You may be using an older browser or your settings may not fully support our site. Run our browser test suite to find out. It only takes a few seconds.

Important Notices to Broker/Dealers

We are pleased to provide the First Investors Funds Important Notices to Broker/Dealers that we previously mailed to broker/dealers. Please call our Broker/Dealer Services Department at (800) 524-2803 if you have questions regarding a notice.

Cost Basis Reporting Information December 2011
Fund Merger Discussion December 2011
Fund Merger Reminder November 2011
Change of Custodian Bank October 2011
2011 Low Balance Mailing September 2011
Fund Merger September 2011
Dividend Rate Change June 2011
11/19/2010 Shareholders Meeting Information November 2010
Distributions November 2010
2010 Low Balance Mailing September 2010
Changes to First Investors Cash Management Fund Policies November 2009
Changes to Tax Exempt Bond Funds November 2009
2009 Low Balance Mailing August 2009
Online Access to Fund Accounts and Quarterly Statements July 2009
Changes to Single-State Tax Exempt Bond Funds March 2009
Changes to First Investors 403(b) Fund Accounts November 2008
First Investors Fund Closings July 2008
Planned Fund Closings & Shareholder Manual June 2008
Changes to First Investors 403(b) Fund Accounts March 2008
Fund Name Change February 2008
70 1/2 Required Minimum Distribution (RMD) November 2007
403(b) Mailing October 2007
Fund Merger Reminder July 2007
Fund Mergers June 2007
Fund Name Change and Business Continuity Plan May 2007
Business Contingency Plan Update Request April 2007
First Investors Broker/Dealer Services Department February 2007
Important Change Concerning First Investors Roth IRAs December 2006
First Investors International Fund June 2006
Important Change Concerning First Investors Traditional IRAs April 2006
NSCC Mutual Fund Profile II September 2005
Operational Policy and Procedure Change November 2004