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SUPPLEMENT DATED MARCH 21, 1996
TO
FOREIGN FUND, INC.
STATEMENT OF ADDITIONAL INFORMATION
DATED MARCH 6, 1996
This Supplement relates to the Statement of Additional Information of
Foreign Fund, Inc. dated March 6, 1996 (the "SAI") and should be read in
conjunction with such SAI.
The last sentence under "Determining Net Asset Value" at page 61 in
the SAI is amended and restated as follows:
Foreign currency values are converted into US dollars using the
same exchange rates utilized by Morgan Stanley Capital
International in the calculation of the relevant MSCI Indices
(currently, exchange rates as of 4:00 p.m. London time, except
that the exchange rate for the MSCI Mexico (Free) Index is that
as of 3:00 p.m. New York City time).