497 1 group1variablesaipmsticker.htm SUPPLEMENT TO PROSPECTUS group1variablesaipmsticker.htm - Generated by SEC Publisher for SEC Filing

June 23, 2020

 

BNY MELLON INVESTMENT PORTFOLIOS

Technology Growth Portfolio ("TGP")

 

Supplement to Current Statement of Additional Information

 

The following information supplements the portfolio manager information contained in the section of the Statement of Additional Information entitled "Certain Portfolio Manager Information":

 

The following table lists the number and types of accounts (including the funds) advised by each fund's primary portfolio manager(s) and assets under management in those accounts as of the end of the last fiscal year of the funds they manage.

 

Primary
Portfolio Manager

Registered Investment Companies

Total Assets Managed

Other Pooled Investment Vehicles

Total Assets Managed

Other Accounts

Total Assets Managed

Matthew Griffin1

2

$772M

1

$746M

1

$14.9M

 

Because Mr. Griffin became a primary portfolio manager of TGP as of May 1, 2020, his information is as of March 31, 2020.

 

The following table provides information on accounts managed (included within the table above) by each primary portfolio manager that are subject to performance-based advisory fees.

 

Primary
Portfolio Manager

Type of Account

Number of Accounts
Subject to Performance Fees

Total Assets of Accounts

Matthew Griffin

None

None

None

 

The following table lists the dollar range of fund shares beneficially owned by the primary portfolio manager(s) as of the end of the fund's last fiscal year, except if otherwise indicated.

 

Primary
Portfolio Manager

Fund

Dollar Range of Fund Shares Beneficially Owned

Matthew Griffin1

TGP

None

 

Because Mr. Griffin became a primary portfolio manager of TGP as of May 1, 2020, his information is as of March 31, 2020.

 

IPSRG-SAISTK-0620