FIDELITY PURITAN TRUST
497, 1994-05-09
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FIDELITY PURITAN FUND
SUPPLEMENT TO THE STATEMENT OF ADDITIONAL INFORMATION
DATED SEPTEMBER 18, 1993
   The following language supplements that found under the heading
"Performance" beginning on page 11.    
   The fund may be advertised as an investment choice under the Fidelity
College Savings Plan or the Fidelity Investor Card mutual fund option.
Advertising may contain illustrations of projected future college costs
based on assumed rates of inflation and examples of hypothetical
performance. Advertising for the Fidelity College Savings Plan mutual fund
option may be used in conjunction with advertising for the Fidelity College
Savings Plan brokerage option, a product offered through Fidelity Brokerage
Services, Inc. The Fidelity Investor Card is a product offered through
Fidelity Trust Company.    
MANAGEMENT CONTRACT.  Effective November 1, 1993, FMR agreed to voluntarily
adopt the revised group fee rate schedule shown below for purposes of
calculating the group fee component of the management fee.  The revised
schedule provides for lower management fees as total assets under
management increase, and it will be presented to shareholders for approval
at the next shareholder meeting.
The following information replaces the  "Group Fee Rate" and "Effective
Annual Fee Rate" schedules found on page 18.
                   GROUP FEE RATE SCHEDULE                      EFFECTIVE
ANNUAL FEE RATES
 Average Group   Annualized   Group Net    Effective Annual Fee   
 Assets          Rate          Assets      Rate                   
 
0 - $ 3 billion       .520%    $ 0.5 billion   .5200%   
 
3 -    6              .490      25             .4238    
 
6 -    9              .460      50             .3823    
 
9 -    12             .430      75             .3626    
 
12 -   15             .400     100             .3512    
 
15 -   18             .385     125             .3430    
 
18 -   21             .370     150             .3371    
 
21 -   24             .360     175             .3325    
 
24 -   30             .350     200             .3284    
 
30 -   36             .345     225             .3253    
 
36 -   42             .340     250             .3223    
 
42 -   48             .335     275             .3198    
 
48 -   66             .325     300             .3175    
 
66 -   84             .320     325             .3153    
 
84 -   102            .315     350             .3133    
 
102 -   138           .310                              
 
138 -   174           .305                              
 
174 -   228           .300                              
 
228 -   282           .295                              
 
282 -   336           .290                              
 
           Over 336   .285                              
 
The following paragraph replaces the third paragraph under the heading
"Additional Purchase and Redemption Information" beginning on page 14.
The fund's sales charge may be reduced to reflect sales charges previously
paid, or that would have been paid absent a reduction as noted in the
prospectus, in connection with investments in other Fidelity funds. This
includes reductions for investments in prototype or prototype-like
retirement plans sponsored by FMR or FMR Corp., which are listed above.
   PURB-94-1       (continued)    May 5, 1994    
   The following language replaces that found in item (8) under the heading
"Additional Purchase and Redemption Information" on page 14.    
   (8) if you are a current or former Trustee or officer of a Fidelity fund
or a current or retired officer, director, or regular employee of FMR Corp.
or its direct or indirect subsidiaries (a Fidelity Trustee or employee),
the spouse of a Fidelity Trustee or employee, a Fidelity Trustee or
employee acting as custodian for a minor child, or a person acting as
trustee of a trust for the sole benefit of the minor child of a Fidelity
Trustee or employee;    
   The following language supplements that found in the second paragraph
under the heading "Additional Purchase and Redemption Information" on page
14.    
   (11) if you are a registered investment adviser (RIA) purchasing for
your discretionary accounts, provided you execute a Fidelity RIA load
waiver agreement which specifies certain aggregate minimum and operating
provisions. This waiver is available only for shares purchased directly
from Fidelity, without a broker, and is unavailable if the RIA is part of
an organization principally engaged in the brokerage business; or (12) if
you are a trust institution or bank trust department purchasing for your
non-discretionary, non-retirement fiduciary accounts, provided you execute
a Fidelity Trust load waiver agreement which specifies certain aggregate
minimum and operating provisions. This waiver is available only for shares
purchased either directly from Fidelity or through a bank-affiliated
broker, and is unavailable if the trust department or institution is part
of an organization not principally engaged in banking or trust
activities.    



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