RIGHTIME ECONOMETRICS INC
13F-HR, 2000-05-03
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UNITED STATES
SECURITIES AND EXCHANGE COMMISSION
Washington, DC  20549

FORM 13F

FORM 13F COVER PAGE

Report for the Calendar Year or Quarter Ended:    March 31, 2000

Check here if Amendment (  );   Amendment Number:
This Amendment (Check only one.)  (XX) is a restatement.
                                  (  ) adds new holdings entries.

Institutional Investment Manager Filing this Report:

Name:       Rightime Econometrics, Inc.
Address:    1095 Rydal Road
            Rydal, PA  19046

13F File Number 23-2171405

The institutional investment manager filing this report and the
person by whom it is signed hereby represent that the person
signing the report is authorized to submit it, that all
information contained herein is true, correct and complete, and
that it is understood that all required items, statments,
schedules, lists, and tables, are considered integral parts of
this form.

Person signing this Report on Behalf of Reporting Manager:

Name:      David J. Rights
Title:     President
Phone:     215-572-7288
Signature, Place, and Date of Signing:



     David J. Rights           Rydal, Pennsylvania      May 3, 2000



Report Type (Check only one.):

(X)    13F HOLDINGS REPORT.

( )    13F NOTICE.

( )    13F COMBINATION REPORT.


List of Other Managers Reporting for this Manager:

NONE


I AM SIGNING THIS REPORT AS REQUIRED BY THE SECURITIES EXCHANGE
ACT OF 1934.

<PAGE>



FORM 13F SUMMARY PAGE


Report Summary:

Number of Other Included Managers:              0

Form 13F Information Table Entry Total:         902

Form 13F Information Table Value Total:         $507,014,197.67



List of Other Included Managers:

NONE


<PAGE>


<TABLE>


                                                           FORM 13F INFORMATION TABLE
                                                            <S>          <C>   <S><C>       <S>
                                                            VALUE  SHARES/ SH/ PUT/ INVSTMT OTHER   VOTING AUTHORITY
NAME OF ISSUER                   TITLE OF CLASS   CUSIP    (x1000) PRN AMT PRN CALL DSCRETN MGRS   SOLE   SHARED NONE
- ---------------------------      -------------- --------- ----------------------------------------------------- ------
ALCOA  INC                       Common Stock   013817101      475   6,765 SH       Sole    0      6,765    0     0
APPLE COMPUTER INC               Common Stock   037833100      403   2,972 SH       Sole    0      2,972    0     0
Airborne Freight                 Common Stock   009266107       79   3,297 SH       Sole    0      3,297    0     0
AMBAC INC.                       Common Stock   023139108      238   4,740 SH       Sole    0      4,740    0     0
ALBERTSONS INC                   Common Stock   013104104      240   7,787 SH       Sole    0      7,787    0     0
ABBOTT LABS                      Common Stock   002824100      994  28,258 SH       Sole    0     28,258    0     0
BARRICK GOLD CORPORATION         Common Stock   067901108      113   7,248 SH       Sole    0      7,248    0     0
ARCH COAL INC                    Common Stock   039380100        2     321 SH       Sole    0        321    0     0
ARMSTRONG WORLD INDS INC         Common Stock   042476101       13     736 SH       Sole    0        736    0     0
Acuson Corp.                     Common Stock   005113105       26   1,811 SH       Sole    0      1,811    0     0
AFFILIATED COMPUTER SVCS-A       Common Stock   008190100      127   3,345 SH       Sole    0      3,345    0     0
ALBERTO CULVER CO                Common Stock   013068101       24   1,024 SH       Sole    0      1,024    0     0
ACXIOM CORP.                     Common Stock   005125109      193   5,825 SH       Sole    0      5,825    0     0
ADOBE SYS INC                    Common Stock   00724F101      242   2,179 SH       Sole    0      2,179    0     0
ADC Telecommunications           Common Stock   000886101      297   5,521 SH       Sole    0      5,521    0     0
Analog Devices                   Common Stock   032654105      517   6,430 SH       Sole    0      6,430    0     0
ARCHER DANIELS MIDLAND CO        Common Stock   039483102      115  11,161 SH       Sole    0     11,161    0     0
ADAPTEC INC                      Common Stock   00651F108       73   1,911 SH       Sole    0      1,911    0     0
AUTODESK INCORPORATED            Common Stock   052769106       51   1,132 SH       Sole    0      1,132    0     0
ADTRAN INC.                      Common Stock   00738A106      158   2,675 SH       Sole    0      2,675    0     0
AMEREN CORPORATION               Common Stock   023608102       78   2,522 SH       Sole    0      2,522    0     0
AMERICAN EAGLE OUTFITTERS        Common Stock   02553E103      119   3,163 SH       Sole    0      3,163    0     0
AMERICAN ELEC PWR INC            Common Stock   025537101      106   3,568 SH       Sole    0      3,568    0     0
AES CORP.                        Common Stock   00130H105      298   3,794 SH       Sole    0      3,794    0     0
AETNA INC                        Common Stock   008117103      145   2,629 SH       Sole    0      2,629    0     0
ALLMERICA FINANCIAL CORP         Common Stock   019754100      187   3,678 SH       Sole    0      3,678    0     0
AMERICAN FINANCIAL GROUP INC.    Common Stock   02608W101      113   3,959 SH       Sole    0      3,959    0     0
AFLAC Inc.                       Common Stock   001055102      222   4,891 SH       Sole    0      4,891    0     0
ASSOCIATES FIRST CAPITAL-A       Common Stock   046008108      286  13,387 SH       Sole    0     13,387    0     0
AGCO CORP.                       Common Stock   001084102       45   4,036 SH       Sole    0      4,036    0     0
AMERICAN GEN CORP                Common Stock   026351106      254   4,542 SH       Sole    0      4,542    0     0
Edwards (A.G.), Inc.             Common Stock   281760108      249   6,243 SH       Sole    0      6,243    0     0
ALLERGAN INC                     Common Stock   018490102      120   2,417 SH       Sole    0      2,417    0     0
AMERADA HESS CORP                Common Stock   023551104      107   1,667 SH       Sole    0      1,667    0     0
APRIA HEALTHCARE GROUP           Common Stock   037933108       50   3,528 SH       Sole    0      3,528    0     0
AMERICAN HOME PRODS CP           Common Stock   026609107    1,290  24,003 SH       Sole    0     24,003    0     0
AMERICAN INTL GROUP INC          Common Stock   026874107    3,116  28,461 SH       Sole    0     28,461    0     0
Albany International             Common Stock   012348108       30   2,061 SH       Sole    0      2,061    0     0
ARNOLD INDUSTRIES INC            Common Stock   042595108       21   1,669 SH       Sole    0      1,669    0     0
AK STEEL HOLDING CORP.           Common Stock   001547108       72   6,986 SH       Sole    0      6,986    0     0
ALCAN ALUMINUM INC               Common Stock   013716105      137   4,028 SH       Sole    0      4,028    0     0
ALBEMARLE CORP.                  Common Stock   012653101       65   3,169 SH       Sole    0      3,169    0     0
Alexander & Baldwin              Common Stock   014482103       60   2,923 SH       Sole    0      2,923    0     0
Alaska Air Group                 Common Stock   011659109       53   1,790 SH       Sole    0      1,790    0     0
ALLSTATE CORP                    Common Stock   020002101      352  14,807 SH       Sole    0     14,807    0     0
Altera Corp.                     Common Stock   021441100    1,206  13,522 SH       Sole    0     13,522    0     0
AMERICAN GREETINGS CORP          Common Stock   026375105       21   1,186 SH       Sole    0      1,186    0     0
APPLIED MATERIALS INC            Common Stock   038222105    1,326  14,069 SH       Sole    0     14,069    0     0
ADVANCED MICRO DEVICES INC       Common Stock   007903107      154   2,706 SH       Sole    0      2,706    0     0
Ametek, Inc.                     Common Stock   031105109       41   2,181 SH       Sole    0      2,181    0     0
AMGEN INC                        Common Stock   031162100    1,152  18,777 SH       Sole    0     18,777    0     0
AMR CORP DEL                     Common Stock   001765106       86   2,722 SH       Sole    0      2,722    0     0
ANDREW CORP                      Common Stock   034425108       33   1,481 SH       Sole    0      1,481    0     0
ABERCROMBIE & FITCH CO-CL A      Common Stock   002896207      111   6,984 SH       Sole    0      6,984    0     0
AON CORPORATION                  Common Stock   037389103      152   4,717 SH       Sole    0      4,717    0     0
AMERICA ONLINE INC.              Common Stock   02364J104    2,828  41,942 SH       Sole    0     41,942    0     0
APACHE CORPORATION               Common Stock   037411105      104   2,097 SH       Sole    0      2,097    0     0
ANADARKO PETROLEUM               Common Stock   032511107       90   2,344 SH       Sole    0      2,344    0     0
AMERICAN POWER CONVERSION        Common Stock   029066107      559  13,055 SH       Sole    0     13,055    0     0
AIR PRODS + CHEMS INC            Common Stock   009158106      119   4,215 SH       Sole    0      4,215    0     0
APOLLO GROUP - CLASS A           Common Stock   037604105      147   5,237 SH       Sole    0      5,237    0     0
ATLANTIC RICHFIELD CO            Common Stock   048825103      504   5,933 SH       Sole    0      5,933    0     0
AIRGAS INC.                      Common Stock   009363102       39   4,759 SH       Sole    0      4,759    0     0
ACHNIELSON CORP.                 Common Stock   004833109       88   3,926 SH       Sole    0      3,926    0     0
Arvin Industries                 Common Stock   043339100       39   1,751 SH       Sole    0      1,751    0     0
Arrow Electronics                Common Stock   042735100      229   6,507 SH       Sole    0      6,507    0     0
ASSOCIATED BANC-CORP             Common Stock   045487105      129   4,337 SH       Sole    0      4,337    0     0
AMERICAN STANDARD COMPANIES      Common Stock   029712106      177   4,795 SH       Sole    0      4,795    0     0
ASTORIA FINANCIAL CORP           Common Stock   046265104      104   3,687 SH       Sole    0      3,687    0     0
ASHLAND INC.                     Common Stock   044204105       43   1,306 SH       Sole    0      1,306    0     0
AMSOUTH BANCORPORATION           Common Stock   032165102      107   7,190 SH       Sole    0      7,190    0     0
ALLTEL CORP                      Common Stock   020039103      365   5,771 SH       Sole    0      5,771    0     0
AGL Resources Inc.               Common Stock   001204106       70   3,858 SH       Sole    0      3,858    0     0
ALLEGHENY TECHNOLOGIES INC       Common Stock   01741R102       34   1,719 SH       Sole    0      1,719    0     0
ATMEL CORP.                      Common Stock   049513104      768  14,886 SH       Sole    0     14,886    0     0
AUTOMATIC DATA PROCESSING INC    Common Stock   053015103      559  11,586 SH       Sole    0     11,586    0     0
AVON PRODS INC                   Common Stock   054303102      130   4,454 SH       Sole    0      4,454    0     0
Avnet, Inc                       Common Stock   053807103      179   2,843 SH       Sole    0      2,843    0     0
AVERY DENNISON CORP              Common Stock   053611109      126   2,071 SH       Sole    0      2,071    0     0
ALLIED WASTE INDUSTRIES INC      Common Stock   019589308       22   3,469 SH       Sole    0      3,469    0     0
AMERICAN WATER WORKS INC.        Common Stock   030411102      156   6,570 SH       Sole    0      6,570    0     0
AMERICAN EXPRESS CO              Common Stock   025816109    1,225   8,229 SH       Sole    0      8,229    0     0
Allegheny Energy Inc.            Common Stock   017361106      207   7,486 SH       Sole    0      7,486    0     0
ALZA CORP                        Common Stock   022615108       70   1,877 SH       Sole    0      1,877    0     0
AUTOZONE INC                     Common Stock   053332102       70   2,540 SH       Sole    0      2,540    0     0
BOEING CO                        Common Stock   097023105      603  15,971 SH       Sole    0     15,971    0     0
BANK OF AMERICA CORP             Common Stock   060505104    1,645  31,383 SH       Sole    0     31,383    0     0
BAXTER INTL INC                  Common Stock   071813109      335   5,348 SH       Sole    0      5,348    0     0
BED BATH & BEYOND INC.           Common Stock   075896100      101   2,580 SH       Sole    0      2,580    0     0
BERGEN BRUNSWIG CORP             Common Stock   083739102       61   9,098 SH       Sole    0      9,098    0     0
BB&T CORPORATION                 Common Stock   054937107      179   6,385 SH       Sole    0      6,385    0     0
BEST BUY COMPANY INC.            Common Stock   086516101      323   3,758 SH       Sole    0      3,758    0     0
BRUNSWICK CORP                   Common Stock   117043109       31   1,688 SH       Sole    0      1,688    0     0
BOISE CASCADE CORP               Common Stock   097383103       36   1,051 SH       Sole    0      1,051    0     0
BARD C R INC                     Common Stock   067383109       36     941 SH       Sole    0        941    0     0
BANDAG INC                       Common Stock   059815100       34   1,485 SH       Sole    0      1,485    0     0
BLACK & DECKER CORP              Common Stock   091797100       59   1,597 SH       Sole    0      1,597    0     0
BECTON DICKINSON & CO            Common Stock   075887109      121   4,625 SH       Sole    0      4,625    0     0
Beckman Coulter Inc.             Common Stock   075811109      126   1,969 SH       Sole    0      1,969    0     0
BELL ATLANTIC CORP               Common Stock   077853109    1,744  28,542 SH       Sole    0     28,542    0     0
Franklin Resources               Common Stock   354613101      152   4,571 SH       Sole    0      4,571    0     0
BEVERLY ENTERPRISE INC           Common Stock   087851309       25   6,948 SH       Sole    0      6,948    0     0
BROWN FORMAN CORP-Class B        Common Stock   115637209       68   1,259 SH       Sole    0      1,259    0     0
BESTFOODS                        Common Stock   08658U101      240   5,127 SH       Sole    0      5,127    0     0
Biogen, Inc.                     Common Stock   090597105      192   2,762 SH       Sole    0      2,762    0     0
BRIGGS & STRATTON CORP           Common Stock   109043109       17     422 SH       Sole    0        422    0     0
BORDERS GROUP INC.               Common Stock   099709107       90   5,294 SH       Sole    0      5,294    0     0
BAKER HUGHES INC                 Common Stock   057224107      183   6,052 SH       Sole    0      6,052    0     0
Sotheby's Holdings               Common Stock   835898107       74   3,985 SH       Sole    0      3,985    0     0
BJ'S WHOLESALE CLUB INC.         Common Stock   05548J106      191   4,993 SH       Sole    0      4,993    0     0
BJ Services                      Common Stock   055482103      354   4,803 SH       Sole    0      4,803    0     0
BANK OF NEW YORK INC             Common Stock   064057102      562  13,535 SH       Sole    0     13,535    0     0
Black Hills                      Common Stock   092113109       31   1,447 SH       Sole    0      1,447    0     0
BARNES & NOBLE INC.              Common Stock   067774109      110   4,705 SH       Sole    0      4,705    0     0
Belo (A.H.) Corp.                Common Stock   080555105      143   8,029 SH       Sole    0      8,029    0     0
BALL CORP                        Common Stock   058498106       19     556 SH       Sole    0        556    0     0
BELLSOUTH CORP                   Common Stock   079860102    1,621  34,602 SH       Sole    0     34,602    0     0
BMC Software                     Common Stock   055921100      221   4,489 SH       Sole    0      4,489    0     0
BIOMET INC                       Common Stock   090613100       75   2,075 SH       Sole    0      2,075    0     0
BEMIS INC                        Common Stock   081437105       35     962 SH       Sole    0        962    0     0
BRISTOL MYERS SQUIBB CO          Common Stock   110122108    2,115  36,466 SH       Sole    0     36,466    0     0
BANTA CORP                       Common Stock   066821109       33   1,803 SH       Sole    0      1,803    0     0
BURLINGTON NORTHERN SANTA FE     Common Stock   12189T104      191   8,399 SH       Sole    0      8,399    0     0
Bob Evans Farms                  Common Stock   096761101       33   2,676 SH       Sole    0      2,676    0     0
Buffets Inc.                     Common Stock   119882108       25   2,851 SH       Sole    0      2,851    0     0
Pacific Century Finl Corp.       Common Stock   694058108      110   5,439 SH       Sole    0      5,439    0     0
BAUSCH & LOMB INC                Common Stock   071707103       55   1,061 SH       Sole    0      1,061    0     0
Bowater Inc.                     Common Stock   102183100      186   3,502 SH       Sole    0      3,502    0     0
BURLINGTON RESOURCES INC         Common Stock   122014103      147   3,998 SH       Sole    0      3,998    0     0
BROADWING INC.                   Common Stock   111620100      545  14,659 SH       Sole    0     14,659    0     0
BETHLEHEM STEEL CORP             Common Stock   087509105       14   2,409 SH       Sole    0      2,409    0     0
Bear Stearns                     Common Stock   073902108       95   2,085 SH       Sole    0      2,085    0     0
BOSTON SCIENTIFIC CORP           Common Stock   101137107      162   7,622 SH       Sole    0      7,622    0     0
BLYTH INDUSTRIES INC.            Common Stock   09643P108       89   3,287 SH       Sole    0      3,287    0     0
ANHEUSER BUSCH COS INC           Common Stock   035229103      532   8,554 SH       Sole    0      8,554    0     0
BURLINGTON INDS. INC.            Common Stock   121693105       15   3,587 SH       Sole    0      3,587    0     0
BORG-WARNER AUTOMOTIVE INC.      Common Stock   099724106       72   1,833 SH       Sole    0      1,833    0     0
CITIGROUP INC.                   Common Stock   172967101    3,711  61,983 SH       Sole    0     61,983    0     0
COMPUTER ASSOC INTL INC          Common Stock   204912109      589   9,963 SH       Sole    0      9,963    0     0
CONAGRA INC                      Common Stock   205887102      164   9,051 SH       Sole    0      9,051    0     0
CARDINAL HEALTH INC              Common Stock   14149Y108      237   5,171 SH       Sole    0      5,171    0     0
Carter-Wallace                   Common Stock   146285101       57   3,049 SH       Sole    0      3,049    0     0
CATERPILLAR INC DEL              Common Stock   149123101      257   6,536 SH       Sole    0      6,536    0     0
CAMBRIDGE TECH PARTNERS INC.     Common Stock   132524109       55   4,095 SH       Sole    0      4,095    0     0
CHUBB CORP                       Common Stock   171232101      218   3,234 SH       Sole    0      3,234    0     0
COOPER INDS INC                  Common Stock   216669101       60   1,731 SH       Sole    0      1,731    0     0
CBRL GROUP INC                   Common Stock   12489V106       39   3,974 SH       Sole    0      3,974    0     0
CBS CORPORATION                  Common Stock   12490K107      793  14,016 SH       Sole    0     14,016    0     0
COMPASS BANCSHARES INC.          Common Stock   20449H109      153   7,705 SH       Sole    0      7,705    0     0
Cabot Corp.                      Common Stock   127055101      136   4,482 SH       Sole    0      4,482    0     0
CIRCUIT CITY STORES INC          Common Stock   172737108      227   3,738 SH       Sole    0      3,738    0     0
CCB FINANCIAL CORP               Common Stock   124875105      121   2,744 SH       Sole    0      2,744    0     0
Coca-Cola Enterprises            Common Stock   191219104      168   7,820 SH       Sole    0      7,820    0     0
CROWN CORK & SEAL INC            Common Stock   228255105       38   2,377 SH       Sole    0      2,377    0     0
CARNIVAL CORP -CL A              Common Stock   143658102      281  11,342 SH       Sole    0     11,342    0     0
Chris-Craft Industries           Common Stock   170520100      149   2,348 SH       Sole    0      2,348    0     0
COUNTRYWIDE CREDIT INDS. INC     Common Stock   222372104       56   2,083 SH       Sole    0      2,083    0     0
CLEAR CHANNEL COMMUNICATIONS     Common Stock   184502102      429   6,223 SH       Sole    0      6,223    0     0
CENDANT CORP                     Common Stock   151313103      240  12,978 SH       Sole    0     12,978    0     0
Cordant Technologies Inc.        Common Stock   218412104      140   2,489 SH       Sole    0      2,489    0     0
Cadence Design Systems           Common Stock   127387108      340  16,507 SH       Sole    0     16,507    0     0
Comdisco, Inc.                   Common Stock   200336105      458  10,381 SH       Sole    0     10,381    0     0
Consolidated Papers, Inc.        Common Stock   209759109      236   6,152 SH       Sole    0      6,152    0     0
CDW COMPUTER CENTERS INC         Common Stock   125129106      247   2,929 SH       Sole    0      2,929    0     0
CONCORD EFS INC                  Common Stock   206197105      319  13,941 SH       Sole    0     13,941    0     0
CONSTELLATION ENERGY GROUP       Common Stock   210371100       87   2,749 SH       Sole    0      2,749    0     0
CERIDIAN CORP                    Common Stock   15677T106       51   2,658 SH       Sole    0      2,658    0     0
CHARTER ONE FINANCIAL INC.       Common Stock   160903100      302  14,382 SH       Sole    0     14,382    0     0
COLUMBIA ENERGY GROUP            Common Stock   197648108       88   1,494 SH       Sole    0      1,494    0     0
COASTAL CORP                     Common Stock   190441105      180   3,928 SH       Sole    0      3,928    0     0
CHAMPION INTL CORP               Common Stock   158525105       94   1,768 SH       Sole    0      1,768    0     0
Church & Dwight                  Common Stock   171340102       45   2,633 SH       Sole    0      2,633    0     0
Chiron Corp.                     Common Stock   170040109      614  12,314 SH       Sole    0     12,314    0     0
CHEVRON CORPORATION              Common Stock   166751107    1,115  12,064 SH       Sole    0     12,064    0     0
CIGNA CORP                       Common Stock   125509109      234   3,099 SH       Sole    0      3,099    0     0
CINERGY CORP                     Common Stock   172474108       62   2,921 SH       Sole    0      2,921    0     0
CINCINNATI FINL CORP             Common Stock   172062101      113   3,017 SH       Sole    0      3,017    0     0
CONNECTIV INC.                   Common Stock   206829103      110   6,305 SH       Sole    0      6,305    0     0
CHECKFREE HOLDINGS CORP          Common Stock   162816102      261   3,713 SH       Sole    0      3,713    0     0
COLGATE PALMOLIVE CO             Common Stock   194162103      603  10,710 SH       Sole    0     10,710    0     0
CLAIRES STORES INC               Common Stock   179584107       69   3,469 SH       Sole    0      3,469    0     0
Cleveland-Cliffs                 Common Stock   185896107       17     749 SH       Sole    0        749    0     0
CLOROX CO                        Common Stock   189054109      143   4,348 SH       Sole    0      4,348    0     0
COMERICA INC                     Common Stock   200340107      120   2,875 SH       Sole    0      2,875    0     0
CHASE MANHATTAN CORP NEW         Common Stock   16161A108    1,321  15,162 SH       Sole    0     15,162    0     0
COMCAST CORP SPECIAL-CL A        Common Stock   200300200      738  17,033 SH       Sole    0     17,033    0     0
CLAYTON HOMES INC                Common Stock   184190106       96   9,486 SH       Sole    0      9,486    0     0
CMS Energy                       Common Stock   125896100       38   2,128 SH       Sole    0      2,128    0     0
COMVERSE TECHNOLOGY INC.         Common Stock   205862402      265   1,403 SH       Sole    0      1,403    0     0
CONSECO INC                      Common Stock   208464107       68   6,014 SH       Sole    0      6,014    0     0
CNF Transportation Inc.          Common Stock   12612W104       90   3,279 SH       Sole    0      3,279    0     0
Cleco Corporation                Common Stock   12561M107       50   1,526 SH       Sole    0      1,526    0     0
CONSOLIDATED STORES CORP.        Common Stock   210149100       23   2,037 SH       Sole    0      2,037    0     0
CK WITCO CORPORATION             Common Stock   12562C108       82   8,062 SH       Sole    0      8,062    0     0
CONEXANT SYSTEMS INC             Common Stock   207142100      280   3,947 SH       Sole    0      3,947    0     0
CONOCO INC - CL B                Common Stock   208251405      294  11,510 SH       Sole    0     11,510    0     0
CAPITAL ONE FINANCIAL CORP.      Common Stock   14040H105      173   3,625 SH       Sole    0      3,625    0     0
COLUMBIA/HCA HEALTHCARE CORP     Common Stock   197677107      262  10,355 SH       Sole    0     10,355    0     0
3COM CORPORATION                 Common Stock   885535104      350   6,294 SH       Sole    0      6,294    0     0
COSTCO WHOLESALE CORP            Common Stock   22160K105      429   8,173 SH       Sole    0      8,173    0     0
CAMPBELL SOUP CO                 Common Stock   134429109      241   7,838 SH       Sole    0      7,838    0     0
CAROLINA PWR & LT CO             Common Stock   144141108       95   2,934 SH       Sole    0      2,934    0     0
CALPINE CORPORATION              Common Stock   131347106      400   4,263 SH       Sole    0      4,263    0     0
COMPAQ COMPUTER CORP             Common Stock   204493100      840  31,140 SH       Sole    0     31,140    0     0
COMPUSA INC.                     Common Stock   204932107       63   6,285 SH       Sole    0      6,285    0     0
COMPUWARE CORP.                  Common Stock   205638109      139   6,626 SH       Sole    0      6,626    0     0
COMSAT Corp.                     Common Stock   20564D107       74   3,595 SH       Sole    0      3,595    0     0
CRANE CO                         Common Stock   224399105       28   1,211 SH       Sole    0      1,211    0     0
Carpenter Technology             Common Stock   144285103       30   1,487 SH       Sole    0      1,487    0     0
Cirrus Logic                     Common Stock   172755100       81   4,445 SH       Sole    0      4,445    0     0
CABLETRON SYSTEMS INC            Common Stock   126920107       98   3,350 SH       Sole    0      3,350    0     0
COMPUTER SCIENCES CORP           Common Stock   205363104      243   3,076 SH       Sole    0      3,076    0     0
CISCO SYS INC                    Common Stock   17275R102    4,862  62,893 SH       Sole    0     62,893    0     0
CSG SYSTEMS INT'L INC            Common Stock   126349109      160   3,280 SH       Sole    0      3,280    0     0
Chesapeake Corp.                 Common Stock   165159104       35   1,187 SH       Sole    0      1,187    0     0
Carlisle Companies               Common Stock   142339100       81   2,042 SH       Sole    0      2,042    0     0
CENTRAL & SOUTHWEST CORP         Common Stock   152357109       66   3,909 SH       Sole    0      3,909    0     0
CSX CORP                         Common Stock   126408103       94   4,013 SH       Sole    0      4,013    0     0
Cintas Corporation               Common Stock   172908105      442  11,296 SH       Sole    0     11,296    0     0
COOPER TIRE & RUBBER CO          Common Stock   216831107       17   1,394 SH       Sole    0      1,394    0     0
CENTURYTEL INC.                  Common Stock   156686107       95   2,568 SH       Sole    0      2,568    0     0
CMP GROUP INC                    Common Stock   125887109       64   2,199 SH       Sole    0      2,199    0     0
CENTEX CORP                      Common Stock   152312104       26   1,092 SH       Sole    0      1,092    0     0
CITRIX SYSTEMS INC.              Common Stock   177376100      218   3,294 SH       Sole    0      3,294    0     0
CUMMINS ENGINE INC               Common Stock   231021106       28     761 SH       Sole    0        761    0     0
COVANCE, INC.                    Common Stock   222816100       42   3,957 SH       Sole    0      3,957    0     0
CONVERGYS CORP                   Common Stock   212485106      400  10,352 SH       Sole    0     10,352    0     0
CVS CORP.                        Common Stock   126650100      270   7,203 SH       Sole    0      7,203    0     0
Cypress Semiconductor            Common Stock   232806109      362   7,408 SH       Sole    0      7,408    0     0
City National Corp.              Common Stock   178566105      103   3,078 SH       Sole    0      3,078    0     0
CYTEC INDUSTRICES INC.           Common Stock   232820100       87   2,862 SH       Sole    0      2,862    0     0
DOMINION RES INC VA              Common Stock   257470104      168   4,376 SH       Sole    0      4,376    0     0
DELTA AIRLINES DEL               Common Stock   247361108      126   2,373 SH       Sole    0      2,373    0     0
Diebold, Inc.                    Common Stock   253651103      128   4,674 SH       Sole    0      4,674    0     0
DONALDSON COMPANY INC            Common Stock   257651109       70   3,120 SH       Sole    0      3,120    0     0
DANA CORP                        Common Stock   235811106       85   3,024 SH       Sole    0      3,024    0     0
DU PONT E I DE NEMOURS           Common Stock   263534109    1,016  19,200 SH       Sole    0     19,200    0     0
DILLARD DEPT STORES              Common Stock   254067101       31   1,929 SH       Sole    0      1,929    0     0
DEERE & CO                       Common Stock   244199105      163   4,302 SH       Sole    0      4,302    0     0
DELL COMPUTER                    Common Stock   247025109    2,543  47,155 SH       Sole    0     47,155    0     0
Dexter Corp.                     Common Stock   252165105       82   1,562 SH       Sole    0      1,562    0     0
Dean Foods                       Common Stock   242361103       67   2,506 SH       Sole    0      2,506    0     0
DOLLAR GENERAL CORPORATION       Common Stock   256669102      130   4,858 SH       Sole    0      4,858    0     0
Danaher Corp.                    Common Stock   235851102      133   2,617 SH       Sole    0      2,617    0     0
DISNEY WALT CO DEL               Common Stock   254687106    1,569  38,049 SH       Sole    0     38,049    0     0
DOW JONES & CO INC               Common Stock   260561105      118   1,651 SH       Sole    0      1,651    0     0
DIAL CORP.                       Common Stock   25247D101       98   7,143 SH       Sole    0      7,143    0     0
DOLLAR TREE STORES INC.          Common Stock   256747106      219   4,204 SH       Sole    0      4,204    0     0
DELUXE CORP                      Common Stock   248019101       35   1,349 SH       Sole    0      1,349    0     0
DIME BANCORP INC                 Common Stock   25432R105      139   7,514 SH       Sole    0      7,514    0     0
DUN & BRADSTREET CORP            Common Stock   26483B106       84   2,957 SH       Sole    0      2,957    0     0
DONNELLEY R R & SONS             Common Stock   257867101       48   2,324 SH       Sole    0      2,324    0     0
Dole Foods                       Common Stock   256605106       73   3,785 SH       Sole    0      3,785    0     0
DOVER CORP                       Common Stock   260003108      179   3,743 SH       Sole    0      3,743    0     0
DOW CHEM CO                      Common Stock   260543103      459   4,031 SH       Sole    0      4,031    0     0
DELPHI AUTOMOTIVE SYSTEMS        Common Stock   247126105      166  10,388 SH       Sole    0     10,388    0     0
DPL INC                          Common Stock   233293109      238  10,753 SH       Sole    0     10,753    0     0
DQE INC.                         Common Stock   23329J104      232   5,105 SH       Sole    0      5,105    0     0
DARDEN RESTAURANTS               Common Stock   237194105       41   2,356 SH       Sole    0      2,356    0     0
Dreyer's Grand Ice Cream         Common Stock   261878102       48   1,878 SH       Sole    0      1,878    0     0
QUANTUM CORP - DLT & STORAGE     Common Stock   747906204      133  11,169 SH       Sole    0     11,169    0     0
DST SYSTEMS INC                  Common Stock   233326107      279   4,298 SH       Sole    0      4,298    0     0
DTE ENERGY INC.                  Common Stock   233331107       77   2,667 SH       Sole    0      2,667    0     0
DUKE POWER CO                    Common Stock   264399106      352   6,722 SH       Sole    0      6,722    0     0
DEVRY INC.                       Common Stock   251893103      143   4,707 SH       Sole    0      4,707    0     0
DEVON ENERGY CORPORATION         Common Stock   25179M103      282   5,816 SH       Sole    0      5,816    0     0
DYNEGY INC                       Common Stock   26816Q101      616   9,823 SH       Sole    0      9,823    0     0
Brinker International            Common Stock   109641100      131   4,435 SH       Sole    0      4,435    0     0
ENGELHARD CORP                   Common Stock   292845104       34   2,313 SH       Sole    0      2,313    0     0
ECOLAB INC                       Common Stock   278865100       87   2,382 SH       Sole    0      2,382    0     0
CONSOLIDATED EDISON NY           Common Stock   209111103      118   4,063 SH       Sole    0      4,063    0     0
ELECTRONIC DATA SYSTEMS CORP     Common Stock   285661104      555   8,654 SH       Sole    0      8,654    0     0
EASTERN ENTERPRISES              Common Stock   27637F100       29     497 SH       Sole    0        497    0     0
EQUIFAX INC.                     Common Stock   294429105       65   2,599 SH       Sole    0      2,599    0     0
E*TRADE GROUP INC                Common Stock   269246104      571  18,964 SH       Sole    0     18,964    0     0
EDISON INTERNATIONAL             Common Stock   281020107      105   6,383 SH       Sole    0      6,383    0     0
EASTMAN KODAK CO                 Common Stock   277461109      315   5,802 SH       Sole    0      5,802    0     0
CALLAWAY GOLF COMPANY            Common Stock   131193104       79   5,157 SH       Sole    0      5,157    0     0
EMC CORP.                        Common Stock   268648102    2,356  18,704 SH       Sole    0     18,704    0     0
EASTMAN CHEMICAL CO.             Common Stock   277432100       65   1,438 SH       Sole    0      1,438    0     0
EMERSON ELEC CO                  Common Stock   291011104      420   7,923 SH       Sole    0      7,923    0     0
ENRON CORP                       Common Stock   293561106      984  13,155 SH       Sole    0     13,155    0     0
EL PASO ENERGY GROUP             Common Stock   283695872      169   4,197 SH       Sole    0      4,197    0     0
ELECTRONIC ARTS INC.             Common Stock   285512109      305   4,285 SH       Sole    0      4,285    0     0
EXPRESS SCRIPTS INC - CL A       Common Stock   302182100      109   2,611 SH       Sole    0      2,611    0     0
ENSCO INTERNATIONAL INC.         Common Stock   26874Q100      336   9,308 SH       Sole    0      9,308    0     0
EATON CORP                       Common Stock   278058102      105   1,353 SH       Sole    0      1,353    0     0
ENTERGY CORP                     Common Stock   29364G103       91   4,536 SH       Sole    0      4,536    0     0
ETHYL CORP                       Common Stock   297659104       17   5,658 SH       Sole    0      5,658    0     0
FORD MTR CO DEL                  Common Stock   345370100    1,020  22,206 SH       Sole    0     22,206    0     0
FASTENAL CO.                     Common Stock   311900104      123   2,572 SH       Sole    0      2,572    0     0
FLEET BOSTON FINANCIAL CORP      Common Stock   339030108      614  16,828 SH       Sole    0     16,828    0     0
FURNITURE BRANDS INTL INC        Common Stock   360921100       62   3,346 SH       Sole    0      3,346    0     0
FREEPORT-McMORAN                 Common Stock   35671D857       36   3,004 SH       Sole    0      3,004    0     0
FEDERATED DEPARTMENT STORES      Common Stock   31410H101      163   3,860 SH       Sole    0      3,860    0     0
FIRST DATA CORP.                 Common Stock   319963104      341   7,703 SH       Sole    0      7,703    0     0
FAMILY DOLLAR STORES INC         Common Stock   307000109      243  11,719 SH       Sole    0     11,719    0     0
FEDEX COPORATION                 Common Stock   31428X106      206   5,329 SH       Sole    0      5,329    0     0
FIRSTENERGY CORP.                Common Stock   337932107       88   4,284 SH       Sole    0      4,284    0     0
FIRST HEALTH GROUP CORP.         Common Stock   320960107      105   3,326 SH       Sole    0      3,326    0     0
FOUNDATION HEALTH CORP.          Common Stock   350404109       66   8,287 SH       Sole    0      8,287    0     0
FIserv Inc.                      Common Stock   337738108      309   8,312 SH       Sole    0      8,312    0     0
FIFTH THIRD BANCORP              Common Stock   316773100      357   5,675 SH       Sole    0      5,675    0     0
FORT JAMES CORPORATION           Common Stock   347471104       87   3,978 SH       Sole    0      3,978    0     0
Flowers Industries               Common Stock   343496105      103   6,800 SH       Sole    0      6,800    0     0
FLUOR CORP                       Common Stock   343861100       43   1,398 SH       Sole    0      1,398    0     0
FLOWSERVE CORP                   Common Stock   34354P105       32   2,530 SH       Sole    0      2,530    0     0
F M C CORP                       Common Stock   302491303       31     562 SH       Sole    0        562    0     0
FIRSTMERIT CORPORATION           Common Stock   337915102      112   6,087 SH       Sole    0      6,087    0     0
Federal-Mogul                    Common Stock   313549107       83   5,005 SH       Sole    0      5,005    0     0
FNMA                             Common Stock   313586109    1,065  18,841 SH       Sole    0     18,841    0     0
FINOVA GROUP INC.                Common Stock   317928109       69   4,150 SH       Sole    0      4,150    0     0
FORTUNE BRANDS INC               Common Stock   349631101       75   3,016 SH       Sole    0      3,016    0     0
Ferro Corp.                      Common Stock   315405100       42   2,392 SH       Sole    0      2,392    0     0
SPRINT CORP                      Common Stock   852061100    1,013  16,020 SH       Sole    0     16,020    0     0
Florida Progress                 Common Stock   341109106       82   1,805 SH       Sole    0      1,805    0     0
FPL GROUP INC                    Common Stock   302571104      151   3,295 SH       Sole    0      3,295    0     0
FHLMC                            Common Stock   313400301      564  12,779 SH       Sole    0     12,779    0     0
Forest Laboratories              Common Stock   345838106      478   5,665 SH       Sole    0      5,665    0     0
FIRST SECURITY CORP              Common Stock   336294103      159  13,270 SH       Sole    0     13,270    0     0
FIRSTAR CORPORATION              Common Stock   33763V109      413  18,015 SH       Sole    0     18,015    0     0
Federal Signal                   Common Stock   313855108       56   3,125 SH       Sole    0      3,125    0     0
First Tennessee National         Common Stock   337162101      179   8,838 SH       Sole    0      8,838    0     0
FIRST UNION CORP.                Common Stock   337358105      676  18,155 SH       Sole    0     18,155    0     0
Fuller (H.B.) Co.                Common Stock   359694106       38     952 SH       Sole    0        952    0     0
First Virginia Banks             Common Stock   337477103      126   3,368 SH       Sole    0      3,368    0     0
GILLETTE CO                      Common Stock   375766102      743  19,717 SH       Sole    0     19,717    0     0
GREAT ATL & PAC TEA              Common Stock   390064103       13     705 SH       Sole    0        705    0     0
NICOR INC                        Common Stock   654086107       28     865 SH       Sole    0        865    0     0
GLOBAL CROSSING LTD.             Common Stock   GLOBALCRS      727  14,333 SH       Sole    0     14,333    0     0
GANNETT INC                      Common Stock   364730101      360   5,125 SH       Sole    0      5,125    0     0
GENERAL DYNAMICS CORP            Common Stock   369550108      183   3,694 SH       Sole    0      3,694    0     0
GUIDANT CORPORATION              Common Stock   401698105      332   5,650 SH       Sole    0      5,650    0     0
GOLDEN WEST FINANCIAL DEL        Common Stock   381317106       92   2,970 SH       Sole    0      2,970    0     0
GENERAL ELECTRIC COMPANY         Common Stock   369604103    9,386  60,314 SH       Sole    0     60,314    0     0
GENZYME CORP - GENERAL DIVISION  Common Stock   372917104      285   5,703 SH       Sole    0      5,703    0     0
Georgia Gulf                     Common Stock   373200203       54   2,099 SH       Sole    0      2,099    0     0
GILEAD SCIENCES INC              Common Stock   375558103      188   2,978 SH       Sole    0      2,978    0     0
GENERAL MILLS INC                Common Stock   370334104      200   5,536 SH       Sole    0      5,536    0     0
GREAT LAKES CHEM CORP            Common Stock   390568103       35   1,057 SH       Sole    0      1,057    0     0
Global Marine                    Common Stock   379352404      300  11,823 SH       Sole    0     11,823    0     0
GLATFELTER (P.H.) CO.            Common Stock   377316104       30   2,862 SH       Sole    0      2,862    0     0
CORNING INC                      Common Stock   219350105      924   4,764 SH       Sole    0      4,764    0     0
GENERAL MTRS CORP                Common Stock   370442105      974  11,768 SH       Sole    0     11,768    0     0
GATX Corp.                       Common Stock   361448103      126   3,332 SH       Sole    0      3,332    0     0
GEORGIA PACIFIC CORP             Common Stock   373298108      124   3,143 SH       Sole    0      3,143    0     0
GENUINE PARTS CO                 Common Stock   372460105       78   3,269 SH       Sole    0      3,269    0     0
GAP INC DEL                      Common Stock   364760108      779  15,642 SH       Sole    0     15,642    0     0
GREENPOINT FINANCIAL CORP.       Common Stock   395384100      143   7,309 SH       Sole    0      7,309    0     0
GPU INC.                         Common Stock   36225X100       62   2,269 SH       Sole    0      2,269    0     0
GOODRICH BF COMPANY              Common Stock   382388106       58   2,025 SH       Sole    0      2,025    0     0
W.R. GRACE & CO                  Common Stock   38388F108       16   1,320 SH       Sole    0      1,320    0     0
GOODYEAR TIRE & RUBBER           Common Stock   382550101       67   2,874 SH       Sole    0      2,874    0     0
GTE CORPORATION                  Common Stock   362320103    1,268  17,863 SH       Sole    0     17,863    0     0
GTECH HOLDINGS CORP.             Common Stock   400518106       43   2,363 SH       Sole    0      2,363    0     0
GATEWAY 2000 INC.                Common Stock   367833100      308   5,819 SH       Sole    0      5,819    0     0
Granite Construction             Common Stock   387328107       49   1,832 SH       Sole    0      1,832    0     0
GRAINGER W W INC                 Common Stock   384802104       93   1,716 SH       Sole    0      1,716    0     0
HARCOURT GENERAL INC.            Common Stock   41163G101       48   1,308 SH       Sole    0      1,308    0     0
HALLIBURTON CO                   Common Stock   406216101      333   8,121 SH       Sole    0      8,121    0     0
HASBRO INC                       Common Stock   418056107       59   3,561 SH       Sole    0      3,561    0     0
HILLENBRAND INDUSTRIES           Common Stock   431573104      150   4,438 SH       Sole    0      4,438    0     0
HUNTINGTON BANCSHARES            Common Stock   446150104       94   4,207 SH       Sole    0      4,207    0     0
HISPANIC BROADCASTING CORP       Common Stock   422799106      417   3,684 SH       Sole    0      3,684    0     0
HANOVER COMPRESSOR CO            Common Stock   410768105      110   1,947 SH       Sole    0      1,947    0     0
MANOR CARE INC                   Common Stock   564055101       25   1,894 SH       Sole    0      1,894    0     0
HOME DEPOT INC                   Common Stock   437076102    2,729  42,324 SH       Sole    0     42,324    0     0
Harley-Davidson                  Common Stock   412822108      220   2,782 SH       Sole    0      2,782    0     0
Hawaiian Electric Industr        Common Stock   419870100       69   2,184 SH       Sole    0      2,184    0     0
HARRAH'S ENTERTAINMENT INC       Common Stock   413619107       43   2,363 SH       Sole    0      2,363    0     0
HARTE-HANKS INC                  Common Stock   416196103      105   4,655 SH       Sole    0      4,655    0     0
HOUSEHOLD INTL INC               Common Stock   441815107      322   8,641 SH       Sole    0      8,641    0     0
HIBERNIA CORP -CL A              Common Stock   428656102      114  10,867 SH       Sole    0     10,867    0     0
HARTFORD FINANCIAL SERVICES INC  Common Stock   416515104      214   4,074 SH       Sole    0      4,074    0     0
HILTON HOTELS CORP               Common Stock   432848109       52   6,776 SH       Sole    0      6,776    0     0
HOMESTAKE MNG CO                 Common Stock   437614100       28   4,784 SH       Sole    0      4,784    0     0
HEALTH MGMT ASSOCS. INC.         Common Stock   421933102      244  17,174 SH       Sole    0     17,174    0     0
HORACE MANN EDUCATORS            Common Stock   440327104       51   2,781 SH       Sole    0      2,781    0     0
HEILIG MEYERS CO                 Common Stock   422893107       15   4,059 SH       Sole    0      4,059    0     0
HON Industries                   Common Stock   438092108      105   4,091 SH       Sole    0      4,091    0     0
HEINZ HJ COMPANY                 Common Stock   423074103      227   6,519 SH       Sole    0      6,519    0     0
HONEYWELL INTERNATIONAL INC      Common Stock   438516106      766  14,552 SH       Sole    0     14,552    0     0
HELMERICH & PAYNE INC            Common Stock   423452101      104   3,355 SH       Sole    0      3,355    0     0
HERCULES INC                     Common Stock   427056106       31   1,955 SH       Sole    0      1,955    0     0
BLOCK H & R INC                  Common Stock   093671105       80   1,808 SH       Sole    0      1,808    0     0
HEALTHSOUTH REHABILITATION       Common Stock   421924101       40   7,097 SH       Sole    0      7,097    0     0
HANNAFORD BROTHERS               Common Stock   410550107      211   2,864 SH       Sole    0      2,864    0     0
HORMEL FOODS CORPORATION         Common Stock   440452100      161   9,823 SH       Sole    0      9,823    0     0
HARRIS CORP DEL                  Common Stock   413875105      161   4,687 SH       Sole    0      4,687    0     0
HSB GROUP INC.                   Common Stock   40428N109       57   1,974 SH       Sole    0      1,974    0     0
Harsco Corp.                     Common Stock   415864107       78   2,721 SH       Sole    0      2,721    0     0
HERSHEY FOODS CORP               Common Stock   427866108      124   2,544 SH       Sole    0      2,544    0     0
Houghton Mifflin                 Common Stock   441560109       89   2,108 SH       Sole    0      2,108    0     0
HUBBELL INC.                     Common Stock   443510201      120   4,389 SH       Sole    0      4,389    0     0
HUMANA INC                       Common Stock   444859102       22   3,078 SH       Sole    0      3,078    0     0
HEWLETT PACKARD CO               Common Stock   428236103    2,454  18,474 SH       Sole    0     18,474    0     0
INTERSTATE BAKERIES              Common Stock   46072H108       67   4,754 SH       Sole    0      4,754    0     0
INTERNATIONAL BUS MACH           Common Stock   459200101    3,910  33,137 SH       Sole    0     33,137    0     0
IBP, Inc.                        Common Stock   449223106      113   7,224 SH       Sole    0      7,224    0     0
ICN PHARMACEUTICALS INC.         Common Stock   448924100      144   5,312 SH       Sole    0      5,312    0     0
IDACORP INC                      Common Stock   451380109       88   2,550 SH       Sole    0      2,550    0     0
INTEGRATED DEVICE TECH INC.      Common Stock   458118106      244   6,172 SH       Sole    0      6,172    0     0
Indiana Energy                   Common Stock   454707100       76   3,909 SH       Sole    0      3,909    0     0
INTERNATIONAL FLAV&FRA           Common Stock   459506101       67   1,932 SH       Sole    0      1,932    0     0
INFORMIX CORP.                   Common Stock   456779107      231  13,649 SH       Sole    0     13,649    0     0
IMC GLOBAL INC.                  Common Stock   449669100      113   7,760 SH       Sole    0      7,760    0     0
International Game Techno        Common Stock   459902102      110   5,083 SH       Sole    0      5,083    0     0
ITT INDUSTRIES INC.              Common Stock   450911102       50   1,616 SH       Sole    0      1,616    0     0
IKON OFFICE SOLUTIONS INC.       Common Stock   451713101       17   2,753 SH       Sole    0      2,753    0     0
International Multifoods         Common Stock   460043102       16   1,270 SH       Sole    0      1,270    0     0
IMATION CORP.                    Common Stock   45245A107       65   2,471 SH       Sole    0      2,471    0     0
INCYTE PHARMACEUTICALS INC       Common Stock   45337C102      159   1,820 SH       Sole    0      1,820    0     0
INTEL CORP                       Common Stock   458140100    8,103  61,416 SH       Sole    0     61,416    0     0
INTUIT INC.                      Common Stock   461202103      719  13,240 SH       Sole    0     13,240    0     0
INTERNATIONAL PAPER CO           Common Stock   460146103      325   7,612 SH       Sole    0      7,612    0     0
Interpublic Group                Common Stock   460690100      243   5,159 SH       Sole    0      5,159    0     0
IPALCO Enterprises               Common Stock   462613100      113   5,811 SH       Sole    0      5,811    0     0
INGERSOLL RAND CO                Common Stock   456866102      133   3,007 SH       Sole    0      3,007    0     0
INT'L SPEEDWAY CORP - CL A       Common Stock   460335201      161   3,601 SH       Sole    0      3,601    0     0
GARTNER GROUP INC.-CL B          Common Stock   366651206       79   5,965 SH       Sole    0      5,965    0     0
INVESTMENT TECHNOLOGY GROUP      Common Stock   46145F105       74   2,103 SH       Sole    0      2,103    0     0
ILLINOIS TOOL WKS INC            Common Stock   452308109      305   5,524 SH       Sole    0      5,524    0     0
MARK IV INDUSTRIES INC           Common Stock   570387100       69   3,157 SH       Sole    0      3,157    0     0
IVAX Corp.                       Common Stock   465823102      292  10,729 SH       Sole    0     10,729    0     0
HUNT (JB) TRANSPORT SVCS INC     Common Stock   445658107       33   2,416 SH       Sole    0      2,416    0     0
JABIL CIRCUIT INC                Common Stock   466313103      257   5,943 SH       Sole    0      5,943    0     0
JOHNSON CONTROLS INC             Common Stock   478366107       84   1,571 SH       Sole    0      1,571    0     0
J.C. PENNEY COMPANY INC          Common Stock   708160106       71   4,786 SH       Sole    0      4,786    0     0
JACOBS ENGINEERING GROUP INC     Common Stock   469814107       56   1,757 SH       Sole    0      1,757    0     0
JOHNSON & JOHNSON                Common Stock   478160104    1,796  25,578 SH       Sole    0     25,578    0     0
JONES APPAREL GROUP INC.         Common Stock   480074103      262   8,304 SH       Sole    0      8,304    0     0
JOSTENS INC                      Common Stock   481088102       14     613 SH       Sole    0        613    0     0
JEFFERSON PILOT CORP             Common Stock   475070108      128   1,925 SH       Sole    0      1,925    0     0
MORGAN JP & CO INC               Common Stock   616880100      419   3,183 SH       Sole    0      3,183    0     0
NORDSTROM INC                    Common Stock   655664100       72   2,474 SH       Sole    0      2,474    0     0
KELLOGG COMPANY                  Common Stock   487836108      191   7,453 SH       Sole    0      7,453    0     0
KAUFMAN&BROAD HOME CP            Common Stock   486168107       18     877 SH       Sole    0        877    0     0
Kaydon Corp.                     Common Stock   486587108       57   2,087 SH       Sole    0      2,087    0     0
KEANE INC.                       Common Stock   486665102      122   4,859 SH       Sole    0      4,859    0     0
Kelly Services                   Common Stock   488152208       58   2,433 SH       Sole    0      2,433    0     0
KEY CORPORATION                  Common Stock   493267108      156   8,222 SH       Sole    0      8,222    0     0
KLA-TENCOR CORPORATION           Common Stock   482480100      284   3,375 SH       Sole    0      3,375    0     0
Kansas City Power & Light        Common Stock   485134100      121   4,196 SH       Sole    0      4,196    0     0
K MART CORPORATION               Common Stock   482584109       86   8,946 SH       Sole    0      8,946    0     0
KIMBERLY CLARK CORP              Common Stock   494368103      572  10,213 SH       Sole    0     10,213    0     0
KERR MCGEE CORP                  Common Stock   492386107      101   1,755 SH       Sole    0      1,755    0     0
KINDER MORGAN INC                Common Stock   49455P101      263   7,630 SH       Sole    0      7,630    0     0
Kennametal Inc.                  Common Stock   489170100       61   2,046 SH       Sole    0      2,046    0     0
COCA COLA CO                     Common Stock   191216100    2,131  45,403 SH       Sole    0     45,403    0     0
KROGER CO                        Common Stock   501044101      269  15,333 SH       Sole    0     15,333    0     0
MBNA CORP                        Common Stock   55262L100      375  14,739 SH       Sole    0     14,739    0     0
KNIGHT RIDDER INC                Common Stock   499040103       79   1,543 SH       Sole    0      1,543    0     0
KEYSPAN CORPORATION              Common Stock   49337K106      250   9,074 SH       Sole    0      9,074    0     0
KOHLS CORP.                      Common Stock   500255104      307   2,997 SH       Sole    0      2,997    0     0
KEYSTONE FINANCIAL INC           Common Stock   493482103       60   3,302 SH       Sole    0      3,302    0     0
Kansas City Southern Ind.        Common Stock   485170104      174   2,032 SH       Sole    0      2,032    0     0
Lancaster Colony                 Common Stock   513847103       82   2,713 SH       Sole    0      2,713    0     0
LONGS DRUG STORES CORP           Common Stock   543162101       16     723 SH       Sole    0        723    0     0
Lands' End                       Common Stock   515086106      125   2,044 SH       Sole    0      2,044    0     0
LEAR CORPORATION                 Common Stock   521865105      127   4,549 SH       Sole    0      4,549    0     0
LEE ENTERPRISES                  Common Stock   523768109       78   3,010 SH       Sole    0      3,010    0     0
Leggett & Platt                  Common Stock   524660107       77   3,608 SH       Sole    0      3,608    0     0
LEHAM BROS. HOLDING              Common Stock   524908100      213   2,206 SH       Sole    0      2,206    0     0
Longview Fibre                   Common Stock   543213102       51   3,503 SH       Sole    0      3,503    0     0
LG&E Energy                      Common Stock   501917108      201   8,790 SH       Sole    0      8,790    0     0
LEGATO SYSTEMS INC               Common Stock   524651106      257   5,761 SH       Sole    0      5,761    0     0
LITTON INDS INC                  Common Stock   538021106      136   3,089 SH       Sole    0      3,089    0     0
LIZ CLAIBORNE                    Common Stock   539320101       49   1,087 SH       Sole    0      1,087    0     0
L-3 COMMUNICATIONS HOLDINGS INC  Common Stock   502424104      115   2,221 SH       Sole    0      2,221    0     0
Linear Technology Corp.          Common Stock   535678106      264   4,800 SH       Sole    0      4,800    0     0
LILLY ELI & CO                   Common Stock   532457108    1,255  20,046 SH       Sole    0     20,046    0     0
LEGG MASON INC.                  Common Stock   524901105      167   3,876 SH       Sole    0      3,876    0     0
LOCKHEED MARTIN CORP.            Common Stock   539830109      148   7,280 SH       Sole    0      7,280    0     0
LINCOLN NATL CORP IND            Common Stock   534187109      120   3,594 SH       Sole    0      3,594    0     0
Lance, Inc.                      Common Stock   514606102       21   2,031 SH       Sole    0      2,031    0     0
Lincare Holdings Inc.            Common Stock   532791100      103   3,663 SH       Sole    0      3,663    0     0
ALLIANT ENERGY CORP              Common Stock   018802108      162   5,337 SH       Sole    0      5,337    0     0
LOWES COS INC                    Common Stock   548661107      410   7,027 SH       Sole    0      7,027    0     0
LSI LOGIC                        Common Stock   502161102      397   5,468 SH       Sole    0      5,468    0     0
LIMITED INC                      Common Stock   532716107      166   3,949 SH       Sole    0      3,949    0     0
LOEWS CORP                       Common Stock   540424108       97   1,949 SH       Sole    0      1,949    0     0
LUCENT TECHNOLOGIES INC.         Common Stock   549463107    3,588  58,595 SH       Sole    0     58,595    0     0
SOUTHWEST AIRLINES               Common Stock   844741108      192   9,272 SH       Sole    0      9,272    0     0
Lyondell Petrochemical           Common Stock   552078107      117   7,971 SH       Sole    0      7,971    0     0
Lubrizol Corp.                   Common Stock   549271104      106   3,702 SH       Sole    0      3,702    0     0
MACROMEDIA INC                   Common Stock   556100105      291   3,230 SH       Sole    0      3,230    0     0
MagneTek, Inc.                   Common Stock   559424106       14   1,634 SH       Sole    0      1,634    0     0
HANNA (M.A.) CO.                 Common Stock   410522106       37   3,315 SH       Sole    0      3,315    0     0
MANPOWER INC.                    Common Stock   56418H100      182   5,142 SH       Sole    0      5,142    0     0
MARRIOTT INTL. INC.              Common Stock   571903202      144   4,573 SH       Sole    0      4,573    0     0
MASCO CORP                       Common Stock   574599106      168   8,218 SH       Sole    0      8,218    0     0
MATTEL INC                       Common Stock   577081102       81   7,731 SH       Sole    0      7,731    0     0
MAY DEPT STORES CO               Common Stock   577778103      174   6,112 SH       Sole    0      6,112    0     0
MANDALAY RESORT GROUP            Common Stock   562567107      103   6,141 SH       Sole    0      6,141    0     0
MBIA INC.                        Common Stock   55262C100       95   1,831 SH       Sole    0      1,831    0     0
MCDONALDS CORP                   Common Stock   580135101      930  24,891 SH       Sole    0     24,891    0     0
MICROCHIP TECH INC.              Common Stock   595017104      340   5,179 SH       Sole    0      5,179    0     0
MCKESSON HBOC INC                Common Stock   58155Q103      108   5,179 SH       Sole    0      5,179    0     0
MCN Corp.                        Common Stock   55267J100      145   5,806 SH       Sole    0      5,806    0     0
MEREDITH CORP                    Common Stock   589433101       26     945 SH       Sole    0        945    0     0
MCDERMOTT INTL INC               Common Stock   580037109       10   1,095 SH       Sole    0      1,095    0     0
MEDTRONIC INC                    Common Stock   585055106    1,129  21,956 SH       Sole    0     21,956    0     0
MEAD CORPORATION                 Common Stock   582834107       65   1,887 SH       Sole    0      1,887    0     0
MEDIMMUNE INC                    Common Stock   584699102      795   4,570 SH       Sole    0      4,570    0     0
Media General                    Common Stock   584404107       94   1,803 SH       Sole    0      1,803    0     0
MELLON BANK CORP                 Common Stock   585509102      278   9,350 SH       Sole    0      9,350    0     0
Mentor Graphics                  Common Stock   587200106       65   4,352 SH       Sole    0      4,352    0     0
MERRILL LYNCH & CO INC           Common Stock   590188108      715   6,814 SH       Sole    0      6,814    0     0
MOHAWK INDUSTRIES INC            Common Stock   608190104       91   4,110 SH       Sole    0      4,110    0     0
MCGRAW HILL INC                  Common Stock   580645109      164   3,605 SH       Sole    0      3,605    0     0
Marshall & Ilsley Corp.          Common Stock   571834100      416   7,220 SH       Sole    0      7,220    0     0
MILLIPORE CORP                   Common Stock   601073109       46     832 SH       Sole    0        832    0     0
MIRAGE RESORTS                   Common Stock   60462E104       68   3,552 SH       Sole    0      3,552    0     0
McCORMICK & COMPANY INC          Common Stock   579780206      154   4,799 SH       Sole    0      4,799    0     0
MALLINCKRODT GROUP INC.          Common Stock   561232109       36   1,261 SH       Sole    0      1,261    0     0
Miller (Herman)                  Common Stock   600544100      151   5,425 SH       Sole    0      5,425    0     0
MARTIN MARIETTA MATERIALS        Common Stock   573284106      150   3,166 SH       Sole    0      3,166    0     0
MILLENNIUM PHARMACEUTICALS       Common Stock   599902103      390   3,009 SH       Sole    0      3,009    0     0
MARSH & MCLENNAN COS             Common Stock   571748102      540   4,904 SH       Sole    0      4,904    0     0
MINNESOTA MNG & MFG CO           Common Stock   604059105      649   7,335 SH       Sole    0      7,335    0     0
MINIMED INC                      Common Stock   60365K108      273   2,109 SH       Sole    0      2,109    0     0
PHILIP MORRIS COS INC            Common Stock   718154107      918  43,502 SH       Sole    0     43,502    0     0
Modine Mfg.                      Common Stock   607828100       50   2,001 SH       Sole    0      2,001    0     0
Molex Inc.                       Common Stock   608554101      211   3,605 SH       Sole    0      3,605    0     0
MOTOROLA INC                     Common Stock   620076109    1,903  13,036 SH       Sole    0     13,036    0     0
Minnesota Power & Light          Common Stock   604110106       82   4,980 SH       Sole    0      4,980    0     0
Modis Professional Services      Common Stock   607830106       80   6,510 SH       Sole    0      6,510    0     0
MERITOR AUTOMOTIVE INC.          Common Stock   59000G100       74   4,685 SH       Sole    0      4,685    0     0
Mercantile Bankshares            Common Stock   587405101      142   4,672 SH       Sole    0      4,672    0     0
MERCK & CO INC                   Common Stock   589331107    2,669  42,967 SH       Sole    0     42,967    0     0
USX MARATHON GROUP               Common Stock   902905827      148   5,712 SH       Sole    0      5,712    0     0
MICROSOFT CORP                   Common Stock   594918104   10,166  95,680 SH       Sole    0     95,680    0     0
MGIC INVESTMENT CORP.            Common Stock   552848103       84   1,943 SH       Sole    0      1,943    0     0
Montana Power                    Common Stock   612085100      478   7,470 SH       Sole    0      7,470    0     0
MINERALS TECHNOLOGIES INC.       Common Stock   603158106       63   1,434 SH       Sole    0      1,434    0     0
MICRON TECHNOLOGY                Common Stock   595112103      625   4,968 SH       Sole    0      4,968    0     0
Murphy Oil                       Common Stock   626717102      175   3,049 SH       Sole    0      3,049    0     0
MORGAN ST DEAN WITTER DISCOVER   Common Stock   617446448    1,735  20,944 SH       Sole    0     20,944    0     0
MICRO WAREHOUSE INC.             Common Stock   59501B105       51   2,738 SH       Sole    0      2,738    0     0
MAXIM INTEGRATED PRODUCTS        Common Stock   57772K101    1,316  18,530 SH       Sole    0     18,530    0     0
MAXXAM Inc.                      Common Stock   577913106       13     475 SH       Sole    0        475    0     0
MAYTAG CORP                      Common Stock   578592107       51   1,552 SH       Sole    0      1,552    0     0
Mylan Laboratories               Common Stock   628530107      240   8,760 SH       Sole    0      8,760    0     0
MILACRON INC.                    Common Stock   598709103        9     680 SH       Sole    0        680    0     0
INCO LTD                         Common Stock   453258402       64   3,528 SH       Sole    0      3,528    0     0
NAVISTAR INTL CORP ILL           Common Stock   63934E108       46   1,162 SH       Sole    0      1,162    0     0
Noble Affiliates                 Common Stock   654894104      126   3,867 SH       Sole    0      3,867    0     0
NABORS INDUSTRIES INC.           Common Stock   629568106      365   9,407 SH       Sole    0      9,407    0     0
NACCO INDS INC                   Common Stock   629579103        7     150 SH       Sole    0        150    0     0
NATIONAL COMMERCE BANCORP        Common Stock   635449101      135   7,337 SH       Sole    0      7,337    0     0
NATIONAL CITY CORP               Common Stock   635405103      233  11,332 SH       Sole    0     11,332    0     0
NEW CENTURY ENERGIES INC.        Common Stock   64352U103       63   2,124 SH       Sole    0      2,124    0     0
NCH Corp.                        Common Stock   628850109       16     367 SH       Sole    0        367    0     0
NAVIGANT CONSULTING CO.          Common Stock   63935N107       31   2,823 SH       Sole    0      2,823    0     0
NCO GROUP INC                    Common Stock   628858102       54   1,720 SH       Sole    0      1,720    0     0
NCR CORP                         Common Stock   62886E108       71   1,775 SH       Sole    0      1,775    0     0
Nordson Corporation              Common Stock   655663102       51   1,116 SH       Sole    0      1,116    0     0
NOBLE DRILLING CORP.             Common Stock   655042109      368   8,910 SH       Sole    0      8,910    0     0
Energy East Corp.                Common Stock   29266M109      166   8,396 SH       Sole    0      8,396    0     0
NEWMONT MNG CORP                 Common Stock   651639106       69   3,080 SH       Sole    0      3,080    0     0
NETWORKS ASSOCIATES INC.         Common Stock   640938106      304   9,437 SH       Sole    0      9,437    0     0
NORTH FORK BANCORP               Common Stock   659424105      179  10,050 SH       Sole    0     10,050    0     0
National Fuel Gas                Common Stock   636180101      117   2,630 SH       Sole    0      2,630    0     0
NABISCO GROUP HOLDINGS           Common Stock   62952P102       72   5,995 SH       Sole    0      5,995    0     0
NISOURCE INC                     Common Stock   629140104      143   8,477 SH       Sole    0      8,477    0     0
NOVA CORP/GEORGIA                Common Stock   669784100      145   4,991 SH       Sole    0      4,991    0     0
NIKE INC                         Common Stock   654106103      201   5,073 SH       Sole    0      5,073    0     0
NEIMAN MARCUS GROUP - CL A       Common Stock   640204202       92   3,323 SH       Sole    0      3,323    0     0
NIAGARA MOHAWK POWER CORP        Common Stock   653522102       46   3,443 SH       Sole    0      3,443    0     0
NEWPORT NEWS SHIPBUILDING        Common Stock   652228107       67   2,235 SH       Sole    0      2,235    0     0
NORTHROP CORP                    Common Stock   666807102       67   1,277 SH       Sole    0      1,277    0     0
NOVELL INC                       Common Stock   670006105      171   6,004 SH       Sole    0      6,004    0     0
NORFOLK SOUTHERN CORP            Common Stock   655844108      100   7,022 SH       Sole    0      7,022    0     0
NATIONAL SVC INDS INC            Common Stock   637657107       15     748 SH       Sole    0        748    0     0
NATIONAL SEMICONDUCTOR           Common Stock   637640103      191   3,153 SH       Sole    0      3,153    0     0
NORTHERN STS PWR MINN            Common Stock   665772109       56   2,846 SH       Sole    0      2,846    0     0
NSTAR                            Common Stock   67019E107      171   4,077 SH       Sole    0      4,077    0     0
NORTEL NETWORKS CORP             Common Stock   656568102    3,347  26,539 SH       Sole    0     26,539    0     0
NETWORK APPLIANCE INC            Common Stock   64120L104      231   2,799 SH       Sole    0      2,799    0     0
Northern Trust Corp.             Common Stock   665859104      276   4,092 SH       Sole    0      4,092    0     0
Northeast Utilities              Common Stock   664397106      191   8,918 SH       Sole    0      8,918    0     0
NUCOR CORP                       Common Stock   670346105       80   1,603 SH       Sole    0      1,603    0     0
NVIDIA CORP                      Common Stock   67066G104      125   1,480 SH       Sole    0      1,480    0     0
NOVELLUS SYSTEMS INC.            Common Stock   670008101      446   7,953 SH       Sole    0      7,953    0     0
NEWELL RUBBERMAID INC            Common Stock   651192106      128   5,184 SH       Sole    0      5,184    0     0
NEXTEL COMMUNICATIONS            Common Stock   65332V103      993   6,699 SH       Sole    0      6,699    0     0
NEW YORK TIMES CO                Common Stock   650111107      135   3,148 SH       Sole    0      3,148    0     0
QUAKER OATS CO                   Common Stock   747402105      149   2,459 SH       Sole    0      2,459    0     0
OHIO CASUALTY CORP               Common Stock   677240103       72   4,073 SH       Sole    0      4,073    0     0
OMNICARE INC.                    Common Stock   681904108       74   6,189 SH       Sole    0      6,189    0     0
OFFICE DEPOT INC                 Common Stock   676220106       69   6,053 SH       Sole    0      6,053    0     0
OCEAN ENERGY INC                 Common Stock   67481E106      162  11,312 SH       Sole    0     11,312    0     0
OGDEN CORP                       Common Stock   676346109       40   3,353 SH       Sole    0      3,353    0     0
OGE ENERGY CORP.                 Common Stock   670837103      101   5,274 SH       Sole    0      5,274    0     0
OWENS-ILLINOIS INC.              Common Stock   690768403       46   2,759 SH       Sole    0      2,759    0     0
OLD KENT FINL CORP               Common Stock   679833103       71   2,243 SH       Sole    0      2,243    0     0
ONEOK INC NEW                    Common Stock   682680103       14     568 SH       Sole    0        568    0     0
Olin Corp.                       Common Stock   680665205       54   3,054 SH       Sole    0      3,054    0     0
Omnicom Group                    Common Stock   681919106      305   3,262 SH       Sole    0      3,262    0     0
OFFICEMAX INC.                   Common Stock   67622M108       49   7,683 SH       Sole    0      7,683    0     0
BANC ONE CORP                    Common Stock   06423A103      727  21,079 SH       Sole    0     21,079    0     0
ORACLE SYSTEMS CORP              Common Stock   68389X105    4,048  51,866 SH       Sole    0     51,866    0     0
OLD REPUBLIC INTL. CORP.         Common Stock   680223104      117   8,557 SH       Sole    0      8,557    0     0
Overseas Shipholding Grou        Common Stock   690368105       52   2,283 SH       Sole    0      2,283    0     0
OUTBACK STEAKHOUSE INC.          Common Stock   689899102      163   5,084 SH       Sole    0      5,084    0     0
OWENS CORNING                    Common Stock   69073F103       19   1,008 SH       Sole    0      1,008    0     0
OXFORD HEALTH PLANS              Common Stock   691471106       84   5,526 SH       Sole    0      5,526    0     0
OCCIDENTAL PETE CP DEL           Common Stock   674599105      140   6,757 SH       Sole    0      6,757    0     0
PHILLIPS PETE CO                 Common Stock   718507106      215   4,656 SH       Sole    0      4,656    0     0
Paychex Inc.                     Common Stock   704326107      237   4,543 SH       Sole    0      4,543    0     0
PITNEY BOWES INC                 Common Stock   724479100      217   4,876 SH       Sole    0      4,876    0     0
PACCAR INC                       Common Stock   693718108       72   1,440 SH       Sole    0      1,440    0     0
PG&E CORP.                       Common Stock   69331C108      148   7,059 SH       Sole    0      7,059    0     0
POTLATCH CORP                    Common Stock   737628107       22     532 SH       Sole    0        532    0     0
Precision Castparts              Common Stock   740189105       60   1,661 SH       Sole    0      1,661    0     0
SPRINT CORP (PCS GROUP)          Common Stock   852061506    1,037  15,844 SH       Sole    0     15,844    0     0
PHELPS DODGE CORP                Common Stock   717265102       70   1,488 SH       Sole    0      1,488    0     0
PLACER DOME INC                  Common Stock   725906101       48   5,984 SH       Sole    0      5,984    0     0
PECO ENERGY CO.                  Common Stock   693304107      125   3,415 SH       Sole    0      3,415    0     0
PE CORP-PE BIOSYSTEMS GRP        Common Stock   69332S102      365   3,789 SH       Sole    0      3,789    0     0
PUBLIC SVC ENTERPRISE            Common Stock   744573106      119   4,018 SH       Sole    0      4,018    0     0
PEPSICO INC                      Common Stock   713448108      933  26,762 SH       Sole    0     26,762    0     0
PFIZER INC                       Common Stock   717081103    2,601  71,160 SH       Sole    0     71,160    0     0
Provident Financial Group        Common Stock   743866105      112   3,291 SH       Sole    0      3,291    0     0
PROCTER & GAMBLE CO              Common Stock   742718109    1,366  24,187 SH       Sole    0     24,187    0     0
PEOPLES ENERGY CORP              Common Stock   711030106       17     653 SH       Sole    0        653    0     0
Progressive Corp.                Common Stock   743315103      102   1,344 SH       Sole    0      1,344    0     0
PARKER HANNIFIN CORP             Common Stock   701094104       85   2,061 SH       Sole    0      2,061    0     0
PHARMACIA CORPORATION            Common Stock   71713U102      600  11,666 SH       Sole    0     11,666    0     0
PULTE CORP.                      Common Stock   745867101       16     795 SH       Sole    0        795    0     0
PACIFICARE HEALTH SYSTEMS        Common Stock   695112102      147   2,954 SH       Sole    0      2,954    0     0
PERKINELMER INC                  Common Stock   714046109       58     878 SH       Sole    0        878    0     0
PREMIER PARKS INC                Common Stock   740540208      111   5,304 SH       Sole    0      5,304    0     0
Protective Life Corp.            Common Stock   743674103      138   4,372 SH       Sole    0      4,372    0     0
POLYCOM INC                      Common Stock   73172K104      176   2,225 SH       Sole    0      2,225    0     0
PALL CORP                        Common Stock   696429307       51   2,280 SH       Sole    0      2,280    0     0
THE PMI GROUP INC.               Common Stock   69344M101      143   3,028 SH       Sole    0      3,028    0     0
Policy Management Systems        Common Stock   731108106       28   2,411 SH       Sole    0      2,411    0     0
PARAMETRIC TECHNOLOGY            Common Stock   699173100      106   5,054 SH       Sole    0      5,054    0     0
PNC FINANCIAL CORP               Common Stock   693475105      243   5,404 SH       Sole    0      5,404    0     0
Public Service of New Mex        Common Stock   744499104       43   2,764 SH       Sole    0      2,764    0     0
PENTAIR INC.                     Common Stock   709631105      153   3,266 SH       Sole    0      3,266    0     0
PHARMACIA & UPJOHN INC.          Common Stock   716941109      567   9,531 SH       Sole    0      9,531    0     0
Pinnacle West Capital            Common Stock   723484101       43   1,558 SH       Sole    0      1,558    0     0
Potomac Electric Power           Common Stock   737679100      181   8,035 SH       Sole    0      8,035    0     0
PARK PLACE ENTERTAINMENT         Common Stock   700690100      238  20,667 SH       Sole    0     20,667    0     0
PPG INDUSTRIES INC               Common Stock   693506107      167   3,195 SH       Sole    0      3,195    0     0
PP&L RESOURCES                   Common Stock   693499105       55   2,641 SH       Sole    0      2,641    0     0
POLAROID CORP                    Common Stock   731095105       19     818 SH       Sole    0        818    0     0
PERRIGO COMPANY                  Common Stock   714290103       37   4,972 SH       Sole    0      4,972    0     0
Puget Sound Power & Light        Common Stock   745332106      127   5,732 SH       Sole    0      5,732    0     0
Peoplesoft Inc.                  Common Stock   712713106       98   4,934 SH       Sole    0      4,934    0     0
Payless ShoeSource               Common Stock   704379106      109   2,106 SH       Sole    0      2,106    0     0
PSS WORLD MEDICAL INC            Common Stock   71940L107       32   4,808 SH       Sole    0      4,808    0     0
PACTIV CORPORATION               Common Stock   695257105       27   3,150 SH       Sole    0      3,150    0     0
PROVIDIAN FINANCIAL CORP         Common Stock   74406A102      226   2,610 SH       Sole    0      2,610    0     0
POWERWAVE TECHNOLOGIES INC       Common Stock   739363109      179   1,435 SH       Sole    0      1,435    0     0
PAINE WEBBER GROUP INC           Common Stock   695629105      115   2,623 SH       Sole    0      2,623    0     0
PRAXAIR INC.                     Common Stock   74005P104      121   2,922 SH       Sole    0      2,922    0     0
PIONEER NATURAL RESOURCES CO.    Common Stock   723787107       71   6,799 SH       Sole    0      6,799    0     0
PITTSTON BRINKS CO.              Common Stock   725701106       58   3,454 SH       Sole    0      3,454    0     0
PENNZOIL-QUAKER STATE CO.        Common Stock   709323109       55   5,286 SH       Sole    0      5,286    0     0
PAPA JOHN'S INTL INC             Common Stock   698813102       68   2,064 SH       Sole    0      2,064    0     0
QUALCOMM INC.                    Common Stock   747525103    2,025  13,565 SH       Sole    0     13,565    0     0
QUORUM HEALTH GROUP INC.         Common Stock   749084109       48   4,790 SH       Sole    0      4,790    0     0
QLOGIC CORP                      Common Stock   747277101      671   4,955 SH       Sole    0      4,955    0     0
Quintiles Transnational Corp.    Common Stock   748767100       36   2,113 SH       Sole    0      2,113    0     0
RYDER SYSTEMS INC                Common Stock   783549108       26   1,180 SH       Sole    0      1,180    0     0
RITE AID CORP                    Common Stock   767754104       26   4,762 SH       Sole    0      4,762    0     0
RALSTON-RALSTON PURINA CO        Common Stock   751277302      152   5,549 SH       Sole    0      5,549    0     0
RATIONAL SOFTWARE CORP.          Common Stock   75409P202      452   5,920 SH       Sole    0      5,920    0     0
REEBOK INTL LTD                  Common Stock   758110100        9   1,034 SH       Sole    0      1,034    0     0
ROYAL DUTCH PETE CO              Common Stock   780257804    2,278  39,420 SH       Sole    0     39,420    0     0
READERS DIGEST ASSN. - CL A      Common Stock   755267101      255   7,217 SH       Sole    0      7,217    0     0
ROWAN COS INC                    Common Stock   779382100       49   1,697 SH       Sole    0      1,697    0     0
RUDDICK CORPORATION              Common Stock   781258108       34   3,148 SH       Sole    0      3,148    0     0
EVEREST REINSURANCE HLDGS        Common Stock   299808105      103   3,183 SH       Sole    0      3,183    0     0
RELIANT ENERGY INC               Common Stock   75952J108      128   5,434 SH       Sole    0      5,434    0     0
REYNOLDS & REYNOLDS COMPANY      Common Stock   761695105      141   5,236 SH       Sole    0      5,236    0     0
Regions Financial Corp.          Common Stock   758940100       91   4,019 SH       Sole    0      4,019    0     0
Robert Half Intl. Inc.           Common Stock   770323103      288   6,081 SH       Sole    0      6,081    0     0
TRANSOCEAN SEDCO FOREX INC       Common Stock   893817106      197   3,842 SH       Sole    0      3,842    0     0
RJ REYNOLDS TOBACCO HOLDINGS     Common Stock   76182K105      126   7,431 SH       Sole    0      7,431    0     0
COORS ADOLPH CO                  Common Stock   217016104       32     678 SH       Sole    0        678    0     0
REYNOLDS METALS CO               Common Stock   761763101       77   1,162 SH       Sole    0      1,162    0     0
RELIASTAR FINANCIAL CORP.        Common Stock   75952U103      203   6,016 SH       Sole    0      6,016    0     0
RUSSELL CORP                     Common Stock   782352108        8     608 SH       Sole    0        608    0     0
ROHM & HAAS CO                   Common Stock   775371107      179   4,024 SH       Sole    0      4,024    0     0
ROCKWELL INTL CRP                Common Stock   773903109      145   3,489 SH       Sole    0      3,489    0     0
Rollins, Inc.                    Common Stock   775711104       30   2,039 SH       Sole    0      2,039    0     0
ROSS STORES INC DEL              Common Stock   778296103      147   6,133 SH       Sole    0      6,133    0     0
RPM, Inc.                        Common Stock   749685103       80   7,322 SH       Sole    0      7,322    0     0
RYERSON TULL INC.                Common Stock   78375P107       26   1,679 SH       Sole    0      1,679    0     0
RAYTHEON CO - CLASS B            Common Stock   755111408      110   6,220 SH       Sole    0      6,220    0     0
IMS HEALTH INC.                  Common Stock   449934108       95   5,659 SH       Sole    0      5,659    0     0
RAYONIER INC.                    Common Stock   754907103       90   1,862 SH       Sole    0      1,862    0     0
SEARS ROEBUCK & CO               Common Stock   812387108      212   6,948 SH       Sole    0      6,948    0     0
SAFECO CORP                      Common Stock   786429100       63   2,389 SH       Sole    0      2,389    0     0
SANMINA CORP                     Common Stock   800907107      287   4,259 SH       Sole    0      4,259    0     0
SAWTEK INC                       Common Stock   805468105      150   2,864 SH       Sole    0      2,864    0     0
SBC COMMUNICATIONS INC.          Common Stock   78387G103    2,641  62,711 SH       Sole    0     62,711    0     0
Symbol Technologies              Common Stock   871508107      493   5,999 SH       Sole    0      5,999    0     0
STARBUCKS CORP.                  Common Stock   855244109      553  12,350 SH       Sole    0     12,350    0     0
SCANA Corp .                     Common Stock   805898103      172   7,021 SH       Sole    0      7,021    0     0
SCHWAB CHARLES                   Common Stock   808513105      856  15,073 SH       Sole    0     15,073    0     0
SCHOLASTIC CORP.                 Common Stock   807066105       60   1,121 SH       Sole    0      1,121    0     0
SCI SYSTEMS INC.                 Common Stock   783890106      525   9,774 SH       Sole    0      9,774    0     0
Structural Dynamics Resea        Common Stock   863555108       32   2,422 SH       Sole    0      2,422    0     0
SUNGARD DATA SYSTEMS INC.        Common Stock   867363103      328   8,693 SH       Sole    0      8,693    0     0
Southdown                        Common Stock   841297104      144   2,434 SH       Sole    0      2,434    0     0
SIEBEL SYSTEMS INC.              Common Stock   826170102    1,560  13,067 SH       Sole    0     13,067    0     0
Sealed Air                       Common Stock   81211K100       83   1,535 SH       Sole    0      1,535    0     0
Seagate Technology               Common Stock   811804103      245   3,968 SH       Sole    0      3,968    0     0
SEPRACOR INC                     Common Stock   817315104      327   4,492 SH       Sole    0      4,492    0     0
SCIENTIFIC ATLANTA INC           Common Stock   808655104       91   1,453 SH       Sole    0      1,453    0     0
SANTA FE SNYDER CORP             Common Stock   80218K105      118  12,501 SH       Sole    0     12,501    0     0
SILICON GRAPHICS                 Common Stock   827056102       35   3,385 SH       Sole    0      3,385    0     0
SCHERING PLOUGH CORP             Common Stock   806605101    1,002  27,002 SH       Sole    0     27,002    0     0
A. SCHULMAN INC.                 Common Stock   808194104       27   2,110 SH       Sole    0      2,110    0     0
SHERWIN WILLIAMS CO              Common Stock   824348106       67   3,049 SH       Sole    0      3,049    0     0
SHAW INDUSTRIES INC              Common Stock   820286102      137   9,069 SH       Sole    0      9,069    0     0
SIGMA-ALDRICH CORP.              Common Stock   826552101       49   1,854 SH       Sole    0      1,854    0     0
Smith International              Common Stock   832110100      256   3,316 SH       Sole    0      3,316    0     0
Smucker (J.M.)                   Common Stock   832696108       35   1,966 SH       Sole    0      1,966    0     0
SAKS HOLDINGS INC.               Common Stock   79377R109      222   9,816 SH       Sole    0      9,816    0     0
SCHLUMBERGER LTD                 Common Stock   806857108      773  10,108 SH       Sole    0     10,108    0     0
SARA LEE CORP                    Common Stock   803111103      300  16,707 SH       Sole    0     16,707    0     0
STUDENT LOAN MKTG ASSN           Common Stock   78442A109       97   2,924 SH       Sole    0      2,924    0     0
SOLECTRON CORP.                  Common Stock   834182107      437  10,895 SH       Sole    0     10,895    0     0
SYLVAN LEARNING SYSTEMS INC      Common Stock   871399101       55   3,454 SH       Sole    0      3,454    0     0
SPRINGS INDS INC                 Common Stock   851783100       12     329 SH       Sole    0        329    0     0
SHARED MED SYS CORP              Common Stock   819486101       25     494 SH       Sole    0        494    0     0
SNAP-ON TOOLS CORP               Common Stock   833034101       28   1,076 SH       Sole    0      1,076    0     0
Synopsys Inc.                    Common Stock   871607107      234   4,802 SH       Sole    0      4,802    0     0
SYNOVUS FINANCIAL CORP.          Common Stock   87161C105       97   5,142 SH       Sole    0      5,142    0     0
SOUTHERN CO                      Common Stock   842587107      269  12,375 SH       Sole    0     12,375    0     0
SOLUTIA INC.                     Common Stock   834376105       99   7,466 SH       Sole    0      7,466    0     0
Sonoco Products                  Common Stock   835495102      158   6,912 SH       Sole    0      6,912    0     0
SouthTrust Corp.                 Common Stock   844730101       78   3,085 SH       Sole    0      3,085    0     0
ST PAUL COS INC                  Common Stock   792860108      142   4,178 SH       Sole    0      4,178    0     0
STAPLES INC.                     Common Stock   855030102      172   8,634 SH       Sole    0      8,634    0     0
SPX CORP                         Common Stock   784635104      240   2,114 SH       Sole    0      2,114    0     0
Sequa Corp. - Class A            Common Stock   817320104       27     703 SH       Sole    0        703    0     0
STANDARD REGISTER COMPANY        Common Stock   853887107       24   1,888 SH       Sole    0      1,888    0     0
SEMPRA ENERGY                    Common Stock   816851109       62   3,755 SH       Sole    0      3,755    0     0
Sensormatic Electronics          Common Stock   817265101      115   5,157 SH       Sole    0      5,157    0     0
SIERRA PACIFIC RESOURCES         Common Stock   826428104       66   5,315 SH       Sole    0      5,315    0     0
STEWART & STEVENSON SERVICES     Common Stock   860342104       21   1,897 SH       Sole    0      1,897    0     0
STERLING SOFTWARE, INC.          Common Stock   859547101      187   5,711 SH       Sole    0      5,711    0     0
LONE STAR STEAKHOUSE             Common Stock   542307103       22   2,243 SH       Sole    0      2,243    0     0
STERIS CORP.                     Common Stock   859152100       46   4,575 SH       Sole    0      4,575    0     0
STEWARD ENTERPRISES INC. CL A    Common Stock   860370105       36   7,362 SH       Sole    0      7,362    0     0
SUNTRUST BKS INC                 Common Stock   867914103      339   5,882 SH       Sole    0      5,882    0     0
ST JUDE MEDICAL INC              Common Stock   790849103       39   1,547 SH       Sole    0      1,547    0     0
Storage Technology               Common Stock   862111200      108   6,791 SH       Sole    0      6,791    0     0
Questar Corp.                    Common Stock   748356102      103   5,588 SH       Sole    0      5,588    0     0
STATE STREET BOSTON              Common Stock   857477103      284   2,941 SH       Sole    0      2,941    0     0
SUMMIT BANCORP                   Common Stock   866005101       84   3,212 SH       Sole    0      3,212    0     0
SUNOCO INC                       Common Stock   866762107       45   1,659 SH       Sole    0      1,659    0     0
SUN MICROSYSTEMS                 Common Stock   866810104    2,718  29,017 SH       Sole    0     29,017    0     0
SUPERIOR INDUSTRIES INTL. INC    Common Stock   868168105       57   1,807 SH       Sole    0      1,807    0     0
SOVEREIGN BANCORP INC.           Common Stock   845905108      112  14,865 SH       Sole    0     14,865    0     0
SUPERVALUE INC.                  Common Stock   868536103       48   2,566 SH       Sole    0      2,566    0     0
SWIFT TRANS. CO. INC.            Common Stock   870756103       89   4,360 SH       Sole    0      4,360    0     0
STANLEY WKS                      Common Stock   854616109       43   1,644 SH       Sole    0      1,644    0     0
SAFEWAY INC                      Common Stock   786514208      423   9,354 SH       Sole    0      9,354    0     0
SYBRON INTERNATIONAL CORP        Common Stock   87114F106      203   7,034 SH       Sole    0      7,034    0     0
SYBASE INC.                      Common Stock   871130100      112   5,527 SH       Sole    0      5,527    0     0
STRYKER CORP                     Common Stock   863667101      458   6,574 SH       Sole    0      6,574    0     0
SYKES ENTERPRISES INC            Common Stock   871237103       54   2,872 SH       Sole    0      2,872    0     0
Symantec Corp.                   Common Stock   871503108      296   3,941 SH       Sole    0      3,941    0     0
SYSCO CORP                       Common Stock   871829107      219   6,066 SH       Sole    0      6,066    0     0
SUIZA FOODS CORP                 Common Stock   865077101       85   2,115 SH       Sole    0      2,115    0     0
AT & T CORP                      Common Stock   001957109    3,307  58,739 SH       Sole    0     58,739    0     0
TANDY CORP                       Common Stock   875382103      180   3,553 SH       Sole    0      3,553    0     0
TCF FINANCIAL CORP.              Common Stock   872275102      133   5,623 SH       Sole    0      5,623    0     0
Telephone & Data Systems         Common Stock   879433100      464   4,186 SH       Sole    0      4,186    0     0
Tidewater Inc.                   Common Stock   886423102      119   3,770 SH       Sole    0      3,770    0     0
TECO Energy                      Common Stock   872375100      170   8,775 SH       Sole    0      8,775    0     0
TECH DATA CORP.                  Common Stock   878237106      115   3,526 SH       Sole    0      3,526    0     0
TECUMSEH PRODUCTS CO-CL A        Common Stock   878895200       59   1,353 SH       Sole    0      1,353    0     0
TEKTRONIX INC                    Common Stock   879131100       48     869 SH       Sole    0        869    0     0
Teradyne, Inc.                   Common Stock   880770102      257   3,143 SH       Sole    0      3,143    0     0
Teleflex                         Common Stock   879369106       91   2,574 SH       Sole    0      2,574    0     0
TRIGON HEALTHCARE INC.           Common Stock   89618L100       95   2,662 SH       Sole    0      2,662    0     0
GEORGIA-PACIFIC (TIMBER)         Common Stock   373298702      143   5,617 SH       Sole    0      5,617    0     0
TARGET CORP                      Common Stock   87612E106      602   8,055 SH       Sole    0      8,055    0     0
TENET HEALTHCARE CORP            Common Stock   88033G100      133   5,734 SH       Sole    0      5,734    0     0
Tiffany & Co.                    Common Stock   886547108      408   4,889 SH       Sole    0      4,889    0     0
TEMPLE INLAND INC                Common Stock   879868107       51   1,027 SH       Sole    0      1,027    0     0
TJX COS INC NEW                  Common Stock   872540109      126   5,700 SH       Sole    0      5,700    0     0
TIMKEN CO                        Common Stock   887389104       18   1,138 SH       Sole    0      1,138    0     0
TELLABS INC.                     Common Stock   879664100      465   7,395 SH       Sole    0      7,395    0     0
TIMES MIRROR CO DEL              Common Stock   887364107      102   1,103 SH       Sole    0      1,103    0     0
TORCHMARK CORP                   Common Stock   891027104       55   2,418 SH       Sole    0      2,418    0     0
THERMO ELECTRON                  Common Stock   883556102       59   2,908 SH       Sole    0      2,908    0     0
THOMAS & BETTS CORP              Common Stock   884315102       30   1,063 SH       Sole    0      1,063    0     0
Tosco Corp.                      Common Stock   891490302       81   2,645 SH       Sole    0      2,645    0     0
TOYS R US                        Common Stock   892335100       65   4,412 SH       Sole    0      4,412    0     0
TRIQUINT SEMICONDUCTOR INC       Common Stock   89674K103      184   2,508 SH       Sole    0      2,508    0     0
TRIBUNE CO NEW                   Common Stock   896047107      159   4,368 SH       Sole    0      4,368    0     0
TOTAL RENAL CARE HOLDINGS        Common Stock   89151A107       17   5,504 SH       Sole    0      5,504    0     0
Trinity Industries               Common Stock   896522109       63   2,675 SH       Sole    0      2,675    0     0
PRICE (T. ROWE) ASSOCS.          Common Stock   741477103       86   2,200 SH       Sole    0      2,200    0     0
TRW INC                          Common Stock   872649108      130   2,235 SH       Sole    0      2,235    0     0
TRANSACTION SYSTEMS ARCH         Common Stock   893416107       63   2,207 SH       Sole    0      2,207    0     0
SABRE HOLDINGS CORP              Common Stock   785905100       86   2,381 SH       Sole    0      2,381    0     0
TYSON FOODS INC                  Common Stock   902494103      173  15,563 SH       Sole    0     15,563    0     0
TUPPERWARE CORP.                 Common Stock   899896104       16   1,060 SH       Sole    0      1,060    0     0
TIME WARNER INC                  Common Stock   887315109    2,365  23,650 SH       Sole    0     23,650    0     0
TEXACO INC                       Common Stock   881694103      546  10,166 SH       Sole    0     10,166    0     0
TRANSWITCH CORP                  Common Stock   894065101      245   2,550 SH       Sole    0      2,550    0     0
TEXAS INSTRUMENTS INC            Common Stock   882508104    2,391  14,945 SH       Sole    0     14,945    0     0
TEXTRON INC                      Common Stock   883203101      166   2,734 SH       Sole    0      2,734    0     0
TEXAS UTILS CO                   Common Stock   882848104      150   5,081 SH       Sole    0      5,081    0     0
TYCO INTERNATIONAL LTD           Common Stock   902124106    1,558  31,087 SH       Sole    0     31,087    0     0
US AIRWAYS GROUP, INC            Common Stock   911905107       36   1,314 SH       Sole    0      1,314    0     0
UNOCAL CORP                      Common Stock   915289102      132   4,456 SH       Sole    0      4,456    0     0
UNICOM CORPORATION               Common Stock   904911104      145   3,998 SH       Sole    0      3,998    0     0
UCAR INTERNATIONAL INC.          Common Stock   90262K109       40   3,056 SH       Sole    0      3,056    0     0
UtiliCorp United                 Common Stock   918005109      113   6,299 SH       Sole    0      6,299    0     0
ULTRAMAR DIAMOND SHAMROCK CP     Common Stock   904000106      149   5,874 SH       Sole    0      5,874    0     0
Universal Foods                  Common Stock   913538104       72   3,408 SH       Sole    0      3,408    0     0
Unifi, Inc.                      Common Stock   904677101       35   4,013 SH       Sole    0      4,013    0     0
U.S. FOODSERVICE                 Common Stock   90331R101      177   6,882 SH       Sole    0      6,882    0     0
UNISYS CORP                      Common Stock   909214108      146   5,709 SH       Sole    0      5,709    0     0
UNION CARBIDE CORP               Common Stock   905581104      143   2,460 SH       Sole    0      2,460    0     0
MEDIAONE GROUP INC.              Common Stock   58440J104      911  11,250 SH       Sole    0     11,250    0     0
UNILEVER N V                     Common Stock   904784501      505  10,508 SH       Sole    0     10,508    0     0
UNITED HEALTH GROUP              Common Stock   91324P102      186   3,121 SH       Sole    0      3,121    0     0
UNITRIN INC                      Common Stock   913275103      194   4,904 SH       Sole    0      4,904    0     0
UNUMPROVIDENT CORP               Common Stock   91529Y106       74   4,412 SH       Sole    0      4,412    0     0
UNION PAC CORP                   Common Stock   907818108      178   4,569 SH       Sole    0      4,569    0     0
UNION PLANTERS CORP.             Common Stock   908068109       79   2,593 SH       Sole    0      2,593    0     0
UNION PACIFIC RESOURCES          Common Stock   907834105       67   4,632 SH       Sole    0      4,632    0     0
US BANCORP                       Common Stock   902973106      302  13,846 SH       Sole    0     13,846    0     0
U S G CORP                       Common Stock   903293306      130   3,351 SH       Sole    0      3,351    0     0
UST INC                          Common Stock   902911106       49   3,146 SH       Sole    0      3,146    0     0
US TREASURY BILL                 TBill          912795DV0   20,862  21,000 PRN      Sole    0     21,000    0     0
US TREASURY BILL                 TBill          12795DW8   191,785 193,235 PRN      Sole    0    193,235    0     0
US WEST INC                      Common Stock   912889102      674   9,289 SH       Sole    0      9,289    0     0
UNITED TECHNOLOGIES CP           Common Stock   913017109      551   8,732 SH       Sole    0      8,732    0     0
UNIVISION COMMUNICATIONS - A     Common Stock   914906102      780   6,910 SH       Sole    0      6,910    0     0
Universal Corp.                  Common Stock   913456109       31   2,100 SH       Sole    0      2,100    0     0
VALASSIS COMMUNICATIONS INC      Common Stock   918866104      119   3,600 SH       Sole    0      3,600    0     0
V F CORP                         Common Stock   918204108       52   2,171 SH       Sole    0      2,171    0     0
VIACOM INC. CL B                 Common Stock   925524308      675  12,813 SH       Sole    0     12,813    0     0
VISX INC                         Common Stock   92844S105       79   4,360 SH       Sole    0      4,360    0     0
Valero Energy                    Common Stock   91913Y100      115   3,779 SH       Sole    0      3,779    0     0
VULCAN MATERIALS CO.             Common Stock   929160109       84   1,839 SH       Sole    0      1,839    0     0
SEAGRAM LTD                      Common Stock   811850106      474   7,969 SH       Sole    0      7,969    0     0
Varco Int'l                      Common Stock   922126107       55   4,425 SH       Sole    0      4,425    0     0
VERITAS SOFTWARE CORP            Common Stock   923436109      931   7,110 SH       Sole    0      7,110    0     0
VISHAY INTERTECHNOLOGY INC.      Common Stock   928298108      319   5,740 SH       Sole    0      5,740    0     0
VITESSE SEMICONDUCTOR CORP       Common Stock   928497106    1,001  10,403 SH       Sole    0     10,403    0     0
VIAD CORP.                       Common Stock   92552R109      147   6,438 SH       Sole    0      6,438    0     0
WESTVACO CORP                    Common Stock   961548104       61   1,844 SH       Sole    0      1,844    0     0
WESTAMERICA BANCORPORATION       Common Stock   957090103       70   2,549 SH       Sole    0      2,549    0     0
WARNACO GROUP - CL A             Common Stock   934390105       44   3,771 SH       Sole    0      3,771    0     0
WALGREEN CO                      Common Stock   931422109      476  18,498 SH       Sole    0     18,498    0     0
WATERS CORPORATION               Common Stock   941848103      401   4,216 SH       Sole    0      4,216    0     0
WACHOVIA CORPORATION             Common Stock   929771103      251   3,727 SH       Sole    0      3,727    0     0
WEBSTER FINANCIAL CORP           Common Stock   947890109       70   3,070 SH       Sole    0      3,070    0     0
Wisconsin Central Transport      Common Stock   976592105       42   3,474 SH       Sole    0      3,474    0     0
MCI WORLDCOM INC.                Common Stock   55268B106    2,364  52,180 SH       Sole    0     52,180    0     0
Wallace Computer Services        Common Stock   932270101       33   2,841 SH       Sole    0      2,841    0     0
Wisconsin Energy                 Common Stock   976657106      159   7,991 SH       Sole    0      7,991    0     0
WENDY'S INTERNATIONAL INC        Common Stock   950590109       44   2,198 SH       Sole    0      2,198    0     0
WELLS FARGO CO.                  Common Stock   949746101    1,236  30,350 SH       Sole    0     30,350    0     0
WEATHERFORD INTL.                Common Stock   947074100      428   7,327 SH       Sole    0      7,327    0     0
Washington Gas Light             Common Stock   938837101       85   3,150 SH       Sole    0      3,150    0     0
WHITMAN CORP                     Common Stock   96647K102      133   9,569 SH       Sole    0      9,569    0     0
WHIRLPOOL CORP                   Common Stock   963320106       80   1,368 SH       Sole    0      1,368    0     0
WINN DIXIE STORES INC            Common Stock   974280109       52   2,687 SH       Sole    0      2,687    0     0
Wilmington Trust Corp.           Common Stock   971807102      107   2,207 SH       Sole    0      2,207    0     0
WARNER LAMBERT CO                Common Stock   934488107    1,541  15,785 SH       Sole    0     15,785    0     0
WILLAMETTE INDUSTRIES            Common Stock   969133107       82   2,051 SH       Sole    0      2,051    0     0
Wellman, Inc.                    Common Stock   949702104       45   2,300 SH       Sole    0      2,300    0     0
WELLPOINT HEALTH NETWORKS-A      Common Stock   94973G100       81   1,170 SH       Sole    0      1,170    0     0
WASHINGTON MUTUAL INC.           Common Stock   939322103      281  10,612 SH       Sole    0     10,612    0     0
WILLIAMS COS INC DEL             Common Stock   969457100      351   7,992 SH       Sole    0      7,992    0     0
WASTE MANAGEMENT INC.            Common Stock   94106L109      155  11,388 SH       Sole    0     11,388    0     0
WAUSAU-MOSINEE PAPER CORP        Common Stock   943315101       45   3,485 SH       Sole    0      3,485    0     0
WAL MART STORES INC              Common Stock   931142103    4,625  81,865 SH       Sole    0     81,865    0     0
WESTWOOD ONE INC.                Common Stock   961815107      136   3,760 SH       Sole    0      3,760    0     0
WATSON PHARMACEUTICAL INC.       Common Stock   942683103       70   1,764 SH       Sole    0      1,764    0     0
Washington Post                  Common Stock   939640108      344     636 SH       Sole    0        636    0     0
WILLIAMS-SONOMA INC.             Common Stock   969904101      117   3,797 SH       Sole    0      3,797    0     0
WORTHINGTON INDS INC             Common Stock   981811102       20   1,641 SH       Sole    0      1,641    0     0
WRIGLEY WM JR CO                 Common Stock   982526105      163   2,128 SH       Sole    0      2,128    0     0
Westpoint Stevens Inc.           Common Stock   961238102       68   3,619 SH       Sole    0      3,619    0     0
WEYERHAEUSER CO                  Common Stock   962166104      246   4,317 SH       Sole    0      4,317    0     0
USX-US STEEL                     Common Stock   90337T101       40   1,625 SH       Sole    0      1,625    0     0
Xilinx, Inc.                     Common Stock   983919101      489   5,906 SH       Sole    0      5,906    0     0
EXXON MOBIL CORPORATION          Common Stock   30231G102    4,947  63,486 SH       Sole    0     63,486    0     0
DENTSPLY INTERNATIONAL INC.      Common Stock   249030107      101   3,579 SH       Sole    0      3,579    0     0
XEROX CORP                       Common Stock   984121103      317  12,211 SH       Sole    0     12,211    0     0
YAHOO! INC                       Common Stock   984332106    1,658   9,678 SH       Sole    0      9,678    0     0
YOUNG & RUBICAM INC              Common Stock   987425105       60   1,280 SH       Sole    0      1,280    0     0
York International               Common Stock   986670107       61   2,642 SH       Sole    0      2,642    0     0
TRICON GLOBAL RESTAURANTS        Common Stock   895953107       86   2,776 SH       Sole    0      2,776    0     0
Zions Bancorporation             Common Stock   989701107      222   5,796 SH       Sole    0      5,796    0     0
GRAND TOTAL     ( 902 items )                              507,014
</TABLE>



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