-----BEGIN PRIVACY-ENHANCED MESSAGE----- Proc-Type: 2001,MIC-CLEAR Originator-Name: webmaster@www.sec.gov Originator-Key-Asymmetric: MFgwCgYEVQgBAQICAf8DSgAwRwJAW2sNKK9AVtBzYZmr6aGjlWyK3XmZv3dTINen TWSM7vrzLADbmYQaionwg5sDW3P6oaM5D3tdezXMm7z1T+B+twIDAQAB MIC-Info: RSA-MD5,RSA, NwbRJO9H98W4JgwsrD6WVVf7gMP7MHAQIOrqxtwi3nqlpZbuX1hnXLjBF6o3ge/a vGe9uCQpbZMLX7CGLHioxw== 0001104659-08-018530.txt : 20080319 0001104659-08-018530.hdr.sgml : 20080319 20080319132101 ACCESSION NUMBER: 0001104659-08-018530 CONFORMED SUBMISSION TYPE: DEFA14A PUBLIC DOCUMENT COUNT: 5 FILED AS OF DATE: 20080319 DATE AS OF CHANGE: 20080319 EFFECTIVENESS DATE: 20080319 FILER: COMPANY DATA: COMPANY CONFORMED NAME: NATIONWIDE MUTUAL FUNDS CENTRAL INDEX KEY: 0001048702 IRS NUMBER: 000000000 STATE OF INCORPORATION: OH FISCAL YEAR END: 1031 FILING VALUES: FORM TYPE: DEFA14A SEC ACT: 1934 Act SEC FILE NUMBER: 811-08495 FILM NUMBER: 08698765 BUSINESS ADDRESS: STREET 1: RIVER PARK 2 STREET 2: 1200 RIVER ROAD CITY: CONSHOHOCKEN STATE: PA ZIP: 19428 BUSINESS PHONE: 4845301300 MAIL ADDRESS: STREET 1: RIVER PARK 2 STREET 2: 1200 RIVER ROAD CITY: CONSHOHOCKEN STATE: PA ZIP: 19428 FORMER COMPANY: FORMER CONFORMED NAME: GARTMORE MUTUAL FUNDS DATE OF NAME CHANGE: 20020125 FORMER COMPANY: FORMER CONFORMED NAME: NATIONWIDE MUTUAL FUNDS DATE OF NAME CHANGE: 19991015 FORMER COMPANY: FORMER CONFORMED NAME: NATIONWIDE INVESTING FOUNDATION III DATE OF NAME CHANGE: 19971029 0001048702 S000004970 Nationwide Small Cap Fund C000013439 Class A GSXAX C000013440 Class B GSXBX C000013441 Class C GSXCX C000013442 Class R GNSRX C000013443 Institutional Service Class GSXIX C000013444 Institutional Class GSCIX 0001048702 S000004975 Nationwide Tax-Free Income Fund C000013470 Class A NTFAX C000013471 Class B GTIBX C000013472 Class C GTICX C000013473 Class D NATFX C000013474 Class X GXTFX C000013475 Class Y GTFYX 0001048702 S000004985 Nationwide Global Financial Services Fund C000013489 Class A GLFAX C000013490 Class B GLFBX C000013491 Class C GLFCX C000013492 Class R GLFRX C000013493 Institutional Service Class GFISX C000013494 Institutional Class GLFIX 0001048702 S000004986 Nationwide China Opportunities Fund C000013495 Class A GOPAX C000013496 Class B GOPBX C000013497 Class C GOPCX C000013498 Class R GOPRX C000013499 Institutional Service Class GOPSX C000013500 Institutional Class GOPIX 0001048702 S000004987 Nationwide Emerging Markets Fund C000013501 Class A GEGAX C000013502 Class B GEGBX C000013503 Class C GEGCX C000013504 Class R GEMRX C000013505 Institutional Service Class GEGSX C000013506 Institutional Class GEGIX 0001048702 S000004988 Nationwide International Growth Fund C000013507 Class A GIGAX C000013508 Class B GIGBX C000013509 Class C GIGCX C000013510 Class R GIRRX C000013511 Institutional Service Class GIGSX C000013512 Institutional Class GIGIX 0001048702 S000004993 Nationwide U.S. Growth Leaders Long-Short Fund C000013537 Class A MLSAX C000013538 Class B MLSBX C000013539 Class C MLSCX C000013540 Class R GLSRX C000013541 Institutional Class GGUIX C000033113 Institutional Service Class 0001048702 S000004996 Nationwide Health Sciences Fund C000013551 Class A GLSAX C000013552 Class B GLSBX C000013553 Class C GMSCX C000013554 Class R GGHRX C000013555 Institutional Service Class GLSIX C000013556 Institutional GGHIX 0001048702 S000005006 Nationwide Optimal Allocations Fund: Moderate C000013606 Class A GMAAX C000013607 Class B GMABX C000013608 Class C GMACX C000013609 Class R GMRRX C000013610 Institutional Service Class GAMSX C000013611 Institutional Class GMAIX 0001048702 S000005007 Nationwide Technology and Communications Fund C000013612 Class A GAGTX C000013613 Class B GBGTX C000013614 Class C GCGTX C000013615 Class R GGTRX C000013616 Institutional Service Class GIGTX C000013617 Institutional Class GGTIX 0001048702 S000005008 Nationwide Optimal Allocations Fund: Moderate Growth C000013618 Class A GMMAX C000013619 Class B GMMBX C000013620 Class C GMMCX C000013621 Class R GAGRX C000013622 Institutional Service Class GAASX C000013623 Institutional Class GMMIX 0001048702 S000005009 Nationwide Optimal Allocations Fund: Growth C000013624 Class A GVAAX C000013625 Class B GVABX C000013626 Class C GAACX C000013627 Class R GAARX C000013628 Institutional Service Class GVISX C000013629 Institutional Class GAAIX 0001048702 S000005010 Nationwide Optimal Allocations Fund: Specialty C000013630 Class A GASAX C000013631 Class B GASBX C000013632 Class C GAMCX C000013633 Class R GASRX C000013634 Institutional Service Class GAISX C000013635 Institutional Class GASIX 0001048702 S000005016 Nationwide Global Utilities Fund C000013658 Class A GGUAX C000013659 Class B GGUBX C000013660 Class C GGUCX C000013661 Class R GLURX C000013662 Institutional Service Class GUISX C000013663 Institutional Class GLUIX 0001048702 S000005017 Nationwide Mid Cap Growth Leaders Fund C000013664 Class A NMGAX C000013665 Class B NMGBX C000013666 Class C GMGCX C000013667 Class R GMGRX C000025369 Class D NMCGX C000033121 Institutional Class GMGIX C000033122 Institutional Service Class 0001048702 S000005018 Nationwide Leaders Fund C000013668 Class A GULAX C000013669 Class B GULBX C000013670 Class C GULCX C000013671 Class R GNLRX C000013672 Institutional Service Class GULIX C000013673 Institutional Class GNLIX 0001048702 S000005019 Nationwide Small Cap Leaders Fund C000013675 Class A GPLAX C000013676 Class B GPLBX C000013677 Class C GPLCX C000013678 Class R GSLRX C000013679 Institutional Service Class GSLSX C000013680 Institutional Class GPLIX 0001048702 S000005020 Nationwide U.S. Growth Leaders Fund C000013681 Class A GXXAX C000013682 Class B GXXBX C000013683 Class C GXXCX C000013684 Class R GGLRX C000013685 Institutional Service Class GXXIX C000013686 Institutional Class GGLIX 0001048702 S000005021 Nationwide Worldwide Leaders Fund C000013687 Class A GLLAX C000013688 Class B GLLBX C000013689 Class C GLLCX C000013690 Class R GWLRX C000013691 Institutional Service Class GLLSX C000013692 Institutional Class GWLIX 0001048702 S000009295 Nationwide Natural Resources Fund C000025364 Class A GGNAX C000025365 Class B GENBX C000025366 Class C GGNCX C000025367 Class R GGNRX C000033123 Institutional Service Class GGNSX C000033124 Institutional Class GGNIX 0001048702 S000013515 Nationwide Hedged Core Equity Fund C000036662 Class A C000036663 Class B C000036664 Class C C000036665 Class R C000036666 Institutional Class C000036667 Institutional Service Class 0001048702 S000013516 Nationwide Small Cap Growth Opportunities Fund C000036668 Class R C000036669 Institutional Class C000036670 Institutional Service Class C000036671 Class A C000036672 Class B C000036673 Class C 0001048702 S000013517 Nationwide Small Cap Value Fund C000036674 Class A C000036675 Class B C000036676 Class C C000036677 Class R C000036678 Institutional Class C000036679 Institutional Service Class 0001048702 S000013587 Nationwide Small Cap Core Fund C000036832 Class A C000036833 Class B C000036834 Class C C000036835 Class R C000036836 Institutional Class C000036837 Institutional Service Class 0001048702 S000013588 Nationwide Market Neutral Fund C000036838 Class R C000036839 Institutional Class C000036840 Institutional Service Class C000036841 Class A C000036842 Class B C000036843 Class C 0001048702 S000013600 Nationwide Optimal Allocations Fund: Defensive C000036864 Class A C000036865 Class B C000036866 Class C C000036867 Class R C000036868 Institutional Class C000036869 Institutional Service Class DEFA14A 1 a08-4753_8defa14a.htm DEFA14A

 

 

UNITED STATES

 

 

SECURITIES AND EXCHANGE COMMISSION

 

 

Washington, D.C. 20549

 

 

 

 

SCHEDULE 14A

 

Proxy Statement Pursuant to Section 14(a) of
the Securities Exchange Act of 1934 (Amendment No.     )

 

Filed by the Registrant  ý

 

Filed by a Party other than the Registrant  o

 

Check the appropriate box:

o

Preliminary Proxy Statement

o

Confidential, for Use of the Commission Only (as permitted by Rule 14a-6(e)(2))

o

Definitive Proxy Statement

x

Definitive Additional Materials

o

Soliciting Material Pursuant to §240.14a-12

 

Nationwide Mutual Funds

(Name of Registrant as Specified In Its Charter)

 

 

(Name of Person(s) Filing Proxy Statement, if other than the Registrant)

 

Payment of Filing Fee (Check the appropriate box):

ý

No fee required.

o

Fee computed on table below per Exchange Act Rules 14a-6(i)(1) and 0-11.

 

(1)

Title of each class of securities to which transaction applies:

 

 

 

 

(2)

Aggregate number of securities to which transaction applies:

 

 

 

 

(3)

Per unit price or other underlying value of transaction computed pursuant to Exchange Act Rule 0-11 (set forth the amount on which the filing fee is calculated and state how it was determined):

 

 

 

 

(4)

Proposed maximum aggregate value of transaction:

 

 

 

 

(5)

Total fee paid:

 

 

 

o

Fee paid previously with preliminary materials.

o

Check box if any part of the fee is offset as provided by Exchange Act Rule 0-11(a)(2) and identify the filing for which the offsetting fee was paid previously. Identify the previous filing by registration statement number, or the Form or Schedule and the date of its filing.

 

(1)

Amount Previously Paid:

 

 

 

 

(2)

Form, Schedule or Registration Statement No.:

 

 

 

 

(3)

Filing Party:

 

 

 

 

(4)

Date Filed:

 

 

 

 

 

Persons who are to respond to the collection of information contained in this form are not required to respond unless the form displays a currently valid OMB control number.

 

 



 

Broker Guide

 

Important information about Nationwide Funds’ Proxy

 

 

 

 

 

 

FOR BROKER-DEALER USE ONLY.

NOT FOR PUBLIC DISTRIBUTION.

 

 

 

 



 

Proxy Questions and Answers

 

As previously announced, Nationwide Financial Services, Inc. (Nationwide Financial) entered into a definitive purchase agreement with Aberdeen Asset Management Inc. (Aberdeen). On Oct.1, 2007, Nationwide Financial sold Nationwide Fund Advisors’ (NFA) active equity investment management business to Aberdeen. At that time, Aberdeen became the subadviser to certain Nationwide mutual funds. This sale was the first step in a proposed two-step transaction.

 

Since October, the same portfolio managers and other investment professionals who were providing day-to-day portfolio management to the Nationwide mutual funds have continued to provide day-to-day portfolio management to these funds. The personnel hired by Aberdeen as part of the transaction also included nine sales professionals which allow Aberdeen and the funds to maintain the continuity of strong relationships with intermediary partners.

 

The second step of the transaction involves the reorganization of 26 Nationwide mutual funds into corresponding portfolios of the Aberdeen Funds. In November 2007, the Nationwide Mutual Funds’ Board of Trustees approved this proposal and believes that the reorganization is in the best interest of shareholders, and recommends that your clients vote FOR the proposal.

 

The following Q&A will provide you with some additional information regarding the reorganization proposal. After reviewing this information, if you have any questions or concerns, please call your primary contact (key accounts manager or wholesaler) or call the National Sales Desk at 800-485-2294. We are happy to answer any questions that you may have.

 

1. What is a mutual fund reorganization?

 

A mutual fund reorganization is a type of fund combination that occurs when the shares of one fund are exchanged for the shares of another fund.

 

In terms of the proposed Nationwide mutual funds’ reorganization, Aberdeen Funds has created 26 new funds. Subject to shareholder approval, these 26 new funds will acquire the assets and liabilities of each corresponding Nationwide Fund, and the shares of each Nationwide Fund will be exchanged for shares of the corresponding Aberdeen Fund in the same share class.

 

2. Will Nationwide Funds’ names change to Aberdeen Funds?

 

Yes, please review the table on page 4 to see the name of the Aberdeen Fund that, upon shareholder approval, will acquire the corresponding Nationwide Fund.

 

3. Since the fund names will be different after the reorganization, does this mean that the tickers and cUsips will also change?

 

To make this an easier process for you and your clients, Aberdeen has made the decision to keep the tickers the same at this time.

 

However, to comply with the CUSIP Service Bureau regulations, CUSIPs will change. We will diligently work with your back office operations teams to ensure a smooth transition.

 

4. Will there be any portfolio management changes to the funds?

 

If approved, the same investment professionals will continue to provide day-to-day portfolio management to the Aberdeen Funds (except for the Nationwide Tax-Free Income Fund).

 

The Aberdeen Tax-Free Income Fund will be managed in a similar investment style to its corresponding Nationwide Fund. However, upon shareholder approval, the Fund will be subadvised by Credit Suisse Asset Management, LLC.

 

FOR BROKER-DEALER USE ONLY. NOT FOR PUBLIC DISTRIBUTION.

 

1



 

5. Will there be any changes to the funds’ investment objectives or strategies?

 

The portfolio managers will continue to use the identical or substantially similar investment objectives and strategies that are currently in place for the corresponding Nationwide Fund. Exceptions apply to the investment strategies relating to the Nationwide Hedged Core Equity Fund (Aberdeen Hedged Core Equity Fund) and the Nationwide U.S. Growth Leaders Fund (Aberdeen Select Growth Fund).

 

The Aberdeen Hedged Core Equity Fund will target a 130/30 investment strategy (100-130% in long positions and 0-30% in short sales resulting in a target net position of 100%). The Nationwide Hedged Core Equity Fund targets a 95/35 investment strategy (80-100% in long positions and 30-35% in short sales resulting in a target net position of 65%). If approved, the Aberdeen Hedged Core Equity Fund will have a targeted higher net market exposure (100% vs. 65%).

 

The Aberdeen Select Growth Fund, unlike the Nationwide U.S. Growth Leaders Fund, will not invest 25% or more of its net assets in a group of companies in software and related technology industries.

 

6. Will the fees and expenses of the reorganized funds change?

 

The proposal is not expected to result in any significant change in the amount of any overall fund expense.

 

Aberdeen has agreed to cap expenses at the net expense ratio of the corresponding Nationwide Fund (Fee Cap) as of the funds’ fiscal year end (Oct. 31, 2007). The Fee Cap is subject to certain exclusions that also applied to the corresponding Nationwide Fund. This agreement will remain in effect for two years following the date of the reorganization.

 

In addition, Aberdeen will not use a performance fee structure for its advisory fee. For those Nationwide Funds which apply performance fees (see table on page 4), the corresponding Aberdeen Fund will use the existing base fee as the advisory fee with no performance adjustment. Although this change may result in a lower or higher advisory fee, it’s important to note that the Fee Cap will remain in effect, as described above.

 

7. Has a new Aberdeen Funds prospectus been prepared? Are there any material changes that I should let my clients know about?

 

The prospectus created for the Aberdeen Funds is similar to those for the existing Nationwide Funds.

 

A copy of the Aberdeen Funds’ prospectus will be sent to shareholders along with the proxy materials. It’s important to note that although the new Aberdeen Fund prospectus is filed with the SEC, shares of each Aberdeen Fund will not be available for purchase until after the reorganization and the transfer of assets and liabilities is complete. After that date, only shares of the Aberdeen Funds can be purchased as the corresponding Nationwide Fund will no longer exist.

 

8. After the fund reorganization, will the Aberdeen Funds be available on my brokerage platform? Will I continue to receive trailing commission on my existing business?

 

Aberdeen will send new agreements to all firms that Nationwide Funds currently has selling agreements with prior to the reorganization.

 

Aberdeen Funds will be available for sale and you will receive your trailing commissions provided that your firm executes a selling agreement with Aberdeen’s new broker-dealer after the reorganization date.

 

9. Will the fund reorganization create any federal tax liability for the shareholders?

 

We do not believe that the reorganization will create any federal tax liability for shareholders. However, there can be no assurance that the Internal Revenue Service will adopt a similar position.

 

10. How will shareholders be notified of the reorganization proposal?

 

Shareholders of the Nationwide Funds included in the reorganization proposal who owned shares as of Feb. 29, 2008 will receive the proxy materials and voting instructions by mail. Following the mailing, certain clients may also be contacted by phone to solicit their vote.

 

2



 

11. What should I tell my client with regard to the upcoming proxy vote?

 

A shareholder meeting is required to complete the reorganization proposal. In order to conduct a shareholder meeting, a majority of shareholders must vote. There are three easy ways your client can vote: by mail, by phone and by internet.

 

A minimum of 50% of a fund’s shares must be voted in order to proceed with a shareholder meeting. Your clients’ votes contribute to this process and every vote is important.

 

We cannot advise your clients on which way they should vote, however, we believe that is important to remind them that the Nationwide Mutual Fund Board of Trustees has reviewed the proposal and concluded that a vote FOR is in the best interest of all shareholders.

 

12. Can I vote on this proposal on behalf of my client?

 

If held in a discretionary account, you may have the authority to vote on behalf of your client. Please consult with your branch manager if you have any questions regarding the type of client account.

 

If your client has authorized you to vote, please contact your firm’s proxy department. Typically, there are employees within your firm that can record the vote for you.

 

13. Can I get a copy of the combined prospectus/proxy statement?

 

You can download the combined prospectus/proxy statement that was mailed to your clients by visiting one of these two websites:

 

·                  aberdeeninvestments.com

 

·                  nationwidefunds.com

 

14. There have been multiple brand changes within Nationwide Funds recently, from Gartmore to Nationwide to Aberdeen... what’s next?

 

The funds have seen a great deal of change recently. Despite the corporate changes, one thing has remained constant—the portfolio managers and investment management teams have remained focused on seeking to deliver strong performance to shareholders. And throughout the changes, shareholders have come first.

 

After the reorganization is completed, new Aberdeen Fund shareholders can look forward to a commitment from a global company exclusively focused on investment management. In addition, the global distribution network of Aberdeen and its affiliates may offer additional growth potential for these funds.

 

Aberdeen Asset Management plc, the UK-listed global asset manager, is one of the world’s largest independent investment firms. With a worldwide staff of more than 1,500 employees located in 24 offices across 19 countries, Aberdeen Asset Management plc manages more than $204 billion for institutions, financial intermediaries and private individuals as of Dec. 31, 2007.

 

Aberdeen Asset Management Inc., a wholly-owned subsidiary of Aberdeen Asset Management plc, is headquartered in metropolitan Philadelphia. For additional information, please visit aberdeeninvestments.com.

 

15. What if my client also holds shares in Nationwide Funds that are not included as part of this proposed reorganization?

 

For the Nationwide Funds not included in the reorganization proposal, Nationwide Fund shareholders can look to Nationwide to continue to provide simple, yet sophisticated investment solutions based on cutting-edge asset allocation methodology and diligent manager research. Nationwide Funds Group, based in Conshohocken, PA, is the mutual fund arm of Nationwide Financial Services (NYSE:NFS).

 

3



 

Nationwide Funds included in the reorganization proposal

 

Current Nationwide Fund Name

 

Proposed Aberdeen Fund Name

Nationwide China Opportunities Fund*

 

Aberdeen China Opportunities Fund

Nationwide Emerging Markets Fund*

 

Aberdeen Developing Markets Fund

Nationwide Global Financial Services Fund*

 

Aberdeen Global Financial Services Fund

Nationwide Global Utilities Fund*

 

Aberdeen Global Utilities Fund

Nationwide Health Sciences Fund*

 

Aberdeen Health Sciences Fund

Nationwide Hedged Core Equity Fund

 

Aberdeen Hedged Core Equity Fund

Nationwide International Growth Fund*

 

Aberdeen International Equity Fund

Nationwide Leaders Fund*

 

Aberdeen Select Equity Fund

Nationwide Market Neutral Fund

 

Aberdeen Market Neutral Fund

Nationwide Mid Cap Growth Leaders Fund

 

Aberdeen Select Mid Cap Growth Fund

Nationwide Natural Resources Fund*

 

Aberdeen Natural Resources Fund

Nationwide Optimal Allocations Fund: Defensive

 

Aberdeen Optimal Allocations Fund: Defensive

Nationwide Optimal Allocations Fund: Growth

 

Aberdeen Optimal Allocations Fund: Growth

Nationwide Optimal Allocations Fund: Moderate

 

Aberdeen Optimal Allocations Fund: Moderate

Nationwide Optimal Allocations Fund: Moderate Growth

 

Aberdeen Optimal Allocations Fund: Moderate Growth

Nationwide Optimal Allocations Fund: Specialty

 

Aberdeen Optimal Allocations Fund: Specialty

Nationwide Small Cap Core Fund

 

Aberdeen Small Cap Opportunities Fund

Nationwide Small Cap Fund

 

Aberdeen Small Cap Fund

Nationwide Small Cap Growth Opportunities Fund

 

Aberdeen Small Cap Growth Fund

Nationwide Small Cap Leaders Fund

 

Aberdeen Select Small Cap Fund

Nationwide Small Cap Value Fund

 

Aberdeen Small Cap Value Fund

Nationwide Tax-Free Income Fund

 

Aberdeen Tax-Free Income Fund

Nationwide Technology and Communications Fund*

 

Aberdeen Technology and Communications Fund

Nationwide U.S. Growth Leaders Fund*

 

Aberdeen Select Growth Fund

Nationwide U.S. Growth Leaders Long-Short Fund

 

Aberdeen Equity Long-Short Fund

Nationwide Worldwide Leaders Fund*

 

Aberdeen Select Worldwide Fund

 


*Performance fee funds

 

Who can I contact if my clients or I have additional questions regarding this proposed reorganization?

 

FINANCIAL ADVISORS:

800-485-2294

 

SHAREHOLDERS:

866-745-0266

 

4



 

For more information about
Nationwide Funds’ proxy, please call:

800-485-2294

 

 

 

 



 

Important Information for Merrill Lynch Financial Advisors

 

Notification to your Nationwide Funds clients

 

Over the next several weeks you may receive questions from your clients who are shareholders of certain Nationwide Funds. As their valued advisor, we would like to take this opportunity to review the recent proxy materials mailed to those shareholders.

 

The materials your clients will receive relate to the reorganization proposal of 26 Nationwide mutual funds into corresponding portfolios of the Aberdeen Funds. Please see the reverse side for the list of funds included in the reorganization proposal.

 

What should I know about the reorganization proposal?

 

Currently, Aberdeen Asset Management Inc. (Aberdeen) is the one of the largest subadvisers to the Nationwide Funds. In November 2007, the Nationwide Mutual Funds’ Board of Trustees approved the proposal and determined that the reorganization is in the best interest of shareholders, and recommends that your clients vote FOR the proposal.

 

If approved, your client will become a shareholder of Aberdeen Funds. Aberdeen will serve as the investment advisor, with the same portfolio managers (except for the Nationwide Tax-Free Income Fund) who currently manage their Nationwide Fund.

 

Where can I get more information about the proposed fund reorganization?

 

You can download a copy of the combined prospectus/proxy by going to aberdeeninvestments.com or nationwidefunds.com. You can also call the National Sales Desk at 800-485-2294.

 

How can I help my clients?

 

Ensure that your clients DO NOT discard their proxy cards included in their mailing and encourage them to vote immediately. The proxy card lists their personal control number, which is required to record their vote.

 

How can my clients vote?

 

There are three ways to vote:

 

1. By Internet — Visit the website listed on their proxy card.

 

2. By Phone — Call the toll-free number listed on their proxy card.

 

3. By Mail — Sign/date the proxy card and return it in the postage-paid envelope.

 

Can I vote on behalf of my client?

 

Yes, if your client has authorized you to vote on his/her behalf. To vote, you can send an email to Merrill Lynch’s proxy department, ronnie_o’neill@ml.com. The email must include the following information:

 

·          Your client’s Merrill Lynch account number

 

·          Instructions on how the vote is to be cast (For, Against, Abstain)

 

What if my client misplaces his/her proxy card?

 

A new proxy card can be requested by sending an email to Merrill Lynch’s proxy department, ronnie_o’neill@ml.com. You should include your client’s Merrill Lynch account number in the request.

 

How can I learn more about Aberdeen Asset Management?

Aberdeen Asset Management plc, the UK-listed global asset manager, is one of the world’s largest independent investment firms. With a worldwide staff of more than 1,500 employees located in 24 offices across 19 countries, Aberdeen Asset Management plc manages more than $204 billion for institutions, financial intermediaries and private individuals as of Dec. 31, 2007. Aberdeen, a wholly-owned subsidiary of Aberdeen Asset Management plc, is headquartered in metropolitan Philadelphia.

 

 

If you have any questions regarding the reorganization proposal, please contact the National Sales Desk at 800-485-2294.

 



 

Current Nationwide Fund Name

 

Proposed Aberdeen Fund Name

Nationwide China Opportunities Fund

 

Aberdeen China Opportunities Fund

Nationwide Emerging Markets Fund

 

Aberdeen Developing Markets Fund

Nationwide Global Financial Services Fund

 

Aberdeen Global Financial Services Fund

Nationwide Global Utilities Fund

 

Aberdeen Global Utilities Fund

Nationwide Health Sciences Fund

 

Aberdeen Health Sciences Fund

Nationwide Hedged Core Equity Fund

 

Aberdeen Hedged Core Equity Fund

Nationwide International Growth Fund

 

Aberdeen International Equity Fund

Nationwide Leaders Fund

 

Aberdeen Select Equity Fund

Nationwide Market Neutral Fund

 

Aberdeen Market Neutral Fund

Nationwide Mid Cap Growth Leaders Fund

 

Aberdeen Select Mid Cap Growth Fund

Nationwide Natural Resources Fund

 

Aberdeen Natural Resources Fund

Nationwide Optimal Allocations Fund: Defensive

 

Aberdeen Optimal Allocations Fund: Defensive

Nationwide Optimal Allocations Fund: Growth

 

Aberdeen Optimal Allocations Fund: Growth

Nationwide Optimal Allocations Fund: Moderate

 

Aberdeen Optimal Allocations Fund: Moderate

Nationwide Optimal Allocations Fund: Moderate Growth

 

Aberdeen Optimal Allocations Fund: Moderate Growth

Nationwide Optimal Allocations Fund: Specialty

 

Aberdeen Optimal Allocations Fund: Specialty

Nationwide Small Cap Core Fund

 

Aberdeen Small Cap Opportunities Fund

Nationwide Small Cap Fund

 

Aberdeen Small Cap Fund

Nationwide Small Cap Growth Opportunities Fund

 

Aberdeen Small Cap Growth Fund

Nationwide Small Cap Leaders Fund

 

Aberdeen Select Small Cap Fund

Nationwide Small Cap Value Fund

 

Aberdeen Small Cap Value Fund

Nationwide Tax-Free Income Fund

 

Aberdeen Tax-Free Income Fund

Nationwide Technology and Communications Fund

 

Aberdeen Technology and Communications Fund

Nationwide U.S. Growth Leaders Fund

 

Aberdeen Select Growth Fund

Nationwide U.S. Growth Leaders Long-Short Fund

 

Aberdeen Equity Long-Short Fund

Nationwide Worldwide Leaders Fund

 

Aberdeen Select Worldwide Fund

 



 

Salesforce Template for Proxy – to be Emailed to existing FAs who have larger positions in one or more of the 26 funds.

 

Important Notification to Your Nationwide Funds clients:

 

Over the next several weeks you may receive questions from your clients who are shareholders of certain Nationwide Funds. As their valued advisor, we would like to take this opportunity to review the recent proxy materials mailed to those shareholders.

 

The materials your clients will receive relate to the reorganization proposal of 26 Nationwide mutual funds into corresponding portfolios of the Aberdeen Funds. Beginning in early April, some shareholders may also be receiving phone calls to solicit their vote. Click here http://www.aberdeen-asset.com/aam.nsf/usa/proxy to see the list of funds included in the reorganization proposal.

 

What should I know about the reorganization proposal?

 

Currently, Aberdeen Asset Management Inc. (Aberdeen) is the one of the largest subadvisers to the Nationwide Funds. In November 2007, the Nationwide Mutual Funds’ Board of Trustees approved the proposal and determined that the reorganization is in the best interest of shareholders, and recommends that your clients vote FOR the proposal.

 

If approved, your client will become a shareholder of Aberdeen Funds. Aberdeen will serve as the investment advisor and the funds will be managed by the same portfolio managers (except for the Nationwide Tax-Free Income Fund) who currently manage their Nationwide Fund.

 

Where can I get more information about the proposed fund reorganization?

 

You can go to aberdeeninvestments.com or nationwidefunds.com to download a copy of the combined prospectus/proxy. You can also call the National Sales Desk at 800-485-2294.

 

How can I help my clients?

 

Ensure that your clients DO NOT discard their proxy cards included in their mailing and encourage them to vote immediately. The proxy card lists their personal control number which is required to record their vote.

 

How can your clients vote?

 

There are three ways to vote:

 

1.               By Internet - Visit the website listed on proxy card.

2.               By Phone - Call the toll-free number listed on the proxy card.

3.               By Mail - Sign/date the proxy card and return in the postage-paid envelope.

 

What if my client misplaces his/her proxy card?

 

Typically, you can request a new proxy card for your client by contacting your firm’s proxy department. Alternatively, your client can call 1-866-745-0266 to request a new card.

 

Can I vote on behalf of my client?

 

Yes, if your client has authorized you to vote on their behalf. To vote, you should contact your firm’s proxy department and provide them with the following information. This process will vary by firm.

 

·                  Account Name/Title

·                  Account #

·                  CUSIP & # of shares

·                  Instructions on how the vote is to be cast (For, Against, Abstain)

 

How can I learn more about Aberdeen Asset Management?

 

Aberdeen Asset Management plc, the UK-listed global asset manager, is one of the world’s largest independent investment firms. With a worldwide staff of more than 1,500 employees located in 24 offices across 19 countries,

 



 

Aberdeen Asset Management plc manages more than $204 billion for institutions, financial intermediaries and private individuals as of Dec. 31, 2007.

 

Aberdeen Asset Management Inc., a wholly-owned subsidiary of Aberdeen Asset Management plc, is headquartered in metropolitan Philadelphia. Click here for additional information on Aberdeen www.aberdeeninvestments.com.

 

The attached Q & A should address many of the questions you and your clients may have.

 

If you have any additional questions, please contact our National Sales Desk at 800-485-2294.

 


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