497 1 f2789d1.htm WASATCH FUNDS TRUST

  

WASATCH FUNDS TRUST 

Supplement dated March 27, 2020 to the  

Statement of Additional Information dated January 31, 2020 

  

  

Investor  

Class 

Institutional Class 

Wasatch Core Growth Fund® 

WGROX 

WIGRX 

Wasatch Emerging India Fund ® 

WAINX 

WIINX 

Wasatch Emerging Markets Select Fund® 

WAESX 

WIESX 

Wasatch Emerging Markets Small Cap Fund® 

WAEMX 

WIEMX 

Wasatch Frontier Emerging Small Countries Fund® 

WAFMX 

WIFMX 

Wasatch Global Opportunities Fund® 

WAGOX 

WIGOX 

Wasatch Global Select Fund® 

WAGSX  

WGGSX 

Wasatch Global Value Fund®  

FMIEX 

WILCX 

Wasatch International Growth Fund® 

WAIGX 

WIIGX 

Wasatch International Opportunities Fund® 

WAIOX 

WIIOX 

Wasatch International Select Fund® 

WAISX 

WGISX 

Wasatch Micro Cap Fund® 

WMICX 

WGICX 

Wasatch Micro Cap Value Fund® 

WAMVX 

WGMVX 

Wasatch Small Cap Growth Fund® 

WAAEX 

WIAEX 

Wasatch Small Cap Value Fund® 

WMCVX 

WICVX 

Wasatch Ultra Growth Fund® 

WAMCX 

WGMCX 

Wasatch-Hoisington U.S. Treasury Fund® 

WHOSX 

  

(collectively, the “Funds”) 

  

This Supplement updates certain information contained in the Wasatch Funds Statement of Additional Information (the “SAI”) for Investor Class and Institutional Class shares dated January 31, 2020.  You should retain this Supplement and the SAI for future reference.  Additional copies of the SAI may be obtained free of charge by visiting our web site at wasatchglobal.com or calling us at 800.551.1700. 

  

The section “Open/Closed Status of Funds” in the section entitled “General Information and History” on page 3 of the SAI is hereby deleted in its entirety and replaced with the following: 

  

Open/Closed Status of Funds.  All Funds, except the International Opportunities Fund, are open to investors.   

  

The International Opportunities Fund is closed to new purchases, except purchases by new or existing shareholders purchasing directly from Wasatch Funds, existing shareholders purchasing through intermediaries, and current and future shareholders purchasing through financial advisors and retirement plans with an established position in the Fund.  Fund officers may waive or revise the conditions of a closed fund for an intermediary depending on its ability to systematically apply the conditions.