TAX MANAGED GROWTH PORTFOLIO
N-30D, 1999-01-05
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<PAGE>

Tax-Managed Growth Portfolio as of October 31, 1998

PORTFOLIO OF INVESTMENTS

Common Stocks-- 93.1%                                         

Security                                  Shares               Value         
- --------------------------------------------------------------------------------

Advertising and Marketing Services -- 2.5%                                  
- --------------------------------------------------------------------------------
ACNielsen Corp.(1)                          45,668             $   1,221,619 
Advo, Inc.(1)                              170,000                 4,324,375 
Harte-Hanks Communications, Inc.           144,604                 3,515,685 
Interpublic Group of Companies, Inc.       540,138                31,598,073 
Interpublic Group of Companies, Inc.(2)     42,000                 2,457,000 
Omnicom Group, Inc.                      2,164,018               106,983,639 
R.H. Donelley Corp.                          8,153                   114,142 
Snyder Communications, Inc.(1)(2)          442,500                15,781,191 
Snyder Communications, Inc.(1)(2)           40,000                 1,425,716 
TMP Worldwide, Inc.(1)                      43,000                 1,290,000 
True North Communications, Inc.             93,000                 2,197,125 
WPP Group PLC                              488,000                 2,427,263 
Young and Rubicam, Inc.(1)                 186,000                 4,859,250 
- --------------------------------------------------------------------------------
                                                               $ 178,195,078 
- --------------------------------------------------------------------------------

Aerospace and Defense -- 0.3%                                               
- --------------------------------------------------------------------------------
Allied Signal, Inc.                         25,000             $     973,438 
Boeing Company (The)                       228,127                 8,554,763 
Raytheon Co., Class B                      213,564                12,400,060 
- --------------------------------------------------------------------------------
                                                               $  21,928,261 
- --------------------------------------------------------------------------------

Apparel & Textiles -- 0.0%                                                  
- --------------------------------------------------------------------------------
Unifi, Inc.                                 50,000             $     843,750 
- --------------------------------------------------------------------------------
                                                               $     843,750 
- --------------------------------------------------------------------------------

Auto and Parts -- 1.0%                                                      
- --------------------------------------------------------------------------------
Aftermarket Technology Corp.(1)(2)          46,000             $     286,925 
Borg-Warner Automotive, Inc.               225,000                10,546,875 
Chrysler Corp.                              32,000                 1,540,000 
Ford Motor Co.                              32,000                 1,736,000 
General Motors Corp.                         5,396                   340,285 
Genuine Parts Co.                          147,059                 4,632,359 
Harley-Davidson, Inc.                        1,000                    38,750 
Magna International, Inc., Class A         775,000                48,098,438 
Meritor Automotive, Inc.                    61,133                 1,142,423 
SPX Corp.(1)                                47,862                 2,605,500 
TRW, Inc.                                    2,000                   113,875 
- --------------------------------------------------------------------------------
                                                               $  71,081,430 
- --------------------------------------------------------------------------------

Banks - Money Center-- 0.2%                                                
- --------------------------------------------------------------------------------
Bank of Montreal                            36,650             $   1,498,069 
Chase Manhattan Corp.                       78,706                 4,471,485 
Morgan (J.P.) & Co., Inc.                    1,000                    94,250 
National Westminster Bank PLC                8,753                   875,847 
Wells Fargo & Co.                           11,542                 4,270,540 
- --------------------------------------------------------------------------------
                                                               $  11,210,191 
- --------------------------------------------------------------------------------

Banks - Regional -- 4.8%                                                    
- --------------------------------------------------------------------------------
AmSouth Bancorporation                      27,492             $   1,101,398 
Bank of Granite Corp.                       22,500                   753,750 
Bank of New York Co., Inc. (The)           156,344                 4,934,608 
Bank One Corp.                             779,787                38,112,090 
Bank United Corp.                            2,000                    79,688 
BankAmerica Corp.                          611,570                35,127,036 
BankBoston Corp.                           202,160                 7,442,015 
BB&T Corp.                                  66,470                 2,372,148 
City National Corp.                        100,000                 3,418,750 
Colonial Bancgroup, Inc. (The)             310,822                 4,060,112 
Comerica, Inc.                             100,000                 6,450,000 
Community First Bancshares, Inc.           296,000                 5,883,000 
Community First Bancshares, Inc.(2)         72,000                 1,428,615 
Compass Bancshares, Inc.                   171,112                 6,299,061 
Crestar Financial Corp.                     28,348                 1,867,425 
Fifth Third Bancorp.                       112,500                 7,453,125 
First Citizens BancShares, Inc.             35,300                 3,150,525 
First Tennessee National Corp.              33,488                 1,061,151 
First Union Corp.                          974,826                56,539,907 
Fleet Financial Group, Inc.                114,972                 4,591,694 
Golden West Financial Corp.                  7,000                   634,813 
Keycorp                                    163,689                 4,961,823 
Marshall and Ilsley Corp.                   20,000                   975,000 
Mellon Bank Corp.                           16,000                   962,000 
Mercantile Bancorporation, Inc.             58,722                 2,682,861 
National City Corp.                         61,553                 3,958,627 
National Commerce Bancorporation(2)        159,632                 2,831,579 
Northern Trust Corp.                       181,898                13,414,978 
Norwest Corp.                            2,154,655                80,126,232 
PNC Bank Corp.                              62,502                 3,125,100 
Regions Financial Corp.                     49,300                 1,824,100 
Southwest Bancorporation of Texas,  
Inc.(1)                                      7,688                   117,723 
Sovereign Bancorp., Inc.                   366,000                 4,803,750 
Summit Bancorp.                             21,642                   821,043 


                        See notes to financial statements

                                      15
<PAGE>

Tax-Managed Growth Portfolio  as of October 31, 1998

PORTFOLIO OF INVESTMENTS CONT'D

Security                              Shares               Value                
- --------------------------------------------------------------------------------

Banks - Regional (continued)                                               
- --------------------------------------------------------------------------------
SunTrust Banks, Inc.                       480             $      33,450 
U.S. Bancorp.                          136,000                 4,964,000 
Union Planters Corp.                    14,875                   690,758 
Valley National Bancorp.               230,863                 6,233,301 
Wachovia Corp.                          37,199                 3,380,459 
Washington Mutual, Inc.                143,506                 5,372,506 
Westamerica Bancorporation              82,596                 2,746,317 
Zions Bancorporation                    20,000                 1,061,250 
- --------------------------------------------------------------------------------
                                                           $ 337,847,768 
- --------------------------------------------------------------------------------

Beverages -- 1.4%                                                           
- --------------------------------------------------------------------------------
Anheuser-Busch Cos., Inc.              261,465             $  15,540,826 
Coca-Cola Company (The)                582,666                39,402,788 
PepsiCo, Inc.                        1,251,241                42,229,384 
- --------------------------------------------------------------------------------
                                                           $  97,172,998 
- --------------------------------------------------------------------------------

Broadcasting and Cable -- 0.9%                                              
- --------------------------------------------------------------------------------
Clear Channel Communications, 
  Inc.(1)                              108,600             $   4,948,088 
Comcast Corp., Class A                  62,500                 3,085,938 
Cox Communications, Inc., Class         
  A(1)                                  93,319                 5,120,880 
Liberty Media Group, Class A(1)         91,828                 3,495,203 
MediaOne Group, Inc.(1)                258,524                10,938,797 
Tele-Communications, Inc., Series      
  A(1)                                 490,073                20,644,325    
Univision Communications, Inc.(1)      200,649                 5,919,146 
Univision Communications,              
  Inc.(1)(2)                           183,556                 5,405,877 
- --------------------------------------------------------------------------------
                                                           $  59,558,254 
- --------------------------------------------------------------------------------

Building Materials and Tools -- 0.6%                                        
- --------------------------------------------------------------------------------
American Standard Companies,           
  Inc.(1)                              172,899             $   5,521,962  
CRH PLC                                257,105                 3,745,994 
Interface, Inc.                        323,608                 3,984,424 
Masco Corp.                            228,662                 6,445,410 
Sherwin-Williams Co. (The)              44,670                 1,125,126 
Snap-On, Inc.(2)                        44,444                 1,574,984 
Valspar Corp.                          620,000                17,398,750 
Walter Industries, Inc.(1)               1,000                    14,000 
- --------------------------------------------------------------------------------
                                                           $  39,810,650 
- --------------------------------------------------------------------------------

Business Services - Miscellaneous -- 0.7%                                   
- --------------------------------------------------------------------------------
Cintas Corp.                            39,604             $   2,118,814 
Corrections Corporation of              
  America(1)                            97,310                 1,873,218 
Fair, Issac and Co., Inc.               88,828                 3,564,224 
Fair, Issac and Co., Inc.(2)           150,000                 6,011,227 
Half (Robert) International,             
  Inc.(1)                                1,800                    72,225 
Manpower, Inc.                         110,000                 2,653,750 
Metzler Group, Inc. (The)(1)           314,880                13,224,960 
Navigant International, Inc.(1)         59,631                   342,878 
Romac International, Inc.(1)(2)         45,546                   796,524 
Service Master Co.                      68,343                 1,443,746 
Staff Leasing, Inc.(1)                  78,125                   966,797 
Staff Leasing, Inc.(1)(2)               78,125                   964,863 
Sylvan Learning Systems, Inc.(1)       509,469                15,729,855 
Viad Corp.                              40,314                 1,106,115 
- --------------------------------------------------------------------------------
                                                           $  50,869,196 
- --------------------------------------------------------------------------------

Chemicals -- 0.6%                                                           
- --------------------------------------------------------------------------------
Bayer AG ADR                            40,000             $   1,625,428 
Dow Chemical Co. (The)                  21,318                 1,995,898 
DuPont (E.I.) de Nemours & Co.         224,967                12,935,603 
Eastman Chemical Co.                       123                     7,226 
Monsanto Co.                           492,240                19,997,250 
Octel Corp.(1)                           8,322                   120,149 
Olin Corp.                               1,037                    28,712 
Solutia, Inc.                          200,336                 4,394,871 
- --------------------------------------------------------------------------------
                                                           $  41,105,137 
- --------------------------------------------------------------------------------

Communications Equipment -- 1.5%                                            
- --------------------------------------------------------------------------------
Dialogic Corp.(1)                       80,000             $   1,800,000 
General Cable Corp.                      3,000                    59,250 
General Motors Corp., Class H          300,000                11,475,000 
L.M. Ericsson Telephone Co., ADR       452,000                10,226,500 
Lucent Technologies, Inc.                4,205                   337,188 
Nokia Corp., Class A ADR               659,380                61,363,550 
Northern Telecom Ltd.                  111,740                 4,783,869 
PairGain Technologies, Inc.(1)         350,581                 2,881,355 
Salient 3 Communications, Inc.,         
  Class A                               78,125                   546,875 
Tellabs, Inc.(1)                       151,623                 8,339,265 
- --------------------------------------------------------------------------------
                                                           $ 101,812,852 
- --------------------------------------------------------------------------------


                       See notes to financial statements

                                      16
<PAGE>

Tax-Managed Growth Portfolio as of October 31, 1998

PORTFOLIO OF INVESTMENTS CONT'D




Security                                Shares                 Value    
- --------------------------------------------------------------------------------

Communications Services-- 1.4%                                             
- --------------------------------------------------------------------------------
Airtouch Communications, Inc.(1)             1,865             $     104,440 
Aliant Communications, Inc.                 36,322                 1,024,963 
Alltel Corp.                                54,746                 2,562,817 
American Tower Corp., Class A(1)           149,451                 3,269,241 
Ameritech Corp.                             28,362                 1,529,775 
AT&T Corp.                                  36,767                 2,288,746 
Bell Atlantic Corp.                          8,166                   433,819 
BellSouth Corp.                              6,980                   557,091 
Citizens Utilities Corp., Class B(1)        44,975                   404,773 
Excel Communications, Inc.(1)              100,000                 2,406,250 
GTE Corp.                                    3,789                   222,367 
GTE Corp.(2)                                17,500                 1,025,747 
Intermedia Communications, Inc.(1)         113,637                 2,102,285 
MCI  Worldcom, Inc.(1)                   1,158,374                64,000,163 
McLeodUSA, Inc.(1)                          57,143                 2,089,291 
McLeodUSA, Inc.(1)(2)                       36,000                 1,315,373 
Nextel Communications, Inc., Class A(1)     75,830                 1,374,419 
Premiere Technologies, Inc.(1)              28,000                   154,000 
SBC Communications, Inc.                     9,342                   432,651 
Sprint Corp.                                 1,600                   122,800 
Tel-Save Holdings, Inc.(1)                 247,376                 2,218,666 
Telecom Corp. of New Zealand Ltd. ADR        8,000                   264,000 
Telephone & Data Systems, Inc.             131,756                 5,253,771 
US West, Inc.                                8,339                   478,450 
- --------------------------------------------------------------------------------
                                                               $  95,635,898 
- --------------------------------------------------------------------------------

Computer Software -- 2.6%                                                   
- --------------------------------------------------------------------------------
Baan Co., NV ADR(1)                        223,926             $   2,463,186 
BMC Software, Inc.(1)                        8,000                   384,500 
Boole and Babbage, Inc.(1)                  40,000                 1,065,000 
Cadence Design Systems, Inc.(1)            506,000                10,815,750 
Computer Associates International, Inc.    854,684                33,653,183 
Compuware Corp.(1)                           1,400                    75,863 
CSG Systems International, Inc.(1)          20,558                 1,120,411 
HNC Software, Inc.(1)                      254,814                 8,568,121 
HNC Software, Inc.(1)(2)                   147,980                 4,971,681 
Intuit, Inc.(1)                            286,227                14,454,464 
Microsoft Corp.(1)                         235,255                24,907,623 
Oracle Corp.(1)                          1,262,500                37,322,656 
Parametric Technology Corp.(1)              94,600                 1,572,725 
PeopleSoft, Inc.(1)                        354,174                 7,504,062 
Platinum Technology, Inc.(1)               155,000                 2,547,813 
Sapient Corp.(1)                           323,876                14,594,662 
Security Dynamics Technologies, Inc.(1)     40,000                   410,000 
Siebel Systems, Inc.(1)                    118,000                 2,411,625 
Sterling Commerce, Inc.(1)                   2,388                    84,177 
Structural Dynamics Research Corp.(1)      675,000                 9,703,125 
Wind River Systems, Inc.(1)(2)              13,000                   569,183 
- --------------------------------------------------------------------------------
                                                               $ 179,199,810 
- --------------------------------------------------------------------------------

Computers and Business Equipment -- 7.1%                                    
- --------------------------------------------------------------------------------
Cabletron Systems, Inc.(1)                  33,715             $     383,508 
Cisco Systems, Inc.(1)                     965,884                60,850,691 
Compaq Computer Corp.                       38,714                 1,224,330 
Dell Computer Corp.(1)                       3,800                   248,900 
Dell Computer Corp.(1)(2)                1,500,000                98,184,499 
Dell Computer Corp.(1)(2)                  150,512                 9,842,105 
EMC Corp.(1)                                 5,800                   373,375 
Fore Systems, Inc.(1)                       52,250                   816,406 
Fore Systems, Inc.(1)(2)                    38,466                   600,030 
Gateway 2000, Inc.(1)(2)                   200,000                11,143,896 
Hewlett-Packard Co.                        588,680                35,431,178 
International Business Machines Corp.      154,293                22,902,867 
Lexmark International Group, Inc.(1)     1,841,746               128,807,110 
Sun Microsystems, Inc.(1)                    3,500                   203,875 
Xerox Corp.                              1,314,000               127,293,749 
- --------------------------------------------------------------------------------
                                                               $ 498,306,519 
- --------------------------------------------------------------------------------

Conglomerates -- 1.3%                                                       
- --------------------------------------------------------------------------------
General Electric Co.                       974,391             $  85,259,212 
United Technologies Corp.                   86,242                 8,214,551 
- --------------------------------------------------------------------------------
                                                               $  93,473,763 
- --------------------------------------------------------------------------------

Consumer Services -- 0.3%                                                   
- --------------------------------------------------------------------------------
Block (H&R), Inc.                          366,177             $  16,409,307 
Cendant Corp.(1)                           187,999                 2,150,239 
Service Corp. International                  3,000                   106,875 
Stewart Enterprises, Inc.                  153,992                 3,551,441 
- --------------------------------------------------------------------------------
                                                               $  22,217,862 
- --------------------------------------------------------------------------------

Containers and Packaging -- 0.2%                                            
- --------------------------------------------------------------------------------
Sealed Air Corp.(1)                        325,000             $  11,517,188 
Sonoco Products Co.                         78,571                 2,229,452 
- --------------------------------------------------------------------------------
                                                               $  13,746,640 
- --------------------------------------------------------------------------------

                        See notes to financial statements

                                      17
<PAGE>

Tax-Managed Growth Portfolio as of October 31, 1998

PORTFOLIO OF INVESTMENTS CONT'D


Security                               Shares              Value                

- --------------------------------------------------------------------------------

Distribution Services -- 1.7%                                               
- --------------------------------------------------------------------------------
Airgas, Inc.(1)                         61,000             $     701,500 
Airgas, Inc.(1)(2)                     205,555                 2,363,883 
Cardinal Health, Inc.                  379,200                35,858,100 
School Specialty, Inc.(1)               66,257                 1,043,541 
Supervalu, Inc.                         26,723                   641,352 
Sysco Corp.                          1,763,972                47,516,996 
U.S. Foodservice, Inc.(1)              505,489                24,010,728 
U.S. Foodservice, Inc.(1)(2)            66,438                 3,151,860 
US Office Products Co.(1)              149,077                 1,146,031 
Wilmar Industries, Inc.(1)              50,000                 1,237,500 
- --------------------------------------------------------------------------------
                                                           $ 117,671,491 
- --------------------------------------------------------------------------------

Drugs -- 9.8%                                                               
- --------------------------------------------------------------------------------
Abbott Laboratories                    888,180             $  41,688,949 
Agouron Pharmaceuticals, Inc.(1)       242,400                 9,393,000 
American Home Products Corp.             4,600                   224,250 
Amgen, Inc.(1)                         405,532                31,859,608 
Astra AB, Class A                    1,074,400                17,387,015 
Astra AB, Class B ADR                  160,000                 2,550,000 
Bristol-Myers Squibb Co.               363,531                40,192,896 
Covance, Inc.(1)                        81,250                 2,264,844 
Elan Corp., PLC ADR(1)                 361,360                25,317,785 
Genentech, Inc.(1)                      80,000                 5,730,000 
Genzyme Corp.(1)                        12,150                    41,006 
Genzyme Corp., Class A(1)            1,490,000                62,673,124 
Incyte Pharmaceuticals, Inc.(1)(2)     577,571                17,605,933 
Incyte Pharmaceuticals, Inc.(1)(2)     150,856                 4,599,114 
Lilly (Eli) & Co.                      812,448                65,757,509 
Merck & Co., Inc.                      587,004                79,392,290 
Parexel International Corp.(1)(2)       35,000                   771,705 
Pfizer, Inc.                           852,858                91,522,323 
Quintiles Transnational Corp.(1)       195,420                 8,842,755 
Schering-Plough Corp.                  321,892                33,114,640 
Sepracor, Inc.(1)                      440,000                30,195,000 
SmithKline Beecham PLC ADR             225,440                14,371,800 
Teva Pharmaceutical Industries         
 Ltd. ADR(2)                           100,000                 3,938,097 
Vertex Pharmaceuticals, Inc.(1)         35,000                   923,125 
Warner-Lambert Co.                     716,032                56,119,007 
Watson Pharmaceuticals, Inc.(1)        599,550                33,349,969 
Watson Pharmaceuticals, Inc.(1)(2)     122,888                 6,827,100 
- --------------------------------------------------------------------------------
                                                           $ 686,652,844 
- --------------------------------------------------------------------------------

Electric Utilities -- 0.2%                                                  
- --------------------------------------------------------------------------------
Central and South West Corp.             1,600             $      44,500 
Dominion Resources, Inc.                28,938                 1,336,574 
Duke Energy Corp.                        1,800                   116,438 
New England Electric System              2,700                   109,856 
Teco Energy, Inc.                       40,000                 1,105,000 
Texas Utilities Co.                    250,196                10,946,075 
- --------------------------------------------------------------------------------
                                                           $  13,658,443 
- --------------------------------------------------------------------------------

Electrical Equipment -- 0.6%                                                
- --------------------------------------------------------------------------------
American Power Conversion Corp.(1)     200,000             $   8,487,500 
AMP, Inc.                              112,340                 4,612,961 
Emerson Electric Co.                   151,648                10,008,768 
Molex, Inc., Class A                    90,066                 2,944,032 
Rockwell International Corp.           183,700                 7,543,181 
Sanmina Corp.(1)(2)                    150,000                 6,139,750 
Thomas and Betts Corp.                  22,963                 1,026,159 
- --------------------------------------------------------------------------------
                                                           $  40,762,351 
- --------------------------------------------------------------------------------

Electronics - Instruments -- 0.2%                                           
- --------------------------------------------------------------------------------
Dionex Corp.(1)                        362,140             $   9,641,978 
Waters Corp.(1)                         29,580                 2,174,130 
X-Rite, Inc.                           310,000                 2,208,750 
X-Rite, Inc.(2)                        118,000                   840,190 
- --------------------------------------------------------------------------------
                                                           $  14,865,048 
- --------------------------------------------------------------------------------

Electronics - Semiconductors -- 2.2%                                        
- --------------------------------------------------------------------------------
Altera Corp.(1)                          3,600             $     149,850 
Analog Devices, Inc.(1)              1,630,000                32,396,250 
Burr-Brown Corp.(1)                    600,000                11,137,500 
Intel Corp.                            729,379                65,051,489 
KLA-Tencor Corp.(1)                     36,000                 1,327,500 
Lam Research Corp.(1)                  106,000                 1,530,375 
Linear Technologies Corp.               66,000                 3,935,250 
Maxim Intergrated Products Co.(1)       40,000                 1,427,500 
Motorola, Inc.                         112,768                 5,863,936 
National Semiconductor Corp.(1)         79,368                 1,006,982 


                       See notes to financial statements

                                      18

<PAGE>

Tax-Managed Growth Portfolio  as of October 31, 1998

PORTFOLIO OF INVESTMENTS CONT'D

Security                              Shares               Value                
- --------------------------------------------------------------------------------

Electronics - Semiconductors (continued)                                   
- --------------------------------------------------------------------------------
Smart Modular Technologies, Inc.(1)     60,000             $   1,260,000 
Speedfam International, Inc.(1)        221,000                 3,563,625 
Texas Instruments, Inc.                337,948                21,607,550 
Ultratech Stepper, Inc.(1)             245,129                 4,412,322 
Uniphase Corp.(1)(2)                    25,932                 1,282,778 
- --------------------------------------------------------------------------------
                                                           $ 155,952,907 
- --------------------------------------------------------------------------------

Engineering and Construction -- 0.1%                                        
- --------------------------------------------------------------------------------
Jacobs Engineering Group, Inc.(1)      162,455             $   5,300,094 
- --------------------------------------------------------------------------------
                                                           $   5,300,094 
- --------------------------------------------------------------------------------

Entertainment -- 0.5%                                                       
- --------------------------------------------------------------------------------
Callaway Golf Co.(2)                    35,715             $     388,090 
Disney (Walt) Co.                       80,700                 2,173,856 
Mattel, Inc.                            20,995                   753,196 
Time Warner Inc.                       250,684                23,266,609 
Time Warner Inc., Series J              31,209                 2,890,792 
Viacom Inc., Class B(1)                 35,399                 2,119,515 
- --------------------------------------------------------------------------------
                                                           $  31,592,058 
- --------------------------------------------------------------------------------

Environmental Services -- 0.6%                                              
- --------------------------------------------------------------------------------
Browning-Ferris Industries, Inc.       391,647             $  13,878,991 
U.S. Filter Corp.(1)                   100,412                 2,127,479 
Waste Management, Inc.                 552,975                24,952,997 
- --------------------------------------------------------------------------------
                                                           $  40,959,467 
- --------------------------------------------------------------------------------

Financial Services - Miscellaneous -- 3.6%                                  
- --------------------------------------------------------------------------------
American Express Co.                   616,648             $  54,496,267 
Associates First Capital Corp.         200,000                14,100,000 
Capital One Financial Corp.             73,411                 7,469,569 
Citigroup                            1,395,391                65,670,588 
Fannie Mae                             945,355                66,942,950 
FirstPlus Financial Group,             
  Inc.(1)(2)                           120,000                   532,500 
Freddie Mac                            352,500                20,268,750 
Household International, Inc.          199,293                 7,286,650 
Providian Financial Corp.              166,107                13,184,743 
- --------------------------------------------------------------------------------
                                                           $ 249,952,017 
- --------------------------------------------------------------------------------

Foods -- 3.7%                                                               
- --------------------------------------------------------------------------------
Archer-Daniels-Midland Co.             143,775             $   2,399,245 
Bestfoods                               22,400                 1,220,800 
Conagra, Inc.                          294,949                 8,977,510 
Flowers Industries, Inc.               393,000                 8,056,500 
General Mills, Inc.                     24,850                 1,826,475 
Kellogg Co.                             69,714                 2,300,562 
McCormick & Co., Inc.                  629,298                19,547,569 
Nabisco Holdings Corp., Class A        100,000                 3,775,000 
Pioneer Hi-Bred International,         
  Inc.                                 952,171                26,660,788 
Quaker Oats Co. (The)                   39,942                 2,359,074 
Riviana Foods, Inc.                    150,000                 2,939,070 
Riviana Foods, Inc.(2)                 100,000                 1,956,109 
Sara Lee Corp.                         577,972                34,497,704 
Tyson Food, Inc.                       870,276                20,016,348 
Unilever ADR                         1,502,000               113,025,499 
Wrigley (Wm.) Jr. Co.                  113,180                 9,160,506 
- --------------------------------------------------------------------------------
                                                           $ 258,718,759 
- --------------------------------------------------------------------------------

Furniture and Appliances -- 0.5%                                            
- --------------------------------------------------------------------------------
HON Industries, Inc.                 1,135,488             $  24,058,152 
HON Industries, Inc.(2)                134,930                 2,856,923 
Leggett & Platt, Inc.                  298,328                 6,973,417 
Miller (Herman), Inc.                  120,000                 2,647,500 
- --------------------------------------------------------------------------------
                                                           $  36,535,992 
- --------------------------------------------------------------------------------

Health Services -- 0.7%                                                     
- --------------------------------------------------------------------------------
Aetna, Inc.                             59,821             $   4,464,142 
Beverly Enterprises, Inc.(1)           357,143                 2,410,715 
FPA Medical Management, Inc.(1)(3)     315,000                     3,150 
Genesis Health Ventures, Inc.(1)         4,000                    54,000 
Health Management Associates, Inc.,     
  Class A(1)                            61,170                 1,089,591 
HealthSouth Corp.(1)                   146,000                 1,770,250 
Integrated Health Services, Inc.        50,000                   809,375 
Magellan Health Services, Inc.(1)       50,000                   453,125 
MedPartners, Inc.(1)                    17,696                    63,042 
Omnicare, Inc.                          25,650                   886,528 
Orthodontic Centers of America,        
  Inc.(1)                              100,000                 1,893,750 
Pacificare Health Systems, Inc.,        
  Class B(1)                            19,500                 1,535,625 
PhyCor, Inc.(1)                        312,500                 2,265,625 
Quest Diagnostics, Inc.(1)              15,625                   259,766 
Quorum Health Group, Inc.(1)            55,733                   808,129 


                       See notes to financial statements

                                      19
<PAGE>

Tax-Managed Growth Portfolio as of October 31, 1998

PORTFOLIO OF INVESTMENTS CONT'D

Security                              Shares               Value                
- --------------------------------------------------------------------------------

Health Services (continued)                                                
- --------------------------------------------------------------------------------
Renal Care Group, Inc.(1)              175,282             $   5,105,088 
Renal Care Group, Inc.(1)(2)           196,225                 5,703,623 
Response Oncology, Inc.(1)              44,761                   223,805 
Sunrise Assisted Living, Inc.(1)       210,000                 9,043,125 
Sunrise Assisted Living,               
  Inc.(1)(2)                           140,000                 6,023,324 
United HealthCare Corp.                 20,000                   871,250 
Vencor, Inc.(1)                         25,600                   118,400 
- --------------------------------------------------------------------------------
                                                           $  45,855,428 
- --------------------------------------------------------------------------------

Household Products -- 2.4%                                                  
- --------------------------------------------------------------------------------
Avon Products, Inc.                      8,400             $     333,375 
Blyth Industries, Inc.(1)              522,000                14,420,250 
Blyth Industries, Inc.(1)(2)            40,000                 1,104,263 
Blyth Industries, Inc.(1)(2)            20,000                   551,395 
Colgate-Palmolive Co.                   54,337                 4,802,032 
Fortune Brands, Inc.                     1,500                    49,594 
Gillette Co.                         1,605,200                72,133,674 
Helen of Troy Ltd.(1)                   65,000                   966,875 
Kimberly-Clark Corp.                   551,928                26,630,526 
Procter & Gamble Co.                   389,741                34,638,231 
Rubbermaid, Inc.                       463,920                15,396,345 
- --------------------------------------------------------------------------------
                                                           $ 171,026,560 
- --------------------------------------------------------------------------------

Industrial Equipment -- 0.8%                                                
- --------------------------------------------------------------------------------
Dover Corp.                            355,445             $  11,285,379 
DT Industries, Inc.                     37,728                   679,104 
Federal Signal Corp.                   283,471                 6,821,021 
Illinois Tool Works, Inc.              169,010                10,837,766 
Parker-Hannifin Corp.                  150,898                 5,394,604 
Regal Beloit Corp.                     265,000                 5,581,563 
Tecumseh Products Co., Class A         156,420                 8,133,840 
Tyco International Ltd.                 83,462                 5,169,428 
- --------------------------------------------------------------------------------
                                                           $  53,902,705 
- --------------------------------------------------------------------------------

Information Services -- 4.5%                                                
- --------------------------------------------------------------------------------
Acxiom Corp.(1)                        210,527             $   5,289,491 
America Online, Inc.(1)                 10,800                 1,372,275 
At Home Corp., Series A(1)(2)           20,291                   875,609 
Automatic Data Processing, Inc.      1,756,243               136,657,657 
Aztec Technology Partners(1)           119,262                   648,486 
Bell and Howell Co.(1)                 115,000                 3,047,500 
BISYS Group, Inc. (The)(1)              53,873                 2,356,944 
Ceridian Corp.(1)                       90,500                 5,192,438 
Computer Sciences Corp.                450,202                23,748,156 
Dun and Bradstreet Corp. (The)          40,768                 1,156,792 
Electronic Data Systems Corp.          155,000                 6,306,563 
Equifax, Inc.                           40,000                 1,547,500 
First Data Corp.                       282,761                 7,493,167 
HBO and Co.                             27,599                   724,474 
IDX Systems Corp.(1)(2)                 35,000                 1,481,271 
IMS Health, Inc.                       249,006                16,558,899 
Lason, Inc.(1)(2)                      165,000                 9,027,728 
Lason, Inc.(1)(2)                      190,000                10,381,695 
National Data Corp.                     81,333                 2,755,155 
Nielsen Media Research                  83,002                 1,177,591 
Paychex, Inc.                           87,976                 4,376,806 
Reuters Holdings PLC ADR               273,945                16,607,916 
Saville Systems PLC(1)                 320,000                 5,400,000 
Saville Systems PLC ADR(1)(2)           99,197                 1,670,601 
Saville Systems PLC ADR(1)(2)              297                     5,004 
SunGard Data Systems, Inc.(1)        1,382,319                46,653,266 
USCS International, Inc.(1)(2)         150,000                 4,456,922 
- --------------------------------------------------------------------------------
                                                           $ 316,969,906 
- --------------------------------------------------------------------------------

Insurance -- 8.3%                                                           
- --------------------------------------------------------------------------------
20th Century Industries                 70,700             $   1,736,569 
Aegon, N.V. ADR                         86,504                 7,558,287 
Allmerica Financial Corp.                1,500                    75,000 
Allstate Corp. (The)                 1,046,416                45,061,289 
American General Corp.                  91,153                 6,243,981 
American International Group, Inc.     595,816                50,793,314 
AON Corp.                               85,385                 5,293,870 
<PAGE>
Berkshire Hathaway, Inc., Class             
  A(1)(2)                                   80                 5,160,000 
Berkshire Hathaway, Inc., Class             
  B(1)                                      21                    45,108    
Chubb Corp.                            101,050                 6,214,575 
Conseco, Inc.(2)                       100,000                 3,461,813 
Delphi Financial Group, Inc.(1)         40,000                 1,865,000 
General RE Corp.                       409,481                89,957,856 
Jefferson-Pilot Corp.                   38,267                 2,324,720 
Kansas City Life Insurance Co.          35,400                 2,955,900 
Lab Holdings, Inc.                      35,960                   627,053 
Marsh & McLennan Cos., Inc.          1,916,666               106,374,962 
Mercury General Corp.                    2,000                    85,000 


                        See notes to financial statements

                                      20
<PAGE>

Tax-Managed Growth Portfolio as of October 31, 1998
PORTFOLIO OF INVESTMENTS CONT'D


Security                             Shares                Value                
- --------------------------------------------------------------------------------

Insurance (continued)                                                      
- --------------------------------------------------------------------------------
Mutual Risk Management Ltd.          1,043,500             $  35,283,344 
Progressive Corp.                      285,085                41,978,766 
Protective Life Corp.                   64,346                 2,384,824 
Safeco Corp.                            12,122                   525,034 
St. Paul Cos., Inc. (The)              269,024                 8,911,420 
SunAmerica, Inc.                     1,810,644               127,650,401 
Torchmark Corp.                        222,850                 9,749,688 
UICI(1)                                 57,257                   844,541 
UICI(1)(2)                             180,000                 2,653,892 
UNUM Corp.                             251,200                11,162,700 
- --------------------------------------------------------------------------------
                                                           $ 576,978,907 
- --------------------------------------------------------------------------------

Investment Services -- 0.7%                                                 
- --------------------------------------------------------------------------------
E*Trade Group, Inc.(1)(2)              100,000             $   1,766,250 
Merrill Lynch & Co., Inc.              349,756                20,723,043 
Morgan Stanley Dean Witter & Co.       232,519                15,055,605 
Morgan Stanley Dean Witter &            
  Co.(2)                                52,000                 3,361,388 
Price (T. Rowe) Associates, Inc.        86,716                 3,083,838 
Schwab (Charles) and Co., Inc.          44,500                 2,133,219 
- --------------------------------------------------------------------------------
                                                           $  46,123,343 
- --------------------------------------------------------------------------------

Lodging and Gaming -- 0.2%                                                  
- --------------------------------------------------------------------------------
Royal Caribbean Cruises Ltd.(2)        500,000             $  13,870,600 
Sunterra Corp.(1)(2)                    50,000                   473,971 
- --------------------------------------------------------------------------------
                                                           $  14,344,571 
- --------------------------------------------------------------------------------

Medical Products -- 5.8%                                                    
- --------------------------------------------------------------------------------
Allegiance Corp.                        45,322             $   1,685,412 
Ballard Medical Products               251,058                 5,334,983 
Bausch & Lomb, Inc.                    123,919                 5,165,873 
Baxter International, Inc.           1,166,028                69,888,802 
Becton, Dickinson and Co.                7,020                   295,718 
Becton, Dickinson and Co.(2)            28,980                 1,219,806 
Boston Scientific Corp.(1)             539,850                29,388,084 
Dentsply International, Inc.            42,000                 1,081,500 
ESC Medical Systems Ltd.(1)             30,000                   243,750 
ESC Medical Systems Ltd.(1)(2)         150,000                 1,214,180 
Guidant Corp.                          100,000                 7,650,000 
Heartport, Inc.(1)                      41,026                   174,361 
Hillenbrand Industries, Inc.           647,898                38,347,463 
Johnson & Johnson Co.                1,350,723               110,083,924 
Marquette Medical Systems, Inc.(1)      55,000             $   2,450,938 
Medtronics, Inc.                     1,103,098                71,701,369 
Schein (Henry), Corp.(1)               555,700                21,498,644 
Schein (Henry), Corp.(1)(2)             17,000                   656,372 
Schein (Henry), Corp.(1)(2)            281,000                10,853,069 
Sofamor Danek Group, Inc.(1)           223,000                22,662,375 
St. Jude Medical,  Inc.(1)              42,144                 1,190,568 
Steris Corp.(1)                         78,394                 1,803,062 
- --------------------------------------------------------------------------------
                                                           $ 404,590,253 
- --------------------------------------------------------------------------------

Metals - Gold -- 0.0%                                                       
- --------------------------------------------------------------------------------
Freeport-McMoran Copper & Gold,          
  Inc.                                   6,000             $      73,875 
- --------------------------------------------------------------------------------
                                                           $      73,875 
- --------------------------------------------------------------------------------

Metals - Industrial -- 0.0%                                                 
- --------------------------------------------------------------------------------
Cyprus Amax Minerals Co.                20,950             $     260,566 
Nucor Corp.(2)                          22,648                 1,025,553 
- --------------------------------------------------------------------------------
                                                           $   1,286,119 
- --------------------------------------------------------------------------------

Minerals and Fertilizer -- 0.1%                                             
- --------------------------------------------------------------------------------
Mississippi Chemical Corp.             272,180             $   3,929,599 
Potash Corp. of Saskatchewan               105                     7,284 
- --------------------------------------------------------------------------------
                                                           $   3,936,883 
- --------------------------------------------------------------------------------

Natural Gas Distribution -- 0.1%                                            
- --------------------------------------------------------------------------------
Columbia Energy Group                    1,121             $      64,849 
Dynegy, Inc.                           290,000                 4,350,000 
KN Energy, Inc.                         20,000                   993,750 
National Fuel Gas Co.                    2,000                    94,500 
Sonat, Inc.                            107,200                 3,249,500 
- --------------------------------------------------------------------------------
                                                           $   8,752,599 
- --------------------------------------------------------------------------------

Oil and Gas - Equipment and Services -- 0.9%                                
- --------------------------------------------------------------------------------
Baker Hughes, Inc.                     739,234             $  16,309,350 
Halliburton Co.                        401,675                14,435,195 
National-Oilwell, Inc.(1)               50,000                   793,750 
National-Oilwell, Inc.(1)(2)           416,400                 6,597,129 
Newpark Resources, Inc.(1)             110,000                 1,038,125 
Noble Drilling, Inc.(1)                170,000                 2,921,875 


                       See notes to financial statements

                                      21
<PAGE>

Tax-Managed Growth Portfolio  as of October 31, 1998

PORTFOLIO OF INVESTMENTS CONT'D

Security                              Shares               Value                
- --------------------------------------------------------------------------------

Oil and Gas - Equipment and Services (continued)                           
- --------------------------------------------------------------------------------
Patterson Energy, Inc.(1)              200,000             $   1,237,500 
Schlumberger Ltd.                      367,470                19,292,175 
Syntroleum Corp.(1)                      2,735                    26,153 
Weatherford International(1)            56,750                 1,542,891 
- --------------------------------------------------------------------------------
                                                           $  64,194,143 
- --------------------------------------------------------------------------------

Oil and Gas - Exploration and Production -- 1.0%                           
- --------------------------------------------------------------------------------
Anadarko Petroleum Corp.             1,654,000             $  56,029,249 
Apache Corp.                           127,003                 3,595,772 
Burlington Resources, Inc.             119,335                 4,915,110 
Oryx Energy Co.(1)                     369,103                 5,167,442 
Triton Energy, Ltd.(1)                     700                     7,613 
Union Pacific Resources Group, Inc.     79,795                 1,037,335 
USX-Marathon Group                      50,895                 1,663,630 
- --------------------------------------------------------------------------------
                                                           $  72,416,151 
- --------------------------------------------------------------------------------

Oil and Gas - Integrated -- 1.0%                                            
- --------------------------------------------------------------------------------
Amoco Corp.                            282,730             $  15,868,221 
Atlantic Richfield Co.                  42,450                 2,923,744 
British Petroleum Co. PLC                  508                    44,926 
Chevron Corp.                           55,600                 4,531,400 
Exxon Corp.                            215,675                15,366,844 
Mobil Corp.                            200,645                15,186,318 
Murphy Oil Corp.                        29,700                 1,226,981 
Phillips Petroleum Co.                     979                    42,342 
Quaker State Corp.                      90,758                 1,281,957 
Royal Dutch Petroleum Co.               26,361                 1,298,279 
Texaco, Inc.                             1,914                   113,524 
Tosco Corp.                                300                     8,419 
Tosco Corp.(2)                         314,619                 8,823,110 
- --------------------------------------------------------------------------------
                                                           $  66,716,065 
- --------------------------------------------------------------------------------

Paper and Forest Products -- 0.6%                                           
- --------------------------------------------------------------------------------
Caraustar Industries, Inc.             224,961             $   5,342,824 
Champion International Corp.            52,192                 1,666,882 
Fort James Corp.                        56,401                 2,273,665 
Georgia-Pacific Corp. - G-P Group      305,098                15,788,822 
Georgia-Pacific Corp. - G-P             
  Group(2)                              14,133                   730,469 
Georgia-Pacific Corp. - Timber         
  Group                                305,098                 6,769,362  
Louisiana Pacific Corp.                 55,364                   982,711 
Mead Corporation (The)                  38,768                 1,226,038 
Union Camp Corp.                        80,309                 3,453,287 
Weyerhaeuser Co.                        61,755                 2,890,906 
Willamette Industries, Inc.             53,000                 1,643,000 
- --------------------------------------------------------------------------------
                                                           $  42,767,966 
- --------------------------------------------------------------------------------


Photography -- 0.1%                                                         
- --------------------------------------------------------------------------------
Eastman Kodak Co.                       47,200             $   3,658,000 
- --------------------------------------------------------------------------------
                                                           $   3,658,000 
- --------------------------------------------------------------------------------

Printing and Business Products -- 0.7%                                      
- --------------------------------------------------------------------------------
American Business Products, Inc.       261,355             $   4,851,402 
Avery Dennison Corp.                   803,004                33,274,478 
Bowne & Co., Inc.                      172,640                 2,319,850 
Consolidated Graphics, Inc.(1)          35,064                 1,663,349 
Corporate Express, Inc.(1)              92,486                 1,080,930 
Danka Business Systems, PLC              1,000                     5,563 
Deluxe Corp.                            80,675                 2,611,853 
Donnelley (R.R.) & Sons Co.             32,896                 1,418,640 
Harland (John H.) Co.                   51,540                   747,330 
Ikon Office Solutions, Inc.            115,500                 1,090,031 
Workflow Management, Inc.(1)            79,508                   457,170 
- --------------------------------------------------------------------------------
                                                           $  49,520,596 
- --------------------------------------------------------------------------------

Publishing -- 1.9%                                                          
- --------------------------------------------------------------------------------
Belo (A.H.) Corp.                      110,220             $   2,004,626 
Dow Jones & Co., Inc.                1,111,000                50,897,688 
Gannett Co., Inc.                      280,900                17,380,688 
Houghton Mifflin Co.                    97,400                 3,798,600 
McGraw-Hill Companies, Inc. (The)      455,608                40,976,245 
Meredith Corp.                         190,000                 7,030,000 
The MacClatchy Co., Class A             48,066                 1,631,240 
Times Mirror Co., Class A              151,670                 8,408,206 
- --------------------------------------------------------------------------------
                                                           $ 132,127,293 
- --------------------------------------------------------------------------------

Real Estate -- 0.5%                                                         
- --------------------------------------------------------------------------------
Avalonbay Communities, Inc.             55,000             $   1,766,875 
Catellus Development Corp.(1)          290,000                 3,987,500 
Equity Office Properties Trust           2,812                    67,488 
Grubb and Ellis Co.(1)(2)              100,000                   973,375 

                       See notes to financial statements

                                      22
<PAGE>
Tax-Managed Growth Portfolio as of October 31, 1998

PORTFOLIO OF INVESTMENTS CONT'D


Security                              Shares               Value                
- --------------------------------------------------------------------------------

Real Estate (continued)                                                    
- --------------------------------------------------------------------------------
LaSalle Partners, Inc.(1)(2)           213,193             $   6,231,738 
Patriot America Hospitality, Inc.      132,212                 1,173,382 
Redwood Trust, Inc.                     71,710                   986,013 
Rouse Co. (The)                        127,700                 3,583,581 
Trammell Crow Co.(1)(2)                876,098                18,914,043 
Ventas, Inc.(1)                         25,600                   292,800 
- --------------------------------------------------------------------------------
                                                           $  37,976,795 
- --------------------------------------------------------------------------------

Restaurants -- 1.1%                                                         
- --------------------------------------------------------------------------------
Bob Evans Farms, Inc.                   48,193             $     948,800 
Boston Chicken, Inc.(1)(3)              38,500                       385 
Brinker International, Inc.(1)         446,376                10,796,720 
CKE Restaurants, Inc.(2)               100,000                 2,629,496 
CKE Restaurants, Inc.(2)                10,000                   262,599 
Lone Star Steakhouse and Saloon,       
  Inc.(1)                              145,981                 1,167,848 
Lone Star Steakhouse and Saloon,       
  Inc.(1)(2)                           200,000                 1,597,333 
McDonald's Corp.                       263,100                17,594,813 
Outback Steakhouse, Inc.(1)             77,101                 2,669,622 
Outback Steakhouse, Inc.(1)(2)         130,181                 4,498,502 
Outback Steakhouse, Inc.(1)(2)         250,000                 8,641,823 
Papa John's International, Inc.(1)      25,807                   979,861 
Papa John's International,              
  Inc.(1)(2)                            51,744                 1,961,381 
Sonic Corp.(1)(2)                       47,338                   897,923 
Starbucks Corp.(1)                     342,000                14,834,250 
Tricon Global Restaurants, Inc.(1)     175,767                 7,645,865 
- --------------------------------------------------------------------------------
                                                           $  77,127,221 
- --------------------------------------------------------------------------------

Retail - Food and Drug -- 4.3%                                              
- --------------------------------------------------------------------------------
Albertson's, Inc.                    2,090,219             $ 116,137,792 
CVS Corp.                            1,980,000                90,461,249 
General Nutrition Companies,            
  Inc.(1)                               44,460                   647,449 
Hannaford Brothers Co.                  30,849                 1,351,572 
Kroger Co. (The)(1)                     22,800                 1,265,400 
Rite Aid Corp.                           6,000                   238,125 
Safeway, Inc.(1)                     1,677,501                80,205,516 
Walgreen Co.                            13,750                   669,453 
Whole Foods Market, Inc.(1)             90,000                 3,605,625 
Winn-Dixie Stores, Inc.                220,221                 7,473,750 
- --------------------------------------------------------------------------------
                                                           $ 302,055,931 
- --------------------------------------------------------------------------------

Retail - General -- 2.0%                                                    
- --------------------------------------------------------------------------------
99 (cent) Only Stores(1)(2)            342,670             $  15,836,337 
Casey's General Stores, Inc.(2)         75,000                 1,048,688 
Dayton Hudson Corp.                        270                    11,441 
Department 56, Inc.(1)                 190,000                 5,925,625 
Dollar General Corp.                    25,625                   611,797 
Dollar Tree Stores, Inc.(1)            292,500                11,279,531 
Dollar Tree Stores, Inc.(1)(2)         247,792                 9,549,109 
Harcourt General, Inc.                 216,416                10,536,754 
May Department Stores Co. (The)        104,008                 6,344,488 
Nordstrom, Inc.                         27,610                   754,098 
Penney (J.C.) Company, Inc.          1,101,673                52,329,468 
Wal-Mart Stores, Inc.                  396,890                27,385,410 
- --------------------------------------------------------------------------------
                                                           $ 141,612,746 
- --------------------------------------------------------------------------------

Retail - Specialty and Apparel -- 2.3%                                      
- --------------------------------------------------------------------------------
Abercrombie and Fitch Co., Class         
  A(1)                                   2,802             $     111,204 
Burlington Coat Factory Warehouse      
  Corp.                                543,600                 8,154,000 
CompUSA, Inc.(1)                         1,000                    13,875 
Home Depot, Inc. (The)               2,374,361               103,284,703 
Limited, Inc. (The)                    205,000                 5,253,125 
Lowe's Companies, Inc.                  60,000                 2,021,250 
Office Depot, Inc.(1)                  140,000                 3,500,000 
OfficeMax, Inc.(1)                     300,000                 2,737,500 
Pep Boys - Manny, Moe & Jack (The)      35,476                   554,313 
Pep Boys - Manny, Moe & Jack            
  (The)(2)                              62,500                   975,911 
Pier 1 Imports, Inc.(2)                150,000                 1,385,766 
Pier 1 Imports, Inc.(2)                 75,000                   692,594 
Republic Industries, Inc.(1)         1,748,523                28,085,651 
Staples, Inc.(1)                        50,000                 1,631,250 
Tiffany and Co.                         22,000                   710,875 
TJX Companies, Inc. (The)                  500                     9,469 
Toys "R" Us, Inc.(1)                    73,255                 1,433,051 
- --------------------------------------------------------------------------------
                                                           $ 160,554,537 
- --------------------------------------------------------------------------------

Specialty Chemicals and Materials -- 1.4%                                   
- --------------------------------------------------------------------------------
Corning, Inc.                          130,000             $   4,720,625 
Dexter Corp. (The)                      36,139                 1,057,066 
Ecolab, Inc.                         2,088,536                62,395,012 
International Flavors &                
Fragrances, Inc.                       148,101                 5,544,531   
International Specialty Products,       
  Inc.(1)                               59,000                   792,813 
MacDermid, Inc.                         30,000                 1,098,750 
Millipore Corp.                        261,340                 6,435,498 


                       See notes to financial statements

                                      23
<PAGE>


Tax-Managed Growth Portfolio as of October 31, 1998

PORTFOLIO OF INVESTMENTS CONT'D


Security                              Shares              Value                 
- --------------------------------------------------------------------------------

Specialty Chemicals and Materials (continued)                              
- --------------------------------------------------------------------------------
Minnesota Mining & Manufacturing        
  Co.                                   37,685             $   3,014,800 
Morton International, Inc.              34,000                   845,750 
Nalco Chemical Co.                     224,852                 6,956,359 
Pall Corp.                             216,000                 5,454,000 
- --------------------------------------------------------------------------------
                                                           $  98,315,204 
- --------------------------------------------------------------------------------

Tobacco -- 0.2%                                                             
- --------------------------------------------------------------------------------
Philip Morris Cos., Inc.               215,494             $  11,017,131 
- --------------------------------------------------------------------------------
                                                           $  11,017,131 
- --------------------------------------------------------------------------------

Transportation -- 0.4%                                                      
- --------------------------------------------------------------------------------
Arnold Industries, Inc.                148,543             $   1,893,923 
Burlington Northern Santa Fe Corp.     188,799                 5,829,169 
Coach USA, Inc./(1)/                   168,889                 4,528,336 
Coach USA, Inc./(1)//(2)/              185,676                 4,975,451 
FDX Corp./(1)/                          93,723                 4,926,315 
Heartland Express, Inc./(1)/           250,000                 4,500,000 
Union Pacific Corp.                     92,081                 4,385,358 
- --------------------------------------------------------------------------------
                                                           $  31,038,552 
- --------------------------------------------------------------------------------

Trucks and Parts -- 0.0%                                                    
- --------------------------------------------------------------------------------
Paccar, Inc.                            46,602             $   2,033,012 
- --------------------------------------------------------------------------------
                                                           $   2,033,012 
- --------------------------------------------------------------------------------

Total Common Stocks                                                      
    (identified cost $4,918,536,928)                       6,503,610,020
- --------------------------------------------------------------------------------

Put Options Purchased -- 0.1%                                                

Computers and Business Equipment -- 0.1%                                    
- --------------------------------------------------------------------------------
Dell Computer, Expires 1/16/99,        
  Strike Price 45                      250,000             $     468,750 
Dell Computer, Expires 1/16/99,        
  Strike Price 50                      250,000                   718,750 
Dell Computer, Expires 2/20/99,        
  Strike Price 50                      250,000                   906,250 
Dell Computer, Expires 2/20/99,        
  Strike Price 55                      500,000                 2,500,000 
- --------------------------------------------------------------------------------
                                                           $   4,593,750 
- --------------------------------------------------------------------------------

Total Put Options Purchased                                              
    (identified cost $5,771,939)                           $   4,593,750 
- --------------------------------------------------------------------------------

Convertible Preferred Stocks-- 0.3%

Entertainment -- 0.3%                                                       
- --------------------------------------------------------------------------------
Time Warner Inc., Series J/(3)/        100,187             $  19,992,930 
Time Warner Inc., Series J/(3)/         21,410                 4,263,952 
- --------------------------------------------------------------------------------
                                                           $  24,256,882 
- --------------------------------------------------------------------------------

Financial - Miscellaneous -- 0.0%                                           
- --------------------------------------------------------------------------------
American General Corp., Series D        21,474             $   1,256,229 
- --------------------------------------------------------------------------------
                                                           $   1,256,229 
- --------------------------------------------------------------------------------

Insurance -- 0.0%                                                           
- --------------------------------------------------------------------------------
Aetna, Inc., Series C                      449             $      32,104 
- --------------------------------------------------------------------------------
                                                           $      32,104 
- --------------------------------------------------------------------------------

Total Convertible Preferred Stocks                                       
    (identified cost $14,428,021)                          $  25,545,215 
- --------------------------------------------------------------------------------

Commercial Paper -- 7.0%                                                  

                                    Face Amount
Name of Company                     (000's omitted)        Value          
- --------------------------------------------------------------------------------
Corporate Asset Funding, Inc.,
  5.55%, 11/2/98                    $   12,813             $  12,811,025 
Corporate Receivables Corp.,
  5.65%, 11/2/98                        85,000                84,986,660 
CXC, Inc., 5.65%, 11/2/98               95,000                94,985,090 
Ford Motor Credit Co., 4.98%,           
  11/2/98                               20,733                20,730,132 
Ford Motor Credit Co., 5.13%,          
  11/4/98                               93,075                93,035,210 
General Electric Capital Co.,
  5.69%, 11/2/98                        95,000                94,984,985 
Panasonic Finance, 5.64%, 11/2/98        8,313                 8,311,698 
Prudential Funding Corp., 4.95%,        
  11/3/98                               75,000                74,979,375 
- --------------------------------------------------------------------------------
Total Commercial Paper                                                   
    (identified cost $484,824,175)                        $  484,824,175 
- --------------------------------------------------------------------------------
Total Investments-- 100.5%                                                  
    (identified cost $5,423,561,063)                      $7,018,573,160
- --------------------------------------------------------------------------------
Other Assets, Less Liabilities -- (0.5)%                  $  (32,894,676)
- --------------------------------------------------------------------------------

Net Assets -- 100.0%                                      $6,985,678,484
- --------------------------------------------------------------------------------

ADR-American Depositary Receipt
/(1)/ Non-income producing security.
/(2)/ Security restricted from resale for a period not exceeding two years.
      These securities may be distributed to investors in payment for capital
      withdrawals. At October 31, 1998, the value of these securities amounted
      to $404,092,153 or 5.8% of net assets.
/(3)/ Security valued at fair value using methods determined in good faith by or
      at the direction of the Trustees.


                        See notes to financial statements

                                      24
<PAGE>
Tax-Managed Growth Portfolio as of October 31, 1998
FINANCIAL STATEMENTS
Statement of Assets and Liabilities


As of October 31, 1998                                                 
Assets                                                                 
- --------------------------------------------------------------------------------
Investments, at value
    (identified cost $5,423,561,063)                      $7,018,573,160 
Cash                                                             140,335 
Receivable for investments sold                               30,029,857 
Dividends and interest receivable                              4,969,250 
Tax reclaim receivable                                            27,580 
Other assets                                                      15,734 
Prepaid expenses                                                 375,518 
Deferred organization expenses                                     4,528 
- --------------------------------------------------------------------------------
Total assets                                              $7,054,135,962 
- --------------------------------------------------------------------------------

Liabilities                                                            
- --------------------------------------------------------------------------------
Payable for investments purchased                         $   68,280,650 
Payable to affiliate for Trustees' fees                              190 
Other accrued expenses                                           176,638 
- --------------------------------------------------------------------------------
Total liabilities                                         $   68,457,478 
- --------------------------------------------------------------------------------
Net Assets applicable to investors' interest in           
    Portfolio                                             $6,985,678,484 
- --------------------------------------------------------------------------------


Sources of Net Assets                                                  
- --------------------------------------------------------------------------------
Net proceeds from capital contributions and               
    withdrawals                                           $5,390,665,865 
Net unrealized appreciation (computed on the basis         
    of identified cost)                                    1,595,012,619 
- --------------------------------------------------------------------------------
Total                                                     $6,985,678,484 
- --------------------------------------------------------------------------------


Statement of Operations

For the Year Ended
October 31, 1998                                                       
Investment Income
- -------------------------------------------------------------------------------
Dividends (net of foreign taxes, $555,644)                $   54,405,581 
Interest                                                      11,564,060 
- --------------------------------------------------------------------------------
Total investment income                                   $   65,969,641 
- --------------------------------------------------------------------------------


Expenses                                                               
- --------------------------------------------------------------------------------
Investment adviser fee                                    $   24,370,514 
Trustees fees and expenses                                        30,273 
Custodian fee                                                    729,631 
Legal and accounting services                                    129,922 
Amortization of organization expenses                              2,176 
Miscellaneous                                                    384,423 
- --------------------------------------------------------------------------------
Total expenses                                            $   25,646,939 
- --------------------------------------------------------------------------------

Net investment income                                     $   40,322,702 
- --------------------------------------------------------------------------------


Realized and Unrealized Gain (Loss)                                      
- --------------------------------------------------------------------------------
Net realized gain (loss) --                                                
    Investment transactions (identified cost basis)       $  (88,268,073)
- --------------------------------------------------------------------------------
Net realized loss                                         $  (88,268,073)
- --------------------------------------------------------------------------------
Change in unrealized appreciation (depreciation) --                        
    Investments (identified cost basis)                   $  540,179,532 
- --------------------------------------------------------------------------------
Net change in unrealized appreciation                     
    (depreciation)                                        $  540,179,532 
- --------------------------------------------------------------------------------

Net realized and unrealized gain                          $  451,911,459 
- --------------------------------------------------------------------------------

Net increase in net assets from operations                $  492,234,161 
- --------------------------------------------------------------------------------

                       See notes to financial statements

                                      25
<PAGE>
Tax-Managed Growth Portfolio as of October 31, 1998 
FINANCIAL STATEMENTS CONT'D
Statements of Changes in Net Assets

Increase (Decrease)                    Year Ended              Year Ended
in Net Assets                          October 31, 1998        October 31, 1997
- --------------------------------------------------------------------------------
From operations--                                                               
     Net investment income            $      40,322,702       $      14,399,615 
     Net realized gain (loss)               (88,268,073)             52,637,579 
     Net change in unrealized
         appreciation (depreciation)        540,179,532             375,109,348 
- --------------------------------------------------------------------------------
Net increase in net assets
     from operations                  $     492,234,161       $     442,146,542 
- --------------------------------------------------------------------------------
Capital transactions --                                            
     Contributions                    $   4,084,235,841       $   1,907,707,281 
     Withdrawals                           (462,237,336)           (415,207,575)
- --------------------------------------------------------------------------------
Net increase in net assets from
     capital transactions             $   3,621,998,505       $   1,492,499,706 
- --------------------------------------------------------------------------------

Net increase in net assets            $   4,114,232,666       $   1,934,646,248 
- --------------------------------------------------------------------------------


Net Assets                                                                      
- --------------------------------------------------------------------------------
At beginning of year                  $   2,871,445,818       $     936,799,570 
- --------------------------------------------------------------------------------
At end of year                        $   6,985,678,484       $   2,871,445,818 
- --------------------------------------------------------------------------------



                       See notes to financial statements

                                      26
<PAGE>
Tax-Managed Growth Portfolio as of October 31, 1998
FINANCIAL STATEMENTS CONT'D
Supplementary Data

<TABLE>
<CAPTION>

                                                                                       Year Ended October 31,
                                                                ---------------------------------------------------------------
                                                                        1998               1997                  1996(1)
- -------------------------------------------------------------------------------------------------------------------------------
<S>                                                                <C>                 <C>                    <C>
Ratios to average daily net assets
- -------------------------------------------------------------------------------------------------------------------------------
Expenses                                                                   0.50%               0.56%                0.66%(2)
Net investment income                                                      0.78%               0.81%                0.91%(2)
Portfolio Turnover                                                           12%                 14%                   6%
- -------------------------------------------------------------------------------------------------------------------------------
Net assets, end of year (000's omitted)                            $  6,985,678        $  2,871,446           $  936,800 
- -------------------------------------------------------------------------------------------------------------------------------
</TABLE>

(1) For the period from the start of business, December 1, 1995, to October 31,
    1996.
(2) Annualized.



                       See notes to financial statements

                                      27
<PAGE>
Tax-Managed Growth Portfolio as of October 31, 1998
NOTES TO FINANCIAL STATEMENTS

1    Significant Accounting Policies
    ----------------------------------------------------------------------------
     Tax-Managed Growth Portfolio (the Portfolio) is registered under the
     Investment Company Act of 1940, as amended, as a diversified, open-end
     management investment company. The Portfolio, which is organized as a trust
     under the laws of the State of New York on December 1, 1995, seeks to
     provide long-term after-tax returns by investing in a diversified portfolio
     of equity securities. The Declaration of Trust permits the Trustees to
     issue interests in the Portfolio. The following is a summary of significant
     accounting policies consistently followed by the Portfolio in the
     preparation of its financial statements. The policies are in conformity
     with generally accepted accounting principles.

     A Investment Valuations -- Marketable securities, including options, that
     are listed on foreign or U.S. securities exchanges or in the NASDAQ
     National Market System are valued at closing sale prices, on the exchange
     where such securities are principally traded. Futures positions on
     securities or currencies are generally valued at closing settlement prices.
     Unlisted or listed securities for which closing sale prices are not
     available are valued at the mean between the latest bid and asked prices.
     Short-term debt securities with a remaining maturity of 60 days or less are
     valued at amortized cost, which approximates value. Other fixed income and
     debt securities, including listed securities and securities for which price
     quotations are available, will normally be valued on the basis of
     valuations furnished by a pricing service. Over-the-counter options are
     normally valued at the mean between the latest bid and asked price.
     Investments for which valuations or market quotations are unavailable are
     valued at fair value using methods determined in good faith by or at the
     direction of the Trustees.

     B Income Taxes -- The Portfolio is treated as a partnership for Federal tax
     purposes. No provision is made by the Portfolio for federal or state taxes
     on any taxable income of the Portfolio because each investor in
     the Portfolio is ultimately responsible for the payment of any taxes on its
     share of such income. Since some of the Portfolio's investors are regulated
     investment companies that invest all or substantially all of their assets
     in the Portfolio, the Portfolio normally must satisfy the applicable source
     of income and diversification requirements (under the Internal Revenue
     Code) in order for its investors to satisfy them. The Portfolio will
     allocate, at least annually among its investors, each investor's
     distributive share of the Portfolio's net investment income, net realized
     capital gains, and any other items of income, gain, loss, deduction or 
     credit.

     C Deferred Organization Expenses -- Costs incurred by the Portfolio in
     connection with its organization, are being amortized on the straight-line
     basis over five years.

     D Futures Contracts -- Upon the entering of a financial futures contract,
     the Portfolio is required to deposit either in cash or securities an amount
     ("initial margin") equal to a certain percentage of the purchase price
     indicated in the financial futures contract. Subsequent payments are made
     or received by the Portfolio ("margin maintenance") each day, dependent on
     daily fluctuations in the value of the underlying security, and are
     recorded for book purposes as unrealized gains or losses by the Portfolio.
     The Portfolio's investment in financial futures contracts is designed to
     hedge against anticipated future changes in price of current or anticipated
     portfolio positions. Should prices move unexpectedly, the Portfolio may not
     achieve the anticipated benefits of the financial futures contracts and may
     realize a loss.

     E Put Options -- Upon the purchase of a put option by the Portfolio, the
     premium paid is recorded as an investment, the value of which is
     marked-to-market daily. When a purchased option expires, the Portfolio will
     realize a loss in the amount of the cost of the option. When the Portfolio
     enters into a closing sale transaction, the Portfolio will realize a gain
     or loss depending on whether the sales proceeds from the closing sale
     transaction are greater or less than the cost of the option. When the
     Portfolio exercises a put option, settlement is made in cash. The risk
     associated with purchasing options is limited to the premium originally
     paid.

     F Securities Sold Short -- The Portfolio may sell securities it does not
     own in anticipation of a decline in the market price of the securities or
     in order to hedge portfolio positions. The Portfolio will generally borrow
     the security sold in order to make delivery to the buyer. Upon executing
     the transaction, the Portfolio records the proceeds as deposits with
     brokers in the Statement of Assets and Liabilities and establishes an
     offsetting payable for securities sold short for the securities due on
     settlement. The proceeds are retained by the broker as collateral for the
     short position. The liability is marked to market and the Portfolio is
     required to pay the lending broker any dividend or interest income earned
     while the short position is open. A gain or loss is recorded when the
     security is delivered to the broker. The Portfolio may recognize a loss on
     the transaction if the market value of the securities sold increases before
     the securities are delivered.

                                      28



<PAGE>
Tax-Managed Growth Portfolio as of October 31, 1998
NOTES TO FINANCIAL STATEMENTS CONT'D


     G Other -- Investment transactions are accounted for on the date the
     investments are purchased or sold. Dividend income is recorded on the
     ex-dividend date. However, if the ex-dividend date has passed, certain
     dividends from foreign securities are recorded as the Portfolio is informed
     of the ex-dividend date. Interest income is recorded on the accrual basis.

     H Use of Estimates -- The preparation of financial statements in conformity
     with generally accepted accounting principles requires management to make
     estimates and assumptions that affect the reported amounts of assets and
     liabilities at the date of the financial statements and the reported
     amounts of revenue and expense during the reporting period. Actual results
     could differ from those estimates.

2    Investment Adviser Fee and Other Transactions with Affiliates
    ----------------------------------------------------------------------------
     The investment adviser fee is earned by Boston Management and Research
     (BMR), a wholly-owned subsidiary of Eaton Vance Management (EVM), as
     compensation for management and investment advisory services rendered to
     the Portfolio. Under the advisory agreement, BMR receives a monthly
     advisory fee of 5/96 of 1% (0.625% annually) of the average daily net
     assets of the Portfolio up to $500,000,000, and at reduced rates as daily
     net assets exceed that level. For the year ended October 31, 1998, the
     adviser fee was 0.47% of the Portfolio's average net assets. Except for
     Trustees of the Portfolio who are not members of EVM's or BMR's
     organization, officers and Trustees receive remuneration for their services
     to the Portfolio out of such investment adviser fee. Trustees of the
     Portfolio that are not affiliated with the Investment Adviser may elect to
     defer receipt of all or a percentage of their annual fees in accordance
     with the terms of the Trustees Deferred Compensation Plan. For the year
     ended October 31, 1998, no significant amounts have been deferred. Certain
     of the officers and Trustees of the Portfolio are officers or
     directors/trustees of the above organizations.

3    Investment Transactions
    ----------------------------------------------------------------------------
     Purchases and sales of investments, other than short-term obligations,
     aggregated $2,151,267,687 and $608,237,096, respectively. In addition,
     investments having an aggregate market value of $136,368,120 at dates of
     withdrawal were distributed in payment for capital withdrawals resulting in
     capital gains for book purposes of $125,868,954. During the year ended
     October 31, 1998, investors contributed securities with a value of
     $1,855,101,919.


4    Federal Income Tax Basis of Investment
    ----------------------------------------------------------------------------
     The cost and unrealized appreciation (depreciation) in value of the
     investments owned at October 31, 1998, as computed on a federal income tax
     basis, are as follows:

     Aggregate cost                                      $2,952,967,635
     --------------------------------------------------------------------
     Gross unrealized appreciation                       $4,098,117,808

     Gross unrealized depreciation                          (32,512,283)
     --------------------------------------------------------------------

     Net unrealized appreciation                         $4,065,605,525
    ---------------------------------------------------------------------


5    Financial Instruments
    ----------------------------------------------------------------------------
     The Portfolio may trade in financial instruments with off-balance sheet
     risk in the normal course of its investing activities to assist in managing
     exposure to various market risks. These financial instruments include
     written options, forward foreign currency exchange contracts and financial
     futures contracts and may involve, to a varying degree, elements of risk in
     excess of the amounts recognized for financial statement purposes.

     The notional or contractual amounts of these instruments represent the
     investment the Portfolio has in particular classes of financial instruments
     and does not necessarily represent the amounts potentially subject to risk.
     The measurement of the risks associated with these instruments is
     meaningful only when all related and offsetting transactions are
     considered.

     The Portfolio did not have any open obligations under these financial
     instruments at October 31, 1998.

6    Line of Credit
    ----------------------------------------------------------------------------
     The Portfolio participates with other portfolios and funds managed by BMR
     and EVM and its affiliates in a $80 million ($130 million effective
     November 12, 1998) unsecured line of credit agreement with a group of
     banks. The Portfolio may temporarily borrow from the line of credit to
     satisfy redemption requests or settle investment transactions. Interest is
     charged to each portfolio or fund

                                      29


<PAGE>
Tax-Managed Growth Portfolio as of October 31, 1998
NOTES TO FINANCIAL STATEMENTS CONT'D


     based on its borrowings at the Eurodollar rate or federal funds rate. In
     addition, a fee computed at an annual rate of 0.10% on the daily unused
     portion of the line of credit is allocated among the participating
     portfolios and funds at the end of each quarter. The Portfolio did not have
     any significant borrowings or allocated fees during the year ended October
     31, 1998.

7    Subsequent Event
    ----------------------------------------------------------------------------
     Effective November 1, 1998, the Portfolio changed its fiscal year-end to
     December 31.


                                      30

<PAGE>
Tax-Managed Growth Portfolio as of October 31, 1998
INDEPENDENT AUDITORS' REPORT


To the Trustees and Investors
of Tax-Managed Growth Portfolio:
- --------------------------------------------------------------------------------
We have audited the accompanying statement of assets and liabilities, including
the portfolio of investments, of Tax-Managed Growth Portfolio (the Portfolio) as
of October 31, 1998, the related statement of operations for the year then
ended, the statements of changes in net assets for the years ended October 31,
1998 and 1997, and the supplementary data for the years ended October 31, 1998
and 1997 and for the period from the start of business, December 1, 1995 to
October 31, 1996. These financial statements and supplementary data are the
responsibility of the Portfolio's management. Our responsibility is to express
an opinion on these financial statements and supplementary data based on our
audits.

We conducted our audits in accordance with generally accepted auditing
standards. Those standards require that we plan and perform the audit to obtain
reasonable assurance about whether the financial statements and supplementary
data are free of material misstatement. An audit includes examining, on a test
basis, evidence supporting the amounts and disclosures in the financial
statements. Our procedures included confirmation of securities owned as of
October 31, 1998 by correspondence with the custodian and brokers; where replies
were not received from brokers, we performed other auditing procedures. An audit
also includes assessing the accounting principles used and significant estimates
made by management, as well as evaluating the overall financial statement
presentation. We believe that our audits provide a reasonable basis for our
opinion.

In our opinion, such financial statements and supplementary data referred to
above present fairly, in all material respects, the financial position of the
Portfolio as of October 31, 1998, the results of its operations, the changes in
its net assets and its supplementary data for the respective stated periods in
conformity with generally accepted accounting principles.


                                         DELOITTE & TOUCHE LLP
                                         Boston, Massachusetts
                                         December 4, 1998



                                      31
<PAGE>
 
Tax-Managed Growth Portfolio as of October 31, 1998
INVESTMENT MANAGEMENT


Tax-Managed Growth Portfolio


Officers
James B. Hawkes
President and Trustee

Duncan W. Richardson
Vice President and
Portfolio Manager

James L. O'Connor
Treasurer

Alan R. Dynner
Secretary



Independent Trustees
Jessica M. Bibliowicz
President and Chief Operating Officer,
John A. Levin & Co.
Director, Baker, Fentress & Co.

Donald R. Dwight
President, Dwight Partners, Inc.

Samuel L. Hayes, III
Jacob H. Schiff Professor of Investment
Banking, Emeritus, Harvard University Graduate School 
of Business Administration

Norton H. Reamer
Chairman and Chief Executive Officer,
United Asset Management Corporation

John L. Thorndike
Formerly Director, Fiduciary Company Incorporated

Jack L. Treynor
Investment Adviser and Consultant



                                      32





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