PAINEWEBBER OLYMPUS FUND/NY
485BPOS, 1996-03-04
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<PAGE>
        
     As filed with the Securities and Exchange Commission on March 4, 1996
                                               1933 Act Registration No. 2-94983
                                              1940 Act Registration No. 811-4180
         
                          SECURITIES AND EXCHANGE COMMISSION
                               Washington, D.C.  20549

                                      FORM N-1A

     REGISTRATION STATEMENT UNDER THE SECURITIES ACT OF 1933   [__X__]
        
              Pre-Effective Amendment No._____                    [_____]
              Post-Effective Amendment No._33_                    [__X__]

     REGISTRATION STATEMENT UNDER THE INVESTMENT COMPANY ACT OF 1940   
              Amendment No. _32_                                  [__X__]
         
                          (Check appropriate box or boxes.)

                               PAINEWEBBER OLYMPUS FUND
                  (Exact Name of Registrant as Specified in Charter)
                             1285 Avenue of the Americas
                              New York, New York  10019
                 (Address of principal executive offices) (zip code)

          Registrant's telephone number, including area code: (212) 713-2000

                                GREGORY K. TODD, ESQ.
                       Mitchell Hutchins Asset Management Inc.
                             1285 Avenue of the Americas
                              New York, New York  10019
                       (Name and address of agent for service)
        
                                     Copies to:
                                ELINOR W. GAMMON, ESQ.
                             Kirkpatrick & Lockhart LLP
                    1800 Massachusetts Avenue, N.W.; Second Floor
                             Washington, D.C.  20036-1800
                               Telephone (202) 778-9000
         
     It is proposed that this filing will become effective:
        
     _______  Immediately upon filing pursuant to Rule 485(b)
     ___X___  On April 1, 1996 pursuant to Rule 485(b)
     _______  60 days after filing pursuant to Rule 485(a)(i)
     _______ On _________________ pursuant to Rule 485(a)(i)
     _______  75 days after filing pursuant to Rule 485(a)(ii)
     _______  On _________________ pursuant to Rule 485(a)(ii)
         
        
     ___X___  This post-effective amendment designates a new effective   date
     for a previously-filed post-effective amendment.
         
     Registrant has filed a declaration pursuant to Rule 24f-2 under the
     Investment Company Act of 1940 and filed the notice required by such Rule
     for its most recent fiscal year on October 30, 1995.
<PAGE>






                               PaineWebber Olympus Fund
                               -----------------------
                          Contents of Registration Statement
                          ----------------------------------

     This registration statement consists of the following papers and
     documents:

     . Cover Sheet

     . Contents of Registration Statement

     . Cross Reference Sheet

     . PaineWebber Growth Fund -- Class A, B and C Shares
        
              Part A - Prospectus*

              Part B - Statement of Additional Information*
         

     . Part C - Other Information

     . Signature Page

     . Exhibits

        
     * Incorporated by reference to Post-Effective Amendment No. 32 to the
     registration statement on Form N-1A of PaineWebber Olympus Fund, SEC File
     No. 2-94983, filed January 5, 1996.
         
<PAGE>






                               PaineWebber Olympus Fund
                               ------------------------
                               Class A, B and C Shares

                           Form N-1A Cross Reference Sheet
     <TABLE>
     <CAPTION>

               Part A Item No.
               and Caption                                             Prospectus Caption
               ---------------                                         ------------------

       <S>     <C>                                                  <C>
       1.      Cover Page  . . . . . . . . . . . . . . . . . . .       Cover Page

       2.      Synopsis  . . . . . . . . . . . . . . . . . . . .       Expense Table

       3.      Condensed Financial Information . . . . . . . . .       Financial Highlights; Performance
       4.      General Description of Registrant . . . . . . . .       The Funds at a Glance; Investment Objective and
                                                                       Policies; Investment Philosophy and Process;
                                                                       The Funds' Investments; General Information

       5.      Management of the Fund  . . . . . . . . . . . . .       Management; General Information
       6.      Capital Stock and Other Securities  . . . . . . .       Cover Page; Flexible Pricing; Dividends and
                                                                       Taxes; General Information

       7.      Purchase of Securities Being Offered  . . . . . .       How to Buy Shares; Other Services; Determining
                                                                       the Shares' Net Asset Value

       8.      Redemption or Repurchase  . . . . . . . . . . . .       Redemptions; Other Services
       9.      Pending Legal                                           Not Applicable
               Proceedings . . . . . . . . . . . . . . . . . . .


               Part B Item No.                                         Statement of Additional
               and Caption                                             Information Caption      
               ---------------                                         -----------------------

       10.     Cover Page  . . . . . . . . . . . . . . . . . . .       Cover Page

       11.     Table of Contents . . . . . . . . . . . . . . . .       Table of Contents
       12.     General Information and History . . . . . . . . .       Other Information

       13.     Investment Objectives and Policies  . . . . . . .       Investment Policies and Restrictions; Hedging
                                                                       Strategies; Portfolio Transactions
       14.     Management of the Fund  . . . . . . . . . . . . .       Trustees and Officers

       15.     Control Persons and Principal Holders of                Trustees and Officers
               Securities  . . . . . . . . . . . . . . . . . . .

       16.     Investment Advisory and Other Services  . . . . .       Investment Advisory and Distribution
                                                                       Arrangements; Other Information
       17.     Brokerage Allocation  . . . . . . . . . . . . . .       Portfolio Transactions
<PAGE>






       18.     Capital Stock and Other Securities  . . . . . . .       Conversion of Class B Shares; Other Information

       19.     Purchase, Redemption and Pricing of Securities          Reduced Sales Charges, Additional Exchange and
               Being Offered . . . . . . . . . . . . . . . . . .       Redemption Information and Other Services;
                                                                       Valuation of Shares
       20.     Tax Status  . . . . . . . . . . . . . . . . . . .       Taxes

       21.     Underwriters  . . . . . . . . . . . . . . . . . .       Investment Advisory and Distribution
                                                                       Arrangements

       22.     Calculation of Performance Data . . . . . . . . .       Performance Information
       23.     Financial Statements  . . . . . . . . . . . . . .       Financial Statements
     </TABLE>


     Part C
     ------
         Information required to be included in Part C is set forth under the
     appropriate item, so numbered, in Part C of this Registration Statement.
<PAGE>






     PART C.  OTHER INFORMATION

     Item 24.  Financial Statements and Exhibits
                ---------------------------------
     (a) Financial Statements 

     PaineWebber Growth Fund
     -----------------------
     Included in Part A of the Registration Statement:

              Financial Highlights for one Class A share of PaineWebber Growth
              Fund for each of the ten years in the period ended August 31,
              1995. 

              Financial Highlights for one Class B share of the Fund for each
              of the four years in the period ended August 31, 1995 and for the
              period July 1, 1991 (commencement of offering) to August 31,
              1991.

              Financial Highlights for one Class C share of the Fund for each
              of the three years in the period ended August 31, 1995 and for
              the period July 2, 1992 (commencement of offering) to August 31,
              1992.

     Included in Part B of the Registration Statement through incorporation by
     reference from the Annual Report to Shareholders, previously filed with
     the Securities and Exchange Commission through EDGAR on October 31, 1995,
     Accession No. 0000759729-95-000002:

              Portfolio of Investments at August 31, 1995

              Statement of Assets and Liabilities at August 31, 1995

              Statement of Operations for the year ended August 31, 1995 

              Statement of Changes in Net Assets for the two years in the
              period ended August 31, 1995

              Notes to Financial Statements

              Financial Highlights for one Class A share of the Fund for each
              of the five years in the period ended August 31, 1995

              Financial Highlights for one Class B share of the Fund for each
              of the four years ended August 31, 1995 and for the period
              July 1, 1991 (commencement of offering) through August 31, 1991

              Financial Highlights for one Class Y share of the Fund for each
              of the four years in the period ended August 31, 1995

              Financial Highlights for one Class C share of the Fund for each
              of the three years in the period ended August 31, 1995 and for

                                         C-1
<PAGE>






              the period July 2, 1992 (commencement of offering) through
              August 31, 1992

              Report of Ernst & Young LLP, Independent Auditors, dated
              October 23, 1995


     (b)      Exhibits:
              (1)     (a)      Declaration of Trust 1/
                      (b)      Amendment effective January 28, 1988 4/
                      (c)      Amendment effective December 21, 1990 8/
                      (d)      Amendment effective July 1, 1991 9/ 
                      (e)      Amendment effective July 1, 1992 12/
                      (f)      Amendment effective August 24, 1993 13/
                      (g)      Amendment effective September 29, 1993 14/  
                      (h)      Amendment effective November 10, 1995 (to be
                               filed)
              (2)     (a)      By-laws 1/
                      (b)      Amendment to By-laws dated March 19, 1991
                      (c)      Amendment to By-Laws dated September 28, 1994 15/
              (3)     Voting trust agreement - none
              (4)     Instruments defining the rights of holders of the
                      Registrant's share of beneficial interest 16/
              (5)     Investment Advisory and Administration Contract 5/
              (6)     (a)      Distribution Contract with respect to Class A
                               shares 14/
                      (b)      Distribution Contract with respect to Class B
                               shares 14/
                      (c)      Distribution Contract with respect to Class C
                               shares 18/
                      (d)      Distribution Contract with respect to Class Y
                               shares 18/
                      (e)      Exclusive Dealer Agreement with respect to Class
                               A shares 14/ 
                      (f)      Exclusive Dealer Agreement with respect to Class
                               B shares 14/
                      (g)      Exclusive Dealer Agreement with respect to Class
                               C shares 18/
                      (h)      Exclusive Dealer Agreement with respect to Class
                               Y shares 18/
              (7)     Bonus, profit sharing or pension plans - none 
              (8)     Custodian Agreement 2/ 
              (9)     (a)      Transfer Agency and Service Contract 6/
                      (b)      Service Contract 5/
              (10)    (a)      Opinion and consent of Kirkpatrick & Lockhart
                               LLP, counsel to the Registrant, with respect to
                               Class A and Class B shares of PaineWebber Growth
                               Fund 8/
                      (b)      Opinion and consent of Kirkpatrick & Lockhart
                               LLP, counsel to the Registrant, with respect to
                               the Class C shares of PaineWebber Growth Fund 11/


                                         C-2
<PAGE>






                      (c)      Opinion and consent of Kirkpatrick & Lockhart
                               LLP, counsel to the Registrant, with respect to
                               Class Y shares of PaineWebber Growth Fund 7/
              (11)    Other opinions, appraisals, rulings and consents:
                      (a)      Independent Auditor's Consent (to be filed)
              (12)    Financial statements omitted from prospectus-none
              (13)    Letter of investment intent 3/
              (14)    Prototype Retirement Plan 10/
              (15)    (a)      Plan of Distribution pursuant to Rule 12b-1 with
                               respect to Class A shares 9/
                      (b)      Plan of Distribution pursuant to Rule 12b-1 with
                               respect to Class B shares 9/
                      (c)      Plan of Distribution pursuant to Rule 12b-1 with
                               respect to Class C shares 12/
              (16)    (a)      Schedule for Computation of Performance
                               Quotations for Class A, Class B, and Class Y
                               Shares of PaineWebber Growth Fund 9/
                      (b)      Schedule for Computation of Performance
                               Quotations with respect to Class C Shares of
                               PaineWebber Growth Fund 12/
              (17) and (27)    Financial Data Schedule (to be filed)
              (18)    Plan pursuant to Rule 18f-3 17/

     ___________________________________

     1/       Incorporated by reference from Post-Effective Amendment No. 8 to
              the registration statement, SEC File No. 2-94983, filed February
              25, 1987.

     2/       Incorporated by reference from Post-Effective Amendment No. 9 to
              the registration statement, SEC File No. 2-94983, filed December
              22, 1987.

     3/       Incorporated by reference from Pre-Effective Amendment No. 1 to
              the registration statement, SEC File No. 2-94983, filed March 11,
              1985.

     4/       Incorporated by reference from Post-Effective Amendment No. 11 to
              the registration statement, SEC File No. 2-94983, filed November
              3, 1988.

     5/       Incorporated by reference from Post-Effective Amendment No. 14 to
              the registration statement, SEC File No. 2-94983, filed December
              29, 1989.

     6/       Incorporated by reference from Post-Effective Amendment No. 16 to
              the registration statement, SEC File No. 2-94983, filed November
              2, 1990.

     7/       Incorporated by reference from Post-Effective Amendment No. 18 to
              the registration statement, SEC File No. 2-94983, filed March 26,
              1991.

                                         C-3
<PAGE>






     8/       Incorporated by reference from Post-Effective Amendment No. 19 to
              the registration statement, SEC File No. 2-94983, filed May 3,
              1991.

     9/       Incorporated by reference from Post-Effective Amendment No. 20 to
              the registration statement, SEC File No. 2-94983, filed December
              24, 1991.

     10/      Incorporated by reference from Post-Effective Amendment No. 20 to
              the registration statement of PaineWebber Managed Investments
              Trust, SEC File No. 2-91362, filed April 1, 1992.

     11/      Incorporated by reference from Post-Effective Amendment No. 22 to
              the registration statement, SEC File No. 2-94983, filed June 23,
              1992.

     12/      Incorporated by reference from Post-Effective Amendment No. 23 to
              the Registration Statement, SEC File No. 2-94983, filed December
              21, 1992.

     13/      Incorporated by reference from Post-Effective Amendment No. 24 to
              the Registration Statement, SEC File No. 2-94983, filed August
              27, 1993.

     14/      Incorporated by reference from Post-Effective Amendment No. 25 to
              the Registration Statement, SEC File No. 2-94983, filed December
              29, 1993.

     15/      Incorporated by reference from Post-Effective Amendment No. 27 to
              the Registration Statement, SEC File No. 2-94983, filed December
              30, 1994.

     16/      Incorporated by reference from Articles III, VIII, IX, X and XI
              of Registrant's Declaration of Trust, as amended effective
              January 28, 1988, December 21, 1990, July 1, 1991, July 1, 1992,
              August 24, 1993 and September 29, 1993, and from Articles II, VII
              and X of Registrant's By-Laws, as amended March 19, 1991 and
              September 28, 1994.

     17/      Incorporated by reference from Post-Effective Amendment
              No. 28 to the Registration Statement, SEC File No. 2-94983,
              filed September 8, 1995.

     18/      Incorporated by reference from Post-Effective Amendment
              No. 31 to the Registration Statement, SEC File No. 2-94983,
              filed November 14, 1995.

     Item 25.  Persons Controlled by or under Common Control with Registrant
                -------------------------------------------------------------
     None.



                                         C-4
<PAGE>






     Item 26.  Number of Holders of Securities
                -------------------------------
                                               Number of Record
                                              Shareholders as of
       Title of Class                         December 14, 1995
       --------------                         -----------------

       Shares of Beneficial Interest,
       par value $0.001 per share    
       ------------------------------


       PaineWebber Growth Fund

               Class A shares                           16,600     
               Class B shares                           14,490
               Class C shares                            7,363     
               Class Y shares                              663
                                                                
     Item 27.  Indemnification
                ---------------
     Section 2 of "Indemnification" in Article X of the Declaration of Trust
     provides that the appropriate series of the Registrant will indemnify its
     Trustees and officers to the fullest extent permitted by law against
     claims and expenses asserted against or incurred by them by virtue of
     being or having been a Trustee or officer; provided that no such person
     shall be indemnified where there has been an adjudication or other
     determination, as described in Article X, that such person is liable to
     the Registrant or its shareholders by reason of willful misfeasance, bad
     faith, gross negligence or reckless disregard of the duties involved in
     the conduct of his or her office or did not act in good faith in the
     reasonable belief that his or her action was in the best interest of the
     Registrant.  Section 2 of "Indemnification" in Article X also provides
     that the Registrant may maintain insurance policies covering such rights
     of indemnification.  

     Additionally, "Limitation of Liability" in Article X of the Declaration of
     Trust provides that the Trustees or officers of the Registrant shall not
     be personally liable to any person extending credit to, contracting with
     or having a claim against the Trust or a particular series thereof; and
     that, provided they have exercised reasonable care and have acted under
     the reasonable belief that their actions are in the best interest of the
     Registrant, the Trustees and officers shall not be liable for neglect or
     wrongdoing by them or any officer, agent, employee or investment adviser
     of the Registrant.

     Section 2 of Article XI of the Declaration of Trust additionally provides
     that, subject to the provisions of Section 1 of Article XI and to Article
     X, Trustees shall not be liable for errors of judgment or mistakes of fact
     or law, or for any act or omission in accordance with advice of counsel or



                                         C-5
<PAGE>






     other experts, or failing to follow such advice, with respect to the
     meaning and operation of the Declaration of Trust.

     Article IX of the By-laws provides that the Registrant may purchase and
     maintain insurance on behalf of any person who is or was a Trustee,
     officer or employee of the Trust, or is or was serving at the request of
     the Trust as a trustee, director, officer or employee of a corporation,
     partnership, joint venture, trust or other enterprise against any
     liability asserted against him or her and incurred by him or her in any
     such capacity or arising out of his or her status as such, whether or not
     the Registrant would have the power to indemnify him or her against such
     liability, provided that the Registrant may not acquire insurance
     protecting any Trustee or officer against liability to the Registrant or
     its shareholders to which he or she would otherwise be subject by reason
     of willful misfeasance, bad faith, gross negligence, or reckless disregard
     of the duties involved in the conduct of his or her office.

     Section 9 of the Investment Advisory and Administration Contract
     ("Contract") with Mitchell Hutchins Asset Management Inc. ("Mitchell
     Hutchins") provides that Mitchell Hutchins shall not be liable for any
     error of judgment or mistake of law or for any loss suffered by any series
     of the Registrant in connection with the matters to which the Contract
     relates, except for a loss resulting from the willful misfeasance, bad
     faith, or gross negligence of Mitchell Hutchins in the performance of its
     duties or from its reckless disregard of its obligations and duties under
     the Contract.  Section 10 of the Contract provides that the Trustees shall
     not be liable for any obligations of the Trust or any series under the
     Contract and that Mitchell Hutchins shall look only to the assets and
     property of the Registrant in settlement of such right or claim and not to
     the assets and property of the Trustees. 

              Section 9 of each Distribution Contract provides that the Trust
     will indemnify Mitchell Hutchins and its officers, directors and
     controlling persons against all liabilities arising from any alleged
     untrue statement of material fact in the Registration Statement or from
     any alleged omission to state in the Registration Statement a material
     fact required to be stated in it or necessary to make the statements in
     it, in light of the circumstances under which they were made, not
     misleading, except insofar as liability arises from untrue statements or
     omissions made in reliance upon and in conformity with information
     furnished by Mitchell Hutchins to the Trust for use in the Registration
     Statement; and provided that this indemnity agreement shall not protect
     any such persons against liabilities arising by reason of their bad faith,
     gross negligence or willful misfeasance; and shall not inure to the
     benefit of any such persons unless a court of competent jurisdiction or
     controlling precedent determines that such result is not against public
     policy as expressed in the Securities Act of 1933.  Section 9 of each
     Distribution Contract also provides that Mitchell Hutchins agrees to
     indemnify, defend and hold the Trust, its officers and Trustees free and
     harmless of any claims arising out of any alleged untrue statement or any
     alleged omission of material fact contained in information furnished by
     Mitchell Hutchins for use in the Registration Statement or arising out of

                                         C-6
<PAGE>






     an agreement between Mitchell Hutchins and any retail dealer, or arising
     out of supplementary literature or advertising used by Mitchell Hutchins
     in connection with the Contract.

              Section 9 of each Exclusive Dealer Agreement contains provisions
     similar to Section 9 of the Distribution Contract, with respect to
     PaineWebber Incorporated ("PaineWebber").

              Section 6 of the Service Contract provides that PaineWebber shall
     be indemnified and held harmless by the Trust against all liabilities,
     except those arising out of bad faith, gross negligence, willful
     misfeasance or reckless disregard of its duties under the Contract. 

              Section 10 of each Distribution Contract and Section 7 of the
     Service Contract contain provisions similar to Section 10 of the
     Investment Advisory and Administration Contract, with respect to Mitchell
     Hutchins and PaineWebber, as appropriate. 

              Insofar as indemnification for liability arising under the
     Securities Act of 1933, as amended, may be permitted to Trustees, officers
     and controlling persons of the Trust, pursuant to the foregoing provisions
     or otherwise, the Trust 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 Trust of expenses incurred or paid by a Trustee,
     officer or controlling person of the Trust in connection with the
     successful defense of any action, suit or proceeding or payment pursuant
     to any insurance policy) is asserted against the Trust by such Trustee,
     officer or controlling person in connection with the securities being
     registered, the Trust 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 28.  Business and Other Connections of Investment Adviser
                ----------------------------------------------------
              Mitchell Hutchins, a Delaware corporation, is a registered
     investment adviser and is a wholly owned subsidiary of PaineWebber which
     is, in turn, a wholly owned subsidiary of Paine Webber Group Inc. 
     Mitchell Hutchins is primarily engaged in the investment advisory
     business. Information as to the officers and directors of Mitchell
     Hutchins is included in its Form ADV filed with the Securities and
     Exchange Commission (registration number 801-13219) and is incorporated
     herein by reference.







                                         C-7
<PAGE>






     Item 29.  Principal Underwriters
                ----------------------
              a)  Mitchell Hutchins serves as principal underwriter and/or
     investment adviser for the following investment companies:

              ALL AMERICAN TERM TRUST INC.
              GLOBAL HIGH INCOME DOLLAR FUND, INC.
              GLOBAL SMALL CAP FUND, INC.
              MANAGED HIGH YIELD FUND INC.
              MITCHELL HUTCHINS/INSTITUTIONAL SERIES TRUST
              MITCHELL HUTCHINS/KIDDER, PEABODY INVESTMENT TRUST
              MITCHELL HUTCHINS/KIDDER, PEABODY INVESTMENT TRUST II
              MITCHELL HUTCHINS/KIDDER, PEABODY INVESTMENT TRUST III
              PAINEWEBBER AMERICA FUND
              PAINEWEBBER FINANCIAL SERVICES GROWTH FUND INC.
              PAINEWEBBER INVESTMENT SERIES
              PAINEWEBBER MANAGED ASSETS TRUST
              PAINEWEBBER MANAGED INVESTMENTS TRUST
              PAINEWEBBER MASTER SERIES, INC.
              PAINEWEBBER MUNICIPAL SERIES
              PAINEWEBBER MUTUAL FUND TRUST
              PAINEWEBBER OLYMPUS FUND
              PAINEWEBBER PREMIER INSURED MUNICIPAL INCOME FUND INC.
              PAINEWEBBER PREMIER TAX-FREE INCOME FUND INC.
              PAINEWEBBER SECURITIES TRUST
              PAINEWEBBER SERIES TRUST
              PAINEWEBBER/KIDDER, PEABODY MUNICIPAL MONEY MARKET SERIES
              STRATEGIC GLOBAL INCOME FUND, INC.
              TRIPLE A AND GOVERNMENT SERIES - 1997, INC.
              2002 TARGET TERM TRUST INC.

              b)  Mitchell Hutchins is the Registrant's principal underwriter. 
     PaineWebber acts as exclusive dealer of the Registrant's shares.  The
     directors and officers of Mitchell Hutchins, their principal business
     addresses, and their positions and offices with Mitchell Hutchins are
     identified in its Form ADV filed with the Securities and Exchange
     Commission (registration number 801-13219).  The directors and officers of
     PaineWebber, their principal business addresses, and their positions and
     offices with PaineWebber are identified in its Form ADV filed with the
     Securities and Exchange Commission (registration number 801-7163).  The
     foregoing information is hereby incorporated herein by reference.  The
     information set forth below is furnished for those directors and officers
     of Mitchell Hutchins or PaineWebber who also serve as trustees or officers
     of the Registrant:









                                         C-8
<PAGE>






     <TABLE>
     <CAPTION>
                                                                                         Position and Offices 
       Name and Principal                                Position With                   With Underwriter or 
       Business Address                                  Registrant                      Exclusive Dealer    
       ------------------                                -------------                   --------------------

       <S>                                               <C>                             <C>

                                                         President                       Director,
       Margo N. Alexander                                                                President and Chief Executive
       1285 Avenue of the Americas                                                       Officer of Mitchell Hutchins;
       New York, New York 10019                                                          Director and Executive Vice
                                                                                         President of PaineWebber

       Teresa M. Boyle                                   Vice President                  First Vice President and
       1285 Avenue of the Americas                                                       Manager -- Advisory Admin-
       New York, New York 10019                                                          istration of Mitchell Hutchins

       Joan L. Cohen                                     Vice President and Assistant    Vice President and Attorney of
       1285 Avenue of the Americas                       Secretary                       Mitchell Hutchins
       New York, New York 10019

       Ellen R. Harris                                   Vice President                  Managing Director of Mitchell
       1285 Avenue of the Americas                                                       Hutchins
       New York, New York 10019
       C. William Maher                                  Vice President and Assistant    First Vice President and the
       1285 Avenue of the Americas                       Treasurer                       Senior Manager of the Fund
       New York, New York 10019                                                          Administration Division of
                                                                                         Mitchell Hutchins

       Ann E. Moran                                      Vice President and Assistant    Vice President of Mitchell
       1285 Avenue of the Americas                       Treasurer                       Hutchins
       New York, New York 10019

       Dianne E. O'Donnell                               Vice President and Secretary    Senior Vice President and
       1285 Avenue of the Americas                                                       Deputy General Counsel of
       New York, New York 10019                                                          Mitchell Hutchins

       Victoria E. Schonfeld                             Vice President                  Managing Director and General
       1285 Avenue of the Americas                                                       Counsel of Mitchell Hutchins
       New York, New York 10019

       Paul H. Schubert                                  Vice President and Assistant    First Vice President of
       1285 Avenue of the Americas                       Treasurer                       Mitchell Hutchins
       New York, New York 10019

       Julian F. Sluyters                                Vice President and Treasurer    Senior Vice President and
       1285 Avenue of the Americas                                                       Director of Mutual Fund
       New York, New York 10019                                                          Finance Division of Mitchell
                                                                                         Hutchins


                                         C-9
<PAGE>






                                                                                         Position and Offices 
       Name and Principal                                Position With                   With Underwriter or 
       Business Address                                  Registrant                      Exclusive Dealer    
       ------------------                                -------------                   --------------------

       Mark A. Tincher                                   Vice President                  Managing Director and Chief
       1285 Avenue of the Americas                                                       Investment Officer--U.S.
       New York, New York 10019                                                          Equity Investments of Mitchell
                                                                                         Hutchins

       Gregory K. Todd                                   Vice President and Assistant    First Vice President and
       1285 Avenue of the Americas                       Secretary                       Associate General Counsel of
       New York, New York 10019                                                          Mitchell Hutchins

       Keith A. Weller                                   Vice President                  First Vice President and
       1285 Avenue of the Americas                       and Assistant Secretary         Associate General Counsel of
       New York, New York 10019                                                          Mitchell Hutchins

     </TABLE>


     (c)      None.

     Item 30.  Location of Accounts and Records
                --------------------------------
              The books and other documents required by paragraphs (b)(4), (c)
     and (d) of Rule 31a-1 under the Investment Company Act of 1940 are
     maintained in the physical possession of Registrant's investment adviser
     and administrator, Mitchell Hutchins, 1285 Avenue of the Americas, New
     York, New York 10019.  All other accounts, books and documents required by
     Rule 31a-1 are maintained in the physical possession of Registrant's
     transfer agent and custodians.

     Item 31.  Management Services
                -------------------
              Not applicable.

     Item 32.  Undertakings
                ------------
              Registrant hereby undertakes to furnish each person to whom a
     prospectus is delivered with a copy of the Registrant's latest annual
     report to shareholders upon request and without charge.











                                         C-10
<PAGE>






                                     SIGNATURES 

              Pursuant to the requirements of the Securities Act of 1933 and
     the Investment Company Act of 1940, the Registrant, PaineWebber Olympus
     Fund, certifies that it meets all the requirements for effectiveness of
     this Post-Effective Amendment  to its Registration Statement pursuant to
     Rule 485(b) under the Securities Act of 1933 and has duly caused this
     Post-Effective Amendment to be signed on its behalf by the undersigned,
     thereunto duly authorized, in the City of New York and State of New York,
     on the 4th day of March, 1996.

                                       PAINEWEBBER OLYMPUS FUND


                                       By: /s/ Dianne E. O'Donnell
                                           -----------------------------
                                           Dianne E. O'Donnell
                                           Vice President and Secretary

              Pursuant to the requirements of the Securities Act of 1933, this
     Post-Effective Amendment has been signed below by the following persons in
     the capacities and on the dates indicated:

     <TABLE>
       Signature                                       Title                                     Date
       ---------                                       -----                                     ----
       <S>                                             <C>                                       <C>

       /s/ Margo N. Alexander                          President                                 March 4, 1996
       _____________________*                          (Chief Executive Officer)
       Margo N. Alexander
       /s/ E. Garrett Bewkes, Jr.                      Trustee and Chairman                      March 4, 1996
       _____________________**                         of the Board of Trustees
       E. Garrett Bewkes, Jr.

       /s/ Meyer Feldberg                              Trustee                                   March 4, 1996
       _____________________***
       Meyer Feldberg

       /s/ George W. Gowen                             Trustee                                   March 4, 1996
       _____________________****
       George W. Gowen
       /s/ Frederic V. Malek                           Trustee                                   March 4, 1996
       _____________________****
       Frederic V. Malek

       /s/ Judith Davidson Moyers                      Trustee                                   March 4, 1996
       _____________________****
       Judith Davidson Moyers
       Julian F. Sluyters                              Vice President and Treasurer (Chief       March 4, 1996
       _____________________*****                      Financial and Accounting Officer)
       Julian F. Sluyters
     </TABLE>
<PAGE>






                               SIGNATURES (Continued)

     *                Signature affixed by Elinor W. Gammon pursuant to power
                      of attorney dated May 8, 1995 and incorporated by
                      reference from Post-Effective Amendment No. 34 to the
                      registration statement of PaineWebber America Fund, SEC
                      File No. 2-78626, filed May 10, 1995.

     **               Signature affixed by Elinor W. Gammon pursuant to power
                      of attorney dated January 3, 1994 and incorporated by
                      reference from Post-Effective Amendment No. 25 to the
                      registration statement of PaineWebber Investment Series,
                      SEC File No. 33-11025, filed March 1, 1994.

     ***              Signature affixed by Elinor W. Gammon pursuant to power
                      of attorney dated March 28, 1991 and incorporated by
                      reference from Post-Effective Amendment No. 16 to the
                      registration statement of PaineWebber Fixed Income
                      Portfolios, SEC File No. 2-91362, filed March 28, 1991.

     ****             Signatures affixed by Elinor W. Gammon pursuant to powers
                      of attorney dated March 27, 1990 and incorporated by
                      reference from Post-Effective Amendment No. 7 to the
                      registration statement of PaineWebber Municipal Series,
                      SEC File No. 33-11611, filed June 29, 1990.

     *****    Signature affixed by Elinor W. Gammon pursuant to power of
              attorney dated April 16, 1993 and incorporated by reference from
              Post-Effective Amendment No. 27 to the registration statement of
              PaineWebber Managed Investments Trust, SEC File No. 2-91362,
              filed January 31, 1994.
<PAGE>






                               PAINEWEBBER OLYMPUS FUND
                                    EXHIBIT INDEX
                                    -------------
     Exhibit
     Number
     -------
     (1)      (a)     Declaration of Trust 1/
              (b)     Amendment effective January 28, 1988 4/
              (c)     Amendment effective December 21, 1990 8/
              (d)     Amendment effective July 1, 1991 9/ 
              (e)     Amendment effective July 1, 1992 12/
              (f)     Amendment effective August 24, 1993 13/
              (g)     Amendment effective September 29, 1993 14/  
              (h)     Amendment effective November 10, 1995 (to be filed)
     (2)      (a)     By-laws 1/
              (b)     Amendment to By-laws dated March 19, 1991
              (c)     Amendment to By-Laws dated September 28, 1994 15/
     (3)      Voting trust agreement - none
     (4)      Instruments defining the rights of holders of the Registrant's
              share of beneficial interest 16/
     (5)      Investment Advisory and Administration Contract 5/
     (6)      (a)     Distribution Contract with respect to Class A shares 14/
              (b)     Distribution Contract with respect to Class B shares 14/
              (c)     Distribution Contract with respect to Class C shares 18/
              (d)     Distribution Contract with respect to Class Y shares 18/
              (e)     Exclusive Dealer Agreement with respect to Class A shares
                      14/ 
              (f)     Exclusive Dealer Agreement with respect to Class B shares
                      14/
              (g)     Exclusive Dealer Agreement with respect to Class C shares
                      18/
              (h)     Exclusive Dealer Agreement with respect to Class Y shares
                      18/
     (7)      Bonus, profit sharing or pension plans - none 
     (8)      Custodian Agreement 2/ 
     (9)      (a)     Transfer Agency and Service Contract 6/
              (b)     Service Contract 5/
     (10)     (a)     Opinion and consent of Kirkpatrick & Lockhart LLP,
                      counsel to the Registrant, with respect to Class A and
                      Class B shares of PaineWebber Growth Fund 8/
              (b)     Opinion and consent of Kirkpatrick & Lockhart LLP,
                      counsel to the Registrant, with respect to the Class C
                      shares of PaineWebber Growth Fund 11/
              (c)     Opinion and consent of Kirkpatrick & Lockhart LLP,
                      counsel to the Registrant, with respect to Class Y shares
                      of PaineWebber Growth Fund 7/
     (11)     Other opinions, appraisals, rulings and consents:
              (a)     Independent Auditor's Consent (to be filed)
     (12)     Financial statements omitted from prospectus-none
     (13)     Letter of investment intent 3/
     (14)     Prototype Retirement Plan 10/
     (15)     (a)     Plan of Distribution pursuant to Rule 12b-1 with respect
                      to Class A shares 9/
<PAGE>






              (b)     Plan of Distribution pursuant to Rule 12b-1 with respect
                      to Class B shares 9/
              (c)     Plan of Distribution pursuant to Rule 12b-1 with respect
                      to Class C shares 12/
     (16)     (a)     Schedule for Computation of Performance Quotations for
                      Class A, Class B, and Class Y Shares of PaineWebber
                      Growth Fund 9/
              (b)     Schedule for Computation of Performance Quotations with
                      respect to Class C Shares of PaineWebber Growth Fund 12/
     (17) and (27)    Financial Data Schedule (to be filed)
     (18)     Plan pursuant to Rule 18f-3 17/

     ___________________________________

     1/       Incorporated by reference from Post-Effective Amendment No. 8 to
              the registration statement, SEC File No. 2-94983, filed February
              25, 1987.

     2/       Incorporated by reference from Post-Effective Amendment No. 9 to
              the registration statement, SEC File No. 2-94983, filed December
              22, 1987.

     3/       Incorporated by reference from Pre-Effective Amendment No. 1 to
              the registration statement, SEC File No. 2-94983, filed March 11,
              1985.

     4/       Incorporated by reference from Post-Effective Amendment No. 11 to
              the registration statement, SEC File No. 2-94983, filed November
              3, 1988.

     5/       Incorporated by reference from Post-Effective Amendment No. 14 to
              the registration statement, SEC File No. 2-94983, filed December
              29, 1989.

     6/       Incorporated by reference from Post-Effective Amendment No. 16 to
              the registration statement, SEC File No. 2-94983, filed November
              2, 1990.

     7/       Incorporated by reference from Post-Effective Amendment No. 18 to
              the registration statement, SEC File No. 2-94983, filed March 26,
              1991.

     8/       Incorporated by reference from Post-Effective Amendment No. 19 to
              the registration statement, SEC File No. 2-94983, filed May 3,
              1991.

     9/       Incorporated by reference from Post-Effective Amendment No. 20 to
              the registration statement, SEC File No. 2-94983, filed December
              24, 1991.

     10/      Incorporated by reference from Post-Effective Amendment No. 20 to
              the registration statement of PaineWebber Managed Investments
              Trust, SEC File No. 2-91362, filed April 1, 1992.
<PAGE>






     11/      Incorporated by reference from Post-Effective Amendment No. 22 to
              the registration statement, SEC File No. 2-94983, filed June 23,
              1992.

     12/      Incorporated by reference from Post-Effective Amendment No. 23 to
              the Registration Statement, SEC File No. 2-94983, filed December
              21, 1992.

     13/      Incorporated by reference from Post-Effective Amendment No. 24 to
              the Registration Statement, SEC File No. 2-94983, filed August
              27, 1993.

     14/      Incorporated by reference from Post-Effective Amendment No. 25 to
              the Registration Statement, SEC File No. 2-94983, filed December
              29, 1993.

     15/      Incorporated by reference from Post-Effective Amendment No. 27 to
              the Registration Statement, SEC File No. 2-94983, filed December
              30, 1994.

     16/      Incorporated by reference from Articles III, VIII, IX, X and XI
              of Registrant's Declaration of Trust, as amended effective
              January 28, 1988, December 21, 1990, July 1, 1991, July 1, 1992,
              August 24, 1993 and September 29, 1993, and from Articles II, VII
              and X of Registrant's By-Laws, as amended March 19, 1991 and
              September 28, 1994.

     17/      Incorporated by reference from Post-Effective Amendment No. 28 to
              the Registration Statement, SEC File No. 2-94983, filed September
              8, 1995.

     18/      Incorporated by reference from Post-Effective Amendment No. 31 to
              the Registration Statement, SEC File No. 2-94983, filed
              November 14, 1995.
<PAGE>


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