KEMPER GLOBAL INTERNATIONAL SERIES
497, 1999-10-27
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                    KEMPER GLOBAL/INTERNATIONAL SERIES, INC.
                              Growth Fund of Spain
                SUPPLEMENT TO STATEMENT OF ADDITIONAL INFORMATION
                               DATED MARCH 1, 1999

                        ---------------------------------


The following disclosure replaces the relevant disclosure in the "Custodian,
Transfer Agent, and Shareholder Service Agent" section of the Fund's Statement
of Additional Information.


Custodian, Transfer Agent and Shareholder Service Agent. The Chase Manhattan
Bank ("Chase"), Chase Metrotech Center, Brooklyn, New York 11245, as custodian,
has custody of all securities and cash of the Fund. Chase attends to the
collection of principal and income, and payment for and collection of proceeds
of securities bought and sold by the Fund.

Pursuant to a services agreement between the Fund and Kemper Service Company
("KSvC"), 811 Main Street, Kansas City, Missouri, an affiliate of Scudder
Kemper, KSvC serves as "Shareholder Service Agent" of the Fund and, as such,
performs all of the duties of transfer agent and dividend paying agent. KSvC
receives as transfer agent as follows: prior to January 1, 1999, annual account
fees at a maximum rate of $6 per account plus account set up, transaction, and
maintenance charges, annual fees associated with the contingent deferred sales
charge (Class B shares only) and out-of-pocket expense reimbursement and
effective January 1, 1999 annual account fees of $10.00 ($18.00 for retirement
accounts) plus set up charges, annual fees associated with the contingent
deferred sales charge (Class B Shares only), an asset-based fee of 0.08% and
out-of-pocket reimbursement.



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