Release Date: 06-30-2021 BNY Mellon Small Cap Gr I SSETX ...... Benchmark Overall Morningstar Rating™ Morningstar Return Morningstar Risk Russell 2000 Growth TR USD QQQQQ High Above Average Out of 576 Small Growth . An 's overall Morningstar Rating, based on its risk-adjusted return, is a weighted average of its applicable 3-, 5-, and 10-year Ratings. See disclosure page for details.

Investment Information Performance as of 06-30-21 Investment Objective & Strategy from investment's prospectus 80 Total Return % The investment seeks long-term growth of capital. 60 as of 06-30-21 Investment The fund normally invests at least 80% of its net assets, 40 Benchmark plus any borrowings for investment purposes, in equity 20 securities of small-cap U.S. companies. The adviser currently 0 considers small-cap companies to be those with total market -20 capitalizations that are equal to or less than the total market -40 Average annual, if greater capitalization of the largest company included in the Russell -60 than 1 year 2000® Growth Index, the fund's benchmark index. The YTD 1 Year 3 Year 5 Year 10 Year Since Inception fund's investment strategy may lead it to emphasize certain sectors, such as technology, health care, business services 1.89 42.54 24.85 26.00 16.84 12.67 Investment Return % 8.98 51.36 15.94 18.76 13.52 8.43 Benchmark Return % and communications. 12.40 55.69 19.34 20.72 13.98 9.79 Category Average % Past name(s) : Dreyfus/The Co Small Cap Gr I...... QQQQ QQQQ QQQQQ . Morningstar Rating™ Fees and Expenses as of 02-01-21 . . 576 505 379 . # of Funds in Category Prospectus Gross Expense Ratio 2.65 % Total Annual Operating Exp per $1000 $ 26.50 The performance data quoted reflects past performance and is calculated according to Morningstar’s methodology. For Maximum Sales Charge . YTD YTD YTD YTD YTD YTD new share classes of an investment, the performance reflected for periods prior to the inception date of such class may 12b-1 Fee . have been calculated using the historical returns of the original share class, and in such cases is displayed in italics. The Redemption Fee/Term . historical returns of the original share class are adjusted to reflect differences in fees when the newer share class has Portfolio Manager(s) higher fees than the oldest share class but are not adjusted when the newer class has lower fees. Past performance does John R Porter. B.S., University of Michigan. M.S., University of not guarantee future results. The investment return and principal value of an investment will fluctuate so that an investor’s Michigan. M.B.A., University of Chicago. shares, when redeemed, may be worth more or less than their original cost. Current performance may be lower than the Todd W. Wakefield, CFA (1995). B.S., SUNY, Oswego 1988. performance data quoted. For the most recent month end performance information, please call 1-800-922-9945, or visit M.B.A., Rochester Institute of Technology 1994. rps.troweprice.com.

Operations and Management Portfolio Analysis Fund Inception Date 12-23-96 Composition as of 05-31-21 % Assets Morningstar Equity Style Box™ as of 05-31-21 % Market Cap Management Company BNY Mellon Investment Adviser, U.S. Stocks 90.6 Large Giant 0.00 ...... Inc. Non-U.S. Stocks 2.5 Mid Large 3.00 Telephone 800-373-9387 Bonds 0.0 Medium 19.90

Web Site https://im.bnymellon.com Cash 6.9 Small Small 56.38 Issuer BNY Mellon Other 0.0 ...... Micro 20.72 Category Description: Small Growth Value Blend Growth Small-growth portfolios focus on faster-growing companies whose shares are at the lower end of the market- Top 10 Holdings as of 05-31-21 % Assets Morningstar Sectors as of 05-31-21 % Fund capitalization range. These portfolios tend to favor companies Dreyfus Instl Preferred Gov Plus MMkt 6.90 h Cyclical 15.65 ...... Twilio Inc A 2.78 in up-and-coming industries or young firms in their early r Basic Materials 1.67 growth stages. Because these businesses are fast-growing Planet Fitness Inc A 2.55 t Consumer Cyclical 7.54 and often richly valued, their stocks tend to be volatile. 1Life Healthcare Inc Ordinary Shares 2.48 y 4.36 Stocks in the bottom 10% of the capitalization of the U.S. HubSpot Inc 2.45 ...... u Real Estate 2.08 equity market are defined as small cap. Growth is defined Freshpet Inc 2.42 j Sensitive 41.92 based on fast growth (high growth rates for earnings, sales, Rapid7 Inc 2.42 ...... book value, and cash flow) and high valuations (high price Bandwidth Inc Class A 2.14 i Communication Services 2.99 ratios and low dividend yields). Construction Partners Inc Class A 1.92 o Energy 1.20 11.25 Volatility And Risk Zendesk Inc 1.70 p Industrials a Technology 26.48 Investment ...... k Defensive 42.42 Low Moderate High Total Number of Stock Holdings 96 ...... Total Number of Bond Holdings 0 s Consumer Defensive 8.29 Category Turnover Ratio % 74.21 d Healthcare 34.13 Total Assets ($mil) 50.30 Best 3 Month Return Worst 3 Month Return f Utilities 0.00 42.14% -35.88% (Apr '20 - Jun '20) (Sep '08 - Nov '08) Principal Risks For more information on the risks presented, please refer to https://www2.troweprice.com/rms/rps/Marketing/Assets/OAAU130- RISK.pdf Loss of Money, Not FDIC Insured, , High Portfolio Turnover, Market/Market Volatility, Equity Securities, Restricted/Illiquid Securities, Management, Small Cap, Mid-Cap

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