MUL SA-1
TL SA-1
101 SA-1
SUPPLEMENT DATED JUNE 15, 1999
TO THE STATEMENTS OF ADDITIONAL INFORMATION OF
TEMPLETON FUNDS, INC. (WORLD FUND AND FOREIGN FUND)
TEMPLETON GROWTH FUND, INC.
dated January 1, 1999
The Statement of Additional Information is amended as follows:
I. The address on the front page is changed to P.O. Box 33030 St. Petersburg, FL
33733-8030.
II. The first paragraph under the section "Management and Other Services -
Shareholder servicing and transfer agent" is replaced with the following:
Franklin/Templeton Investor Services, Inc. (Investor Services) is the
fund's shareholder servicing agent and acts as the fund's transfer agent
and dividend-paying agent. Investor Services is located at 100 Fountain
Parkway, St. Petersburg, FL 33733-8030. Please send all correspondence to
Investor Services to P.O. Box 33030, St. Petersburg, FL 33733-8030.
III. The following category is added to the section "Waivers for certain
investors," found under "Buying and Selling Shares - Initial sales charges":
o Any investor who is currently a Class Z shareholder of Franklin Mutual
Series Fund Inc. (Mutual Series), or who is a former Mutual Series Class Z
shareholder who had an account in any Mutual Series fund on October 31,
1996, or who sold his or her shares of Mutual Series Class Z within the
past 365 days
IV. The following category is added to the section "CDSC waivers," found under
"Buying and Selling Shares - Contingent deferred sales charge (CDSC)":
o Redemptions of Class A shares by investors who purchased $1 million or more
without an initial sales charge if the securities dealer of record waived
its commission in connection with the purchase
Please keep this supplement for future reference.