-----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, OIXJZ6P99DDltXtu1pEzJA0gA/NgTfQ8aR6viXvagjH02+6kkuouTnqHISAGPJIV 0DqhnEDmTM6zZ942vO1+Sw== 0001193125-08-071409.txt : 20080401 0001193125-08-071409.hdr.sgml : 20080401 20080331173901 ACCESSION NUMBER: 0001193125-08-071409 CONFORMED SUBMISSION TYPE: 497 PUBLIC DOCUMENT COUNT: 1 FILED AS OF DATE: 20080401 DATE AS OF CHANGE: 20080331 EFFECTIVENESS DATE: 20080401 FILER: COMPANY DATA: COMPANY CONFORMED NAME: NUVEEN MULTISTATE TRUST I CENTRAL INDEX KEY: 0001018972 IRS NUMBER: 000000000 STATE OF INCORPORATION: MA FISCAL YEAR END: 0531 FILING VALUES: FORM TYPE: 497 SEC ACT: 1933 Act SEC FILE NUMBER: 333-16617 FILM NUMBER: 08726516 BUSINESS ADDRESS: STREET 1: C/O JOHN NUVEEN & CO INC STREET 2: 333 WEST WACKER DRIVE 32ND FLOOR CITY: CHICAGO STATE: IL ZIP: 60606 BUSINESS PHONE: 3129178200 MAIL ADDRESS: STREET 1: JOHN NUVEEN & CO INC STREET 2: 333 WEST WACKER DRIVE 32ND FLOOR CITY: CHICAGO STATE: IL ZIP: 60606 FORMER COMPANY: FORMER CONFORMED NAME: NUVEEN FLAGSHIP MULTISTATE TRUST I DATE OF NAME CHANGE: 19960716 0001018972 S000000545 Nuveen Arizona Municipal Bond Fund C000001474 Nuveen Arizona Municipal Bond Fund - Class A FAZTX C000001475 Nuveen Arizona Municipal Bond Fund - Class B FAZBX C000001476 Nuveen Arizona Municipal Bond Fund - Class C FAZCX C000001477 Nuveen Arizona Municipal Bond Fund - Class R NMARX 0001018972 S000000546 Nuveen Colorado Municipal Bond Fund C000001478 Nuveen Colorado Municipal Bond Fund - Class A FCOTX C000001479 Nuveen Colorado Municipal Bond Fund - Class B FCOBX C000001480 Nuveen Colorado Municipal Bond Fund - Class C FCOCX C000001481 Nuveen Colorado Municipal Bond Fund - Class R FCORX 0001018972 S000000547 Nuveen Florida Preference Municipal Bond Fund C000001482 Nuveen Florida Preference Municipal Bond Fund - Class A FLOTX C000001483 Nuveen Florida Preference Municipal Bond Fund - Class B FLOBX C000001484 Nuveen Florida Preference Municipal Bond Fund - Class C FLCTX C000001485 Nuveen Florida Preference Municipal Bond Fund - Class R NMFLX 0001018972 S000000548 Nuveen Maryland Municipal Bond Fund C000001486 Nuveen Maryland Municipal Bond Fund - Class A NMDAX C000001487 Nuveen Maryland Municipal Bond Fund - Class B NBMDX C000001488 Nuveen Maryland Municipal Bond Fund - Class C NMDCX C000001489 Nuveen Maryland Municipal Bond Fund - Class R NMMDX 0001018972 S000000549 Nuveen New Mexico Municipal Bond Fund C000001490 Nuveen New Mexico Municipal Bond Fund - Class A FNMTX C000001491 Nuveen New Mexico Municipal Bond Fund - Class B FNMBX C000001492 Nuveen New Mexico Municipal Bond Fund - Class C FNMCX C000001493 Nuveen New Mexico Municipal Bond Fund - Class R FNMRX 0001018972 S000000550 Nuveen Pennsylvania Municipal Bond Fund C000001494 Nuveen Pennsylvania Municipal Bond Fund - Class A FPNTX C000001495 Nuveen Pennsylvania Municipal Bond Fund - Class B FPMMX C000001496 Nuveen Pennsylvania Municipal Bond Fund - Class C FPMBX C000001497 Nuveen Pennsylvania Municipal Bond Fund - Class R NBPAX 0001018972 S000000551 Nuveen Virginia Municipal Bond Fund C000001498 Nuveen Virginia Municipal Bond Fund - Class A FVATX C000001499 Nuveen Virginia Municipal Bond Fund - Class B NFVBX C000001500 Nuveen Virginia Municipal Bond Fund - Class C FVACX C000001501 Nuveen Virginia Municipal Bond Fund - Class R NMVAX 497 1 d497.htm NUVEEN MULTISTATE TRUST I Nuveen Multistate Trust I

NUVEEN MUTUAL FUNDS

SUPPLEMENT TO PROSPECTUSES

DATED MARCH 31, 2008

 

Nuveen Municipal Trust

Prospectus dated August 28, 2007, as supplemented

    October 25, 2007, November 13, 2007,

    December 21, 2007 and March 20, 2008

 

Nuveen Investment Trust

Prospectus dated October 29, 2007, as supplemented     November 13, 2007 and December 18, 2007

Prospectus dated January 16, 2008

Nuveen Multistate Trust I

Prospectuses dated September 28, 2007, as

    supplemented November 13, 2007

 

Nuveen Investment Trust II

Prospectus dated September 28, 2007, as supplemented

    November 13, 2007

Prospectus dated November 28, 2007

Prospectus dated November 28, 2007, as supplemented

    December 18, 2007

Nuveen Multistate Trust II

Prospectuses dated June 28, 2007, as supplemented

    October 25, 2007, November 13, 2007 and March 20, 2008

 

Nuveen Investment Trust III

Prospectus dated January 28, 2008

Nuveen Multistate Trust III

Prospectus dated September 28, 2007, as supplemented

    November 13, 2007

 

Nuveen Investment Trust V

Prospectus dated July 3, 2007, as supplemented

    August 31, 2007, October 9, 2007, November 13, 2007

    and January 8, 2008

Nuveen Multistate Trust IV

Prospectus dated September 28, 2007, as supplemented

    November 13, 2007

 

The following changes apply to all Nuveen mutual funds:

Effective May 1, 2008, for Class A share purchases at net asset value of $1 million or more that are subject to a contingent deferred sales charge (“CDSC”), the period over which the CDSC will apply is reduced from 18 months to 12 months for all purchases occurring on or after May 1, 2007. Class A shares purchased prior to May 1, 2007 that have not been redeemed are no longer subject to a CDSC.

Effective March 31, 2008, Class B shares will no longer be available for the following Nuveen funds:

 

Nuveen Enhanced Core Equity Fund

Nuveen Enhanced Mid-Cap Fund

Nuveen Symphony Optimized Alpha Fund

Nuveen Preferred Securities Fund

For all other Nuveen funds, effective May 1, 2008, Class B shares will only be issued (i) upon the exchange of Class B shares from another Nuveen fund, (ii) for purposes of dividend reinvestment, and (iii) through December 31, 2008, for defined contribution plans and investors using automatic investment plans with investments in Class B shares as of March 31, 2008.


Furthermore, the reinstatement privilege for Class B shares will no longer be available as of December 31, 2008.

Effective May 1, 2008, Class R shares will be renamed Class I shares and will be available for (i) purchases of $1 million or more, (ii) purchases using dividends and capital gains distributions on Class I shares, and (iii) purchase by the following categories of investors:

 

   

Certain trustees, directors, employees, and affiliates of Nuveen;

 

   

Certain financial intermediary personnel;

 

   

Certain bank or broker-affiliated trust departments;

 

   

Certain employer-sponsored retirement plans; and

 

   

Certain additional categories of investors, including certain advisory accounts of Nuveen and its affiliates, and qualifying clients of investment advisers, financial planners or other financial intermediaries that charge periodic or asset-based fees for their services.

Please refer to the Statement of Additional Information for more information about Class I shares, including more detailed program descriptions and eligibility requirements.

PLEASE KEEP THIS WITH YOUR FUND PROSPECTUS

FOR FUTURE REFERENCE

 

-2-


NUVEEN MUTUAL FUNDS

SUPPLEMENT TO STATEMENTS OF ADDITIONAL INFORMATION

DATED MARCH 31, 2008

 

Nuveen Municipal Trust

Statement of Additional Information dated

    August 28, 2007, as supplemented November 13, 2007

  

Nuveen Investment Trust

Statement of Additional Information dated

    October 29, 2007, as supplemented

    November 13, 2007 and December 18, 2007

Statement of Additional Information dated January 16, 2008

Nuveen Multistate Trust I

Statement of Additional Information dated

    September 28, 2007, as supplemented November 13, 2007

  

Nuveen Investment Trust II

Statement of Additional Information dated

    September 28, 2007, as supplemented

    October 10, 2007 and November 13, 2007

Statement of Additional Information dated

    November 28, 2007, as supplemented December 6, 2007

Statement of Additional Information dated

    November 28, 2007, as supplemented

    December 6, 2007 and December 18, 2007

Nuveen Multistate Trust II

Statement of Additional Information dated

    June 28, 2007, as supplemented November 13, 2007

  

Nuveen Investment Trust III

Statement of Additional Information dated January 28, 2008

Nuveen Multistate Trust III

Statement of Additional Information dated

    September 28, 2007, as supplemented November 13, 2007

  

Nuveen Investment Trust V

Statement of Additional Information dated July 3, 2007,

    as supplemented November 13, 2007

Nuveen Multistate Trust IV

Statement of Additional Information dated

    September 28, 2007, as supplemented November 13, 2007

  

The following changes apply to all Nuveen mutual funds:

Effective May 1, 2008, for Class A share purchases at net asset value of $1 million or more that are subject to a contingent deferred sales charge (“CDSC”), the period over which the CDSC will apply is reduced from 18 months to 12 months for all purchases occurring on or after May 1, 2007. Class A shares purchased prior to May 1, 2007 that have not been redeemed are no longer subject to a CDSC.


Effective March 31, 2008, Class B shares will no longer be available for the following Nuveen funds:

 

Nuveen Enhanced Core Equity Fund

Nuveen Enhanced Mid-Cap Fund

Nuveen Symphony Optimized Alpha Fund

Nuveen Preferred Securities Fund

For all other funds, effective May 1, 2008, Class B shares will only be issued (i) upon the exchange of Class B shares from another Nuveen fund, (ii) for purposes of dividend reinvestment, and (iii) through December 31, 2008, for defined contribution plans and investors using automatic investment plans with investments in Class B shares as of March 31, 2008. Furthermore, the reinstatement privilege for Class B shares will no longer be available as of December 31, 2008.

Effective May 1, 2008, Class R shares will be renamed Class I shares and will be available for (i) purchases of $1 million or more, (ii) purchases using dividends and capital gains distributions on Class I shares, and (iii) purchase by the following categories of investors:

 

   

Any person who was a shareholder of the PBHG Special Equity Fund on December 5, 2002 (for the NWQ Multi-Cap Value Fund only);

 

   

Officers, trustees and former trustees of the applicable Trust or any Nuveen-sponsored registered investment company and their immediate family members or trustees/directors of any fund sponsored by Nuveen, any parent company of Nuveen and subsidiaries thereof and their immediate family members (immediate family members are defined as their spouses, parents, children, grandparents, grandchildren, parents-in-law, sons- and daughter-in-law, siblings, a sibling’s spouse, and a spouse’s siblings);

 

   

Bona fide, full-time and retired employees of Nuveen, and subsidiaries thereof, or their immediate family members;

 

   

Any person who, for at least the last 90 days, has been an officer, director or bona fide employee of any financial intermediary, or their immediate family members;

(Any shares purchased by investors falling within any of the first four categories listed above must be acquired for investment purposes and on the condition that they will not be transferred or resold except through redemption by a fund.)

 

   

Bank or broker-affiliated trust departments investing funds over which they exercise exclusive discretionary investment authority and that are held in a fiduciary, agency, advisory, custodial or similar capacity;


   

Investors purchasing through a periodic or asset-based fee program which is sponsored by a registered broker-dealer or other financial institution that has entered into an agreement with Nuveen;

 

   

Fee-paying clients of a registered investment advisor (“RIA”) who initially invests for clients an aggregate of at least $100,000 in Nuveen funds through a fund “supermarket” or other mutual fund trading platform sponsored by a broker-dealer or trust company of which the RIA is not an affiliated or associated person and which has entered into an agreement with Nuveen;

 

   

Employer-sponsored retirement plans except SEPs, SAR-SEPs, SIMPLE IRAs and KEOGH plans; and

 

   

Other Nuveen funds whose investment policies allow investments in other investment companies.

In addition, purchasers of Nuveen Defined Portfolios may reinvest their distributions from Defined Portfolios in Class I shares, if, before September 6, 1994 (or before June 13, 1995 for Nuveen Intermediate Duration Municipal Bond Fund, formerly called Nuveen Municipal Bond Fund), such purchasers of Nuveen Defined Portfolios had elected to reinvest distributions in Nuveen fund shares. Shareholders of Class I shares may exchange such shares for Class I shares of any other Nuveen fund.

PLEASE KEEP THIS WITH YOUR FUND STATEMENT

OF ADDITIONAL INFORMATION.

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