-----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, UjS/4ghcx/B0ICrbJf/sQ7dBIxqf8ZIXbR8nuFJUHqLFLZUKRGjKwmy1daxl3DAQ msPO2KEXm7/cRWBzC8mQhQ== 0001145443-07-001713.txt : 20070611 0001145443-07-001713.hdr.sgml : 20070611 20070611132945 ACCESSION NUMBER: 0001145443-07-001713 CONFORMED SUBMISSION TYPE: 497 PUBLIC DOCUMENT COUNT: 1 FILED AS OF DATE: 20070611 DATE AS OF CHANGE: 20070611 EFFECTIVENESS DATE: 20070611 FILER: COMPANY DATA: COMPANY CONFORMED NAME: LOOMIS SAYLES FUNDS II CENTRAL INDEX KEY: 0000872649 IRS NUMBER: 043113285 STATE OF INCORPORATION: MA FISCAL YEAR END: 0930 FILING VALUES: FORM TYPE: 497 SEC ACT: 1933 Act SEC FILE NUMBER: 033-39133 FILM NUMBER: 07911883 BUSINESS ADDRESS: STREET 1: 399 BOYLSTON STREET CITY: BOSTON STATE: MA ZIP: 02116 BUSINESS PHONE: 800-399-7788 MAIL ADDRESS: STREET 1: 399 BOYLSTON STREET CITY: BOSTON STATE: MA ZIP: 02116 FORMER COMPANY: FORMER CONFORMED NAME: LOOMIS SAYLES FUNDS I DATE OF NAME CHANGE: 20031119 FORMER COMPANY: FORMER CONFORMED NAME: LOOMIS SAYLES FUNDS DATE OF NAME CHANGE: 20031015 FORMER COMPANY: FORMER CONFORMED NAME: LOOMIS SAYLES FUNDS II DATE OF NAME CHANGE: 20030718 0000872649 S000006695 Loomis Sayles Aggressive Growth Fund C000018222 Institutional Class LSAIX C000018223 Retail Class LAGRX 0000872649 S000006696 Loomis Sayles Tax-Managed Equity Fund C000018224 Institutional Class LSCGX 0000872649 S000006697 Loomis Sayles Value Fund C000018225 Loomis Sayles Value Fund - Class Y LSGIX C000034548 Loomis Sayles Value Fund - Class A LSVRX C000049398 Loomis Sayles Value Fund - Class B LSVBX C000049399 Loomis Sayles Value Fund - Class C LSCVX 0000872649 S000006698 Loomis Sayles Global Markets Fund C000018226 Class Y LSWWX C000027670 Class A LGMAX C000027671 Class C LGMCX 0000872649 S000006699 Loomis Sayles Growth Fund C000018227 Class A LGRRX C000018228 Class B LGRBX C000018229 Class C LGRCX C000018230 Class Y LSGRX 0000872649 S000006700 Loomis Sayles High Income Fund C000018231 Class A NEFHX C000018232 Class B NEHBX C000018233 Class C NEHCX 0000872649 S000006701 Loomis Sayles Investment Grade Bond Fund C000018234 Class A LIGRX C000018235 Class B LGBBX C000018236 Class C LGBCX C000018237 Class J LIGJX C000018238 Class Y LSIIX 0000872649 S000006702 Loomis Sayles Limited Term Government and Agency Fund C000018239 Class A NEFLX C000018240 Class B NELBX C000018241 Class C NECLX C000018242 Class Y NELYX 0000872649 S000006703 Loomis Sayles Municipal Income Fund C000018243 Class A NEFTX C000018244 Class B NETBX 0000872649 S000006704 Loomis Sayles Research Fund C000018245 Class A LSRRX C000018246 Class B LSCBX C000018247 Class C LSCCX C000018248 Class Y LISRX 0000872649 S000006705 Loomis Sayles Small Cap Growth Fund C000018249 Institutional Class LSSIX C000018250 Retail Class LCGRX 0000872649 S000006706 Loomis Sayles Strategic Income Fund C000018251 Class A NEFZX C000018252 Class B NEZBX C000018253 Class C NECZX C000018254 Class Y NEZYX 497 1 d21464.htm

IXIS ADVISOR INCOME AND TAX FREE INCOME FUNDS

IXIS ADVISOR EQUITY FUNDS

 

Supplement dated June 11, 2007 to the IXIS Advisor Income and Tax Free Income Funds Statement of Additional Information – Part I , IXIS Advisor Equity Funds Statement of Additional Information – Part I and IXIS Advisor Funds Statement of Additional Information – Part II, each dated February 1, 2007, as may be revised and supplemented from time to time

 

Effective August 1, 2007, the name of the distributor of the Funds (the “Distributor”) will change from IXIS Asset Management Distributors, L.P. to Natixis Distributors, L.P., and all references to the Distributor will change as such. Also, effective August 1, 2007, the name of the adviser of the Funds (the “Adviser”) and the Advisory Administrator for the Loomis Sayles Core Plus Bond Fund and the Loomis Sayles Massachusetts Tax Free Income Fund (the “Advisory Administrator”) will change from IXIS Asset Management Advisors, L.P. to Natixis Asset Management Advisors, L.P., and all references to the Adviser and the Advisory Administrator will change as such.

 

Effective August 6, 2007, the name of the fund family will change from IXIS Advisor Funds to Natixis Funds. Thus, all references to IXIS Advisor Funds and www.ixisadvisorfunds.com are replaced with Natixis Funds and www.funds.natixis.com, respectively. Also, effective August 6, 2007, the names of the following Trusts will change, and all references to each respective Trust will be replaced, as shown below:

 

Old Trust Name

New Trust Name

IXIS Advisor Funds Trust I

Natixis Funds Trust I

IXIS Advisor Funds Trust II

Natixis Funds Trust II

 

*********

On June 1, 2007, the Board of Trustees of the IXIS Advisor Funds approved the termination of offering of Class B shares. No new accounts will be opened in Class B shares after July 30, 2007. No additional investments into Class B shares may be made after October 12, 2007, including investments by existing Class B shareholders. For Class B shares outstanding on October 12, 2007 and Class B shares acquired upon reinvestment of dividends, all Class B share attributes, including associated contingent deferred sales charge (“CDSC”) schedules, conversion features and distribution and shareholder service plan fees, will continue in effect.

 

IXIS Advisor Income and Tax Free Income Funds SAI – Part I

 

Effective July 1, 2007, the table regarding expense limits, in the sub-section “Advisory Fees” within the section “Fund Charges & Expenses” with respect to the Loomis Sayles Core Plus Bond Fund and Loomis Sayles Limited Term Government and Agency Fund is updated as follows:

 

Fund

 

Expense Limit

 

Date of Undertaking

Core Plus Bond Fund

 

 

 

July 1, 2007

Class A

 

1.00%

 

 

Class B

 

1.75%

 

 

Class C

 

1.75%

 

 

Class Y

 

0.75%

 

 

Limited Term Government and Agency Fund

 

 

 

July 1, 2007

Class A

 

0.95%

 

 

Class B

 

1.70%

 

 

Class C

 

1.70%

 

 

Class Y

 

0.70%

 

 

 

 

SP356-0607

 

 

1

 

 

 


LOOMIS SAYLES INSTITUTIONAL FUNDS

LOOMIS SAYLES RETAIL FUNDS

LOOMIS SAYLES HIGH INCOME OPPORTUNITIES FUND

LOOMIS SAYLES SECURITIZED ASSET FUND

 

Supplement dated June 11, 2007 to the Loomis Sayles Institutional Funds Statement of Additional Information, Loomis Sayles Retail Funds Statement of Additional Information and Loomis Sayles High Income Opportunities Fund and Loomis Sayles Securitized Asset Fund Statement of Additional Information, each dated February 1, 2007, as may be revised and supplemented from time to time

 

Effective August 1, 2007 the name of the distributor of the Funds (the “Distributor”) will change from IXIS Asset Management Distributors, L.P. to Natixis Distributors, L.P., and all references to the Distributor will change as such.

 

*********

 

Loomis Sayles Retail Funds SAI

 

Effective July 1, 2007, the table regarding advisory fees, in the sub-section “Advisory Agreements” within the section “Investment Advisory and Other Services” with respect to the Loomis Sayles Global Bond Fund is updated as follows:

 

Fund

 

Rate

Loomis Sayles Global Bond Fund

 

0.60%

0.50%

0.48%

of the first $1 billion

of the next $1 billion

thereafter

 

 

*********

 

Effective July 1, 2007, the table regarding expense limits, in the sub-section “Advisory Agreements” within the section “Investment Advisory and Other Services” with respect to the Loomis Sayles Bond Fund is updated as follows:

 

Fund

 

Expense Limit

 

Date of Undertaking

Loomis Sayles Bond Fund

 

 

 

July 1, 2007

Institutional Class

 

0.70%

 

 

Retail Class

 

0.95%

 

 

Admin Class

 

1.20%

 

 

 

 

*********

 

Effective June 1, 2007, the Loomis Sayles Value Fund is no longer a part of the Loomis Sayles Retail Funds Statement of Additional Information.

 

 

M-LSSP83-0607

 

 

 

 

 

 

 

 

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