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AIM INVESTMENT SECURITIES FUNDS
LIMITED MATURITY TREASURY PORTFOLIO
AIM LIMITED MATURITY SHARES
Supplement dated December 28, 1995
to the Statement of Additional Information
dated November 17, 1995
Effective January 2, 1996, the net asset value per share (or share price) of
the Fund will be determined as of the close of trading of the New York Stock
Exchange (generally 4:00 p.m. Eastern Time) on each business day of the Fund.
For purposes of determining net asset value per share, futures and options
contract closing prices which are available 15 minutes after the close of
trading of the New York Stock Exchange will generally be used.