Sit Mutual Funds Logo Stacked

Publications

Please review detailed information on the Sit Funds to assist in selecting the investments most suitable for your personal financial objectives and situation.

Bond FundsMN Tax-Free
Income
Quality
Income
Tax-Free
Income
U.S. Government
Securities
Annual Report
3/31/25
icon-pdf
Financial Statements & Other Information
3/31/25
icon-pdf
icon-pdf
icon-pdf
icon-pdf
Form N-CSR
3/31/25
icon-pdf
icon-pdf
icon-pdf
icon-pdf
Semi-Annual Report
9/30/24
icon-pdf
Financial Statements & Other Information
9/30/24
icon-pdf
icon-pdf
icon-pdf
icon-pdf
Form N-CSR
9/30/24
icon-pdf
icon-pdf
icon-pdf
icon-pdf
Portfolio Holdings
3/31/25
icon-pdf
icon-pdf
icon-pdf
icon-pdf
Portfolio Holdings
12/31/24
icon-pdf
icon-pdf
icon-pdf
icon-pdf
Portfolio Holdings
9/30/24
icon-pdf
icon-pdf
icon-pdf
icon-pdf
Portfolio Holdings
6/30/24
icon-pdf
icon-pdf
icon-pdf
icon-pdf
Fact Sheets
6/30/25
icon-pdf
icon-pdf
icon-pdf
icon-pdf
Summary Prospectus
8/1/25
icon-pdf
icon-pdf
icon-pdf
icon-pdf
Statutory Prospectus
8/1/25
icon-pdf
icon-pdf
icon-pdf
icon-pdf
Statement of Additional Information
8/1/25
icon-pdf
icon-pdf
icon-pdf
icon-pdf
Proxy Voting Records
7/1/23 to 6/30/24

Fact Sheets: The fact sheets are a summary of each Fund’s objective and strategy, performance, portfolio characteristics and top holdings.

Annual and Semi-Annual Reports: Each Fund has a separate Annual and Semi-Annual Report, which are tailored summaries that highlight key information deemed important for investors to assess and monitor their mutual fund investment.  Each Sit Stock Fund issues an Annual Report as of its June 30 fiscal year end, and a Semi-Annual Report as of December 31. Each Sit Bond Fund issues an Annual Report as of its March 31 fiscal year end, and a Semi-Annual Report as of September 30. Unlike Annual Reports, the Semi-Annual Reports are not subject to audit review.

Financial Statements and Other Information: This document is a companion document to the Annual and to the Semi-Annual Report, and includes fund financial statements, portfolio holdings, and financial highlights.

Form N-CSR and Form N-CSRS: These forms are filed with the SEC and contain each Fund’s Annual or Semi-Annual Report, the Financial Statements and Other Information document, as well as additional information such as renumeration paid to Fund directors, the basis of board approval of investment management agreements between the Fund and its Investment Adviser, and various certifications. The Sit Stock Funds file a combined Form N-CSR as of its June 30 fiscal year end, and a combined Form N-CSRS as of December 31. The Sit Bond Funds file a combined Form N-CSR as of its March 31 fiscal year end, and Form N-CSRS as of September 30.

Statutory Prospectus: The Statutory Prospectus describes Funds’ investment objectives and strategies, investment risks, fees and expenses, and other information such as the background of Fund managers and the investment adviser and how to buy and sell shares of the Funds. It is designed to provide investors with comprehensive information needed to make an informed decision about investing in a mutual fund. The Sit Stock Funds file a combined Stock Funds’ Statutory Prospectus that is updated annually, every November 1st.  The Sit Bond Funds file a combined Bond Funds’ Statutory Prospectus that is updated annually, every August 1st.

Summary Prospectus: Each Fund has a separate Summary Prospectus which is a condensed version of the Statutory Prospectus. Summary Prospectuses highlight key information about the mutual fund, such as the Fund’s investment objective and strategy, risks, fees and expenses, and historical performance.

Statement of Additional Information (SAI): The SAI is a companion document to the Statutory Prospectus, and provides an even more detailed look at the Funds, including information such as additional investment restrictions, policies and risks.

Portfolio Holdings: This document is a complete listing of all investments held in each Fund at the most recent quarter-end, including names of issuers, number of shares held, and fair market value of shares.

Proxy Voting Records: Each Fund reports its proxy voting records on an annual basis, for each 12-month period from July 1 through June 30.

Stock FundsBalancedDeveloping
Markets
Growth
Dividend
Growth
ESG
Growth
Global
Dividend
Growth
International
Growth
Large
Cap
Growth
Mid
Cap
Growth
Small
Cap
Dividend
Growth
Small
Cap
Growth
Semi-Annual Report
12/31/24
icon-pdf
icon-pdf
icon-pdf
icon-pdf
icon-pdf
icon-pdf
Financial Statements & Other Information
12/31/24
icon-pdf
icon-pdf
icon-pdf
icon-pdf
icon-pdf
icon-pdf
icon-pdf
icon-pdf
icon-pdf
icon-pdf
Form N-CSR
12/31/24
icon-pdf
icon-pdf
icon-pdf
icon-pdf
icon-pdf
icon-pdf
icon-pdf
icon-pdf
icon-pdf
icon-pdf
Annual Report
6/30/24
icon-pdf
icon-pdf
icon-pdf
icon-pdf
icon-pdf
icon-pdf
Financial Statements & Other Information
6/30/24
icon-pdf
icon-pdf
icon-pdf
icon-pdf
icon-pdf
icon-pdf
icon-pdf
icon-pdf
icon-pdf
icon-pdf
Form N-CSR
6/30/24
icon-pdf
icon-pdf
icon-pdf
icon-pdf
icon-pdf
icon-pdf
icon-pdf
icon-pdf
icon-pdf
icon-pdf
Fund Portfolio Holdings
3/31/25
icon-pdf
icon-pdf
icon-pdf
icon-pdf
icon-pdf
icon-pdf
icon-pdf
icon-pdf
icon-pdf
icon-pdf
Fund Portfolio Holdings
12/31/24
icon-pdf
icon-pdf
icon-pdf
icon-pdf
icon-pdf
icon-pdf
icon-pdf
icon-pdf
icon-pdf
icon-pdf
Fund Portfolio Holdings
9/30/24
icon-pdf
icon-pdf
icon-pdf
icon-pdf
icon-pdf
icon-pdf
icon-pdf
icon-pdf
icon-pdf
icon-pdf
Fund Portfolio Holdings
6/30/24
icon-pdf
icon-pdf
icon-pdf
icon-pdf
icon-pdf
icon-pdf
icon-pdf
icon-pdf
icon-pdf
icon-pdf
Fact Sheets
6/30/25
icon-pdf
icon-pdf
icon-pdf
icon-pdf
icon-pdf
icon-pdf
icon-pdf
icon-pdf
icon-pdf
icon-pdf
Summary Prospectus
11/1/24,
(Small Cap Dividend Growth, Supplemented 3/1/25) (Balanced & Large Cap Growth, Supplemented 5/1/25)
icon-pdf
icon-pdf
icon-pdf
icon-pdf
icon-pdf
icon-pdf
icon-pdf
icon-pdf
icon-pdf
icon-pdf
Statutory Prospectus
11/1/24,
Supplemented 3/1/25 & 5/1/25
icon-pdf
icon-pdf
icon-pdf
icon-pdf
icon-pdf
icon-pdf
icon-pdf
icon-pdf
icon-pdf
icon-pdf
Statement of Additional Information
11/1/24,
Supplemented 3/1/25 & 5/1/25
icon-pdf
icon-pdf
icon-pdf
icon-pdf
icon-pdf
icon-pdf
icon-pdf
icon-pdf
icon-pdf
icon-pdf
Proxy Voting Records
7/1/23 to 6/30/24










Carefully consider the Fund’s investment objectives, risks, charges and expenses before investing. The prospectus contains this and other important Fund information and may be obtained by calling Sit Mutual Funds at 1-800-332-5580 or by downloading them from the Documents page. Read the prospectus carefully before investing. Investment return and principal value of an investment will fluctuate so that an investor’s shares when redeemed may be worth more or less than their original cost.

The content herein is for informational purposes only without regard to any particular user’s investment objectives, risk tolerances or financial situation and does not constitute investment advice, nor should it be considered a solicitation or offering to sell securities or an interest in any fund.

Opinions and statements of financial market trends that are based on current market conditions constitute our judgment and are subject to change without notice. We believe the information provided here is reliable but should not be assumed to be accurate or complete. The views and strategies described may not be suitable for all investors, and readers should not rely on this publication as their sole source of investment information.

©2025 Sit Investment Associates. All Rights Reserved.

the Sit family chop