Company: GGT-PG
Filing Date: 2025-04-17
Form Type: 424B2
Source: 0001999371-25-004396
Chunk: 29

Company: GABELLI MULTIMEDIA TRUST INC.
Filing Date: 2025-04-17
Form: 424B2
Chunk 29
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 to enforce the control share restrictions contained in state control share statutes against beneficial owners who
hold their shares through financial intermediaries.

The overall effect
of these provisions and other provisions applicable to principal stockholders of the Fund, if any, may render more difficult the
accomplishment of a merger with, or the assumption of control by, a principal stockholder. These provisions may have the effect
of depriving Fund stockholders of an opportunity to sell their stock at a premium to the prevailing market price. See “Certain
Provisions of the Fund’s Governing Documents and Maryland Law.”

Custodian

State Street Bank and
Trust Company (the “Custodian”), located at One Lincoln Street, Boston, Massachusetts 02111, serves as the custodian
of the Fund’s assets pursuant to a custody agreement. Under the custody agreement, the Custodian holds the Fund’s assets
in compliance with the 1940 Act. For its services, the Custodian will receive a monthly fee based upon the average weekly value
of the total assets of the Fund, plus certain charges for securities transactions.

Transfer Agent, Auction Agent, and Dividend Disbursing Agent

Computershare Trust
Company, N.A. (“Computershare”), located at 150 Royall Street, Canton, Massachusetts 02021, serves as the Fund’s
dividend disbursing agent, as agent under the Fund’s automatic dividend reinvestment and voluntary cash purchase plan (the
“Plan”), and as transfer agent and registrar with respect to the common stock of the Fund. Computershare also serves
as the transfer agent, registrar, dividend paying agent, and redemption agent with respect to the Series E Preferred and Series
G Preferred.

The Bank of New York
Mellon, located at 101 Barclay Street, New York, New York 10286, serves as the auction agent, transfer agent, registrar, dividend
paying agent, and redemption agent with respect to the Series C Auction Rate Preferred. See “Custodian, Transfer Agent, Auction
Agent, and Dividend Disbursing Agent.”

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Summary of Fund Expenses</div>

The information contained
under the heading “Additional Fund Information—Summary of Fund Expenses” in the Fund’s Annual Report is
incorporated herein by reference.

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Use of Proceeds</div>

Unless otherwise specified
in a prospectus supplement, the Fund will invest the net proceeds