CAPSTONE NIKKO JAPAN FUND
A SERIES OF CAPSTONE INTERNATIONAL SERIES TRUST
SUPPLEMENT DATED SEPTEMBER 2, 1997
TO
PROSPECTUS DATED FEBRUARY 28, 1997
AS SUPPLEMENTED JULY 25, 1997 AND MAY 22, 1997
Effective September 2, 1997, the name of the Fund will be changed to
Capstone Japan Fund.
THE FOLLOWING PARAGRAPH WILL REPLACE THE THIRD PARAGRAPH OF THE DETERMINATION OF
NET ASSET VALUE SECTION ON PAGE 19 OF THE PROSPECTUS:
Any assets or liabilities initially expressed in terms of foreign
currencies are translated into U.S. dollars at the prevailing market rates at
17:00 Greenwich Mean Time on each U.S. business day.