Dreyfus Institutional Liquidity Funds

08/28/2026 | Press release | Distributed by Public on 08/28/2026 07:28

Prospectus by Investment Company (Form 497)

August 28, 2026

DREYFUS INSTITUTIONAL LIQUIDITY FUNDS
BNY Dreyfus Treasury and Agency Liquidity Money Market Fund

Supplement to Current Prospectus

Effective September 1, 2026, the fund's net asset value (NAV) will be generally calculated every hour on the hour from 8:00 a.m. to 5:00 p.m., Eastern time, each day the fund accepts purchase orders and redemption requests (each such time, the trading deadline for orders "in proper form"). An order in proper form received and accepted after 5:00 p.m. will be priced at the NAV first determined on the following business day and will begin to accrue dividends on such business day.

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Dreyfus Institutional Liquidity Funds published this content on August 28, 2026, and is solely responsible for the information contained herein. Distributed via EDGAR on August 28, 2026 at 13:28 UTC. If you believe the information included in the content is inaccurate or outdated and requires editing or removal, please contact us at [email protected]