CAPITAL RESEARCH & MANAGEMENT CO
13F-HR, 1999-05-14
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                             FORM 13F

INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO
SECTION 13(F) OF THE SECURITIES AND EXCHANGE ACT OF 1934 AND RULES
THEREUNDER
                                
Securities and Exchange Commission
Washington, D.C. 20549
                                
Report for calendar quarter ended: March 31, 1999  
                                
If amended report check here:  [  ]


Name of Institutional Investment Manager:    

Capital Research and Management Company
333 South Hope Street
Los Angeles, California  90071-1447

Name, Phone No., and Title of Person Duly Authorized to Submit this Report:

Paul G. Haaga, Jr.
Executive Vice President 
(213) 486-9216


ATTENTION: Intentional misstatements or omissions of facts constitute Federal
Criminal Violations.  See 18 U.S.C. 1001 and 15 U.S.C. 78ff(a). 


The institutional investment manager submitting this Form and its attachments
and the person by whom it is signed represent hereby that all information
contained therein is true, correct and complete.  It is understood that all
required items, statements and schedules are considered integral parts of this
Form and that the submission of any amendment represents that all unamended
items, statements and schedules retain true, correct and complete as 
previously submitted.

Pursuant to the requirements of Securities Exchange Act of 1934, the 
undersigned institutional investment manager has caused this report to be
signed on its behalf in the City of Los Angeles and State of California on the
13th day of May, 1999.

Capital Research and Management Company
(Name of Institutional Investment Manager)

Paul G. Haaga, Jr.*
Paul G. Haaga, Jr., Executive Vice President
(Manual Signature of Person Duly Authorized to submit this Report)

*By: /s/ James P. Ryan                            
         James P. Ryan
         Attorney-in-fact
                                        
Signed pursuant to a Power of Attorney dated January 29, 1999 included as
an Exhibit to Schedule 13G filed with the Securities and Exchange
Commission by Capital Research and Management Company on February 8, 1999
with respect to ABR Information Services, Inc.

Name and 13F file number of All Institutional Investment Managers with 
respect to which this schedule is filed (other than the one filing this
report).

(List in alphabetical order)
Name:   1.  The Capital Group Companies, Inc.             
            13F File No.:  28-218

<PAGE>

                          FORM 13F SUMMARY PAGE

Report Summary:

Number of Other Included Managers:             1

Form 13F Information Table Entry Total:        864

Form 13F Information Table Value Total:        $184,619,295.4


Pursuant to regulation section 240.24b-2, certain confidential
material has been filed with the Secretary of the Securities
and Exchange Commission for non-public treatment.


List of Other Included Managers:

No.   13F File Number           Name
1     28-818                    The Capital Group Companies, Inc.

<PAGE>

<TABLE> 

     FORM 13F - FILE NO. 28-157                                                                                     PAGE     1
     NAME OF REPORTING MANAGER - CAPITAL RESEARCH AND MANAGEMENT COMPANY#                                         MAR 31, 1999


              ITEM 1 AND 2               ITEM 3         ITEM 4         ITEM 5      ITEM 6  ITEM 7*        ITEM 8
                                                                     SHARES OF
                                                                     PRINCIPAL    INVESTMENT           VOTING AUTHORITY
      NAME OF ISSUER/TITLE OF CLASS                 FAIR MARKET         AMOUNT    DISCRETION           (SHARES - 000'S)
                                                                                 ------------     ----------------------------
   (COMMON UNLESS OTHERWISE INDICATED)    CUSIP    VALUE ($000'S)      (000'S)   SOLE SHR OTH MGR     SOLE     SHARED     NONE
- --------------------------------------   --------- --------------  ------------- ------------ --- ----------------------------
<S>                                      <C>       <C> <C>         <C>           <C>  <C> <C> <C> <C>         <C>     <C>
20TH CENTURY INDUSTRIES INC              901272203 $    48,750.0         3,000.0       X       1                       3,000.0
3COM CORP                                885535104     136,494.7         5,855.0       X       1                       5,855.0
@ ENTERTAINMENT INC                      045920105       6,032.5           635.0       X       1                         635.0
ABBOTT LABORATORIES                      002824100     140,437.5         3,000.0       X       1                       3,000.0
ABITIBI-CONSOLIDATED INC C$              003924107      85,074.6         9,500.0       X       1                       9,500.0
ABR INFORMATION SERVICES INC             00077R108      58,380.0         3,360.0       X       1                       3,360.0
ADAPTEC INC                              00651F108     180,241.6         7,901.0       X       1                       7,901.0
ADAPTEC INC CV SUB NT 4.75% 02/01/04     00651FAC2      12,450.0       $15,000.0       X       1                     $15,000.0
ADC TELECOMMUNICATIONS INC               000886101     207,006.7         4,340.9       X       1                       4,340.9
ADELPHIA COMMUNICATIONS CORP CL A        006848105      84,735.0         1,345.0       X       1                       1,345.0
ADOBE SYSTEMS INC                        00724F101      45,116.3           795.0       X       1                         795.0
ADVANCED MICRO DEVICES INC               007903107     153,629.8         9,911.6       X       1                       9,911.6
AETNA INC                                008117103     458,575.0         5,525.0       X       1                       5,525.0
AGL RESOURCES INC                        001204106      21,175.1         1,205.7       X       1                       1,205.7
AHL SERVICES INC                         001296102       5,125.0           250.0       X       1                         250.0
AIR PRODS & CHEMICAL                     009158106     417,165.0        12,180.0       X       1                      12,180.0
AIRGAS INC                               009363102      42,223.4         5,041.6       X       1                       5,041.6
AIRTOUCH COMM INC                        00949T100   1,561,857.4        16,164.1       X       1                      16,164.1
ALBERTSON'S INC                          013104104     790,621.6        14,556.9       X       1                      14,556.9
ALCOA INC                                013817101     589,418.9        14,310.6       X       1                      14,310.6
ALEXANDER & BALDWIN INC                  014482103      50,534.4         2,575.0       X       1                       2,575.0
ALLEGHENY TELEDYNE INC                   017415100     208,691.3        11,020.0       X       1                      11,020.0
ALLIANCE ATLANTIS COMM CL B N/V C$       01853E204      14,454.8           917.5       X       1                         917.5
ALLIED WASTE INDS                        019589308     206,285.9        14,288.2       X       1                      14,288.2
ALLIEDSIGNAL INC                         019512102     820,447.5        16,680.0       X       1                      16,680.0
ALLSTATE CORP (THE)                      020002101     783,871.9        21,150.0       X       1                      21,150.0
ALTERA CORP                              021441100     395,532.2         6,647.6       X       1                       6,647.6
ALZA CORP                                022615108      90,888.4         2,376.2       X       1                       2,376.2
AMB PROPERTY CORPORATION                 00163T109      74,596.3         3,595.0       X       1                       3,595.0
AMCORE FINANCIAL INC                     023912108       9,886.6           477.9       X       1                         477.9
AMEREN CORPORATION                       023608102     367,498.5        10,155.4       X       1                      10,155.4
AMERICAN CAPITAL STRATEGIES              024937104      11,713.5           684.0       X       1                         684.0
AMERICAN DENTAL PARTNERS INC             025353103       3,488.6           443.0       X       1                         443.0


                                                  --------------
                                    SUB-TOTAL     $  8,082,399.8



#  PURSUANT TO REG. SEC. 240.24B-2 CERTAIN CONFIDENTIAL MATERIAL HAS BEEN FILED WITH THE SECRETARY OF THE SEC FOR NON-PUBLIC
   TREATMENT
*  INVESTMENT DISCRETION IS DISCLAIMED BY THE CAPITAL GROUP COMPANIES, INC FOR ALL PURPOSES OTHER THAN FORM 13F
<PAGE>
 

     FORM 13F - FILE NO. 28-157                                                                                     PAGE     2
     NAME OF REPORTING MANAGER - CAPITAL RESEARCH AND MANAGEMENT COMPANY#                                         MAR 31, 1999


              ITEM 1 AND 2               ITEM 3         ITEM 4         ITEM 5      ITEM 6  ITEM 7*        ITEM 8
                                                                     SHARES OF
                                                                     PRINCIPAL    INVESTMENT           VOTING AUTHORITY
      NAME OF ISSUER/TITLE OF CLASS                 FAIR MARKET         AMOUNT    DISCRETION           (SHARES - 000'S)
                                                                                 ------------     ----------------------------
   (COMMON UNLESS OTHERWISE INDICATED)    CUSIP    VALUE ($000'S)      (000'S)   SOLE SHR OTH MGR     SOLE     SHARED     NONE
- --------------------------------------   --------- --------------  ------------- ------------ --- ----------------------------

AMERICAN ELECTRIC POWER CO INC           025537101 $   322,460.9         8,125.0       X       1                       8,125.0
AMERICAN EXPRESS CO                      025816109      70,500.0           600.0       X       1                         600.0
AMERICAN GENERAL CORP                    026351106     910,923.5        12,920.9       X       1                      12,920.9
AMERICAN HEALTHCORP INC                  02649V104       3,980.3           522.0       X       1                         522.0
AMERICAN HOME PRODUCTS CORP              026609107     243,056.3         3,725.0       X       1                       3,725.0
AMERICAN INTL GROUP                      026874107     987,127.1         8,183.4       X       1                       8,183.4
AMERICAN STORES                          030096101     905,124.0        27,428.0       X       1                      27,428.0
AMERICAN TOWER CORP CL A                 029912201       9,800.0           400.0       X       1                         400.0
AMERICAN WATER WORKS CO INC              030411102      62,484.4         2,150.0       X       1                       2,150.0
AMERITECH CORP                           030954101   2,149,327.0        37,137.4       X       1                      37,137.4
AMF BOWLING CV DEB 0.00% 05/12/18 144A   03113VAA7      15,525.0      $135,000.0       X       1                    $135,000.0
AMGEN INC                                031162100     209,650.0         2,800.0       X       1                       2,800.0
AMP INC                                  031897101     270,355.3         5,035.7       X       1                       5,035.7
AMR CORPORATION                          001765106     623,690.6        10,650.0       X       1                      10,650.0
AMSOUTH BANCORP                          032165102     185,276.0         4,072.0       X       1                       4,072.0
AMSURG CORP CL A                         03232P108       1,750.0           250.0       X       1                         250.0
AMSURG CORP CL B                         03232P207       2,169.8           310.0       X       1                         310.0
AMWAY JAPAN ADS                          03234J100       2,543.0           581.3       X       1                         581.3
ANALOG DEVICES                           032654105     191,044.5         6,421.7       X       1                       6,421.7
ANESTA CORP                              034603100      16,696.3           740.0       X       1                         740.0
ANNTAYLOR STORES                         036115103       6,628.1           150.0       X       1                         150.0
ANTEC CORP                               03664P105      15,480.0           720.0       X       1                         720.0
ANTENNA TV SA ADS                        03672N100      11,700.0           900.0       X       1                         900.0
AON CORP                                 037389103     678,562.1        10,728.3       X       1                      10,728.3
APARTMENT INVT & MGMT CO CL A            03748R101      61,081.3         1,685.0       X       1                       1,685.0
APOLLO GROUP INC CL A                    037604105      35,850.0         1,200.0       X       1                       1,200.0
APPLIED MATERIALS                        038222105     537,915.0         8,720.0       X       1                       8,720.0
APPLIED MICRO CIRCUITS CORP              03822W109      10,687.5           250.0       X       1                         250.0
ARCHER DANIELS MIDLAND CO                039483102     119,409.4         8,130.0       X       1                       8,130.0
ARCHSTONE COMMUN TR                      039581103     108,330.3         5,382.9       X       1                       5,382.9
ASCEND COMMUNICATIONS INC                043491109     167,375.0         2,000.0       X       1                       2,000.0
ASCENT ENTERTAINMENT GROUP INC           043628106      17,213.4         1,573.8       X       1                       1,573.8
ASHLAND INC                              044204105     288,560.3         7,048.8       X       1                       7,048.8


                                                  --------------
                                    SUB-TOTAL     $  9,242,276.2



#  PURSUANT TO REG. SEC. 240.24B-2 CERTAIN CONFIDENTIAL MATERIAL HAS BEEN FILED WITH THE SECRETARY OF THE SEC FOR NON-PUBLIC
   TREATMENT
*  INVESTMENT DISCRETION IS DISCLAIMED BY THE CAPITAL GROUP COMPANIES, INC FOR ALL PURPOSES OTHER THAN FORM 13F
<PAGE>
 

     FORM 13F - FILE NO. 28-157                                                                                     PAGE     3
     NAME OF REPORTING MANAGER - CAPITAL RESEARCH AND MANAGEMENT COMPANY#                                         MAR 31, 1999


              ITEM 1 AND 2               ITEM 3         ITEM 4         ITEM 5      ITEM 6  ITEM 7*        ITEM 8
                                                                     SHARES OF
                                                                     PRINCIPAL    INVESTMENT           VOTING AUTHORITY
      NAME OF ISSUER/TITLE OF CLASS                 FAIR MARKET         AMOUNT    DISCRETION           (SHARES - 000'S)
                                                                                 ------------     ----------------------------
   (COMMON UNLESS OTHERWISE INDICATED)    CUSIP    VALUE ($000'S)      (000'S)   SOLE SHR OTH MGR     SOLE     SHARED     NONE
- --------------------------------------   --------- --------------  ------------- ------------ --- ----------------------------

ASPECT DEVELOPMENT INC                   045234101 $    14,580.1           627.1       X       1                         627.1
ASPEN TECHNOLOGY INC                     045327103      16,315.6         1,150.0       X       1                       1,150.0
ASSOC 1ST CAPL CL A                      046008108     133,734.2         2,971.9       X       1                       2,971.9
ASSOCIATED BANC-CORP                     045487105      24,951.2           781.3       X       1                         781.3
ASTRA AB A SPON ADR                      046298105     376,098.5        16,396.7       X       1                      16,396.7
AT&T CORP                                001957109   3,086,194.6        38,668.1       X       1                      38,668.1
AT&T CORP LIBERTY MEDIA GROUP CL A       001957208   2,514,517.8        47,781.8       X       1                      47,781.8
ATLANTIC COAST AIRLINES HOLDINGS INC     048396105      23,906.3           850.0       X       1                         850.0
ATLANTIC RICHFIELD                       048825103   1,455,766.0        19,942.0       X       1                      19,942.0
AUTO DATA PROCSSING                      053015103      10,450.8           252.6       X       1                         252.6
AUTODESK INC                             052769106     219,450.3         5,426.9       X       1                       5,426.9
AUTOZONE INC                             053332102     218,396.3         7,190.0       X       1                       7,190.0
AVANT IMMUNOTHERAPEUTICS                 053491106         781.3           500.0       X       1                         500.0
AVERY DENNISON CORP                      053611109     105,800.0         1,840.0       X       1                       1,840.0
AVIRON                                   053762100      12,842.6           634.2       X       1                         634.2
AVON PRODUCTS INC                        054303102     538,404.4        11,440.2       X       1                      11,440.2
BAKER HUGHES                             057224107     607,544.6        24,989.0       X       1                      24,989.0
BALLY TOTAL FITNESS HLDG CORP            05873K108      24,125.7         1,010.5       X       1                       1,010.5
BALTIMORE GAS & ELEC                     059165100     281,662.5        11,100.0       X       1                      11,100.0
BANCO DE GALICIA ADR B SPON              059538207      14,518.3           903.9       X       1                         903.9
BANCO RIO DE LA PLATA B SPON ADR         059644104       2,127.1           221.0       X       1                         221.0
BANCO SANTANDER CENTRAL HISPANO ADS      05964H105      22,169.7         1,101.6       X       1                       1,101.6
BANCWEST CORP                            059790105      97,750.0         2,300.0       X       1                       2,300.0
BANK OF AMERICA CORP                     060505104   3,798,747.0        53,787.6       X       1                      53,787.6
BANK OF NEW YORK                         064057102     637,890.6        17,750.0       X       1                      17,750.0
BANK OF TOKYO-MITSUBISHI LTD SPON ADR    065379109      28,476.6         2,025.0       X       1                       2,025.0
BANK ONE CORP                            06423A103   1,060,405.3        19,258.2       X       1                      19,258.2
BANKBOSTON CORP                          06605R106      83,384.4         1,925.2       X       1                       1,925.2
BANKERS TRUST CORP                       066365107     677,654.1         7,678.8       X       1                       7,678.8
BARRICK GOLD CORP US$                    067901108     218,400.0        12,800.0       X       1                      12,800.0
BAXTER INTERNATIONAL                     071813109     356,400.0         5,400.0       X       1                       5,400.0
BEC ENERGY                               05538M101      59,351.3         1,615.0       X       1                       1,615.0
BELL ATLANTIC                            077853109     165,400.0         3,200.0       X       1                       3,200.0


                                                  --------------
                                    SUB-TOTAL     $ 16,888,196.9



#  PURSUANT TO REG. SEC. 240.24B-2 CERTAIN CONFIDENTIAL MATERIAL HAS BEEN FILED WITH THE SECRETARY OF THE SEC FOR NON-PUBLIC
   TREATMENT
*  INVESTMENT DISCRETION IS DISCLAIMED BY THE CAPITAL GROUP COMPANIES, INC FOR ALL PURPOSES OTHER THAN FORM 13F
<PAGE>
 

     FORM 13F - FILE NO. 28-157                                                                                     PAGE     4
     NAME OF REPORTING MANAGER - CAPITAL RESEARCH AND MANAGEMENT COMPANY#                                         MAR 31, 1999


              ITEM 1 AND 2               ITEM 3         ITEM 4         ITEM 5      ITEM 6  ITEM 7*        ITEM 8
                                                                     SHARES OF
                                                                     PRINCIPAL    INVESTMENT           VOTING AUTHORITY
      NAME OF ISSUER/TITLE OF CLASS                 FAIR MARKET         AMOUNT    DISCRETION           (SHARES - 000'S)
                                                                                 ------------     ----------------------------
   (COMMON UNLESS OTHERWISE INDICATED)    CUSIP    VALUE ($000'S)      (000'S)   SOLE SHR OTH MGR     SOLE     SHARED     NONE
- --------------------------------------   --------- --------------  ------------- ------------ --- ----------------------------

BELO A H CL A                            080555105 $    29,200.0         1,600.0       X       1                       1,600.0
BERINGER WINE ESTATES HOLDINGS INC CL B  084102102      39,030.4         1,073.0       X       1                       1,073.0
BERKSHIRE HATHAWAY INC CL A              084670108     156,080.4             2.2       X       1                           2.2
BESTFOODS                                08658U101     274,028.8         5,830.4       X       1                       5,830.4
BHC COMM CL A                            055448104      49,695.3           404.9       X       1                         404.9
BIOCHEM PHARMA INC US$                   09058T108      43,903.8         2,060.0       X       1                       2,060.0
BJ SERVICES                              055482103      23,437.5         1,000.0       X       1                       1,000.0
BLACK BOX CORPORATION                    091826107      46,996.0         1,516.0       X       1                       1,516.0
BOEING CO                                097023105     728,955.7        21,361.3       X       1                      21,361.3
BOMBAY COMPANY                           097924104      12,442.0         3,110.5       X       1                       3,110.5
BOSTON PROPERTIES INC                    101121101     112,256.1         3,549.6       X       1                       3,549.6
BOWATER INC                              102183100      99,260.6         2,505.0       X       1                       2,505.0
BP AMOCO PLC ADS                         055622104     640,327.0         6,343.8       X       1                       6,343.8
BRADLEY REAL ESTATE INC                  104580105      18,940.6         1,045.0       X       1                       1,045.0
BRIGGS & STRATTON                        109043109      31,022.5           629.1       X       1                         629.1
BRIGHT HORIZONS FAMILY SOLUTIONS         109195107      22,968.8         1,050.0       X       1                       1,050.0
BRIGHTPOINT INC                          109473108      16,138.8         2,732.5       X       1                       2,732.5
BRINKER INTL INC                         109641100     134,225.0         5,200.0       X       1                       5,200.0
BRISTOL-MYERS SQUIBB                     110122108   1,600,095.0        24,880.0       X       1                      24,880.0
BROWNING-FERRIS                          115885105     671,662.3        17,417.5       X       1                      17,417.5
BRYLANE INC                              117661108         727.5            30.0       X       1                          30.0
BUCKEYE TECHNOLOGY                       118255108       7,000.0           500.0       X       1                         500.0
BUDGET GROUP INC CL A                    119003101      10,535.0           860.0       X       1                         860.0
BUSH BOAKE ALLEN INC                     123162109      14,674.0           533.6       X       1                         533.6
C H ROBINSON WORLDWIDE INC               12541W100       2,543.8           100.0       X       1                         100.0
CABLEVISION SYSTEMS CORP NEW CL A        12686C109     361,730.0         4,880.0       X       1                       4,880.0
CABOT INDUSTRIAL TRUST                   127072106      13,118.1           695.0       X       1                         695.0
CADIZ INC                                127537108      17,407.2         2,175.9       X       1                       2,175.9
CAMBREX CORP                             132011107      55,976.3         2,530.0       X       1                       2,530.0
CAPITAL ONE FINANCIAL CORP               14040H105     249,150.0         1,650.0       X       1                       1,650.0
CARAUSTAR INDS INC                       140909102       8,855.0           385.0       X       1                         385.0
CARBIDE/GRAPHITE GROUP INC (THE)         140777103       3,100.5           285.1       X       1                         285.1
CARDINAL HEALTH INC                      14149Y108      99,415.1         1,506.3       X       1                       1,506.3


                                                  --------------
                                    SUB-TOTAL     $  5,594,899.0



#  PURSUANT TO REG. SEC. 240.24B-2 CERTAIN CONFIDENTIAL MATERIAL HAS BEEN FILED WITH THE SECRETARY OF THE SEC FOR NON-PUBLIC
   TREATMENT
*  INVESTMENT DISCRETION IS DISCLAIMED BY THE CAPITAL GROUP COMPANIES, INC FOR ALL PURPOSES OTHER THAN FORM 13F
<PAGE>
 

     FORM 13F - FILE NO. 28-157                                                                                     PAGE     5
     NAME OF REPORTING MANAGER - CAPITAL RESEARCH AND MANAGEMENT COMPANY#                                         MAR 31, 1999


              ITEM 1 AND 2               ITEM 3         ITEM 4         ITEM 5      ITEM 6  ITEM 7*        ITEM 8
                                                                     SHARES OF
                                                                     PRINCIPAL    INVESTMENT           VOTING AUTHORITY
      NAME OF ISSUER/TITLE OF CLASS                 FAIR MARKET         AMOUNT    DISCRETION           (SHARES - 000'S)
                                                                                 ------------     ----------------------------
   (COMMON UNLESS OTHERWISE INDICATED)    CUSIP    VALUE ($000'S)      (000'S)   SOLE SHR OTH MGR     SOLE     SHARED     NONE
- --------------------------------------   --------- --------------  ------------- ------------ --- ----------------------------

CARNIVAL CORP                            143658102 $   670,453.9        13,806.0       X       1                      13,806.0
CAROLINA PWR & LIGHT                     144141108     327,305.0         8,656.0       X       1                       8,656.0
CARRAMERICA RLTY                         144418100      54,494.4         2,470.0       X       1                       2,470.0
CASELLA WASTE SYSTEMS INC CL A           147448104      15,241.0           675.5       X       1                         675.5
CATELLUS DEVELOPMENT                     149111106       6,687.5           500.0       X       1                         500.0
CATERPILLAR INC                          149123101     345,771.6         7,527.0       X       1                       7,527.0
CB RICHARD ELLIS SVS GROUP INC           12489L108      25,456.2         1,542.8       X       1                       1,542.8
CBS CORPORATION                          12490K107     259,748.4         6,345.0       X       1                       6,345.0
CBT GROUP PLC SPON ADS                   124853300      32,139.4         2,810.0       X       1                       2,810.0
CD RADIO INC                             125127100       4,573.4           175.9       X       1                         175.9
CELESTIAL SEASONINGS INC                 151016102      11,461.3           530.0       X       1                         530.0
CENDANT CORPORATION                      151313103   1,583,209.9       100,521.3       X       1                     100,521.3
CENTERPOINT PROPERTIES CORP              151895109      18,125.0           580.0       X       1                         580.0
CENTRAL EUROPEAN MEDIA ENTERPRISES CL A  153445903      17,510.0         1,360.0       X       1                       1,360.0
CENTRAL/SOUTHWEST                        152357109     429,862.5        18,340.8       X       1                      18,340.8
CENTURY COMM CL A                        156503104     165,549.7         3,565.0       X       1                       3,565.0
CENTURY TEL ENTPRS                       156686107      37,671.6           536.3       X       1                         536.3
CHAMPION INTL CORP                       158525105     225,022.5         5,480.0       X       1                       5,480.0
CHANCELLOR MEDIA CORP                    158915108      32,784.9           695.7       X       1                         695.7
CHARTER ONE FINL INC                     160903100      64,174.2         2,223.7       X       1                       2,223.7
CHASE MANHATTAN NEW                      16161A108   1,701,764.9        20,928.7       X       1                      20,928.7
CHECK POINT SOFTWARE TECH                162775902      10,750.0           250.0       X       1                         250.0
CHEESECAKE FACTORY                       163072101      31,107.8         1,309.8       X       1                       1,309.8
CHESAPEAKE CORP                          165159104      23,303.1           859.1       X       1                         859.1
CHEVRON CORP                             166751107   1,050,681.7        11,880.5       X       1                      11,880.5
CHINA TELECOM (HONG KONG) LTD SPON ADR   169428109      11,534.4           345.6       X       1                         345.6
CHOICEPOINT INC                          170388102      22,942.5           460.0       X       1                         460.0
CHRIS CRAFT INDS INC                     170520100      78,385.6         1,718.0       X       1                       1,718.0
CIGNA CORP                               125509109      12,571.9           150.0       X       1                         150.0
CIMA LABS INC                            171796105       1,890.2           617.2       X       1                         617.2
CINAR CORPORATION CL B SUB VTG US$       171905300      19,103.8           830.6       X       1                         830.6
CINERGY CORP                             172474108      88,687.5         3,225.0       X       1                       3,225.0
CIRCUIT CITY STORES CARMAX GROUP         172737306       8,662.5         2,200.0       X       1                       2,200.0


                                                  --------------
                                    SUB-TOTAL     $  7,388,627.9



#  PURSUANT TO REG. SEC. 240.24B-2 CERTAIN CONFIDENTIAL MATERIAL HAS BEEN FILED WITH THE SECRETARY OF THE SEC FOR NON-PUBLIC
   TREATMENT
*  INVESTMENT DISCRETION IS DISCLAIMED BY THE CAPITAL GROUP COMPANIES, INC FOR ALL PURPOSES OTHER THAN FORM 13F
<PAGE>
 

     FORM 13F - FILE NO. 28-157                                                                                     PAGE     6
     NAME OF REPORTING MANAGER - CAPITAL RESEARCH AND MANAGEMENT COMPANY#                                         MAR 31, 1999


              ITEM 1 AND 2               ITEM 3         ITEM 4         ITEM 5      ITEM 6  ITEM 7*        ITEM 8
                                                                     SHARES OF
                                                                     PRINCIPAL    INVESTMENT           VOTING AUTHORITY
      NAME OF ISSUER/TITLE OF CLASS                 FAIR MARKET         AMOUNT    DISCRETION           (SHARES - 000'S)
                                                                                 ------------     ----------------------------
   (COMMON UNLESS OTHERWISE INDICATED)    CUSIP    VALUE ($000'S)      (000'S)   SOLE SHR OTH MGR     SOLE     SHARED     NONE
- --------------------------------------   --------- --------------  ------------- ------------ --- ----------------------------

CIRCUIT CITY STORES CIRCUIT CITY GROUP   172737108 $   506,491.3         6,610.0       X       1                       6,610.0
CISCO SYSTEMS INC                        17275R102     558,768.8         5,100.0       X       1                       5,100.0
CITIGROUP INC                            172967101     489,442.2         7,662.5       X       1                       7,662.5
CITIZENS BANKING MI                      174420109      25,995.6           722.1       X       1                         722.1
CITIZENS UTILITIES CV PF EPPICS 5.0%     177351202      10,000.0           250.0       X       1                         250.0
  01/31/36
CLAIRES STORES                           179584107      13,556.3           450.0       X       1                         450.0
CLARK/BARDES HOLDINGS INC                180668105       6,562.0           386.0       X       1                         386.0
CLEAR CHANNEL COMM                       184502102      10,059.4           150.0       X       1                         150.0
CO CERVEJARIA BRAHMA PN ADR              20440X103      30,532.0         3,278.6       X       1                       3,278.6
CO TELCOMN CHILE ADR                     204449300      83,590.8         3,547.6       X       1                       3,547.6
COINMACH LAUNDRY CORP CL A               19259L101         820.0            80.0       X       1                          80.0
COLGATE-PALMOLIVE CO                     194162103     464,600.0         5,050.0       X       1                       5,050.0
COLUMBIA ENERGY GROUP                    197648108      30,911.1           591.6       X       1                         591.6
COLUMBIA/HCA HEALTHCARE CORP             197677107     198,817.7        10,498.6       X       1                      10,498.6
COMCAST CL A                             200300101      82,594.5         1,343.0       X       1                       1,343.0
COMCAST CL A SPECIAL                     200300200     999,639.2        15,883.0       X       1                      15,883.0
COMERICA INC                             200340107     143,606.3         2,300.0       X       1                       2,300.0
COMMERCE BANCORP INC NJ                  200519106      13,240.1           321.0       X       1                         321.0
COMPAQ COMPUTER CORP                     204493100     229,021.4         7,227.5       X       1                       7,227.5
COMPUTER ASSOC INTL                      204912109   1,094,844.9        30,786.5       X       1                      30,786.5
COMPUTER MOTION INC                      205253107       4,349.0           434.9       X       1                         434.9
CONAGRA                                  205887102      10,225.0           400.0       X       1                         400.0
CONCORD EFS INC                          206197105     154,745.5         5,614.4       X       1                       5,614.4
CONECTIV                                 206829103      65,875.0         3,400.0       X       1                       3,400.0
CONECTIV CL A                            206829202      11,679.7           325.0       X       1                         325.0
CONOCO INC CL A                          208251306      55,363.9         2,254.0       X       1                       2,254.0
CONSOL NAT GAS                           209615103     415,304.4         8,530.0       X       1                       8,530.0
CONSOLIDATED EDISON                      209115104     404,898.9         8,935.7       X       1                       8,935.7
CONSOLIDATED PAPERS                      209759109       1,421.8            60.5       X       1                          60.5
CONSOLIDATED PRODS                       209798107      27,441.4         1,562.5       X       1                       1,562.5
CONSOLIDATED STORES                      210149100     307,859.4        10,156.2       X       1                      10,156.2
COPEL PNB SPON ADR                       20441B407      18,737.8         2,498.4       X       1                       2,498.4


                                                  --------------
                                    SUB-TOTAL     $  6,470,995.1



#  PURSUANT TO REG. SEC. 240.24B-2 CERTAIN CONFIDENTIAL MATERIAL HAS BEEN FILED WITH THE SECRETARY OF THE SEC FOR NON-PUBLIC
   TREATMENT
*  INVESTMENT DISCRETION IS DISCLAIMED BY THE CAPITAL GROUP COMPANIES, INC FOR ALL PURPOSES OTHER THAN FORM 13F
<PAGE>
 

     FORM 13F - FILE NO. 28-157                                                                                     PAGE     7
     NAME OF REPORTING MANAGER - CAPITAL RESEARCH AND MANAGEMENT COMPANY#                                         MAR 31, 1999


              ITEM 1 AND 2               ITEM 3         ITEM 4         ITEM 5      ITEM 6  ITEM 7*        ITEM 8
                                                                     SHARES OF
                                                                     PRINCIPAL    INVESTMENT           VOTING AUTHORITY
      NAME OF ISSUER/TITLE OF CLASS                 FAIR MARKET         AMOUNT    DISCRETION           (SHARES - 000'S)
                                                                                 ------------     ----------------------------
   (COMMON UNLESS OTHERWISE INDICATED)    CUSIP    VALUE ($000'S)      (000'S)   SOLE SHR OTH MGR     SOLE     SHARED     NONE
- --------------------------------------   --------- --------------  ------------- ------------ --- ----------------------------

COR THERAPEUTICS INC                     217753102 $     9,413.8           947.3       X       1                         947.3
CORNING INC                              219350105     834,480.0        13,908.0       X       1                      13,908.0
CORRECTIONAL PROPERTIES TRUST REIT       22025E104       1,650.0           110.0       X       1                         110.0
COST PLUS INC                            221485105      25,115.6           855.0       X       1                         855.0
COX COMMUNICATIONS INC CL A              224044107     141,063.3         1,865.3       X       1                       1,865.3
CROMPTON & KNOWLES                       227111101      10,571.4           671.2       X       1                         671.2
CROSS TIMBERS OIL CO                     227573102       2,754.4           390.0       X       1                         390.0
CROWN CASTLE INTL CORP                   228227104      37,260.0         2,070.0       X       1                       2,070.0
CROWN CORK & SEAL                        228255105      42,843.8         1,500.0       X       1                       1,500.0
CROWN CORK & SEAL CO CV PF 4.50% 2-26-00 228255303      27,386.3         1,005.0       X       1                       1,005.0
CSX CORP                                 126408103     107,078.1         2,750.0       X       1                       2,750.0
CULP INC                                 230215105       3,690.9           635.0       X       1                         635.0
CUMMINS ENGINE CO                        231021106      71,125.0         2,000.0       X       1                       2,000.0
CUMULUS MEDIA INC CL A                   231082108       1,175.0           100.0       X       1                         100.0
CYMER INC                                232572107      30,842.0         1,551.8       X       1                       1,551.8
DAIMLERCHRYSLER AG NY SHARE              233835909     173,662.0         2,023.7       X       1                       2,023.7
DANA CORP                                235811106     469,410.2        12,352.9       X       1                      12,352.9
DANAHER CORP                             235851102      28,267.3           541.0       X       1                         541.0
DATA GENERAL                             237688106      10,570.5         1,044.0       X       1                       1,044.0
DEERE & CO                               244199105     863,994.9        22,368.8       X       1                      22,368.8
DELTA AIR LINES INC                      247361108     343,934.7         4,948.7       X       1                       4,948.7
DELUXE CORPORATION                       248019101      64,075.0         2,200.0       X       1                       2,200.0
DIAMOND OFFSHORE CV SUB NT 3.75% 2/15/07 25271CAA0      26,208.0       $25,200.0       X       1                     $25,200.0
DIEBOLD INC                              253651103      16,800.0           700.0       X       1                         700.0
DIGENE CORP                              253752109       6,300.0           800.0       X       1                         800.0
DILLARD'S INC                            254067101      81,200.0         3,200.0       X       1                       3,200.0
DISNEY WALT CO                           254687106     150,178.1         4,825.0       X       1                       4,825.0
DOLE FOOD CO                             256605106     153,510.0         5,160.0       X       1                       5,160.0
DOMINION RESOURCES                       257470104      36,937.5         1,000.0       X       1                       1,000.0
DOW CHEMICAL CO                          260543103     241,262.4         2,589.0       X       1                       2,589.0
DOW JONES & CO INC                       260561105     381,525.1         8,085.3       X       1                       8,085.3
DPL INC                                  233293109      92,702.0         5,618.3       X       1                       5,618.3
DQE INC                                  23329J104      30,700.0           800.0       X       1                         800.0


                                                  --------------
                                    SUB-TOTAL     $  4,517,687.2



#  PURSUANT TO REG. SEC. 240.24B-2 CERTAIN CONFIDENTIAL MATERIAL HAS BEEN FILED WITH THE SECRETARY OF THE SEC FOR NON-PUBLIC
   TREATMENT
*  INVESTMENT DISCRETION IS DISCLAIMED BY THE CAPITAL GROUP COMPANIES, INC FOR ALL PURPOSES OTHER THAN FORM 13F
<PAGE>
 

     FORM 13F - FILE NO. 28-157                                                                                     PAGE     8
     NAME OF REPORTING MANAGER - CAPITAL RESEARCH AND MANAGEMENT COMPANY#                                         MAR 31, 1999


              ITEM 1 AND 2               ITEM 3         ITEM 4         ITEM 5      ITEM 6  ITEM 7*        ITEM 8
                                                                     SHARES OF
                                                                     PRINCIPAL    INVESTMENT           VOTING AUTHORITY
      NAME OF ISSUER/TITLE OF CLASS                 FAIR MARKET         AMOUNT    DISCRETION           (SHARES - 000'S)
                                                                                 ------------     ----------------------------
   (COMMON UNLESS OTHERWISE INDICATED)    CUSIP    VALUE ($000'S)      (000'S)   SOLE SHR OTH MGR     SOLE     SHARED     NONE
- --------------------------------------   --------- --------------  ------------- ------------ --- ----------------------------

DTE ENERGY CO                            233331107 $   302,310.9         7,865.0       X       1                       7,865.0
DU PONT EI DE NEMOUR                     263534109   1,440,356.4        24,807.0       X       1                      24,807.0
DUKE ENERGY CORP                         264399106     474,155.9         8,680.2       X       1                       8,680.2
DUN & BRADSTREET CORP (THE) NEW          26483B106     105,093.8         2,950.0       X       1                       2,950.0
DUPONT PHOTOMASKS INC                    26613X101      18,623.8           470.0       X       1                         470.0
DURA PHARMACEUTICALS INC                 26632S109       4,237.5           300.0       X       1                         300.0
DYNEGY INC                               26816L102      27,773.4         1,975.0       X       1                       1,975.0
EASTERN UTIL ASSOCS                      277173100      12,412.2           438.4       X       1                         438.4
EASTMAN KODAK CO                         277461109     514,608.9         8,056.5       X       1                       8,056.5
EATON CORP                               278058102     389,675.0         5,450.0       X       1                       5,450.0
ECI TELECOM LTD                          268258100      61,775.0         1,765.0       X       1                       1,765.0
EDIFY CORP                               280599101       3,918.8           720.7       X       1                         720.7
EDISON INTL                              281020107      66,416.3         2,985.0       X       1                       2,985.0
EL PASO ENERGY CORP                      283905107      30,726.3           940.0       X       1                         940.0
ELAN CORP PLC ADS                        284131208     396,542.7         5,685.2       X       1                       5,685.2
ELCOR CORP                               284443108      12,843.4           365.0       X       1                         365.0
ELECTRIC LIGHTWAVE INC CL A              284895109       2,519.4           276.1       X       1                         276.1
ELECTRONIC DATA SYSTEMS CORP             285661104     614,884.2        12,629.2       X       1                      12,629.2
ELECTRONICS FOR IMAGING                  286082102      40,950.0         1,050.0       X       1                       1,050.0
ELF AQUITANE ADR     SPON                286269105      16,828.1           250.0       X       1                         250.0
EMC CORP CV SUB NT 3.25% 3/15/02         26865YAA2      14,350.0        $2,500.0       X       1                      $2,500.0
EMERSON ELEC CO                          291011104     210,267.8         3,972.0       X       1                       3,972.0
EMPRESA NAC ELEC ADR (CHILE)             29244T101      29,946.7         2,129.5       X       1                       2,129.5
ENCAL ENERGY LTD C$                      29250D107      18,691.5         4,335.0       X       1                       4,335.0
ENERSIS SPON ADR                         29274F104       8,496.9           316.9       X       1                         316.9
ENHANCE FINL SERV GP                     293310108      25,064.8         1,101.7       X       1                       1,101.7
ENI SPA ADS                              26874R108      15,781.3           250.0       X       1                         250.0
ENTERGY CORP NEW                         29364G103     125,125.0         4,550.0       X       1                       4,550.0
EQUANT NV NY SHRS                        294409107       6,607.0            87.8       X       1                          87.8
EQUITABLE RESOURCES                      294549100      48,215.6         1,850.0       X       1                       1,850.0
EQUITY RESIDENTIAL PROPERTIES TRUST      29476L107     143,055.0         3,468.0       X       1                       3,468.0
ERICSSON CL B ADR                        294821400     353,853.8        14,860.0       X       1                      14,860.0
ESAT TELECOM GROUP PLC SPON ADR          26883Y102       1,712.7            40.9       X       1                          40.9


                                                  --------------
                                    SUB-TOTAL     $  5,537,820.0



#  PURSUANT TO REG. SEC. 240.24B-2 CERTAIN CONFIDENTIAL MATERIAL HAS BEEN FILED WITH THE SECRETARY OF THE SEC FOR NON-PUBLIC
   TREATMENT
*  INVESTMENT DISCRETION IS DISCLAIMED BY THE CAPITAL GROUP COMPANIES, INC FOR ALL PURPOSES OTHER THAN FORM 13F
<PAGE>
 

     FORM 13F - FILE NO. 28-157                                                                                     PAGE     9
     NAME OF REPORTING MANAGER - CAPITAL RESEARCH AND MANAGEMENT COMPANY#                                         MAR 31, 1999


              ITEM 1 AND 2               ITEM 3         ITEM 4         ITEM 5      ITEM 6  ITEM 7*        ITEM 8
                                                                     SHARES OF
                                                                     PRINCIPAL    INVESTMENT           VOTING AUTHORITY
      NAME OF ISSUER/TITLE OF CLASS                 FAIR MARKET         AMOUNT    DISCRETION           (SHARES - 000'S)
                                                                                 ------------     ----------------------------
   (COMMON UNLESS OTHERWISE INDICATED)    CUSIP    VALUE ($000'S)      (000'S)   SOLE SHR OTH MGR     SOLE     SHARED     NONE
- --------------------------------------   --------- --------------  ------------- ------------ --- ----------------------------

ETEC SYSTEMS INC                         26922C103 $    36,108.0         1,226.6       X       1                       1,226.6
EXTENDED STAY AMERICA INC                30224P101      25,468.8         2,500.0       X       1                       2,500.0
EXXON CORP                               302290101     435,370.6         6,170.0       X       1                       6,170.0
FDX CORPORATION                          31304N107     560,123.4         6,035.0       X       1                       6,035.0
FED HOME LN MTG CORP                     313400301     292,028.7         5,112.1       X       1                       5,112.1
FEDERAL MOGUL CORP                       313549107     159,168.8         3,701.6       X       1                       3,701.6
FEDERAL NATIONAL MTG                     313586109   2,391,964.3        34,541.0       X       1                      34,541.0
FEDERATED DEPT STRS                      31410H101      32,902.5           820.0       X       1                         820.0
FELCOR LODGING TRUST                     31430F101      15,651.6           675.0       X       1                         675.0
FERRO CORP                               315405100      17,186.4           694.4       X       1                         694.4
FIDELITY NATL FINL                       316326107      25,500.0         1,700.0       X       1                       1,700.0
FINOVA GROUP INC                         317928109      18,675.0           360.0       X       1                         360.0
FIRST CONSULTING GROUP INC               31986R103       2,503.1           225.0       X       1                         225.0
FIRST DATA CORP                          319963104     477,731.3        11,175.0       X       1                      11,175.0
FIRST HEALTH GP CORP                     320960107      38,871.3         2,420.0       X       1                       2,420.0
FIRST SECURITY CP UT                     336294103      90,452.0         4,683.6       X       1                       4,683.6
FIRST UNION CORP                         337358105   3,219,822.2        60,254.0       X       1                      60,254.0
FIRST VIRGINIA BANKS                     337477103      21,950.6           480.5       X       1                         480.5
FIRSTMERIT CORP                          337915102      17,510.0           680.0       X       1                         680.0
FLEET FINANCIAL GRP                      338915101     261,493.8         6,950.0       X       1                       6,950.0
FLEXTRONICS INTL LTD                     339386914     282,030.0         5,530.0       X       1                       5,530.0
FLORIDA PANTHERS HOLDINGS INC CL A       341064103       9,106.3         1,175.0       X       1                       1,175.0
FLORIDA PROGRESS CORP                    341109106     351,452.5         9,310.0       X       1                       9,310.0
FMC CORP                                 302491303      61,955.8         1,254.8       X       1                       1,254.8
FORD MOTOR CO                            345370100     263,887.5         4,650.0       X       1                       4,650.0
FOREST LABS INC                          345838106     156,502.6         2,776.1       X       1                       2,776.1
FORMULA SYSTEMS (1985) ADR               346414105       4,122.8           160.5       X       1                         160.5
FORT JAMES CORP                          347471104     549,882.7        17,353.3       X       1                      17,353.3
FOUR MEDIA COMPANY                       350872107         259.8            43.3       X       1                          43.3
FOUR SEASONS HOTELS INC C$ LTD VTG       35100E104      22,974.4           546.7       X       1                         546.7
FOX ENTERTAINMENT GROUP INC CL A         35138T107     402,535.0        14,840.0       X       1                      14,840.0
FPL GROUP                                302571104     156,661.5         2,942.0       X       1                       2,942.0
FRANKLIN COVEY CO                        353469109       3,375.0           375.0       X       1                         375.0


                                                  --------------
                                    SUB-TOTAL     $ 10,405,228.0



#  PURSUANT TO REG. SEC. 240.24B-2 CERTAIN CONFIDENTIAL MATERIAL HAS BEEN FILED WITH THE SECRETARY OF THE SEC FOR NON-PUBLIC
   TREATMENT
*  INVESTMENT DISCRETION IS DISCLAIMED BY THE CAPITAL GROUP COMPANIES, INC FOR ALL PURPOSES OTHER THAN FORM 13F
<PAGE>
 

     FORM 13F - FILE NO. 28-157                                                                                     PAGE    10
     NAME OF REPORTING MANAGER - CAPITAL RESEARCH AND MANAGEMENT COMPANY#                                         MAR 31, 1999


              ITEM 1 AND 2               ITEM 3         ITEM 4         ITEM 5      ITEM 6  ITEM 7*        ITEM 8
                                                                     SHARES OF
                                                                     PRINCIPAL    INVESTMENT           VOTING AUTHORITY
      NAME OF ISSUER/TITLE OF CLASS                 FAIR MARKET         AMOUNT    DISCRETION           (SHARES - 000'S)
                                                                                 ------------     ----------------------------
   (COMMON UNLESS OTHERWISE INDICATED)    CUSIP    VALUE ($000'S)      (000'S)   SOLE SHR OTH MGR     SOLE     SHARED     NONE
- --------------------------------------   --------- --------------  ------------- ------------ --- ----------------------------

FREEPORT-MCMORAN C&G CV PF SER A DEP SHS 35671D501 $    22,225.0         1,400.0       X       1                       1,400.0
  $1.75
FREEPORT-MCMORAN COPPER & GOLD CL B      35671D857      63,561.1         5,844.7       X       1                       5,844.7
FRONTIER CORP                            35906P105     160,812.5         3,100.0       X       1                       3,100.0
FRUIT OF THE LOOM LTD                    359416906       2,905.0           280.0       X       1                         280.0
FULTON FINL CORP                         360271100      16,272.4           709.4       X       1                         709.4
GALILEO INTERNATIONAL INC                363547100      29,025.0           600.0       X       1                         600.0
GALLAHER GROUP PLC ADR                   363595109       7,050.0           300.0       X       1                         300.0
GANNETT COMPANY INC                      364730101     237,069.0         3,763.0       X       1                       3,763.0
GATEWAY 2000                             367833100     217,343.1         3,170.0       X       1                       3,170.0
GELTEX PHARMACEUTICALS INC               368538104       4,639.2           329.9       X       1                         329.9
GEN INSTRUMENT (NEW)X                    370120107      81,698.3         2,695.2       X       1                       2,695.2
GENELABS TECHNLOGIES                     368706107       4,209.8         2,072.5       X       1                       2,072.5
GENENTECH INC CALLABLE PUTABLE COM       368710307     152,878.1         1,725.0       X       1                       1,725.0
GENERAL ELEC CO                          369604103     122,240.6         1,105.0       X       1                       1,105.0
GENERAL MILLS INC                        370334104   1,180,822.7        15,627.1       X       1                      15,627.1
GENERAL MTRS CORP                        370442105     870,053.1        10,015.0       X       1                      10,015.0
GENSIA SICOR INC                         372450106       5,392.1         1,917.2       X       1                       1,917.2
GENUINE PARTS CO                         372460105     398,476.9        13,830.0       X       1                      13,830.0
GEORGIA GULF NEW                         373200203      27,633.1         2,470.0       X       1                       2,470.0
GEORGIA-PACIFIC CORP (GEORGIA-PAC GROUP) 373298108     481,511.3         6,485.0       X       1                       6,485.0
GEORGIA-PACIFIC CORP (TIMBER GROUP)      373298702     168,730.0         7,520.0       X       1                       7,520.0
GILAT SATELLITE NETWORKS                 375256906      15,000.0           250.0       X       1                         250.0
GILEAD SCIENCES INC                      375558103     118,072.5         2,595.0       X       1                       2,595.0
GILLETTE CO                              375766102     188,236.2         3,167.0       X       1                       3,167.0
GLAXO WELLCOME PLC SPON ADR              37733W105     186,019.3         2,779.0       X       1                       2,779.0
GLENBOROUGH REALTY TR CV PF SER A 7.75%  37803P204      20,100.0         1,200.0       X       1                       1,200.0
  12/31/49
GLOBAL CROSSING LTD                      379325905     240,500.0         5,200.0       X       1                       5,200.0
GLOBAL TELESYSTEMS GROUP                 37936U104      53,979.7           965.0       X       1                         965.0
GLOBAL TELESYSTEMS GROUP 144A CV 8.75%   37936UAA2      43,200.0       $15,000.0       X       1                     $15,000.0
  06-30-00
GLOBALSTAR TELECOMMUNICATIONS            379364904       4,624.1           333.3       X       1                         333.3


                                                  --------------
                                    SUB-TOTAL     $  5,124,280.2



#  PURSUANT TO REG. SEC. 240.24B-2 CERTAIN CONFIDENTIAL MATERIAL HAS BEEN FILED WITH THE SECRETARY OF THE SEC FOR NON-PUBLIC
   TREATMENT
*  INVESTMENT DISCRETION IS DISCLAIMED BY THE CAPITAL GROUP COMPANIES, INC FOR ALL PURPOSES OTHER THAN FORM 13F
<PAGE>
 

     FORM 13F - FILE NO. 28-157                                                                                     PAGE    11
     NAME OF REPORTING MANAGER - CAPITAL RESEARCH AND MANAGEMENT COMPANY#                                         MAR 31, 1999


              ITEM 1 AND 2               ITEM 3         ITEM 4         ITEM 5      ITEM 6  ITEM 7*        ITEM 8
                                                                     SHARES OF
                                                                     PRINCIPAL    INVESTMENT           VOTING AUTHORITY
      NAME OF ISSUER/TITLE OF CLASS                 FAIR MARKET         AMOUNT    DISCRETION           (SHARES - 000'S)
                                                                                 ------------     ----------------------------
   (COMMON UNLESS OTHERWISE INDICATED)    CUSIP    VALUE ($000'S)      (000'S)   SOLE SHR OTH MGR     SOLE     SHARED     NONE
- --------------------------------------   --------- --------------  ------------- ------------ --- ----------------------------

GOODYEAR TIRE & RUBBER COMPANY           382550101 $     9,962.5           200.0       X       1                         200.0
GPO CASA AUTREY ADR  SPON                40048P104       2,793.1           545.0       X       1                         545.0
GPU INC                                  36225X100     450,936.5        12,085.4       X       1                      12,085.4
GREAT PLAINS SOFTWARE                    39119E105       3,868.8           100.0       X       1                         100.0
GRUPO IND MASECA ADR SPON B              400488409      15,021.3         1,220.0       X       1                       1,220.0
GRUPO RADIO CEN ADR  SPON                40049C102       2,310.0           420.0       X       1                         420.0
GRUPO TELEVISA ADR   SPON CPO            40049J206     237,050.7         7,555.4       X       1                       7,555.4
GTE CORPORATION                          362320103   1,056,172.7        17,457.4       X       1                      17,457.4
GTECH HOLDINGS CORP                      400518106      17,062.5           700.0       X       1                         700.0
GTS DURATEK INC                          36237J107       4,156.9           811.1       X       1                         811.1
GUIDANT CORPORATION                      401698105     353,078.0         5,836.0       X       1                       5,836.0
GUILFORD PHARMACEUTICALS INC             401829106      12,512.5         1,100.0       X       1                       1,100.0
GULFSTREAM AEROSPACE CORP                402734107      42,941.3           990.0       X       1                         990.0
GYMBOREE CORP                            403777105      12,830.7         1,435.6       X       1                       1,435.6
HALLIBURTON CO                           406216101     232,336.0         6,034.7       X       1                       6,034.7
HANOVER DIRECT INC                       410783104       6,213.9         2,209.4       X       1                       2,209.4
HARLEY-DAVIDSON INC                      412822108      10,925.0           190.0       X       1                         190.0
HARLEYSVILLE GRP INC                     412824104       7,168.8           370.0       X       1                         370.0
HARSCO CORP                              415864107      53,488.2         2,123.6       X       1                       2,123.6
HARTE-HANKS INC                          416196103     120,329.9         4,385.6       X       1                       4,385.6
HARTMARX CORP                            417119104       8,716.0         1,787.9       X       1                       1,787.9
HASBRO INC                               418056107     256,313.9         8,857.5       X       1                       8,857.5
HAVERTY FURNITURE                        419596101      13,829.4           545.0       X       1                         545.0
HAYES LEMMERZ INTL INC                   420781106       7,426.0           316.0       X       1                         316.0
HCC INSURANCE HOLDINGS INC               404132102      37,537.5         1,950.0       X       1                       1,950.0
HEALTH CARE PPTY INV                     421915109      46,186.9         1,606.5       X       1                       1,606.5
HEALTHCARE FINANCIAL PARTNERS INC        42219W108      10,502.3           402.0       X       1                         402.0
HERTZ CORPORATION CL A                   428040109      62,932.1         1,176.3       X       1                       1,176.3
HEWLETT PACKARD CO                       428236103   1,061,401.3        15,652.0       X       1                      15,652.0
HNC SOFTWARE INC                         40425P107     124,813.5         3,811.1       X       1                       3,811.1
HOME DEPOT                               437076102      64,802.3         1,041.0       X       1                       1,041.0
HOMESTAKE MNG CO                         437614100      69,000.0         8,000.0       X       1                       8,000.0
HONG KONG TELCOM ADR                     438579203      48,013.8         2,454.4       X       1                       2,454.4


                                                  --------------
                                    SUB-TOTAL     $  4,462,633.7



#  PURSUANT TO REG. SEC. 240.24B-2 CERTAIN CONFIDENTIAL MATERIAL HAS BEEN FILED WITH THE SECRETARY OF THE SEC FOR NON-PUBLIC
   TREATMENT
*  INVESTMENT DISCRETION IS DISCLAIMED BY THE CAPITAL GROUP COMPANIES, INC FOR ALL PURPOSES OTHER THAN FORM 13F
<PAGE>
 

     FORM 13F - FILE NO. 28-157                                                                                     PAGE    12
     NAME OF REPORTING MANAGER - CAPITAL RESEARCH AND MANAGEMENT COMPANY#                                         MAR 31, 1999


              ITEM 1 AND 2               ITEM 3         ITEM 4         ITEM 5      ITEM 6  ITEM 7*        ITEM 8
                                                                     SHARES OF
                                                                     PRINCIPAL    INVESTMENT           VOTING AUTHORITY
      NAME OF ISSUER/TITLE OF CLASS                 FAIR MARKET         AMOUNT    DISCRETION           (SHARES - 000'S)
                                                                                 ------------     ----------------------------
   (COMMON UNLESS OTHERWISE INDICATED)    CUSIP    VALUE ($000'S)      (000'S)   SOLE SHR OTH MGR     SOLE     SHARED     NONE
- --------------------------------------   --------- --------------  ------------- ------------ --- ----------------------------

HOUSEHOLD INTL                           441815107 $ 2,385,780.5        52,291.1       X       1                      52,291.1
HUBBELL INC CL B                         443510201      28,800.0           720.0       X       1                         720.0
HUMAN GENOME SCIENCES INC                444903108      10,406.3           300.0       X       1                         300.0
HUNTINGTON BANCSHRS                      446150104     144,767.3         4,679.3       X       1                       4,679.3
I2 TECHNOLOGIES INC                      465754109       7,978.1           300.0       X       1                         300.0
IDEX CORP                                45167R104      23,798.1         1,010.0       X       1                       1,010.0
IKON OFFICE SOLUTION                     451713101     218,797.0        17,076.8       X       1                      17,076.8
ILLINOIS TOOL WORKS                      452308109     115,502.1         1,866.7       X       1                       1,866.7
IMALL INC                                45244X306       9,352.5           580.0       X       1                         580.0
IMCLONE SYSTEMS INC                      45245W109      10,968.8           650.0       X       1                         650.0
IMMUNEX CORP (NEW)                       452528102     139,860.0         1,680.0       X       1                       1,680.0
IMPERIAL BANCORP                         452556103      22,748.9         1,328.4       X       1                       1,328.4
IMPERIAL CHEM ADR                        452704505     399,488.4        11,155.0       X       1                      11,155.0
IMPERIAL CREDIT COMMERCIAL MTG INV CORP  45272T102       8,662.5           900.0       X       1                         900.0
IMPERIAL OIL LTD US$                     453038408      22,221.3         1,161.9       X       1                       1,161.9
INACOM CORP                              45323G109       9,331.0         1,204.0       X       1                       1,204.0
INCO LTD CV            5.750%   07-01-04 453258AK1      15,007.5       $17,250.0       X       1                     $17,250.0
INDOSAT SPON ADR PERUSAHAAN PERSEROAN    715680104      12,066.8           932.7       X       1                         932.7
INFINITY BROADCASTING CORP CL A NEW      45662S102      85,266.0         3,311.3       X       1                       3,311.3
INGERSOLL RAND CO                        456866102     186,465.9         3,757.5       X       1                       3,757.5
INSIGNIA FINANCIAL GROUP INC (NEW)       45767A105      22,238.4         1,581.4       X       1                       1,581.4
INTEGRATED HEALTH CV SR SUB DEB 5.75%    45812CAE6      18,240.0       $28,500.0       X       1                     $28,500.0
  01/01/01
INTEGRATED HEALTH SERVICES INC           45812C106       8,724.1         1,586.2       X       1                       1,586.2
INTEL CORP                               458140100     895,960.9         7,537.0       X       1                       7,537.0
INTERCARDIA INC                          45844M106       2,880.0           360.0       X       1                         360.0
INTERCEPT GROUP INC                      45845L107       4,462.5           525.0       X       1                         525.0
INTERMEDIA COMMUNICATIONS INC            458801107      61,237.5         2,300.0       X       1                       2,300.0
INTERPUBLIC GROUP                        460690100     432,747.5         5,557.0       X       1                       5,557.0
INTIMATE BRANDS INC CL A                 461156101      24,062.5           500.0       X       1                         500.0
INTL BUS MACH CORP                       459200101   1,344,264.0         7,584.0       X       1                       7,584.0
INTL FLAVORS & FRAGR                     459506101     408,680.0        10,880.0       X       1                      10,880.0
INTL INTEGRATION INC                     459698106       4,160.0           130.0       X       1                         130.0


                                                  --------------
                                    SUB-TOTAL     $  7,084,926.5



#  PURSUANT TO REG. SEC. 240.24B-2 CERTAIN CONFIDENTIAL MATERIAL HAS BEEN FILED WITH THE SECRETARY OF THE SEC FOR NON-PUBLIC
   TREATMENT
*  INVESTMENT DISCRETION IS DISCLAIMED BY THE CAPITAL GROUP COMPANIES, INC FOR ALL PURPOSES OTHER THAN FORM 13F
<PAGE>
 

     FORM 13F - FILE NO. 28-157                                                                                     PAGE    13
     NAME OF REPORTING MANAGER - CAPITAL RESEARCH AND MANAGEMENT COMPANY#                                         MAR 31, 1999


              ITEM 1 AND 2               ITEM 3         ITEM 4         ITEM 5      ITEM 6  ITEM 7*        ITEM 8
                                                                     SHARES OF
                                                                     PRINCIPAL    INVESTMENT           VOTING AUTHORITY
      NAME OF ISSUER/TITLE OF CLASS                 FAIR MARKET         AMOUNT    DISCRETION           (SHARES - 000'S)
                                                                                 ------------     ----------------------------
   (COMMON UNLESS OTHERWISE INDICATED)    CUSIP    VALUE ($000'S)      (000'S)   SOLE SHR OTH MGR     SOLE     SHARED     NONE
- --------------------------------------   --------- --------------  ------------- ------------ --- ----------------------------

INTL PAPER CO                            460146103 $   807,679.7        19,145.0       X       1                      19,145.0
INTUIT                                   461202103     157,091.8         1,543.9       X       1                       1,543.9
IONICS INC                               462218108      44,039.7         1,461.9       X       1                       1,461.9
IRON MOUNTAIN INC                        46284P104       9,093.8           291.0       X       1                         291.0
ITT EDUCATIONAL SERVICES INC             45068B109       9,390.6           250.0       X       1                         250.0
JACOR COMM INC NEW                       469858401      15,580.0           205.0       X       1                         205.0
JACOR COMM INC SR NT CV 0.0% 02-09-18    469858AB0       2,493.8        $4,750.0       X       1                      $4,750.0
JEFFERSON PILOT CORP                     475070108     416,662.5         6,150.0       X       1                       6,150.0
JO-ANN STORES CL A                       47758P109       7,218.8           525.0       X       1                         525.0
JO-ANN STORES CL B                       47758P208       5,643.8           525.0       X       1                         525.0
JOHNSON & JOHNSON                        478160104     141,468.1         1,510.0       X       1                       1,510.0
JOHNSON CONTROLS                         478366107     306,591.8         4,915.3       X       1                       4,915.3
JONES INTERCABLE CL A                    480206200     128,763.4         3,265.0       X       1                       3,265.0
JOSTENS INC                              481088102      33,575.0         1,580.0       X       1                       1,580.0
KAISER ALUMINUM                          483007100      10,059.4         1,850.0       X       1                       1,850.0
KEEBLER FOODS CO                         487256109      94,170.0         2,580.0       X       1                       2,580.0
KELLEY OIL & GAS CV DEB 8.5% 04-01-00    487736AA8         600.1        $2,791.0       X       1                      $2,791.0
KELLEY OIL & GAS CV PF EXCH DEP SHS      487906208       1,300.0           260.0       X       1                         260.0
  $2.625
KELLOGG CO                               487836108     270,500.0         8,000.0       X       1                       8,000.0
KERAVISION INC                           492061106      12,123.8           795.0       X       1                         795.0
KERR MCGEE CORP                          492386107     256,471.5         7,816.3       X       1                       7,816.3
KEYCORP NEW                              493267108     660,660.9        21,795.0       X       1                      21,795.0
KEYSPAN ENERGY (NEW)                     49337K106     325,640.1        12,960.8       X       1                      12,960.8
KEYSTONE FINANCIAL                       493482103     109,119.5         3,383.6       X       1                       3,383.6
KIMBERLY CLARK CORP                      494368103     764,219.6        15,942.0       X       1                      15,942.0
KIMCO REALTY CORP                        49446R109      16,225.0           440.0       X       1                         440.0
KING WORLD PRODTNS                       495667107     182,652.2         5,976.4       X       1                       5,976.4
KLA TENCOR CORP                          482480100     197,406.6         4,065.0       X       1                       4,065.0
KN ENERGY                                482620101      41,818.9         2,097.5       X       1                       2,097.5
KNIGHTSBRIDGE TANKERS LTD                499067908       2,587.5           150.0       X       1                         150.0
KONINKLIJKE AHOLD CONV SUB NOTES ADN     500467AA3      30,280.3       $47,313.0       X       1                     $47,313.0
  3.00% 09-30-03
KOOR IND LTD ADR                         500507108       4,609.5           218.2       X       1                         218.2


                                                  --------------
                                    SUB-TOTAL     $  5,065,737.6


#  PURSUANT TO REG. SEC. 240.24B-2 CERTAIN CONFIDENTIAL MATERIAL HAS BEEN FILED WITH THE SECRETARY OF THE SEC FOR NON-PUBLIC
   TREATMENT
*  INVESTMENT DISCRETION IS DISCLAIMED BY THE CAPITAL GROUP COMPANIES, INC FOR ALL PURPOSES OTHER THAN FORM 13F
<PAGE>
 

     FORM 13F - FILE NO. 28-157                                                                                     PAGE    14
     NAME OF REPORTING MANAGER - CAPITAL RESEARCH AND MANAGEMENT COMPANY#                                         MAR 31, 1999


              ITEM 1 AND 2               ITEM 3         ITEM 4         ITEM 5      ITEM 6  ITEM 7*        ITEM 8
                                                                     SHARES OF
                                                                     PRINCIPAL    INVESTMENT           VOTING AUTHORITY
      NAME OF ISSUER/TITLE OF CLASS                 FAIR MARKET         AMOUNT    DISCRETION           (SHARES - 000'S)
                                                                                 ------------     ----------------------------
   (COMMON UNLESS OTHERWISE INDICATED)    CUSIP    VALUE ($000'S)      (000'S)   SOLE SHR OTH MGR     SOLE     SHARED     NONE
- --------------------------------------   --------- --------------  ------------- ------------ --- ----------------------------

KORN/FERRY INTERNATIONAL                 500643200 $     6,418.1           489.0       X       1                         489.0
KPN NV ADR (SPON)                        780641205       3,373.4            85.0       X       1                          85.0
KROLL-O'GARA COMPANY                     501050108      21,732.6           801.2       X       1                         801.2
L-3 COMMUNICATIONS CORP                  502424104      39,312.5           850.0       X       1                         850.0
LANDS END INC                            515086106      21,155.9           611.0       X       1                         611.0
LASON INC                                51808R107      29,626.9           526.7       X       1                         526.7
LAZARE KAPLAN INTERNATIONAL              521078105       3,187.9           463.7       X       1                         463.7
LEAR CORP                                521865105      25,399.1           595.0       X       1                         595.0
LERNOUT & HAUSPIE SPEECH PRODUCTS        526773908       3,000.0           100.0       X       1                         100.0
LEVEL ONE COMM INC                       527295109      16,532.5           340.0       X       1                         340.0
LEXMARK INTL GROUP INC CL A              529771107     226,226.7         2,024.4       X       1                       2,024.4
LILLY ELI & CO                           532457108   1,173,770.3        13,829.4       X       1                      13,829.4
LIMITED INC                              532716107     709,402.4        17,902.9       X       1                      17,902.9
LINCOLN NATL CORP                        534187109     744,034.4         7,525.0       X       1                       7,525.0
LINEAR TECH CORP                         535678106     225,500.0         4,400.0       X       1                       4,400.0
LIONS GATE ENTERTAINMENT CORP C$ NEW     535919203       3,064.7           840.0       X       1                         840.0
LIQUIDATION WORLD INC C$                 53634D203       4,179.1           450.0       X       1                         450.0
LITTELFUSE INC                           537008104      25,541.3         1,390.0       X       1                       1,390.0
LIZ CLAIBORNE                            539320101      12,560.6           385.0       X       1                         385.0
LOEWS CORP                               540424108      14,925.0           200.0       X       1                         200.0
LOJACK CORP                              539451104       9,312.6         1,211.4       X       1                       1,211.4
LOUISIANA PACIFIC                        546347105     154,792.4         8,311.0       X       1                       8,311.0
LOWES COS INC                            548661107     425,012.5         7,025.0       X       1                       7,025.0
LSI LOGIC                                502161102      99,800.0         3,200.0       X       1                       3,200.0
LTV CORP NEW                             501921100      21,365.6         3,975.0       X       1                       3,975.0
LUCENT TECHNOLOGIES                      549463107     118,525.0         1,100.0       X       1                       1,100.0
LUXOTTICA GRP ADS                        55068R202      34,806.3         2,703.4       X       1                       2,703.4
M&T BANK CORP                            55261F104      54,808.6           114.4       X       1                         114.4
MAC-GRAY CORPORATION                     554153106       4,428.4           482.0       X       1                         482.0
MACROMEDIA INC                           556100105      56,654.2         1,250.3       X       1                       1,250.3
MALLINCKRODT INC                         561232109     209,799.7         7,879.8       X       1                       7,879.8
MANPOWER INC                             56418H100       4,675.0           200.0       X       1                         200.0
MARKET FACTS INC                         570559104       3,863.2           175.6       X       1                         175.6


                                                  --------------
                                    SUB-TOTAL     $  4,506,786.8



#  PURSUANT TO REG. SEC. 240.24B-2 CERTAIN CONFIDENTIAL MATERIAL HAS BEEN FILED WITH THE SECRETARY OF THE SEC FOR NON-PUBLIC
   TREATMENT
*  INVESTMENT DISCRETION IS DISCLAIMED BY THE CAPITAL GROUP COMPANIES, INC FOR ALL PURPOSES OTHER THAN FORM 13F
<PAGE>
 

     FORM 13F - FILE NO. 28-157                                                                                     PAGE    15
     NAME OF REPORTING MANAGER - CAPITAL RESEARCH AND MANAGEMENT COMPANY#                                         MAR 31, 1999


              ITEM 1 AND 2               ITEM 3         ITEM 4         ITEM 5      ITEM 6  ITEM 7*        ITEM 8
                                                                     SHARES OF
                                                                     PRINCIPAL    INVESTMENT           VOTING AUTHORITY
      NAME OF ISSUER/TITLE OF CLASS                 FAIR MARKET         AMOUNT    DISCRETION           (SHARES - 000'S)
                                                                                 ------------     ----------------------------
   (COMMON UNLESS OTHERWISE INDICATED)    CUSIP    VALUE ($000'S)      (000'S)   SOLE SHR OTH MGR     SOLE     SHARED     NONE
- --------------------------------------   --------- --------------  ------------- ------------ --- ----------------------------

MARSH & MCLENNAN COS                     571748102 $   337,553.1         4,550.0       X       1                       4,550.0
MATAV CABLE SYSTEMS MEDIA SPON ADS       576561104       3,712.5           135.0       X       1                         135.0
MATAV RT SPON ADR                        559776109      17,534.6           655.5       X       1                         655.5
MATERIAL SCIENCES                        576674105         555.9            87.2       X       1                          87.2
MATTEL INC                               577081102     108,206.3         4,350.0       X       1                       4,350.0
MAXIM INTEGRATED PRODUCTS INC            57772K101     174,553.1         3,225.0       X       1                       3,225.0
MAXTOR CORP CV S DEB   5.750%   03-01-12 577729AA4       6,090.0       $10,500.0       X       1                     $10,500.0
MAY DEPT STORES CO                       577778103     671,662.8        17,167.1       X       1                      17,167.1
MBL INTL FIN (BERMUDA) TRUST EXCH NOTE   55262XAA2      10,625.0       $10,000.0       X       1                     $10,000.0
  3.00% 11-30-02 (MBB*)
MBNA CORP                                55262L100      12,770.7           534.9       X       1                         534.9
MC DONALDS CORP                          580135101     475,781.3        10,500.0       X       1                      10,500.0
MCI WORLDCOM INC                         55268B106     767,748.8         8,669.0       X       1                       8,669.0
MCKESSON HBOC INC                        58155Q103     115,500.0         1,750.0       X       1                       1,750.0
MCN ENERGY GROUP INC                     55267J100      57,021.9         3,550.0       X       1                       3,550.0
MCWHORTER TECHS INC                      582803102       1,490.6           109.4       X       1                         109.4
MDC COMMUNICATIONS CORP CL A C$          55267W309       9,253.7         1,033.3       X       1                       1,033.3
MEDALLION FINANCIAL CORP                 583928106       4,142.2           275.0       X       1                         275.0
MEDIA GENERAL CL A                       584404107      39,590.1           851.4       X       1                         851.4
MEDIAONE GROUP INC CV PF SER D 4.50%     58440J203      11,030.7            85.8       X       1                          85.8
MEDICIS PHARMACEUTICAL CL A              584690309      51,414.0         1,713.8       X       1                       1,713.8
MEDITRUST CORP PAIRED STOCK              58501T306     113,558.6         9,130.3       X       1                       9,130.3
MEDTRONIC INC                            585055106     225,295.0         3,140.0       X       1                       3,140.0
MENTOR CORP MINN                         587188103      15,862.5         1,080.0       X       1                       1,080.0
MENTOR GRAPHICS                          587200106      19,372.5         1,435.0       X       1                       1,435.0
MERCK & CO INC                           589331107     843,444.2        10,518.4       X       1                      10,518.4
MERCURY COMPUTER SYSTEMS INC             589378108       8,820.0           490.0       X       1                         490.0
MERCURY GENERAL CORP                     589400100      87,187.5         2,500.0       X       1                       2,500.0
METAMOR WORLDWIDE                        59133P100      33,600.0         2,400.0       X       1                       2,400.0
METHANEX CORP C$                         59151K108      23,806.0         7,250.0       X       1                       7,250.0
METRIS COMPANIES INC                     591598107      17,966.9           445.0       X       1                         445.0
METROMEDIA INTL GRP                      591695101       5,070.0         1,040.0       X       1                       1,040.0
MGIC INVESTMENT CORP                     552848103      99,226.9         2,830.0       X       1                       2,830.0


                                                  --------------
                                    SUB-TOTAL     $  4,369,447.3



#  PURSUANT TO REG. SEC. 240.24B-2 CERTAIN CONFIDENTIAL MATERIAL HAS BEEN FILED WITH THE SECRETARY OF THE SEC FOR NON-PUBLIC
   TREATMENT
*  INVESTMENT DISCRETION IS DISCLAIMED BY THE CAPITAL GROUP COMPANIES, INC FOR ALL PURPOSES OTHER THAN FORM 13F
<PAGE>
 

     FORM 13F - FILE NO. 28-157                                                                                     PAGE    16
     NAME OF REPORTING MANAGER - CAPITAL RESEARCH AND MANAGEMENT COMPANY#                                         MAR 31, 1999


              ITEM 1 AND 2               ITEM 3         ITEM 4         ITEM 5      ITEM 6  ITEM 7*        ITEM 8
                                                                     SHARES OF
                                                                     PRINCIPAL    INVESTMENT           VOTING AUTHORITY
      NAME OF ISSUER/TITLE OF CLASS                 FAIR MARKET         AMOUNT    DISCRETION           (SHARES - 000'S)
                                                                                 ------------     ----------------------------
   (COMMON UNLESS OTHERWISE INDICATED)    CUSIP    VALUE ($000'S)      (000'S)   SOLE SHR OTH MGR     SOLE     SHARED     NONE
- --------------------------------------   --------- --------------  ------------- ------------ --- ----------------------------

MGM GRAND INC                            552953101 $   122,731.3         3,650.0       X       1                       3,650.0
MICHAELS STORES                          594087108      59,250.0         2,400.0       X       1                       2,400.0
MICREL INC                               594793101      63,879.8         1,276.0       X       1                       1,276.0
MICROCHIP TECH INC                       595017104     235,796.3         6,810.0       X       1                       6,810.0
MICRON TECH INC                          595112103     871,433.6        18,060.8       X       1                      18,060.8
MICRON TECHNOLOGY CV NT 7.00% 07/01/2004 595112AB9      53,000.0       $50,000.0       X       1                     $50,000.0
MICROSOFT CORP                           594918104   1,023,159.0        11,416.0       X       1                      11,416.0
MIDAMERICAN ENERGY HOLDINGS COMPANY      59562V107      14,000.0           500.0       X       1                         500.0
MIDAS INC                                595626102      29,393.4           880.7       X       1                         880.7
MILLENIUM PHARMACEUTICALS INC            599902103      46,875.0         1,500.0       X       1                       1,500.0
MILLENNIUM CHEMICALS INC                 599903101     141,118.5         7,100.3       X       1                       7,100.3
MILLICOM INTL CELLULAR SA                600814917      11,804.0           454.0       X       1                         454.0
MINN MNG & MFG CO                        604059105     185,365.0         2,620.0       X       1                       2,620.0
MIRAGE RESORTS INC                       60462E104     266,793.8        12,555.0       X       1                      12,555.0
MOBIL CORP                               607059102   1,004,520.0        11,415.0       X       1                      11,415.0
MODERN TIMES GROUP B SPON ADR            607698107      30,440.0           342.0       X       1                         342.0
MODIS PROFESSIONAL SERVICES INC          607830106      22,656.3         2,500.0       X       1                       2,500.0
MOLEX INC                                608554101      44,062.5         1,500.0       X       1                       1,500.0
MOMENTUM BUSINESS APPLICATIONS CL A      60877P108       4,584.9           513.0       X       1                         513.0
MONDAVI (ROBERT) CORP CL A               609200100      31,470.7           880.3       X       1                         880.3
MONSANTO CO                              611662107   2,486,339.6        54,124.4       X       1                      54,124.4
MORGAN J P & CO INC                      616880100     874,111.9         7,085.0       X       1                       7,085.0
MORTON INTERNATIONAL INC                 619335102      60,637.5         1,650.0       X       1                       1,650.0
MORTONS RESTAURANT                       619429103       6,975.0           450.0       X       1                         450.0
MOTOROLA INC                             620076109     777,394.9        10,612.9       X       1                      10,612.9
MOVADO GROUP INC                         624580106      11,750.0           470.0       X       1                         470.0
MSC INDUSTRIAL DIRECT CO INC CL A        553530106      59,170.2         3,480.6       X       1                       3,480.6
MURPHY OIL CORP                          626717102     261,018.4         6,289.6       X       1                       6,289.6
MUTUAL RISK MGMNT                        628351108      50,027.2         1,307.9       X       1                       1,307.9
NABISCO HOLDINGS CORP CL A               629526104      74,812.5         1,800.0       X       1                       1,800.0
NATIONAL CITY CORP                       635405103     119,475.0         1,800.0       X       1                       1,800.0
NATL COMPUTER SYSTS                      635519101      27,268.5         1,113.0       X       1                       1,113.0
NATL FUEL GAS CO                         636180101       4,984.8           127.0       X       1                         127.0


                                                  --------------
                                    SUB-TOTAL     $  9,076,299.2



#  PURSUANT TO REG. SEC. 240.24B-2 CERTAIN CONFIDENTIAL MATERIAL HAS BEEN FILED WITH THE SECRETARY OF THE SEC FOR NON-PUBLIC
   TREATMENT
*  INVESTMENT DISCRETION IS DISCLAIMED BY THE CAPITAL GROUP COMPANIES, INC FOR ALL PURPOSES OTHER THAN FORM 13F
<PAGE>
 

     FORM 13F - FILE NO. 28-157                                                                                     PAGE    17
     NAME OF REPORTING MANAGER - CAPITAL RESEARCH AND MANAGEMENT COMPANY#                                         MAR 31, 1999


              ITEM 1 AND 2               ITEM 3         ITEM 4         ITEM 5      ITEM 6  ITEM 7*        ITEM 8
                                                                     SHARES OF
                                                                     PRINCIPAL    INVESTMENT           VOTING AUTHORITY
      NAME OF ISSUER/TITLE OF CLASS                 FAIR MARKET         AMOUNT    DISCRETION           (SHARES - 000'S)
                                                                                 ------------     ----------------------------
   (COMMON UNLESS OTHERWISE INDICATED)    CUSIP    VALUE ($000'S)      (000'S)   SOLE SHR OTH MGR     SOLE     SHARED     NONE
- --------------------------------------   --------- --------------  ------------- ------------ --- ----------------------------

NATL SEMICONDUCTOR                       637640103 $    14,127.1         1,517.0       X       1                       1,517.0
NATL SEMICONDUCTOR CV DEB 6.50% 10-01-02 637640AB9      12,450.0       $15,000.0       X       1                     $15,000.0
NATURES SUNSHINE PRODUCTS INC            639027101         737.0            67.0       X       1                          67.0
NAVIGANT INTL INC                        63935R108       4,852.0           902.7       X       1                         902.7
NCO GROUP INC                            628858102      36,907.5           997.5       X       1                         997.5
NEON SYSTEMS INC                         640509105       9,350.0           170.0       X       1                         170.0
NEOPATH INC                              640517108       2,965.6           741.4       X       1                         741.4
NEOSE TECHNOLOGIES INC                   640522108       5,475.0           400.0       X       1                         400.0
NEVADA POWER CO                          641423108      22,770.0           920.0       X       1                         920.0
NEW CENTURY ENERGIES INC                 64352U103     187,343.8         5,500.0       X       1                       5,500.0
NEW HOLLAND NV                           645319906      19,475.0         1,900.0       X       1                       1,900.0
NEW JERSEY RESOURCES                     646025106      26,671.9           750.0       X       1                         750.0
NEW YORK TIMES CO CL A                   650111107      86,640.0         3,040.0       X       1                       3,040.0
NEWBRIDGE NETWORKS CORP US$              650901101      73,160.0         2,360.0       X       1                       2,360.0
NEWCOURT CREDIT GROUP INC C$             650905102      60,250.6         2,231.6       X       1                       2,231.6
NEWFIELD EXPLORATION                     651290108      40,725.0         1,800.0       X       1                       1,800.0
NEWHALL LAND/FARMING                     651426108      20,293.8           850.0       X       1                         850.0
NEWMONT MNG CORP                         651639106     204,750.0        11,700.0       X       1                      11,700.0
NEWS CORP LTD PFD ADR                    652487802     577,660.9        21,005.9       X       1                      21,005.9
NEWS CORP NEW ADR                        652487703     610,703.1        20,701.8       X       1                      20,701.8
NEXSTAR PHARMACEUTICALS INC              65333B106       3,412.5           200.0       X       1                         200.0
NEXTEL COMM CL A                         65332V103     288,305.5         7,871.8       X       1                       7,871.8
NICE SYSTEMS LTD SPON ADR                653656108      18,850.5           639.0       X       1                         639.0
NICOR INC                                654086107       6,289.1           175.0       X       1                         175.0
NIKE INC CL B                            654106103   1,121,642.6        19,443.4       X       1                      19,443.4
NISOURCE INC                             65473P105      24,300.0           900.0       X       1                         900.0
NOBLE AFFILIATES                         654894104      36,540.0         1,260.0       X       1                       1,260.0
NOKIA A SPON ADR                         654902204     406,896.9         2,612.5       X       1                       2,612.5
NORFOLK SOTHN CORP                       655844108     445,605.6        16,895.0       X       1                      16,895.0
NORSK HYDRO SPON ADR                     656531605      20,187.5           500.0       X       1                         500.0
NORTEL NETWORKS CORPORATION US$          656569100     432,390.0         6,960.0       X       1                       6,960.0
NORTEL PFD B ADR (NY)                    656567401      20,693.1         1,465.0       X       1                       1,465.0
NORTHEAST UTILITIES                      664397106      47,036.3         3,390.0       X       1                       3,390.0


                                                  --------------
                                    SUB-TOTAL     $  4,889,457.6



#  PURSUANT TO REG. SEC. 240.24B-2 CERTAIN CONFIDENTIAL MATERIAL HAS BEEN FILED WITH THE SECRETARY OF THE SEC FOR NON-PUBLIC
   TREATMENT
*  INVESTMENT DISCRETION IS DISCLAIMED BY THE CAPITAL GROUP COMPANIES, INC FOR ALL PURPOSES OTHER THAN FORM 13F
<PAGE>
 

     FORM 13F - FILE NO. 28-157                                                                                     PAGE    18
     NAME OF REPORTING MANAGER - CAPITAL RESEARCH AND MANAGEMENT COMPANY#                                         MAR 31, 1999


              ITEM 1 AND 2               ITEM 3         ITEM 4         ITEM 5      ITEM 6  ITEM 7*        ITEM 8
                                                                     SHARES OF
                                                                     PRINCIPAL    INVESTMENT           VOTING AUTHORITY
      NAME OF ISSUER/TITLE OF CLASS                 FAIR MARKET         AMOUNT    DISCRETION           (SHARES - 000'S)
                                                                                 ------------     ----------------------------
   (COMMON UNLESS OTHERWISE INDICATED)    CUSIP    VALUE ($000'S)      (000'S)   SOLE SHR OTH MGR     SOLE     SHARED     NONE
- --------------------------------------   --------- --------------  ------------- ------------ --- ----------------------------

NORTHERN TRUST CORP                      665859104 $    39,965.6           450.0       X       1                         450.0
NORTHROP GRUMMAN                         666807102     178,128.1         2,975.0       X       1                       2,975.0
NOVOSTE CORPORATION                      67010C100       9,600.0           400.0       X       1                         400.0
NTL INCORPORATED                         629407107      49,650.0           610.1       X       1                         610.1
NU SKIN ENTERPRISES INC CL A             67018T105       6,633.8           290.0       X       1                         290.0
OCCIDENTAL PETE                          674599105      58,500.0         3,250.0       X       1                       3,250.0
OCULAR SCIENCES INC                      675744106       9,785.3           341.1       X       1                         341.1
OGE ENERGY CORP                          670837103      39,484.4         1,750.0       X       1                       1,750.0
OHIO CASUALTY CORP                       677240103     116,902.5         2,997.5       X       1                       2,997.5
OM GROUP INC                             670872100      34,650.0         1,050.0       X       1                       1,050.0
OMNICARE                                 681904108       3,564.7           187.0       X       1                         187.0
OMNICOM CV DEB 144A (P) 4.25%            681919AC0      14,080.0        $5,500.0       X       1                      $5,500.0
  01-03-07/03
OMNICOM GROUP                            681919106      47,962.5           600.0       X       1                         600.0
ORACLE CORP                              68389X105     932,653.0        35,361.3       X       1                      35,361.3
ORBITAL SCIENCES 144A CV SUB NT 5.00%    685564AB2       3,050.0        $2,500.0       X       1                      $2,500.0
  10/01/2002
ORBOTECH LTD                             68389P904      22,695.8           462.0       X       1                         462.0
ORTHOLOGIC CORP                          68750J107       4,860.0         1,620.0       X       1                       1,620.0
OWENS-ILLINOIS CV PF 4.75% 12/31/49      690768502      13,117.5           360.0       X       1                         360.0
PACIFIC BANK NA                          694026204       4,993.8           237.8       X       1                         237.8
PACIFIC CENTURY FINANCIAL CORP           694058108      30,790.6         1,475.0       X       1                       1,475.0
PACIFIC INTERNET LIMITED                 694456906       1,076.5            18.5       X       1                          18.5
PAGEMART WIRELESS INC CL A               69553J104       4,402.1           903.0       X       1                         903.0
PAGING NETWORK                           695542100      31,546.9         6,730.0       X       1                       6,730.0
PALL CORP                                696429307     149,476.6         9,025.0       X       1                       9,025.0
PALM HARBOR HOMES INC                    696639103      24,336.2         1,118.9       X       1                       1,118.9
PANAMERICAN BEV A                        69829W905      66,892.1         3,808.8       X       1                       3,808.8
PARK ELECTROCHEMICAL                     700416209      10,051.0           427.7       X       1                         427.7
PARK OHIO HOLDINGS CORP                  700666100      11,900.0           850.0       X       1                         850.0
PARKER-HANNIFIN CORP                     701094104     161,317.5         4,710.0       X       1                       4,710.0
PARTNER RE HLDGS LTD                     702122904     115,619.4         2,854.8       X       1                       2,854.8
PAYCHEX INC                              704326107      89,419.7         1,885.0       X       1                       1,885.0


                                                  --------------
                                    SUB-TOTAL     $  2,287,105.3



#  PURSUANT TO REG. SEC. 240.24B-2 CERTAIN CONFIDENTIAL MATERIAL HAS BEEN FILED WITH THE SECRETARY OF THE SEC FOR NON-PUBLIC
   TREATMENT
*  INVESTMENT DISCRETION IS DISCLAIMED BY THE CAPITAL GROUP COMPANIES, INC FOR ALL PURPOSES OTHER THAN FORM 13F
<PAGE>
 

     FORM 13F - FILE NO. 28-157                                                                                     PAGE    19
     NAME OF REPORTING MANAGER - CAPITAL RESEARCH AND MANAGEMENT COMPANY#                                         MAR 31, 1999


              ITEM 1 AND 2               ITEM 3         ITEM 4         ITEM 5      ITEM 6  ITEM 7*        ITEM 8
                                                                     SHARES OF
                                                                     PRINCIPAL    INVESTMENT           VOTING AUTHORITY
      NAME OF ISSUER/TITLE OF CLASS                 FAIR MARKET         AMOUNT    DISCRETION           (SHARES - 000'S)
                                                                                 ------------     ----------------------------
   (COMMON UNLESS OTHERWISE INDICATED)    CUSIP    VALUE ($000'S)      (000'S)   SOLE SHR OTH MGR     SOLE     SHARED     NONE
- --------------------------------------   --------- --------------  ------------- ------------ --- ----------------------------

PEAPOD INC                               704718105 $     9,296.9           850.0       X       1                         850.0
PECO ENERGY COMPANY                      693304107     222,000.0         4,800.0       X       1                       4,800.0
PENNEY J C INC                           708160106   1,398,570.3        34,532.6       X       1                      34,532.6
PENNZENERGY COMPANY                      70931Q109       1,449.0           138.0       X       1                         138.0
PENNZOIL-QUAKER STATE                    709323109     111,438.1         9,005.1       X       1                       9,005.1
PEOPLES ENERGY CORP                      711030106      54,931.3         1,700.0       X       1                       1,700.0
PEOPLESOFT INC                           712713106     277,465.5        18,972.0       X       1                      18,972.0
PEPSICO INC                              713448108   1,323,361.9        33,770.0       X       1                      33,770.0
PERKIN ELMER CORP                        714041100     624,728.2         6,436.4       X       1                       6,436.4
PETROLEUM GEO-SERVICES SPON ADR          716597109       4,751.9           311.6       X       1                         311.6
PETSMART INC                             716768106      50,195.3         6,250.0       X       1                       6,250.0
PETSMART INC CV SUB NT 6.75% 11/01/04    716768AB2      20,650.0       $17,500.0       X       1                     $17,500.0
PFEIFFER VACUUM TECHNOLOGY BEAR SPON ADR 717067102       5,303.6           128.6       X       1                         128.6
PFIZER INC                               717081103   2,549,829.6        18,377.2       X       1                      18,377.2
PHARMACIA & UPJOHN INC                   716941109     712,899.5        11,429.3       X       1                      11,429.3
PHARMACYCLICS INC                        716933106       3,877.5           235.0       X       1                         235.0
PHELPS DODGE CORP                        717265102     341,115.4         6,926.2       X       1                       6,926.2
PHILA SUBURBAN CORP                      718009608       9,746.6           429.6       X       1                         429.6
PHILIP MORRIS CO INC                     718154107   2,390,990.6        67,950.0       X       1                      67,950.0
PHILIPPINE LDTEL ADS SPON                718252604      65,414.4         2,528.1       X       1                       2,528.1
PHILIPPINE LONG DIST TEL SPON GDS CV PF  718252703      22,800.0           480.0       X       1                         480.0
  SER III
PHILLIPS PETE CO                         718507106   1,565,444.5        33,131.1       X       1                      33,131.1
PHOTRONICS INC                           719405102      15,831.3           850.0       X       1                         850.0
PICTURETEL CORP                          720035302       8,353.1         1,193.3       X       1                       1,193.3
PIERCING PAGODA INC                      720773100       4,491.1           502.5       X       1                         502.5
PINNACLE WEST CAP                        723484101      36,375.0         1,000.0       X       1                       1,000.0
PIONEER NATURAL RESOURCES CO             723787107      12,328.8         1,590.8       X       1                       1,590.8
PITNEY BOWES INC                         724479100     140,887.5         2,210.0       X       1                       2,210.0
PITTSTON COMPANY BRINK'S GROUP           725701106      23,530.6         1,001.3       X       1                       1,001.3
PITTWAY CORP CL A                        725790208      29,574.0         1,116.0       X       1                       1,116.0
PLACER DOME INC US$                      725906101     190,187.5        17,000.0       X       1                      17,000.0
PLANTRONICS INC                          727493108      40,665.6           650.0       X       1                         650.0


                                                  --------------
                                    SUB-TOTAL     $ 12,268,484.3



#  PURSUANT TO REG. SEC. 240.24B-2 CERTAIN CONFIDENTIAL MATERIAL HAS BEEN FILED WITH THE SECRETARY OF THE SEC FOR NON-PUBLIC
   TREATMENT
*  INVESTMENT DISCRETION IS DISCLAIMED BY THE CAPITAL GROUP COMPANIES, INC FOR ALL PURPOSES OTHER THAN FORM 13F
<PAGE>
 

     FORM 13F - FILE NO. 28-157                                                                                     PAGE    20
     NAME OF REPORTING MANAGER - CAPITAL RESEARCH AND MANAGEMENT COMPANY#                                         MAR 31, 1999


              ITEM 1 AND 2               ITEM 3         ITEM 4         ITEM 5      ITEM 6  ITEM 7*        ITEM 8
                                                                     SHARES OF
                                                                     PRINCIPAL    INVESTMENT           VOTING AUTHORITY
      NAME OF ISSUER/TITLE OF CLASS                 FAIR MARKET         AMOUNT    DISCRETION           (SHARES - 000'S)
                                                                                 ------------     ----------------------------
   (COMMON UNLESS OTHERWISE INDICATED)    CUSIP    VALUE ($000'S)      (000'S)   SOLE SHR OTH MGR     SOLE     SHARED     NONE
- --------------------------------------   --------- --------------  ------------- ------------ --- ----------------------------

PLATINUM SOFTWARE CORP                   72764R105 $    20,798.2         2,820.1       X       1                       2,820.1
PMC-SIERRA INC                           69344F106     237,289.3         3,333.3       X       1                       3,333.3
PMI GROUP INC (THE)                      69344M101      21,471.6           463.0       X       1                         463.0
POGO PRODUCING CO                        730448107      43,097.6         3,315.2       X       1                       3,315.2
POTLATCH CORP                            737628107      64,949.6         1,913.8       X       1                       1,913.8
PP&L RESOURCES INC                       693499105      86,385.4         3,490.3       X       1                       3,490.3
PPG INDUSTRIES INC                       693506107     513,904.3        10,027.4       X       1                      10,027.4
PRAXAIR INC                              74005P104     455,229.6        12,623.4       X       1                      12,623.4
PREPAID LEGAL SERVICES INC               740065107       2,450.0           100.0       X       1                         100.0
PRIMARK CORP                             741903108       4,909.0           231.0       X       1                         231.0
PRISON REALTY CORP                       74264N105      30,866.1         1,770.1       X       1                       1,770.1
PROBUSINESS SERVICES INC                 742674104      16,800.0           400.0       X       1                         400.0
PROCTER & GAMBLE CO                      742718109      80,553.6           822.5       X       1                         822.5
PROFIT RECOVERY GROUP INTL               743168106      29,455.2           745.7       X       1                         745.7
PROGRESSIVE CORP OH                      743315103      17,980.6           125.3       X       1                         125.3
PROLOGIS TRUST SBI                       743410102      24,417.8         1,191.1       X       1                       1,191.1
PROTECTION ONE ALARM CV SUB NT 6.75%     743659AL8       4,875.0        $5,000.0       X       1                      $5,000.0
  09/15/03
PROTECTION ONE INC                       743663304      32,257.5         5,161.2       X       1                       5,161.2
PROTEIN DESIGN LABS                      74369L103       7,531.3           500.0       X       1                         500.0
PROVIDENT BANKSHARES CORP                743859100      15,553.5           595.4       X       1                         595.4
PUB SVC ENTRPR GRP                       744573106      77,138.8         2,020.0       X       1                       2,020.0
PUBLIC SVC CO N MEX                      744499104      14,693.1           864.3       X       1                         864.3
PUERTO RICAN CEMENT                      745075101      10,686.4           333.3       X       1                         333.3
PUGET SOUND ENERGY INC                   745332106     108,393.8         4,700.0       X       1                       4,700.0
QUADRAMED CORP                           74730W101       1,471.6           193.0       X       1                         193.0
QUANTUM CORP                             747906105     136,350.0         7,575.0       X       1                       7,575.0
QUANTUM CORP CV SUB 7.00% 08/01/04       747906AC9       6,317.5        $7,000.0       X       1                      $7,000.0
QUILMES INDUSTRIAL N/V PFD SPON ADS      74838Y108       7,030.9           745.0       X       1                         745.0
QUINTILES TRANSNAT CV SUB NT 144A 4.25%  748767AA8      10,500.0       $10,000.0       X       1                     $10,000.0
  05/31/00
RANGER OIL LTD US$                       752805101      28,075.7         7,018.9       X       1                       7,018.9
RAYONIER INC                             754907103      37,510.5           936.3       X       1                         936.3


                                                  --------------
                                    SUB-TOTAL     $  2,148,943.3



#  PURSUANT TO REG. SEC. 240.24B-2 CERTAIN CONFIDENTIAL MATERIAL HAS BEEN FILED WITH THE SECRETARY OF THE SEC FOR NON-PUBLIC
   TREATMENT
*  INVESTMENT DISCRETION IS DISCLAIMED BY THE CAPITAL GROUP COMPANIES, INC FOR ALL PURPOSES OTHER THAN FORM 13F
<PAGE>
 

     FORM 13F - FILE NO. 28-157                                                                                     PAGE    21
     NAME OF REPORTING MANAGER - CAPITAL RESEARCH AND MANAGEMENT COMPANY#                                         MAR 31, 1999


              ITEM 1 AND 2               ITEM 3         ITEM 4         ITEM 5      ITEM 6  ITEM 7*        ITEM 8
                                                                     SHARES OF
                                                                     PRINCIPAL    INVESTMENT           VOTING AUTHORITY
      NAME OF ISSUER/TITLE OF CLASS                 FAIR MARKET         AMOUNT    DISCRETION           (SHARES - 000'S)
                                                                                 ------------     ----------------------------
   (COMMON UNLESS OTHERWISE INDICATED)    CUSIP    VALUE ($000'S)      (000'S)   SOLE SHR OTH MGR     SOLE     SHARED     NONE
- --------------------------------------   --------- --------------  ------------- ------------ --- ----------------------------

RAYTHEON COMPANY (NEW) CL A              755111309 $   214,969.8         3,722.4       X       1                       3,722.4
RAYTHEON COMPANY CL B                    755111408     380,792.8         6,495.4       X       1                       6,495.4
REGIS CORP                               758932107      20,647.7           775.5       X       1                         775.5
REMEDY CORP                              759548100      18,340.0         1,310.0       X       1                       1,310.0
RENAISSANCE WLDWIDE                      75968A109       6,187.5         1,000.0       X       1                       1,000.0
RENT-WAY INC                             76009U104      15,240.0           635.0       X       1                         635.0
RENTAL SERVICE CORP                      76009V102      28,000.0         1,600.0       X       1                       1,600.0
RJR NABISCO HLDG NEW                     74960K876     612,007.5        24,480.3       X       1                      24,480.3
ROBERT HALF INTL                         770323103     175,546.9         5,350.0       X       1                       5,350.0
ROGERS COMMUNICATIONS INC CL B C$ N/V    775109200       2,272.0           125.0       X       1                         125.0
ROGERS CORP                              775133101      15,164.3           612.7       X       1                         612.7
ROMAC INTERNATIONAL INC                  775835101      15,017.9         1,766.8       X       1                       1,766.8
ROPER INDUSTRIES NEW                     776696106       3,581.3           150.0       X       1                         150.0
ROYAL BANK OF CANADA C$                  780087102     349,357.2         7,443.9       X       1                       7,443.9
ROYAL CARIBBEAN CRUISES CV PF SER A      780151916       5,506.9            45.0       X       1                          45.0
  7.25%
ROYAL DUTCH PETE 1.25 GUILDER NY SHR     780257804     798,304.0        15,352.0       X       1                      15,352.0
RPM INC OHIO                             749685103      23,962.5         1,800.0       X       1                       1,800.0
RUBY TUESDAY INC                         781182100      14,626.3           841.8       X       1                         841.8
SABRATEK CORP                            78571U108       2,175.0           145.0       X       1                         145.0
SAFECO CORP                              786429100     258,800.0         6,400.0       X       1                       6,400.0
SANMINA CORP                             800907107     238,393.1         3,739.5       X       1                       3,739.5
SAPIENT CORPORATION                      803062108     101,445.3         1,421.3       X       1                       1,421.3
SARA LEE CORP                            803111103     926,021.3        37,415.0       X       1                      37,415.0
SAVILLE SYSTEMS IRELAND PLC SPON ADR     805174109      27,256.3         2,225.0       X       1                       2,225.0
SBC COMMUNICATIONS                       78387G103     432,576.9         9,179.4       X       1                       9,179.4
SBC COMMUNICATNS DECS(TMX) 7.75% 3-15-01 78387G202      26,854.0           463.0       X       1                         463.0
SBS BROADCASTING SA                      783939901      33,109.6         1,030.7       X       1                       1,030.7
SCANA CORP                               805898103      50,206.6         2,315.0       X       1                       2,315.0
SCHERING-PLOUGH                          806605101     801,201.6        14,485.0       X       1                      14,485.0
SCHLUMBERGER LTD                         806857108     892,155.2        14,822.9       X       1                      14,822.9
SCHOOL SPECIALTY INC                     807863105       6,886.0           352.0       X       1                         352.0
SCHULMAN A                               808194104      13,156.6           965.6       X       1                         965.6


                                                  --------------
                                    SUB-TOTAL     $  6,509,761.8



#  PURSUANT TO REG. SEC. 240.24B-2 CERTAIN CONFIDENTIAL MATERIAL HAS BEEN FILED WITH THE SECRETARY OF THE SEC FOR NON-PUBLIC
   TREATMENT
*  INVESTMENT DISCRETION IS DISCLAIMED BY THE CAPITAL GROUP COMPANIES, INC FOR ALL PURPOSES OTHER THAN FORM 13F
<PAGE>
 

     FORM 13F - FILE NO. 28-157                                                                                     PAGE    22
     NAME OF REPORTING MANAGER - CAPITAL RESEARCH AND MANAGEMENT COMPANY#                                         MAR 31, 1999


              ITEM 1 AND 2               ITEM 3         ITEM 4         ITEM 5      ITEM 6  ITEM 7*        ITEM 8
                                                                     SHARES OF
                                                                     PRINCIPAL    INVESTMENT           VOTING AUTHORITY
      NAME OF ISSUER/TITLE OF CLASS                 FAIR MARKET         AMOUNT    DISCRETION           (SHARES - 000'S)
                                                                                 ------------     ----------------------------
   (COMMON UNLESS OTHERWISE INDICATED)    CUSIP    VALUE ($000'S)      (000'S)   SOLE SHR OTH MGR     SOLE     SHARED     NONE
- --------------------------------------   --------- --------------  ------------- ------------ --- ----------------------------

SCI SYSTEMS INC                          783890106 $   174,308.3         5,883.8       X       1                       5,883.8
SCIOS INC                                808905103      13,457.8         1,485.0       X       1                       1,485.0
SCRIPPS CO (THE E.W.) CL A NEW           811054204      47,613.0         1,076.0       X       1                       1,076.0
SEAGATE TECHNOLOGY                       811804103     121,206.3         4,100.0       X       1                       4,100.0
SEALED AIR CORP NEW                      81211K100     113,869.1         2,315.0       X       1                       2,315.0
SEARS ROEBUCK & CO                       812387108      72,300.0         1,600.0       X       1                       1,600.0
SECURITY DYNAMICS TECHNOLOGIES INC       814208104      11,609.0           623.3       X       1                         623.3
SEMPRA ENERGY                            816851109      69,075.0         3,600.0       X       1                       3,600.0
SEPRACOR INC                             817315104     160,236.9         1,427.5       X       1                       1,427.5
SEPRACOR INC CV NT 7.00% 144A 12/15/05   817315AF1      17,400.0       $15,000.0       X       1                     $15,000.0
SEPRACOR INC CV SUB NT 144A 6.25% 2/15/5 817315AC8      26,840.0       $11,000.0       X       1                     $11,000.0
SEQUENT COMPUTER SYS                     817338106      11,614.5         1,281.6       X       1                       1,281.6
SERVICEMASTER CO (THE)                   81760N109      25,543.0         1,257.5       X       1                       1,257.5
SHAW COMMUNICATIONS INC CL B C$          82028K200      33,781.1         1,050.0       X       1                       1,050.0
SHELL TRANS/TRADING  (NY SHARES NEW)     822703609     252,829.7         6,223.5       X       1                       6,223.5
SHERWIN WILLIAMS CO                      824348106     164,081.3         5,834.0       X       1                       5,834.0
SIGMA-ALDRICH CORP                       826552101      17,550.0           600.0       X       1                         600.0
SILICON GRAPHICS INC                     827056102     260,658.8        15,620.0       X       1                      15,620.0
SILVERLEAF RESORTS INC                   828395103       4,400.0           550.0       X       1                         550.0
SINCLAIR BROADCAST GROUP CL A            829226109      76,769.1         5,271.7       X       1                       5,271.7
SIPEX CORP                               829909100      17,049.2         1,305.2       X       1                       1,305.2
SK TELECOM SPON ADR                      78440P108      25,439.8         2,087.4       X       1                       2,087.4
SKY NETWORK TELEVISION LTD SPON ADR      8308OU102       6,862.0           376.0       X       1                         376.0
SKYTEL COMM CV EX PF  $2.25              83087Q302       4,047.0           142.0       X       1                         142.0
SKYTEL COMM INC                          83087Q104     126,599.4         7,615.0       X       1                       7,615.0
SLM HOLDING CORP VTG                     78442A109     617,357.3        14,787.0       X       1                      14,787.0
SMTHKLNE BEECHAM ADS                     832378301     244,530.0         3,420.0       X       1                       3,420.0
SMURFIT-STONE CONTAINER CORP             832727101      71,977.7         3,727.0       X       1                       3,727.0
SNYDER COMMUNICATIONS INC                832914105     111,918.1         4,015.0       X       1                       4,015.0
SO JERSEY INDUSTRIES                     838518108      10,812.5           500.0       X       1                         500.0
SOCIETE EUROPEENNE DE COM B ADR (SEC)    83366A200         814.5            62.3       X       1                          62.3
SOCIETE EUROPEENNE DE COMM A ADR (SEC)   83366A101          90.8             6.9       X       1                           6.9
SOLECTRON CORP                           834182107     369,269.3         7,604.0       X       1                       7,604.0


                                                  --------------
                                    SUB-TOTAL     $  3,281,910.2



#  PURSUANT TO REG. SEC. 240.24B-2 CERTAIN CONFIDENTIAL MATERIAL HAS BEEN FILED WITH THE SECRETARY OF THE SEC FOR NON-PUBLIC
   TREATMENT
*  INVESTMENT DISCRETION IS DISCLAIMED BY THE CAPITAL GROUP COMPANIES, INC FOR ALL PURPOSES OTHER THAN FORM 13F
<PAGE>
 

     FORM 13F - FILE NO. 28-157                                                                                     PAGE    23
     NAME OF REPORTING MANAGER - CAPITAL RESEARCH AND MANAGEMENT COMPANY#                                         MAR 31, 1999


              ITEM 1 AND 2               ITEM 3         ITEM 4         ITEM 5      ITEM 6  ITEM 7*        ITEM 8
                                                                     SHARES OF
                                                                     PRINCIPAL    INVESTMENT           VOTING AUTHORITY
      NAME OF ISSUER/TITLE OF CLASS                 FAIR MARKET         AMOUNT    DISCRETION           (SHARES - 000'S)
                                                                                 ------------     ----------------------------
   (COMMON UNLESS OTHERWISE INDICATED)    CUSIP    VALUE ($000'S)      (000'S)   SOLE SHR OTH MGR     SOLE     SHARED     NONE
- --------------------------------------   --------- --------------  ------------- ------------ --- ----------------------------

SONAT INC                                835415100 $    37,623.0         1,254.1       X       1                       1,254.1
SONOCO PRODS CO                          835495102      68,597.5         2,982.5       X       1                       2,982.5
SOUTHERN CO                              842587107     814,361.6        34,932.4       X       1                      34,932.4
SOUTHWEST AIRLINES                       844741108     252,101.6         8,333.9       X       1                       8,333.9
SPARTECH CORP                            847220209         825.0            40.0       X       1                          40.0
SPELLING ENTERTAINMENT INC NEW           847807104       8,750.0         1,000.0       X       1                       1,000.0
SPIEKER PROPERTIES INC                   848497103     102,577.5         2,910.0       X       1                       2,910.0
SPORTS AUTHORITY INC (THE)               849176102       8,043.8         1,100.0       X       1                       1,100.0
SPRINT CORP (FON GROUP)                  852061100   2,722,919.7        27,749.5       X       1                      27,749.5
SPRINT CORP (PCS GROUP)                  852061506      32,348.1           730.0       X       1                         730.0
ST PAUL CAPITAL CV PF MIPS 6.00%         792856205      10,972.5           190.0       X       1                         190.0
ST PAUL COS INC                          792860108     806,363.0        25,959.4       X       1                      25,959.4
STANLEY WORKS                            854616109     155,031.3         6,050.0       X       1                       6,050.0
STATION CASINOS                          857689103      15,463.2         1,212.8       X       1                       1,212.8
STERILE RECOVERIES INC                   859151102       2,470.3           241.0       X       1                         241.0
STET HELLAS TELECOMMUNICATIONS ADR       859823106       5,581.4           188.4       X       1                         188.4
STEWART ENTERPRISES CL A                 860370105      65,856.3         4,100.0       X       1                       4,100.0
STOLT-NIELSEN B ADS                      861565109      30,645.5         2,514.5       X       1                       2,514.5
STOLT-NIELSEN SA COM                     861565919       9,050.1           837.0       X       1                         837.0
STRUCTURAL DYNAMICS RESEARCH CORP        863555108       2,859.4           150.0       X       1                         150.0
SUN TRUST BANKS INC                      867914103     705,790.5        11,338.0       X       1                      11,338.0
SUNCOR ENERGY INC C$                     867229106     205,019.9         6,090.0       X       1                       6,090.0
SUNDSTRAND CORP                          867323107     321,451.4         4,625.2       X       1                       4,625.2
SUNGLASS HUT INTL                        86736F106      33,600.0         3,200.0       X       1                       3,200.0
SUNOCO INC                               86764P109     217,529.0         6,032.0       X       1                       6,032.0
SUPERIOR CONSULTANT HOLDINGS             868146101       5,118.8           150.0       X       1                         150.0
SUPERIOR TELECOM INC                     868365107      10,617.2           562.5       X       1                         562.5
SYBRON INTERNATIONAL CORP (WISCONSIN)    87114F106      22,500.0           900.0       X       1                         900.0
SYLVAN LEARNING SYSTEMS INC              871399101       6,018.4           219.9       X       1                         219.9
SYNOPSYS INC                             871607107      10,750.0           200.0       X       1                         200.0
TALISMAN ENERGY INC C$                   87425E103      70,388.1         3,240.0       X       1                       3,240.0
TANDY CORP                               875382103       9,571.9           150.0       X       1                         150.0
TECH DATA CORP                           878237106      52,756.3         2,300.0       X       1                       2,300.0


                                                  --------------
                                    SUB-TOTAL     $  6,823,551.7



#  PURSUANT TO REG. SEC. 240.24B-2 CERTAIN CONFIDENTIAL MATERIAL HAS BEEN FILED WITH THE SECRETARY OF THE SEC FOR NON-PUBLIC
   TREATMENT
*  INVESTMENT DISCRETION IS DISCLAIMED BY THE CAPITAL GROUP COMPANIES, INC FOR ALL PURPOSES OTHER THAN FORM 13F
<PAGE>
 

     FORM 13F - FILE NO. 28-157                                                                                     PAGE    24
     NAME OF REPORTING MANAGER - CAPITAL RESEARCH AND MANAGEMENT COMPANY#                                         MAR 31, 1999


              ITEM 1 AND 2               ITEM 3         ITEM 4         ITEM 5      ITEM 6  ITEM 7*        ITEM 8
                                                                     SHARES OF
                                                                     PRINCIPAL    INVESTMENT           VOTING AUTHORITY
      NAME OF ISSUER/TITLE OF CLASS                 FAIR MARKET         AMOUNT    DISCRETION           (SHARES - 000'S)
                                                                                 ------------     ----------------------------
   (COMMON UNLESS OTHERWISE INDICATED)    CUSIP    VALUE ($000'S)      (000'S)   SOLE SHR OTH MGR     SOLE     SHARED     NONE
- --------------------------------------   --------- --------------  ------------- ------------ --- ----------------------------

TECO ENERGY                              872375100 $   104,429.2         5,254.3       X       1                       5,254.3
TEEKAY SHIPPING CORP                     879006906       3,300.0           200.0       X       1                         200.0
TELE DANMARK B ADR   SPON                879242105     133,108.5         2,716.5       X       1                       2,716.5
TELEBRAS HOLDRS SPON ADR PFD             879287308      44,343.8           550.0       X       1                         550.0
TELECOM ARGENTINA B SPON ADS             879273209      66,733.5         2,432.2       X       1                       2,432.2
TELECOM NEW ZEAL ADS SPON                879278208      31,562.7           809.3       X       1                         809.3
TELEFONICA ARG B ADS                     879378206      59,710.5         1,973.9       X       1                       1,973.9
TELEFONICA DEL PERU B SPON ADS           879384105      30,713.5         2,408.9       X       1                       2,408.9
TELEFONICA SPON ADR                      879382208     116,486.3           911.8       X       1                         911.8
TELEFONOS DE MEXICO L ADR                879403780   1,121,123.5        17,116.4       X       1                      17,116.4
TELETECH HOLDINGS INC                    879939106      20,179.7         3,075.0       X       1                       3,075.0
TELLABS INC                              879664100      22,971.3           235.0       X       1                         235.0
TEVA PHARM ADR                           881624209     124,997.8         2,635.0       X       1                       2,635.0
TEXACO INC                               881694103   1,133,865.0        19,980.0       X       1                      19,980.0
TEXAS INSTRS INC                         882508104   1,652,438.7        16,649.3       X       1                      16,649.3
TEXAS UTILS CO                           882848104      67,567.1         1,620.8       X       1                       1,620.8
TEXTRON INC                              883203101     232,125.0         3,000.0       X       1                       3,000.0
THERMEDICS                               883901100       9,816.9         1,390.0       X       1                       1,390.0
THERMO ELECTRON 144A CV SUB DEB 4.25%    883556AF9      20,355.0       $23,000.0       X       1                     $23,000.0
  01-01-03
THERMO ELECTRON CORP                     883556102     107,482.8         7,925.0       X       1                       7,925.0
THERMO FIBERTEK INC                      88355W105       8,625.0         1,200.0       X       1                       1,200.0
THERMO INSTRUMENT SYS CV DEB 144A 4.50%  883559AC0       2,640.0        $3,000.0       X       1                      $3,000.0
  10/15/03
THERMO INSTRUMNT CV SUB DEB 4.00%        883559AE6       8,150.0       $10,000.0       X       1                     $10,000.0
  01/15/05
THERMOQUEST CORP                         883655102       6,183.8           510.0       X       1                         510.0
THOMAS & BETTS CORP                      884315102     132,220.0         3,520.0       X       1                       3,520.0
TIER TECHNOLOGY INC CL B                 88650Q100         738.4            85.0       X       1                          85.0
TIME WARNER INC                          887315109   4,572,314.0        64,342.2       X       1                      64,342.2
TORONTO DOMINION BANK (THE) C$           891160509     112,476.0         2,453.8       X       1                       2,453.8
TOTAL SA SPON ADR B                      89151E109     413,722.2         6,782.3       X       1                       6,782.3
TOWER AUTOMOTIVE INC                     891707101      53,181.8         2,855.4       X       1                       2,855.4


                                                  --------------
                                    SUB-TOTAL     $ 10,413,561.9



#  PURSUANT TO REG. SEC. 240.24B-2 CERTAIN CONFIDENTIAL MATERIAL HAS BEEN FILED WITH THE SECRETARY OF THE SEC FOR NON-PUBLIC
   TREATMENT
*  INVESTMENT DISCRETION IS DISCLAIMED BY THE CAPITAL GROUP COMPANIES, INC FOR ALL PURPOSES OTHER THAN FORM 13F
<PAGE>
 

     FORM 13F - FILE NO. 28-157                                                                                     PAGE    25
     NAME OF REPORTING MANAGER - CAPITAL RESEARCH AND MANAGEMENT COMPANY#                                         MAR 31, 1999


              ITEM 1 AND 2               ITEM 3         ITEM 4         ITEM 5      ITEM 6  ITEM 7*        ITEM 8
                                                                     SHARES OF
                                                                     PRINCIPAL    INVESTMENT           VOTING AUTHORITY
      NAME OF ISSUER/TITLE OF CLASS                 FAIR MARKET         AMOUNT    DISCRETION           (SHARES - 000'S)
                                                                                 ------------     ----------------------------
   (COMMON UNLESS OTHERWISE INDICATED)    CUSIP    VALUE ($000'S)      (000'S)   SOLE SHR OTH MGR     SOLE     SHARED     NONE
- --------------------------------------   --------- --------------  ------------- ------------ --- ----------------------------

TRANSAMERICA CORP                        893485102 $   340,800.0         4,800.0       X       1                       4,800.0
TRANSATLANTIC HLDGS INC                  893521104      17,280.0           230.4       X       1                         230.4
TRANSWITCH CORP                          894065101      29,186.3           645.0       X       1                         645.0
TRANZ RAIL HLDGS SPON ADR                894116102       6,438.6         1,051.2       X       1                       1,051.2
TRENWICK GROUP INC                       895290104         562.5            20.0       X       1                          20.0
TRIBUNE COMPANY                          896047107     217,396.5         3,322.2       X       1                       3,322.2
TRIGON HEALTHCARE INC                    89618L100      27,067.8           790.3       X       1                         790.3
TRIMBLE NAVIGATION LTD                   896239100      24,765.0         2,540.0       X       1                       2,540.0
TRW INC                                  872649108     323,050.0         7,100.0       X       1                       7,100.0
TUBOS DE ACERO ADR   NEW                 898592506       3,019.9           335.5       X       1                         335.5
TUPPERWARE CORP                          899896104       9,000.0           500.0       X       1                         500.0
TV AZTECA SA DE CV SPON ADR              901145102      24,524.4         3,923.9       X       1                       3,923.9
TV GUIDE INC CL A                        87307Q109     103,250.0         2,800.0       X       1                       2,800.0
U S BANCORP                              902973106     137,314.5         4,031.3       X       1                       4,031.3
U S WEST INC                             91273H101   1,897,272.0        34,456.7       X       1                      34,456.7
ULTRAMAR DIAMOND SHAMROCK CORP           904000106     255,551.3        11,817.4       X       1                      11,817.4
UNIBANCO UNIT GDS (REP 500 UNITS) UNIT=1 90458E107      20,790.0         1,080.0       X       1                       1,080.0
  UBB4 +1 UBH6
UNICOM CORPORATION                       904911104      40,218.8         1,100.0       X       1                       1,100.0
UNILEVER NV NY SHRS                      904784501      86,368.8         1,300.0       X       1                       1,300.0
UNION CAMP CORP                          905530101     496,389.4         7,395.0       X       1                       7,395.0
UNION PACIFIC                            907818108     220,429.7         4,125.0       X       1                       4,125.0
UNITED BANKSHRS INC                      909907107      23,446.9         1,025.0       X       1                       1,025.0
UNITED HEALTHCARE CO                     910581107     119,353.5         2,268.0       X       1                       2,268.0
UNITED INTERNATIONAL HOLDINGS CL A       910734102     122,017.5         2,805.0       X       1                       2,805.0
UNITED NATURAL FOODS INC                 911163103       8,328.5           356.3       X       1                         356.3
UNITED TECHNOLOGIES                      913017109   1,042,381.2         7,696.4       X       1                       7,696.4
UNITED TELEVISION                        913066106      37,024.0           356.0       X       1                         356.0
UNIV HEALTH SVS CL B                     913903100      61,626.9         1,424.9       X       1                       1,424.9
UNOCAL CORP                              915289102     508,100.9        13,802.4       X       1                      13,802.4
UROCOR INC                               91727P105       2,925.0           600.0       X       1                         600.0
USA NETWORKS INC                         902984103     304,280.9         8,496.5       X       1                       8,496.5
UST CORP                                 902900109      18,567.2           850.0       X       1                         850.0


                                                  --------------
                                    SUB-TOTAL     $  6,528,727.7



#  PURSUANT TO REG. SEC. 240.24B-2 CERTAIN CONFIDENTIAL MATERIAL HAS BEEN FILED WITH THE SECRETARY OF THE SEC FOR NON-PUBLIC
   TREATMENT
*  INVESTMENT DISCRETION IS DISCLAIMED BY THE CAPITAL GROUP COMPANIES, INC FOR ALL PURPOSES OTHER THAN FORM 13F
<PAGE>
 

     FORM 13F - FILE NO. 28-157                                                                                     PAGE    26
     NAME OF REPORTING MANAGER - CAPITAL RESEARCH AND MANAGEMENT COMPANY#                                         MAR 31, 1999


              ITEM 1 AND 2               ITEM 3         ITEM 4         ITEM 5      ITEM 6  ITEM 7*        ITEM 8
                                                                     SHARES OF
                                                                     PRINCIPAL    INVESTMENT           VOTING AUTHORITY
      NAME OF ISSUER/TITLE OF CLASS                 FAIR MARKET         AMOUNT    DISCRETION           (SHARES - 000'S)
                                                                                 ------------     ----------------------------
   (COMMON UNLESS OTHERWISE INDICATED)    CUSIP    VALUE ($000'S)      (000'S)   SOLE SHR OTH MGR     SOLE     SHARED     NONE
- --------------------------------------   --------- --------------  ------------- ------------ --- ----------------------------

UST INC                                  902911106 $   125,661.3         4,810.0       X       1                       4,810.0
USWEB CORP                               917327108     100,856.3         2,445.0       X       1                       2,445.0
USX-MARATHON GROUP                       902905827     242,297.0         8,810.8       X       1                       8,810.8
VAIL RESORTS INC                         91879Q109      26,901.8         1,694.6       X       1                       1,694.6
VALERO ENERGY CORP NEW                   91913Y100     116,141.4         4,669.0       X       1                       4,669.0
VALSPAR CORP                             920355104     117,093.7         3,709.9       X       1                       3,709.9
VANTIVE CORP                             922091103      31,472.9         2,609.2       X       1                       2,609.2
VERTEX PHARMACEUTCLS                     92532F100      18,432.5           730.0       X       1                         730.0
VF CORP                                  918204108     186,390.6         3,950.0       X       1                       3,950.0
VIACOM INC CL A                          925524100     343,739.0         4,125.9       X       1                       4,125.9
VIACOM INC CL B N/V                      925524308   3,104,781.0        36,989.2       X       1                      36,989.2
VICAL INC                                925602104       7,175.0           700.0       X       1                         700.0
VINA CONCHA Y TORO SA SPON ADR           927191106         799.0            27.2       X       1                          27.2
VISION-SCIENCES INC                      927912105       1,004.3           730.4       X       1                         730.4
VODAFONE GRP PLC ADR                     92857T107     446,845.0         2,380.0       X       1                       2,380.0
WACHOVIA CORPORATION                     929771103     323,765.6         3,987.9       X       1                       3,987.9
WAL MART STORES INC                      931142103     806,640.6         8,750.0       X       1                       8,750.0
WALGREEN CO                              931422109      10,170.0           360.0       X       1                         360.0
WARNER LAMBERT CO                        934488107     981,229.7        14,825.0       X       1                      14,825.0
WASHINGTON MUTL INC                      939322103   1,192,564.9        29,175.9       X       1                      29,175.9
WASHINGTON POST CL B                     939640108       1,043.0             2.0       X       1                           2.0
WASHINGTON REIT SBI                      939653101       2,373.5           145.5       X       1                         145.5
WASTE MANAGEMENT INC CV SUB              94106LAA7      12,540.0       $11,000.0       X       1                     $11,000.0
  4.00%02-01-02
WASTE MANAGEMENT INC NEW                 94106L109     502,691.1        11,328.3       X       1                      11,328.3
WATERS CORP                              941848103       8,089.8            77.0       X       1                          77.0
WATSON PHARMACEUTICAL INC                942683103      13,237.5           300.0       X       1                         300.0
WEBTRENDS CORP                           94844D104       2,577.1            53.0       X       1                          53.0
WEEKS CORP                               94856P102      13,852.8           485.0       X       1                         485.0
WEINGARTEN RLTY INVS                     948741103     102,430.6         2,585.0       X       1                       2,585.0
WELLS FARGO & CO (NEW)                   949746101   1,737,408.6        49,551.8       X       1                      49,551.8
WERNER ENTERPRISES                       950755108       3,858.8           245.0       X       1                         245.0
WESTERN DIGITAL CV SUB DEB 0.00% 144A    958102AF2      30,375.0      $135,000.0       X       1                    $135,000.0


                                                  --------------
                                    SUB-TOTAL     $ 10,614,439.4



#  PURSUANT TO REG. SEC. 240.24B-2 CERTAIN CONFIDENTIAL MATERIAL HAS BEEN FILED WITH THE SECRETARY OF THE SEC FOR NON-PUBLIC
   TREATMENT
*  INVESTMENT DISCRETION IS DISCLAIMED BY THE CAPITAL GROUP COMPANIES, INC FOR ALL PURPOSES OTHER THAN FORM 13F
<PAGE>
 

     FORM 13F - FILE NO. 28-157                                                                                     PAGE    27
     NAME OF REPORTING MANAGER - CAPITAL RESEARCH AND MANAGEMENT COMPANY#                                         MAR 31, 1999


              ITEM 1 AND 2               ITEM 3         ITEM 4         ITEM 5      ITEM 6  ITEM 7*        ITEM 8
                                                                     SHARES OF
                                                                     PRINCIPAL    INVESTMENT           VOTING AUTHORITY
      NAME OF ISSUER/TITLE OF CLASS                 FAIR MARKET         AMOUNT    DISCRETION           (SHARES - 000'S)
                                                                                 ------------     ----------------------------
   (COMMON UNLESS OTHERWISE INDICATED)    CUSIP    VALUE ($000'S)      (000'S)   SOLE SHR OTH MGR     SOLE     SHARED     NONE
- --------------------------------------   --------- --------------  ------------- ------------ --- ----------------------------

  02/18/18
WESTERN RESOURCES                        959425109 $    50,036.4         1,874.9       X       1                       1,874.9
WESTVACO CORP                            961548104     216,247.5        10,297.5       X       1                      10,297.5
WESTWOOD ONE INC                         961815107      56,293.2         1,975.2       X       1                       1,975.2
WEYERHAEUSER CO                          962166104   1,366,016.0        24,612.9       X       1                      24,612.9
WHITE CAP INDUSTRIES INC                 963505102         330.0            30.0       X       1                          30.0
WHITEHALL JEWELLERS INC                  965063100       7,841.3           510.0       X       1                         510.0
WHITMAN CORP                             96647K102      18,046.9         1,050.0       X       1                       1,050.0
WHITTMAN-HART INC                        966834103       6,798.3           316.2       X       1                         316.2
WICOR INC                                929253102      10,878.3           537.2       X       1                         537.2
WILLAMETTE INDUSTRIES INC                969133107     105,522.6         2,795.3       X       1                       2,795.3
WILLIAMS COS INC                         969457100   1,011,841.9        25,616.3       X       1                      25,616.3
WILLIAMS-SONOMA INC                      969904101       6,613.3           234.1       X       1                         234.1
WILMINGTON TR CORP                       971807102      71,406.3         1,250.0       X       1                       1,250.0
WISCONSIN CENT TRANS                     976592105      39,343.2         2,969.3       X       1                       2,969.3
WISCONSIN ENERGY                         976657106     166,416.3         6,370.0       X       1                       6,370.0
WITCO CORP                               977385103      88,896.2         7,006.6       X       1                       7,006.6
XEROX CORP                               984121103     947,267.5        17,747.4       X       1                      17,747.4
XILINX                                   983919101      16,225.0           400.0       X       1                         400.0
XL CAPITAL LTD                           983940909     469,233.0         7,724.0       X       1                       7,724.0
YORK INTL CORP                           986670107     203,834.3         5,772.3       X       1                       5,772.3
YOUNG & RUBICAM INC                      987425105      56,051.6         1,375.5       X       1                       1,375.5
YPF SOC ANONIMA ADR  D SPON              984245100      78,906.3         2,500.0       X       1                       2,500.0
ZALE CORP                                988858106      27,305.6           798.7       X       1                         798.7
ZONAGEN INC                              98975L108      13,760.0           640.0       X       1                         640.0


                                                  --------------
                                    SUB-TOTAL     $  5,035,110.7

                                               -----------------
                                        GRAND  $   184,619,295.4
                                               -----------------







#  PURSUANT TO REG. SEC. 240.24B-2 CERTAIN CONFIDENTIAL MATERIAL HAS BEEN FILED WITH THE SECRETARY OF THE SEC FOR NON-PUBLIC
   TREATMENT
*  INVESTMENT DISCRETION IS DISCLAIMED BY THE CAPITAL GROUP COMPANIES, INC FOR ALL PURPOSES OTHER THAN FORM 13F
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