ABN AMRO ASSET MANAGEMENT USA INC
13F-HR, 2000-11-14
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                          UNITED STATES

                      SECURITIES AND EXCHANGE COMMISSION

                            Washington, D.C. 20549



                                   FORM 13F



                             FORM 13F COVER PAGE



Report for the Calendar Year or Quarter Ended: September 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:    ABN AMRO ASSET MANAGEMENT (USA) INC.

Address: 208 South LaSalle Street

         Chicago, IL 60604



13F File Number: 28-2913



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: Susan Wiemeler

Title: Vice President

Phone: 312-855-3364

Signature, Place, and Date of Signing





Susan Wiemeler   Chicago, IL





Report Type (Check only one.)



[X]    13F HOLDINGS REPORT



[ ]    13F NOTICE



[ ]    13F COMBINATION REPORT





List of Other Managers Reporting for this Manager: NONE







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

<PAGE>



FORM 13F SUMMARY PAGE





Report Summary



Number of Other Included Managers:       0



Form 13F Information Table Entry Total:  244



Form 13F Information Table Value Total:  2,641,358 (X1000)



List of Other Included Managers: NONE


<PAGE>

<TABLE>
                                 <C>                                              <C>
                                                             VALUE    SHARES/ SH/ PUT/ INVSTMT  (AAAM)    -----VOTING AUTHORITY----
NAME OF ISSUER                 -TITLE OF CLASS- --CUSIP-- x$1000    PRN AMT PRN CALL DSCRETN -MANAGERS-     SOLE   SHARED    NONE
AGILENT TECHNOLOGIES INC         COMMON           00846U101      238     4877 SH       SOLE                   3010    0       1867
ALCOA INC                        COMMON           013817101     8841   349280 SH       SOLE                  94880    0     254400
ALBERTSONS INC                   COMMON           013104104      393    18750 SH       SOLE                           0      18750
ABBOTT LABS                      COMMON           002824100    19473   409440 SH       SOLE                 173240    0     236200
ACXIOM CORP.                     OTC              005125109     3660   115300 SH       SOLE                 115300    0

ADC TELECOMMUNICATIONS INC       OTC              000886101    30532  1135450 SH       SOLE                 777350    0     358100

ANALOG DEVICES                   COMMON           032654105    13226   160200 SH       SOLE                  86090    0      74110

ADELPHIA COMMUNICATIONS          COMMON           006848105      323    11750 SH       SOLE                  10700    0       1050

AEGON N.V.-ARS                   COMMON           007924103      866    23341 SH       SOLE                           0      23341

AES CORPORATION                  COMMON           00130H105    10980   160300 SH       SOLE                 126100    0      34200

AMERICAN HOME PRODS CORP         COMMON           026609107      802    14190 SH       SOLE                           0      14190

AMERICAN INTL GROUP INC          COMMON           026874107    47409   495460 SH       SOLE                 263980    0     231480

APARTMENT INVT & MNGT CO         REI Tr           03748R101    11621   252300 SH       SOLE                  14800    0     237500

ALTERA CORP                      OTC              021441100     9869   206690 SH       SOLE                 135350    0      71340

APPLIED MATERIALS INC            OTC              038222105      272     4600 SH       SOLE                   4600    0

AMB PROPERTY CORP                COMMON           00163T109    12018   489300 SH       SOLE                  16000    0     473300

AMERICA ONLINE INC               COMMON           02364J104     2535    47165 SH       SOLE                  44695    0       2470

APACHE CORP                      COMMON           037411105     8393   141970 SH       SOLE                  45670    0      96300

AIR PRODS & CHEMS INC            COMMON           009158106      208     5800 SH       SOLE                           0       5800

ALEXANDRIA REAL ESTATE EQU       REI Tr           015271109    10664   310800 SH       SOLE                  13800    0     297000

ARCHSTONE COMMUNITIES TRUS       REI Tr           039581103    21809   887900 SH       SOLE                  41900    0     846000

ASE TEST LIMITED                 OTC              Y02516105      472    22500 SH       SOLE                           0      22500

AUTOMATIC DATA PROCESSING        COMMON           053015103     3263    48800 SH       SOLE                  11600    0      37200

AVALONBAY COMMUNITIES INC        REI Tr           053484101    28190   591151 SH       SOLE                  23064    0     568087

AVERY DENNISON CORP              COMMON           053611109      431     9300 SH       SOLE                           0       9300

AXA FINANCIAL INC                COMMON           002451102     9433   185190 SH       SOLE                  57940    0     127250

AMERICAN EXPRESS CO              COMMON           025816109    14044   231183 SH       SOLE                  61983    0     169200

BANK OF AMERICA CORP             COMMON           060505104      618    11802 SH       SOLE                    400    0      11402

BLACK & DECKER CORP              COMMON           091797100      572    16750 SH       SOLE                  15400    0       1350

BECTON DICKINSON & CO            COMMON           075887109      286    10855 SH       SOLE                           0      10855

FRANKLIN RESOURCES INC.          COMMON           354613101      493    11100 SH       SOLE                    600    0      10500

BIOGEN INC.                      COMMON           090597105    10155   166490 SH       SOLE                  88590    0      77900

BAKER HUGHES INC                 COMMON           057224107      417    11250 SH       SOLE                  10350    0        900

BANK NEW YORK INC                COMMON           064057102     5088    90770 SH       SOLE                  56270    0      34500

BELLSOUTH CORP                   COMMON           079860102     6516   161895 SH       SOLE                 125635    0      36260

BIOMET INC                       OTC              090613100     4034   115275 SH       SOLE                 115275    0

BRISTOL-MYERS SQUIBB COMPA       COMMON           110122108    26703   467460 SH       SOLE                 232260    0     235200

BP AMOCO PLC - SPONS ADR         COMMON           055622104      580    10958 SH       SOLE                   5212    0       5746

BRE PROPERTIES-CL A              REI Tr           05564E106    19888   621500 SH       SOLE                  23700    0     597800

ANHEUSER BUSCH COS INC           COMMON           035229103    10570   249820 SH       SOLE                  71620    0     178200

MINAS BUENAVENTURA               COMMON           204448104      240    17000 SH       SOLE                           0      17000

BOSTON PROPERTIES INC            REI Tr           101121101    22799   531000 SH       SOLE                  21300    0     509700

CITIGROUP INC                    COMMON           172967101    57941  1071755 SH       SOLE                 604056    0     467699

CARDINAL HEALTH INC              COMMON           14149Y108    12638   143314 SH       SOLE                 108367    0      34947

BRASIL DISTR PAO ACU             COMMON           20440T201      998    26861 SH       SOLE                           0      26861

CBL & ASSOCIATES PROPERTIE       REI Tr           124830100     8816   351800 SH       SOLE                  14400    0     337400

CARNIVAL CORP -CL A              COMMON           143658102      339    13800 SH       SOLE                   3075    0      10725

CLEAR CHANNEL COMMUNICATIO       COMMON           184502102     4991    88350 SH       SOLE                  67950    0      20400

CATELLUS DEVELOPMENT CORPO       COMMON           149111106     9689   553700 SH       SOLE                  23900    0     529800

CONCORD EFS                      OTC              206197105     8996   253325 SH       SOLE                 224250    0      29075

COLUMBIA ENERGY GROUP            COMMON           197648108      740    10430 SH       SOLE                   9460    0        970

CHARTER COMMUNICATIONS INC       OTC              16117M107      362    22300 SH       SOLE                  20550    0       1750

CHEVRON CORP                     COMMON           166751107      809     9500 SH       SOLE                   8800    0        700

COLGATE PALMOLIVE CO             COMMON           194162103     9541   202150 SH       SOLE                 166450    0      35700

COLONIAL PROPERTIES TRUST        REI Tr           195872106     4616   179700 SH       SOLE                   9900    0     169800

CLOROX CO                        COMMON           189054109      664    16800 SH       SOLE                           0      16800

CHASE MANHATTAN CORP             COMMON           16161A108    33150   717727 SH       SOLE                 457493    0     260234

CLAYTON HOMES INC                COMMON           184190106      372    37242 SH       SOLE                           0      37242

CENTERPOINT PROPERTIES COR       REI Tr           151895109    13104   284500 SH       SOLE                  12300    0     272200

CONOCO INC -CL B                 COMMON           208251405     2681    99550 SH       SOLE                  79400    0      20150

CAPITAL ONE FINANCIAL CORP       COMMON           14040H105      711    10150 SH       SOLE                   9250    0        900

CAMPBELL SOUP CO                 COMMON           134429109      227     8800 SH       SOLE                           0       8800

COMPUTER SCIENCES CORP           COMMON           205363104      619     8350 SH       SOLE                           0       8350

CISCO SYSTEMS INC.               OTC              17275R102    93159  1686148 SH       SOLE                 973073    0     713075

CENTURYTEL INC                   COMMON           156700106     4607   169093 SH       SOLE                 123457    0      45636

CVS CORPORATION                  COMMON           126650100    15705   339120 SH       SOLE                 158720    0     180400

E I DUPONT DE NEMOURS & CO       COMMON           263534109     8065   194648 SH       SOLE                  56948    0     137700

DOLLAR GENERAL                   COMMON           256669102     4460   266282 SH       SOLE                 214429    0      51853

WALT DISNEY CO                   COMMON           254687106    14097   368570 SH       SOLE                 105270    0     263300

DOW JONES & CO INC               COMMON           260561105     2487    41120 SH       SOLE                  33420    0       7700

DOVER CORP                       COMMON           260003108      474    10100 SH       SOLE                           0      10100

DUKE-WEEKS REALITY CORP          REI Tr           264411505    21561   893732 SH       SOLE                  35430    0     858302

DUKE PWR CO                      COMMON           264399106      257     3000 SH       SOLE                           0       3000

ECOLAB INC                       COMMON           278865100     5660   156975 SH       SOLE                 120450    0      36525

ELAN CORP PLC-ADR                COMMON           284131208     2644    48300 SH       SOLE                  48300    0

CIA PARANAENSE ENER              COMMON           20441B407      621    70000 SH       SOLE                           0      70000

EMC CORP-MASS                    COMMON           268648102    56797   572990 SH       SOLE                 327190    0     245800

EMERSON ELEC CO                  COMMON           291011104    11084   165447 SH       SOLE                  48797    0     116650

EMBRATEL PARTICIPACOES           COMMON           29081N100      415    22450 SH       SOLE                           0      22450

ENRON CORPORATION                COMMON           293561106    12654   144415 SH       SOLE                  42015    0     102400

EOG RESOURCES INC                COMMON           26875P101    11278   290125 SH       SOLE                 101650    0     188475

EQUITY OFFICE PROPERTIES T       REI Tr           294741103    34900  1123568 SH       SOLE                  49710    0     073858

EQUITY RESIDENTIAL PROPS T       REI Tr           29476L107    35923   748400 SH       SOLE                  28300    0     720100

FORD MOTOR COMPANY               COMMON           345370860     8106   320245 SH       SOLE                  96197    0     224049

FLEET BOSTON FINANCIAL COR       COMMON           339030108    19446   498626 SH       SOLE                 263528    0     235098

FISERV INC                       OTC              337738108      314     5250 SH       SOLE                   5250    0

FOMENTO ECONOMICO MEX            COMMON           344419106     1084    27800 SH       SOLE                           0      27800

FANNIE MAE                       COMMON           313586109    18222   254861 SH       SOLE                 105011    0     149850

SPRINT CORP                      COMMON           852061100    10203   348100 SH       SOLE                  93970    0     254130

FREDDIE MAC                      COMMON           313400301      323     5975 SH       SOLE                   4300    0       1675

FOREST LABS INC.                 COMMON           345838106      275     2400 SH       SOLE                           0       2400

FIRST VA BKS INC                 COMMON           337477103      335     7875 SH       SOLE                           0       7875

GILLETTE CO                      COMMON           375766102     1931    62556 SH       SOLE                   1000    0      61556

GUIDANT CORP                     COMMON           401698105    21320   301610 SH       SOLE                 174410    0     127200

GENERAL ELEC CO                  COMMON           369604103   102497  1776779 SH       SOLE                 919509    0     857270

GENERAL GROWTH PROPERTIES        REI Tr           370021107    15264   474250 SH       SOLE                  17200    0     457050

CORNING INC                      COMMON           219350105    12871    43340 SH       SOLE                  18040    0      25300

GENERAL MTRS CORP                COMMON           370442105      214     3300 SH       SOLE                   3050    0        250

GENTEX CORP                      OTC              371901109     9498   379925 SH       SOLE                 173425    0     206500

GREENPOINT FINANCIAL CORP        COMMON           395384100      437    14760 SH       SOLE                   7660    0       7100

GOLDEN STATE BANCORP             COMMON           381197102      449    19020 SH       SOLE                  17840    0       1180

HALLIBURTON CO                   COMMON           406216101     8847   180790 SH       SOLE                  50090    0     130700

HOME DEPOT INC                   COMMON           437076102    38420   724064 SH       SOLE                 403571    0     320493

HARLEY DAVIDSON INC              COMMON           412822108    12169   254194 SH       SOLE                 201850    0      52344

HOUSEHOLD INTERNATIONAL IN       COMMON           441815107     1440    25448 SH       SOLE                   9950    0      15498

STARWOOD HOTELS &RESORTS W       REI Tr           85590A203      832    26650 SH       SOLE                  24110    0       2540

HERSHEY FOODS CORP               COMMON           427866108      709    13100 SH       SOLE                           0      13100

HEWLETT PACKARD CO               COMMON           428236103    16937   174610 SH       SOLE                  54220    0     120390

INTERNATIONAL BUSINESS MA        COMMON           459200101    37814   336125 SH       SOLE                 157295    0     178830

INFOSYS TECHNOLOGIES             COMMON           456788108      858     6500 SH       SOLE                           0       6500

INTEL CORP                       OTC              458140100    42365  1019319 SH       SOLE                 480094    0     539225

INTERPUBLIC GROUP COS INC        COMMON           460690100    21873   642160 SH       SOLE                 398096    0     244064

ILLINOIS TOOL WKS INC            COMMON           452308109    12044   215560 SH       SOLE                 179685    0      35875

JOHNSON CONTROL                  COMMON           478366107      816    15350 SH       SOLE                   7975    0       7375

JDS UNIPHASE CORP                OTC              46612J101     3117    32925 SH       SOLE                  30075    0       2850

JOHNSON & JOHNSON                COMMON           478160104    36854   392325 SH       SOLE                 212000    0     180325

MORGAN J P & CO INC              COMMON           616880100      604     3700 SH       SOLE                    200    0       3500

KIMCO REALTY CORP                REI Tr           49446R109    19561   463000 SH       SOLE                  20200    0     442800

KLA-TENCOR CORPORATION           OTC              482480100      238     5800 SH       SOLE                   5800    0

KIMBERLY CLARK CORP              COMMON           494368103     9968   178606 SH       SOLE                  54320    0     124286

COCA COLA CO                     COMMON           191216100     2413    43784 SH       SOLE                   1250    0      42534

KROGER CO                        COMMON           501044101     4240   187950 SH       SOLE                 152050    0      35900

LABORATORIO CHILE                COMMON           50540H104      254    15300 SH       SOLE                           0      15300

LEHMAN BROTHERS HOLDING IN       COMMON           524908100      369     2500 SH       SOLE                   2350    0        150

LINEAR TECHNOLOGY CORP           OTC              535678106     1204    18600 SH       SOLE                           0      18600

LILLY ELI & CO                   COMMON           532457108    15460   190580 SH       SOLE                  53080    0     137500

LOCKHEED MARTIN CORPORATIO       COMMON           539830109      230     7000 SH       SOLE                           0       7000

LINCOLN NATIONAL CORP            COMMON           534187109     9451   196400 SH       SOLE                  55000    0     141400

LORAL SPACE & COMMUNICATIO       COMMON           G56462107       98    16000 SH       SOLE                           0      16000

LOWES COMPANIES INC              COMMON           548661107    16061   357920 SH       SOLE                 202670    0     155250

LUCENT TECHNOLOGIES INC          COMMON           549463107    11314   370215 SH       SOLE                  99830    0     270385

SOUTHWEST AIRLINES               COMMON           844741108     8077   333074 SH       SOLE                 261020    0      72054

MARRIOTT INTERNATIONAL-CL        COMMON           571903202     2324    63800 SH       SOLE                  63800    0

MAY DEPARTMENT STORES CO         COMMON           577778103      511    24932 SH       SOLE                           0      24932

MCDONALDS CORP                   COMMON           580135101    10454   346330 SH       SOLE                 128580    0     217750

MEDTRONIC INC                    COMMON           585055106    17458   336951 SH       SOLE                 170026    0     166925

S & P 400 MID-CAP DEP RECP       COMMON           595635103      618     6300 SH       SOLE                           0       6300

MELLON FINANCIAL CORP            COMMON           58551A108      296     6400 SH       SOLE                   6400    0

MERRILL LYNCH & CO               COMMON           590188108    14449   218930 SH       SOLE                  85750    0     133180

MERCURY INTERACTIVE CORP         COMMON           589405109      485     3100 SH       SOLE                   3100    0

MANUFACTURED HOME COMMUNIT       REI Tr           564682102    10112   404500 SH       SOLE                  20400    0     384100

MCGRAW HILL CORPORATION          COMMON           580645109      501     7890 SH       SOLE                   7240    0        650

MILLS CORP                       REI Tr           601148109    12140   641100 SH       SOLE                  27000    0     614100

MINNESOTA MNG & MFG CO           COMMON           604059105      309     3400 SH       SOLE                           0       3400

PHILIP MORRIS COS INS            COMMON           718154107     9871   335335 SH       SOLE                  73300    0     262035

MOTOROLA, INC.                   COMMON           620076109      419    14850 SH       SOLE                           0      14850

MERCK & CO INC                   COMMON           589331107     1458    19600 SH       SOLE                  14850    0       4750

MICROSOFT CORP                   OTC              594918104    49097   814047 SH       SOLE                 419832    0     394215

MICRON TECHNOLOGY                COMMON           595112103     8740   190000 SH       SOLE                 190000    0

MORGAN ST DEAN WITTER & CO       COMMON           617446448    14637   160080 SH       SOLE                 135530    0      24550

MAXIM INTEGRATED PRODUCTS        OTC              57772K101     1282    15950 SH       SOLE                  15950    0

NIKE INC                         COMMON           654106103      295     7378 SH       SOLE                    200    0       7178

NORTEL NETWORKS CORP             COMMON           656568102    33255   558330 SH       SOLE                 255940    0     302390

NORTHERN TRUST CORPORATION       OTC              665859104     2375    26725 SH       SOLE                  18400    0       8325

NEWELL RUBBERMAID INC            COMMON           651229106      894    39201 SH       SOLE                  11775    0      27426

OMNICOM GROUP INC                COMMON           681919106     2252    30888 SH       SOLE                  20700    0      10188

BANK ONE CORP                    COMMON           06423A103     7346   190200 SH       SOLE                 100775    0      89425

ORACLE CORPORATION               OTC              68389X105    57619   731673 SH       SOLE                 421410    0     310263

PALM INC                         OTC              696642107    20138   380414 SH       SOLE                 203994    0     176420

PAYCHEX INC.                     OTC              704326107     6881   131082 SH       SOLE                  80105    0      50977

PITNEY BOWES INC                 COMMON           724479100     1230    31200 SH       SOLE                           0      31200

PETRO-CANADA                     COMMON           71644E102     7572   339390 SH       SOLE                  88690    0     250700

PEPSICO INC                      COMMON           713448108      227     4950 SH       SOLE                   3300    0       1650

PFIZER INC                       COMMON           717081103    60251  1340786 SH       SOLE                 726439    0     614347

PROCTER & GAMBLE CO              COMMON           742718109     5142    76749 SH       SOLE                  58725    0      18024

PARKER HANNIFIN CORP             COMMON           701094104      403    11950 SH       SOLE                  11000    0        950

PARKWAY PROPERTIES INC           REI Tr           70159Q104     9656   316600 SH       SOLE                   9100    0     307500

PROLOGIS TRUST                   REI Tr           743410102    17877   752750 SH       SOLE                  37400    0     715350

PMC-SIERRA INC                   OTC              69344F106     9094    42250 SH       SOLE                  36350    0       5900

PNC FINANCIAL CORP               COMMON           693475105     2063    31750 SH       SOLE                  28350    0       3400

PAN PACIFIC RETAIL PPTYS I       REI Tr           69806L104    11964   598200 SH       SOLE                  25900    0     572300

PORTUGAL TELECOM S.A. -SP        COMMON           737273102      115    11400 SH       SOLE                  11400    0

PACTIV CORPORATION               COMMON           695257105    45868  4100000 SH       SOLE                 100000    0

PROVIDIAN FINANCIAL CORP         COMMON           74406A102     2394    18858 SH       SOLE                           0      18858

QWEST COMMUMICATION INTL         COMMON           749121109     6262   130297 SH       SOLE                 114092    0      16205

QUALCOMM INC                     OTC              747525103    16668   233940 SH       SOLE                 102340    0     131600

NASDAQ-100 SHARES                COMMON           631100104      274     3100 SH       SOLE                           0       3100

RECKSON ASSOC REALTY CORP        REI Tr           75621K106     9672   379300 SH       SOLE                  18400    0     360900

RALSTON-RALSTON PURINA GRO       COMMON           751277302     8040   339460 SH       SOLE                  92060    0     247400

ROBERT HALF INT'L                COMMON           770323103      202     5850 SH       SOLE                           0       5850

ROLLINS TRUCK LEASING            COMMON           775741101      115    18229 SH       SOLE                           0      18229

SBC COMMUNICATIONS INC           COMMON           78387G103     8436   168731 SH       SOLE                 130288    0      38443

STARBUCKS CORP                   OTC              855244109     3713    92695 SH       SOLE                  70895    0      21800

CHARLES SCHWAB CORP              COMMON           808513105    15474   435895 SH       SOLE                 169345    0     266550

SUNGARD DATA SYSTEMS INC         COMMON           867363103      222     5200 SH       SOLE                   1000    0       4200

SOUTHDOWN INC                    COMMON           841297104      616     8650 SH       SOLE                   8050    0        600

SEAGATE TECHNOLOGY INC           COMMON           811804103     8878   128670 SH       SOLE                  35170    0      93500

SCHERING PLOUGH CORP             COMMON           806605101    30167   648771 SH       SOLE                 379223    0     269548

SHURGARD STORAGE CENTERS-A       REI Tr           82567D104     7287   323000 SH       SOLE                  15400    0     307600

SATYAM INFOWAY LIMITED-ADR       OTC              804099109      189    14000 SH       SOLE                           0      14000

SK TELECOM CO LTD                COMMON           78440P108     1593    62191 SH       SOLE                           0      62191

SCHLUMBERGER LTD.                COMMON           806857108     5058    61450 SH       SOLE                  61450    0

SARA LEE CORP                    COMMON           803111103      355    17520 SH       SOLE                           0      17520

SOLECTRON CORP                   COMMON           834182107      433     9400 SH       SOLE                   9400    0

SYNOPSYS INC                     OTC              871607107      304     8050 SH       SOLE                   7400    0        650

SOUTHERN CO                      COMMON           842587107    10531   324670 SH       SOLE                  95800    0     228870

SIMON PROPERTY GROUP INC         COMMON           828806109    23017   982080 SH       SOLE                  38300    0     943780

SPIEKER PROPERTIES INC           REI Tr           848497103    23497   408200 SH       SOLE                  16700    0     391500

S & P 500 DEPOSITORY RECEI       COMMON           78462F103    12568    87506 SH       SOLE                  50522    0      36984

SERVICE CORP INTL                COMMON           817565104     4836  1984300 SH       SOLE                 547400    0     436900

STATE STREET CORPORATION         COMMON           857477103     4238    32600 SH       SOLE                  25050    0       7550

SUMMIT BANCORP                   COMMON           866005101      493    14300 SH       SOLE                  13100    0       1200

SUN MICROSYSTEMS                 OTC              866810104    58762   503315 SH       SOLE                 282469    0     220846

SERVICEMASTER COMPANY            COMMON           81760N109      119    12075 SH       SOLE                  12075    0

SUPERVALU INC                    COMMON           868536103     7095   471070 SH       SOLE                 147680    0     323390

SAFEWAY INC                      COMMON           786514208    28137   602688 SH       SOLE                 401262    0     201426

SYSCO CORP                       COMMON           871829107      666    14400 SH       SOLE                           0      14400

A T & T CORPORATION              COMMON           001957109    16780   571253 SH       SOLE                 164626    0     406627

TELECOM ARGENTINA                COMMON           879273209      386    17850 SH       SOLE                           0      17850

TERADYNE INC                     COMMON           880770102     7266   207605 SH       SOLE                  56505    0     151100

TARGET CORP                      COMMON           87612E106    15892   620200 SH       SOLE                 356500    0     263700

TELLABS INC.                     OTC              879664100     9003   188555 SH       SOLE                 158255    0      30300

TMP WORLDWIDE                    OTC              872941109     8301   103130 SH       SOLE                  32630    0      70500

TELEFONOS DE MEXICO SA DE        COMMON           879403780     3193    60050 SH       SOLE                           0      60050

TELE NORTE LESTE PART            COMMON           879246106      838    36670 SH       SOLE                           0      36670

SABRE HOLDINGS CORP              COMMON           785905100     8029   277470 SH       SOLE                  84020    0     193450

TAIWAN SEMICONDUCTOR             COMMON           874039100      735    36085 SH       SOLE                           0      36085

GRUPO TELEVISA SA DE CV-GD       COMMON           40049J206     1044    18100 SH       SOLE                           0      18100

TIME-WARNER INC.                 COMMON           887315109    28593   365415 SH       SOLE                 170515    0     194900

TEXACO INC                       COMMON           881694103     9124   173794 SH       SOLE                  47694    0     126100

TEXAS INSTRUMENTS INC.           COMMON           882508104      604    12800 SH       SOLE                  12800    0

TYCO INTERNATIONAL LTD           COMMON           902124106    27769   535312 SH       SOLE                 268382    0     266930

TRIZEC HAHN CORPORATION          COMMON           896938107    16846  1002000 SH       SOLE                  22600    0     979400

UNIBANCO                         COMMON           90458E107      584    17700 SH       SOLE                           0      17700

UTILICORP UNITED INC             COMMON           918005109      356    13770 SH       SOLE                  12780    0        990

UNITED TECHNOLOGIES CORP         COMMON           913017109     9576   138293 SH       SOLE                  36093    0     102200

VALSPAR CORP                     COMMON           920355104      383    16700 SH       SOLE                           0      16700

VINA CONCHA Y TORO SA            COMMON           927191106      388    10500 SH       SOLE                           0      10500

VIACOM INC. - CL B               COMMON           925524308     4787    81836 SH       SOLE                  79200    0       2636

VULCAN MATERIALS CO              COMMON           929160109      488    12150 SH       SOLE                  11150    0       1000

VORNADO REALTY TRUST             REI Tr           929042109    17433   469600 SH       SOLE                  21600    0     448000

VODAFONE GROUP PLC-SP ADR        COMMON           92857W100     2120    57314 SH       SOLE                  40376    0      16938

VITESSE SEMICONDUCTOR CORP       COMMON           928497106    21060   236805 SH       SOLE                 132455    0     104350

VERIZON COMMUNICATIONS           COMMON           92343V104    19103   394397 SH       SOLE                 114808    0     279589

WALGREEN CO                      COMMON           931422109     2276    60000 SH       SOLE                  45200    0      14800

WORLDCOM INC                     OTC              98157D106    30777  1013237 SH       SOLE                 583051    0     430186

WELLS FARGO COMPANY              COMMON           949746101    24677   537200 SH       SOLE                 267925    0     269275

WASHINGTON MUTUAL INC            COMMON           939322103     9054   227425 SH       SOLE                 183225    0      44200

WILLIAMS COMPANIES               COMMON           969457100    17341   410460 SH       SOLE                 216813    0     193647

WAL MART STORES INC              COMMON           931142103    38162   792995 SH       SOLE                 398395    0     394600

WATSON PHARMACEUTICALS INC       COMMON           942683103     3369    51940 SH       SOLE                  38140    0      13800

WEINGARTEN REALTY INVST          REI Tr           948741103    10941   268500 SH       SOLE                   8700    0     259800

XILINX INC.                      OTC              983919101    15703   183400 SH       SOLE                 100775    0      82625

EXXON MOBIL CORPORATION          COMMON           30231G102    55186   619203 SH       SOLE                 315939    0     303264

</TABLE>



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