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Prospectuses

 
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Related Links

 

Download prospectus information, statements of additional information (SAI), annual and semiannual reports for Northern Funds by clicking on the corresponding links below. All of the documents on this page are in PDF files. To view PDF files you need the free Adobe Acrobat Reader installed on your computer if it is not currently installed.

Equity Funds Prospectuses, Equity Index Funds Prospectuses, Global Tactical Asset Allocation Fund Prospectus, Multi-Manager Funds Prospectuses, Fixed Income Funds Prospectuses, Tax-Exempt Fixed Income Funds Prospectuses, Money Market Funds Prospectuses, XBRL Files*, Annual and Semiannual Reports

Equity Funds

Fund Summary
Prospectus
Prospectus Statement of
Additional
Information
Income Equity 7/31/2014 7/31/2014 7/31/2014
International Equity
7/31/2014 7/31/2014 7/31/2014
Large Cap Core 7/31/2014 7/31/2014 7/31/2014
Large Cap Equity
7/31/2014 7/31/2014 7/31/2014
Large Cap Growth
7/31/2014 7/31/2014 7/31/2014
Large Cap Value 7/31/2014 7/31/2014 7/31/2014
Small Cap Core 7/31/2014 7/31/2014 7/31/2014
Small Cap Value 7/31/2014 7/31/2014 7/31/2014
Technology 7/31/2014 7/31/2014 7/31/2014

Equity Index Funds

Fund Summary
Prospectus
Prospectus Statement of
Additional
Information
Emerging Markets Equity Index         7/31/2014 7/31/2014 7/31/2014
Global Real Estate Index 7/31/2014 7/31/2014 7/31/2014
Global Sustainability Index 7/31/2014 7/31/2014 7/31/2014
International Equity Index 7/31/2014 7/31/2014 7/31/2014
Mid Cap Index 7/31/2014 7/31/2014 7/31/2014
Small Cap Index 7/31/2014 7/31/2014 7/31/2014
Stock Index 7/31/2014 7/31/2014 7/31/2014

Global Tactical Asset Allocation Fund

Fund Summary
Prospectus
Prospectus Statement of
Additional
Information
Global Tactical Asset
Allocation
7/31/2014 7/31/2014 7/31/2014

Multi-Manager Funds

Fund Summary
Prospectus
Prospectus Statement of
Additional
Information
Equity Funds  
Multi-Manager Emerging Markets Equity 7/31/2014 7/31/2014 7/31/2014
Multi-Manager Global Listed Infrastructure 7/31/2014 7/31/2014 7/31/2014
Multi-Manager Global Real Estate 7/31/2014 7/31/2014 7/31/2014
Multi-Manager International Equity 7/31/2014 7/31/2014 7/31/2014
Multi-Manager Large Cap 7/31/2014 7/31/2014 7/31/2014
Multi-Manager Mid Cap 7/31/2014 7/31/2014 7/31/2014
Multi-Manager Small Cap 7/31/2014 7/31/2014 7/31/2014
Fixed Income Funds  
Multi-Manager Emerging Markets Debt Opportunity 7/31/2014 7/31/2014 7/31/2014
Multi-Manager High Yield Opportunity 7/31/2014 7/31/2014 7/31/2014

Fixed Income Funds

Fund Summary
Prospectus
Prospectus Statement of
Additional
Information
Bond Index 7/31/2014 7/31/2014 7/31/2014
Core Bond 7/31/2014 7/31/2014 7/31/2014
Fixed Income 7/31/2014 7/31/2014 7/31/2014
High Yield Fixed Income 7/31/2014 7/31/2014 7/31/2014
Short Bond 7/31/2014 7/31/2014 7/31/2014
Short-Intermediate U.S. Government 7/31/2014 7/31/2014 7/31/2014

Tax-Advantaged Ultra-Short
Fixed Income

7/31/2014 7/31/2014 7/31/2014
Ultra-Short Fixed Income 7/31/2014 7/31/2014 7/31/2014
U.S. Government 7/31/2014 7/31/2014 7/31/2014
U.S. Treasury Index 7/31/2014 7/31/2014 7/31/2014

Tax-Exempt Fixed Income Funds

Fund Summary
Prospectus
Prospectus Statement of Additional Information
Arizona Tax-Exempt 7/31/2014 7/31/2014 7/31/2014
California Intermediate Tax-Exempt    7/31/2014 7/31/2014 7/31/2014
California Tax-Exempt 7/31/2014 7/31/2014 7/31/2014
High Yield Municipal 7/31/2014 7/31/2014 7/31/2014
Intermediate Tax-Exempt 7/31/2014 7/31/2014 7/31/2014
Short-Intermediate Tax-Exempt 7/31/2014 7/31/2014 7/31/2014
Tax-Exempt 7/31/2014 7/31/2014 7/31/2014

Money Market Funds

Fund Summary
Prospectus
Prospectus Statement of Additional Information
California Municipal Money Market 7/31/2014 7/31/2014 7/31/2014
Money Market 7/31/2014 7/31/2014 7/31/2014
Municipal Money Market 7/31/2014 7/31/2014 7/31/2014
U.S. Government Money Market 7/31/2014 7/31/2014 7/31/2014
U.S. Government Select Money Market 7/31/2014 7/31/2014 7/31/2014

*Certain of our SEC filings, beginning with our Prospectuses for the period ending July 31, 2011, include exhibits containing our financial statements tagged using eXtensible Business Reporting Language (XBRL). The XBRL exhibits consist of files that are formatted as unprocessed data which is readable only by means of an XBRL viewer. The SEC's Web site at www.sec.gov currently provides links to such viewers. You can access Northern Funds' XBRL filings with the SEC by linking directly to EDGAR, a database maintained by the SEC.

 

Annual Reports

Equity Funds Annual Report
as of March 31, 2014

Equity Index Funds Annual Report
as of March 31, 2014

Global Tactical Asset Allocation Fund Annual Report
as of March 31, 2014

Multi-Manager Funds Annual Report
as of March 31, 2014

Fixed Income Funds Annual Report
as of March 31, 2014

Fixed Income Index Funds Annual Report
as of March 31, 2014

Tax-Exempt Fixed Income Funds Annual Report
as of March 31, 2014

Money Market Funds Annual Report
as of March 31, 2014

 

Semiannual Reports

Equity Funds Semiannual Report
as of September 30, 2014

Equity Index Funds Semiannual Report
as of September 30, 2014

Global Tactical Asset Allocation Fund Semiannual Report
as of September 30, 2014

Multi-Manager Funds Semiannual Report
as of September 30, 2014

Fixed Income Funds Semiannual Report
as of September 30, 2014

Fixed Income Index Funds Semiannual Report
as of September 30, 2014

Tax-Exempt Fixed Income Funds Semiannual Report
as of September 30, 2014

Money Market Funds Semiannual Report
as of September 30, 2014

FUND MERGER

Prospectus/Information Statement
as of October 31, 2014 (PDF)

Statement of Additional Information
as of October 31, 2014 (PDF)

 

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Not FDIC insured | May lose value | No bank guarantee

An investment in Northern Funds is not insured by the FDIC, and is not a deposit or obligation of, or guaranteed by The Northern Trust Company or any affiliate. An investment in Northern Funds involves risks, including possible loss of principal.

Please carefully read the prospectus and summary prospectus and consider the investment objectives, risks, charges and expenses of Northern Funds before investing. Call 800-595-9111 to obtain a prospectus and summary prospectus, which contains this and other information about the funds.

Shares of the Northern Funds are offered only by a current Prospectus and are intended solely for persons to whom shares of US registered funds may be sold. This site shall not constitute an offer to sell or the solicitation of an offer to buy nor shall there be any sale of shares of the Northern Funds in any jurisdiction in which such offer, solicitation or sale would be unlawful.

©2014 Northern Funds | Northern Funds are distributed by Northern Funds Distributors, LLC, not affiliated with Northern Trust.