Liquidation: DOMINI INVESTMENT TRUST
Form Type: 497
Filing Date: 2025-02-03
Corporate Action: Liquidation
Type: New
Accession Number: 000119312525018927
Filing Summary: Domini Investment Trust has announced the liquidation of the Domini International Opportunities Fund, with a projected liquidation date of March 21, 2025. Effective February 3, 2025, the Fund will stop accepting new share purchases and exchanges. Before liquidation, the Fund's assets will primarily be held in cash and short-term debt securities, which may hinder achieving investment objectives. Shareholders can redeem their shares until the liquidation date and may exchange them for other available Domini Funds. Automatic redemptions will occur at the close of business on the liquidation date, with proceeds equal to the net asset value post-deductions. Liquidation may have tax consequences for shareholders, treated as a redemption that may yield gains or losses. All references to the Fund in the Prospectus and Statement of Additional Information will be removed following the liquidation.
Additional details:
Liquidation Date: 2025-03-21
Effective Date Stopping New Purchases: 2025-02-03
Shareholder Redeem Until: 2025-03-21
Tax Implications: Potential income tax liabilities for shareholders due to liquidation.
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