GATEWAY INVESTMENT ADVISERS LP
13F-NT/A, 2000-08-25
Previous: WILSON GREATBATCH TECHNOLOGIES INC, S-1/A, EX-23.2, 2000-08-25
Next: NTL INC/DE/, 8-K/A, 2000-08-25



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

                                  FORM 13F

                            FORM 13F COVER PAGE


Report for the Quarter Ended: June 30, 2000

Institutional Investment Manager Filing this Report:

Name:     Gateway Investment Advisers
Address:  400 TechneCenter Drive
          Suite 220
	  Milford, OH  45150

13F File Number:  28-5214

The institutional investment manager filing this report and the person by
whom it is signed hereby represent that the person signing this report is
authorized to submit, that all information contained herein is true, correct
and complete, and 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:  J. Patrick Rogers, Gateway Investment Advisers, Inc., Gen. Ptr.
Title: President
Phone: 513-248-2700

Signature, Place and Date of Signing:

             J. Patrick Rogers    Milford, OH     August 10, 2000


Report Type:  13F

I AM SIGNING THIS REPORT AS REQUIRED BY THE SECURITIES EXCHANGE ACT OF 1934
<PAGE>
<TABLE>
                                                                  FORM 13F INFORMATION TABLE
                                                           VALUE  SH ARES/  SH/ PUT/ INVSTMT    OTHER          VOTING AUTHORITY
        NAME OF ISSUER          TITLE OF CLASS    CUSIP   (x$1000) PRN AMT  PRN CALL DSCRETN   MANAGERS     SOLE    SHARED    NONE
------------------------------ ---------------- --------- -------- -------- --- ---- ------- ------------ -------- -------- ------
<S>                            <C>              <C>       <C>      <C>      <C> <C>  <C>     <C>          <C>      <C>      <C>
3Com Corporation               STOCK            885535104     2215   38441  SH       SOLE                    38441
ADC Telecommunications, Inc.   STOCK            000886101     3007   35848  SH       SOLE                    35848
AES Corporation                STOCK            00130H105     2103   46100  SH       SOLE                    46100
AFLAC Incorporated             STOCK            001055102     1254   27300  SH       SOLE                    27300
AK Steel Holding Corporation   STOCK            001547108      110   13800  SH       SOLE                    13800
ALLTEL Corporation             STOCK            020039103     2068   33400  SH       SOLE                    33400
ALZA Corporation               STOCK            022615108      621   10500  SH       SOLE                    10500
AMB Property Corp.             STOCK            00163T109      481   21100  SH       SOLE                    21100
AMR Corporation                STOCK            001765106      391   14800  SH       SOLE                    14800
AT&T Corp.                     STOCK            001957109    20420  645794  SH       SOLE                   645794
Abbott Laboratories            STOCK            002824100     7455  167300  SH       SOLE                   167300
Adaptec, Inc.                  STOCK            00651F108      261   11466  SH       SOLE                    11466
Adobe Systems Incorporated     STOCK            00724F101     1668   12827  SH       SOLE                    12827
Adolph Coors Company - Class B STOCK            217016104      218    3600  SH       SOLE                     3600
Advanced Micro Devices, Inc.   STOCK            007903107     1282   16600  SH       SOLE                    16600
Aetna Inc.                     STOCK            008117103      969   15100  SH       SOLE                    15100
Agilent Technologies, Inc.     STOCK            00846U101     3855   52273  SH       SOLE                    52273
Air Products and Chemicals, In STOCK            009158106      752   24400  SH       SOLE                    24400
Akamai Technologies, Inc.      STOCK            00971T101      606    5100  SH       SOLE                     5100
Albertson's, Inc.              STOCK            013104104     1523   45800  SH       SOLE                    45800
Alcan Aluminium Limited        STOCK            013716105      722   23300  SH       SOLE                    23300
Alcoa Inc.                     STOCK            013817101     3862  133180  SH       SOLE                   133180
Allegheny Technologies Incorpo STOCK            01741R102      306   17023  SH       SOLE                    17023
Allergan, Inc.                 STOCK            018490102     1043   14000  SH       SOLE                    14000
Allied Waste Industries, Inc.  STOCK            019589308      189   18900  SH       SOLE                    18900
Allstate Corporation           STOCK            020002101     1902   85500  SH       SOLE                    85500
Altera Corporation             STOCK            021441100     2217   21748  SH       SOLE                    21748
AmSouth Bancorporation         STOCK            032165102      617   39200  SH       SOLE                    39200
Amerada Hess Corporation       STOCK            023551104      556    9000  SH       SOLE                     9000
Ameren Corporation             STOCK            023608102      638   18900  SH       SOLE                    18900
America Online, Inc.           STOCK            02364J104    19518  370002  SH       SOLE                   370002
American Electric Power Compan STOCK            025537101     1641   55392  SH       SOLE                    55392
American Express Company       STOCK            025816109    13202  253294  SH       SOLE                   253294
American Financial Group, Inc. STOCK            025932104      206    8300  SH       SOLE                     8300
American General Corporation   STOCK            026351106     2429   39825  SH       SOLE                    39825
American Home Products Corpora STOCK            026609107     8278  140900  SH       SOLE                   140900
American International Group,  STOCK            026874107    29848  254022  SH       SOLE                   254022
American Power Conversion Corp STOCK            029066107      853   20895  SH       SOLE                    20895
Amgen Inc.                     STOCK            031162100    11870  168961  SH       SOLE                   168961
Anadarko Petroleum Corporation STOCK            032511107      631   12800  SH       SOLE                    12800
Analog Devices, Inc.           STOCK            032654105     2903   38200  SH       SOLE                    38200
Andrew Corporation             STOCK            034425108      265    7900  SH       SOLE                     7900
Anheuser-Busch Companies       STOCK            035229103     3689   49400  SH       SOLE                    49400
Aon Corporation                STOCK            037389103      860   27700  SH       SOLE                    27700
Apache Corporation             STOCK            037411105      688   11700  SH       SOLE                    11700
Apartment Investment and Manag STOCK            03748R101      731   16900  SH       SOLE                    16900
Apple Computer, Inc.           STOCK            037833100     1853   35384  SH       SOLE                    35384
Applied Materials, Inc.        STOCK            038222105     8242   90950  SH       SOLE                    90950
Archer-Daniels-Midland Company STOCK            039483102      583   59455  SH       SOLE                    59455
Archstone Communities Trust    STOCK            039581103      737   35000  SH       SOLE                    35000
Arden Realty Inc.              STOCK            039793104      374   15900  SH       SOLE                    15900
Ashland Inc.                   STOCK            044204105      410   11700  SH       SOLE                    11700
Associates First Capital Corpo STOCK            046008108     1727   77400  SH       SOLE                    77400
AutoZone, Inc.                 STOCK            053332102      323   14700  SH       SOLE                    14700
Autodesk, Inc.                 STOCK            052769106      208    6000  SH       SOLE                     6000
Automatic Data Processing, Inc STOCK            053015103     3605   67300  SH       SOLE                    67300
Avalon Bay Communities Inc.    STOCK            053484101      696   16674  SH       SOLE                    16674
Avanex Corporation             STOCK            05348W109      220    2300  SH       SOLE                     2300
Avery Dennison Corporation     STOCK            053611109      805   12000  SH       SOLE                    12000
Avon Products, Inc.            STOCK            054303102     1984   44587  SH       SOLE                    44587
B.F. Goodrich Company          STOCK            382388106      399   11700  SH       SOLE                    11700
BB&T Corporation               STOCK            054937107      883   37000  SH       SOLE                    37000
BMC Software, Inc.             STOCK            055921100      962   26363  SH       SOLE                    26363
BRE Properties Inc.            STOCK            05564E106      326   11300  SH       SOLE                    11300
Baker Hughes Incorporated      STOCK            057224107     1743   54460  SH       SOLE                    54460
Bank One Corporation           STOCK            06423A103     4940  185987  SH       SOLE                   185987
Bank of America Corporation    STOCK            060505104    11863  275889  SH       SOLE                   275889
Bank of New York Company, Inc. STOCK            064057102     3701   79600  SH       SOLE                    79600
Barrick Gold Corporation       STOCK            067901108      762   41900  SH       SOLE                    41900
Bausch & Lomb Incorporated     STOCK            071707103      402    5200  SH       SOLE                     5200
Baxter International Inc.      STOCK            071813109     3294   46843  SH       SOLE                    46843
Bear Stearns Companies Inc.    STOCK            073902108      502   12050  SH       SOLE                    12050
Becton, Dickinson and Company  STOCK            075887109      766   26700  SH       SOLE                    26700
Bed Bath & Beyond Inc.         STOCK            075896100      521   14368  SH       SOLE                    14368
BellSouth Corporation          STOCK            079860102     8665  203300  SH       SOLE                   203300
Best Buy Co., Inc.             STOCK            086516101     1398   22100  SH       SOLE                    22100
Bestfoods                      STOCK            08658U101     2050   29600  SH       SOLE                    29600
Bethlehem Steel Corporation    STOCK            087509105       77   21586  SH       SOLE                    21586
Biogen, Inc.                   STOCK            090597105      997   15460  SH       SOLE                    15460
Biomet, Inc.                   STOCK            090613100      446   11597  SH       SOLE                    11597
Black & Decker Corporation     STOCK            091797100      549   13954  SH       SOLE                    13954
Boeing Company                 STOCK            097023105     6151  147126  SH       SOLE                   147126
Boise Cascade Corporation      STOCK            097383103      229    8847  SH       SOLE                     8847
Boston Properties Inc.         STOCK            101121101      660   17100  SH       SOLE                    17100
Boston Scientific Corporation  STOCK            101137107      967   44100  SH       SOLE                    44100
Bristol-Myers Squibb Company   STOCK            110122108    18843  323486  SH       SOLE                   323486
Broadwing Inc.                 STOCK            111620100      835   32200  SH       SOLE                    32200
Brown-Forman Corporation - Cla STOCK            115637209      392    7300  SH       SOLE                     7300
Brunswick Corporation          STOCK            117043109      264   15965  SH       SOLE                    15965
Burlington Northern Santa Fe C STOCK            12189T104     1692   73772  SH       SOLE                    73772
Burlington Resources Inc.      STOCK            122014103      884   23100  SH       SOLE                    23100
C. R. Bard, Inc.               STOCK            067383109      241    5000  SH       SOLE                     5000
CIGNA Corporation              STOCK            125509109     2539   27158  SH       SOLE                    27158
CMS Energy Corporation         STOCK            125896100      230   10400  SH       SOLE                    10400
CP&L, Inc.                     STOCK            12614C106      524   16400  SH       SOLE                    16400
CSX Corporation                STOCK            126408103      464   21900  SH       SOLE                    21900
CVS Corporation                STOCK            126650100     1668   41700  SH       SOLE                    41700
Cabletron Systems, Inc.        STOCK            126920107      472   18700  SH       SOLE                    18700
Cabot Industrial Trust         STOCK            127072106      201   10200  SH       SOLE                    10200
Camden Property Trust SBI      STOCK            133131102      281    9575  SH       SOLE                     9575
Campbell Soup Company          STOCK            134429109     1940   66622  SH       SOLE                    66622
Capital One Financial Corporat STOCK            14040H105      933   20900  SH       SOLE                    20900
Cardinal Health, Inc.          STOCK            14149Y108     2205   29800  SH       SOLE                    29800
Carnival Corporation           STOCK            143658102     1279   65600  SH       SOLE                    65600
Carramerica Realty Corp.       STOCK            144418100      448   16900  SH       SOLE                    16900
Caterpillar Inc.               STOCK            149123101     1233   36400  SH       SOLE                    36400
Cendant Corporation            STOCK            151313103     1051   75100  SH       SOLE                    75100
Centerpoint Properties Trust   STOCK            151895109      212    5200  SH       SOLE                     5200
CenturyTel, Inc.               STOCK            156700106      411   14300  SH       SOLE                    14300
Ceridian Corporation           STOCK            15677T106      601   24964  SH       SOLE                    24964
Charles Schwab Corporation     STOCK            808513105     4939  146900  SH       SOLE                   146900
Charter One Financial, Inc.    STOCK            160903100      508   22100  SH       SOLE                    22100
Chase Manhattan Corporation    STOCK            16161A108     6158  133700  SH       SOLE                   133700
Chateau Communities Inc.       STOCK            161726104      203    7200  SH       SOLE                     7200
Chemed Corporation             STOCK            163596109      352   12500  SH       SOLE                    12500
Chevron Corporation            STOCK            166751107     6667   78607  SH       SOLE                    78607
Chiquita Brands International, STOCK            170032106       74   18800  SH       SOLE                    18800
Chubb Corporation              STOCK            171232101     1156   18800  SH       SOLE                    18800
Cincinnati Financial Corporati STOCK            172062101      963   30629  SH       SOLE                    30629
Cinergy Corp.                  STOCK            172474108      788   31000  SH       SOLE                    31000
Cintas Corporation             STOCK            172908105      642   17493  SH       SOLE                    17493
Circuit City Stores-Circuit Ci STOCK            172737108      717   21600  SH       SOLE                    21600
Cisco Systems, Inc.            STOCK            17275R102    73145 1150802  SH       SOLE                  1150802
Citigroup Inc.                 STOCK            172967101    32762  543769  SH       SOLE                   543769
Citrix Systems, Inc.           STOCK            177376100      370   19520  SH       SOLE                    19520
Clear Channel Communications,  STOCK            184502102     3339   44522  SH       SOLE                    44522
Clorox Company                 STOCK            189054109     1129   25200  SH       SOLE                    25200
Coastal Corporation            STOCK            190441105     2262   37163  SH       SOLE                    37163
Coca-Cola Company              STOCK            191216100    23411  407644  SH       SOLE                   407644
Coca-Cola Enterprises Inc.     STOCK            191219104      739   45300  SH       SOLE                    45300
Colgate-Palmolive Company      STOCK            194162103     5655   94449  SH       SOLE                    94449
Columbia Energy Group          STOCK            197648108      532    8100  SH       SOLE                     8100
Comcast Corporation - Class A  STOCK            200300200     4022   99306  SH       SOLE                    99306
Comerica Incorporated          STOCK            200340107      749   16700  SH       SOLE                    16700
Compaq Computer Corporation    STOCK            204493100     4941  193299  SH       SOLE                   193299
Computer Associates Internatio STOCK            204912109     3222   62950  SH       SOLE                    62950
Computer Sciences Corporation  STOCK            205363104     2039   27301  SH       SOLE                    27301
Compuware Corporation          STOCK            205638109      379   36534  SH       SOLE                    36534
Comverse Technology, Inc.      STOCK            205862402     1540   16558  SH       SOLE                    16558
ConAgra, Inc.                  STOCK            205887102      997   52300  SH       SOLE                    52300
Conexant Systems, Inc.         STOCK            207142100     1136   23364  SH       SOLE                    23364
Conoco Inc. - Class B          STOCK            208251405     1633   66500  SH       SOLE                    66500
Conseco, Inc.                  STOCK            208464107      258   26500  SH       SOLE                    26500
Consolidated Edison, Inc.      STOCK            209115104      729   24600  SH       SOLE                    24600
Consolidated Stores Corporatio STOCK            210149100      133   11100  SH       SOLE                    11100
Constellation Energy Group     STOCK            210371100      498   15300  SH       SOLE                    15300
Convergys Corporation          STOCK            212485106     1888   36400  SH       SOLE                    36400
Cooper Industries, Inc.        STOCK            216669101      277    8500  SH       SOLE                     8500
Corning Incorporated           STOCK            219350105     8015   29700  SH       SOLE                    29700
Costco Wholesale Corporation   STOCK            22160K105     1576   47760  SH       SOLE                    47760
Countrywide Credit Industries, STOCK            222372104      364   12000  SH       SOLE                    12000
Cousins Properties Inc.        STOCK            222795106      316    8200  SH       SOLE                     8200
Crescent Real Estate Equities  STOCK            225756105      597   29100  SH       SOLE                    29100
Crown Cork & Seal Company, Inc STOCK            228255105      165   11000  SH       SOLE                    11000
DTE Energy Company             STOCK            233331107      660   21600  SH       SOLE                    21600
Dana Corporation               STOCK            235811106      347   16400  SH       SOLE                    16400
Danaher Corporation            STOCK            235851102      746   15100  SH       SOLE                    15100
Darden Restaurants, Inc.       STOCK            237194105      205   12600  SH       SOLE                    12600
Deere & Company                STOCK            244199105      921   24900  SH       SOLE                    24900
Dell Computer Corporation      STOCK            247025109    13888  281641  SH       SOLE                   281641
Delphi Automotive Systems Corp STOCK            247126105      873   59993  SH       SOLE                    59993
Delta Air Lines, Inc.          STOCK            247361108     1467   29012  SH       SOLE                    29012
Developers Diversified Realty  STOCK            251591103      231   15500  SH       SOLE                    15500
Dillard's, Inc. - Class A      STOCK            254067101      126   10300  SH       SOLE                    10300
Dollar General Corporation     STOCK            256669102      631   32350  SH       SOLE                    32350
Dominion Resources, Inc.       STOCK            25746U109     1681   39217  SH       SOLE                    39217
Dover Corporation              STOCK            260003108      880   21700  SH       SOLE                    21700
Dow Chemical Company           STOCK            260543103     3642  120683  SH       SOLE                   120683
Dow Jones & Company, Inc.      STOCK            260561105      637    8700  SH       SOLE                     8700
Duke Energy Corporation        STOCK            264399106     2762   49000  SH       SOLE                    49000
Duke-Weeks Realty Corporation  STOCK            264411505      965   43140  SH       SOLE                    43140
Dun & Bradstreet Corporation   STOCK            26483B106      489   17100  SH       SOLE                    17100
E. I. du Pont de Nemours and C STOCK            263534109     7637  174551  SH       SOLE                   174551
E. W. Scripps Company          STOCK            811054204      438    8900  SH       SOLE                     8900
EMC Corporation                STOCK            268648102    26529  344846  SH       SOLE                   344846
Eastman Chemical Company       STOCK            277432100      396    8300  SH       SOLE                     8300
Eastman Kodak Company          STOCK            277461109     3230   54283  SH       SOLE                    54283
Eaton Corporation              STOCK            278058102      482    7200  SH       SOLE                     7200
Ecolab Inc.                    STOCK            278865100      508   13000  SH       SOLE                    13000
Edison International           STOCK            281020107     1123   54800  SH       SOLE                    54800
El Paso Energy Corporation     STOCK            283905107     1243   24400  SH       SOLE                    24400
Electronic Data Systems Corpor STOCK            285661104     2067   50100  SH       SOLE                    50100
Eli Lilly and Company          STOCK            532457108    12174  121900  SH       SOLE                   121900
Emerson Electric Co.           STOCK            291011104     2765   45800  SH       SOLE                    45800
Engelhard Corporation          STOCK            292845104      210   12300  SH       SOLE                    12300
Enron Corp.                    STOCK            293561106     5102   79100  SH       SOLE                    79100
Entergy Corporation            STOCK            29364G103     1238   45564  SH       SOLE                    45564
Equifax Inc.                   STOCK            294429105      394   15000  SH       SOLE                    15000
Equity Office Properties Trust STOCK            294741103     2069   75071  SH       SOLE                    75071
Equity Residential Properties  STOCK            29476L107     1484   32255  SH       SOLE                    32255
Exxon Mobil Corporation        STOCK            30231G102    44661  568933  SH       SOLE                   568933
FPL Group, Inc.                STOCK            302571104     1317   26600  SH       SOLE                    26600
Fannie Mae                     STOCK            313586109     5682  108900  SH       SOLE                   108900
FedEx Corp.                    STOCK            31428X106     1781   46861  SH       SOLE                    46861
Federated Department Stores, I STOCK            31410H101     1033   30600  SH       SOLE                    30600
Felcor Loding Trust Inc.       STOCK            31430F101      255   13800  SH       SOLE                    13800
Fifth Third Bancorp            STOCK            316773100     3033   47948  SH       SOLE                    47948
First Data Corporation         STOCK            319963104     2213   44600  SH       SOLE                    44600
First Industrial Realty Trust  STOCK            32054K103      289    9800  SH       SOLE                     9800
First Union Corporation        STOCK            337358105     2605  105000  SH       SOLE                   105000
FirstEnergy Corp.              STOCK            337932107      736   31500  SH       SOLE                    31500
Firstar Corporation            STOCK            33763V109     2984  141691  SH       SOLE                   141691
FleetBoston Financial          STOCK            339030108     3309   97319  SH       SOLE                    97319
Florida Progress Corporation   STOCK            341109106      473   10100  SH       SOLE                    10100
Fluor Corporation              STOCK            343861100      369   11670  SH       SOLE                    11670
Ford Motor Company             STOCK            345370860     8791  204446  SH       SOLE                   204446
Fort James Corporation         STOCK            347471104      499   21600  SH       SOLE                    21600
Fortune Brands, Inc.           STOCK            349631101      380   16500  SH       SOLE                    16500
Franchise Finance Corp of Amer STOCK            351807102      327   14200  SH       SOLE                    14200
Franklin Resources, Inc.       STOCK            354613101      802   26400  SH       SOLE                    26400
Freddie Mac                    STOCK            313400301     2993   73900  SH       SOLE                    73900
Freeport-McMoRan Copper & Gold STOCK            35671D857      136   14700  SH       SOLE                    14700
GPU, Inc.                      STOCK            36225X100      357   13200  SH       SOLE                    13200
GTE Corporation                STOCK            362320103     6430  103300  SH       SOLE                   103300
Gannett Co., Inc.              STOCK            364730101     1902   31800  SH       SOLE                    31800
Gap, Inc.                      STOCK            364760108     2952   94465  SH       SOLE                    94465
Gateway, Inc.                  STOCK            367626108     1912   33700  SH       SOLE                    33700
General Dynamics Corporation   STOCK            369550108     1686   32273  SH       SOLE                    32273
General Electric Company       STOCK            369604103    87075 1642920  SH       SOLE                  1642920
General Growth Properties, Inc STOCK            370021107      416   13100  SH       SOLE                    13100
General Mills, Inc.            STOCK            370334104     1224   32000  SH       SOLE                    32000
General Motors Corporation     STOCK            370442105     6025  103776  SH       SOLE                   103776
Genuine Parts Company          STOCK            372460105      380   19000  SH       SOLE                    19000
Georgia-Pacific Group          STOCK            373298108      438   16700  SH       SOLE                    16700
Gillette Company               STOCK            375766102     3982  114000  SH       SOLE                   114000
Global Crossing Ltd.           STOCK            G3921A100     2542   96632  SH       SOLE                    96632
Golden West Financial Corporat STOCK            381317106      677   16600  SH       SOLE                    16600
Goodyear Tire & Rubber Company STOCK            382550101      334   16700  SH       SOLE                    16700
Guidant Corporation            STOCK            401698105     1614   32600  SH       SOLE                    32600
H&R Block, Inc.                STOCK            093671105      330   10200  SH       SOLE                    10200
H. J. Heinz Company            STOCK            423074103     2499   57130  SH       SOLE                    57130
HCA-The Healthcare Company     STOCK            404119109     3189  105009  SH       SOLE                   105009
HEALTHSOUTH Corporation        STOCK            421924101      271   37700  SH       SOLE                    37700
HRPT Properties Trust          STOCK            40426W101      230   33200  SH       SOLE                    33200
Halliburton Company            STOCK            406216101     3341   70809  SH       SOLE                    70809
Harcourt General, Inc.         STOCK            41163G101      424    7800  SH       SOLE                     7800
Harley-Davidson, Inc.          STOCK            412822108     1240   32200  SH       SOLE                    32200
Harrah's Entertainment, Inc.   STOCK            413619107      387   18476  SH       SOLE                    18476
Hartford Financial Services Gr STOCK            416515104     2235   39958  SH       SOLE                    39958
Hasbro, Inc.                   STOCK            418056107      261   17300  SH       SOLE                    17300
Health Care Property           STOCK            421915109      351   12878  SH       SOLE                    12878
Healthcare Realty Trust Inc.   STOCK            421946104      173   10133  SH       SOLE                    10133
Hercules Incorporated          STOCK            427056106      146   10400  SH       SOLE                    10400
Hershey Foods Corporation      STOCK            427866108      716   14700  SH       SOLE                    14700
Hewlett-Packard Company        STOCK            428236103    21353  171000  SH       SOLE                   171000
Highwoods Properties Inc.      STOCK            431284108      360   15000  SH       SOLE                    15000
Hilton Hotels Corporation      STOCK            432848109      311   33200  SH       SOLE                    33200
Home Depot, Inc.               STOCK            437076102    18892  378374  SH       SOLE                   378374
Homestake Mining Company       STOCK            437614100      271   39384  SH       SOLE                    39384
Honeywell International Inc.   STOCK            438516106     4385  130201  SH       SOLE                   130201
Hospitality Properties Trust   STOCK            44106M102      320   14200  SH       SOLE                    14200
Host Marriot Corp.             STOCK            44107P104      519   55400  SH       SOLE                    55400
Household International, Inc.  STOCK            441815107     2082   50100  SH       SOLE                    50100
Humana Inc.                    STOCK            444859102       82   16800  SH       SOLE                    16800
Huntington Bancshares Incorpor STOCK            446150104      386   24409  SH       SOLE                    24409
IMS Health Incorporated        STOCK            449934108      554   30800  SH       SOLE                    30800
ITT Industries, Inc.           STOCK            450911102      237    7800  SH       SOLE                     7800
Illinois Tool Works Inc.       STOCK            452308109     1818   31900  SH       SOLE                    31900
Inco Limited                   STOCK            453258402      314   20400  SH       SOLE                    20400
Ingersoll-Rand Company         STOCK            456866102      700   17400  SH       SOLE                    17400
Intel Corporation              STOCK            458140100    74369  556323  SH       SOLE                   556323
International Business Machine STOCK            459200101    32739  298823  SH       SOLE                   298823
International Flavors & Fragra STOCK            459506101      548   18150  SH       SOLE                    18150
International Paper Company    STOCK            460146103     2398   80455  SH       SOLE                    80455
Internet Capital Group, Inc.   STOCK            46059C106      681   18400  SH       SOLE                    18400
Interpublic Group of Companies STOCK            460690100     1398   32500  SH       SOLE                    32500
Intersil Holding Corporation   STOCK            46069S109      265    4900  SH       SOLE                     4900
Iomega Corporation             STOCK            462030107       76   19100  SH       SOLE                    19100
J. C. Penney Company, Inc.     STOCK            708160106      511   27700  SH       SOLE                    27700
J.P. Morgan & Co. Incorporated STOCK            616880100     2037   18500  SH       SOLE                    18500
Jefferson-Pilot Corporation    STOCK            475070108      632   11200  SH       SOLE                    11200
Johnson & Johnson              STOCK            478160104    24208  237632  SH       SOLE                   237632
Johnson Controls, Inc.         STOCK            478366107      436    8500  SH       SOLE                     8500
KLA-Tencor Corporation         STOCK            482480100     1202   20534  SH       SOLE                    20534
Kansas City Southern Industrie STOCK            485170302     1046   11800  SH       SOLE                    11800
Kellogg Company                STOCK            487836108     1282   43100  SH       SOLE                    43100
Kerr-McGee Corporation         STOCK            492386107      554    9400  SH       SOLE                     9400
KeyCorp                        STOCK            493267108      906   51404  SH       SOLE                    51404
Kimberly-Clark Corporation     STOCK            494368103     3391   59100  SH       SOLE                    59100
Kimco Realty Corp.             STOCK            49446R109      627   15300  SH       SOLE                    15300
Kmart Corporation              STOCK            482584109      591   86757  SH       SOLE                    86757
Knight-Ridder, Inc.            STOCK            499040103      447    8400  SH       SOLE                     8400
Kohl's Corporation             STOCK            500255104     1924   34600  SH       SOLE                    34600
Kroger Co.                     STOCK            501044101     2958  134100  SH       SOLE                   134100
LSI Industries Inc.            STOCK            50216C108      299   19700  SH       SOLE                    19700
LSI Logic Corporation          STOCK            502161102     1791   33100  SH       SOLE                    33100
Leggett & Platt, Incorporated  STOCK            524660107      323   19600  SH       SOLE                    19600
Lehman Brothers Holdings Inc.  STOCK            524908100     1210   12800  SH       SOLE                    12800
Lexmark International, Inc. -  STOCK            529771107      881   13100  SH       SOLE                    13100
Liberty Digital, Inc.          STOCK            530436104      477   15900  SH       SOLE                    15900
Liberty Property Trust         STOCK            531172104      438   16900  SH       SOLE                    16900
Limited, Inc.                  STOCK            532716107     1638   75752  SH       SOLE                    75752
Lincoln National Corporation   STOCK            534187109      748   20700  SH       SOLE                    20700
Linear Technology Corporation  STOCK            535678106     2168   33914  SH       SOLE                    33914
Liz Claiborne Inc.             STOCK            539320101      204    5800  SH       SOLE                     5800
Lockheed Martin Corporation    STOCK            539830109     1045   42100  SH       SOLE                    42100
Loews Corporation              STOCK            540424108      642   10700  SH       SOLE                    10700
Louisiana-Pacific Corporation  STOCK            546347105      116   10700  SH       SOLE                    10700
Lowe's Companies, Inc.         STOCK            548661107     1667   40600  SH       SOLE                    40600
Lucent Technologies Inc.       STOCK            549463107    31371  529475  SH       SOLE                   529475
MBIA Inc.                      STOCK            55262C100      482   10000  SH       SOLE                    10000
MBNA Corporation               STOCK            55262L100     2311   85200  SH       SOLE                    85200
MGIC Investment Corporation    STOCK            552848103      496   10900  SH       SOLE                    10900
Mack  Cali Realty Corporation  STOCK            554489104      380   14800  SH       SOLE                    14800
Mallinckrodt Inc.              STOCK            561232109      484   11139  SH       SOLE                    11139
Manor Care, Inc.               STOCK            564055101       78   11100  SH       SOLE                    11100
Marriott International, Inc. - STOCK            571903202      952   26400  SH       SOLE                    26400
Marsh & McLennan Companies, In STOCK            571748102     3039   29100  SH       SOLE                    29100
Masco Corporation              STOCK            574599106      858   47500  SH       SOLE                    47500
Mattel, Inc.                   STOCK            577081102      556   42200  SH       SOLE                    42200
Maxim Integrated Products, Inc STOCK            57772K101     2120   31211  SH       SOLE                    31211
May Department Stores Company  STOCK            577778103     1284   53517  SH       SOLE                    53517
Maytag Corporation             STOCK            578592107      277    7500  SH       SOLE                     7500
McDonald's Corporation         STOCK            580135101     7280  221061  SH       SOLE                   221061
McGraw-Hill Companies, Inc.    STOCK            580645109     1123   20800  SH       SOLE                    20800
McKesson HBOC, Inc.            STOCK            58155Q103      590   28200  SH       SOLE                    28200
Mead Corporation               STOCK            582834107      260   10300  SH       SOLE                    10300
MedImmune, Inc.                STOCK            584699102     1659   22423  SH       SOLE                    22423
Medtronic, Inc.                STOCK            585055106     6440  129300  SH       SOLE                   129300
Mellon Financial Corporation   STOCK            58551A108     1971   54100  SH       SOLE                    54100
Merck & Co., Inc.              STOCK            589331107    29379  383437  SH       SOLE                   383437
Meridian Diagnostics, Inc.     STOCK            589602101      123   15722  SH       SOLE                    15722
Meristar Hospitality Corp.     STOCK            58984Y103      244   11600  SH       SOLE                    11600
Merrill Lynch & Co., Inc.      STOCK            590188108     7111   61831  SH       SOLE                    61831
Micron Technology, Inc.        STOCK            595112103     5310   60300  SH       SOLE                    60300
Microsoft Corporation          STOCK            594918104    69943  874290  SH       SOLE                   874290
Milacron Inc.                  STOCK            598709103      242   16700  SH       SOLE                    16700
Millipore Corporation          STOCK            601073109      339    4500  SH       SOLE                     4500
Minnesota Mining and Manufactu STOCK            604059105     5615   68064  SH       SOLE                    68064
Molex Incorporated             STOCK            608554101     1008   20940  SH       SOLE                    20940
Morgan Stanley Dean Witter & C STOCK            617446448    15297  183744  SH       SOLE                   183744
Motorola, Inc.                 STOCK            620076109     6792  233711  SH       SOLE                   233711
NCR Corporation                STOCK            62886E108      389   10000  SH       SOLE                    10000
NIKE, Inc. - Class B           STOCK            654106103     1166   29300  SH       SOLE                    29300
Nabisco Group Holdings Corp.   STOCK            62952P102      866   33400  SH       SOLE                    33400
Nasdaq-100 Shares              STOCK            631100104      397    4264  SH       SOLE                     4264
National City Corporation      STOCK            635405103     1078   63200  SH       SOLE                    63200
National Semiconductor Corpora STOCK            637640103     1608   28331  SH       SOLE                    28331
Nationwide Health Properties I STOCK            638620104      162   11600  SH       SOLE                    11600
Network Appliance, Inc.        STOCK            64120L104     2650   32922  SH       SOLE                    32922
New Century Energies, Inc.     STOCK            64352U103      369   12300  SH       SOLE                    12300
New Plan Excel Realty Trust In STOCK            648053106      287   22060  SH       SOLE                    22060
New York Times Company - Class STOCK            650111107      719   18200  SH       SOLE                    18200
Newell Rubbermaid Inc.         STOCK            651229106      773   30000  SH       SOLE                    30000
Newmont Mining Corporation     STOCK            651639106      385   17800  SH       SOLE                    17800
Nextel Communications, Inc. -  STOCK            65332V103     5127   83797  SH       SOLE                    83797
Niagara Mohawk Holdings Inc.   STOCK            653520106      234   16800  SH       SOLE                    16800
Nordstrom, Inc.                STOCK            655664100      299   12400  SH       SOLE                    12400
Norfolk Southern Corporation   STOCK            655844108      983   66079  SH       SOLE                    66079
Nortel Networks Corporation    STOCK            656568102    32785  480373  SH       SOLE                   480373
Northern Trust Corporation     STOCK            665859104     1542   23700  SH       SOLE                    23700
Northrop Grumman Corporation   STOCK            666807102      477    7200  SH       SOLE                     7200
Novell, Inc.                   STOCK            670006105      305   32971  SH       SOLE                    32971
Novellus Systems, Inc.         STOCK            670008101      781   13800  SH       SOLE                    13800
Nucor Corporation              STOCK            670346105      295    8900  SH       SOLE                     8900
Occidental Petroleum Corporati STOCK            674599105     1259   59802  SH       SOLE                    59802
Office Depot, Inc.             STOCK            676220106      219   35000  SH       SOLE                    35000
Old Kent Financial Corporation STOCK            679833103      365   13650  SH       SOLE                    13650
Omnicom Group Inc.             STOCK            681919106     1683   18900  SH       SOLE                    18900
Oracle Corporation             STOCK            68389X105    41418  492715  SH       SOLE                   492715
Owens-Illinois, Inc.           STOCK            690768403      158   13500  SH       SOLE                    13500
PACCAR Inc                     STOCK            693718108      285    7171  SH       SOLE                     7171
PE Corp-PE Biosystems Group    STOCK            69332S102     1443   21900  SH       SOLE                    21900
PECO Energy Company            STOCK            693304107     1217   30200  SH       SOLE                    30200
PG&E Corporation               STOCK            69331C108     1403   57000  SH       SOLE                    57000
PNC Financial Services Group,  STOCK            693475105     1495   31900  SH       SOLE                    31900
PPG Industries, Inc.           STOCK            693506107      815   18400  SH       SOLE                    18400
PPL Corporation                STOCK            69351T106      333   15200  SH       SOLE                    15200
Pactiv Corporation             STOCK            695257105      135   17200  SH       SOLE                    17200
Paine Webber Group Inc.        STOCK            695629105      714   15700  SH       SOLE                    15700
Pall Corporation               STOCK            696429307      226   12200  SH       SOLE                    12200
Palm, Inc.                     STOCK            696642107     1211   36300  SH       SOLE                    36300
Parametric Technology Corporat STOCK            699173100      329   29930  SH       SOLE                    29930
Parker-Hannifin Corporation    STOCK            701094104      384   11200  SH       SOLE                    11200
Paychex, Inc.                  STOCK            704326107     1713   40787  SH       SOLE                    40787
PeopleSoft, Inc.               STOCK            712713106      463   27643  SH       SOLE                    27643
PepsiCo, Inc.                  STOCK            713448108    10488  236060  SH       SOLE                   236060
PerkinElmer, Inc.              STOCK            714046109      350    5300  SH       SOLE                     5300
Pfizer Inc.                    STOCK            717081103    32641  680025  SH       SOLE                   680025
Pharmacia Corporation          STOCK            71713U102    10582  204764  SH       SOLE                   204764
Phelps Dodge Corporation       STOCK            717265102      301    8100  SH       SOLE                     8100
Philip Morris Companies Inc.   STOCK            718154107     6749  254100  SH       SOLE                   254100
Phillips Petroleum Company     STOCK            718507106     1363   26900  SH       SOLE                    26900
Pinnacle West Capital Corporat STOCK            723484101      254    7500  SH       SOLE                     7500
Pitney Bowes Inc.              STOCK            724479100     1088   27200  SH       SOLE                    27200
Placer Dome Inc.               STOCK            725906101      278   29100  SH       SOLE                    29100
Polycom, Inc.                  STOCK            73172K104      226    2400  SH       SOLE                     2400
Pomeroy Computer Resources, In STOCK            731822102      295   20025  SH       SOLE                    20025
Post Properties Inc.           STOCK            737464107      436    9900  SH       SOLE                     9900
Praxair, Inc.                  STOCK            74005P104      599   16000  SH       SOLE                    16000
Prentiss Properties Trust      STOCK            740706106      218    9100  SH       SOLE                     9100
Procter & Gamble Company       STOCK            742718109    13891  242637  SH       SOLE                   242637
Progressive Corporation        STOCK            743315103      540    7300  SH       SOLE                     7300
Prologis Trust                 STOCK            743410102      871   40890  SH       SOLE                    40890
Provident Financial Group, Inc STOCK            743866105      289   12125  SH       SOLE                    12125
Providian Financial Corporatio STOCK            74406A102     1377   15300  SH       SOLE                    15300
Public Service Enterprise Grou STOCK            744573106     1198   34600  SH       SOLE                    34600
Public Storage Inc.            STOCK            74460D109      781   33322  SH       SOLE                    33322
QUALCOMM Incorporated          STOCK            747525103     4915   81921  SH       SOLE                    81921
Quaker Oats Company            STOCK            747402105     1067   14200  SH       SOLE                    14200
Quintiles Transnational Corp.  STOCK            748767100      150   10615  SH       SOLE                    10615
R. R. Donnelley & Sons Company STOCK            257867101      257   11400  SH       SOLE                    11400
RadioShack Corporation         STOCK            750438103     1601   33792  SH       SOLE                    33792
Ralston - Ralston Purina Compa STOCK            751277302     1029   51623  SH       SOLE                    51623
Raytheon Company - Class B     STOCK            755111408     1135   58982  SH       SOLE                    58982
Reckson Associates Realty Corp STOCK            75621K106      306   12900  SH       SOLE                    12900
Regions Financial Corporation  STOCK            758940100      463   23300  SH       SOLE                    23300
Reliant Energy, Incorporated   STOCK            75952J108     1286   43500  SH       SOLE                    43500
Rite Aid Corporation           STOCK            767754104      167   25400  SH       SOLE                    25400
Rockwell International Corpora STOCK            773903109     1002   31823  SH       SOLE                    31823
Rohm and Haas Company          STOCK            775371107      804   23300  SH       SOLE                    23300
Rouse Company                  STOCK            779273101      438   17700  SH       SOLE                    17700
Rowan Companies, Inc.          STOCK            779382100      273    9000  SH       SOLE                     9000
Royal Dutch Petroleum Company  STOCK            780257804    14270  231800  SH       SOLE                   231800
SAFECO Corporation             STOCK            786429100      232   11700  SH       SOLE                    11700
SBC Communications Inc.        STOCK            78387G103    16008  370124  SH       SOLE                   370124
SPYDERS                        STOCK            78462F103    18413  126742  SH       SOLE                   126742
SYSCO Corporation              STOCK            871829107     1512   35900  SH       SOLE                    35900
Sabre Holdings Corporation     STOCK            785905100      361   12671  SH       SOLE                    12671
Safeway Inc.                   STOCK            786514208     2441   54100  SH       SOLE                    54100
Sanmina Corporation            STOCK            800907107     1382   16166  SH       SOLE                    16166
Sapient Corporation            STOCK            803062108      646    6040  SH       SOLE                     6040
Sara Lee Corporation           STOCK            803111103     2821  146071  SH       SOLE                   146071
Schering-Plough Corporation    STOCK            806605101     7989  158200  SH       SOLE                   158200
Schlumberger Limited           STOCK            806857108     6807   91223  SH       SOLE                    91223
Scientific-Atlanta, Inc.       STOCK            808655104     1259   16900  SH       SOLE                    16900
Scottish Power PLC             STOCK            81013T705      265    7918  SH       SOLE                     7918
Seagate Technology, Inc.       STOCK            811804103     1348   24500  SH       SOLE                    24500
Seagram Company Ltd.           STOCK            811850106     2674   46100  SH       SOLE                    46100
Sealed Air Corporation         STOCK            81211K100      435    8300  SH       SOLE                     8300
Sears, Roebuck and Co.         STOCK            812387108     1975   60533  SH       SOLE                    60533
Sempra Energy                  STOCK            816851109      364   21400  SH       SOLE                    21400
Sherwin-Williams Company       STOCK            824348106      373   17600  SH       SOLE                    17600
Siebel Systems, Inc.           STOCK            826170102     3604   22036  SH       SOLE                    22036
Sigma-Aldrich Corporation      STOCK            826552101      319   10907  SH       SOLE                    10907
Simon Property Group, Inc.     STOCK            828806109      952   42900  SH       SOLE                    42900
Smith Charles E Residential Re STOCK            832197107      201    5300  SH       SOLE                     5300
Solectron Corporation          STOCK            834182107     2638   63000  SH       SOLE                    63000
SouthTrust Corporation         STOCK            844730101      403   17800  SH       SOLE                    17800
Southern Company               STOCK            842587107     3156  135408  SH       SOLE                   135408
Southwest Airlines Co.         STOCK            844741108     1015   53600  SH       SOLE                    53600
Spieker Properties, Inc.       STOCK            848497103      775   16400  SH       SOLE                    16400
Sprint Corp - PCS Group        STOCK            852061506     5873   38700  SH       SOLE                    98700
Sprint Corporation - FON Group STOCK            852061100     4830   94700  SH       SOLE                    94700
St. Jude Medical, Inc.         STOCK            790849103      376    8200  SH       SOLE                     8200
St. Paul Companies, Inc.       STOCK            792860108      819   24000  SH       SOLE                    24000
Stanley Works                  STOCK            854616109      207    8700  SH       SOLE                     8700
Staples, Inc.                  STOCK            855030102      778   50617  SH       SOLE                    50617
Starbucks Corporation          STOCK            855244109      760   19899  SH       SOLE                    19899
State Street Corporation       STOCK            857477103     1814   17100  SH       SOLE                    17100
Storage USA Inc.               STOCK            861907103      207    7000  SH       SOLE                     7000
Structural Dynamics Research C STOCK            863555108      466   30924  SH       SOLE                    30924
Summit Bancorp                 STOCK            866005101      458   18600  SH       SOLE                    18600
Sun Microsystems, Inc.         STOCK            866810104    15792  173671  SH       SOLE                   173671
SunTrust Banks, Inc.           STOCK            867914103     1553   34000  SH       SOLE                    34000
Sunoco, Inc.                   STOCK            86764P109      256    8700  SH       SOLE                     8700
Supervalu, Inc.                STOCK            868536103      238   12500  SH       SOLE                    12500
Synovus Financial Corp.        STOCK            87161C105      493   28000  SH       SOLE                    28000
T. Rowe Price Associates, Inc. STOCK            741477103      506   11900  SH       SOLE                    11900
TJX Companies, Inc.            STOCK            872540109      619   33000  SH       SOLE                    33000
TRW Inc.                       STOCK            872649108      529   12200  SH       SOLE                    12200
TXU Corporation                STOCK            873168108     1192   40400  SH       SOLE                    40400
Target Corporation             STOCK            87612E106     2848   49100  SH       SOLE                    49100
Taubman Centers Inc.           STOCK            876664103      145   13200  SH       SOLE                    13200
Tektronix, Inc.                STOCK            879131100      560    7561  SH       SOLE                     7561
Tellabs, Inc.                  STOCK            879664100     3062   44752  SH       SOLE                    44752
Temple-Inland Inc.             STOCK            879868107      210    5000  SH       SOLE                     5000
Tenet Healthcare Corporation   STOCK            88033G100      896   33200  SH       SOLE                    33200
Teradyne, Inc.                 STOCK            880770102     1374   18700  SH       SOLE                    18700
Texaco Inc.                    STOCK            881694103     3131   58800  SH       SOLE                    58800
Texas Instruments Incorporated STOCK            882508104    19036  277174  SH       SOLE                   277174
Textron Inc.                   STOCK            883203101      858   15800  SH       SOLE                    15800
Thermo Electron Corporation    STOCK            883556102      299   14200  SH       SOLE                    14200
Tiffany & Co.                  STOCK            886547108      520    7700  SH       SOLE                     7700
Time Warner Inc.               STOCK            887315109    10792  142000  SH       SOLE                   142000
Torchmark Corporation          STOCK            891027104      346   14000  SH       SOLE                    14000
Tosco Corporation              STOCK            891490302      430   15200  SH       SOLE                    15200
Toys R Us, Inc.                STOCK            892335100      619   42489  SH       SOLE                    42489
Transocean Sedco Forex Inc.    STOCK            G90078109     1447   27080  SH       SOLE                    27080
Tribune Company                STOCK            896047107     1399   39961  SH       SOLE                    39961
Tricon Global Restaurants, Inc STOCK            895953107      427   15100  SH       SOLE                    15100
Tyco International Ltd.        STOCK            902124106     8640  182384  SH       SOLE                   182384
U S West, Inc.                 STOCK            91273H101     4699   54800  SH       SOLE                    54800
U.S. Bancorp                   STOCK            902973106     2330  121025  SH       SOLE                   121025
US Airways Group, Inc.         STOCK            911905107      273    7000  SH       SOLE                     7000
USA Education Inc.             STOCK            90390U102      599   16000  SH       SOLE                    16000
UST Inc.                       STOCK            902911106      225   15300  SH       SOLE                    15300
USX-Marathon Group             STOCK            902905827      829   33100  SH       SOLE                    33100
Unicom Corporation             STOCK            904911104     1837   47489  SH       SOLE                    47489
Unilever N.V. - ADR            STOCK            904784709     2610   60700  SH       SOLE                    60700
Union Carbide Corporation      STOCK            905581104      703   14200  SH       SOLE                    14200
Union Pacific Corporation      STOCK            907818108      982   26400  SH       SOLE                    26400
Union Pacific Resources Group  STOCK            907834105      568   25800  SH       SOLE                    25800
Union Planters Corporation     STOCK            908068109      416   14900  SH       SOLE                    14900
Unisys Corporation             STOCK            909214108      710   48793  SH       SOLE                    48793
United Dominion Realty Trust I STOCK            910197102      286   26000  SH       SOLE                    26000
United Technologies Corporatio STOCK            913017109     4548   77258  SH       SOLE                    77258
UnitedHealth Group Incorporate STOCK            91324P102     1544   18000  SH       SOLE                    18000
Unocal Corporation             STOCK            915289102      854   25800  SH       SOLE                    25800
UnumProvident Corporation      STOCK            91529Y106      483   24100  SH       SOLE                    24100
VERITAS Software Corporation   STOCK            923436109     4860   43003  SH       SOLE                    43003
VF Corporation                 STOCK            918204108      298   12500  SH       SOLE                    12500
Verizon Communications, Inc.   STOCK            92343V104    12883  253558  SH       SOLE                   253558
Viacom Inc. - Class B          STOCK            925524308    16350  239810  SH       SOLE                   239810
Visteon Corp                   STOCK            92839U107      325   26775  SH       SOLE                    26775
Vornado Realty Trust SBI       STOCK            929042109      758   21800  SH       SOLE                    21800
Vulcan Materials Company       STOCK            929160109      431   10100  SH       SOLE                    10100
W. R. Grace & Co.              STOCK            38388F108      150   12400  SH       SOLE                    12400
W.W. Grainger, Inc.            STOCK            384802104      305    9900  SH       SOLE                     9900
Wachovia Corporation           STOCK            929771103     1128   20800  SH       SOLE                    20800
Wal-Mart Stores, Inc.          STOCK            931142103    41953  728101  SH       SOLE                   728101
Walgreen Co.                   STOCK            931422109     3440  106900  SH       SOLE                   106900
Walt Disney Company            STOCK            254687106    13228  340831  SH       SOLE                   340831
Washington Mutual, Inc.        STOCK            939322103     1773   61400  SH       SOLE                    61400
Waste Management, Inc.         STOCK            94106L109     1252   65900  SH       SOLE                    65900
Watson Pharmaceuticals, Inc.   STOCK            942683103      554   10300  SH       SOLE                    10300
Weingarten Realty Investors    STOCK            948741103      270    6700  SH       SOLE                     6700
Wellpoint Health Networks Inc. STOCK            94973H108      456    6300  SH       SOLE                     6300
Wells Fargo & Company          STOCK            949746101    10347  267020  SH       SOLE                   267020
Wendy's International, Inc.    STOCK            950590109      208   11700  SH       SOLE                    11700
Westvaco Corporation           STOCK            961548104      226    9100  SH       SOLE                     9100
Weyerhaeuser Company           STOCK            962166104     1584   36832  SH       SOLE                    36832
Whirlpool Corporation          STOCK            963320106      350    7500  SH       SOLE                     7500
Willamette Industries, Inc.    STOCK            969133107      305   11200  SH       SOLE                    11200
Williams Companies, Inc.       STOCK            969457100     2906   69714  SH       SOLE                    69714
Winn-Dixie Stores, Inc.        STOCK            974280109      190   13300  SH       SOLE                    13300
Wm. Wrigley Jr. Company        STOCK            982526105      986   12300  SH       SOLE                    12300
WorldCom, Inc.                 STOCK            98157D106    14275  311209  SH       SOLE                   311209
XCEL Energy Inc.               STOCK            98389B100      333   16500  SH       SOLE                    16500
Xerox Corporation              STOCK            984121103     2217  106835  SH       SOLE                   106835
Xilinx, Inc.                   STOCK            983919101     2884   34934  SH       SOLE                    34934
Yahoo! Inc.                    STOCK            984332106     7337   59231  SH       SOLE                    59231
Young & Rubicam Inc.           STOCK            987425105      412    7200  SH       SOLE                     7200
Ziff-Davis Inc.                STOCK            989511100      105   11700  SH       SOLE                    11700
GATEWAY FUND                   MTL FND          367829207     9172  364542  SH       SOLE                   364542
GATEWAY SMALL CAP INDEX FUND   MTL FND          367829405     9451  655379  SH       SOLE                   655379
HILLSTREET FUND                MTL FND                         311     311  SH       SOLE                      311
NATIONS GOVERNMENT INCOME TERM MTL FND          638584102      420   48400  SH       SOLE                    48400
TEMPLETON GLOBAL INCOME FUND   MTL FND          880198106      603   97400  SH       SOLE                    97400
THE CINCINNATI FUND            MTL FND          367829603      910   48422  SH       SOLE                    48422
</TABLE>


© 2022 IncJournal is not affiliated with or endorsed by the U.S. Securities and Exchange Commission