE BOND FUND PORTFOLIO HOLDINGS as of August 31, 2003 This section shows all the securities in the fund's portfolio and their market value, as of the report date. We use the symbols below to designate certain characteristics. With the top ten holdings, the number in the circle is the security's rank among the top ten. (1) Top ten holding + Credit-enhanced security ~ Liquidity-enhanced security o Certificate of participation For fixed rate obligations, the rate shown is the interest rate (the rate established when the obligation was issued) and the maturity date shown is the stated legal maturity. For variable-rate obligations, the rate shown is the rate as of the report date, and the maturity shown is the later of the next interest rate change date or demand date.
COST MARKET VALUE HOLDINGS BY CATEGORY ($x1,000) ($x1,000) - --------------------------------------------------------------------------------- 99.9% MUNICIPAL BONDS 154,043 158,141 0.1% OTHER INVESTMENT COMPANIES 129 129 - -------------------------------------------------------------------------------- 100.0% TOTAL INVESTMENTS 154,172 158,270
ISSUER PROJECT MATURITY FACE VALUE MKT. VALUE TYPE OF SECURITY, SERIES RATE DATE ($ x 1,000) ($ x 1,000) MUNICIPAL BONDS 99.9% of investments FIXED-RATE OBLIGATIONS 96.2% ------------------------------------------------------------------------------------------------------------------------ ARIZONA 5.5% ALHAMBRA SCHOOL DISTRICT + Refunding Bonds, Series 1994A 6.80% 07/01/04 1,485 1,585 + Refunding Bonds, Series 1994A 6.80% 07/01/12 515 543 o+(2) ARIZONA STATE Refunding Bonds, Series 2002B 5.00% 09/01/07 5,000 5,492 PHOENIX CIVIC IMPROVEMENT CORP. Airport Terminal Senior Lien Excise Tax Revenue Refunding Bonds, Series 1998 5.00% 07/01/04 1,000 1,029 ------ 8,649 CALIFORNIA 17.3% ALAMEDA PUBLIC FINANCING AUTHORITY 1997 Revenue Bond Refinancing Revenue Bonds, Series 1999 4.95% 09/02/07 2,065 2,133 CALIFORNIA DEPARTMENT OF WATER RESOURCES Power Supply Revenue Bonds, Series 2002A 5.50% 05/01/10 1,000 1,092 + CALIFORNIA PUBLIC WORKS BOARD UCLA Replacement Hospitals Lease Revenue Bonds, Series 2002A 4.75% 10/01/09 3,005 3,262 ~(1) CALIFORNIA STATE Revenue Anticipation Warrants, Series 2003B 2.00% 06/16/04 10,000 0,011 CALIFORNIA STATEWIDE COMMUNITIES DEVELOPMENT AUTHORITY Kaiser Permanente Project Revenue Bonds, Series 2002D 4.35% 03/01/07 3,000 3,109
16 See financial notes. SCHWAB SHORT/INTERMEDIATE TAX-FREE BOND FUND
ISSUER PROJECT MATURITY FACE VALUE MKT. VALUE TYPE OF SECURITY, SERIES RATE DATE ($ x 1,000) ($ x 1,000) SANTA CLARA COUNTY FINANCING AUTHORITY Measure B Transportation Improvement Program Special Obligation Bonds, Series 2003 4.00% 08/01/06 3,000 3,153 o+(4) WILLIAM S. HART UNION HIGH SCHOOL DISTRICT School Facility Bridge Funding Program Series 2001 2.40% 01/15/04 4,675 4,677 ------ 27,437 COLORADO 0.5% + BOULDER COUNTY SUPERIOR METROPOLITAN DISTRICT NO. 2 General Obligation Refunding Bonds, Series 1998 4.63% 12/01/13 870 876 DISTRICT OF COLUMBIA 2.7% +(7) WASHINGTON D.C. CONVENTION CENTER AUTHORITY Dedicated Tax Senior Lien Revenue Bonds, Series 1998 5.00% 10/01/06 4,000 4,348 GEORGIA 2.5% +(9) ATLANTA GEORGIA Airport General Revenue Refunding Bonds, Series 2003RF-A 5.00% 01/01/10 3,660 3,956 ILLINOIS 0.7% + CHICAGO PUBLIC BUILDING COMMISSION Board of Education Building Revenue Bonds, Series 1999C 5.50% 02/01/06 1,000 1,083 INDIANA 2.1% + LAKE COUNTY First Mortgage Lease Revenue Bonds, Series 2000 5.25% 08/01/09 2,040 2,266 + MONROE COUNTY Bloomington Hospital, Inc. Hospital Revenue Refunding Bonds, Series 1997 4.60% 05/01/04 1,105 1,129 ------ 3,395 KENTUCKY 2.5% KENTUCKY PROPERTY & BUILDINGS COMMISSION Project No. 71 Revenue Bonds 5.50% 08/01/09 3,500 3,954 LOUISIANA 1.1% + NEW ORLEANS Refunding Certificates of Indebtedness, Series 1998B 4.50% 12/01/05 1,600 1,705 MASSACHUSETTS 3.1% MASSACHUSETTS STATE General Obligation Refunding Bonds, Series 2001A 5.50% 01/01/11 2,500 2,766 + Consolidated Loan Special Obligation Revenue Bonds, Series 2002A 5.00% 06/01/10 2,000 2,182 ------ 4,948
See financial notes. 17 SCHWAB SHORT/INTERMEDIATE TAX-FREE BOND FUND PORTFOLIO HOLDINGS continued
ISSUER PROJECT MATURITY FACE VALUE MKT. VALUE TYPE OF SECURITY, SERIES RATE DATE ($ x 1,000) ($ x 1,000) MICHIGAN 4.2% + DETROIT Limited Tax General Obligation Capital Improvement Bonds, Series 2002A 5.00% 04/01/07 1,000 1,091 + DETROIT CITY SCHOOL DISTRICT Unlimited Tax General Obligation School Building & Site Improvement Bonds, Series 1998B 5.00% 05/01/04 1,390 1,426 +(8) WAYNE COUNTY Detroit Metropolitan Wayne County Airport Revenue Refunding Bonds, Series 2002D 5.00% 12/01/10 3,900 4,133 ------ 6,650 MISSOURI 1.4% + SAINT LOUIS MUNICIPAL FINANCE CORP. Convention Center Project Leasehold Revenue Refunding Bonds, Series 2003 5.25% 07/15/10 2,000 2,222 NEBRASKA 0.7% + AMERICAN PUBLIC ENERGY AUTHORITY Nebraska Public Gas Agency Project Gas Supply Revenue Bonds, Series 1998C 4.00% 09/01/07 1,000 1,058 NEVADA 1.0% + HENDERSON Seven Hills Senior Limited Obligation Refunding Bonds, Series 2001A 4.63% 08/01/11 1,555 1,633 NEW JERSEY 3.1% + BRICK TOWNSHIP MUNICIPAL UTILITIES AUTHORITY Revenue Refunding Bonds, Series 1996 5.50% 12/01/03 1,000 1,011 o+ NEW JERSEY TRANSIT CORP. Federal Transit Administration Grants Series 2000B 5.50% 09/15/07 3,500 3,897 ------ 4,908 NEW YORK 10.4% + FRANKLIN COUNTY General Obligation Public Improvement Bonds, Series 1998 4.25% 11/01/06 715 766 NEW YORK CITY General Obligation Bonds, Series 1999H 4.75% 03/15/07 3,000 3,173 General Obligation Bonds, Series 2003A 5.25% 08/01/09 1,825 1,971 General Obligation Bonds, Series 2003B 5.25% 08/01/09 1,000 1,080 General Obligation Bonds, Series 2003J 5.00% 06/01/09 2,500 2,663 NEW YORK CITY TRANSITIONAL FINANCE AUTHORITY Future Tax Secured Revenue Bonds, Series 1998B 5.25% 11/15/04 1,300 1,361 +(6) NEW YORK STATE THRUWAY AUTHORITY General Highway & Bridge Trust Fund Revenue Bonds, Series 2003A 5.25% 04/01/12 4,000 4,387
18 See financial notes. SCHWAB SHORT/INTERMEDIATE TAX-FREE BOND FUND
ISSUER PROJECT MATURITY FACE VALUE MKT. VALUE TYPE OF SECURITY, SERIES RATE DATE ($ x 1,000) ($ x 1,000) NEW YORK STATE URBAN DEVELOPMENT CORP. Correctional Facilities Service Contract Revenue Bonds, Series 1998A 5.00% 01/01/05 1,000 1,045 ------ 16,446 NORTH CAROLINA 4.6% + DURHAM COUNTY Enterprise System Revenue Bonds, Series 2002 5.00% 06/01/09 1,495 1,653 NORTH CAROLINA MUNICIPAL POWER AGENCY Catawaba Electric + Revenue Bonds, Series 1995A 5.10% 01/01/07 2,000 2,173 + Revenue Bonds, Series 1999A 5.75% 01/01/09 3,000 3,387 ------ 7,213 OHIO 4.6% OHIO STATE (10) Administrative Building Fund Projects State Facilities Bonds, Series 1998A 5.13% 10/01/06 3,580 3,921 Higher Education Capital Facilities Bonds, Series II-2001A 5.50% 12/01/08 3,000 3,389 ------ 7,310 OREGON 1.9% o+ OREGON STATE Department of Administrative Services Refunding Bonds, Series 2002C 5.00% 11/01/07 2,705 2,992 PENNSYLVANIA 3.6% + PENNSYLVANIA INDUSTRIAL DEVELOPMENT AUTHORITY Economic Development Revenue Bonds, Series 1994 7.00% 07/01/07 1,000 1,165 +(5) PHILADELPHIA WATER & SEWER Water & Wastewater Revenue Refunding Bonds, Series 2001B 5.50% 11/01/11 4,000 4,485 ------ 5,650 PUERTO RICO 3.5% + PUERTO RICO HIGHWAY & TRANSPORTATION AUTHORITY Revenue Refunding Bonds, Series 2003H 5.00% 07/01/10 2,000 2,150 + PUERTO RICO MUNICIPAL FINANCE AGENCY General Obligation Bonds, Series 1999A 5.50% 08/01/08 3,000 3,387 ------ 5,537 SOUTH CAROLINA 2.0% + CHARLESTON COUNTY Care Alliance Health Services Revenue Bonds, Series 1999A 4.25% 08/15/07 3,000 3,207 TEXAS 10.3% +(3) DALLAS WATER & SEWER UTILITIES Revenue Refunding & Improvement Bonds, Series 2003 5.00% 10/01/10 5,000 5,463
See financial notes. 19 SCHWAB SHORT/INTERMEDIATE TAX-FREE BOND FUND PORTFOLIO HOLDINGS continued
ISSUER PROJECT MATURITY FACE VALUE MKT. VALUE TYPE OF SECURITY, SERIES RATE DATE ($ x 1,000) ($ x 1,000) + DENTON UTILITY SYSTEM Revenue Refunding & Improvement Bonds, Series 2001 5.00% 12/01/12 2,030 2,158 FORT WORTH General Purpose Improvement & Refunding Bonds, Series 2001 5.00% 03/01/10 1,090 1,182 GULF COAST WASTE DISPOSAL AUTHORITY Waste Management of Texas, Inc. Brazoria County Project Solid Waste Disposal Revenue Bonds, Series 2003A 2.85% 05/01/04 1,650 1,650 + HOUSTON PORT AUTHORITY Port Improvement General Obligation Bonds, Series 2001B 5.25% 10/01/10 2,205 2,413 + TARRANT REGIONAL WATER DISTRICT Water Revenue Refunding & Improvement Bonds, Series 2002 5.00% 03/01/10 3,140 3,410 ------ 16,276 WASHINGTON 6.2% + PORT OF SEATTLE Passenger Facility Charge Revenue Bonds, Series 1998B 5.00% 12/01/07 1,395 1,514 + SNOHOMISH COUNTY Refunding Limited General Obligation Bonds 4.50% 12/01/12 1,920 1,985 o+ WASHINGTON STATE Department of Ecology State Building Project Refunding Bonds 4.75% 04/01/12 1,710 1,784 + WASHINGTON STATE PUBLIC POWER SUPPLY SYSTEM Nuclear Project No. 2 Refunding Revenue Bonds, Series 1993A 5.70% 07/01/08 4,000 4,543 ------ 9,826 WISCONSIN 0.7% WISCONSIN HEALTH & EDUCATIONAL FACILITIES AUTHORITY Carroll College, Inc. Project Revenue Bonds, Series 1998 4.80% 10/01/06 1,000 1,062 VARIABLE RATE OBLIGATIONS 3.7% ------------------------------------------------------------------------------------------------------------------------ ALASKA 1.6% VALDEZ Exxon Pipeline Co. Project Marine Terminal Revenue Refunding Bonds, Series 1993C 0.80% 09/02/03 2,500 2,500 GEORGIA 0.1% +~ ATLANTA Water & Wastewater Revenue Bonds, Series 2002C 0.80% 09/02/03 200 200
20 See financial notes. SCHWAB SHORT/INTERMEDIATE TAX-FREE BOND FUND
ISSUER PROJECT MATURITY FACE VALUE MKT. VALUE TYPE OF SECURITY, SERIES RATE DATE ($ x 1,000) ($ x 1,000) MISSISSIPPI 1.3% JACKSON COUNTY Chevron U.S.A., Inc. Project Pollution Control Revenue Refunding Bonds, Series 1993 0.80% 09/02/03 2,000 2,000 NEW YORK 0.6% +~ NEW YORK CITY General Obligation Bonds, Series 1992B 0.80% 09/02/03 1,000 1,000 TENNESSEE 0.1% + CLARKSVILLE, TENNESSEE PUBLIC BUILDING AUTHORITY Adjustable Rate Pooled Financing Revenue Bonds, Series 2003 0.80% 09/02/03 100 100
MKT. VALUE SECURITY AND NUMBER OF SHARES ($ x 1,000) OTHER INVESTMENT COMPANIES 0.1% of investments PROVIDENT INSTITUTIONAL FUNDS - MUNI FUND PORTFOLIO 128,828 129
END OF PORTFOLIO HOLDINGS. For totals, please see the first page of holdings for this fund. See financial notes. 21 SCHWAB SHORT/INTERMEDIATE TAX-FREE BOND FUND Statement of ASSETS AND LIABILITIES As of August 31, 2003. All numbers are x 1,000 except NAV. ASSETS - ----------------------------------------------------------------------------- Investments, at market value $ 158,270 a Receivables: Fund shares sold 205 Interest 2,092 Prepaid expenses + 18 ------------- TOTAL ASSETS 160,585 LIABILITIES - ----------------------------------------------------------------------------- Payables: Fund shares redeemed 805 Dividends to shareholders 402 Investment adviser and administrator fees 4 Transfer agent and shareholder service fees 3 Accrued expenses + 36 ------------- TOTAL LIABILITIES 1,250 NET ASSETS - ----------------------------------------------------------------------------- TOTAL ASSETS 160,585 TOTAL LIABILITIES - 1,250 ------------- NET ASSETS $ 159,335 NET ASSETS BY SOURCE Capital received from investors 155,695 Net investment income not yet distributed 17 Net realized capital losses (475) Net unrealized capital gains 4,098 NET ASSET VALUE (NAV) SHARES NET ASSETS / OUTSTANDING = NAV $159,335 15,043 $10.59
Unless stated, all numbers are x 1,000. a The fund's amortized cost for these securities was $154,172. Not counting short-term obligations, the fund paid $33,761 for securities during the reporting period, and received $15,302 from securities it sold or that matured. Included in the total purchases and sales amounts are $80,420 in transactions with other SchwabFunds(R). FEDERAL TAX DATA - ----------------------------------------------------- PORTFOLIO COST $154,155 NET UNREALIZED GAINS AND LOSSES: Gains $ 4,531 Losses + (416) ------------ $ 4,115 AS OF AUGUST 31, 2003: UNDISTRIBUTED EARNINGS: Tax-exempt income $ 402 Long-term capital gains $ -- CAPITAL LOSSES UTILIZED $ 74 UNUSED CAPITAL LOSSES: Expires 08/31 of: 2004 296 2009 146 2010 + 33 ------------ $ 475 RECLASSIFICATIONS: Expired net realized capital losses $ 34 Reclassified as: Capital received from investors $ (34)
22 See financial notes. SCHWAB SHORT/INTERMEDIATE TAX-FREE BOND FUND Statement of OPERATIONS For September 1, 2002 through August 31, 2003. All numbers are x 1,000. INVESTMENT INCOME - ---------------------------------------------------------------------- Interest $ 5,382 NET REALIZED GAINS AND LOSSES - ---------------------------------------------------------------------- Net realized gains on investments sold 74 NET UNREALIZED GAINS AND LOSSES - ---------------------------------------------------------------------- Net unrealized losses on investments (801) EXPENSES - ---------------------------------------------------------------------- Investment adviser and administrator fees 470 a Transfer agent and shareholder service fees 392 b Trustees' fees 8 c Custodian and portfolio accounting fees 15 Professional fees 26 Registration fees 32 Shareholder reports 26 Other expenses + 12 ----------- Total expenses 981 Expense reduction - 37 d ----------- NET EXPENSES 944 INCREASE IN NET ASSETS FROM OPERATIONS - ---------------------------------------------------------------------- TOTAL INVESTMENT INCOME 5,382 NET EXPENSES - 944 ----------- NET INVESTMENT INCOME 4,438 NET REALIZED GAINS 74 e NET UNREALIZED LOSSES + (801) e ----------- INCREASE IN NET ASSETS FROM OPERATIONS $ 3,711
Unless stated, all numbers are x 1,000. a Calculated as a percentage of average daily net assets: 0.30% of the first $500 million and 0.22% of assets beyond that. b Calculated as a percentage of average daily net assets: for transfer agent services, 0.05% of the fund's assets; for shareholder services, 0.20% of the fund's assets. These fees are paid to Charles Schwab & Co. c For the fund's independent trustees only. d This reduction was made by the investment adviser (CSIM). It reflects a guarantee by CSIM and the transfer agent and shareholder service agent (Schwab) to limit the annual operating expenses of this fund through at least November 15, 2003, to 0.65% of average daily net assets. Prior to November 16, 2002, this limit was 0.49%. This limit doesn't include interest, taxes and certain non-routine expenses. e These add up to a net loss on investments of $727. See financial notes. 23 SCHWAB SHORT/INTERMEDIATE TAX-FREE BOND FUND Statements of CHANGES IN NET ASSETS For the current and prior report periods. All numbers are x 1,000.
OPERATIONS - ------------------------------------------------------------------------------- 9/1/02 - 8/31/03 9/1/01 - 8/31/02 Net investment income $4,438 $ 3,993 Net realized gains 74 34 Net unrealized gains or losses + (801) 2,270 ------------------------------------- INCREASE IN NET ASSETS FROM OPERATIONS 3,711 6,297 DISTRIBUTIONS PAID - ------------------------------------------------------------------------------- Dividends from net investment income $4,474 $ 3,921 a
TRANSACTIONS IN FUND SHARES - -------------------------------------------------------------------------------- 9/1/02-8/31/03 9/1/01-8/31/02 SHARES VALUE SHARES VALUE Shares sold 9,957 $ 106,591 8,187 $ 85,365 Shares reinvested 297 3,175 241 2,508 Shares redeemed + (8,327) (89,036) (5,794) (60,137) ------------------------------------------------------- NET TRANSACTIONS IN FUND SHARES 1,927 $ 20,730 2,634 $ 27,736
SHARES OUTSTANDING AND NET ASSETS - ------------------------------------------------------------------------------- 9/1/02-8/31/03 9/1/01-8/31/02 SHARES NET ASSETS SHARES NET ASSETS Beginning of period 13,116 $139,368 10,482 $109,256 Total increase + 1,927 19,967 2,634 30,112 b -------------------------------------------------- END OF PERIOD 15,043 $159,335 13,116 $139,368 c
Unless stated, all numbers are x 1,000. UNAUDITED a The fund hereby designates 100% of its dividends for the current report period as tax-exempt interest dividends. b Figures for shares represent shares sold plus shares reinvested, minus shares redeemed. Figures for net assets represent the changes in net assets from operations plus the changes in value from transactions in fund shares, minus distributions paid. c Includes net investment income not yet distributed in the amount of $17 and $53 for the current and prior period, respectively. 24 See financial notes. SCHWAB LONG-TERM TAX-FREE BOND FUND FINANCIAL STATEMENTS FINANCIAL HIGHLIGHTS
9/1/02- 9/1/01- 9/1/00- 9/1/99- 9/1/98- 8/31/03 8/31/02 8/31/01 8/31/00 8/31/99 - ------------------------------------------------------------------------------------------------------------------------------------ PER-SHARE DATA ($) - ------------------------------------------------------------------------------------------------------------------------------------ Net asset value at beginning of period 11.05 10.87 10.24 10.11 11.01 ---------------------------------------------------------------------------------- Income from investment operations: Net investment income 0.45 0.49 0.50 0.50 0.50 Net realized and unrealized gains or losses (0.01) 0.17 0.63 0.13 (0.85) ---------------------------------------------------------------------------------- Total income from investment operations 0.44 0.66 1.13 0.63 (0.35) Less distributions: Dividends from net investment income (0.45) (0.48) (0.50) (0.50) (0.50) Distributions from net realized gains -- -- -- -- (0.05) ---------------------------------------------------------------------------------- Total distributions (0.45) (0.48) (0.50) (0.50) (0.55) ---------------------------------------------------------------------------------- Net asset value at end of period 11.04 11.05 10.87 10.24 10.11 ---------------------------------------------------------------------------------- Total return (%) 4.01 6.24 11.29 6.59 (3.34) RATIOS/SUPPLEMENTAL DATA (%) - ------------------------------------------------------------------------------------------------------------------------------------ Ratios to average net assets: Net operating expenses 0.62 0.49 0.49 0.49 1 0.49 Gross operating expenses 0.65 0.74 0.74 0.76 0.81 Net investment income 4.06 4.49 4.73 5.11 4.59 Portfolio turnover rate 22 25 35 25 35 Net assets, end of period ($ x 1,000,000) 81 85 88 76 90
1 The ratio of net operating expenses would have been 0.50% if certain non-routine expenses (proxy fees) had been included. See financial notes. 25 SCHWAB LONG-TERM TAX-FREE BOND FUND PORTFOLIO HOLDINGS as of August 31, 2003 This section shows all the securities in the fund's portfolio and their market value, as of the report date. We use the symbols below to designate certain characteristics. With the top ten holdings, the number in the circle is the security's rank among the top ten. (1) Top ten holding + Credit-enhanced security ~ Liquidity-enhanced security o Certificate of participation For fixed rate obligations, the rate shown is the interest rate (the rate established when the obligation was issued) and the maturity date shown is the stated legal maturity. For variable-rate obligations, the rate shown is the rate as of the report date, and the maturity shown is the later of the next interest rate change date or demand date.
COST MARKET VALUE HOLDINGS BY CATEGORY ($x1,000) ($x1,000) - --------------------------------------------------------------------------------- 100.0% MUNICIPAL BONDS 75,958 80,646 0.0% OTHER INVESTMENT COMPANIES 3 3 - --------------------------------------------------------------------------------- 100.0% TOTAL INVESTMENTS 75,961 80,649
ISSUER PROJECT MATURITY FACE VALUE MKT. VALUE TYPE OF SECURITY, SERIES RATE DATE ($ x 1,000) ($ x 1,000) MUNICIPAL BONDS 100.0% of investments FIXED-RATE OBLIGATIONS 98.5% ------------------------------------------------------------------------------------------------------------------------- CALIFORNIA 6.9% CALIFORNIA DEPARTMENT OF WATER RESOURCES Power Supply Revenue Bonds, Series 2002A 5.88% 05/01/16 2,000 2,170 + CALIFORNIA INFRASTRUCTURE & ECONOMIC DEVELOPMENT BANK Bay Area Toll Bridges First Lien Revenue Bonds, Series 2003A 5.00% 07/01/29 1,500 1,478 o+ LOS ANGELES MUNICIPAL IMPROVEMENT CORP. Real Property Improvement Program Series 2002 5.00% 02/01/18 1,880 1,936 -------- 5,584 COLORADO 5.4% + COLORADO DEPARTMENT OF TRANSPORTATION Revenue Anticipation Notes, Series 2002B 5.50% 06/15/15 2,000 2,245 DENVER CITY & COUNTY + Airport System Revenue Refunding Bonds, Series 2002E 5.50% 11/15/15 1,000 1,056 + Colorado Convention Center Expansion Project Excise Tax Revenue Bonds, Series 2001A 5.50% 09/01/17 1,000 1,077 -------- 4,378 DISTRICT OF COLUMBIA 2.7% o+ DISTRICT OF COLUMBIA District's Public Safety & Emergency Preparedness Communications Center and Related Technology Series 2003A 5.50% 01/01/17 2,000 2,170
26 See financial notes. SCHWAB LONG-TERM TAX-FREE BOND FUND
ISSUER PROJECT MATURITY FACE VALUE MKT. VALUE TYPE OF SECURITY, SERIES RATE DATE ($ x 1,000) ($ x 1,000) FLORIDA 3.6% +(6) ESCAMBIA COUNTY HEALTH FACILITIES AUTHORITY Ascension Health Credit Group Revenue Bonds, Series 1999A-2 5.75% 11/15/09 2,500 2,898 GEORGIA 1.5% + FULTON COUNTY DEVELOPMENT AUTHORITY Tuff Morehouse LLC Project Revenue Bonds, Series 2002A 5.50% 02/01/22 1,180 1,241 HAWAII 2.2% + HAWAII General Obligation Bonds, Series 1999CT 5.88% 09/01/09 1,500 1,742 INDIANA 1.2% + MARION COUNTY CONVENTION & RECREATIONAL FACILITIES AUTHORITY Excise Tax Lease Revenue Refunding Senior Bonds, Series 2001A 5.00% 06/01/21 1,000 1,005 KENTUCKY 1.3% + JEFFERSON COUNTY University Medical Center, Inc. Health Facilities Revenue Bonds, Series 1997 5.25% 07/01/22 1,000 1,013 MARYLAND 0.4% MARYLAND DEPARTMENT OF HOUSING & COMMUNITY DEVELOPMENT Revenue Bonds, Series 1996A 5.88% 07/01/16 320 337 MICHIGAN 8.1% DELTA COUNTY ECONOMIC DEVELOPMENT CORP. MeadWestvaco-Escanaba Paper Company Project Environmental Improvement Revenue Refunding Bonds, Series 2002A 6.25% 04/15/27 1,000 1,008 +(7) DETROIT Water Supply System Revenue Refunding Senior Lien Bonds, Series 2003C 5.25% 07/01/16 2,620 2,813 + EASTERN MICHIGAN UNIVERSITY BOARD OF REGENTS General Revenue Bonds, Series 1997 5.50% 06/01/17 1,500 1,686 + WAYNE COUNTY COMMUNITY COLLEGE Improvement Bonds, Series 1999 5.50% 07/01/19 1,000 1,051 -------- 6,558 MISSISSIPPI 5.7% +(10) MISSISSIPPI HOSPITAL EQUIPMENT & FACILITIES AUTHORITY Mississippi Baptist Medical Center Revenue Refunding Bonds, Series 1995 6.00% 05/01/13 2,150 2,318 o+ WALNUT GROVE CORRECTIONAL AUTHORITY Walnut Grove Correctional Facility Project Series 1999 6.00% 11/01/19 2,000 2,256 -------- 4,574
See financial notes. 27 SCHWAB LONG-TERM TAX-FREE BOND FUND PORTFOLIO HOLDINGS continued
ISSUER PROJECT MATURITY FACE VALUE MKT. VALUE TYPE OF SECURITY, SERIES RATE DATE ($ x 1,000) ($ x 1,000) NEBRASKA 3.3% +(8) AMERICAN PUBLIC ENERGY AGENCY Nebraska Public Gas Agency Project Gas Supply Revenue Bonds, Series 1998C 4.00% 09/01/07 2,500 2,646 NEVADA 2.6% + NEVADA STATE DEPARTMENT OF BUSINESS & INDUSTRY Las Vegas Monorail Project First Tier Revenue Bonds, Series 2000 5.63% 01/01/32 2,000 2,091 NEW YORK 4.4% + METROPOLITAN TRANSPORTATION AUTHORITY Revenue Refunding Bonds, Series A 5.50% 11/15/18 2,000 2,156 NEW YORK CITY General Obligation Bonds, Series 2002G 5.75% 08/01/16 1,325 1,416 -------- 3,572 OREGON 4.6% + COLUMBIA RIVER PEOPLES UTILITY DISTRICT Electric Systems Revenue Obligations, Series 2000B 5.50% 12/01/19 1,180 1,264 +(9) MORROW COUNTY SCHOOL DISTRICT NO. 001 General Obligation Bonds, Series 2001 5.63% 06/15/16 2,235 2,441 -------- 3,705 PENNSYLVANIA 4.5% PENNSYLVANIA HIGHER EDUCATION FACILITIES AUTHORITY University of Pennsylvania Health Services Revenue Bonds, Series 1996A 5.75% 01/01/17 2,000 2,053 + SENECA VALLEY SCHOOL DISTRICT General Obligation Refunding Bonds, Series 1998AA 5.15% 02/15/20 1,500 1,537 -------- 3,590 RHODE ISLAND 0.2% RHODE ISLAND HOUSING & MORTGAGE FINANCE CORP. Homeownership Opportunity Revenue Bonds, Series 10A 6.50% 10/01/22 175 177 TEXAS 15.3% +(5) AUSTIN ELECTRIC WATER & SEWER SYSTEM Revenue Refunding Bonds, Series 1997 5.13% 11/15/16 3,000 3,150 + BRAZOS RIVER AUTHORITY Houston Industries, Inc. Revenue Refunding Bonds, Series 1998A 5.13% 05/01/19 1,750 1,797 + CONROE INDEPENDENT SCHOOL DISTRICT Unlimited Tax School, House & Refunding Bonds, Series 1997 5.25% 02/15/21 1,000 1,015 +(2) DALLAS FORT WORTH INTERNATIONAL AIRPORT Joint Revenue Bonds, Series 2000A 6.00% 11/01/24 3,500 3,687
28 See financial notes. SCHWAB LONG-TERM TAX-FREE BOND FUND
ISSUER PROJECT MATURITY FACE VALUE MKT. VALUE TYPE OF SECURITY, SERIES RATE DATE ($ x 1,000) ($ x 1,000) + HARRIS COUNTY HOSPITAL DISTRICT Revenue Refunding Bonds, Series 2000 6.00% 02/15/16 1,000 1,118 + TEXAS PUBLIC FINANCE AUTHORITY Texas Southern University Revenue Financing System Refunding Bonds, Series 1998A-1 4.75% 11/01/17 1,545 1,563 -------- 12,330 VERMONT 2.8% + VERMONT EDUCATIONAL & HEALTH BUILDINGS FINANCING AGENCY Fletcher Allen Health Care Project Hospital Revenue Bonds, Series 2000A 6.00% 12/01/23 2,000 2,220 WASHINGTON 20.5% +(3) CLARK COUNTY SCHOOL DISTRICT NO. 117 Unlimited Tax General Obligation Bonds, Series 1999 5.50% 12/01/17 3,000 3,413 KENT COUNTY SCHOOL DISTRICT NO. 415 Unlimited Tax General Obligation Refunding Bonds, Series 1993A 5.55% 12/01/11 500 561 KING COUNTY Baseball Stadium (1) Limited Tax General Obligation Demand Notes, Series 1997D 5.75% 12/01/11 3,500 3,867 + King Street Center Project Lease Revenue Bonds, Series 1997 5.13% 06/01/17 1,000 1,040 + OCEAN SHORES Water & Sewer Revenue Bonds, Series 2001 5.50% 12/01/21 2,000 2,253 WASHINGTON STATE HEALTH CARE FACILITIES AUTHORITY +(4) Catholic Health Initiatives Revenue Bonds, Series 2000A 6.00% 12/01/20 3,000 3,325 + Swedish Health System Revenue Bonds, Series 1998 5.13% 11/15/18 2,000 2,072 -------- 16,531 WISCONSIN 1.3% + WISCONSIN HEALTH & EDUCATION FACILITIES AUTHORITY Medical College of Wisconsin, Inc. Project Revenue Bonds, Series 1997 5.50% 03/01/17 1,000 1,084
See financial notes. 29 SCHWAB LONG-TERM TAX-FREE BOND FUND PORTFOLIO HOLDINGS continued
ISSUER PROJECT MATURITY FACE VALUE MKT. VALUE TYPE OF SECURITY, SERIES RATE DATE ($ x 1,000) ($ x 1,000) VARIABLE RATE OBLIGATIONS 1.5% ------------------------------------------------------------------------------------------------------------------------- NEW YORK 1.3% +~ NEW YORK CITY MUNICIPAL WATER FINANCE AUTHORITY Water & Sewer System Revenue Bonds, Series 1994G 0.75% 09/02/03 1,000 1,000 TENNESSEE 0.2% + CLARKSVILLE, TENNESSEE PUBLIC BUILDING AUTHORITY Pooled Financing Revenue Bonds, Series 2003 0.85% 09/02/03 200 200
MKT. VALUE SECURITY AND NUMBER OF SHARES ($ x 1,000) OTHER INVESTMENT COMPANIES 0.0% of investments PROVIDENT INSTITUTIONAL FUNDS- MUNI FUND PORTFOLIO 2,454 3
END OF PORTFOLIO HOLDINGS. For totals, please see the first page of holdings for this fund. 30 See financial notes. SCHWAB LONG-TERM TAX-FREE BOND FUND Statement of ASSETS AND LIABILITIES As of August 31, 2003. All numbers are x 1,000 except NAV. ASSETS - --------------------------------------------------------------------------------- Investments, at market value $ 80,649 a Receivables: Fund shares sold 4 Interest 1,044 Prepaid expenses + 12 ----------- TOTAL ASSETS 81,709 LIABILITIES - --------------------------------------------------------------------------------- Payables: Fund shares redeemed 35 Dividends to shareholders 309 Investment adviser and administrator fees 2 Transfer agent and shareholder service fees 2 Accrued expenses + 30 ----------- TOTAL LIABILITIES 378 NET ASSETS - --------------------------------------------------------------------------------- TOTAL ASSETS 81,709 TOTAL LIABILITIES - 378 ----------- NET ASSETS $ 81,331 NET ASSETS BY SOURCE Capital received from investors 78,882 Net investment income not yet distributed 125 Net realized capital losses (2,364) Net unrealized capital gains 4,688 NET ASSET VALUE (NAV) SHARES NET ASSETS / OUTSTANDING = NAV $81,331 7,368 $11.04
Unless stated, all numbers are x 1,000. a The fund's amortized cost for these securities was $75,961. Not counting short-term obligations, the fund paid $17,878 for securities during the reporting period, and received $18,116 from securities it sold or that matured. Included in the total purchases and sales amounts are $43,860 in transactions with other SchwabFunds(R). FEDERAL TAX DATA - --------------------------------------------------- PORTFOLIO COST $75,836 NET UNREALIZED GAINS AND LOSSES: Gains $ 4,856 Losses + (43) ---------- $ 4,813 AS OF AUGUST 31, 2003: UNDISTRIBUTED EARNINGS: Tax-exempt income $ 309 Long-term capital gains $ -- CAPITAL LOSS UTILIZED $ 491 UNUSED CAPITAL LOSSES: Expires 08/31 of: 2008 $ 111 2009 + 2,253 ---------- $ 2,364 RECLASSIFICATIONS: Net investment income not yet distributed ($ 14) Reclassified as: Net realized capital gains $ 14
See financial notes. 31 SCHWAB LONG-TERM TAX-FREE BOND FUND Statement of OPERATIONS For September 1, 2002 through August 31, 2003. All numbers are x 1,000. INVESTMENT INCOME - --------------------------------------------------------------------------------- Interest $ 4,077 NET REALIZED GAINS AND LOSSES - --------------------------------------------------------------------------------- Net realized gains on investments sold 477 NET UNREALIZED GAINS AND LOSSES - --------------------------------------------------------------------------------- Net unrealized losses on investments (474) EXPENSES - --------------------------------------------------------------------------------- Investment adviser and administrator fees 261 a Transfer agent and shareholder service fees 218 b Trustees' fees 8 c Custodian and portfolio accounting fees 10 Professional fees 26 Registration fees 18 Shareholder reports 18 Other expenses + 10 ---------- Total expenses 569 Expense reduction - 33 d ---------- NET EXPENSES 536 INCREASE IN NET ASSETS FROM OPERATIONS - --------------------------------------------------------------------------------- TOTAL INVESTMENT INCOME 4,077 NET EXPENSES - 536 ---------- NET INVESTMENT INCOME 3,541 NET REALIZED GAINS 477 e NET UNREALIZED LOSSES + (474) e ---------- INCREASE IN NET ASSETS FROM OPERATIONS $ 3,544
Unless stated, all numbers are x 1,000. a Calculated as a percentage of average daily net assets: 0.30% of the first $500 million and 0.22% of assets beyond that. b Calculated as a percentage of average daily net assets: for transfer agent services, 0.05% of the fund's assets; for shareholder services, 0.20% of the fund's assets. These fees are paid to Charles Schwab & Co. c For the fund's independent trustees only. d This reduction was made by the investment adviser (CSIM). It reflects a guarantee by CSIM and the transfer agent and shareholder service agent (Schwab) to limit the annual operating expenses of this fund through at least November 15, 2003, to 0.65% of average daily net assets. Prior to November 16, 2002, this limit was 0.49%. This limit doesn't include interest, taxes and certain non-routine expenses. e These add up to a net gain on investments of $3. 32 See financial notes. SCHWAB LONG-TERM TAX-FREE BOND FUND Statements of CHANGES IN NET ASSETS For the current and prior report periods. All numbers are x 1,000.
OPERATIONS - --------------------------------------------------------------------------------- 9/1/02 - 8/31/03 9/1/01 - 8/31/02 Net investment income $3,541 $3,690 Net realized gains 477 319 Net unrealized gains or losses + (474) 890 --------------------------------------- INCREASE IN NET ASSETS FROM OPERATIONS 3,544 4,899 DISTRIBUTIONS PAID - --------------------------------------------------------------------------------- Dividends from net investment income $3,518 $3,599 a
TRANSACTIONS IN FUND SHARES - --------------------------------------------------------------------------------- 9/1/02-8/31/03 9/1/01-8/31/02 SHARES VALUE SHARES VALUE Shares sold 4,912 $ 55,091 3,297 $ 35,633 Shares reinvested 204 2,296 198 2,127 Shares redeemed + (5,470) (61,388) (3,906) (42,176) ------------------------------------------------- NET TRANSACTIONS IN FUND SHARES (354) ($ 4,001) (411) ($ 4,416)
SHARES OUTSTANDING AND NET ASSETS - -------------------------------------------------------------------------------- 9/1/02-8/31/03 9/1/01-8/31/02 SHARES NET ASSETS SHARES NET ASSETS Beginning of period 7,722 $ 85,306 8,133 $ 88,422 Total decrease + (354) (3,975) (411) (3,116) b ------------------------------------------------- END OF PERIOD 7,368 $ 81,331 7,722 $ 85,306 c
Unless stated, all numbers are x 1,000. UNAUDITED a The fund hereby designates 100% of its dividends for the current report period as tax-exempt interest dividends. b Figures for shares represent shares sold plus shares reinvested, minus shares redeemed. Figures for net assets represent the changes in net assets from operations plus the changes in value from transactions in fund shares, minus distributions paid. c Includes net investment income not yet distributed in the amount of $125 and $116 for the current and prior period, respectively. See financial notes. 33 SCHWAB CALIFORNIA SHORT/INTERMEDIATE TAX-FREE BOND FUND FINANCIAL STATEMENTS FINANCIAL HIGHLIGHTS
9/1/02- 9/1/01- 9/1/00- 9/1/99- 9/1/98- 8/31/03 8/31/02 8/31/01 8/31/00 8/31/99 - ------------------------------------------------------------------------------------------------------------------------------------ PER-SHARE DATA ($) - ------------------------------------------------------------------------------------------------------------------------------------ Net asset value at beginning of period 10.66 10.51 10.22 10.09 10.26 ---------------------------------------------------------------------------------- Income from investment operations: Net investment income 0.32 0.34 0.40 0.39 0.39 Net realized and unrealized gains or losses (0.09) 0.15 0.29 0.13 (0.17) ---------------------------------------------------------------------------------- Total income from investment operations 0.23 0.49 0.69 0.52 0.22 Less distributions: Dividends from net investment income (0.32) (0.34) (0.40) (0.39) (0.39) ---------------------------------------------------------------------------------- Net asset value at end of period 10.57 10.66 10.51 10.22 10.09 ---------------------------------------------------------------------------------- Total return (%) 2.15 4.66 6.95 5.32 2.16 RATIOS/SUPPLEMENTAL DATA (%) - ------------------------------------------------------------------------------------------------------------------------------------ Ratios to average net assets: Net operating expenses 0.58 0.49 0.49 0.49 1 0.49 Gross operating expenses 0.60 0.66 0.67 0.71 0.77 Net investment income 2.96 3.29 3.83 3.91 3.81 Portfolio turnover rate 11 17 30 42 7 Net assets, end of period ($ x 1,000,000) 174 184 145 124 126
1 The ratio of net operating expenses would have been 0.50% if certain non-routine expenses (proxy fees) had been included. 34 See financial notes. SCHWAB CALIFORNIA SHORT/INTERMEDIATE TAX-FREE BOND FUND PORTFOLIO HOLDINGS as of August 31, 2003 This section shows all the securities in the fund's portfolio and their market value, as of the report date. We use the symbols below to designate certain characteristics. With the top ten holdings, the number in the circle is the security's rank among the top ten. (1) Top ten holding + Credit-enhanced security ~ Liquidity-enhanced security o Certificate of participation For fixed rate obligations, the rate shown is the interest rate (the rate established when the obligation was issued) and the maturity date shown is the stated legal maturity. For variable-rate obligations, the rate shown is the rate as of the report date, and the maturity shown is the later of the next interest rate change date or demand date.
COST MARKET VALUE HOLDINGS BY CATEGORY ($x1,000) ($x1,000) - -------------------------------------------------------------------------------- 100.0% MUNICIPAL BONDS 167,171 172,211 0.0% OTHER INVESTMENT COMPANIES 28 28 - -------------------------------------------------------------------------------- 100.0% TOTAL INVESTMENTS 167,199 172,239
ISSUER PROJECT MATURITY FACE VALUE MKT. VALUE TYPE OF SECURITY, SERIES RATE DATE ($ x 1,000) ($ x 1,000) MUNICIPAL BONDS 100.0% of investments FIXED-RATE OBLIGATIONS 97.6% ------------------------------------------------------------------------------------------------------------------------------ CALIFORNIA 93.7% ALAMEDA COUNTY Refunding & Capital Projects o+ Series 1998A 5.00% 12/01/06 3,480 3,831 o+(2) Series 2001A 5.38% 12/01/09 5,000 5,665 ALAMEDA PUBLIC FINANCING AUTHORITY 1997 Revenue Bond Refinancing Revenue Bonds, Series 1999 4.85% 09/02/06 2,140 2,209 ASSOCIATION OF BAY AREA GOVERNMENTS +(10) Brandeis Hillel Day School Project Revenue Bonds, Series 2001 3.75% 08/01/06 4,000 4,172 + FTA Capital Grant Bart SFO Extension Bonds, Series 2001A 5.00% 06/15/08 630 631 + BURBANK UNIFIED SCHOOL DISTRICT Election of 1997 General Obligation Bonds, Series C 3.00% 08/01/06 1,820 1,883 CALIFORNIA DEPARTMENT OF WATER RESOURCES Power Supply Revenue Bonds, Series 2002A 5.50% 05/01/10 1,315 1,436 + CALIFORNIA EDUCATIONAL FACILITIES AUTHORITY Pooled College & University Projects Revenue Bonds, Series 1997A 5.05% 04/01/05 1,010 1,068 CALIFORNIA HEALTH FACILITIES FINANCING AUTHORITY Kaiser Permanente Hospital Revenue Bonds, Series 1998B 5.00% 10/01/08 2,500 2,702 CALIFORNIA POLLUTION CONTROL FINANCE AUTHORITY Waste Management, Inc. Project Solid Waste Disposal Revenue Bonds, Series 2002B 4.45% 07/01/05 2,000 2,033
See financial notes. 35 SCHWAB CALIFORNIA SHORT/INTERMEDIATE TAX-FREE BOND FUND PORTFOLIO HOLDINGS continued
ISSUER PROJECT MATURITY FACE VALUE MKT. VALUE TYPE OF SECURITY, SERIES RATE DATE ($ x 1,000) ($ x 1,000) CALIFORNIA STATE General Obligation Bonds, Series 1992 6.30% 09/01/06 2,235 2,487 + General Obligation Bonds, Series 1998 5.50% 12/01/11 1,665 1,861 General Obligation Bonds, Series 2001 4.00% 11/01/05 1,000 1,044 General Obligation Bonds, Series 2002 5.25% 02/01/11 3,500 3,739 +(7) General Obligation Refunding Bonds, Series 2002 5.00% 02/01/12 4,000 4,277 ~(1) Revenue Anticipation Warrants, Series 2003B 2.00% 06/16/04 11,000 11,012 CALIFORNIA STATE PUBLIC WORKS BOARD + Energy Efficiency Revenue Refunding Bonds, Series 1998B 4.00% 09/01/06 1,155 1,223 The Regents University of California Lease Revenue Refunding Bonds, Series 1998A 5.25% 12/01/07 2,000 2,210 CALIFORNIA STATEWIDE COMMUNITIES DEVELOPMENT AUTHORITY Kaiser Permanente Project Revenue Bonds, Series 2002D 4.35% 03/01/07 2,000 2,073 + Sherman Oaks Project Revenue Refunding Bonds, Series 1998A 5.00% 08/01/06 2,500 2,720 o St. Joseph Health System Series 1997 5.00% 07/01/04 750 770 o St. Joseph Health System Obligated Group Series 1994 6.50% 07/01/04 2,000 2,130 o The Internext Group Series 1999 4.13% 04/01/04 3,500 3,538 + EL DORADO COUNTY PUBLIC AGENCY FINANCING AUTHORITY Revenue Bonds, Series 1996 5.60% 02/15/12 3,000 3,280 + FONTANA COMMUNITY FACILITIES DISTRICT NO. 2 Senior Special Tax Refunding Bonds, Series 1998A 4.10% 09/01/04 1,120 1,153 FREMONT UNION HIGH SCHOOL DISTRICT Election of 1998 General Obligation Bonds, Series 2000B 5.75% 09/01/08 1,520 1,744 + FRESNO Palm Bluffs Corporate Center Public Improvement Project Special Tax Bonds, Series 1998 4.75% 09/01/05 1,000 1,014 + INGLEWOOD REDEVELOPMENT AGENCY Merged Redeveloped Project Tax Allocation Refunding Bonds, Series 1998A 3.88% 05/01/05 525 547 INTERMODAL CONTAINER TRANSFER FACILITY JOINT POWERS AUTHORITY + Refunding Revenue Bonds, Series 1999A 5.00% 11/01/08 1,210 1,347 + Refunding Revenue Bonds, Series 1999A 5.00% 11/01/09 1,375 1,527 (6) LONG BEACH Harbor Revenue Refunding Bonds, Series 2000A 5.50% 05/15/10 4,000 4,394 +(8) LONG BEACH HARBOR FACILITIES CORP. Revenue Refunding Bonds, Series 1998A 5.50% 05/15/05 3,985 4,235 o+ LOS ANGELES American Academy of Dramatic Arts Series 2000A 4.70% 11/01/05 1,300 1,373
36 See financial notes. SCHWAB CALIFORNIA SHORT/INTERMEDIATE TAX-FREE BOND FUND
ISSUER PROJECT MATURITY FACE VALUE MKT. VALUE TYPE OF SECURITY, SERIES RATE DATE ($ x 1,000) ($ x 1,000) + LOS ANGELES COMMUNITY REDEVELOPMENT AGENCY Beacon Street, Crenshaw & Pico Union 1 Redevelopment Projects Pooled Financing Revenue Refunding Bonds, Series 1998F 5.00% 09/01/07 810 893 LOS ANGELES COUNTY METROPOLITAN TRANSPORTATION AUTHORITY Proposition C Sales Tax Revenue Bonds, Second Series 1992A 6.20% 07/01/04 3,000 3,122 LOS ANGELES STATE BUILDING AUTHORITY California Department of General Services + Lease Revenue Refunding Bonds, Series 1993A 5.63% 05/01/11 2,000 2,248 Lease Revenue Refunding Bonds, Series 1995A 5.60% 05/01/04 1,000 1,025 (5) LOS ANGELES UNIFIED SCHOOL DISTRICT Election of 1997 General Obligation Bonds, Series 2000D 5.50% 07/01/10 4,000 4,477 NORTHERN CALIFORNIA POWER AGENCY Geothermal Project No. 3 Revenue Refunding Bonds, Series 1993A 5.60% 07/01/06 2,000 2,213 OAKLAND Oakland Museum o+ Refunding, Series 2002A 5.00% 04/01/10 2,015 2,201 o+ Refunding, Series 2002A 5.00% 04/01/11 1,460 1,584 + OCEANSIDE COMMUNITY DEVELOPMENT COMMISSION Vista del Ora Apartments Multi-Family Rental Housing Revenue Refunding Bonds, Series 2001A 4.45% 04/01/11 1,250 1,295 o+ ORANGE COUNTY Recovery, Series 1996A 6.00% 07/01/08 3,000 3,441 + PORT OF OAKLAND Revenue Bonds, Series 2000K 5.50% 11/01/08 3,000 3,351 + RANCHO WATER DISTRICT FINANCING AUTHORITY Refunding Revenue Bonds, Series 1995 5.88% 11/01/10 1,500 1,640 + RIVERSIDE COUNTY ASSET LEASING CORP. County of Riverside Hospital Project Leasehold Revenue Bonds, Series 2003A 5.00% 06/01/09 2,555 2,806 SACRAMENTO FINANCE AUTHORITY Revenue Refunding Bonds, Series 2002 4.50% 07/01/08 2,865 3,073 + SAN BERNARDINO COUNTY Alta Park/Mountain Vista Apartments Multi-Family Housing Refunding Revenue Bonds, Series 2001A 4.45% 05/01/11 1,300 1,338 SAN FRANCISCO AIRPORTS COMMISSION San Francisco International Airport + Second Series Revenue Bonds, Issue 15A 5.50% 05/01/09 2,000 2,213 + Second Series Revenue Bonds, Issue 22 5.25% 05/01/11 3,065 3,292
See financial notes. 37 SCHWAB CALIFORNIA SHORT/INTERMEDIATE TAX-FREE BOND FUND PORTFOLIO HOLDINGS continued
ISSUER PROJECT MATURITY FACE VALUE MKT. VALUE TYPE OF SECURITY, SERIES RATE DATE ($ x 1,000) ($ x 1,000) SAN FRANCISCO BAY AREA TRANSIT FINANCING AUTHORITY Bridge Toll Notes, Series 1999 5.00% 02/01/07 500 537 SAN FRANCISCO STATE UNIVERSITY FOUNDATION, INC. Auxiliary Organization Student Housing Revenue Bonds, Series 1999 4.30% 07/01/05 540 564 Student Housing Revenue Bonds, Series 1999 5.00% 07/01/08 400 432 + SAN JOSE Airport Revenue Refunding Bonds, Series 2002B 5.00% 03/01/11 2,625 2,776 +(3) SAN JOSE REDEVELOPMENT AGENCY Merged Area Redevelopment Project Tax Allocation Bonds, Series 2002 4.00% 08/01/10 5,000 5,177 + SANTA CLARA Insurance Funding Bonds, Series 1987 3.25% 04/01/12 4,000 4,110 (9) SANTA CLARA COUNTY FINANCING AUTHORITY Measure B Transportation Improvement Program Special Obligation Bonds, Series 2003 4.00% 08/01/05 4,000 4,174 + Multiple Facilities Projects Lease Revenue Bonds, Series 2000B 5.50% 05/15/05 3,290 3,519 + VMC Facility Replacement Project Lease Revenue Bonds, Series 1994A 7.75% 11/15/10 1,000 1,263 + SOUTHERN CALIFORNIA PUBLIC POWER AUTHORITY San Juan Power Project Unit 3 Revenue Bonds, Series 1993A 5.00% 01/01/04 1,600 1,621 VERNON Malburg Generating Station Project Electric System Revenue Bonds, Series 2003C 5.00% 04/01/11 1,320 1,355 Electric System Revenue Bonds, Series 2003C 5.25% 04/01/15 1,905 1,936 + WEST & CENTRAL BASIN FINANCING AUTHORITY West Basin Refunding Project Revenue Bonds, Series 1993A 5.30% 08/01/09 3,665 3,744 o+(4) WILLIAM S. HART UNION HIGH SCHOOL DISTRICT School Facility Bridge Funding Program Series 2001 2.40% 01/15/04 4,670 4,671 ------- 161,419 PUERTO RICO 3.9% + PUERTO RICO COMMONWEALTH AQUEDUCT & SEWERAGE AUTHORITY Refunding Bonds, Series 1995 6.00% 07/01/06 3,000 3,341 + PUERTO RICO ELECTRIC POWER AUTHORITY Power Revenue Refunding Bonds, Series 1997CC 5.50% 07/01/08 3,000 3,346 ------- 6,687
38 See financial notes. SCHWAB CALIFORNIA SHORT/INTERMEDIATE TAX-FREE BOND FUND
ISSUER PROJECT MATURITY FACE VALUE MKT. VALUE TYPE OF SECURITY, SERIES RATE DATE ($ x 1,000) ($ x 1,000) VARIABLE RATE OBLIGATIONS 2.4% ------------------------------------------------------------------------------------------------------------------------------ CALIFORNIA 2.4% + IRVINE ASSESSMENT DISTRICT Limited Obligation Improvement Bonds Adjustable Rate Series 0.85% 09/02/03 1,900 1,900 o~ ORANGE COUNTY SANITATION DISTRICT Refunding, Series 2000B 0.75% 09/02/03 2,205 2,205 ------- 4,105
MKT. VALUE SECURITY AND NUMBER OF SHARES ($ x 1,000) OTHER INVESTMENT COMPANIES 0.0% of investments PROVIDENT INSTITUTIONAL FUNDS- CALIFORNIA MONEY FUND PORTFOLIO 27,716 28
END OF PORTFOLIO HOLDINGS. For totals, please see the first page of holdings for this fund. See financial notes. 39 SCHWAB CALIFORNIA SHORT/INTERMEDIATE TAX-FREE BOND FUND Statement of ASSETS AND LIABILITIES As of August 31, 2003. All numbers are x 1,000 except NAV. ASSETS - ------------------------------------------------------------------------------- Investments, at market value $ 172,239 a Receivables: Fund shares sold 53 Interest 1,909 Prepaid expenses + 2 ------------- TOTAL ASSETS 174,203 LIABILITIES - ------------------------------------------------------------------------------- Payables: Fund shares redeemed 52 Dividends to shareholders 458 Investment adviser and administrator fees 4 Transfer agent and shareholder service fees 4 Accrued expenses + 36 ------------- TOTAL LIABILITIES 554 NET ASSETS - ------------------------------------------------------------------------------- TOTAL ASSETS 174,203 TOTAL LIABILITIES - 554 ------------- NET ASSETS $ 173,649 NET ASSETS BY SOURCE Capital received from investors 168,813 Net investment income not yet distributed 25 Net realized capital losses (229) Net unrealized capital gains 5,040 NET ASSET VALUE (NAV) SHARES NET ASSETS / OUTSTANDING = NAV $173,649 16,426 $10.57
Unless stated, all numbers are x 1,000. a The fund's amortized cost for these securities was $167,199. Not counting short-term obligations, the fund paid $34,526 for securities during the reporting period, and received $18,052 from securities it sold or that matured. Included in the total purchases and sales amounts are $72,012 in transactions with other SchwabFunds(R). FEDERAL TAX DATA - --------------------------------------------------- PORTFOLIO COST $167,174 NET UNREALIZED GAINS AND LOSSES: Gains $ 5,429 Losses + (364) ------------ $ 5,065 AS OF AUGUST 31, 2003: UNDISTRIBUTED EARNINGS: Tax-exempt income $ 458 Long-term capital gains $ -- CAPITAL LOSS UTILIZED $ 141 UNUSED CAPITAL LOSSES: Expires 08/31 of: 2004 $ 197 2008 + 27 ------------ $ 224 DEFERRED CAPITAL LOSSES $ 5
40 See financial notes. SCHWAB CALIFORNIA SHORT/INTERMEDIATE TAX-FREE BOND FUND Statement of OPERATIONS For September 1, 2002 through August 31, 2003. All numbers are x 1,000. INVESTMENT INCOME - ------------------------------------------------------------------------------ Interest $ 6,530 NET REALIZED GAINS AND LOSSES - ------------------------------------------------------------------------------ Net realized gains on investments sold 136 NET UNREALIZED GAINS AND LOSSES - ------------------------------------------------------------------------------ Net unrealized losses on investments (1,823) EXPENSES - ------------------------------------------------------------------------------ Investment adviser and administrator fees 553 a Transfer agent and shareholder service fees 461 b Trustees' fees 9 c Custodian and portfolio accounting fees 17 Professional fees 26 Shareholder reports 31 Other expenses + 14 ----------- Total expenses 1,111 Expense reduction - 41 d ----------- NET EXPENSES 1,070 INCREASE IN NET ASSETS FROM OPERATIONS - ------------------------------------------------------------------------------ TOTAL INVESTMENT INCOME 6,530 NET EXPENSES - 1,070 ----------- NET INVESTMENT INCOME 5,460 NET REALIZED GAINS 136 e NET UNREALIZED LOSSES + (1,823) e ----------- INCREASE IN NET ASSETS FROM OPERATIONS $ 3,773
Unless stated, all numbers are x 1,000. a Calculated as a percentage of average daily net assets: 0.30% of the first $500 million and 0.22% of assets beyond that. b Calculated as a percentage of average daily net assets: for transfer agent services, 0.05% of the fund's assets; for shareholder services, 0.20% of the fund's assets. These fees are paid to Charles Schwab & Co. c For the fund's independent trustees only. d This reduction was made by the investment adviser (CSIM). It reflects a guarantee by CSIM and the transfer agent and shareholder service agent (Schwab) to limit the annual operating expenses of this fund through at least November 15, 2003, to 0.65% of average daily net assets. Prior to November 16, 2002, this limit was 0.49%. This limit doesn't include interest, taxes and certain non-routine expenses. e These add up to a net loss on investments of $1,687. See financial notes. 41 SCHWAB CALIFORNIA SHORT/INTERMEDIATE TAX-FREE BOND FUND Statements of CHANGES IN NET ASSETS For the current and prior report periods. All numbers are x 1,000.
OPERATIONS - ------------------------------------------------------------------------------ 9/1/02-8/31/03 9/1/01-8/31/02 Net investment income $ 5,460 $ 5,161 Net realized gains 136 204 Net unrealized gains or losses + (1,823) 2,290 ----------------------------------- INCREASE IN NET ASSETS FROM OPERATIONS 3,773 7,655 DISTRIBUTIONS PAID - ------------------------------------------------------------------------------ Dividends from net investment income $ 5,495 $ 5,077 a
TRANSACTIONS IN FUND SHARES - ------------------------------------------------------------------------------ 9/1/02-8/31/03 9/1/01-8/31/02 SHARES VALUE SHARES VALUE Shares sold 6,749 $ 72,161 8,549 $ 89,804 Shares reinvested 362 3,865 314 3,294 Shares redeemed + (7,905) (84,278) (5,392) (56,623) ---------------------------------------------------- NET TRANSACTIONS IN FUND SHARES (794) ($ 8,252) 3,471 $ 36,475
SHARES OUTSTANDING AND NET ASSETS - ------------------------------------------------------------------------------ 9/1/02-8/31/03 9/1/01-8/31/02 SHARES NET ASSETS SHARES NET ASSETS Beginning of period 17,220 $ 183,623 13,749 $ 144,570 Total increase or decrease + (794) (9,974) 3,471 39,053 b ---------------------------------------------------- END OF PERIOD 16,426 $ 173,649 17,220 $ 183,623 c
Unless stated, all numbers are x 1,000. UNAUDITED a The fund hereby designates 100% of its dividends for the current report period as tax-exempt interest dividends. b Figures for shares represent shares sold plus shares reinvested, minus shares redeemed. Figures for net assets represent the changes in net assets from operations plus the changes in value from transactions in fund shares, minus distributions paid. c Includes net investment income not yet distributed in the amount of $25 and $60 for the current and prior period, respectively. 42 See financial notes. SCHWAB CALIFORNIA LONG-TERM TAX-FREE BOND FUND FINANCIAL STATEMENTS FINANCIAL HIGHLIGHTS
9/1/02- 9/1/01- 9/1/00- 9/1/99- 9/1/98- 8/31/03 8/31/02 8/31/01 8/31/00 8/31/99 - ------------------------------------------------------------------------------------------------------------------------------------ PER-SHARE DATA ($) - ------------------------------------------------------------------------------------------------------------------------------------ Net asset value at beginning of period 11.69 11.63 11.06 10.82 11.52 -------------------------------------------------------------------------------- Income from investment operations: Net investment income 0.49 0.53 0.55 0.55 0.54 Net realized and unrealized gains or losses (0.24) 0.05 0.57 0.24 (0.70) -------------------------------------------------------------------------------- Total income from investment operations 0.25 0.58 1.12 0.79 (0.16) Less distributions: Dividends from net investment income (0.49) (0.52) (0.55) (0.55) (0.54) -------------------------------------------------------------------------------- Net asset value at end of period 11.45 11.69 11.63 11.06 10.82 -------------------------------------------------------------------------------- Total return (%) 2.14 5.14 10.38 7.67 (1.57) RATIOS/SUPPLEMENTAL DATA (%) - ------------------------------------------------------------------------------------------------------------------------------------ Ratios to average net assets: Net operating expenses 0.58 0.49 0.49 0.49 1 0.49 Gross operating expenses 0.60 0.64 0.65 0.69 0.75 Net investment income 4.16 4.58 4.86 5.19 4.69 Portfolio turnover rate 29 34 37 36 55 Net assets, end of period ($ x 1,000,000) 194 238 215 179 202
1 The ratio of net operating expenses would have been 0.50% if certain non-routine expenses (proxy fees) had been included. See financial notes. 43 SCHWAB CALIFORNIA LONG-TERM TAX-FREE BOND FUND PORTFOLIO HOLDINGS as of August 31, 2003 This section shows all the securities in the fund's portfolio and their market value, as of the report date. We use the symbols below to designate certain characteristics. With the top ten holdings, the number in the circle is the security's rank among the top ten. (1) Top ten holding + Credit-enhanced security o Certificate of participation = Delayed-delivery security For fixed rate obligations, the rate shown is the interest rate (the rate established when the obligation was issued) and the maturity date shown is the stated legal maturity. For variable-rate obligations, the rate shown is the rate as of the report date, and the maturity shown is the later of the next interest rate change date or demand date.
COST MARKET VALUE HOLDINGS BY CATEGORY ($x1,000) ($x1,000) - -------------------------------------------------------------------------------- 99.9% MUNICIPAL BONDS 190,482 196,545 0.1% OTHER INVESTMENT COMPANIES 261 261 - -------------------------------------------------------------------------------- 100.0% TOTAL INVESTMENTS 190,743 196,806
ISSUER PROJECT MATURITY FACE VALUE MKT. VALUE TYPE OF SECURITY, SERIES RATE DATE ($ x 1,000) ($ x 1,000) MUNICIPAL BONDS 99.9% of investments FIXED-RATE OBLIGATIONS 98.1% ------------------------------------------------------------------------------------------------------------------- CALIFORNIA 98.1% + ALAMEDA CORRIDOR TRANSPORTATION AUTHORITY Senior Lien Revenue Bonds, Series 1999A 5.13% 10/01/16 1,170 1,233 o+ ALAMEDA COUNTY Alameda Medical Center Project Series 1998 5.38% 06/01/18 3,400 3,620 +(4) ANAHEIM PUBLIC FINANCING AUTHORITY Public Improvements Project Senior Lease Revenue Bonds, Series 1997A 6.00% 09/01/24 5,000 5,695 ASSOCIATION OF BAY AREA GOVERNMENTS + Brandeis Hillel Day School Project Revenue Bonds Series 2001 3.75% 09/01/03 1,700 1,773 o Lytton Gardens, Inc. Insured Revenue, Series 1999 6.00% 02/15/30 3,000 3,053 + Redevelopment Agency Pool Tax Allocation Revenue Bonds, Series 1997A-6 5.25% 12/15/17 1,200 1,278 Schools of Sacred Heart - San Francisco Revenue Bonds, Series 2000A 6.45% 06/01/30 1,500 1,538 + BREA OLINDA UNIFIED SCHOOL DISTRICT Election of 1999 General Obligation Bonds, Series 1999A 5.60% 08/01/20 1,000 1,079 BURBANK PUBLIC FINANCE AUTHORITY Golden State Redevelopment Project + Revenue Bonds, Series 2003A 5.25% 12/01/17 2,825 3,016 + Revenue Bonds, Series 2003A 5.25% 12/01/18 2,175 2,304 CALIFORNIA DEPARTMENT OF WATER RESOURCES Power Supply Revenue Bonds, Series 2002A 5.75% 05/01/17 3,000 3,192
44 See financial notes. SCHWAB CALIFORNIA LONG-TERM TAX-FREE BOND FUND
ISSUER PROJECT MATURITY FACE VALUE MKT. VALUE TYPE OF SECURITY, SERIES RATE DATE ($ x 1,000) ($ x 1,000) CALIFORNIA EDUCATIONAL FACILITIES AUTHORITY College of Arts & Crafts Revenue Bonds, Series 2001 5.75% 06/01/25 1,800 1,776 Pepperdine University Revenue Bonds, Series 2000 5.75% 09/15/30 3,000 3,133 CALIFORNIA HEALTH FACILITIES FINANCING AUTHORITY Cedars-Sinai Medical Center Revenue Bonds, Series 1999A 6.13% 12/01/19 2,750 2,915 +(5) Children's Hospital - San Diego Insured Hospital Revenue Refunding Bonds, Series 1996 5.38% 07/01/16 5,180 5,495 CALIFORNIA HOUSING FINANCE AGENCY + Home Mortgage Revenue Bonds, Series 1995L 5.90% 08/01/17 1,000 1,033 + Home Mortgage Revenue Bonds, Series 1995J 6.00% 08/01/17 110 114 Multi-Unit Rental Housing Revenue Bonds II, Series 1992B 6.70% 08/01/15 1,000 1,011 CALIFORNIA INFRASTRUCTURE & ECONOMIC DEVELOPMENT BANK +(1) Bay Area Toll Bridges First Lien Revenue Bonds, Series 2003A 5.00% 07/01/29 8,500 8,377 The J. David Gladstone Institution Project Revenue Bonds, Series 2001 5.50% 10/01/19 1,250 1,279 CALIFORNIA STATE General Obligation Bonds, Series 2000 5.63% 05/01/18 1,000 1,048 +(8) Department of Veterans Affairs Home Purchase Revenue Bonds, Series 2002A 5.30% 12/01/21 5,000 5,177 CALIFORNIA STATEWIDE COMMUNITIES DEVELOPMENT AUTHORITY o Cedars-Sinai Medical Center Hospital Revenue, Series 1992 6.50% 08/01/15 365 372 Kaiser Permanente Project Revenue Bonds, Series 2002D 4.35% 03/01/07 2,000 2,073 + Sunnyside/Vermont Project FHA Insured GNMA Collateralized Revenue Bonds, Series 2001A 7.00% 04/20/36 4,000 4,520 o(10) The Internext Group Series 1999 5.38% 04/01/17 5,000 4,875 o CALIFORNIA TRANSIT FINANCE CORP Sacramento Regional Transit District Series 1992A 6.38% 03/01/05 250 256 + COLTON PUBLIC FINANCE AUTHORITY Special Tax Revenue Bonds, Series 1996 5.45% 09/01/19 3,020 3,216 =(9) CONTRA COSTA COUNTY, PUBLIC FINANCING AUTHORITY Multiple Project Areas Tax Allocation Revenue Bonds, Series 2003A 5.63% 08/01/33 5,000 4,897 EAST BAY MUNICIPAL UTILITY DISTRICT Water System Subordinate Revenue Bonds, Series 1998 5.25% 06/01/19 2,600 2,707 o+ ESCONDIDO Revenue, Series 2000A 6.00% 09/01/31 2,000 2,200
See financial notes. 45 SCHWAB CALIFORNIA LONG-TERM TAX-FREE BOND FUND PORTFOLIO HOLDINGS continued
ISSUER PROJECT MATURITY FACE VALUE MKT. VALUE TYPE OF SECURITY, SERIES RATE DATE ($ x 1,000) ($ x 1,000) FONTANA REDEVELOPMENT AGENCY Jurupa Hills Redevelopment Project Tax Allocation Refunding Bonds, Series 1997A 5.50% 10/01/19 3,500 3,492 +(7) FOOTHILL-EASTERN TRANSPORTATION CORRIDOR AGENCY Toll Road Revenue Refunding Bonds, Series 1999 5.13% 01/15/19 5,000 5,203 + HUNTINGTON BEACH Capital Improvement Financing Project Lease Revenue Bonds, Series 2000A 5.50% 09/01/20 1,500 1,601 + INGLEWOOD REDEVELOPMENT AGENCY Merged Redevelopment Project Tax Allocation Refunding Bonds, Series 1998A 5.25% 05/01/16 1,000 1,091 + LOS ANGELES MUNICIPAL IMPROVEMENT CORP. City of Los Angeles Central Library Project Leasehold Revenue Refunding Bonds, Series 2003A 5.25% 06/01/13 3,730 4,097 + LYNWOOD PUBLIC FINANCING AUTHORITY Public Capital Improvement Project Lease Revenue Refunding Bonds, Series 2003 5.00% 09/01/18 1,000 1,030 + MADERA UNIFIED SCHOOL DISTRICT Election of 2002 General Obligation, Series 2003 5.00% 08/01/28 2,980 2,942 +(6) MENLO PARK COMMUNITY DEVELOPMENT AGENCY Las Pulgas Community Development Project Tax Allocation Bonds 5.55% 06/01/30 5,000 5,261 + MODESTO PUBLIC FINANCING AUTHORITY Capital Improvement & Refinancing Projects Lease Revenue Bonds, Series 1998 5.13% 09/01/20 3,740 3,838 OAKLAND JOINT POWER FINANCING AUTHORITY Reassessment Revenue Bonds, Series 1999 5.50% 09/02/24 990 1,002 + OAKLAND REDEVELOPMENT AGENCY Central District Redevelopment Project Subordinated Tax Allocation Bonds, Series 2003 5.50% 09/01/14 1,615 1,785 + PORT OF OAKLAND Revenue Bonds, Series 2000K 5.75% 11/01/29 3,500 3,637 RIVERSIDE COUNTY PUBLIC FINANCE AUTHORITY Riverside County Redevelopment Projects Tax Allocation Revenue Bonds, Series 1997A 5.63% 10/01/33 4,905 4,831 ROSEVILLE JOINT UNION HIGH SCHOOL DISTRICT General Obligation Bonds, Series 1992E 5.25% 08/01/26 2,435 2,449 SACRAMENTO CITY FINANCE AUTHORITY + Lease Revenue Refunding Bonds, Series 1993B 5.40% 11/01/20 3,105 3,297 + California EPA Building Project Lease Revenue Bonds, Series 1998A 5.25% 05/01/19 1,575 1,670 + City Hall & Redevelopment Projects Revenue Bonds, Series 2002A 5.38% 12/01/20 2,875 3,037 + Solid Waste & Redevelopment Projects Capital Improvement Revenue Bonds, Series 1999 5.88% 12/01/29 3,000 3,267 SACRAMENTO COUNTY SANITATION DISTRICT Revenue Bonds, Series 2000A 5.88% 12/01/27 1,000 1,097
46 See financial notes. SCHWAB CALIFORNIA LONG-TERM TAX-FREE BOND FUND
ISSUER PROJECT MATURITY FACE VALUE MKT. VALUE TYPE OF SECURITY, SERIES RATE DATE ($ x 1,000) ($ x 1,000) + SALINAS VALLEY SOLID WASTE AUTHORITY Revenue Bonds, Series 2002 5.13% 08/01/22 2,210 2,206 + SAN DIEGO COUNTY Election of 1998 General Obligation Bonds, Series 2002D 5.25% 07/01/19 3,000 3,156 SAN DIEGO REDEVELOPMENT AGENCY Horton Plaza Redevelopment Project Subordinate Tax Allocation Bonds, Series 2000 5.80% 11/01/21 2,500 2,559 SAN DIEGO UNIFIED SCHOOL DISTRICT Election of 1998 + General Obligation Bonds, Series 2001C 5.00% 07/01/18 1,730 1,795 + General Obligation Bonds, Series 2001C 5.00% 07/01/19 2,000 2,059 SAN FRANCISCO AIRPORTS COMMISSION + San Francisco International Airport Second Series Revenue Bonds, Issue 11 6.20% 05/01/05 2,000 2,177 + Second Series Revenue Bonds, Issue 12B 5.63% 05/01/21 2,000 2,137 + Second Series Revenue Bonds, Issue 22 5.00% 05/01/19 2,000 2,020 SAN FRANCISCO BAY AREA RAPID TRANSIT + Sales Tax Revenue Bonds, Series 1999 5.50% 07/01/26 1,000 1,048 + Sales Tax Revenue Bonds, Series 1999 5.50% 07/01/34 2,500 2,619 SAN FRANCISCO STATE UNIVERSITY Auxiliary Organization Student Housing Revenue Bonds, Series 1999 5.20% 07/01/19 1,150 1,152 + SAN LUIS OBISPO COUNTY FINANCE AUTHORITY Lopez Dam Improvement Revenue Bonds, Series 2000A 5.38% 08/01/24 1,000 1,032 +(2) SANTA ANA UNIFIED SCHOOL DISTRICT Election of 1999 General Obligation Bonds, Series 2000 5.70% 08/01/29 6,000 6,271 + SANTA CLARA COUNTY FINANCING AUTHORITY VMC Facility Replacement Project Lease Revenue Bonds, Series 1994A 7.75% 11/15/10 1,460 1,844 + SANTA CLARA REDEVELOPMENT AGENCY Bayshore North Project Tax Allocation Revenue Refunding Bonds 7.00% 07/01/10 1,500 1,750 + SHASTA UNION HIGH SCHOOL DISTRICT General Obligation Bonds, Series 2002 5.25% 08/01/19 1,360 1,427 + SOUTH ORANGE COUNTY PUBLIC FINANCING AUTHORITY Special Tax Revenue Bonds, Series 1999A 5.25% 08/15/18 3,095 3,276 (3) STOCKTON COMMUNITY FACILITIES DISTRICT Mello Roos Community Facilities District No. 1 Weston Ranch Special Tax Revenue Bonds, Series 1998A 5.80% 09/01/14 5,875 6,062 + TAFT CITY ELEMENTARY SCHOOL DISTRICT Election of 2001 General Obligation Bonds, Series 2001A 4.90% 08/01/20 1,080 1,091 + TRI CITY HOSPITAL DISTRICT Insured Revenue Refunding Bonds, Series 1996A 5.63% 02/15/17 1,000 1,077
See financial notes. 47 SCHWAB CALIFORNIA LONG-TERM TAX-FREE BOND FUND PORTFOLIO HOLDINGS continued
ISSUER PROJECT MATURITY FACE VALUE MKT. VALUE TYPE OF SECURITY, SERIES RATE DATE ($ x 1,000) ($ x 1,000) + TRUCKEE PUBLIC FINANCING AUTHORITY Lease Revenue Bonds, Series 2000A 5.88% 11/01/25 1,490 1,632 + UNIVERSITY OF CALIFORNIA UC Davis Medical Center Hospital Revenue Bonds, Series 1996 5.75% 07/01/06 500 561 + VALLEJO Water Improvement Project Revenue Refunding Bonds, Series 1996A 5.70% 05/01/16 2,000 2,181 o+ WEST BASIN WATER DISTRICT 1992 Projects Revenue Refunding Bonds, Series 1997A 5.50% 08/01/22 1,000 1,059 WHITTIER Presbyterian Intercommunity Hospital Revenue Bonds, Series 2002 5.60% 06/01/22 2,000 1,981 -------- 193,054 VARIABLE RATE OBLIGATIONS 1.8% ------------------------------------------------------------------------------------------------------------------------------ CALIFORNIA 1.8% IRVINE ASSESSMENT DISTRICT + Limited Obligation Improvement Bonds Adjustable Rate Series 0.85% 09/02/03 600 600 + Northwest Irvine Limited Obligation Improvement Bonds Adjustable Rate Series 1997 0.75% 09/02/03 1,741 1,741 IRVINE RANCH WATER DISTRICT + Consolidated Series 1985 0.75% 09/02/03 350 350 + Election of 1988 Sewer Bonds, Series A 0.85% 09/02/03 800 800 -------- 3,491
MKT. VALUE SECURITY AND NUMBER OF SHARES ($ x 1,000) OTHER INVESTMENT COMPANIES 0.1% of investments PROVIDENT INSTITUTIONAL FUNDS- CALIFORNIA MONEY FUND PORTFOLIO 260,537 261
END OF PORTFOLIO HOLDINGS. For totals, please see the first page of holdings for this fund. 48 See financial notes. SCHWAB CALIFORNIA LONG-TERM TAX-FREE BOND FUND Statement of ASSETS AND LIABILITIES As of August 31, 2003. All numbers are x 1,000 except NAV. ASSETS - -------------------------------------------------------------------------------- Investments, at market value $ 196,806 a Receivables: Fund shares sold 16 Interest 2,688 Prepaid expenses + 3 ------------- TOTAL ASSETS 199,513 LIABILITIES - -------------------------------------------------------------------------------- Payables: Fund shares redeemed 218 Dividends to shareholders 781 Investment bought 4,876 Investment adviser and administrator fees 4 Transfer agent and shareholder service fees 4 Accrued expenses + 38 ------------- TOTAL LIABILITIES 5,921 NET ASSETS - -------------------------------------------------------------------------------- TOTAL ASSETS 199,513 TOTAL LIABILITIES - 5,921 ------------- NET ASSETS $ 193,592 NET ASSETS BY SOURCE Capital received from investors 187,470 Net investment income not yet distributed 174 Net realized capital losses (115) Net unrealized capital gains 6,063 NET ASSET VALUE (NAV) SHARES NET ASSETS / OUTSTANDING = NAV $193,592 16,906 $11.45
Unless stated, all numbers are x 1,000. a The fund's amortized cost for these securities was $190,743. Not counting short-term obligations, the fund paid $60,719 for securities during the reporting period, and received $86,712 from securities it sold or that matured. Included in the total purchases and sales amounts are $73,018 in transactions with other SchwabFunds(R). FEDERAL TAX DATA - ----------------------------------------------------- PORTFOLIO COST $190,569 NET UNREALIZED GAINS AND LOSSES: Gains $ 6,923 Losses + (686) ------------ $ 6,237 AS OF AUGUST 31, 2003: UNDISTRIBUTED EARNINGS: Tax-exempt income $ 781 Long-term capital gains $ -- CAPITAL LOSS UTILIZED $ 1,073 UNUSED CAPITAL LOSSES: Expires 08/31 of: 2009 $ 115 RECLASSIFICATIONS: Net investment income not yet distributed ($ 37) Reclassified as: Net realized capital gains $ 37
See financial notes. 49 SCHWAB CALIFORNIA LONG-TERM TAX-FREE BOND FUND Statement of OPERATIONS For September 1, 2002 through August 31, 2003. All numbers are x 1,000. INVESTMENT INCOME - -------------------------------------------------------------------------------- Interest $ 10,768 NET REALIZED GAINS AND LOSSES - -------------------------------------------------------------------------------- Net realized gains on investments sold 1,036 NET UNREALIZED GAINS AND LOSSES - -------------------------------------------------------------------------------- Net unrealized losses on investments (5,190) EXPENSES - -------------------------------------------------------------------------------- Investment adviser and administrator fees 682 a Transfer agent and shareholder service fees 569 b Trustees' fees 9 c Custodian and portfolio accounting fees 20 Professional fees 27 Shareholder reports 39 Other expenses + 15 ------------ Total expenses 1,361 Expense reduction - 48 d ------------ NET EXPENSES 1,313 INCREASE IN NET ASSETS FROM OPERATIONS - -------------------------------------------------------------------------------- TOTAL INVESTMENT INCOME 10,768 NET EXPENSES - 1,313 ------------ NET INVESTMENT INCOME 9,455 NET REALIZED GAINS 1,036 e NET UNREALIZED LOSSES + (5,190) e ------------ INCREASE IN NET ASSETS FROM OPERATIONS $ 5,301
Unless stated, all numbers are x 1,000. a Calculated as a percentage of average daily net assets: 0.30% of the first $500 million and 0.22% of assets beyond that. b Calculated as a percentage of average daily net assets: for transfer agent services, 0.05% of the fund's assets; for shareholder services, 0.20% of the fund's assets. These fees are paid to Charles Schwab & Co. c For the fund's independent trustees only. d This reduction was made by the investment adviser (CSIM). It reflects a guarantee by CSIM and the transfer agent and shareholder service agent (Schwab) to limit the annual operating expenses of this fund through November 15, 2002, to 0.49% of average daily net assets. This limit doesn't include interest, taxes and certain non-routine expenses. Effective November 16, 2002, this limit no longer applies. e These add up to a net loss on investments of $4,154. 50 See financial notes. SCHWAB CALIFORNIA LONG-TERM TAX-FREE BOND FUND Statements of CHANGES IN NET ASSETS For the current and prior report periods. All numbers are x 1,000. OPERATIONS - -------------------------------------------------------------------------------- 9/1/02 - 8/31/03 9/1/01 - 8/31/02 Net investment income $ 9,455 $ 10,226 Net realized gains 1,036 1,817 Net unrealized losses + (5,190) (732) ------------------------------------- INCREASE IN NET ASSETS FROM OPERATIONS 5,301 11,311 DISTRIBUTIONS PAID - -------------------------------------------------------------------------------- Dividends from net investment income $ 9,540 $ 9,995 a
TRANSACTIONS IN FUND SHARES - -------------------------------------------------------------------------------- 9/1/02-8/31/03 9/1/01-8/31/02 SHARES VALUE SHARES VALUE Shares sold 3,343 $ 39,473 6,013 $ 69,034 Shares reinvested 500 5,879 495 5,667 Shares redeemed + (7,268) (85,134) (4,657) (53,303) -------------------------------------------------- NET TRANSACTIONS IN FUND SHARES (3,425) ($ 39,782) 1,851 $ 21,398
SHARES OUTSTANDING AND NET ASSETS - -------------------------------------------------------------------------------- 9/1/02-8/31/03 9/1/01-8/31/02 SHARES NET ASSETS SHARES NET ASSETS Beginning of period 20,331 $237,613 18,480 $214,899 Total increase or decrease + (3,425) (44,021) 1,851 22,714 b -------------------------------------------------- END OF PERIOD 16,906 $193,592 20,331 $237,613 c
Unless stated, all numbers are x 1,000. UNAUDITED a The fund hereby designates 100% of its dividends for the current report period as tax-exempt interest dividends. b Figures for shares represent shares sold plus shares reinvested minus shares redeemed. Figures for net assets represent the changes in net assets from operations plus the changes in value from transactions in fund shares, minus distributions paid. c Includes net investment income not yet distributed in the amount of $174 and $296 for the current and prior period, respectively. See financial notes. 51 SCHWAB TAX-FREE BOND FUNDS FINANCIAL NOTES BUSINESS STRUCTURE OF THE FUNDS EACH OF THE FUNDS DISCUSSED IN THIS REPORT IS A SERIES OF SCHWAB INVESTMENTS, A NO-LOAD, OPEN-END MANAGEMENT INVESTMENT COMPANY. The company is organized as a Massachusetts business trust and is registered under the Investment Company Act of 1940, as amended. The sidebar shows the funds in this report and their trust. THE FUNDS OFFER ONE SHARE CLASS. Shares are bought and sold at net asset value, or NAV, which is the price for all outstanding shares. Each share has a par value of 1/1,000 of a cent, and the trustees may issue as many shares as necessary. FUND OPERATIONS Most of the funds' investments are described in the fund-by-fund sections earlier in this report. However, there are certain other investments and policies that may affect a fund's financials, as described below. Other policies concerning the funds' business operations also are described here. THE TRUST AND ITS FUNDS This list shows all of the funds included in Schwab Investments. The funds discussed in this report are highlighted. SCHWAB INVESTMENTS organized October 26, 1990 Schwab 1000 Fund(R) Schwab YieldPlus Fund(R) Schwab Short-Term Bond Market Fund Schwab Total Bond Market Fund Schwab GNMA Fund Schwab Short/Intermediate Tax-Free Bond Fund Schwab Long-Term Tax-Free Bond Fund Schwab California Short/Intermediate Tax-Free Bond Fund Schwab California Long-Term Tax-Free Bond Fund THE FUNDS DECLARE DIVIDENDS EVERY DAY THEY ARE OPEN FOR BUSINESS. These dividends, which are substantially equal to a fund's net investment income for that day, are paid out to shareholders once a month. The funds may make distributions from any net realized capital gains once a year. THE FUNDS MAY BUY SECURITIES ON A DELAYED-DELIVERY BASIS. In these transactions, a fund agrees to buy a security for a stated price, with settlement generally occurring within two weeks. If the security's value falls before settlement occurs, a fund could end up paying more for the security than its market value at the time of settlement. The funds have set aside sufficient securities as collateral for those securities bought on a delayed-delivery basis. THE FUNDS PAY FEES TO AFFILIATES OF THE INVESTMENT ADVISOR FOR VARIOUS SERVICES. Through their trust, the funds have agreements with Charles Schwab Investment Management, Inc. (CSIM) to provide investment advisory and administrative services and with Charles Schwab & Co., Inc. (Schwab) to provide transfer agent and shareholder services. Although these agreements specify certain fees for these services, CSIM and Schwab have made additional agreements with the funds that may limit the total expenses charged. The rates and limitations for these fees vary from fund to fund, and are described in each fund's Statement of Operations. THE FUNDS MAY ENGAGE IN CERTAIN TRANSACTIONS INVOLVING AFFILIATES. The funds may make direct transactions with certain other SchwabFunds(R) when practical. When one fund is seeking to sell a security that another is seeking to buy, an interfund transaction can allow both funds to benefit by reducing transaction costs. This practice is limited to funds that share the same investment adviser, trustees and officers. Pursuant to an exemptive order issued by the SEC, the funds may enter into interfund borrowing and lending transactions within the Schwab Funds. All loans are for temporary or emergency purposes only. The interest rate charged on the loan is the average of 52 SCHWAB TAX-FREE BOND FUNDS the overnight repurchase agreement rate and the short-term bank loan rate. The interfund lending facility is subject to the oversight and periodic review of the Board of Trustees of the Schwab Funds. TRUSTEES MAY INCLUDE PEOPLE WHO ARE OFFICERS AND/OR DIRECTORS OF THE INVESTMENT ADVISER OR SCHWAB. Federal securities law limits the percentage of such "interested persons" who may serve on a trust's board, and the trust was in compliance with these limitations throughout the report period. The trust did not pay any of these persons for their service as trustees, but it did pay non-interested persons (independent trustees), as noted in each fund's Statement of Operations. THE FUNDS MAY BORROW MONEY FROM BANKS AND CUSTODIANS. The funds may obtain temporary bank loans through the trusts to which they belong, to use for meeting shareholder redemptions or for extraordinary or emergency purposes. The trusts have custodian overdraft facilities and line of credit arrangements of $150 million and $100 million with PNC Bank, N.A. and Bank of America, N.A., respectively. The funds pay interest on the amounts they borrow at rates that are negotiated periodically. THE FUNDS INTEND TO MEET FEDERAL INCOME AND EXCISE TAX REQUIREMENTS FOR REGULATED INVESTMENT COMPANIES. Accordingly, the funds distribute substantially all of their net investment income and realized net capital gains (if any) to their respective shareholders each year. As long as a fund meets the tax requirements, it is not required to pay federal income tax. UNDER THE FUNDS' ORGANIZATIONAL DOCUMENTS, ITS OFFICERS AND TRUSTEES ARE INDEMNIFIED AGAINST CERTAIN LIABILITY ARISING OUT OF THE PERFORMANCE OF THEIR DUTIES TO THE FUNDS. In addition, in the normal course of business the funds enter into contracts with their vendors and others that provide general indemnifications. The funds' maximum exposure under these arrangements is unknown as this would involve future claims that may be made against the funds. However, based on experience, the funds expect the risk of loss to be remote. ACCOUNTING POLICIES The following are the main policies the funds use in preparing their financial statements. THE FUNDS VALUE THE SECURITIES IN THEIR PORTFOLIOS EVERY BUSINESS DAY. The funds use the following policies to value various types of securities: BONDS AND NOTES: valued at halfway between the most recent bid and asked quotes or, if such quotes are unavailable, at prices for securities of comparable maturity, credit quality and type. Valuations for bonds and notes are provided by an independent bond-pricing service. SECURITIES FOR WHICH NO QUOTED VALUE IS AVAILABLE, INCLUDING RESTRICTED SECURITIES: valued at fair value, as determined in good faith by the fund's investment adviser using guidelines adopted by the fund's Board of Trustees. SHORT-TERM SECURITIES (60 DAYS OR LESS TO MATURITY): valued at amortized cost. SECURITY TRANSACTIONS are recorded as of the date the order to buy or sell the security is executed. INTEREST INCOME is recorded as it accrues. If a fund bought a debt security at a discount (that is, for less than its face value) or a premium (more than face value), it amortizes the discount or premium from the current date up to maturity. The fund then increases (in the case of discounts) or reduces (in the case of premiums) the income it records from the security. If the security is callable (meaning that the issuer has the option to pay it off before its maturity date), then the fund amortizes the premium to the security's call date and price, rather than the maturity date and price. REALIZED GAINS AND LOSSES from security transactions are based on the identified costs of the securities involved. 53 SCHWAB TAX-FREE BOND FUNDS EXPENSES that are specific to a fund are charged directly to that fund. Expenses that are common to all funds within the trust generally are allocated among the funds in proportion to their net assets. EACH FUND MAINTAINS ITS OWN ACCOUNT FOR PURPOSES OF HOLDING ASSETS AND ACCOUNTING, and is considered a separate entity for tax purposes. Within its account, each fund also keeps certain assets in segregated accounts, as may be required by securities law. THE ACCOUNTING POLICIES DESCRIBED ABOVE CONFORM WITH ACCOUNTING PRINCIPLES GENERALLY ACCEPTED IN THE UNITED STATES OF AMERICA. Notwithstanding this, shareholders should understand that in order to follow these principles, fund management has to make estimates and assumptions that affect the information reported in the financial statements. It's possible that once the results are known, they may turn out to be different from these estimates. 54 REPORT OF INDEPENDENT ACCOUNTANTS TO THE BOARD OF TRUSTEES AND SHAREHOLDERS OF: Schwab Short/Intermediate Tax-Free Bond Fund Schwab Long-Term Tax-Free Bond Fund Schwab California Short/Intermediate Tax-Free Bond Fund Schwab California Long-Term Tax-Free Bond Fund In our opinion, the accompanying statements of assets and liabilities, including the portfolio holdings, and the related statements of operations and of changes in net assets and the financial highlights present fairly, in all material respects, the financial position of Schwab Short/Intermediate Tax-Free Bond Fund, Schwab Long-Term Tax-Free Bond Fund, Schwab California Short/Intermediate Tax-Free Bond Fund, and Schwab California Long-Term Tax-Free Bond Fund (four of the portfolios constituting Schwab Investments, hereafter referred to as the "Funds") at August 31, 2003, the results of each of their operations for the year then ended, the changes in each of their net assets for each of the two years in the period then ended and the financial highlights for each of the five years in the period then ended, in conformity with accounting principles generally accepted in the United States of America. These financial statements and financial highlights (hereafter referred to as "financial statements") are the responsibility of the Funds' management; our responsibility is to express an opinion on these financial statements based on our audits. We conducted our audits of these financial statements in accordance with auditing standards generally accepted in the United States of America, which require that we plan and perform the audits to obtain reasonable assurance about whether the financial statements are free of material misstatement. An audit includes examining, on a test basis, evidence supporting the amounts and disclosures in the financial statements, assessing the accounting principles used and significant estimates made by management, and evaluating the overall financial statement presentation. We believe that our audits, which included confirmation of securities at August 31, 2003 by correspondence with the custodian and brokers, provide a reasonable basis for our opinion. PRICEWATERHOUSECOOPERS LLP San Francisco, CA October 10, 2003 55 SCHWAB TAX-FREE BOND FUNDS FUND TRUSTEES unaudited A fund's Board of Trustees is responsible for protecting the interests of that fund's shareholders. The tables below give information about the people who serve as trustees and officers for the SchwabFunds(R), including the funds covered in this report. Trustees remain in office until they resign, retire or are removed by shareholder vote. 1 Under the Investment Company Act of 1940, any officer, director, or employee of Schwab or CSIM is considered an "interested person," meaning that he or she is considered to have a business interest in Schwab or CSIM. These individuals are listed as "interested trustees." The "independent trustees" are individuals who, under the 1940 Act, are not considered to have a business interest in Schwab or CSIM. Each of the SchwabFunds (of which there were 49 as of 8/31/03) belongs to one of these trusts: The Charles Schwab Family of Funds, Schwab Investments, Schwab Capital Trust or Schwab Annuity Portfolios. Currently all these trusts have the same trustees and officers. The address for all trustees and officers is 101 Montgomery Street, San Francisco, CA 94104. You can find more information about the trustees and officers in the Statement of Additional Information, which is available free by calling 1-800-435-4000. INDIVIDUALS WHO ARE INTERESTED TRUSTEES AND OFFICERS OF THE TRUST
TRUST POSITION(S); NAME AND BIRTHDATE TRUSTEE SINCE MAIN OCCUPATIONS AND OTHER DIRECTORSHIPS AND AFFILIATIONS - ------------------------------------------------------------------------------------------------------------------------------------ CHARLES R. SCHWAB 2 Chair, Trustee: Chair, Director, The Charles Schwab Corp.; CEO, Director, Schwab 7/29/37 Family of Funds, 1989; Holdings, Inc.; Chair, Director, Charles Schwab & Co., Inc.; Charles Investments, 1991; Schwab Investment Management, Inc.; Chair, Charles Schwab Capital Trust, 1993; Holdings, Inc. I, Schwab International Holdings, Inc.; Director, U.S. Annuity Portfolios, 1994. Trust Corp., United States Trust Co. of New York, The Gap, Inc. (clothing retailer), Siebel Systems (software); Trustee, Stanford University. Until 6/03: Director, Xsign, Inc. (electronic payment systems). Until 5/03: Co-Chair, The Charles Schwab Corporation. Until 5/02: Director, Vodafone AirTouch PLC (telecom). Until 3/02: Director, Audiobase, Inc. (Internet audio solutions). Until 7/01: Director, The Charles Schwab Trust Company. Until 1/99: Director, Schwab Retirement Plan Services, Inc., Mayer & Schweitzer, Inc. (securities brokerage subsidiary of The Charles Schwab Corp.), Performance Technologies, Inc. (technology), TrustMark, Inc.
1 The SchwabFunds retirement policy requires that independent trustees elected after January 1, 2000 retire at age 72 or after twenty years of service as a trustee, whichever comes first. Independent trustees elected prior to January 1, 2000 will retire on the following schedule: Messrs. Holmes and Dorward will retire on December 31, 2007, and Messrs. Stephens and Wilsey will retire on December 31, 2010. 2 In addition to their positions with the investment adviser and the distributor, Messrs. Schwab and Lyons, as well as some of Mr. Lyons's immediate family members, also own stock of The Charles Schwab Corporation. 56 SCHWAB TAX-FREE BOND FUNDS INDIVIDUALS WHO ARE INTERESTED TRUSTEES BUT NOT OFFICERS OF THE TRUST
NAME AND BIRTHDATE TRUSTEE SINCE MAIN OCCUPATIONS AND OTHER DIRECTORSHIPS AND AFFILIATIONS - ------------------------------------------------------------------------------------------------------------------------------------ DAWN G. LEPORE 1 Trustee:2003 Vice Chair, EVP, The Charles Schwab Corp.; Until 10/01: CIO, The 3/21/54 (all trusts) Charles Schwab Corporation. Until 1999: EVP, The Charles Schwab Corporation. Director, Wal-Mart Stores, eBay, Inc. - ------------------------------------------------------------------------------------------------------------------------------------ JEFFREY M. LYONS 1 Trustee: 2002 EVP, Asset Management Products and Services, Charles Schwab & 2/22/55 (all trusts). Co., Inc. Until 9/01: EVP, Mutual Funds, Charles Schwab & Co., Inc.
INDIVIDUALS WHO ARE OFFICERS OF THE TRUST BUT NOT TRUSTEES
NAME AND BIRTHDATE TRUST OFFICE(S) HELD MAIN OCCUPATIONS AND OTHER DIRECTORSHIPS AND AFFILIATIONS - ------------------------------------------------------------------------------------------------------------------------------------ RANDALL W. MERK President, CEO President, CEO, Charles Schwab Investment Management, Inc; 7/25/54 (all trusts). EVP, Charles Schwab & Co., Inc.; Director, Charles Schwab Worldwide Funds PLC, Charles Schwab Asset Management (Ireland) Ltd. Until 9/02: President, CIO, American Century Investment Management; Director, American Century Cos., Inc. Until 6/01: CIO, Fixed Income, American Century Cos., Inc. Until 1997: SVP, Director, Fixed Income and Quantitative Equity Portfolio Management, Twentieth Century Investors, Inc. - ------------------------------------------------------------------------------------------------------------------------------------ TAI-CHIN TUNG Treasurer, Principal SVP, CFO, Charles Schwab Investment Management, Inc.; VP, 3/7/51 Financial Officer The Charles Schwab Trust Co.; Director, Charles Schwab Asset (all trusts). Management (Ireland) Ltd., Charles Schwab Worldwide Funds PLC. - ------------------------------------------------------------------------------------------------------------------------------------ STEPHEN B. WARD SVP, Chief Investment SVP, Chief Investment Officer, Director, Charles Schwab Investment 4/5/55 Officer Management, Inc.; CIO, The Charles Schwab Trust Co. (all trusts). - ------------------------------------------------------------------------------------------------------------------------------------ KOJI E. FELTON Secretary SVP, Chief Counsel, Assistant Corporate Secretary, Charles Schwab 3/13/61 (all trusts). Investment Management, Inc. Until 6/98: Branch Chief in Enforcement, U.S. Securities and Exchange Commission, San Francisco.
1 In addition to their positions with the investment adviser and the distributor, Messrs. Schwab and Lyons, as well as some of Mr. Lyons's immediate family members, also own stock of The Charles Schwab Corporation. 57 SCHWAB TAX-FREE BOND FUNDS INDIVIDUALS WHO ARE INDEPENDENT TRUSTEES
NAME AND BIRTHDATE TRUSTEE SINCE MAIN OCCUPATIONS AND OTHER DIRECTORSHIPS AND AFFILIATIONS - ------------------------------------------------------------------------------------------------------------------------------------ MARIANN BYERWALTER 2000 (all trusts). Chair, JDN Corp. Advisory LLC; Trustee, Stanford University, Director, 8/13/60 America First Cos., (venture capital/fund management), Redwood Trust, Inc. (mortgage finance), Stanford Hospitals and Clinics, SRI International (research), PMI Group, Inc. (mortgage insurance), Lucile Packard Children's Hospital. 2001: Special Advisor to the President, Stanford University. Until 2002: Director, LookSmart, Ltd. (Internet infrastructure). Until 2001: VP, Business Affairs, CFO, Stanford University. - ------------------------------------------------------------------------------------------------------------------------------------ DONALD F. DORWARD Family of Funds, 1989; CEO, Dorward & Associates (management, marketing and 9/23/31 Investments, 1991; communications consulting). Until 1999: EVP, Managing Director, Capital Trust, 1993; Grey Advertising. Annuity Portfolios, 1994. - ------------------------------------------------------------------------------------------------------------------------------------ WILLIAM A. HASLER 2000 (all trusts). Co-CEO, Aphton Corp. (bio-pharmaceuticals). Director, Solectron Corp. 11/22/41 (manufacturing), Tenera, Inc. (services and software), Airlease Ltd. (aircraft leasing), Mission West Properties (commercial real estate), Stratex Networks (telecommunications); Public Governor, Member, executive committee, Pacific Stock & Options Exchange. Until 2002: Director, Digital Microwave Corp. (network equipment). Until 1998: Dean, Haas School of Business, University of California, Berkeley. - ------------------------------------------------------------------------------------------------------------------------------------ ROBERT G. HOLMES Family of Funds, 1989; Chair, CEO, Director, Semloh Financial, Inc. (international financial 5/15/31 Investments, 1991; services and investment advice). Capital Trust, 1993; Annuity Portfolios, 1994. - ------------------------------------------------------------------------------------------------------------------------------------ GERALD B. SMITH 2000 (all trusts). Chair, CEO, Founder, Smith Graham & Co. (investment advisors); 9/28/50 Director, Pennzoil-Quaker State Co. (oil and gas), Rorento N.V. (investments -- Netherlands), Cooper Industries (electrical products); Member, audit committee, Northern Border Partners, L.P. (energy). - ------------------------------------------------------------------------------------------------------------------------------------ DONALD R. STEPHENS Family of Funds, 1989; Managing Partner, D.R. Stephens & Co. (investments). Until 1996: 6/28/38 Investments, 1991; Chair, CEO, North American Trust (real estate investments). Capital Trust, 1993; Annuity Portfolios, 1994. - ------------------------------------------------------------------------------------------------------------------------------------ MICHAEL W. WILSEY Family of Funds, 1989; Chair, CEO, Wilsey Bennett, Inc. (transportation, real estate and 8/18/43 Investments, 1991; investments). Capital Trust, 1993; Annuity Portfolios, 1994.
58 SCHWAB TAX-FREE BOND FUNDS GLOSSARY Words and phrases that appear in financial reports often have specific meanings that are different from their everyday meanings. The glossary below tells you what is meant by the following terms when they are used in this report. ALTERNATIVE MINIMUM TAX (AMT) A federal income tax designed to limit the extent to which high-income taxpayers (including individuals, estates, trusts and corporations) can benefit from certain deductions and exemptions. For example, some types of income that are exempt from regular federal income tax are not exempt from the AMT. ASSET ALLOCATION The practice of dividing a portfolio among different asset classes, with each asset class assigned a particular percentage. ASSET-BACKED SECURITY A bond or other debt security that represents ownership in a pool of debt obligations such as credit card debt. ASSET CLASS A group of securities with similar structure and basic characteristics. Stocks, bonds and cash are the three main examples of asset classes. AVERAGE RATE The average rate of interest paid annually by the fixed-income securities in a fund or portfolio. BOND A security representing a loan from the investor to the issuer. A bond typically pays interest at a fixed rate (the "coupon rate") until a specified date (the "maturity date"), at which time the issuer returns the money borrowed ("principal" or "face value") to the bondholder. Because of their structure, bonds are sometimes called "fixed-income securities" or "debt securities." CALL An early repayment of a bond's principal by the issuer, usually done because the issuer is able to refinance its bond debt at a lower rate. CALL PROTECTION A term used in reference to a bond that cannot be called by the issuer before maturity, or at least for many years from the present date. A bond that offers call protection can more reliably be expected to provide a given yield over a given number of years than a bond that could be called (assuming both bonds are of the same credit quality). CAPITAL GAIN, CAPITAL LOSS The difference between the amount paid for an investment and its value at a later time. If the investment has been sold, the capital gain or loss is considered a realized gain or loss. If the investment is still held, the gain or loss is still "on paper" and is considered unrealized. CERTIFICATE OF PARTICIPATION A municipal bond that is repaid from an annual budget appropriation rather than being backed by the full faith and credit of the issuer. COUPON, COUPON RATE The annual rate of interest paid until maturity by the issuer of a debt security. CREDIT RATINGS MOST MAJOR BOND ISSUERS ARRANGE WITH A RECOGNIZED INDEPENDENT RATING ORGANIZATION, SUCH AS STANDARD & POOR'S (S&P) OR MOODY'S INVESTORS SERVICE, TO RATE THE CREDIT-WORTHINESS OF THEIR BONDS. THE SPECTRUM OF THESE RATINGS IS DIVIDED INTO TWO MAJOR CATEGORIES: INVESTMENT GRADE AND BELOW INVESTMENT GRADE (SOMETIMES CALLED "JUNK BONDS"). BONDS RATED BELOW INVESTMENT GRADE RANGE FROM THOSE THAT ARE CONSIDERED TO HAVE SOME VULNERABILITY TO DEFAULT TO THOSE THAT APPEAR ON THE BRINK OF DEFAULT OR ARE IN DEFAULT.
Credit Capacity to quality make payments ------- ------------- INVESTMENT GRADE BONDS AAA Strongest AA A BBB Adequate [UP AND DOWN ARROW SPANNING TABLE AND CHANGING DARK TO LIGHT FROM TOP TO BOTTOM] - -------------------------------------------------------------------------------- BELOW INVESTMENT GRADE BONDS BB Somewhat speculative B CCC CC C Highly speculative D In default - --------------------------------------------------------------------------------
59 SCHWAB TAX-FREE BOND FUNDS CREDIT QUALITY The capacity of an issuer to make its interest and principal payments. See chart on prior page. CREDIT RISK The risk that a bond issuer may be unable to pay interest or principal to its bondholders. DISCOUNT RATE The implied rate on a debt security that does not pay interest but is bought at a discount and redeemed at face value when it matures. DIVIDEND Money from earnings that is distributed to shareholders as a given amount per share. DURATION A measure of a bond investment's sensitivity to interest rates. Calculations of duration take into account the investment's yield, interest payments, maturity date and call features. Like maturity, duration is expressed in years, but is more accurate than maturity in determining the effect of interest rate movements on a bond investment's price. EXPENSE RATIO The amount that is taken from a mutual fund's assets each year to cover the fund's operating expenses. An expense ratio of 0.50% means that a fund's expenses amount to half of one percent of its average net assets a year. GENERAL OBLIGATION BOND A municipal bond that is secured by the issuer's full faith and credit, which typically is backed by the power of the issuer to levy taxes. INTEREST Payments to bondholders (usually made twice a year) as compensation for loaning the bond principal to the issuer. INTEREST RATE RISK The risk that a bond's value will fluctuate if market interest rates change or are expected to change. Bond prices tend to move in the opposite direction of interest rates: when interest rates rise, bond prices tend to fall. MARKET RISK Those elements of risk that are common to all securities in an asset class, and therefore cannot be significantly reduced by diversification within the asset class. Also known as "systematic risk." MATURITY The date a bond is scheduled to be "retired" and its principal amount returned to the bondholder. MORTGAGE-BACKED SECURITY A bond or other debt security that represents ownership in a pool of mortgage loans. MUNI, MUNICIPAL BOND, MUNICIPAL SECURITY Debt securities issued by a state, its counties, municipalities, authorities and other subdivisions, or the territories and possessions of the United States and the District of Columbia, including their subdivisions, agencies and instrumentalities and corporations. These securities may be issued to obtain money for various public purposes, including the construction of a wide range of public facilities such as airports, bridges, highways, housing, hospitals, mass transportation, public utilities, schools, streets, and water and sewer works. NET ASSET VALUE (NAV) The value of one share of a mutual fund. NAV is calculated by taking the fund's total assets, subtracting liabilities, and dividing by the number of shares outstanding. OUTSTANDING SHARES, SHARES OUTSTANDING When speaking of a company or mutual fund, indicates all shares currently held by investors. PREPAYMENT RISK The risk that a mortgage-backed security may be paid off early, typically because interest rates have fallen and the homeowners who hold the underlying mortgages have refinanced those mortgages at lower rates. In this type of situation, the investor who held the mortgage-backed security will usually have to settle for a lower rate when reinvesting the principal. REVENUE BOND A municipal bond that is issued to finance public works projects and is secured by revenue generated by the project (such as water and sewer fees) rather than the full faith and credit of the issuer. TAXABLE-EQUIVALENT YIELD The yield an investor would need to get from a taxable investment in order to match the yield paid by a given tax-exempt investment, once the effect of all applicable taxes is taken into account. For example, if your tax rate were 25%, a tax-exempt investment paying 4.5% would have a taxable-equivalent yield for you of 6.0% (4.5% /[1 - 0.25%] = 6.0%). TOTAL RETURN The percentage that an investor would have earned or lost on an investment in the fund assuming dividends and distributions were reinvested. WEIGHTED AVERAGE For mutual funds, an average that gives the same weight to each security as the security represents in the fund's portfolio. WEIGHTED AVERAGE MATURITY For mutual funds, the maturity of all the bonds in its portfolio, calculated as a weighted average. As a rule, the longer a fund's weighted average maturity, the greater its interest rate risk. YIELD The income paid out by an investment, expressed as a percentage of the investment's market value. YIELD TO MATURITY The annualized rate of return a bond-holder could expect if the bond were held to maturity. In addition to interest payments, yield to maturity also factors in any difference between a bond's current price and its principal amount, or face value. 60 CONTACT SCHWAB SchwabFunds(R) offers you a complete family of mutual funds, each one based on a clearly defined investment approach and using disciplined management strategies. Actively managed funds include multi-manager stock funds, a fund that uses long-short strategies, and a range of taxable and tax-free bond funds. Index funds include large-cap, small-cap and international stock funds. The list at right shows all currently available SchwabFunds. Whether you're an experienced investor or just starting out, SchwabFunds can help you achieve your financial goals. Please call 1-800-435-4000 for a free prospectus and brochure for any SchwabFund. Please read the prospectus carefully before you invest. This report must be preceded or accompanied by a current prospectus. METHODS FOR PLACING ORDERS The following information outlines how Schwab investors can place orders. If you are investing through a third-party investment provider, methods for placing orders may be different. INTERNET 1 www.schwab.com SCHWAB BY PHONE(TM) 2 Use our automated voice service or speak to a representative. Call 1-800-435-4000, day or night (for TDD service, call 1-800-345-2550). TELEBROKER(R) Automated touch-tone phone service at 1-800-272-4922. MAIL Write to SchwabFunds at: P.O. Box 3812 Englewood, CO 80155-3812 When selling or exchanging shares, be sure to include the signatures of at least one of the persons whose name is on the account. 1 Shares of Sweep Investments(TM) may not be purchased directly over the Internet. 2 Orders placed in person or through a telephone representative may be subject to a service fee payable to Schwab. THE SCHWABFUNDS FAMILY(R) STOCK FUNDS Schwab S&P 500 Fund Schwab 1000 Fund(R) Schwab Small-Cap Index Fund(R) Schwab Total Stock Market Index Fund(R) Schwab International Index Fund(R) Schwab Core Equity Fund(TM) Schwab Small-Cap Equity Fund(TM) Schwab Hedged Equity Fund(TM) Schwab Dividend Equity Fund(TM) Schwab Focus Funds Communications Focus Fund Financial Services Focus Fund Health Care Focus Fund Technology Focus Fund Schwab MarketMasters Funds(TM) Schwab U.S. MarketMasters Fund(TM) Schwab Small-Cap MarketMasters Fund(TM) Schwab International MarketMasters Fund(TM) Schwab Balanced MarketMasters Fund(TM) ASSET ALLOCATION FUNDS Schwab MarketTrack Portfolios(R) Schwab All Equity Portfolio Schwab Growth Portfolio Schwab Balanced Portfolio Schwab Conservative Portfolio BOND FUNDS Schwab YieldPlus Fund(R) Schwab Short-Term Bond Market Fund(TM) Schwab Total Bond Market Fund(TM) Schwab GNMA Fund(TM) Schwab Short/Intermediate Tax-Free Bond Fund(TM) Schwab Long-Term Tax-Free Bond Fund(TM) Schwab California Short/Intermediate Tax-Free Bond Fund(TM) Schwab California Long-Term Tax-Free Bond Fund(TM) SCHWAB MONEY FUNDS Schwab offers an array of money market funds that seek high current income consistent with safety and liquidity. 3 Choose from taxable or tax-advantaged alternatives. Many can be linked to your Schwab account to "sweep" cash balances automatically when you're between investments. Or, for your larger cash reserves, choose one of our Value Advantage Investments(R). 3 Investments in money market funds are neither insured nor guaranteed by the Federal Deposit Insurance Corporation (FDIC) or any other government agency and, although they seek to preserve the value of your investment at $1 per share, it is possible to lose money. [CHARLES SCHWAB LOGO] INVESTMENT ADVISER Charles Schwab Investment Management, Inc. 101 Montgomery Street, San Francisco, CA 94104 DISTRIBUTOR SchwabFunds(R) P.O. Box 3812, Englewood, CO 80155-3812 This report is not authorized for distribution to prospective investors unless preceded or accompanied by a current prospectus. (C)2003 Charles Schwab & Co., Inc. All rights reserved. Member SIPC/NYSE. Printed on recycled paper. REG13656-05 SCHWAB BOND FUNDS ANNUAL REPORT August 31, 2003 Schwab YieldPlus Fund(R) Schwab Short-Term Bond Market Fund(TM) Schwab Total Bond Market Fund(TM) Schwab GNMA Fund(TM) [CHARLES SCHWAB LOGO] Four smart, cost-effective ways investors can use bonds in an asset allocation strategy. In this report Management's Discussion ............................................... 2 The president of SchwabFunds(R) and the funds' managers take a look at the factors that shaped fund performance during the report period. Performance at a Glance ............ 5 Schwab YieldPlus Fund(R) Investor Shares: SWYPX Select Shares(R): SWYSX The fund seeks high current income with minimal changes in share price. Performance and Fund Facts ......... 7 Financial Statements ............... 17 Schwab Short-Term Bond Market Fund(TM) Ticker Symbol: SWBDX The fund seeks current income by tracking the performance of the Lehman Brothers Mutual Fund Short (1-5 Year) U.S. Government/Credit Index. Performance and Fund Facts ......... 10 Financial Statements ............... 30 Schwab Total Bond Market Fund(TM) Ticker symbol: SWLBX The fund seeks current income by tracking the performance of the Lehman Brothers U.S. Aggregate Bond Index. Performance and Fund Facts ......... 12 Financial Statements ............... 39 Schwab GNMA Fund(TM) Investor Shares: SWGIX Select Shares(R): SWGSX The fund seeks high current income consistent with preservation of capital. Performance and Fund Facts ......... 14 Financial Statements ............... 51 Financial notes ....................................................... 58 Fund Trustees ......................................................... 63 Glossary .............................................................. 66 Fund manager: Charles Schwab Investment Management, Inc. Distributor and transfer agent: Charles Schwab & Co., Inc. (Schwab). [PHOTO OF CHARLES R. SCHWAB] Charles R. Schwab Chairman FROM THE CHAIRMAN With the stock market showing signs of life, and many expecting bond prices to decline, many investors are wondering whether this is a good time to own bonds. As someone who has faith in the long-term potential of stocks, I certainly understand where this question is coming from. However, the truth is that owning stocks and owning bonds is not an either/or proposition. A well-balanced portfolio contains both. Perhaps the most important reason to own bonds is to help protect you against the things you can't predict. In 2000, how many U.S. investors expected a three-year stock market downturn? I doubt that in 1990 many people in Japan expected a 12-year downturn, either. Yet both happened. Similarly, we were all caught off-guard by the terrible events of 9/11. In the wake of this tragedy, investors clamored for Treasury securities, bidding up their prices while stocks stumbled. Can you lose money investing in bond funds? Absolutely. When bond yields increase, prices decline. But the point of owning a diversified portfolio is that it is nearly impossible to successfully time the market. That's why at Schwab we have long advocated a disciplined approach towards asset allocation. If you have any questions about the allocation of your portfolio, or whether owning bond funds makes sense in your portfolio, I hope you will feel free to draw on the expertise of our professionals. That's why they're there: to help you find answers. Thank you for your continued trust in SchwabFunds(R). Sincerely, /s/ Charles Schwab MANAGEMENT'S DISCUSSION for the year ended August 31, 2003 [PHOTO OF RANDALL W. MERK] RANDALL W. MERK is President and CEO of Charles Schwab Investment Management, Inc. and is president of each of the funds covered in this report. He joined the firm in August of 2002, bringing with him 24 years of experience in the asset management industry. Dear Shareholder: The second half of the report period saw what could be a turning point in the bond markets. After a long decline to historically low levels, interest rates rebounded sharply in June of 2003, which meant lower share prices for many bond funds. On the next few pages we discuss some of the factors that, in our view, contributed to this trend, and what it meant for the funds covered in this report. With their regular income and historically lower volatility (compared with stocks), bonds do have the potential to help cushion a portfolio against the effects of stock market volatility. It appears unlikely that bonds will continue to post the significant total returns we've seen in recent years. However, the basic reasons for keeping bond investments in a portfolio -- income and lower volatility -- are always worth remembering. I believe these reasons are as valid today as they have been in the past. Before closing, I want to say a few words about an issue that has been in the headlines recently: mutual fund integrity. Along with management expertise and customer service, integrity is a key element of what we have to offer. All of us at SchwabFunds(R) strive to maintain high standards in our operations. Nevertheless, we continue to scrutinize our operations. We believe that treating all shareholders equally is a basic principle of a mutual fund, and it's a principle we at SchwabFunds take very seriously. Nothing means more to our business than the trust of our shareholders. We don't take that trust for granted. I want to thank you for investing with us, and I hope you'll let us know if there is anything else we can do to help you reach your financial goals. Sincerely, /s/ Randall W. Merk Past performance does not indicate future results. 2 Schwab Bond Funds [PHOTO OF KIM DAIFOTIS] KIM DAIFOTIS, CFA, a vice president and senior portfolio manager of the investment adviser, has overall responsibility for management of the funds. He joined the firm in 1997, and has worked in fixed-income asset management and research since 1982. [PHOTO OF MICHAEL SHEARER] MICHAEL SHEARER, PhD, a vice-president and senior portfolio manager, has day-to-day responsibility for management of the funds. Prior to joining the firm in February 2003, he worked for more than 10 years in the financial industry as a portfolio manager and quantitative analyst/strategist. THE ECONOMY AND THE MARKET ECONOMIC UNCERTAINTY GRADUALLY GAVE WAY TO MORE ENCOURAGING ECONOMIC SIGNS TOWARD THE END OF THE REPORT PERIOD. The beginning of the report period saw the U.S. economy behaving more or less as it had since late 2001, with no clear signs of either significant growth or contraction. In March 2003, not long after the conclusion of major hostilities in Iraq, stock prices began to rise, and by the end of the report period, it appeared that the economy was finally beginning to gather strength. THE FEDERAL RESERVE (THE FED) CUT SHORT-TERM INTEREST RATES TWICE DURING THE PERIOD. The two cuts -- 0.50% in November 2002 and 0.25% in June 2003 -- brought the Fed funds target rate to an historic low of 1.00%. The cuts reflected the Fed's concerns that an economic recovery was not materializing as rapidly as one might have hoped and deflation remained a risk. THE BOND MARKET REACTED DRAMATICALLY TO THE FED'S JUNE 2003 RATE CUT. Yields of benchmark 10-year Treasury bonds, which had been drifting downward since before the beginning of the report period, suddenly skyrocketed (chart, page 4). In keeping with their inverse relationship to yields, market prices of these bonds began the period drifting upward, then plummeted after the June cut. YIELD CURVE: Average Yields of AAA Securities of Seven Maturities [LINE GRAPH]
Maturity As of 9/1/2002 As of 8/31/2003 3 Mos. 1.67 0.97 6 Mos. 1.66 1.04 2 Yrs. 2.13 1.97 3 Yrs. 2.48 2.49 5 Yrs. 3.22 3.46 10 Yrs. 4.14 4.46 30 Yrs. 4.93 5.22
THE YIELD CURVE GREW STEEPER DURING THE REPORT PERIOD AS RATES AT THE SHORT-MATURITY END OF THE SCALE CONTINUED TO FALL, PUSHED DOWN BY THE FEDERAL RESERVE'S TWO RATE CUTS, WHILE RATES FOR LONGER MATURITY BONDS ROSE. This chart shows where yields stood at the beginning of the report period and at the end of the period. For debt securities of comparable quality, those with longer maturities typically pay higher interest rates, in part because they are presumed to carry higher risk. Data source: Bloomberg L.P. Schwab Bond Funds 3 MANAGEMENT'S DISCUSSION continued Rising interest rates and growing signs of economic improvement contributed to a decline in bond prices toward the end of the report period. Why did this particular rate cut -- which, after all, was the 13th made by the Fed since January of 2001 -- have such a significant effect on bond markets? We believe the answer is twofold. First, the bond market seemed to be expecting a cut of half a percent. By lowering the Fed funds rate by only a quarter of a percent, the Fed was seen as signaling that its outlook for the economy was positive. Second, prior to the cut, many investors appeared to believe the Fed was prepared to resort to unconventional easing methods, since short-term rates could not be cut much further. In particular, the Fed had indicated that it might begin to purchase longer-term Treasury bonds, which would raise their value and therefore lower yields. When, at the time of the June 2003 rate cut, the Fed also stated that it was no longer considering unconventional easing, the price of longer Treasuries, which had risen in anticipation of Fed purchases, fell back again. THE YIELD SPREADS BETWEEN TREASURIES AND ALL GRADES OF CORPORATES NARROWED DRAMATICALLY. From early within the report period almost until the end, the difference between yields offered by corporate bonds and those offered by benchmark 10-year Treasury bonds narrowed. It was the fastest and largest decline in at least 14 years. It is our belief that this decline reflected a growing perception on the part of bond investors that most corporations that had survived the difficulties of the past few years were not likely to suffer significant financial YIELDS OF U.S. TREASURY SECURITIES: Effective Yields of Five- and Ten-Year Treasuries YIELDS REACHED THEIR LOWEST LEVELS IN MANY YEARS. THE GRAPH ILLUSTRATES THE JUMP IN RATES FOLLOWING THE FED'S ACTIONS IN JUNE 2003. Yields, or interest rates, represent the cost of borrowing money. Rapid economic growth, waning investor interest in bonds, an increase in the issuance of bonds, or the expectation of higher inflation can drive rates up, while the opposite conditions can push rates down. Data source: Bloomberg L.P. [LINE GRAPH]
5-Year 10-Year 31-Aug-93 4.79 5.45 30-Sep-93 4.77 5.38 31-Oct-93 4.85 5.43 30-Nov-93 5.16 5.82 31-Dec-93 5.21 5.79 31-Jan-94 5.02 5.64 28-Feb-94 5.57 6.13 31-Mar-94 6.23 6.74 30-Apr-94 6.64 7.04 31-May-94 6.76 7.15 30-Jun-94 6.95 7.32 31-Jul-94 6.73 7.11 31-Aug-94 6.80 7.17 30-Sep-94 7.28 7.60 31-Oct-94 7.49 7.81 30-Nov-94 7.79 7.91 31-Dec-94 7.83 7.82 31-Jan-95 7.51 7.58 28-Feb-95 7.04 7.20 31-Mar-95 7.07 7.20 30-Apr-95 6.88 7.06 31-May-95 6.05 6.28 30-Jun-95 5.97 6.20 31-Jul-95 6.16 6.43 31-Aug-95 6.07 6.28 30-Sep-95 6.02 6.18 31-Oct-95 5.81 6.02 30-Nov-95 5.52 5.74 31-Dec-95 5.38 5.57 31-Jan-96 5.24 5.58 29-Feb-96 5.73 6.10 31-Mar-96 6.09 6.33 30-Apr-96 6.41 6.67 31-May-96 6.63 6.85 30-Jun-96 6.46 6.71 31-Jul-96 6.57 6.79 31-Aug-96 6.73 6.94 30-Sep-96 6.46 6.70 31-Oct-96 6.07 6.34 30-Nov-96 5.83 6.04 31-Dec-96 6.21 6.42 31-Jan-97 6.25 6.49 28-Feb-97 6.39 6.55 31-Mar-97 6.75 6.90 30-Apr-97 6.57 6.72 31-May-97 6.50 6.66 30-Jun-97 6.38 6.50 31-Jul-97 5.90 6.01 31-Aug-97 6.22 6.34 30-Sep-97 5.99 6.10 31-Oct-97 5.71 5.83 30-Nov-97 5.84 5.87 31-Dec-97 5.71 5.74 31-Jan-98 5.38 5.51 28-Feb-98 5.59 5.62 31-Mar-98 5.62 5.65 30-Apr-98 5.64 5.67 31-May-98 5.55 5.55 30-Jun-98 5.47 5.45 31-Jul-98 5.50 5.49 31-Aug-98 4.80 4.98 30-Sep-98 4.22 4.42 31-Oct-98 4.23 4.61 30-Nov-98 4.48 4.71 31-Dec-98 4.54 4.65 31-Jan-99 4.55 4.65 28-Feb-99 5.22 5.29 31-Mar-99 5.10 5.24 30-Apr-99 5.21 5.35 31-May-99 5.58 5.62 30-Jun-99 5.65 5.78 31-Jul-99 5.79 5.90 31-Aug-99 5.87 5.97 30-Sep-99 5.75 5.88 31-Oct-99 5.96 6.02 30-Nov-99 6.11 6.19 31-Dec-99 6.34 6.44 31-Jan-00 6.68 6.67 29-Feb-00 6.60 6.41 31-Mar-00 6.31 6.00 30-Apr-00 6.54 6.21 31-May-00 6.52 6.27 30-Jun-00 6.19 6.03 31-Jul-00 6.15 6.03 31-Aug-00 5.97 5.73 30-Sep-00 5.85 5.80 31-Oct-00 5.81 5.75 30-Nov-00 5.43 5.47 31-Dec-00 4.98 5.11 31-Jan-01 4.77 5.11 28-Feb-01 4.66 4.90 31-Mar-01 4.56 4.92 30-Apr-01 4.89 5.34 31-May-01 4.91 5.38 30-Jun-01 4.95 5.41 31-Jul-01 4.53 5.05 31-Aug-01 4.38 4.83 30-Sep-01 3.80 4.59 31-Oct-01 3.48 4.23 30-Nov-01 4.06 4.75 31-Dec-01 4.30 5.05 31-Jan-02 4.37 5.04 28-Feb-02 4.19 4.88 31-Mar-02 4.81 5.40 30-Apr-02 4.41 5.09 31-May-02 4.36 5.05 30-Jun-02 4.03 4.80 31-Jul-02 3.45 4.46 31-Aug-02 3.22 4.14 30-Sep-02 2.56 3.60 31-Oct-02 2.73 3.89 30-Nov-02 3.27 4.21 31-Dec-02 2.74 3.82 31-Jan-03 2.93 3.96 28-Feb-03 2.66 3.69 31-Mar-03 2.71 3.80 30-Apr-03 2.75 3.84 31-May-03 2.29 3.37 30-Jun-03 2.41 3.52 31-Jul-03 3.22 4.41 31-Aug-03 3.47 4.47
4 Schwab Bond Funds PERFORMANCE AT A GLANCE Total return for the 12 months ended 8/31/03 SCHWAB YIELDPLUS FUND(R) Investor Shares .................... 2.95% Select Shares(R) ................... 3.10% Index .............................. 1.85% Category Average 1 ................. 2.08% Performance Details ............ pages 7-8 SCHWAB SHORT-TERM BOND MARKET FUND(TM) ............... 4.16% Index .............................. 4.34% Performance Details ............ page 10 SCHWAB TOTAL BOND MARKET FUND(TM) .................... 4.37% Index .............................. 4.35% Performance Details ............ page 12 SCHWAB GNMA FUND(TM) Since fund inception: 3/3/03 Investor Shares .................... -1.11% Select Shares ...................... -1.11% Index .............................. -0.40% Category Average 2 ................. n/a Performance Details ............ pages 14-15
setbacks going forward. The difference in risk between Treasuries (which are essentially considered risk-free) and corporate bonds was therefore perceived to be substantially less than it had been for the past several years. MOST SECTORS OF THE BOND MARKET POSTED POSITIVE TOTAL RETURNS FOR THE REPORT PERIOD, BUT LAGGED WELL BEHIND THE ROBUST RETURNS POSTED BY MOST TYPES OF STOCKS. In general, corporate bonds were the stand-out story in terms of bond total return during the period. Muni bonds also performed well. THE FUNDS As the figures at left show, during the report period both SCHWAB SHORT-TERM BOND MARKET FUND and SCHWAB TOTAL BOND MARKET FUND posted net gains and closely tracked their respective benchmark indices. During the first half of the report period, we took steps to increase diversification. Both funds now hold more issues in their portfolios and have smaller positions in most issues. We also have continued to be slightly overweighted in bonds from industrial issuers and slightly underweighted in bonds from utilities issuers, compared to the benchmarks. We used this strategy throughout most of the report period. During the report period and previously, we maintained substantial holdings in corporate bonds, believing these bonds to be undervalued. The resurgence of this category during the period made a significant positive contribution to the performance of the non-municipal funds. Because of the steepening yield curve (chart, page 3), which was largely a function of increasing yields (and decreasing prices) for intermediate-term bonds, price appreciation did not play a role in the total return for the period for the Schwab Short-Term Bond Market Fund or the Schwab Total Bond Market Fund. It was yield, rather than price appreciation, that was responsible for most of the funds' total return. All fund and index figures on this page assume dividends and distributions were reinvested. Index figures do not include trading and management costs, which would lower performance. Indices are unmanaged, and you cannot invest in them directly. Each fund's share price and principal values change, and when you sell your shares they may be worth more or less than what you paid for them. Past performance does not indicate future results. Expenses may be partially absorbed by fund management. Without these reductions, the fund's total return would have been lower. Performance does not reflect the deduction of taxes that a shareholder would pay on fund distributions or on the redemption of fund shares. 1 Source for category information: Morningstar, Inc. As of 8/31/03, there were 78 funds in the Ultrashort Bond Fund category for the one-year period and 65 for the three-year period. 2 Source for category information: Morningstar, Inc. As of 8/31/03, there were 358 funds in the Intermediate Government Fund category that had track records of at least six months. Schwab Bond Funds 5 As of the end of the report period, all funds in this report were positioned to take advantage of a modest economic recovery and to weather a degree of volatility. SCHWAB YIELDPLUS FUND(R) had positive returns, and substantially outperformed its benchmark. Rising prices at the short end of the yield curve were naturally a significant part of the story for this fund. The fund invested heavily in corporate bonds and thus benefited from their improved valuations. We also increased the fund's weightings of asset-backed securities, particularly during the second half of the period, because our analysis showed that they were attractively valued relative to other types of bonds. With mortgage rates hitting historic lows during June 2003, then rebounding, the period since the inception of SCHWAB GNMA FUND(TM) on March 3, 2003 was a volatile one for the fund. The fund ended the report period with a negative total return, most of it due to the about-face of mortgage security prices that occurred right after the Fed's rate cut in June of 2003. Yield spreads between GNMA securities and Treasuries narrowed over most of the period, but then widened again, which hurt fund performance. The views expressed here are those of fund management as of the report date and may change subsequent to that date. YIELDS OF U.S. TREASURY SECURITIES: Effective Yields of Three-Month and Two-Year Treasuries SHORT-TERM YIELDS REACHED LEVELS NOT SEEN IN OVER 40 YEARS, AS INVESTORS SOUGHT A SAFE HAVEN AND THE FEDERAL RESERVE CUT SHORT-TERM RATES TO 1.00%. Yields, or interest rates, represent the cost of borrowing money. Rapid economic growth, waning investor interest in bonds, an increase in the issuance of bonds, or the expectation of higher inflation can drive rates up, while the opposite conditions can push rates down. Data source: Bloomberg L.P. [LINE GRAPH] 3-Month 2-Year 31-Aug-93 3.070 3.859 30-Sep-93 2.977 3.875 31-Oct-93 3.100 3.999 30-Nov-93 3.204 4.217 31-Dec-93 3.059 4.234 31-Jan-94 3.027 4.124 28-Feb-94 3.429 4.658 31-Mar-94 3.553 5.192 30-Apr-94 3.945 5.736 31-May-94 4.244 5.993 30-Jun-94 4.215 6.177 31-Jul-94 4.359 5.991 31-Aug-94 4.661 6.149 30-Sep-94 4.773 6.585 31-Oct-94 5.146 6.824 30-Nov-94 5.712 7.395 31-Dec-94 5.687 7.699 31-Jan-95 5.995 7.235 28-Feb-95 5.938 6.764 31-Mar-95 5.870 6.778 30-Apr-95 5.860 6.585 31-May-95 5.801 5.839 30-Jun-95 5.568 5.793 31-Jul-95 5.577 5.867 31-Aug-95 5.445 5.849 30-Sep-95 5.411 5.851 31-Oct-95 5.509 5.608 30-Nov-95 5.487 5.342 31-Dec-95 5.077 5.150 31-Jan-96 5.049 4.925 29-Feb-96 5.028 5.426 31-Mar-96 5.140 5.760 30-Apr-96 5.154 6.051 31-May-96 5.182 6.236 30-Jun-96 5.157 6.107 31-Jul-96 5.306 6.216 31-Aug-96 5.281 6.338 30-Sep-96 5.032 6.102 31-Oct-96 5.149 5.740 30-Nov-96 5.125 5.583 31-Dec-96 5.171 5.867 31-Jan-97 5.147 5.909 28-Feb-97 5.220 6.085 31-Mar-97 5.322 6.419 30-Apr-97 5.233 6.273 31-May-97 4.939 6.200 30-Jun-97 5.167 6.068 31-Jul-97 5.233 5.728 31-Aug-97 5.220 5.955 30-Sep-97 5.100 5.779 31-Oct-97 5.199 5.612 30-Nov-97 5.198 5.738 31-Dec-97 5.347 5.646 31-Jan-98 5.178 5.304 28-Feb-98 5.313 5.537 31-Mar-98 5.120 5.563 30-Apr-98 4.972 5.570 31-May-98 5.012 5.521 30-Jun-98 5.078 5.471 31-Jul-98 5.075 5.479 31-Aug-98 4.825 4.781 30-Sep-98 4.361 4.273 31-Oct-98 4.318 4.120 30-Nov-98 4.483 4.505 31-Dec-98 4.452 4.529 31-Jan-99 4.452 4.570 28-Feb-99 4.669 5.137 31-Mar-99 4.475 4.987 30-Apr-99 4.535 5.054 31-May-99 4.627 5.413 30-Jun-99 4.779 5.511 31-Jul-99 4.745 5.622 31-Aug-99 4.966 5.722 30-Sep-99 4.851 5.595 31-Oct-99 5.088 5.787 30-Nov-99 5.300 6.014 31-Dec-99 5.328 6.214 31-Jan-00 5.692 6.591 29-Feb-00 5.781 6.521 31-Mar-00 5.871 6.478 30-Apr-00 5.829 6.676 31-May-00 5.619 6.672 30-Jun-00 5.854 6.362 31-Jul-00 6.219 6.288 31-Aug-00 6.306 6.163 30-Sep-00 6.209 5.978 31-Oct-00 6.389 5.914 30-Nov-00 6.202 5.613 31-Dec-00 5.895 5.096 31-Jan-01 4.994 4.572 28-Feb-01 4.859 4.390 31-Mar-01 4.286 4.180 30-Apr-01 3.883 4.276 31-May-01 3.616 4.188 30-Jun-01 3.656 4.242 31-Jul-01 3.524 3.797 31-Aug-01 3.367 3.629 30-Sep-01 2.371 2.851 31-Oct-01 2.012 2.423 30-Nov-01 1.726 2.841 31-Dec-01 1.725 3.026 31-Jan-02 1.757 3.159 28-Feb-02 1.757 3.061 31-Mar-02 1.777 3.711 30-Apr-02 1.767 3.224 31-May-02 1.726 3.197 30-Jun-02 1.685 2.815 31-Jul-02 1.695 2.238 31-Aug-02 1.674 2.129 30-Sep-02 1.552 1.687 31-Oct-02 1.450 1.674 30-Nov-02 1.215 2.060 31-Dec-02 1.195 1.602 31-Jan-03 1.174 1.693 28-Feb-03 1.195 1.512 31-Mar-03 1.113 1.486 30-Apr-03 1.113 1.486 31-May-03 1.103 1.326 30-Jun-03 0.851 1.304 31-Jul-03 0.943 1.744 31-Aug-03 0.973 1.972
6 Schwab Bond Funds SCHWAB YIELDPLUS FUND(R) INVESTOR SHARES PERFORMANCE as of 8/31/03 AVERAGE ANNUAL TOTAL RETURNS 1, 2 This bar chart compares performance of the fund's Investor Shares with the Lehman Brothers U.S. Short Treasury: 9-12 Months Index and the Morningstar Ultrashort Bond Fund category. [BAR CHART]
LEHMAN BROTHERS U.S. SHORT TREASURY: INVESTOR 9-12 MONTHS CATEGORY SHARES INDEX AVERAGE 1 YEAR 2.95% 1.85% 2.08% 3 YEARS 4.03% 4.35% 4.09% SINCE INCEPTION (10/1/99) 4.48% 4.58% n/a
PERFORMANCE OF A HYPOTHETICAL $10,000 INVESTMENT 1 This graph shows performance since inception of a hypothetical $10,000 investment in the fund's Investor Shares compared with a similar investment in the Lehman Brothers U.S. Short Treasury: 9 - 12 Months Index. $11,872 INVESTOR SHARES $11,921 LEHMAN BROTHERS U.S. SHORT TREASURY: 9-12 MONTHS INDEX [LINE GRAPH]
Lehman Brothers U.S. Short Treasury: Investor 9-12 Months Shares Index 01-Oct-99 $10,000 $10,000 31-Oct-99 $10,050 $10,034 30-Nov-99 $10,092 $10,060 31-Dec-99 $10,148 $10,088 31-Jan-00 $10,184 $10,124 29-Feb-00 $10,248 $10,175 31-Mar-00 $10,295 $10,226 30-Apr-00 $10,270 $10,276 31-May-00 $10,320 $10,321 30-Jun-00 $10,420 $10,401 31-Jul-00 $10,492 $10,457 31-Aug-00 $10,544 $10,490 30-Sep-00 $10,626 $10,552 31-Oct-00 $10,680 $10,601 30-Nov-00 $10,688 $10,671 31-Dec-00 $10,732 $10,771 31-Jan-01 $10,827 $10,890 28-Feb-01 $10,903 $10,937 31-Mar-01 $10,973 $11,012 30-Apr-01 $11,039 $11,063 31-May-01 $11,114 $11,126 30-Jun-01 $11,152 $11,159 31-Jul-01 $11,247 $11,230 31-Aug-01 $11,317 $11,262 30-Sep-01 $11,374 $11,366 31-Oct-01 $11,409 $11,433 30-Nov-01 $11,361 $11,452 31-Dec-01 $11,359 $11,480 31-Jan-02 $11,413 $11,491 28-Feb-02 $11,404 $11,517 31-Mar-02 $11,433 $11,500 30-Apr-02 $11,462 $11,570 31-May-02 $11,503 $11,595 30-Jun-02 $11,520 $11,650 31-Jul-02 $11,454 $11,691 31-Aug-02 $11,531 $11,705 30-Sep-02 $11,534 $11,751 31-Oct-02 $11,573 $11,774 30-Nov-02 $11,623 $11,778 31-Dec-02 $11,661 $11,820 31-Jan-03 $11,709 $11,830 28-Feb-03 $11,752 $11,845 31-Mar-03 $11,761 $11,865 30-Apr-03 $11,817 $11,877 31-May-03 $11,835 $11,890 30-Jun-03 $11,852 $11,914 31-Jul-03 $11,844 $11,909 31-Aug-03 $11,872 $11,921
All figures on this page assume dividends and distributions were reinvested. Index figures do not include trading and management costs, which would lower performance. Indices are unmanaged, and you cannot invest in them directly. The fund's share price and principal values change, and when you sell your shares they may be worth more or less than what you paid for them. Past performance does not indicate future results. 1 Fund expenses have been partially absorbed by fund management. Without these reductions, the fund's total return would have been lower. Performance does not reflect the deduction of taxes that a shareholder would pay on fund distributions or on the redemption of fund shares. 2 Source for category information: Morningstar, Inc. As of 8/31/03, there were 78 funds in the Ultrashort Bond Fund category for the one-year period and 65 for the three-year period. Schwab Bond Funds 7 SCHWAB YIELDPLUS FUND(R) SELECT SHARES(R) PERFORMANCE as of 8/31/03 AVERAGE ANNUAL TOTAL RETURNS 1, 2 This bar chart compares performance of the fund's Select Shares with the Lehman Brothers U.S. Short Treasury: 9-12 Months Index and the Morningstar Ultrashort Bond Fund category. [BAR CHART]
LEHMAN BROTHERS U.S. SHORT TREASURY: SELECT 9-12 MONTHS CATEGORY SHARES INDEX AVERAGE 1 YEAR 3.10% 1.85% 2.08% 3 YEARS 4.19% 4.35% 4.09% SINCE INCEPTION (10/1/99) 4.63% 4.58% n/a
PERFORMANCE OF A HYPOTHETICAL $50,000 INVESTMENT 1 This graph shows performance since inception of a hypothetical $50,000 investment (the minimum investment for this share class) in the fund's Select Shares, compared with a similar investment in the Lehman Brothers U.S. Short Treasury: 9-12 Months Index. $59,710 SELECT SHARES $59,605 LEHMAN BROTHERS U.S. SHORT TREASURY: 9-12 MONTHS INDEX [LINE GRAPH]
Lehman Brothers U.S. Short Treasury: Select 9-12 Months Shares Index 01-Oct-99 $50,000 $50,000 31-Oct-99 $50,260 $50,170 30-Nov-99 $50,470 $50,300 31-Dec-99 $50,755 $50,441 31-Jan-00 $50,945 $50,618 29-Feb-00 $51,270 $50,876 31-Mar-00 $51,515 $51,130 30-Apr-00 $51,395 $51,381 31-May-00 $51,650 $51,607 30-Jun-00 $52,105 $52,004 31-Jul-00 $52,475 $52,285 31-Aug-00 $52,790 $52,452 30-Sep-00 $53,210 $52,762 31-Oct-00 $53,485 $53,005 30-Nov-00 $53,535 $53,354 31-Dec-00 $53,760 $53,856 31-Jan-01 $54,240 $54,448 28-Feb-01 $54,575 $54,683 31-Mar-01 $54,985 $55,060 30-Apr-01 $55,325 $55,313 31-May-01 $55,710 $55,628 30-Jun-01 $55,850 $55,795 31-Jul-01 $56,390 $56,152 31-Aug-01 $56,750 $56,310 30-Sep-01 $56,985 $56,828 31-Oct-01 $57,225 $57,163 30-Nov-01 $56,990 $57,260 31-Dec-01 $56,985 $57,398 31-Jan-02 $57,205 $57,455 28-Feb-02 $57,225 $57,587 31-Mar-02 $57,380 $57,501 30-Apr-02 $57,530 $57,851 31-May-02 $57,745 $57,973 30-Jun-02 $57,835 $58,251 31-Jul-02 $57,515 $58,455 31-Aug-02 $57,905 $58,525 30-Sep-02 $57,930 $58,754 31-Oct-02 $58,135 $58,871 30-Nov-02 $58,395 $58,889 31-Dec-02 $58,585 $59,101 31-Jan-03 $58,835 $59,148 28-Feb-03 $59,060 $59,225 31-Mar-03 $59,115 $59,326 30-Apr-03 $59,400 $59,385 31-May-03 $59,500 $59,450 30-Jun-03 $59,595 $59,569 31-Jul-03 $59,560 $59,545 31-Aug-03 $59,710 $59,605
All figures on this page assume dividends and distributions were reinvested. Index figures do not include trading and management costs, which would lower performance. Indices are unmanaged, and you cannot invest in them directly. The fund's share price and principal values change, and when you sell your shares they may be worth more or less than what you paid for them. Past performance does not indicate future results. 1 Fund expenses have been partially absorbed by fund management. Without these reductions, the fund's total return would have been lower. Performance does not reflect the deduction of taxes that a shareholder would pay on fund distributions or on the redemption of fund shares. 2 Source for category information: Morningstar, Inc. As of 8/31/03, there were 78 funds in the Ultrashort Bond Fund category for the one-year period and 65 for the three-year period. 8 Schwab Bond Funds SCHWAB YIELDPLUS FUND(R) FUND FACTS as of 8/31/03 STATISTICS NUMBER OF HOLDINGS 250 - --------------------------------------------------- FUND CATEGORY 1 Interest Rate Sensitivity Short Credit Quality Medium - --------------------------------------------------- 30-DAY SEC YIELD 2 Investor Shares 2.44% Select Shares(R) 2.59% - --------------------------------------------------- 12-MONTH YIELD 2 Investor Shares 3.46% Select Shares 3.60% - --------------------------------------------------- WEIGHTED AVERAGE MATURITY 1.1 yrs - --------------------------------------------------- WEIGHTED AVERAGE DURATION 0.3 yrs - --------------------------------------------------- WEIGHTED AVERAGE CREDIT QUALITY A - --------------------------------------------------- PORTFOLIO TURNOVER RATE 109% - ---------------------------------------------------
PORTFOLIO COMPOSITION These charts show three different views of the fund's portfolio: by type of security, credit quality of the security and remaining maturity. All figures are shown as a percentage of the fund's investments. Holdings may have changed since the report date. BY SECURITY TYPE [PIE CHART] 47.4% CORPORATE BONDS 45.0% COLLATERIZED MORTGAGE OBLIGATIONS & ASSET-BACKED OBLIGATIONS 4.3% COMMERCIAL PAPER & OTHER CORPORATE OBLIGATIONS 2.3% PREFERRED STOCK 0.8% MUNICIPAL BONDS 0.2% U.S. GOVERNMENT SECURITIES
BY CREDIT QUALITY 3 [PIE CHART] 22.2% AAA 12.4% AA 25.1% A 28.3% BBB 6.3% BB 5.7% SHORT-TERM RATINGS OR UNRATED SECURITIES
BY MATURITY [PIE CHART] 56.6% 0-6 MONTHS 21.0% 7-18 MONTHS 12.5% 19-30 MONTHS 9.9% MORE THAN 30 MONTHS
1 Source: Morningstar, Inc. Interest rate sensitivity and credit quality are two main components of bond performance. The assessment reflects the fund's portfolio as of 8/31/03, which may have changed since then, and is not a precise indication of risk or performance -- past, present or future. Definitions of fund categories: Sensitivity (measured as duration): Short, up to 3.5 years; Medium, more than 3.5 years to less than six years; Long, six years or greater. Credit quality: High, AA or better; Medium, A or BBB; Low, BB or lower. 2 The yields do not reflect the deduction of taxes that a shareholder would pay on fund distributions or on the redemption of fund shares. 3 Based on ratings by Standard & Poor's and Moody's. Where ratings are different, the chart uses the higher rating. Schwab Bond Funds 9 SCHWAB SHORT-TERM BOND MARKET FUND(TM) PERFORMANCE as of 8/31/03 AVERAGE ANNUAL TOTAL RETURNS 1, 2 This bar chart compares performance of the fund with its benchmark index, with the Lehman Brothers Mutual Fund Short (1-5 Year) U.S. Government/Credit Index and with the Morningstar Short-Term Bond Fund category. [BAR CHART]
LEHMAN BROTHERS MUTUAL FUND SHORT (1-5 YEAR) U.S. GOVERNMENT/ CATEGORY FUND BENCHMARK CREDIT INDEX AVERAGE 1 YEAR 4.16% 4.34% 4.34% 2.85% 5 YEARS 5.66% 6.38% 6.38% 5.15% 10 YEARS 5.19% 6.07% 6.14% 5.21%
PERFORMANCE OF A HYPOTHETICAL $10,000 INVESTMENT 1 This graph shows performance over ten years of a hypothetical $10,000 investment in the fund, compared with a similar investment in two indices: the fund's benchmark index and the Lehman Brothers Mutual Fund Short (1-5 Year) U.S. Government/Credit Index. $16,600 FUND $18,063 BENCHMARK $18,156 LEHMAN BROTHERS MUTUAL FUND SHORT (1-5 YEAR) U.S. GOVERNMENT/CREDIT INDEX [LINE GRAPH]
Lehman Brothers Mutual Fund Short (1-5 Year) U.S. Government/ Fund Benchmark Credit Index 31-Aug-93 $10,000 $10,000 $10,000 30-Sep-93 $10,024 $10,032 $10,033 31-Oct-93 $10,058 $10,054 $10,059 30-Nov-93 $9,997 $10,056 $10,039 31-Dec-93 $10,042 $10,096 $10,080 31-Jan-94 $10,127 $10,159 $10,166 28-Feb-94 $9,964 $10,097 $10,064 31-Mar-94 $9,835 $10,045 $9,964 30-Apr-94 $9,750 $10,007 $9,906 31-May-94 $9,714 $10,021 $9,917 30-Jun-94 $9,727 $10,046 $9,933 31-Jul-94 $9,811 $10,137 $10,045 31-Aug-94 $9,835 $10,170 $10,078 30-Sep-94 $9,799 $10,147 $10,024 31-Oct-94 $9,805 $10,170 $10,036 30-Nov-94 $9,750 $10,127 $9,985 31-Dec-94 $9,761 $10,147 $10,007 31-Jan-95 $9,893 $10,287 $10,160 28-Feb-95 $10,025 $10,429 $10,336 31-Mar-95 $10,081 $10,489 $10,395 30-Apr-95 $10,165 $10,582 $10,504 31-May-95 $10,346 $10,767 $10,748 30-Jun-95 $10,387 $10,825 $10,811 31-Jul-95 $10,410 $10,870 $10,837 31-Aug-95 $10,485 $10,935 $10,914 30-Sep-95 $10,547 $10,988 $10,976 31-Oct-95 $10,634 $11,080 $11,082 30-Nov-95 $10,738 $11,174 $11,199 31-Dec-95 $10,826 $11,258 $11,297 31-Jan-96 $10,911 $11,353 $11,401 29-Feb-96 $10,841 $11,309 $11,323 31-Mar-96 $10,808 $11,301 $11,288 30-Apr-96 $10,806 $11,312 $11,279 31-May-96 $10,807 $11,337 $11,287 30-Jun-96 $10,892 $11,420 $11,386 31-Jul-96 $10,925 $11,465 $11,427 31-Aug-96 $10,945 $11,507 $11,456 30-Sep-96 $11,056 $11,612 $11,583 31-Oct-96 $11,194 $11,743 $11,745 30-Nov-96 $11,307 $11,830 $11,858 31-Dec-96 $11,259 $11,832 $11,827 31-Jan-97 $11,315 $11,889 $11,881 28-Feb-97 $11,331 $11,918 $11,905 31-Mar-97 $11,296 $11,908 $11,867 30-Apr-97 $11,399 $12,006 $11,982 31-May-97 $11,482 $12,090 $12,070 30-Jun-97 $11,571 $12,173 $12,165 31-Jul-97 $11,735 $12,306 $12,345 31-Aug-97 $11,707 $12,318 $12,328 30-Sep-97 $11,811 $12,412 $12,442 31-Oct-97 $11,918 $12,504 $12,554 30-Nov-97 $11,951 $12,535 $12,578 31-Dec-97 $12,034 $12,619 $12,670 31-Jan-98 $12,165 $12,740 $12,817 28-Feb-98 $12,144 $12,751 $12,817 31-Mar-98 $12,192 $12,796 $12,862 30-Apr-98 $12,246 $12,859 $12,925 31-May-98 $12,318 $12,937 $13,004 30-Jun-98 $12,385 $13,010 $13,077 31-Jul-98 $12,431 $13,064 $13,132 31-Aug-98 $12,601 $13,247 $13,315 30-Sep-98 $12,816 $13,495 $13,564 31-Oct-98 $12,860 $13,533 $13,602 30-Nov-98 $12,835 $13,522 $13,591 31-Dec-98 $12,868 $13,568 $13,638 31-Jan-99 $12,905 $13,636 $13,706 28-Feb-99 $12,785 $13,520 $13,589 31-Mar-99 $12,883 $13,621 $13,691 30-Apr-99 $12,896 $13,666 $13,736 31-May-99 $12,846 $13,612 $13,682 30-Jun-99 $12,872 $13,650 $13,720 31-Jul-99 $12,902 $13,663 $13,734 31-Aug-99 $12,932 $13,693 $13,764 30-Sep-99 $13,027 $13,803 $13,874 31-Oct-99 $13,048 $13,840 $13,911 30-Nov-99 $13,066 $13,864 $13,935 31-Dec-99 $13,066 $13,853 $13,924 31-Jan-00 $13,033 $13,825 $13,896 29-Feb-00 $13,135 $13,930 $14,002 31-Mar-00 $13,261 $14,033 $14,105 30-Apr-00 $13,256 $14,036 $14,108 31-May-00 $13,312 $14,078 $14,150 30-Jun-00 $13,491 $14,272 $14,346 31-Jul-00 $13,576 $14,374 $14,447 31-Aug-00 $13,704 $14,511 $14,585 30-Sep-00 $13,830 $14,646 $14,721 31-Oct-00 $13,892 $14,708 $14,784 30-Nov-00 $14,050 $14,869 $14,945 31-Dec-00 $14,259 $15,089 $15,166 31-Jan-01 $14,437 $15,318 $15,397 28-Feb-01 $14,532 $15,444 $15,523 31-Mar-01 $14,638 $15,570 $15,651 30-Apr-01 $14,662 $15,589 $15,669 31-May-01 $14,763 $15,681 $15,762 30-Jun-01 $14,830 $15,741 $15,822 31-Jul-01 $15,064 $15,996 $16,078 31-Aug-01 $15,189 $16,125 $16,208 30-Sep-01 $15,404 $16,390 $16,474 31-Oct-01 $15,532 $16,591 $16,677 30-Nov-01 $15,351 $16,490 $16,575 31-Dec-01 $15,300 $16,454 $16,538 31-Jan-02 $15,366 $16,515 $16,600 28-Feb-02 $15,409 $16,615 $16,701 31-Mar-02 $15,258 $16,448 $16,532 30-Apr-02 $15,415 $16,680 $16,765 31-May-02 $15,542 $16,811 $16,898 30-Jun-02 $15,619 $16,956 $17,043 31-Jul-02 $15,759 $17,159 $17,248 31-Aug-02 $15,929 $17,314 $17,403 30-Sep-02 $16,125 $17,541 $17,631 31-Oct-02 $16,131 $17,537 $17,627 30-Nov-02 $16,069 $17,514 $17,604 31-Dec-02 $16,309 $17,791 $17,883 31-Jan-03 $16,346 $17,802 $17,893 28-Feb-03 $16,499 $17,965 $18,058 31-Mar-03 $16,545 $17,998 $18,090 30-Apr-03 $16,636 $18,084 $18,177 31-May-03 $16,810 $18,290 $18,384 30-Jun-03 $16,837 $18,310 $18,405 31-Jul-03 $16,588 $18,054 $18,147 31-Aug-03 $16,600 $18,063 $18,156
All figures on this page assume dividends and distributions were reinvested. Index figures do not include trading and management costs, which would lower performance. Indices are unmanaged, and you cannot invest in them directly. The fund's share price and principal values change, and when you sell your shares they may be worth more or less than what you paid for them. Past performance does not indicate future results. 1 The fund changed its benchmark on 2/28/98, when it changed from being a government bond fund to its current strategy. Benchmark performance shown here is the Lehman Brothers Short (1 - 3 Year) U.S. Government Bond Index from fund inception through 2/28/98 and the Lehman Brothers Mutual Fund Short (1 - 5 Year) U.S. Government/Credit Index from 3/1/98 through the end of the report period. Benchmark performance for the one-year period is the Lehman Brothers Mutual Fund Short (1-5 Year) U.S. Government/Credit Index. Fund expenses have been partially absorbed by fund management. Without these reductions, the fund's total return would have been lower. Performance does not reflect the deduction of taxes that a shareholder would pay on fund distributions or on the redemption of fund shares. 2 Source for category information: Morningstar, Inc. As of 8/31/03, there were 253 funds in the Short-Term Bond Fund category for the one-year period, 168 for the five-year period and 76 for the ten-year period. 10 Schwab Bond Funds SCHWAB SHORT-TERM BOND MARKET FUND(TM) FUND FACTS as of 8/31/03 STATISTICS
FUND INDEX 1 - ----------------------------------------------------- NUMBER OF HOLDINGS 119 2,245 - ----------------------------------------------------- FUND CATEGORY 2 Interest Rate Sensitivity Short -- Credit Quality High -- - ----------------------------------------------------- 30-DAY SEC YIELD 3 2.90% -- - ----------------------------------------------------- YIELD TO MATURITY 3.16% 2.73% - ----------------------------------------------------- WEIGHTED AVERAGE MATURITY 2.4 yrs 2.7 yrs - ----------------------------------------------------- WEIGHTED AVERAGE DURATION 2.4 yrs 2.5 yrs - ----------------------------------------------------- WEIGHTED AVERAGE CREDIT QUALITY AA AA - ----------------------------------------------------- PORTFOLIO TURNOVER RATE 124% -- - -----------------------------------------------------
PORTFOLIO COMPOSITION These charts show three different views of the fund's portfolio: by type of security, credit quality of the security and remaining maturity. All figures are shown as a percentage of the fund's investments. Holdings may have changed since the report date. BY SECURITY TYPE [PIE CHART] 51.5% U.S. GOVERNMENT SECURITIES 33.7% CORPORATE BONDS 11.5% COLLATERIZED MORTGAGE OBLIGATIONS & ASSET-BACKED OBLIGATIONS 2.7% COMMERCIAL PAPER & OTHER CORPORATE OBLIGATIONS 0.5% MUNICIPAL BONDS 0.1% OTHER INVESTMENT COMPANIES
BY CREDIT QUALITY 4 [PIE CHART] 57.8% AAA 6.2% AA 10.9% A 14.8% BBB 3.9% BB 6.4% SHORT-TERM RATINGS OR UNRATED SECURITIES
BY MATURITY [PIE CHART] 10.9% 0-6 MONTHS 21.3% 7-18 MONTHS 23.0% 19-30 MONTHS 44.8% MORE THAN 30 MONTHS
1 The Lehman Brothers Mutual Fund Short (1 - 5 Year) U.S. Government/Credit Index. 2 Source: Morningstar, Inc. Interest rate sensitivity and credit quality are two main components of bond performance. The assessment reflects the fund's portfolio as of 8/31/03, which may have changed since then, and is not a precise indication of risk or performance -- past, present or future. Definitions of fund categories: Sensitivity (measured as duration): Short, up to 3.5 years; Medium, more than 3.5 years to less than six years; Long, six years or greater. Credit quality: High, AA or better; Medium, A or BBB; Low, BB or lower. 3 Fund expenses have been partially absorbed by fund management. Without these reductions, the fund's 30-day SEC yield would have been 2.77%. The yield does not reflect the deduction of taxes that a shareholder would pay on fund distributions or on the redemption of fund shares. 4 Based on ratings by Standard & Poor's and Moody's. Where ratings are different, the chart uses the higher rating. Schwab Bond Funds 11 SCHWAB TOTAL BOND MARKET FUND(TM) PERFORMANCE as of 8/31/03 AVERAGE ANNUAL TOTAL RETURNS 1, 2 This bar chart compares performance of the fund with its benchmark index, with the Lehman Brothers U.S. Aggregate Bond Index and with the Morningstar Intermediate-Term Bond Fund category. [BAR CHART]
LEHMAN BROTHERS U.S. AGGREGATE CATEGORY FUND BENCHMARK BOND INDEX AVERAGE 1 YEAR 4.37% 4.35% 4.35% 4.85% 5 YEARS 6.06% 6.56% 6.56% 5.49% 10 YEARS 6.06% 6.50% 6.67% 5.80%
PERFORMANCE OF A HYPOTHETICAL $10,000 INVESTMENT 1 This graph shows performance since inception of a hypothetical $10,000 investment in the fund, compared with a similar investment in two indices: the fund's benchmark index and the Lehman Brothers U.S. Aggregate Bond Market Index. $18,022 FUND $18,737 BENCHMARK $19,071 LEHMAN BROTHERS U.S. AGGREGATE BOND INDEX [LINE GRAPH]
Lehman Brothers U.S. Aggregate Fund Benchmark Bond Index 31-Aug-93 $10,000 $10,000 $10,000 30-Sep-93 $10,035 $10,038 $10,028 31-Oct-93 $10,082 $10,076 $10,065 30-Nov-93 $9,839 $9,965 $9,979 31-Dec-93 $9,885 $10,004 $10,033 31-Jan-94 $10,069 $10,141 $10,169 28-Feb-94 $9,706 $9,926 $9,992 31-Mar-94 $9,408 $9,703 $9,746 30-Apr-94 $9,309 $9,626 $9,668 31-May-94 $9,261 $9,614 $9,667 30-Jun-94 $9,230 $9,592 $9,645 31-Jul-94 $9,426 $9,768 $9,837 31-Aug-94 $9,420 $9,770 $9,849 30-Sep-94 $9,252 $9,632 $9,704 31-Oct-94 $9,239 $9,626 $9,695 30-Nov-94 $9,234 $9,608 $9,674 31-Dec-94 $9,318 $9,667 $9,741 31-Jan-95 $9,525 $9,847 $9,934 28-Feb-95 $9,801 $10,058 $10,170 31-Mar-95 $9,867 $10,122 $10,232 30-Apr-95 $10,022 $10,254 $10,375 31-May-95 $10,521 $10,668 $10,777 30-Jun-95 $10,536 $10,750 $10,856 31-Jul-95 $10,446 $10,710 $10,832 31-Aug-95 $10,647 $10,835 $10,962 30-Sep-95 $10,781 $10,939 $11,069 31-Oct-95 $10,983 $11,106 $11,212 30-Nov-95 $11,206 $11,279 $11,381 31-Dec-95 $11,410 $11,439 $11,540 31-Jan-96 $11,450 $11,509 $11,616 29-Feb-96 $11,116 $11,274 $11,414 31-Mar-96 $10,986 $11,180 $11,334 30-Apr-96 $10,831 $11,109 $11,271 31-May-96 $10,791 $11,090 $11,248 30-Jun-96 $10,941 $11,233 $11,399 31-Jul-96 $10,945 $11,261 $11,430 31-Aug-96 $10,890 $11,236 $11,410 30-Sep-96 $11,150 $11,423 $11,609 31-Oct-96 $11,462 $11,674 $11,866 30-Nov-96 $11,749 $11,877 $12,069 31-Dec-96 $11,541 $11,756 $11,957 31-Jan-97 $11,537 $11,769 $11,994 28-Feb-97 $11,559 $11,785 $12,024 31-Mar-97 $11,372 $11,661 $11,891 30-Apr-97 $11,605 $11,828 $12,069 31-May-97 $11,721 $11,930 $12,184 30-Jun-97 $11,892 $12,064 $12,329 31-Jul-97 $12,301 $12,406 $12,662 31-Aug-97 $12,107 $12,284 $12,554 30-Sep-97 $12,333 $12,468 $12,740 31-Oct-97 $12,600 $12,684 $12,924 30-Nov-97 $12,612 $12,748 $12,984 31-Dec-97 $12,683 $12,882 $13,115 31-Jan-98 $12,867 $13,075 $13,283 28-Feb-98 $12,831 $13,040 $13,272 31-Mar-98 $12,856 $13,084 $13,317 30-Apr-98 $12,921 $13,152 $13,387 31-May-98 $13,041 $13,277 $13,514 30-Jun-98 $13,131 $13,390 $13,629 31-Jul-98 $13,171 $13,418 $13,657 31-Aug-98 $13,418 $13,637 $13,880 30-Sep-98 $13,745 $13,956 $14,205 31-Oct-98 $13,666 $13,882 $14,129 30-Nov-98 $13,686 $13,961 $14,210 31-Dec-98 $13,752 $14,003 $14,253 31-Jan-99 $13,866 $14,103 $14,354 28-Feb-99 $13,598 $13,856 $14,103 31-Mar-99 $13,690 $13,932 $14,180 30-Apr-99 $13,694 $13,977 $14,226 31-May-99 $13,536 $13,854 $14,100 30-Jun-99 $13,487 $13,809 $14,055 31-Jul-99 $13,454 $13,751 $13,996 31-Aug-99 $13,436 $13,744 $13,989 30-Sep-99 $13,616 $13,904 $14,152 31-Oct-99 $13,655 $13,955 $14,204 30-Nov-99 $13,663 $13,954 $14,202 31-Dec-99 $13,609 $13,887 $14,134 31-Jan-00 $13,551 $13,841 $14,088 29-Feb-00 $13,705 $14,009 $14,258 31-Mar-00 $13,913 $14,193 $14,446 30-Apr-00 $13,827 $14,152 $14,404 31-May-00 $13,775 $14,145 $14,397 30-Jun-00 $14,086 $14,439 $14,697 31-Jul-00 $14,210 $14,571 $14,830 31-Aug-00 $14,423 $14,782 $15,045 30-Sep-00 $14,513 $14,875 $15,140 31-Oct-00 $14,594 $14,973 $15,240 30-Nov-00 $14,835 $15,219 $15,490 31-Dec-00 $15,117 $15,502 $15,778 31-Jan-01 $15,320 $15,755 $16,035 28-Feb-01 $15,452 $15,892 $16,175 31-Mar-01 $15,567 $15,971 $16,256 30-Apr-01 $15,517 $15,904 $16,187 31-May-01 $15,627 $16,000 $16,285 30-Jun-01 $15,714 $16,060 $16,346 31-Jul-01 $16,072 $16,420 $16,713 31-Aug-01 $16,252 $16,609 $16,905 30-Sep-01 $16,399 $16,802 $17,101 31-Oct-01 $16,693 $17,153 $17,458 30-Nov-01 $16,454 $16,916 $17,217 31-Dec-01 $16,351 $16,808 $17,107 31-Jan-02 $16,480 $16,944 $17,246 28-Feb-02 $16,587 $17,108 $17,413 31-Mar-02 $16,290 $16,824 $17,124 30-Apr-02 $16,518 $17,151 $17,456 31-May-02 $16,682 $17,297 $17,605 30-Jun-02 $16,810 $17,447 $17,758 31-Jul-02 $16,973 $17,658 $17,973 31-Aug-02 $17,253 $17,957 $18,276 30-Sep-02 $17,530 $18,247 $18,572 31-Oct-02 $17,402 $18,163 $18,487 30-Nov-02 $17,407 $18,158 $18,481 31-Dec-02 $17,787 $18,534 $18,864 31-Jan-03 $17,836 $18,551 $18,881 28-Feb-03 $18,091 $18,807 $19,142 31-Mar-03 $18,072 $18,792 $19,126 30-Apr-03 $18,227 $18,947 $19,285 31-May-03 $18,575 $19,300 $19,644 30-Jun-03 $18,522 $19,261 $19,604 31-Jul-03 $17,895 $18,614 $18,946 31-Aug-03 $18,022 $18,737 $19,071
All figures on this page assume dividends and distributions were reinvested. Index figures do not include trading and management costs, which would lower performance. Indices are unmanaged, and you cannot invest in them directly. The fund's share price and principal values change, and when you sell your shares they may be worth more or less than what you paid for them. Past performance does not indicate future results. 1 The fund changed its benchmark on 2/28/98, when it changed from being a government bond fund to its current strategy. Benchmark performance shown here is the Lehman Brothers General U.S. Government Bond Index from fund inception through 2/28/98 and the Lehman Brothers U.S. Aggregate Bond Index from 3/1/98 through the end of the report period. Benchmark performance for the one-year period is the Lehman U.S. Aggregate Bond Index. Fund expenses have been partially absorbed by fund management. Without these reductions, the fund's total return would have been lower. Performance does not reflect the deduction of taxes that a shareholder would pay on fund distributions or on the redemption of fund shares. 2 Source for category information: Morningstar, Inc. As of 8/31/03, there were 794 funds in the Intermediate-Term Bond Fund category for the one-year period, 487 for the five-year period and 207 for the ten-year period. 12 Schwab Bond Funds SCHWAB TOTAL BOND MARKET FUND(TM) FUND FACTS as of 8/31/03 STATISTICS
FUND INDEX 1 - ----------------------------------------------------------- NUMBER OF HOLDINGS 257 7,483 - ----------------------------------------------------------- FUND CATEGORY 2 Interest Rate Sensitivity Medium -- Credit Quality High -- - ----------------------------------------------------------- 30-DAY SEC YIELD 3 3.04% -- - ----------------------------------------------------------- YIELD TO MATURITY 4.79% 4.53% - ----------------------------------------------------------- WEIGHTED AVERAGE MATURITY 5.1 yrs 7.6 yrs - ----------------------------------------------------------- WEIGHTED AVERAGE DURATION 4.6 yrs 4.6 yrs - ----------------------------------------------------------- WEIGHTED AVERAGE CREDIT QUALITY AA AA - ----------------------------------------------------------- PORTFOLIO TURNOVER RATE 121% -- - -----------------------------------------------------------
PORTFOLIO COMPOSITION These charts show three different views of the fund's portfolio: by type of security, credit quality of the security and remaining maturity. All figures are shown as a percentage of the fund's investments. Holdings may have changed since the report date. BY SECURITY TYPE [PIE CHART] 46.6% COLLATERIZED MORTGAGE OBLIGATIONS & ASSET-BACKED OBLIGATIONS 27.1% CORPORATE BONDS 22.5% U.S. GOVERNMENT SECURITIES 2.7% COMMERCIAL PAPER & OTHER CORPORATE OBLIGATIONS 0.6% MUNICIPAL BONDS 0.5% PREFERRED STOCK
BY CREDIT QUALITY 4 [PIE CHART] 64.0% AAA 6.1% AA 8.1% A 14.9% BBB 2.6% BB 4.3% SHORT-TERM RATINGS OR UNRATED SECURITIES
BY MATURITY [PIE CHART] 24.6% 0-1 YEAR 65.7% 2-10 YEARS 4.6% 11-20 YEARS 5.1% 21-30 YEARS
1 The Lehman Brothers U.S. Aggregate Bond Index. 2 Source: Morningstar, Inc. Interest rate sensitivity and credit quality are two main components of bond performance. The assessment reflects the fund's portfolio as of 8/31/03, which may have changed since then, and is not a precise indication of risk or performance -- past, present or future. Definitions of fund categories: Sensitivity (measured as duration): Short, up to 3.5 years; Medium, more than 3.5 years to less than six years; Long, six years or greater. Credit quality: High, AA or better; Medium, A or BBB; Low, BB or lower. 3 Fund expenses have been partially absorbed by fund management. Without these reductions, the fund's 30-day SEC yield would have been 2.94%. The yield does not reflect the deduction of taxes that a shareholder would pay on fund distributions or on the redemption of fund shares. 4 Based on ratings by Standard & Poor's and Moody's. Where ratings are different, the chart uses the higher rating. Schwab Bond Funds 13 SCHWAB GNMA FUND(TM) INVESTOR SHARES PERFORMANCE as of 8/31/03 AVERAGE ANNUAL TOTAL RETURNS 1, 2 This bar chart compares performance of the fund's Investor Shares with the Lehman Brothers GNMA Index and the Morningstar Intermediate Government Fund category. [BAR CHART]
INVESTOR LEHMAN BROTHERS CATEGORY SHARES GNMA INDEX AVERAGE SINCE INCEPTION (3/3/03) -1.11% -0.40% n/a
PERFORMANCE OF A HYPOTHETICAL $10,000 INVESTMENT 1 This graph shows performance since inception of a hypothetical $10,000 investment in the fund's Investor Shares compared with a similar investment in the Lehman Brothers GNMA Index. $9,889 INVESTOR SHARES $9,959 LEHMAN BROTHERS GNMA INDEX [LINE GRAPH]
Investor Lehman Brothers Shares GNMA Index 28-Feb-03 $10,000 $10,000 31-Mar-03 $9,984 $10,007 30-Apr-03 $10,009 $10,031 31-May-03 $10,035 $10,031 30-Jun-03 $10,048 $10,061 31-Jul-03 $9,887 $9,895 31-Aug-03 $9,889 $9,959
All figures on this page assume dividends and distributions were reinvested. Index figures do not include trading and management costs, which would lower performance. Indices are unmanaged, and you cannot invest in them directly. The fund's share price and principal values change, and when you sell your shares they may be worth more or less than what you paid for them. Past performance does not indicate future results. 1 Fund expenses have been absorbed by fund management. Without these reductions, the fund's total return would have been lower. Performance does not reflect the deduction of taxes that a shareholder would pay on fund distributions or on the redemption of fund shares. 2 Source for category information: Morningstar, Inc. As of 8/31/03, there were 358 funds in the Intermediate Government Fund category that had track records of at least six months. 14 Schwab Bond Funds SCHWAB GNMA FUND(TM) SELECT SHARES(R) PERFORMANCE as of 8/31/03 AVERAGE ANNUAL TOTAL RETURNS 1, 2 This bar chart compares performance of the fund's Investor Shares with the Lehman Brothers GNMA Index and the Morningstar Intermediate Government Fund category. [BAR CHART]
SELECT LEHMAN BROTHERS CATEGORY SHARES GNMA INDEX AVERAGE SINCE INCEPTION (3/3/03) -1.11% -0.40% n/a
PERFORMANCE OF A HYPOTHETICAL $50,000 INVESTMENT 1 This graph shows performance since inception of a hypothetical $50,000 investment (the minimum investment for this share class) in the fund's Select Shares, compared with a similar investment in the Lehman GNMA Index. $49,445 SELECT SHARES $49,797 LEHMAN BROTHERS GNMA INDEX [LINE GRAPH]
Select Lehman Brothers Shares GNMA Index 03-Mar-03 $50,000 $50,000 31-Mar-03 $49,920 $50,035 30-Apr-03 $50,045 $50,155 31-May-03 $50,175 $50,155 30-Jun-03 $50,290 $50,306 31-Jul-03 $49,435 $49,476 31-Aug-03 $49,445 $49,797
All figures on this page assume dividends and distributions were reinvested. Index figures do not include trading and management costs, which would lower performance. Indices are unmanaged, and you cannot invest in them directly. The fund's share price and principal values change, and when you sell your shares they may be worth more or less than what you paid for them. Past performance does not indicate future results. 1 Fund expenses have been absorbed by fund management. Without these reductions, the fund's total return would have been lower. Performance does not reflect the deduction of taxes that a shareholder would pay on fund distributions or on the redemption of fund shares. 2 Source for category information: Morningstar, Inc. As of 8/31/03, there were 358 funds in the Intermediate Government Fund category that had track records of at least six months. Schwab Bond Funds 15 SCHWAB GNMA FUND(TM) FUND FACTS as of 8/31/03 STATISTICS
FUND INDEX 1 - ------------------------------------------------------------ NUMBER OF HOLDINGS 66 164 - ------------------------------------------------------------ FUND CATEGORY 2 Interest Rate Sensitivity Short -- Credit Quality High -- - ------------------------------------------------------------ 30-DAY SEC YIELD 3 Investor Shares 0.88% -- Select Shares(R) 0.88% -- - ------------------------------------------------------------ YIELD TO MATURITY Investor Shares 5.24% 5.51% Select Shares 5.24% 5.51% - ------------------------------------------------------------ WEIGHTED AVERAGE MATURITY 4.1 yrs 6.9 yrs - ------------------------------------------------------------ WEIGHTED AVERAGE DURATION 2.8 yrs 2.9 yrs - ------------------------------------------------------------ WEIGHTED AVERAGE CREDIT QUALITY AAA AAA - ------------------------------------------------------------ PORTFOLIO TURNOVER RATE 105% -- - ------------------------------------------------------------
PORTFOLIO COMPOSITION These charts show three different views of the fund's portfolio: by type of security, credit quality of the security and remaining maturity. All figures are shown as a percentage of the fund's investments. Holdings may have changed since the report date. BY SECURITY TYPE [PIE CHART] 93.7% COLLATERIZED MORTGAGE OBLIGATIONS & ASSET-BACKED OBLIGATIONS 5.4% COMMERCIAL PAPER & OTHER CORPORATE OBLIGATIONS 0.9% OTHER INVESTMENT COMPANIES
BY CREDIT QUALITY 4 [PIE CHART] 92.3% AAA 1.4% BBB 6.3% SHORT-TERM RATINGS OR UNRATED SECURITIES
BY MATURITY [PIE CHART] 15.3% 0-6 MONTHS 0.7% 7-18 MONTHS 0.7% 19-30 MONTHS 83.3% MORE THAN 30 MONTHS
1 The Lehman Brothers GNMA Index. 2 Source: Morningstar, Inc. Interest rate sensitivity and credit quality are two main components of bond performance. The assessment reflects the fund's portfolio as of 8/31/03, which may have changed since then, and is not a precise indication of risk or performance -- past, present or future. Definitions of fund categories: Sensitivity (measured as duration): Short, up to 3.5 years; Medium, more than 3.5 years to less than six years; Long, six years or greater. Credit quality: High, AA or better; Medium, A or BBB; Low, BB or lower. 3 Fund expenses have been absorbed by fund management. Without these reductions, the fund's 30-day SEC yield for Investor Shares and Select Shares would have been -0.20% and -0.05%, respectively. The yields do not reflect the deduction of taxes that a shareholder would pay on fund distributions or on the redemption of fund shares. 4 Based on ratings by Standard & Poor's and Moody's. Where ratings are different, the chart uses the higher rating. 16 Schwab Bond Funds SCHWAB YIELDPLUS FUND(R) FINANCIAL STATEMENTS FINANCIAL HIGHLIGHTS
9/1/02- 9/1/01- 9/1/00- 10/1/99 1- INVESTOR SHARES 8/31/03 8/31/02 8/31/01 8/31/00 - ------------------------------------------------------------------------------------------------------------------------ PER-SHARE DATA ($) - ------------------------------------------------------------------------------------------------------------------------ Net asset value at beginning of period 9.75 10.00 9.92 10.00 ------------------------------------------------------------------------- Income from investment operations: Net investment income 0.30 0.42 0.62 0.61 Net realized and unrealized gains or losses (0.02) (0.23) 0.08 (0.08) ------------------------------------------------------------------------- Total income from investment operations 0.28 0.19 0.70 0.53 Less distributions: Dividends from net investment income (0.33) (0.44) (0.62) (0.61) ------------------------------------------------------------------------- Net asset value at end of period 9.70 9.75 10.00 9.92 ------------------------------------------------------------------------- Total return (%) 2.95 1.89 7.33 5.44 2 RATIOS/SUPPLEMENTAL DATA (%) - ------------------------------------------------------------------------------------------------------------------------ Ratios to average net assets: Net operating expenses 0.59 0.55 0.55 0.55 3,4 Gross operating expenses 0.59 0.62 0.71 0.80 3 Net investment income 3.08 4.36 6.03 6.72 3 Portfolio turnover rate 109 42 106 81 Net assets, end of period ($ x 1,000,000) 410 392 185 53
1 Commencement of operations. 2 Not annualized. 3 Annualized. 4 The ratio of net operating expenses would have been 0.56% if certain non-routine expenses (proxy fees) had been included. See financial notes. 17 SCHWAB YIELDPLUS FUND(R)
9/1/02- 9/1/01- 9/1/00- 10/1/99 1- SELECT SHARES(R) 8/31/03 8/31/02 8/31/01 8/31/00 - ------------------------------------------------------------------------------------------------------------------------ PER-SHARE DATA ($) - ------------------------------------------------------------------------------------------------------------------------ Net asset value at beginning of period 9.75 10.00 9.92 10.00 ------------------------------------------------------------------------- Income from investment operations: Net investment income 0.32 0.44 0.64 0.62 Net realized and unrealized gains or losses (0.02) (0.24) 0.08 (0.08) ------------------------------------------------------------------------- Total income from investment operations 0.30 0.20 0.72 0.54 Less distributions: Dividends from net investment income (0.35) (0.45) (0.64) (0.62) ------------------------------------------------------------------------- Net asset value at end of period 9.70 9.75 10.00 9.92 ------------------------------------------------------------------------- Total return (%) 3.10 2.04 7.50 5.58 2 RATIOS/SUPPLEMENTAL DATA (%) - ------------------------------------------------------------------------------------------------------------------------ Ratios to average net assets: Net operating expenses 0.44 0.40 0.40 0.40 3,4 Gross operating expenses 0.44 0.47 0.56 0.65 3 Net investment income 3.23 4.52 6.18 6.88 3 Portfolio turnover rate 109 42 106 81 Net assets, end of period ($ x 1,000,000) 1,476 1,443 772 219
1 Commencement of operations. 2 Not annualized. 3 Annualized. 4 The ratio of net operating expenses would have been 0.41% if certain non-routine expenses (proxy fees) had been included. 18 See financial notes. SCHWAB YIELDPLUS FUND(R) PORTFOLIO HOLDINGS as of August 31, 2003. This section shows all the securities in the fund's portfolio and their market value, as of the report date. We use the symbols below to designate certain characteristics. With the top ten holdings, the number in the circle is the security's rank among the top ten. (1) Top ten holding @ Collateral for futures contracts For fixed rate obligations, the rate shown is the interest rate (the rate established when the obligation was issued) and the maturity date shown is the stated legal maturity. For variable-rate obligations, the rate shown is the rate as of the report date, and the maturity shown is the later of the next interest rate change date or demand date.
COST MARKET VALUE HOLDINGS BY CATEGORY ($x1,000) ($x1,000) - -------------------------------------------------------------------------------- 47.4% CORPORATE BONDS 880,902 85,224 45.0% COLLATERALIZED MORTGAGE OBLIGATIONS & ASSET- BACKED OBLIGATIONS 837,274 39,474 0.8% MUNICIPAL BONDS 15,000 15,135 4.3% COMMERCIAL PAPER & OTHER CORPORATE OBLIGATIONS 80,955 80,958 0.2% FIXED-RATE- U.S. GOVERNMENT SECURITIES 2,998 2,998 2.3% PREFERRED STOCK 43,504 42,387 0.0% OTHER INVESTMENT COMPANIES 899 899 - -------------------------------------------------------------------------------- 100.0% TOTAL INVESTMENTS 1,861,532 1,867,075
SECURITY SERIES FACE VALUE MKT. VALUE RATE, MATURITY DATE ($ x 1,000) ($ x 1,000) CORPORATE BONDS 47.4% of investments FIXED-RATE OBLIGATIONS 28.1% -------------------------------------------------------------------------- @ AB SPINTAB, 144A 7.50%, 08/14/49 900 996 @ ABITIBI CONSOLIDATED, INC. 8.30%, 08/01/05 8,630 9,100 @ APPLE COMPUTERS, INC. 6.50%, 02/15/04 5,850 5,967 ARCHSTONE-SMITH TRUST 7.15%, 10/15/03 14,500 14,584 @ AUTONATION, INC., 144A 9.00%, 08/01/08 9,450 10,466 @ BAUSCH & LOMB, INC. 6.50%, 08/01/05 10,205 10,766 @ CANADIAN OCCIDENTAL PETROLEUM 7.13%, 02/04/04 5,000 5,116 CAPITAL ONE BANK MASTER TRUST 8.25%, 06/15/05 13,000 14,134 @ CHANCELLOR MEDIA / CLEAR CHANNEL COMMUNICATION, 144A 8.00%, 11/01/08 9,570 10,910 @ CINERGY CORP. 6.25%, 09/01/04 10,000 10,410 @ CONTINENTAL CABLEVISION 9.50%, 08/01/13 14,030 16,489 @ ECHOSTAR DPS CORP. 9.38%, 02/01/04 7,000 7,481 @ EOP OPERATING, L.P. 7.38%, 11/15/03 11,445 11,574 6.50%, 06/15/04 1,015 1,053 @ ERAC U.S.A. FINANCE CO., 144A 6.95%, 03/01/04 3,575 3,664 @ ERP OPERATING, L.P. 6.65%, 11/15/03 1,500 1,514 @ FRANCE TELECOM 8.70%, 03/01/06 5,422 6,030 @ GTE CALIFORNIA, INC. Series B 6.75%, 03/15/04 5,000 5,144 @ HCA, INC. 6.87%, 09/15/03 5,579 5,586 7.15%, 03/30/04 3,418 3,485 6.91%, 06/15/05 5,145 5,373 @ HUSKY OIL LTD., 144A 8.90%, 08/15/28 9,550 10,983 ITT CORP. 6.75%, 11/15/03 12,500 12,625
See financial notes. 19 SCHWAB YIELDPLUS FUND(R) PORTFOLIO HOLDINGS continued
SECURITY SERIES FACE VALUE MKT. VALUE RATE, MATURITY DATE ($ x 1,000) ($ x 1,000) @ J.C. PENNEY & CO. 6.13%, 11/15/03 7,185 7,221 @ LEAR CORP., 144A Series B 7.96%, 05/15/05 14,000 15,085 @ LEHMAN BROTHERS HOLDINGS, INC. 8.75%, 03/15/05 7,950 8,716 @ LENNAR CORP. 144A Series B 9.95%, 05/01/10 13,205 15,345 @ LINCOLN NATIONAL CORP. 9.13%, 10/01/24 5,000 5,544 @ MANDALAY RESORT GROUP., 144A 6.45%, 02/01/06 9,375 9,727 @ MASCO CORP. 6.00%, 05/03/04 14,500 14,895 @ MGM GRAND, INC. 6.95%, 02/01/05 11,475 12,020 @ MGM MIRAGE, INC. 6.63%, 02/01/05 2,451 2,546 @ NATIONWIDE CAPITAL SURPLUS NOTES 9.88%, 02/15/25 5,000 5,626 @ NEWS AMERICA, INC. 6.70%, 05/21/04 8,200 8,436 @ NORFOLK SOUTHERN CORP. 8.38%, 05/15/05 3,695 4,065 @ ORANGE, PLC 9.00%, 06/01/09 13,365 14,558 @ PARK PLACE ENTERTAINMENT 7.00%, 07/15/04 8,500 8,755 PENNSYLVANIA ELECTRIC CO. Series A 5.75%, 04/01/04 15,000 15,356 @ PHH CORP. 6.00%, 03/01/08 13,000 13,589 @ PIONEER NATURAL RESOURCES 8.25%, 08/15/07 9,050 10,136 @ PNC FUNDING CORP. 6.13%, 09/01/03 1,200 1,200 7.75%, 06/01/04 1,350 1,413 @ PROTECTIVE LIFE U.S. FUNDING TRUST, 144A 5.50%, 05/14/04 7,000 7,199 @ PULTE HOMES, INC. 7.00%, 12/15/03 7,925 7,992 8.38%, 08/15/04 1,500 1,563 @ QUEBECOR PRINTING 6.50%, 08/01/27 6,000 6,161 @ QUEBECOR WORLD, INC. 8.38%, 11/15/08 1,000 1,045 @ RELIANT ENERGY RESOURCES, 144A Series B 8.13%, 07/15/05 9,876 10,540 @ ROGERS CABLE SYSTEMS, LTD. Series _ 10.00%, 03/15/05 5,910 6,287 @ RYDER SYSTEMS, INC. Series 14 6.14%, 09/01/10 5,000 5,025 @ RYLAND GROUP, INC. 9.75%, 09/01/05 8,835 9,851 9.13%, 06/15/11 500 550 @ SAFEWAY, INC. 7.25%, 09/15/04 5,450 5,741 @ SCHULER HOMES, 144A 9.38%, 07/15/09 9,464 10,221 SIMON DEBARTELO 6.75%, 07/15/04 10,000 10,392 @ SPRINT CAPITAL CORP. 7.90%, 03/15/05 6,220 6,672 @ SVENSKA HANDELSBANKEN, 144A 7.13%, 03/29/49 10,000 10,906 @ TOLL CORP. 8.00%, 05/01/09 2,500 2,631 8.25%, 02/01/11 6,810 7,253 @ TURNER BROADCASTING 8.40%, 02/01/24 13,000 13,710 @ TYCO INTERNATIONAL GROUP, SA 5.88%, 11/01/04 13,225 13,638 @ VODAFONE GROUP, PLC 7.00%, 10/01/03 15,000 15,063 @ WASTE MANAGEMENT, INC. 6.38%, 12/01/03 11,070 11,185 8.75%, 05/01/08 2,700 3,017 ----------- 524,325
20 See financial notes. SCHWAB YIELDPLUS FUND(R)
SECURITY SERIES FACE VALUE MKT. VALUE RATE, MATURITY DATE ($ x 1,000) ($ x 1,000) VARIABLE RATE OBLIGATIONS 19.3% ----------------------------------------------------------------------------- AB SPINTAB 2.11%, 10/31/03 6,500 6,456 BEAR STEARNS CO., INC. 1.60%, 09/27/03 18,000 18,210 BNP PARIBAS 1.69%, 09/22/03 10,500 10,365 1.76%, 10/31/03 15,000 14,925 BOISE CASCADE CO. Series A 3.11%, 10/15/03 15,000 14,925 CENTEX CORP. Series E 3.13%, 11/21/03 5,000 5,078 (2) COUNTRYWIDE HOME LOAN Series K 1.69%, 11/10/03 25,000 25,121 CREDIT SUISSE FIRST BOSTON INTERNATIONAL CORP. 2.01%, 09/08/03 20,000 19,680 DAIMLER-CHRYSLER, N.A. HOLDINGS 2.14%, 09/03/03 20,000 19,739 DEUTSCHE BANK CAPITAL TRUST 2.90%, 09/30/03 15,000 15,293 FORD MOTOR CREDIT 1.55%, 10/17/03 10,000 9,764 GENERAL MOTORS ACCEPTANCE CORP. 3.03%, 11/19/03 15,000 15,100 GULF STATES UTILITIES, 144A 2.58%, 09/02/03 15,000 15,000 HERTZ CORP. 1.66%, 11/13/03 13,400 13,295 INTERNATIONAL LEASE FINANCE CORP. 2.32%, 11/03/03 10,000 10,137 Series O 2.41%, 10/15/03 10,000 10,152 LILLY DEL MAR, INC., 144A 2.34%, 11/05/03 5,000 4,990 MBNA CORP. 2.89%, 11/26/04 11,000 11,146 Series F 2.13%, 03/12/04 5,000 5,017 NATIONAL CONSUMER COOPERATIVE BANK Series B 3.16%, 10/07/03 10,000 10,008 3.39%, 11/05/03 10,000 10,013 PEMEX PROJECT FUNDING MASTER TRUST 2.61%, 10/07/03 10,000 10,111 PEPCO HOLDINGS, INC. 1.93%, 11/17/03 10,000 10,002 POPULAR N.A., INC. 2.76%, 10/15/03 15,000 15,017 SEARS ROEBUCK ACCEPTANCE CORP. 3.11%, 10/23/03 13,000 13,126 SOCIETE GENERALE 1.74%, 10/20/03 15,800 15,714 VERIZON WIRELESS CAPITAL 1.49%, 09/17/03 17,500 17,515 WEYERHAEUSER CO. 144A 2.24%, 09/15/03 15,000 15,000 ----------- 360,899 COLLATERALIZED MORTGAGE OBLIGATIONS & ASSET- BACKED OBLIGATIONS 45.0% of investments NON-U.S. GOVERNMENT AGENCY SECURITIES 37.1% ----------------------------------------------------------------------------- FIXED-RATE OBLIGATIONS 15.8% ----------------------------------------------------------------------------- ALTER MONETA RECEIVABLES, L.L.C. Series 2003-1 2.56%, 03/15/11 10,194 10,180 ASSET BACKED FUNDING CERTIFICATES Series 2003-OPT1 6.90%, 07/26/33 5,000 5,000 BANK OF AMERICA MORTGAGE SECURITIES Series 2001-F Class A2 5.61%, 11/25/31 1,365 1,392 Series 2001-H Class A1 5.37%, 12/25/31 2,186 2,259 Series 2002-A Class A1 5.24%, 02/25/32 2,352 2,408 Series 2002-J Class A2 4.88%, 09/25/32 10,202 10,115 Series 2003-D Class 2A2 3.60%, 05/25/33 12,493 12,730
See financial notes. 21 SCHWAB YIELDPLUS FUND(R) PORTFOLIO HOLDINGS continued
SECURITY SERIES FACE VALUE MKT. VALUE RATE, MATURITY DATE ($ x 1,000) ($ x 1,000) CHASE FUNDING NET INTEREST MARGIN Series 2003-3A 6.88%, 06/27/36 1,653 1,651 Series 2003-4A 6.75%, 09/27/36 3,758 3,758 COUNTRYWIDE ALTERNATIVE LOAN TRUST Series 2001-5 Class A1 6.50%, 06/25/31 583 585 Series 2002-6 Class A4 5.25%, 07/25/32 1,435 1,437 COUNTRYWIDE HOME LOANS Series 2001-23 Class 2A1 5.41%, 12/25/31 1,597 1,620 Series 2001-23 Class 3A1 6.25%, 12/25/31 2,422 2,447 Series 2001-HYB2 Class 2A1 6.35%, 09/19/31 3,384 3,422 Series 2002-1 Class 1A1 5.36%, 03/19/32 3,135 3,213 Series 2002-7 Class 3A2 5.42%, 05/19/32 1,124 1,125 Series 2002-HYB1 Class 1A1 5.43%, 07/19/32 5,454 5,596 Series 2002-HYB2 Class 4A1 5.00%, 09/19/32 5,798 5,856 (10) Series 2003-HYB1 Class 1A1 3.85%, 05/19/33 20,173 19,883 Series 2003-HYB2 Class 1A1 3.45%, 07/19/33 18,779 18,576 CS FIRST BOSTON MORTGAGE SECURITIES CORP. Series 2002-AR27 Class 1A1 5.42%, 10/25/32 8,067 8,073 Series 2002-AR28 Class 1A2 4.98%, 11/25/32 10,097 10,127 DISTRIBUTION FINANCIAL SERVICES TRUST Series 2001-1 Class-D 7.73%, 11/15/22 8,250 8,381 FIFTH THIRD MORTGAGE LOAN TRUST Series 2002-FTB1 Class 3A1 3.91%, 11/19/32 8,288 8,419 Series 2002-FTB1 Series 2A1 6.27%, 11/19/32 9,603 9,857 GSR MORTGAGE LOAN TRUST Series 2002-3F Class 2AB3 5.50%, 12/25/31 4,972 5,055 Series 2002-6F Class 2A5 5.50%, 07/25/32 1,006 1,018 HERD TRUST Series 2003-2A Class A 11.00%, 06/25/32 5,000 5,004 IMPAC SECURED ASSET COMMON OWNER TRUST Series 2001-8 Class A1 6.50%, 01/25/32 2,729 2,789 LONG BEACH ASSET HOLDINGS, CORP. Series 2003-4 Class N1 6.54%, 08/25/33 2,500 2,500 MASTER ADJUSTABLE RATE MORTGAGES TRUST Series 2002-4 Class 1A1 5.27%, 11/25/32 12,038 12,137 Series 2002-4 Class 2A1 5.48%, 11/25/32 8,929 9,011 Series 2002-4 Class 3A1 5.27%, 11/25/32 6,477 6,475 Series 2003-1 Class 1A1 4.15%, 12/25/32 7,006 7,005 MORGAN STANLEY DEAN WITTER CAPITAL I Series 2002-HE3N 9.50%, 12/27/32 5,282 5,285 Series 2002-NC4N 9.50%, 09/25/32 3,087 3,090 NOVASTAR NIM TRUST Series 2003-N1 7.39%, 09/28/33 1,849 1,849 OPTION ONE MORTGAGE LOAN TRUST Series 2003-2B Class N1 7.63%, 04/26/33 1,461 1,462 RESIDENTIAL ACCREDIT LOANS, INC. Series 1999-QS8 Class A1 6.50%, 06/25/14 7,104 7,317 Series 2000-QS4 Class NB 7.50%, 03/25/15 698 718 RESIDENTIAL FUNDING MORTGAGE SECURITIES I TRUST Series 1993-S13 Class A9 6.52%, 03/25/08 1,228 1,227 RESIDENTIAL FUNDING SECURITIES CORP. Series 2001-RM1 Class A 6.18%, 12/25/29 820 819 STRUCTURED ASSET SECURITIES CORP. Series 2001-14A Class 2A1 6.05%, 08/25/31 1,307 1,316
22 See financial notes. SCHWAB YIELDPLUS FUND(R)
SECURITY SERIES FACE VALUE MKT. VALUE RATE, MATURITY DATE ($ x 1,000) ($ x 1,000) WASHINGTON MUTUAL Series 2002-AR15 Class A3 4.07%, 12/25/32 3,319 3,316 Series 2002-AR19 Class A7 4.68%, 02/25/33 14,656 15,022 Series 2003-AR1 Class A6 4.56%, 03/25/33 6,763 6,783 Series 2003-AR8 Class A 4.03%, 08/25/33 14,742 14,686 Series 2003-AR9 Class 1A2A 2.31%, 09/25/33 15,176 15,072 WASHINGTON MUTUAL MSC MORTGAGE PASS-THROUGH TRUST Series 2001-AR1 Class A 6.03%, 12/26/31 3,151 3,180 WELLS FARGO MORTGAGE BACKED SECURITIES TRUST Series 2001-25 Class IA1 6.20%, 10/25/31 642 644 Series 2002-E Class 2A1 5.22%, 09/25/32 4,218 4,275 ----------- 295,165 VARIABLE RATE OBLIGATIONS 21.3% -------------------------------------------------------------------------- AMERIQUEST MORTGAGE SECURITIES, INC. Series 2003-6 Class M1 1.87%, 09/25/03 15,000 15,029 Series 2003-6 Class M2 2.96%, 09/25/03 5,000 5,038 Series 2003-AR2 Class M2 3.14%, 09/25/03 5,000 5,005 Series 2003-AR3 Class M2 3.14%, 09/25/03 5,000 5,076 AMORTIZING RESIDENTIAL COLLATERAL TRUST Series 2002-BC1 Class M2 2.21%, 09/25/03 10,000 9,873 ASSET BACKED FUNDING CERTIFICATES Series 2003-AHL1 Class M1 1.94%, 09/25/03 7,500 7,505 Series 2003-OPT1 Class M2 2.66%, 09/25/03 5,000 5,000 ASSET BACKED SECURITIES CORP. HOME EQUITY Series 2001-HE3 Class M2 2.16%, 09/15/03 6,000 5,958 Series 2003-HE2 Class M2 3.01%, 09/15/03 4,460 4,466 BAYVIEW FINANCIAL ACQUISITION TRUST Series 2003-BA Class M1 2.61%, 09/25/03 12,773 12,785 BEAR STEARNS ASSET BACKED SECURITIES, INC. Series 1999-1 Class MV1 1.78%, 09/25/03 12,011 12,027 CAPITAL ONE MULTI-ASSET EXECUTION TRUST Series 2003-C1 Class C1 3.66%, 09/15/03 3,500 3,581 CDC MORTGAGE CAPITAL TRUST Series 2003-HE1 Class M1 2.01%, 09/25/03 18,000 18,031 Series 2003-HE2 Class M2 3.01%, 09/25/03 5,000 5,045 CENTEX HOME EQUITY Series 2003-B Class M2 2.81%, 09/25/03 6,500 6,505 COUNTRYWIDE ASSET BACKED CERTIFICATES (5) Series 2000-2 Class MV2 2.01%, 09/25/03 24,000 24,002 Series 2002-6 Class M1 2.21%, 09/25/03 3,000 3,025 Series 2002-6 Class M2 3.21%, 09/25/03 4,800 4,857 Series 2003-BC1 Class M2 3.11%, 09/25/03 14,500 14,701 CS FIRST BOSTON MORTGAGE SECURITIES CORP. Series 2000-HE1 Class M2 2.18%, 09/15/03 5,000 4,986 LONG BEACH MORTGAGE LOAN TRUST (1) Series 2001-3 Class M1 1.66%, 09/25/03 25,249 25,222 Series 2003-2 Class M1 1.93%, 09/25/03 15,000 15,014 Series 2003-2 Class M2 3.01%, 09/25/03 10,000 10,019 Series 2003-2 Class M3 3.36%, 09/25/03 2,190 2,185 Series 2003-4 Class M5A 5.11%, 09/25/03 3,000 2,955 MASTER ASSET BACKED SECURITIES TRUST Series 2002-OPT1 Class M2 3.06%, 09/25/03 10,000 10,051 (6) Series 2003-OPT1 Class A2 1.53%, 09/25/03 21,594 21,648
See financial notes. 23 SCHWAB YIELDPLUS FUND(R) PORTFOLIO HOLDINGS continued
SECURITY SERIES FACE VALUE MKT. VALUE RATE, MATURITY DATE ($ x 1,000) ($ x 1,000) Series 2003-OPT2 Class M1 1.85%, 09/25/03 13,000 13,023 MBNA CREDIT CARD MASTER NOTE TRUST Series 2003-B3 Class B3 1.48%, 09/15/03 10,000 10,002 MBNA CREDIT CARD MASTER NOTE TRUST Series 2003-C3 Class C3 2.46%, 09/30/03 10,000 10,127 MBNA MASTER CREDIT CARD TRUST Series 1999-L Class C 2.19%, 09/15/03 8,000 8,080 MMCA AUTOMOBILE TRUST Series 2002-5 Class C 3.26%, 09/15/03 5,960 5,967 NEW CENTURY HOME EQUITY LOAN TRUST Series 2003-3 Class M3 3.49%, 09/25/03 7,686 7,683 OPTION ONE MORTGAGE LOAN TRUST Series 2003-1 Class M1 2.01%, 09/25/03 8,000 8,064 Series 2003-2 Class M1 1.76%, 09/25/03 15,000 15,058 Series 2003-2 Class M2 2.81%, 09/25/03 3,000 3,017 Series 2003-3 Class N 1.42%, 09/25/03 4,027 4,029 Series 2003-4 Class M2 2.76%, 09/25/03 6,000 6,006 Series 2003-4 Class M4 4.11%, 09/25/03 3,500 3,506 RESIDENTIAL ASSET SECURITIES CORP. Series 2003-KS1 Class M2 2.85%, 09/25/03 7,000 7,046 Series 2003-KS6 Class M2 2.61%, 09/25/03 15,300 15,465 (9) TERRAPIN FUNDING, L.L.C. Series 2003-1A Class B1 2.40%, 09/08/03 20,000 20,000 ----------- 396,662 U.S. GOVERNMENT AGENCY SECURITIES 7.9% -------------------------------------------------------------------------- FANNIE MAE Pool# 401049 7.00%, 08/01/07 78 81 Pool# 500521 7.00%, 06/01/09 266 287 Pool# 250499 7.00%, 03/01/11 321 341 Pool# 323970 7.00%, 10/01/14 478 509 Pool# 536005 7.00%, 12/01/14 1,445 1,537 Pool# 252977 7.00%, 01/01/15 181 192 Pool# 526933 7.00%, 01/01/15 260 276 Pool# 529057 7.00%, 03/01/15 216 230 Pool# 536367 7.00%, 05/01/15 56 60 Pool# 541800 7.00%, 06/01/15 276 294 Pool# 535461 7.00%, 07/01/15 1,049 1,115 Pool# 542497 7.00%, 07/01/15 261 277 Pool# 545034 7.00%, 12/01/15 463 492 Pool# 535740 7.00%, 12/01/15 1,184 1,259 Pool# 535631 7.00%, 12/01/15 4,887 5,198 Pool# 253541 7.00%, 12/01/15 74 79 Pool# 535662 7.00%, 01/01/16 814 866 Pool# 535675 7.00%, 01/01/16 857 912 Pool# 548205 7.00%, 01/01/16 359 382 Pool# 567601 7.00%, 02/01/16 230 244 Pool# 595654 7.00%, 03/01/16 93 99 Pool# 535801 7.00%, 03/01/16 264 280 Pool# 545202 7.00%, 07/01/16 348 370 Pool# 660726 7.00%, 08/01/16 200 213 Pool# 545369 7.00%, 09/01/16 1,208 1,285 Pool# 254272 7.00%, 03/01/17 1,439 1,530
24 See financial notes. SCHWAB YIELDPLUS FUND(R)
SECURITY SERIES FACE VALUE MKT. VALUE RATE, MATURITY DATE ($ x 1,000) ($ x 1,000) Pool# 555532 7.00%, 12/01/17 7,924 8,428 Pool# 586276 5.80%, 06/01/31 1,370 1,415 Pool# 598596 6.10%, 07/01/31 2,323 2,375 Pool# 563434 6.05%, 07/01/31 1,262 1,285 Series 2003-22 Class UK 4.00%, 09/25/31 15,678 15,197 Pool# 606857 5.53%, 10/01/31 4,977 5,085 Pool# 607308 6.05%, 10/01/31 4,369 4,464 Pool# 610546 5.80%, 11/01/31 3,467 3,559 Pool# 613101 5.56%, 11/01/31 2,955 3,036 Pool# 621636 5.15%, 01/01/32 5,248 5,418 Series 2003-37 Class FK 1.90%, 05/25/33 8,361 8,363 Pool# 535314 6.24%, 08/01/39 3,730 3,815 FREDDIE MAC Pool# M80685 6.00%, 05/01/08 939 963 Pool# G11226 5.50%, 08/01/11 1,811 1,862 Series 61 Class D 9.30%, 11/15/20 1,112 1,114 Pool# 786823 6.10%, 07/01/29 5,866 6,030 Pool# 846902 6.53%, 04/01/31 2,547 2,631 Pool# 788677 5.45%, 10/01/31 3,606 3,701 FREDDIE MAC STRUCTURED PASS THROUGH SECURITIES (4) Series H008 Class A2 1.77%, 06/15/07 25,000 24,947 (3) Series H004 Class A2 2.59%, 12/15/07 25,000 24,975 VENDEE MORTGAGE TRUST Series 2001-1 Class 2B 7.00%, 12/15/22 574 576 ----------- 147,647 MUNICIPAL BONDS 0.8% of investments CALIFORNIA STATE DEPARTMENT OF WATER RESOURCES Power Supply Revenue 3.59%, 05/01/04 15,000 15,135 COMMERCIAL PAPER & OTHER CORPORATE OBLIGATIONS 4.3% of investments ATLANTIS TWO FUNDING CORP. 1.20%, 09/11/03 4,785 4,784 1.20%, 09/18/03 10,000 9,995 (8) CONOCO PHILLIPS 1.07%, 09/05/03 20,360 20,358 DAIMLER-CHRYSLER, N.A. HOLDINGS 1.20%, 09/04/03 6,900 6,900 1.22%, 09/19/03 10,000 9,994 FORD MOTOR CREDIT 1.25%, 09/03/03 4,050 4,050 1.19%, 09/12/03 4,900 4,898 GENERAL MILLS, INC. 1.10%, 09/22/03 5,990 5,986 INTERNATIONAL FLAVORS 1.15%, 09/23/03 10,000 9,993 WASHINGTON MUTUAL CAPITAL I 1.18%, 09/02/03 4,000 4,000 ----------- 80,958 FIXED-RATE - U.S. GOVERNMENT SECURITIES 0.2% of investments DISCOUNT NOTES 0.2% -------------------------------------------------------------------------- @ U.S. TREASURY BILLS 0.82%, 09/18/03 2,000 1,999 0.92%, 10/30/03 1,000 999 ----------- 2,998
See financial notes. 25 SCHWAB YIELDPLUS FUND(R) PORTFOLIO HOLDINGS continued
MKT. VALUE SECURITY AND NUMBER OF SHARES ($ x 1,000) PREFERRED STOCK 2.3% of investments (7) ABN AMRO XIX CUSTODIAL RECEIPTS 200,000 20,724 DEUTSCHE BANK CAPITAL TRUST II 64,473 6,650 GRAND METRO DELAWARE, L.P. 140,000 3,753 LEHMAN BROTHERS HOLDINGS, INC. 208,000 11,260 ----------- 42,387 OTHER INVESTMENT COMPANIES 0.0% of investments PROVIDENT INSTITUTIONAL FUNDS- FED FUNDS PORTFOLIO 899,243 899
END OF PORTFOLIO HOLDINGS. For totals, please see the first page of holdings for this fund. In addition to the above, the fund held the following at 8/31/03. All numbers are x 1,000 except number of futures contracts. FUTURES CONTRACTS
Number of Contract Unrealized Contracts Value Losses 2 Year, Short U.S. Treasury Note, expires 12/18/03 1,000 213,047 (222) 5 Year, Short U.S. Treasury Note, expires 12/18/03 1,700 186,761 (186) --------- (408)
26 See financial notes. SCHWAB YIELDPLUS FUND(R) Statement of ASSETS AND LIABILITIES As of August 31, 2003. All numbers are x 1,000 except NAV. ASSETS - --------------------------------------------------------------------------------- Investments, at market value $ 1,867,075 a Receivables: Fund shares sold 2,981 Interest 11,932 Dividends 540 Investments sold 37,810 Investments matured 1,662 Due from brokers for futures 475 Prepaid expenses + 86 --------------- TOTAL ASSETS 1,922,561 LIABILITIES - --------------------------------------------------------------------------------- Payables: Fund shares redeemed 4,604 Dividends to shareholders 4,701 Investments bought 26,911 Investment adviser and administrator fees 48 Transfer agent and shareholder service fees 21 Accrued expenses + 101 --------------- TOTAL LIABILITIES 36,386 NET ASSETS - --------------------------------------------------------------------------------- TOTAL ASSETS 1,922,561 TOTAL LIABILITIES - 36,386 --------------- NET ASSETS $ 1,886,175 NET ASSETS BY SOURCE Capital received from investors 1,934,882 Distributions in excess of net investment income (688) Net realized capital losses (53,154) b Net unrealized capital gains 5,135 b NET ASSET VALUE (NAV) BY SHARE CLASS SHARES SHARE CLASS NET ASSETS / OUTSTANDING = NAV Investor Shares $ 409,880 42,234 $9.70 Select Shares(R) $1,476,295 152,117 $9.70
Unless stated, all numbers are x 1,000. a The fund's amortized cost for these securities was $1,861,532. Not counting short-term obligations and government securities, the fund paid $1,154,222 for securities during the report period, and received $1,262,239 from securities it sold or that matured. For long-term government securities, the fund paid $108,069 during the report period and received $161,896 for securities it sold or that matured. Included in the total purchases and sales amounts are $21,954 in transactions with other SchwabFunds(R). b These derive from investments, futures and short sales. FEDERAL TAX DATA - ---------------------------------------------------- PORTFOLIO COST $ 1,861,532 NET UNREALIZED GAINS AND LOSSES: Gains $ 12,667 Losses + (7,124) --------------- $ 5,543 AS OF AUGUST 31, 2003: UNDISTRIBUTED EARNINGS: Ordinary income $ 4,013 Long-term capital gains $ -- UNUSED CAPITAL LOSSES: Expires 08/31 of: 2009 $ 1,318 2010 2,061 2011 + 47,204 -------------- $ 50,583 DEFERRED CAPITAL LOSSES $ 2,978 RECLASSIFICATIONS: Net realized capital gains ($5,474) Reclassified as: Net investment income not yet distributed $ 5,474
See financial notes. 27 SCHWAB YIELDPLUS FUND(R) Statement of OPERATIONS For September 1, 2002 through August 31, 2003. All numbers are x 1,000. INVESTMENT INCOME - ------------------------------------------------------------------ Interest $ 62,373 Dividends 3,825 a ------------ TOTAL INVESTMENT INCOME 66,198 NET REALIZED GAINS AND LOSSES - ------------------------------------------------------------------ Net realized losses on investments sold (3,486) Net realized losses on futures contracts + (6,073) ------------ NET REALIZED LOSSES (9,559) NET UNREALIZED GAINS AND LOSSES - ------------------------------------------------------------------ Net unrealized gains on investments 4,675 Net unrealized gains on futures contracts + 2,686 ------------ NET UNREALIZED GAINS 7,361 EXPENSES - ------------------------------------------------------------------ Investment adviser and administrator fees 5,667 b Transfer agent and shareholder service fees: Investor Shares 972 c Select Shares(R) 1,417 c Trustees' fees 18 d Custodian and portfolio accounting fees 177 Professional fees 39 Registration fees 80 Shareholder reports 142 Other expenses + 29 ------------ Total expenses 8,541 Expense reduction - 106 e ------------ NET EXPENSES 8,435 INCREASE IN NET ASSETS FROM OPERATIONS - ------------------------------------------------------------------ TOTAL INVESTMENT INCOME 66,198 NET EXPENSES - 8,435 ------------ NET INVESTMENT INCOME 57,763 NET REALIZED LOSSES (9,559) f NET UNREALIZED GAINS + 7,361 f ------------ INCREASE IN NET ASSETS FROM OPERATIONS $ 55,565
Unless stated, all numbers are x 1,000. a An additional $3 was held for foreign taxes. b Calculated as a percentage of average daily net assets: 0.35% of the first $500 million and 0.30% of assets beyond that. c Calculated as a percentage of average daily net assets: for transfer agent services, 0.05% of the fund's assets; for shareholder services, 0.20% and 0.05% of the assets of each respective share class. These fees are paid to Charles Schwab & Co. d For the fund's independent trustees only. e Includes $104 from the investment adviser (CSIM) and $2 from the transfer agent (Schwab). These reductions reflect a guarantee by CSIM and Schwab to limit the annual operating expenses of this fund through November 15, 2002 at 0.55% and 0.40% for the Investors shares and the Select(R) shares, respectively. This limit doesn't include interest, taxes and certain non-routine expenses. Effective November 16, 2002, this limit no longer applies. f These add up to a net loss on investments of $2,198. 28 See financial notes. SCHWAB YIELDPLUS FUND(R) Statements of CHANGES IN NET ASSETS For the current and prior report periods. All numbers are x 1,000.
OPERATIONS - --------------------------------------------------------------------------------- 9/1/02 - 8/31/03 9/1/01 - 8/31/02 Net investment income $ 57,763 $ 71,495 Net realized losses (9,559) (34,142) Net unrealized gains or losses + 7,361 (7,702) -------------------------------------- INCREASE IN NET ASSETS FROM OPERATIONS 55,565 29,651 DISTRIBUTIONS PAID - --------------------------------------------------------------------------------- DIVIDENDS FROM NET INVESTMENT INCOME Investor Shares 13,311 14,312 Select Shares(R) + 50,614 59,436 -------------------------------------- TOTAL DIVIDENDS FROM NET INVESTMENT INCOME $ 63,925 $ 73,748 a
TRANSACTIONS IN FUND SHARES - --------------------------------------------------------------------------------- 9/1/02 - 8/31/03 9/1/01 - 8/31/02 SHARES VALUE SHARES VALUE SHARES SOLD Investor Shares 23,619 229,942 $ 41,617 $ 411,536 Select Shares + 81,350 791,784 151,583 1,500,276 -------------------------------------------------------- TOTAL SHARES SOLD 104,969 $ 1,021,726 193,200 $ 1,911,812 SHARES REINVESTED Investor Shares 1,195 $ 11,632 1,146 $ 11,301 Select Shares + 4,298 41,834 4,368 43,066 -------------------------------------------------------- TOTAL SHARES REINVESTED 5,493 $ 53,466 5,514 $ 54,367 SHARES REDEEMED Investor Shares (22,812) ($ 221,943) (20,994) ($ 206,500) Select Shares + (81,619) (794,027) (85,131) (837,256) -------------------------------------------------------- TOTAL SHARES REDEEMED (104,431) ($1,015,970) (106,125) ($1,043,756) b NET TRANSACTIONS IN FUND SHARES 6,031 $ 59,222 92,589 $ 922,423
SHARES OUTSTANDING AND NET ASSETS - --------------------------------------------------------------------------------- 9/1/02 - 8/31/03 9/1/01 - 8/31/02 SHARES NET ASSETS SHARES NET ASSETS Beginning of period 188,320 $1,835,313 95,731 $ 956,987 Total increase + 6,031 50,862 92,589 878,326 c ------------------------------------------------------- END OF PERIOD 194,351 $1,886,175 188,320 $1,835,313 d
Unless stated, all numbers are x 1,000. a The tax-basis components of distributions paid for the current report period are: Ordinary income $63,925 Long-term capital gains $ --
b Dollar amounts are net of proceeds received from the 0.25% early withdrawal fee the fund charges on shares sold 90 days or less after buying them: CURRENT PERIOD Investor Shares $ 6 Select Shares(R) + 10 ------- TOTAL $ 16 PRIOR PERIOD Investor Shares $ 60 Select Shares(R) + 225 ------- TOTAL $285
Effective November 16, 2002, the early withdrawal fee was eliminated. c Figures for shares represent shares sold plus shares reinvested, minus shares redeemed. Figures for net assets represent the changes in net assets from operations plus the changes in value of transactions in fund shares, minus distributions paid. d Includes distributions in excess of net investment income in the amount of $688 at the end of the current period and net investment income not yet distributed in the amount of $0 for the prior period. See financial notes. 29 SCHWAB SHORT-TERM BOND MARKET FUND FINANCIAL STATEMENTS FINANCIAL HIGHLIGHTS
9/1/02 - 9/1/01 - 9/1/00 - 9/1/99 - 9/1/98 - 8/31/03 8/31/02 8/31/01 8/31/00 8/31/99 - ----------------------------------------------------------------------------------------------------------------------------------- PER-SHARE DATA ($) - ----------------------------------------------------------------------------------------------------------------------------------- Net asset value at beginning of period 10.07 10.08 9.65 9.66 9.90 ---------------------------------------------------------------------------------- Income from investment operations: Net investment income 0.34 0.50 0.59 0.57 0.50 Net realized and unrealized gains or losses 0.07 (0.02) 0.43 (0.01) (0.24) ---------------------------------------------------------------------------------- Total income from investment operations 0.41 0.48 1.02 0.56 0.26 Less distributions: Dividends from net investment income (0.34) (0.49) (0.59) (0.57) (0.50) ---------------------------------------------------------------------------------- Net asset value at end of period 10.14 10.07 10.08 9.65 9.66 ---------------------------------------------------------------------------------- Total return (%) 4.16 4.88 10.84 5.97 2.66 RATIOS/SUPPLEMENTAL DATA (%) - ----------------------------------------------------------------------------------------------------------------------------------- Ratios to average net assets: Net operating expenses 0.43 0.35 0.35 0.35 1 0.35 Gross operating expenses 0.58 0.63 0.66 0.68 0.77 Net investment income 3.34 4.95 5.90 5.91 5.11 Portfolio turnover rate 124 150 248 129 195 Net assets, end of period ($ x 1,000,000) 648 493 369 219 218
1 The ratio of net operating expenses would have been 0.36% if certain non-routine expenses (proxy fees) had been included. 30 See financial notes. SCHWAB SHORT-TERM BOND MARKET FUND PORTFOLIO HOLDINGS as of August 31, 2003 This section shows all the securities in the fund's portfolio and their market value, as of the report date. We use the symbol below to designate the top ten holdings; the number in the circle is the security's rank among the top ten. (1) Top ten holding @ Collateral for futures contracts * Collateral for short sales For fixed rate obligations, the rate shown is the interest rate (the rate established when the obligation was issued) and the maturity date shown is the stated legal maturity. For variable-rate obligations, the rate shown is the rate as of the report date, and the maturity shown is the later of the next interest rate change date or demand date.
COST MARKET VALUE HOLDINGS BY CATEGORY ($x1,000) ($x1,000) - -------------------------------------------------------------------------------- 51.5% FIXED-RATE- U.S. GOVERNMENT SECURITIES 337,625 338,967 33.7% CORPORATE BONDS 218,657 222,095 11.5% COLLATERIZED MORTGAGE OBLIGATIONS & ASSET- BACKED OBLIGATIONS 76,313 75,845 0.5% MUNICIPAL BONDS 3,000 3,027 2.7% COMMERCIAL PAPER & OTHER CORPORATE OBLIGATIONS 17,896 17,896 0.1% OTHER INVESTMENT COMPANIES 439 439 - -------------------------------------------------------------------------------- 100.0% TOTAL INVESTMENTS 653,930 658,269
PROCEEDS MARKET VALUE SHORT SALES BY CATEGORY ($x1,000) ($x1,000) - -------------------------------------------------------------------------------- SHORT SALES 4,409 4,428
COLLATERAL RECEIVED COST MARKET VALUE FOR SECURITIES LENDING ($x1,000) ($x1,000) - -------------------------------------------------------------------------------- COMMERCIAL PAPER & OTHER CORPORATE OBLIGATIONS 3,979 3,979 SHORT-TERM INVESTMENTS 32,956 32,956 OTHER INVESTMENT COMPANIES 133,245 133,245 - -------------------------------------------------------------------------------- TOTAL COLLATERAL RECEIVED FOR SECURITIES LENDING 170,180 170,180
SECURITY SERIES FACE VALUE MKT. VALUE RATE, MATURITY DATE ($ x 1,000) ($ x 1,000) FIXED-RATE - U.S. GOVERNMENT SECURITIES 51.5% of investments COUPON NOTES 36.8% ------------------------------------------------------------------------- U.S. TREASURY NOTES 2.25%, 07/31/04 5,000 5,047 2.13%, 08/31/04 5,000 5,044 7.88%, 11/15/04 6,000 6,461 (8) 2.00%, 11/30/04 11,000 11,081 1.75%, 12/31/04 6,000 6,022 (1) 1.63%, 01/31/05 18,000 18,023 7.50%, 02/15/05 10,000 10,851 1.50%, 02/28/05 10,000 9,988 1.63%, 03/31/05 2,000 2,000 6.75%, 05/15/05 3,150 3,414 1.13%, 06/30/05 10,000 9,878 (9) 6.50%, 08/15/05 10,000 10,880 5.75%, 11/15/05 8,000 8,635 5.63%, 02/15/06 10,000 10,824 (6) 2.00%, 05/15/06 13,000 12,903 6.88%, 05/15/06 3,500 3,914 (7) 7.00%, 07/15/06 10,000 11,257 (2) 2.38%, 08/15/06 17,500 17,452 (10) 6.50%, 10/15/06 9,000 10,050 6.25%, 02/15/07 5,000 5,576 4.38%, 05/15/07 3,000 3,156 3.25%, 08/15/07 4,000 4,036 3.00%, 11/15/07 7,000 6,967 3.00%, 02/15/08 10,750 10,640 5.50%, 02/15/08 5,000 5,472 2.63%, 05/15/08 11,000 10,657 5.63%, 05/15/08 6,000 6,594
See financial notes. 31 SCHWAB SHORT-TERM BOND MARKET FUND PORTFOLIO HOLDINGS continued
SECURITY SERIES FACE VALUE MKT. VALUE RATE, MATURITY DATE ($ x 1,000) ($ x 1,000) 3.25%, 08/15/08 10,000 9,915 4.75%, 11/15/08 5,000 5,292 ---------- 242,029 AGENCY OBLIGATIONS 14.6% ------------------------------------------------------------------------- FANNIE MAE (5) 1.88%, 12/15/04 13,000 13,055 * 3.88%, 03/15/05 10,000 10,323 2.88%, 10/15/05 10,000 10,136 4.38%, 10/15/06 5,000 5,220 5.00%, 01/15/07 5,000 5,309 4.25%, 07/15/07 5,000 5,164 3.25%, 11/15/07 5,000 4,954 2.50%, 06/15/08 10,000 9,474 FREDDIE MAC 3.00%, 07/15/04 5,000 5,072 1.88%, 01/15/05 10,000 10,023 5.25%, 01/15/06 3,000 3,196 2.75%, 08/15/06 4,000 3,992 3.50%, 09/15/07 10,000 10,022 ----------- 95,940 U.S. TREASURY BILLS 0.1% ------------------------------------------------------------------------- @ U.S. TREASURY BILLS 0.95%, 10/30/03 1,000 998 CORPORATE BONDS 33.7% of investments FIXED-RATE OBLIGATIONS 29.1% ------------------------------------------------------------------------- @ AB SPINTAB, 144A 7.50%, 08/14/49 5,000 5,531 @ ABITIBI CONSOLIDATED, INC. 6.95%, 04/01/08 5,000 5,016 @ APPALACHIAN POWER CO. 3.60%, 05/15/08 4,000 3,864 @ AUTONATION, INC., 144A 9.00%, 08/01/08 2,000 2,215 @ BANK OF AMERICA CORP. 3.88%, 01/15/08 5,000 5,020 @ CENDANT CORP., 144A 6.88%, 08/15/06 3,500 3,807 @ CHANCELLOR MEDIA / CLEAR CHANNEL COMMUNICATION, 144A 8.00%, 11/01/08 2,000 2,280 @ COLUMBIA ENERGY GROUP Series F 7.42%, 09/07/03 3,000 3,223 @ CONTINENTAL CABLEVISION 9.50%, 08/01/13 3,270 3,843 FORD MOTOR CREDIT 6.88%, 02/01/06 4,000 4,203 @ FRANCE TELECOM 8.70%, 03/01/06 2,000 2,224 @ GENERAL ELECTRIC CAPITAL CORP. Series A 4.25%, 01/15/08 4,000 4,070 @ GENERAL MILLS, INC. 5.13%, 02/15/07 5,000 5,346 @ GOLDMAN SACHS GROUP, INC. 4.13%, 01/15/08 4,000 4,027 HCA, INC. @ 7.15%, 03/30/04 500 510 @ 6.91%, 06/15/05 4,100 4,282 HIGHMARK, INC., 144A 6.80%, 08/15/13 5,000 5,119 @ HOUSEHOLD FINANCE CORP. 6.40%, 06/17/08 5,000 5,466 @ HUSKY OIL LTD., 144A 8.90%, 08/15/28 4,210 4,841 @ ITT CORP. 6.75%, 11/15/03 2,000 2,020 @ J.P. MORGAN CHASE & CO. 3.63%, 05/01/08 5,000 4,927 @ JONES INTERCABLE, INC. (COMCAST CORP.) 8.88%, 04/01/07 2,000 2,102 LEAR CORP., 144A Series B 7.96%, 05/15/05 1,000 1,078 @ LENNAR CORP. 144A Series B 9.95%, 05/01/10 2,411 2,802 MANDALAY RESORT GROUP, 144A 6.50%, 07/31/09 1,000 1,008
32 See financial notes. SCHWAB SHORT-TERM BOND MARKET FUND
SECURITY SERIES FACE VALUE MKT. VALUE RATE, MATURITY DATE ($ x 1,000) ($ x 1,000) @ MGM MIRAGE, INC. 7.25%, 10/15/06 1,265 1,357 @ MILLER BREWING CO., 144A 4.25%, 08/15/08 2,000 1,996 @ NEWS AMERICA, INC. 6.63%, 01/09/08 2,000 2,202 @ NORDBANKEN AB, 144A 7.25%, 11/12/09 4,000 4,245 @ NORTHROP GRUMAN CORP. 9.38%, 10/15/24 5,580 6,148 @ ORANGE, PLC 9.00%, 06/01/09 5,605 6,105 @ PHILLIPS PETROLEUM CO. 8.50%, 05/25/05 2,000 2,216 @ PIONEER NATURAL RESOURCE 6.50%, 01/15/08 4,244 4,520 PROTECTIVE LIFE U.S. FUNDING TRUST, 144A 5.50%, 05/14/04 5,000 5,142 @ PROVINCE OF ONTARIO 6.00%, 02/21/06 6,000 6,476 @ RAYTHEON CO. 6.50%, 07/15/05 3,000 3,216 @ RELIANT ENERGY RESOURCES, 144A Series B 8.13%, 07/15/05 2,150 2,295 REPUBLIC OF ITALY 4.38%, 10/25/06 6,000 6,254 REPUBLIC OF SOUTH AFRICA 9.13%, 05/19/09 2,000 2,385 @ RYLAND GROUP, INC. 9.13%, 06/15/11 4,500 4,950 @ SCHULER HOMES, 144A 9.38%, 07/15/09 792 855 @ SOCGEN REAL ESTATE, L.L.C., 144A Series A 7.64%, 12/29/49 8,000 8,936 @ SVENSKA HANDELSBANKEN, 144A 7.13%, 03/07/49 5,000 5,453 @ TELUS CORP. 7.50%, 06/01/07 2,000 2,185 @ TOLL CORP. 8.13%, 02/01/09 1,014 1,072 @ TRITEL PCA, INC., 144A 10.38%, 01/15/11 2,000 2,415 @ TURNER BROADCASTING 8.40%, 02/01/24 5,000 5,273 @ TYCO INTERNATIONAL GROUP, SA 5.88%, 11/01/04 4,000 4,125 @ UNION PACIFIC CORP. 8.35%, 05/01/25 2,000 2,237 @ UNITED MEXICAN STATES 4.63%, 10/08/08 3,000 2,978 @ VERIZON GLOBAL FUNDING GROUP 4.00%, 01/15/08 5,000 5,011 @ WASTE MANAGEMENT, INC. 7.00%, 10/15/06 2,825 3,099 ----------- 191,970 VARIABLE RATE OBLIGATIONS 4.6% ------------------------------------------------------------------------- COUNTRYWIDE HOME LOAN Series K 1.95%, 11/10/03 5,000 5,024 CREDIT SUISSE FIRST BOSTON INTERNATIONAL CORP. 2.01%, 09/08/03 3,000 2,952 GENERAL MOTORS ACCEPTANCE CORP. 3.03%, 11/19/03 5,000 5,033 HERTZ CORP. 1.66%, 11/13/03 5,000 4,961 INTERNATIONAL LEASE FINANCE CORP. 2.32%, 11/03/03 5,000 5,068 MBNA CORP. 2.89%, 11/26/03 2,000 2,027 SEARS ROEBUCK ACCEPTANCE CORP. 3.93%, 11/24/03 5,000 5,060 ----------- 30,125
See financial notes. 33 SCHWAB SHORT-TERM BOND MARKET FUND PORTFOLIO HOLDINGS continued
SECURITY SERIES FACE VALUE MKT. VALUE RATE, MATURITY DATE ($ x 1,000) ($ x 1,000) COLLATERIZED MORTGAGE OBLIGATIONS & ASSET- BACKED OBLIGATIONS 11.5% of investments NON-U.S. GOVERNMENT AGENCY SECURITIES 5.7% ------------------------------------------------------------------------- FIXED-RATE OBLIGATIONS 3.1% ------------------------------------------------------------------------- ALTER MONETA RECEIVABLES, L.L.C. Series 2003-1 2.56%, 03/15/11 3,399 3,391 @ CAPITAL ONE MASTER TRUST Series 2000-2 Class A 7.20%, 08/15/08 5,000 5,388 MORGAN STANLEY DEAN WITTER CAPITAL I Series 2002-HE3N 9.50%, 12/27/32 1,681 1,682 RESIDENTIAL ASSET MORTGAGE PRODUCTS, INC. Series 2003-RZ3 Class A3 2.14%, 02/25/30 10,000 9,724 ----------- 20,185 VARIABLE RATE OBLIGATIONS 2.6% ------------------------------------------------------------------------- BAYVIEW FINANCIAL ACQUISITION TRUST Series 2003-BA Class M1 2.61%, 09/25/03 3,406 3,407 MBNA CREDIT CARD MASTER NOTE TRUST Series 2003-B3 Class B3 1.48%, 10/15/03 5,000 4,998 OPTION ONE MORTGAGE LOAN TRUST Series 2003-3 Class N 1.42%, 09/26/03 4,027 4,032 TERRAPIN FUNDING, L.L.C. Series 2003-1A Class B1 2.40%, 09/08/03 5,000 5,000 ----------- 17,437 U.S. GOVERNMENT AGENCY SECURITIES 5.8% ------------------------------------------------------------------------- FREDDIE MAC Series 2574 Class JM 5.00%, 12/15/22 8,473 8,541 FREDDIE MAC STRUCTURED PASS THROUGH SECURITIES (3) Series H006 Class A2 2.84%, 02/05/10 15,000 14,987 (4) Series H010 Class A3 2.72%, 04/15/10 15,000 14,695 ----------- 38,223 MUNICIPAL BONDS 0.5% of investments CALIFORNIA STATE DEPARTMENT OF WATER RESOURCES Power Supply Revenue 3.59%, 05/01/04 3,000 3,027 COMMERCIAL PAPER & OTHER CORPORATE OBLIGATIONS 2.7% of investments ATLANTIS TWO FUNDING CORP 1.30%, 09/02/03 8,097 8,097 ATLANTIS TWO FUNDING CORP. 1.25%, 09/11/03 2,800 2,799 WASHINGTON MUTUAL CAPITAL I 1.18%, 09/02/03 7,000 7,000 ----------- 17,896
MKT. VALUE SECURITY AND NUMBER OF SHARES ($ x 1,000) OTHER INVESTMENT COMPANIES 0.1% of investments PROVIDENT INSTITUTIONAL FUNDS- FED FUNDS PORTFOLIO 438,652 439
END OF PORTFOLIO HOLDINGS. For totals, please see the first page of holdings for this fund. 34 See financial notes. SCHWAB SHORT-TERM BOND MARKET FUND
SECURITY SERIES FACE VALUE MKT. VALUE RATE, MATURITY DATE ($ x 1,000) ($ x 1,000) SHORT SALES COUPON NOTES ------------------------------------------------------------------------- U.S. TREASURY NOTES 4.25%, 08/15/13 4,500 4,428
END OF SHORT SALES. For totals, please see the first page of holdings for this fund. COLLATERAL RECEIVED FOR SECURITIES LENDING COMMERCIAL PAPER & OTHER CORPORATE OBLIGATIONS ------------------------------------------------------------------------- CONCORDE MM CAP. CO. 1.08%, 09/12/03 3,983 3,979 SHORT-TERM INVESTMENTS ------------------------------------------------------------------------- CHASE MANHATTAN BANK TIME DEPOSIT 1.00%, 09/02/03 11,466 11,466 SOUTHTRUST BANK TIME DEPOSIT 1.00%, 09/02/03 10,024 10,024 SOCIETE GENERALE TIME DEPOSIT 1.09%, 09/02/03 11,466 11,466 ----------- 32,956
MKT. VALUE SECURITY AND NUMBER OF SHARES ($ x 1,000) OTHER INVESTMENT COMPANIES ------------------------------------------------------------------------- INSTITUTIONAL MONEY MARKET TRUST 133,245 133,245
END OF COLLATERAL RECEIVED FROM SECURITIES LENDING. For totals, please see the first page of holdings for this fund. In addition to the above, the fund held the following at 4/30/03. All numbers are x 1,000 except number of futures contracts. FUTURES CONTRACTS
Number of Contract Unrealized Contracts Value Gains/(Losses) 2 Year, Long U.S. Treasury Note, expires 12/18/03 500 106,523 109 5 Year, Short U.S. Treasury Note, expires 12/18/03 500 54,930 (54) ----------- 55
See financial notes. 35 SCHWAB SHORT-TERM BOND MARKET FUND Statement of ASSETS AND LIABILITIES As of August 31, 2003. All numbers are x 1,000 except NAV. ASSETS - ------------------------------------------------------------------------------ Investments, at market value (including $166,917 of securities on loan) $ 658,269 a Collateral held for securities on loan 170,180 Receivables: Fund shares sold 1,275 Interest 5,577 Investments sold 4,420 Investments sold short 4,419 Due from brokers for futures 16 Prepaid expenses + 36 ------------- TOTAL ASSETS 844,192 LIABILITIES - ------------------------------------------------------------------------------ Securities sold short, at market value 4,428 b Collateral held for securities on loan 170,180 Payables: Fund shares redeemed 919 Dividends to shareholders 1,706 Investments bought 19,341 Interest on securities sold short 9 Investment adviser and administrator fees 8 Transfer agent and shareholder service fees 14 Accrued expenses + 67 ------------- TOTAL LIABILITIES 196,672 NET ASSETS - ------------------------------------------------------------------------------ TOTAL ASSETS 844,192 TOTAL LIABILITIES 196,672 ------------- NET ASSETS $ 647,520 NET ASSETS BY SOURCE Capital received from investors 646,728 Net realized capital losses (3,583) c Net unrealized capital gains 4,375 c NET ASSET VALUE (NAV) SHARES NET ASSETS / OUTSTANDING = NAV $647,520 63,861 $10.14
Unless stated, all numbers are x 1,000. a The fund's amortized cost for these securities was $653,930. Not counting short-term obligations and government securities, the fund paid $261,260 for securities during the report period, and received $204,448 from securities it sold or that matured. For long-term government securities, the fund paid $536,011 during the reporting period and received $468,247 for securities it sold or that matured. Included in the total purchases and sales amounts are $7,385 in transactions with other SchwabFunds(R). b The proceeds for securities sold short is $4,409. c These derive from investments, futures and short sales. FEDERAL TAX DATA ----------------------------------------------------- PORTFOLIO COST $654,306 NET UNREALIZED GAINS AND LOSSES: Gains $ 7,973 Losses + (4,010) ------------- $ 3,963 AS OF AUGUST 31, 2003: UNDISTRIBUTED EARNINGS: Ordinary income $ 1,706 Long-term capital gains $ -- CAPITAL LOSSES UTILIZED $ 4,116 UNUSED CAPITAL LOSSES: Expires 08/31 of: Loss amount: 2004 1,737 2005 173 2008 + 1,241 ------------- $ 3,151 RECLASSIFICATIONS: Net realized capital gains ($ 31) Reclassified as: Net investment income not yet distributed $ 31
36 See financial notes. SCHWAB SHORT-TERM BOND MARKET FUND Statement of OPERATIONS For September 1, 2002 through August 31, 2003. All numbers are x 1,000. INVESTMENT INCOME - ------------------------------------------------------------------------------ Interest $ 21,808 Lending of securities 293 Dividends + 8 ------------- TOTAL INVESTMENT INCOME 22,109 NET REALIZED GAINS AND LOSSES - ------------------------------------------------------------------------------ Net realized gains on investments sold 12,304 Net realized losses on futures contracts (229) Net realized gains on short sales + 29 ------------- NET REALIZED GAINS 12,104 NET UNREALIZED GAINS AND LOSSES - ------------------------------------------------------------------------------ Net unrealized losses on investments (9,717) Net unrealized gains on futures contracts 55 Net unrealized losses on short sales + (19) ------------- NET UNREALIZED LOSSES (9,681) EXPENSES - ------------------------------------------------------------------------------ Investment adviser and administrator fees 1,688 a Transfer agent and shareholder service fees 1,464 b Trustees' fees 11 c Custodian and portfolio accounting fees 51 Professional fees 28 Registration fees 46 Shareholder reports 89 Other expenses + 16 ------------- Total expenses 3,393 Expense reduction - 868 d ------------- NET EXPENSES 2,525 INCREASE IN NET ASSETS FROM OPERATIONS - ------------------------------------------------------------------------------ TOTAL INVESTMENT INCOME 22,109 NET EXPENSES - 2,525 ------------- NET INVESTMENT INCOME 19,584 NET REALIZED GAINS 12,104 e NET UNREALIZED LOSSES + (9,681) e ------------- INCREASE IN NET ASSETS FROM OPERATIONS $ 22,007
Unless stated, all numbers are x 1,000. a Calculated as a percentage of average daily net assets: 0.30% of the first $500 million and 0.22% of assets beyond that. b Calculated as a percentage of average daily net assets: for transfer agent services, 0.05% of the fund's assets; for shareholder services, 0.20% of the fund's assets. These fees are paid to Charles Schwab & Co. c For the fund's independent trustees only. d This reduction was made by the investment adviser (CSIM). It reflects a guarantee by CSIM and Schwab to limit the annual operating expenses of this fund through at least November 15, 2003, to 0.45% of average daily net assets. Prior to November 16, 2002, this limit was 0.35%. This limit doesn't include interest, taxes and certain non-routine expenses. e These add up to a net gain on investments of $2,423. See financial notes. 37 SCHWAB SHORT-TERM BOND MARKET FUND Statements of CHANGES IN NET ASSETS For the current and prior report periods. All numbers are x 1,000. OPERATIONS - ------------------------------------------------------------------------------- 9/1/02 - 8/31/03 9/1/01 - 8/31/02 Net investment income $ 19,584 $ 20,801 Net realized gains or losses 12,104 (7,599) Net unrealized gains or losses + (9,681) 7,295 -------------------------------------- INCREASE IN NET ASSETS FROM OPERATIONS 22,007 20,497 DISTRIBUTIONS PAID - ------------------------------------------------------------------------------- Dividends from net investment income $ 19,817 $ 20,466 a
TRANSACTIONS IN FUND SHARES - ------------------------------------------------------------------------------- 9/1/02 - 8/31/03 9/1/01 - 8/31/02 SHARES VALUE SHARES VALUE Shares sold 45,091 $ 459,837 38,164 $ 382,502 Shares reinvested 1,451 14,788 1,465 14,642 Shares redeemed + (31,673) (322,739) (27,201) (272,237) ---------------------------------------------------- NET TRANSACTIONS IN FUND SHARES 14,869 $ 151,886 12,428 $ 124,907
SHARES OUTSTANDING AND NET ASSETS - ------------------------------------------------------------------------------- 9/1/02 - 8/31/03 9/1/01 - 8/31/02 SHARES NET ASSETS SHARES NET ASSETS Beginning of period 48,992 $ 493,444 36,564 $ 368,506 Total increase + 14,869 154,076 12,428 124,938 b ---------------------------------------------------- END OF PERIOD 63,861 $ 647,520 48,992 $ 493,444 c
Unless stated, all numbers are x 1,000. a The tax-basis components of distributions paid for the current report period are: Ordinary income $19,817 Long-term capital gains $ --
b Figures for shares represent shares sold plus shares reinvested, minus shares redeemed. Figures for net assets represent the changes in net assets from operations plus the changes in value from transactions in fund shares, minus distributions paid. c Includes net investment income not yet distributed in the amount of $202 at the end of the prior period. 38 See financial notes. SCHWAB TOTAL BOND MARKET FUND FINANCIAL STATEMENTS FINANCIAL HIGHLIGHTS
9/1/02- 9/1/01- 9/1/00- 9/1/99- 9/1/98- 8/31/03 8/31/02 8/31/01 8/31/00 8/31/99 - ------------------------------------------------------------------------------------------------------------------------------------ PER-SHARE DATA ($) - ------------------------------------------------------------------------------------------------------------------------------------ Net asset value at beginning of period 10.22 10.24 9.65 9.58 10.18 -------------------------------------------------------------------------------- Income from investment operations: Net investment income 0.34 0.47 0.60 0.61 0.55 Net realized and unrealized gains or losses 0.10 0.13 0.59 0.07 (0.53) -------------------------------------------------------------------------------- Total income from investment operations 0.44 0.60 1.19 0.68 0.02 Less distributions: Dividends from net investment income (0.37) (0.46) (0.60) (0.61) (0.55) Distributions from net realized gains (0.09) (0.16) -- -- (0.07) -------------------------------------------------------------------------------- Total distributions (0.46) (0.62) (0.60) (0.61) (0.62) -------------------------------------------------------------------------------- Net asset value at end of period 10.20 10.22 10.24 9.65 9.58 -------------------------------------------------------------------------------- Total return (%) 4.37 6.18 12.68 7.36 0.14 RATIOS/SUPPLEMENTAL DATA (%) - ------------------------------------------------------------------------------------------------------------------------------------ Ratios to average net assets: Net operating expenses 0.43 0.35 0.35 0.35 1 0.35 Gross operating expenses 0.54 0.57 0.58 0.63 0.74 Net investment income 3.36 4.66 6.00 6.42 5.55 Portfolio turnover rate 121 74 153 135 174 Net assets, end of period ($ x 1,000,000) 1,025 1,053 926 647 480
1 The ratio of net operating expenses would have been 0.36% if certain non-routine expenses (proxy fees) had been included. See financial notes. 39 SCHWAB TOTAL BOND MARKET FUND PORTFOLIO HOLDINGS as of August 31, 2003 This section shows all the securities in the fund's portfolio and their market value, as of the report date. We use the symbols below to designate certain characteristics. With the top ten holdings, the number in the circle is the security's rank among the top ten. (1) Top ten holding = Delayed-delivery security @ Collateral for futures contracts For fixed rate obligations, the rate shown is the interest rate (the rate established when the obligation was issued) and the maturity date shown is the stated legal maturity. For variable-rate obligations, the rate shown is the rate as of the report date, and the maturity shown is the later of the next interest rate change date or demand date.
COST MARKET VALUE HOLDINGS BY CATEGORY ($x1,000) ($x1,000) - -------------------------------------------------------------------------------- 46.6% COLLATERIZED MORTGAGE OBLIGATIONS & ASSET- BACKED OBLIGATIONS 589,629 583,892 27.1% CORPORATE BONDS 335,689 339,547 22.5% FIXED-RATE- U.S. GOVERNMENT SECURITIES 280,986 281,532 0.6% MUNICIPAL BONDS 7,000 7,063 2.7% COMMERCIAL PAPER & OTHER CORPORATE OBLIGATIONS 33,991 33,992 0.5% PREFERRED STOCK 5,980 5,943 0.0% OTHER INVESTMENT COMPANIES 722 722 - -------------------------------------------------------------------------------- 100.0% TOTAL INVESTMENTS 1,253,997 1,252,691
COLLATERAL RECEIVED COST MARKET VALUE FOR SECURITIES LENDING ($x1,000) ($x1,000) - -------------------------------------------------------------------------------- SHORT-TERM INVESTMENTS 29,863 29,863 OTHER INVESTMENT COMPANIES 121,555 121,555 - -------------------------------------------------------------------------------- TOTAL COLLATERAL RECEIVED FOR SECURITIES LENDING 151,418 151,418
SECURITY SERIES FACE VALUE MKT. VALUE RATE, MATURITY DATE ($ x 1,000) ($ x 1,000) COLLATERIZED MORTGAGE OBLIGATIONS & ASSET- BACKED OBLIGATIONS 46.6% of investments NON-U.S. GOVERNMENT AGENCY SECURITIES 14.0% -------------------------------------------------------------------------- FIXED-RATE OBLIGATIONS 1.8% -------------------------------------------------------------------------- CAPITAL ONE MASTER TRUST Series 2000-2 Class A 7.20%, 08/15/08 5,000 5,391 CITIBANK CREDIT CARD MASTER TRUST I Series 1999-5 Class A 6.10%, 05/15/08 5,000 5,440 MBNA CREDIT CARD MASTER NOTE TRUST Series 2002-A1 Class A1 4.95%, 06/15/09 5,000 5,296 MORGAN STANLEY DEAN WITTER CAPITAL I Series 2002-HE3N 9.50%, 12/27/32 2,881 2,883 Series 2002-NC4N 9.50%, 09/25/32 3,396 3,399 --------- 22,409 CORPORATE BONDS 27.1% of investments FIXED-RATE OBLIGATIONS 21.8% -------------------------------------------------------------------------- AB SPINTAB, 144A 7.50%, 08/14/49 6,300 6,969 ABITIBI CONSOLIDATED, INC. 8.55%, 08/01/10 4,000 4,251 @ APPALACHIAN POWER CO. Series H 5.95%, 05/15/33 3,000 2,684 @ AUTONATION, INC., 144A 9.00%, 08/01/08 4,150 4,596 BANK OF AMERICA CORP. 7.80%, 02/15/10 5,000 5,868 CENDANT CORP., 144A 6.88%, 08/15/06 3,500 3,807 @ CHANCELLOR MEDIA / CLEAR CHANNEL COMMUNICATION, 144A 8.00%, 11/01/08 3,000 3,420
40 See financial notes. SCHWAB TOTAL BOND MARKET FUND
SECURITY SERIES FACE VALUE MKT. VALUE RATE, MATURITY DATE ($ x 1,000) ($ x 1,000) @ CITICORP CAPITAL I 7.93%, 02/15/27 3,000 3,329 CODELCO, INC., 144A 6.38%, 11/30/12 5,000 5,221 COLUMBIA ENERGY GROUP Series F 7.42%, 11/28/15 5,800 6,231 CONTINENTAL CABLEVISION 9.50%, 08/01/13 3,000 3,526 @ CORESTATES CAPITAL TRUST I, 144A 8.00%, 12/15/26 2,000 2,241 ENTERGY GULF STATES, 144A 5.25%, 08/01/15 5,000 4,660 ERAC U.S.A. FINANCE CO., 144A 7.35%, 06/15/08 7,000 7,908 FORD MOTOR CREDIT 6.88%, 02/01/06 6,000 6,305 FRANCE TELECOM 10.00%, 03/01/31 5,000 6,467 @ GENERAL ELECTRIC CAPITAL CORP Series A 6.00%, 06/15/12 5,000 5,288 GENERAL MILLS, INC 6.00%, 02/15/12 5,000 5,290 GENERAL MOTORS 8.38%, 07/15/33 5,000 4,955 GOLDMAN SACHS GROUP, INC 6.88%, 01/15/11 5,000 5,566 4.75%, 07/15/13 2,000 1,895 HCA, INC @ 7.15%, 03/30/04 5,800 5,913 6.91%, 06/15/05 4,668 4,875 @ HIGHMARK, INC., 144A 6.80%, 08/15/13 10,000 10,238 HOUSEHOLD FINANCE CORP 4.75%, 07/15/13 5,000 4,699 HUSKY OIL LTD., 144A 8.90%, 08/15/28 6,000 6,900 @ INTERNATIONAL LEASE FINANCE CORP 5.88%, 05/01/13 2,000 2,033 JONES INTERCABLE, INC. (COMCAST CORP.) 8.88%, 04/01/07 5,000 5,256 LENNAR CORP. 144A Series B 9.95%, 05/01/10 5,000 5,810 MANDALAY RESORT GROUP, 144A 6.50%, 07/31/09 2,000 2,015 MDC HOLDINGS, INC 5.50%, 05/15/13 7,000 6,619 @ MGM MIRAGE, INC 7.25%, 10/15/06 2,500 2,681 @ MILLER BREWING CO., 144A 4.25%, 08/15/08 5,000 4,990 PHILLIPS PETROLEUM CO 9.38%, 02/15/11 5,000 6,286 @ PRINCIPAL LIFE GLOBAL, 144A 3.63%, 04/30/08 2,000 1,968 PROVINCE OF ONTARIO 6.00%, 02/21/06 6,000 6,476 RAYTHEON CO 6.50%, 07/15/05 7,000 7,505 @ RELIANT ENERGY RESOURCES, 144A Series B 8.13%, 07/15/05 5,390 5,753 REPUBLIC OF ITALY 4.38%, 10/25/06 6,000 6,254 @ REPUBLIC OF SOUTH AFRICA 9.13%, 05/19/09 3,000 3,577 @ RYLAND GROUP, INC 5.38%, 06/01/08 7,000 6,983 SOCGEN REAL ESTATE, L.L.C., 144A Series A 7.64%, 12/29/49 5,000 5,585 SVENSKA HANDELSBANKEN, 144A 7.13%, 03/29/49 5,000 5,453 @ TCI COMMUNICATIONS, INC 7.88%, 02/15/26 5,000 5,543 TELUS CORP 7.50%, 06/01/07 2,000 2,185 @ TIME WARNER, INC 9.15%, 02/01/23 5,000 6,030 TURNER BROADCASTING 8.40%, 02/01/24 3,800 4,008
See financial notes. 41 SCHWAB TOTAL BOND MARKET FUND PORTFOLIO HOLDINGS continued
SECURITY SERIES FACE VALUE MKT. VALUE RATE, MATURITY DATE ($ x 1,000) ($ x 1,000) @ TYCO INTERNATIONAL GROUP, SA 6.38%, 06/15/05 2,000 2,083 UNION PACIFIC CORP 8.35%, 05/01/25 5,000 5,592 UNITED MEXICAN STATES 4.63%, 10/08/08 7,000 6,948 VERIZON NEW ENGLAND, INC 6.50%, 09/15/11 7,000 7,627 WASHINGTON MUTUAL CAPITAL I 8.38%, 06/01/27 3,000 3,344 WASTE MANAGEMENT, INC 7.38%, 08/01/10 5,000 5,623 XTO ENERGY, INC 7.50%, 04/15/12 5,000 5,400 --------- 272,729 VARIABLE RATE OBLIGATIONS 5.3% -------------------------------------------------------------------------- BOISE CASCADE CO Series A 3.11%, 10/15/03 10,000 9,950 CREDIT SUISSE FIRST BOSTON INTERNATIONAL CORP 2.01%, 09/08/03 4,640 4,562 FORD MOTOR CREDIT 1.77%, 10/17/03 10,000 9,764 GENERAL MOTORS ACCEPTANCE CORP 3.03%, 11/19/03 10,000 10,067 GULF STATES UTILITIES, 144A 2.58%, 09/02/03 5,000 5,000 HERTZ CORP 1.66%, 11/13/03 10,500 10,418 MBNA CORP 2.89%, 11/26/03 2,000 2,027 Series F 2.13%, 09/12/03 5,000 5,017 NATIONAL CONSUMER COOPERATIVE BANK Series B 3.39%, 11/05/03 10,000 10,013 --------- 66,818 FIXED-RATE - U.S. GOVERNMENT SECURITIES 22.5% of investments COUPON NOTES 15.8% -------------------------------------------------------------------------- U.S. TREASURY BONDS 13.75%, 08/15/04 6,000 6,703 9.88%, 11/15/15 5,000 7,339 7.25%, 05/15/16 10,000 12,227 9.00%, 11/15/18 5,000 7,072 8.00%, 11/15/21 7,000 9,255 7.25%, 08/15/22 6,500 8,012 6.25%, 08/15/23 2,000 2,221 6.13%, 11/15/27 7,500 8,258 5.25%, 02/15/29 5,000 4,919 6.13%, 08/15/29 1,000 1,107 6.25%, 05/15/30 10,000 11,290 5.38%, 02/15/31 13,000 13,283 U.S. TREASURY NOTES 5.25%, 05/15/04 3,500 3,601 2.13%, 10/31/04 3,000 3,027 5.88%, 11/15/04 2,500 2,633 1.63%, 01/31/05 5,000 5,007 7.50%, 02/15/05 8,000 8,681 1.63%, 03/31/05 5,000 4,999 6.50%, 05/15/05 5,000 5,399 1.13%, 06/30/05 5,000 4,939 1.50%, 07/31/05 5,000 4,965 2.00%, 05/15/06 4,000 3,970 4.63%, 05/15/06 5,000 5,300 6.50%, 10/15/06 6,000 6,700 6.25%, 02/15/07 5,000 5,576 6.63%, 05/15/07 2,000 2,262 3.25%, 08/15/07 1,500 1,514 6.13%, 08/15/07 4,000 4,463 3.00%, 11/15/07 3,500 3,484 2.63%, 05/15/08 5,000 4,844 6.50%, 02/15/10 5,000 5,748 5.00%, 08/15/11 7,000 7,372 3.88%, 02/15/13 3,500 3,354 3.63%, 05/15/13 8,500 7,995 4.25%, 08/15/13 900 886 --------- 198,405 AGENCY OBLIGATIONS 6.6% -------------------------------------------------------------------------- FANNIE MAE 3.88%, 03/15/05 7,500 7,742
42 See financial notes. SCHWAB TOTAL BOND MARKET FUND
SECURITY SERIES FACE VALUE MKT. VALUE RATE, MATURITY DATE ($ x 1,000) ($ x 1,000) 4.25%, 07/15/07 5,000 5,164 6.00%, 05/15/08 5,000 5,495 2.50%, 06/15/08 15,000 14,212 6.63%, 09/15/09 2,500 2,817 4.38%, 09/15/12 10,000 9,641 7.25%, 05/15/30 2,500 2,962 FREDDIE MAC 4.25%, 06/15/05 5,000 5,195 4.88%, 03/15/07 5,000 5,285 7.00%, 03/15/10 5,000 5,741 5.75%, 01/15/12 5,000 5,323 5.13%, 07/15/12 5,000 5,088 4.50%, 01/15/13 5,000 4,838 6.25%, 07/15/32 2,500 2,629 --------- 82,132 DISCOUNT NOTES 0.1% -------------------------------------------------------------------------- @ U.S. TREASURY BILLS 1.02%, 02/26/04 1,000 995 VARIABLE RATE OBLIGATIONS 12.2% -------------------------------------------------------------------------- (7) AEGIS ASSET BACKED SECURITIES TRUST Series 2003-1 Class A1 1.51%, 09/25/03 18,603 18,640 AIRPLANES PASS THROUGH TRUST Series 2001-1A Class A9 1.66%, 09/15/03 8,000 6,809 ASSET BACKED SECURITIES CORP. HOME EQUITY LOAN TRUST Series 2003-HE1 Class A2 1.61%, 09/15/03 12,763 12,817 CAPITAL ONE MULTI-ASSET EXECUTION TRUST Series 2003-A1 Class A1 1.50%, 09/15/03 10,000 10,053 (6) CENTEX HOME EQUITY LOAN TRUST Series 2003-B Class M1 1.81%, 09/25/03 19,000 19,007 COUNTRYWIDE ASSET-BACKED CERTIFICATES Series 2001-3 Class M1 1.61%, 09/25/03 3,000 3,005 Series 2001-BC3 Class M1 1.66%, 09/25/03 5,000 4,997 Series 2002-3 Class M1 1.86%, 09/25/03 4,000 4,012 (9) FIRST FRANKLIN MORTGAGE LOAN ASSET-BACKED CERTIFICATES Series 2002-FF3 Class A2 1.51%, 09/25/03 17,859 17,918 LONG BEACH MORTGAGE LOAN TRUST Series 2003-1 Class A2 1.51%, 09/25/03 4,468 4,477 (8) MASTER ASSET BACKED SECURITIES TRUST Series 2003-OPT1 Class A2 1.53%, 09/25/03 17,915 17,960 MBNA CREDIT CARD MASTER NOTE TRUST Series 2003-B3 Class B3 1.48%, 10/15/03 10,000 10,002 PEAGSUS AVIATION LEASE SECURITIZATION Series 2001-1A Class A3 1.79%, 09/10/03 9,103 6,742 PROVIDENT BANK HOME EQUITY LOAN TRUST Series 1997-2 Class A5 1.34%, 08/13/06 3,050 3,048 RESIDENTIAL ASSET MORTGAGE PRODUCTS, INC. Series 2003-RS1 Class AII 1.50%, 09/25/03 13,202 13,227 --------- 152,714 U.S. GOVERNMENT AGENCY SECURITIES 32.6% -------------------------------------------------------------------------- FANNIE MAE = 6.00%, 05/21/07 5,000 5,084 =(1) 5.50%, 01/12/10 60,000 59,756 =(5) 5.00%, 12/07/10 25,000 24,195 Pool# 572123 5.50%, 07/18/06 50 51 Pool# 313346 7.00%, 01/01/07 537 565 Pool# 177450 7.00%, 10/01/07 20 21 Pool# 187589 7.00%, 11/01/07 49 52 Pool# 199468 7.00%, 01/01/08 302 320 Pool# 234418 7.00%, 09/01/08 227 241 Pool# 243050 7.00%, 10/01/08 261 277 Pool# 322816 7.00%, 09/01/10 54 57
See financial notes. 43 SCHWAB TOTAL BOND MARKET FUND PORTFOLIO HOLDINGS continued
SECURITY SERIES FACE VALUE MKT. VALUE RATE, MATURITY DATE ($ x 1,000) ($ x 1,000) Pool# 327130 7.00%, 10/10/10 129 137 Pool# 344397 7.00%, 04/01/11 25 27 Pool# 390378 7.00%, 08/01/12 34 36 Pool# 392512 7.00%, 09/01/12 16 17 Pool# 404280 7.00%, 12/01/12 75 80 Pool# 417450 7.00%, 02/01/13 46 49 Pool# 323437 5.50%, 12/01/13 629 646 Pool# 482675 5.50%, 01/01/14 178 182 Pool# 440789 5.50%, 03/01/14 15 15 Pool# 488587 5.50%, 03/01/14 105 108 Pool# 482550 5.50%, 04/01/14 52 53 Pool# 491110 5.50%, 04/01/14 167 172 Pool# 492793 5.50%, 06/01/14 65 66 Pool# 496816 5.50%, 06/01/14 59 60 Pool# 498293 7.00%, 07/01/14 18 19 Pool# 527268 7.00%, 11/01/14 15 16 Pool# 535633 5.50%, 12/01/14 10 10 Pool# 536805 7.00%, 03/01/15 7 7 Pool# 537374 7.00%, 06/01/15 20 21 Pool# 539782 7.00%, 06/01/15 28 30 Pool# 550860 7.00%, 08/01/15 54 57 Pool# 253430 7.00%, 09/01/15 444 472 Pool# 550568 7.00%, 09/01/15 499 530 Pool# 556587 7.00%, 10/01/15 127 135 Pool# 550415 7.00%, 11/01/15 96 102 Pool# 545034 7.00%, 12/01/15 244 260 Pool# 535662 7.00%, 01/01/16 5,968 6,347 Pool# 570681 5.50%, 02/01/16 7 7 Pool# 535944 7.00%, 02/01/16 643 684 Pool# 572133 7.00%, 02/01/16 73 78 Pool# 572726 7.00%, 03/01/16 91 96 Pool# 572794 7.00%, 03/01/16 41 44 Pool# 253666 7.00%, 03/01/16 384 408 Pool# 574866 5.50%, 04/01/16 39 40 Pool# 505038 5.50%, 06/01/16 21 22 Pool# 580055 5.50%, 07/01/16 60 61 Pool# 622533 7.00%, 04/01/16 269 286 Pool# 253797 5.50%, 05/01/16 1,583 1,620 Pool# 569314 5.50%, 07/01/16 61 63 Pool# 613008 7.00%, 07/01/16 774 824 Pool# 608827 7.00%, 09/01/16 37 40 Pool# 587851 5.50%, 11/01/16 52 53 Pool# 604966 5.50%, 11/01/16 41 42 Pool# 622466 5.50%, 12/01/16 34 35 Pool# 623761 7.00%, 01/01/17 123 131 Pool# 545400 5.50%, 01/01/17 679 695
44 See financial notes. SCHWAB TOTAL BOND MARKET FUND
SECURITY SERIES FACE VALUE MKT. VALUE RATE, MATURITY DATE ($ x 1,000) ($ x 1,000) Pool# 545411 5.50%, 01/01/17 800 819 Pool# 609703 5.50%, 03/01/17 729 746 Pool# 625942 5.50%, 03/01/17 48 49 Pool# 638392 5.50%, 03/01/17 1,411 1,442 Pool# 643839 7.00%, 05/01/17 474 504 Pool# 644496 5.50%, 06/01/17 834 853 Pool# 650126 7.00%, 06/01/17 120 127 Pool# 651274 7.00%, 07/01/17 1,275 1,356 Pool# 647546 5.50%, 08/01/17 50 51 Pool# 731473 5.50%, 08/01/17 1,801 1,843 Pool# 626827 5.50%, 09/01/17 69 70 Pool# 663217 5.50%, 10/01/17 62 63 Pool# 664109 5.50%, 10/01/17 60 61 Pool# 545967 5.50%, 10/01/17 70 72 Pool# 679284 7.00%, 10/01/17 64 68 Pool# 674151 5.50%, 11/01/17 67 68 Pool# 254607 7.00%, 11/01/17 756 804 Pool# 671599 5.50%, 11/01/17 72 73 Pool# 639919 5.50%, 11/01/17 815 833 Pool# 673022 5.50%, 12/01/17 837 855 Pool# 555291 5.50%, 12/01/17 1,545 1,579 Pool# 674742 5.50%, 01/01/18 846 865 Pool# 677469 5.50%, 01/01/18 1,768 1,807 Pool# 678973 5.50%, 01/01/18 54 55 Pool# 680035 5.50%, 01/01/18 139 142 Pool# 681185 5.50%, 01/01/18 51 52 Pool# 357350 5.50%, 02/01/18 236 242 Pool# 677606 5.50%, 02/01/18 49 50 Pool# 681386 5.50%, 02/01/18 68 70 Pool# 682986 5.50%, 02/01/18 46 47 Pool# 687154 5.50%, 02/01/18 52 53 Pool# 711583 5.50%, 03/01/18 33 33 Pool# 555352 5.50%, 03/01/18 683 698 Pool# 555456 5.50%, 04/01/18 897 917 Pool# 699526 5.50%, 06/01/18 46 47 Pool# 254472 6.50%, 09/01/22 9,754 10,130 Pool# 628209 6.50%, 02/01/32 1,809 1,873 Pool# 635861 6.50%, 03/01/32 8,079 8,366 Pool# 646817 6.00%, 04/01/33 10,195 10,369 Pool# 644590 6.50%, 05/01/32 5,672 5,871 Pool# 670402 6.50%, 06/01/32 693 718 Pool# 545762 6.50%, 07/01/32 2,889 2,991 Pool# 656434 6.50%, 08/01/32 2,296 2,376 Pool# 555708 7.50%, 01/01/33 13,728 14,599 Pool# 680982 6.00%, 01/01/33 13,341 13,568 Pool# 720769 6.00%, 08/01/33 6,466 6,575 = Pool# 727107 6.00%, 08/01/33 2,275 2,313
See financial notes. 45 SCHWAB TOTAL BOND MARKET FUND PORTFOLIO HOLDINGS continued
SECURITY SERIES FACE VALUE MKT. VALUE RATE, MATURITY DATE ($ x 1,000) ($ x 1,000) FREDDIE MAC =(3) 6.00%, 05/28/06 28,000 28,963 =(10) 5.00%, 05/02/08 17,000 17,064 Pool# C65062 6.50%, 03/01/32 15,009 15,549 Series 2574 Class JM 5.00%, 12/15/22 8,473 8,541 Pool# G01477 6.00%, 12/01/32 13,178 13,394 (4) FREDDIE MAC STRUCTURED PASS THROUGH SECURITIES Series H010 Class A3 2.72%, 04/15/10 25,000 24,492 GINNIE MAE = 6.00%, 09/01/03 14,000 14,298 =(2) 7.00%, 02/03/05 49,000 51,787 = 8.00%, 10/14/05 10,000 10,750 = 6.50%, 05/03/06 14,000 14,564 Pool# 781478 7.50%, 03/15/32 6,296 6,702 --------- 408,769 MUNICIPAL BONDS 0.6% of investments CALIFORNIA STATE DEPARTMENT OF WATER RESOURCES Power Supply Revenue 3.59%, 05/01/04 7,000 7,063 COMMERCIAL PAPER & OTHER CORPORATE OBLIGATIONS 2.7% of investments ATLANTIS TWO FUNDING CORP. 1.25%, 09/11/03 3,500 3,499 DAIMLER-CHRYSLER, N.A. HOLDINGS 1.20%, 09/04/03 4,000 4,000 GENERAL MOTORS ACCEPTANCE CORP. 1.24%, 09/15/03 10,500 10,495 KINDER MORGAN ENERGY PARTNERS 1.10%, 09/02/03 10,000 10,000 PHH CORP. 1.13%, 09/15/03 4,000 3,998 WASHINGTON MUTUAL CAPITAL I 1.18%, 09/02/03 2,000 2,000 --------- 33,992
MKT. VALUE SECURITY AND NUMBER OF SHARES ($ x 1,000) PREFERRED STOCK 0.5% of investments COBANK 115,000 5,943 OTHER INVESTMENT COMPANIES 0.0% of investments PROVIDENT INSTITUTIONAL FUNDS- FED FUNDS PORTFOLIO 722,228 722
END OF PORTFOLIO HOLDINGS. For totals, please see the first page of holdings for this fund.
SECURITY SERIES FACE VALUE MKT. VALUE RATE, MATURITY DATE ($ x 1,000) ($ x 1,000) COLLATERAL RECEIVED FOR SECURITIES LENDING SHORT-TERM INVESTMENTS -------------------------------------------------------------------------- CHASE MANHATTAN BANK TIME DEPOSIT 1.00%, 09/02/03 10,460 10,460 SOUTHTRUST BANK TIME DEPOSIT 1.00%, 09/02/03 8,943 8,943 SOCIETE GENERALE TIME DEPOSIT 1.09%, 09/02/03 10,460 10,460 --------- 29,863
MKT. VALUE SECURITY AND NUMBER OF SHARES ($ x 1,000) OTHER INVESTMENT COMPANIES -------------------------------------------------------------------------- INSTITUTIONAL MONEY MARKET TRUST 121,555 121,555
END OF COLLATERAL RECEIVED FROM SECURITIES LENDING. For totals, please see the first page of holdings for this fund. 46 See financial notes. SCHWAB TOTAL BOND MARKET FUND In addition to the above, the fund held the following at 8/31/03. All numbers are x 1,000 except number of futures contracts. FUTURES CONTRACTS
Number of Contract Unrealized Contracts Value Gains/(Losses) 2 Year, Long U.S. Treasury Note, expires 12/18/03 300 63,914 2 30 Year, Short U.S. Treasury Note, expires 12/18/03 100 10,600 (3) --------- (1)
See financial notes. 47 SCHWAB TOTAL BOND MARKET FUND Statement of ASSETS AND LIABILITIES As of August 31, 2003. All numbers are x 1,000 except NAV. ASSETS - -------------------------------------------------------------------------------- Investments, at market value (including $148,699 of securities on loan) $ 1,252,691 a Collateral held for securities on loan 151,418 Receivables: Fund shares sold 670 Dividends 57 Interest 8,232 Prepaid expenses + 32 -------------- TOTAL ASSETS 1,413,100 LIABILITIES - -------------------------------------------------------------------------------- Collateral held for securities on loan 151,418 Payables: Fund shares redeemed 900 Dividends to shareholders 3,239 Investments bought 232,289 Due to brokers for futures 2 Investment adviser and administration fees 13 Transfer agent and shareholder service fees 21 Accrued expenses + 75 -------------- TOTAL LIABILITIES 387,957 NET ASSETS - -------------------------------------------------------------------------------- TOTAL ASSETS 1,413,100 TOTAL LIABILITIES - 387,957 -------------- NET ASSETS $ 1,025,143 NET ASSETS BY SOURCE Capital received from investors 995,981 Distributions in excess of net investment income (518) Net realized capital gains 30,987 b Net unrealized capital losses (1,307) NET ASSET VALUE (NAV) SHARES NET ASSETS / OUTSTANDING = NAV $1,025,143 100,455 $10.20
Unless stated, all numbers are x 1,000. a The fund's amortized cost for these securities was $1,253,997. Not counting short-term obligations and government securities, the fund paid $609,213 for securities during the reporting period, and received $502,611 from securities it sold or that matured. For long-term government securities, the fund paid $2,223,429 during the report period and received $799,474 for securities it sold or that matured. Included in the total purchases and sales amounts are $14,568 in transactions with other Schwab Funds(R). b These derive from investments, futures, swap agreements and short sales. FEDERAL TAX DATA - --------------------------------------------------- PORTFOLIO COST $1,254,810 NET UNREALIZED GAINS AND LOSSES: Gains $ 13,969 Losses + (16,088) -------------- ($ 2,119) AS OF AUGUST 31, 2003: UNDISTRIBUTED EARNINGS: Ordinary income $ 18,753 Long-term capital gains $ 15,766 RECLASSIFICATIONS: Net realized capital gains ($ 1,634) Reclassified as: Net investment income not yet distributed $ 1,634
48 See financial notes. SCHWAB TOTAL BOND MARKET FUND Statement of OPERATIONS For September 1, 2002 through August 31, 2003. All numbers are x 1,000. INVESTMENT INCOME - -------------------------------------------------------------------------------- Interest $ 39,056 Lending of securities 309 Dividends + 295 ------------ TOTAL INVESTMENT INCOME 39,660 NET REALIZED GAINS AND LOSSES - -------------------------------------------------------------------------------- Net realized gains on investments sold 43,377 NET UNREALIZED GAINS AND LOSSES - -------------------------------------------------------------------------------- Net unrealized losses on investments (33,178) Net unrealized depreciation on futures + (1) ------------ NET UNREALIZED LOSSES ($33,179) EXPENSES - -------------------------------------------------------------------------------- Investment adviser and administrator fees 2,702 a Transfer agent and shareholder service fees 2,616 b Trustees' fees 14 c Custodian and portfolio accounting fees 118 Professional fees 30 Registration fees 31 Shareholder reports 125 Other expenses + 26 ------------ Total expenses 5,662 Expense reduction - 1,169 d ------------ NET EXPENSES 4,493 INCREASE IN NET ASSETS FROM OPERATIONS - -------------------------------------------------------------------------------- TOTAL INVESTMENT INCOME 39,660 NET EXPENSES - 4,493 ------------ NET INVESTMENT INCOME 35,167 NET REALIZED GAINS 43,377 e NET UNREALIZED LOSSES + (33,179) e ------------ INCREASE IN NET ASSETS FROM OPERATIONS $ 45,365
Unless stated, all numbers are x 1,000. a Calculated as a percentage of average daily net assets: 0.30% of the first $500 million and 0.22% of assets beyond that. b Calculated as a percentage of average daily net assets: for transfer agent services, 0.05% of the fund's assets; for shareholder services, 0.20% of the fund's assets. These fees are paid to Charles Schwab & Co. c For the fund's independent trustees only. d This reduction was made by the investment adviser (CSIM). It reflects a guarantee by CSIM and the transfer agent and shareholder service agent (Schwab) to limit the annual operating expenses of this fund through at least November 15, 2003, to 0.45% of average daily net assets. Prior to November 16, 2002, this limit was 0.35%. This limit doesn't include interest, taxes and certain non-routine expenses. e These add up to a net gain on investments of $10,198. See financial notes. 49 SCHWAB TOTAL BOND MARKET FUND Statements of CHANGES IN NET ASSETS For the current and prior report periods. All numbers are x 1,000.
OPERATIONS - --------------------------------------------------------------------------------- 9/1/02 - 8/31/03 9/1/01 - 8/31/02 Net investment income $35,167 $46,023 Net realized gains 43,377 4,299 Net unrealized gains or losses + (33,179) 10,232 ------------------------------------- INCREASE IN NET ASSETS FROM OPERATIONS 45,365 60,554 DISTRIBUTIONS PAID - --------------------------------------------------------------------------------- Dividends from net investment income 37,803 45,256 Distributions from net realized gains on investments + 9,120 15,184 ------------------------------------- TOTAL DISTRIBUTIONS PAID $46,923 $60,440 a
TRANSACTIONS IN FUND SHARES - --------------------------------------------------------------------------------- 9/1/02-8/31/03 9/1/01-8/31/02 SHARES VALUE SHARES VALUE Shares sold 34,089 $ 351,983 45,679 $ 460,968 Shares reinvested 4,171 43,002 5,324 53,370 Shares redeemed + (40,877) (421,166) (38,444) (388,007) ---------------------------------------------------- NET TRANSACTIONS IN FUND SHARES (2,617) ($ 26,181) 12,559 $ 126,331
SHARES OUTSTANDING AND NET ASSETS - --------------------------------------------------------------------------------- 9/1/02-8/31/03 9/1/01-8/31/02 SHARES NET ASSETS SHARES NET ASSETS Beginning of period 103,072 $1,052,882 90,513 $ 926,437 Total increase or decrease + (2,617) (27,739) 12,559 126,445 b ---------------------------------------------------- END OF PERIOD 100,455 $1,025,143 103,072 $1,052,882 c
Unless stated, all numbers are x 1,000. a The tax-basis components of distributions paid for the current report period are: Ordinary income $43,912 Long-term capital gains $ 3,011
b Figures for shares represent shares sold plus shares reinvested, minus shares redeemed. Figures for net assets represent the changes in net assets from operations plus the changes in value from transactions in fund shares, minus distributions paid. c Includes distributions in excess of net investment income in the amount of $518 for the current period and net investment income not yet distributed in the amount of $484 for the prior period. Percent of fund shares owned by other SchwabFunds(R) as of the end of the current period: SCHWAB MARKETTRACK PORTFOLIOS(R) Growth Portfolio 8.0% Balanced Portfolio 16.8% Conservative Portfolio 14.9% SCHWAB ANNUITY PORTFOLIOS Growth Portfolio II 0.3%
50 See financial notes. SCHWAB GNMA FUND FINANCIAL STATEMENTS FINANCIAL HIGHLIGHTS
3/3/03 1- INVESTOR SHARES 8/31/03 - -------------------------------------------------------------------------------- PER-SHARE DATA ($) - -------------------------------------------------------------------------------- Net asset value at beginning of period 10.00 ---------------------------------- Income from investment operations: Net investment income 0.06 Net realized and unrealized losses (0.17) ---------------------------------- Total income from investment operations (0.11) Less distributions: Dividends from net investment income (0.20) ---------------------------------- Net asset value at end of period 9.69 ---------------------------------- Total return (%) (1.11) 2 RATIOS/SUPPLEMENTAL DATA (%) - -------------------------------------------------------------------------------- Ratios to average net assets: Net operating expenses -- 3 Gross operating expenses 0.99 3 Net investment income 1.37 3 Portfolio turnover rate 105 Net assets, end of period ($ x 1,000,000) 21
1 Commencement of operations. 2 Not annualized. 3 Annualized. See financial notes. 51 SCHWAB GNMA FUND
3/3/03 1- SELECT SHARES(R) 8/31/03 PER-SHARE DATA ($) - -------------------------------------------------------------------------------- Net asset value at beginning of period 10.00 ---------------------------------- Income from investment operations: Net investment income 0.06 Net realized and unrealized losses (0.17) ---------------------------------- Total income from investment operations (0.11) Less distributions: Dividends from net investment income (0.20) ---------------------------------- Net asset value at end of period 9.69 ---------------------------------- Total return (%) (1.11) 2 RATIOS/SUPPLEMENTAL DATA (%) - -------------------------------------------------------------------------------- Ratios to average net assets: Net operating expenses -- 3 Gross operating expenses 0.83 3 Net investment income 1.37 3 Portfolio turnover rate 105 Net assets, end of period ($ x 1,000,000) 28
1 Commencement of operations. 2 Not annualized. 3 Annualized. 52 See financial notes. SCHWAB GNMA FUND PORTFOLIO HOLDINGS as of August 31, 2003. This section shows all the securities in the fund's portfolio and their market value, as of the report date. We use the symbols below to designate certain characteristics. With the top ten holdings, the number in the circle is the security's rank among the top ten. (1) Top ten holding = Delayed-delivery security For fixed rate obligations, the rate shown is the interest rate (the rate established when the obligation was issued) and the maturity date shown is the stated legal maturity. For variable-rate obligations, the rate shown is the rate as of the report date, and the maturity shown is the later of the next interest rate change date or demand date.
COST MARKET VALUE HOLDINGS BY CATEGORY ($x1,000) ($x1,000) - -------------------------------------------------------------------------------- 93.7% COLLATERALIZED MORTGAGE OBLIGATIONS & ASSET- BACKED OBLIGATIONS 53,031 52,315 5.4% COMMERCIAL PAPER & OTHER CORPORATE OBLIGATIONS 2,999 2,999 0.9% OTHER INVESTMENT COMPANIES 534 534 - -------------------------------------------------------------------------------- 100.0% TOTAL INVESTMENTS 56,564 55,848
SECURITY SERIES FACE VALUE MKT. VALUE RATE, MATURITY DATE ($ x 1,000) ($ x 1,000) COLLATERALIZED MORTGAGE OBLIGATIONS & ASSET- BACKED OBLIGATIONS 93.7% of investments U.S. GOVERNMENT AGENCY SECURITIES 92.3% -------------------------------------------------------------------------- FANNIE MAE (10) Pool# 628210 6.50%, 03/01/32 1,771 1,834 (2) Series 2003-22 Class UK 4.00%, 09/21/31 4,900 4,749 (4) Series 2003-37 Class FK 1.91%, 05/25/33 4,181 4,182 GINNIE MAE Pool# 585163 5.00%, 02/15/18 1,761 1,783 Pool# 3070 8.00%, 11/15/03 1 1 Pool# 3073 8.00%, 02/15/04 3 3 Pool# 3672 8.00%, 02/15/04 13 14 Pool# 3556 8.00%, 06/15/04 13 13 Pool# 3895 8.00%, 06/15/04 15 15 Pool# 3936 8.00%, 07/15/04 19 20 Pool# 6368 8.00%, 06/15/05 35 37 Pool# 6371 8.00%, 08/15/05 1 1 Pool# 6524 8.00%, 08/15/05 22 23 Pool# 6797 8.00%, 08/15/05 50 53 Pool# 7378 8.00%, 09/15/05 52 54 Pool# 10840 8.00%, 06/15/06 19 20 Pool# 11366 8.00%, 08/15/06 61 64 Pool# 12016 8.00%, 09/15/06 20 22 Pool# 13919 8.00%, 12/15/06 54 57 Pool# 15531 8.00%, 01/15/07 21 23 Pool# 17250 8.00%, 09/15/07 1 1 Pool# 24200 8.00%, 05/15/08 36 38 Pool# 25484 8.00%, 05/15/08 109 117 Pool# 23178 8.00%, 06/15/08 86 93 Pool# 23912 8.00%, 08/15/08 67 72 Pool# 33545 8.00%, 08/15/09 54 58 Pool# 358813 7.50%, 07/15/23 870 933 Pool# 345964 7.00%, 11/15/23 325 346 Pool# 780168 6.50%, 05/15/24 138 144
See financial notes. 53 SCHWAB GNMA FUND PORTFOLIO HOLDINGS continued
SECURITY SERIES FACE VALUE MKT. VALUE RATE, MATURITY DATE ($ x 1,000) ($ x 1,000) Pool# 780560 6.50%, 05/15/24 258 269 Pool# 780034 7.00%, 08/15/24 862 916 Pool# 416898 7.50%, 04/15/26 258 275 Pool# 780421 7.50%, 08/15/26 385 411 Pool# 451364 8.50%, 08/15/27 36 39 Pool# 454376 7.50%, 03/15/28 23 25 Pool# 780770 6.00%, 04/15/28 678 694 Pool# 458886 7.00%, 05/15/28 332 351 Pool# 780794 8.50%, 05/15/28 178 193 Pool# 478297 7.50%, 06/15/28 562 599 Pool# 490807 7.00%, 11/15/28 507 537 Pool# 510418 9.00%, 09/15/29 90 98 Pool# 434648 8.50%, 12/15/29 15 17 Pool# 520466 9.00%, 01/15/30 15 16 Pool# 515763 9.00%, 06/15/30 11 12 Pool# 515799 9.00%, 06/15/30 12 13 Pool# 515814 9.00%, 06/15/30 26 28 Pool# 511872 7.00%, 01/15/31 752 795 Pool# 538229 6.50%, 08/15/31 736 766 Pool# 563325 7.00%, 08/15/31 1,725 1,825 Pool# 569704 6.00%, 02/15/32 802 819 Pool# 590373 6.50%, 08/15/32 1,146 1,192 (1) Pool# 552763 6.50%, 09/15/32 4,653 4,842 (8) Pool# 599752 6.50%, 10/15/32 2,278 2,370 (9) Pool# 603324 6.00%, 12/15/32 2,315 2,366 (6) Pool# 581491 6.00%, 02/15/33 2,610 2,668 (3) Pool# 604141 6.00%, 03/15/33 4,643 4,745 (5) Pool# 611514 5.50%, 04/15/33 2,941 2,943 Pool# 604338 5.00%, 05/15/33 1,487 1,444 = 5.00%, 09/01/33 1,500 1,455 = 6.50%, 09/01/33 1,500 1,560 =(7) 5.50%, 10/01/33 2,500 2,489 ----------- 51,542 NON-U.S. GOVERNMENT AGENCY SECURITIES 1.4% -------------------------------------------------------------------------- VARIABLE RATE OBLIGATIONS 1.4% -------------------------------------------------------------------------- MORGAN STANLEY DEAN WITTER CAPITAL I Series 2002-NC4N 9.50%, 09/25/32 772 773 COMMERCIAL PAPER & OTHER CORPORATE OBLIGATIONS 5.4% of investments GENERAL MILLS, INC. 1.10%, 09/22/03 1,000 1,000 GENERAL MOTORS ACCEPTANCE CORP. 1.24%, 09/22/03 1,000 999 WASHINGTON MUTUAL CAPITAL I 1.18%, 09/02/03 1,000 1,000 ----------- 2,999
MKT. VALUE SECURITY AND NUMBER OF SHARES ($ x 1,000) OTHER INVESTMENT COMPANIES 0.9% of investments PROVIDENT INSTITUTIONAL FUNDS- FED FUNDS PORTFOLIO 534,271 534
END OF PORTFOLIO HOLDINGS. For totals, please see the first page of holdings for this fund. 54 See financial notes. SCHWAB GNMA FUND Statement of ASSETS AND LIABILITIES As of August 31, 2003. All numbers are x 1,000 except NAV. ASSETS - -------------------------------------------------------------------------------- Investments, at market value $ 55,848 a Receivables: Fund shares sold 66 Interest 228 Due from advisor 32 Prepaid expenses + 38 ------------- TOTAL ASSETS 56,212 LIABILITIES - -------------------------------------------------------------------------------- Payables: Fund shares redeemed 1,279 Dividends to shareholders 168 Investments bought 5,554 Accrued expenses + 33 ------------- TOTAL LIABILITIES 7,034 NET ASSETS - -------------------------------------------------------------------------------- TOTAL ASSETS 56,212 TOTAL LIABILITIES - 7,034 ------------- NET ASSETS $ 49,178 NET ASSETS BY SOURCE Capital received from investors 50,863 Net realized capital losses (969) b Net unrealized capital losses (716) b NET ASSET VALUE (NAV) BY SHARE CLASS SHARES SHARE CLASS NET ASSETS / OUTSTANDING = NAV Investor Shares $ 20,794 2,145 $ 9.69 Select Shares(R) $ 28,384 2,928 $ 9.69
Unless stated, all numbers are x 1,000. a The fund's amortized cost for these securities was $56,564. For long-term government securities, the fund paid $109,407 during the report period and received $54,915 for securities it sold or that matured. b These derive from investments. FEDERAL TAX DATA - ----------------------------------------------- PORTFOLIO COST $ 56,564 NET UNREALIZED GAINS AND LOSSES: Gains $ 10 Losses + (726) ------------ ($716) AS OF AUGUST 31, 2003: UNDISTRIBUTED EARNINGS: Ordinary income $ 168 Long-term capital gains $ -- DEFERRED CAPITAL LOSSES $ 969 RECLASSIFICATIONS: Net realized capital gains ($728) Reclassified as: Net investment income not yet distributed $ 728
See financial notes. 55 SCHWAB GNMA FUND Statement of OPERATIONS For March 3, 2003 through August 31, 2003. All numbers are x 1,000. INVESTMENT INCOME - -------------------------------------------------------------------------------- Interest $ 367 NET REALIZED GAINS AND LOSSES - -------------------------------------------------------------------------------- Net realized losses on investments sold (241) NET UNREALIZED GAINS AND LOSSES - -------------------------------------------------------------------------------- Net unrealized losses on investments (716) EXPENSES - -------------------------------------------------------------------------------- Investment adviser and administrator fees 121 a Transfer agent and shareholder service fees: Investor Shares 26 b Select Shares(R) 16 b Trustees' fees 3 c Custodian and portfolio accounting fees 20 Professional fees 16 Registration fees 23 Shareholder reports 12 Other expenses + 3 ------------ Total expenses 240 Expense reduction - 240 d ------------ NET EXPENSES -- DECREASE IN NET ASSETS FROM OPERATIONS - -------------------------------------------------------------------------------- TOTAL INVESTMENT INCOME 367 NET EXPENSES - -- ------------ NET INVESTMENT INCOME 367 NET REALIZED LOSSES (241) e NET UNREALIZED LOSSES + (716) e ------------ DECREASE IN NET ASSETS FROM OPERATIONS ($590)
Unless stated, all numbers are x 1,000. a Calculated as 0.45% of average daily net assets. b Calculated as a percentage of average daily net assets: for transfer agent services, 0.05% of the fund's assets; for shareholder services, 0.20% and 0.05% of the assets of each respective share class. These fees are paid to Charles Schwab & Co. c For the fund's independent trustees only. d Includes $197 from the investment adviser (CSIM) and $43 from the transfer agent and shareholder service agent (Schwab). These reductions reflect a guarantee by CSIM and Schwab to limit the annual operating expenses of this fund through August 31, 2003 at 0.00% for both Investor Shares and Select(R) shares. This limit doesn't include interest, taxes and certain non-routine expenses. e These add up to a net loss on investments of $957. 56 See financial notes. SCHWAB GNMA FUND Statements of CHANGES IN NET ASSETS For the current report period only. Because the fund commenced operations on March 3, 2003, it has no prior report period. All numbers are x 1,000.
OPERATIONS - -------------------------------------------------------------------------------- 3/3/03 - 8/31/03 Net investment income $ 367 Net realized losses (241) Net unrealized losses + (716) ----------------------------------- DECREASE IN NET ASSETS FROM OPERATIONS (590) DISTRIBUTIONS PAID - -------------------------------------------------------------------------------- DIVIDENDS FROM NET INVESTMENT INCOME Investor Shares 427 Select Shares(R) + 668 ----------------------------------- TOTAL DIVIDENDS FROM NET INVESTMENT INCOME $ 1,095 a
TRANSACTIONS IN FUND SHARES - -------------------------------------------------------------------------------- 3/3/03 - 8/31/03 SHARES VALUE SHARES SOLD Investor Shares 2,781 $ 27,703 Select Shares + 4,705 46,833 ------------------------------------------------------ TOTAL SHARES SOLD 7,486 $ 74,536 SHARES REINVESTED Investor Shares 27 $ 274 Select Shares + 42 412 ------------------------------------------------------ TOTAL SHARES REINVESTED 69 $ 686 SHARES REDEEMED Investor Shares (663) ($6,523) Select Shares + (1,819) (17,836) ------------------------------------------------------ TOTAL SHARES REDEEMED (2,482) ($24,359) NET TRANSACTIONS IN FUND SHARES 5,073 $ 50,863
SHARES OUTSTANDING AND NET ASSETS - -------------------------------------------------------------------------------- 3/3/03 - 8/31/03 SHARES NET ASSETS Beginning of period -- $ -- Total increase + 5,073 49,178 b END OF PERIOD 5,073 $ 49,178
Unless stated, all numbers are x 1,000. a The tax-basis components of distributions paid for the current report period are: Ordinary income $1,095 Long-term capital gains $ --
The difference of net investment income between financial statement and tax purposes are: Paydown losses $ 728
b Figures for shares represent shares sold plus shares reinvested, minus shares redeemed. Figures for net assets represent the changes in net assets from operations plus the changes in value of transactions in fund shares, minus distributions paid. See financial notes. 57 SCHWAB BOND FUNDS FINANCIAL NOTES BUSINESS STRUCTURE OF THE FUNDS EACH OF THE FUNDS DISCUSSED IN THIS REPORT IS A SERIES OF SCHWAB INVESTMENTS, A NO-LOAD, OPEN-END MANAGEMENT INVESTMENT COMPANY. The company is organized as a Massachusetts business trust and is registered under the Investment Company Act of 1940, as amended. The sidebar shows the funds in this report and their trust. BOTH SCHWAB YIELDPLUS FUND(R) AND SCHWAB GNMA FUND OFFER TWO SHARE CLASSES: Investor Shares and Select Shares(R). Shares of each class represent interest in the same portfolio, but each class has different expenses and investment minimums. Schwab Short-Term Bond Market and Total Bond Market Funds each offers one share class. Shares are bought and sold at net asset value, or NAV, which is the price for all outstanding shares. Each share has a par value of 1/1,000 of a cent, and the trustees may issue as many shares as necessary. THE TRUST AND ITS FUNDS This list shows all of the funds included in Schwab Investments. The funds discussed in this report are highlighted. SCHWAB INVESTMENTS organized October 26, 1990 Schwab 1000 Fund(R) Schwab YieldPlus Fund(R) Schwab Short-Term Bond Market Fund Schwab Total Bond Market Fund Schwab GNMA Fund Schwab Short/Intermediate Tax-Free Bond Fund Schwab Long-Term Tax-Free Bond Fund Schwab California Short/Intermediate Tax-Free Bond Fund Schwab California Long-Term Tax-Free Bond Fund FUND OPERATIONS Most of the funds' investments are described in the fund-by-fund sections earlier in this report. However, there are certain other investments and policies that may affect a fund's financials, as described below. Other policies concerning the funds' business operations also are described here. THE FUNDS DECLARE DIVIDENDS EVERY DAY THEY ARE OPEN FOR BUSINESS. These dividends, which are substantially equal to a fund's net investment income for that day, are paid out to shareholders once a month. The funds may make distributions from any net realized capital gains once a year. THE FUNDS MAY ENTER INTO SWAP AGREEMENTS. In these transactions, a fund and a counterparty agree to swap payments that are based on two different rates. The counterparty is typically a large financial institution, and the term of the swap is specified in advance. For example, a fund may agree that for six months it will pay the counterparty the equivalent of the interest on a given amount invested at LIBOR (the London Interbank Offered Rate). In exchange, the counter-party might agree to pay a fund the equivalent of the same amount invested in a certain bond index during this same six months. Swap agreements carry certain risks. Because the net gains or losses stemming from a swap agreement depend on the movements of one rate relative to another, a fund could experience unanticipated losses if one or both rates failed to behave as expected. A fund also could lose money if a counterparty failed to honor the terms of a swap agreement. THE FUNDS MAY LOAN SECURITIES TO CERTAIN BROKERS, DEALERS AND OTHER FINANCIAL INSTITUTIONS WHO PAY THE FUNDS NEGOTIATED FEES. The funds receive cash, letters of credit or U.S. Government securities as collateral on these loans. All of the cash collateral received is reinvested in high quality, short-term investments. The value of the collateral must be at least 102% of the market 58 SCHWAB BOND FUNDS value of the loaned securities as of the first day of the loan, and at least 100% each day thereafter. THE FUNDS MAY BUY SECURITIES ON A DELAYED-DELIVERY BASIS. In these transactions, a fund agrees to buy a security for a stated price, with settlement generally occurring within two weeks. If the security's value falls before settlement occurs, a fund could end up paying more for the security than its market value at the time of settlement. The funds have set aside sufficient securities as collateral for those securities bought on a delayed-delivery basis. THE FUNDS MAY ALSO SELL SECURITIES SHORT (SELL SECURITIES THEY DO NOT OWN). When they do so, the funds also place assets worth at least 100% of the value of the short securities into segregated accounts, as collateral. If the market value of the short securities subsequently falls, the funds can realize a gain by closing the position. However, if the value rises, the funds typically would have to add to their collateral or close out their short position at a loss. The potential for losses associated with short positions is much greater than the original value of the securities sold short and may exceed amounts recorded in the Statements of Assets and Liabilities. THE FUNDS MAY INVEST IN FUTURES CONTRACTS. Futures contracts involve certain risks because they can be very sensitive to market movements. One risk is that the price of a futures contract may not move in perfect correlation with the price of the underlying securities. Another risk is that, at certain times, it may be impossible for a fund to close out a position in a futures contract, due to a difference in trading hours or to market conditions that may reduce the liquidity for a futures contract or its underlying securities. Because futures carry inherent risks, a fund must give the broker a deposit of cash and/or securities (the "initial margin") whenever it enters into the futures contract. The amount of the deposit may vary from one contract to another, but it is generally a percentage of the contract amount. Futures are traded publicly on exchanges, and their market value changes daily. A fund records the change in market value of futures, and also the change in the amount of margin deposit required ("variation margin"). THE FUNDS MAY ENTER INTO "TBA" (TO BE ANNOUNCED) PURCHASE COMMITMENTS TO PURCHASE SECURITIES FOR A FIXED PRICE AT A FUTURE DATE, TYPICALLY NOT EXCEEDING 45 DAYS. TBAs may be considered securities in themselves, and involve a risk of loss if the value of the security to be purchased declines prior to settlement date. This risk is in addition to the risk of decline in a fund's other assets. THE FUNDS MAY ENTER INTO MORTGAGE DOLLAR ROLL TRANSACTIONS. In these transactions, a fund sells mortgage-backed securities for delivery in the current month and simultaneously agrees to buy back, on a given date in the future, securities of a similar type, coupon rate and maturity. Dollar roll transactions involve the risk that the market value of the security sold short by the fund may decline below the repurchase price of similar securities. THE FUNDS PAY FEES TO AFFILIATES OF THE INVESTMENT ADVISOR FOR VARIOUS SERVICES. Through their trust, the funds have agreements with Charles Schwab Investment Management, Inc. (CSIM) to provide investment advisory and administrative services and with Charles Schwab & Co., Inc. (Schwab) to provide transfer agent and shareholder services. Although these agreements specify certain fees for these services, CSIM and Schwab have made additional agreements with the funds that may limit the total expenses charged. The rates and limitations for these fees vary from fund to fund, and are described in each fund's Statement of Operations. 59 SCHWAB BOND FUNDS THE FUNDS MAY ENGAGE IN CERTAIN TRANSACTIONS INVOLVING AFFILIATES. For instance, a fund may let other SchwabFunds(R) buy and sell fund shares, particularly Schwab MarketTrack Portfolios(R). The funds may make direct transactions with certain other SchwabFunds when practical. When one fund is seeking to sell a security that another is seeking to buy, an interfund transaction can allow both funds to benefit by reducing transaction costs. This practice is limited to funds that share the same investment adviser, trustees and officers. Pursuant to an exemptive order issued by the SEC, the funds may enter into interfund borrowing and lending transactions within the Schwab Funds. All loans are for temporary or emergency purposes only. The interest rate charged on the loan is the average of the overnight repurchase agreement rate and the short-term bank loan rate. The interfund lending facility is subject to the oversight and periodic review of the Board of Trustees of the Schwab Funds. TRUSTEES MAY INCLUDE PEOPLE WHO ARE OFFICERS AND/ OR DIRECTORS OF THE INVESTMENT ADVISER OR SCHWAB. Federal securities law limits the percentage of such "interested persons" who may serve on a trust's board, and the trust was in compliance with these limitations throughout the report period. The trust did not pay any of these persons for their service as trustees, but it did pay non-interested persons (independent trustees), as noted in each fund's Statement of Operations. THE FUNDS MAY BORROW MONEY FROM BANKS AND CUSTODIANS. The funds may obtain temporary bank loans through the trusts to which they belong, to use for meeting shareholder redemptions or for extraordinary or emergency purposes. The trusts have custodian overdraft facilities and line of credit arrangements of $150 million and $100 million with PNC Bank, N.A. and Bank of America, N.A., respectively. The funds pay interest on the amounts they borrow at rates that are negotiated periodically. THE FUNDS INTEND TO MEET FEDERAL INCOME AND EXCISE TAX REQUIREMENTS FOR REGULATED INVESTMENT COMPANIES. Accordingly, the funds distribute substantially all of their net investment income and net realized capital gains (if any) to their respective shareholders each year. The net investment income and net realized capital gains and losses may differ for financial statement and tax purposes primarily due to differing treatments of paydown gains and losses and amortization of bond discounts and premiums. As long as a fund meets the tax requirements, it is not required to pay federal income tax. UNDER THE FUNDS' ORGANIZATIONAL DOCUMENTS, ITS OFFICERS AND TRUSTEES ARE INDEMNIFIED AGAINST CERTAIN LIABILITY ARISING OUT OF THE PERFORMANCE OF THEIR DUTIES TO THE FUNDS. In addition, in the normal course of business the funds enter into contracts with their vendors and others that provide general indemnifications. The funds' maximum exposure under these arrangements is unknown as this would involve future claims that may be made against the funds. However, based on experience, the funds expect the risk of loss to be remote. ACCOUNTING POLICIES The following are the main policies the funds use in preparing their financial statements. THE FUNDS VALUE THE SECURITIES IN THEIR PORTFOLIOS EVERY BUSINESS DAY. The funds use the following policies to value various types of securities: BONDS AND NOTES: valued at halfway between the most recent bid and asked quotes or, if such quotes are unavailable, at prices for securities of comparable maturity, credit quality and type. Valuations for bonds and notes are provided by an independent bond-pricing service. SECURITIES FOR WHICH NO QUOTED VALUE IS AVAILABLE, INCLUDING RESTRICTED SECURITIES: valued at fair value, as determined in good faith by the fund's investment adviser using guidelines adopted by the fund's Board of Trustees. 60 SCHWAB BOND FUNDS SWAP AGREEMENTS: each open contract is valued at a formula that varies with the specific terms of the agreement. FUTURES AND FORWARDS: open contracts are valued at their settlement prices as of the close of their exchanges (for futures) or at a market value based on that day's exchange rates (for forwards). When a fund closes out a futures or forwards position, it calculates the difference between the value of the position at the beginning and at the end, and records a realized gain or loss accordingly. SHORT-TERM SECURITIES (60 DAYS OR LESS TO MATURITY): valued at amortized cost. IF A FUND SELLS SECURITIES SHORT, it records the proceeds received as an asset and the obligation to buy back the securities as a liability. At the time a short sale is initiated, the asset and the liability are of equal value and effectively cancel each other out. Subsequently, the fund values the liability side of the transaction according to the market price of the securities sold short, and values the asset side according to the value of the proceeds. When the fund closes out a short position (buys the security), it records the outcome as a realized gain or loss. Interest accrued on securities sold short is recorded as an expense on the fund's records. SECURITY TRANSACTIONS are recorded as of the date the order to buy or sell the security is executed. INTEREST INCOME is recorded as it accrues. If a fund bought a debt security at a discount (that is, for less than its face value) or a premium (more than face value), it amortizes the discount or premium from the current date up to maturity. The fund then increases (in the case of discounts) or reduces (in the case of premiums) the income it records from the security. If the security is callable (meaning that the issuer has the option to pay it off before its maturity date), then the fund amortizes the premium to the security's call date and price, rather than the maturity date and price. REALIZED GAINS AND LOSSES from security transactions are based on the identified costs of the securities involved. Gains and losses from paydowns on mortgage and asset backed securities are recorded as adjustments to interest income. EXPENSES that are specific to a fund are charged directly to that fund. Expenses that are common to all funds within the trust generally are allocated among the funds in proportion to their net assets. FOR FUNDS OFFERING MULTIPLE SHARE CLASSES, all of the realized and unrealized gains or losses and net investment income, other than class specific expenses, are allocated daily to each class in proportion to its net assets. EACH FUND MAINTAINS ITS OWN ACCOUNT FOR PURPOSES OF HOLDING ASSETS AND ACCOUNTING, and is considered a separate entity for tax purposes. Within its account, each fund also keeps certain assets in segregated accounts, as may be required by securities law. THE ACCOUNTING POLICIES DESCRIBED ABOVE CONFORM WITH ACCOUNTING PRINCIPLES GENERALLY ACCEPTED IN THE UNITED STATES OF AMERICA. Notwithstanding this, shareholders should understand that in order to follow these principles, fund management has to make estimates and assumptions that affect the information reported in the financial statements. It's possible that once the results are known, they may turn out to be different from these estimates. 61 REPORT OF INDEPENDENT ACCOUNTANTS TO THE BOARD OF TRUSTEES AND SHAREHOLDERS OF: Schwab YieldPlus Fund(R) Schwab Short-Term Bond Market Fund Schwab Total Bond Market Fund Schwab GNMA Fund In our opinion, the accompanying statements of assets and liabilities, including the portfolio holdings, and the related statements of operations and of changes in net assets and the financial highlights present fairly, in all material respects, the financial position of Schwab YieldPlus Fund(R), Schwab Short-Term Bond Market Fund, Schwab Total Bond Market Fund and Schwab GNMA Fund (four of the portfolios constituting Schwab Investments, hereafter referred to as the "Funds") at August 31, 2003, the results of each of their operations for the period then ended, and the changes in each of their net assets and the financial highlights for the periods presented in conformity with accounting principles generally accepted in the United States of America. These financial statements and financial highlights (hereafter referred to as "financial statements") are the responsibility of the Funds' management; our responsibility is to express an opinion on these financial statements based on our audits. We conducted our audits of these financial statements in accordance with auditing standards generally accepted in the United States of America, which require that we plan and perform the audits to obtain reasonable assurance about whether the financial statements are free of material misstatement. An audit includes examining, on a test basis, evidence supporting the amounts and disclosures in the financial statements, assessing the accounting principles used and significant estimates made by management, and evaluating the overall financial statement presentation. We believe that our audits, which included confirmation of securities at August 31, 2003 by correspondence with the custodian and brokers, provide a reasonable basis for our opinion. PRICEWATERHOUSECOOPERS LLP San Francisco, CA October 10, 2003 62 SCHWAB BOND FUNDS FUND TRUSTEES unaudited A fund's Board of Trustees is responsible for protecting the interests of that fund's shareholders. The tables below give information about the people who serve as trustees and officers for the SchwabFunds(R), including the funds covered in this report. Trustees remain in office until they resign, retire or are removed by shareholder vote. 1 Under the Investment Company Act of 1940, any officer, director, or employee of Schwab or CSIM is considered an "interested person," meaning that he or she is considered to have a business interest in Schwab or CSIM. These individuals are listed as "interested trustees." The "independent trustees" are individuals who, under the 1940 Act, are not considered to have a business interest in Schwab or CSIM. Each of the SchwabFunds (of which there were 49 as of 8/31/03) belongs to one of these trusts: The Charles Schwab Family of Funds, Schwab Investments, Schwab Capital Trust or Schwab Annuity Portfolios. Currently all these trusts have the same trustees and officers. The address for all trustees and officers is 101 Montgomery Street, San Francisco, CA 94104. You can find more information about the trustees and officers in the Statement of Additional Information, which is available free by calling 1-800-435-4000. INDIVIDUALS WHO ARE INTERESTED TRUSTEES AND OFFICERS OF THE TRUST
TRUST POSITION(S); NAME AND BIRTHDATE TRUSTEE SINCE MAIN OCCUPATIONS AND OTHER DIRECTORSHIPS AND AFFILIATIONS - ---------------------------------------------------------------------------------------------------------------------------- CHARLES R. SCHWAB 2 Chair, Trustee: Chair, Director, The Charles Schwab Corp.; CEO, Director, Schwab 7/29/37 Family of Funds, 1989; Holdings, Inc.; Chair, Director, Charles Schwab & Co., Inc.; Charles Investments, 1991; Schwab Investment Management, Inc.; Chair, Charles Schwab Capital Trust, 1993; Holdings, Inc. I, Schwab International Holdings, Inc.; Director, U.S. Annuity Portfolios, 1994. Trust Corp., United States Trust Co. of New York, The Gap, Inc. (clothing retailer), Siebel Systems (software); Trustee, Stanford University. Until 6/03: Director, Xsign, Inc. (electronic payment systems). Until 5/03: Co-Chair, The Charles Schwab Corporation. Until 5/02: Director, Vodafone AirTouch PLC (telecom). Until 3/02: Director, Audiobase, Inc. (Internet audio solutions). Until 7/01: Director, The Charles Schwab Trust Company. Until 1/99: Director, Schwab Retirement Plan Services, Inc., Mayer & Schweitzer, Inc. (securities brokerage subsidiary of The Charles Schwab Corp.), Performance Technologies, Inc. (technology), TrustMark, Inc.
1 The SchwabFunds retirement policy requires that independent trustees elected after January 1, 2000 retire at age 72 or after twenty years of service as a trustee, whichever comes first. Independent trustees elected prior to January 1, 2000 will retire on the following schedule: Messrs. Holmes and Dorward will retire on December 31, 2007, and Messrs. Stephens and Wilsey will retire on December 31, 2010. 2 In addition to their positions with the investment adviser and the distributor, Messrs. Schwab and Lyons, as well as some of Mr. Lyons's immediate family members, also own stock of The Charles Schwab Corporation. 63 SCHWAB BOND FUNDS INDIVIDUALS WHO ARE INTERESTED TRUSTEES BUT NOT OFFICERS OF THE TRUST
NAME AND BIRTHDATE TRUSTEE SINCE MAIN OCCUPATIONS AND OTHER DIRECTORSHIPS AND AFFILIATIONS - ---------------------------------------------------------------------------------------------------------------------------- DAWN G. LEPORE 1 Trustee:2003 Vice Chair, EVP, The Charles Schwab Corp.; Until 10/01: CIO, The 3/21/54 (all trusts) Charles Schwab Corporation. Until 1999: EVP, The Charles Schwab Corporation. Director, Wal-Mart Stores, eBay, Inc. - ---------------------------------------------------------------------------------------------------------------------------- JEFFREY M. LYONS 1 Trustee: 2002 EVP, Asset Management Products and Services, Charles Schwab & 2/22/55 (all trusts). Co., Inc. Until 9/01: EVP, Mutual Funds, Charles Schwab & Co., Inc.
INDIVIDUALS WHO ARE OFFICERS OF THE TRUST BUT NOT TRUSTEES
NAME AND BIRTHDATE TRUST OFFICE(S) HELD MAIN OCCUPATIONS AND OTHER DIRECTORSHIPS AND AFFILIATIONS - ---------------------------------------------------------------------------------------------------------------------------- RANDALL W. MERK President, CEO President, CEO, Charles Schwab Investment Management, Inc; 7/25/54 (all trusts). EVP, Charles Schwab & Co., Inc.; Director, Charles Schwab Worldwide Funds PLC, Charles Schwab Asset Management (Ireland) Ltd. Until 9/02: President, CIO, American Century Investment Management; Director, American Century Cos., Inc. Until 6/01: CIO, Fixed Income, American Century Cos., Inc. Until 1997: SVP, Director, Fixed Income and Quantitative Equity Portfolio Management, Twentieth Century Investors, Inc. - ---------------------------------------------------------------------------------------------------------------------------- TAI-CHIN TUNG Treasurer, Principal SVP, CFO, Charles Schwab Investment Management, Inc.; VP, 3/7/51 Financial Officer The Charles Schwab Trust Co.; Director, Charles Schwab Asset (all trusts). Management (Ireland) Ltd., Charles Schwab Worldwide Funds PLC. - ---------------------------------------------------------------------------------------------------------------------------- STEPHEN B. WARD SVP, Chief Investment SVP, Chief Investment Officer, Director, Charles Schwab Investment 4/5/55 Officer Management, Inc.; CIO, The Charles Schwab Trust Co. (all trusts). - ---------------------------------------------------------------------------------------------------------------------------- KOJI E. FELTON Secretary SVP, Chief Counsel, Assistant Corporate Secretary, Charles Schwab 3/13/61 (all trusts). Investment Management, Inc. Until 6/98: Branch Chief in Enforcement, U.S. Securities and Exchange Commission, San Francisco.
1 In addition to their positions with the investment adviser and the distributor, Messrs. Schwab and Lyons, as well as some of Mr. Lyons's immediate family members, also own stock of The Charles Schwab Corporation. 64 SCHWAB BOND FUNDS INDIVIDUALS WHO ARE INDEPENDENT TRUSTEES
NAME AND BIRTHDATE TRUSTEE SINCE MAIN OCCUPATIONS AND OTHER DIRECTORSHIPS AND AFFILIATIONS - ---------------------------------------------------------------------------------------------------------------------------- MARIANN BYERWALTER 2000 (all trusts). Chair, JDN Corp. Advisory LLC; Trustee, Stanford University, Director, 8/13/60 America First Cos., (venture capital/fund management), Redwood Trust, Inc. (mortgage finance), Stanford Hospitals and Clinics, SRI International (research), PMI Group, Inc. (mortgage insurance), Lucile Packard Children's Hospital. 2001: Special Advisor to the President, Stanford University. Until 2002: Director, LookSmart, Ltd. (Internet infrastructure). Until 2001: VP, Business Affairs, CFO, Stanford University. - ---------------------------------------------------------------------------------------------------------------------------- DONALD F. DORWARD Family of Funds, 1989; CEO, Dorward & Associates (management, marketing and 9/23/31 Investments, 1991; communications consulting). Until 1999: EVP, Managing Director, Capital Trust, 1993; Grey Advertising. Annuity Portfolios, 1994. - ---------------------------------------------------------------------------------------------------------------------------- WILLIAM A. HASLER 2000 (all trusts). Co-CEO, Aphton Corp. (bio-pharmaceuticals). Director, Solectron Corp. 11/22/41 (manufacturing), Tenera, Inc. (services and software), Airlease Ltd. (aircraft leasing), Mission West Properties (commercial real estate), Stratex Networks (telecommunications); Public Governor, Member, executive committee, Pacific Stock & Options Exchange. Until 2002: Director, Digital Microwave Corp. (network equipment). Until 1998: Dean, Haas School of Business, University of California, Berkeley. - ---------------------------------------------------------------------------------------------------------------------------- ROBERT G. HOLMES Family of Funds, 1989; Chair, CEO, Director, Semloh Financial, Inc. (international financial 5/15/31 Investments, 1991; services and investment advice). Capital Trust, 1993; Annuity Portfolios, 1994. - ---------------------------------------------------------------------------------------------------------------------------- GERALD B. SMITH 2000 (all trusts). Chair, CEO, Founder, Smith Graham & Co. (investment advisors); 9/28/50 Director, Pennzoil-Quaker State Co. (oil and gas), Rorento N.V. (investments -- Netherlands), Cooper Industries (electrical products); Member, audit committee, Northern Border Partners, L.P. (energy). - ---------------------------------------------------------------------------------------------------------------------------- DONALD R. STEPHENS Family of Funds, 1989; Managing Partner, D.R. Stephens & Co. (investments). Until 1996: 6/28/38 Investments, 1991; Chair, CEO, North American Trust (real estate investments). Capital Trust, 1993; Annuity Portfolios, 1994. - ---------------------------------------------------------------------------------------------------------------------------- MICHAEL W. WILSEY Family of Funds, 1989; Chair, CEO, Wilsey Bennett, Inc. (transportation, real estate and 8/18/43 Investments, 1991; investments). Capital Trust, 1993; Annuity Portfolios, 1994.
65 SCHWAB BOND FUNDS GLOSSARY Words and phrases that appear in financial reports often have specific meanings that are different from their everyday meanings. The glossary below tells you what is meant by the following terms when they are used in this report. ALTERNATIVE MINIMUM TAX (AMT) A federal income tax designed to limit the extent to which high-income taxpayers (including individuals, estates, trusts and corporations) can benefit from certain deductions and exemptions. For example, some types of income that are exempt from regular federal income tax are not exempt from the AMT. ASSET ALLOCATION The practice of dividing a portfolio among different asset classes, with each asset class assigned a particular percentage. ASSET-BACKED SECURITY A bond or other debt security that represents ownership in a pool of debt obligations such as credit card debt. ASSET CLASS A group of securities with similar structure and basic characteristics. Stocks, bonds and cash are the three main examples of asset classes. AVERAGE RATE The average rate of interest paid annually by the fixed-income securities in a fund or portfolio. BOND A security representing a loan from the investor to the issuer. A bond typically pays interest at a fixed rate (the "coupon rate") until a specified date (the "maturity date"), at which time the issuer returns the money borrowed ("principal" or "face value") to the bondholder. Because of their structure, bonds are sometimes called "fixed-income securities" or "debt securities." CALL An early repayment of a bond's principal by the issuer, usually done because the issuer is able to refinance its bond debt at a lower rate. CALL PROTECTION A term used in reference to a bond that cannot be called by the issuer before maturity, or at least for many years from the present date. A bond that offers call protection can more reliably be expected to provide a given yield over a given number of years than a bond that could be called (assuming both bonds are of the same credit quality). CAPITAL GAIN, CAPITAL LOSS The difference between the amount paid for an investment and its value at a later time. If the investment has been sold, the capital gain or loss is considered a realized gain or loss. If the investment is still held, the gain or loss is still "on paper" and is considered unrealized. CERTIFICATE OF PARTICIPATION A municipal bond that is repaid from an annual budget appropriation rather than being backed by the full faith and credit of the issuer. COUPON, COUPON RATE The annual rate of interest paid until maturity by the issuer of a debt security. CREDIT RATINGS Most major bond issuers arrange with a recognized independent rating organization, such as Standard & Poor's (S&P) or Moody's Investors Service, to rate the credit-worthiness of their bonds. The spectrum of these ratings is divided into two major categories: investment grade and below investment grade (sometimes called "junk bonds"). Bonds rated below investment grade range from those that are considered to have some vulnerability to default to those that appear on the brink of default or are in default.
Credit Capacity to quality make payments ------- ------------- INVESTMENT GRADE BONDS AAA Strongest AA A BBB Adequate [UP AND DOWN ARROW SPANNING TABLE AND CHANGING DARK TO LIGHT FROM TOP TO BOTTOM] --------------------------------------------------------------------- BELOW INVESTMENT GRADE BONDS BB Somewhat speculative B CCC CC C Highly speculative D In default ---------------------------------------------------------------------
66 SCHWAB BOND FUNDS CREDIT QUALITY The capacity of an issuer to make its interest and principal payments. See chart on prior page. CREDIT RISK The risk that a bond issuer may be unable to pay interest or principal to its bondholders. DISCOUNT RATE The implied rate on a debt security that does not pay interest but is bought at a discount and redeemed at face value when it matures. DIVIDEND Money from earnings that is distributed to shareholders as a given amount per share. DURATION A measure of a bond investment's sensitivity to interest rates. Calculations of duration take into account the investment's yield, interest payments, maturity date and call features. Like maturity, duration is expressed in years, but is more accurate than maturity in determining the effect of interest rate movements on a bond investment's price. EXPENSE RATIO The amount that is taken from a mutual fund's assets each year to cover the fund's operating expenses. An expense ratio of 0.50% means that a fund's expenses amount to half of one percent of its average net assets a year. GENERAL OBLIGATION BOND A municipal bond that is secured by the issuer's full faith and credit, which typically is backed by the power of the issuer to levy taxes. INTEREST Payments to bondholders (usually made twice a year) as compensation for loaning the bond principal to the issuer. INTEREST RATE RISK The risk that a bond's value will fluctuate if market interest rates change or are expected to change. Bond prices tend to move in the opposite direction of interest rates: when interest rates rise, bond prices tend to fall. MARKET RISK Those elements of risk that are common to all securities in an asset class, and therefore cannot be significantly reduced by diversification within the asset class. Also known as "systematic risk." MATURITY The date a bond is scheduled to be "retired" and its principal amount returned to the bondholder. MORTGAGE-BACKED SECURITY A bond or other debt security that represents ownership in a pool of mortgage loans. MUNI, MUNICIPAL BOND, MUNICIPAL SECURITY Debt securities issued by a state, its counties, municipalities, authorities and other subdivisions, or the territories and possessions of the United States and the District of Columbia, including their subdivisions, agencies and instrumentalities and corporations. These securities may be issued to obtain money for various public purposes, including the construction of a wide range of public facilities such as airports, bridges, highways, housing, hospitals, mass transportation, public utilities, schools, streets, and water and sewer works. NET ASSET VALUE (NAV) The value of one share of a mutual fund. NAV is calculated by taking the fund's total assets, subtracting liabilities, and dividing by the number of shares outstanding. OUTSTANDING SHARES, SHARES OUTSTANDING When speaking of a company or mutual fund, indicates all shares currently held by investors. PREPAYMENT RISK The risk that a mortgage-backed security may be paid off early, typically because interest rates have fallen and the homeowners who hold the underlying mortgages have refinanced those mortgages at lower rates. In this type of situation, the investor who held the mortgage-backed security will usually have to settle for a lower rate when reinvesting the principal. REVENUE BOND A municipal bond that is issued to finance public works projects and is secured by revenue generated by the project (such as water and sewer fees) rather than the full faith and credit of the issuer. TAXABLE-EQUIVALENT YIELD The yield an investor would need to get from a taxable investment in order to match the yield paid by a given tax-exempt investment, once the effect of all applicable taxes is taken into account. For example, if your tax rate were 25%, a tax-exempt investment paying 4.5% would have a taxable-equivalent yield for you of 6.0% (4.5% /[1 - 0.25%] = 6.0%). TOTAL RETURN The percentage that an investor would have earned or lost on an investment in the fund assuming dividends and distributions were reinvested. WEIGHTED AVERAGE For mutual funds, an average that gives the same weight to each security as the security represents in the fund's portfolio. WEIGHTED AVERAGE MATURITY For mutual funds, the maturity of all the bonds in its portfolio, calculated as a weighted average. As a rule, the longer a fund's weighted average maturity, the greater its interest rate risk. YIELD The income paid out by an investment, expressed as a percentage of the investment's market value. YIELD TO MATURITY The annualized rate of return a bond-holder could expect if the bond were held to maturity. In addition to interest payments, yield to maturity also factors in any difference between a bond's current price and its principal amount, or face value. 67 NOTES CONTACT SCHWAB SchwabFunds(R) offers you a complete family of mutual funds, each one based on a clearly defined investment approach and using disciplined management strategies. Actively managed funds include multi-manager stock funds, a fund that uses long-short strategies, and a range of taxable and tax-free bond funds. Index funds include large-cap, small-cap and international stock funds. The list at right shows all currently available SchwabFunds. Whether you're an experienced investor or just starting out, SchwabFunds can help you achieve your financial goals. Please call 1-800-435-4000 for a free prospectus and brochure for any SchwabFund. Please read the prospectus carefully before you invest. This report must be preceded or accompanied by a current prospectus. METHODS FOR PLACING ORDERS The following information outlines how Schwab investors can place orders. If you are investing through a third-party investment provider, methods for placing orders may be different. INTERNET 1 www.schwab.com SCHWAB BY PHONE(TM) 2 Use our automated voice service or speak to a representative. Call 1-800-435-4000, day or night (for TDD service, call 1-800-345-2550). TELEBROKER(R) Automated touch-tone phone service at 1-800-272-4922. MAIL Write to SchwabFunds at: P.O. Box 3812 Englewood, CO 80155-3812 When selling or exchanging shares, be sure to include the signatures of at least one of the persons whose name is on the account. 1 Shares of Sweep Investments(TM) may not be purchased directly over the Internet. 2 Orders placed in person or through a telephone representative may be subject to a service fee payable to Schwab. THE SCHWABFUNDS FAMILY(R) STOCK FUNDS Schwab S&P 500 Fund Schwab 1000 Fund(R) Schwab Small-Cap Index Fund(R) Schwab Total Stock Market Index Fund(R) Schwab International Index Fund(R) Schwab Core Equity Fund(TM) Schwab Small-Cap Equity Fund(TM) Schwab Hedged Equity Fund(TM) Schwab Dividend Equity Fund(TM) Schwab Focus Funds Communications Focus Fund Financial Services Focus Fund Health Care Focus Fund Technology Focus Fund Schwab MarketMasters Funds(TM) Schwab U.S. MarketMasters Fund(TM) Schwab Small-Cap MarketMasters Fund(TM) Schwab International MarketMasters Fund(TM) Schwab Balanced MarketMasters Fund(TM) ASSET ALLOCATION FUNDS Schwab MarketTrack Portfolios(R) Schwab All Equity Portfolio Schwab Growth Portfolio Schwab Balanced Portfolio Schwab Conservative Portfolio BOND FUNDS Schwab YieldPlus Fund(R) Schwab Short-Term Bond Market Fund(TM) Schwab Total Bond Market Fund(TM) Schwab GNMA Fund(TM) Schwab Short/Intermediate Tax-Free Bond Fund(TM) Schwab Long-Term Tax-Free Bond Fund(TM) Schwab California Short/Intermediate Tax-Free Bond Fund(TM) Schwab California Long-Term Tax-Free Bond Fund(TM) SCHWAB MONEY FUNDS Schwab offers an array of money market funds that seek high current income consistent with safety and liquidity. 3 Choose from taxable or tax-advantaged alternatives. Many can be linked to your Schwab account to "sweep" cash balances automatically when you're between investments. Or, for your larger cash reserves, choose one of our Value Advantage Investments(R). 3 Investments in money market funds are neither insured nor guaranteed by the Federal Deposit Insurance Corporation (FDIC) or any other government agency and, although they seek to preserve the value of your investment at $1 per share, it is possible to lose money. [CHARLES SCHWAB LOGO] INVESTMENT ADVISER Charles Schwab Investment Management, Inc. 101 Montgomery Street, San Francisco, CA 94104 DISTRIBUTOR SchwabFunds(R) P.O. Box 3812, Englewood, CO 80155-3812 This report is not authorized for distribution to prospective investors unless preceded or accompanied by a current prospectus. (C)2003 Charles Schwab & Co., Inc. All rights reserved. Member SIPC/NYSE. Printed on recycled paper. REG13655-05 Item 2: Code of Ethics. (a) Registrant has adopted a code of ethics that applies to its principal executive officer, principal financial officer, and any other officers who serve a similar function. (c) During the period covered by the report, no amendments were made to the provisions of this code of ethics. (d) During the period covered by the report, Registrant did not grant any waivers, including implicit waivers, from the provisions of this code of ethics. (f)(1) Registrant has filed this code of ethics as an exhibit pursuant to Item 10(a)(1) of Form N-CSR. Item 3: Audit Committee Financial Expert. Registrant's Board of Trustees has determined that Registrant has three "audit committee financial experts," as such term is defined in Item 3 of Form N-CSR, serving on its audit committee, including William A. Hasler, Mariann Byerwalter and Donald R. Stephens. Each of these members of Registrant's audit committee is "independent" under the standards set forth in Item 3 of Form N-CSR. The designation of each of Messrs. Hasler and Stephens and Ms. Byerwalter as an "audit committee financial expert" pursuant to Item 3 of Form N-CSR does not (i) impose upon such individual any duties, obligations, or liability that are greater than the duties, obligations and liability imposed upon such individual as a member of the Registrant's audit committee or Board of Trustees in the absence of such designation; and (ii) affect the duties, obligations or liability of any other member of the Registrant's audit committee or Board of Trustees. Item 4: Principal Accountant Fees and Services. Not applicable. Item 5: Audit Committee of Listed Registrants. Not applicable. Item 6: [Reserved]. Item 7: Disclosure of Proxy Voting Policies and Procedures for Closed-End Management Investment Companies. Not applicable. Item 8: [Reserved]. Item 9: Controls and Procedures. (a) Based on their evaluation of Registrant's disclosure controls and procedures, as of a date within 90 days of the filing date, Registrant's Chief Executive Officer, Randall W. Merk and Registrant's Principal Financial Officer, Tai-Chin Tung, have concluded that Registrant's disclosure controls and procedures are: (i) reasonably designed to ensure that information required to be disclosed in this report is appropriately communicated to Registrant's officers to allow timely decisions regarding disclosures required in this report; (ii) reasonably designed to ensure that information required to be disclosed in this report is recorded, processed, summarized and reported in a timely manner; and (iii) are effective in achieving the goals described in (i) and (ii) above. (b) During Registrant's last fiscal half-year (the Registrant's second fiscal half-year in the case of this annual report), there have been no changes in Registrant's internal control over financial reporting that the above officers believe to have materially affected, or to be reasonably likely to materially affect, Registrant's internal control over financial reporting. Item 10: Exhibits. (a)(1) Registrant's code of ethics (that is the subject of the disclosure required by Item 2(a)) is attached. (2) Separate certifications for Registrant's principal executive officer and principal financial officer, as required by Rule 30a-2(a) under the 1940 Act, are attached. (b) A certification for Registrant's principal executive officer and principal financial officer, as required by Rule 30a-2(b) under the 1940 Act, is attached. This certification is being furnished to the Securities and Exchange Commission solely pursuant to 18 U.S.C. section 1350 and is not being filed as part of the Form N-CSR with the Commission. Pursuant to the requirements of the Securities Exchange Act of 1934 and the Investment Company Act of 1940, the registrant has duly caused this report to be signed on its behalf by the undersigned, thereunto duly authorized. (Registrant) Schwab Investments By: /s/ Randall W. Merk _________________________ Randall W. Merk Chief Executive Officer Date: October 30, 2003 Pursuant to the requirements of the Securities Exchange Act of 1934 and the Investment Company Act of 1940, this report has been signed below by the following persons on behalf of the registrant and in the capacities and on the dates indicated. By: /s/ Randall W. Merk _________________________ Randall W. Merk Chief Executive Officer Date: October 30, 2003 By: /s/ Tai-Chin Tung _________________________ Tai-Chin Tung Principal Financial Officer Date: October 29, 2003
EX-99.(A)(1) 3 f93533exv99wxayx1y.txt CODE OF BUSINESS CONDUCT AND ETHICS Exhibit (A)(1) THE SCHWABFUNDS CODE OF BUSINESS CONDUCT AND ETHICS FOR PRINCIPAL EXECUTIVE AND SENIOR FINANCIAL OFFICERS OUR VISION Provide shareholders with the most useful and ethical Mutual Funds in the world. OUR VALUES Be fair, empathetic and responsive in serving our shareholders. Strive relentlessly to innovate what we do and how we do it. Always earn and be worthy of our shareholders' trust. SHAREHOLDER VALUE The SchwabFunds' Principal Executive Officer and Principal Financial Officer and any other officers who serve a similar function shall endeavor to act in the best interests of the SchwabFunds and their shareholders. INTRODUCTION The SchwabFunds Code of Business Conduct and Ethics ("Code") covers all of the investment companies within the SchwabFunds' complex. This Code applies to the SchwabFunds' Principal Executive Officer and Principal Financial Officer and any other officers who serve a similar function (each an "Officer"). The SchwabFunds are committed to the highest standards of ethical conduct in the fulfillment of our Vision and Values. We are proud of our long-standing reputation for integrity and honesty that strengthens our Vision to provide our shareholders with the most useful and ethical mutual funds in the world. This reputation is not just a source of competitive advantage in the financial services industry; it is fundamental to the way we do business. This Code provides guidance on how you, as an Officer, uphold these ethical standards. It applies to your service to the SchwabFunds. The Code consists of an outline of policies regarding conduct in several key areas: ethical behavior and legal compliance, conflicts of interest, confidentiality and business practices. You are responsible for reviewing the Code and for acting in compliance with the Code in your daily activities. The Code is not exhaustive; it provides guidance for carrying out your responsibilities on behalf of the SchwabFunds and observing the highest standards of ethical conduct. Because the Code does not address every possible situation that may arise, you are responsible for exercising good judgment, applying ethical principles, and raising questions when in doubt. Your integrity and good judgment enhance the SchwabFunds' brand, build the SchwabFunds' reputation, and are the foundation of trust for our shareholder and business relationships. GENERAL SCHWABFUNDS AND PERSONAL STANDARDS OF CONDUCT As an Officer you have a responsibility to act in a manner in which you earn the public's trust and confidence. Your conduct is guided by our values, which are to: - Be fair, empathetic and responsive in serving our shareholders. - Strive relentlessly to innovate what we do and how we do it. - Always earn and be worthy of our shareholders' trust. - 1 - SCHWABFUNDS CONDUCT The following general principles guide our SchwabFunds conduct: - You will act in accordance with applicable laws and regulations and will not tolerate behavior that is otherwise. - You will make public disclosures as required by law and regulation and as deemed appropriate to enable reasonable evaluation of the SchwabFunds. - You will strive to provide an equitable return for our investors. - You will provide products and services designed to help shareholders achieve their financial goals. - You will conduct business fairly, in open competition. INDIVIDUAL CONDUCT The following general principles guide your individual conduct: - You will not take any action that will violate any applicable law or regulation. - You will adhere to the highest standards of ethical conduct. - You will maintain the confidentiality of all information you obtain in the course of your employment. - You will escalate issues which you reasonably believe may place the SchwabFunds at risk, and report any behavior you reasonably believe is wrong. - You will not abuse or take the SchwabFunds' assets or use them for your personal gain. - You will not engage in any activities that create a conflict of interest (as defined below) between you and the SchwabFunds. - You will comport yourself publicly in a manner that does not bring discredit on the SchwabFunds. - You will deal fairly with shareholders, colleagues and others. - You will comply with this Code. You have personal responsibility to conduct the SchwabFunds' business in a manner consistent with these principles, and you cannot avoid this responsibility by contrary instructions from a supervisor or by turning a blind eye. Many of these principles are explained in more detail below and in the SchwabFunds' other polices and procedures. If you have questions on any of them, you should consult with the Chief Legal Officer of the SchwabFunds or the Chief Compliance Officer of Charles Schwab Investment Management, Inc. ("CSIM"). ETHICAL BEHAVIOR Your decisions and behavior have far-reaching implications. Standards of ethical and professional conduct reflect on the individual, on the SchwabFunds brand, and on the investment industry as a whole. A strong personal sense of ethics should always play a significant role in guiding you towards a proper course of action. - 2 - COMPLIANCE WITH LAWS, RULES, REGULATIONS AND POLICIES The foundation of the SchwabFunds' ethical standards is compliance with the letter and spirit of the law. You must respect and obey all of the laws, rules and regulations applicable to our business, including among others, securities and other federal, state and local laws. You are responsible for being familiar and complying with the SchwabFunds' policies and procedures. Although you are not expected to know the details of each law governing our business, you are expected to be familiar with and comply with the SchwabFunds' policies and procedures and, when in doubt, to seek advice from the Chief Legal Officer or Chief Compliance Officer as outlined in this Code. CONSEQUENCES FOR FAILURE TO COMPLY AND REPORTING CERTAIN CONDUCT You can be subject to discipline up to and including termination of employment if you violate this Code. If you know of, or reasonably believe there is, a violation of applicable laws or this Code, you must report that information immediately to the Chief Legal Officer. You should not conduct preliminary investigations, unless authorized to do so by the Chief Legal Officer. Anyone who in good faith raises an issue regarding a possible violation of law regulation or SchwabFunds policy or any suspected illegal or unethical behavior will be protected from retaliation. CONFLICTS OF INTEREST To maintain the highest ethical standards in conducting our business, it is important that you do not place yourself in a position that would cloud your judgment in carrying out the business affairs of the SchwabFunds. A "conflict of interest" occurs when your private interest interferes in any way -- or even appears to interfere -- with the interests of the SchwabFunds. You have a duty to report any material transaction or relationship that reasonably could be expected to be or to create a conflict of interest with the SchwabFunds. If you have any questions regarding what might constitute a conflict of interest, or to report any transaction or relationship that you believe has occurred or may occur that might constitute a conflict of interest, contact the Chief Legal Officer or Chief Compliance Officer. Certain conflicts of interest arise out of the relationships between Officers and the SchwabFunds and already are subject to conflict of interest provisions in the Investment Company Act of 1940 ("Investment Company Act") and the Investment Advisers Act of 1940 ("Investment Advisers Act"). For example, Officers may not individually engage in certain transactions (such as the purchase or sale of securities or other property) with the SchwabFunds because of their status as "affiliated persons" of the SchwabFunds. The SchwabFunds' and CSIM's compliance programs and procedures are designed to prevent, or identify and correct, violations of these provisions. This Code does not, and is not intended to, repeat or replace these programs and procedures, and such conflicts fall outside of the parameters of this Code. Although typically not presenting an opportunity for improper personal benefit, conflicts arise from, or as a result of, the contractual relationship between the SchwabFunds and CSIM. Each Officer may also be an officer or employee of CSIM or Schwab. As a result, this Code recognizes that the Officers will, in the normal course of their duties (whether formally for the SchwabFunds or for CSIM, or for both), be involved in establishing policies and implementing decisions that will have different effects on CSIM and the SchwabFunds. The participation of the Officers in such activities is inherent in the contractual relationship between the SchwabFunds and CSIM and is consistent with the performance by the Officers of their duties as officers of the SchwabFunds. Thus, if performed in conformity with the provisions of the Investment Company Act and the Investment Advisers Act, such activities will be deemed to have been handled ethically. In addition, it is recognized by the Trustees that the Officers may also be officers or employees of one or more other investment companies covered by this or other codes. - 3 - INSIDE INFORMATION It is unlawful to trade in the securities of any SchwabFunds on the basis of material nonpublic (or inside) information or to disclose such information to others who may profit from it. Generally, material information is any information that an investor would likely consider important in deciding whether to buy, sell or hold securities or that could affect the market price of the securities. Examples include actual or estimated financial results or change in dividends; significant discoveries or product developments; possible mergers, acquisitions or divestitures; major changes in business strategies; obtaining or losing significant contracts; and threatened major litigation or related developments. Do not disclose inside information to anyone except those who have a need to know it in order to fulfill their responsibilities for the SchwabFunds and in accordance with SchwabFunds policy. If you have or receive information and are unsure whether it is within the definition of inside information or whether its release might be contrary to a fiduciary or other obligation, contact the Chief Legal Officer prior to disclosing any such information. ACCEPTANCE OF GIFTS OR ENTERTAINMENT The acceptance of gifts or excessive entertainment from shareholders, vendors, suppliers, competitors or other employees must not constitute a conflict of interest or create the appearance of impropriety. You may accept small gifts and entertainment that are worth less than the amount Charles Schwab Corporation policy sets as a limit, but you must be personally satisfied that the gift or entertainment is not intended to influence your judgment or the performance of your duties. If you have any questions regarding the appropriateness of a gift, you must obtain approval from the Chief Compliance Officer before accepting it. CONFIDENTIALITY OF INFORMATION As mutual funds, we have particular responsibilities for safeguarding the information of our shareholders and the proprietary information of the SchwabFunds. You should be mindful of this obligation when you use the telephone, fax, telex, electronic mail, and other electronic means of storing and transmitting information. You should not discuss confidential information in public areas where it can be overheard, read confidential documents in public places, nor leave or discard confidential documents where they can be retrieved by others. CONFIDENTIALITY OF SHAREHOLDER INFORMATION Information concerning the identity of SchwabFunds' underlying shareholders and their transactions and accounts is confidential. Such information may not be disclosed to persons working on behalf of the SchwabFunds except as they may need to know it in order to fulfill their responsibilities to the SchwabFunds. You may not disclose such information to anyone or any firm outside the SchwabFunds unless (i) the outside firm needs to know the information in order to perform services for the SchwabFunds and is bound to maintain its confidentiality; (ii) when the shareholder has consented or been given an opportunity to request that the information not be shared; (iii) as required by law; or (iv) as authorized by the Chief Legal Officer or Chief Compliance Officer. Information regarding shareholder or SchwabFunds transactions must not be used in any way to influence trades in personal accounts or in the accounts of other shareholders, including those of other employees, officers and directors. Trading ahead of shareholder or SchwabFunds transactions is known as frontrunning and is prohibited. Following shareholder or SchwabFunds transactions with your trading activity is known as piggybacking or shadowing and is likewise prohibited. If you reasonably believe improper trading in personal, shareholder or SchwabFunds accounts has occurred, you must report such conduct to the Chief Legal Officer. - 4 - PRIVACY The SchwabFunds is committed to safeguarding its customers' privacy. We do not sell any personally identifiable customer information. Sharing of such information with third parties is limited to situations related to the processing and servicing of customer accounts, and to specifically delineated exceptions in the federal privacy law. We share information with our affiliates as allowed by federal law. You must be familiar with the procedural and systemic safeguards we maintain to protect this information and report any breaches of these safeguards to the Chief Legal Officer or Chief Compliance Officer. PROPRIETARY INFORMATION OF THE SCHWABFUNDS You have the responsibility to safeguard the SchwabFunds' proprietary information. Proprietary information includes intellectual property (copyrights, trademarks or patents or trade secrets), particular know-how (business or organizational designs, or business, marketing or service plans or ideas) and sensitive information about the SchwabFunds (databases, records, salary information or unpublished financial reports). If you have any questions about what constitutes proprietary information, or if you believe such information has been compromised, contact the Chief Legal Officer. PROTECTION AND USE OF SCHWABFUNDS ASSETS You are obligated to protect the SchwabFunds' assets and ensure their efficient use. Theft, carelessness and waste have a direct impact on the SchwabFunds. SchwabFunds equipment should not be used for non-SchwabFunds business, though incidental personal use may be permitted. Breaches of this obligation must be reported to the Chief Legal Officer. NON-RETALIATION It is your obligation to report issues regarding possible violations of business regulations or this Code when you suspect in good faith that a violation may have or might occur. No Officer will be retaliated against for making a good faith complaint or bringing inappropriate conduct to the SchwabFunds' attention, for assisting another Officer in making a good faith report, for cooperating in an investigation, or for filing an administrative claim with a state or federal governmental agency. Any employee who engages in retaliatory conduct in violation of our policies will be subject to disciplinary action, up to and including termination of employment. If you reasonably believe retaliatory conduct has occurred, you must report such conduct to the Chief Legal Officer. BUSINESS PRACTICES It is your obligation to report issues regarding possible violations of business regulations or this Code when you suspect in good faith that a violation may have or might occur. As a financial institution, it is imperative that we operate with efficiency, and the highest business standards and that we maintain and provide accurate information. FINANCIAL DISCLOSURES The SchwabFunds are committed to providing full, fair, accurate, timely and understandable disclosure in reports and documents that the SchwabFunds file with, or submit to, the Securities and Exchange Commission and other regulatory agencies and in other public communications made by the SchwabFunds. You are required to comply with SchwabFunds policies and procedures to provide such full, fair, accurate, timely and understandable disclosure. If you have any questions about your duties in supporting the SchwabFunds' financial reporting processes, contact the Chief Legal Officer or Chief Compliance Officer. - 5 - CONDUCT OF AUDITS Neither you nor any other person acting under your direction shall directly or indirectly take any action to fraudulently influence, coerce, manipulate, or mislead any independent public or certified public accountant engaged in the performance of an audit or review of the SchwabFunds' financial statements. Types of conduct that constitute improper influence include, but are not limited to, directly or indirectly: - Offering or paying bribes or other financial incentives, including offering future employment or contracts for non-audit services; - Providing an auditor with inaccurate or misleading legal analysis; - Threatening to cancel or canceling existing non-audit or audit engagements if the auditor objects to the issuer's accounting; - Seeking to have a partner removed from the audit engagement because the partner objects to the SchwabFunds' accounting; - Blackmailing; and - Making physical threats. If you reasonably believe improper influence has occurred, you must report such conduct to the Chief Legal Officer or the Chief Compliance Officer. RECORD-KEEPING We require honest and accurate recording and reporting of information to maintain the integrity of our business records and to make responsible business decisions. The SchwabFunds' books, records and accounts must (i) accurately reflect all transactions of the SchwabFunds and all other events that are subject of a specific regulatory record-keeping requirement; (ii) be maintained in reasonable detail; and (iii) conform both to applicable legal requirements and to the SchwabFunds' system of internal controls. Unrecorded or "off the books" funds or assets are prohibited unless permitted by applicable law or regulation. Business records must not contain exaggeration, derogatory remarks, guesswork, or inappropriate characterizations of people and companies. This applies equally to e-mail, internal memoranda, formal reports, and all other forms of business records. You must be familiar with the SchwabFunds' record retention policies and always retain or destroy records according to them. In the event of litigation, governmental investigation or the threat of such action, you should consult the Chief Legal Officer or the Chief Compliance Officer regarding record retention. SALES PRACTICES If you transact business for shareholders, you are required to know and observe the SchwabFunds' specific policies and procedures for shareholder sales and transactions, such as the content and use of sales materials, documentation for transactions, quotations and suitability. Likewise, if you transact business with third parties (such as vendors or suppliers), you will be required to know and observe the SchwabFunds' policies and procedures for such transactions, such as marketing policies, procedures for performing due diligence on third parties, and obtaining proper authorizations for any agreements. You must be familiar with any enumerated policies and procedures governing your sales activities and use good judgment in complying with them. You must seek advice from the Chief Legal Officer or the Chief Compliance Officer if you have any questions. - 6 - COMPETITION AND FAIR DEALING We operate our business fairly and honestly. We seek competitive advantage through performance and dedication to our Vision and Values and never through unethical or illegal business practices. It is our policy to comply with anti-trust laws. These laws are complex and not easily summarized but at a minimum require that there be no agreement or understanding between the SchwabFunds and their competitors that affect prices, terms or conditions of sale or that unreasonably restrain full and fair competition. You must always respect the rights of and deal fairly with the SchwabFunds' shareholders and competitors. You must never take unfair advantage of anyone through manipulation, concealment, abuse of privileged information, misrepresentation of material facts, or any other unfair dealing practice. If you have any question about what constitutes an unfair business practice, you should consult the Chief Legal Officer. PROHIBITION OF BRIBERY AND KICKBACKS Our policies prohibit bribery or kickbacks of any kind and to anyone in the conduct of our business. The U.S. government has a number of laws and regulations applicable specifically to business gratuities that may be accepted by U.S. and foreign government personnel. The promise, offer or delivery to an official or employee of the U.S. government or an official, employee or candidate of a foreign government of a gift, favor, payment or other gratuity in violation of these rules would not only violate SchwabFunds policy but could also be a criminal offense. Similarly, federal law, as well as the laws of many states, prohibits engaging in "commercial bribery." Commercial bribery involves soliciting, demanding or agreeing to accept anything of value from any person intending to influence or be rewarded in connection with any business or transaction, and prohibits all such behavior, for example, with respect to vendors, competitors, shareholders, and government employees. If you have any questions or need any guidance, you should contact the Chief Legal Officer. COMPLIANCE PROCEDURES We will work together to ensure compliance with the Code and to take prompt action in response to reported violations of the Code. SEEKING GUIDANCE If you are unsure of what to do in any situation, seek guidance before you act. Use the SchwabFunds resources, including the Chief Legal Officer or the Chief Compliance Officer. If you feel that it is not appropriate to discuss a matter with the Chief Legal Officer or the Chief Compliance Officer, you may contact the Ombudsperson for the Charles Schwab Corporation. Remember that you must report all incidents of misconduct, and you may do so without fear of retaliation. If you have violated the Code, however, making a report will not protect you from the consequences of your actions. REPORTING CONDUCT THAT MAY BE IN VIOLATION OF THE CODE You must report conduct that you believe to be in violation of the Code, SchwabFunds policy, law or regulation. Reports should be escalated in the following manner: - If you have a reasonable belief that a violation has occurred, or may occur, you must report the conduct to the Chief Legal Officer. - The Chief Legal Officer will take all appropriate action to investigate any potential violation reported to the Chief Legal Officer and will notify counsel for SchwabFunds independent Trustees ("Trustees") and counsel for the SchwabFunds of the substance of the potential violation. - 7 - - If after investigation, the Chief Legal Officer reasonably believes that no violation has occurred, the Chief Legal Officer is not required to take any further action. - Any matter that the Chief Legal Officer believes is a violation will be reported to the Trustees. - If the Trustees concur that a violation has occurred, the Trustees will consider appropriate action, which may include review of, and appropriate modification to, applicable policies and procedures; notification to appropriate personnel of CSIM or its board; notification to appropriate personnel of the Charles Schwab Corporation or its board; or a recommendation to dismiss the Officer. ROLES IN OBSERVING COMPLIANCE As Officer of the SchwabFunds, you have a role in observing compliance with the Code. In general, that includes: Role of Officers - Read and be familiar with conduct rules outlined in this Code and periodically review them. - Affirm in writing to the Trustees that the Officer has received, read and understands the Code. - Annually affirm to the Trustees that the Officer has complied with the requirements of the Code. - Comply with the conduct standards outlined in this Code in all dealings and actions, including those with shareholders, the public and vendors. - Report in a timely manner to the Chief Legal Officer any conduct that may constitute a violation of the Code, SchwabFunds policies, or laws, rules and regulations. - Raise questions or concerns about conduct issues with your supervisor, the Chief Legal Officer or Chief Compliance Officer, and seek advice when in doubt. - Cooperate with management during fact-finding investigations and comply with any confidentiality rules imposed. Role of Trustees - Review the Code annually and recommend any changes. - Review the Officer reports of compliance with the Code. INTERPRETATION OF CODE AND WAIVERS OF THE CODE The Chief Legal Officer is responsible for applying the Code to specific situations in which questions are presented under it and has the authority to interpret the Code in any particular situation. However, waivers of the Code may be made only by the Trustees and will be promptly disclosed publicly as required by law. AMENDMENTS This Code may not be amended except in written form, which is specifically approved or ratified by a majority of the Trustees including a majority of the independent Trustees. Any amendments will, to the extent required, be disclosed in accordance with law. - 8 - OTHER POLICIES AND PROCEDURES This Code constitutes the sole code of ethics adopted by the SchwabFunds for purposes of Section 406 of the Sarbanes-Oxley Act of 2002 and the rules and forms applicable to registered investment companies thereunder. Insofar as other policies or procedures of the SchwabFunds, CSIM, Charles Schwab & Co., Charles Schwab Corporation or other SchwabFunds service providers govern or purport to govern the behavior or activities of an Officer who is subject to this Code, they are superseded by this Code to the extent that they conflict with the provisions of this Code. CSIM's code of ethics under Rule 17j-1 pursuant to the Investment Company Act of 1940 and CSIM's, Charles Schwab & Co.'s, and the Charles Schwab Corporation's policies and procedures set forth in their respective compliance manuals and elsewhere are separate requirements applying to the Officers and are not part of this Code. CONFIDENTIALITY All reports and records prepared or maintained pursuant to this Code will be considered confidential and shall be maintained and protected accordingly. Except as otherwise required by law or this Code, such matters shall not be disclosed to anyone other than the Trustees, CSIM, the Charles Schwab Corporation and their respective counsel. INTERNAL USE This Code is intended for internal use by the SchwabFunds and does not constitute an admission, by or on behalf of any SchwabFunds, as to any fact, circumstance, or legal conclusion. CONTACTS If you have further questions about the Code, or about its applicability with respect to a particular matter, please contact the Chief Legal Officer or Chief Compliance Officer. If you feel that it is not appropriate to discuss a matter with Chief Legal Officer or the Chief Compliance Officer, you may contact the Ombudsperson. CHIEF LEGAL OFFICER: Koji Felton 415-667-3461 CHIEF COMPLIANCE OFFICER: Randy Fillmore 415-636-3680 CHARLES SCHWAB CORPORATION OMBUDSPERSON: Sam Scott Miller, Esq. 212-506-5130 Orrick Herrington & Sutcliffe LLP - 9 - EX-99.CERT 4 f93533exv99wcert.txt SECTION 302 CERTIFICATIONS Exhibit 99.302 Cert CERTIFICATIONS I, Randall W. Merk, certify that: 1. I have reviewed this report on Form N-CSR of Schwab Investments; 2. Based on my knowledge, this report does not contain any untrue statement of a material fact or omit to state a material fact necessary to make the statements made, in light of the circumstances under which such statements were made, not misleading with respect to the period covered by this report; 3. Based on my knowledge, the financial statements, and other financial information included in this report, fairly present in all material respects the financial condition, results of operations, changes in net assets, and cash flows (if the financial statements are required to include a statement of cash flows) of the registrant as of, and for, the periods presented in this report; 4. The registrant's other certifying officers and I are responsible for establishing and maintaining disclosure controls and procedures (as defined in Rule 30a-2(c) under the Investment Company Act of 1940) for the registrant and have: a) Designed such disclosure controls and procedures, or caused such disclosures and procedures to be designed under our supervision, to ensure that material information relating to the registrant, including its consolidated subsidiaries, is made known to us by others within those entities, particularly during the period in which this report is being prepared; b) Evaluated the effectiveness of the registrant's disclosure controls and procedures and presented in this report our conclusions about the effectiveness of the disclosure controls and procedures, as of a date within 90 days prior to the filing date of this report based on such evaluation; and c) Disclosed in this report any change in the registrant's internal control over financial reporting that occurred during the registrant's most recent fiscal half-year (the registrant's second fiscal half-year in the case of an annual report) that has materially affected, or is reasonably likely to materially affect, the registrant's internal control over financial reporting; and 5. The registrant's other certifying officer(s) and I have disclosed to the registrant's auditors and the audit committee of the registrant's board of directors (or persons performing the equivalent functions): a) All significant deficiencies and material weaknesses in the design or operation of internal control over financial reporting which are reasonably likely to adversely affect the registrant's ability to record, process, summarize, and report financial information; and b) Any fraud, whether or not material, that involves management or other employees who have a significant role in the registrant's internal control over financial reporting. Date: October 30, 2003 /s/ Randall W. Merk ______________________________ Randall W. Merk President and Chief Executive Officer Exhibit 99.302 Cert CERTIFICATIONS I, Tai-Chin Tung, certify that: 1. I have reviewed this report on Form N-CSR of Schwab Investments; 2. Based on my knowledge, this report does not contain any untrue statement of a material fact or omit to state a material fact necessary to make the statements made, in light of the circumstances under which such statements were made, not misleading with respect to the period covered by this report; 3. Based on my knowledge, the financial statements, and other financial information included in this report, fairly present in all material respects the financial condition, results of operations, changes in net assets, and cash flows (if the financial statements are required to include a statement of cash flows) of the registrant as of, and for, the periods presented in this report; 4. The registrant's other certifying officers and I are responsible for establishing and maintaining disclosure controls and procedures (as defined in Rule 30a-2(c) under the Investment Company Act of 1940) for the registrant and have: a) Designed such disclosure controls and procedures, or caused such disclosures and procedures to be designed under our supervision, to ensure that material information relating to the registrant, including its consolidated subsidiaries, is made known to us by others within those entities, particularly during the period in which this report is being prepared; b) Evaluated the effectiveness of the registrant's disclosure controls and procedures and presented in this report our conclusions about the effectiveness of the disclosure controls and procedures, as of a date within 90 days prior to the filing date of this report based on such evaluation; and c) Disclosed in this report any change in the registrant's internal control over financial reporting that occurred during the registrant's most recent fiscal half-year (the registrant's second fiscal half-year in the case of an annual report) that has materially affected, or is reasonably likely to materially affect, the registrant's internal control over financial reporting; and 5. The registrant's other certifying officer(s) and I have disclosed to the registrant's auditors and the audit committee of the registrant's board of directors (or persons performing the equivalent functions): a) All significant deficiencies and material weaknesses in the design or operation of internal control over financial reporting which are reasonably likely to adversely affect the registrant's ability to record, process, summarize, and report financial information; and b) Any fraud, whether or not material, that involves management or other employees who have a significant role in the registrant's internal control over financial reporting. Date: October 29, 2003 /s/ Tai-Chin Tung ______________________________ Tai-Chin Tung Treasurer and Principal Financial Officer EX-99.906CERT 5 f93533exv99w906cert.txt SECTION 906 CERTIFICATIONS Exhibit 99.906 Cert CERTIFICATION PURSUANT TO 18 U.S.C. SECTION 1350, AS ADOPTED PURSUANT TO SECTION 906 OF THE SARBANES-OXLEY ACT OF 2002 In connection with the Annual Report for Schwab Investments ("issuer") on Form N-CSR for the period ended August 31, 2003 ("periodic report"), I, Randall W. Merk, President and Chief Executive Officer of the Company, hereby certify, pursuant to 18 U.S.C. section 1350, as adopted pursuant to section 906 of the Sarbanes-Oxley Act of 2002, that to the best of my knowledge: (1) The periodic report fully complies with the requirements of section 13(a) or 15(d) of the Securities Exchange Act of 1934; and (2) The information contained in the periodic report fairly presents, in all material respects, the financial condition and results of operations of the issuer for the period presented therein. /s/ Randall W. Merk Date: October 30, 2003 - ------------------------------------------- -------------------------- Randall W. Merk President and Chief Executive Officer /s/ Tai-Chin Tung Date: October 29, 2003 - ------------------------------------------- -------------------------- Tai-Chin Tung Treasurer and Principal Financial Officer This certification is being furnished to the Securities and Exchange Commission solely pursuant to 18 U.S.C. section 1350 and is not being filed as part of the Form N-CSR with the Commission. 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