This Supplement is filed pursuant to Rule 497(d) with regard to
Defined Asset Funds - International Bond Fund, Multi-Currency Series - 25.
The text of the supplement to the Prospectus dated September 2, 1994
is as follows:
Supplement dated November 7, 1994
To Prospectuses Of
Defined Asset Funds
International Bond Fund
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Multi-Currency Series 25
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Commencing on November 7, 1994, the applicable sales charge for regular
purchases of these Series will be as follows:
Sales Charge Dealer
(Gross Underwriting Profit) Concession
--------------------------- as Percent
As Percent of As Percent of of Public
Bid Side Public Net Amount Offering
Number of Units Offering Price Invested Price
- --------------- --------------- ------------- ------------
Less than 500. . . . . . . . . 2.25% 2.302% 1.463%
500 - 999. . . . . . . . . . . 1.75 1.781 1.138
1,000 or more. . . . . . . . . 1.25 1.266 0.813
Units purchased at these prices will not be eligible for exchange at
a reduced sales charge under the Exchange Option.