Liquidation: BNY MELLON FUNDS TRUST
Form Type: 497
Filing Date: 2025-06-11
Corporate Action: Liquidation
Type: New
Accession Number: 000174177325002491
Filing Summary: The Board of Trustees of BNY Mellon Funds Trust has approved the liquidation of BNY Mellon Pennsylvania Intermediate Municipal Bond Fund, effective on or about August 11, 2025. Prior to this date, the Fund’s portfolio securities will be sold, and the Fund may cease to pursue its investment objectives. Shareholders may experience taxable events due to this liquidation. New accounts will not be accepted effective July 15, 2025. However, the Fund will allow subsequent investments until August 1, 2025. After the Liquidation Date, checks presented for payment will not be honored. Shareholders redeeming shares before the Liquidation Date will receive net asset value per share. Shareholders can exchange their shares for other funds in the Trust before operations cease. On the Liquidation Date, remaining shareholders will receive a distribution equivalent to the net asset value of their shares.
Additional details:
Liquidation Date: 2025-08-11
Closure Date For New Investments: 2025-07-15
Last Investment Date: 2025-08-01
Form Type: 497
Filing Date: 2025-06-11
Corporate Action: Liquidation
Type: New
Accession Number: 000174177325002492
Filing Summary: The Board of Trustees of BNY Mellon Funds Trust has approved the liquidation of BNY Mellon Short-Term U.S. Government Securities Fund, effective on or about August 11, 2025. Prior to this date, the Fund's portfolio securities will be sold, and the Fund may cease its investment objectives. Shareholders may face taxable events. Effective July 15, 2025, the Fund will be closed to new investments but will accept subsequent investments until August 1, 2025, with exceptions for certain retirement accounts. After the Liquidation Date, checks for payment will not be honored, and shares redeemed before this date will be processed at the applicable net asset value. Shareholders are encouraged to explore reinvestment opportunities for liquidation proceeds, with specific provisions for shares held in retirement accounts. BNYIA Retirement Accounts will have shares exchanged for Dreyfus Government Cash Management shares.
Additional details:
Liquidation Date: 2025-08-11
Closing Date: 2025-07-15
Last Investment Date: 2025-08-01
Contact Number: 1-800-373-9387
Form Type: 497
Filing Date: 2025-06-11
Corporate Action: Liquidation
Type: New
Accession Number: 000174177325002494
Filing Summary: The Board of Trustees of BNY Mellon Funds Trust has approved the liquidation of BNY Mellon New York Intermediate Tax-Exempt Bond Fund, effective on or about August 11, 2025. Prior to the Liquidation Date, the Fund's portfolio securities will be sold, and the Fund may stop pursuing its investment objectives and policies at the discretion of Fund management. This liquidation may trigger taxable events for shareholders subject to federal income tax. Effective on or about July 15, 2025, the Fund will be closed to investments for new accounts, although subsequent investments will be accepted until August 1, 2025. Fund shareholders can redeem their shares at the applicable net asset value until the Liquidation Date and may exchange their shares for other funds in the Trust. Those remaining until the Liquidation Date will receive a liquidation distribution equal to their shares' net asset value.
Additional details:
Liquidation Date: 2025-08-11
Investment Closure Date: 2025-07-15
Subsequent Investment Cutoff: 2025-08-01
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