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SUPPLEMENT DATED MARCH 10, 2000 TO THE
PROSPECTUS DATED JULY 29, 1999
VAN KAMPEN HIGH YIELD FUND
A SERIES OF THE
VAN KAMPEN TRUST
PROSPECTUS DATED JANUARY 28, 2000
VAN KAMPEN CALIFORNIA INSURED TAX FREE FUND
VAN KAMPEN FLORIDA INSURED TAX FREE INCOME FUND
VAN KAMPEN INSURED TAX FREE INCOME FUND
VAN KAMPEN INTERMEDIATE TERM MUNICIPAL INCOME FUND
VAN KAMPEN MUNICIPAL INCOME FUND
VAN KAMPEN NEW YORK TAX FREE INCOME FUND
VAN KAMPEN TAX FREE HIGH INCOME FUND
EACH A SERIES OF THE
VAN KAMPEN TAX FREE TRUST
PROSPECTUS DATED JANUARY 28, 2000
VAN KAMPEN PENNSYLVANIA TAX FREE INCOME FUND
The first sentence of the fifth paragraph in the section of the prospectus
entitled "PURCHASE OF SHARES--GENERAL" is hereby deleted and replaced with the
following:
The net asset value per share for each class of shares of the Fund is determined
once daily as of the close of trading on the New York Stock Exchange (the
"Exchange")(currently 4:00 p.m., New York time) each day the Exchange is open
for trading except on any day on which no purchase or redemption orders are
received or there is not a sufficient degree of trading in the Fund's portfolio
securities such that the Fund's net asset value per share might be materially
affected.
RETAIN THIS SUPPLEMENT FOR FUTURE REFERENCE