MUNICIPAL INVT TR FD MON PYMT SER 528 DEFINED ASSET FDS
497, 1994-05-31
Previous: MUNICIPAL INVT TR FD MON PYMT SER 527 DEFINED ASSET FDS, 497, 1994-05-31
Next: MUNICIPAL INVT TR FD MON PYMT SER 529 DEFINED ASSET FDS, 497, 1994-05-31




     This supplement is filed pursuant to Rule 497(d) with regard 
to Municipal Investment Trust Fund, Monthly Payment Series - 528, 
Defined Asset Funds.  The text of the supplement to the 
Prospectus dated June 17, 1993, as supplemented on July 9, 1993, 
is as follows:

Supplement dated June 1, 1994
to Prospectus of Series of
Municipal Investment Trust Fund

     Effective immediately, the quantity discount to sales
charges will apply to all purchases of Municipal Investment
Trust Fund units in the secondary market on the same day,
irrespective of any differences in their rates of Effective
Sales Charge.  The limitation to a range of 0.5%, described
under Public Sale of Units - Public Offering Price, has been
eliminated.




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