DODGE & COX
13F-HR, 2000-08-15
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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:  6/30/00

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:               Dodge & Cox
                  --------------------------------
Address:            One Sansome Street
                  --------------------------------
                    35th Floor
                  --------------------------------
                    San Francisco, CA 94104
                  --------------------------------

Form 13F File Number:  28-400

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:   Thomas M. Mistele
       ----------------------------------
Title:  Vice President
       ----------------------------------
Phone:  (415) 981-1710
       ----------------------------------

Signature, Place, and Date of Signing:

                               San Francisco, CA                 8/14/00
__________________________    _____________________________  ___________________
[Signature]                   [City, State]                     [Date]

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).)

<PAGE>

                             Form 13F SUMMARY PAGE

Report Summary:

Number of Other Included Managers:                   0
                                           --------------

Form 13F Information Table Entry Total:            243
                                           --------------

Form 13F Information Table Value Total:     18,755,618
                                           --------------
                                             (thousands)

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.]

NONE

<PAGE>
<TABLE>

                    FORM 13F        NAME OF REPORTING MGR - DODGE & COX
COLUMN 1                      COL.2  COL. 3           COL 4     COLUMN 5 --------   COL. 6  COL7 COLUMN 8 ----------------------
                                                      VALUE     SHARES/    SH/ PUT/ INVSTMT OTHR ---  VOTING AUTHORITY  --------
NAME OF ISSUER                CLASS  CUSIP           (X$1000)   PRN AMT    PRN CALL DSCRETN MGRS SOLE        SHARED  NONE
--------------------------    ------ ---------        --------  ---------- --- ---- ------- ---- ---------- ------- ------------
<S>                           <C>    <C>              <C>       <C>        <C> <C>  <C>     <C>  <C>         <C>     <C>
A T & T CORP                  COMMON 001957109            695      21,997   SH       SOLE             19,997               2,000
ABBOTT LABORATORIES           COMMON 002824100            869      19,522   SH       SOLE             18,862                 660
ADOBE SYSTEMS INC             COMMON 00724F101          1,599      12,300   SH       SOLE              9,200               3,100
AETNA INC                     COMMON 008117103          1,229      19,162   SH       SOLE             17,212               1,950
AFLAC INC.                    COMMON 001055102            275       6,000   SH       SOLE              6,000                   0
AGILENT TECHNOLOGIES INC      COMMON 00846U101         11,964     162,233   SH       SOLE            140,664         1    21,567
AIR PRODUCTS & CHEMICALS INC  COMMON 009158106        153,743   4,989,650   SH       SOLE          4,633,400    42,800   313,450
ALCOA INC                     COMMON 013817101        410,775  14,164,688   SH       SOLE         13,204,888   121,000   838,800
ALLERGAN INC                  COMMON 018490102            223       3,000   SH       SOLE              3,000                   0
ALLSTATE CORP                 COMMON 020002101          2,730     122,706   SH       SOLE            122,706                   0
AMERADA HESS CORP             COMMON 023551104        303,462   4,914,374   SH       SOLE          4,579,624    46,200   288,550
AMEREN CORP                   COMMON 023608102        184,810   5,475,860   SH       SOLE          5,152,250    49,400   274,210
AMERICAN ELEC POWER CO INC    COMMON 025537101        191,553   6,465,935   SH       SOLE          6,060,955    58,020   346,960
AMERICAN EXPRESS COMPANY      COMMON 025816109         48,200     924,715   SH       SOLE            819,365             105,350
AMERICAN HOME PRODUCTS CORP   COMMON 026609107          3,568      60,748   SH       SOLE             58,948               1,800
AMERICAN INTERNATIONAL GROUP  COMMON 026874107         12,926     110,014   SH       SOLE             73,535              36,479
AMR CORP                      COMMON 001765106            237       9,000   SH       SOLE              9,000                   0
AMSOUTH BANCORPORATION        COMMON 032165102            333      21,181   SH       SOLE             21,181                   0
ANHEUSER-BUSCH COS INC        COMMON 035229103            939      12,576   SH       SOLE             12,576                   0
AON CORP                      COMMON 037389103            342      11,024   SH       SOLE             11,024                   0
ARCHER-DANIELS MIDLAND        COMMON 039483102        213,222  21,729,692   SH       SOLE         20,264,505   175,566 1,289,621
ARROW ELECTRONICS INC         COMMON 042735100            465      15,000   SH       SOLE             15,000                   0
AVERY DENNISON CORP           COMMON 053611109            429       6,400   SH       SOLE              6,400                   0
AVON PRODUCTS INC             COMMON 054303102            333       7,500   SH       SOLE              7,500                   0
BAKER HUGHES INC              COMMON 057224107        233,039   7,282,491   SH       SOLE          6,774,261    86,400   421,830
BANK OF AMERICA CORP          COMMON 060505104        285,074   6,629,647   SH       SOLE          6,175,594    60,639   393,414
BANK OF NEW YORK INC          COMMON 064057102          1,242      26,720   SH       SOLE             21,600               5,120
BANK ONE CORP                 COMMON 06423A103        439,872  16,559,906   SH       SOLE         15,525,444   149,600   884,862
BAUSCH & LOMB                 COMMON 071707103        364,531   4,711,235   SH       SOLE          4,408,035    46,700   256,500
BAXTER INTERNATIONAL INC      COMMON 071813109            447       6,366   SH       SOLE              6,366                   0
BCE INC                       COMMON 05534B109          1,849      77,655   SH       SOLE             71,155               6,500
BECTON DICKINSON & CO         COMMON 075887109        209,863   7,315,500   SH       SOLE          6,831,100    70,800   413,600
BELLSOUTH CORP                COMMON 079860102            461      10,838   SH       SOLE              7,718               3,120
BERINGER WINE ESTATE HOLDINGS COMMON 084102102            353      10,000   SH       SOLE             10,000                   0
BERKSHIRE HATHAWAY INC DEL    COMMON 084670108            591          11   SH       SOLE                  2                   9
BERKSHIRE HATHAWAY, INC CLASS COMMON 084670207          4,799       2,727   SH       SOLE              2,214                 513
BESTFOODS                     COMMON 08658U101            221       3,200   SH       SOLE              3,200                   0
BOEING CO                     COMMON 097023105          2,784      66,598   SH       SOLE             66,598                   0
BOISE CASCADE CORP            COMMON 097383103        100,266   3,875,049   SH       SOLE          3,606,010    33,800   235,239
BP AMOCO PLC ADR              COMMON 055622104         18,438     325,977   SH       SOLE            296,845              29,132
BRISTOL-MYERS SQUIBB CO       COMMON 110122108          5,932     101,840   SH       SOLE             80,220              21,620
BURLINGTON NORTHERN SANTA FE  COMMON 12189T104          2,349     102,448   SH       SOLE            102,448                   0
BURLINGTON RESOURCES, INC.    COMMON 122014103            223       5,838   SH       SOLE              5,838                   0
CANADIAN PACIFIC LTD          COMMON 135923100        272,394  10,401,709   SH       SOLE          9,822,359    81,400   497,950
CANANDAIGUA BRANDS INC        COMMON 137219200            252       5,000   SH       SOLE              5,000                   0
CARDINAL HEALTH INC           COMMON 14149Y108        137,610   1,859,608   SH       SOLE          1,751,408     8,000   100,200
CATELLUS DEVELOPMENT CORP     COMMON 149111106            900      60,000   SH       SOLE             60,000                   0
CATERPILLAR INC               COMMON 149123101        182,998   5,402,178   SH       SOLE          5,010,278    45,400   346,500
CHALONE INC.                  COMMON 157639105             89      11,200   SH       SOLE             11,200                   0
CHASE MANHATTAN CORP          COMMON 16161A108            594      12,900   SH       SOLE             12,900                   0
CHEVRON CORP                  COMMON 166751107        303,542   3,578,979   SH       SOLE          3,330,628    31,000   217,351
CHIRON CORP                   COMMON 170040109            617      13,000   SH       SOLE             13,000                   0
CHUBB CORP                    COMMON 171232101        181,035   2,943,674   SH       SOLE          2,701,774    27,300   214,600
CIGNA CORP                    COMMON 125509109         15,864     169,672   SH       SOLE            157,986              11,686
CIT GROUP INC                 COMMON 125577106          1,872     115,200   SH       SOLE            115,200                   0
CITIGROUP INC                 COMMON 172967101        256,192   4,252,155   SH       SOLE          3,954,539    29,950   267,666
CNA FINANCIAL CORP            COMMON 126117100         11,002     323,600   SH       SOLE            259,350    28,000    36,250
COCA COLA CO                  COMMON 191216100          3,517      61,243   SH       SOLE             49,583              11,660
COLGATE-PALMOLIVE CO          COMMON 194162103          1,063      17,768   SH       SOLE             17,768                   0
COMPUTER ASSOC INTL INC       COMMON 204912109            255       5,000   SH       SOLE              5,000                   0
CONSOLIDATED EDISON INC       COMMON 209115104            234       7,926   SH       SOLE              7,926                   0
CORNING INC                   COMMON 219350105          9,555      35,408   SH       SOLE             28,592               6,816
CP&L ENERGY INC               COMMON 12614C106          1,584      49,600   SH       SOLE             42,100               7,500
CVS CORP                      COMMON 126650100            840      21,000   SH       SOLE             18,600               2,400
DANA CORP                     COMMON 235811106        161,998   7,645,933   SH       SOLE          7,139,783    72,100   434,050
DEERE & CO                    COMMON 244199105        302,168   8,166,719   SH       SOLE          7,568,394    75,800   522,525
DELPHI AUTOMOTIVE SYSTEMS     COMMON 247126105        162,463  11,156,309   SH       SOLE         10,422,315   102,274   631,720
DILLARD'S INC CLASS A         COMMON 254067101         75,188   6,137,825   SH       SOLE          5,783,975    51,600   302,250
DOLE FOOD CO. INC.            COMMON 256605106         78,641   5,617,250   SH       SOLE          5,222,650    60,300   334,300
DOMINION RESOURCES INC VA     COMMON 25746U109            953      22,246   SH       SOLE             18,864               3,382
DOW CHEMICAL CO               COMMON 260543103        338,453  11,211,720   SH       SOLE         10,514,965   102,000   594,755
DOW JONES & CO                COMMON 260561105          4,585      62,600   SH       SOLE             58,300               4,300
DUKE ENERGY CORP              COMMON 264399106          4,657      82,615   SH       SOLE             82,615                   0
E I DU PONT DE NEMOURS & CO   COMMON 263534109          6,470     147,886   SH       SOLE            136,786              11,100
EASTMAN CHEMICAL CO           COMMON 277432100        240,590   5,038,535   SH       SOLE          4,716,825    46,200   275,510
EASTMAN KODAK CO              COMMON 277461109        115,018   1,933,076   SH       SOLE          1,801,226    26,000   105,850
EDISON INTERNATIONAL          COMMON 281020107          3,505     171,019   SH       SOLE            153,369              17,650
EL PASO ENERGY CORP           COMMON 283905107          5,877     115,383   SH       SOLE             98,533              16,850
ELECTRONIC DATA SYSTEMS       COMMON 285661104        190,057   4,607,453   SH       SOLE          4,313,403    43,900   250,150
ELI LILLY & CO                COMMON 532457108         15,357     153,765   SH       SOLE            141,209              12,556
EMERSON ELECTRIC CO           COMMON 291011104          3,133      51,900   SH       SOLE             47,300               4,600
ENGELHARD CORP                COMMON 292845104        119,294   6,991,600   SH       SOLE          6,611,300    58,200   322,100
ENRON CORP                    COMMON 293561106            883      13,700   SH       SOLE             12,500               1,200
ENTERGY CORP (NEW)            COMMON 29364G103          2,978     109,550   SH       SOLE            109,550                   0
EQUITY OFFICE PROPERTIES TRUS COMMON 294741103        161,893   5,873,700   SH       SOLE          5,605,100    44,000   224,600
EQUITY RESIDENTIAL PPTYS TR   COMMON 29476L107        140,350   3,051,100   SH       SOLE          2,902,500    32,000   116,600
ERICSSON (LM) TEL'B'ADR       COMMON 294821400            840      42,000   SH       SOLE             42,000                   0
EXXON MOBIL CORPORATION       COMMON 30231G102         33,524     427,065   SH       SOLE            407,971              19,094
FEDEX CORP                    COMMON 31428X106        434,175  11,425,678   SH       SOLE         10,633,586    99,700   692,392
FIRST HEALTH GROUP CORP       COMMON 320960107        134,698   4,105,100   SH       SOLE          3,806,300    50,900   247,900
FIRST MIDWEST BANCORP INC     COMMON 320867104            233      10,028   SH       SOLE             10,028                   0
FIRST UNION CORP              COMMON 337358105          1,888      76,100   SH       SOLE             76,100                   0
FIRSTENERGY CORP              COMMON 337932107          2,302      98,500   SH       SOLE             98,500                   0
FLEET BOSTON FINANCIAL CORP   COMMON 339030108          7,710     226,791   SH       SOLE            200,265              26,526
FLORIDA PROGRESS CORP         COMMON 341109106            253       5,400   SH       SOLE              5,400                   0
FLUOR CORP                    COMMON 343861100        165,719   5,240,128   SH       SOLE          4,967,928    48,500   223,700
FORD MOTOR CO                 COMMON 345370100        177,715   4,132,910   SH       SOLE          3,869,610    33,900   229,400
FORT JAMES CORP               COMMON 347471104        233,762  10,108,665   SH       SOLE          9,367,765    90,700   650,200
FPL GROUP INC                 COMMON 302571104        216,953   4,382,900   SH       SOLE          4,108,208    39,000   235,692
GENERAL ELECTRIC CO           COMMON 369604103         49,839     940,370   SH       SOLE            844,975              95,395
GENERAL MILLS INC             COMMON 370334104            504      13,200   SH       SOLE             12,000               1,200
GENERAL MOTORS CORP           COMMON 370442105        201,092   3,463,388   SH       SOLE          3,235,449    27,978   199,961
GENUINE PARTS CO              COMMON 372460105        312,143  15,607,195   SH       SOLE         14,638,083   141,900   827,212
GLAXO WELLCOME PLC ADR        COMMON 37733W105            231       4,000   SH       SOLE              4,000                   0
GOLDEN WEST FINANCIAL CORP    COMMON 381317106        544,702  13,346,461   SH       SOLE         12,479,361   103,500   763,600
GOODRICH (B F) CO             COMMON 382388106            340      10,000   SH       SOLE             10,000                   0
GREAT LAKES CHEMICAL CORP     COMMON 390568103            265       8,420   SH       SOLE              8,420                   0
GTE CORP                      COMMON 362320103          4,719      75,813   SH       SOLE             73,273               2,540
HALLIBURTON CO                COMMON 406216101         11,376     241,084   SH       SOLE            209,084              32,000
HARTFORD FINANCIAL SVCS GRP   COMMON 416515104          1,417      25,346   SH       SOLE             18,846               6,500
HCA - THE HEALTHCARE COMPANY  COMMON 404119109        130,088   4,282,750   SH       SOLE          4,131,450    20,000   131,300
HEWLETT PACKARD CO            COMMON 428236103        246,816   1,976,509   SH       SOLE          1,830,629    13,900   131,980
HONEYWELL INTERNATIONAL INC   COMMON 438516106          8,447     250,752   SH       SOLE            240,543              10,209
IKON OFFICE SOLUTIONS         COMMON 451713101            855     220,700   SH       SOLE            220,700                   0
INGERSOLL RAND CO             COMMON 456866102          2,041      50,726   SH       SOLE             44,626               6,100
INTEL CORP                    COMMON 458140100          2,045      15,300   SH       SOLE             15,300                   0
INTERNATIONAL BUSINESS MCH CO COMMON 459200101         51,991     474,534   SH       SOLE            411,558              62,976
INTERNATIONAL PAPER CO        COMMON 460146103         11,523     386,518   SH       SOLE            327,218              59,300
INTERPUBLIC GROUP COMPANIES   COMMON 460690100            212       4,950   SH       SOLE              4,950                   0
INTL FLAVORS & FRAGRANCES INC COMMON 459506101          2,033      67,360   SH       SOLE             66,460                 900
ITT INDUSTRIES                COMMON 450911102            236       7,773   SH       SOLE              6,273               1,500
JOHNSON & JOHNSON             COMMON 478160104          4,915      48,249   SH       SOLE             40,443               7,806
K MART CORP                   COMMON 482584109        258,365  37,925,224   SH       SOLE         35,409,574   353,000 2,162,650
K-MART FINANCING I, 7 3/4 CON CV PRF 498778208          3,031      83,200   SH       SOLE             68,100     2,500    12,600
KIMBERLY CLARK CORP           COMMON 494368103          1,394      24,306   SH       SOLE             23,706                 600
KROGER CO                     COMMON 501044101            992      45,000   SH       SOLE             45,000                   0
LEHMAN BROTHERS HOLDINGS INC  COMMON 524908100            202       2,140   SH       SOLE              2,080                  60
LOCKHEED MARTIN CORP          COMMON 539830109        293,461  11,827,150   SH       SOLE         11,346,800    53,000   427,350
LOEWS CORP                    COMMON 540424108        284,640   4,744,001   SH       SOLE          4,543,451    22,600   177,950
LUBRIZOL CORP                 COMMON 549271104         39,819   1,896,185   SH       SOLE          1,759,385    24,000   112,800
LUCENT TECHNOLOGIES INC       COMMON 549463107            983      16,604   SH       SOLE             14,504               2,100
LYONDELL CHEMICAL COMPANY     COMMON 552078107          1,415      84,500   SH       SOLE             84,500                   0
MACROCHEM CORP                COMMON 555903103             48      10,000   SH       SOLE             10,000                   0
MARSH & MCLENNAN CO           COMMON 571748102          1,871      17,916   SH       SOLE             17,916                   0
MASCO CORP                    COMMON 574599106         85,322   4,723,750   SH       SOLE          4,331,550    38,000   354,200
MATSUSHITA ELEC IND  ADR      COMMON 576879209          9,559      37,195   SH       SOLE             29,645               7,550
MATTEL INC                    COMMON 577081102        149,261  11,318,400   SH       SOLE         10,570,000   101,200   647,200
MAY DEPT STORES CO            COMMON 577778103        200,617   8,359,062   SH       SOLE          7,855,062    64,500   439,500
MBIA INC                      COMMON 55262C100         53,090   1,101,750   SH       SOLE          1,058,950     6,900    35,900
MC DONALDS CORP               COMMON 580135101            392      11,916   SH       SOLE             10,200               1,716
MC GRAW-HILL COMPANIES INC    COMMON 580645109            799      14,800   SH       SOLE              6,800               8,000
MELLON FINANCIAL CORP         COMMON 58551A108          6,138     168,460   SH       SOLE            150,760              17,700
MERCANTILE BANKSHARES CORP    COMMON 587405101            211       7,100   SH       SOLE              7,100                   0
MERCK & CO INC                COMMON 589331107         12,955     169,072   SH       SOLE            159,706               9,366
MERRILL LYNCH & CO INC        COMMON 590188108            310       2,700   SH       SOLE              2,700                   0
MINNESOTA MINING & MFG CO     COMMON 604059105         11,906     144,324   SH       SOLE            135,686               8,638
MORGAN (J P) & CO             COMMON 616880100         12,828     116,486   SH       SOLE            103,636              12,850
MORGAN STANLEY, DEAN WITTER & COMMON 617446448            221       2,656   SH       SOLE              2,656                   0
MOTOROLA INC                  COMMON 620076109        133,315   4,587,216   SH       SOLE          4,264,916    33,300   289,000
NATIONAL SEMICONDUCTOR CORP   COMMON 637640103          3,592      63,302   SH       SOLE             56,302               7,000
NCR CORP                      COMMON 62886E108        280,971   7,215,970   SH       SOLE          6,741,989    60,400   413,581
NEWS CORP LTD PFD ORD ADR     PFD    652487802        507,412  10,682,360   SH       SOLE         10,162,460   100,100   419,800
NISOURCE INC                  COMMON 65473P105            629      33,800   SH       SOLE             18,800              15,000
NORDSTROM INC                 COMMON 655664100        239,105   9,911,128   SH       SOLE          9,268,878    84,300   557,950
NORFOLK SOUTHERN CORP         COMMON 655844108          1,635     109,932   SH       SOLE            108,732               1,200
NORTHEAST UTILITIES           COMMON 664397106          2,938     135,100   SH       SOLE            135,100                   0
NOVA CHEMICALS CORP           COMMON 66977W109         50,531   2,350,316   SH       SOLE          2,118,516    35,940   195,860
OCCIDENTAL PETROLEUM CORP     COMMON 674599105        325,808  15,468,659   SH       SOLE         14,455,659   134,600   878,400
PACTIV CORP                   COMMON 695257105            479      60,946   SH       SOLE             60,946                   0
PARKER-HANNIFIN CORP          COMMON 701094104          1,258      36,735   SH       SOLE             31,485               5,250
PENNEY (J C) CO               COMMON 708160106          2,672     144,923   SH       SOLE            141,523               3,400
PEPSICO INC                   COMMON 713448108            946      21,300   SH       SOLE             21,300                   0
PFIZER INC                    COMMON 717081103          7,904     164,685   SH       SOLE            123,384              41,301
PG&E CORPORATION              COMMON 69331C108          2,607     105,889   SH       SOLE            100,717               5,172
PHARMACIA CORP                COMMON 71713U102        461,774   8,933,967   SH       SOLE          8,511,831    36,000   386,136
PHILIP MORRIS COMPANIES INC   COMMON 718154107          4,809     181,075   SH       SOLE            173,275               7,800
PHILLIPS PETROLEUM CO         COMMON 718507106        368,820   7,276,355   SH       SOLE          6,796,954    63,500   415,901
PITNEY BOWES INC              COMMON 724479100        146,984   3,674,600   SH       SOLE          3,396,350    39,600   238,650
PNC FINANCIAL SERVICES GROUP  COMMON 693475105          6,517     139,035   SH       SOLE            134,135               4,900
PROCTER & GAMBLE CO           COMMON 742718109         21,539     376,230   SH       SOLE            344,595              31,635
R R DONNELLEY & SONS CO       COMMON 257867101        249,321  11,050,242   SH       SOLE         10,273,562   101,300   675,380
REGENERON PHARMACEUTICAL INC  COMMON 75886F107            298      10,000   SH       SOLE             10,000                   0
RELIANT ENERGY INC            COMMON 75952J108          2,267      76,690   SH       SOLE             74,964               1,726
RIO TINTO PLC-SPON ADR        COMMON 767204100        303,410   4,649,970   SH       SOLE          4,334,530    44,600   270,840
ROYAL DUTCH PETROLEUM CO      COMMON 780257804        155,439   2,524,906   SH       SOLE          2,415,206    18,800    90,900
RUDDICK CORP                  COMMON 781258108            688      58,250   SH       SOLE             58,250                   0
SAFECO CORP                   COMMON 786429100            672      33,820   SH       SOLE             33,820                   0
SAFEWAY INC                   COMMON 786514208            576      12,800   SH       SOLE             12,800                   0
SBC COMMUNICATIONS, INC       COMMON 78387G103         10,376     239,912   SH       SOLE            222,434              17,478
SCHERING-PLOUGH CORP          COMMON 806605101         18,646     369,243   SH       SOLE            360,567               8,676
SCHLUMBERGER LTD              COMMON 806857108        161,364   2,162,342   SH       SOLE          2,050,942     8,000   103,400
SEALED AIR CORP               COMMON 81211K100            319       6,109   SH       SOLE              4,662               1,447
SEALED AIR CORP PFD S$        CV PRF 81211K209            286       5,651   SH       SOLE              4,369               1,282
SEARS ROEBUCK & CO            COMMON 812387108          1,689      51,775   SH       SOLE             51,775                   0
SEMPRA ENERGY INC             COMMON 816851109            255      15,038   SH       SOLE             15,038                   0
SERVICEMASTER CO.             COMMON 81760N109            140      12,375   SH       SOLE              3,000               9,375
SIGMA-ALDRICH CORP            COMMON 826552101            731      25,000   SH       SOLE             25,000                   0
SMITHKLINE BEECHAM PLC ADR'S  COMMON 832378301          5,745      88,138   SH       SOLE             67,088              21,050
SOLUTIA INC                   COMMON 834376105            282      20,581   SH       SOLE             19,233               1,348
SONY CORP  ADR                COMMON 835699307        115,231   1,221,802   SH       SOLE          1,146,502     9,600    65,700
ST PAUL COMPANIES INC         COMMON 792860108        327,532   9,598,020   SH       SOLE          8,868,286    94,800   634,934
STATE STREET CORP             COMMON 857477103          1,813      17,100   SH       SOLE             17,100                   0
STORAGE TECHNOLOGY            COMMON 862111200        101,188   9,251,476   SH       SOLE          8,613,826    83,100   554,550
SUN MICROSYSTEMS INC          COMMON 866810104            454       5,000   SH       SOLE              5,000                   0
SUNTRUST BANKS INC            COMMON 867914103            297       6,516   SH       SOLE              6,516                   0
SYSCO CORP                    COMMON 871829107            345       8,200   SH       SOLE              8,200                   0
TARGET CORP                   COMMON 87612E106         41,523     715,925   SH       SOLE            630,175              85,750
TECO ENERGY INC               COMMON 872375100            427      21,300   SH       SOLE             18,600               2,700
TENET HEALTHCARE CORP         COMMON 88033G100            540      20,000   SH       SOLE             20,000                   0
TEXACO INC                    COMMON 881694103            884      16,612   SH       SOLE             16,612                   0
TEXAS INSTRUMENTS INC         COMMON 882508104         21,754     316,721   SH       SOLE            242,821              73,900
THERMO ELECTRON               COMMON 883556102        253,714  12,045,800   SH       SOLE         11,279,350   120,000   646,450
TIME WARNER INC               COMMON 887315109          1,682      22,133   SH       SOLE             22,133                   0
TOYS R US INC                 COMMON 892335100          2,701     185,500   SH       SOLE            185,500                   0
TRANSOCEAN SEDCO FOREX INC    COMMON G90078109            786      14,724   SH       SOLE             13,305               1,419
TRIBUNE CO NEW                COMMON 896047107          2,579      73,702   SH       SOLE             68,370               5,332
TRITON ENERGY LTD             COMMON G90751101          3,003      76,400   SH       SOLE             76,400                   0
TXU CORP                      COMMON 873168108        162,287   5,501,257   SH       SOLE          5,126,412    47,700   327,145
U S WEST INC                  COMMON 91273H101            507       5,914   SH       SOLE              4,600               1,314
U.S. BANCORP                  COMMON 902973106          2,104     109,341   SH       SOLE            107,931               1,410
ULTRAPAR PARTICPACEOS SA      COMMON 90400P101            143      14,400   SH       SOLE             14,400                   0
UNICOM CORP                   COMMON 904911104            884      22,870   SH       SOLE             21,770               1,100
UNILEVER NV                   COMMON 904784709        102,089   2,374,179   SH       SOLE          2,222,775    26,000   125,404
UNION CARBIDE CORP            COMMON 905581104        147,500   2,979,800   SH       SOLE          2,747,250    31,400   201,150
UNION PACIFIC CORP            COMMON 907818108        436,264  11,731,490   SH       SOLE         10,963,803   103,500   664,187
UNION PACIFIC RESOURCES GROUP COMMON 907834105        187,800   8,536,383   SH       SOLE          7,978,191    73,563   484,629
UNIONBANCAL CORPORATION       COMMON 908906100            222      11,970   SH       SOLE             11,970                   0
UNITED TECHNOLOGIES CORP      COMMON 913017109          2,633      44,735   SH       SOLE             38,319               6,416
UNOCAL CORP                   COMMON 915289102        348,574  10,523,006   SH       SOLE          9,818,656   104,400   599,950
UNOVA, INC.                   COMMON 91529B106         25,539   3,492,583   SH       SOLE          3,307,183    37,100   148,300
UNUMPROVIDENT CORP            COMMON 91529Y106         36,508   1,819,750   SH       SOLE          1,684,050    21,800   113,900
UST INC                       COMMON 902911106          1,539     104,800   SH       SOLE            104,800                   0
V F CORP                      COMMON 918204108        164,450   6,906,075   SH       SOLE          6,446,025    59,200   400,850
VERIZON COMMUNICATIONS        COMMON 92343V104            827      16,278   SH       SOLE             12,542               3,736
VISTEON CORP                  COMMON 92839U107          6,496     535,818   SH       SOLE            501,343     4,438    30,036
VITESSE SEMICONDUCTOR         COMMON 928497106            463       6,296   SH       SOLE              6,296                   0
VODAFONE AIRTOUCH PLC ADS     COMMON 92857T107            265       6,400   SH       SOLE              5,000               1,400
WACHOVIA CORP                 COMMON 929771103        162,492   2,995,250   SH       SOLE          2,805,650    28,400   161,200
WAL-MART DE MEXICO SA CV      COMMON 93114W107            524      22,329   SH       SOLE             22,329                   0
WAL-MART STORES INC           COMMON 931142103            476       8,268   SH       SOLE              8,268                   0
WALT DISNEY CO                COMMON 254687106          1,155      29,771   SH       SOLE             17,976              11,795
WASHINGTON MUTUAL INC         COMMON 939322103          3,390     117,434   SH       SOLE            117,434                   0
WASTE MANAGEMENT, INC         COMMON 94106L109          3,293     173,329   SH       SOLE            173,329                   0
WATSON PHARMACEUTICALS        COMMON 942683103            757      14,100   SH       SOLE             14,100                   0
WELLPOINT HEALTH NETWORKS INC COMMON 94973H108        170,525   2,354,100   SH       SOLE          2,202,150    23,400   128,550
WELLS FARGO & CO              COMMON 949746101        299,014   7,716,500   SH       SOLE          7,124,580    72,900   519,020
WENDY'S INTERNATIONAL         COMMON 950590109          2,833     159,100   SH       SOLE            159,100                   0
WESTERN RESOURCES INC         COMMON 959425109            727      46,918   SH       SOLE             44,918               2,000
WEYERHAEUSER CO               COMMON 962166104        244,210   5,679,316   SH       SOLE          5,302,801    49,900   326,615
WHIRLPOOL CORP                COMMON 963320106        282,045   6,049,233   SH       SOLE          5,651,233    53,700   344,300
WILLAMETTE INDUSTRIES INC     COMMON 969133107            327      12,016   SH       SOLE             12,016                   0
WISCONSIN ENERGY CORP         COMMON 976657106        125,723   6,345,678   SH       SOLE          5,921,228    59,200   365,250
XEROX CORP                    COMMON 984121103        308,624  14,873,471   SH       SOLE         13,905,471   131,800   836,200
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