LIBERTY FUNDS TRUST III
485BPOS, N-14/A, 2000-11-27
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As filed with the Securities and Exchange Commission on November 27, 2000

                                                     Registration No. 333-47384


                     U.S. SECURITIES AND EXCHANGE COMMISSION
                             WASHINGTON, D.C. 20549

                            -------------------------

                                    FORM N-14

 -                                          -
| |Pre-Effective Amendment No.__          |X| Post-Effective Amendment No._1_
 -
             REGISTRATION STATEMENT UNDER THE SECURITIES ACT OF 1933

                            -------------------------

                             LIBERTY FUNDS TRUST III*
               (Exact Name of Registrant as Specified in Charter)

                                  617-426-3750

                        (Area Code and Telephone Number)

                ONE FINANCIAL CENTER, BOSTON, MASSACHUSETTS 02111
                    (Address of Principal Executive Offices)

                            -------------------------
                                WILLIAM J. BALLOU
                             Liberty Funds Group LLC

                              One Financial Center

                           Boston, Massachusetts 02111

                    (Name and Address of Agents for Service)

                            -------------------------

Approximate Date of Proposed Public Offering: As soon as practicable after this
Registration Statement becomes effective.

                            -------------------------

It is  proposed  that this filing will  become  effective  on December  27, 2000
pursuant to Rule 488.

                            -------------------------

No filing fee is required because an indefinite number of shares have previously
been registered pursuant to Rule 24f-2 under the Investment Company Act of 1940,
as  amended.  Pursuant  to Rule 429  under  the  Securities  Act of  1933,  this
Registration  Statement relates to shares previously registered on the aforesaid
Registration Statement.

*On behalf of its Liberty Select Value Fund, The Liberty Fund,  Liberty  Special
Fund and Liberty  Contrarian Equity Fund
series.

<PAGE>

     This Post-Effective Amendment No. 1 to the Registration Statement on Form
N-14 (File No. 333-47384) of Liberty Funds Trust III, which was filed with the
Securities and Exchange Commission on October 5, 2000 (the "Registration
Statement"), hereby incorporates by reference the following documents that are
contained in the Registration Statement:

     (a) with respect to the acquisition of Stein Roe Disciplined Stock Fund and
     Liberty Small-Cap Value Fund by Liberty Select Value Fund, Part A
     (Prospectus/Proxy Statement) and Part B (Statement of Additional
     Information) of the Registration Statement;

     (b) with respect to the acquisition of Liberty Contrarian Small-Cap Fund by
     Liberty Special Fund, Part A (Prospectus/Proxy Statement) and Part B
     (Statement of Additional Information) of the Registration Statement;

     (c) with respect to the acquisition of Liberty Contrarian Balanced Fund by
     Liberty Contrarian Equity Fund, Part A (Prospectus/Proxy Statement) and
     Part B (Statement of Additional Information) of the Registration Statement;

     (d) with respect to the acquisition of Liberty Strategic Balanced Fund by
     The Liberty Fund, Part A (Prospectus/Proxy Statement) and Part B (Statement
     of Additional Information) of the Registration Statement.



<PAGE>

Part C.  OTHER INFORMATION

Item  15.

Indemnification  Article VIII of the  Registrant's  Agreement and Declaration of
Trust, as amended, provides for indemnification of the Registrant's Trustees and
officers. The effect of the relevant section of Article VIII of the Registrant's
Agreement and  Declaration of Trust, as amended,  is to provide  indemnification
for each of the  Registrant's  Trustees and  officers  against  liabilities  and
counsel fees  reasonably  incurred in  connection  with the defense of any legal
proceeding  in which such  Trustee or officer may be involved by reason of being
or having  been a Trustee or officer,  except  with  respect to any matter as to
which such Trustee or officer shall have been  adjudicated  not to have acted in
good faith in the reasonable  belief that such Trustee's or officer's action was
in the best  interest of the  Registrant,  and except that no Trustee or officer
shall be indemnified against any liability to the Registrant or its shareholders
to which such Trustee or officer shall otherwise be subject by reason of willful
misfeasance,  bad faith,  gross  negligence or reckless  disregard of the duties
involved in the conduct of such Trustee's or officer's office.

Insofar as indemnification  for liabilities  arising under the Securities Act of
1933 (the "Act") may be permitted to Trustees,  officers and controlling persons
of the  Registrant  pursuant to the  foregoing  provisions,  or  otherwise,  the
Registrant  has been advised that in the opinion of the  Securities and Exchange
Commission  such  indemnification  is against  public policy as expressed in the
Act,  and  is,  therefore,   unenforceable.  In  the  event  that  a  claim  for
indemnification  against  such  liabilities  (other  than  the  payment  by  the
Registrant  of expenses  incurred or paid by a Trustee,  officer or  controlling
person of the  Registrant  in the  successful  defense  of any  action,  suit or
proceeding)  is  asserted  by such  Trustee,  officer or  controlling  person in
connection with the securities being registered,  the Registrant will, unless in
the opinion of its counsel the matter has been settled by controlling precedent,
submit  to a  court  of  appropriate  jurisdiction  the  question  whether  such
indemnification  by it is against public policy as expressed in the Act and will
be governed by the final adjudication of such issue.

Item 16. Exhibits

(1)(a)            Amendment No. 3 to the Agreement and Declaration of Trust (1)

   (b)            Amendment No. 4 to the Agreement and Declaration of Trust (2)

   (c)            Amendment No. 5 to the Agreement and Declaration of Trust (3)

(2)(c)            By-Laws, as amended (3)

(3)               Not Applicable

(4)(a)            Form of Agreement and Plan of Reorganization between Stein Roe
                  Disciplined Stock Fund and Liberty Select Value Fund (9)

   (b)            Form of Agreement and Plan of Reorganization between Liberty
                  Small-Cap Value Fund and Liberty Select Value Fund (9)

   (c)            Form of Agreement and Plan of Reorganization between Liberty
                  Strategic Balanced Fund and The Liberty Fund (9)

   (d)            Form of Agreement and Plan of Reorganization between Liberty
                  Contrarian Small Cap Fund and Liberty Special Fund (9)

   (e)            Form of Agreement and Plan of Reorganization between Liberty
                  Contrarian Balanced Fund and Liberty Contrarian Balanced Fund
                  (9)

(5)               Article III, Section 4, Article V, Section 1, Article VIII
                  Section 4 and Article IX Sections 1 and 7 of the Agreement
                  and Declaration of Trust, as amended, and Sections 2.1, 2.3
                  and 2.5 of the By-Laws, as amended, each define the rights
                  of shareholders

(6)(a)            Form of Management Agreement (The Liberty Fund) (4)

   (b)            Form of Management Agreement (Liberty Select Value Fund) (5)

   (c)            Form of Management Agreement (Liberty Special Fund)(6)

   (d)            Form of Management Agreement (Liberty Contrarian Equity
                  Fund)(6)
<PAGE>

(7)(a)           Distribution Agreement (incorporated herein by reference to
                 Exhibit (e)(1) to Post-Effective Amendment No. 17 to the
                 Registration Statement of Liberty Funds Trust VI (formerly
                 Colonial Trust VI), Registration Nos. 33-45117 and 811-6529
                 filed with the Commission on May 24, 1999)

   (b)           Appendix I to the Distribution Agreement between the Registrant
                 and Liberty Funds Distributor, Inc. - filed as Exhibit (e)(2)
                 in Part C, Item 23 of Post-Effective Amendment No. 63 to the
                 Registration Statement on Form N-1A of Liberty Funds Trust I
                 (File Nos. 2-41251 & 811-2214), filed with the Commission on or
                 about July 19, 2000, and is hereby incorporated by reference
                 and made a part of this Registration Statement

   (e)           Form of Selling Agreement with Liberty Funds Distributor, Inc.
                 (incorporated herein by reference to Exhibit 6.(b) to Post-
                 Effective Amendment No. 49 to the Registration Statement
                 of Liberty Funds Trust VI (formerly Colonial Trust VI),
                 Registration Nos. 33-45117 and 811-6529 filed with the
                 Commission on November 10, 1998)

   (f)           Form of Asset Retention Agreement (incorporated herein by
                 reference to Exhibit 6(d) to Post-Effective Amendment No. 10
                 to the Registration Statement of Liberty Funds Trust VI
                 (formerly Colonial Trust VI), Registration Nos. 33-45117 and
                 811-6529, filed with the Commission on September 27, 1996)

(8)              Discussion of trustee compensation is incorporated by reference
                 from the second paragraph under the sub-caption "Trustee
                 Compensation" in the Proxy/Prospectus filed herewith.

(9)(a)           Global Custody Agreement with The Chase Manhattan Bank
                 (incorporated herein by reference to Exhibit 8. to Post-
                 Effective Amendment No. 13 to the Registration Statement of
                 Liberty Funds Trust VI (formerly Colonial Trust VI),
                 Registration Nos. 33-45117 and 811-6529, filed with the
                 Commission on or about October 24, 1997)

   (b)           Amendment No. 13 to Appendix A of Global Custody Agreement with
                 The Chase Manhattan Bank - filed as Exhibit (g)(2) in Part C,
                 Item 23 of Post-Effective Amendment No. 63 to the Registration
                 Statement on Form N-1A of Liberty Funds Trust I (File Nos.
                 2-41251 & 811-2214), filed with the Commission on or about July
                 19, 2000, and is hereby incorporated by reference and made a
                 part of this Registration Statement

   (c)           Form of Custody Agreement with State Street Bank and Trust
                 Company(6)

(10)(a)        Rule 12b-1 Distribution Plan - filed as Exhibit (m) in Part C,
               Item 23 of  Post-Effective  Amendment No. 63 to the  Registration
               Statement  on  Form  N-1A of  Liberty  Funds  Trust I (File  Nos.
               2-41251 & 811-2214),  filed with the  Commission on or about July
               19, 2000, and is hereby incorporated by reference and made a part
               of this Registration Statement

    (b)        12b-1 Plan  Implementing  Agreement between the Registrant and
               Liberty Funds Distributor,  Inc. - filed as Exhibit 6.(b) in Part
               C,  Item  24(b)  of  Post-Effective   Amendment  No.  17  to  the
               Registration  Statement  on Form N-1A of Liberty  Funds  Trust VI
               (File Nos.  33-45117 and 811-6529),  filed with the Commission on
               or about May 24, 1999,  and is hereby  incorporated  by reference
               and made a part of this Registration Statement

    (c)        Appendix I to the 12b-1 Plan  Implementing  Agreement  between
               the  Registrant  and Liberty Funds  Distributor,  Inc. - filed as
               Exhibit (e)(4) in Part C, Item 23 of Post-Effective Amendment No.
               63 to the  Registration  Statement on Form N-1A of Liberty  Funds
               Trust I (File Nos. 2-41251 & 811-2214), filed with the Commission
               on or  about  July  19,  2000,  and  is  hereby  incorporated  by
               reference and made a part of this Registration Statement

    (d)        Plan pursuant to Rule 18f-3(d) under the Investment Company Act
               of  1940  -  filed  as  Exhibit   (o)  in  Part  C,  Item  23  of
               Post-Effective  Amendment No. 63 to the Registration Statement on
               Form  N-1A  of  Liberty  Funds  Trust  I  (File  Nos.  2-41251  &
               811-2214),  filed with the  Commission on or about July 19, 2000,
               and is hereby  incorporated  by reference and made a part of this
               Registration Statement

(11)(a)        Opinion and Consent of Counsel of Ropes & Gray with respect to
               the Acquisition of Stein Roe Disciplined Stock Fund (9)

    (b)        Opinion and Consent of Counsel of Ropes & Gray with respect to
               the Acquisition of Liberty Small Cap Value Fund (9)

    (c)        Opinion and Consent of Counsel of Ropes & Gray with respect to
               the Acquisition of Liberty Strategic Balanced Fund (9)

    (d)        Opinion and Consent of Counsel of Ropes & Gray with respect to
               the Acquisition of Liberty Contrarian Small Cap Fund (9)

    (e)        Opinion and Consent of Counsel of Ropes & Gray with respect to
               the Acquisition of Liberty Contrarian Balanced Fund (9)

(12)(a)        Opinion and Consent of Counsel on Tax Matters and
               Consequences to Shareholders of Bell, Boyd & Lloyd with respect
               to the Acquisition of Stein Roe Disciplined Stock Fund (9)

    (b)        Opinion and Consent of Counsel on Tax Matters and
               Consequences to Shareholders of Ropes & Gray with respect to the
               Acquisition of Stein Roe Disciplined Stock Fund (9)

    (c)        Opinion and Consent of Counsel on Tax Matters and
               Consequences to Shareholders of Ropes & Gray with respect to the
               Acquisition of Liberty Small Cap Value Fund (9)

    (d)        Opinion and Consent of Counsel on Tax Matters and
               Consequences to Shareholders of Ropes & Gray with respect to the
               Acquisition of Liberty Strategic Balanced Fund (9)

    (e)        Opinion and Consent of Counsel on Tax Matters and
               Consequences to Shareholders of Ropes & Gray with respect to the
               Acquisition of Liberty Contrarian Small Cap Fund (9)

    (f)        Opinion and Consent of Counsel on Tax Matters and
               Consequences to Shareholders of Ropes & Gray with respect to the
               Acquisition of Liberty Contrarian Balanced Fund (9)

(13)           Not Applicable

(14)(a)        Consent of Independent Accountants (Arthur Andersen)

    (b)        Consent of Independent Accountants (PWC)

    (c)        Consent of Independent Auditors (E&Y)

    (d)        Consent of Independent Accountants (KPMG)

(15)           Not Applicable

(16)(a)        Power of Attorney for: Tom Bleasdale,  Lora S. Collins, James E.
               Grinnell,  Richard W. Lowry,  Salvatore Macera, William E. Mayer,
               James L. Moody,  Jr.,  John J.  Neuhauser,  Thomas E. Stitzel and
               Anne-Lee  Verville - filed with Part C, Item 23 of Post-Effective
               Amendment  No. 62 to the  Registration  Statement on Form N-1A of
               Liberty  Funds Trust I (File Nos.  2-41251 and  811-2214),  filed
               with the  Commission  on or  about  May 17,  2000  and is  hereby
               incorporated  by reference  and made a part of this  Registration
               Statement

    (b)        Power of  Attorney  for  Joseph R.  Palombo - filed with Part C,
               Item 23 of  Post-Effective  Amendment No. 27 to the  Registration
               Statement  on  Form  N-1A of  Liberty  Funds  Trust V (File  Nos.
               33-12109 and  811-5030),  filed with the  Commission  on or about
               August 31, 2000 and is hereby  incorporated by reference and made
               a part of this Registration Statement

(17)(a)        Amended and Restated Shareholders' Servicing and Transfer Agent
               Agreement as amended - filed as Exhibit 9(b) to Part C, Item
               24(b) of Post-Effective Amendment No. 10 to the Registration
               Statement on Form N-1A of Liberty Funds Trust VI (File Nos.
               33-45117 and 811-6529), filed with the Commission on or about
               September 27, 1996, and is hereby incorporated by reference and
               made a part of this Registration Statement

    (b)        Amendment No. 18 to Schedule A of Amended and Restated
               Shareholders' Servicing and Transfer Agent Agreement as amended
               - filed as Exhibit (h)(2) in Part C, Item 23 of Post-Effective
               Amendment No. 62 to the Registration Statement on Form N-1A of
               Liberty Funds Trust I (File Nos. 2-41251 and 811-2214), filed
               with the Commission on or about May 17, 2000, and is hereby
               incorporated by reference and made a part of this Registration
               Statement

    (c)        Amendment No. 23 to Appendix I of Amended and Restated
               Shareholders' Servicing and Transfer Agent Agreement as amended
               - filed as Exhibit (h)(3) in Part C, Item 23 of Post-Effective
               Amendment No. 63 to the Registration Statement on Form N-1A of
               Liberty Funds Trust I (File Nos. 2-41251 & 811-2214), filed with
               the Commission on or about July 19, 2000, and is hereby
               incorporated by reference and made a part of this Registration
               Statement

    (d)        Pricing and Bookkeeping Agreement - filed as Exhibit 9(b) in
               Part C, Item 24(b) of Post-Effective Amendment No. 10 to the
               Registration Statement of Form N-1A of Liberty Funds Trust VI
               (File Nos. 33-45117 and 811-6529) Filed with the Commission on or
               about September 27, 1996, and is hereby incorporated by reference
               and made a part of this Registration Statement

    (e)        Amendment to Appendix I of Pricing and Bookkeeping Agreement -
               filed as Exhibit (h)(5) in Part C, Item 23 of Post-Effective
               Amendment No. 63 to the Registration Statement on Form N-1A of
               Liberty Funds Trust I (File Nos. 2-41251 & 811-2214), filed with
               the Commission on or about July 19, 2000, and is hereby
               incorporated by reference and made a part of this Registration
               Statement

    (f)        Amended and Restated Credit Agreement with Bank of America -
               filed as Exhibit (h)(8) in Part C, Item 23 of Post-Effective
               Amendment No. 110 to the Registration Statement on Form N-1A of
               Liberty Funds Trust III (File Nos. 2-15184 and 811-881), filed
               with the Commission on or about August 12, 1999, and is hereby
               incorporated by reference and made part of this Registration
               Statement

    (g)        Amendment dated June 30, 2000 to the Amended and Restated Credit
               Agreement with Bank of America filed as Exhibit (h)(8) in Part C,
               Item 23 of Post-Effective Amendment No. 115 to the Registration
               Statement on Form N-1A of Liberty Funds Trust III (File Nos.
               2-15184 and 811-881), filed with the Commission on or about
               October 4, 2000, and is hereby incorporated by reference and
               made a part of this Registration Statement

    (h)        Code of Ethics of The Liberty Funds, Colonial Management
               Associates, Inc., Stein Roe & Farnham Incorporated, Newport Fund
               Management, Inc., Liberty Funds Distributor, Inc. - filed in
               Part C, Item 23 of Post-Effective Amendment No. 27 to the
               Registration Statement of Liberty Funds Trust V, (File Nos.
               33-12109 and 811-5030), filed with the Commission on or about
               August 31, 2000, and is hereby incorporated and made a part of
               this Registration Statement

    (i)        Form of Proxy Card and Proxy Insert
               (Stein Roe Disciplined Stock Fund)(9)

    (j)        Form of Proxy Card and Proxy Insert
               (Liberty Small Cap Value Fund)(9)

    (k)        Form of Proxy Card and Proxy Insert
               (Liberty Strategic Balanced Fund)(9)

    (l)        Form of Proxy Card and Proxy Insert
               (Liberty Contrarian Small Cap Fund)(9)

    (m)        Form of Proxy Card and Proxy Insert
               (Liberty Contrarian Balanced Fund)(9)

    (n)        The following documents, each filed via EDGAR and listed with
               their filing accession number, are incorporated by reference
               into the Proxy/Prospectus and the Statement of Additional
               Information for the funds referenced below:

o    The Class A, B and C share Prospectus of the Select Value Fund dated
     March 1, 2000 - 0000021832-00-000046

o    As supplemented on August 21, 2000 - 0000021832-00-000195

o    The Class Z share Prospectus of the Select Value Fund dated
     March 1, 2000 - 0000021832-00-000046

o    As supplemented on August 21, 2000 - 0000021832-00-000195

o    As supplemented on October 23, 2000 - 0000021832-00-000276

o    The Class S share Prospectus of the Select Value Fund dated November 1,
     2000 - 0000021832-00-000331

o    The  Prospectus  of the  Disciplined  Stock Fund dated  February  1, 2000 -
     0000773757-00-000004

o    As supplemented on February 11, 2000 - 0000773757-00-000016

o    As supplemented on April 20, 2000 - 0000773757-00-000023

o    As supplemented on June 5, 2000 - 0000021832-00-000100

o    As supplemented on June 23, 2000 - 0000021832-00-000114

o    As supplemented on July 14, 2000 - 0000021832-00-000123

o    As supplemented on August 2, 2000 - 0000021832-00-000175

o    As supplemented on August 11, 2000 - 0000021832-00-000179

o    As supplemented on August 28, 2000 - 0000021832-00-000209

o    As supplemented on September 1, 2000- 0000021832-00-000219

o    As supplemented on November 1, 2000 - 0000021832-00-000321

o    The   Prospectuses  of  the  Small  Cap  Fund  dated  November  1,  1999  -
     0000021832-99-000045

o    As supplemented on December 28, 1999 - 0000276716-99-000023

o    As supplemented on August 2, 2000 - 0000021832-00-000174

o    As supplemented on August 15, 2000 - 0000021832-00-000185

o    As supplemented on October 23, 2000 - 0000021832-00-000279

o    As supplemented on October 26, 2000 - 0000021832-00-000322

o    The Statement of Additional Information of the Disciplined Stock Fund dated
     February 1, 2000 - 0000773757-00-000004

o    As supplemented on June 23, 2000 - 0000021832-00-000114

o    The  Statement  of  Additional  Information  of the  Small  Cap Fund  dated
     November 1, 1999 - 0000021832-99-000045

o    As supplemented on June 23, 2000 - 0000021832-00-000114

o    As supplemented on August 21, 2000 - 0000021832-00-000188

o    The Class A, B, C and Z share Statement  of  Additional  Information of the
     Select Value Fund dated March 1, 2000 - 0000021832-00-000046

o    As supplemented on June 23, 2000 - 0000021832-00-000114

o    As supplemented on August 21, 2000 - 0000021832-00-000188

o    The Class S share Statement of Additional Information of the Select Value
     Fund dated November 1, 2000 - 0000021832-00-000331

o    The Report of Independent  Accountants and financial statements included in
     the  Annual  Report to  Shareholders  of the  Disciplined  Stock Fund dated
     September 30, 1999 - 0000891804-99-002507

o    The  financial   statements   included  in  the  Disciplined  Stock  Fund's
     Semi-Annual    Report   to   Shareholders    dated   March   31,   2000   -
     0000891804-00-001050

o    The Report of Independent  Accountants and financial statements included in
     the Annual Report to Shareholders of the Small Cap Fund dated June 30, 2000
     - 0000950156-00-000463

o    The Report of Independent  Accountants and financial statements included in
     the  Annual  Report to  Shareholders  of the  Select Value Fund dated
     October 31, 1999 - 0000950156-99-000765

o    The  financial   statements   included  in  the  Select Value  Fund's
     Semi-Annual    Report   to   Shareholders    dated   April 30,   2000   -
     0000950135-00-003563

o    The  Statement  of  Additional  Information  of the Select Value Fund dated
     November 17, 2000 relating to the Acquisitions.

o    The Prospectus of the Liberty Fund dated March 1, 2000 -
     0000276716-00-000013

o    As supplemented on August 21, 2000 - 0000021832-00-000186

o    The   Prospectus   of  the   Strategic   Fund   dated   March  1,   2000  -
     0000883163-00-000016

o    As supplemented on June 23, 2000 - 0000021832-00-000114

o    As supplemented on August 1, 2000 - 0000883163-00-000069

o    As supplemented on October 23, 2000 - 0000021832-00-000279

o    As supplemented on October 26, 2000 - 0000021832-00-000322

o    The Statement of Additional  Information  of the Strategic Fund dated March
     1, 2000 - 0000883163-00-000016

o    As supplemented on June 23, 2000 - 0000021832-00-000114

o    As supplemented on August 21, 2000 - 0000021832-00-000188

o    The Statement of Additional  Information of the Liberty Fund dated March 1,
     2000 - 0000276716-00-000013

o    As supplemented on June 23, 2000 - 0000021832-00-000114

o    As supplemented on August 21, 2000 - 0000021832-00-000188

o    The Report of Independent  Accountants and financial statements included in
     the Annual Report to  Shareholders  of the Strategic Fund dated October 31,
     1999 - 0000950146-00-000026

o    The  financial  statements  included in the  Strategic  Fund's  Semi-Annual
     Report to Shareholders dated April 30, 2000 - 0001005477-00-005056

o    The Report of Independent  Accountants and financial statements included in
     the Annual Report to  Shareholders  of the Liberty Fund dated October 31,
     1999 - 0000950146-00-000030

o    The  financial  statements  included in the  Liberty  Fund's  Semi-Annual
     Report to Shareholders dated April 30, 2000 - 0001005477-00-005057

o    The Statement of Additional  Information of the Liberty Fund dated November
     17, 2000 relating to the Acquisition.

o    The Class A, B and C share Prospectus of the Special Fund dated March 1,
     2000 - 0000276716-00-000014

o    As supplemented on October 26, 2000 - 0000021832-00-000322

o    As supplemented on November 7, 2000 - 0000021832-00-000330

o    The Class I share Prospectus of the Special Fund dated November 1, 2000 -
     0000021832-00-000334

o    The   Prospectuses   of  the  Small  Cap  Fund   dated   March  1,  2000  -
     0000276716-00-000014

o    As supplemented on May 5, 2000 - 0000021832-00-000075

o    As supplemented on June 23, 2000 - 0000021832-00-000114

o    As supplemented on August 1, 2000 - 0000883163-00-000069

o    The Statement of Additional  Information  of the Small Cap Fund dated March
     1, 2000 - 0000276716-00-000014

o    As supplemented on June 23, 2000 - 0000021832-00-000114

o    As supplemented on August 21, 2000 - 0000883163-00-000084

o    The Class A, B and C share Statement of Additional  Information of the
     Special Fund dated March 1, 2000 - 0000276716-00-000014

o    As supplemented on June 23, 2000 - 0000021832-00-000114

o    As supplemented on August 21, 2000 - 0000883163-00-000084

o    The Class I share Statement of Additional Information of the Special Fund
     dated November 1, 2000 - 0000021832-00-000334

o    The Report of Independent  Accountants and financial statements included in
     the Annual Report to  Shareholders  of the Small Cap Fund dated October 31,
     1999 - 0000950146-00-000038

o    The  financial  statements  included  in the Small Cap  Fund's  Semi-Annual
     Report to Shareholders dated April 30, 2000 - 0000950135-00-003559

o    The Report of Independent  Accountants and financial statements included in
     the Annual Report to  Shareholders  of the Special Fund dated October 31,
     1999 - 0000950146-00-000038

o    The  financial  statements  included  in the Special  Fund's  Semi-Annual
     Report to Shareholders dated April 30, 2000 - 0000950135-00-003559

o    The Statement of Additional  Information of the Special Fund dated November
     17, 2000 relating to the Acquisition.

o    The Class A, B and C share Prospectus of the Equity Fund   dated March  1,
     2000  -  0000276716-00-000014

o    As supplemented on October 26, 2000 - 0000021832-00-000322

o    As supplemented on November 7, 2000 - 0000021832-00-000330

o    The Class I share Prospectus of the Equity Fund   dated March  1,
     2000  -  0000276716-00-000014

o    As supplemented on May 5, 2000 - 0000021832-00-000075

o    As supplemented on June 23, 2000 - 0000021832-00-000114

o    As supplemented on October 26, 2000 - 0000021832-00-000322

o    The   Prospectuses   of  the   Balanced   Fund   dated   March  1,  2000  -
     0000276716-00-000014

o    As supplemented on May 5, 2000 - 0000021832-00-000075

o    As supplemented on June 23, 2000 - 0000021832-00-000114

o    As supplemented on August 1, 2000 - 0000883163-00-000069

o    As supplemented on October 23, 2000 - 0000021832-00-000279

o    As supplemented on October 26, 2000 - 0000021832-00-000322

o    The Statement of Additional Information of the Balanced Fund dated March 1,
     2000 - 0000276716-00-000014

o    As supplemented on June 23, 2000 - 0000021832-00-000114

o    As supplemented on August 21, 2000 -  0000883163-00-000084

o    As supplemented on October 23, 2000 - 0000021832-00-000279

o    The Statement of Additional  Information  of the Equity Fund dated March 1,
     2000 - 0000276716-00-000014

o    As supplemented on June 23, 2000 - 0000021832-00-000114

o    As supplemented on August 21, 2000 - 0000883163-00-000084

o    As supplemented on October 23, 2000 - 0000021832-00-000279

o    The Report of Independent  Accountants and financial statements included in
     the Annual  Report to  Shareholders  of the Balanced Fund dated October 31,
     1999 - 0000950146-00-000038

o    The financial statements included in the Balanced Fund's Semi-Annual Report
     to Shareholders dated April 30, 2000 - 0000950135-00-003559

o    The Report of Independent  Accountants and financial statements included in
     the Annual Report to  Shareholders  of the Equity Fund dated October 31,
     1999 - 0000950146-00-000038

o    The  financial  statements  included  in the Equity  Fund's  Semi-Annual
     Report to Shareholders dated April 30, 2000 - 0000950135-00-003559

o    The Statement of Additional  Information  of the Equity Fund dated November
     17, 2000 relating to the Acquisition.



-----------------

(1)   Incorporated by reference to Post-Effective Amendment No. 97 to Form N-1A
      filed on or about February 13, 1997.

(2)   Incorporated by reference to Post-Effective Amendment No. 104 to Form N-1A
      filed on or about October 30, 1998.

(3)   Incorporated by reference to Post-Effective Amendment No. 110 to Form N-1A
      filed on or about August 12, 1999.

(4)   Incorporated by reference to Post-Effective Amendment No. 94 to Form N-1A
      filed on or about July 28, 1995.

(5)   Incorporated by reference to Post-Effective Amendment No. 107 to Form N-1A
      filed on or about December 31, 1998.

(6)   Incorporated by reference to Post-Effective Amendment No. 101 to Form N-1A
      filed on or about July 24, 1998.

(7)   Incorporated by reference to Post-Effective Amendment No. 113 to Form N-1A
      filed on or about February 17, 2000.

(8)   Incorporated by reference to Post-Effective Amendment No. 109 to Form N-1A
      filed on or about March 1, 1999.

(9)   Incorporated by referenced to the Registrant's Registration Statement on
      Form N-14 filed with the Securities and Exchange Commission on or about
      October 5, 2000.


Item 17. Undertakings

         (1) The  undersigned   Registrant  agrees  that  prior  to  any  public
             reoffering  of  the  securities  registered  through  the  use of a
             prospectus  which is a part of this  Registration  Statement by any
             person  or party  who is deemed  to be an  underwriter  within  the
             meaning  of Rule  145(c)  of the  Securities  Act,  the  reoffering
             prospectus  will  contain  the   information   called  for  by  the
             applicable  registration form for reofferings by persons who may be
             deemed  underwriters,  in addition to the information called for by
             the other items of the applicable form.

         (2) The  undersigned  Registrant  agrees that every  prospectus that is
             filed  under  paragraph  (1)  above  will be  filed as a part of an
             amendment to this Registration Statement and will not be used until
             the amendment is effective,  and that, in determining any liability
             under the 1933 Act, each  post-effective  amendment shall be deemed
             to be a new  registration  statement  for  the  securities  offered
             therein,  and the offering of the  securities at that time shall be
             deemed to be the initial bona fide offering of them.

<PAGE>

                                     NOTICE

A copy of the  Agreement  and  Declaration  of Trust of Liberty  Funds Trust III
(Trust),  as  amended,  is on file with the  Secretary  of The  Commonwealth  of
Massachusetts  and notice is hereby given that this  Registration  Statement has
been executed on behalf of the Trust by officers of the Trust as officers and by
its Trustees as trustees and not individually, and the obligations of or arising
out of this  Registration  Statement  are not binding upon any of the  Trustees,
officers or shareholders of the Trust individually but are binding only upon the
assets and property of Liberty Funds Trust III.


<PAGE>



                                   SIGNATURES

As required by the Securities Act of 1933, this Registration  Statement has been
signed on behalf of the  Registrant,  in the City of Boston and  Commonwealth of
Massachusetts, on the 27th day of November, 2000.

                                   LIBERTY FUNDS TRUST III



                                   By:/s/STEPHEN E. GIBSON
                                      ---------------------------------
                                      Stephen E. Gibson

                                    President

As required by the Securities Act of 1933, this Registration  Statement has been
signed by the following persons in the capacities and on the dates indicated.

SIGNATURE              TITLE                                   DATE
---------              -----                                   ----


/s/STEPHEN E. GIBSON   President (chief                        November 27, 2000
--------------------   executive officer)
Stephen E. Gibson


/s/JOSEPH R. PALOMBO   Principal Accounting Officer and
-----------------      Principal Financial Officer             November 27, 2000
Joseph R. Palombo








<PAGE>




/s/TOM BLEASDALE*                  Trustee
-------------------
   Tom Bleasdale

/s/LORA S. COLLINS*                Trustee
-------------------
   Lora S. Collins

/s/JAMES E. GRINNELL*              Trustee
---------------------
   James E. Grinnell

/s/RICHARD W. LOWRY*               Trustee
--------------------
   Richard W. Lowry

/s/SALVATORE MACERA*               Trustee
--------------------
   Salvatore Macera

                                              */s/ WILLIAM J. BALLOU
                                              ----------------------
                                                   William J. Ballou
/s/WILLIAM E. MAYER*               Trustee         Attorney-in-fact
--------------------                               For each Trustee
   William E. Mayer                                November 27, 2000

/s/JAMES L. MOODY, JR. *           Trustee
------------------------
   James L. Moody, Jr.

/s/JOHN J. NEUHAUSER*              Trustee
---------------------
   John J. Neuhauser

/s/JOSEPH R. PALOMBO*              Trustee
---------------------
   Joseph R. Palombo

/s/THOMAS E. STITZEL*              Trustee
---------------------
   Thomas E. Stitzel

/s/ANNE-LEE VERVILLE*              Trustee
---------------------
   Anne-Lee Verville

                                  EXHIBIT INDEX

Exhibit               Item


(14)(a)        Consent of Independent Accountants (Arthur Andersen)

    (b)        Consent of Independent Accountants (PWC)

    (c)        Consent of Independent Auditors (E&Y)

    (d)        Consent of Independent Accountants (KPMG)


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