Choose an Asset Class:
|View: With Sales Charge Without
Total Return as of: Month End Quarter End as of 3/31/14
|YTD as of 4/17/14 (%)ab||1 YR
|Rochester® AMT-Free Municipal Fund 1 2||OPTAX||A||10/27/76||7.65||-5.96||9.92||12.27||2.02||5.57||0.94/0.84||3/31/14|
|Rochester® AMT-Free New York Municipal Fund 3 4 5 1||OPNYX||A||8/16/84||7.11||-10.33||6.25||9.68||3.51||6.47||0.99/0.88||3/31/14|
|Rochester® Arizona Municipal Fund 6 7||ORAZX||A||10/10/06||6.40||-10.63||5.47||10.36||—||1.67||1.10/0.90||3/31/14|
|Rochester® California Municipal Fund 6 4 8||OPCAX||A||11/3/88||7.52||-5.14||9.05||12.56||3.02||5.39||0.91/0.82||3/31/14|
|Rochester® Fund Municipals9 6 10||RMUNX||A||5/15/86||6.62||-10.89||5.43||9.17||3.69||6.10||0.87/0.76||3/31/14|
|Rochester® High Yield Municipal Fund 11 6 12 d||ORNAX||A||10/1/93||7.77||-6.94||8.44||13.15||1.51||3.90||0.99/0.74||3/31/14|
|Rochester® Intermediate Term Municipal Fund 6 13||ORRWX||A||12/6/10||3.98||-2.98||3.56||—||—||3.00||1.07/1.00||3/31/14|
|Rochester® Limited Term California Municipal Fund 6 4 14||OLCAX||A||2/25/04||3.72||-2.22||4.13||5.97||3.99||4.14||0.86/0.85||3/31/14|
|Rochester® Limited Term Municipal Fund 6 15 16||OPITX||A||11/11/86||3.62||-3.82||4.09||5.87||3.73||5.54||0.81/0.80||3/31/14|
|Rochester® Limited Term New York Municipal Fund17 6 18||LTNYX||A||9/18/91||3.50||-6.27||2.57||5.00||3.34||4.84||0.81/0.80||3/31/14|
|Rochester® Maryland Municipal Fund 6 19||ORMDX||A||10/10/06||7.26||-12.15||4.13||9.41||—||1.59||1.15/0.92||3/31/14|
|Rochester® Massachusetts Municipal Fund 20 6||ORMAX||A||7/18/06||6.19||-9.14||5.10||9.27||—||1.36||1.36/1.16||3/31/14|
|Rochester® Michigan Municipal Fund 6 19||ORMIX||A||6/21/06||5.53||-11.39||4.21||8.73||—||-0.27||1.13/0.91||3/31/14|
|Rochester® Minnesota Municipal Fund 6 19||OPAMX||A||11/7/06||6.44||-4.42||6.71||9.65||—||3.33||1.01/0.83||3/31/14|
|Rochester® New Jersey Municipal Fund 6 4 21||ONJAX||A||3/1/94||9.39||-7.11||5.73||10.35||3.62||4.49||0.97/0.91||3/31/14|
|Rochester® North Carolina Municipal Fund 20 6||OPNCX||A||10/10/06||6.73||-10.50||4.88||9.49||—||1.01||1.06/0.88||3/31/14|
|Rochester® Ohio Municipal Fund 6 22||OROHX||A||6/21/06||7.41||-6.35||5.60||9.85||—||2.06||1.40/1.25||3/31/14|
|Rochester® Pennsylvania Municipal Fund 6 4 23||OPATX||A||9/18/89||7.24||-9.07||4.83||10.02||3.38||5.37||0.96/0.85||3/31/14|
|Rochester® Short Term Municipal Fund 24 6||ORSTX||A||12/6/10||1.45||-1.47||1.93||—||—||1.94||0.86/—||3/31/14|
|Rochester® Virginia Municipal Fund 6 19||ORVAX||A||7/18/06||8.37||-13.19||4.75||8.89||—||0.28||1.08/0.85||3/31/14|
The performance data quoted represents past performance, which does not guarantee future results. The investment return and principal value of an investment in the Fund will fluctuate so that an investor's shares, when redeemed, may be worth more or less than the original cost. Current performance and expense ratios may be lower or higher than the data quoted. All fund returns include change in share price, reinvested distributions and the sales charges as listed below, unless "without sales charge" is indicated. Returns do not consider capital gains or income taxes on an individual's investment. Class A Share returns include a maximum sales charge of 5.75% (equity), 4.75% (most fixed income), 3.5% (Senior Floating Rate Fund, Senior Floating Rate Plus), 2.25% ("limited term" fixed income funds and Currency Opportunities Fund) and 0% (Money Market Funds). Class B Share returns include contingent deferred sales charge as follows: For years 1 - 6 respectively, charges are 5%, 4%, 3%, 3%, 2%, 1% except for "limited term" fixed income funds (4%, 3%, 2%, 2%, 1%, 0%) and Senior Floating Rate (3%, 2% 1.5%, 1.5%, 1%, 0%). Class C Share returns include a 1% contingent deferred sales charge and are subject to an annual asset-based sales charge of 0.75%. Class N Share returns include a 1% contingent deferred sales charge and are subject to an annual asset-based sales charge of 0.25%. Annual asset-based sales charges are applied as follows: 0.75% on Class B/C; and 0.25% for Class N shares. Class Y shares are not subject to a sales charge.
Shares of Oppenheimer funds are not deposits or obligations of any bank, are not guaranteed by any bank, are not insured by the FDIC or any other agency, and involve investment risks, including the possible loss of the principal amount invested.
Before investing in any of the Oppenheimer funds, investors should carefully consider a fund's investment objectives, risks, charges and expenses. Fund prospectuses and summary prospectuses contain this and other information about the funds, and may be obtained by asking your financial advisor, visiting oppenheimerfunds.com, or calling 1.800.CALL OPP (225.5677). Read prospectuses and summary prospectuses carefully before investing.
Oppenheimer funds are distributed by OppenheimerFunds Distributor, Inc.
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