This Supplement is filed pursuant to Rule 497(d) with regard to
Equity Income Fund Concept Series, Natural Gas Trust 2
Defined Asset Funds
The text of the supplement to the Prospectus dated September 27, 1996
is as follows:
Supplement dated January 9, 1997
to Prospectus dated September 27, 1996, of
Equity Income Fund
Concept Series - Natural Gas Trust 2
Defined Asset Funds
_______________________________________________
Effective immediately, the applicable sales charge for regular
purchases of this Series is as follows:
Sales Charge
(Gross Underwriting Profit) Dealer
__________________________________________
As Percent As Percent of Concession as
of Public Net Amount Percent of
Offering Price Invested Offering Price
_______________ _____________ ______________
1.50% 1.523% 0.975%
Units purchased at this price will not be eligible for exchange at
a reduced sales charge under the Exchange Option. There will be no reduced
sales charge for quantity purchases.
14528 - 9/96