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ADVISOR CLASS SHARES OF
AIM GLOBAL GOVERNMENT INCOME FUND
AIM STRATEGIC INCOME FUND
AIM EMERGING MARKETS DEBT FUND
AIM GLOBAL GROWTH & INCOME FUND
(SERIES PORTFOLIOS OF AIM INVESTMENT FUNDS)
Supplement dated October 16, 1998 to the
Statement of Additional Information dated September 8, 1998
The first sentence in the second paragraph under the heading "NET ASSET VALUE
DETERMINATION" on page 34 of the Statement of Additional Information should be
deleted in its entirety and replaced with the following:
"Each equity security held is valued at its last sales price on the exchange
where the security is principally traded or, lacking any sales on a particular
day, the security is valued at the last available bid."