-----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, BLPZxo5UB0p5F5gYJZq+e76RG+ekIfeT5NsfnXE+tg56J9kRZQmrmYCTvAhlHH6H lU7dN6GbgYXXOlHKZnQ2mQ== 0001193125-07-101290.txt : 20070503 0001193125-07-101290.hdr.sgml : 20070503 20070503155454 ACCESSION NUMBER: 0001193125-07-101290 CONFORMED SUBMISSION TYPE: 497 PUBLIC DOCUMENT COUNT: 1 FILED AS OF DATE: 20070503 DATE AS OF CHANGE: 20070503 EFFECTIVENESS DATE: 20070503 FILER: COMPANY DATA: COMPANY CONFORMED NAME: TIMOTHY PLAN CENTRAL INDEX KEY: 0000916490 IRS NUMBER: 597016828 STATE OF INCORPORATION: DE FISCAL YEAR END: 1231 FILING VALUES: FORM TYPE: 497 SEC ACT: 1933 Act SEC FILE NUMBER: 033-73248 FILM NUMBER: 07815485 BUSINESS ADDRESS: STREET 1: 1055 MAITLAND CENTER COMMONS CITY: MAITLAND STATE: FL ZIP: 32759 BUSINESS PHONE: 4076441986 MAIL ADDRESS: STREET 1: 1055 MAITLAND CENTER COMMONS CITY: MAITLAND STATE: FL ZIP: 32759 0000916490 S000004479 Timothy Small-Cap Value Fund C000012330 Timothy Small-Cap Value Fund Class A TPLNX C000012331 Timothy Small-Cap Value Fund Class B TIMBX C000012332 Timothy Small-Cap Value Fund Class C TSVCX 0000916490 S000004480 Timothy Large/Mip-Cap Value Fund C000012333 Timothy Large/Mip-Cap Value Fund Class A TLVAX C000012334 Timothy Large/Mip-Cap Value Fund Class B TLVBX C000012335 Timothy Large/Mip-Cap Value Fund Class C TLVCX 0000916490 S000004481 Timothy Fixed Income Fund C000012336 Timothy Fixed Income Fund Class A TFIAX C000012337 Timothy Fixed Income Fund Class B TFIBX C000012338 Timothy Fixed Income Fund Class C TFICX 0000916490 S000004482 Timothy Aggressive Growth Fund C000012339 Timothy Aggressive Growth Fund Class A TAAGX C000012340 Timothy Aggressive Growth Fund Class B TBAGX C000012341 Timothy Aggressive Growth Fund Class C TCAGX 0000916490 S000004483 Timothy Large/Mip-Cap Growth Fund C000012342 Timothy Large/Mip-Cap Growth Fund Class A TLGAX C000012343 Timothy Large/Mip-Cap Growth Fund Class B TLGBX C000012344 Timothy Large/Mip-Cap Growth Fund Class C TLGCX 0000916490 S000004484 Timothy Strategic Growth Fund C000012345 Timothy Strategic Growth Fund Class A TSGAX C000012346 Timothy Strategic Growth Fund Class B TSGBX C000012347 Timothy Strategic Growth Fund Class C TSGCX 0000916490 S000004485 Timothy Conservative Growth Fund C000012348 Timothy Conservative Growth Fund Class A TCGAX C000012349 Timothy Conservative Growth Fund Class B TCGBX C000012350 Timothy Conservative Growth Fund Class C TCVCX 0000916490 S000004486 Timothy Money Market Fund C000012351 Timothy Money Market Fund TPMXX 0000916490 S000004487 Timothy Patriot Fund C000012352 Timothy Patriot Fund Class A TPFAX C000012353 Timothy Patriot Fund Class C TPFCX 0000916490 S000011343 Timothy Small Cap Variable C000031435 Timothy Small Cap Variable 0000916490 S000011344 Timothy Conservative Variable C000031436 Timothy Conservative Variable 0000916490 S000011345 Timothy Strategic Variable C000031437 Timothy Strategic Variable 0000916490 S000017790 Timothy Plan International Fund C000049121 Timothy Plan International Fund 0000916490 S000017791 Timothy Plan High Yield Fund C000049122 Timothy Plan High Yield Fund 497 1 d497.htm TIMOTHY PLAN FAMILY OF FUNDS Timothy Plan Family of Funds

SUPPLEMENT

Dated May 3, 2007

to the

Timothy Plan (the “Trust”)

FAMILY OF FUNDS

PROSPECTUS

DATED MAY 1, 2007

This Prospectus offers the following series of the Trust (the “Traditional Funds”):

 

TIMOTHY PLAN AGGRESSIVE GROWTH FUND       TIMOTHY PLAN LARGE/MID CAP VALUE FUND
TIMOTHY PLAN INTERNATIONAL FUND       TIMOTHY PLAN FIXED INCOME FUND
TIMOTHY PLAN LARGE/MID CAP GROWTH FUND       TIMOTHY PLAN HIGH YIELD BOND FUND
TIMOTHY PLAN SMALL CAP VALUE FUND       TIMOTHY PLAN MONEY MARKET FUND

And the following series of the Trust that invest in certain Traditional Funds (collectively, the “Asset Allocation Funds”):

TIMOTHY PLAN STRATEGIC GROWTH FUND

TIMOTHY PLAN CONSERVATIVE GROWTH FUND

The Prospectus of the Timothy Plan Family of Funds is amended as follows:

The Section of the prospectus entitled Class A Shares, containing tables describing the sales charges applicable to purchases of Class A shares of the Funds, beginning on page 20 of the Prospectus, is amended by adding the following language and additional tables:

CLASS A SHARES

Class A shares are offered at their public offering price, which is net asset value per Class A share plus the applicable sales charge. The sales charge varies, depending on which Fund you choose and how much you invest. There are no sales charges on reinvested distributions. Effective June 1, 2007, for all Funds except the Fixed Income Fund, High Yield Bond Fund, and the Money Market Fund, the following sales charges(1) apply:

 

Amount Invested

  

As a % of

Offering Price

    As a % of
Amount Invested
    Dealer Concession as a
Percentage of Offering Price
 

up to $50,000

   5.50 %   5.82 %   5.00 %

$50,000 to 99,999

   4.50 %   4.71 %   4.00 %

$100,000 to 249,999

   3.50 %   3.63 %   3.00 %

$250,000 to 499,999

   2.50 %   2.56 %   2.00 %

$500,000 to 999,999

   1.50 %   1.52 %   1.00 %

$1,000,000 and up (2)

   0.00 %   0.00 %   0.00 %

Effective June 1, 2007, the following sales charges(1) apply to the Fixed Income Fund and High Yield Bond Fund:

 

Amount Invested

  

As a % of

Offering Price

    As a % of
Amount Invested
    Dealer Concession as a
Percentage of Offering Price
 

up to $50,000

   4.50 %   4.71 %   4.00 %

$50,000 to $ 99,999

   3.75 %   3.90 %   3.25 %

$100,000 to $249,999

   2.75 %   2.83 %   2.25 %

$250,000 to $499,999

   2.00 %   2.04 %   1.50 %

$500,000 to $749,999

   1.25 %   1.27 %   0.75 %

$750,000 to $999,999

   1.00 %   1.01 %   0.50 %

$1,000,000 and up (3)

   0.00 %   0.00 %   0.00 %

(1) There are no sales charges on exchanges of A class shares of a Timothy Plan Fund for Class A shares of any other Timothy Plan Fund. There are no sales charges for the Money Market Fund.


(2) The Trust’s Distributor, Timothy Partners, Ltd., will pay a finders fee of 1% of the proceeds invested to brokers that purchase shares of the Funds in amounts from $1 million to $2 million, 0.75% on the next $1 million, 0.50% on the next $2 million, and 0.25% on all mounts in excess of $5 million. In such cases, those purchases will be subject to a contingent deferred sales charge of 1% for 18 months after the date of purchase.
(3) The Trust’s Distributor, Timothy Partners, Ltd., will pay a finders fee of 0.50% of the proceeds invested to brokers that purchase shares of the Funds in amounts from $1 million to $4 million, and 0.25% on all mounts in excess of $4 million. In such cases, those purchases will be subject to a contingent deferred sales charge of 1% for 18 months after the date of purchase.

From May 1, 2007 through close of business on May 31, 2007, for all Funds except the Fixed Income Fund, High Yield Bond Fund, and the Money Market Fund, the following sales charges(1) apply:

 

Amount Invested

  

As a % of

Offering Price

    As a % of
Amount Invested
    Dealer Concession as a
Percentage of Offering Price
 

up to $50,000

   5.25 %   5.54 %   5.00 %

$50,000 to 99,999

   4.25 %   4.44 %   4.00 %

$100,000 to 249,999

   3.25 %   3.34 %   3.00 %

$250,000 to 499,999

   2.00 %   2.04 %   1.75 %

$500,000 to 999,999

   1.00 %   1.01 %   0.75 %

$1,000,000 and up

   0.00 %   0.00 %   0.00 %

Effective June 1, 2007, the following sales charges(1) apply to the Fixed Income Fund and High Yield Bond Fund:

 

Amount Invested

  

As a % of

Offering Price

    As a % of
Amount Invested
    Dealer Concession as a
Percentage of Offering Price
 

up to $50,000

   4.25 %   4.44 %   4.00 %

$50,000 to $ 99,999

   3.50 %   3.63 %   3.25 %

$100,000 to $249,999

   2.50 %   2.56 %   2.25 %

$250,000 to $499,999

   1.50 %   1.52 %   1.25 %

$500,000 to $999,999

   0.75 %   0.76 %   0.50 %

$1,000,000 and up

   0.00 %   0.00 %   0.00 %

All portions of the Prospectus not specifically amended by this supplement shall remain in full force and effect.

 

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