CAPITAL RESEARCH & MANAGEMENT CO
13F-HR, 2000-05-15
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                      UNITED STATES
            SECURITIES AND EXCHANGE COMMISSION
                 Washington, D.C. 20549

                        Form 13F

                   Form 13F COVER PAGE

Report for the Calendar Year or Quarter Ended: March 31, 2000

Check here if Amendment [ ]; Amendment Number: ____
This Amendment (Check only one.): [ ] is a restatement.
                                  [ ] adds new holdings
                                      entries.
Institutional Investment Manager Filing this Report:

Name:    Capital Research and Management Company
Address: 333 South Hope Street, 55th Floor
         Los Angeles, California  90071-1447

Form 13F File Number: 28-157

The institutional investment manager filing this report and the
person by whom it is signed hereby represent that the person
signing the report is authorized to submit it, that all
information contained herein is true, correct and complete, and
that it is understood that all required items, statements,
schedules, lists, and tables, are considered integral parts of
this form.

Person Signing this Report on Behalf of Reporting Manager:

Name:  Paul G. Haaga, Jr.
Title: Executive Vice President
Phone: 213/486-9216

Signature, Place, and Date of Signing:

Paul G. Haaga, Jr.*   Los Angeles, California      5/12//00
- --------------------  ---------------------------  ----------
[Signature]           [City, State]                [Date]

*By:  /s/ James P. Ryan
      --------------------
       James P. Ryan
       Attorney-in-fact

Signed pursuant to a Power of Attorney dated January 18, 2000
included as an Exhibit to Schedule 13G filed with the
Securities and Exchange Commission by Capital Research and
Management Company on February 10, 2000 with respect to 3COM
Corporation Information Services, Inc.


Report Type (Check only one.):

[X] 13F HOLDINGS REPORT. (Check here if all holdings of this
    reporting manager are reported in this report.)

[ ] 13F NOTICE. (Check here if no holdings reported are in this
    report, and all holdings are reported by other reporting
    manager(s).)

[ ] 13F COMBINATION REPORT. (Check here if a portion of the
     holdings for this reporting manager are reported in this
     report and a portion are reported by other reporting
     manager(s).)

List of Other Managers Reporting for this Manager:
[If there are no entries in this list, omit this section.]

     Form 13F File Number       Name

     28-218                     The Capital Group Companies, Inc.


<PAGE>
                       Form 13F SUMMARY PAGE

     Report Summary:


     Number of Other Included Managers:        1

     Form 13F Information Table Entry Total:   940

     Form 13F Information Table Value Total:   $221900561
                                                -----------
                                                (thousands)

      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:

     Provide a numbered list of the name(s) and Form 13F file
     number(s) of all institutional investment managers with respect to which
 this report is filed, other than the manager filing this
report.

     [If there are no entries in this list, state "NONE" and omit the column
 headings and list entries.]

     No.   Form 13F File Number Name

     1     28-218               The Capital Group Companies, Inc.
<PAGE>
<TABLE>
CAPITAL RESEARCH AND MANAGEMENT COMPANY             FORM 13F INFORMATION TABLE#                                     MAR 31, 2000

              COLUMN 1 & COLUMN 2        COLUMN 3  COLUMN 4       COLUMN 5         COLUMN 6   COLUMN 7*       COLUMN 8
- --------------------------------------   --------- --------- --------------------- ---------- --------- -------------------------
      NAME OF ISSUER/TITLE OF CLASS       CUSIP    VALUE     SHRS OR      SH/ PUT/ INVESTMENT OTHER
   (COMMON UNLESS OTHERWISE INDICATED)             (x$1000)  PRN AMT      PRN CALL DISCRETION MGRS      SOLE     SHARED     NONE
- --------------------------------------   --------- --------- --------------------- ---------- --------- -------------------------
<S>                                      <C>       <C>       <C>          <C> <C>  <C>        <C>  <C>       <C>        <C>
21ST CENTURY INSURANCE GROUP             90130N103 $   86030      4001400 SH       DEFINED     1                          4001400
3COM CORP                                885535104   1176914     21158000 SH       DEFINED     1                         21158000
724 SOLUTIONS INC US$                    81788Q100      4009        32200 SH       DEFINED     1                            32200
ABBOTT LABORATORIES                      002824100    334281      9500000 SH       DEFINED     1                          9500000
ABITIBI-CONSOLIDATED INC C$              003924107     91302      9500000 SH       DEFINED     1                          9500000
ACCRUE SOFTWARE INC                      00437W102     15342       335000 SH       DEFINED     1                           335000
ACME COMMUNICATIONS INC                  004631107      7314       319724 SH       DEFINED     1                           319724
ACXIOM CORP                              005125109    104738      3150000 SH       DEFINED     1                          3150000
ADAPTEC INC                              00651F108    536810     13898000 SH       DEFINED     1                         13898000
ADAPTEC INC CV SUB NT 4.75% 02/01/04     00651FAC2     17159    $18500000 PRN      DEFINED     1                        $18500000
ADMINISTAFF INC                          007094105      5499       140100 SH       DEFINED     1                           140100
ADOBE SYSTEMS INC                        00724F101     34507       310000 SH       DEFINED     1                           310000
ADVANCED MICRO DEVICES INC               007903107    647659     11350000 SH       DEFINED     1                         11350000
AEROFLEX INC                             007768104      7425       150000 SH       DEFINED     1                           150000
AETHER SYSTEMS INC                       00808V105      5445        30000 SH       DEFINED     1                            30000
AETNA INC                                008117103    400716      7195805 SH       DEFINED     1                          7195805
AFFYMETRIX INC REG D PP                  00826T108    148438      1000000 SH       DEFINED     1                          1000000
AGILENT TECHNOLOGIES INC                 00846U101     62057       596700 SH       DEFINED     1                           596700
AHL SERVICES INC                         001296102      5063       500000 SH       DEFINED     1                           500000
AIR PRODS & CHEMICAL                     009158106    201622      7090000 SH       DEFINED     1                          7090000
AIRGAS INC                               009363102     24164      2907000 SH       DEFINED     1                          2907000
AKAMAI TECHNOLOGIES INC                  00971T101      9890        61500 SH       DEFINED     1                            61500
ALAMOSA PCS HOLDINGS INC                 011593100     12956       343200 SH       DEFINED     1                           343200
ALASKA AIR GROUP                         011659109      4672       155400 SH       DEFINED     1                           155400
ALBERTA ENERGY CO LTD C$                 012873105     58341      1935600 SH       DEFINED     1                          1935600
ALBERTSON'S INC                          013104104   1614698     52087040 SH       DEFINED     1                         52087040
ALCOA INC                                013817101   1558841     22189900 SH       DEFINED     1                         22189900
ALEXANDER & BALDWIN INC                  014482103     53109      2575000 SH       DEFINED     1                          2575000
ALLEGHENY TECHNOLOGIES INC               01741R102     26583      1325000 SH       DEFINED     1                          1325000
ALLIANCE ATLANTIS COMM CL B N/V C$       01853E204     17014      1266450 SH       DEFINED     1                          1266450
ALLIED WASTE INDS                        019589308    174891     26650000 SH       DEFINED     1                         26650000
ALLOY ONLINE                             019855105     20609      1235000 SH       DEFINED     1                          1235000
ALLSTATE CORP (THE)                      020002101   1166455     48985000 SH       DEFINED     1                         48985000
ALTERA CORP                              021441100    207506      2325000 SH       DEFINED     1                          2325000
ALZA CORP                                022615108      4695       125000 SH       DEFINED     1                           125000
AMB PROPERTY CORPORATION                 00163T109     88688      4125000 SH       DEFINED     1                          4125000
AMER CLASSIC VOYAGES                     024928103     28966      1150000 SH       DEFINED     1                          1150000
AMEREN CORPORATION                       023608102    352310     11387800 SH       DEFINED     1                         11387800
AMERICA ONLINE INC                       02364J104     24883       370000 SH       DEFINED     1                           370000
AMERICAN CAPITAL STRATEGIES              024937104     19716       777000 SH       DEFINED     1                           777000
AMERICAN DENTAL PARTNERS INC             025353103      3073       443000 SH       DEFINED     1                           443000
AMERICAN ELECTRIC POWER CO INC           025537101    413648     13875000 SH       DEFINED     1                         13875000
AMERICAN GENERAL CORP                    026351106    900890     16051500 SH       DEFINED     1                         16051500
AMERICAN GREETINGS CORP CL A             026375105     75307      4126400 SH       DEFINED     1                          4126400
AMERICAN HOME PRODUCTS CORP              026609107   1187150     22138000 SH       DEFINED     1                         22138000
AMERICAN INTL GROUP                      026874107    913427      8341796 SH       DEFINED     1                          8341796
AMERICAN NATIONAL CAN GROUP INC          027714104     55259      4210200 SH       DEFINED     1                          4210200
AMERICAN WATER WORKS CO INC              030411102     51063      2150000 SH       DEFINED     1                          2150000
AMERISOURCE HEALTH CORP CL A             03071P102     15750      1050000 SH       DEFINED     1                          1050000
AMF BOWLING CV DEB 0.00% 05/12/18 144A   03113VAA7      1500    $47983000 PRN      DEFINED     1                        $47983000
AMFM INC                                 001693100    287993      4635700 SH       DEFINED     1                          4635700
AMR CORPORATION                          001765106    403142     12647600 SH       DEFINED     1                         12647600
AMSOUTH BANCORP                          032165102     70953      4750000 SH       DEFINED     1                          4750000
AMSURG CORP CL A                         03232P108      1469       250000 SH       DEFINED     1                           250000
AMSURG CORP CL B                         03232P207      1860       309972 SH       DEFINED     1                           309972
ANALOG DEVICES                           032654105    759167      9423330 SH       DEFINED     1                          9423330
ANDRX CORPORATION                        034551101    133980      1160000 SH       DEFINED     1                          1160000
ANESTA CORP                              034603100      9463       715000 SH       DEFINED     1                           715000
ANTEC CORP                               03664P105      6722       150000 SH       DEFINED     1                           150000
ANTENNA TV SA ADR                        03672N100     26991      1154700 SH       DEFINED     1                          1154700
AON CORP                                 037389103    509018     15783500 SH       DEFINED     1                         15783500
APARTMENT INVT & MGMT CO CL A            03748R101     64346      1685000 SH       DEFINED     1                          1685000
APEX INC                                 037548104     47706      1285000 SH       DEFINED     1                          1285000
APOLLO GROUP INC CL A                    037604105     19731       700000 SH       DEFINED     1                           700000
APP FINANCE (VI) MAURITIUS LTD LYON      00202NAA3     26640   $144000000 PRN      DEFINED     1                       $144000000
  0.00% 11-18-12
APPLIED MATERIALS                        038222105   1295730     13747800 SH       DEFINED     1                         13747800
APPLIED MICRO CIRCUITS CORP              03822W109    344123      2293200 SH       DEFINED     1                          2293200
APROPOS TECHNOLOGY INC                   038334108      4607       124500 SH       DEFINED     1                           124500
APTARGROUP INC                           038336103      2669       100000 SH       DEFINED     1                           100000
ARCH COAL INC                            039380100     13573      1938949 SH       DEFINED     1                          1938949
ARCHER DANIELS MIDLAND CO                039483102    220780     21280000 SH       DEFINED     1                         21280000
ARCHSTONE COMMUN TR                      039581103    107036      5368585 SH       DEFINED     1                          5368585
ARMSTRONG HOLDINGS INC                   042384107     14574       815300 SH       DEFINED     1                           815300
ASHLAND INC                              044204105    263447      7878800 SH       DEFINED     1                          7878800
ASPEN TECHNOLOGY INC                     045327103     21863       541500 SH       DEFINED     1                           541500
ASSOCIATES FIRST CAPITAL CORP CL A       046008108    147990      6903336 SH       DEFINED     1                          6903336
ASTRAZENECA PLC ADR                      046353108    292998      7234516 SH       DEFINED     1                          7234516
AT&T CORP                                001957109   3902932     69385450 SH       DEFINED     1                         69385450
AT&T CORP LIBERTY MEDIA GROUP CL A       001957208   1498136     25285000 SH       DEFINED     1                         25285000
ATI TECHNOLOGIES INC C$                  001941103     17740      1000000 SH       DEFINED     1                          1000000
ATLANTIC COAST AIRLINES HOLDINGS INC     048396105     32810      1268000 SH       DEFINED     1                          1268000
ATLANTIC RICHFIELD                       048825103    311525      3665000 SH       DEFINED     1                          3665000
ATMI INC                                 00207R101     23875       500000 SH       DEFINED     1                           500000
AUTODESK INC                             052769106    164756      3621000 SH       DEFINED     1                          3621000
AUTOZONE INC                             053332102    225885      8140000 SH       DEFINED     1                          8140000
AVANEX CORP                              05348W109      6920        45600 SH       DEFINED     1                            45600
AVANT IMMUNOTHERAPEUTICS                 053491106     14250      1500000 SH       DEFINED     1                          1500000
AVERY DENNISON CORP                      053611109     48850       800000 SH       DEFINED     1                           800000
AVIGEN INC                               053690103     28551       642500 SH       DEFINED     1                           642500
AVIRON                                   053762100     20420       734200 SH       DEFINED     1                           734200
AVON PRODUCTS INC                        054303102    770682     26518100 SH       DEFINED     1                         26518100
BAKER HUGHES                             057224107    261944      8659300 SH       DEFINED     1                          8659300
BALLY TOTAL FITNESS HLDG CORP            05873K108     33332      1360500 SH       DEFINED     1                          1360500
BALTIMORE TECHNOLOGIES PLC ADR           059284109     14300       100000 SH       DEFINED     1                           100000
BANCO DE GALICIA ADR B SPON              059538207     21159      1044864 SH       DEFINED     1                          1044864
BANCO RIO DE LA PLATA B SPON ADR         059644104      3163       221000 SH       DEFINED     1                           221000
BANCO SANTANDER CENTRAL HISPANO ADR      05964H105     23547      2203200 SH       DEFINED     1                          2203200
BANCWEST CORP                            059790105     50323      2548000 SH       DEFINED     1                          2548000
BANK OF AMERICA CORP                     060505104   3384634     64546068 SH       DEFINED     1                         64546068
BANK OF NEW YORK                         064057102    648375     15600000 SH       DEFINED     1                         15600000
BANK OF TOKYO-MITSUBISHI LTD SPON ADR    065379109     28730      2025000 SH       DEFINED     1                          2025000
BANK ONE CORP                            06423A103   1801965     52420812 SH       DEFINED     1                         52420812
BARRICK GOLD CORP US$                    067901108    331006     21100000 SH       DEFINED     1                         21100000
BAXTER INTERNATIONAL                     071813109     90897      1450000 SH       DEFINED     1                          1450000
BCE INC C$                               05534B109     72325       580000 SH       DEFINED     1                           580000
BECTON DICKINSON CO                      075887109    328696     12492000 SH       DEFINED     1                         12492000
BELL ATLANTIC                            077853109     65404      1070000 SH       DEFINED     1                          1070000
BELO A H CL A                            080555105     88213      4935000 SH       DEFINED     1                          4935000
BEMA GOLD C$ REG D PP (N/A FOR SALE FOR  08135F107      2674      4400000 SH       DEFINED     1                          4400000
  4 MONTHS)
BERGEN BRUNSWIG CL A                     083739102     67024      9929500 SH       DEFINED     1                          9929500
BERINGER WINE ESTATES HOLDINGS INC CL B  084102102     38494      1073000 SH       DEFINED     1                          1073000
BERKSHIRE HATHAWAY INC CL A              084670108     90719         1586 SH       DEFINED     1                             1586
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BHC COMM CL A                            055448104     63157       404850 SH       DEFINED     1                           404850
BIOMARIN PHARMACEUTICAL INC              09061G101     17750       500000 SH       DEFINED     1                           500000
BJ SERVICES                              055482103     75818      1026300 SH       DEFINED     1                          1026300
BLACK BOX CORPORATION                    091826107    114119      1648300 SH       DEFINED     1                          1648300
BMC SOFTWARE INC                         055921100     14813       300000 SH       DEFINED     1                           300000
BOCA RESORTS INC CL A                    09688T106     16326      1906730 SH       DEFINED     1                          1906730
BOEING CO                                097023105    278841      7350000 SH       DEFINED     1                          7350000
BOMBAY COMPANY                           097924104      6780      2046900 SH       DEFINED     1                          2046900
BOSTON PROPERTIES INC                    101121101    116103      3649600 SH       DEFINED     1                          3649600
BOWATER INC                              102183100    145714      2730000 SH       DEFINED     1                          2730000
BOYDS COLLECTION LTD                     103354106     15156      2500000 SH       DEFINED     1                          2500000
BP AMOCO PLC ADS                         055622104    185719      3500000 SH       DEFINED     1                          3500000
BRADLEY REAL ESTATE INC                  104580105     17830      1045000 SH       DEFINED     1                          1045000
BRIGGS & STRATTON                        109043109     25872       629100 SH       DEFINED     1                           629100
BRIGHT HORIZONS FAMILY SOLUTIONS         109195107     22706      1050000 SH       DEFINED     1                          1050000
BRINKER INTL INC                         109641100    132109      4450000 SH       DEFINED     1                          4450000
BRISTOL-MYERS SQUIBB                     110122108   1158907     20067650 SH       DEFINED     1                         20067650
BURLINGTON NORTHERN SANTA FE CORP        12189T104    254991     11525000 SH       DEFINED     1                         11525000
BURLINGTON RESOURCES                     122014103    110086      2975300 SH       DEFINED     1                          2975300
BUSH BOAKE ALLEN INC                     123162109     19193       690100 SH       DEFINED     1                           690100
C H ROBINSON WORLDWIDE INC               12541W100     11395       305900 SH       DEFINED     1                           305900
CABLEVISION SYSTEMS CORP NEW CL A        12686C109      6288       103500 SH       DEFINED     1                           103500
CABOT INDUSTRIAL TRUST                   127072106     12944       695000 SH       DEFINED     1                           695000
CACHEFLOW INC                            126946102      3685        31100 SH       DEFINED     1                            31100
CADENCE DESIGNS SYS                      127387108    520109     25065500 SH       DEFINED     1                         25065500
CADIZ INC                                127537108     18972      2232000 SH       DEFINED     1                          2232000
CALIPER TECHNOLOGIES CORP                130876105      4448        55000 SH       DEFINED     1                            55000
CAMBREX CORP                             132011107    110708      2545000 SH       DEFINED     1                          2545000
CAMPBELL SOUP CO                         134429109     99169      3225000 SH       DEFINED     1                          3225000
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CBS CORPORATION                          12490K107    637844     11264350 SH       DEFINED     1                         11264350
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CO TELCOMN CHILE ADR                     204449300     50889      2236873 SH       DEFINED     1                          2236873
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COLGATE-PALMOLIVE CO                     194162103    331203      5875000 SH       DEFINED     1                          5875000
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COLUMBIA/HCA HEALTHCARE CORP             197677107   1007803     39814425 SH       DEFINED     1                         39814425
COMCAST CL A SPECIAL                     200300200     82413      1900000 SH       DEFINED     1                          1900000
COMERICA INC                             200340107     67628      1615000 SH       DEFINED     1                          1615000
COMPAQ COMPUTER CORP                     204493100    420209     15782500 SH       DEFINED     1                         15782500
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CONSTELLATION ENERGY GROUP INC           210371100    317156      9950000 SH       DEFINED     1                          9950000
CONTINENTAL AIR CL B                     210795308    117802      2882000 SH       DEFINED     1                          2882000
COR THERAPEUTICS INC                     217753102     24490       371500 SH       DEFINED     1                           371500
CORNING INC                              219350105   2172839     11200200 SH       DEFINED     1                         11200200
COST PLUS INC                            221485105     24683       730000 SH       DEFINED     1                           730000
CRAYFISH CO LTD ADS                      225226109       965        25400 SH       DEFINED     1                            25400
CROMPTON CORP                            227116100    110440     10840724 SH       DEFINED     1                         10840724
CROSS TIMBERS OIL CO                     227573102      8229       630000 SH       DEFINED     1                           630000
CROWN CASTLE INTL CORP                   228227104     81999      2165000 SH       DEFINED     1                          2165000
CROWN CORK & SEAL                        228255105     51346      3209100 SH       DEFINED     1                          3209100
CSX CORP                                 126408103    493618     21005000 SH       DEFINED     1                         21005000
CTS CORP                                 126501105     66120      1160000 SH       DEFINED     1                          1160000
CUMMINS ENGINE CO                        231021106     63856      1700000 SH       DEFINED     1                          1700000
CUMULUS MEDIA INC CL A                   231082108      1438       100000 SH       DEFINED     1                           100000
CURAGEN CORP                             23126R101      7013       150000 SH       DEFINED     1                           150000
CYMER INC                                232572107     60705      1214100 SH       DEFINED     1                          1214100
CYPRESS SEMICONDUCTOR CORP               232806109    149663      3035000 SH       DEFINED     1                          3035000
D*I*I* GROUP INC                         232949107     36745       325000 SH       DEFINED     1                           325000
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DANA CORP                                235811106    458890     16279900 SH       DEFINED     1                         16279900
DANAHER CORP                             235851102     20400       400000 SH       DEFINED     1                           400000
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DEERE & CO                               244199105    672410     17695000 SH       DEFINED     1                         17695000
DELL COMPUTER CORP                       247025109    440767      8171800 SH       DEFINED     1                          8171800
DELPHI AUTOMOTIVE SYSTEMS                247126105    149313      9332071 SH       DEFINED     1                          9332071
DELTA AIR LINES INC                      247361108    284818      5348700 SH       DEFINED     1                          5348700
DELUXE CORPORATION                       248019101     58300      2200000 SH       DEFINED     1                          2200000
DEVON ENERGY CORP (NEW)                  25179M103    172397      3550000 SH       DEFINED     1                          3550000
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DIGENE CORP                              253752109     36800       800000 SH       DEFINED     1                           800000
DIGEX INC CL A                           253756100     77323       697000 SH       DEFINED     1                           697000
DILLARD'S INC CL A                       254067101    171451     10430500 SH       DEFINED     1                         10430500
DISNEY WALT CO (THE)-DISNEY COMMON       254687106   1826504     44145100 SH       DEFINED     1                         44145100
DISNEY WALT CO (THE)-GO.COM COMMON       254687205     35555      1703245 SH       DEFINED     1                          1703245
DOCUMENTUM INC                           256159104     56550       725000 SH       DEFINED     1                           725000
DOLE FOOD CO                             256605106    102836      5290600 SH       DEFINED     1                          5290600
DOLLAR GENERAL CORP                      256669102    434123     16153400 SH       DEFINED     1                         16153400
DOVER CORP                               260003108    295891      6180500 SH       DEFINED     1                          6180500
DOW CHEMICAL CO                          260543103   1168899     10253500 SH       DEFINED     1                         10253500
DOW JONES & CO INC                       260561105    309397      4308400 SH       DEFINED     1                          4308400
DPL INC                                  233293109     21898       986936 SH       DEFINED     1                           986936
DQE INC                                  23329J104     36400       800000 SH       DEFINED     1                           800000
DSP GROUP INC                            23332B106     55691       843800 SH       DEFINED     1                           843800
DTE ENERGY CO                            233331107    241263      8319400 SH       DEFINED     1                          8319400
DU PONT EI DE NEMOUR                     263534109     52875      1000000 SH       DEFINED     1                          1000000
DUKE ENERGY CORP                         264399106    508578      9687200 SH       DEFINED     1                          9687200
DUN & BRADSTREET CORP (THE) NEW          26483B106    158832      5548700 SH       DEFINED     1                          5548700
DUPONT PHOTOMASKS INC                    26613X101     18830       325000 SH       DEFINED     1                           325000
E4L INC                                  268452109      1658       780000 SH       DEFINED     1                           780000
EASTERN ENTERPRISES                      27637F100     17963       300000 SH       DEFINED     1                           300000
EASTMAN CHEMICAL CO                      277432100     20475       450000 SH       DEFINED     1                           450000
EASTMAN KODAK CO                         277461109    389404      7169700 SH       DEFINED     1                          7169700
EATON CORP                               278058102    278686      3572900 SH       DEFINED     1                          3572900
EBENX INC                                278668108      5871       199000 SH       DEFINED     1                           199000
ECI TELECOM LTD                          268258100    143384      4570000 SH       DEFINED     1                          4570000
ECOLLEGE.COM INC                         27887E100      3500       500000 SH       DEFINED     1                           500000
EDISON INTL                              281020107     51923      3135000 SH       DEFINED     1                          3135000
EFFICIENT NETWORKS INC                   282056100     55104       353800 SH       DEFINED     1                           353800
EL PASO ENERGY CORP                      283905107     40944      1014100 SH       DEFINED     1                          1014100
EL PASO ENERGY CV PF 4.75% 3/31/28       283678209     34125       650000 SH       DEFINED     1                           650000
ELAN CORP PLC ADR                        284131208   1139411     23987600 SH       DEFINED     1                         23987600
ELBIT LTD                                284275104     14073      1082500 SH       DEFINED     1                          1082500
ELCOR CORP                               284443108     66413      1925000 SH       DEFINED     1                          1925000
ELECTRONIC DATA SYSTEMS CORP             285661104    182934      2850000 SH       DEFINED     1                          2850000
ELECTRONICS FOR IMAGING                  286082102     42000       700000 SH       DEFINED     1                           700000
ELOYALTY CORP                            290151109     26418      1106500 SH       DEFINED     1                          1106500
EMBRATEL PARTICIPACOES PN ADR            29081N100    102500      4000000 SH       DEFINED     1                          4000000
EMC CORPORATION                          268648102      7813        62500 SH       DEFINED     1                            62500
EMERSON ELEC CO                          291011104    362987      6865000 SH       DEFINED     1                          6865000
EMISPHERE TECHNOLOGIES INC               291345106      4669        90000 SH       DEFINED     1                            90000
EMPRESA NAC ELEC ADR (CHILE)             29244T101      6509       598487 SH       DEFINED     1                           598487
ENCAL ENERGY LTD C$                      29250D107      9576      2000000 SH       DEFINED     1                          2000000
ENHANCE FINL SERV GP                     293310108      5188       367306 SH       DEFINED     1                           367306
ENTERGY CORP NEW                         29364G103     91853      4550000 SH       DEFINED     1                          4550000
EOG RESOURCES INC                        26875P101    114201      5390000 SH       DEFINED     1                          5390000
EQUANT NV NY SHRS                        294409107      6567        77200 SH       DEFINED     1                            77200
EQUIFAX INC                              294429105    136350      5400000 SH       DEFINED     1                          5400000
EQUITABLE RESOURCES                      294549100     76069      1697500 SH       DEFINED     1                          1697500
EQUITY RESIDENTIAL PROPERTIES TRUST      29476L107    205157      5105000 SH       DEFINED     1                          5105000
ERICSSON CL B ADR                        294821400   1593171     16982500 SH       DEFINED     1                         16982500
EXAR CORP                                300645108     56892       795000 SH       DEFINED     1                           795000
EXODUS COMMUNICATIONS INC                302088109      1967        14000 SH       DEFINED     1                            14000
EXPEDITORS INTL WASH                     302130109     17888       450000 SH       DEFINED     1                           450000
EXTENDED STAY AMERICA INC                30224P101     41250      5500000 SH       DEFINED     1                          5500000
EXTENDED SYSTEMS INC                     301973103      4873        44300 SH       DEFINED     1                            44300
EXTREME NETWORKS                         30226D106     10942       138500 SH       DEFINED     1                           138500
EXXON MOBIL CORP                         30231G102    834744     10727634 SH       DEFINED     1                         10727634
FAIRCHILD SEMICONDUCTOR CORP CL A        303726103     38325      1050000 SH       DEFINED     1                          1050000
FED HOME LN MTG CORP                     313400301    195972      4435000 SH       DEFINED     1                          4435000
FEDERAL AGRICULTURAL MORTGAGE CORP CL C  313148306      5425       350000 SH       DEFINED     1                           350000
FEDERAL MOGUL CORP                       313549107     34458      2064900 SH       DEFINED     1                          2064900
FEDERAL NATIONAL MTG                     313586109   2038906     36126800 SH       DEFINED     1                         36126800
FEDERATED DEPT STRS                      31410H101     24633       590000 SH       DEFINED     1                           590000
FEDEX CORP                               31428X106    545610     13990000 SH       DEFINED     1                         13990000
FELCOR LODGING TRUST                     31430F101     11939       675000 SH       DEFINED     1                           675000
FERRO CORP                               315405100     18653      1047200 SH       DEFINED     1                          1047200
FIDELITY NATL FINL                       316326107     23481      1700000 SH       DEFINED     1                          1700000
FINISAR CORP                             31787A101      4820        32900 SH       DEFINED     1                            32900
FINOVA GROUP INC                         317928109      2690       160000 SH       DEFINED     1                           160000
FIRST DATA CORP                          319963104    147769      3339400 SH       DEFINED     1                          3339400
FIRST HEALTH GP CORP                     320960107     67045      2120000 SH       DEFINED     1                          2120000
FIRST SECURITY CP UT                     336294103     36000      3000000 SH       DEFINED     1                          3000000
FIRST UNION CORP                         337358105   2005290     53833278 SH       DEFINED     1                         53833278
FLEETBOSTON FINANCIAL CORP               339030108    890236     24390014 SH       DEFINED     1                         24390014
FLEXTRONICS INTL LTD                     339386914    250969      3563000 SH       DEFINED     1                          3563000
FLORIDA PROGRESS CORP                    341109106    414939      9045000 SH       DEFINED     1                          9045000
FLUOR CORP                               343861100    158100      5100000 SH       DEFINED     1                          5100000
FMC CORP                                 302491303     70896      1254800 SH       DEFINED     1                          1254800
FOCAL COMMUNICATIONS CORP                344155106     80640      1440000 SH       DEFINED     1                          1440000
FOMENTO ECOMOMICO MEXICANO SPON ADR      344419106     15543       345400 SH       DEFINED     1                           345400
FORD MOTOR CO                            345370100    838589     18255000 SH       DEFINED     1                         18255000
FOREST LABS INC                          345838106    345521      4089000 SH       DEFINED     1                          4089000
FORMULA SYSTEMS (1985) ADR               346414105       372         6100 SH       DEFINED     1                             6100
FORT JAMES CORP                          347471104    407073     18503299 SH       DEFINED     1                         18503299
FOSTER WHEELER                           350244109      8404      1245000 SH       DEFINED     1                          1245000
FOUR SEASONS HOTELS INC C$ LTD VTG       35100E104      4814       107500 SH       DEFINED     1                           107500
FOX ENTERTAINMENT GROUP INC CL A         35138T107    582434     19455000 SH       DEFINED     1                         19455000
FPL GROUP                                302571104    142794      3100000 SH       DEFINED     1                          3100000
FREEPORT-MCMORAN C&G CV PF SER A DEP SHS 35671D501     20738      1400000 SH       DEFINED     1                          1400000
  $1.75
FREEPORT-MCMORAN COPPER & GOLD CL B      35671D857     77246      6403800 SH       DEFINED     1                          6403800
FULTON FINL CORP                         360271100     16437       780367 SH       DEFINED     1                           780367
GALILEO INTERNATIONAL INC                363547100    127531      5300000 SH       DEFINED     1                          5300000
GALLAGHER ARTHUR J                       363576109     39978      1230100 SH       DEFINED     1                          1230100
GALLAHER GROUP PLC ADR                   363595109      5906       300000 SH       DEFINED     1                           300000
GANNETT COMPANY INC                      364730101    169815      2413000 SH       DEFINED     1                          2413000
GAP INC                                  364760108     12453       250000 SH       DEFINED     1                           250000
GATEWAY INC                              367626108    182055      3435000 SH       DEFINED     1                          3435000
GENENTECH INC                            368710406    122451       805600 SH       DEFINED     1                           805600
GENERAL ELEC CO                          369604103     62075       400000 SH       DEFINED     1                           400000
GENERAL MILLS INC                        370334104    934271     25817500 SH       DEFINED     1                         25817500
GENERAL MTRS CORP                        370442105    305992      3695000 SH       DEFINED     1                          3695000
GENUINE PARTS CO                         372460105    299292     12535800 SH       DEFINED     1                         12535800
GEORGIA GULF NEW                         373200203     17805       684800 SH       DEFINED     1                           684800
GEORGIA-PACIFIC CORP (GEORGIA-PAC GROUP) 373298108    511148     12920000 SH       DEFINED     1                         12920000
GEORGIA-PACIFIC CORP (TIMBER GROUP)      373298702    203463      7940000 SH       DEFINED     1                          7940000
GILAT SATELLITE NETWORKS                 375256906     49245       420000 SH       DEFINED     1                           420000
GILEAD SCIENCES INC                      375558103     99708      1573300 SH       DEFINED     1                          1573300
GILLETTE CO                              375766102    366208      9716960 SH       DEFINED     1                          9716960
GLAXO WELLCOME PLC SPON ADR              37733W105     99036      1728000 SH       DEFINED     1                          1728000
GLENBOROUGH REALTY TR CV PF SER A 7.75%  37803P204      8935       600700 SH       DEFINED     1                           600700
  12/31/49
GLOBAL CROSSING LTD                      379325905    159902      3906000 SH       DEFINED     1                          3906000
GLOBAL LIGHT TELECOMMUNICATIONS AMEX US$ 37934X100     13120       640000 SH       DEFINED     1                           640000
GLOBAL TELESYSTEMS GROUP                 37936U104     74778      3647700 SH       DEFINED     1                          3647700
GLOBESPAN INC                            379571102     10194       100000 SH       DEFINED     1                           100000
GLOBO CABO SPON ADR  PN SPON             37957X102      7219       385000 SH       DEFINED     1                           385000
GOODRICH B F CO                          382388106    108640      3787000 SH       DEFINED     1                          3787000
GOODYEAR TIRE & RUBBER COMPANY           382550101    104090      4465000 SH       DEFINED     1                          4465000
GP STRATEGIES CORP                       36225V104       205        49600 SH       DEFINED     1                            49600
GPO CASA AUTREY ADR  SPON                40048P104      4143       543400 SH       DEFINED     1                           543400
GPU INC                                  36225X100    259189      9468100 SH       DEFINED     1                          9468100
GRAINGER (WW)                            384802104     77702      1432300 SH       DEFINED     1                          1432300
GREAT PLAINS SOFTWARE                    39119E105     53354       999600 SH       DEFINED     1                           999600
GROUPE AB SA SPON ADR                    39944Q109      9518       769100 SH       DEFINED     1                           769100
GRUPO IND MASECA ADR SPON B              400488409      3675       420000 SH       DEFINED     1                           420000
GRUPO IUSACELL SA V ADR                  40050B100     62009      3062147 SH       DEFINED     1                          3062147
GRUPO TELEVISA ADR   SPON CPO            40049J206    425707      6260400 SH       DEFINED     1                          6260400
GSI LUMONICS INC C$                      36229U102     11862       710000 SH       DEFINED     1                           710000
GTE CORPORATION                          362320103   1314018     18507300 SH       DEFINED     1                         18507300
GTR GROUP INC C$                         362368102      4711      2358000 SH       DEFINED     1                          2358000
GTS DURATEK INC                          36237J107      9245       891100 SH       DEFINED     1                           891100
GUIDANT CORPORATION                      401698105    985786     16761500 SH       DEFINED     1                         16761500
GUILFORD PHARMACEUTICALS INC             401829106     25575      1100000 SH       DEFINED     1                          1100000
HALLIBURTON CO                           406216101     49200      1200000 SH       DEFINED     1                          1200000
HARLEYSVILLE GRP INC                     412824104       542        37400 SH       DEFINED     1                            37400
HARRAHS ENTMNT INC                       413619107      6033       325000 SH       DEFINED     1                           325000
HARRIS CORPORATION                       413875105    138520      4007800 SH       DEFINED     1                          4007800
HARSCO CORP                              415864107     69120      2388600 SH       DEFINED     1                          2388600
HARTE-HANKS INC                          416196103    102407      4513800 SH       DEFINED     1                          4513800
HASBRO INC                               418056107    186285     11290000 SH       DEFINED     1                         11290000
HAVERTY FURNITURE                        419596101      1063       100000 SH       DEFINED     1                           100000
HCC INSURANCE HOLDINGS INC               404132102     59552      4494500 SH       DEFINED     1                          4494500
HEALTH CARE PPTY INV                     421915109     72062      2832900 SH       DEFINED     1                          2832900
HEARME                                   421903105      5618       222500 SH       DEFINED     1                           222500
HEINZ H J CO                             423074103    410304     11765000 SH       DEFINED     1                         11765000
HERCULES INC                             427056106    179471     11130000 SH       DEFINED     1                         11130000
HEWLETT PACKARD CO                       428236103   1344847     10145000 SH       DEFINED     1                         10145000
HI/FN INC                                428358105     55303       850000 SH       DEFINED     1                           850000
HNC SOFTWARE INC                         40425P107    216166      2999698 SH       DEFINED     1                          2999698
HOLLIS-EDEN PHARMACEUTICALS PP 144A      435902101      8195       555556 SH       DEFINED     1                           555556
HOME DEPOT                               437076102     30960       480000 SH       DEFINED     1                           480000
HOMESTAKE MNG CO                         437614100     60000     10000000 SH       DEFINED     1                         10000000
HONEYWELL INTERNATIONAL INC              438516106    878828     16680000 SH       DEFINED     1                         16680000
HOTEL RESERVATIONS NETWORK CL A          441451101     16863       950000 SH       DEFINED     1                           950000
HOUSEHOLD INTL                           441815107   1980961     53091080 SH       DEFINED     1                         53091080
HUBBELL INC CL B                         443510201    130716      4775000 SH       DEFINED     1                          4775000
HUNTINGTON BANCSHRS                      446150104     81669      3650000 SH       DEFINED     1                          3650000
ICON PLC SPON ADR                        45103T107      3406       229000 SH       DEFINED     1                           229000
IDEX CORP                                45167R104     21419       786000 SH       DEFINED     1                           786000
IDEXX LABORATORIES INC                   45168D104     77281      3315000 SH       DEFINED     1                          3315000
IKON OFFICE SOLUTION                     451713101    105157     16995000 SH       DEFINED     1                         16995000
ILEX ONCOLOGY INC                        451923106     73500      1750000 SH       DEFINED     1                          1750000
ILLINOIS TOOL WORKS                      452308109    226525      4100000 SH       DEFINED     1                          4100000
IMAX CORP US$                            45245E109     30235      1402200 SH       DEFINED     1                          1402200
IMCLONE SYSTEMS INC                      45245W109     49969       650000 SH       DEFINED     1                           650000
IMMUNEX CORP (NEW)                       452528102      2284        36000 SH       DEFINED     1                            36000
IMPERIAL BANCORP                         452556103     26034       839808 SH       DEFINED     1                           839808
IMPERIAL CHEM ADR                        452704505    469270     14551000 SH       DEFINED     1                         14551000
IMPERIAL OIL LTD US$                     453038408     24327      1161900 SH       DEFINED     1                          1161900
INACOM CORP                              45323G109      1088       395500 SH       DEFINED     1                           395500
INCO LTD CV            5.750%   07-01-04 453258AK1     15870    $17250000 PRN      DEFINED     1                        $17250000
INDYMAC MTG HLDGS                        456607100     19419      1300000 SH       DEFINED     1                          1300000
INET TECHNOLOGIES INC                    45662V105     18745       354100 SH       DEFINED     1                           354100
INFINITY BROADCASTING CORP CL A NEW      45662S102    436438     13480700 SH       DEFINED     1                         13480700
INFORMATION HOLDINGS INC                 456727106      4697       150000 SH       DEFINED     1                           150000
INFOSYS TECHNOLOGIES ADR                 456788108     19300       100000 SH       DEFINED     1                           100000
INGERSOLL RAND CO                        456866102    141932      3207500 SH       DEFINED     1                          3207500
INHALE THERAPEUTIC SYSTEMS INC           457191104     96973      1301646 SH       DEFINED     1                          1301646
INSIGHT COMMUNICATIONS CL A              45768V108       413        20000 SH       DEFINED     1                            20000
INTEGRAL SYSTEMS INC PP REG D            45810H107      9000       200000 SH       DEFINED     1                           200000
INTEL CORP                               458140100   1907355     14456500 SH       DEFINED     1                         14456500
INTERCEPT GROUP INC                      45845L107      9013       350000 SH       DEFINED     1                           350000
INTERMEDIA COMMUNICATIONS INC            458801107    215232      4455000 SH       DEFINED     1                          4455000
INTERNET GOLD-GOLDEN LINES               460960909     13342       535000 SH       DEFINED     1                           535000
INTERPUBLIC GROUP                        460690100    615861     13034100 SH       DEFINED     1                         13034100
INTERPUBLIC GROUP CV SUB NT 144A 1.87%   460690AG5     25168    $25168000 PRN      DEFINED     1                        $25168000
  06/01/06
INTERTAPE POLYMER GROUP INC US$          460919103     17063      1500000 SH       DEFINED     1                          1500000
INTERTRUST TECHNOLOGIES CORP             46113Q109      2550        60000 SH       DEFINED     1                            60000
INTL BUS MACH CORP                       459200101   1672414     14173000 SH       DEFINED     1                         14173000
INTL FLAVORS & FRAGR                     459506101    214407      6115000 SH       DEFINED     1                          6115000
INTL PAPER CO                            460146103    925693     21653644 SH       DEFINED     1                         21653644
INTUIT                                   461202103     65250      1200000 SH       DEFINED     1                          1200000
IONICS INC                               462218108     37370      1461900 SH       DEFINED     1                          1461900
IRON MOUNTAIN INC NEW                    462846106      9912       291000 SH       DEFINED     1                           291000
IRSA SPON GDR                            450047204     12703       406500 SH       DEFINED     1                           406500
IVILLAGE INC                             46588H105      7836       500000 SH       DEFINED     1                           500000
JABIL CIRCUIT INC                        466313103    127588      2950000 SH       DEFINED     1                          2950000
JEFFERSON PILOT CORP                     475070108    459281      6900000 SH       DEFINED     1                          6900000
JO-ANN STORES CL A                       47758P109      4397       525000 SH       DEFINED     1                           525000
JO-ANN STORES CL B                       47758P208      3150       525000 SH       DEFINED     1                           525000
JOHNS MANVILLE CORP                      478129109     16500      1500000 SH       DEFINED     1                          1500000
JOHNSON & JOHNSON                        478160104     28025       400000 SH       DEFINED     1                           400000
JOHNSON CONTROLS                         478366107    234220      4332400 SH       DEFINED     1                          4332400
JUNIPER NETWORKS INC                     48203R104    520141      1973500 SH       DEFINED     1                          1973500
KAFUS INDUSTRIES LTD US$                 482910106      7881      1300000 SH       DEFINED     1                          1300000
KAISER ALUMINUM                          483007100     13950      3100000 SH       DEFINED     1                          3100000
KEEBLER FOODS CO                         487256109     91083      3175000 SH       DEFINED     1                          3175000
KELLOGG CO                               487836108    250551      9777600 SH       DEFINED     1                          9777600
KERR MCGEE CORP                          492386107    355105      6149000 SH       DEFINED     1                          6149000
KEYCORP NEW                              493267108    211550     11134200 SH       DEFINED     1                         11134200
KEYSPAN CORP                             49337W100     89693      3246800 SH       DEFINED     1                          3246800
KEYSTONE FINANCIAL                       493482103     24945      1357550 SH       DEFINED     1                          1357550
KIMBERLY CLARK CORP                      494368103   1187402     21203600 SH       DEFINED     1                         21203600
KIMCO REALTY CORP                        49446R109     22875       610000 SH       DEFINED     1                           610000
KINDER MORGAN INC                        49455P101     18889       547500 SH       DEFINED     1                           547500
KLA TENCOR CORP                          482480100   1000890     11880000 SH       DEFINED     1                         11880000
KNIGHT RIDDER INC                        499040103    397022      7794300 SH       DEFINED     1                          7794300
KNIGHTSBRIDGE TANKERS LTD                499067908      2672       150000 SH       DEFINED     1                           150000
KOHL'S CORP                              500255104    196800      1920000 SH       DEFINED     1                          1920000
KOPIN CORP                               500600101      8594       125000 SH       DEFINED     1                           125000
KOREA TELECOM CORP ADR                   50063P103    167374      3825700 SH       DEFINED     1                          3825700
KOREA THRUNET A CO LTD                   50063R901      1007        26030 SH       DEFINED     1                            26030
KPN NV ADR (SPON)                        780641205      5403        46982 SH       DEFINED     1                            46982
KROLL-O'GARA COMPANY                     501050108      6876       628700 SH       DEFINED     1                           628700
LANDS END INC                            515086106     80700      1312200 SH       DEFINED     1                          1312200
LANIER WORLDWIDE INC                     51589L105     12519      6070000 SH       DEFINED     1                          6070000
LAUNCH MEDIA INC                         518567102     10391       665000 SH       DEFINED     1                           665000
LERNOUT & HAUSPIE SPEECH PRODUCTS        526773908     14365       130000 SH       DEFINED     1                           130000
LEXMARK INTL GROUP INC CL A              529771107    326133      3084000 SH       DEFINED     1                          3084000
LIFEPOINT HOSPITALS INC                  53219L109      8224       494662 SH       DEFINED     1                           494662
LILLY ELI & CO                           532457108    765211     12146200 SH       DEFINED     1                         12146200
LIMITED INC                              532716107   1107319     26286499 SH       DEFINED     1                         26286499
LINCOLN NATL CORP                        534187109    367495     10970000 SH       DEFINED     1                         10970000
LINEAR TECH CORP                         535678106    371228      6749600 SH       DEFINED     1                          6749600
LIONS GATE ENTERTAINMENT CORP C$ NEW     535919203      7599      2184134 SH       DEFINED     1                          2184134
LITTELFUSE INC                           537008104     36688      1000000 SH       DEFINED     1                          1000000
LOEWS CORP                               540424108     10000       200000 SH       DEFINED     1                           200000
LOUIS DREYFUS NATURAL GAS CORP           546011107     49076      1443400 SH       DEFINED     1                          1443400
LOUISIANA PACIFIC                        546347105    116897      8425000 SH       DEFINED     1                          8425000
LOWES COS INC                            548661107   1216115     20832800 SH       DEFINED     1                         20832800
LSI LOGIC                                502161102    610050      8400000 SH       DEFINED     1                          8400000
LUCENT TECHNOLOGIES                      549463107    337861      5561500 SH       DEFINED     1                          5561500
LUXOTTICA GRP ADR                        55068R202     79708      3253400 SH       DEFINED     1                          3253400
LYCOS INC                                550818108     38448       547300 SH       DEFINED     1                           547300
M&T BANK CORP                            55261F104     49527       110923 SH       DEFINED     1                           110923
MACROMEDIA INC                           556100105     28476       315300 SH       DEFINED     1                           315300
MALLINCKRODT INC                         561232109    251131      8735000 SH       DEFINED     1                          8735000
MANDALAY RESORT GROUP                    562567107      3375       200000 SH       DEFINED     1                           200000
MARKETWATCH.COM                          570619106     30950       897100 SH       DEFINED     1                           897100
MARSH & MCLENNAN COS                     571748102    328952      2982000 SH       DEFINED     1                          2982000
MATAV RT SPON ADR                        559776109    107805      2415800 SH       DEFINED     1                          2415800
MATTEL INC                               577081102     19309      1850000 SH       DEFINED     1                          1850000
MAXIM INTEGRATED PRODUCTS INC            57772K101    144470      2033000 SH       DEFINED     1                          2033000
MAY DEPT STORES CO                       577778103    872760     30623150 SH       DEFINED     1                         30623150
MBL INTL FIN (BERMUDA) TRUST EXCH NOTE   55262XAA2     10170     $9000000 PRN      DEFINED     1                         $9000000
  3.00% 11-30-02 (MBB*)
MBNA CORP                                55262L100    138820      5443900 SH       DEFINED     1                          5443900
MC DONALDS CORP                          580135101    330550      8800000 SH       DEFINED     1                          8800000
MCKESSON HBOC INC                        58155Q103     28350      1350000 SH       DEFINED     1                          1350000
MCN ENERGY GROUP INC                     55267J100     88750      3550000 SH       DEFINED     1                          3550000
MDC CORP INC CL A C$ S/V                 55267W309     12174      1070933 SH       DEFINED     1                          1070933
MDU RESOURCES GROUP                      552690109     12450       600000 SH       DEFINED     1                           600000
MEDALLION FINANCIAL CORP                 583928106      4623       275000 SH       DEFINED     1                           275000
MEDIA GENERAL CL A                       584404107     36380       694600 SH       DEFINED     1                           694600
MEDIAONE GROUP INC                       58440J104     34425       425000 SH       DEFINED     1                           425000
MEDICIS PHARMACEUTICAL CL A              584690309    107000      2675000 SH       DEFINED     1                          2675000
MEDIMMUNE INC                            584699102    123977       712000 SH       DEFINED     1                           712000
MEDITRUST CORP PAIRED STOCK REIT         58501T306     12398      6840339 SH       DEFINED     1                          6840339
MEDQUIST INC                             584949101      4524       166400 SH       DEFINED     1                           166400
MEDTRONIC INC                            585055106    366749      7130000 SH       DEFINED     1                          7130000
MENTOR CORP MINN                         587188103     29160      1080000 SH       DEFINED     1                          1080000
MENTOR GRAPHICS                          587200106     13915       920000 SH       DEFINED     1                           920000
MERCK & CO INC                           589331107    519266      8358400 SH       DEFINED     1                          8358400
MERCURY COMPUTER SYSTEMS INC             589378108     33724       690000 SH       DEFINED     1                           690000
MERCURY GENERAL CORP                     589400100     87615      2970000 SH       DEFINED     1                          2970000
METALINK LTD                             591232905      9049       235800 SH       DEFINED     1                           235800
METAMOR WORLDWIDE                        59133P100     40221      1420600 SH       DEFINED     1                          1420600
METHANEX CORP C$                         59151K108     14635      7250000 SH       DEFINED     1                          7250000
METRIS COMPANIES INC                     591598107      9330       240000 SH       DEFINED     1                           240000
METROMEDIA INTL GRP                      591695101       225        40000 SH       DEFINED     1                            40000
METRON TECHNOLOGY NV                     591919097     10721       510500 SH       DEFINED     1                           510500
MGIC INVESTMENT CORP                     552848103     56713      1300000 SH       DEFINED     1                          1300000
MGM GRAND INC                            552953101     23280       970000 SH       DEFINED     1                           970000
MIAMI COMPUTER SUPPLY                    593261100     14119       450000 SH       DEFINED     1                           450000
MICHAELS STORES                          594087108    118962      2919300 SH       DEFINED     1                          2919300
MICREL INC                               594793101    214646      2235900 SH       DEFINED     1                          2235900
MICROCHIP TECH INC                       595017104    651911      9915000 SH       DEFINED     1                          9915000
MICRON TECH INC                          595112103   3504413     27812800 SH       DEFINED     1                         27812800
MICRON TECHNOLOGY CV NT 7.00% 07/01/2004 595112AB9     33300    $18000000 PRN      DEFINED     1                        $18000000
MICROSOFT CORP                           594918104   1374503     12936500 SH       DEFINED     1                         12936500
MIDAS INC                                595626102     46049      1918700 SH       DEFINED     1                          1918700
MIH LTD A                                553044900     54449       892600 SH       DEFINED     1                           892600
MILLENIUM PHARMACEUTICALS INC            599902103    168838      1300000 SH       DEFINED     1                          1300000
MILLENNIUM CHEMICALS INC                 599903101    157730      7886500 SH       DEFINED     1                          7886500
MILLIPORE CORP                           601073109     73369      1300000 SH       DEFINED     1                          1300000
MINN MNG & MFG CO                        604059105     37196       420000 SH       DEFINED     1                           420000
MIPS TECHNOLOGIES INC CL A               604567107     54924       987400 SH       DEFINED     1                           987400
MIRAGE RESORTS INC                       60462E104     96875      5000000 SH       DEFINED     1                          5000000
MITCHELL ENERGY/DEV  NON-VTG CL B        606592301     22000      1000000 SH       DEFINED     1                          1000000
MMC NETWORKS INC                         55308N102    120780      3660000 SH       DEFINED     1                          3660000
MODERN TIMES GROUP B SPON ADR            607698107     93030       342022 SH       DEFINED     1                           342022
MODIS PROFESSIONAL SERVICES INC          607830106     24750      2000000 SH       DEFINED     1                          2000000
MONDAVI (ROBERT) CORP CL A               609200100     30701       880300 SH       DEFINED     1                           880300
MONSANTO CO CV PF ACES UNITS 6.50%       611662305     67884      1483800 SH       DEFINED     1                          1483800
  11/30/01
MORGAN J P & CO INC                      616880100    432799      3285000 SH       DEFINED     1                          3285000
MORTONS RESTAURANT GROUP INC             619429103      9817       515000 SH       DEFINED     1                           515000
MOTOROLA INC                             620076109    501758      3524200 SH       DEFINED     1                          3524200
MSC INDUSTRIAL DIRECT CO INC CL A        553530106     58108      3228200 SH       DEFINED     1                          3228200
MURPHY OIL CORP                          626717102    325218      5643700 SH       DEFINED     1                          5643700
MUTUAL RISK MGMNT                        628351108     26670      1333500 SH       DEFINED     1                          1333500
MYRIAD GENETICS INC                      62855J104      6929       115000 SH       DEFINED     1                           115000
NABISCO GROUP HOLDINGS                   62952P102    546900     45575000 SH       DEFINED     1                         45575000
NABISCO HOLDINGS CORP CL A               629526104     12875       400000 SH       DEFINED     1                           400000
NAT AUSTRALIA BANK 7.875% EXCH CAP UNITS 632525309     19150      $800000 PRN      DEFINED     1                          $800000
  PRP
NATIONAL CITY CORP                       635405103    237703     11525000 SH       DEFINED     1                         11525000
NATL COMPUTER SYSTS                      635519101     94735      1866700 SH       DEFINED     1                          1866700
NATL FUEL GAS CO                         636180101      5659       127000 SH       DEFINED     1                           127000
NCO GROUP INC                            628858102      7250       227000 SH       DEFINED     1                           227000
NDS GROUP PLC A ADS                      628891103     13381       189800 SH       DEFINED     1                           189800
NEOSE TECHNOLOGIES INC                   640522108     12875       400000 SH       DEFINED     1                           400000
NET2000 COMMUNICATIONS INC               64122G103      3325       140000 SH       DEFINED     1                           140000
NEUROCRINE BIOSCIENCES INC               64125C109      4650       200000 SH       DEFINED     1                           200000
NEW CENTURY ENERGIES INC                 64352U103    187891      6250000 SH       DEFINED     1                          6250000
NEW JERSEY RESOURCES                     646025106     32063       750000 SH       DEFINED     1                           750000
NEW YORK TIMES CO CL A                   650111107    125807      2930000 SH       DEFINED     1                          2930000
NEWBRIDGE NETWORKS CORP US$              650901101    172276      5311000 SH       DEFINED     1                          5311000
NEWELL RUBBERMAID INC                    651229106    508284     20485000 SH       DEFINED     1                         20485000
NEWFIELD EXPLORATION                     651290108     81075      2300000 SH       DEFINED     1                          2300000
NEWHALL LAND/FARMING                     651426108     28250      1000000 SH       DEFINED     1                          1000000
NEWMONT MNG CORP                         651639106    269250     12000000 SH       DEFINED     1                         12000000
NEWPARK RESOURCES INC                    651718504     10798      1349700 SH       DEFINED     1                          1349700
NEWS CORP LTD PFD ADR                    652487802   1017354     21305850 SH       DEFINED     1                         21305850
NEWS CORP NEW ADR                        652487703   1207226     21461800 SH       DEFINED     1                         21461800
NEXTEL COMM CL A                         65332V103     17049       115000 SH       DEFINED     1                           115000
NIAGARA MOHAWK HOLDINGS INC              653520106     24975      1850000 SH       DEFINED     1                          1850000
NICE SYSTEMS LTD SPON ADR                653656108     34556       485000 SH       DEFINED     1                           485000
NICOR INC                                654086107      5764       175000 SH       DEFINED     1                           175000
NIKE INC CL B                            654106103    856670     21619425 SH       DEFINED     1                         21619425
NISOURCE INC                             65473P105     52333      3101200 SH       DEFINED     1                          3101200
NOBLE AFFILIATES                         654894104     35438      1080000 SH       DEFINED     1                          1080000
NOKIA A SPON ADR                         654902204   1349123      6210000 SH       DEFINED     1                          6210000
NORFOLK SOTHN CORP                       655844108    418097     29085000 SH       DEFINED     1                         29085000
NORSK HYDRO SPON ADR                     656531605     49824      1309000 SH       DEFINED     1                          1309000
NORTEL NETWORKS CORP HLDG CO US$         656568102    878966      6975920 SH       DEFINED     1                          6975920
NORTEL PFD B ADR (NY)                    656567401     38177      1851000 SH       DEFINED     1                          1851000
NORTHEAST UTILITIES                      664397106    177121      8238200 SH       DEFINED     1                          8238200
NORTHERN TRUST CORP                      665859104     60806       900000 SH       DEFINED     1                           900000
NORTHROP GRUMMAN                         666807102    185281      3500000 SH       DEFINED     1                          3500000
NOVOSTE CORPORATION                      67010C100     28000       700000 SH       DEFINED     1                           700000
NSTAR                                    67019E107       756        18000 SH       DEFINED     1                            18000
O'REILLY AUTOMOTIVE INC                  686091109      5675       400000 SH       DEFINED     1                           400000
OCCIDENTAL PETE                          674599105     51875      2500000 SH       DEFINED     1                          2500000
OGE ENERGY CORP                          670837103     18228       950000 SH       DEFINED     1                           950000
OHIO CASUALTY CORP                       677240103     50983      2852200 SH       DEFINED     1                          2852200
OM GROUP INC                             670872100     48321      1062000 SH       DEFINED     1                          1062000
OMNICARE                                 681904108     65258      5410000 SH       DEFINED     1                          5410000
OMNICOM GROUP                            681919106     14016       150000 SH       DEFINED     1                           150000
OPENTV A                                 683477905     16442       138900 SH       DEFINED     1                           138900
ORACLE CORP                              68389X105   1770848     22685000 SH       DEFINED     1                         22685000
ORBOTECH LTD                             68389P904     69743       820500 SH       DEFINED     1                           820500
ORIX CORP ADR                            686330101     15379       188700 SH       DEFINED     1                           188700
ORIX CORP CV NT 0.375% 03-31-05          686330AA9     13658  $1000000000 PRN      DEFINED     1                      $1000000000
ORTHOLOGIC CORP                          68750J107      9923      1620000 SH       DEFINED     1                          1620000
OSI PHARMACEUTICALS INC                  671040103      9360       480000 SH       DEFINED     1                           480000
OWENS-ILLINOIS CV PF 4.75% 12/31/49      690768502     15155       560000 SH       DEFINED     1                           560000
OWENS-ILLINOIS INC                       690768403     60443      3581800 SH       DEFINED     1                          3581800
P-COM INC                                693262107      3700       200000 SH       DEFINED     1                           200000
PACCAR INC                               693718108    152410      3048200 SH       DEFINED     1                          3048200
PAGING NETWORK                           695542100      3891      1500000 SH       DEFINED     1                          1500000
PALL CORP                                696429307    222001      9894200 SH       DEFINED     1                          9894200
PALM HARBOR HOMES INC                    696639103      9977       648906 SH       DEFINED     1                           648906
PALM INC                                 696642107      1171        26100 SH       DEFINED     1                            26100
PANAMERICAN BEV A                        69829W905     22659      1285600 SH       DEFINED     1                          1285600
PAPA JOHN'S INTL INC                     698813102     14850       450000 SH       DEFINED     1                           450000
PARK ELECTROCHEMICAL                     700416209      4586       187200 SH       DEFINED     1                           187200
PARK OHIO HOLDINGS CORP                  700666100      9031       850000 SH       DEFINED     1                           850000
PARKER-HANNIFIN CORP                     701094104    161119      3900000 SH       DEFINED     1                          3900000
PARTNER COMMUNICATIONS CO ADR            70211M109      6637       399200 SH       DEFINED     1                           399200
PARTNER RE HLDGS LTD                     702122904    115437      3135800 SH       DEFINED     1                          3135800
PAYCHEX INC                              704326107    140365      2680000 SH       DEFINED     1                          2680000
PE CORPORATION-CELERA GENOMICS GROUP     69332S201    153047      1671500 SH       DEFINED     1                          1671500
PE CORPORATION-PE BIOSYSTEMS GROUP       69332S102   1621490     16803000 SH       DEFINED     1                         16803000
PECO ENERGY COMPANY                      693304107    183638      4980000 SH       DEFINED     1                          4980000
PENNEY J C INC                           708160106    537316     36122100 SH       DEFINED     1                         36122100
PENNZOIL-QUAKER STATE                    709323109    112369     10765900 SH       DEFINED     1                         10765900
PEOPLES ENERGY CORP                      711030106     32324      1178100 SH       DEFINED     1                          1178100
PEOPLESOFT INC                           712713106    551419     27570928 SH       DEFINED     1                         27570928
PEPSICO INC                              713448108   1372736     39717500 SH       DEFINED     1                         39717500
PERFORMANCE FOOD GROUP CO                713755106     12031       550000 SH       DEFINED     1                           550000
PETRO-CANADA C$                          71644E102    116466      7000000 SH       DEFINED     1                          7000000
PETSMART INC                             716768106     14028      4676000 SH       DEFINED     1                          4676000
PETSMART INC CV SUB NT 6.75% 144A        716768AA4     10981    $17500000 PRN      DEFINED     1                        $17500000
  11/01/04
PFIZER INC                               717081103   2903836     79421150 SH       DEFINED     1                         79421150
PHARMACIA & UPJOHN INC                   716941109   1544639     26069850 SH       DEFINED     1                         26069850
PHARMACIA CORPORATION                    71713U102   2524468     49018800 SH       DEFINED     1                         49018800
PHARMACYCLICS INC                        716933106     52903       950000 SH       DEFINED     1                           950000
PHELPS DODGE CORP                        717265102    364171      7666761 SH       DEFINED     1                          7666761
PHILIP MORRIS CO INC                     718154107   1947829     92204900 SH       DEFINED     1                         92204900
PHILIPPINE LDTEL ADR SPON                718252604     59891      2730094 SH       DEFINED     1                          2730094
PHILLIPS PETE CO                         718507106   1542516     33351700 SH       DEFINED     1                         33351700
PHOTRONICS INC                           719405102     30016       850000 SH       DEFINED     1                           850000
PIERCING PAGODA INC                      720773100      6721       502500 SH       DEFINED     1                           502500
PINNACLE WEST CAP                        723484101    152213      5400000 SH       DEFINED     1                          5400000
PITNEY BOWES INC                         724479100    518822     11610000 SH       DEFINED     1                         11610000
PIXAR INC                                725811103     60669      1700000 SH       DEFINED     1                          1700000
PLACER DOME INC US$                      725906101    138125     17000000 SH       DEFINED     1                         17000000
PLANETRX.COM INC 144 REST'D 180 DAYS     727049108      6800      1000000 SH       DEFINED     1                          1000000
  (N/A FOR SALE UNTIL 04/05/00)
PMC-SIERRA INC                           69344F106   1576582      7740200 SH       DEFINED     1                          7740200
PMI GROUP INC (THE)                      69344M101      9055       190890 SH       DEFINED     1                           190890
POGO PRODUCING CO                        730448107    109143      3821200 SH       DEFINED     1                          3821200
POGO TRUST I CV PF SER A QUIPS 6.50%     73044P208     23399       358600 SH       DEFINED     1                           358600
  06/01/29
POLYMEDICA CORP                          731738100     16156       275000 SH       DEFINED     1                           275000
POTLATCH CORP                            737628107    120022      2791200 SH       DEFINED     1                          2791200
POWER INTEGRATIONS INC                   739276103     95625      3825000 SH       DEFINED     1                          3825000
PPG INDUSTRIES INC                       693506107    488280      9333900 SH       DEFINED     1                          9333900
PPL CORPORATION                          69351T106     63552      3035319 SH       DEFINED     1                          3035319
PRAXAIR INC                              74005P104    125291      3010000 SH       DEFINED     1                          3010000
PREPAID LEGAL SERVICES INC               740065107      2969       100000 SH       DEFINED     1                           100000
PRICE COMMUNICATIONS CORP                741437305     47953      2084895 SH       DEFINED     1                          2084895
PRIMARK CORP                             741903108      2150        89102 SH       DEFINED     1                            89102
PRIMEDIA INC                             74157K101     37533      1172900 SH       DEFINED     1                          1172900
PROBUSINESS SERVICES INC                 742674104     21525       833900 SH       DEFINED     1                           833900
PROCTER & GAMBLE CO                      742718109     33750       600000 SH       DEFINED     1                           600000
PROFIT RECOVERY GROUP INTL               743168106     30063      1625000 SH       DEFINED     1                          1625000
PROGRESSIVE CORP OH                      743315103     84985      1117300 SH       DEFINED     1                          1117300
PROLOGIS TRUST SBI                       743410102     22929      1191114 SH       DEFINED     1                          1191114
PROTECTION ONE ALARM CV SUB NT 6.75%     743659AL8      2975     $5000000 PRN      DEFINED     1                         $5000000
  09/15/03
PROTECTIVE LIFE CORP                     743674103     81280      2560000 SH       DEFINED     1                          2560000
PROTEIN DESIGN LABS                      74369L103     22260       280000 SH       DEFINED     1                           280000
PROVIDENT BANKSHARES CORP                743859100      4923       312559 SH       DEFINED     1                           312559
PROVIDIAN FINANCIAL CORP                 74406A102    440939      5090200 SH       DEFINED     1                          5090200
PSINET INC                               74437C101     96332      2832000 SH       DEFINED     1                          2832000
PUB SVC ENTRPR GRP                       744573106     59843      2020000 SH       DEFINED     1                          2020000
PUERTO RICAN CEMENT                      745075101      8000       250000 SH       DEFINED     1                           250000
PUGET SOUND ENERGY INC                   745332106     99844      4500000 SH       DEFINED     1                          4500000
QLT PHOTOTHERAPEUTICS INC US$            746927102      2763        50000 SH       DEFINED     1                            50000
QUANTUM CORP - DLT & STORAGE             747906204     81175      6800000 SH       DEFINED     1                          6800000
QUANTUM CORP - HARD DISK DRIVE           747906303     34875      3100000 SH       DEFINED     1                          3100000
QUANTUM CORP CV SUB 7.00% 08/01/04       747906AC9      5635     $7000000 PRN      DEFINED     1                         $7000000
QUANTUM EFFECT DEVICES INC               74764T107      2030        25500 SH       DEFINED     1                            25500
QUESTAR CORP                             748356102    117593      6335000 SH       DEFINED     1                          6335000
QUILMES INDUSTRIAL N/V PFD SPON ADR      74838Y108      8295       790000 SH       DEFINED     1                           790000
QUINTILES TRANSNAT CV SUB NT 144A 4.25%  748767AA8      9913    $10000000 PRN      DEFINED     1                        $10000000
  05/31/00
QUINTILES TRANSNAT CV SUB NT REG'D 4.25% 748767AC4      5749     $5800000 PRN      DEFINED     1                         $5800000
  05/31/00
QUINTILES TRANSNATIONAL CORP             748767100    138339      8107800 SH       DEFINED     1                          8107800
QWEST COMMUNICATIONS INTL                749121109     97970      2020000 SH       DEFINED     1                          2020000
R J REYNOLDS TOBACCO HOLDINGS            76182K105    279423     16436665 SH       DEFINED     1                         16436665
RADIANT SYSTEMS INC                      75025N102     27696       440500 SH       DEFINED     1                           440500
RADICA GAMES LTD                         750329906       473        70000 SH       DEFINED     1                            70000
RADIO ONE CL A                           75040P108     15923       239000 SH       DEFINED     1                           239000
RADISYS CORP                             750459109     63733      1060000 SH       DEFINED     1                          1060000
RAYONIER INC                             754907103     51948      1065600 SH       DEFINED     1                          1065600
RAYTHEON COMPANY (NEW) CL A              755111309    100481      5341167 SH       DEFINED     1                          5341167
RAYTHEON COMPANY CL B                    755111408    135477      7632500 SH       DEFINED     1                          7632500
RAZORFISH INC CL A                       755236106      6325       230000 SH       DEFINED     1                           230000
REDBACK NETWORKS                         757209101    391898      1306600 SH       DEFINED     1                          1306600
REGIS CORP                               758932107      4599       310500 SH       DEFINED     1                           310500
RELIANT ENERGY INC                       75952J108     42188      1800000 SH       DEFINED     1                          1800000
REMEC INC                                759543101      8080       160000 SH       DEFINED     1                           160000
REMEDY CORP                              759548100     33700       800000 SH       DEFINED     1                           800000
RENT-WAY INC                             76009U104     15462       792900 SH       DEFINED     1                           792900
ROBERT HALF INTL                         770323103    323424      6817900 SH       DEFINED     1                          6817900
ROGERS CANTEL MOBILE COMM INC CL B C$    775102205      2015        50000 SH       DEFINED     1                            50000
  RESTRICTED VOTING SHARES
ROGERS COMMUNICATIONS INC CL B C$ N/V    775109200      3703       125000 SH       DEFINED     1                           125000
ROGERS CORP                              775133101      6852       109200 SH       DEFINED     1                           109200
ROPER INDUSTRIES NEW                     776696106      5091       150000 SH       DEFINED     1                           150000
ROWAN COMPANIES INC                      779382100     24292       825200 SH       DEFINED     1                           825200
ROYAL BANK OF CANADA C$                  780087102    353886      7553900 SH       DEFINED     1                          7553900
ROYAL CARIBBEAN CRUISES CV PF SER A      780151916      3960        45000 SH       DEFINED     1                            45000
  7.25%
ROYAL DUTCH PETE 1.25 GUILDER NY SHR     780257804   1048616     18217000 SH       DEFINED     1                         18217000
RPM INC OHIO                             749685103     64706      5882400 SH       DEFINED     1                          5882400
RUBY TUESDAY INC                         781182100     14732       841800 SH       DEFINED     1                           841800
SABRE HOLDINGS CORP CL A                 785905100    373435     10109913 SH       DEFINED     1                         10109913
SAFECO CORP                              786429100    164204      6181800 SH       DEFINED     1                          6181800
SANMINA CORP                             800907107    298559      4419000 SH       DEFINED     1                          4419000
SANTA ISABEL SPON ADR                    802233106      7416       698000 SH       DEFINED     1                           698000
SAPIENS INTERNATIONAL CORP USD           803059906     13659      1115000 SH       DEFINED     1                          1115000
SARA LEE CORP                            803111103   1342881     74604500 SH       DEFINED     1                         74604500
SBC COMMUNICATIONS                       78387G103   1343041     31977174 SH       DEFINED     1                         31977174
SBC COMMUNICATNS DECS(TMX) 7.75% 3-15-01 78387G202     57412       463000 SH       DEFINED     1                           463000
SBS BROADCASTING SA                      783939901    100479      1633800 SH       DEFINED     1                          1633800
SCHERING-PLOUGH                          806605101    181178      4930000 SH       DEFINED     1                          4930000
SCHLUMBERGER LTD                         806857108    757926      9907532 SH       DEFINED     1                          9907532
SCHOOL SPECIALTY INC                     807863105     26123      1215000 SH       DEFINED     1                          1215000
SCHULMAN A                               808194104     12795       965625 SH       DEFINED     1                           965625
SCI SYSTEMS INC                          783890106    437671      8133252 SH       DEFINED     1                          8133252
SCIQUEST.COM INC                         80908Q107     14690       570500 SH       DEFINED     1                           570500
SCRIPPS CO (THE E.W.) CL A NEW           811054204     52186      1076000 SH       DEFINED     1                          1076000
SEAGATE TECHNOLOGY                       811804103    162675      2700000 SH       DEFINED     1                          2700000
SEAGRAM CO ACES 7.5% CV PFD UNTS 6/21/02 811850205    205000      3693700 SH       DEFINED     1                          3693700
SEAGRAM COMPANY (THE) LTD US$            811850106   1669457     28058100 SH       DEFINED     1                         28058100
SEALED AIR CORP NEW                      81211K100    131708      2425000 SH       DEFINED     1                          2425000
SELECTICA INC                            816288104     17650       200000 SH       DEFINED     1                           200000
SEMINIS INC CL A                         816658108     10786      1675500 SH       DEFINED     1                          1675500
SEMTECH CORP                             816850101     45805       715000 SH       DEFINED     1                           715000
SEPRACOR INC                             817315104    162780      2235600 SH       DEFINED     1                          2235600
SEPRACOR INC CV NT 7.00% 144A 12/15/05   817315AF1     27326    $21000000 PRN      DEFINED     1                        $21000000
SEPRACOR INC CV SUB NT 144A 6.25% 2/15/5 817315AC8     30486     $9850000 PRN      DEFINED     1                         $9850000
SERVICE CORPORATION INTERNATIONAL        817565104     70958     23652800 SH       DEFINED     1                         23652800
SERVICEMASTER CO (THE)                   81760N109    149625     13300000 SH       DEFINED     1                         13300000
SFX ENTERTAINMENT INC CL A               784178105    143864      3525000 SH       DEFINED     1                          3525000
SHARPER IMAGE CORP                       820013100     12066       985000 SH       DEFINED     1                           985000
SHAW COMMUNICATIONS INC CL B C$          82028K200     26869      1000000 SH       DEFINED     1                          1000000
SHELL TRANS/TRADING  (NY SHARES NEW)     822703609    408828      8332800 SH       DEFINED     1                          8332800
SHERWIN WILLIAMS CO                      824348106     35100      1600000 SH       DEFINED     1                          1600000
SHOP AT HOME INC                         825066301      5003       580000 SH       DEFINED     1                           580000
SICOR INC                                825846108     31329      3019702 SH       DEFINED     1                          3019702
SIERRA PACIFIC RESOURCES NEW             826428104     11500       920000 SH       DEFINED     1                           920000
SILICON GRAPHICS INC                     827056102     55865      5289000 SH       DEFINED     1                          5289000
SINCLAIR BROADCAST GROUP CL A            829226109     37661      4213800 SH       DEFINED     1                          4213800
SIPEX CORP                               829909100     28250       800000 SH       DEFINED     1                           800000
SK TELECOM SPON ADR (NY)                 78440P108     37507       961705 SH       DEFINED     1                           961705
SKILLSOFT CORP                           83066P101      2761        95000 SH       DEFINED     1                            95000
SKY NETWORK TELEVISION LTD SPON ADR      8308OU102      9071       376000 SH       DEFINED     1                           376000
SKYWEST INC                              830879102     33256       850000 SH       DEFINED     1                           850000
SLM HOLDING CORP VTG                     78442A109    512413     15382000 SH       DEFINED     1                         15382000
SMARTFORCE PLC SPON ADR                  83170A206     17203       375000 SH       DEFINED     1                           375000
SMITHKLINE BEECHAM ADR                   832378301     70687      1070000 SH       DEFINED     1                          1070000
SMURFIT-STONE CONTAINER CORP             832727101     86330      5097000 SH       DEFINED     1                          5097000
SNYDER COMMUNICATIONS CIRCLE.COM INC     832914204      7322       887500 SH       DEFINED     1                           887500
SNYDER COMMUNICATIONS SNC INC            832914105    160875      7150000 SH       DEFINED     1                          7150000
SO JERSEY INDUSTRIES                     838518108     14094       500000 SH       DEFINED     1                           500000
SOLECTRON CORP                           834182107    432996     10808000 SH       DEFINED     1                         10808000
SONOCO PRODS CO                          835495102     65800      2800000 SH       DEFINED     1                          2800000
SOURCE INFORMATION MGMT CO               836151209     11375       650000 SH       DEFINED     1                           650000
SOUTHERN CO                              842587107    834600     38372400 SH       DEFINED     1                         38372400
SOUTHWEST AIRLINES                       844741108    544058     26140905 SH       DEFINED     1                         26140905
SPANISH BROADCASTING SYSTEM INC CL A     846425882      4151       177000 SH       DEFINED     1                           177000
SPARTECH CORP                            847220209     12495       363500 SH       DEFINED     1                           363500
SPIEKER PROPERTIES INC                   848497103    133945      3010000 SH       DEFINED     1                          3010000
SPRINT CORP (FON GROUP)                  852061100   2690491     42706200 SH       DEFINED     1                         42706200
SPRINT CORP (PCS GROUP)                  852061506      2025        31000 SH       DEFINED     1                            31000
ST PAUL COS INC                          792860108    164390      4817300 SH       DEFINED     1                          4817300
STANLEY FURN CO NEW                      854305208      4844       250000 SH       DEFINED     1                           250000
STANLEY WORKS                            854616109    211000      8000000 SH       DEFINED     1                          8000000
STARBUCKS CORP                           855244109    493834     11020000 SH       DEFINED     1                         11020000
STERICYCLE INC                           858912108     15350       614000 SH       DEFINED     1                           614000
STET HELLAS TELECOMMUNICATIONS ADR       859823106      3818       132800 SH       DEFINED     1                           132800
STEWART ENTERPRISES CL A                 860370105     39994      8100000 SH       DEFINED     1                          8100000
STOLT-NIELSEN B ADR                      861565109     62251      3364900 SH       DEFINED     1                          3364900
STORAGE TECHNOLOGY                       862111200    194119     12180000 SH       DEFINED     1                         12180000
STRUCTURAL DYNAMICS RESEARCH CORP        863555108      2025       150000 SH       DEFINED     1                           150000
STRYKER CORP                             863667101     16740       240000 SH       DEFINED     1                           240000
SUN TRUST BANKS INC                      867914103    186533      3230000 SH       DEFINED     1                          3230000
SUNCOR ENERGY INC C$                     867229106    304832      7040000 SH       DEFINED     1                          7040000
SUNGLASS HUT INTL                        86736F106     48641      6226000 SH       DEFINED     1                          6226000
SUNOCO INC                               86764P109    193870      7082000 SH       DEFINED     1                          7082000
SUPERGEN INC                             868059106     34346       715534 SH       DEFINED     1                           715534
SUPERGEN INC PP REG D                    868059106     34346       715534 SH       DEFINED     1                           715534
SWIFT TRANSPORTATION                     870756103     17495       853400 SH       DEFINED     1                           853400
SYBRON INTERNATIONAL CORP (WISCONSIN)    87114F106     27550       950000 SH       DEFINED     1                           950000
SYLVAN LEARNING SYSTEMS INC              871399101      3504       219850 SH       DEFINED     1                           219850
SYNOPSYS INC                             871607107      9750       200000 SH       DEFINED     1                           200000
TALISMAN ENERGY INC                      87425E103     85562      3003200 SH       DEFINED     1                          3003200
TECH DATA CORP                           878237106     21369       650000 SH       DEFINED     1                           650000
TECNOMATIX TECHNOLOGIES LTD              878756907     15472       356700 SH       DEFINED     1                           356700
TECO ENERGY                              872375100     96161      4947200 SH       DEFINED     1                          4947200
TEEKAY SHIPPING CORP                     879006906     22601       820000 SH       DEFINED     1                           820000
TELE CELULAR SUL PARTICIPACOES PN ADR    879238103    102905      2058100 SH       DEFINED     1                          2058100
TELE CENTRO OESTE CELULAR PARTIC PN ADR  87923P105     56381      4850000 SH       DEFINED     1                          4850000
TELE DANMARK B ADR   SPON                879242105    118518      2552200 SH       DEFINED     1                          2552200
TELE NORDESTE CELULAR PARTICIPACO PN ADR 87924W109     63391       883500 SH       DEFINED     1                           883500
TELE SUDESTE CELULAR PARTICIPACOE PN ADR 879252104     18921       378900 SH       DEFINED     1                           378900
TELECOM ARGENTINA B SPON ADR             879273209     95187      2739200 SH       DEFINED     1                          2739200
TELECOM NEW ZEAL ADR SPON                879278208     28275       770700 SH       DEFINED     1                           770700
TELEFONICA ARG B ADR                     879378206    150069      3823400 SH       DEFINED     1                          3823400
TELEFONICA DEL PERU B SPON ADR           879384105     40951      2408900 SH       DEFINED     1                          2408900
TELEFONICA SPON ADR                      879382208    212383      2845998 SH       DEFINED     1                          2845998
TELEFONOS DE MEX CV NT 4.25% 06-15-04    879403AD5     77813    $50000000 PRN      DEFINED     1                        $50000000
TELEFONOS DE MEXICO L ADR                879403780   1853621     27665980 SH       DEFINED     1                         27665980
TELEGLOBE INC                            87941V100    317846     11684700 SH       DEFINED     1                         11684700
TELEMIG CELULAR PARTICIPACOES PN ADR     87944E105     55281       624200 SH       DEFINED     1                           624200
TELESYSTEM INTL WIRELESS INC C$          879946101      2907        80000 SH       DEFINED     1                            80000
TERADYNE                                 880770102     92531      1125000 SH       DEFINED     1                          1125000
TEVA PHARM ADR                           881624209    122982      3296000 SH       DEFINED     1                          3296000
TEXACO INC                               881694103   1808053     33716600 SH       DEFINED     1                         33716600
TEXAS INSTRS INC                         882508104   4575682     28598012 SH       DEFINED     1                         28598012
TEXAS UTILS CO                           882848104      3586       120800 SH       DEFINED     1                           120800
TEXTRON INC                              883203101     24350       400000 SH       DEFINED     1                           400000
THERMEDICS                               883901100     10227      1249100 SH       DEFINED     1                          1249100
THERMO ELECTRON 144A CV SUB DEB 4.25%    883556AF9     20930    $23000000 PRN      DEFINED     1                        $23000000
  01-01-03
THERMO ELECTRON CORP                     883556102    141097      6925000 SH       DEFINED     1                          6925000
THERMO FIBERTEK INC                      88355W105      8250      1200000 SH       DEFINED     1                          1200000
THERMO INSTRUMENT SYS CV DEB 144A 4.50%  883559AC0      2708     $3000000 PRN      DEFINED     1                         $3000000
  10/15/03
THERMO INSTRUMNT CV SUB DEB 4.00%        883559AE6      8500    $10000000 PRN      DEFINED     1                        $10000000
  01/15/05
THOMAS & BETTS CORP                      884315102    158822      5622000 SH       DEFINED     1                          5622000
TIME WARNER INC                          887315109   5209905     52099050 SH       DEFINED     1                         52099050
TOLLGRADE COMMUNICATIONS INC             889542106      6625       125000 SH       DEFINED     1                           125000
TOO INC                                  890333107    108733      3445000 SH       DEFINED     1                          3445000
TORONTO DOMINION BANK (THE) C$           891160509    252675      9551000 SH       DEFINED     1                          9551000
TOTAL FINA ELF SPON ADS                  89151E109    586756      7969524 SH       DEFINED     1                          7969524
TOWER AUTOMOTIVE INC                     891707101     48395      2955400 SH       DEFINED     1                          2955400
TOWER SEMICONDUCTOR                      891856908     10363       455500 SH       DEFINED     1                           455500
TRANSKARYOTIC THERAPIES INC 144A         893735100     69531      1250000 SH       DEFINED     1                          1250000
TRANSWITCH CORP                          894065101    156684      1630000 SH       DEFINED     1                          1630000
TRAVELOCITY.COM INC                      893953109     25703       875000 SH       DEFINED     1                           875000
TRENWICK GROUP INC                       895290104       283        20000 SH       DEFINED     1                            20000
TRIAD HOSPITALS INC                      89579K109     19173      1144662 SH       DEFINED     1                          1144662
TRIBUNE COMPANY                          896047107     26267       718400 SH       DEFINED     1                           718400
TRIGON HEALTHCARE INC                    89618L100     28253       790300 SH       DEFINED     1                           790300
TRIMBLE NAVIGATION LTD                   896239100     65405      2540000 SH       DEFINED     1                          2540000
TRIPATH IMAGING INC                      896942109      8768       981078 SH       DEFINED     1                           981078
TRITON PCS HOLDINGS INC CL A             89677M106     45500       761500 SH       DEFINED     1                           761500
TRW INC                                  872649108    368597      6300800 SH       DEFINED     1                          6300800
TUBOS DE ACERO ADR   NEW                 898592506     39664      2422247 SH       DEFINED     1                          2422247
TUPPERWARE CORP                          899896104      7906       500000 SH       DEFINED     1                           500000
U S BANCORP                              902973106     79434      3631250 SH       DEFINED     1                          3631250
U S WEST INC                             91273H101   1917336     26400500 SH       DEFINED     1                         26400500
ULTRAMAR DIAMOND SHAMROCK CORP           904000106    275126     10842400 SH       DEFINED     1                         10842400
UNIBANCO UNIT GDS (REP 500 UNITS) UNIT=1 90458E107    112059      3529400 SH       DEFINED     1                          3529400
  UBB4 +1 UBH6
UNICOM CORPORATION                       904911104     93075      2550000 SH       DEFINED     1                          2550000
UNILEVER NV NY SHRS                      904784709    154000      3200000 SH       DEFINED     1                          3200000
UNION CARBIDE CORP                       905581104     35250       604500 SH       DEFINED     1                           604500
UNION PACIFIC                            907818108    123244      3150000 SH       DEFINED     1                          3150000
UNITED BANKSHRS INC                      909907107     39050      1775000 SH       DEFINED     1                          1775000
UNITED PARCEL SERVICE INC CL B           911312106    235456      3737400 SH       DEFINED     1                          3737400
UNITED RENTALS INC                       911363109     29325      1700000 SH       DEFINED     1                          1700000
UNITED TECHNOLOGIES                      913017109   1048590     16594900 SH       DEFINED     1                         16594900
UNITED TELEVISION                        913066106     47126       356000 SH       DEFINED     1                           356000
UNITED THERAPEUTICS CORP PP PIPES        91307C102     93300      1200000 SH       DEFINED     1                          1200000
UNITEDGLOBALCOM 7.0% CV PFD SER D        913247805     34000       500000 SH       DEFINED     1                           500000
UNITEDGLOBALCOM CV PF SER C 7.00% 144A   913247102     66500       700000 SH       DEFINED     1                           700000
  12/31/49
UNITEDGLOBALCOM INC CL A                 913247508    562894      7499000 SH       DEFINED     1                          7499000
UNITEDHEALTH GROUP INC                   91324P102    150136      2518000 SH       DEFINED     1                          2518000
UNIV HEALTH SVS CL B                     913903100    101670      2074900 SH       DEFINED     1                          2074900
UNOCAL CORP                              915289102    596978     20066500 SH       DEFINED     1                         20066500
UROCOR INC                               91727P105      2803       575000 SH       DEFINED     1                           575000
USA NETWORKS INC                         902984103    383405     16993000 SH       DEFINED     1                         16993000
UST INC                                  902911106     57813      3700000 SH       DEFINED     1                          3700000
USX-MARATHON GROUP                       902905827    432638     16600000 SH       DEFINED     1                         16600000
USX-U S STEEL GROUP                      90337T101     27500      1100000 SH       DEFINED     1                          1100000
VA LINUX 144 RESTRICTED 180 DAYS (N/A    91819B105     79770      1554404 SH       DEFINED     1                          1554404
  FOR SALE UNTIL 6/06/00*)
VAIL RESORTS INC                         91879Q109     36141      2241300 SH       DEFINED     1                          2241300
VALERO ENERGY CORP NEW                   91913Y100     75123      2453000 SH       DEFINED     1                          2453000
VALLEY NATL BANCRP                       919794107     16125       600000 SH       DEFINED     1                           600000
VALSPAR CORP                             920355104    138350      3611100 SH       DEFINED     1                          3611100
VARIAN SEMICONDUCTOR EQUIP               922207105     66157      1039800 SH       DEFINED     1                          1039800
VEECO INSTRUMENTS INC                    922417100      5550        75000 SH       DEFINED     1                            75000
VENTANA MEDICAL SYSTEMS INC              92276H106      1404        32500 SH       DEFINED     1                            32500
VENTIV HEALTH                            922793104     22305      2216666 SH       DEFINED     1                          2216666
VERSATA INC                              925298101     17322       287800 SH       DEFINED     1                           287800
VERTEX PHARMACEUTCLS                     92532F100     34173       730000 SH       DEFINED     1                           730000
VF CORP                                  918204108    129938      5400000 SH       DEFINED     1                          5400000
VIACOM INC CL A                          925524100    440956      8251800 SH       DEFINED     1                          8251800
VIACOM INC CL B N/V                      925524308   3763364     71343400 SH       DEFINED     1                         71343400
VIATEL INC                               925529208      5131       102237 SH       DEFINED     1                           102237
VICAL INC                                925602104     32663       975000 SH       DEFINED     1                           975000
VINA CONCHA Y TORO SA SPON ADR           927191106      1047        27200 SH       DEFINED     1                            27200
VIROPHARMA INC                           928241108     48437       790000 SH       DEFINED     1                           790000
VISION-SCIENCES INC                      927912105      2215       984500 SH       DEFINED     1                           984500
VITESSE SEMICONDUCTR                     928497106    336875      3500000 SH       DEFINED     1                          3500000
VODAFONE AIRTOUCH PLC ADR                92857T107    763290     13737500 SH       DEFINED     1                         13737500
WACHOVIA CORPORATION                     929771103    226334      3350000 SH       DEFINED     1                          3350000
WAL MART STORES INC                      931142103    269175      4850000 SH       DEFINED     1                          4850000
WALGREEN CO                              931422109    317691     12337500 SH       DEFINED     1                         12337500
WARNER LAMBERT CO                        934488107   1818375     18650000 SH       DEFINED     1                         18650000
WASHINGTON MUTL INC                      939322103    924063     34870300 SH       DEFINED     1                         34870300
WASHINGTON POST CL B                     939640108      1082         2000 SH       DEFINED     1                             2000
WASHINGTON REIT SBI                      939653101      2183       145500 SH       DEFINED     1                           145500
WASTE MANAGEMENT INC CV SUB              94106LAA7     89497   $100700000 PRN      DEFINED     1                       $100700000
  4.00%02-01-02
WASTE MANAGEMENT INC NEW                 94106L109    405013     29590000 SH       DEFINED     1                         29590000
WATCHGUARD TECHNOLOGIES INC              941105108     18000       200000 SH       DEFINED     1                           200000
WATSON PHARMACEUTICAL INC                942683103     11906       300000 SH       DEFINED     1                           300000
WEBLINK WIRELESS INC                     94769A101      6688       500000 SH       DEFINED     1                           500000
WEBVAN GROUP RESTRICTED                  94845V103     25390      3813220 SH       DEFINED     1                          3813220
WEINGARTEN RLTY INVS                     948741103     94999      2585000 SH       DEFINED     1                          2585000
WELLPOINT HLTH NETWK                     94973H108    211030      3020100 SH       DEFINED     1                          3020100
WELLS FARGO & CO (NEW)                   949746101   1775165     43362800 SH       DEFINED     1                         43362800
WESTERN RESOURCES                        959425109     20556      1300000 SH       DEFINED     1                          1300000
WESTERN WIRELESS CORP CL A               95988E204    182155      3976100 SH       DEFINED     1                          3976100
WESTPOINT STEVENS INC                    961238102      5700       300000 SH       DEFINED     1                           300000
WESTVACO CORP                            961548104    353685     10597300 SH       DEFINED     1                         10597300
WESTWOOD ONE INC                         961815107    124011      3421000 SH       DEFINED     1                          3421000
WEYERHAEUSER CO                          962166104   1210560     21237900 SH       DEFINED     1                         21237900
WHITEHALL JEWELLERS INC                  965063100     19975       850000 SH       DEFINED     1                           850000
WILLAMETTE INDUSTRIES INC                969133107    146396      3648500 SH       DEFINED     1                          3648500
WILLIAMS COS INC                         969457100   1358717     30923850 SH       DEFINED     1                         30923850
WILLIAMS-SONOMA INC                      969904101     43964      1418198 SH       DEFINED     1                          1418198
WILMINGTON TR CORP                       971807102     54251      1115700 SH       DEFINED     1                          1115700
WISCONSIN CENT TRANS                     976592105     30931      2525000 SH       DEFINED     1                          2525000
WISCONSIN ENERGY                         976657106     92111      4620000 SH       DEFINED     1                          4620000
WITNESS SYSTEMS INC                      977424100      9137       300800 SH       DEFINED     1                           300800
WOMEN FIRST HEALHCARE                    978150100      6460      1360000 SH       DEFINED     1                          1360000
WORLDCOM INC                             98157D106    627907     13857259 SH       DEFINED     1                         13857259
XEROX CORP                               984121103   1112444     42786300 SH       DEFINED     1                         42786300
XL CAPITAL LTD CL A                      983940909    443039      8000700 SH       DEFINED     1                          8000700
XPEDIOR                                  98413B100       560        24900 SH       DEFINED     1                            24900
YAHOO! INC                               984332106     28688       167400 SH       DEFINED     1                           167400
YORK INTL CORP                           986670107    113189      4842300 SH       DEFINED     1                          4842300
YOUNG & RUBICAM INC                      987425105     28200       600000 SH       DEFINED     1                           600000
ZIFF-DAVIS INC - ZD                      989511100      5517       353100 SH       DEFINED     1                           353100
ZIFF-DAVIS INC - ZDNET VAR VTG SHS       989511209     20400       960000 SH       DEFINED     1                           960000

                                                -----------------
                                         GRAND  $  221900561


#  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
</TABLE>


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