Scudder Emerging Markets Income Fund
Supplement to Statement of Additional Information
dated March 1, 2000
The following amends information on page 49, the tenth paragraph under the
section "Investment Adviser" in the Fund's Statement of Additional Information:
The Fund's Board approved an amended and restated Investment Management
Agreement effective October 2, 2000. The complete fee schedule is as follows:
<TABLE>
<S> <C>
Annual Investment
-----------------
Average daily net assets Management fee rate
------------------------ -------------------
First $500 million 1.00%
Exceeding $500 million 0.95%
</TABLE>
As of October 2, 2000, the Fund's net assets were approximately $148 million.
October 31, 2000