STAR SELECT FUNDS
497, 1998-07-06
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                                Star Select Funds
                              CROSS REFERENCE SHEET
                                    FORM N-1A


                 FOR STAR SELECT REIT-PLUS FUND (CLASS B SHARES)


ITEM                                   SECTION IN PROSPECTUS

 1......................Cover Page
 2......................Summary of Fund Expenses
 3......................None
 4......................The  Fund,  Investment Objective and Strategies and Risk
                        Considerations,  Investment Policies and Techniques,
                        Operation of the Fund, General Information
 5......................Operation of the Fund; Supplement to Prospectus
 5A.....................None
 6......................Cover Page, Dividends and Distributions,  Taxes, General
                        Information, Redeeming Shares
 7......................Cover  Page,  How to Invest in the  Fund,  Share  Price
                        Calculation, Operation of the Fund, Redeeming Shares
 8......................Redeeming Shares
 9......................None
13......................General Information
15......................General Information



                            SECTION IN STATEMENT OF
ITEM                         ADDITIONAL INFORMATION

10.......................Cover Page
11.......................Table of Contents
12.......................None
13.......................Additional  Information About Fund Investments and Risk
                         Considerations, Investment Limitations
14.......................Trustees and Officers
15.......................Description of the Trust
16.......................The  Investment  Adviser,  Custodian,  Transfer  Agent,
                         Accountants, Trustees and Officers
17.......................Portfolio Transactions and Brokerage
18.......................Description of the Trust
19.......................Determination of Share Price
20.......................None
21.......................Distributor
22.......................Investment Performance
23.......................Financial Statements




<PAGE>


                                Star Select Funds
                             CROSS REFERENCE SHEET
                                    FORM N-1A





                 FOR STAR SELECT REIT-PLUS FUND (CLASS C SHARES)



ITEM                                   SECTION IN PROSPECTUS



 1.......................Cover Page
 2.......................Summary of Fund Expenses
 3.......................Supplement to Prospectus
 4.......................The  Fund, Investment Objective and Strategies and Risk
                         Considerations,  Investment Policies and Techniques,
                         Operation of the Fund, General Information; Supplement
                         to Prospectus
 5.......................Operation of the Fund; Supplement to Prospectus
 5A......................None
 6.......................Cover Page, Dividends and Distributions, Taxes, General
                         Information, Redeeming Shares; Supplement to Prospectus
 7.......................Cover  Page,  How to Invest in the  Fund,  Share  Price
                         Calculation, Operation of the Fund, Redeeming Shares
 8.......................Redeeming Shares
 9.......................None..
13.......................General Information
15.......................General Information



                             SECTION IN STATEMENT OF
ITEM                         ADDITIONAL INFORMATION

10........................Cover Page
11........................Table of Contents
12........................None
13........................Additional Information About Fund Investments and Risk
                          Considerations, Investment Limitations
14........................Trustees and Officers
15........................Description of the Trust
16........................The  Investment  Adviser,  Custodian,  Transfer Agent,
                          Accountants, Trustees and Officers
17........................Portfolio Transactions and Brokerage
18........................Description of the Trust
19........................Determination of Share Price
20........................None..
21........................Distributor
22........................Investment Performance
23........................Financial Statements


 <PAGE>

                          SUPPLEMENT DATED JULY 1, 1998
                        TO PROSPECTUS DATED APRIL 1, 1998

                      STAR SELECT REIT-PLUS FUND - CLASS B



     Effective July 1, 1998, the following  information replaces the information
currently  provided  in the  prospectus  on  page  8  regarding  the  day-to-day
management of the Fund's portfolio:


     B. Randolph Bateman is primarily  responsible for the day-to-day management
of the Fund's  portfolio.  Mr.  Bateman  is a Senior  Vice  President  and Chief
Investment Officer of the StarTrust Division of Star Bank. His  responsibilities
include  overseeing the investment policy and research process of $10 billion in
assets  managed  by the  Capital  Management  Department  within  the  StarTrust
Division.  These assets  include the 13 Star Bank mutual  funds.  In addition to
these  responsibilities,  Mr.  Bateman  is the  portfolio  manager  of the  REIT
portfolios in the Star Funds as well as the Star International Equity Fund.

     Mr.  Bateman  joined Star Bank in 1988.  He has over  twenty-five  years of
investment experience,  including serving as President of MPACT Securities,  the
investment research and advisory arm of MCORP in Dallas. He earned a Bachelor of
Arts degree in Economics  from North  Carolina  State  University  and holds the
Chartered Financial Analyst designation.



                         

<PAGE>

                          SUPPLEMENT DATED JULY 1, 1998
               TO PROSPECTUS DATED JUNE 1, 1997 (as supplemented)

                      STAR SELECT REIT-PLUS FUND - CLASS C



     Effective July 1, 1998, the following  information replaces the information
currently  provided in the  prospectus on pages 6 and 7 regarding the day-to-day
management of the Fund's portfolio:


     B. Randolph Bateman is primarily  responsible for the day-to-day management
of the Fund's  portfolio.  Mr.  Bateman  is a Senior  Vice  President  and Chief
Investment Officer of the StarTrust Division of Star Bank. His  responsibilities
include  overseeing the investment policy and research process of $10 billion in
assets  managed  by the  Capital  Management  Department  within  the  StarTrust
Division.  These assets  include the 13 Star Bank mutual  funds.  In addition to
these  responsibilities,  Mr.  Bateman  is the  portfolio  manager  of the  REIT
portfolios in the Star Funds as well as the Star International Equity Fund.

     Mr.  Bateman  joined Star Bank in 1988.  He has over  twenty-five  years of
investment experience,  including serving as President of MPACT Securities,  the
investment research and advisory arm of MCORP in Dallas. He earned a Bachelor of
Arts degree in Economics  from North  Carolina  State  University  and holds the
Chartered Financial Analyst designation.



                           
                                        
                         

                                




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