JP MORGAN INSTITUTIONAL FUNDS
497, 2000-03-13
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J.P. Morgan Institutional Funds
Supplement  dated  March 13,  2000 to the  following  Statements  of  Additional
Information ("SAI"):

     J.P.  Morgan   Institutional  Prime  Money  Market  Fund  and  J.P.  Morgan
Institutional  Service  Prime Money  Market Fund and J.P.  Morgan  Institutional
Prime Money Market Reserves Fund (combined SAIs), each dated March 1, 2000

     J.P.  Morgan  Institutional  Treasury  Money  Market  Fund and J.P.  Morgan
Institutional  Service Treasury Money Market Fund and J.P. Morgan  Institutional
Treasury Money Market Reserves Fund (combined SAIs), each dated March 1, 2000

     J.P.  Morgan  Institutional  Federal  Money  Market  Fund and  J.P.  Morgan
Institutional  Service  Federal Money Market Fund  (combined  SAIs),  each dated
March 1, 2000

The  following  replaces the section under the heading  "Custodian  and Transfer
Agent":

         The Bank of New York  ("BONY"),  One Wall  Street,  New York,  New York
         10286, serves as the Trust's and each of the Portfolio's  custodian and
         fund accounting  agent.  Pursuant to the Custodian  Contracts,  BONY is
         responsible for holding  portfolio  securities and cash and maintaining
         the books of account and records of portfolio transactions.

         State  Street Bank and Trust  Company  ("State  Street"),  225 Franklin
         Street, Boston, Massachusetts 02110, serves as each Fund's transfer and
         dividend  disbursing  agent. As transfer agent and dividend  disbursing
         agent,  State Street is responsible  for  maintaining  account  records
         detailing  the  ownership  of Fund  shares  and for  crediting  income,
         capital  gains and other  changes  in share  ownership  to  shareholder
         accounts.








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