DLIBJ ASSET MANAGEMENT CO LTD
13F-HR, 2000-08-15
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<PAGE>


                                  UNITED STATES
                       SECURITIES AND EXCHANGE COMMISSION
                             Washington, D.C. 20549

                                    FORM 13F

                               FORM 13F COVER PAGE

Report for the Calendar Year or Quarter Ended: June 30, 2000

Check here if Amendment  |_|;  Amendment Number:
  This Amendment (Check only one.) :

                                                |_|  is a restatement.
                                                |_|  adds new holdings entries.

Institutional Investment Manager Filing this Report:

Name:                  DLIBJ Asset Management Co., Ltd.

Address:               New Tokyo Bldg, 7th Floor
                       3-1 Marunouchi 3-chome, Chiyoda-ku Tokyo Japan 100

Form 13F File Number:  28-  7332

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, statements,
schedules, lists, and tables, are considered integral parts of this form.

Person Signing this Report on Behalf of Reporting Manager:

Name:             Hideto Masaki

Title:            Executive Vice-President

Phone:            81-3-3216-0139

Signature, Place, and Date of Signing:

/s/ Hideto Masaki          Chiyoda-ku, Tokyo Japan             August 14, 2000
-----------------          -----------------------             --------------
  [signature]                  [City, State]                       [Date]

<PAGE>

Report Type (Check only one.):

|X| 13F HOLDINGS REPORT.

|_| 13F NOTICE.

|_| 13F COMBINATION REPORT.

<PAGE>

                              FORM 13F SUMMARY PAGE

Report Summary:

Number of Other Included Managers:          2

Form 13F Information Table Entry Total:     758 Items

Form 13F Information Table Value Total:     $1,615,792 (thousands)

List of Other Included Managers:

No.          13F File Number           Name

1            28-4697                   DLIBJ Asset Management U.S.A., Inc.

2            28-____                   DLIBJ Asset Management International Ltd.

<PAGE>

<TABLE>
<CAPTION>
===================================      ========   =========   =========   ==========  ==========  ========  ======================
Item 1:                                  Item 2:    Item 3:     Item 4:     Item 5:     Item 6:     Item 7:             Item 8:
NAME OF ISSUER                           TITLE OF   CUSIP       MKT VALUE   SHARES OR   INVESTMENT                      Authority
                                         CLASS      NUMBER      (x$1000)    PRIN. AMT   DISCRETION  MANAGERS  (a) Sole  (b)     (c)
                                                                                                                        Shared  None
===================================      ========   =========   =========   ==========  ==========  ========  ======================
<S>                                      <C>        <C>         <C>         <C>         <C>         <C>       <C>
ABBOTT LABORATORIES                         COM     002824100         567       13,550     SOLE                 13,550
ADELPHIA COMMUNICATIONS-CLA                 COM     006848105         706       15,920     SOLE                 15,920
ADVANCED MICRO DEVICES INC                  COM     007903107       1,106       14,500     SOLE                 14,500
AES CORPORATION                             COM     00130H105       1,110       24,940     SOLE                 24,940
AGILENT TECHNOLOGIES INC                    COM     00846U101       1,649       21,736     SOLE                 21,736
ALCOA INC                                   COM     013817101         801       27,610     SOLE                 27,610
ALLSTATE CORP                               COM     020002101         569       24,520     SOLE                 24,520
ALTERA CORPORATION                          COM     021441100         917        9,500     SOLE                  9,500
AMERICA ONLINE INC                          COM     02364J104         781       15,020     SOLE                 15,020
AMERICAN EXPRESS                            COM     025816109       1,512       28,830     SOLE                 28,830
AMERICAN GENERAL CORP                       COM     026351106         233        3,650     SOLE                  3,650
AMERICAN HOME PRODUC                        COM     026609107         579        9,580     SOLE                  9,580
AMERICAN INTL GROUP                         COM     026874107       1,508       12,320     SOLE                 12,320
AMFM INC                                    COM     001693100         331        5,040     SOLE                  5,040
AMGEN INC                                   COM     031162100       1,086       15,920     SOLE                 15,920
ANHEUSER BUSCH COS                          COM     035229103         716        9,400     SOLE                  9,400
APPLIED MATERIALS                           COM     038222105       2,985       33,540     SOLE                 33,540
APPLIED MICRO CIRCUITS CORP                 COM     03822W109         619        6,400     SOLE                  6,400
ASM LITHOGRAPHY NY SHARES                   COM     N07059111       1,785       41,940     SOLE                 41,940
ASSOCIATES FIRST CAPITAL CORP               COM     046008108         179        8,100     SOLE                  8,100
ASTRA AB A SPN ADR                          COM     046298105         707       32,900     SOLE                 32,900
ASTRAZENECA PLC -SPONS ADR                  COM     046353108         662       14,200     SOLE                 14,200
AT & T WIRELESS GROU                        COM     001957406         274       10,650     SOLE                 10,650
AT&T CORP                                   COM     001957109       1,077       33,655     SOLE                 33,655
AT&T CORP-LIBERTY MEDIA A                   COM     001957208         514       20,100     SOLE                 20,100
AUTODESK INC                                COM     052769106         435       12,710     SOLE                 12,710
BAKER HUGHES INC                            COM     057224107         573       17,630     SOLE                 17,630
BANK OF AMERICA CORP                        COM     060505104       2,496       54,930     SOLE                 54,930
BANK OF NEW YORK CO INC                     COM     064057102       1,202       25,040     SOLE                 25,040
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
===================================      ========   =========   =========   ==========  ==========  ========  ======================
Item 1:                                  Item 2:    Item 3:     Item 4:     Item 5:     Item 6:     Item 7:             Item 8:
NAME OF ISSUER                           TITLE OF   CUSIP       MKT VALUE   SHARES OR   INVESTMENT                      Authority
                                         CLASS      NUMBER      (x$1000)    PRIN. AMT   DISCRETION  MANAGERS  (a) Sole  (b)     (c)
                                                                                                                        Shared  None
===================================      ========   =========   =========   ==========  ==========  ========  ======================
<S>                                      <C>        <C>         <C>         <C>         <C>         <C>       <C>
BANK ONE CORP                               COM     06423A103         709       25,590     SOLE                 25,590
BEST BUY COMPANY INC                        COM     086516101         292        4,720     SOLE                  4,720
BRISTOL-MYERS SQUIBB CO                     COM     110122108       1,209       20,870     SOLE                 20,870
BURR-BROWN CORP                             COM     122574106         827        9,500     SOLE                  9,500
CADENCE DESIGN SYS INC                      COM     127387108         618       29,700     SOLE                 29,700
CAMPBELL SOUP CO                            COM     134429109         665       22,800     SOLE                 22,800
CANADIAN NATL RAILWAY CO                    COM     136375102         437       15,000     SOLE                 15,000
CARNIVAL CORP                               COM     143658102         539       28,300     SOLE                 28,300
CATERPILLAR INC                             COM     149123101         281        8,050     SOLE                  8,050
CHARTER COMMUNIICATIONS INC-A               COM     16117M107         385       23,600     SOLE                 23,600
CHASE MANHATTAN NEW                         COM     16161A108         759       15,935     SOLE                 15,935
CHEVRON CORP                                COM     166751107         565        6,520     SOLE                  6,520
CINCINNATI FINL CORP                        COM     172062101       1,146       34,540     SOLE                 34,540
CISCO SYSTEMS INC                           COM     17275R102       4,692       76,680     SOLE                 76,680
CITI GROUP                                  COM     172967101       2,695       42,900     SOLE                 42,900
CLEAR CHANNEL COMMUNICATIONS                COM     184502102         626        8,830     SOLE                  8,830
CLOROX COMPANY                              COM     189054109         586       13,500     SOLE                 13,500
CMGI INC                                    COM     125750109         104        2,260     SOLE                  2,260
COCA-COLA COMPANY(THE)                      COM     191216100         975       16,580     SOLE                 16,580
COLGATE-PALMOLIVE CO                        COM     194162103         980       17,270     SOLE                 17,270
COMCAST CL A SPECIAL                        COM     200300200         858       22,660     SOLE                 22,660
COMPAQ COMPUTER CORP                        COM     204493100         588       24,000     SOLE                 24,000
CORNING INC                                 COM     219350105         472        1,770     SOLE                  1,770
COSTCO WHOLESALE CORP                       COM     22160K105         338       10,550     SOLE                 10,550
CREATIVE TECHNOLOGY LTD                     COM     Y1775U107         400       16,700     SOLE                 16,700
CVS CORP                                    COM     126650100         358        9,430     SOLE                  9,430
DELPHI AUTOMOTIVE SYSTEMS                   COM     247126105         361       24,700     SOLE                 24,700
DISNEY WALT CO                              COM     254687106         764       19,350     SOLE                 19,350
DOVER CORP                                  COM     260003108       1,793       43,660     SOLE                 43,660
DOW CHEMICAL                                COM     260543103         637       20,330     SOLE                 20,330
DU PONT (E.I.) DE NEMOURS                   COM     263534109         645       14,500     SOLE                 14,500
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
===================================      ========   =========   =========   ==========  ==========  ========  ======================
Item 1:                                  Item 2:    Item 3:     Item 4:     Item 5:     Item 6:     Item 7:             Item 8:
NAME OF ISSUER                           TITLE OF   CUSIP       MKT VALUE   SHARES OR   INVESTMENT                      Authority
                                         CLASS      NUMBER      (x$1000)    PRIN. AMT   DISCRETION  MANAGERS  (a) Sole  (b)     (c)
                                                                                                                        Shared  None
===================================      ========   =========   =========   ==========  ==========  ========  ======================
<S>                                      <C>        <C>         <C>         <C>         <C>         <C>       <C>
ELECTRONIC DATA SYSTEMS CORP                COM     285661104          85        2,000     SOLE                  2,000
EMC CORP/MASS                               COM     268648102       1,762       24,010     SOLE                 24,010
ENRON CORP                                  COM     293561106       1,129       16,480     SOLE                 16,480
EXXON M0BIL CORP                            COM     302290101       4,796       59,076     SOLE                 59,076
FANNIE MAE                                  COM     313586109         636       11,910     SOLE                 11,910
FEDERAL MOGOL CORP                          COM     313549107         157       16,210     SOLE                 16,210
FLAG TELECOM HOLDINGS                       COM     G3529L102         627       40,300     SOLE                 40,300
FOREST LABORATORIES INC                     COM     345838106         967        9,410     SOLE                  9,410
FOX ENTMT GRP INC                           CLA     35138T107         891       29,690     SOLE                 29,690
GENERAL ELECTRIC CO.                        COM     369604103       4,554       91,530     SOLE                 91,530
GENERAL MILLS INC                           COM     370334104       1,340       34,690     SOLE                 34,690
GENERAL MOTORS CORP                         COM     370442105         499        8,420     SOLE                  8,420
GENUITY  INC                                COM     37248E103          43        5,000     SOLE                  5,000
GEORGIA-PAC GP                              COM     373298108         145        5,290     SOLE                  5,290
GOLDMAN SACHS GROUP INC                     COM     38141G104         690        7,450     SOLE                  7,450
GRAINGER(W.W.)INC                           COM     384802104         354       11,500     SOLE                 11,500
GUIDANT CORPORATION                         COM     401698105       2,765       59,140     SOLE                 59,140
HALLIBURTON CO                              COM     406216101         767       15,840     SOLE                 15,840
HASBRO INC                                  COM     418056107       1,150       67,400     SOLE                 67,400
HCA-THE HEALTHCARE                          COM     404119109         381       11,750     SOLE                 11,750
HEINZ(H.J.) CO                              COM     423074103         923       21,400     SOLE                 21,400
HEWLETT PACKARD CO                          COM     428236103       2,199       18,360     SOLE                 18,360
HOME DEPOT INC                              COM     437076102         813       16,935     SOLE                 16,935
HONEYWELL INTERNATIONAL INC                 COM     438516106         145        4,216     SOLE                  4,216
HOUSEHOLD INTL                              COM     441815107         501       11,660     SOLE                 11,660
ILLINOIS TOOL WORKS                         COM     452308109       1,898       33,930     SOLE                 33,930
INDYMAC BANCORP INC                         COM     456607100         563       39,700     SOLE                 39,700
INFINEON TECHNOLOGIE                        COM     45662N103         592        7,430     SOLE                  7,430
INTEL CORP                                  COM     458140100       3,936       29,890     SOLE                 29,890
INTERNATIONAL PAPER CO                      COM     460146103         463       15,110     SOLE                 15,110
INTERPUBLIC GROUP COS INC                   COM     460690100         250        5,850     SOLE                  5,850
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
===================================      ========   =========   =========   ==========  ==========  ========  ======================
Item 1:                                  Item 2:    Item 3:     Item 4:     Item 5:     Item 6:     Item 7:             Item 8:
NAME OF ISSUER                           TITLE OF   CUSIP       MKT VALUE   SHARES OR   INVESTMENT                      Authority
                                         CLASS      NUMBER      (x$1000)    PRIN. AMT   DISCRETION  MANAGERS  (a) Sole  (b)     (c)
                                                                                                                        Shared  None
===================================      ========   =========   =========   ==========  ==========  ========  ======================
<S>                                      <C>        <C>         <C>         <C>         <C>         <C>       <C>
INTL BUSINESS MACHINES CORP                 COM     459200101       1,658       14,540     SOLE                 14,540
JDS UNIPHASE CORP                           COM     46612J101         326        2,800     SOLE                  2,800
JOHNSON & JOHNSON                           COM     478160104         975        9,890     SOLE                  9,890
JUNIPER NETWORKS INC                        COM     48203R104       1,018        6,880     SOLE                  6,880
KELLOGG CO                                  COM     487836108       1,752       63,000     SOLE                 63,000
KIMBERLY CLARK CORP                         COM     494368103         476        8,460     SOLE                  8,460
KLA TENCOR CORP                             COM     482480100       1,544       26,830     SOLE                 26,830
LIMITED INC                                 COM     532716107         648       30,300     SOLE                 30,300
LOCKHEED MARTIN CORP                        COM     539830109       1,881       75,240     SOLE                 75,240
LOWE COMPANIES                              COM     548661107         608       14,750     SOLE                 14,750
LUCENT TECHNOLOGIES INC                     COM     549463107       2,144       37,940     SOLE                 37,940
MARSH & MCLENNAN COS                        COM     571748102         907        8,200     SOLE                  8,200
MARVELL TECHNOLOGY GROUP LTD                COM     G5876H105         138        2,500     SOLE                  2,500
MAXIM INTEGRATED PRODUCTS                   COM     57772K101         591        9,500     SOLE                  9,500
MCDONALDS CORP                              COM     55262L100         507       16,150     SOLE                 16,150
MCI WORLDCOM                                COM     55268B106       1,408       31,960     SOLE                 31,960
MEDTRONIC INC                               COM     585055106         840       17,520     SOLE                 17,520
MERCK & CO.,INC.                            COM     589331107       1,070       14,430     SOLE                 14,430
MERRILL LYNCH & CO                          COM     590188108         612        5,230     SOLE                  5,230
MICROSOFT CORP                              COM     594918104       2,780       36,020     SOLE                 36,020
MINNESOTA MINING & MFG CO                   COM     604059105         752        8,790     SOLE                  8,790
MORGAN ST DEAN WITTER & CO                  COM     617446448         940       11,140     SOLE                 11,140
MOTOROLA INC                                COM     620076109         596       20,539     SOLE                 20,539
NATIONAL SEMICONDUCTOR CORP                 COM     637640103         279        4,800     SOLE                  4,800
NEXTEL COMMUNICATIONS INC-A                 COM     65332V103         169        3,010     SOLE                  3,010
NOKIA CORP-SPONSORED ADR A                  COM     654902204          92        1,900     SOLE                  1,900
OMNICOM GROUP                               COM     681919106         852        9,570     SOLE                  9,570
ONI SYSTEMS CORP                            COM     68273F103       1,319       12,000     SOLE                 12,000
ORACLE CORPORATION                          COM     68389X105       4,133       51,070     SOLE                 51,070
PACIFICARE HEALTH SYSTEMS INC               COM     695112102         721       11,660     SOLE                 11,660
PE CORP-CELERA GENOMICS GRP                 COM     69332S201         147        1,500     SOLE                  1,500
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
===================================      ========   =========   =========   ==========  ==========  ========  ======================
Item 1:                                  Item 2:    Item 3:     Item 4:     Item 5:     Item 6:     Item 7:             Item 8:
NAME OF ISSUER                           TITLE OF   CUSIP       MKT VALUE   SHARES OR   INVESTMENT                      Authority
                                         CLASS      NUMBER      (x$1000)    PRIN. AMT   DISCRETION  MANAGERS  (a) Sole  (b)     (c)
                                                                                                                        Shared  None
===================================      ========   =========   =========   ==========  ==========  ========  ======================
<S>                                      <C>        <C>         <C>         <C>         <C>         <C>       <C>
PEOPLESOFT INC                              COM     712713106         496       31,880     SOLE                 31,880
PEP BOYS-MANNY MOE&JACK                     COM     713278109          66       11,100     SOLE                 11,100
PEPSICO INC                                 COM     713448108       1,140       26,630     SOLE                 26,630
PFZIER INC                                  COM     717081103       2,826       61,112     SOLE                 61,112
PHARMACIA CORPORATION                       COM     71713U102         348        6,900     SOLE                  6,900
PHILIP MORRIS COMPANIES INC                 COM     718154107         372       13,750     SOLE                 13,750
PMC-SIERRA INC                              COM     69344F106         775        4,360     SOLE                  4,360
PMI GROUP INC(THE)                          COM     69344M101         668       13,140     SOLE                 13,140
PROCTER & GAMBLE CO                         COM     742718109         482        8,970     SOLE                  8,970
QUALCOMM INC                                COM     747525103         245        3,980     SOLE                  3,980
QUINTILES TRANSNATIONAL CORP                COM     748767100         946       68,800     SOLE                 68,800
QWEST COMMUNICATIONS INTL                   COM     749121109         265        5,570     SOLE                  5,570
SAFEWAY INC                                 COM     786514208         253        5,790     SOLE                  5,790
SBC COMMUNICATIONS INC                      COM     78387G103       1,455       31,930     SOLE                 31,930
SCHLUMBERGER LTD                            COM     806857108       2,583       34,940     SOLE                 34,940
SERVICE CORP INTERNATIONAL                  COM     817565104         160       39,400     SOLE                 39,400
SLM HOLDING CORP VTG                        COM     78442A109         836       22,780     SOLE                 22,780
SMITH INTERNATIONAL INC                     COM     832110100         655        8,890     SOLE                  8,890
SPRINT CORP (FON GROUP)                     COM     852061100         757       13,800     SOLE                 13,800
STMICROELECTRONICS NV-NY SHS                COM     861012102         603        9,970     SOLE                  9,970
SUN MICROSYSTEMS INC                        COM     866810104         473        5,390     SOLE                  5,390
TELLABS INC                                 COM     86764P109         455        6,370     SOLE                  6,370
TERADYNE INC                                COM     880770102       2,152       28,690     SOLE                 28,690
TEXAS INSTRUMENTS INC                       COM     882508104       2,919       42,230     SOLE                 42,230
TEXTRON INC                                 COM     883203101         811       14,700     SOLE                 14,700
TIME WARNER INC                             COM     887315109       2,367       31,560     SOLE                 31,560
TRANSOCEAN SEDCO FOREX INC                  COM     947684106          95        1,836     SOLE                  1,836
TYCO INTERNATIONAL LTD (NEW)                COM     902124106       1,165       25,120     SOLE                 25,120
UNITED PARCEL SERVICE INC                   CLB     911312106         464        7,690     SOLE                  7,690
UNITED TECHNOLOGIES CORP                    COM     913017109       1,499       27,500     SOLE                 27,500
UNITEDHEALTH GROUP                          COM     91324P102       1,299       15,100     SOLE                 15,100
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
===================================      ========   =========   =========   ==========  ==========  ========  ======================
Item 1:                                  Item 2:    Item 3:     Item 4:     Item 5:     Item 6:     Item 7:             Item 8:
NAME OF ISSUER                           TITLE OF   CUSIP       MKT VALUE   SHARES OR   INVESTMENT                      Authority
                                         CLASS      NUMBER      (x$1000)    PRIN. AMT   DISCRETION  MANAGERS  (a) Sole  (b)     (c)
                                                                                                                        Shared  None
===================================      ========   =========   =========   ==========  ==========  ========  ======================
<S>                                      <C>        <C>         <C>         <C>         <C>         <C>       <C>
VERIZON  COMMUNICATIONS                     COM     92343V104         645       12,530     SOLE                 12,530
VF CORP                                     COM     918204108        1122       44,890     SOLE                 44,890
VIACOM INC CI B N/V                         COM     925524308        1964       29,065     SOLE                 29,065
WACHOVIA CORP                               COM     929771103         197        3,490     SOLE                  3,490
WAL MART STORES INC                         COM     931142103        3489       64,470     SOLE                 64,470
WASHINGTON MUTL INC                         COM     939322103         193        6,400     SOLE                  6,400
WEBSENS INC                                 COM     947684106         145        5,000     SOLE                  5,000
WELLS FARGO & CO                            COM     949746101        1051       25,800     SOLE                 25,800
WITNESS SYSTEMS INC                         COM     977424100         231       10,000     SOLE                 10,000
XEROX CORP                                  COM     984121103         293       15,000     SOLE                 15,000
XILINX INC                                  COM     983919101         669        8,200     SOLE                  8,200
XL CAPITAL LIMITED CLASS-A                  COM     G98255105         451        8,300     SOLE                  8,300
YAHOO! INC                                  COM     984332106         531        4,450     SOLE                  4,450

AMERICAN EXPRESS CO COM                     COM     025816109      15,990      306,767     SOLE                306,767
AT & T                                      COM     001957109      13,196      417,268     SOLE                417,268
ABBOTT LABS COM                             COM     002824100       9,007      202,114     SOLE                202,114
AMERICAN INTL GROUP                         COM     026874107      23,089      196,500     SOLE                196,500
ADOBE SYS INC COM                           COM     00724F101         116          889     SOLE                    889
AON                                         COM     037389103          60        1,942     SOLE                  1,942
AMERICAN HOME PRODS CORP COM                COM     026609107       9,144      155,644     SOLE                155,644
ANHEUSER-BUSCH COS                          COM     035229103       6,141       82,229     SOLE                 82,229
AVON PRODUCTS                               COM     054303102          80        1,799     SOLE                  1,799
AMERICAN GENERAL CORP COM                   COM     026351106       3,431       56,250     SOLE                 56,250
AMERICA ONLINE INC DEL COM                  COM     02364J104      13,145      249,189     SOLE                249,189
AMR CORP COM                                COM     001765106          22          830     SOLE                    830
APPLIED MATLS INC COM                       COM     038222105      12,419      137,033     SOLE                137,033
ALCOA INC COM                               COM     013817101       9,163      315,972     SOLE                315,972
AMGEN INC COM                               COM     031162100       8,744      124,476     SOLE                124,476
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
===================================      ========   =========   =========   ==========  ==========  ========  ======================
Item 1:                                  Item 2:    Item 3:     Item 4:     Item 5:     Item 6:     Item 7:             Item 8:
NAME OF ISSUER                           TITLE OF   CUSIP       MKT VALUE   SHARES OR   INVESTMENT                      Authority
                                         CLASS      NUMBER      (x$1000)    PRIN. AMT   DISCRETION  MANAGERS  (a) Sole  (b)     (c)
                                                                                                                        Shared  None
===================================      ========   =========   =========   ==========  ==========  ========  ======================
<S>                                      <C>        <C>         <C>         <C>         <C>         <C>       <C>
ALBERTSONS INC COM                          COM     013104104         113        3,400     SOLE                  3,400
ALLSTATE CORP COM                           COM     020002101         123        5,544     SOLE                  5,544
AGILENT TECHNOLOGIES INC COM                COM     00846U101       3,029       41,075     SOLE                 41,075
AMFM INC COM                                COM     001693100       1,844       26,729     SOLE                 26,729
AES CORP COM                                COM     00130H105         149        3,272     SOLE                  3,272
AETNA INC COM                               COM     008117103          68        1,067     SOLE                  1,067
AMAZON COM INC COM                          COM     023135106          97        2,668     SOLE                  2,668
AMERICAN PWR CONVERSION CORP COM            COM     029066107          60        1,458     SOLE                  1,458
APPLE COMPUTER INC COM                      COM     037833100         132        2,526     SOLE                  2,526
AT&T CORP COM LIB GRP A                     COM     001957208         482       19,856     SOLE                 19,856
AUTOMATIC DATA PROCESSING INC COM           COM     053015103         258        4,809     SOLE                  4,809
AFLAC INC COM                               COM     001055102          98        2,134     SOLE                  2,134
AIR PRODS & CHEMS INC COM                   COM     009158106          51        1,657     SOLE                  1,657
ALLEGHENY TECHNOLOGIES INC COM              COM     01741R102          13          721     SOLE                    721
ALLIED WASTE INDS INC COM PAR 0.1NEW        COM     019589308          15        1,534     SOLE                  1,534
AMERICAN ELEC PWR INC COM                   COM     025537101          72        2,439     SOLE                  2,439
AT&T CORP COM WIRLES GRP                    COM     001957406       3,464      124,260     SOLE                124,260
ARCHER DANIELS MIDLAND CO COM               COM     039483102          52        5,262     SOLE                  5,262
ALCATEL SPONSORED ADR                       COM     013904305          49          743     SOLE                    743
AVERY DENNISON CORP COM                     COM     053611109          57          856     SOLE                    856
AVNET INC COM                               COM     053807103          20          343     SOLE                    343
ADVANCED MICRO DEVICES INC COM              COM     007903107       4,562       59,050     SOLE                 59,050
BOEING                                      COM     097023105         289        6,913     SOLE                  6,913
BRISTOL-MYERS SQUIBB CO                     COM     110122108      14,311      245,688     SOLE                245,688
BELL ATLANTIC                               COM     077853109      11,898      234,150     SOLE                234,150
BELLSOUTH                                   COM     079860102         620       14,556     SOLE                 14,556
BAKER HUGHES                                COM     057224107          87        2,719     SOLE                  2,719
BANK NEW YORK INC COM                       COM     064057102      11,435      245,908     SOLE                245,908
BECTON DICKINSON & CO COM                   COM     075887109          62        2,164     SOLE                  2,164
BEST BUY INC COM                            COM     086516101       5,903       93,330     SOLE                 93,330
BANK ONE CORP COM                           COM     06423A103         234        8,810     SOLE                  8,810
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
===================================      ========   =========   =========   ==========  ==========  ========  ======================
Item 1:                                  Item 2:    Item 3:     Item 4:     Item 5:     Item 6:     Item 7:             Item 8:
NAME OF ISSUER                           TITLE OF   CUSIP       MKT VALUE   SHARES OR   INVESTMENT                      Authority
                                         CLASS      NUMBER      (x$1000)    PRIN. AMT   DISCRETION  MANAGERS  (a) Sole  (b)     (c)
                                                                                                                        Shared  None
===================================      ========   =========   =========   ==========  ==========  ========  ======================
<S>                                      <C>        <C>         <C>         <C>         <C>         <C>       <C>
BMC SOFTWARE INC COM                        COM     055921100          72        1,977     SOLE                  1,977
BANK AMER CORP COM                          COM     060505104       8,358      194,381     SOLE                194,381
BAXTER INTL INC COM                         COM     071813109         161        2,292     SOLE                  2,292
BRUNSWICK CORP COM                          COM     117043109          12          748     SOLE                    748
BLACK & DECKER CORP COM                     COM     091797100          26          672     SOLE                    672
BLOCK H & R INC COM                         COM     093671105          24          754     SOLE                    754
BRIGGS & STRATTON CORP COM                  COM     109043109           8          224     SOLE                    224
BURLINGTON NORTHN SANTA FE CP COM           COM     12189T104          79        3,449     SOLE                  3,449
BP AMOCO P L C SPONSORED ADR                COM     055622104         189        3,334     SOLE                  3,334
CHEVRON CORPORATION COM                     COM     166751107       8,566      100,998     SOLE                100,998
COCA COLA                                   COM     191216100      11,029      192,009     SOLE                192,009
CHASE MANHATTAN                             COM     16161A108       8,132      176,549     SOLE                176,549
COMPUTER ASSOCIATES INTL                    COM     204912109         234        4,564     SOLE                  4,564
CONAGRA INC COM                             COM     205887102          77        4,043     SOLE                  4,043
CUMMINS ENGINE INC COM                      COM     231021106           9          318     SOLE                    318
CLOROX CO DEL COM                           COM     189054109          87        1,948     SOLE                  1,948
CISCO SYSTEMS                               COM     17275R102      52,257      822,136     SOLE                822,136
CVS                                         COM     126650100       7,505      187,632     SOLE                187,632
CAMPBELL SOUP CO COM                        COM     134429109         100        3,424     SOLE                  3,424
CATERPILLAR INC DEL COM                     COM     149123101          96        2,826     SOLE                  2,826
CENDANT CORP COM                            COM     151313103          82        5,863     SOLE                  5,863
CENTEX CORP COM                             COM     152312104          13          548     SOLE                    548
COLGATE PALMOLIVE CO COM                    COM     194162103       7,946      132,705     SOLE                132,705
COX COMMUNICATIONS INC NEW CL A             COM     224044107         209        4,580     SOLE                  4,580
COMCAST CORP CL A SPL                       COM     200300200       7,458      184,140     SOLE                184,140
CITIGROUP INC COM                           COM     172967101      24,469      406,127     SOLE                406,127
CARDINAL HEALTH INC COM                     COM     14149Y108         166        2,245     SOLE                  2,245
CHINA COM CORP CL A                         COM     G2108N109         135        6,600     SOLE                  6,600
COSTCO WHSL CORP NEW COM                    COM     22160K105         114        3,447     SOLE                  3,447
CORNING INC COM                             COM     219350105       7,826       28,997     SOLE                 28,997
CLEAR CHANNEL COMMUNICATIONS COM            COM     184502102       8,029      107,048     SOLE                107,048
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
===================================      ========   =========   =========   ==========  ==========  ========  ======================
Item 1:                                  Item 2:    Item 3:     Item 4:     Item 5:     Item 6:     Item 7:             Item 8:
NAME OF ISSUER                           TITLE OF   CUSIP       MKT VALUE   SHARES OR   INVESTMENT                      Authority
                                         CLASS      NUMBER      (x$1000)    PRIN. AMT   DISCRETION  MANAGERS  (a) Sole  (b)     (c)
                                                                                                                        Shared  None
===================================      ========   =========   =========   ==========  ==========  ========  ======================
<S>                                      <C>        <C>         <C>         <C>         <C>         <C>       <C>
CARNIVAL CORP CL A                          COM     143658102          96        4,899     SOLE                  4,899
CMGI INC COM                                COM     125750109       1,680       36,679     SOLE                 36,679
CALLAWAY GOLF CO COM                        COM     131193104          10          585     SOLE                    585
CAROLINA PWR & LT CO COM                    COM     144141108          38        1,202     SOLE                  1,202
CERIDIAN CORP COM                           COM     15677T106          27        1,126     SOLE                  1,126
CHUBB CORP COM                              COM     171232101          88        1,425     SOLE                  1,425
CIGNA CORP COM                              COM     125509109         115        1,232     SOLE                  1,232
CLAYTON HOMES INC COM                       COM     184190106          11        1,319     SOLE                  1,319
CNF TRANSN INC COM                          COM     12612W104           9          406     SOLE                    406
COASTAL CORP COM                            COM     190441105         107        1,753     SOLE                  1,753
COLUMBIA ENERGY GROUP COM                   COM     197648108          40          608     SOLE                    608
COMPUTER SCIENCES CORP COM                  COM     205363104         100        1,339     SOLE                  1,339
COMSAT CORP COM SER 1                       COM     20564D107          11          447     SOLE                    447
CONSOLIDATED EDISON INC COM                 COM     209115104          42        1,408     SOLE                  1,408
CONSTELLATION ENERGY CORP COM               COM     210371100          37        1,126     SOLE                  1,126
COOPER INDS INC COM                         COM     216669101          24          751     SOLE                    751
COUNTRYWIDE CR INDS INC DEL COM             COM     222372104          27          876     SOLE                    876
CRESCENT REAL ESTATE EQUITIES COM           COM     225756105          20          993     SOLE                    993
CROWN CORK & SEAL INC COM                   COM     228255105          15        1,008     SOLE                  1,008
CSX CORP COM                                COM     126408103          36        1,689     SOLE                  1,689
DU PONT DE NEMOURS & CO                     COM     263534109       5,219      119,292     SOLE                119,292
DOW CHEM CO COM                             COM     260543103       3,925      130,025     SOLE                130,025
DEERE & CO COM                              COM     244199105          71        1,931     SOLE                  1,931
DUKE ENERGY                                 COM     264399106         160        2,830     SOLE                  2,830
DELL COMPUTER                               COM     247025109       2,517       51,050     SOLE                 51,050
DOVER CORP                                  COM     260003108          68        1,669     SOLE                  1,669
DELPHI AUTOMOTIVE SYS CORP COM              COM     247126105          61        4,198     SOLE                  4,198
DOW JONES & CO INC COM                      COM     260561105          50          678     SOLE                    678
DANA CORP COM                               COM     235811106          27        1,262     SOLE                  1,262
DELTA AIR LINES INC DEL COM                 COM     247361108          49          972     SOLE                    972
DOMINION RES INC VA NEW COM                 COM     25746U109          77        1,806     SOLE                  1,806
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
===================================      ========   =========   =========   ==========  ==========  ========  ======================
Item 1:                                  Item 2:    Item 3:     Item 4:     Item 5:     Item 6:     Item 7:             Item 8:
NAME OF ISSUER                           TITLE OF   CUSIP       MKT VALUE   SHARES OR   INVESTMENT                      Authority
                                         CLASS      NUMBER      (x$1000)    PRIN. AMT   DISCRETION  MANAGERS  (a) Sole  (b)     (c)
                                                                                                                        Shared  None
===================================      ========   =========   =========   ==========  ==========  ========  ======================
<S>                                      <C>        <C>         <C>         <C>         <C>         <C>       <C>
DONNELLEY R R & SONS CO COM                 COM     257867101          23          998     SOLE                    998
DTE ENERGY CO COM                           COM     233331107          34        1,102     SOLE                  1,102
DUN & BRADSTREET CORP DEL COM               COM     26483B106          35        1,221     SOLE                  1,221
EASTMAN KODAK CO COM                        COM     277461109         147        2,464     SOLE                  2,464
EQUIFAX INC COM                             COM     294429105          29        1,096     SOLE                  1,096
ENRON                                       COM     293561106       8,693      134,774     SOLE                134,774
ELI LILLY CO                                COM     532457108       1,305       13,071     SOLE                 13,071
ELECTRONIC ARTS INC COM                     COM     285512109          36          487     SOLE                    487
E M C CORP MASS COM                         COM     268648102      18,684      242,851     SOLE                242,851
EDISON INTL COM                             COM     281020107          50        2,449     SOLE                  2,449
EXXON MOBIL CORP COM                        COM     30231G102      31,011      395,042     SOLE                395,042
EBAY INC COM                                COM     278642103         109        2,016     SOLE                  2,016
ELECTRONIC DATA SYS NEW COM                 COM     285661104         151        3,659     SOLE                  3,659
EATON CORP COM                              COM     278058102          37          550     SOLE                    550
EL PASO ENERGY CORP DEL COM                 COM     283905107          87        1,710     SOLE                  1,710
EMERSON ELEC CO COM                         COM     291011104         201        3,331     SOLE                  3,331
ENTERGY CORP NEW COM                        COM     29364G103          50        1,831     SOLE                  1,831
EQUITY OFFICE PROPERTIES TRUST COM          COM     294741103          58        2,118     SOLE                  2,118
EQUITY RESIDENTIAL PPTYS TR SH BEN INT      COM     29476L107          43          929     SOLE                    929
FORD MTR CO DEL COM                         COM     345370100         376        8,749     SOLE                  8,749
FANNIE MAE                                  COM     313586109         409        7,835     SOLE                  7,835
FIRST DATA CORP COM                         COM     319963104         162        3,263     SOLE                  3,263
FLEETBOSTON FINL CORP COM                   COM     339030108         239        7,023     SOLE                  7,023
FIRST UN CORP COM                           COM     337358105         188        7,565     SOLE                  7,565
FIRSTENERGY CORP COM                        COM     337932107          41        1,764     SOLE                  1,764
FLUOR CORP COM                              COM     343861100          19          608     SOLE                    608
FPL GROUP INC COM                           COM     302571104          59        1,200     SOLE                  1,200
FEDEX CORP COM                              COM     31428X106          92        2,419     SOLE                  2,419
GENERAL ELECTRIC CO                         COM     369604103      62,292    1,175,322     SOLE              1,175,322
GENERAL MOTORS                              COM     370442105       7,682      132,300     SOLE                132,300
MORGAN J P & CO INC COM                     COM     616880100         137        1,241     SOLE                  1,241
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
===================================      ========   =========   =========   ==========  ==========  ========  ======================
Item 1:                                  Item 2:    Item 3:     Item 4:     Item 5:     Item 6:     Item 7:             Item 8:
NAME OF ISSUER                           TITLE OF   CUSIP       MKT VALUE   SHARES OR   INVESTMENT                      Authority
                                         CLASS      NUMBER      (x$1000)    PRIN. AMT   DISCRETION  MANAGERS  (a) Sole  (b)     (c)
                                                                                                                        Shared  None
===================================      ========   =========   =========   ==========  ==========  ========  ======================
<S>                                      <C>        <C>         <C>         <C>         <C>         <C>       <C>
GANNETT INC COM                             COM     364730101         118        1,980     SOLE                  1,980
GOODYEAR TIRE & RUBR CO COM                 COM     382550101          29        1,439     SOLE                  1,439
GENERAL MLS INC COM                         COM     370334104          86        2,241     SOLE                  2,241
GUIDANT                                     COM     401698105       4,611       93,150     SOLE                 93,150
GAP INC DEL COM                             COM     364760108         205        6,544     SOLE                  6,544
GILLETTE CO COM                             COM     375766102         275        7,861     SOLE                  7,861
GENERAL DYNAMICS CORP COM                   COM     369550108          86        1,642     SOLE                  1,642
GOLDMAN SACHS GROUP INC COM                 COM     38141G104         265        2,790     SOLE                  2,790
GEORGIA PAC CORP COM                        COM     373298108         722       27,510     SOLE                 27,510
GEMSTAR INTL GROUP LTD ORD                  COM     G3788V106          90        1,459     SOLE                  1,459
GENERAL MTRS CORP CL H NEW                  COM     370442832         156        1,775     SOLE                  1,775
GALILEO INTERNATIONAL INC COM               COM     363547100          16          749     SOLE                    749
GPU INC COM                                 COM     36225X100          26          961     SOLE                    961
GENUINE PARTS CO COM                        COM     372460105          26        1,309     SOLE                  1,309
GLOBAL MARINE INC COM                       COM     379352404          38        1,335     SOLE                  1,335
GRAINGER W W INC COM                        COM     384802104          22          702     SOLE                    702
HOMESTAKE MNG CO COM                        COM     437614100          16        2,318     SOLE                  2,318
HEINZ H J CO COM                            COM     423074103         123        2,816     SOLE                  2,816
HARTFORD FINANCIAL SERVICES GROUP           COM     416515104          90        1,613     SOLE                  1,613
HILTON HOTELS                               COM     432848109          27        2,891     SOLE                  2,891
HALLIBURTON                                 COM     406216101         164        3,470     SOLE                  3,470
HEWLETT PACKARD CO COM                      COM     428236103      12,622      101,078     SOLE                101,078
HOUSEHOLD INTL INC COM                      COM     441815107         152        3,654     SOLE                  3,654
HOME DEPOT INC COM                          COM     437076102      12,468      249,664     SOLE                249,664
HARLEY DAVIDSON INC COM                     COM     412822108          94        2,437     SOLE                  2,437
HARRAHS ENTMT INC COM                       COM     413619107          21        1,013     SOLE                  1,013
HEALTHSOUTH CORP COM                        COM     421924101          22        3,024     SOLE                  3,024
HOST MARRIOTT CORP NEW COM                  COM     44107P104          17        1,802     SOLE                  1,802
HCA-HEALTHCARE CO COM                       COM     404119109       5,441      179,143     SOLE                179,143
IBM                                         COM     459200101      20,395      186,146     SOLE                186,146
INTL PAPER CO COM                           COM     460146103       3,337      111,949     SOLE                111,949
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
===================================      ========   =========   =========   ==========  ==========  ========  ======================
Item 1:                                  Item 2:    Item 3:     Item 4:     Item 5:     Item 6:     Item 7:             Item 8:
NAME OF ISSUER                           TITLE OF   CUSIP       MKT VALUE   SHARES OR   INVESTMENT                      Authority
                                         CLASS      NUMBER      (x$1000)    PRIN. AMT   DISCRETION  MANAGERS  (a) Sole  (b)     (c)
                                                                                                                        Shared  None
===================================      ========   =========   =========   ==========  ==========  ========  ======================
<S>                                      <C>        <C>         <C>         <C>         <C>         <C>       <C>
ILLINOIS TOOL WORKS                         COM     452308109       9,260      162,448     SOLE                162,448
INTEL                                       COM     458140100      48,733      364,530     SOLE                364,530
INTERPUBLIC GROUP                           COM     460690100       7,025      163,370     SOLE                163,370
INTIMATE BRANDS INC CL A                    COM     461156101          33        1,670     SOLE                  1,670
INGERSOLL RAND CO COM                       COM     456866102          56        1,393     SOLE                  1,393
IMS HEALTH INC COM                          COM     449934108          45        2,526     SOLE                  2,526
INTERNATIONAL FLAVORS&FRAGRANC COM          COM     459506101          25          843     SOLE                    843
ITT INDS INC IND COM                        COM     450911102          21          703     SOLE                    703
JOHNSON & JOHNSON                           COM     478160104      17,087      167,729     SOLE                167,729
JUNIPER NETWORKS COM                        COM     48203R104          74          510     SOLE                    510
JONES APPAREL GROUP INC COM                 COM     480074103          22          937     SOLE                    937
JOHNSON CTLS INC COM                        COM     478366107          33          646     SOLE                    646
JDS UNIPHASE CORP COM                       COM     46612J101       5,017       41,850     SOLE                 41,850
KIMBERLY-CLARK                              COM     494368103         246        4,292     SOLE                  4,292
KROGER CO COM                               COM     501044101         146        6,623     SOLE                  6,623
KLA-TENCORP COM                             COM     482480100       1,674       28,590     SOLE                 28,590
KEYCORP NEW COM                             COM     493267108          66        3,744     SOLE                  3,744
LUCENT TECHNOLOGIES INC COM                 COM     549463107      25,279      426,650     SOLE                426,650
LINCOLN NATL CORP IND COM                   COM     534187109          54        1,486     SOLE                  1,486
LIMITED INC COM                             COM     532716107          77        3,548     SOLE                  3,548
LIZ CLAIBORNE INC COM                       COM     539320101          17          471     SOLE                    471
LOUISIANA PAC CORP COM                      COM     546347105          10          931     SOLE                    931
MINNESOTA MINING & MFG                      COM     604059105       6,840       82,908     SOLE                 82,908
MERCK & CO                                  COM     589331107      19,874      259,364     SOLE                259,364
MCDONALDS                                   COM     580135101       7,919      240,415     SOLE                240,415
MERRILL LYNCH & CO INC COM                  COM     590188108       3,293       28,631     SOLE                 28,631
MICROSOFT                                   COM     594918104      38,876      485,951     SOLE                485,951
MARSH & MCLENNAN                            COM     571748102       6,660       63,774     SOLE                 63,774
MAY DEPT STORES CO COM                      COM     577778103          66        2,735     SOLE                  2,735
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
===================================      ========   =========   =========   ==========  ==========  ========  ======================
Item 1:                                  Item 2:    Item 3:     Item 4:     Item 5:     Item 6:     Item 7:             Item 8:
NAME OF ISSUER                           TITLE OF   CUSIP       MKT VALUE   SHARES OR   INVESTMENT                      Authority
                                         CLASS      NUMBER      (x$1000)    PRIN. AMT   DISCRETION  MANAGERS  (a) Sole  (b)     (c)
                                                                                                                        Shared  None
===================================      ========   =========   =========   ==========  ==========  ========  ======================
<S>                                      <C>        <C>         <C>         <C>         <C>         <C>       <C>
MORGAN STANLEY DEAN WITTER DISCOVER & CO    COM     617446448      10,889      130,800     SOLE                130,800
MASCO CORP COM                              COM     574599106          66        3,640     SOLE                  3,640
MATTEL INC COM                              COM     577081102          38        2,899     SOLE                  2,899
MAYTAG CORP COM                             COM     578592107          24          664     SOLE                    664
MBNA CORP COM                               COM     55262L100         168        6,202     SOLE                  6,202
MEDTRONIC INC COM                           COM     585055106       6,548      131,443     SOLE                131,443
MCGRAW HILL COS INC COM                     COM     580645109          85        1,579     SOLE                  1,579
MCKESSON HBOC INC COM                       COM     58155Q103          45        2,140     SOLE                  2,140
MOTOROLA INC COM                            COM     620076109       5,958      205,000     SOLE                205,000
MICRON TECHNOLOGY INC COM                   COM     595112103         348        3,956     SOLE                  3,956
MANPOWER INC COM                            COM     56418H100          19          595     SOLE                    595
MARRIOTT INTL INC NEW CL A                  COM     571903202          64        1,765     SOLE                  1,765
MBIA INC COM                                COM     55262C100          37          764     SOLE                    764
MEAD CORP COM                               COM     582834107          20          798     SOLE                    798
NIKE INC CL B                               COM     654106103          89        2,232     SOLE                  2,232
NEW YORK TIMES -A-                          COM     650111107          57        1,443     SOLE                  1,443
NUCOR CORP COM                              COM     670346105          22          674     SOLE                    674
NOVELL INC COM                              COM     670006105          23        2,456     SOLE                  2,456
NEXTEL COMMUNICATIONS INC CL A              COM     65332V103       2,781       45,456     SOLE                 45,456
NATIONAL CITY CORP COM                      COM     635405103          77        4,508     SOLE                  4,508
NAVISTAR INTL CORP NEW COM                  COM     63934E108          15          489     SOLE                    489
NEWELL RUBBERMAID INC COM                   COM     651229106          51        1,980     SOLE                  1,980
NEWMONT MINING CORP COM                     COM     651639106          28        1,302     SOLE                  1,302
NORFOLK SOUTHERN CORP COM                   COM     655844108          43        2,924     SOLE                  2,924
NATIONAL SEMICONDUCTOR CORP COM             COM     637640103       4,123       72,650     SOLE                 72,650
OMNICOM GROUP                               COM     681919106       2,700       30,313     SOLE                 30,313
ORACLE CORP COM                             COM     68389X105      49,214      585,443     SOLE                585,443
OCCIDENTAL PETE CORP DEL COM                COM     674599105          66        3,127     SOLE                  3,127
OWENS CORNING COM                           COM     69073F103           5          489     SOLE                    489
OWENS ILL INC COM NEW                       COM     690768403          14        1,198     SOLE                  1,198
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
===================================      ========   =========   =========   ==========  ==========  ========  ======================
Item 1:                                  Item 2:    Item 3:     Item 4:     Item 5:     Item 6:     Item 7:             Item 8:
NAME OF ISSUER                           TITLE OF   CUSIP       MKT VALUE   SHARES OR   INVESTMENT                      Authority
                                         CLASS      NUMBER      (x$1000)    PRIN. AMT   DISCRETION  MANAGERS  (a) Sole  (b)     (c)
                                                                                                                        Shared  None
===================================      ========   =========   =========   ==========  ==========  ========  ======================
<S>                                      <C>        <C>         <C>         <C>         <C>         <C>       <C>
PHILIP MORRIS                               COM     718154107       6,199      233,380     SOLE                233,380
PROCTER & GAMBLE CO COM                     COM     742718109       8,285      144,724     SOLE                144,724
PEPSICO                                     COM     713448108      13,807      310,710     SOLE                310,710
PFIZER INC COM                              COM     717081103      38,392      799,833     SOLE                799,834
PHELPS DODGE CORP COM                       COM     717265102          23          618     SOLE                    618
PARAMETRIC TECHNOLOGY CORP COM              COM     699173100          23        2,065     SOLE                  2,065
PEOPLESOFT INC COM                          COM     712713106          33        1,977     SOLE                  1,977
PE CORP CELERA GEN GRP                      COM     69332S201       2,247       24,034     SOLE                 24,034
PE CORP COM PE BIO GRP                      COM     69332S102         107        1,630     SOLE                  1,630
PACIFICARE HEALTH SYS DEL COM               COM     695112102          21          342     SOLE                    342
PAINE WEBBER GROUP INC COM                  COM     695629105          49        1,074     SOLE                  1,074
PARK PL ENTMT CORP COM                      COM     700690100          28        2,335     SOLE                  2,335
PARKER HANNIFIN CORP COM                    COM     701094104          29          851     SOLE                    851
PAYCHEX INC COM                             COM     704326107         125        2,976     SOLE                  2,976
PHARMACIA CORP COM                          COM     71713U102       6,327      122,414     SOLE                122,414
PECO ENERGY CO COM                          COM     693304107          56        1,396     SOLE                  1,396
PG&E CORP COM                               COM     69331C108          71        2,873     SOLE                  2,873
PNC BK CORP COM                             COM     693475105         110        2,350     SOLE                  2,350
PPL CORP COM                                COM     69351T106          24        1,114     SOLE                  1,114
PPG INDS INC COM                            COM     693506107          64        1,454     SOLE                  1,454
PRAXAIR INC COM                             COM     74005P104          45        1,214     SOLE                  1,214
PUBLIC SVC ENTERPRISE GROUP COM             COM     744573106          57        1,640     SOLE                  1,640
PULTE CORP COM                              COM     745867101          10          463     SOLE                    463
QWEST COMMUNICATIONS INTL INC COM           COM     749121109       4,433       89,225     SOLE                 89,225
QUALCOMM INC COM                            COM     747525103       4,352       72,529     SOLE                 72,529
QUAKER OATS CO COM                          COM     747402105          69          913     SOLE                    913
READERS DIGEST ASSN INC CL A NON VTG        COM     755267101          33          825     SOLE                    825
RAYTHEON -A-                                COM     755111309          15          762     SOLE                    762
RALSTON PURINA CO COM RAL-PUR GP            COM     751277302          45        2,275     SOLE                  2,275
RAYTHEON CO CL B                            COM     755111408          34        1,787     SOLE                  1,787
RELIANT ENERGY INC COM                      COM     75952J108          73        2,477     SOLE                  2,477
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
===================================      ========   =========   =========   ==========  ==========  ========  ======================
Item 1:                                  Item 2:    Item 3:     Item 4:     Item 5:     Item 6:     Item 7:             Item 8:
NAME OF ISSUER                           TITLE OF   CUSIP       MKT VALUE   SHARES OR   INVESTMENT                      Authority
                                         CLASS      NUMBER      (x$1000)    PRIN. AMT   DISCRETION  MANAGERS  (a) Sole  (b)     (c)
                                                                                                                        Shared  None
===================================      ========   =========   =========   ==========  ==========  ========  ======================
<S>                                      <C>        <C>         <C>         <C>         <C>         <C>       <C>
RITE AID CORP COM                           COM     767754104          14        2,059     SOLE                  2,059
ROBERT HALF INTL INC COM                    COM     770323103          38        1,348     SOLE                  1,348
ROCKWELL INTL CORP NEW COM                  COM     773903109          51        1,610     SOLE                  1,610
ROHM & HAAS CO COM                          COM     775371107          63        1,814     SOLE                  1,814
RADIOSHACK CORP COM                         COM     750438103          64        1,358     SOLE                  1,358
SEARS ROEBUCK & CO COM                      COM     812387108          98        3,014     SOLE                  3,014
SUN MICROSYSTEMS INC COM                    COM     866810104       7,814       85,930     SOLE                 85,930
SCHLUMBERGER                                COM     806857108      11,350      152,100     SOLE                152,100
SARA LEE CORP COM                           COM     803111103         136        7,042     SOLE                  7,042
SBC COMMUNICATIONS INC COM                  COM     78387G103      13,412      310,096     SOLE                310,096
SCHWAB CHARLES CORP NEW COM                 COM     808513105         321        9,556     SOLE                  9,556
SAFEWAY INC COM NEW                         COM     786514208       1,298       28,760     SOLE                 28,760
SEAGATE TECHNOLOGY COM                      COM     811804103          97        1,764     SOLE                  1,764
STAPLES INC COM                             COM     855030102          59        3,837     SOLE                  3,837
SOLECTRON CORP COM                          COM     834182107         192        4,590     SOLE                  4,590
SHERWIN WILLIAMS CO COM                     COM     824348106          28        1,313     SOLE                  1,313
STANLEY WKS COM                             COM     854616109          17          711     SOLE                    711
SUNTRUST BKS INC COM                        COM     867914103         103        2,261     SOLE                  2,261
SAFECO CORP COM                             COM     786429100          21        1,038     SOLE                  1,038
SEALED AIR CORP NEW COM                     COM     81211K100          33          637     SOLE                    637
SEMPRA ENERGY COM                           COM     816851109          26        1,550     SOLE                  1,550
SERVICEMASTER CO COM                        COM     81760N109          27        2,416     SOLE                  2,416
SHAW INDS INC COM                           COM     820286102          14        1,093     SOLE                  1,093
SIMON PPTY GROUP INC NEW COM                COM     828806109          29        1,303     SOLE                  1,303
SNAP ON INC COM                             COM     833034101          14          511     SOLE                    511
SOUTHERN CO COM                             COM     842587107         123        5,257     SOLE                  5,257
SOUTHWEST AIRLS CO COM                      COM     844741108          78        4,117     SOLE                  4,117
ST PAUL COS INC COM                         COM     792860108          59        1,725     SOLE                  1,725
STARWOOD HOTELS&RESORTS WRLDWD PAIRD CTF    COM     85590A203          47        1,440     SOLE                  1,440
STATE STR CORP COM                          COM     857477103         134        1,259     SOLE                  1,259
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
===================================      ========   =========   =========   ==========  ==========  ========  ======================
Item 1:                                  Item 2:    Item 3:     Item 4:     Item 5:     Item 6:     Item 7:             Item 8:
NAME OF ISSUER                           TITLE OF   CUSIP       MKT VALUE   SHARES OR   INVESTMENT                      Authority
                                         CLASS      NUMBER      (x$1000)    PRIN. AMT   DISCRETION  MANAGERS  (a) Sole  (b)     (c)
                                                                                                                        Shared  None
===================================      ========   =========   =========   ==========  ==========  ========  ======================
<S>                                      <C>        <C>         <C>         <C>         <C>         <C>       <C>
SUPERVALU INC COM                           COM     868536103          22        1,136     SOLE                  1,136
SYSCO CORP COM                              COM     871829107         104        2,460     SOLE                  2,460
TOYS R US INC COM                           COM     892335100          27        1,850     SOLE                  1,850
TIME WARNER INC COM                         COM     887315109      14,530      191,179     SOLE                191,179
TELLABS INC COM                             COM     879664100       2,163       31,610     SOLE                 31,610
TERADYNE INC COM                            COM     880770102       6,827       92,880     SOLE                 92,880
TIBCO SOFTWARE INC COM                      COM     88632Q103         305        2,840     SOLE                  2,840
TEXAS INSTRS INC COM                        COM     882508104      17,347      252,543     SOLE                252,543
TRANSOCEAN SEDCO FOREX INC ORD              COM     G90078109       1,604       30,023     SOLE                 30,023
TEXAS UTILS CO COM                          COM     882848104          60        2,045     SOLE                  2,045
TRIBUNE CO NEW COM                          COM     896047107          92        2,626     SOLE                  2,626
TARGET CORP COM                             COM     87612E106         195        3,359     SOLE                  3,359
TEMPLE INLAND INC COM                       COM     879868107          19          444     SOLE                    444
TENET HEALTHCARE CORP COM                   COM     88033G100          64        2,359     SOLE                  2,359
TEXTRON INC COM                             COM     883203101          67        1,234     SOLE                  1,234
TRW INC COM                                 COM     872649108          40          918     SOLE                    918
UNOCAL                                      COM     915289102          69        2,072     SOLE                  2,072
UNION PAC CORP COM                          COM     907818108          76        2,039     SOLE                  2,039
UNION CARBIDE CORP COM                      COM     905581104          57        1,143     SOLE                  1,143
UNITED TECHNOLOGIES CORP COM                COM     913017109      11,011      187,017     SOLE                187,017
US BANCORP DEL COM                          COM     902973106         111        5,782     SOLE                  5,782
UAL CORP COM PAR USD0.01                    COM     902549500          24          410     SOLE                    410
UNICOM CORP COM                             COM     904911104          59        1,531     SOLE                  1,531
UNUMPROVIDENT CORP COM                      COM     91529Y106          37        1,832     SOLE                  1,832
US AIRWAYS GROUP INC COM                    COM     911905107          20          525     SOLE                    525
U S G CORP COM NEW                          COM     903293405          13          436     SOLE                    436
USX MARATHON GROUP COM NEW                  COM     902905827          59        2,339     SOLE                  2,339
USX-U S STL COM                             COM     90337T101          14          732     SOLE                    732
UNITEDHEALTH GROUP INC COM                  COM     91324P102       6,766       78,905     SOLE                 78,905
VIACOM INC CL B                             COM     925524308      14,180      207,962     SOLE                207,962
V F CORP COM                                COM     918204108          23          973     SOLE                    973
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
===================================      ========   =========   =========   ==========  ==========  ========  ======================
Item 1:                                  Item 2:    Item 3:     Item 4:     Item 5:     Item 6:     Item 7:             Item 8:
NAME OF ISSUER                           TITLE OF   CUSIP       MKT VALUE   SHARES OR   INVESTMENT                      Authority
                                         CLASS      NUMBER      (x$1000)    PRIN. AMT   DISCRETION  MANAGERS  (a) Sole  (b)     (c)
                                                                                                                        Shared  None
===================================      ========   =========   =========   ==========  ==========  ========  ======================
<S>                                      <C>        <C>         <C>         <C>         <C>         <C>       <C>
VULCAN MATLS CO COM                         COM     929160109          40          936     SOLE                    936
VISTEON CORP COM                            COM     92839U107          14        1,145     SOLE                  1,145
WALT DISNEY                                 COM     254687106       8,824      227,337     SOLE                227,337
WACHOVIA CORP COM                           COM     929771103       4,768       87,885     SOLE                 87,885
WAL MART STORES INC COM                     COM     931142103      33,185      575,874     SOLE                575,874
WHIRLPOOL CORP COM                          COM     963320106          27          581     SOLE                    581
WELLS FARGO & CO NEW COM                    COM     949746101       9,206      237,577     SOLE                237,577
WALGREEN CO COM                             COM     931422109         249        7,727     SOLE                  7,727
WELLPOINT HEALTH NETWORK NEW COM            COM     94973H108          35          482     SOLE                    482
WASHINGTON MUT INC COM                      COM     939322103         118        4,087     SOLE                  4,087
WEYERHAEUSER CO COM                         COM     962166104          67        1,564     SOLE                  1,564
WASTE MGMT INC DEL COM                      COM     94106L109          97        5,129     SOLE                  5,129
WILLIAMS COS INC DEL COM                    COM     969457100         145        3,480     SOLE                  3,480
WORTHINGTON INDS INC COM                    COM     981811102           9          830     SOLE                    830
WORLDCOM INC GA NEW COM                     COM     98157D106      16,378      357,011     SOLE                357,011
XEROX CORP COM                              COM     984121103         109        5,270     SOLE                  5,270
YAHOO INC COM                               COM     984332106       6,828       55,120     SOLE                 55,120
ALCOA INC                                   COM     013817101         928       32,000     SOLE                 32,000
APPLE COMPUTER                              COM     037833100       1,540       29,400     SOLE                 29,400
ALBERTSON'S INC                             COM     013104104         306        9,200     SOLE                  9,200
ABBOTT LABS COM                             COM     002824100       1,560       35,000     SOLE                 35,000
ADVANCED ENERGY INDS                        COM     007973100         548        9,300     SOLE                  9,300
AES CORPORATION                             COM     00130H105         548       12,000     SOLE                 12,000
AMFM INC                                    COM     001693100         442        6,400     SOLE                  6,400
AMERICAN HOME PRODUCTS CORP                 COM     026609107       2,285       38,900     SOLE                 38,900
AMERICAN INTL GROUP                         COM     026874107       3,969       33,775     SOLE                 33,775
APPLIED MATERIALS                           COM     038222105       2,320       25,600     SOLE                 25,600
ADVANCED MICRO DEVICES INC                  COM     007903107         286        3,700     SOLE                  3,700
AMGEN INC                                   COM     031162100       2,122       30,200     SOLE                 30,200
AMR CORP COM                                COM     001765106         288       10,900     SOLE                 10,900
AMAZON.COM INC                              COM     023135106         178        4,900     SOLE                  4,900

</TABLE>
<PAGE>

<TABLE>
<CAPTION>
===================================      ========   =========   =========   ==========  ==========  ========  ======================
Item 1:                                  Item 2:    Item 3:     Item 4:     Item 5:     Item 6:     Item 7:             Item 8:
NAME OF ISSUER                           TITLE OF   CUSIP       MKT VALUE   SHARES OR   INVESTMENT                      Authority
                                         CLASS      NUMBER      (x$1000)    PRIN. AMT   DISCRETION  MANAGERS  (a) Sole  (b)     (c)
                                                                                                                        Shared  None
===================================      ========   =========   =========   ==========  ==========  ========  ======================
<S>                                      <C>        <C>         <C>         <C>         <C>         <C>       <C>
AMERICA ONLINE INC DEL COM                  COM     02364J104       3,497       66,300     SOLE                 66,300
AUTOMATIC DATA PROCESS                      COM     053015103         996       18,600     SOLE                 18,600
AVX CORPORATION                             COM     002444107         594       25,900     SOLE                 25,900
AMERICAN EXPRESS CO COM                     COM     025816109       2,038       39,100     SOLE                 39,100
BOEING                                      COM     097023105       2,145       51,300     SOLE                 51,300
BANK OF AMERICA CORP                        COM     060505104       2,313       53,800     SOLE                 53,800
BAXTER INTERNATIONAL INC                    COM     071813109         844       12,000     SOLE                 12,000
BRUNSWICK CORP                              COM     117043109         409       24,700     SOLE                 24,700
VERIZON COMMUNICATIONS                      COM     92343V104       2,983       58,700     SOLE                 58,700
BJ SERVICES CO                              COM     055482103         406        6,500     SOLE                  6,500
BANK NEW YORK INC COM                       COM     064057102         818       17,600     SOLE                 17,600
BELLSOUTH                                   COM     079860102       2,937       68,900     SOLE                 68,900
BRISTOL-MYERS SQUIBB CO                     COM     110122108       3,810       65,400     SOLE                 65,400
ANHEUSER-BUSCH COS                          COM     035229103       1,031       13,800     SOLE                 13,800
CITIGROUP INC                               COM     172967101       7,555      125,400     SOLE                125,400
COMPUTER ASSOCIATES INTL                    COM     204912109       1,367       26,700     SOLE                 26,700
CONAGRA INC COM                             COM     205887102       1,477       77,500     SOLE                 77,500
CARDINAL HEALTH INC                         COM     14149Y108       1,273       17,200     SOLE                 17,200
CATERPILLAR INC DEL COM                     COM     149123101         481       14,200     SOLE                 14,200
CARNIVAL CORP                               COM     143658102         447       22,900     SOLE                 22,900
CLEAR CHANNEL COMMUNICATIONS                COM     184502102         443        5,900     SOLE                  5,900
CENDANT CORP COM                            COM     151313103         918       65,600     SOLE                 65,600
CHEVRON CORPORATION COM                     COM     166751107       2,790       32,900     SOLE                 32,900
CIGNA CORP                                  COM     125509109       1,767       18,900     SOLE                 18,900
COLGATE PALMOLIVE CO COM                    COM     194162103         210        3,500     SOLE                  3,500
CHASE MANHATTAN                             COM     16161A108       1,796       39,000     SOLE                 39,000
CMGI INC                                    COM     125750109         321        7,000     SOLE                  7,000
CREDENCE SYSTEMS CORP                       COM     225302108         541        9,800     SOLE                  9,800
CONEXANT SYSTEMS INC                        COM     207142100         579       11,900     SOLE                 11,900
CISCO SYSTEMS                               COM     17275R102      13,068      205,600     SOLE                205,600
DELTA AIR LINES INC                         COM     247361108         581       11,500     SOLE                 11,500
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
===================================      ========   =========   =========   ==========  ==========  ========  ======================
Item 1:                                  Item 2:    Item 3:     Item 4:     Item 5:     Item 6:     Item 7:             Item 8:
NAME OF ISSUER                           TITLE OF   CUSIP       MKT VALUE   SHARES OR   INVESTMENT                      Authority
                                         CLASS      NUMBER      (x$1000)    PRIN. AMT   DISCRETION  MANAGERS  (a) Sole  (b)     (c)
                                                                                                                        Shared  None
===================================      ========   =========   =========   ==========  ==========  ========  ======================
<S>                                      <C>        <C>         <C>         <C>         <C>         <C>       <C>
DU PONT DE NEMOURS & CO                     COM     263534109       1,313       30,000     SOLE                 30,000
DELL COMPUTER                               COM     247025109       3,506       71,100     SOLE                 71,100
TARGET CORP                                 COM     87612E106         597       10,300     SOLE                 10,300
WALT DISNEY                                 COM     254687106       2,826       72,800     SOLE                 72,800
DOVER CORP                                  COM     260003108         686       16,900     SOLE                 16,900
DOW CHEM CO COM                             COM     260543103       1,793       59,400     SOLE                 59,400
DELPHI AUTOMOTIVE SYSTEMS                   COM     247126105         545       37,400     SOLE                 37,400
DUKE ENERGY                                 COM     264399106       1,731       30,700     SOLE                 30,700
EBAY INC                                    COM     278642103         505        9,300     SOLE                  9,300
ELECTRONIC DATA SYSTEMS                     COM     285661104       1,489       36,100     SOLE                 36,100
EDISON INTERNATIONAL                        COM     281020107       1,289       62,900     SOLE                 62,900
EASTMAN                                     COM     277461109         690       11,600     SOLE                 11,600
EMC CORP/MASS                               COM     268648102       4,709       61,200     SOLE                 61,200
ENRON                                       COM     293561106       1,335       20,700     SOLE                 20,700
EQUITY OFFICE PROPERTIES                    COM     294741103         132        4,800     SOLE                  4,800
FORD MTR CO DEL COM                         COM     345370100       2,180       50,700     SOLE                 50,700
FEDERATED DEPARTMENT STORES                 COM     31410H101         469       13,900     SOLE                 13,900
FIRST DATA CORP                             COM     319963104         799       16,100     SOLE                 16,100
FLEET BOSTON FINANCIAL CORP                 COM     339030108       1,353       39,800     SOLE                 39,800
FANNIE MAE                                  COM     313586109       1,592       30,500     SOLE                 30,500
FIRST UNION CORP                            COM     337358105         598       24,100     SOLE                 24,100
GANNETT CO                                  COM     364730101       1,513       25,300     SOLE                 25,300
GENERAL DYNAMICS CORP                       COM     369550108         570       10,900     SOLE                 10,900
GENERAL ELECTRIC CO                         COM     369604103      15,593      294,200     SOLE                294,200
CORNING INC                                 COM     219350105       2,294        8,500     SOLE                  8,500
GENERAL MOTORS                              COM     370442105       1,457       25,100     SOLE                 25,100
HALLIBURTON                                 COM     406216101         878       18,600     SOLE                 18,600
HOME DEPOT INC                              COM     437076102       3,780       75,700     SOLE                 75,700
HARRAH'S ENTERTAINMENT                      COM     413619107         415       19,800     SOLE                 19,800
HARTFORD FINANCIAL SERVICES GROUP           COM     416515104         302        5,400     SOLE                  5,400
HEWLETT PACKARD CO COM                      COM     428236103       4,108       32,900     SOLE                 32,900
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
===================================      ========   =========   =========   ==========  ==========  ========  ======================
Item 1:                                  Item 2:    Item 3:     Item 4:     Item 5:     Item 6:     Item 7:             Item 8:
NAME OF ISSUER                           TITLE OF   CUSIP       MKT VALUE   SHARES OR   INVESTMENT                      Authority
                                         CLASS      NUMBER      (x$1000)    PRIN. AMT   DISCRETION  MANAGERS  (a) Sole  (b)     (c)
                                                                                                                        Shared  None
===================================      ========   =========   =========   ==========  ==========  ========  ======================
<S>                                      <C>        <C>         <C>         <C>         <C>         <C>       <C>
IBM                                         COM     459200101       5,916       54,000     SOLE                 54,000
INTGRTD DEVICE TECH                         COM     458118106         377        6,300     SOLE                  6,300
INTEL                                       COM     458140100      13,262       99,200     SOLE                 99,200
INTL PAPER CO COM                           COM     460146103       1,288       43,200     SOLE                 43,200
INTERPUBLIC GROUP                           COM     460690100         495       11,500     SOLE                 11,500
INGERSOLL RAND CO                           COM     456866102         463       11,500     SOLE                 11,500
JOHNSON & JOHNSON                           COM     478160104       4,381       43,000     SOLE                 43,000
MORGAN J P & CO INC COM                     COM     616880100       1,002        9,100     SOLE                  9,100
KELLOGG CO                                  COM     487836108         601       20,200     SOLE                 20,200
KLA-TENCOR CORPORATION                      COM     482480100         135        2,300     SOLE                  2,300
KIMBERLY-CLARK                              COM     494368103       1,492       26,000     SOLE                 26,000
COCA COLA                                   COM     191216100       3,596       62,600     SOLE                 62,600
KROGER CO                                   COM     501044101         832       37,700     SOLE                 37,700
MBNA CORP COM                               COM     55262L100       1,085       40,000     SOLE                 40,000
ELI LILLY CO                                COM     532457108       3,226       32,300     SOLE                 32,300
AT & T - LIBERTY MEDIA GRP A                COM     001957208       1,848       76,200     SOLE                 76,200
LINCOLN NATIONAL CORP                       COM     534187109       1,488       41,200     SOLE                 41,200
LOW'S COMPANIES                             COM     548661107         283        6,900     SOLE                  6,900
LIMITED INC                                 COM     532716107         508       23,500     SOLE                 23,500
LUCENT TECHNOLOGIES INC COM                 COM     549463107       4,805       81,100     SOLE                 81,100
MCDONALDS                                   COM     580135101         797       24,200     SOLE                 24,200
MEDTRONIC INC COM                           COM     585055106         852       17,100     SOLE                 17,100
MERRILL LYNCH & CO INC COM                  COM     590188108       1,162       10,100     SOLE                 10,100
MCGRAW-HILL COMPANIES INC                   COM     580645109         248        4,600     SOLE                  4,600
MINNESOTA MINING & MFG                      COM     604059105       1,254       15,200     SOLE                 15,200
PHILIP MORRIS                               COM     718154107       1,828       68,800     SOLE                 68,800
MOTOROLA INC                                COM     620076109       1,683       57,900     SOLE                 57,900
MERCK & CO                                  COM     589331107       5,387       70,300     SOLE                 70,300
MICROSOFT                                   COM     594918104      12,368      154,600     SOLE                154,600
PHARMACIA CORPORATION                       COM     71713U102         946       18,300     SOLE                 18,300
MGIC INVESTMENT CORP                        COM     552848103         851       18,700     SOLE                 18,700

</TABLE>
<PAGE>

<TABLE>
<CAPTION>
===================================      ========   =========   =========   ==========  ==========  ========  ======================
Item 1:                                  Item 2:    Item 3:     Item 4:     Item 5:     Item 6:     Item 7:             Item 8:
NAME OF ISSUER                           TITLE OF   CUSIP       MKT VALUE   SHARES OR   INVESTMENT                      Authority
                                         CLASS      NUMBER      (x$1000)    PRIN. AMT   DISCRETION  MANAGERS  (a) Sole  (b)     (c)
                                                                                                                        Shared  None
===================================      ========   =========   =========   ==========  ==========  ========  ======================
<S>                                      <C>        <C>         <C>         <C>         <C>         <C>       <C>
MICRON TECHNOLOGY INC                       COM     595112103         881       10,000     SOLE                 10,000
MORGAN STANLEY DEAN WITTER DISCOVER & CO    COM     617446448         341        4,100     SOLE                  4,100
NTL INCORPORATED                            COM     629407107         407        6,800     SOLE                  6,800
NUCOR CORP COM                              COM     670346105         581       17,500     SOLE                 17,500
NEXTEL COMMUNICATIONS INC-A                 COM     65332V103         355        5,800     SOLE                  5,800
QUAKER OATS CO                              COM     747402105         939       12,500     SOLE                 12,500
BANK ONE CORP                               COM     06423A103         531       20,000     SOLE                 20,000
ORACLE CORP COM                             COM     68389X105       7,044       83,800     SOLE                 83,800
OXFORD HEALTH PLANS INC COM                 COM     691471106         298       12,500     SOLE                 12,500
PFIZER INC COM                              COM     717081103       6,101      127,100     SOLE                127,100
PROCTER & GAMBLE CO COM                     COM     742718109       2,238       39,100     SOLE                 39,100
PACIFICARE HEALTH SYSTEMS                   COM     695112102         163        2,700     SOLE                  2,700
QUALCOMM INC                                COM     747525103       1,158       19,300     SOLE                 19,300
RELIANT ENERGY                              COM     75952J108       1,366       46,200     SOLE                 46,200
TRANSOCEAN SEDCO FOREX INC                  COM     G90078109         422        7,900     SOLE                  7,900
REALNETWORKS INC                            COM     75605L104         430        8,500     SOLE                  8,500
ROCKWELL INT'L                              COM     773903109         413       13,100     SOLE                 13,100
SEARS ROEBUCK & CO COM                      COM     812387108       1,625       49,800     SOLE                 49,800
SBC COMMUNICATIONS INC COM                  COM     78387G103       3,944       91,200     SOLE                 91,200
SCHWAB (CHARLES) CORP                       COM     808513105       1,295       38,500     SOLE                 38,500
SCHERING PLOUGH                             COM     806605101         540       10,700     SOLE                 10,700
SHERWIN-WILLIAMS CO                         COM     824348106         907       42,800     SOLE                 42,800
SARA LEE CORP COM                           COM     803111103         765       39,600     SOLE                 39,600
SOUTHERN CO                                 COM     842587107         466       20,000     SOLE                 20,000
SEMPRA ENERGY                               COM     816851109         556       32,700     SOLE                 32,700
SUNTRUST BANKS INC                          COM     867914103         649       14,200     SOLE                 14,200
SYBASE INC                                  COM     871130100         485       21,100     SOLE                 21,100
AT & T                                      COM     001957109       2,906       91,900     SOLE                 91,900
RADIOSHACK CORP                             COM     750438103         535       11,300     SOLE                 11,300
SABRE HOLDINGS CORP                         COM     785905100         322       11,300     SOLE                 11,300
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
===================================      ========   =========   =========   ==========  ==========  ========  ======================
Item 1:                                  Item 2:    Item 3:     Item 4:     Item 5:     Item 6:     Item 7:             Item 8:
NAME OF ISSUER                           TITLE OF   CUSIP       MKT VALUE   SHARES OR   INVESTMENT                      Authority
                                         CLASS      NUMBER      (x$1000)    PRIN. AMT   DISCRETION  MANAGERS  (a) Sole  (b)     (c)
                                                                                                                        Shared  None
===================================      ========   =========   =========   ==========  ==========  ========  ======================
<S>                                      <C>        <C>         <C>         <C>         <C>         <C>       <C>
TIME WARNER INC COM                         COM     887315109       2,569       33,800     SOLE                 33,800
TEXAS INSTRUMENTS INC                       COM     882508104       2,693       39,200     SOLE                 39,200
TEXAS UTILITIES CO                          COM     882848104         369       12,500     SOLE                 12,500
UNICOM CORP                                 COM     904911104         228        5,900     SOLE                  5,900
UNIONBANCAL CORPORATION                     COM     908906100         800       43,100     SOLE                 43,100
UNITED HEALTH GROUP                         COM     91324P102       1,972       23,000     SOLE                 23,000
UNION PACIFIC CORP                          COM     907818108         926       24,900     SOLE                 24,900
UNITED TECHNOLOGIES CORP COM                COM     913017109         895       15,200     SOLE                 15,200
VISTEON CORP                                COM     92839U107          80        6,638     SOLE                  6,638
VIACOM INC-CL B                             COM     925524308       3,238       47,487     SOLE                 47,487
WORLDCOM INC                                COM     98157D106       4,032       87,900     SOLE                 87,900
WELLS FARGO COMPANY                         COM     949746101       1,538       39,700     SOLE                 39,700
WHIRLPOOL CORP COM                          COM     963320106         737       15,800     SOLE                 15,800
WASHINGTON MUTUAL INC                       COM     939322103         312       10,800     SOLE                 10,800
WAL MART STORES INC COM                     COM     931142103       7,681      133,300     SOLE                133,300
EXXON MOBIL CORPORATION                     COM     30231G102       8,337      106,200     SOLE                106,200
YAHOO INC COM                               COM     984332106       2,131       17,200     SOLE                 17,200
TRICON GLOBAL RESTAURANTS                   COM     895953107         723       25,600     SOLE                 25,600
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