Nationwide Variable Account 4 Updates JP Morgan Multi-Asset Choice NY Fund Docs
| Field | Detail |
|---|---|
| Company | Nationwide Variable Account 4 |
| Form Type | 497 |
| Filed Date | Mar 24, 2026 |
| Risk Level | low |
| Pages | 1 |
| Reading Time | 1 min |
| Sentiment | neutral |
Complexity: simple
Sentiment: neutral
Topics: variable-annuity, fund-update, disclosure, compliance
TL;DR
**Nationwide just updated its JP Morgan Multi-Asset Choice NY fund documents, keeping investors in the loop.**
AI Summary
Nationwide Variable Account 4, a variable annuity product, filed a 497 form on March 24, 2026, to update its definitive materials for the JP Morgan Multi-Asset Choice New York class. This filing, under File No. 333-240009, ensures that investors have the most current information about this specific investment option within the annuity. For investors, this matters because it confirms that the fund's disclosures are up-to-date, which is crucial for making informed decisions about their investment in the JP Morgan Multi-Asset Choice New York fund through Nationwide's variable annuity.
Why It Matters
This filing ensures investors in Nationwide Variable Account 4's JP Morgan Multi-Asset Choice New York fund have the latest official information, which is vital for transparency and informed decision-making.
Risk Assessment
Risk Level: low — This is a routine update to definitive materials, indicating no immediate new risks but rather ensuring compliance and transparency.
Analyst Insight
Investors holding or considering the JP Morgan Multi-Asset Choice New York fund through Nationwide Variable Account 4 should review the updated definitive materials to ensure they understand any changes or clarifications to the fund's operations or disclosures.
Key Numbers
- 2026-03-24 — Filing Date (Date the 497 form was filed and became effective)
- 333-240009 — File No. (Registration statement number for the offering)
- 0000843075 — CIK (Central Index Key for NATIONWIDE VARIABLE ACCOUNT 4)
Key Players & Entities
- NATIONWIDE VARIABLE ACCOUNT 4 (company) — the filer of the 497 form
- JP Morgan Multi-Asset Choice New York (company) — the specific class/contract within the variable account
- March 24, 2026 (date) — the filing and effectiveness date
- 333-240009 (dollar_amount) — the File No. for the registration statement
- 0000843075 (dollar_amount) — CIK for NATIONWIDE VARIABLE ACCOUNT 4
FAQ
What specific investment option is covered by this 497 filing from Nationwide Variable Account 4?
This 497 filing specifically covers the 'JP Morgan Multi-Asset Choice New York' class/contract (C000222213) within the NATIONWIDE VARIABLE ACCOUNT-4 (S000009060).
What is the purpose of a 497 filing for Nationwide Variable Account 4?
A 497 filing, in this context, is used to submit definitive materials, ensuring that investors have the most current and official information regarding the 'JP Morgan Multi-Asset Choice New York' fund offered through the variable annuity, as indicated by the filing date of March 24, 2026, and effectiveness date of March 24, 2026.
Filing Stats: 209 words · 1 min read · ~1 pages · Grade level 16.6 · Accepted 2026-03-24 07:51:37
Filing Documents
- d13290d497.htm (497) — 12KB
- 0001193125-26-120748.txt ( ) — 326KB
- nationwide-20260319.xsd (EX-101.SCH) — 15KB
- d13290d497_htm.xml (XML) — 11KB
- S000009060
- C000222213
From the Filing
JPMorgan Multi-Asset Choice New York (333-240009) Supplement dated March 24, 2026 to the following statutory prospectus(es): JPMorgan Multi-Asset Choice and JPMorgan Multi-Asset Choice New York dated May 1, 2025 This supplement updates certain information contained in your statutory prospectus. Please read and retain this supplement for future reference. On May 28, 2025, UBS AM (Americas) entered into a definitive agreement with O'Connor Alternative Investments, LLC, an indirect wholly owned subsidiary of Cantor Fitzgerald, L.P., pursuant to which O'Connor Alternative Investments, LLC will acquire UBS AM (Americas)'s O'Connor investment platform (the "Transaction"). At a meeting held on October 6, 2025, the Board of Trustees of the fund unanimously approved the new investment management agreement between the fund and O'Connor Alternative Investments, which was approved by the fund's shareholders on December 15, 2025. The Transaction is expected to close during the first quarter of 2026, subject to regulatory approvals and other customary closing conditions. As a result of this Transaction, effective April 1, 2026, the fund trust, name and Investment Adviser of the Credit Suisse Trust - Commodity Return Strategy Portfolio: Class 2 fund is changed to the following: Cantor Fitzgerald Variable Insurance Trust - Cantor Fitzgerald Commodity Return Strategy Portfolio: Class 2 Investment Advisor: O'Connor Alternative Investments, LLC PROS-1161 1