ANALYTIC SERIES FUND
497, 1997-09-05
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                                           September 8, 1997
                              
                              
                  THE ANALYTIC SERIES FUND
                              
                SUPPLEMENT TO THE PROSPECTUS
                     Dated May 12, 1997



Effective  on  or  about September 8, 1997, the  information
under  the  heading  "GENERAL INFORMATION"  on  Page  33  is
amended as follows:


                     GENERAL INFORMATION
                              
                          CUSTODIAN
                              

      The Fund's custodian will be The Chase Manhattan Bank,
1211 Avenue of the Americas, New York, New York 10036.


The  information  under  the heading  "SHAREHOLDER  GUIDE  -
PURCHASING SHARES" on Page 36 is amended as follows:


                      SHAREHOLDER GUIDE
                      PURCHASING SHARES

By Wire

Federal funds wiring instructions are:

                  The Chase Manhattan Bank
                       ABA #021000021
       The Analytic Series Fund - (Name of Portfolio)
                    credit DDA 9102791614
             Account Registration:  (your name)
              Account #:  (your account number)
                                                            
                                                            
                                           September 8, 1997

                              
                  THE ANALYTIC SERIES FUND
                              
                      SUPPLEMENT TO THE
             STATEMENT OF ADDITIONAL INFORMATION
                     Dated May 12, 1997


                              
Effective  on  or  about September 8, 1997, the  information
under the heading "CUSTODIAN" is amended as follows:

                   ADDITIONAL INFORMATION
                              
                          CUSTODIAN


      The Fund's custodian will be The Chase Manhattan Bank,
1211  Avenue  of  the Americas, New York,  New  York  10036.
Pursuant  to the terms of the Custodian Agreement, the  Fund
will  forward to the Custodian the proceeds of each purchase
of  Fund  shares. The Custodian will hold such proceeds  and
make disbursements therefrom in accordance with the terms of
the  Custodian Agreement. It will retain possession  of  the
securities   purchased  with  such  proceeds  and   maintain
appropriate   records   with   respect   to   receipt    and
disbursements  of money, receipt and release of  securities,
and all other transactions of the Custodian with respect  to
the securities and other assets of the Fund.
                              



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