STI CLASSIC FUNDS
497, 1997-11-25
Previous: AMERICAS UTILITY FUND INC, DEFS14A, 1997-11-25
Next: CATALINA MARKETING CORP/DE, 8-K, 1997-11-25



<PAGE>
                               STI CLASSIC FUNDS
                               FIXED INCOME FUNDS
                                  EQUITY FUNDS
                               MONEY MARKET FUNDS
                     SUPPLEMENT DATED NOVEMBER 25, 1997 TO
                     THE PROSPECTUSES DATED OCTOBER 1, 1997
 
    This Supplement provides new and additional information beyond that
contained in the Prospectuses and should be retained and read in conjunction
with the Prospectuses.
 
    The Trustees of the STI Classic Funds (the "Trust"), voted unanimously at a
meeting held November 19, 1997, to increase the fees paid to the Administrator.
As a result of the revised fee schedule and the Trust's current asset levels,
"Other Expenses" and "Total Fund Operating Expenses After Fee Waivers and
Reimbursements" described under each Fund will each increase by .02%. In
addition, the information under the heading GENERAL INFORMATION--ADMINISTRATION
should be replaced with the following:
 
               SEI Fund Resources acts as the Trust's Administrator. For
       its administrative services, the Administrator is entitled to a
       fee, which is calculated daily and paid monthly, at an annual rate
       as follows:
 
                                  .12% on the first $1 billion
                                  .09% on the next $4 billion
                                  .07% on the next $3 billion
                                  .065% on the next $2 billion
                                  .06% thereafter.
 
               The Administrator may voluntarily waive all or a portion
       of its fees to limit Total Fund Operating Expenses.
 
              PLEASE RETAIN THIS SUPPLEMENT FOR FUTURE REFERENCE.


© 2022 IncJournal is not affiliated with or endorsed by the U.S. Securities and Exchange Commission