BlackRock Bond Fund, Inc.
BlackRock Total Return Fund
BlackRock Equity Dividend Fund
BlackRock FundsSM
BlackRock Advantage International Fund
BlackRock Advantage Large Cap Growth Fund
BlackRock Advantage Small Cap Growth Fund
BlackRock All-Cap Energy & Resources Portfolio
BlackRock Energy & Resources Portfolio
BlackRock Health Sciences Opportunities Portfolio
BlackRock High Equity Income Fund
BlackRock International Dividend Fund
BlackRock Mid-Cap Growth Equity Portfolio
BlackRock Science & Technology Opportunities Portfolio
BlackRock Tactical Opportunities Fund
BlackRock Funds II
BlackRock Core Bond Portfolio
BlackRock GNMA Portfolio
BlackRock High Yield Bond Portfolio
BlackRock Inflation Protected Bond Portfolio
BlackRock Low Duration Bond Portfolio
BlackRock U.S. Government Bond Portfolio
BlackRock Funds III
iShares S&P 500 Index Fund
BlackRock Large Cap Series Funds, Inc.
BlackRock Advantage Large Cap Core Fund
BlackRock Advantage Large Cap Value Fund
BlackRock Large Cap Focus Growth Fund
BlackRock Multi-State Municipal Series Trust
BlackRock New Jersey Municipal Bond Fund
BlackRock Pennsylvania Municipal Bond Fund
BlackRock Municipal Bond Fund, Inc.
BlackRock National Municipal Fund
(each, a Fund)
Supplement dated August 30, 2017 to the Service Shares Prospectus of each Fund (each, a Prospectus)
Effective September 5, 2017, each Prospectus is amended as follows:
The section of each Prospectus entitled Account InformationHow to Buy, Sell, Exchange and Transfer SharesHow to Sell SharesFull or Partial Redemption of SharesHave your Financial Intermediary submit your sales order or Account InformationHow to Buy, Sell and Transfer SharesHow to Sell SharesFull or Partial Redemption of SharesHave your Financial Intermediary submit your sales order, as applicable, is deleted in its entirety and replaced with the following:
Full or Partial Redemption of Shares | Have your Financial Intermediary submit your sales order | You can make redemption requests through your Financial Intermediary in accordance with the procedures applicable to your accounts. These procedures may vary according to the type of account and the Financial Intermediary involved and customers should consult their Financial Intermediary in this regard. |
Full or Partial Redemption of Shares (continued) | Have your Financial Intermediary submit your sales order | Financial Intermediaries are responsible for transmitting redemption orders and crediting their customers accounts with redemption proceeds on a timely basis. Information relating to such redemption services and charges to process a redemption of shares, if any, should be obtained by customers from their Financial Intermediaries.
Financial Intermediaries may place redemption orders by telephoning (800) 537-4942. The price of your shares is based on the next calculation of the Funds net asset value after your order is placed. For your redemption request to be priced at the net asset value on the day of your request, you must submit your request to your Financial Intermediary prior to that days close of business on the NYSE (generally 4:00 p.m. Eastern time). Certain Financial Intermediaries, however, may require submission of orders prior to that time. Any redemption request placed after that time will be priced at the net asset value at the close of business on the next business day. Shareholders who hold more than one class should indicate which class of shares they are redeeming.
Regardless of the method the Fund uses to make payment of your redemption proceeds (check or wire), your redemption proceeds typically will be sent one to two business days after your request is submitted, but in any event, within seven days.
Certain Financial Intermediaries may charge a fee to process a redemption of shares.
The Fund may reject an order to sell shares under certain circumstances. |
Shareholders should retain this Supplement for future reference.
PRO-ALLSVC-0817SUP
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