October 1, 1998
DREYFUS INTERNATIONAL FUNDS, INC.
DREYFUS EMERGING MARKETS FUND
DREYFUS INTERNATIONAL GROWTH FUND
Supplement to Statement of Additional Information Dated October 1, 1998.
The following information supplements and should be read in conjunction
with the section of the Statement of Additional Information entitled
"Determination of Net Asset Value-Valuation of Portfolio Securities."
(Dreyfus Emerging Markets Fund only) The Fund currently is pricing its
Malaysian currency-denominated securities based on their closing prices on the
Malaysian stock exchange, with the Malaysian currency value of such securities
translated into United States dollars at a thirty-percent discount to the
official exchange rate.