497 1 ss072809mega_retail.txt 497 - MEGA RETAIL SAI STICKER SUPPLEMENT TO THE CURRENTLY EFFECTIVE STATEMENTS OF ADDITIONAL INFORMATION OF EACH OF THE LISTED FUNDS/PORTFOLIOS: --------------------- Cash Management Fund Institutional DWS Global Thematic Fund DWS RREEF Global Infrastructure Fund Cash Reserve Fund, Inc. DWS GNMA Fund DWS RREEF Global Real Estate Securities Prime Series DWS Gold & Precious Metals Fund Fund Cash Reserves Fund Institutional DWS Growth & Income Fund DWS RREEF Real Estate Securities Fund Daily Assets Fund Institutional DWS Health Care Fund DWS S&P 500 Index Fund DWS Balanced Fund DWS High Income Fund DWS S&P 500 Plus Fund DWS Blue Chip Fund DWS High Income Plus Fund DWS Select Alternative Allocation Fund DWS California Tax-Free Income Fund DWS Inflation Protected Plus Fund DWS Short Duration Fund DWS Capital Growth Fund DWS Intermediate Tax/AMT Free Fund DWS Short Duration Plus Fund DWS Climate Change Fund DWS International Fund DWS Short-Term Municipal Bond Fund DWS Commodity Securities Fund DWS International Value Opportunities Fund DWS Small Cap Core Fund DWS Communications Fund DWS Japan Equity Fund DWS Small Cap Growth Fund DWS Core Fixed Income Fund DWS Large Cap Value Fund DWS Strategic Government Securities Fund DWS Core Plus Income Fund DWS Large Company Growth Fund DWS Strategic High Yield Tax-Free Fund DWS Disciplined Market Neutral Fund DWS Latin America Equity Fund DWS Strategic Income Fund DWS Diversified International Equity Fund DWS LifeCompass 2015 Fund DWS Strategic Value Fund DWS Dreman Mid Cap Value Fund DWS LifeCompass 2020 Fund DWS Target 2010 Fund DWS Dreman Small Cap Value Fund DWS LifeCompass 2030 Fund DWS Target 2011 Fund DWS EAFE(R) Equity Index Fund DWS LifeCompass 2040 Fund DWS Target 2012 Fund DWS Emerging Markets Equity Fund DWS LifeCompass Protect 2017 Fund DWS Target 2013 Fund DWS Emerging Markets Fixed Income Fund DWS LifeCompass Retirement Fund DWS Target 2014 Fund DWS Equity 500 Index Fund DWS Managed Municipal Bond Fund DWS Technology Fund DWS Europe Equity Fund DWS Mid Cap Growth Fund DWS U.S. Bond Index Fund DWS Floating Rate Plus Fund DWS Money Market Prime Series NY Tax Free Money Fund DWS Global Bond Fund DWS Money Market Series Tax Free Money Fund Investment DWS Global Opportunities Fund DWS New York Tax-Free Income Fund Tax-Exempt California Money Market Fund -----------------------------------------------------------------------------------------------------------------------------------
The following information replaces similar disclosure under "Transfer Agent" or "Transfer Agent and Shareholder Service Agent" in the "Fund Service Providers" or "Portfolio Service Providers" section of each Fund's/Portfolio's Statements of Additional Information: DWS Investments Service Company ("DISC" or the "Transfer Agent"), 210 West 10th Street, Kansas City, Missouri 64105-1614, an affiliate of the Advisor, is the transfer agent, dividend-paying agent and shareholder service agent for all classes of the Fund/Portfolio. The Transfer Agent receives an annual service fee for each account of the Fund/Portfolio, based on the type of account. For open retail accounts, the fee is a flat fee ranging from $20.99 to $24.09 per account, for open wholesale money funds the fee is $35.55 per account, while for certain retirement accounts serviced on the recordkeeping system of ExpertPlan, Inc., the fee is a flat fee up to $3.91 per account (as of February 2009, indexed to inflation) plus an asset based fee of up to 0.25% of average net assets. 1/12th of the annual service charge for each account is charged and payable to the Transfer Agent each month. A fee is charged for any account which at any time during the month had a share balance in the Fund/Portfolio. Smaller fees are also charged for closed accounts for which information must be retained on the Transfer Agent's system for up to 18 months after closing for tax reporting purposes. Certain out-of-pocket expenses incurred by the Transfer Agent, including expenses of printing and mailing routine fund disclosure documents, costs of record retention and transaction processing costs are reimbursed by the Fund/Portfolio or are paid directly by the Fund/Portfolio. Certain additional out-of-pocket expenses, including costs of computer hardware and software, third party record-keeping fees in excess of 0.25%, and processing of proxy statements, may only be reimbursed by the Fund/Portfolio with the prior approval of the Fund's/Portfolio's Board. Please Retain This Supplement for Future Reference July 28, 2009