<PAGE>
TAX-MANAGED GROWTH PORTFOLIO AS OF JUNE 30, 2000
PORTFOLIO OF INVESTMENTS (UNAUDITED)
COMMON STOCKS -- 95.7%
<TABLE>
<CAPTION>
SECURITY SHARES VALUE
<S> <C> <C>
--------------------------------------------------------------------------
Advertising and Marketing Services -- 3.3%
--------------------------------------------------------------------------
ACNielsen Corp.(1) 45,668 $ 1,004,696
Advo, Inc.(1) 670,000 28,140,000
Catalina Marketing Corp.(1) 20,000 2,040,000
Harte-Hanks Communications, Inc. 135,487 3,387,175
IMS Health, Inc. 498,012 8,964,216
Interpublic Group of Companies, Inc. 2,481,817 106,718,131
Lamar Advertising Co.(1) 500,000 21,656,250
Lamar Advertising Co.(1)(2)(3) 250,000 10,824,877
Omnicom Group, Inc. 3,110,732 277,049,569
Snyder Communications, Inc.(1) 482,500 11,459,375
TMP Worldwide, Inc.(1) 119,580 8,826,499
TMP Worldwide, Inc.(1)(2)(3) 34,846 2,570,882
True North Communications, Inc. 513,715 22,603,460
Valassis Communications, Inc.(1) 975,000 37,171,875
Ventiv Health, Inc.(1) 160,833 1,789,267
WPP Group PLC 488,000 7,129,241
Young and Rubicam, Inc. 186,000 10,636,875
--------------------------------------------------------------------------
$ 561,972,388
--------------------------------------------------------------------------
Aerospace and Defense -- 0.3%
--------------------------------------------------------------------------
Boeing Company (The) 548,044 $ 22,915,090
Honeywell International, Inc. 749,525 25,249,623
Raytheon Co., Class B 213,564 4,111,107
Teledyne Technologies, Inc.(1) 6,117 102,460
--------------------------------------------------------------------------
$ 52,378,280
--------------------------------------------------------------------------
Apparel and Textiles -- 0.0%
--------------------------------------------------------------------------
Shaw Industries, Inc.(2)(3) 325,000 $ 4,062,161
Unifi, Inc.(1) 50,000 618,750
--------------------------------------------------------------------------
$ 4,680,911
--------------------------------------------------------------------------
Auto and Parts -- 0.2%
--------------------------------------------------------------------------
Aftermarket Technology Corp.(1) 46,000 $ 391,000
Borg-Warner Automotive, Inc. 230,270 8,088,234
DaimlerChrysler 19,952 1,038,751
Dana Corp. 46,137 977,528
Delphi Automotive Systems 6,128 89,239
Ford Motor Co. 112,558 4,839,994
General Motors Corp. 13,596 789,418
Genuine Parts Co. 147,059 2,941,180
<CAPTION>
SECURITY SHARES VALUE
<S> <C> <C>
--------------------------------------------------------------------------
Auto and Parts (continued)
--------------------------------------------------------------------------
Harley-Davidson, Inc. 42,000 $ 1,617,000
Honda Motor Co. Ltd. ADR 5,000 343,750
Meritor Automotive, Inc. 71,799 789,789
SPX Corp.(1) 47,862 5,788,311
TRW, Inc. 2,000 86,750
Visteon Corp.(1) 14,738 178,693
--------------------------------------------------------------------------
$ 27,959,637
--------------------------------------------------------------------------
Banks - Money Center -- 0.2%
--------------------------------------------------------------------------
Bank of Montreal 103,831 $ 4,432,286
Chase Manhattan Corp. 459,027 21,143,931
Morgan (J.P.) & Co., Inc. 18,780 2,068,148
Royal Bank of Scotland Group PLC 50,837 851,199
--------------------------------------------------------------------------
$ 28,495,564
--------------------------------------------------------------------------
Banks - Regional -- 4.3%
--------------------------------------------------------------------------
AmSouth Bancorporation 607,046 $ 9,560,975
Associated Banc-Corp. 624,922 13,631,111
Bank of America Corp. 1,156,598 49,733,714
Bank of Granite Corp. 22,500 514,687
Bank of New York Co., Inc. (The) 294,848 13,710,432
Bank One Corp. 1,202,297 31,936,014
Bank One Corp.(2)(3) 51,299 1,362,516
Bank United Corp. 102,072 3,591,659
Banknorth Group, Inc. 55,720 853,212
BB&T Corp. 295,728 7,060,506
City National Corp. 130,000 4,517,500
Colonial Bancgroup, Inc. (The) 396,090 3,564,810
Comerica, Inc. 155,041 6,957,465
Commerce Bancshares, Inc. 70,356 2,093,091
Community First Bancshares, Inc. 418,000 6,818,625
Compass Bancshares, Inc. 306,668 5,232,523
Fifth Third Bancorp 244,512 15,465,384
First Citizens BancShares, Inc. 65,900 3,921,050
First Financial Bancorp. 53,044 1,044,304
First Midwest Bancorp, Inc. 225,352 5,239,434
First Security Corp. 39,200 531,650
First Tennessee National Corp. 33,488 554,645
First Union Corp. 1,037,405 25,740,612
Firstar Corp. 1,585,530 33,395,226
FleetBoston Financial Corp. 2,803,773 95,328,282
Golden West Financial Corp. 21,000 857,062
</TABLE>
SEE NOTES TO FINANCIAL STATEMENTS
15
<PAGE>
TAX-MANAGED GROWTH PORTFOLIO AS OF JUNE 30, 2000
PORTFOLIO OF INVESTMENTS (UNAUDITED) CONT'D
<TABLE>
<CAPTION>
SECURITY SHARES VALUE
<S> <C> <C>
--------------------------------------------------------------------------
Banks - Regional (continued)
--------------------------------------------------------------------------
Keycorp 500,764 $ 8,825,966
M&T Bank Corp. 2,000 900,000
Marshall and Ilsley Corp. 50,410 2,092,015
Mellon Financial Corp. 206,912 7,539,356
National Bancorp of Alaska, Inc. 265,000 9,506,875
National City Corp. 444,035 7,576,347
National Commerce Bancorporation 252,894 4,062,110
National Commerce Bancorporation(2)(3) 670,000 10,760,978
National Commerce Bancorporation(2)(3) 150,000 2,407,869
Northern Trust Corp. 1,363,796 88,731,977
Old Kent Financial Corp. 108,975 2,915,089
PNC Bank Corp. 141,615 6,638,203
Popular, Inc. 716 13,649
Regions Financial Corp. 1,258,160 25,005,930
S&T Bancorp, Inc. 100,000 1,825,000
SouthTrust Corp. 76,101 1,721,785
Southwest Bancorporation of Texas,
Inc.(1) 7,688 159,526
Sovereign Bancorporation, Inc. 442,584 3,111,941
State Street Corp. 64,000 6,788,000
Summit Bancorp. 172,521 4,248,330
SunTrust Banks, Inc. 175,689 8,026,791
Synovus Financial 891,564 15,713,816
U.S. Bancorp. 402,920 7,756,210
Union Planters Corp. 87,070 2,432,518
Valley National Bancorp. 305,241 7,421,172
Wachovia Corp. 109,714 5,951,984
Washington Mutual, Inc. 163,506 4,721,236
Wells Fargo & Co. 3,374,981 130,780,514
Westamerica Bancorporation 266,506 6,962,469
Whitney Holding Corp. 228,901 7,825,553
Whitney Holding Corp.(2)(3) 30,011 1,025,591
Zions Bancorporation 20,000 917,812
--------------------------------------------------------------------------
$ 737,583,101
--------------------------------------------------------------------------
Beverages -- 1.8%
--------------------------------------------------------------------------
Anheuser-Busch Cos., Inc. 964,418 $ 72,029,969
Coca-Cola Company (The) 1,704,561 97,905,723
Coca-Cola Enterprises, Inc. 264,724 4,318,310
Panamerican Beverages, Inc., Class A 80,000 1,195,000
PepsiCo, Inc. 2,824,643 125,520,073
--------------------------------------------------------------------------
$ 300,969,075
--------------------------------------------------------------------------
<CAPTION>
SECURITY SHARES VALUE
<S> <C> <C>
--------------------------------------------------------------------------
Broadcasting and Cable -- 1.2%
--------------------------------------------------------------------------
AMFM, Inc.(1) 200,000 $ 13,800,000
AT&T Corp. - Liberty Media Group(1) 1,183,182 28,692,163
AT&T Corp. - Liberty Media Group, Class
B(1) 32,876 1,068,470
Clear Channel Communications, Inc.(1) 307,378 23,053,350
Clear Channel Communications,
Inc.(1)(2)(3) 10,000 749,700
Comcast Corp., Class A(1) 625,000 25,312,500
Cox Communications, Inc., Class A(1) 608,036 27,703,640
Gaylord Entertainment Co. 353,332 7,596,638
General Motors Corp., Class H(1) 391,754 34,376,413
Infinity Broadcasting Corp.(1) 34,500 1,257,094
Univision Communications, Inc.(1) 366,262 37,908,117
Westwood One, Inc.(1) 122,400 4,176,900
--------------------------------------------------------------------------
$ 205,694,985
--------------------------------------------------------------------------
Building Materials and Tools -- 0.3%
--------------------------------------------------------------------------
American Standard Companies, Inc.(1) 172,899 $ 7,088,859
CRH PLC 262,701 4,772,042
Interface, Inc. 434,412 1,656,196
Masco Corp. 253,662 4,581,770
Sherwin-Williams Co. (The) 80,069 1,696,462
Snap-On, Inc. 71,795 1,911,542
Valspar Corp. 620,000 20,925,000
Vulcan Materials Co. 26,500 1,131,219
--------------------------------------------------------------------------
$ 43,763,090
--------------------------------------------------------------------------
Business Services - Miscellaneous -- 0.5%
--------------------------------------------------------------------------
Century Business Services, Inc.(1) 400,000 $ 775,000
Cintas Corp. 1,103,661 40,490,563
Concord EFS, Inc.(1) 213,905 5,561,530
Fair, Issac and Co., Inc. 238,828 10,508,432
Gartner Group, Inc.(1) 3,000 36,000
Gartner Group, Inc., Class B(1) 64,841 640,305
Half (Robert) International, Inc.(1) 3,600 102,600
Interim Services, Inc.(1) 90,000 1,597,500
Manpower, Inc. 110,000 3,520,000
Navigant Consulting, Inc.(1) 496,795 2,111,379
Navigant International, Inc.(1) 59,630 573,939
ServiceMaster Co. 695,430 7,910,516
Staff Leasing, Inc.(1) 156,250 556,641
Sylvan Learning Systems, Inc.(1) 815,396 11,211,695
United Rentals, Inc.(1) 92,099 1,577,195
</TABLE>
SEE NOTES TO FINANCIAL STATEMENTS
16
<PAGE>
TAX-MANAGED GROWTH PORTFOLIO AS OF JUNE 30, 2000
PORTFOLIO OF INVESTMENTS (UNAUDITED) CONT'D
<TABLE>
<CAPTION>
SECURITY SHARES VALUE
<S> <C> <C>
--------------------------------------------------------------------------
Business Services - Miscellaneous (continued)
--------------------------------------------------------------------------
Viad Corp. 40,314 $ 1,098,556
--------------------------------------------------------------------------
$ 88,271,851
--------------------------------------------------------------------------
Chemicals -- 0.4%
--------------------------------------------------------------------------
Ashland, Inc. 106,674 $ 3,740,257
Bayer AG ADR 40,000 1,564,416
Dow Chemical Co. (The) 136,155 4,110,179
DuPont (E.I.) de Nemours & Co. 1,244,115 54,430,031
Eastman Chemical Co. 148 7,067
Octel Corp.(1) 3,322 25,953
Solutia, Inc. 99,629 1,369,899
--------------------------------------------------------------------------
$ 65,247,802
--------------------------------------------------------------------------
Communications Equipment -- 4.7%
--------------------------------------------------------------------------
3Com Corp.(1) 874,461 $ 50,390,815
ADC Telecommunications, Inc.(1) 442,121 37,082,911
Advanced Fibre Communication, Inc.(1) 15,000 679,687
Alcatel S.A. ADR 43,728 2,907,912
CIENA Corp.(1) 351,013 58,509,479
Comverse Technology, Inc.(1) 325,350 30,257,550
Comverse Technology, Inc.(1)(2)(3) 61,028 5,674,280
Corning, Inc. 342,017 92,301,838
JDS Uniphase Corp.(1) 266,080 31,896,340
Lucent Technologies, Inc. 814,303 48,247,453
Lucent Technologies, Inc.(2)(3) 300,000 17,771,265
Motorola, Inc. 1,707,270 49,617,534
Nokia Corp., Class A, ADR 4,135,270 206,505,046
Nortel Networks Corp. 1,330,280 90,791,610
Qualcomm, Inc.(1) 182,112 10,926,720
Qualcomm, Inc.(1)(2)(3) 162,000 9,719,190
Salient 3 Communications, Inc., Class
A(1) 78,125 942,383
Telefonaktiebolaget LM Ericsson, Class B
(ADR) 1,816,000 36,320,000
Tellabs, Inc.(1) 314,454 21,520,446
--------------------------------------------------------------------------
$ 802,062,459
--------------------------------------------------------------------------
Communications Services -- 4.8%
--------------------------------------------------------------------------
Alltel Corp. 1,649,309 $ 102,154,076
Alltel Corp.(2)(3) 96,978 6,002,967
Alltel Corp.(2)(3) 71,804 4,445,436
Alltel Corp.(2)(3) 30,000 1,857,267
American Tower Corp., Class A(1) 149,451 6,230,239
AT&T Corp. 1,784,415 56,432,139
<CAPTION>
SECURITY SHARES VALUE
<S> <C> <C>
--------------------------------------------------------------------------
Communications Services (continued)
--------------------------------------------------------------------------
Bell Atlantic Corp. 72,330 $ 3,675,268
BellSouth Corp. 220,723 9,408,318
Broadwing, Inc. 1,064,587 27,612,725
CapRock Communications Corp.(1)(2)(3) 207,590 4,046,386
Citizens Communications Co.(1) 45,311 781,615
Global Crossing Ltd.(1) 124,289 3,270,354
GTE Corp. 1,853,801 115,399,112
Intermedia Communications, Inc.(1) 153,275 4,559,931
ITC Deltacom, Inc.(1) 679,189 15,154,405
ITC Deltacom, Inc.(1)(2)(3) 438,852 9,791,069
McLeodUSA, Inc.(1) 1,151,754 23,826,911
McLeodUSA, Inc.(1)(2)(3) 180,000 3,723,440
McLeodUSA, Inc.(1)(2)(3) 1,788,114 36,960,787
McLeodUSA, Inc.(1)(2)(3) 150,000 3,091,488
Nextel Communications, Inc., Class A(1) 221,782 13,570,286
NTL, Inc.(1) 400,391 23,973,389
PTEK Holdings, Inc.(1) 28,000 91,000
RSL Communications Ltd., Class
A(1)(2)(3) 247,161 2,826,668
RSL Communications Ltd., Class
A(1)(2)(3) 500,000 5,715,176
SBC Communications, Inc. 1,342,704 58,071,948
Sprint Corp. 1,415,630 72,197,130
Sprint Corp.- PCS Group(1) 15,754 937,363
Talk.com, Inc.(1) 247,376 1,437,873
Telecom Corp. of New Zealand Ltd. ADR 8,000 225,000
Teleglobe, Inc.(1) 88,500 1,864,031
Telephone & Data Systems, Inc. 131,756 13,208,539
US West, Inc. 35,969 3,084,342
Viocestream Wireless
Corporation(1)(2)(3) 395,175 45,354,424
Vodafone AirTouch PLC ADR 58,345 2,417,671
Winstar Communications, Inc.(1) 17,136 580,482
WorldCom, Inc.(1) 2,929,572 134,394,116
--------------------------------------------------------------------------
$ 818,373,371
--------------------------------------------------------------------------
Computer Software -- 4.9%
--------------------------------------------------------------------------
Adobe Systems, Inc. 114,368 $ 14,867,840
Baan Co., NV ADR(1) 194,350 510,169
BMC Software, Inc.(1) 35,000 1,276,954
Cadence Design Systems, Inc.(1) 956,000 19,478,500
Cognos, Inc.(1) 77,000 3,185,875
Computer Associates International, Inc. 604,895 30,963,063
Compuware Corp.(1) 2,800 29,050
CSG Systems International, Inc.(1) 41,116 2,305,066
</TABLE>
SEE NOTES TO FINANCIAL STATEMENTS
17
<PAGE>
TAX-MANAGED GROWTH PORTFOLIO AS OF JUNE 30, 2000
PORTFOLIO OF INVESTMENTS (UNAUDITED) CONT'D
<TABLE>
<CAPTION>
SECURITY SHARES VALUE
<S> <C> <C>
--------------------------------------------------------------------------
Computer Software (continued)
--------------------------------------------------------------------------
Edwards (J.D.) & Co.(1) 592,758 $ 8,928,417
Edwards (J.D.) & Co.(1)(2)(3) 299,086 4,503,181
HNC Software, Inc.(1) 477,794 29,503,779
I2 Technologies, Inc.(1) 181,590 18,933,590
Intuit, Inc.(1) 1,157,751 47,901,948
Microsoft Corp.(1) 2,477,880 198,230,400
Oracle Corp.(1) 2,093,722 176,003,506
Parametric Technology Corp.(1) 94,600 1,040,600
PeopleSoft, Inc.(1) 395,770 6,629,147
Sapient Corp.(1) 1,024,914 109,601,741
Siebel Systems, Inc.(1) 834,314 136,462,484
Siebel Systems, Inc.(1)(2)(3) 30,000 4,904,912
Structural Dynamics Research Corp.(1) 55,882 841,723
Wind River Systems, Inc.(1) 179,235 6,788,526
--------------------------------------------------------------------------
$ 822,890,471
--------------------------------------------------------------------------
Computers and Business Equipment -- 7.9%
--------------------------------------------------------------------------
Cabletron Systems, Inc.(1) 89,660 $ 2,263,915
Cisco Systems, Inc.(1) 5,642,956 358,680,386
Compaq Computer Corp. 74,841 1,913,123
Dell Computer Corp.(1) 3,315,139 163,477,792
Dell Computer Corp.(1)(2)(3) 202,519 9,983,722
EMC Corp.(1) 426,118 32,784,454
Gateway, Inc.(1) 1,050,000 59,587,500
Hewlett-Packard Co. 567,711 70,892,911
IDX Systems Corp.(1) 60,000 847,500
International Business Machines Corp. 1,168,287 128,000,444
Jabil Circuit, Inc.(1)(2)(3) 45,958 2,280,476
Jabil Circuit, Inc.(1)(2)(3) 2,082,013 103,215,714
Lexmark International Group, Inc.(1) 4,036,940 271,484,215
Network Appliance, Inc.(1) 488,000 39,284,000
Pitney Bowes, Inc. 67,682 2,707,280
Seagate Technology, Inc.(1) 210,712 11,589,160
Solectron Corp.(1) 202,820 8,493,087
Solectron Corp.(1)(2)(3) 500,000 20,916,388
Sun Microsystems, Inc.(1) 251,715 22,890,333
Sun Microsystems, Inc.(1)(2)(3) 23,745 2,157,405
Xerox Corp. 1,490,142 30,920,446
Zebra Technologies Corp.(1) 6,000 265,875
--------------------------------------------------------------------------
$ 1,344,636,126
--------------------------------------------------------------------------
<CAPTION>
SECURITY SHARES VALUE
<S> <C> <C>
--------------------------------------------------------------------------
Conglomerates -- 1.9%
--------------------------------------------------------------------------
General Electric Co. 4,703,558 $ 249,288,574
Tyco International Ltd. 1,166,995 55,286,388
United Technologies Corp. 291,354 17,153,467
--------------------------------------------------------------------------
$ 321,728,429
--------------------------------------------------------------------------
Consumer Services -- 0.2%
--------------------------------------------------------------------------
Block (H&R), Inc. 982,877 $ 31,820,643
Cendant Corp.(1) 187,999 2,631,986
Service Corp. International 145,389 463,427
Stewart Enterprises, Inc. 153,992 543,792
--------------------------------------------------------------------------
$ 35,459,848
--------------------------------------------------------------------------
Containers and Packaging -- 0.2%
--------------------------------------------------------------------------
Sealed Air Corp.(1) 465,750 $ 24,393,656
Sonoco Products Co. 122,135 2,511,401
--------------------------------------------------------------------------
$ 26,905,057
--------------------------------------------------------------------------
Distribution Services -- 0.9%
--------------------------------------------------------------------------
Airgas, Inc.(1) 536,219 $ 3,049,746
Arrow Electronics, Inc.(1) 8,750 271,250
Cardinal Health, Inc. 550,151 40,711,174
McKesson HBOC, Inc. 96,692 2,024,489
MSC Industrial Direct Co.(1) 5,000 104,687
School Specialty, Inc.(1) 66,255 1,229,858
Sysco Corp. 2,369,722 99,824,539
Sysco Corp.(2)(3) 49,514 2,083,674
--------------------------------------------------------------------------
$ 149,299,417
--------------------------------------------------------------------------
Drugs -- 8.7%
--------------------------------------------------------------------------
Abbott Laboratories 3,348,164 $ 149,202,558
Allergan, Inc. 18,340 1,366,330
American Home Products Corp. 581,849 34,183,629
Amgen, Inc.(1) 2,168,715 152,352,229
Andrx Corporation(1) 93,750 5,992,678
AstraZeneca PLC ADR 80,720 3,753,480
Bristol-Myers Squibb Co. 1,158,622 67,489,731
Covance, Inc.(1) 81,250 716,016
Elan Corp., PLC ADR(1) 539,036 26,109,556
Genzyme Corp., Class A(1) 800,000 47,550,000
Gilead Sciences, Inc.(1) 34,043 2,421,308
Incyte Pharmaceuticals, Inc.(1) 575,737 47,318,385
</TABLE>
SEE NOTES TO FINANCIAL STATEMENTS
18
<PAGE>
TAX-MANAGED GROWTH PORTFOLIO AS OF JUNE 30, 2000
PORTFOLIO OF INVESTMENTS (UNAUDITED) CONT'D
<TABLE>
<CAPTION>
SECURITY SHARES VALUE
<S> <C> <C>
--------------------------------------------------------------------------
Drugs (continued)
--------------------------------------------------------------------------
Lilly (Eli) & Co. 1,061,145 $ 105,981,857
Merck & Co., Inc. 1,419,676 108,782,674
Novo Nordisk ADR 116,911 9,878,979
Parexel International Corp.(1) 35,000 334,687
Pfizer, Inc. 6,350,885 304,842,456
Pharmacia Corp. 2,467,755 127,552,087
Quintiles Transnational Corp.(1) 440,772 6,225,904
Schering-Plough Corp. 901,548 45,528,174
Schering-Plough Corp.(2)(3) 126,720 6,398,827
Sepracor, Inc.(1) 884,000 106,632,500
SmithKline Beecham PLC ADR 564,888 36,823,637
Teva Pharmaceutical Industries Ltd. 300,000 16,631,250
Vertex Pharmaceuticals, Inc.(1) 35,000 3,688,125
Watson Pharmaceuticals, Inc.(1) 981,781 52,770,729
--------------------------------------------------------------------------
$ 1,470,527,786
--------------------------------------------------------------------------
Electric Power -- 0.1%
--------------------------------------------------------------------------
AES Corp.(1) 223,084 $ 10,178,207
Ameren Corp. 5,000 168,750
American Electric Power, Inc. 960 28,440
Dominion Resources, Inc. 28,938 1,240,717
Duke Energy Corp. 1,800 101,475
P G & E Corp. 47,705 1,174,736
Teco Energy, Inc. 40,000 802,500
TXU Corp. 250,196 7,380,782
Wisconsin Energy Corp. 9,576 189,724
--------------------------------------------------------------------------
$ 21,265,331
--------------------------------------------------------------------------
Electrical Equipment -- 0.3%
--------------------------------------------------------------------------
American Power Conversion Corp.(1) 400,000 $ 16,325,000
Baldor Electric Co. 149,060 2,776,243
Emerson Electric Co. 337,467 20,374,570
Molex, Inc., Class A 112,582 3,940,370
Rockwell International Corp. 203,032 6,395,508
Thomas and Betts Corp. 110,263 2,108,780
--------------------------------------------------------------------------
$ 51,920,471
--------------------------------------------------------------------------
Electronics - Instruments -- 0.4%
--------------------------------------------------------------------------
Agilent Technologies, Inc.(1) 216,524 $ 15,968,645
Dionex Corp.(1) 362,140 9,687,245
National Instruments Corp.(1)(2)(3) 466,603 20,353,860
PerkinElmer, Inc. 100,000 6,612,500
<CAPTION>
SECURITY SHARES VALUE
<S> <C> <C>
--------------------------------------------------------------------------
Electronics - Instruments (continued)
--------------------------------------------------------------------------
Waters Corp.(1) 99,160 $ 12,376,407
X-Rite, Inc. 428,000 3,905,500
--------------------------------------------------------------------------
$ 68,904,157
--------------------------------------------------------------------------
Electronics - Semiconductors and Related -- 5.9%
--------------------------------------------------------------------------
Altera Corp.(1) 40,258 $ 4,103,800
Analog Devices, Inc.(1) 3,108,928 236,278,528
Applied Materials, Inc.(1) 12,000 1,087,500
Applied Materials, Inc.(1)(2)(3) 56,212 5,092,175
Broadcom Corp., Class A(1)(2)(3) 234,000 51,216,006
Burr-Brown Corp.(1) 900,000 78,018,750
Conexant Systems(1) 317,574 15,442,036
Cypress Semiconductor Corporation(1) 87,500 3,696,875
Intel Corp. 2,803,247 374,759,083
KLA-Tencor Corp.(1) 101,498 5,943,977
Lam Research Corp.(1) 318,000 11,925,000
Linear Technologies Corp. 264,000 16,879,500
Maxim Integrated Products Co.(1) 194,351 13,203,721
Maxim Integrated Products Co.(1)(2)(3) 80,000 5,433,641
National Semiconductor Corp.(1) 79,368 4,504,134
Plexus Corp.(1) 38,113 4,306,769
Sanmina Corp.(1) 445,720 38,109,060
Sanmina Corp.(1)(2)(3) 261,218 22,325,205
SpeedFam-IPEC, Inc.(1) 221,000 4,019,437
Teradyne, Inc.(1) 25,400 1,866,900
Texas Instruments, Inc. 1,450,854 99,655,534
Ultratech Stepper, Inc.(1) 245,129 3,646,294
Xilinx, Inc.(1) 62,685 5,175,430
--------------------------------------------------------------------------
$ 1,006,689,355
--------------------------------------------------------------------------
Engineering and Construction -- 0.1%
--------------------------------------------------------------------------
Dycom Industries(1) 75,000 $ 3,450,000
Jacobs Engineering Group, Inc.(1) 162,455 5,310,248
--------------------------------------------------------------------------
$ 8,760,248
--------------------------------------------------------------------------
Entertainment -- 1.3%
--------------------------------------------------------------------------
Callaway Golf Co. 35,715 $ 582,601
Disney (Walt) Co. 1,574,195 61,098,443
Fox Entertainment Group, Inc.(1) 275,500 8,368,312
Mattel, Inc. 22,091 291,325
MGM Grand, Inc. 219,445 7,049,671
Seagram Company Ltd. (The) 10,000 580,000
</TABLE>
SEE NOTES TO FINANCIAL STATEMENTS
19
<PAGE>
TAX-MANAGED GROWTH PORTFOLIO AS OF JUNE 30, 2000
PORTFOLIO OF INVESTMENTS (UNAUDITED) CONT'D
<TABLE>
<CAPTION>
SECURITY SHARES VALUE
<S> <C> <C>
--------------------------------------------------------------------------
Entertainment (continued)
--------------------------------------------------------------------------
Time Warner Inc. 1,310,539 $ 99,600,964
Viacom, Inc., Class A(1) 21,774 1,488,797
Viacom, Inc., Class B(1) 590,037 40,233,148
--------------------------------------------------------------------------
$ 219,293,261
--------------------------------------------------------------------------
Environmental Services -- 0.2%
--------------------------------------------------------------------------
Allied Waste Industries, Inc.(1) 1,075,000 $ 10,750,000
Waste Management, Inc. 1,402,239 26,642,541
--------------------------------------------------------------------------
$ 37,392,541
--------------------------------------------------------------------------
Financial Services - Miscellaneous -- 2.6%
--------------------------------------------------------------------------
American Express Co. 1,925,286 $ 100,355,533
Associates First Capital Corp. 593,830 13,249,832
Capital One Financial Corp. 515,175 22,989,684
Citigroup 2,517,256 151,664,674
Enhance Financial Service Group Inc. 70,000 1,006,250
Fannie Mae 947,040 49,423,650
Finova Group, Inc. 175,587 2,282,631
FirstPlus Financial Group, Inc.(1) 120,000 32,700
Freddie Mac 364,900 14,778,450
GreenPoint Financial Corp. 100,000 1,875,000
Household International, Inc. 1,147,679 47,700,408
ING Groep NV ADR 104,200 7,033,500
MGIC Investment Corp. 80,000 3,640,000
Providian Financial Corp. 370,378 33,334,020
--------------------------------------------------------------------------
$ 449,366,332
--------------------------------------------------------------------------
Foods -- 1.4%
--------------------------------------------------------------------------
Archer-Daniels-Midland Co. 385,946 $ 3,787,095
Bestfoods 19,370 1,341,372
Campbell Soup Co. 336 9,786
Conagra, Inc. 705,229 13,443,428
Dean Foods Co. 150,944 4,783,038
Flowers Industries, Inc. 708,601 14,127,732
General Mills, Inc. 124,508 4,762,431
Heinz (H.J.) Co. 179,240 7,841,750
Hershey Foods Corp. 1,214,931 58,924,153
Keebler Food Products Co. 121,798 4,521,751
Keebler Food Products Co.(2)(3) 28,300 1,049,578
Kellogg Co. 97,974 2,914,726
McCormick & Co., Inc. 458,058 14,886,885
Nabisco Holdings Corp., Class A 100,000 5,250,000
<CAPTION>
SECURITY SHARES VALUE
<S> <C> <C>
--------------------------------------------------------------------------
Foods (continued)
--------------------------------------------------------------------------
Quaker Oats Co. (The) 110,329 $ 8,288,466
Ralston Purina Group 277,878 5,540,193
Riviana Foods, Inc. 250,000 4,359,375
Sara Lee Corp. 1,571,388 30,347,431
Smithfield Foods, Inc.(1) 490,191 13,755,985
Tyson Food, Inc. 163,901 1,434,134
Unilever ADR 400,000 17,200,000
Wrigley (Wm.) Jr. Co. 171,469 13,749,670
--------------------------------------------------------------------------
$ 232,318,979
--------------------------------------------------------------------------
Furniture and Appliances -- 0.3%
--------------------------------------------------------------------------
HON Industries, Inc. 1,270,418 $ 29,854,823
Leggett & Platt, Inc. 644,128 10,628,112
Miller (Herman), Inc. 420,000 10,867,500
Steelcase, Inc., Class A 123,000 2,091,000
--------------------------------------------------------------------------
$ 53,441,435
--------------------------------------------------------------------------
Health Services -- 0.3%
--------------------------------------------------------------------------
Beverly Enterprises, Inc.(1) 357,143 $ 1,004,465
Caremark Rx, Inc.(1) 17,696 120,554
FPA Medical Management, Inc.(1)(2) 315,000 3,150
Health Management Associates, Inc.,
Class A(1) 1,161,170 15,167,783
HealthSouth Corp.(1) 122,699 881,899
LabOne, Inc. 53,940 303,412
Orthodontic Centers of America, Inc.(1) 100,000 2,262,500
Pacificare Health Systems, Inc., Class
A(1) 19,500 1,173,656
PhyCor, Inc.(1) 312,500 195,312
Quest Diagnostics, Inc.(1) 15,625 1,167,969
Quorum Health Group, Inc.(1) 6,893 71,084
Renal Care Group, Inc.(1) 371,507 9,084,498
Response Oncology, Inc.(1) 44,761 40,567
Sunrise Assisted Living, Inc.(1) 354,000 6,549,000
UnitedHealth Group, Inc. 52,286 4,483,524
--------------------------------------------------------------------------
$ 42,509,373
--------------------------------------------------------------------------
Household Products -- 2.9%
--------------------------------------------------------------------------
Avon Products, Inc. 34,700 $ 1,544,150
Blyth Industries, Inc. 874,000 25,783,000
Blyth Industries, Inc.(2)(3) 35,068 1,034,092
Clorox Co. 421,344 18,881,478
Colgate-Palmolive Co. 1,201,350 71,930,831
Energizer Holdings, Inc.(1) 92,626 1,690,424
</TABLE>
SEE NOTES TO FINANCIAL STATEMENTS
20
<PAGE>
TAX-MANAGED GROWTH PORTFOLIO AS OF JUNE 30, 2000
PORTFOLIO OF INVESTMENTS (UNAUDITED) CONT'D
<TABLE>
<CAPTION>
SECURITY SHARES VALUE
<S> <C> <C>
--------------------------------------------------------------------------
Household Products (continued)
--------------------------------------------------------------------------
Fortune Brands, Inc. 69,838 $ 1,610,639
Gillette Co. 4,638,557 162,059,585
Helen of Troy Ltd.(1) 20,000 111,876
Kimberly-Clark Corp. 1,116,940 64,084,433
Lauder (Estee) Companies Inc. 2,192,312 108,382,424
Newell Rubbermaid, Inc. 367,678 9,467,708
Procter & Gamble Co. 480,046 27,482,633
Water Pik Technologies, Inc.(1) 2,141 13,381
--------------------------------------------------------------------------
$ 494,076,654
--------------------------------------------------------------------------
Industrial Equipment -- 0.4%
--------------------------------------------------------------------------
Dover Corp. 419,712 $ 17,024,568
DT Industries, Inc.(1) 37,728 353,700
Federal Signal Corp. 283,471 4,677,271
Illinois Tool Works, Inc. 353,210 20,132,970
Johnson Controls 13,571 696,362
Nordson Corp. 50,000 2,531,250
Parker-Hannifin Corp. 150,898 5,168,257
PPG Industries, Inc. 13,680 606,195
Regal-Beloit Corp. 265,000 4,256,562
Tecumseh Products Co., Class A 156,420 5,973,289
Wabtec 250,000 2,593,750
--------------------------------------------------------------------------
$ 64,014,174
--------------------------------------------------------------------------
Information Services -- 3.8%
--------------------------------------------------------------------------
Acxiom Corp.(1) 929,019 $ 25,315,768
America Online, Inc.(1) 166,177 8,765,837
At Home Corp., Series A(1) 240,582 4,992,076
At Home Corp., Series A(2)(3) 171,895 3,563,493
Automatic Data Processing, Inc. 5,382,232 288,285,802
Bell and Howell Co.(1) 115,000 2,788,750
BISYS Group, Inc. (The)(1) 53,873 3,313,189
Ceridian Corp.(1) 181,000 4,355,312
Check Point Software Technology(1) 52,000 11,011,000
Circle.com(1) 120,625 444,805
Computer Sciences Corp.(1) 2,051,802 153,243,962
DST Systems, Inc.(1) 184,517 14,046,357
Dun and Bradstreet Corp. (The) 15,428 441,626
Electronic Data Systems Corp. 157,612 6,501,495
Equifax, Inc. 80,000 2,100,000
First Data Corp. 627,384 31,133,931
Keane, Inc.(1) 200,000 4,325,000
<CAPTION>
SECURITY SHARES VALUE
<S> <C> <C>
--------------------------------------------------------------------------
Information Services (continued)
--------------------------------------------------------------------------
Lason, Inc.(1) 355,000 $ 887,500
NOVA Corp.(1) 104,965 2,932,460
Paychex, Inc. 206,946 8,691,732
Perot Systems Corp., Class A(1) 245,326 2,698,586
Reuters Holdings PLC ADR 275,331 27,515,892
Reynolds & Reynolds, Inc., Class A 451,043 8,231,535
RSA Security, Inc.(1) 40,000 2,770,000
SunGard Data Systems, Inc.(1) 948,797 29,412,707
--------------------------------------------------------------------------
$ 647,768,815
--------------------------------------------------------------------------
Insurance -- 6.1%
--------------------------------------------------------------------------
21st Century Insurance Group 70,700 $ 1,113,525
Aegon, NV ADR 2,653,610 94,534,856
Aetna, Inc. 60,189 3,863,381
Aflac Corp. 117,990 5,420,166
Allmerica Financial Corp. 1,500 78,562
Allstate Corp. (The) 40,426 899,478
American General Corp. 101,421 6,186,681
American International Group, Inc. 3,461,534 406,730,245
American International Group, Inc.(2)(3) 250,000 29,344,156
AON Corp. 619,100 19,230,794
Berkshire Hathaway, Inc.(1) 127 6,832,600
Berkshire Hathaway, Inc., Class B(1) 39,077 68,775,520
Chubb Corp. 101,050 6,214,575
Commerce Group, Inc. 120,000 3,540,000
Delphi Financial Group, Inc.(1) 6,448 218,829
Gallagher (A.J.) and Co. 261,250 10,972,500
Hartford Financial Services Group 304 17,005
HSB Group, Inc. 75,000 2,334,375
Jefferson-Pilot Corp. 80,726 4,555,974
Kansas City Life Insurance Co. 70,800 1,902,750
Marsh & McLennan Cos., Inc. 2,645,897 276,330,868
Mercury General Corp. 2,000 47,250
MetLife, Inc.(1) 1,885,000 39,702,812
Mutual Risk Management Ltd. 240,000 4,155,000
Progressive Corp. 181,111 13,402,214
Protective Life Corp. 43,381 1,155,019
Reliastar Financial Corp. 87,000 4,562,063
Safeco Corp. 25,332 503,474
St. Paul Cos., Inc. (The) 305,212 10,415,360
Torchmark Corp. 222,850 5,501,609
</TABLE>
SEE NOTES TO FINANCIAL STATEMENTS
21
<PAGE>
TAX-MANAGED GROWTH PORTFOLIO AS OF JUNE 30, 2000
PORTFOLIO OF INVESTMENTS (UNAUDITED) CONT'D
<TABLE>
<CAPTION>
SECURITY SHARES VALUE
<S> <C> <C>
--------------------------------------------------------------------------
Insurance (continued)
--------------------------------------------------------------------------
UICI(1) 160,854 $ 1,055,604
--------------------------------------------------------------------------
$ 1,029,597,245
--------------------------------------------------------------------------
Investment Services -- 3.1%
--------------------------------------------------------------------------
Dain Rauscher Corporation 34,784 $ 2,295,744
E*Trade Group, Inc.(1) 771,248 12,725,592
Federated Investors, Inc. 318,085 11,152,855
Federated Investors, Inc.(2)(3) 252,000 8,826,841
Federated Investors, Inc., Class B(2)(3) 267,880 9,389,725
Federated Investors, Inc., Class B(2)(3) 252,000 8,826,472
Franklin Resources, Inc. 1,146,081 34,812,210
Kansas City Southern Industries, Inc. 30,430 2,698,761
Merrill Lynch & Co., Inc. 1,217,161 139,973,515
Morgan Stanley Dean Witter & Co. 2,012,782 167,564,102
Morgan Stanley Dean Witter & Co.(2)(3) 1,038,654 86,460,740
Morgan Stanley Dean Witter & Co.(2)(3) 42,000 3,495,101
Nuveen (John) Co., Class A (The) 50,000 2,096,875
Price (T. Rowe) Associates, Inc. 139,176 5,914,980
Schwab (Charles) and Co., Inc. 881,250 29,632,031
Waddell & Reed Financial, Inc., Class A 19,020 624,094
Waddell & Reed Financial, Inc., Class B 81,862 2,379,114
--------------------------------------------------------------------------
$ 528,868,752
--------------------------------------------------------------------------
Lodging and Gaming -- 0.1%
--------------------------------------------------------------------------
Marriott International, Inc., Class A 87,206 $ 3,144,866
Royal Caribbean Cruises Ltd. 500,000 9,250,000
Wyndham International, Class A(1) 132,212 330,530
--------------------------------------------------------------------------
$ 12,725,396
--------------------------------------------------------------------------
Medical Products -- 3.7%
--------------------------------------------------------------------------
Bausch & Lomb, Inc. 145,054 $ 11,223,553
Baxter International, Inc. 1,478,572 103,962,094
Becton, Dickinson and Co. 36,245 1,039,778
Boston Scientific Corp.(1) 344,300 7,553,081
Boston Scientific Corp.(1)(2)(3) 137,500 3,016,155
Boston Scientific Corp.(1)(2)(3) 59,844 1,312,303
Dentsply International, Inc. 42,000 1,294,125
Edwards Lifesciences Corp.(1) 295,714 5,470,709
ESC Medical Systems Ltd.(1) 180,000 2,947,500
Genzyme Surgical Products(1) 143,208 1,423,130
Guidant Corp.(1) 453,816 22,463,892
Heartport, Inc.(1) 41,026 117,950
<CAPTION>
SECURITY SHARES VALUE
<S> <C> <C>
--------------------------------------------------------------------------
Medical Products (continued)
--------------------------------------------------------------------------
Hillenbrand Industries, Inc. 647,898 $ 20,287,306
Johnson & Johnson Co. 2,382,744 242,742,045
Medtronic, Inc. 3,177,451 158,276,778
MiniMed, Inc.(1)(2)(3) 202,600 23,897,237
Schein (Henry), Corp.(1) 1,125,194 19,409,597
St. Jude Medical, Inc.(1) 42,144 1,933,356
Steris Corp.(1) 78,394 695,747
VISX, Inc.(1) 50,000 1,403,125
--------------------------------------------------------------------------
$ 630,469,461
--------------------------------------------------------------------------
Metals - Industrial -- 0.4%
--------------------------------------------------------------------------
Alcoa, Inc. 1,896,000 $ 54,984,000
Allegheny Technologies, Inc. 21,408 385,344
Nucor Corp. 221,462 7,349,770
Phelps Dodge Corp. 7,332 272,659
Steel Dynamics, Inc.(1) 291,800 2,644,438
Steel Dynamics, Inc.(1)(2)(3) 20,000 181,196
Worthington Industries 147,466 1,548,393
--------------------------------------------------------------------------
$ 67,365,800
--------------------------------------------------------------------------
Natural Gas Distribution -- 0.3%
--------------------------------------------------------------------------
Dynegy, Inc. 200,100 $ 13,669,331
Kinder Morgan, Inc. 1,230,000 42,511,875
National Fuel Gas Co. 2,000 97,500
--------------------------------------------------------------------------
$ 56,278,706
--------------------------------------------------------------------------
Oil and Gas - Equipment and Services -- 2.3%
--------------------------------------------------------------------------
Baker Hughes, Inc. 746,804 $ 23,897,728
Core Laboratories NV(1) 1,049,214 30,427,206
Grant Prideco, Inc.(1) 98,002 2,450,050
Grant Prideco, Inc.(1)(2)(3) 65,679 1,640,560
Halliburton Co. 2,957,050 139,535,797
Nabors Industries, Inc.(1)(2)(3) 150,000 6,227,829
Nabors Industries, Inc.(1)(2)(3) 400,000 16,618,350
National-Oilwell, Inc.(1) 398,417 13,097,959
National-Oilwell, Inc.(1)(2)(3) 115,645 3,801,449
National-Oilwell, Inc.(1)(2)(3) 127,137 4,178,717
Newpark Resources, Inc.(1) 110,000 1,038,125
Noble Drilling, Inc.(1) 170,000 7,001,875
Patterson Energy, Inc.(1) 200,000 5,700,000
Schlumberger Ltd. 1,498,775 111,846,084
Smith International, Inc.(1) 70,000 5,096,875
</TABLE>
SEE NOTES TO FINANCIAL STATEMENTS
22
<PAGE>
TAX-MANAGED GROWTH PORTFOLIO AS OF JUNE 30, 2000
PORTFOLIO OF INVESTMENTS (UNAUDITED) CONT'D
<TABLE>
<CAPTION>
SECURITY SHARES VALUE
<S> <C> <C>
--------------------------------------------------------------------------
Oil and Gas - Equipment and Services (continued)
--------------------------------------------------------------------------
Syntroleum Corp.(1) 2,735 $ 46,837
Transocean Sedco Forex, Inc. 237,456 12,689,055
Valero Energy Corp. 51,510 1,635,443
Weatherford International(1)(2)(3) 65,679 2,613,558
Weatherford International(1) 98,002 3,901,705
--------------------------------------------------------------------------
$ 393,445,202
--------------------------------------------------------------------------
Oil and Gas - Exploration and Production -- 1.0%
--------------------------------------------------------------------------
Anadarko Petroleum Corp. 2,554,000 $ 125,944,125
Apache Corp. 200,003 11,762,676
Burlington Resources, Inc. 428,629 16,395,059
El Paso Energy Corp. 176,306 8,980,587
Kerr - McGee Corp. 136,199 8,027,229
Newfield Exploration Co.(1)(2)(3) 60,000 2,346,033
Union Pacific Resources Group, Inc. 79,795 1,755,490
USX-Marathon Group 50,000 1,253,125
--------------------------------------------------------------------------
$ 176,464,324
--------------------------------------------------------------------------
Oil and Gas - Integrated -- 1.1%
--------------------------------------------------------------------------
BP Amoco PLC ADR 1,226,841 $ 69,393,194
Chevron Corp. 93,409 7,922,251
Exxon Mobil Corp. 1,063,012 83,446,442
Murphy Oil Corp. 29,700 1,765,294
Pennzoil-Quaker State Co. 74,457 898,138
Phillips Petroleum Co. 18,407 933,005
Royal Dutch Petroleum Co. 48,037 2,957,278
Texaco, Inc. 2,500 133,125
Tosco Corp. 614,619 17,401,400
--------------------------------------------------------------------------
$ 184,850,127
--------------------------------------------------------------------------
Paper and Forest Products -- 0.3%
--------------------------------------------------------------------------
Caraustar Industries, Inc. 264,862 $ 4,006,038
Fort James Corp. 56,401 1,304,273
Georgia-Pacific Corp. - G-P Group 647,827 17,005,459
Georgia-Pacific Corp. - Timber Group 305,098 6,597,744
International Paper Co. 159,442 4,753,365
Louisiana Pacific Corp. 70,750 769,406
Mead Corporation (The) 38,768 978,892
Temple Inland, Inc. 12,632 530,544
Weyerhaeuser Co. 119,608 5,143,144
<CAPTION>
SECURITY SHARES VALUE
<S> <C> <C>
--------------------------------------------------------------------------
Paper and Forest Products (continued)
--------------------------------------------------------------------------
Willamette Industries, Inc. 151,412 $ 4,125,977
--------------------------------------------------------------------------
$ 45,214,842
--------------------------------------------------------------------------
Photography -- 0.0%
--------------------------------------------------------------------------
Eastman Kodak Co. 122,529 $ 7,290,476
--------------------------------------------------------------------------
$ 7,290,476
--------------------------------------------------------------------------
Printing and Business Products -- 0.7%
--------------------------------------------------------------------------
Avery Dennison Corp. 1,501,504 $ 100,788,456
Banta Corp. 42,341 801,833
Bowne & Co., Inc. 172,640 1,737,190
Consolidated Graphics, Inc.(1) 70,215 658,266
Day Runner, Inc.(1) 1,600 1,800
Deluxe Corp. 80,675 1,900,905
Donnelley (R.R.) & Sons Co. 85,277 1,924,062
Harland (John H.) Co. 51,540 769,879
Ikon Office Solutions, Inc. 166,094 643,614
Workflow Management, Inc.(1) 79,507 944,146
--------------------------------------------------------------------------
$ 110,170,151
--------------------------------------------------------------------------
Publishing -- 1.3%
--------------------------------------------------------------------------
Belo (A.H.) Corp. 542,924 $ 9,399,372
Dow Jones & Co., Inc. 376,300 27,563,975
Gannett Co., Inc. 497,800 29,774,663
Houghton Mifflin Co. 97,400 4,547,363
McGraw-Hill Companies, Inc. (The) 2,379,380 128,486,520
Meredith Corp. 190,000 6,412,500
New York Times Co. (The), Class A 313,055 12,365,673
The MacClatchy Co., Class A 48,066 1,592,186
Tribune Co. 26,200 917,000
Washington Post Co. (The), Class B 3,600 1,720,800
--------------------------------------------------------------------------
$ 222,780,052
--------------------------------------------------------------------------
Real Estate -- 0.1%
--------------------------------------------------------------------------
Avalonbay Communities, Inc. 55,000 $ 2,296,250
Catellus Development Corp.(1) 415,722 6,235,830
Equity Office Properties Trust 2,812 77,506
Jones Lang Lasalle, Inc.(1) 213,193 2,851,456
Rouse Co. (The) 127,700 3,160,575
Trammell Crow Co.(1) 876,098 9,418,054
</TABLE>
SEE NOTES TO FINANCIAL STATEMENTS
23
<PAGE>
TAX-MANAGED GROWTH PORTFOLIO AS OF JUNE 30, 2000
PORTFOLIO OF INVESTMENTS (UNAUDITED) CONT'D
<TABLE>
<CAPTION>
SECURITY SHARES VALUE
<S> <C> <C>
--------------------------------------------------------------------------
Real Estate (continued)
--------------------------------------------------------------------------
Ventas, Inc.(1) 25,600 $ 81,600
--------------------------------------------------------------------------
$ 24,121,271
--------------------------------------------------------------------------
Restaurants -- 0.9%
--------------------------------------------------------------------------
Boston Chicken, Inc.(1)(2) 38,500 $ 385
Brinker International, Inc.(1) 435,034 12,724,745
CBRL Group, Inc. 62,047 911,315
CKE Restaurants, Inc. 126,522 379,566
Evans (Bob) Farms, Inc. 48,193 719,883
Jack in the Box, Inc.(1) 500,000 12,312,500
Lone Star Steakhouse and Saloon, Inc.(1) 345,981 3,503,058
McDonald's Corp. 1,470,592 48,437,624
Outback Steakhouse, Inc.(1) 685,923 20,063,248
Outback Steakhouse, Inc.(1)(2)(3) 600,000 17,532,300
Papa John's International, Inc.(1) 125,200 3,067,400
Papa John's International, Inc.(1)(2)(3) 23,000 563,453
Papa John's International, Inc.(1)(2)(3) 49,046 1,201,146
Sonic Corp.(1) 47,338 1,390,554
Starbucks Corp.(1) 684,000 26,120,250
Tricon Global Restaurants, Inc.(1) 219,121 6,190,168
--------------------------------------------------------------------------
$ 155,117,595
--------------------------------------------------------------------------
Retail - Food and Drug -- 1.7%
--------------------------------------------------------------------------
Albertson's, Inc. 1,220,341 $ 40,576,338
CVS Corp. 1,831,571 73,262,840
Hannaford Brothers Co. 96,349 6,925,084
Kroger Co. (The)(1) 52,440 1,156,958
Safeway, Inc.(1) 3,377,233 152,397,639
Walgreen Co. 127,500 4,103,906
Winn-Dixie Stores, Inc. 727,722 10,415,521
--------------------------------------------------------------------------
$ 288,838,286
--------------------------------------------------------------------------
Retail - General -- 1.7%
--------------------------------------------------------------------------
99 Cents Only Stores(1) 571,116 $ 22,773,251
Casey's General Stores, Inc. 75,000 778,125
Costco Wholesale Corporation(1) 20,435 674,355
Department 56, Inc.(1) 255,162 2,806,782
Dollar General Corp. 249,983 4,874,669
Dollar Tree Stores, Inc.(1) 1,386,315 54,846,087
Dollar Tree Stores, Inc.(1)(2)(3) 131,941 5,218,350
Family Dollar Stores 1,353,705 26,481,854
Family Dollar Stores(2)(3) 1,259,373 24,630,325
<CAPTION>
SECURITY SHARES VALUE
<S> <C> <C>
--------------------------------------------------------------------------
Retail - General (continued)
--------------------------------------------------------------------------
May Department Stores Co. (The) 562,886 $ 13,509,264
Nordstrom, Inc. 65,692 1,584,820
Penney (J.C.) Company, Inc. 1,037,388 19,126,841
Sears Roebuck & Co. 15,750 513,844
Wal-Mart Stores, Inc. 1,899,755 109,473,382
--------------------------------------------------------------------------
$ 287,291,949
--------------------------------------------------------------------------
Retail - Specialty and Apparel -- 2.5%
--------------------------------------------------------------------------
Abercrombie and Fitch Co., Class A(1) 5,604 $ 68,299
AutoNation, Inc.(1) 5,518,303 38,973,015
Burlington Coat Factory Warehouse Corp. 628,228 6,792,715
Circuit City Stores-Circuit City Group 16,000 531,000
Circuit City Stores-Circuit City
Group(2)(3) 200,000 6,634,845
Gap, Inc. (The) 2,241,776 70,055,500
Harcourt General, Inc. 216,416 11,767,620
Home Depot, Inc. (The) 3,904,168 194,964,390
Intimate Brands, Inc.(1)(2)(3) 53,000 1,046,331
Limited, Inc. (The) 616,050 13,322,081
Lowe's Companies 60,000 2,463,750
Neiman Marcus Group, Inc. (The), Class
B(1) 65,206 1,809,467
Office Depot, Inc.(1) 303,219 1,895,119
OfficeMax, Inc.(1) 912,117 4,560,585
Payless Shoesource, Inc.(1) 7,700 394,625
Pep Boys - Manny, Moe & Jack (The) 97,976 587,856
Pier 1 Imports, Inc. 350,000 3,412,500
RadioShack Corporation 443,401 21,006,122
Staples, Inc.(1) 1,050,000 16,143,750
Tiffany and Co. 44,000 2,970,000
TJX Companies, Inc. (The) 1,000,000 18,750,000
Too, Inc.(1) 39,087 994,276
--------------------------------------------------------------------------
$ 419,143,846
--------------------------------------------------------------------------
Specialty Chemicals and Materials -- 0.7%
--------------------------------------------------------------------------
Arch Chemicals, Inc. 4,950 $ 108,281
Dexter Corp. (The) 36,139 1,734,672
Ecolab, Inc. 2,023,981 79,061,758
International Flavors & Fragrances, Inc. 148,101 4,470,799
MacDermid, Inc. 61,937 1,455,520
Millipore Corp. 101,440 7,646,040
Minnesota Mining & Manufacturing Co. 114,851 9,475,208
Olin Corp. 9,900 163,350
Pall Corp. 216,000 3,996,000
</TABLE>
SEE NOTES TO FINANCIAL STATEMENTS
24
<PAGE>
TAX-MANAGED GROWTH PORTFOLIO AS OF JUNE 30, 2000
PORTFOLIO OF INVESTMENTS (UNAUDITED) CONT'D
<TABLE>
<CAPTION>
SECURITY SHARES VALUE
<S> <C> <C>
--------------------------------------------------------------------------
Specialty Chemicals and Materials (continued)
--------------------------------------------------------------------------
RPM, Inc. 470,138 $ 4,760,147
Sigma Aldrich Corp. 195,000 5,703,750
--------------------------------------------------------------------------
$ 118,575,525
--------------------------------------------------------------------------
Tobacco -- 0.1%
--------------------------------------------------------------------------
Philip Morris Co., Inc. 481,024 $ 12,777,200
--------------------------------------------------------------------------
$ 12,777,200
--------------------------------------------------------------------------
Transportation -- 0.9%
--------------------------------------------------------------------------
Arnold Industries, Inc. 148,543 $ 1,791,800
Burlington Northern Santa Fe Corp. 214,916 4,929,636
CSX Corp. 36,496 773,259
FedEx Corp.(1) 1,995,106 75,814,028
Florida East Coast Industries, Inc. 122,888 4,915,520
Heartland Express, Inc.(1) 250,000 4,171,875
Norfolk Southern Corp. 390 5,801
Robinson (C.H.) Worldwide, Inc. 87,672 4,339,764
Robinson (C.H.) Worldwide, Inc.(2)(3) 121,000 5,987,104
Robinson (C.H.) Worldwide, Inc.(2)(3) 160,000 7,912,014
Union Pacific Corp. 92,081 3,424,262
United Parcel Service, Inc., Class B 760,760 44,884,840
--------------------------------------------------------------------------
$ 158,949,903
--------------------------------------------------------------------------
Trucks and Parts -- 0.0%
--------------------------------------------------------------------------
Paccar, Inc. 12,894 $ 511,731
--------------------------------------------------------------------------
$ 511,731
--------------------------------------------------------------------------
Total Common Stocks
(identified cost $11,309,824,206) $16,237,468,614
--------------------------------------------------------------------------
</TABLE>
PUT OPTIONS PURCHASED -- 0.0%
<TABLE>
<CAPTION>
SECURITY SHARES VALUE
<S> <C> <C>
--------------------------------------------------------------------------
Computers and Business Equipment -- 0.0%
--------------------------------------------------------------------------
Cisco Systems, Expires 10/21/00, Strike
Price 70 360,000 $ 4,005,000
--------------------------------------------------------------------------
$ 4,005,000
--------------------------------------------------------------------------
Total Put Options Purchased
(identified cost $2,888,300) $ 4,005,000
--------------------------------------------------------------------------
</TABLE>
COMMERCIAL PAPER -- 4.3%
<TABLE>
<CAPTION>
PRINCIPAL
AMOUNT
SECURITY (000'S OMITTED) VALUE
<S> <C> <C>
--------------------------------------------------------------------------
American Express Credit Corp.,
6.78%, 7/7/00 $ 135,314 $ 135,161,095
Asset Securities Cooperative Corp.,
6.52%, 7/10/00 85,000 84,861,450
Associates Corp. of North America,
6.89%, 7/3/00 90,826 90,791,234
CIT Group Holdings, 6.77%, 7/6/00 75,949 75,877,587
Corporate Asset Funding, 6.55%, 7/21/00 60,000 59,781,666
Ford Motor Credit Corp., 6.59%, 7/3/00 93,852 93,817,640
Prudential Funding Corp., 6.77%, 7/5/00 186,937 186,796,382
--------------------------------------------------------------------------
Total Commercial Paper
(at amortized cost, $727,087,054) $ 727,087,054
--------------------------------------------------------------------------
Total Investments -- 100.0%
(identified cost $12,039,799,560) $16,968,560,668
--------------------------------------------------------------------------
</TABLE>
SECURITIES SOLD SHORT -- 0.2%
<TABLE>
<CAPTION>
SECURITY SHARES VALUE
<S> <C> <C>
--------------------------------------------------------------------------
Cisco Systems, Inc. 100,000 $ (31,781,250)
--------------------------------------------------------------------------
Total Securities Sold Short
(proceeds - $33,174,944) $ (31,781,250)
--------------------------------------------------------------------------
Other Assets, Less Liabilities
excluding securities sold short -- 0.2% $ 38,996,646
--------------------------------------------------------------------------
Net Assets -- 100.0% $16,975,776,064
--------------------------------------------------------------------------
</TABLE>
ADR - American Depositary Receipt
(1) Non-income producing security.
(2) Security valued at fair value using methods determined in good faith by
or at the direction of the Trustees.
(3) Security restricted from resale for a period not exceeding one year. At
June 30, 2000, the value of these securities totaled $740,159,056 or
4.4% of net assets.
SEE NOTES TO FINANCIAL STATEMENTS
25
<PAGE>
TAX-MANAGED GROWTH PORTFOLIO AS OF JUNE 30, 2000
FINANCIAL STATEMENTS (UNAUDITED)
STATEMENT OF ASSETS AND LIABILITIES
<TABLE>
<CAPTION>
AS OF JUNE 30, 2000
<S> <C>
Assets
---------------------------------------------------------
Investments, at value
(identified cost, $12,039,799,560) $16,968,560,668
Cash 4,407,735
Receivable for investments sold 79,190,600
Deposits with brokers for securities
sold short 33,174,944
Interest and dividends receivable 12,891,457
Deferred organization expenses 904
Other assets 191,341
---------------------------------------------------------
TOTAL ASSETS $17,098,417,649
---------------------------------------------------------
Liabilities
---------------------------------------------------------
Payable for investments purchased $ 90,563,470
Securities sold short, at value
(proceeds received of $33,174,944) 31,781,250
Payable to affiliate for Trustees' fees 16,762
Accrued expenses 280,103
---------------------------------------------------------
TOTAL LIABILITIES $ 122,641,585
---------------------------------------------------------
NET ASSETS APPLICABLE TO INVESTORS'
INTEREST IN PORTFOLIO $16,975,776,064
---------------------------------------------------------
Sources of Net Assets
---------------------------------------------------------
Net proceeds from capital contributions
and withdrawals $12,045,764,791
Net unrealized appreciation (computed on
the basis of identified cost) 4,930,011,273
---------------------------------------------------------
TOTAL $16,975,776,064
---------------------------------------------------------
</TABLE>
STATEMENT OF OPERATIONS
<TABLE>
<CAPTION>
FOR THE SIX MONTHS ENDED
JUNE 30, 2000
<S> <C>
Investment Income
------------------------------------------------------
Dividends (net of foreign taxes,
$636,555) $ 70,187,497
Interest 14,994,586
------------------------------------------------------
TOTAL INVESTMENT INCOME $ 85,182,083
------------------------------------------------------
Expenses
------------------------------------------------------
Investment adviser fee $ 34,563,622
Trustees fees and expenses 25,006
Custodian fee 760,080
Legal and accounting services 56,666
Amortization of organization expenses 1,085
Miscellaneous 206,968
------------------------------------------------------
TOTAL EXPENSES $ 35,613,427
------------------------------------------------------
NET INVESTMENT INCOME $ 49,568,656
------------------------------------------------------
Realized and Unrealized Gain (Loss)
------------------------------------------------------
Net realized gain (loss) --
Investment transactions (identified
cost basis) $345,532,315
Foreign currency transactions (14,417)
------------------------------------------------------
NET REALIZED GAIN $345,517,898
------------------------------------------------------
Change in unrealized appreciation
(depreciation) --
Investments (identified cost basis) $427,937,124
Written options 1,393,694
Foreign currency (143,269)
------------------------------------------------------
NET CHANGE IN UNREALIZED
APPRECIATION (DEPRECIATION) $429,187,549
------------------------------------------------------
NET REALIZED AND UNREALIZED GAIN $774,705,447
------------------------------------------------------
NET INCREASE IN NET ASSETS FROM
OPERATIONS $824,274,103
------------------------------------------------------
</TABLE>
SEE NOTES TO FINANCIAL STATEMENTS
26
<PAGE>
TAX-MANAGED GROWTH PORTFOLIO AS OF JUNE 30, 2000
FINANCIAL STATEMENTS CONT'D
STATEMENTS OF CHANGES IN NET ASSETS
<TABLE>
<CAPTION>
SIX MONTHS ENDED
INCREASE (DECREASE) JUNE 30, 2000 YEAR ENDED
IN NET ASSETS (UNAUDITED) DECEMBER 31, 1999
<S> <C> <C>
-----------------------------------------------------------------------------
From operations --
Net investment income $ 49,568,656 $ 82,826,268
Net realized gain 345,517,898 19,281,587
Net change in unrealized
appreciation (depreciation) 429,187,549 1,954,982,313
-----------------------------------------------------------------------------
NET INCREASE IN NET ASSETS FROM
OPERATIONS $ 824,274,103 $ 2,057,090,168
-----------------------------------------------------------------------------
Capital transactions --
Contributions $ 1,885,098,704 $ 5,393,615,110
Withdrawals (848,245,702) (1,040,915,654)
-----------------------------------------------------------------------------
NET INCREASE IN NET ASSETS FROM
CAPITAL TRANSACTIONS $ 1,036,853,002 $ 4,352,699,456
-----------------------------------------------------------------------------
NET INCREASE IN NET ASSETS $ 1,861,127,105 $ 6,409,789,624
-----------------------------------------------------------------------------
Net Assets
-----------------------------------------------------------------------------
At beginning of period $15,114,648,959 $ 8,704,859,335
-----------------------------------------------------------------------------
AT END OF PERIOD $16,975,776,064 $ 15,114,648,959
-----------------------------------------------------------------------------
</TABLE>
SEE NOTES TO FINANCIAL STATEMENTS
27
<PAGE>
TAX-MANAGED GROWTH PORTFOLIO AS OF JUNE 30, 2000
FINANCIAL STATEMENTS CONT'D
SUPPLEMENTARY DATA
<TABLE>
<CAPTION>
SIX MONTHS ENDED
JUNE 30, 2000 YEAR ENDED PERIOD ENDED
(UNAUDITED) DECEMBER 31, 1999 DECEMBER 31, 1998(1)
<S> <C> <C> <C>
-----------------------------------------------------------------------------------------------
Ratios to average daily net assets
-----------------------------------------------------------------------------------------------
Expenses 0.45%(3) 0.46% 0.48%(3)
Net investment income 0.63%(3) 0.72% 0.72%(3)
Portfolio Turnover 8% 11% 3%
-----------------------------------------------------------------------------------------------
NET ASSETS, END OF PERIOD
(000'S OMITTED) $16,975,776 $15,114,649 $8,704,859
-----------------------------------------------------------------------------------------------
<CAPTION>
YEAR ENDED OCTOBER 31,
------------------------------------
1998 1997 1996(2)
<S> <C> <C> <C>
---------------------------------------------------------------------------
Ratios to average daily net as
---------------------------------------------------------------------------
Expenses 0.50% 0.56% 0.66%(3)
Net investment income 0.78% 0.81% 0.91%(3)
Portfolio Turnover 12% 14% 6%
---------------------------------------------------------------------------
NET ASSETS, END OF PERIOD
(000'S OMITTED) $6,985,678 $2,871,446 $936,800
---------------------------------------------------------------------------
</TABLE>
(1) For the two-month period ended December 31, 1998.
(2) For the period form the start of business, December 1, 1995, to
October 31, 1996.
(3) Annualized.
SEE NOTES TO FINANCIAL STATEMENTS
28
<PAGE>
TAX-MANAGED GROWTH PORTFOLIO AS OF JUNE 30, 2000
NOTES TO FINANCIAL STATEMENTS (UNAUDITED)
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 was 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
generally 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
taxable 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.
G Other -- Investment transactions are accounted for on the date the securities
are purchased or sold. Dividend
29
<PAGE>
TAX-MANAGED GROWTH PORTFOLIO AS OF JUNE 30, 2000
NOTES TO FINANCIAL STATEMENTS (UNAUDITED) CONT'D
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 the 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 income and expense during the reporting period. Actual results could
differ from those estimates.
I Interim Financial Statements -- The interim financial statements relating to
June 30, 2000 and for the six months then ended have not been audited by
independent certified public accountants, but in the opinion of the
Portfolio's management reflect all adjustments, consisting only of normal
recurring adjustments, necessary for the fair presentation of the financial
statements.
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 six months ended June 30, 2000, the adviser fee was 0.44% 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 six months ended June 30, 2000, no significant
amounts have been deferred.
Certain officers and Trustees of the Portfolio are officers of the above
organizations.
3 Investment Transactions
-------------------------------------------
For the six months ended June 30, 2000, purchases and sales of investments,
other than short-term obligations, aggregated $1,466,287,272 and
$1,292,435,369, respectively. In addition, investments having an aggregate
market value of $219,094,704 at dates of withdrawal were distributed in
payment for capital withdrawals. During the six months ended June 30, 2000,
investors contributed securities with a value of $1,052,838,866.
4 Federal Income Tax Basis of Investments
-------------------------------------------
The cost and unrealized appreciation (depreciation) in value of the
investments owned at June 30, 2000 as computed on a federal income tax basis,
were as follows:
<TABLE>
<S> <C>
AGGREGATE COST $ 5,528,782,769
---------------------------------------------------------
Gross unrealized appreciation $11,489,594,856
Gross unrealized depreciation (49,816,957)
---------------------------------------------------------
NET UNREALIZED APPRECIATION $11,439,777,899
---------------------------------------------------------
</TABLE>
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 June 30, 2000.
6 Line of Credit
-------------------------------------------
The Portfolio participates with other portfolios and funds managed by BMR and
EVM and its affiliates in a $150 million unsecured line of credit agreement
with a group of banks. Borrowings will be made by the Portfolio solely to
facilitate the handling of unusual and/or unanticipated short-term cash
requirements. Interest is charged to each participating portfolio or fund
based on its borrowings at an amount above either 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 six
months ended June 30, 2000.
30
<PAGE>
EATON VANCE TAX-MANAGED GROWTH FUND AS OF JUNE 30, 2000
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
Trustees
Jessica M. Bibliowicz
President and Chief Executive Officer,
National Financial Partners
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 of the Board,
United Asset Management Corporation
Jack L. Treynor
Investment Adviser and Consultant
31