LYON STREET ASSET MANAGEMENT CO /MI/
13F-HR, 1999-08-13
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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: 6/30/99

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:    LYON STREET ASSET MANAGEMENT COMPANY
ADDRESS: 111 LYON ST
         GRAND RAPIDS, MI 49503

13F FILE NUMBER: 28-7690
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:     KEN KREI
TITLE:    EXECUTIVE VICE PRESIDENT
PHONE:    (616)653-3365
<PAGE>
SIGNATURE,PLACE,AND DATE OF SIGNING:

    KEN KREI                       GRAND RAPIDS, MI         6/30/99


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:        1

FORM 13F INFORMATION TABLE ENTRY TOTAL:   980

FORM 13F INFORMATION TABLE VALUE TOTAL:   $2,504,192,608

LIST OF OTHER INCLUDED MANAGERS:

PROVIDE A NUMBERED LIST OF THE NAME(S) AND FORM 13F FILE NUMBER(S) OF ALL
INSTITUTIONAL INVESTMENT MANAGERS WITH RESPECT TO WHICH THIS REPORT IS FILED,
OTHER THAN THE MANAGER FILING THIS REPORT.

[IF THERE ARE NO ENTRIES IN THIS LIST, STATE "NONE" AND OMIT THE COLUMN HEADINGS
AND LIST ENTRIES.]

         NO.        FORM 13F FILE NUMBER               NAME

         1               28-1597           OLD KENT FINANCIAL CORPORATION



























<PAGE>
<TABLE>
                                                                FORM 13F INFORMATION TABLE

  COLUMN 1                COLUMN 2       COLUMN 3        COLUMN 4       COLUMN 5           COLUMN 6 COLUMN 7      COLUMN 8

               TITLE OF            VALUE     SHARES/   SH/  PUT/ INVSTMT   OTHER       VOTING AUTHORITY
NAME OF ISSUER      CLASS          CUSIP          (X1000)   PRN AMT   PRN  CALL DSCRETN   MANAGER  SOLE  SHARED  NONE
- ---------------------    ------------   --------- ------    -------   ---  ---- -------   -------  ----  ------  ----
<S>            <C>       <C>       <C>  <C>  <C>       <C>            <C>
AAR CORP       COMMON STOCK   000361105 979  43150     SH               SHARED            43,150
ABM INDUSTRIES INC  COMMON STOCK   000957100 1498 48800     SH               SHARED            48,800
ACT NETWORKS, INC.  COMMON STOCK   000975102 597  35000     SH               SHARED            35,000
AFLAC INCORPORATED  COMMON STOCK   001055102 1005 21000     SH               SHARED            21,000
AES CORP       COMMON STOCK   00130H105 884  15200     SH               SHARED            15,200
AMR CORPORATION             COMMON STOCK     001765106 2013 29500     SH               SHARED            29,500
ARM FINANCIAL GROUP-A    COMMON STOCK   001944107      650  76500     SH               SHARED            76,500
AT&T CORP      COMMON STOCK   001957109      31228     559521    SH               SHARED            559,521
ABBOTT LABS         COMMON STOCK   002824100      12189     267900    SH               SHARED            267,900
ACCEPTANCE INSURANCE     COMMON STOCK   04308102  572  38000     SH               SHARED            38,000
ACCLAIM ENTERTAINMENT    COMMON STOCK   004325205      449  70500     SH               SHARED            70,500
ACUSON              COMMON STOCK   005113105      1600      93100     SH               SHARED            93,100
ACX TECH INC        COMMON STOCK   005123104      731  45000     SH               SHARED            45,000
ADOBE SYSTEMS INC   COMMON STOCK   00724F101      403  4900 SH               SHARED            4,900
ADVEST GROUP, INC.  COMMON STOCK   007566102      469  23500     SH               SHARED            23,500
ADVO INC.      COMMON STOCK   007585102      1390      67000     SH               SHARED            67,000
AEROFLEX INC.       COMMON STOCK   007768104      790  40000     SH               SHARED            40,000
ADVANCED MICRO DEVICES   COMMON STOCK   007903107      208  11500     SH               SHARED            11,500
AETNA COMMON STOCK  COMMON STOCK   008117103      2126      23770     SH               SHARED            23,770
AFFYMETRIX INC.          COMMON STOCK   00826T108      2716      55000     SH               SHARED            55,000
AIR PRODS & CHEMICAL     COMMON STOCK   009158106      737  18300     SH               SHARED            18,300
ALASKA AIRGROUP INC COMMON STOCK   011659109      1332      31900     SH               SHARED            31,900
ALBANY INTL CORP.   COMMON STOCK   012348108      1162      56000     SH               SHARED            56,000
ALBERTO CULVER CO   COMMON STOCK   013068101      762  28620     SH               SHARED            28,620
ALBERTSONS INC      COMMON STOCK   013104104      4186      81176     SH               SHARED            81,176
ALCAN ALUMINUM LTD ADR   COMMON STOCK   013716105      580  18150     SH               SHARED            18,150
ALCOA INC.          COMMON STOCK   013817101      4591      74200     SH               SHARED            74,200
ALKERMES INC.       COMMON STOCK   01642T108      1552      67100     SH               SHARED            67,100
ALLEGHENY TELEDYNE INC   COMMON STOCK   017415100      353  15620     SH               SHARED            15,620
ALLEN TELECOM INC.  COMMON STOCK   018091108      1078      100300    SH               SHARED            100,300
ALLERGAN INC        COMMON STOCK   018490102      588  5300 SH               SHARED            5,300
ALLIANT TECHSYSTEMS COMMON STOCK   018804104      1765      20400     SH               SHARED            20,400
ALLIED SIGNAL INC   COMMON STOCK   019512102      6054      96100     SH               SHARED            96,100
ALLSTATE CORP       COMMON STOCK   020002101      6156      171598    SH               SHARED            171,598
ALLTEL              COMMON STOCK   020039103      1566      21900     SH               SHARED            21,900
ALPHARMA INC-CL A   COMMON STOCK   020813101      2134      60000     SH               SHARED            60,000
ALZA           COMMON STOCK   022615108      407  8000 SH               SHARED            8,000
AMERADA HESS CORP   COMMON STOCK   023551104      428  7200 SH               SHARED            7,200
AMEREN CORPORATION  COMMON STOCK   023608102      418  10900     SH               SHARED            10,900
AMERICAN ONLINE          COMMON STOCK   02364J104      18398     166500    SH               SHARED            166,500

<PAGE>
AMERICA WEST HLDGS-B     COMMON STOCK   023657208      1799      95300     SH               SHARED            95,300
AMERICAN BUSINESS PROD   COMMON STOCK   024763104      586  38400     SH               SHARED            38,400
AMERICAN ELEC PWR INC    COMMON STOCK   025537101      567  15100     SH               SHARED            15,100
AMERICAN EXPRESS CO COMMON STOCK   025816109      10508     80750     SH               SHARED            80,750
AMERICAN GENERAL CORP    COMMON STOCK   026351106      3897      51698     SH               SHARED            51,698
AMERICAN GREETINGS CO    COMMON STOCK   026375105      172  5700 SH               SHARED            5,700
AMERICAN HERITAGE LIFE   COMMON STOCK   026522102      2788      113800    SH               SHARED            113,800
AMERICAN HOME PRODUCTS   COMMON STOCK   026609107      12489     217200    SH               SHARED            217,200
AMERICAN INT'L GROUP     COMMON STOCK   026874107      23714     202574    SH               SHARED            202,574
AMERICAN MOBLIE SAT.     COMMON STOCK   02755R103      1531      93500     SH               SHARED            93,500
AMER RETIREMENT CORP     COMMON STOCK   028913101      459  36700     SH               SHARED            36,700
AMERICREDIT         COMMON STOCK   03060R101      3040      190000    SH               SHARED            190,000
AMERITRADE HLDG CORP     COMMON STOCK   03072H109      6360      60000     SH               SHARED            60,000
AMERUS LIFE HOLDINGS-A   COMMON STOCK   030732101      1350      50000     SH               SHARED            50,000
AMERITECH CORP      COMMON STOCK   030954101      14343     195148    SH               SHARED            195,148
AMGEN, INC.         COMMON STOCK   031162100      5394      88600     SH               SHARED            88,600
AMSOUTH BANC CORPK  COMMON STOCK   032165102      330  14250     SH               SHARED            14,250
ANADARKO       COMMON STOCK   032511107      353  9600 SH               SHARED            9,600
ANALYSTS INTERNATIONAL   COMMON STOCK   032681108      1189      82700     SH               SHARED            82,700
ANDREW CORP         COMMON STOCK   034425108      132  6955 SH               SHARED            6,955
ANHEUSER BUSCH CO INC    COMMON STOCK   035229103      5871      82770     SH               SHARED            82,770
ANIXTER INTL INC    COMMON STOCK   035290105      1478      81000     SH               SHARED            81,000
ANNTAYLOR STORES CORP    COMMON STOCK   036115103      2601      57800     SH               SHARED            57,800
AON CORP.      COMMON STOCK   037389103      2147      52050     SH               SHARED            52,050
APACHE CORP         COMMON STOCK   037411105      300  7700 SH               SHARED            7,700
APPLE COMPUTER INC  COMMON STOCK   037833100      505  10900     SH               SHARED            10,900
APPLEBEE'S INT'L    COMMON STOCK   037899101      1054      35000     SH               SHARED            35,000
APRIA HEALTHCARE GROUP   COMMON STOCK   037933108      2814      165500    SH               SHARED            165,500
APPLIED IND TECH    COMMON STOCK   03820C105      812  42725     SH               SHARED            42,725
APPLIED MAGNETICS CORP   COMMON STOCK   038213104      282  92011     SH               SHARED            92,011
APPLIED MATERIALS INC    COMMON STOCK   038222105      4514      61100     SH               SHARED            61,100
APPLIED POWER INC.  COMMON STOCK   038225108      2185      80000     SH               SHARED            80,000
APPLIED MICRO CIRCUITS   COMMON STOCK   03822W109      2468      30000     SH               SHARED            30,000
AQUARION CO.        COMMON STOCK   03838W101      761  21900     SH               SHARED            21,900
ARCADIA FINANCIAL LTD    COMMON STOCK   039101100      1058      136500    SH               SHARED            136,500
ARCHER-DANIELS-MIDLAND   COMMON STOCK   039483102      728  47166     SH               SHARED            47,166
ARDENT SOFTWARE INC.     COMMON STOCK   039794102      655  30800     SH               SHARED            30,800
ARMCO INC      COMMON STOCK   042170100      1518      229200    SH               SHARED            229,200
ARMSTRONG WRLD INDUST    COMMON STOCK   042476101      185  3200 SH               SHARED            3,200
ARTESYN TECHNOLOGIES     COMMON STOCK   043127109      1966      88600     SH               SHARED            88,600
ARVIN INDUSTRIES INC     COMMON STOCK   043339100      1773      46800     SH               SHARED            46,800
ASARCO INC          COMMON STOCK   043413103      60   3200 SH               SHARED            3,200
ASHLAND INC         COMMON STOCK   044204105      1093      27250     SH               SHARED            27,250
ASSOCIA FIRST CAP-A COMMON STOCK   046008108      5250      118468    SH               SHARED            118,468
ATLANTIC RICHFIELD CO.   COMMON STOCK   048825103      4496      53800     SH               SHARED            53,800
ATLAS AIR, INC.          COMMON STOCK   049164106      1451      45000     SH               SHARED            45,000
ATMOS ENERGY CORP.  COMMON STOCK   049560105      829  33150     SH               SHARED            33,150
ATWOOD OCEANICS          COMMON STOCK   050095108      1063      34000     SH               SHARED            34,000
AUTHENTIC FITNESS CORP   COMMON STOCK   052661105      875  50000     SH               SHARED            50,000

<PAGE>
AUTO DESK      COMMON STOCK   052769106      139  4700 SH        SHARED              4,700
AUTOMATIC DATA PROC COMMON STOCK   053015103      6756      153540    SH        SHARED              153,540
AUTOZONE       COMMON STOCK   053332102      362  12000     SH        SHARED              12,000
AVERY DENNISON CORP COMMON STOCK   053611109      561  9300 SH        SHARED              9,300
AVIATION SALES CO.  COMMON STOCK   053672101      644  16300     SH        SHARED              16,300
AVON PRODUCTS       COMMON STOCK   054303102      1160      20900     SH        SHARED              20,900
AZTAR CORP.         COMMON STOCK   054802103      959  104400    SH        SHARED              104,400
BB&T CORP      COMMON STOCK   054937107      910  24800     SH        SHARED              24,800
BMC INDUSTRIES INC. COMMON STOCK   055607105      908  88000     SH        SHARED              88,000
BMC SOFTWARE        COMMON STOCK   055921100      1015      18800     SH        SHARED              18,800
BAKER HUGHES        COMMON STOCK   057224107      874  26080     SH        SHARED              26,080
BALDOR ELECTRIC CO. COMMON STOCK   057741100      1511      76000     SH        SHARED              76,000
BALL CORPORATION    COMMON STOCK   058498106      106  2500 SH        SHARED              2,500
BALLARD MEDICAL PRODS    COMMON STOCK   058566100      2142      91900     SH        SHARED              91,900
BANCORPSOUTH INC    COMMON STOCK   059692103      2519      139000    SH        SHARED              139,000
BANCTEC INC         COMMON STOCK   059784108      1413      78800     SH        SHARED              78,800
BANK OF AMERICA CORP.    COMMON STOCK   060505104      21410     292042    SH        SHARED              292,042
BANK OF NEW YORK INC     COMMON STOCK   064057102      4901      133600    SH        SHARED              133,600
BANK ONE CORP       COMMON STOCK   06423A103      12905     216657    SH        SHARED              216,657
BANKBOSTON CORP.    COMMON STOCK   06605R106      2868      56100     SH        SHARED              56,100
BANKNORTH GROUP, INC.    COMMON STOCK   06646L100      2145      65000     SH        SHARED              65,000
BARD C.R. INC       COMMON STOCK   067383109      1367      28600     SH        SHARED              28,600
BARNES GROUP, INC.  COMMON STOCK   067806109      916  42100     SH        SHARED              42,100
BARRICK GOLD CORP ADR    COMMON STOCK   067901108      1677      86550     SH        SHARED              86,550
BATTLE MOUNTAIN GOLD     COMMON STOCK   071593107      46   18700     SH        SHARED              18,700
BAUSCH & LOMB INC   COMMON STOCK   071707103      344  4500 SH        SHARED              4,500
BAXTER INTERNATIONAL     COMMON STOCK   071813109      2971      49000     SH        SHARED              49,000
BEAR STEARNS COMPANIES   COMMON STOCK   073902108      414  8850 SH        SHARED              8,850
BECTON DICKINSON & CO    COMMON STOCK   075887109      1557      51900     SH        SHARED              51,900
BELDEN INC          COMMON STOCK   077459105      1080      45100     SH        SHARED              45,100
BELL & HOWELL CO.   COMMON STOCK   077852101      3169      83800     SH        SHARED              83,800
BELL ATLANTIC       COMMON STOCK   077853109      17196     263040    SH        SHARED              263,040
BELLSOUTH CORP      COMMON STOCK   079860102      16134     344200    SH        SHARED              344,200
BEMIS CO.      COMMON STOCK   081437105      163  4100 SH        SHARED              4,100
BERRY PETROLEUM CLAS     COMMON STOCK   085789105      672  48200     SH        SHARED              48,200
BEST BUY       COMMON STOCK   086516101      0    1000 SH        SHARED              1,000
BESTFOODS      COMMON STOCK   08658U101      2416      48800     SH        SHARED              48,800
BETHLEHEM STEEL CORP     COMMON STOCK   087509105      81   10500     SH        SHARED              10,500
BEVERLY ENT INC.    COMMON STOCK   087851309      2701      335000    SH        SHARED              335,000
BIG FLOWER HLDGS INC     COMMON STOCK   089159107      1227      38500     SH        SHARED              38,500
BINDLEY WESTERN IND COMMON STOCK   090324104      1630      70667     SH        SHARED              70,667
BIOMATRIX INC       COMMON STOCK   09060P102      865  40000     SH        SHARED              40,000
BIOMET              COMMON STOCK   090613100      1089      27400     SH        SHARED              27,400
BLACK AND DECKER CORP    COMMON STOCK   091797100      1502      23800     SH        SHARED              23,800
BLACK HILLS CORP.   COMMON STOCK   092113109      691  29900     SH        SHARED              29,900
BLANCH (E.W.) HOLDINGS   COMMON STOCK   093210102      2728      40000     SH        SHARED              40,000
H & R BLOCK         COMMON STOCK   093671105      390  7800 SH        SHARED              7,800
BOEING COMPANY      COMMON STOCK   097023105      7140      161592    SH        SHARED              161,592
BOISE CASCADE CORP  COMMON STOCK   097383103      198  4608 SH        SHARED              4,608

<PAGE>
BOMBAY COMPANY INC  COMMON STOCK   097924104      627  81500     SH        SHARED              81,500
BORG-WARNER SEC CORP     COMMON STOCK   099733107      855  42100     SH        SHARED              42,100
BOSTON SCIENTIFIC CORP   COMMON STOCK   101137107      1375      31300     SH        SHARED              31,300
BRIGGS & STRATTON CORP   COMMON STOCK   109043109      110  1900 SH        SHARED              1,900
BRISTOL MYERS SQUIBB     COMMON STOCK   110122108      25280     358900    SH        SHARED              358,900
BROADVISION         COMMON STOCK   111412102      1844      25000     SH        SHARED              25,000
BROWN-FORMAN CORP   COMMON STOCK   115637209      359  5500 SH        SHARED              5,500
BROWN SHOE COMPANY INC   COMMON STOCK   115736100      1083      49800     SH        SHARED              49,800
BROWNING-FERRIS IND COMMON STOCK   115885105      538  12500     SH        SHARED              12,500
BRUNSWICK CORP      COMMON STOCK   117043109      201  7200 SH        SHARED              7,200
BRUSH WELLMAN       COMMON STOCK   117421107      678  37400     SH        SHARED              37,400
BUCKEYE TECHNOLOGIES     COMMON STOCK   118255108      1162      76500     SH        SHARED              76,500
THE BUCKLE          COMMON STOCK   118440106      667  23000     SH        SHARED              23,000
BUDGET GROUP INC-CL A    COMMON STOCK   119003101      672  54600     SH        SHARED              54,600
BURLINGTON COAT FAC W    COMMON STOCK   121579106      1072      55500     SH        SHARED              55,500
BURLINGTON IND INC  COMMON STOCK   121693105      906  100000    SH        SHARED              100,000
BURL NORTH SANTA FE COMMON STOCK   12189T104      1159      37400     SH        SHARED              37,400
BURLINGTON          COMMON STOCK   122014103      613  14165     SH        SHARED              14,165
BUSH BOAKE ALLN          COMMON STOCK   123162109      579  19800     SH        SHARED              19,800
C&D TECH INC        COMMON STOCK   124661109      1240      40500     SH        SHARED              40,500
CB RICHARD ELLIS SERVS   COMMON STOCK   12489L108      1095      44000     SH        SHARED              44,000
CBS CORPORATION          COMMON STOCK   12490K107      2446      56300     SH        SHARED              56,300
CDI CORP.      COMMON STOCK   125071100      1192      35000     SH        SHARED              35,000
CIGNA CORP          COMMON STOCK   125509109      3618      40650     SH        SHARED              40,650
CLECO CORP.         COMMON STOCK   12561M107      1145      37700     SH        SHARED              37,700
CMP GROUP INC.      COMMON STOCK   125887109      1446      55200     SH        SHARED              55,200
CMS ENERGY CORPORATION   COMMON STOCK   125896100      377  9000 SH        SHARED              9,000
CSG SYSTEMS INTL    COMMON STOCK   126349109      1309      50000     SH        SHARED              50,000
CSX CORP       COMMON STOCK   126408103      1691      37308     SH        SHARED              37,308
CTS CORP.      COMMON STOCK   126501105      3150      45000     SH        SHARED              45,000
CVS CORPORATION          COMMON STOCK   126650100      1590      31100     SH        SHARED              31,100
CABLETRON SYSTEMS   COMMON STOCK   126920107      174  13400     SH        SHARED              13,400
CABLE DESIGN TECH   COMMON STOCK   126924109      993  64300     SH        SHARED              64,300
CABOT OIL & GAS CORP     COMMON STOCK   127097103      831  44600     SH        SHARED              44,600
CAMPBELL SOUP CO    COMMON STOCK   134429109      3657      81500     SH        SHARED              81,500
CAPITAL ONE FINANCIAL    COMMON STOCK   14040H105      869  15600     SH        SHARED              15,600
CARDINAL HEALTH          COMMON STOCK   14149Y108      2982      46500     SH        SHARED              46,500
CARMIKE CINEMAS, INC     COMMON STOCK   143436103      512  32100     SH        SHARED              32,100
CARNIVAL CRUISE LINES    COMMON STOCK   143658102      2299      47400     SH        SHARED              47,400
CAROLINA POWER LIGHT     COMMON STOCK   144141108      518  12100     SH        SHARED              12,100
CARPENTER TECHNOLOGY     COMMON STOCK   144285103      1194      41800     SH        SHARED              41,800
CARTER-WALLACE INC  COMMON STOCK   146285101      1819      100000    SH        SHARED              100,000
CASE CORPORATION    COMMON STOCK   14743R103      289  6000 SH        SHARED              6,000
CASH AMERICA INTL   COMMON STOCK   14754D100      720  55900     SH        SHARED              55,900
CATALINA MARKETING  COMMON STOCK   148867104      4692      51000     SH        SHARED              51,000
CATERPILLAR INC          COMMON STOCK   149123101      3816      63600     SH        SHARED              63,600
CENDANT CORPORATION COMMON STOCK   151313103      2792      136219    SH        SHARED              136,219
CENTEX CORPORATON   COMMON STOCK   152312104      180  4800 SH        SHARED              4,800
CENTEX CONSTR PRODU COMMON STOCK   15231R109      1276      37400     SH        SHARED              37,400

<PAGE>
CENTRAL & SOUTH WEST     COMMON STOCK   152357109      395  16900     SH        SHARED              16,900
CENTRAL HUDSON GAS/EL    COMMON STOCK   153609102      1235      29400     SH        SHARED              29,400
CENTURYTEL INC.          COMMON STOCK   156700106      433  10900     SH        SHARED              10,900
CERIDAN CORP.       COMMON STOCK   15677T106      373  11400     SH        SHARED              11,400
CERNER CORPORATION  COMMON STOCK   156782104      1782      85000     SH        SHARED              85,000
CHAMPION INTERNATIONAL   COMMON STOCK   158525105      364  7600 SH        SHARED              7,600
CHART INDUSTRIES, INC.   COMMON STOCK   16115Q100      412  53100     SH        SHARED              53,100
CHASE MANHATTAN CORP     COMMON STOCK   16161A108      13108     151316    SH        SHARED              151,316
CHECKFREE HLDGS CORP.    COMMON STOCK   162816102      882  32000     SH        SHARED              32,000
CHECKPOINT SYS INC. COMMON STOCK   162825103      433  48400     SH        SHARED              48,400
CHESAPEAKE CORP.    COMMON STOCK   165159104      1879      50200     SH        SHARED              50,200
CHEVRON CORPORATION COMMON STOCK   166751107      11156     117200    SH        SHARED              117,200
CHOICEPOINT INC          COMMON STOCK   170388102      2658      39600     SH        SHARED              39,600
CHUBB CORPORATION   COMMON STOCK   171232101      1981      28500     SH        SHARED              28,500
CHURCH AND DWIGHT, INC   COMMON STOCK   171340102      2384      54800     SH        SHARED              54,800
CILCORP, INC.       COMMON STOCK   171794100      1575      25200     SH        SHARED              25,200
CINCINNATI FINANCIAL     COMMON STOCK   172062101      500  13300     SH        SHARED              13,300
CINERGY CORP        COMMON STOCK   172474108      404  12635     SH        SHARED              12,635
CIRCUIT CITY STORES COMMON STOCK   172737108      744  8000 SH        SHARED              8,000
CISCO SYSTEMS       COMMON STOCK   17275R102      34825     541500    SH        SHARED              541,500
CITIGROUP INC.      COMMON STOCK   172967101      28150     592641    SH        SHARED              592,641
CLAIRE'S STORES INC.     COMMON STOCK   179584107      2621      102300    SH        SHARED              102,300
CLARCOR INC         COMMON STOCK   179895107      737  38400     SH        SHARED              38,400
CLEAR CHANNEL COMM  COMMON STOCK   184502102      3244      47050     SH        SHARED              47,050
CLEVELAND CLIFFS, INC.   COMMON STOCK   185896107      460  14200     SH        SHARED              14,200
CLOROX, INC.        COMMON STOCK   189054109      993  9300 SH        SHARED              9,300
COACH USA INC       COMMON STOCK   18975L106      1510      36000     SH        SHARED              36,000
COASTAL CORP        COMMON STOCK   190441105      676  16900     SH        SHARED              16,900
COCA COLA CO.       COMMON STOCK   191216100      25225     403600    SH        SHARED              403,600
COCA COLA ENTERPRISES    COMMON STOCK   191219104      1039      33800     SH        SHARED              33,800
COHERENT, INC.      COMMON STOCK   192479103      1563      83900     SH        SHARED              83,900
COLE (KENNETH) PROD COMMON STOCK   193294105      641  23000     SH        SHARED              23,000
COLGATE PALMOLIVE   COMMON STOCK   194162103      4886      49478     SH        SHARED              49,478
COLLINS & AIKMA          COMMON STOCK   194830105      762  99900     SH        SHARED              99,900
COLUMBIA GAS        COMMON STOCK   197648108      1414      22550     SH        SHARED              22,550
COLUMBIA HCA HLTHCARE    COMMON STOCK   197677107      1174      51449     SH        SHARED              51,449
COMCAST CORP SPECIAL     COMMON STOCK   200300200      4832      125700    SH        SHARED              125,700
COMERICA INC        COMMON STOCK   200340107      1536      25850     SH        SHARED              25,850
COMMERCE BANCORP/NJ COMMON STOCK   200519106      3304      77286     SH        SHARED              77,286
COMMERCIAL INTERTECH     COMMON STOCK   201709102      560  35150     SH        SHARED              35,150
COMMERCIAL METALS CO.    COMMON STOCK   201723103      1004      35233     SH        SHARED              35,233
COMMONWEALTH ENERGY COMMON STOCK   202800108      1260      30000     SH        SHARED              30,000
COMMUNITY BANK SYSTEM    COMMON STOCK   203607106      678  27000     SH        SHARED              27,000
COMMUNITY FIRST          COMMON STOCK   203902101      4059      170000    SH        SHARED              170,000
COMPAQ COMPUTER CORP     COMMON STOCK   204493100      6811      287548    SH        SHARED              287,548
COMPUTER ASSOCIATES COMMON STOCK   204912109      5512      100218    SH        SHARED              100,218
COMPUTER SCIENCE    COMMON STOCK   205363104      1882      27200     SH        SHARED              27,200
COMPUTER TASK GROUP COMMON STOCK   205477102      1131      66500     SH        SHARED              66,500
COMPUWARE CORP.          COMMON STOCK   205638109      932  29300     SH        SHARED              29,300
CONAGRA, INC.       COMMON STOCK   205887102      2824      106050    SH        SHARED              106,050

<PAGE>
CONCENTRIC NETWORK  COMMON STOCK   20589R107      676  17000     SH        SHARED              17,000
COMP HORIZONS       COMMON STOCK   205908106      456  33000     SH        SHARED              33,000
CONMED              COMMON STOCK   207410101      1531      50000     SH        SHARED              50,000
CONNECTICUT ENERGY  COMMON STOCK   207567108      594  15400     SH        SHARED              15,400
CONSECO INC         COMMON STOCK   208464107      2087      68564     SH        SHARED              68,564
CONSOLIDATED EDISON COMMON STOCK   209115104      2674      59100     SH        SHARED              59,100
CONSOLIDATED GRAPHICS    COMMON STOCK   209341106      1325      26500     SH        SHARED              26,500
CONSOLIDATED NAT GAS     COMMON STOCK   209615103      1361      22400     SH        SHARED              22,400
CONSOLIDATED STORES COMMON STOCK   210149100      232  8600 SH        SHARED              8,600
CONSTELLATION ENER GP    COMMON STOCK   210371100      353  11900     SH        SHARED              11,900
COOPER COS., INC.   COMMON STOCK   216648402      1160      46500     SH        SHARED              46,500
COOPER INDUSTRIES INC    COMMON STOCK   216669101      426  8200 SH        SHARED              8,200
COOPER TIRE         COMMON STOCK   216831107      142  6000 SH        SHARED              6,000
COORS ADOLPH CO          COMMON STOCK   217016104      144  2900 SH        SHARED              2,900
CORAM HEALTHCARE CORP.   COMMON STOCK   218103109      242  138200    SH        SHARED              138,200
CORNING INC         COMMON STOCK   219350105      1297      18500     SH        SHARED              18,500
CORT BUSINESS SERV  COMMON STOCK   220493100      1036      43300     SH        SHARED              43,300
COSTCO COMPANIES INC.    COMMON STOCK   22160Q102      1389      17350     SH        SHARED              17,350
COUNTRY WIDE IND    COMMON STOCK   222372104      385  9000 SH        SHARED              9,000
CRANE COMPANY       COMMON STOCK   224399105      171  5425 SH        SHARED              5,425
CREATIVE BIOMOLECULES    COMMON STOCK   225270107      389  107300    SH        SHARED              107,300
CROSS TIMBERS OIL CO.    COMMON STOCK   227573102      1247      83850     SH        SHARED              83,850
CROWN CORK AND SEAL CO   COMMON STOCK   228255105      276  9700 SH        SHARED              9,700
CRYOLIFE       COMMON STOCK   228903100      391  31900     SH        SHARED              31,900
CUMMINS ENGINE INC  COMMON STOCK   231021106      194  3400 SH        SHARED              3,400
CURATIVE TECH       COMMON STOCK   231264102      222  40300     SH        SHARED              40,300
CYPRESS SEMICONDUCTOR    COMMON STOCK   232806109      5417      328300    SH        SHARED              328,300
CYPRUS AMAX MINERALS     COMMON STOCK   232809103      671  44200     SH        SHARED              44,200
DBT ONLINE INC.          COMMON STOCK   233044106      2214      67600     SH        SHARED              67,600
D. R. HORTON INC    COMMON STOCK   23331A109      888  53400     SH        SHARED              53,400
DSP COMMUNICATIONS INC   COMMON STOCK   23332K106      1949      67500     SH        SHARED              67,500
DETROIT EDISON COMPANY   COMMON STOCK   233331107      1412      35300     SH        SHARED              35,300
DVI, INC.      COMMON STOCK   233343102      680  39700     SH        SHARED              39,700
DAIN RAUSCHER CORP. COMMON STOCK   233856103      2165      40000     SH        SHARED              40,000
DAISYTEK INTL CORP  COMMON STOCK   234053106      555  34000     SH        SHARED              34,000
DAL-TILE INTERNATIONAL   COMMON STOCK   23426R108      806  70900     SH        SHARED              70,900
DANA CORP      COMMON STOCK   235811106      1565      33982     SH        SHARED              33,982
DANAHER CORP.       COMMON STOCK   235851102      622  10700     SH        SHARED              10,700
DARDEN RESTAURANT CO     COMMON STOCK   237194105      240  11000     SH        SHARED              11,000
DATA GENERAL        COMMON STOCK   237688106      2247      154300    SH        SHARED              154,300
DAYTON HUDSON       COMMON STOCK   239753106      6247      96100     SH        SHARED              96,100
DEERE & COMPANY          COMMON STOCK   244199105      753  19000     SH        SHARED              19,000
DELL COMPUTER CORP  COMMON STOCK   247025109      15459     417800    SH        SHARED              417,800
DELPHI AUTOMOTIVE SYS    COMMON STOCK   247126105      1617      87124     SH        SHARED              87,124
DELPHI FINANCIAL GROUP   COMMON STOCK   247131105      1830      51000     SH        SHARED              51,000
DELTA AIR LINES INC COMMON STOCK   247361108      1510      26200     SH        SHARED              26,200
DELUXE CORP         COMMON STOCK   248019101      249  6400 SH        SHARED              6,400
DEPARTMENT 56       COMMON STOCK   249509100      1344      50000     SH        SHARED              50,000
DETROIT DIESEL CORP.     COMMON STOCK   250837101      1108      45000     SH        SHARED              45,000

<PAGE>
DIAGNOSTIC PRODUCTS COMMON STOCK   252450101      1216      44000     SH        SHARED              44,000
DILLARDS INC. CLASS A    COMMON STOCK   254067101      299  8500 SH        SHARED              8,500
DIONEX CORP.        COMMON STOCK   254546104      3098      76500     SH        SHARED              76,500
WALT DISNEY         COMMON STOCK   254687106      10549     342355    SH        SHARED              342,355
DOCUMENTUM INC      COMMON STOCK   256159104      270  20700     SH        SHARED              20,700
DOLLAR GENERAL      COMMON STOCK   256669102      513  17687     SH        SHARED              17,687
DOMINION RESCS OF VA     COMMON STOCK   257470104      2202      50850     SH        SHARED              50,850
R.R. DONNELLEY CO.  COMMON STOCK   257867101      393  10600     SH        SHARED              10,600
DOUBLECLICK INC          COMMON STOCK   258609304      2425      26500     SH        SHARED              26,500
DOVER CORP          COMMON STOCK   260003108      681  17800     SH        SHARED              17,800
DOW CHEMICAL COMPANY     COMMON STOCK   260543103      5456      43000     SH        SHARED              43,000
DOW JONES AND COMPANY    COMMON STOCK   260561105      398  7500 SH        SHARED              7,500
DOWNEY FINANCIAL CORP    COMMON STOCK   261018105      2209      100686    SH        SHARED              100,686
DU PONT E I DE NEMOURS   COMMON STOCK   263534109      12610     184600    SH        SHARED              184,600
DUKE ENERGY CORP.   COMMON STOCK   264399106      4040      74306     SH        SHARED              74,306
DUN & BRADSTREET NEW     COMMON STOCK   26483B106      467  13165     SH        SHARED              13,165
DURA PHARMACEUTICALS     COMMON STOCK   26632S109      239  25000     SH        SHARED              25,000
DYCOM               COMMON STOCK   267475101      1310      23400     SH        SHARED              23,400
E G AND G INC       COMMON STOCK   268457108      5297      148700    SH        SHARED              148,700
EMC CORPORATION          COMMON STOCK   268648102      8030      146000    SH        SHARED              146,000
E*TRADE GROUP INC   COMMON STOCK   269246104      4992      125000    SH        SHARED              125,000
EAGLE GEOPHYSICAL INC.   COMMON STOCK   269524104      0    2    SH        SHARED              2
EARTHGRAINS CO.          COMMON STOCK   270319106      1549      60000     SH        SHARED              60,000
EARTHLINK NETWORK, INC   COMMON STOCK   270322100      829  13500     SH        SHARED              13,500
EASTERN ENTERPRISES COMMON STOCK   27637F100      1173      29500     SH        SHARED              29,500
EASTERN UTIL ASSOC  COMMON STOCK   277173100      763  26200     SH        SHARED              26,200
EASTMAN CHEMICAL CO.     COMMON STOCK   277432100      326  6300 SH        SHARED              6,300
EASTMAN KODAK COMPANY    COMMON STOCK   277461109      3709      54750     SH        SHARED              54,750
EATON CORP          COMMON STOCK   278058102      524  5700 SH        SHARED              5,700
EATON VANCE         COMMON STOCK   278265103      3444      100000    SH        SHARED              100,000
ECHOSTAR COMMUN          COMMON STOCK   278762109      1534      10000     SH        SHARED              10,000
ECOLAB INC          COMMON STOCK   278865100      449  10300     SH        SHARED              10,300
EDISON INTL.        COMMON STOCK   281020107      752  28100     SH        SHARED              28,100
ELCOR CORP.         COMMON STOCK   284443108      1619      37050     SH        SHARED              37,050
ELECTRO SCIENTIFIC IND   COMMON STOCK   285229100      1542      36900     SH        SHARED              36,900
ELECTRONIC DATA SYS COMMON STOCK   285661104      2223      39300     SH        SHARED              39,300
EMERSON ELEC CO COM COMMON STOCK   291011104      5181      82400     SH        SHARED              82,400
ENERGEN CORP.       COMMON STOCK   29265N108      954  51200     SH        SHARED              51,200
ENGELHARD CORP      COMMON STOCK   292845104      259  11437     SH        SHARED              11,437
ENESCO GROUP INC.   COMMON STOCK   292973104      1191      51500     SH        SHARED              51,500
ENHANCE FINANCIAL SERV   COMMON STOCK   293310108      2489      126000    SH        SHARED              126,000
ENRON CORP          COMMON STOCK   293561106      4713      57650     SH        SHARED              57,650
ENTERGY CORP        COMMON STOCK   29364G103      2003      64100     SH        SHARED              64,100
EPICOR SOFTWARE CORP.    COMMON STOCK   29426L108      615  82700     SH        SHARED              82,700
EQUIFAX INC         COMMON STOCK   294429105      418  11700     SH        SHARED              11,700
ESTERLINE TECHNOLOGIES   COMMON STOCK   297425100      805  56000     SH        SHARED              56,000
EVEREN CAPITAL CORP COMMON STOCK   299761106      2236      75000     SH        SHARED              75,000
EXCALIBUT TECH      COMMON STOCK   300651205      855  60000     SH        SHARED              60,000
EXODUS COMMUNICATIONS    COMMON STOCK   302088109      2519      21000     SH        SHARED              21,000

<PAGE>
EXPRESS SCRIPTS INC A    COMMON STOCK   302182100      722  12000     SH        SHARED              12,000
EXXON CORP.         COMMON STOCK   302290101      31290     405700    SH        SHARED              405,700
F & M NATIONAL CORP.     COMMON STOCK   302374103      2416      72800     SH        SHARED              72,800
FBL FINL GRP-A      COMMON STOCK   30239F106      2336      119800    SH        SHARED              119,800
FMC CORP       COMMON STOCK   302491303      178  2600 SH        SHARED              2,600
FPIC INSURANCE GROUP     COMMON STOCK   302563101      1567      32300     SH        SHARED              32,300
FPL GROUP INC       COMMON STOCK   302571104      2406      44050     SH        SHARED              44,050
FACTSET RESEARCH SYS     COMMON STOCK   303075105      3406      60150     SH        SHARED              60,150
FAIR ISSAC & CO. INC.    COMMON STOCK   303250104      1343      38300     SH        SHARED              38,300
FAIRCHILD CORP.CL A COMMON STOCK   303698104      697  54630     SH        SHARED              54,630
FDX CORP.      COMMON STOCK   31304N107      2811      51820     SH        SHARED              51,820
FEDERAL HOME LOAN   COMMON STOCK   313400301      6711      115700    SH        SHARED              115,700
FED NATL MTG ASSN   COMMON STOCK   313586109      13036     190650    SH        SHARED              190,650
FEDERAL SIGNAL CORP COMMON STOCK   313855108      1386      65400     SH        SHARED              65,400
FEDERATED DEPT STORES    COMMON STOCK   31410H101      1916      36200     SH        SHARED              36,200
FIDELITY NATIONAL FINL   COMMON STOCK   316326107      1266      60278     SH        SHARED              60,278
FIFTH THIRD BANCORP COMMON STOCK   316773100      3015      45300     SH        SHARED              45,300
FIRST AMERICAN FINL COMMON STOCK   318522307      1073      60000     SH        SHARED              60,000
FIRSTBANK PUERTO RICO    COMMON STOCK   318672102      2511      111300    SH        SHARED              111,300
FIRST COMMONWEALTH FIN   COMMON STOCK   319829107      1891      79200     SH        SHARED              79,200
FIRST DATA          COMMON STOCK   319963104      3700      75600     SH        SHARED              75,600
FIRST MIDWEST BANCORP    COMMON STOCK   320867104      2858      71900     SH        SHARED              71,900
FIRST REPUBLIC BANK COMMON STOCK   336158100      964  33326     SH        SHARED              33,326
FIRST UNION         COMMON STOCK   337358105      8083      171970    SH        SHARED              171,970
FIRSTAR CORP        COMMON STOCK   33763V109      1540      55000     SH        SHARED              55,000
FIRSTFED FINL CORP  COMMON STOCK   337907109      1348      70000     SH        SHARED              70,000
FIRST ENERGY CORP   COMMON STOCK   337932107      1260      40650     SH        SHARED              40,650
FLEET FINANCIAL GR INC   COMMON STOCK   338915101      4216      95014     SH        SHARED              95,014
FLEETWOOD ENTERPRISES    COMMON STOCK   339099103      74   2800 SH        SHARED              2,800
FLOR EAST COAST INDS     COMMON STOCK   340632108      1637      37000     SH        SHARED              37,000
FLORIDA PROGRESS CORP    COMMON STOCK   341109106      322  7800 SH        SHARED              7,800
FLUOR               COMMON STOCK   343861100      243  6000 SH        SHARED              6,000
FOODMAKER, INC.          COMMON STOCK   344839204      2838      100000    SH        SHARED              100,000
FOOTSTAR INC.       COMMON STOCK   344912100      2585      69500     SH        SHARED              69,500
FORD MOTOR CO DEL   COMMON STOCK   345370100      11953     211800    SH        SHARED              211,800
FOREMOST CP AM      COMMON STOCK   345469100      1430      65000     SH        SHARED              65,000
FOREST OIL CORP.    COMMON STOCK   346091606      813  64700     SH        SHARED              64,700
FORT JAMES CORP.    COMMON STOCK   347471104      1733      45750     SH        SHARED              45,750
FORTUNE BRANDS INC. COMMON STOCK   349631101      563  13600     SH        SHARED              13,600
FOSTER WHEELER CORP COMMON STOCK   350244109      47   3300 SH        SHARED              3,300
FRANKLIN COVEY CO.  COMMON STOCK   353469109      511  69300     SH        SHARED              69,300
FRANKLIN RES INC    COMMON STOCK   354613101      817  20100     SH        SHARED              20,100
FREEPORT-MCMORAN-COP     COMMON STOCK   35671D857      761  42450     SH        SHARED              42,450
FRONTIER CORP       COMMON STOCK   35906P105      808  13700     SH        SHARED              13,700
FRONTIER INSURANCE GR    COMMON STOCK   359081106      1538      100000    SH        SHARED              100,000
FURON CO.      COMMON STOCK   361106107      652  34300     SH        SHARED              34,300
GENERAL PUBLIC UTIL COMMON STOCK   36225X100      430  10200     SH        SHARED              10,200
GTE CORP.      COMMON STOCK   362320103      11872     156850    SH        SHARED              156,850
ARTHUR J GALLAGHER  COMMON STOCK   363576109      2925      59100     SH        SHARED              59,100

<PAGE>
GANNETT INC         COMMON STOCK   364730101      4183      58600     SH        SHARED              58,600
GAP INC             COMMON STOCK   364760108      7392      146738    SH        SHARED              146,738
GATEWAY INC.        COMMON STOCK   367626108      738  12500     SH        SHARED              12,500
GENCORP, INC        COMMON STOCK   368682100      1535      60800     SH        SHARED              60,800
GENERAL CABLE CORP  COMMON STOCK   369300108      1245      77800     SH        SHARED              77,800
GENERAL DYNAMICS CORP    COMMON STOCK   369550108      692  10100     SH        SHARED              10,100
GENERAL ELECTRIC CO COMMON STOCK   369604103      63291     560100    SH        SHARED              560,100
GENERAL INSTRUMENT  COMMON STOCK   370120107      570  13400     SH        SHARED              13,400
GENERAL MILLS, INC. COMMON STOCK   370334104      2781      34600     SH        SHARED              34,600
GENERAL MOTORS CORP COMMON STOCK   370442105      7755      117500    SH        SHARED              117,500
GENERAL SEMI CONDUCTOR   COMMON STOCK   370787103      1247      136700    SH        SHARED              136,700
GENESCO, INC.       COMMON STOCK   371532102      808  55500     SH        SHARED              55,500
GENESIS HEALTH      COMMON STOCK   371912106      338  112800    SH        SHARED              112,800
GENRAD, INC.        COMMON STOCK   372447102      2063      99100     SH        SHARED              99,100
GENUINE PARTS CO    COMMON STOCK   372460105      1436      41025     SH        SHARED              41,025
GEON COMPANY        COMMON STOCK   37246W105      1616      50100     SH        SHARED              50,100
GEORGIA PAC CORP    COMMON STOCK   373298108      663  14000     SH        SHARED              14,000
GERBER SCIENTIFIC   COMMON STOCK   373730100      1913      86700     SH        SHARED              86,700
GILLETTE CO.        COMMON STOCK   375766102      7945      193776    SH        SHARED              193,776
GLOBAL INDUSTRIAL TECH   COMMON STOCK   379335102      638  52900     SH        SHARED              52,900
GOLDEN WEST FIN CORP     COMMON STOCK   381317106      441  4500 SH        SHARED              4,500
GOODRICH B F CO          COMMON STOCK   382388106      893  21000     SH        SHARED              21,000
GOODYEAR TIRE       COMMON STOCK   382550101      1706      29000     SH        SHARED              29,000
W.R. GRACE & CO. NEW     COMMON STOCK   38388F108      114  6200 SH        SHARED              6,200
GRACO, INC.         COMMON STOCK   384109104      1366      46500     SH        SHARED              46,500
GRAINGER W.W. INC.  COMMON STOCK   384802104      409  7600 SH        SHARED              7,600
GRANITE             COMMON STOCK   387328107      1252      42700     SH        SHARED              42,700
GREAT ATLNTIC/PACIFIC    COMMON STOCK   390064103      105  3100 SH        SHARED              3,100
GREAT LAKES CHEMICAL     COMMON STOCK   390568103      1340      29100     SH        SHARED              29,100
GRIFFON CORP.       COMMON STOCK   398433102      326  41700     SH        SHARED              41,700
GUIDANT CORP        COMMON STOCK   401698105      3338      64900     SH        SHARED              64,900
GUILFORD MILLS INC  COMMON STOCK   401794102      496  47550     SH        SHARED              47,550
GUILFORD PHARMAC    COMMON STOCK   401829106      799  62700     SH        SHARED              62,700
HCC INSURANCE HOLDINGS   COMMON STOCK   404132102      3033      133700    SH        SHARED              133,700
HCR MANOR CARE INC. COMMON STOCK   404134108      213  8800 SH        SHARED              8,800
HS RESOURCES, INC.  COMMON STOCK   404297103      423  28700     SH        SHARED              28,700
HA-LO INDUSTRIES    COMMON STOCK   404429102      809  81900     SH        SHARED              81,900
HADCO CORP          COMMON STOCK   404681108      1546      38900     SH        SHARED              38,900
HAEMONETICS CP      COMMON STOCK   405024100      1741      86800     SH        SHARED              86,800
HALLIBURTON CO      COMMON STOCK   406216101      3873      85600     SH        SHARED              85,600
HAMBRECHT & QUIST   COMMON STOCK   406545103      3256      87700     SH        SHARED              87,700
HANDLEMAN CO DEL    COMMON STOCK   410252100      873  73900     SH        SHARED              73,900
HANOVER COMPRESSOR CO    COMMON STOCK   410768105      1854      57700     SH        SHARED              57,700
HARCOURT GEN INC    COMMON STOCK   41163G101      290  5616 SH        SHARED              5,616
JOHN HARLAND CO          COMMON STOCK   412693103      1254      62900     SH        SHARED              62,900
HARMAN INTL         COMMON STOCK   413086109      2212      50280     SH        SHARED              50,280
HARRAH'S ENTERTAIN INC   COMMON STOCK   413619107      222  10100     SH        SHARED              10,100
HARRIS CORP         COMMON STOCK   413875105      839  21400     SH        SHARED              21,400
HARTFORD FINANCIAL SVC   COMMON STOCK   416515104      1085      18600     SH        SHARED              18,600

<PAGE>
HASBRO INC          COMMON STOCK   418056107      1362      48750     SH        SHARED              48,750
HEALTHSOUTH CORP    COMMON STOCK   421924101      1555      104100    SH        SHARED              104,100
HEALTHPLAN SERVICES COMMON STOCK   421959107      308  45200     SH        SHARED              45,200
HEALTHCARE FINL PTNS     COMMON STOCK   42219W108      1185      34600     SH        SHARED              34,600
HEILIG MEYERS       COMMON STOCK   422893107      878  128900    SH        SHARED              128,900
H.J. HEINZ          COMMON STOCK   423074103      3674      73291     SH        SHARED              73,291
HELMERICH & PAYNE INC.   COMMON STOCK   423452101      98   4100 SH        SHARED              4,100
HERCULES INC.       COMMON STOCK   427056106      1162      29550     SH        SHARED              29,550
HERSHEY FOODS CORP  COMMON STOCK   427866108      677  11400     SH        SHARED              11,400
HEWLETT PACKARD          COMMON STOCK   428236103      18381     182900    SH        SHARED              182,900
HEXCEL CORP.        COMMON STOCK   428291108      486  48000     SH        SHARED              48,000
HILB, ROGAL & HAMILTON   COMMON STOCK   431294107      1053      47200     SH        SHARED              47,200
HILTON HOTELS       COMMON STOCK   432848109      295  20800     SH        SHARED              20,800
HOLLYWOOD PARK INC  COMMON STOCK   436255103      763  44900     SH        SHARED              44,900
HOME DEPOT          COMMON STOCK   437076102      15997     248262    SH        SHARED              248,262
HOMEBASE INC.       COMMON STOCK   43738E108      545  86400     SH        SHARED              86,400
HOMESTAKE MINING CO COMMON STOCK   437614100      416  50850     SH        SHARED              50,850
HONEYWELL INC       COMMON STOCK   438506107      3494      30150     SH        SHARED              30,150
JOST MARRIOTT SVCS  COMMON STOCK   440914109      644  79300     SH        SHARED              79,300
HOUSEHOLD INT'L          COMMON STOCK   441815107      3946      83293     SH        SHARED              83,293
HOUSTON EXPLORATION CO   COMMON STOCK   442120101      473  25000     SH        SHARED              25,000
HUDSON UNITED BANCORP    COMMON STOCK   444165104      2437      100000    SH        SHARED              100,000
HUGHES SUPPLY, INC. COMMON STOCK   444482103      1778      59900     SH        SHARED              59,900
HUMANA INCORPORATED COMMON STOCK   444859102      443  34250     SH        SHARED              34,250
HUNTINGTON BANCSHARES    COMMON STOCK   446150104      587  16770     SH        SHARED              16,770
HUTCHINSON TECH          COMMON STOCK   448407106      2017      72700     SH        SHARED              72,700
HYPERION SOLUTIONS  COMMON STOCK   44914M104      1158      65000     SH        SHARED              65,000
ICG COMMUNICATIONS  COMMON STOCK   449246107      2138      100000    SH        SHARED              100,000
IDEC PHAR. CORP.    COMMON STOCK   449370105      1927      25000     SH        SHARED              25,000
IMCO RECYCLING INC  COMMON STOCK   449681105      605  34700     SH        SHARED              34,700
IMS HEALTH INC.          COMMON STOCK   449934108      795  25430     SH        SHARED              25,430
ISS GROUP INC       COMMON STOCK   450306105      1133      30000     SH        SHARED              30,000
ITC/\DELTACOM, INC. COMMON STOCK   45031T104      2100      75000     SH        SHARED              75,000
ITT INDUSTRIES INC  COMMON STOCK   450911102      316  8300 SH        SHARED              8,300
IDEX CORP.          COMMON STOCK   45167R104      2052      62425     SH        SHARED              62,425
IDEXX LABORATORIES  COMMON STOCK   45168D104      2858      122600    SH        SHARED              122,600
IKON OFFICE SOLUTIONS    COMMON STOCK   451713101      176  11744     SH        SHARED              11,744
ILLINOIS TOOL WORKS COMMON STOCK   452308109      3411      41600     SH        SHARED              41,600
IMATION CORP        COMMON STOCK   45245A107      1362      54900     SH        SHARED              54,900
IMPERIAL BANCORP    COMMON STOCK   452556103      2837      143200    SH        SHARED              143,200
INACOM CORPORATION  COMMON STOCK   45323G109      1637      129688    SH        SHARED              129,688
INCO LIMITED        COMMON STOCK   453258402      243  13500     SH        SHARED              13,500
INDEPENDENT BANK CORP    COMMON STOCK   453836108      822  52200     SH        SHARED              52,200
INDIANA ENERGY INC  COMMON STOCK   454707100      1139      53466     SH        SHARED              53,466
INFOSEEK CORP.      COMMON STOCK   45678M107      1198      25000     SH        SHARED              25,000
INGERSOLL RAND CO   COMMON STOCK   456866102      2065      31950     SH        SHARED              31,950
INNOVEX INC         COMMON STOCK   457647105      749  53500     SH        SHARED              53,500
INSIGHT ENTERPRISES COMMON STOCK   45765U103      1238      50000     SH        SHARED              50,000
INTEG HEALTH SERVICES    COMMON STOCK   45812C106      641  80100     SH        SHARED              80,100

<PAGE>
INTEL CORPORATION   COMMON STOCK   458140100      32737     550200    SH        SHARED              550,200
INTERIM SVCS        COMMON STOCK   45868P100      2723      132000    SH        SHARED              132,000
I B M               COMMON STOCK   459200101      42265     327000    SH        SHARED              327,000
INTL FLAVORS & FRAGR     COMMON STOCK   459506101      377  8500 SH        SHARED              8,500
INTL MULTI-FOODS    COMMON STOCK   460043102      1142      50600     SH        SHARED              50,600
INTERNATIONAL PAPER COMMON STOCK   460146103      4364      86417     SH        SHARED              86,417
INTL RECTIFIER CORP.     COMMON STOCK   460254105      2523      189500    SH        SHARED              189,500
INTERPUBLIC GROUP COS    COMMON STOCK   460690100      2252      26000     SH        SHARED              26,000
INTERVOICE          COMMON STOCK   461142101      1735      120200    SH        SHARED              120,200
INVESTMENT TECH GP  COMMON STOCK   46145F105      2325      71800     SH        SHARED              71,800
IONICS INC          COMMON STOCK   462218108      756  20700     SH        SHARED              20,700
IRWIN FINANCIAL CORP     COMMON STOCK   464119106      878  45000     SH        SHARED              45,000
JLG INDUSTRIES INC  COMMON STOCK   466210101      1885      92500     SH        SHARED              92,500
JACOBS ENGINEERING GR    COMMON STOCK   469814107      1524      40100     SH        SHARED              40,100
JEFFERIES GRP INC   COMMON STOCK   472319102      1800      60000     SH        SHARED              60,000
JEFFERSON PILOT CORP     COMMON STOCK   475070108      558  8425 SH        SHARED              8,425
JOHNSON & JOHNSON   COMMON STOCK   478160104      21983     224320    SH        SHARED              224,320
JOHNSON CONTROLS INC     COMMON STOCK   478366107      1767      25500     SH        SHARED              25,500
JONES INTERCABLE, INC.   COMMON STOCK   480206200      784  16000     SH        SHARED              16,000
JONES PHARMA INC    COMMON STOCK   480236108      1181      30000     SH        SHARED              30,000
JOSTENS INC.        COMMON STOCK   481088102      2285      108495    SH        SHARED              108,495
JOURNAL REGISTER CO COMMON STOCK   481138105      810  36000     SH        SHARED              36,000
KCS ENERGY, INC.    COMMON STOCK   482434206      36   56900     SH        SHARED              56,900
KLA-TENCOR CORPORATION   COMMON STOCK   482480100      454  7000 SH        SHARED              7,000
K MART CORPORATION  COMMON STOCK   482584109      1348      82000     SH        SHARED              82,000
KAISER ALUMINUM CORP     COMMON STOCK   483007100      888  100000    SH        SHARED              100,000
KANSAS CITY SOTHERN COMMON STOCK   485170104      555  8700 SH        SHARED              8,700
KAUFMAN BROAD HOME  COMMON STOCK   486168107      1668      67040     SH        SHARED              67,040
KELLOGG CO          COMMON STOCK   487836108      2284      69200     SH        SHARED              69,200
KELLWOOD CO.        COMMON STOCK   488044108      1085      40000     SH        SHARED              40,000
KENT ELECTRONICS CORP    COMMON STOCK   490553104      2041      103000    SH        SHARED              103,000
KERR MCGEE CORP          COMMON STOCK   492386107      340  6773 SH        SHARED              6,773
KEYCORP             COMMON STOCK   493267108      2371      73800     SH        SHARED              73,800
KIMBERLY CLARK      COMMON STOCK   494368103      5412      94940     SH        SHARED              94,940
KING WORLD PRODTNS INC   COMMON STOCK   495667107      195  5600 SH        SHARED              5,600
KNIGHT-RIDDER INC   COMMON STOCK   499040103      1107      20150     SH        SHARED              20,150
KOHLS CORP.         COMMON STOCK   500255104      973  12600     SH        SHARED              12,600
KOPIN CORPORATION   COMMON STOCK   500600101      969  40500     SH        SHARED              40,500
KROGER CO      COMMON STOCK   501044101      1827      65400     SH        SHARED              65,400
KULICKE & SOFFA INDS     COMMON STOCK   501242101      2145      80000     SH        SHARED              80,000
LSI LOGIC      COMMON STOCK   502161102      521  11300     SH        SHARED              11,300
LA-Z-BOY INC        COMMON STOCK   505336107      3434      149300    SH        SHARED              149,300
LACLEDE GAS CO.          COMMON STOCK   505588103      707  30400     SH        SHARED              30,400
LAIDLAW INC.        COMMON STOCK   50730K503      194  26300     SH        SHARED              26,300
LAM RESEARCH CORP   COMMON STOCK   512807108      2334      50000     SH        SHARED              50,000
LEHMAN BROTHERS HLDG     COMMON STOCK   524908100      566  9100 SH        SHARED              9,100
LIBBEY, INC.        COMMON STOCK   529898108      1050      36200     SH        SHARED              36,200
LIFE USA HOLDING    COMMON STOCK   531918209      1509      74500     SH        SHARED              74,500
LIGAND PHARMACEUTICALS   COMMON STOCK   53220K207      1181      106200    SH        SHARED              106,200

<PAGE>
ELI LILLY AND COMPANY    COMMON STOCK   532457108      13243     184900    SH        SHARED              184,900
LIMITED INCORPORATED     COMMON STOCK   532716107      2631      57978     SH        SHARED              57,978
LINCOLN NATL CORP   COMMON STOCK   534187109      847  16200     SH        SHARED              16,200
LINENS 'N THINGS INC     COMMON STOCK   535679104      1934      44200     SH        SHARED              44,200
LITTELFUSE INC      COMMON STOCK   537008104      1203      62500     SH        SHARED              62,500
LIZ CLAIBORNE       COMMON STOCK   539320101      186  5100 SH        SHARED              5,100
LOCKHEED MARTIN CORP     COMMON STOCK   539830109      2372      63688     SH        SHARED              63,688
LOEWS CORPORATION   COMMON STOCK   540424108      720  9100 SH        SHARED              9,100
LONE STAR INDUSTRIES     COMMON STOCK   542290408      1330      35400     SH        SHARED              35,400
LONE STAR TECHNOLOGIES   COMMON STOCK   542312103      698  39300     SH        SHARED              39,300
LONGS DRUG STORES INC    COMMON STOCK   543162101      111  3200 SH        SHARED              3,200
LONGVIEW FIBRE CO   COMMON STOCK   543213102      1730      110700    SH        SHARED              110,700
LOUIS DREYFUS NAT GAS    COMMON STOCK   546011107      1169      54200     SH        SHARED              54,200
LOUISIANA PACIFIC CORP   COMMON STOCK   546347105      211  8900 SH        SHARED              8,900
LOWE'S COMPANIES    COMMON STOCK   548661107      3537      62400     SH        SHARED              62,400
LUBY'S CAFE INCORP  COMMON STOCK   549282101      1046      69700     SH        SHARED              69,700
LUCENT TECH. CORP.  COMMON STOCK   549463107      34483     511337    SH        SHARED              511,337
MAF BANKCORP INC    COMMON STOCK   55261R108      2975      122700    SH        SHARED              122,700
MBIA INC.      COMMON STOCK   55262C100      1308      20200     SH        SHARED              20,200
MBNA CORP      COMMON STOCK   55262L100      1958      63930     SH        SHARED              63,930
MCI WORLDCOM INC.   COMMON STOCK   55268B106      26151     303199    SH        SHARED              303,199
MEMC ELECTRONIC MAT COMMON STOCK   552715104      1219      100000    SH        SHARED              100,000
MGIC INVT CORP      COMMON STOCK   552848103      408  8700 SH        SHARED              8,700
MMI COS., INC.      COMMON STOCK   553087107      704  41700     SH        SHARED              41,700
MSC. SOFTWARE CORP. COMMON STOCK   553531104      292  50300     SH        SHARED              50,300
MAGELLAN HEALTH SERV     COMMON STOCK   559079108      928  92800     SH        SHARED              92,800
MAGNETEK, INC.      COMMON STOCK   559424106      924  87500     SH        SHARED              87,500
MAIL-WELL INC       COMMON STOCK   560321200      1191      73600     SH        SHARED              73,600
MALLINCKRODT INC.   COMMON STOCK   561232109      207  5700 SH        SHARED              5,700
MANITOWOC CO., INC. COMMON STOCK   563571108      1458      35025     SH        SHARED              35,025
MARINER POST-ACUTE  COMMON STOCK   568459101      129  228792    SH        SHARED              228,792
MARSH & MCLENNAN CO COMMON STOCK   571748102      4088      54150     SH        SHARED              54,150
MARRIOTT INTL, CL-A COMMON STOCK   571903202      2272      60800     SH        SHARED              60,800
MARSHALL INDUSTRIES COMMON STOCK   572393106      2221      61800     SH        SHARED              61,800
MASCO CORP          COMMON STOCK   574599106      2492      86300     SH        SHARED              86,300
MASCOTECH, INC.          COMMON STOCK   574670105      777  45900     SH        SHARED              45,900
MASTEC  INC.        COMMON STOCK   576323109      1206      42700     SH        SHARED              42,700
MATTEL              COMMON STOCK   577081102      1529      57847     SH        SHARED              57,847
MAY DEPARTMENT STORES    COMMON STOCK   577778103      2526      61800     SH        SHARED              61,800
MAXXIM MEDICAL, INC.     COMMON STOCK   57777G105      641  27500     SH        SHARED              27,500
MAXIMUS INC         COMMON STOCK   577933104      852  29500     SH        SHARED              29,500
MAYTAG              COMMON STOCK   578592107      2216      31800     SH        SHARED              31,800
MCDERMOTT INTL INC  COMMON STOCK   580037109      136  4800 SH        SHARED              4,800
MC DONALDS          COMMON STOCK   580135101      9857      238600    SH        SHARED              238,600
MCGRAW HILL         COMMON STOCK   580645109      2681      49700     SH        SHARED              49,700
MCKESSON HBCO INC.  COMMON STOCK   58155Q103      1443      44927     SH        SHARED              44,927
MEAD CORP      COMMON STOCK   582834107      1578      37800     SH        SHARED              37,800
MEDIA ONE GROUP          COMMON STOCK   58440J104      7839      105400    SH        SHARED              105,400
MEDICIS PHARMAC          COMMON STOCK   584690309      1724      67950     SH        SHARED              67,950

<PAGE>
MEDTRONIC INCORPORATED   COMMON STOCK   585055106      3621      46500     SH        SHARED              46,500
MELLON BANK CORP    COMMON STOCK   585509102      3652      100400    SH        SHARED              100,400
MERCANTILE BANCORP  COMMON STOCK   587342106      714  12500     SH        SHARED              12,500
MERCK & COMPANY, INC     COMMON STOCK   589331107      30059     406200    SH        SHARED              406,200
MERCURY INTERACTIVE COMMON STOCK   589405109      1769      50000     SH        SHARED              50,000
MEREDITH CORP       COMMON STOCK   589433101      149  4300 SH        SHARED              4,300
MERRILL LYNCH       COMMON STOCK   590188108      5915      74000     SH        SHARED              74,000
METAMOR WORLDWIDE INC.   COMMON STOCK   59133P100      686  28500     SH        SHARED              28,500
MICROS SYSTEMS      COMMON STOCK   594901100      2003      58900     SH        SHARED              58,900
MICROSOFT      COMMON STOCK   594918104      76849     852100    SH        SHARED              852,100
MICRON TECHNOLOGY INC    COMMON STOCK   595112103      1540      38200     SH        SHARED              38,200
MID-ATLANTIC MEDICAL     COMMON STOCK   59523C107      1479      149800    SH        SHARED              149,800
MIDWAY GAMES, INC   COMMON STOCK   598148104      1197      92500     SH        SHARED              92,500
MILACRON INC.       COMMON STOCK   598709103      905  48900     SH        SHARED              48,900
MILLENNIUM PHARMAC  COMMON STOCK   599902103      3362      93400     SH        SHARED              93,400
MILLIPORE CORP      COMMON STOCK   601073109      146  3600 SH        SHARED              3,600
MINN. MINING & MFG  COMMON STOCK   604059105      5807      66800     SH        SHARED              66,800
MIRAGE RESORTS      COMMON STOCK   60462E104      238  14200     SH        SHARED              14,200
MOBIL CORPORATION   COMMON STOCK   607059102      13375     135100    SH        SHARED              135,100
MONSANTO       COMMON STOCK   611662107      1968      49900     SH        SHARED              49,900
J.P. MORGAN & CO., INC   COMMON STOCK   616880100      4187      29800     SH        SHARED              29,800
MORGAN KEEGAN, INC. COMMON STOCK   617410105      2144      113225    SH        SHARED              113,225
M.STANLEY DEAN WITTER    COMMON STOCK   617446448      12015     117216    SH        SHARED              117,216
MORRISON KNUDSEN    COMMON STOCK   61844A109      868  84200     SH        SHARED              84,200
MOTOROLA,INC.       COMMON STOCK   620076109      10242     108100    SH        SHARED              108,100
MUELLER INDUSTRIES INC   COMMON STOCK   624756102      2637      77700     SH        SHARED              77,700
MYLEX CORP          COMMON STOCK   628546103      457  78600     SH        SHARED              78,600
NL INDUSTRIES       COMMON STOCK   629156407      945  84900     SH        SHARED              84,900
NABISCO GROUP HOLDINGS   COMMON STOCK   62952P102      507  25900     SH        SHARED              25,900
NACCO INDUSTRIES INC     COMMON STOCK   629579103      1147      15600     SH        SHARED              15,600
NALCO CHEMICAL CO   COMMON STOCK   629853102      1624      31300     SH        SHARED              31,300
NATIONAL CITY CORP  COMMON STOCK   635405103      3596      54900     SH        SHARED              54,900
NATL DISCOUNT BROKERS    COMMON STOCK   635646102      2030      35000     SH        SHARED              35,000
NATL SEMICONDUCTOR  COMMON STOCK   637640103      337  13300     SH        SHARED              13,300
NATIONAL SVC INDS   COMMON STOCK   637657107      115  3200 SH        SHARED              3,200
NATIONAL STEEL CORP-B    COMMON STOCK   637844309      525  62700     SH        SHARED              62,700
NAVISTAR INTERNATIONAL   COMMON STOCK   63934E108      266  5320 SH        SHARED              5,320
NETWORK EQUIP TECH  COMMON STOCK   641208103      776  78600     SH        SHARED              78,600
NETWORK APPLIANCE INC.   COMMON STOCK   64120L104      0    1000 SH        SHARED              1,000
NEW CENTURY ENERGIES     COMMON STOCK   64352U103      349  9000 SH        SHARED              9,000
NEW ENGLAND BUS SERV     COMMON STOCK   643872104      1044      33800     SH        SHARED              33,800
NEW JERSEY RESOURCES     COMMON STOCK   646025106      1284      34300     SH        SHARED              34,300
NEW YORK TIMES CO   COMMON STOCK   650111107      1259      34200     SH        SHARED              34,200
NEWELL RUBBERMAID INC.   COMMON STOCK   651229106      2924      62880     SH        SHARED              62,880
NEWFIELD EXPLORATION     COMMON STOCK   651290108      2164      76100     SH        SHARED              76,100
NEWMONT MINING CORP COMMON STOCK   651639106      265  13315     SH        SHARED              13,315
NEWPORT NEWS SHIPBLDG    COMMON STOCK   652228107      1617      54800     SH        SHARED              54,800
NEXTEL COMMUNICATIONS    COMMON STOCK   65332V103      1149      22900     SH        SHARED              22,900
NIAGRA MOHAWK HOLDINGS   COMMON STOCK   653520106      244  15200     SH        SHARED              15,200

<PAGE>
NICOR, INC.         COMMON STOCK   654086107      148  3900 SH        SHARED              3,900
NIKE, INC., CLASS B COMMON STOCK   654106103      1425      22500     SH        SHARED              22,500
99 CENTS ONLY STORES     COMMON STOCK   65440K106      1348      27000     SH        SHARED              27,000
NORDSTROM INC       COMMON STOCK   655664100      375  11200     SH        SHARED              11,200
NORFOLK SOUTHERN CORP    COMMON STOCK   655844108      1895      62900     SH        SHARED              62,900
NORRELL CORP        COMMON STOCK   656301108      931  49500     SH        SHARED              49,500
NORTEK, INC.        COMMON STOCK   656559101      870  27800     SH        SHARED              27,800
NORTEL NETWORKS CORP.    COMMON STOCK   656569100      8933      102900    SH        SHARED              102,900
NORTHERN BORDER PRTNRS   COMMON STOCK   664785102      1243      40000     SH        SHARED              40,000
NORTHERN STATES POWER    COMMON STOCK   665772109      1214      50200     SH        SHARED              50,200
NORTHERN TRUST CORP COMMON STOCK   665859104      2813      29000     SH        SHARED              29,000
NORTHROP GRUMMAN CORP    COMMON STOCK   666807102      365  5500 SH        SHARED              5,500
NORTHWESTERN CORP.  COMMON STOCK   668074107      793  32800     SH        SHARED              32,800
NOVA CORP/GEORGIA   COMMON STOCK   669784100      1605      64200     SH        SHARED              64,200
NOVA CARE      COMMON STOCK   669930109      294  196100    SH        SHARED              196,100
NOVELL INC.         COMMON STOCK   670006105      713  26900     SH        SHARED              26,900
NUCOR CORP          COMMON STOCK   670346105      1115      23500     SH        SHARED              23,500
OEA, INC.      COMMON STOCK   670826106      488  55000     SH        SHARED              55,000
OEC MEDICAL SYSTEMS COMMON STOCK   670828102      1054      43000     SH        SHARED              43,000
OM GROUP INC        COMMON STOCK   670872100      1632      47300     SH        SHARED              47,300
OAK INDUSTRIES, INC.     COMMON STOCK   671400505      2490      57000     SH        SHARED              57,000
OAKLEY INC          COMMON STOCK   673662102      570  80000     SH        SHARED              80,000
OCCIDENTAL PETROLEUM     COMMON STOCK   674599105      583  27600     SH        SHARED              27,600
OCEANEERING INTL    COMMON STOCK   675232102      800  49600     SH        SHARED              49,600
OCULAR SCIENCES INC COMMON STOCK   675744106      1143      65800     SH        SHARED              65,800
OFFICE DEPOT        COMMON STOCK   676220106      441  20000     SH        SHARED              20,000
OMNICOM GROUP       COMMON STOCK   681919106      1072      13400     SH        SHARED              13,400
ONEIDA, LTD.        COMMON STOCK   682505102      1223      43500     SH        SHARED              43,500
ONEOK INC.          COMMON STOCK   682680103      83   2600 SH        SHARED              2,600
ORACLE CORPORATION  COMMON STOCK   68389X105      8769      236212    SH        SHARED              236,212
ORANGE & ROCKLAND UTIL   COMMON STOCK   684065105      1514      25900     SH        SHARED              25,900
ORTHODONTIC CENTERS COMMON STOCK   68750P103      1667      118000    SH        SHARED              118,000
O'SULLIVAN INDUSTRIES    COMMON STOCK   688609106      811  47700     SH        SHARED              47,700
OVERSEAS SHIPHOLDING     COMMON STOCK   690368105      1002      77800     SH        SHARED              77,800
OWENS & MINOR, INC. COMMON STOCK   690732102      1137      103400    SH        SHARED              103,400
OWENS CORNING       COMMON STOCK   69073F103      151  4400 SH        SHARED              4,400
OWENS-ILLINOIS      COMMON STOCK   690768403      1043      31900     SH        SHARED              31,900
PECO ENERGY CORP    COMMON STOCK   693304107      1960      46600     SH        SHARED              46,600
PG & E CORP         COMMON STOCK   69331C108      991  30500     SH        SHARED              30,500
PE CORP. BIOSYSTEMS COMMON STOCK   69332S102      448  3900 SH        SHARED              3,900
PMC - SIERRA INC.   COMMON STOCK   69344F106      4244      72000     SH        SHARED              72,000
PNC BANK CORP.      COMMON STOCK   693475105      3700      64200     SH        SHARED              64,200
PP&L RESOURCES      COMMON STOCK   693499105      372  12100     SH        SHARED              12,100
PPG INDUSTRIES INC  COMMON STOCK   693506107      2900      49100     SH        SHARED              49,100
PRI AUTOMATION      COMMON STOCK   69357H106      2016      55600     SH        SHARED              55,600
PACCAR INCORPORATED COMMON STOCK   693718108      334  6250 SH        SHARED              6,250
PACIFIC GATEWAY EXCH     COMMON STOCK   694327107      1165      40000     SH        SHARED              40,000
PACIFICORP          COMMON STOCK   695114108      435  23700     SH        SHARED              23,700
PAINE WEBBER GROUP INC   COMMON STOCK   695629105      533  11400     SH        SHARED              11,400

<PAGE>
PALL CORP      COMMON STOCK   696429307      220  9899 SH        SHARED              9,899
PARACELSUS HEALTH   COMMON STOCK   698891108      233  177200    SH        SHARED              177,200
PARAMETRIC TECHNOLOGY    COMMON STOCK   699173100      292  21026     SH        SHARED              21,026
PARK ELECTROCHEMICAL     COMMON STOCK   700416209      863  30000     SH        SHARED              30,000
PARKER-HANNIFIN CORP     COMMON STOCK   701094104      395  8625 SH        SHARED              8,625
PAXAR CORP.         COMMON STOCK   704227107      752  83566     SH        SHARED              83,566
PAYCHEX             COMMON STOCK   704326107      622  19500     SH        SHARED              19,500
PAYMENTECH INC      COMMON STOCK   704384106      1269      50000     SH        SHARED              50,000
PEDIATRIX MED       COMMON STOCK   705324101      1275      60000     SH        SHARED              60,000
PEGASYSTEMS INC          COMMON STOCK   705573103      873  85200     SH        SHARED              85,200
PENN TREATY AMER CORP    COMMON STOCK   707874103      457  19000     SH        SHARED              19,000
J.C. PENNEY, INC.   COMMON STOCK   708160106      2129      43850     SH        SHARED              43,850
PEOPLES ENERGY CORP COMMON STOCK   711030106      109  2900 SH        SHARED              2,900
PEOPLESOFT          COMMON STOCK   712713106      323  18700     SH        SHARED              18,700
PEP BOYS       COMMON STOCK   713278109      91   4200 SH        SHARED              4,200
PEPSICO INCORPORATED     COMMON STOCK   713448108      9467      244700    SH        SHARED              244,700
PEREGRINE SYSTEMS, INC   COMMON STOCK   71366Q101      1284      50000     SH        SHARED              50,000
PERSONNEL GRP OF AMER    COMMON STOCK   715338109      600  60000     SH        SHARED              60,000
PHARMACIA & UPJOHN INC   COMMON STOCK   716941109      4865      85630     SH        SHARED              85,630
PFIZER              COMMON STOCK   717081103      23871     217500    SH        SHARED              217,500
PHELPS DODGE CORP   COMMON STOCK   717265102      285  4600 SH        SHARED              4,600
PHILADELPHIA CONS   COMMON STOCK   717528103      735  30000     SH        SHARED              30,000
PHILIP MORRIS, INC. COMMON STOCK   718154107      17875     444800    SH        SHARED              444,800
PHILLIPS PETROLEUM CO    COMMON STOCK   718507106      2732      54300     SH        SHARED              54,300
PHILLIPS VAN HEUSEN COMMON STOCK   718592108      494  50000     SH        SHARED              50,000
PHOENIX INVESTMENT  COMMON STOCK   719085102      1186      130000    SH        SHARED              130,000
PHOTRONICS INC.          COMMON STOCK   719405102      1593      65000     SH        SHARED              65,000
PILGRIM'S PRIDE CORP.    COMMON STOCK   721467108      600  20000     SH        SHARED              20,000
PILLOWTEX CORP.          COMMON STOCK   721501104      392  24000     SH        SHARED              24,000
PIONEER HI BRED          COMMON STOCK   723686101      744  19100     SH        SHARED              19,100
PITNEY BOWES INC.   COMMON STOCK   724479100      3932      61200     SH        SHARED              61,200
PITTSTON BURLNG          COMMON STOCK   725701882      560  58900     SH        SHARED              58,900
PLACER DOME INC          COMMON STOCK   725906101      233  19700     SH        SHARED              19,700
PLANTRONICS INC          COMMON STOCK   727493108      3829      58800     SH        SHARED              58,800
PLAYBOY ENTER INC   COMMON STOCK   728117300      1092      41100     SH        SHARED              41,100
PLAYTEX PRODUCTS, INC.   COMMON STOCK   72813P100      1634      105000    SH        SHARED              105,000
PLEXUS CORP         COMMON STOCK   729132100      1506      50000     SH        SHARED              50,000
POLARIS INDUSTRIES INC   COMMON STOCK   731068102      2393      55000     SH        SHARED              55,000
POLAROID CORP       COMMON STOCK   731095105      99   3589 SH        SHARED              3,589
POLYMER GROUP       COMMON STOCK   731745105      880  74900     SH        SHARED              74,900
POTLATCH CORP       COMMON STOCK   737628107      105  2400 SH        SHARED              2,400
PREMIER BANCSHARES INC   COMMON STOCK   739909109      1430      78100     SH        SHARED              78,100
PRAXAIR INC         COMMON STOCK   74005P104      617  12600     SH        SHARED              12,600
PREMIERE TECHNOLOGIES    COMMON STOCK   74058F102      863  75000     SH        SHARED              75,000
PRIMARK CORP.       COMMON STOCK   741903108      1964      70000     SH        SHARED              70,000
PRIME HOSPITALITY CORP   COMMON STOCK   741917108      1200      100000    SH        SHARED              100,000
PRINTRONIX INC      COMMON STOCK   742578107      431  30800     SH        SHARED              30,800
PRIORITY HEALTHCARE COMMON STOCK   74264T102      1091      31627     SH        SHARED              31,627
PROCTER & GAMBLE CO.     COMMON STOCK   742718109      20670     231600    SH        SHARED              231,600

<PAGE>
PROGRESS SOFTWARE   COMMON STOCK   743312100      362  12800     SH        SHARED              12,800
PROGRESSIVE CORP    COMMON STOCK   743315103      841  5800 SH        SHARED              5,800
PROJECT SOFTWARE    COMMON STOCK   74339P101      1144      36600     SH        SHARED              36,600
PROVIDENT COMPANIES COMMON STOCK   743862104      432  10800     SH        SHARED              10,800
PROVIDIAN FINANCIAL COMMON STOCK   74406A102      1052      11250     SH        SHARED              11,250
PERFORM. SYSTEMS    COMMON STOCK   74437C101      6510      148800    SH        SHARED              148,800
PUB SERVICE NEW MEXICO   COMMON STOCK   744499104      1405      70700     SH        SHARED              70,700
PUBLIC SERV CO. OF NOR   COMMON STOCK   744516105      1138      38900     SH        SHARED              38,900
PUBLIC SERVICE ENT  COMMON STOCK   744573106      2301      56300     SH        SHARED              56,300
PULTE CORP          COMMON STOCK   745867101      900  38900     SH        SHARED              38,900
QLOGIC              COMMON STOCK   747277101      2640      20000     SH        SHARED              20,000
QUAKER OATS CO      COMMON STOCK   747402105      2024      30500     SH        SHARED              30,500
QUANEX CORP         COMMON STOCK   747620102      909  31900     SH        SHARED              31,900
QUEST DIAGNOSTICS INC.   COMMON STOCK   74834L100      2620      95700     SH        SHARED              95,700
RLI CORP.      COMMON STOCK   749607107      643  16600     SH        SHARED              16,600
RPC ENERGY SERV INC COMMON STOCK   749660106      435  49700     SH        SHARED              49,700
RTI INTERNATIONAL   COMMON STOCK   74973W107      499  34000     SH        SHARED              34,000
RADISYS CORP.       COMMON STOCK   750459109      1120      28800     SH        SHARED              28,800
RAINBOW TECH. INC.  COMMON STOCK   750862104      504  42650     SH        SHARED              42,650
RALCORP HOLDINGS INC     COMMON STOCK   751028101      1336      83200     SH        SHARED              83,200
RALSTON-RALSTON PURINA   COMMON STOCK   751277302      1712      56240     SH        SHARED              56,240
RAYCHEM CORP        COMMON STOCK   754603108      233  6300 SH        SHARED              6,300
RAYTHEON CO-CLASS B COMMON STOCK   755111408      3997      56800     SH        SHARED              56,800
RECOTON             COMMON STOCK   756268108      300  33000     SH        SHARED              33,000
RED ROOF INNS INC.  COMMON STOCK   757005103      1433      79900     SH        SHARED              79,900
REEBOK INTL LTD          COMMON STOCK   758110100      1762      94600     SH        SHARED              94,600
REGIONS FINANCIAL CORP   COMMON STOCK   758940100      677  17600     SH        SHARED              17,600
RELIANCE STEEL & ALUM    COMMON STOCK   759509102      975  25000     SH        SHARED              25,000
RELIANT ENERGY INC. COMMON STOCK   75952J108      2012      72844     SH        SHARED              72,844
RENTAL SERVICE CORP.     COMMON STOCK   76009V102      1529      53400     SH        SHARED              53,400
REPUBLIC BANCORP    COMMON STOCK   760282103      1291      85000     SH        SHARED              85,000
REPUBLIC N Y CORP   COMMON STOCK   760719104      580  8500 SH        SHARED              8,500
REPUBLIC SECURITY FINL   COMMON STOCK   760758102      766  91500     SH        SHARED              91,500
RESPIRONICS INC.    COMMON STOCK   761230101      965  63800     SH        SHARED              63,800
REYNOLDS METALS CO  COMMON STOCK   761763101      1693      28700     SH        SHARED              28,700
RJ REYNOLDS TOBACCO COMMON STOCK   76182K105      72   0    SH        SHARED              0
RITE AID CORP       COMMON STOCK   767754104      507  20600     SH        SHARED              20,600
ROCKWELL       COMMON STOCK   773903109      2661      43800     SH        SHARED              43,800
ROHM & HAAS CO.          COMMON STOCK   775371107      728  16977     SH        SHARED              16,977
ROLLINS TRUCK LEAS COR   COMMON STOCK   775741101      1631      146650    SH        SHARED              146,650
ROPER INDUSTRIES, INC    COMMON STOCK   776696106      3152      98500     SH        SHARED              98,500
ROSLYN BANCORP INC  COMMON STOCK   778162107      2131      124000    SH        SHARED              124,000
ROWAN COS. INC.          COMMON STOCK   779382100      127  6900 SH        SHARED              6,900
ROYAL DUTCH PETRO   COMMON STOCK   780257804      21262     352900    SH        SHARED              352,900
RUBY TUESDAY, INC.  COMMON STOCK   781182100      1290      67900     SH        SHARED              67,900
RUDDICK CORP.       COMMON STOCK   781258108      1600      80000     SH        SHARED              80,000
RUSS BERRIE & CO INC.    COMMON STOCK   782233100      903  36500     SH        SHARED              36,500
RUSSELL CORP.       COMMON STOCK   782352108      57   2900 SH        SHARED              2,900
RYDER SYSTEMS INC   COMMON STOCK   783549108      520  20000     SH        SHARED              20,000

<PAGE>
RYLAND GROUP, INC.  COMMON STOCK   783764103      647  21800     SH        SHARED              21,800
SBC COMM INC        COMMON STOCK   78387G103      19182     330718    SH        SHARED              330,718
SCPIE HOLDINGS INC  COMMON STOCK   78402P104      1321      40500     SH        SHARED              40,500
SLMHOLDING CORPORATION   COMMON STOCK   78442A109      605  13200     SH        SHARED              13,200
SAFECO CORP         COMMON STOCK   786429100      1500      34000     SH        SHARED              34,000
SAFETY KLEEN        COMMON STOCK   78648R203      1133      62500     SH        SHARED              62,500
SAFEWAY INC         COMMON STOCK   786514208      3995      80700     SH        SHARED              80,700
ST. JOHN KNITS, INC.     COMMON STOCK   790289102      980  33500     SH        SHARED              33,500
SAINT JUDE MED INC  COMMON STOCK   790849103      242  6800 SH        SHARED              6,800
ST PAUL BANCORP INC COMMON STOCK   792848103      3124      122500    SH        SHARED              122,500
ST PAUL COMPANIES   COMMON STOCK   792860108      596  18734     SH        SHARED              18,734
SANDISK CORP.       COMMON STOCK   80004C101      675  15000     SH        SHARED              15,000
SANTA FE SNYDER CORP.    COMMON STOCK   80218K105      986  129355    SH        SHARED              129,355
SARA LEE, CORP.          COMMON STOCK   803111103      3666      161600    SH        SHARED              161,600
SBARRO INC          COMMON STOCK   805844107      1083      40000     SH        SHARED              40,000
SCHERING PLOUGH          COMMON STOCK   806605101      13648     257500    SH        SHARED              257,500
SCHLUMBERGER LTD.   COMMON STOCK   806857108      5318      83500     SH        SHARED              83,500
SCHWAB (CHARLES) CORP.   COMMON STOCK   808513105      3513      31975     SH        SHARED              31,975
SCIENTIFIC-ATLANTA INC   COMMON STOCK   808655104      216  6000 SH        SHARED              6,000
THE SCOTTS CO.      COMMON STOCK   810186106      1900      39900     SH        SHARED              39,900
SEAGATE TECH INC.   COMMON STOCK   811804103      1240      48400     SH        SHARED              48,400
SEAGRAMS LTD ADR    COMMON STOCK   811850106      3834      76100     SH        SHARED              76,100
SEACOR HOLDINGS INC COMMON STOCK   811904101      1578      29500     SH        SHARED              29,500
SEALED AIR CORP.    COMMON STOCK   81211K100      429  6616 SH        SHARED              6,616
SEARS ROEBUCK       COMMON STOCK   812387108      2993      67175     SH        SHARED              67,175
SECURITY DYNAMICS TECH   COMMON STOCK   814208104      1135      53400     SH        SHARED              53,400
SEITEL INC          COMMON STOCK   816074306      884  54600     SH        SHARED              54,600
SEMPRA ENERGY       COMMON STOCK   816851109      433  19125     SH        SHARED              19,125
SEQUENT COMPUTER    COMMON STOCK   817338106      588  33100     SH        SHARED              33,100
SERVICE CORP INT'L  COMMON STOCK   817565104      420  21800     SH        SHARED              21,800
SHARED MEDICAL SYSTEMS   COMMON STOCK   819486101      137  2100 SH        SHARED              2,100
SHERWIN-WILLIAMS CO COMMON STOCK   824348106      380  13700     SH        SHARED              13,700
SHOPKO STORES, INC. COMMON STOCK   824911101      2103      58000     SH        SHARED              58,000
SIERRA HEALTH SERV I     COMMON STOCK   826322109      1245      86250     SH        SHARED              86,250
SIGMA-ALDRICH CORP. COMMON STOCK   826552101      957  27800     SH        SHARED              27,800
SIGCORP INC         COMMON STOCK   826912107      1154      40400     SH        SHARED              40,400
SILICON GRAPHICS    COMMON STOCK   827056102      244  14900     SH        SHARED              14,900
SILICON VALLEY BNKSHS    COMMON STOCK   827064106      1794      72500     SH        SHARED              72,500
SMITH (A.O.) CORP.  COMMON STOCK   831865209      1243      45000     SH        SHARED              45,000
SNAP-ON INC         COMMON STOCK   833034101      597  16500     SH        SHARED              16,500
SOLA INTERNATIONAL INC   COMMON STOCK   834092108      1526      78500     SH        SHARED              78,500
SOLECTRON CORP.          COMMON STOCK   834182107      1334      20000     SH        SHARED              20,000
SONAT INC      COMMON STOCK   835415100      295  8900 SH        SHARED              8,900
SOUTHERN COMPANY    COMMON STOCK   842587107      3779      142600    SH        SHARED              142,600
SOUTHTRUST CORP.    COMMON STOCK   844730101      507  13200     SH        SHARED              13,200
SOUTHWEST AIRLINES  COMMON STOCK   844741108      2102      67525     SH        SHARED              67,525
SOUTHWEST GAS CORP. COMMON STOCK   844895102      1431      50000     SH        SHARED              50,000
SOUTHWEST SECUR GRP COMMON STOCK   845224104      2485      34630     SH        SHARED              34,630
SOUTHWESTERN ENER CO.    COMMON STOCK   845467109      628  59500     SH        SHARED              59,500

<PAGE>
SPARTECH CORP.      COMMON STOCK   847220209      1280      41700     SH        SHARED              41,700
SPEEDFAM-IPEC INC.  COMMON STOCK   847705100      1625      101165    SH        SHARED              101,165
SPRINGS INDUSTRIES INC   COMMON STOCK   851783100      589  13500     SH        SHARED              13,500
SPRINT CORP         COMMON STOCK   852061100      7716      146100    SH        SHARED              146,100
SPRINT CORP PCS          COMMON STOCK   852061506      1999      35000     SH        SHARED              35,000
STANDARD PACIFIC CORP.   COMMON STOCK   85375C101      770  59500     SH        SHARED              59,500
STANDARD PRODUCTS CO     COMMON STOCK   853836104      710  27700     SH        SHARED              27,700
STANDARD REGISTER CO     COMMON STOCK   853887107      1276      41500     SH        SHARED              41,500
STANLEY WORKS       COMMON STOCK   854616109      232  7200 SH        SHARED              7,200
STAPLES             COMMON STOCK   855030102      1135      36700     SH        SHARED              36,700
STATE STREET CORP.  COMMON STOCK   857477103      2561      30000     SH        SHARED              30,000
STATION CASINOS INC.     COMMON STOCK   857689103      1141      56000     SH        SHARED              56,000
STERLING BANCORP    COMMON STOCK   859158107      481  25300     SH        SHARED              25,300
STONE ENERGY CORP   COMMON STOCK   861642106      1356      32000     SH        SHARED              32,000
STRIDE RITE         COMMON STOCK   863314100      1188      115200    SH        SHARED              115,200
STRUCTURAL DYNAMICS COMMON STOCK   863555108      464  25000     SH        SHARED              25,000
STURM, RUGER & CO.  COMMON STOCK   864159108      534  50000     SH        SHARED              50,000
SUMMIT BANCORP      COMMON STOCK   866005101      577  13800     SH        SHARED              13,800
SUN MICROSYSTEMS    COMMON STOCK   866810104      8664      125800    SH        SHARED              125,800
SUNOCO INC.         COMMON STOCK   86764P109      223  7374 SH        SHARED              7,374
SUNRISE MEDICAL INC COMMON STOCK   867910101      443  62200     SH        SHARED              62,200
SUNTRUST BANKS INC  COMMON STOCK   867914103      4562      65700     SH        SHARED              65,700
SUPERIOR INDUSTRIES COMMON STOCK   868168105      633  23000     SH        SHARED              23,000
SUPERIOR TELECOM INC.    COMMON STOCK   868365107      1875      75000     SH        SHARED              75,000
SUPERVALU INC       COMMON STOCK   868536103      1439      56000     SH        SHARED              56,000
SWIFT ENERGY CO          COMMON STOCK   870738101      351  32836     SH        SHARED              32,836
SYBASE              COMMON STOCK   871130100      674  61300     SH        SHARED              61,300
SYKES ENTERPRISES, INC   COMMON STOCK   871237103      834  25000     SH        SHARED              25,000
SYNOVUS             COMMON STOCK   87161C105      425  21400     SH        SHARED              21,400
SYSCO CORP.         COMMON STOCK   871829107      790  26500     SH        SHARED              26,500
SYSTEMAX INC.       COMMON STOCK   871851101      656  53000     SH        SHARED              53,000
SYS & COMPUTER TECH COMMON STOCK   871873105      750  51500     SH        SHARED              51,500
TJX COMPANIES INC   COMMON STOCK   872540109      859  25800     SH        SHARED              25,800
TNP ENTERPRISES, INC     COMMON STOCK   872594106      845  23300     SH        SHARED              23,300
TRW INC             COMMON STOCK   872649108      521  9500 SH        SHARED              9,500
TALBOTS             COMMON STOCK   874161102      1525      40000     SH        SHARED              40,000
TANDY CORP          COMMON STOCK   875382103      775  15856     SH        SHARED              15,856
TECH-SYM       COMMON STOCK   878308105      530  22300     SH        SHARED              22,300
TECHNITROL INC.          COMMON STOCK   878555101      1484      46000     SH        SHARED              46,000
TEKTRONIX INC.      COMMON STOCK   879131100      4335      143600    SH        SHARED              143,600
TELIGENT, INC.      COMMON STOCK   87959Y103      897  15000     SH        SHARED              15,000
TELLABS, INC.       COMMON STOCK   879664100      3716      55000     SH        SHARED              55,000
TEMPLE INLAND, INC. COMMON STOCK   879868107      300  4400 SH        SHARED              4,400
TENET HEALTHCARE CORP    COMMON STOCK   88033G100      458  24700     SH        SHARED              24,700
TENNECO INC. (NEW)  COMMON STOCK   88037E101      888  37200     SH        SHARED              37,200
TERAYON COMMUNIC SYS     COMMON STOCK   880775101      1397      25000     SH        SHARED              25,000
TEREX CORP.         COMMON STOCK   880779103      1065      35000     SH        SHARED              35,000
TESORO PETROLEUM CORP.   COMMON STOCK   881609101      912  57200     SH        SHARED              57,200
TEXACO, INC.        COMMON STOCK   881694103      5569      89100     SH        SHARED              89,100

<PAGE>
TEXAS INSTRUMENTS   COMMON STOCK   882508104      9889      68200     SH        SHARED              68,200
TEXAS REGIONAL BANCSHS   COMMON STOCK   882673106      1272      46800     SH        SHARED              46,800
TEXAS UTILITIES          COMMON STOCK   882848104      2478      60070     SH        SHARED              60,070
TEXTRON INC COMMON  COMMON STOCK   883203101      2659      32300     SH        SHARED              32,300
THERMO ELECTRON CORP.    COMMON STOCK   883556102      255  12700     SH        SHARED              12,700
THOMAS & BETTS CORP COMMON STOCK   884315102      624  13200     SH        SHARED              13,200
THOMAS INDUSTRIES INC.   COMMON STOCK   884425109      472  23000     SH        SHARED              23,000
3 COM CORP.         COMMON STOCK   885535104      1555      58250     SH        SHARED              58,250
TIMBERLAND CO CLASS A    COMMON STOCK   887100105      1361      20000     SH        SHARED              20,000
TIME WARNER INC          COMMON STOCK   887315109      14819     205820    SH        SHARED              205,820
TIMES MIRROR CO          COMMON STOCK   887364107      373  6300 SH        SHARED              6,300
TIMKEN CO      COMMON STOCK   887389104      99   5100 SH        SHARED              5,100
TITAN CORP.         COMMON STOCK   888266103      597  54300     SH        SHARED              54,300
TOLL BROTHERS INC   COMMON STOCK   889478103      1143      53300     SH        SHARED              53,300
TORCHMARK CORP      COMMON STOCK   891027104      1034      30300     SH        SHARED              30,300
TORO CO.       COMMON STOCK   891092108      1386      35200     SH        SHARED              35,200
TOWER AUTOMOTIVE INC     COMMON STOCK   891707101      2012      79100     SH        SHARED              79,100
TOYS R US      COMMON STOCK   892335100      415  20050     SH        SHARED              20,050
TRANS SYS ARCHITECTS     COMMON STOCK   893416107      2340      60000     SH        SHARED              60,000
TRANSAMERICA CORP   COMMON STOCK   893485102      747  9964 SH        SHARED              9,964
TRIANGLE BCP        COMMON STOCK   895835106      1306      77100     SH        SHARED              77,100
TRIAD GUARANTY INC  COMMON STOCK   895925105      854  47600     SH        SHARED              47,600
TRIARC COS., INC.   COMMON STOCK   895927101      1063      50000     SH        SHARED              50,000
TRICON GLOBAL RESTAUR    COMMON STOCK   895953107      655  12110     SH        SHARED              12,110
TRIBUNE CO.         COMMON STOCK   896047107      2352      27000     SH        SHARED              27,000
TRUE NORTH COMMUNIC COMMON STOCK   897844106      1200      40000     SH        SHARED              40,000
TUPPERWARE CORP          COMMON STOCK   899896104      120  4700 SH        SHARED              4,700
TYCO INTERNATIONAL  COMMON STOCK   902124106      13653     144096    SH        SHARED              144,096
UGI CORP       COMMON STOCK   902681105      1005      49800     SH        SHARED              49,800
UST CORP       COMMON STOCK   902900109      3691      122000    SH        SHARED              122,000
USX-MARATHON GROUP  COMMON STOCK   902905827      2384      73200     SH        SHARED              73,200
UST, INC.      COMMON STOCK   902911106      1249      42700     SH        SHARED              42,700
U.S. BANCORP        COMMON STOCK   902973106      4225      124262    SH        SHARED              124,262
UNUM CORPORATION    COMMON STOCK   903192102      2245      41000     SH        SHARED              41,000
URS CORP.      COMMON STOCK   903236107      571  19490     SH        SHARED              19,490
USX- U S STEEL GRP INC   COMMON STOCK   90337T101      560  20740     SH        SHARED              20,740
UNIFIRST CORP.      COMMON STOCK   904708104      513  27900     SH        SHARED              27,900
UNILEVER NV-W/I          COMMON STOCK   904784709      6925      99285     SH        SHARED              99,285
UNICOM CORP         COMMON STOCK   904911104      667  17300     SH        SHARED              17,300
UNION CARBIDE CORP  COMMON STOCK   905581104      1614      33100     SH        SHARED              33,100
UNION PAC CORP      COMMON STOCK   907818108      2799      48000     SH        SHARED              48,000
UNION PACIFIC RESOURC    COMMON STOCK   907834105      322  19723     SH        SHARED              19,723
UNION PLANTERS      COMMON STOCK   908068109      487  10900     SH        SHARED              10,900
UNISOURCE ENERGY CORP.   COMMON STOCK   909205106      660  55320     SH        SHARED              55,320
UNISYS              COMMON STOCK   909214108      810  20800     SH        SHARED              20,800
UNITED HEALTHCARE   COMMON STOCK   910581107      927  14800     SH        SHARED              14,800
UTD ILLUMINATION    COMMON STOCK   910637107      1150      27100     SH        SHARED              27,100
UNITED INDUSTRIAL CORP   COMMON STOCK   910671106      399  36100     SH        SHARED              36,100
US AIRWAYS GROUP, INC.   COMMON STOCK   911905107      305  7000 SH        SHARED              7,000

<PAGE>
U S HOME CORP       COMMON STOCK   911920106      650  18300     SH        SHARED              18,300
US WEST INC. NEW    COMMON STOCK   91273H101      5261      89557     SH        SHARED              89,557
UNITED TECHNOL CORP COMMON STOCK   913017109      5878      82000     SH        SHARED              82,000
UNITED WATER RES I  COMMON STOCK   913190104      1624      71600     SH        SHARED              71,600
UNITED WISCONSIN SERV    COMMON STOCK   913238101      424  53000     SH        SHARED              53,000
UNITRODE CORP.      COMMON STOCK   913283107      2499      87100     SH        SHARED              87,100
UNOCAL              COMMON STOCK   915289102      2263      57100     SH        SHARED              57,100
USWEB CORP.         COMMON STOCK   917327108      1775      80000     SH        SHARED              80,000
V.F. CORP      COMMON STOCK   918204108      1300      30400     SH        SHARED              30,400
VAIL RESORTS, INC.  COMMON STOCK   91879Q109      1381      78900     SH        SHARED              78,900
VALUE CITY DEPT STORES   COMMON STOCK   920387107      490  40000     SH        SHARED              40,000
VERITAS DGC INC          COMMON STOCK   92343P107      853  46600     SH        SHARED              46,600
VIACOM CLASS B      COMMON STOCK   925524308      2438      55400     SH        SHARED              55,400
VINTAGE PETROLEUM, INC   COMMON STOCK   927460105      1181      109900    SH        SHARED              109,900
VISUAL NETWORKS INC COMMON STOCK   928444108      944  29500     SH        SHARED              29,500
VISX INC       COMMON STOCK   92844S105      13462     170000    SH        SHARED              170,000
VOICESTREAM WIRELESS     COMMON STOCK   928615103      1962      69000     SH        SHARED              69,000
WICOR INC      COMMON STOCK   929253102      1749      62600     SH        SHARED              62,600
WPS RESOURCES       COMMON STOCK   92931B106      1200      40000     SH        SHARED              40,000
WACHOVIA CORP       COMMON STOCK   929771103      3654      42700     SH        SHARED              42,700
WALMART             COMMON STOCK   931142103      41075     851300    SH        SHARED              851,300
WALGREEN CO         COMMON STOCK   931422109      5345      181956    SH        SHARED              181,956
WARNER LAMBERT CO   COMMON STOCK   934488107      10344     149100    SH        SHARED              149,100
WASHINGTON MUTUAL   COMMON STOCK   939322103      3884      109785    SH        SHARED              109,785
WASTE MANAGEMENT INC.    COMMON STOCK   94106L109      5254      97742     SH        SHARED              97,742
WATKINS-JOHNSON CO. COMMON STOCK   942486101      738  25000     SH        SHARED              25,000
WATSCO, INC.        COMMON STOCK   942622200      785  47962     SH        SHARED              47,962
WATSON PHARMACEUTICAL    COMMON STOCK   942683103      263  7500 SH        SHARED              7,500
WATTS INDUSTRIES    COMMON STOCK   942749102      998  52000     SH        SHARED              52,000
WEBB (DEL E.) CORP  COMMON STOCK   947423109      1098      46000     SH        SHARED              46,000
WELLMAN             COMMON STOCK   949702104      797  50000     SH        SHARED              50,000
WELLPOINT HLTH NETWORK   COMMON STOCK   94973H108      458  5400 SH        SHARED              5,400
WELLS FARGO COMPANY COMMON STOCK   949746101      12363     289200    SH        SHARED              289,200
WENDY'S INTERNATIONAL    COMMON STOCK   950590109      280  9900 SH        SHARED              9,900
WEST PHARMACEUTICAL COMMON STOCK   955306105      2080      53000     SH        SHARED              53,000
WESTCORP       COMMON STOCK   957907108      450  40000     SH        SHARED              40,000
WESTERN DIGITAL CORP.    COMMON STOCK   958102105      1808      278100    SH        SHARED              278,100
WESTERN WIRELESS CORP    COMMON STOCK   95988E204      2646      98000     SH        SHARED              98,000
WESTINGHOUSE AIR BRAKE   COMMON STOCK   960386100      1273      49800     SH        SHARED              49,800
WESTVACO CORP       COMMON STOCK   961548104      233  8050 SH        SHARED              8,050
WEYERHAEUSER CO.    COMMON STOCK   962166104      2341      34050     SH        SHARED              34,050
WHIRLPOOL      COMMON STOCK   963320106      451  6100 SH        SHARED              6,100
WILLAMETTE INDS INC.     COMMON STOCK   969133107      405  8800 SH        SHARED              8,800
WILLIAMS CO.        COMMON STOCK   969457100      3052      71700     SH        SHARED              71,700
WIND RIVER SYSTEMS INC   COMMON STOCK   973149107      1446      90000     SH        SHARED              90,000
WINN DIXIE STORES INC    COMMON STOCK   974280109      436  11800     SH        SHARED              11,800
WINNEBAGO INDS INC  COMMON STOCK   974637100      862  38300     SH        SHARED              38,300
WOLVERINE TUBE INC  COMMON STOCK   978093102      817  32500     SH        SHARED              32,500
WOLVERINE WORLD WIDE     COMMON STOCK   978097103      1511      107900    SH        SHARED              107,900

<PAGE>
WORLD ACCESS INC.   COMMON STOCK   98141A101      331  23448     SH        SHARED              23,448
WORTHINGTON INDUST INC   COMMON STOCK   981811102      120  7325 SH        SHARED              7,325
WRIGLEY JR CO.      COMMON STOCK   982526105      837  9300 SH        SHARED              9,300
XEROX CORPORATION   COMMON STOCK   984121103      6517      110334    SH        SHARED              110,334
XTRA CORP      COMMON STOCK   984138107      1493      32500     SH        SHARED              32,500
YANKEE ENERGY SYSTEM     COMMON STOCK   984779108      971  24400     SH        SHARED              24,400
ZALE CORP.          COMMON STOCK   988858106      2800      70000     SH        SHARED              70,000
FRUIT OF THE LOOM INC.   COMMON STOCK   G3682L105      58   5900 SH        SHARED              5,900
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