497 1 c47359e497.txt 497 . . . (RIVERSOURCE INVESTMENTS LOGO) STATEMENT OF ADDITIONAL INFORMATION (SAI) SUPPLEMENT DATED NOV. 1, 2008
Fund SAI date Form # RiverSource 130/30 U.S. Equity Fund Oct. 30, 2008 S-6500 AP RiverSource Global Technology Fund Oct. 30, 2008 S-6500 AP RiverSource Growth Fund Oct. 30, 2008 S-6500 AP
Table 19. Portfolio Managers, of the SAI is revised as follows:
----------------------------------------------------------------------------------------------------------------------- OTHER ACCOUNTS MANAGED (excluding the fund)(a) ----------------------------------------------------------------------- OWNERSHIP POTENTIAL FUND PORTFOLIO MANAGER NUMBER AND TYPE APPROXIMATE TOTAL PERFORMANCE BASED OF FUND CONFLICTS OF ACCOUNT NET ASSETS ACCOUNTS SHARES OF INTEREST ----------------------------------------------------------------------------------------------------------------------- FOR FUNDS WITH FISCAL PERIOD ENDING APRIL 30 ----------------------------------------------------------------------------------------------------------------------- 130/30 U.S. John Schonberg 2 RICs $1.06 billion 2 RICs ($1.06 B) None (2) Equity 2 PIVs $21.19 million 4 other accounts $8.13 million ----------------------------------------------------------------------------------------------------------------------- FOR FUNDS WITH FISCAL PERIOD ENDING JULY 31 ----------------------------------------------------------------------------------------------------------------------- Growth John Schonberg 2 RICs $1.06 billion 2 RICs ($1.06 B) None (2) 2 PIVs $21.19 million 4 other accounts $8.13 million ----------------------------------------------------------------------------------------------------------------------- FOR FUNDS WITH FISCAL PERIOD ENDING OCTOBER 31 ----------------------------------------------------------------------------------------------------------------------- Global John Schonberg 2 RICs $1.06 billion 2 RICs ($1.06 B) None (2) Technology 2 PIVs $21.19 million 4 other accounts $8.13 million ----------------------------------------------------------------------------------------------------------------------- -------------------------- FUND STRUCTURE OF COMPENSATION -------------------------- FOR FUNDS WITH FISCAL PERIOD ENDING APRIL 30 -------------------------- 130/30 U.S. (28) Equity -------------------------- FOR FUNDS WITH FISCAL PERIOD ENDING JULY 31 -------------------------- Growth (28) -------------------------- FOR FUNDS WITH FISCAL PERIOD ENDING OCTOBER 31 -------------------------- Global (28) Technology --------------------------
(a) The portfolio manager began managing the fund as of Nov. 1, 2008; therefore reporting information is as of Sept. 30, 2008. The rest of this section remains the same. S-6500-26 A (11/08)