T. Rowe Price Maryland Short-Term Tax-Free Bond Fund (PRMDX)
Ticker Symbol:
PRMDX
Fund Status:
Open to new Retail investors  /  Open to subsequent Retail investments
Fund Performance
Quick Stats
Current NAV as of 08/28/2015 $5.22
NAV Change $0.00
Net Assets as of 07/31/2015 $210.31 Million
Daily YTD Return as of 08/28/2015 0.44%
Three Month Return as of 07/31/2015 0.16%
Expense Ratio as of 02/28/2015 0.53%
Historical Prices
Select Range: 1Yr | 3 Yrs | 5 Yrs | 10 Yrs Since Inception
Monthly High   $5.22   07/17/2015
Monthly Low   $5.21   07/01/2015
Month End   $5.22   07/31/2015
YTD High   $5.24   02/10/2015
YTD Low   $5.20   06/25/2015
2014 Year High $5.24 02/27/2014
2014 Year Low $5.21 03/24/2014
2013 Year High $5.24 02/22/2013
2013 Year Low $5.18 06/24/2013
2012 Year High $5.25 02/09/2012
2012 Year Low $5.22 12/18/2012
Average Annual Total Returns and Benchmarks
as of 06/30/2015
Distribution Schedule
Dividends Monthly
Capital Gains* Annual
*If applicable.
Distribution History
Dividends
Date

Per Share Amount

Reinvestment Price
04-30-2015 $0.003 $5.22
05-31-2015 $0.0027 $5.21
06-30-2015 $0.003 $5.21
07-31-2015 $0.0027 $5.22
Distribution amounts are rounded to the nearest cent. Shareholders should refer to their statements for exact distribution amounts.
Alternative Minimum Tax*
as of 07/31/2015
Percentage of Fund Income subject to the Alternative Minimum Tax 1.82%
*Alternative minimum tax (AMT) percentage provided here represents the fund's estimate of income subject to the AMT as of the date indicated. This percentage is subject to change throughout the year and does not necessarily indicate the final amount of income that will be subject to AMT. The current AMT percentage should not be used for tax return preparation or other tax filings. T. Rowe Price will provide fund account holders with a final AMT percentage in January.
Performance Comparison
as of 07/31/2015
This chart shows the value of a hypothetical $10,000 investment in the fund over the past 10 years or since its inception (for funds lacking 10-year records). The result is compared with benchmarks, which may include a broad-based market index and a peer group average or index. Market indexes do not include expenses, which are deducted from fund returns as well as mutual fund averages and indexes.
30-Day Yield1
Annualized Dividend as of 08/28/2015 0.68%
SEC Dividend as of 08/23/2015 0.28%
Average Annual Total Returns2
  Month End
7/31/15
Quarter End
6/30/15
1 Year 0.46% 0.26%
3 Years 0.51% 0.52%
5 Years 0.74% 0.75%
10 Years 1.89% 1.84%
Since Inception 2.85% 2.85%
Inception Date January 29, 1993
Current performance may be lower or higher than the quoted past performance, which cannot guarantee future results. Share price, principal value, yield and return will vary and you may have a gain or loss when you sell your shares.
Calendar Year Total Returns
2005 0.87%
2006 2.87%
2007 3.75%
2008 3.35%
2009 3.76%
2010 0.76%
2011 1.38%
2012 0.72%
2013 0.73%
2014 0.63%
Share Splits
as of 07/31/2015
Split Type N/A
Effective Date N/A
Pre-Split NAV N/A
Post-Split NAV N/A
1The 30-day dividend yield represents the average daily dividends for the 30-day period, annualized and divided by the net asset values per share at the end of the period; it is available the first quarter after the fund's inception. The SEC standardized yield is computed under an SEC standardized formula and reflects an estimated yield to maturity (assuming all portfolio securities are held to maturity); it is available the first month after the fund's inception.
2 Average annual total return figures include changes in principal value, reinvested dividends, and capital gain distributions. For funds less than one year old, the Since Inception return figure is not annualized and represents an aggregate total return.
See Glossary for additional details on all data elements.