Supplement dated June 6, 2005 to the Statements of Additional Information (SAI) of the Funds listed below. The Bank of New York (BNY), located at One Wall Street, New York, New York 10286, will serve as custodian for each Fund's portfolio securities and cash, and in that capacity will maintain certain financial and accounting books and records pursuant to an agreement with the applicable Fund, beginning on the dates specified below. These effective dates may vary for any Fund if circumstances require. Subcustodians will continue to provide custodial services for each Fund's foreign assets held outside the United States. Name of Fund Effective Date SAI Date Cash Accumulation Trust November 24, 2004 Liquid Assets Fund September 12, 2005 National Money Market Fund September 12, 2005 Dryden California Municipal Fund October 31, 2004 California Income Series September 12, 2005 California Series September 12, 2005 Dryden Global Total Return Fund, Inc. June 6, 2005 April 7, 2004 Dryden Government Securities Trust March 7, 2005 Money Market Series June 6, 2005 Dryden High Yield Fund, Inc. July 25, 2005 March 25, 2005 Dryden Municipal Series Fund October 31, 2004 Florida Series September 12, 2005 New Jersey Series September 12, 2005 New York Series September 12, 2005 Pennsylvania Series September 12, 2005 Dryden Government Income Fund, Inc. July 25, 2005 April 28, 2005 Dryden Municipal Bond Fund June 29, 2004 High Income Series June 6, 2005 Insured Series June 6, 2005 Dryden Short-Term Bond Fund, Inc. April 12, 2005 Dryden Short-Term Corporate Bond Fund June 6, 2005 Dryden Ultra Short Bond Fund June 6, 2005 Dryden Core Investment Fund March 29, 2005 Taxable Money Market Series June 6, 2005 Dryden Index Series Fund November 29, 2004 Dryden Stock Index Fund June 27, 2005 Dryden National Municipals Fund, Inc. September 12, 2005 April 8, 2005 Dryden Short-Term Bond Fund, Inc. April 12, 2005 Dryden Ultra Short Bond Fund June 6, 2005 Dryden Small-Cap Core Equity Fund, Inc. June 27, 2005 February 23, 2005 Dryden Tax-Managed Funds February 23, 2005 Dryden Large Cap Core Equity Fund June 27, 2005 Dryden Total Return Bond Fund, Inc. July 25, 2005 April 14, 2005 The High Yield Income Fund, Inc. June 6, 2005 N/a MoneyMart Assets, Inc. June 6, 2005 February 25, 2005 Jennison 20/20 Focus Fund June 27, 2005 March 29, 2005 Jennison Blend Fund, Inc. September 12, 2005 March 23, 2005 Jennison Natural Resources Fund, Inc. June 27, 2005 July 28, 2004 Jennison Sector Funds, Inc. March 18, 2005 Jennison Financial Services Fund June 27, 2005 Jennison Health Sciences Fund June 27, 2005 Jennison Technology Fund June 27, 2005 Jennison Utility Fund June 27, 2005 Jennison Small Company Fund, Inc. June 27, 2005 November 30, 2004 Jennison U.S. Emerging Growth Fund, Inc. June 27, 2005 February 24, 2005 Jennison Value Fund June 27, 2005 February 24, 2005 Prudential Institutional Liquidity Portfolio, Inc. May 27, 2005 Institutional Money Market Series June 6, 2005 The Prudential Investment Portfolios, Inc. November 23, 2004 Dryden Active Allocation Fund June 6, 2005 Jennison Equity Opportunity Fund June 27, 2005 Jennison Growth Fund June 27, 2005 JennisonDryden Asset Allocation Funds: JennisonDryden Conservative Allocation Fund July 25, 2005 JennisonDryden Growth Allocation Fund July 25, 2005 JennisonDryden Moderate Allocation Fund July 25, 2005 Prudential World Fund, Inc. February 24, 2005 Dryden International Equity Fund June 6, 2005 Jennison Global Growth Fund June 6, 2005 Strategic Partners Mutual Funds, Inc. March 1, 2005 Strategic Partners Money Market Fund September 12, 2005 MF2005C10