LOOMIS SAYLES & CO L P
13F-HR, 2000-08-14
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<PAGE>

                                 UNITED STATES
                      SECURITIES AND EXCHANGE COMMISSION
                            Washington, D.C. 20549
                                   Form 13F
                              Form 13F COVER PAGE

Report for the Calendar Year or Quarter Ended: June 30, 1999
                                               -------------

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:      Loomis Sayles & Company, L.P.
           -----------------------------
Address:   One Financial Center
           --------------------
           Boston MA 02110-2660
           --------------------

Form 13F File Number: 28-398
                         ---

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:      Peter Giannakoulis
           --------------------------
Title:     Trading Compliance Manager
           --------------------------
Phone:     617-748-1782
           ------------
Signature, Place, and Date of Signing:

/s/ Peter Giannakoulis         Boston MA                         August 10,1999
______________________         -------------                     --------------
[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).)

List of Other Managers Reporting for this Manager:

     Form 13F   File       Number Name
     28-    ____________     ______________________________
<PAGE>

                             Form 13F SUMMARY PAGE
Report Summary:

Number of Other Included Managers:                   6
                                           -----------
Form 13F Information Table Entry Total:          1,538
                                           -----------
Form 13F Information Table Value Total:    $19,994,698
                                           -----------
                                           (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.

No.        Form 13F             File Number Name
1.         28-5952              MetLife New England Holdings, Inc.
--         -------              ----------------------------------
2.         28-3714              Metropolitan Life Insurance Company
--         -------              -----------------------------------
3.         28-6808              Nvest Companies, L.P.
--         -------              ---------------------
4.         28-2436              Strategic Investment Partners, Inc.
--         -------              -----------------------------------
5.         28-2437              Strategic Investment Management
--         -------              -------------------------------
6.         28-2495              Strategic Investment management, Int'l
--         -------              --------------------------------------
<PAGE>

<TABLE>
<CAPTION>
PG 1        FORM 13F      NAME OF REPORTING MANAGER  LOOMIS SAYLES & CO., INC     06/30/00
                                                                                                           VOTING AUTHORITY (SHARES)
           ITEM 1              ITEM 2    ITEM 3     ITEM 4    ITEM 5     ITEM 6     ITEM 7                     ITEM 8
                                                                    INVEST DISCRETION
        NAME OF ISSUER         CLASS     CUSIP      MKT VAL         SHARES A   B   C    MANAGERS     (A)SOLE    (B)SHARED  (C)NONE
                                                     (000)                                          ---------   ---------  -------
<S>                            <C>     <C>          <C>           <C>      <C> <C> <C>  <C>         <C>         <C>        <C>
AAR CORP                       COMMON  000361105         89          7,400     X        123               900                 6,500
ADC TELECOMMUNICATIONS INC     COMMON  000886101     43,432        517,813     X        123           437,920      7,374     72,519
AFLAC INC                      COMMON  001055102      1,915         41,678     X        123            24,800                16,878
AGCO CORP                      COMMON  001084102          1            100     X        123                                     100
AGL RESOURCES INC              COMMON  001204106      6,091        382,200     X        123           317,700      8,400     56,100
AES CORPORATION                COMMON  00130H105     10,427        228,542     X        123           106,750     12,200    109,592
AES CORP -WTS                  WTS     00130H113          3             22     X        123                                      22
AIM BLUE CHIP FD CL A          MUT FND 001413871         78          1,437     X        123                                   1,437
AK STEEL HLDG CORP             COMMON  001547108         15          1,900     X        123             1,900
AMFM INC                       COMMON  001693100     15,925        230,800     X        123           141,300      1,900     87,600
AMR CORP DEL                   COMMON  001765106      3,580        135,400     X        123           116,600                18,800
AT&T CORP                      COMMON  001957109     63,468      2,006,901     X        123         1,198,545      7,950    800,406
AT&T CORP - LIBERTY MEDIA CL A COMMON  001957208     38,944      1,605,954     X        123           590,000     29,650    986,304
AT&T WIRELESS GROUP            COMMON  001957406      4,399        157,800     X        123            58,800      1,725     97,275
APP FIN VI CONV ZERO CPN       CV BND  00202NAA3     17,653      1,628,744     X        123         1,212,032    364,238     52,474
APP FIN VII MAURITIUS 144A CVT CV BND  00202PAA8     19,397      1,529,855     X        123         1,232,753    171,014    126,087
AT&T CANADA INC                COMMON  00207Q202         93          2,800     X        123                                   2,800
AXA FINANCIAL INC              COMMON  002451102        180          5,300     X        123             3,100                 2,200
ABBOTT LABS                    COMMON  002824100     16,784        376,630     X        123           157,078               219,552
ABERCROMBIE & FITCH CO CL A    COMMON  002896207         31          2,542     X        123               142                 2,400
ABGENIX INC                    COMMON  00339B107     28,753        239,889     X        123           179,489     20,800     39,600
ACCLAIM ENMNT INC              COMMON  004325205         46         32,300     X        123             8,500                23,800
ACCREDO HEALTH INC             COMMON  00437V104     18,905        546,984     X        123           500,984                46,000
ACCRUE SOFTWARE INC            COMMON  00437W102      2,961         83,400     X        123            62,800                20,600
ACETO CORP                     COMMON  004446100         41          3,745     X        123                                   3,745
ACNIELSON CORP                 COMMON  004833109     11,000        500,000     X        123           402,400     12,200     85,400
ACTIVISION INC                 COMMON  004930202         65         10,000     X        123            10,000
ACTEL CORP                     COMMON  004934105     27,357        599,600     X        123           403,100     54,400    142,100
ACTIVE VOICE CORP              COMMON  004938106        230         28,800     X        123            28,800
ACTIVE SOFTWARE INC            COMMON  00504E100         85          1,100     X        123             1,100
ACUSON CORP                    COMMON  005113105      6,992        517,900     X        123           420,900     14,400     82,600
ACXIOM CORP                    COMMON  005125109         22            800     X        123                                     800
ADAPTEC INC                    COMMON  00651F108      1,136         49,950     X        123            49,700                   250
ADELPHIA COMMUNICATIONS CL A   COMMON  006848105     19,427        414,450     X        123           323,000      9,300     82,150
ADOBE SYS                      COMMON  00724F101         26            200     X        123               200
ADVANCED MARKETING SERVICES    COMMON  00753T105        106          5,750     X        123             5,750
ADVO INC                       COMMON  007585102     17,993        428,400     X        123           348,700     10,600     69,100
ADVANTICA RESTAURANT GROUP     COMMON  00758B109      7,832      8,084,701     X        123         7,009,762    764,762    310,177
AEROFLEX INC                   COMMON  007768104     32,166        647,366     X        123           600,566                46,800
AEGON NV AMERICAN REG SHR      COMMON  007924103         27            752     X        123               752
ADVANCED ENERGY INDS           COMMON  007973100     29,633        502,787     X        123           373,587     40,500     88,700
ADVENT SOFTWARE INC            COMMON  007974108     55,530        860,927     X        123           816,677                44,250
AETHER SYSTEMS INC             COMMON  00808V105      1,578          7,700     X        123             6,900        800
AETNA INC                      COMMON  008117103        205          3,200     X        123             1,900                 1,300
AFFILIATED MANAGERS GROUP      COMMON  008252108     28,236        620,576     X        123           553,276      5,200     62,100
AFFYMETRIX INC CVT 144A W/RTS  CV BND  00826TAC2     12,401         49,689     X        123            41,901      7,009        779
AGILENT TECHNOLOGIES INC       COMMON  00846U101     14,309        194,023     X        123           114,217      1,143     78,664
AIM VALUE FUND -B              MUT FND 008879728         35            740     X        123               740
AIM INTL EQUITY FUND           MUT FND 008882102         80          3,209     X        123             3,209
AIM INTL EQUITY FD -B          MUT FND 008882508         48          1,990     X        123                                   1,990
AIR PRODS & CHEM               COMMON  009158106     15,350        498,169     X        123           429,146                69,023
AIRONET WIRELESS COMM INC      COMMON  00943A107        688          8,500     X        123               400                 8,100
AKZO NOBEL N V SPON ADR        ADR     010199305          8            200     X        123                                     200
ALBEMARLE CORP                 COMMON  012653101        790         40,000     X        123                                  40,000
ALBERTO CULVER CO CL A         COMMON  013068200      5,833        222,200     X        123           171,000     12,400     38,800
INVESTMENT DISCRETION  A = SOLE
                       B = SHARED-AS DEFINED IN INSTR Y
                       C = SHARED-OTHER
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
PG 2        FORM 13F      NAME OF REPORTING MANAGER  LOOMIS SAYLES & CO., INC     06/30/00
                                                                                                           VOTING AUTHORITY (SHARES)
           ITEM 1              ITEM 2     ITEM 3     ITEM 4    ITEM 5     ITEM 6     ITEM 7                   ITEM 8
                                                                     INVEST DISCRETION
        NAME OF ISSUER         CLASS      CUSIP     MKT VAL           SHARES A   B   C   MANAGERS    (A)SOLE   (B)SHARED    (C)NONE
                                                     (000)                                          ---------  ---------    -------
<S>                            <C>      <C>         <C>       <C>  <C>       <C> <C> <C> <C>        <C>        <C>          <C>
ALBERTSONS INC                 COMMON   013104104       805           24,200     X       123            3,550                20,650
ALCAN ALUMINUM LTD             COMMON   013716105         9              300     X       123              300
ALCOA INC                      COMMON   013817101    14,859          512,370     X       123          272,350               240,020
ALCATEL ALSTHOM SPON ADR       ADR      013904305        81            1,222     X       123            1,222
ALKERMES INC                   COMMON   01642T108    16,541          351,004     X       123          243,304    35,600      72,100
ALLAIRE CORP                   COMMON   016714107     7,101          193,226     X       123           84,626    39,800      68,800
ALLEGHENY TECHNOLOGIES INC     COMMON   01741R102     2,156          119,800     X       123          107,800                12,000
ALLEGIANCE TELECOM INC         COMMON   01747T102       173            2,700     X       123            2,700
ALLERGAN INC                   COMMON   018490102       104            1,400     X       123              200                 1,200
ALLERGAN SPECIALTY THERAPEUTIC COMMON   018494104         1               30     X       123                                     30
ALLIANCE CAPITAL MGMT HOLD     COMMON   01855A101        38              800     X       123                                    800
ALLIANCE PREMIER GROWTH        MUT FND  01877C200        18              503     X       123                                    503
ALLIANCE GROWTH FUND B         MUT FND  01877F500        19              474     X       123              474
ALLIANCE SEMICONDUCTOR CORP    COMMON   01877H100    12,741          518,700     X       123          230,400   106,100     182,200
ALLIANCE TECHNOLOGY FUND B     MUT FND  018780304        29              215     X       123              215
ALLIANT ENERGY CORP            COMMON   018802108    14,202          546,240     X       123          433,440    11,500     101,300
ALLIANT TECHSYSTEMS INC        COMMON   018804104    12,874          190,900     X       123          153,600     3,700      33,600
ALLMERICA FINANCIAL CORP       COMMON   019754100        10              200     X       123                                    200
ALLSTATE CORP                  COMMON   020002101    33,756        1,517,139     X       123          642,902               874,237
ALLTEL CORP                    COMMON   020039103       392            6,337     X       123              400                 5,937
ALLTRISTA CORP                 COMMON   020040101         8              374     X       123              374
ALTERA CORP                    COMMON   021441100     1,590           15,600     X       123           15,600
ALTERRA HEALTHCARE CORP        COMMON   02146C104        26           12,900     X       123                                 12,900
ALZA CORP                      COMMON   022615108     3,092           52,300     X       123           47,000     5,300
AMAZON.COM INC                 COMMON   023135106        11              300     X       123                                    300
AMEREN CORPORATION             COMMON   023608102        17              500     X       123              500
AMERICA ONLINE INC             COMMON   02364J104    47,053          893,054     X       123          338,604    25,500     528,950
AMERICAN CAPITAL STRATEGIES    COMMON   024937104     5,976          250,300     X       123          193,300     8,400      48,600
AMERICAN ELEC PWR              COMMON   025537101       171            5,782     X       123            1,892                 3,890
AMERICAN EXPRESS CO            COMMON   025816109     8,214          157,588     X       123           43,542       500     113,546
AMERICAN GEN CORP              COMMON   026351106    19,866          325,675     X       123          222,075       500     103,100
AMERICAN GREETINGS CORP CL A   COMMON   026375105        15              800     X       123                                    800
AMERICAN HOME PRODS            COMMON   026609107    14,887          253,392     X       123          134,906     3,400     115,086
AMERICAN INTL GRP              COMMON   026874107   137,920        1,173,787     X       123          608,224     6,174     559,389
AMERICAN MGMT SYSTEM           COMMON   027352103     5,703          173,725     X       123           95,175                78,550
AMERICAN MUTUAL FUNDS          MUT FND  027681105        46            2,029     X       123            2,029
AMERICAN POWER CONVERSION      COMMON   029066107     1,604           39,300     X       123           24,800                14,500
AMERICAN STATES WATER CO       COMMON   029899101     9,701          326,100     X       123          267,200     7,600      51,300
AMERICAN TOWER CORP CL A       COMMON   029912201     1,442           34,600     X       123           31,000     3,600
AMERICAN SUPERCONDUCTOR CORP   COMMON   030111108    11,704          242,571     X       123           97,571    53,100      91,900
AMERICAN WATER WORKS INC       COMMON   030411102        45            1,800     X       123              800                 1,000
AMERICAN XTAL TECHNOLOGY INC   COMMON   030514103       234            5,400     X       123                                  5,400
AMERICREDIT CORP               COMMON   03060R101    22,426        1,319,200     X       123          795,600   172,000     351,600
AMERIKING INC                  COMMON   03071G102        18            1,750     X       123            1,750
AMERISOURCE HEALTH CORP        COMMON   03071P102    12,825          413,700     X       123          341,200    11,400      61,100
AMERUS LIFE HOLDINGS INC A     COMMON   030732101       608           29,500     X       123           22,700                 6,800
AMES DEPT STORES INC           COMMON   030789507         2              200     X       123              200
AMETEK INC                     COMMON   031100100         7              400     X       123                                    400
AMGEN INC                      COMMON   031162100    52,649          749,446     X       123          277,096     6,700     465,650
AMPHENOL CORP CL A             COMMON   032095101     6,930          104,700     X       123           87,000                17,700
AMSOUTH BANCORP                COMMON   032165102       142            9,009     X       123            9,009
ANADARKO PETE CORP             COMMON   032511107    12,437          252,210     X       123          158,950                93,260
ANALOG DEVICES                 COMMON   032654105    50,447          663,770     X       123          345,640     6,750     311,380
ANAREN MICROWAVE INC           COMMON   032744104    47,229          359,882     X       123          337,932                21,950
ANDERSONS INC                  COMMON   034164103        99           10,400     X       123                                 10,400
INVESTMENT DISCRETION  A = SOLE
                       B = SHARED-AS DEFINED IN INSTR Y
                       C = SHARED-OTHER
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
PG 3        FORM 13F      NAME OF REPORTING MANAGER  LOOMIS SAYLES & CO., INC       06/30/00
                                                                                                          VOTING AUTHORITY (SHARES)
           ITEM 1              ITEM 2    ITEM 3    ITEM 4     ITEM 5     ITEM 6       ITEM 7                ITEM 8
                                                                   INVEST DISCRETION
        NAME OF ISSUER         CLASS     CUSIP     MKT VAL           SHARES A   B   C   MANAGERS     (A)SOLE    (B)SHARED   (C)NONE
                                                    (000)                                           ---------   ---------   -------
<S>                            <C>     <C>         <C>        <C> <C>       <C> <C> <C> <C>         <C>         <C>         <C>
ANHEUSER BUSCH                 COMMON  035229103    98,184        1,314,596     X        123          735,375      8,900    570,321
ANICOM INC                     COMMON  035250109        15            4,000     X        123                                  4,000
ANTHRACITE CAPITAL INC         COMMON  037023108       514           72,100     X        123           51,300                20,800
AON CORP                       COMMON  037389103    32,362        1,041,820     X        123          616,120      1,300    424,400
APACHE CORP                    COMMON  037411105     3,058           52,000     X        123           35,500                16,500
APOLLO GROUP INC CL A          COMMON  037604105     2,433           86,900     X        123           77,800      9,100
APPLE COMPUTER                 COMMON  037833100    56,467        1,078,120     X        123          696,160        800    381,160
APPLIED DIGITAL SOLUTIONS      COMMON  038188108         1              400     X        123              400
APPLIED MATERIALS              COMMON  038222105    34,704          382,936     X        123          148,086      5,350    229,500
APPLIED POWER INC CL A         COMMON  038225108       422           12,600     X        123           12,600
APPLIED MICRO CIRCUITS CORP    COMMON  03822W109     7,885           79,850     X        123           54,700     24,050      1,100
ARCH CHEMICALS INC             COMMON  03937R102         3              125     X        123              125
ARCHER-DANIELS-MIDLAND CO      COMMON  039483102         7              700     X        123              700
ARCHSTONE COMMUNITIES TRUST    COMMON  039581103       173            8,200     X        123            8,200
ARCTIC CAT INC                 COMMON  039670104        10              800     X        123              800
ARIBA INC                      COMMON  04033V104       618            6,300     X        123            4,500                 1,800
ARKANSAS BEST CONV PFD A       CV PFD  040790206    15,558        1,013,165     X        123          822,688     93,969     96,509
ARROW ELECTRS                  COMMON  042735100         9              300     X        123              300
ART TECHNOLOGY GROUP           COMMON  04289L107     3,230           32,000     X        123           27,100      4,900
ARTISTDIRECT INC               COMMON  04315D103        16            5,025     X        123            5,025
ASIAINFO HOLDINGS INC          COMMON  04518A104       112            2,500     X        123                       2,500
ASPEN TECHNOLOGY INC           COMMON  045327103     6,637          172,400     X        123          124,200      8,300     39,900
ASSOCIATED BANC CORP           COMMON  045487105     3,184          145,971     X        123          137,198                 8,774
ASSOCIATED ESTATES REALTY CP   COMMON  045604105     5,240          748,600     X        123          503,700     65,500    179,400
AT HOME CORP                   COMMON  045919107         4              200     X        123                                    200
ASSOCIATES FIRST CAPITAL       COMMON  046008108     3,037          136,100     X        123           18,446               117,654
ASTEC INDUSTRIES               COMMON  046224101     6,303          248,400     X        123          201,700      6,900     39,800
ASTORIA FINANCIAL CORP         COMMON  046265104    11,080          430,300     X        123          349,400     11,900     69,000
ATHBASCA OIL SANDS TRUST       MUT FND 046903100        20            1,000     X        123            1,000
ATLAS AIR INC                  COMMON  049164106     9,625          268,300     X        123          223,700      6,000     38,600
ATMEL CORP                     COMMON  049513104     1,449           39,300     X        123           33,000      5,300      1,000
ATWOOD OCEANICS INC            COMMON  050095108    25,115          565,977     X        123          421,777     45,300     98,900
AURORA BIOSCIENCES CORP        COMMON  051920106    41,863          613,933     X        123          456,833     49,150    107,950
AUTOLIV INC                    COMMON  052800109       183            7,606     X        123            2,249                 5,357
AUTOMATIC DATA PROC            COMMON  053015103     7,859          146,719     X        123           26,161               120,558
AUTOZONE INC                   COMMON  053332102     4,044          183,832     X        123          124,282                59,550
AVALONBAY COMMUNITIES INC      COMMON  053484101    18,111          433,800     X        123          350,900      8,500     74,400
AVENUE A INC                   COMMON  053566105         1              150     X        123              150
AVERY DENNISON CORP            COMMON  053611109        81            1,200     X        123              200                 1,000
AVNET INC                      COMMON  053807103     6,888          116,250     X        123          103,600                12,650
AVON PRODS                     COMMON  054303102       716           16,100     X        123            3,400                12,700
AXENT TECHNOLOGIES INC         COMMON  05459C108       457           18,400     X        123           15,500                 2,900
BB&T CORP                      COMMON  054937107        14              600     X        123              600
BJ SERVICES CO                 COMMON  055482103     2,488           39,800     X        123           30,600      3,500      5,700
BP AMOCO PLC SPON ADR          ADR     055622104    89,112        1,575,459     X        123          814,329      8,266    752,864
BMC SOFTWARE INC               COMMON  055921100       426           11,678     X        123            7,418                 4,260
BAKER HUGHES INC               COMMON  057224107    36,431        1,138,480     X        123          715,780               422,700
BAKER HUGHES INC CONV ZERO NT  CV BND  057224AH0   171,928        4,102,753     X        123        3,927,272               175,482
BAKER J INC                    COMMON  057232100       503           86,600     X        123           75,000                11,600
BALL CORPORATION               COMMON  058498106       177            5,500     X        123            5,500
BANKAMERICA CORP               COMMON  060505104     2,419           56,259     X        123           22,510                33,749
BANK OF NEW YORK               COMMON  064057102    28,844          620,300     X        123          388,200      1,700    230,400
BANK ONE CORP                  COMMON  06423A103     3,779          142,256     X        123           56,865                85,391
BANTA CORP                     COMMON  066821109       617           32,600     X        123           16,350                16,250
BARD C R                       COMMON  067383109       217            4,500     X        123            1,600                 2,900
INVESTMENT DISCRETION  A = SOLE
                       B = SHARED-AS DEFINED IN INSTR Y
                       C = SHARED-OTHER
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
PG 4        FORM 13F      NAME OF REPORTING MANAGER  LOOMIS SAYLES & CO., INC     06/30/00
                                                                                                           VOTING AUTHORITY (SHARES)
           ITEM 1              ITEM 2    ITEM 3     ITEM 4     ITEM 5     ITEM 6     ITEM 7                  ITEM 8
                                                                     INVEST DISCRETION
        NAME OF ISSUER         CLASS     CUSIP      MKT VAL            SHARES A   B   C   MANAGERS   (A)SOLE   (B)SHARED   (C)NONE
                                                     (000)                                          ---------  ---------  ---------
<S>                            <C>     <C>          <C>        <C> <C>        <C> <C> <C> <C>      <C>         <C>        <C>
BARRICK GOLD CORP              COMMON  067901108         27             1,500     X       123           1,500
BASSETT FURNITURE INDS         COMMON  070203104          3               200     X       123             200
BAUSCH & LOMB                  COMMON  071707103        124             1,600     X       123           1,600
BAXTER INTL                    COMMON  071813109     63,804           907,440     X       123         536,235      1,200    370,005
BAY VIEW CAPITAL CORP          COMMON  07262L101         80             8,200     X       123           8,200
BEA SYSTEMS INC                COMMON  073325102         49             1,000     X       123                                 1,000
BEAR STEARNS COS INC           COMMON  073902108      5,262           126,423     X       123          54,222                72,201
BECKMAN COULTER INC            COMMON  075811109     15,061           258,000     X       123         204,400      5,700     47,900
BECKTON DICKINSON & CO         COMMON  075887109         11               400     X       123             400
BELL ATLANTIC CORP             COMMON  077853109     10,456           205,770     X       123         128,953        700     76,117
BELL ATLANTIC FIN EURO CONV BE CV BND  0778599A6     59,322        10,790,817     X       123      10,354,626    178,037    258,154
BELL SPORTS CORP CONV SUB DEB  CV BND  077903AA0      7,104           146,005     X       123         117,536     24,713      3,755
BELLSOUTH CORP                 COMMON  079860102    170,983         4,011,324     X       123       2,234,698     50,740  1,725,886
BELLWETHER EXPLORATION CO      COMMON  079895207         17             2,000     X       123           2,000
BELO A H CORP COM SER A        COMMON  080555105        158             9,100     X       123           9,100
BEMIS CO                       COMMON  081437105        222             6,600     X       123           4,700                 1,900
BERKSHIRE HATHAWAY INC CL A    COMMON  084670108      4,950                92     X       123                                    92
BERKSHIRE HATHAWAY INC CL B    COMMON  084670207      2,483             1,411     X       123             300                 1,111
BEST BUY COMPANY               COMMON  086516101         25               400     X       123             400
BESTFOODS                      COMMON  08658U101      2,221            32,068     X       123          17,968                14,100
BETHLEHEM STEEL CONV PFD SER B CV PFD  087509501     23,937         3,948,714     X       123       3,366,860    420,753    161,101
BEVERLY ENTERPRISES INC        COMMON  087851309         50            17,600     X       123                                17,600
BIOGEN INC                     COMMON  090597105     15,732           243,900     X       123         136,600      1,600    105,700
BIOMET INC                     COMMON  090613100      9,750           253,650     X       123         177,200                76,450
BIOTECH HOLDRS TRUST           COMMON  09067D201         18               100     X       123             100
BIOVAIL CORP INTL              COMMON  09067J109      4,973            89,700     X       123          59,700                30,000
BIOMIRA INC                    COMMON  09161R106         18             2,000     X       123                                 2,000
BLACK & DECKER CORP            COMMON  091797100     68,939         1,753,625     X       123       1,214,526     22,800    516,299
BLACK BOX CORP                 COMMON  091826107      8,923           112,700     X       123          49,850     23,000     39,850
BLACK HILLS CORP               COMMON  092113109         44             1,950     X       123                                 1,950
BOEING CO                      COMMON  097023105     21,418           512,250     X       123         349,090     23,450    139,710
BOISE CASCADE                  COMMON  097383103        199             7,700     X       123           2,200                 5,500
BOLDER TECHNOLOGIES CORP       COMMON  097519102          8             1,100     X       123           1,100
BONE CARE INTL                 COMMON  098072101          7               300     X       123                                   300
BORDERS GROUP INC              COMMON  099709107      1,058            68,000     X       123          10,700                57,300
BOSTON SCIENTIFIC CORP         COMMON  101137107         18               800     X       123             800
BOWATER INC                    COMMON  102183100      2,449            55,500     X       123          54,400                 1,100
BRADLEES INC WTS               WTS     104499116         19            10,962     X       123          10,962
BRADY CORP CL A                COMMON  104674106         98             3,000     X       123                                 3,000
BRANDYWINE RLTY TRUST          COMMON  105368203      1,308            68,400     X       123          44,700                23,700
BRIGGS & STRATTON              COMMON  109043109         98             2,872     X       123             325                 2,547
BRINKER INTERNATIONAL INC      COMMON  109641100        371            12,700     X       123          12,700
BRISTOL MYRS SQUIBB            COMMON  110122108    117,445         2,016,231     X       123       1,129,010     16,900    870,321
BRITISH TELE FINAL INSTMT ADR  ADR     111021408        172             1,300     X       123           1,000                   300
BROADBAND TECH SUB CONV NTS    CV BND  111309AC4     43,257         2,085,680     X       123       1,736,837    212,753    136,090
BROADCOM CORP CL A             COMMON  111320107     26,196           119,650     X       123          50,000      3,350     66,300
BROADVISION INC                COMMON  111412102        965            19,000     X       123          15,700      2,300      1,000
BROADWING INC                  COMMON  111620100      3,608           139,123     X       123          97,676                41,447
BROCADE COMMUNICATIONS SYSTEM  COMMON  111621108     49,220           268,250     X       123         113,600      9,350    145,300
BUILDERS TRANSPORT SUB ZERO CO CV BND  120084AA6          8           253,855     X       123         183,157     22,541     48,156
BUILDERS TRANSPORT SUB DEB CV  CV BND  120084AB4         11           242,172     X       123         182,569     54,304      5,298
BURLINGTON COAT FACTORY WRHS   COMMON  121579106        223            20,600     X       123           4,300                16,300
BURLINGTON INDS INC            COMMON  121693105         53            31,400     X       123           8,300                23,100
BURLINGTON NORTHN SANTA FE     COMMON  12189T104      4,383           191,105     X       123         144,550                46,555
BURLINGTON RESOURCES INC       COMMON  122014103      3,827           100,047     X       123          66,300                33,747
INVESTMENT DISCRETION  A = SOLE
                       B = SHARED-AS DEFINED IN INSTR Y
                       C = SHARED-OTHER
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
PG 5        FORM 13F      NAME OF REPORTING MANAGER  LOOMIS SAYLES & CO., INC     06/30/00
                                                                                                          VOTING AUTHORITY (SHARES)
           ITEM 1              ITEM 2    ITEM 3    ITEM 4     ITEM 5     ITEM 6     ITEM 7                   ITEM 8
                                                                    INVEST DISCRETION
        NAME OF ISSUER         CLASS     CUSIP     MKT VAL            SHARES A   B   C   MANAGERS    (A)SOLE   (B)SHARED    (C)NONE
                                                    (000)                                           ---------  ---------    -------
<S>                            <C>     <C>         <C>        <C>  <C>       <C> <C> <C> <C>        <C>        <C>          <C>
BURNS INTERNATIONAL SERVICES   COMMON  122374101    11,850           948,000     X       123          788,300     22,700    137,000
BURR BROWN CORP                COMMON  122574106     1,266            14,600     X       123           11,600                 3,000
C&D TECHNOLOGIES INC           COMMON  124661109    10,656           188,600     X       123           83,600     38,700     66,300
CBRL GROUP INC                 COMMON  12489V106       639            43,500     X       123                                 43,500
C.COR.NET CORP                 COMMON  125010108     4,671           173,000     X       123          143,600      4,000     25,400
C-CUBE MICROSYSTEMS INC        COMMON  125015107       360             5,400     X       123              300                 5,100
C-CUBE MICROSYSTEMS INC NEW    COMMON  12501N108     5,530           281,800     X       123          224,900      7,600     49,300
CDW COMPUTER CENTERS INC       COMMON  125129106     1,612            25,800     X       123           23,200      2,600
CEC ENTERTAINMENT INC          COMMON  125137109     1,304            50,900     X       123           39,250                11,650
CGM CAP DEV FD                 MUT FND 125322107       742            28,557     X       123            3,892                24,665
CGM REALTY FUND                MUT FND 125325407       211            16,684     X       123                                 16,684
C.H. ROBINSON WORLDWIDE        COMMON  12541W100        10               200     X       123                                    200
CIGNA CORP                     COMMON  125509109    42,607           455,695     X       123          309,820        800    145,075
CIT GROUP INC CL A             COMMON  125577106    19,295         1,187,400     X       123          386,607               800,793
CMG INFORMATION SERVICES INC   COMMON  125750109       366             8,000     X       123            8,000
CML GRP INC EURO CONV 144A     CV BND  125820AB6         5           316,051     X       123          285,183     28,939      1,929
CMS ENERGY CORP                COMMON  125896100       108             4,900     X       123            1,425                 3,475
CNA SURETY CORP                COMMON  12612L108     3,474           291,000     X       123          254,200      7,000     29,800
CNF TRANSPORTATION INC         COMMON  12612W104    19,421           853,680     X       123          572,930     24,400    256,350
C P & L ENERGY INC             COMMON  12614C106        67             2,087     X       123                                  2,087
CSG SYSTEMS INTL INC           COMMON  126349109     2,663            47,500     X       123           42,500      5,000
CSX CORP                       COMMON  126408103       179             8,449     X       123            5,300                 3,149
CTS CORP                       COMMON  126501105    12,348           274,400     X       123          219,100      7,000     48,300
CUNO INC                       COMMON  126583103    11,618           502,400     X       123          408,900     12,100     81,400
CVS CORP                       COMMON  126650100    32,032           800,800     X       123          540,100               260,700
CABLETRON SYS                  COMMON  126920107       139             5,500     X       123                                  5,500
CABOT OIL & GAS -CL A          COMMON  127097103        13               600     X       123              600
CABOT MICROELECTRONICS CORP    COMMON  12709P103     7,997           174,800     X       123          143,400      4,600     26,800
CADENCE DESIGN SYS INC         COMMON  127387108     4,192           205,750     X       123          149,000                56,750
CALDWELL & ORKIN MKT OPP FD    MUT FND 128819307       139             6,980     X       123                                  6,980
CALIPER TECHNOLOGIES CORP      COMMON  130876105       741            16,100     X       123            6,800                 9,300
CALPINE CORP                   COMMON  131347106    31,895           485,100     X       123          314,500      7,600    163,000
CAMBREX CORP                   COMMON  132011107     6,530           145,100     X       123          108,200      5,700     31,200
CAMDEN PPTY TR CONV PFD $2.25  CV PFD  133131201     1,130            35,959     X       123           30,954                 5,005
CAMPBELL SOUP                  COMMON  134429109        47             1,600     X       123            1,600
CANADIAN NATIONAL RAILWAY CO   COMMON  136375102        30             1,024     X       123               16                 1,008
CAPITAL AUTOMOTIVE REIT        COMMON  139733109       936            66,300     X       123           43,600                22,700
CAPITAL ONE FINL CORP          COMMON  14040H105     1,560            34,958     X       123           29,858                 5,100
AMERICAN FDS CAPITAL WORLD GRW MUT FND 140543109       142             4,683     X       123            4,683
CAPSTONE TURBINE CORP          COMMON  14067D102     8,427           187,000     X       123           80,400     37,100     69,500
CARAUSTAR INDS INC             COMMON  140909102       201            13,300     X       123           13,300
CARDINAL HEALTH INC            COMMON  14149Y108    43,375           586,150     X       123          461,850      1,650    122,650
CARLISLE COS INC               COMMON  142339100       189             4,200     X       123                                  4,200
CARNIVAL CORP CL A             COMMON  143658102     9,140           468,700     X       123          305,280      1,600    161,820
CARPENTER TECHNOLOGY CORP      COMMON  144285103         3               150     X       123              150
CARTER WALLACE INC             COMMON  146285101       217            10,800     X       123                                 10,800
CARTER WALLACE INC CL B        COMMON  146285200       235            13,800     X       123                                 13,800
CASEYS GENERAL STORES INC      COMMON  147528103     4,320           416,400     X       123          294,700     23,000     98,700
CATERPILLAR                    COMMON  149123101     4,300           126,943     X       123           27,225                99,718
CELERITEK INC                  COMMON  150926103    18,901           463,106     X       123          434,856                28,250
CENDANT CORP                   COMMON  151313103       517            36,962     X       123            1,400                35,562
CENTOCOR INC SUB DEB CONV      CV BND  152342AE1    14,613           219,748     X       123          167,982     28,420     23,345
CENTURA BANKS                  COMMON  15640T100         3               100     X       123              100
CENTURY TELEPHONE ENTERPRISE   COMMON  156700106    62,985         2,190,771     X       123        1,523,995               666,776
CERIDIAN CORP                  COMMON  15677T106    12,004           498,850     X       123          381,200     27,200     90,450
INVESTMENT DISCRETION  A = SOLE
                       B = SHARED-AS DEFINED IN INSTR Y
                       C = SHARED-OTHER
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
PG 6        FORM 13F      NAME OF REPORTING MANAGER  LOOMIS SAYLES & CO., INC     06/30/00
                                                                                                           VOTING AUTHORITY (SHARES)
            ITEM 1              ITEM 2     ITEM 3     ITEM 4    ITEM 5     ITEM 6     ITEM 7                 ITEM 8
                                                                  INVEST DISCRETION
         NAME OF ISSUER         CLASS      CUSIP      MKT VAL       SHARES  A  B   C    MANAGERS (A)SOLE    (B)SHARED    (C)NONE
                                                       (000)                                     ---------  ---------   ---------
<S>                            <C>      <C>          <C>         <C>       <C> <C> <C>  <C>      <C>        <C>         <C>
CERPROBE CORP                  COMMON   156787103      5,694       406,700     X         123        310,500     20,500     75,700
CHALONE WINE GROUP LTD         COMMON   157639105          1           100     X         123            100
CHARLES RIVER ASSOCIATES INC   COMMON   159852102        444        25,200     X         123         25,200
CHARTER ONE FIN INC            COMMON   160903100      3,751       163,089     X         123         94,960      2,646     65,483
CHARMING SHOPPES               COMMON   161133103      4,887       959,400     X         123        787,200     23,000    149,200
CHARTER COMMUNICATIONS INC A   COMMON   16117M107         26         1,600     X         123            550        550        500
CHARTERED SEMICONDUCTOR ADR    ADR      16133R106        144         1,600     X         123                     1,600
CHASE MANHATTAN CORP           COMMON   16161A108    134,142     2,912,173     X         123      1,707,374     12,902  1,191,898
CHEAP TICKETS INC              COMMON   162672109        569        47,400     X         123         38,600                 8,800
CHEESECAKE FACTORY             COMMON   163072101         21           750     X         123                                  750
CHEMED CORP                    COMMON   163596109         28         1,000     X         123                                1,000
CHESAPEAKE CORP                COMMON   165159104      3,833       129,400     X         123        103,200      2,600     23,600
CHESAPEAKE ENERGY CORP         COMMON   165167107     21,623     2,790,100     X         123      2,387,650    150,225    252,225
CHESAPEAKE ENERGY CONV PFD 7%  CV PFD   165167305     37,606     4,227,312     X         123      3,561,129    176,258    489,925
CHEVRON CORP                   COMMON   166751107     28,522       336,294     X         123        219,073               117,221
CHIQUITA BRANDS CONV PFD       CV PFD   170032403         84        15,790     X         123         11,842                 3,947
CHITTENDEN CORP                COMMON   170228100        782        32,000     X         123         27,600                 4,400
CHOICEPOINT INC                COMMON   170388102      9,981       224,300     X         123         99,200     45,800     79,300
CHUBB CORP                     COMMON   171232101     35,937       584,334     X         123        379,470      1,000    203,864
CIBER INC                      COMMON   17163B102        403        30,400     X         123         30,400
CIENA CORP                     COMMON   171779101      8,401        50,400     X         123         25,900      3,900     20,600
CINCINNATI FINANCIAL CORP      COMMON   172062101         47         1,500     X         123          1,500
CIRCUIT CITY STORES-CIRCUIT GP COMMON   172737108      1,961        59,100     X         123         55,800                 3,300
CIRRUS LOGIC INC SUB CONV 144A CV BND   172755AA8      1,495        69,161     X         123         42,322                26,838
CIRRUS LOGIC INC SUB NTS       CV BND   172755AC4     73,674     3,407,870     X         123      2,865,526    476,900     65,445
CISCO SYSTEMS INC              COMMON   17275R102    162,719     2,559,987     X         123      1,014,026     58,625  1,487,336
CINTAS CORP                    COMMON   172908105      1,998        54,450     X         123         54,450
CITIGROUP INC                  COMMON   172967101    263,555     4,374,363     X         123      2,383,773     39,450  1,951,140
CITIZENS BANKING COR MICH      COMMON   174420109        125         7,715     X         123             11                 7,704
CITIZENS COMMUNICATIONS CO     COMMON   17453B101         50         2,910     X         123                                2,910
CITY NATIONAL CORP             COMMON   178566105     11,673       335,900     X         123        270,900      6,700     58,300
CLARENT CORP                   COMMON   180461105      1,587        22,200     X         123         19,900      2,300
CLAYTON HOMES INC              COMMON   184190106          5           650     X         123             25                   625
CLEAR CHANNEL COMMUNICATIONS   COMMON   184502102        938        12,500     X         123          6,100                 6,400
CLOROX CO                      COMMON   189054109         36           800     X         123            300                   500
COASTAL CORP                   COMMON   190441105     90,060     1,479,433     X         123        861,085      3,100    615,248
COCA-COLA                      COMMON   191216100     16,198       282,007     X         123         89,150               192,857
COCA-COLA ENTERPRISES          COMMON   191219104          8           500     X         123            500
COGNOS INC                     COMMON   19244C109      6,041       146,000     X         123        114,600                31,400
COLGATE PALMOLIVE              COMMON   194162103      7,827       130,720     X         123         66,758                63,962
COLONIAL BANCGROUP INC         COMMON   195493309      6,245       693,900     X         123        516,600     17,400    159,900
COLTEC CAP TR CONV PFD 5.25%   CV PFD   196878409     18,566       444,741     X         123        415,608      6,686     22,447
COLUMBIA ENERGY GROUP          COMMON   197648108     71,173     1,084,533     X         123        574,010      2,400    508,123
COMAIR HLDGS INC               COMMON   199789108        277        11,800     X         123                               11,800
COMCAST CORP CL A              COMMON   200300101      1,738        44,700     X         123         11,900                32,800
COMCAST CORP CL A SPL          COMMON   200300200      4,775       117,890     X         123         30,600                87,290
COMERICA INC                   COMMON   200340107     47,031     1,048,050     X         123        474,255               573,795
COMMERCE BANCORP INC N J       COMMON   200519106     13,246       287,955     X         123        233,915      5,695     48,345
COMMERCIAL FEDERAL CORP        COMMON   201647104      8,887       571,073     X         123        444,898     12,200    113,975
COMMSCOPE INC                  COMMON   203372107     11,960       291,700     X         123        251,800                39,900
COMMUNITY FIRST BANKSHARES     COMMON   203902101        483        29,600     X         123         22,300                 7,300
COMPAQ COMPUTER                COMMON   204493100    130,921     5,121,607     X         123      3,280,150     43,725  1,797,732
COMPLETE BUSINESS SOLUTIONS    COMMON   20452F107     10,758       612,550     X         123        489,300     12,700    110,550
COMPUCOM SYSTEMS INC           COMMON   204780100          2         1,000     X         123                                1,000
COMPUCREDIT CORP               COMMON   20478N100         15           500     X         123                                  500
INVESTMENT DISCRETION  A = SOLE
                       B = SHARED-AS DEFINED IN INSTR Y
                       C = SHARED-OTHER
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
PG 7        FORM 13F      NAME OF REPORTING MANAGER  LOOMIS SAYLES & CO., INC     06/30/00
                                                                                                      VOTING AUTHORITY (SHARES)
           ITEM 1              ITEM 2     ITEM 3    ITEM 4   ITEM 5     ITEM 6     ITEM 7                   ITEM 8
                                                                      INVEST DISCRETION
        NAME OF ISSUER         CLASS      CUSIP     MKT VAL          SHARES A  B  C  MANAGERS     (A)SOLE    (B)SHARED    (C)NONE
                                                     (000)                                        ---------  ---------   ---------
<S>                            <C>      <C>         <C>      <C>  <C>          <C>   <C>          <C>        <C>         <C>
COMPUTER ASSOCIATES INTL       COMMON   204912109    47,964         937,031    X     123            640,639      1,300     295,092
COMPUSA INC                    COMMON   204932107       175          17,400    X     123              4,400                 13,000
COMPUTER SCIENCE CORP          COMMON   205363104    49,635         664,565    X     123            429,345      1,000     234,220
COMPUTERIZED THERMAL IMAGING   COMMON   20557C108        22           3,000    X     123                                     3,000
COMPUWARE CORP                 COMMON   205638109     8,134         783,960    X     123            496,500      1,000     286,460
COMVERSE TECHNOLOGY INC        COMMON   205862402     2,548          27,400    X     123             16,900      1,800       8,700
CONAGRA INC                    COMMON   205887102       368          19,300    X     123             11,400                  7,900
CONCORD EFS INC                COMMON   206197105     8,818         339,150    X     123            165,850        200     173,100
CONECTIV INC                   COMMON   206829103        32           2,040    X     123                                     2,040
CONEXANT SYSTEMS INC           COMMON   207142100     4,329          89,030    X     123             50,600                 38,430
CONEXANT SYSTEMS CVT SUB NTS   CV BND   207142AF7     1,957          23,148    X     123             17,361      3,935       1,852
CONMED CORP                    COMMON   207410101    15,315         591,900    X     123            483,275     14,200      94,425
CONOCO INC CL A                COMMON   208251306    63,274       2,876,099    X     123          1,382,910      3,100   1,490,089
CONOCO INC CL B                COMMON   208251405    14,760         600,912    X     123            327,965      2,114     270,834
CONSECO INC                    COMMON   208464107       503          51,600    X     123             51,600
CONSOLIDATED EDISON INC        COMMON   209115104       545          18,380    X     123              5,450                 12,930
CONSOLIDATED STORES            COMMON   210149100        88           7,300    X     123              7,300
CONSTELLATION ENERGY GROUP     COMMON   210371100    20,844         640,127    X     123            416,940      1,000     222,187
CONTINENTAL AIRLINES CL B      COMMON   210795308        14             300    X     123                300
CONVERGYS CORP                 COMMON   212485106     4,108          79,200    X     123             55,100                 24,100
COOPER CAMERON CORP            COMMON   216640102     6,890         104,400    X     123             38,400                 66,000
COOPER INDS INC                COMMON   216669101        13             400    X     123                400
COORS (ADOLPH) CL B            COMMON   217016104     3,548          58,640    X     123             51,600                  7,040
COORSTEK INC                   COMMON   217020106     4,472          97,225    X     123             77,400      5,300      14,525
COPPER MOUNTAIN NETWORKS       COMMON   217510106       106           1,200    X     123                         1,200
COR THERAPEUTICS INC           COMMON   217753102     1,578          18,500    X     123             16,600      1,900
CORN PRODUCTS INTERNATIONAL    COMMON   219023108    17,820         672,446    X     123            529,446     17,000     126,000
CORNING INC                    COMMON   219350105    71,378         264,484    X     123             97,150      6,825     160,509
CORORATE EXECUTIVE BOARD CO    COMMON   21988R102    12,624         210,831    X     123             89,231     39,800      81,800
COST PLUS INC CALIFORNIA       COMMON   221485105    25,408         885,666    X     123            827,966                 57,700
COSTCO WHOLESALE CORP          COMMON   22160K105     3,544         107,400    X     123             10,800                 96,600
COUNTRYWIDE CR INDS INC        COMMON   222372104    16,446         542,550    X     123            497,650     31,200      13,700
COVANCE INC                    COMMON   222816100       469          53,200    X     123             53,100                    100
COX COMMUNICATIONS INC -CL A   COMMON   224044107       223           4,894    X     123              4,894
CRANE CO                       COMMON   224399105     4,083         167,950    X     123            144,950                 23,000
CRAY RESEARCH SUB DEB CONV     CV BND   225224AA2    10,163         215,367    X     123            182,904     19,873      12,590
CREDENCE SYSTEMS CORP          COMMON   225302108    21,700         393,210    X     123            192,010     76,600     124,600
CREE INC                       COMMON   225447101    44,291         331,768    X     123            222,968     40,700      68,100
CROMPTON CORP                  COMMON   227116100       220          18,000    X     123             17,750                    250
CROSS TIMBERS OIL CO           COMMON   227573102     1,049          47,400    X     123             31,400                 16,000
CURAGEN CORP                   COMMON   23126R101     9,184         241,300    X     123            107,100     49,300      84,900
CYBEX COMPUTER PRODUCTS CORP   COMMON   232522102    13,560         320,000    X     123            300,500                 19,500
CYPRESS SEMICONDUCTOR          COMMON   232806109    48,478       1,147,415    X     123            865,075      1,200     281,140
CYPRESS SEMICONDUCTOR SUB CONV CV BND   232806AE9     5,376          97,297    X     123             91,892      5,405
CYTEC INDS                     COMMON   232820100     8,655         350,566    X     123            285,800      8,000      56,766
CYTOGEN CORP                   COMMON   232824102       292          28,800    X     123             28,800
CYTYC CORP                     COMMON   232946103    40,833         765,012    X     123            715,412                 49,600
DQE INC                        COMMON   23329J104     7,791         197,250    X     123            100,950        150      96,150
D.R. HORTON INC                COMMON   23331A109     9,222         680,000    X     123            562,700     17,200     100,100
DSP GROUP INC                  COMMON   23332B106     9,038         161,400    X     123            131,800      6,100      23,500
DTE ENERGY CO                  COMMON   233331107        46           1,500    X     123              1,500
DVI INC                        COMMON   233343102       450          28,100    X     123             21,000                  7,100
DAILY MAIL & GENERAL TST NV    COMMON   2338099A2        52           3,000    X     123                                     3,000
DAISYTEK INTL CORP             COMMON   234053106       462          49,000    X     123             32,600                 16,400
DALLAS SEMICONDUCTOR CORP      COMMON   235204104    15,175         372,400    X     123            302,000      7,700      62,700
INVESTMENT DISCRETION  A = SOLE
                       B = SHARED-AS DEFINED IN INSTR Y
                       C = SHARED-OTHER
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
PG 8        FORM 13F      NAME OF REPORTING MANAGER  LOOMIS SAYLES & CO., INC     06/30/00
                                                                                                     VOTING AUTHORITY (SHARES)
           ITEM 1              ITEM 2     ITEM 3    ITEM 4   ITEM 5     ITEM 6     ITEM 7                 ITEM 8
                                                                   INVEST DISCRETION
        NAME OF ISSUER         CLASS      CUSIP     MKT VAL          SHARES A B C MANAGERS     (A)SOLE    (B)SHARED    (C)NONE
                                                     (000)                                     ---------  ---------   ---------
<S>                            <C>      <C>         <C>      <C>  <C>         <C> <C>          <C>        <C>         <C>
DANA CORP                      COMMON   235811106     8,203         387,165   X   123            213,100                174,065
DANAHER CORP                   COMMON   235851102     1,676          33,906   X   123             11,245                 22,661
DANKA BUSINESS SYS CVT SUB NTS CV BND   236277AB5     1,360          68,668   X   123             42,918      9,785      15,965
DARDEN RESTAURANTS INC         COMMON   237194105       320          19,700   X   123              4,300                 15,400
DAVIS NY VENTURE FUND B        MUT FND  239080203         8             254   X   123                254
DAVOX CORP                     COMMON   239208101     5,194         401,500   X   123            332,500      8,900      60,100
DEAN FOODS                     COMMON   242361103        89           2,800   X   123                                     2,800
DECORA INDS INC                COMMON   243593308                       300   X   123                                       300
DEERE & CO                     COMMON   244199105     8,301         224,350   X   123            155,790                 68,560
DELAWARE GRP TAX FREE USA FD   MUT FND  245909106        45           4,202   X   123                                     4,202
DELHAIZE AMERICA INC           COMMON   246688105                             X   123
DELL COMPUTER                  COMMON   247025109    69,735       1,414,150   X   123            640,700     27,650     745,800
DELPHI AUTO SYSTEMS            COMMON   247126105     3,797         260,748   X   123            171,359                 89,389
DELTA AIRLINES                 COMMON   247361108        71           1,400   X   123              1,400
DELUXE CORP                    COMMON   248019101     7,392         313,700   X   123            275,400      3,900      34,400
DENTSPLY INTERNATIONAL INC     COMMON   249030107       148           4,800   X   123                                     4,800
DEVELOPERS DIVERS REALTY       COMMON   251591103     9,158         613,100   X   123            376,150      6,450     230,500
DEVON ENERGY CORP              COMMON   25179M103     2,381          42,380   X   123             31,400                 10,980
DEVRY INC                      COMMON   251893103    21,262         804,250   X   123            397,150    154,850     252,250
DEXTER CORP                    COMMON   252165105     5,698         118,700   X   123             92,500      2,600      23,600
DIAL CORP NEW                  COMMON   25247D101       110          10,600   X   123                                    10,600
DIAMOND OFFSHORE DRILLING      COMMON   25271C102       155           4,400   X   123              1,400                  3,000
DIAMOND OFFSHORE SUB CNV NTS   CV BND   25271CAA0    17,975         427,789   X   123            411,739                 16,050
DIAMOND TECH PARTNERS INC      COMMON   252762109     8,114          92,200   X   123             65,300     26,900
DIEBOLD INC                    COMMON   253651103    12,022         431,300   X   123            347,400      7,500      76,400
DIGITAL LIGHTWAVE INC          COMMON   253855100    36,611         364,063   X   123            159,063     74,300     130,700
DIGITAL INSIGHT                COMMON   25385P106    17,797         523,433   X   123            385,108     42,150      96,175
DIME BANCORP                   COMMON   25429Q102     1,238          78,600   X   123             78,600
DIONEX CORP                    COMMON   254546104     7,083         264,800   X   123            216,200      7,200      41,400
THE WALT DISNEY CO             COMMON   254687106   111,512       2,873,089   X   123          1,431,047     31,525   1,410,517
DITEC COMMUNICATIONS           COMMON   25500M103    45,069         476,606   X   123            355,106     37,100      84,400
DIXIE GROUP INC SUB DEB CONV   CV BND   255519AA8     1,612          78,230   X   123             61,087      6,429      10,714
DOCUMENTUM INC                 COMMON   256159104    54,027         604,500   X   123            572,600                 31,900
DOMINION RESOURCES BLACK WARRI COMMON   25746Q108       112           8,000   X   123                                     8,000
DOMINION RES INC VA            COMMON   25746U109     1,581          36,873   X   123             22,248                 14,625
DONNELLEY RR&SONS              COMMON   257867101       763          33,808   X   123              4,500                 29,308
DOUBLECLICK INC                COMMON   258609304        51           1,350   X   123                                     1,350
DOVER CORP                     COMMON   260003108     2,827          69,700   X   123             33,300                 36,400
DOW CHEMICAL                   COMMON   260543103    33,501       1,109,752   X   123            630,765      9,150     469,837
DOW JONES & CO INC             COMMON   260561105        59             800   X   123                                       800
DSL.NET INC                    COMMON   262506108       162          15,700   X   123             15,700
DUPONT E I                     COMMON   263534109    15,438         352,858   X   123            183,784     15,600     153,474
DUKE ENERGY CORP               COMMON   264399106     1,588          28,162   X   123             16,400                 11,762
DUN & BRADSTREET               COMMON   26483B106    42,886       1,498,200   X   123            797,050      1,300     699,850
DUNES HOTELS & CASINOS INC     COMMON   265440107                        25   X   123                                        25
DURA AUTOMOTIVE SYSTEMS INC    COMMON   265903104         3             320   X   123                                       320
DUPONT PHOTOMASKS INC          COMMON   26613X101    14,484         211,440   X   123            169,500      5,200      36,740
DURA PHARNACEUTICALS INC       COMMON   26632S109       198          13,800   X   123              7,800                  6,000
DURA PHARMACEUTICALS CVT NTS   CV BND   26632SAA7   109,693       2,674,516   X   123          2,257,195    338,027      79,293
DYNEGY INC                     COMMON   26816Q101     2,002          29,305   X   123             20,605                  8,700
ECI TELECOM                    COMMON   268258100     1,301          36,400   X   123             36,400
EMC CORP                       COMMON   268648102   198,923       2,585,508   X   123          1,264,750     51,300   1,269,458
ENSCO INTL INC                 COMMON   26874Q100     5,458         152,400   X   123            125,100      6,900      20,400
EOG RESOURCES INC              COMMON   26875P101     1,873          55,900   X   123             34,100                 21,800
EVI INC CONV PFD 5%            CV PFD   268939402    36,860         500,812   X   123            463,312      6,250      31,250
INVESTMENT DISCRETION  A = SOLE
                       B = SHARED-AS DEFINED IN INSTR Y
                       C = SHARED-OTHER
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
PG 9        FORM 13F      NAME OF REPORTING MANAGER  LOOMIS SAYLES & CO., INC     06/30/00
                                                                                                       VOTING AUTHORITY (SHARES)
           ITEM 1              ITEM 2     ITEM 3      ITEM 4     ITEM 5     ITEM 6     ITEM 7              ITEM 8
                                                                       INVEST DISCRETION
        NAME OF ISSUER         CLASS      CUSIP       MKT VAL            SHARES A B C MANAGERS  (A)SOLE    (B)SHARED    (C)NONE
                                                       (000)                                    ---------  ---------   ---------
<S>                            <C>      <C>           <C>        <C>  <C>         <C> <C>       <C>        <C>         <C>
ESCO ELECTRONICS               COMMON   269030102           2               144   X   123                                    144
ETEC SYSTEMS INC               COMMON   26922C103         548             4,400   X   123           4,400
EARTHGRAINS CO                 COMMON   270319106         508            26,144   X   123          19,100                  7,044
EASTMAN CHEMICAL CO            COMMON   277432100          22               462   X   123             200                    262
EASTMAN KODAK                  COMMON   277461109       3,507            58,946   X   123          32,446                 26,500
EATON CORP                     COMMON   278058102      70,334         1,049,759   X   123         555,711      1,100     492,948
ECOLAB INC                     COMMON   278865100         421            10,784   X   123                                 10,784
ECONNECT INC                   COMMON   27889S107           2             3,800   X   123                                  3,800
EDISON INTERNATIONAL           COMMON   281020107       5,377           262,300   X   123         105,190                157,110
EDO CORP SUB DEB CONV          CV BND   281347AB0      16,354           991,192   X   123         870,736     61,364      59,092
J D EDWARDS & CO               COMMON   281667105         715            47,500   X   123          41,300                  6,200
EDWARDS LIFESCIENCES CORP      COMMON   28176E108         826            44,631   X   123          16,556                 28,075
EINSTEIN/NOAH BAGEL SUB DEB CV CV BND   282577AC9      18,478         1,890,352   X   123       1,622,117    194,118      74,118
EL PASO ENERGY CORP            COMMON   283905107      34,042           668,311   X   123         449,009      2,300     217,002
ELAN CORP PLC SPONS ADR        ADR      284131208         839            17,326   X   123                                 17,326
ELECTRIC FUEL CORP             COMMON   284871100          23             1,500   X   123           1,500
ELECTRONIC DATA SYSTEMS CORP   COMMON   285661104       3,714            90,025   X   123          89,800                    225
EMBRATEL PARTICIPACOES ADR     ADR      29081N100          94             4,000   X   123                      4,000
EMCORE CORP                    COMMON   290846104      21,528           179,400   X   123          79,650     36,600      63,150
EMERGE INTERACTIVE INC CL A    COMMON   29088W103                            10   X   123              10
EMERSON ELEC                   COMMON   291011104      60,014           994,018   X   123         534,525      1,100     458,393
EMMIS BROADCASTING CORP CL A   COMMON   291525103      35,444           856,652   X   123         805,152                 51,500
EMPRESAS ICA SOC SUB DEB CONV  CV BND   292448AC1      33,448         2,018,015   X   123       1,708,813    159,729     149,473
ENDOSONICS CORP                COMMON   29264K105       7,656         1,361,100   X   123       1,125,900     31,400     203,800
ENERGY FACTORS SUB DEB CONV    CV BND   292667AB8          42             2,020   X   123                                  2,020
ENERGY EAST CORP               COMMON   29266M109       3,996           209,600   X   123         173,400                 36,200
ENERGIZER HOLDINGS INC         COMMON   29266R108           3               166   X   123             166
ENGLEHARD CORP                 COMMON   292845104          78             4,596   X   123                                  4,596
ENNIS BUSINESS FORM            COMMON   293389102         461            57,600   X   123          46,300                 11,300
ENRON CORP                     COMMON   293561106      55,615           862,250   X   123         394,550     18,700     449,000
ENTERCOM COMMUNICATIONS CORP   COMMON   293639100       1,414            29,000   X   123          29,000
ENTERGY CORP NEW               COMMON   29364G103         111             4,100   X   123           1,000                  3,100
EQUIFAX INC                    COMMON   294429105         539            20,550   X   123           9,400                 11,150
EQUITY OFFICE PROPERTIES TR    COMMON   294741103       2,332            84,600   X   123          58,100                 26,500
EQUITY RESIDENTIAL PROPS TR    COMMON   29476L107          74             1,600   X   123           1,100                    500
EQUITY RESIDTL CVT PFD G 7.25% CV PFD   29476L859       8,911           169,034   X   123         136,896     28,297       3,841
LM ERICSSON                    ADR      294821400          60             3,000   X   123             400                  2,600
ESPEED INC CL A                COMMON   296643109         408             9,400   X   123           9,400
ETHYL CORP                     COMMON   297659104         375           150,000   X   123                                150,000
ALCATEL                        COMMON   2980001A8         310             4,700   X   123                      3,500       1,200
ARM HOLDINGS PLC               COMMON   2980001B6         123            11,500   X   123                     11,500
ASM LITHOGRAPHY HLDG           COMMON   2980001C4         193             4,380   X   123                      4,380
AXA                            COMMON   2980001D2         111               700   X   123                                    700
COMPTEL OYJ                    COMMON   2980001P5         172             8,500   X   123                      8,500
DATACRAFT ASIA LTD             COMMON   2980001T7         146            16,640   X   123                     16,640
ERICSSON LM B SHS              COMMON   2980002B5         286            14,400   X   123                      8,800       5,600
FAST RETAILING CO LTD          COMMON   2980002D1          84               200   X   123                                    200
FUNAI ELECTRI CO LTD           COMMON   2980002J8         100               600   X   123                        600
TREND MICRO INC                COMMON   2980004B3         248             1,500   X   123                      1,000         500
NOKIA OYJ                      COMMON   29849EUR2         257             5,020   X   123                      2,720       2,300
LOXLEY PUBLIC CO EURO CONV     CV BND   2987009J6      19,829         3,738,733   X   123       3,483,623     18,667     236,444
BANPU PUBLIC CO EURO CONV      CV BND   2987009M9      14,455           469,930   X   123         383,835      7,891      78,205
TOTAL ACCESS COMMUN EURO CONV  CV BND   2987009U1       3,865           300,476   X   123         186,190     73,810      40,476
SSANGYONG OIL REFNG SUB CONV   CV BND   2987010A2      10,633         2,433,704   X   123       1,959,078    180,956     293,670
THERMO TERRATECH EURO CONV     CV BND   2987010H7      13,833         1,011,634   X   123         964,464                 47,170
INVESTMENT DISCRETION  A = SOLE
                       B = SHARED-AS DEFINED IN INSTR Y
                       C = SHARED-OTHER
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
PG 10        FORM 13F      NAME OF REPORTING MANAGER  LOOMIS SAYLES & CO., INC     06/30/00
                                                                                                     VOTING AUTHORITY (SHARES)
           ITEM 1              ITEM 2     ITEM 3   ITEM 4     ITEM 5     ITEM 6     ITEM 7                 ITEM 8
                                                                    INVEST DISCRETION
        NAME OF ISSUER         CLASS      CUSIP    MKT VAL            SHARES A B C MANAGERS     (A)SOLE    (B)SHARED    (C)NONE
                                                    (000)                                       ---------  ---------   ---------
<S>                            <C>      <C>        <C>        <C> <C>          <C> <C>         <C>         <C>         <C>
SAMSUNG DISPLAY DEVICES CONV   CV BND   2987010Z7    4,028           350,658   X   123            315,391                 35,267
BURNS PHILP EURO CONV          CV BND   2987020Q5   18,580         9,782,528   X   123          9,202,325     45,806     534,398
SIAM COMMERCIAL BK EURO CONV   CV BND   2987020R3    8,259         1,878,728   X   123          1,506,640    142,891     229,197
FEDERAL RLTY INVS TR CONV EURO CV BND   2987021Q4   22,012         3,554,838   X   123          3,415,950                138,888
FMC CORP EURO CONV             CV BND   2987021Z4    4,880         1,876,030   X   123          1,876,030
MBI FINANCE LTD EURO CONV      CV BND   2987022N0    7,690         2,310,061   X   123          2,310,061
CML GROUP CONV EURO            CV BND   2987023T6        9           565,787   X   123            479,933     56,914      28,940
SAPPI FINANCE EURO CONV        CV BND   2987024I9    6,022         1,378,865   X   123          1,378,865
FLI CAPITAL C I REG EURO CONV  CV BND   2987027A3    6,808        14,031,431   X   123         14,031,431
BANGKOK BANK PUB EURO CONV     CV BND   2987027D7   65,204        13,494,788   X   123         11,518,553    849,627   1,126,608
OGDEN SUB DEB CONV EURO        CV BND   298703018   24,774           750,727   X   123            734,089                 16,638
OGDEN CORP CVT SUB EURO        CV BND   298703026    3,832           122,581   X   123            122,581
SIAM COMMERCIAL BANK FOR REG   COMMON   2987038G7      110           197,000   X   123            197,000
SAMSUNG ELECTRON EURO CONV     CV BND   2987039B7      382             4,492   X   123              4,492
THERMEDICS INC CONV ZERO CPN   CV BND   2987042N6    1,558            67,165   X   123             56,455                 10,710
TELEKOM MALAYSIA EURO CVT      CV BND   2987043F2    9,592         9,029,546   X   123          8,374,340                655,205
STB CAYMAN CAPITAL LTD CVT     CV BND   2987043P0    5,787     1,478,375,971   X   123      1,478,375,971
APP FIN VII MAURIUS EURO CONV  CV BND   2987043V7   39,675         3,142,338   X   123          2,932,771     26,196     183,371
SIAM COMMERCIAL BANK WTS       WTS      298705146       50           429,000   X   123            150,000    150,000     129,000
SHIRE PHARMACEUTICALS GROUP    COMMON   298705377      156             9,000   X   123                                     9,000
EPCOS AG                       COMMON   298705385      253             2,500   X   123                         1,600         900
BATM ADVANCED COMM             COMMON   2987054C5      131             1,500   X   123                                     1,500
PT INDAH KIAT PULP & PAPER     COMMON   29871A136    2,398        11,823,000   X   123          3,169,000              8,654,000
TOTAL ACCESS COMMUNICATION     COMMON   29871A151    2,074           516,000   X   123            256,000                260,000
SAMSUNG ELECTRON               COMMON   29871A425      530             1,600   X   123                           800         800
DATATEC LIMITED                COMMON   29871A540      173            25,099   X   123                                    25,099
COLT TELECOM GROUP PLC         COMMON   29871A748      120             3,600   X   123                                     3,600
ORIX CORP                      COMMON   29871A771      133               900   X   123                                       900
BMCMEDIA.COM LTD               COMMON   29871A854       64           157,811   X   123                       157,811
NORTEL NETWORKS CORP           COMMON   29871A888      183             2,640   X   123                         2,640
LEGEND HOLDINGS LTD            COMMON   29871A946       77            80,000   X   123                        80,000
PACE MICRO TECHNOLOGY PLC      COMMON   29871A953      211            14,600   X   123                         4,600      10,000
ENEA DATA AB                   COMMON   29871A979       77            11,250   X   123                        11,250
ADVA AG OPTICAL NETWORKING     COMMON   29871A995      285               500   X   123                           250         250
COMMTOUCH SOFTWARE LTD         COMMON   29871B159       65             2,000   X   123                         2,000
CMG PLC                        COMMON   29871B167        3               200   X   123                           200
THERMO ELECTRON EURO CONV REGS CV BND   29871B175      134             3,968   X   123                                     3,968
CELLTECH GROUP PLC             COMMON   29871B522      193            10,000   X   123                        10,000
PSION PLC                      COMMON   29871B555      159            16,500   X   123                        16,500
TELE1 EUROPE HOLDING AB        COMMON   29871B597       86             7,000   X   123                         7,000
OPEN TELECOMMUNICATIONS LTD    COMMON   29871B688       87            85,000   X   123                        85,000
SKANDIA FORSAKRINGS AB         COMMON   29871B746      112             4,200   X   123                                     4,200
NIKON CORP                     COMMON   29871B852      149             4,000   X   123                         4,000
JOHNSON ELECTRIC HLDGS         COMMON   29871B860      161            17,000   X   123                                    17,000
TELEVISION BROADCAST LTD       COMMON   29871B886      120            18,000   X   123                                    18,000
ORBOTECH LTD                   COMMON   29871B993      167             1,800   X   123                         1,800
PRECISION DRILLING CORP        COMMON   29871C140      116             3,000   X   123                                     3,000
TOKYO SEIMITSU CO LTD          COMMON   29871C199      255             1,900   X   123                         1,200         700
PARTHUS TECHNOLOGIES PLC-W/I   COMMON   29871C207      162            57,500   X   123                        57,500
SUZUKEN CO LTD                 COMMON   29871C231       74             1,900   X   123                                     1,900
NIPPON THOMPSON CO LTD         COMMON   29871C249      243            16,000   X   123                        11,000       5,000
MARUWA CO LTD                  COMMON   29871C280      222             5,600   X   123                         3,500       2,100
SANYO ELECTRIC CO LTD          COMMON   29871C322       99            11,000   X   123                                    11,000
MEITEC CORPORATION FIRST SECTI COMMON   29871C330       79             2,000   X   123                                     2,000
ANRITSU CORP                   COMMON   29871C876      144             8,000   X   123                         8,000
INVESTMENT DISCRETION  A = SOLE
                       B = SHARED-AS DEFINED IN INSTR Y
                       C = SHARED-OTHER
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
PG 11        FORM 13F      NAME OF REPORTING MANAGER  LOOMIS SAYLES & CO., INC     06/30/00
                                                                                                          VOTING AUTHORITY (SHARES)
           ITEM 1              ITEM 2     ITEM 3      ITEM 4     ITEM 5     ITEM 6     ITEM 7                 ITEM 8
                                                                       INVEST DISCRETION
        NAME OF ISSUER         CLASS      CUSIP       MKT VAL            SHARES A B C MANAGERS     (A)SOLE    (B)SHARED    (C)NONE
                                                       (000)                                       ---------  ---------   ---------
<S>                            <C>      <C>           <C>        <C>  <C>         <C> <C>          <C>        <C>         <C>
TANAKA CHEMICAL CORP           COMMON   29871C884         145             6,000   X   123                         6,000
KONINKLIJKE KPN NV             COMMON   29871C934         126             2,800   X   123                         2,800
HITACHI AIC INC                COMMON   29899A506         100             8,000   X   123                         8,000
VESTEL ELEKTRONIK SANAYI       COMMON   29899A605          74           245,000   X   123                       245,000
CAPITA GROUP                   COMMON   29899C106         123             5,000   X   123                                     5,000
MARSCHOLLEK LAUTENSCHLAEGER    COMMON   298EUR124         100               200   X   123                                       200
EXAR CORP                      COMMON   300645108      30,637           351,390   X   123            331,040                 20,350
EXELIXIS INC                   COMMON   30161Q104      22,248           666,600   X   123            493,800     54,350     118,450
EXFO ELECTRO OPITCAL ENGINEERI COMMON   302043104       2,611            59,500   X   123             25,550     11,750      22,200
EXIDE CORP 144A CVT SUB NTS P/ CV BND   302051AF4      89,603         2,318,101   X   123          2,088,548    175,599      53,953
EXODUS COMMUNICATIONS INC      COMMON   302088109       2,064            44,800   X   123             43,400                  1,400
EXTREME NETWORKS INC           COMMON   30226D106       1,677            15,900   X   123             14,300      1,600
EXXON MOBIL CORP               COMMON   30231G102     223,945         2,852,802   X   123          1,586,646     19,700   1,246,456
FPA PARAMOUNT FUND             MUT FND  302546106          49             6,783   X   123              6,783
FPA PERENNIAL FUND             MUT FND  302548102         105             5,199   X   123              5,199
FPL GROUP INC                  COMMON   302571104       3,344            67,559   X   123             40,000                 27,559
FAIRCHILD SEMICOLON INTL -A    COMMON   303726103         506            12,500   X   123              1,100                 11,400
FAMILY DOLLAR STORES INC       COMMON   307000109       8,731           446,300   X   123            377,800                 68,500
FARGO ELECTRONICS              COMMON   30744P102          76            21,300   X   123             21,300
FARMER BROS CO                 COMMON   307675108          18               100   X   123                                       100
FEDERAL HM LN MTG              COMMON   313400301      24,798           612,308   X   123            424,327     24,600     163,381
FEDERAL NATL MTG               COMMON   313586109      90,529         1,734,679   X   123            901,100      2,200     831,379
FEDERAL REALTY INVS TRUST      COMMON   313747206          76             3,800   X   123              3,800
FEDERAL SIGNAL CORP            COMMON   313855108         672            40,700   X   123             24,800                 15,900
FEDERATED DEPT STORES          COMMON   31410H101      79,664         2,360,400   X   123          1,375,010      2,100     983,290
FEDERATED INVESTORS INC CL-B   COMMON   314211103      15,210           433,800   X   123            340,400      7,900      85,500
FEDEX CORP                     COMMON   31428X106          35               930   X   123                600                    330
FERRO CORP                     COMMON   315405100      11,951           569,100   X   123            470,400     12,900      85,800
FIDELITY ADVISOR EQUITY GR FD  MUT FND  315805200         395             5,303   X   123              5,303
FIDELITY ADVISOR GROWTH OPP FD MUT FN   315807206                                 X   123
FIDELITY INTL GR & INC FD      MUT FND  315910208          47             1,647   X   123                                     1,647
FIDELITY DIVERSIFIED INTL FD   MUT FND  315910802          49             1,975   X   123                                     1,975
FIDELITY U S EQUITY INDEX      MUT FND  315911206         114             2,217   X   123                                     2,217
FIDELITY SPART TOTAL MKT IDX   MUT FND  315911404       1,291            34,329   X   123              5,890                 28,439
FIDELITY SPART MARKET INDEX    MUT FND  315912204         560             5,597   X   123              3,918                  1,679
FIDELTIY EQUITY INC II FD      MUT FND  316145101          40             1,555   X   123                                     1,555
FIDELITY SELECT DEVEL COMM FD  MUT FND  316390566          99             1,412   X   123                                     1,412
FIDELITY SEL SOFTWARE & CMPTRS MUT FND  316390822          75               820   X   123                                       820
FIDELITY SELECT ELECTRS        MUT FND  316390863         125             1,078   X   123                                     1,078
FIDELITY SELECT COMPUTERS      MUT FND  316390871          83               712   X   123                                       712
FIELDCREST CANNON SUB DEB CONV CV BND   316549AB0       3,287           265,312   X   123            223,617     38,870       2,825
FIFTH THIRD BANCORP            COMMON   316773100       1,963            31,042   X   123                400                 30,642
FILENET CORP                   COMMON   316869106         902            49,100   X   123             41,000                  8,100
FINOVA GROUP INC               COMMON   317928109       9,513           731,781   X   123            244,385                487,396
FINOVA FINANCE 5.5% PFD CVT    CV PFD   31808E207       3,262           173,599   X   123            164,018      9,580
FIRST COMMONWEALTH FINL CORP   COMMON   319829107          34             3,728   X   123                                     3,728
FIRST DATA CORP                COMMON   319963104      97,296         1,960,620   X   123          1,066,860      3,850     889,910
FIRST MIDWEST BANCORP INC      COMMON   320867104      10,135           435,900   X   123            364,600     10,450      60,850
FIRST NATL BANCORP ILL         COMMON   320920101       1,100            16,800   X   123                                    16,800
FST HLTH GRP                   COMMON   320960107         837            25,500   X   123             19,300                  6,200
FIRST SECURITY CORP DEL        COMMON   336294103         176            13,000   X   123                                    13,000
FIRST TENN NATL COR            COMMON   337162101       1,039            62,754   X   123             20,500                 42,254
FIRST TR INSD MUN BDS UT 39S   COMMON   33733W484           1                 5   X   123                                         5
FIRST TR INSD MUN BDS UT 169   MUT FND  33734U594          19                20   X   123                 20
FIRST UNION CORP               COMMON   337358105         230             9,255   X   123              7,854                  1,401
INVESTMENT DISCRETION  A = SOLE
                       B = SHARED-AS DEFINED IN INSTR Y
                       C = SHARED-OTHER
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
PG 12        FORM 13F      NAME OF REPORTING MANAGER  LOOMIS SAYLES & CO., INC     06/30/00
                                                                                                          VOTING AUTHORITY (SHARES)
           ITEM 1              ITEM 2     ITEM 3      ITEM 4     ITEM 5     ITEM 6     ITEM 7                 ITEM 8
                                                                       INVEST DISCRETION
        NAME OF ISSUER         CLASS      CUSIP       MKT VAL            SHARES A B C MANAGERS     (A)SOLE    (B)SHARED    (C)NONE
                                                       (000)                                       ---------  ---------   ---------
<S>                            <C>      <C>           <C>        <C>  <C>         <C> <C>          <C>        <C>         <C>
FIRST VIRGINIA BKS             COMMON   337477103          94             2,700   X   123                450                  2,250
FIRSTAR CORP (NEW)             COMMON   33763V109       7,707           365,932   X   123              6,550                359,382
FISERV INC                     COMMON   337738108       6,836           158,055   X   123             56,650                101,405
FIRSTENERGY                    COMMON   337932107           7               300   X   123                                       300
FLEET BOSTON FINL CORP         COMMON   339030108     147,289         4,332,043   X   123          2,515,655      4,184   1,812,204
FLORIDA PROGRESS               COMMON   341109106          23               500   X   123                500
FLUOR CORP                     COMMON   343861100         313             9,900   X   123                                     9,900
FORD MOTOR CO                  COMMON   345370100         771            17,938   X   123              5,500                 12,438
FOREST LABS                    COMMON   345838106         727             7,200   X   123              4,000                  3,200
FORRESTER RESEARCH             COMMON   346563109      28,244           387,900   X   123            165,950     77,000     144,950
FORT JAMES CORP                COMMON   347471104       3,843           166,200   X   123            113,400                 52,800
FOSSIL INC                     COMMON   349882100      13,056           671,700   X   123            550,100     18,300     103,300
FOUNDATION HEALTH SYSTEMS CL A COMMON   350404109         120             9,200   X   123              1,100                  8,100
FOX ENTERTAINMENT GRP          COMMON   35138T107           6               200   X   123                                       200
FRANKLIN (AGE) HI INC CL I     MUT FND  353538101           2               966   X   123                                       966
FRANKLIN RESOURCES             COMMON   354613101          53             1,750   X   123                400                  1,350
FRANKLIN UNIVERSAL TRUST       Closed E 355145103           3               371   X   123                                       371
FRED'S INC                     COMMON   356108100         187            10,400   X   123              5,400                  5,000
FREEMARKETS INC                COMMON   356602102           5               100   X   123                100
FRESENIUS MEDICAL CARE ADR     ADR      358029106          33             1,258   X   123                                     1,258
FRIEDMAN BILLING RAMSEY CL A   COMMON   358433100          28             3,500   X   123              1,500                  2,000
FURNITURE BRANDS INTL INC      COMMON   360921100       2,356           155,800   X   123            144,500                 11,300
GATX CORP                      COMMON   361448103      23,110           679,700   X   123            543,300     14,000     122,400
GSI LUMONICS INC               COMMON   36229U102      31,872           907,400   X   123            852,150                 55,250
GTE CORP                       COMMON   362320103     147,322         2,366,623   X   123          1,245,286      3,300   1,118,037
GABELLI EQUITY TRUST           MUT FND  362397101                            22   X   123                                        22
GABELLI GLOBAL MUTIMEDIA TR    MUT FND  36239Q109                             2   X   123                                         2
GABELLI UTILITY TRUST          Closed E 36240A101                             1   X   123                                         1
GALLAGHER A J                  COMMON   363576109      17,753           422,700   X   123            324,400      8,600      89,700
GANNETT CO                     COMMON   364730101      42,767           715,024   X   123            480,474      7,600     226,950
GAP INC                        COMMON   364760108         459            14,675   X   123              1,500                 13,175
GARDNER DENVER INC             COMMON   365558105       3,940           220,400   X   123            169,200     11,900      39,300
GARTNER GROUP INC CL A         COMMON   366651107          31             2,600   X   123              2,600
GARTNER GROUP INC CL B         COMMON   366651206                            14   X   123                 14
GATEWAY INC                    COMMON   367626108       2,122            37,400   X   123             21,800                 15,600
GAYLORD CONTAINER CORP CL A    COMMON   368145108         158            58,900   X   123             45,100                 13,800
GENCORP INC                    COMMON   368682100          61             7,600   X   123                900                  6,700
GENE LOGIC INC                 COMMON   368689105       5,978           167,500   X   123            157,400                 10,100
GENENTECH INC                  COMMON   368710406       7,611            44,250   X   123             19,500      3,950      20,800
GENERAL COMMUNICATION CL A     COMMON   369385109          77            15,000   X   123                                    15,000
GEN DYNAMICS                   COMMON   369550108       4,102            78,500   X   123             54,200                 24,300
GENERAL ELECTRIC               COMMON   369604103     196,819         3,713,573   X   123          1,682,368     43,136   1,988,069
GEN MILLS                      COMMON   370334104       3,619            94,615   X   123             31,800                 62,815
GENERAL MOTORS CORP            COMMON   370442105      39,019           672,012   X   123            246,123      4,200     421,689
GEN MOTORS CL H                COMMON   370442832      39,707           452,499   X   123            267,532      3,950     181,017
GENESCO INC                    COMMON   371532102       2,981           185,600   X   123            131,300      9,900      44,400
GENTA INC                      COMMON   37245M207           1               100   X   123                                       100
GENUINE PARTS                  COMMON   372460105         128             6,394   X   123                225                  6,169
GENZYME CORP -GENL DIVISION    COMMON   372917104         137             2,300   X   123                                     2,300
GENZYME CORP TISSUE REPAIR     COMMON   372917401                            60   X   123                                        60
GENZYME -MOLECULAR ONCOLOGY    COMMON   372917500           3               248   X   123                                       248
GENZYME SURGICAL PRODUCTS      COMMON   372917609           4               411   X   123                                       411
GEORGIA PAC                    COMMON   373298108      33,987         1,294,744   X   123            725,690      2,300     566,754
GEORGIA-PACIFIC (TIMBER GRP)   COMMON   373298702       6,994           323,435   X   123            138,400                185,035
GIANT CEMENT HLD INC           COMMON   374450104         311            10,100   X   123                                    10,100
INVESTMENT DISCRETION  A = SOLE
                       B = SHARED-AS DEFINED IN INSTR Y
                       C = SHARED-OTHER
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
PG 13        FORM 13F      NAME OF REPORTING MANAGER  LOOMIS SAYLES & CO., INC     06/30/00
                                                                                                          VOTING AUTHORITY (SHARES)
           ITEM 1              ITEM 2     ITEM 3      ITEM 4     ITEM 5     ITEM 6     ITEM 7                 ITEM 8
                                                                       INVEST DISCRETION
        NAME OF ISSUER         CLASS      CUSIP       MKT VAL            SHARES A B C MANAGERS     (A)SOLE    (B)SHARED    (C)NONE
                                                       (000)                                       ---------  ---------   ---------
<S>                            <C>      <C>           <C>        <C>  <C>         <C> <C>          <C>        <C>         <C>
GILEAD SCIENCES INC            COMMON   375558103       1,572            22,100   X   123             21,000                  1,100
GILLETTE CO                    COMMON   375766102       4,671           133,684   X   123             56,538                 77,146
GLAXO WELLCOME PLC ADR         ADR      37733W105       1,422            24,600   X   123             11,900                 12,700
GLOBAL INDUSTRIES LTD          COMMON   379336100         272            14,400   X   123                                    14,400
GLOBAL MARINE INC              COMMON   379352404           7               250   X   123                                       250
GLOBESPAN INC                  COMMON   379571102       3,345            27,400   X   123             22,400      5,000
GLYCOMED INC SUB DEB CONV      CV BND   380002AA3      22,540         1,062,410   X   123            762,070    259,804      40,535
GOLDEN WEST FINL               COMMON   381317106       5,412           132,600   X   123            110,900      7,500      14,200
GOLDMAN SACHS GROUP            COMMON   38141G104       4,569            48,153   X   123             25,031      3,800      19,322
GOVTS SECS INC FD GNMA F       MUT FND  383743598           1            48,169   X   123             48,169
W R GRACE & CO                 COMMON   38388F108       3,280           270,550   X   123             68,700                201,850
GRADCO SYSTEMS INC             COMMON   384111100                            94   X   123                                        94
GRAINGER W W                   COMMON   384802104         259             8,400   X   123              5,000                  3,400
GRANT PRIDECO INC              COMMON   38821G101         295            11,786   X   123              1,805                  9,981
GRAPHIC PACKAGING INTL CORP    COMMON   388690109         104            49,100   X   123             49,100
GREAT LAKES CHEM               COMMON   390568103      12,343           391,850   X   123            311,500      9,100      71,250
GREAT PLAINS SOFTWARE          COMMON   39119E105       3,114           158,700   X   123            129,200      4,400      25,100
GROUP 1 SOFTWARE               COMMON   39943Y103           1                36   X   123                                        36
GRUPO TELEVISA SA SPON ADR     ADR      40049J206         265             3,850   X   123                         1,150       2,700
GUCCI GROUP                    COMMON   401566104          19               200   X   123                                       200
GUIDANT CORP                   COMMON   401698105       9,420           190,308   X   123             47,366                142,942
GULF CANADA RES LTD -ORD       COMMON   40218L305          29             6,000   X   123              6,000
GULFMARK OFFSHORE INC          COMMON   402629109         637            26,000   X   123                                    26,000
H & Q HEALTHCARE INVESTORS FD  Closed E 404052102         317            10,264   X   123             10,264
HCA - THE HEALTHCARE CO        COMMON   404119109          41             1,352   X   123                700                    652
HCC INSURANCE HLDG             COMMON   404132102         240            12,700   X   123                                    12,700
HEALTH & RETIREMENT PROP TR    COMMON   40426W101          64            10,408   X   123             10,000                    408
HSB GROUP INC                  COMMON   40428N109      10,162           326,500   X   123            259,000      8,300      59,200
HAIN CELESTIAL GROUP           COMMON   405217100      36,037           982,279   X   123            906,379                 75,900
HALLIBURTON CO                 COMMON   406216101      23,147           490,540   X   123            349,590     30,100     110,850
HAMILTON BANCORP INC           COMMON   407013101         184            10,500   X   123              2,700                  7,800
JOHN HANCOCK FINANCIAL SVCS    COMMON   41014S106       3,027           127,800   X   123             83,500                 44,300
HANNAFORD BROTHERS CO          COMMON   410550107         230             3,200   X   123                300                  2,900
HANOVER COMPRESSOR CO          COMMON   410768105      25,479           670,506   X   123            293,706    138,000     238,800
HARCOURT GENERAL               COMMON   41163G101      21,521           395,780   X   123            284,600      6,050     105,130
HARLAND JOHN H CO              COMMON   412693103         506            33,900   X   123             20,100                 13,800
HARLEY DAVIDSON                COMMON   412822108       3,049            79,200   X   123             51,200      7,300      20,700
HARMAN INTL                    COMMON   413086109      12,993           213,000   X   123            171,000      5,200      36,800
HARNISCHFEGER INDS             COMMON   413345109           2             7,000   X   123              7,000
HARRAH'S ENTERTAINMENT INC     COMMON   413619107           9               450   X   123                450
OAKMARK INTL FUND              MUT FND  413838202         531            33,803   X   123                                    33,803
HARRIS CORP                    COMMON   413875105      16,400           500,750   X   123            313,300      7,000     180,450
HARSCO CORP                    COMMON   415864107      12,819           502,700   X   123            403,000      9,600      90,100
HARTE HANKS INC                COMMON   416196103      16,080           643,200   X   123            514,600     14,000     114,600
HARTFORD FINANCIAL SVCS GRP    COMMON   416515104       5,454            97,508   X   123             23,208                 74,300
HASBRO INC                     COMMON   418056107      54,836         3,640,570   X   123          2,158,203     64,900   1,417,467
HEALTH CARE PPTYS INV          COMMON   421915109       4,553           167,100   X   123            100,300      3,200      63,600
HEALTHSOUTH CORP               COMMON   421924101       6,535           909,200   X   123            905,300                  3,900
HEALTHSOUTH CORP SUB CONV DEB  CV BND   421924AF8      82,409         2,866,353   X   123          2,666,134    163,823      36,396
HEALTH MGMT ASSOC              COMMON   421933102      12,314           942,700   X   123            752,700     19,600     170,400
HEALTHCARE REALTY TRUST INC    COMMON   421946104       1,083            63,462   X   123             41,014                 22,448
HEINZ H J                      COMMON   423074103         243             5,550   X   123              2,750                  2,800
HELLER FINANCIAL INC           COMMON   423328103      11,179           545,300   X   123            444,000     11,800      89,500
HERSHEY FOODS CORP             COMMON   427866108         247             5,100   X   123                200                  4,900
HERTZ CORP CL A                COMMON   428040109       1,299            46,300   X   123             42,300                  4,000
INVESTMENT DISCRETION  A = SOLE
                       B = SHARED-AS DEFINED IN INSTR Y
                       C = SHARED-OTHER
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
PG 14        FORM 13F      NAME OF REPORTING MANAGER  LOOMIS SAYLES & CO., INC     06/30/00
                                                                                                          VOTING AUTHORITY (SHARES)
           ITEM 1              ITEM 2     ITEM 3      ITEM 4     ITEM 5     ITEM 6     ITEM 7                 ITEM 8
                                                                       INVEST DISCRETION
        NAME OF ISSUER         CLASS      CUSIP       MKT VAL            SHARES A B C MANAGERS     (A)SOLE    (B)SHARED    (C)NONE
                                                       (000)                                       ---------  ---------   ---------
<S>                            <C>      <C>           <C>        <C>  <C>         <C> <C>          <C>        <C>         <C>
HEWLETT PACKARD                COMMON   428236103      43,688           349,854   X   123            167,642      3,000     179,212
HEXCEL SUB DEB CONV            CV BND   428290AA8      11,775           542,739   X   123            467,544     69,173       6,022
HEXCEL CORP SUB CONV NTS       CV BND   428291AA6      21,553         1,642,505   X   123          1,403,732    197,660      41,113
HI/FN INC                      COMMON   428358105         972            21,900   X   123                                    21,900
HILTON HOTELS CVT SUB NTS      CV BND   432848AL3      25,291         1,451,182   X   123          1,115,523    322,124      13,535
HINES HORTICULTURE INC         COMMON   433245107           4               600   X   123                                       600
HOME DEPOT                     COMMON   437076102      23,344           467,467   X   123            264,171        400     202,896
HOMESTORE.COM                  COMMON   437852106       4,924           168,700   X   123            101,700     67,000
HON INDUSTRIES                 COMMON   438092108       3,276           139,400   X   123            122,300                 17,100
HONEYWELL INTERNATIONAL INC    COMMON   438516106       8,662           257,122   X   123            186,307     11,400      59,415
HOUGHTON MIFFLIN CO            COMMON   441560109       6,994           149,800   X   123            126,900      3,400      19,500
HOUSEHOLD INTL INC             COMMON   441815107      35,713           859,259   X   123            529,313      1,600     328,346
HUBBELL INC CL B               COMMON   443510201         342            13,402   X   123                                    13,402
HUDSON UNITED BANCORP          COMMON   444165104      12,101           539,321   X   123            432,892     10,918      95,511
HUMAN GENOME CVTS 144A W/RTS   CV BND   444903AG3      44,502           245,936   X   123            211,118     28,881       5,936
HUNTINGTON BANCSHARES          COMMON   446150104         875            55,365   X   123             26,985                 28,380
HUTCHINSON TECH                COMMON   448407106         336            23,600   X   123             17,000                  6,600
HUTCHINSON TECH CONV           CV BND   448407AC0      13,705           709,622   X   123            585,285    101,410      22,927
HUTTIG BUILDING PRODUCTS       COMMON   448451104           4             1,031   X   123                678                    353
HVIDE MARINE INC               COMMON   44851M109      35,551         5,987,621   X   123          5,442,235    382,930     162,456
HVIDE MARINE INC WTS A         WTS      44851M117          85            56,946   X   123             51,424      4,029       1,493
HVIDE MARINE 144A WTS 6/30/07  WTS      44851M125         392           156,777   X   123            140,538     11,994       4,245
HYPERION SOLUTIONS CORP        COMMON   44914M104       8,238           253,950   X   123            206,100      5,300      42,550
IBP INC                        COMMON   449223106         670            43,400   X   123             23,300                 20,100
ICOS CORP                      COMMON   449295104          22               500   X   123                500
IMC GLOBAL INC                 COMMON   449669100       7,800           600,000   X   123            497,200     14,700      88,100
IMCO RECYCLING INC             COMMON   449681105          75            13,800   X   123              2,300                 11,500
IMS HEALTH INC                 COMMON   449934108       1,957           108,701   X   123             32,800                 75,901
I-STAT CORP                    COMMON   450312103           9               500   X   123                                       500
ITC DELTACOM INC               COMMON   45031T104      47,516         2,129,564   X   123          1,595,089    142,250     392,225
IBASIS INC                     COMMON   450732102      29,890           694,100   X   123            547,000     43,400     103,700
IDACORP INC                    COMMON   451107106         164             5,100   X   123                                     5,100
IDEXX LABORATORIES INC         COMMON   45168D104      13,176           576,000   X   123            473,800     15,000      87,200
ILEX ONCOLOGY INC              COMMON   451923106         101             2,853   X   123              2,853
ILLINOIS TOOL WORKS INC        COMMON   452308109       9,985           175,171   X   123             84,869                 90,302
IMATION CORP                   COMMON   45245A107          48             1,623   X   123                 29                  1,594
IMMUNEX CORP                   COMMON   452528102          30               600   X   123                                       600
IMPERIAL CREDIT INDUSTRIES     COMMON   452729106         217            51,100   X   123             11,500                 39,600
INCO LTD CVT DEBS              CV BND   453258AH8       5,848           178,825   X   123            175,165                  3,660
INFORMIX CORP                  COMMON   456779107       1,734           233,100   X   123            193,800                 39,300
INFOSYS TECHNOLOGIES ADR       ADR      456788108         133               750   X   123                           750
INFOSPACE.COM INC              COMMON   45678T102         144             2,600   X   123                                     2,600
INGERSOLL RAND CO              COMMON   456866102       5,881           146,101   X   123            132,900                 13,201
INFORMATION RESOURCES INC      COMMON   456905108         696           176,700   X   123            142,000      2,700      32,000
INTEGRAL SYSTEMS INC MD        COMMON   45810H107          27             1,600   X   123                                     1,600
INTEGRATED DEVICE TECH INC     COMMON   458118106      12,951           216,300   X   123            178,100      5,700      32,500
INTEGRATED PROCESS EQUIP CONV  CV BND   45812KAD0       2,088            64,102   X   123             64,102
INTEGRATED SYSTEMS INC         COMMON   45812M104         398            10,500   X   123                500                 10,000
INTEGRATED SILICON SOLUTION    COMMON   45812P107      58,034         1,527,200   X   123          1,205,550     92,900     228,750
INTEL CORP                     COMMON   458140100     290,323         2,171,656   X   123          1,005,562     25,325   1,140,769
INTER-TEL INC                  COMMON   458372109         724            45,100   X   123             33,900                 11,200
INTERFACE SYS INC              COMMON   458667102          40             3,162   X   123                                     3,162
INTERIM SERVICES INC           COMMON   45868P100         572            32,200   X   123             29,500                  2,700
INTERLOGIX INC                 COMMON   458763109          74             5,400   X   123                                     5,400
INTERMEDIA COMMUNICATIONS      COMMON   458801107       1,507            50,650   X   123             48,100                  2,550
INVESTMENT DISCRETION  A = SOLE
                       B = SHARED-AS DEFINED IN INSTR Y
                       C = SHARED-OTHER
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
PG 15        FORM 13F      NAME OF REPORTING MANAGER  LOOMIS SAYLES & CO., INC     06/30/00
                                                                                                          VOTING AUTHORITY (SHARES)
           ITEM 1              ITEM 2     ITEM 3      ITEM 4     ITEM 5     ITEM 6     ITEM 7                 ITEM 8
                                                                       INVEST DISCRETION
        NAME OF ISSUER         CLASS      CUSIP       MKT VAL            SHARES A B C MANAGERS     (A)SOLE    (B)SHARED    (C)NONE
                                                       (000)                                       ---------  ---------   ---------
<S>                            <C>      <C>           <C>        <C>  <C>         <C> <C>          <C>        <C>         <C>
IBM                            COMMON   459200101     159,699         1,457,608   X   123            917,555     11,200     528,853
INTL FLAV & FRAG               COMMON   459506101         113             3,750   X   123                                     3,750
INTL MULTIFOODS CORP           COMMON   460043102       5,954           343,900   X   123            270,700      7,200      66,000
INTL PAPER                     COMMON   460146103       1,654            55,486   X   123             37,050                 18,436
INTERNATIONAL RECTIFIER CORP   COMMON   460254105      17,909           319,800   X   123            250,800      5,500      63,500
INTERNET CAPITAL GROUP INC     COMMON   46059C106           4               100   X   123                                       100
INTERNET HOLDRS TRUST          COMMON   46059W102          11               100   X   123                                       100
INTERPUBLIC GROUP COS INC      COMMON   460690100          17               400   X   123                400
INTEVAC INC SUB CONV NTS       CV BND   461148AC2       5,547           532,557   X   123            439,466     48,485      44,606
INTIMATE BRANDS INC            COMMON   461156101          20             1,000   X   123                                     1,000
AMERICAN FDS IVEST CO OF AMER  MUT FND  461308108         796            24,423   X   123                                    24,423
INVESTMENT TECHNOLOGY GROUP    COMMON   46145F105      13,525           342,400   X   123            279,700      8,100      54,600
INVITROGEN CORP                COMMON   46185R100      11,769           156,494   X   123             69,394     32,000      55,100
INVESTORS FINANCIAL SVCS CORP  COMMON   461915100       1,068            26,900   X   123              2,800                 24,100
I2 TECHNOLOGIES INC            COMMON   465754109       1,947            18,675   X   123             14,700      2,725       1,250
IVANHOE ENERGY INC             COMMON   465790103           5             1,000   X   123                                     1,000
IVAX CORP                      COMMON   465823102       2,386            57,500   X   123             53,700      3,800
IVEX PACKAGING CORP            COMMON   465855104         152            13,700   X   123                                    13,700
MACKENZIE IVY INTL FD CL A     MUT FND  465903102          39               956   X   123                                       956
JDS UNIPHASE CORP              COMMON   46612J101      70,010           584,029   X   123            231,250     11,775     341,004
JACOBSON'S STORE SUB CONV DEB  CV BND   469834AC9       4,152           186,243   X   123            179,815                  6,429
JANUS FUND                     MUT FND  471023101         127             2,805   X   123              2,805
JANUS WORLDWIDE FUND           MUT FND  471023309         834            10,664   X   123                                    10,664
JANUS GLOBAL TECHNOLOGY FUND   MUT FND  471023663         189             5,753   X   123                                     5,753
JEFFERSON PILOT                COMMON   475070108          11               200   X   123                200
JOHNSON & JOHNSON              COMMON   478160104      13,068           128,276   X   123             32,800                 95,476
JOHNSON CONTROLS               COMMON   478366107       3,694            72,000   X   123             71,700                    300
JONES APPAREL GROUP INC        COMMON   480074103           9               402   X   123                                       402
JUNIPER NETWORKS               COMMON   48203R104      19,796           136,000   X   123             54,900      4,000      77,100
KLA-TENCOR CORPORATION         COMMON   482480100       1,359            23,200   X   123             21,400      1,800
KMART CORP                     COMMON   482584109          23             3,400   X   123              1,300                  2,100
KAMAN CORP SUB DEB CONV        CV BND   483548AC7       1,428            74,572   X   123             74,572
KANSAS CITY PWR & LT           COMMON   485134100           4               200   X   123                                       200
KANSAS CITY SOUTHERN INDS      COMMON   485170104         532             6,000   X   123              6,000
KAYNE ANDERSON SM-MID CAP      MUT FND  486607203          45             2,937   X   123              2,937
KAYNE INTL RISING DVDS FD      MUT FND  486607302         104             5,617   X   123              5,617
KEANE INC                      COMMON   486665102          86             4,000   X   123                                     4,000
KEITHLEY INSTRUMENTS INC       COMMON   487584104       9,714           111,500   X   123            104,600                  6,900
KELLOGG CO                     COMMON   487836108          18               600   X   123                600
UNITS KEMPER TE INSD INCM #A-9 MUT FND  488902362           9                50   X   123                                        50
KENT ELECTRONICS CORP          COMMON   490553104      11,373           381,500   X   123            310,000     10,500      61,000
KENT ELECTRONIC SUB DEB CONV   CV BND   490553AA2     100,957         2,322,476   X   123          2,107,452    145,368      69,656
KERR MCGEE                     COMMON   492386107       5,547            94,114   X   123             60,634                 33,480
KERR-MCGEE CVT SUB DEBS        CV BND   492386AL1      12,110           119,910   X   123             93,973     21,220       4,716
KEY ENERGY GROUP               COMMON   492914106       3,154           327,700   X   123            238,900                 88,800
KEY ENERGY SVCS CVT SUB NTS    CV BND   492914AF3      60,584         2,004,595   X   123          1,657,791    305,974      40,831
KEYCORP (NEW)                  COMMON   493267108      14,629           830,033   X   123            406,614                423,419
KEYSPAN ENERGY                 COMMON   49337W100          15               500   X   123                                       500
KIMBERLY CLARK                 COMMON   494368103     133,734         2,330,869   X   123          1,293,426     12,800   1,024,643
KING PHARMACEUTICALS INC       COMMON   495582108          44             1,012   X   123              1,012
KMART FIN CONV PFD 7.75%       CV PFD   498778208      17,403         1,591,984   X   123            999,990    502,662      89,332
KNIGHT RIDDER INC              COMMON   499040103          32               600   X   123                                       600
KNIGHT TRADING GROUP INC       COMMON   499063105          63             2,100   X   123                                     2,100
KOHLS CORP                     COMMON   500255104      36,003           647,240   X   123            216,800     17,600     412,840
PHILIPS ELECTRONICS -NY SHR    COMMON   500472204      75,239         1,583,974   X   123          1,180,130      3,024     400,820
INVESTMENT DISCRETION  A = SOLE
                       B = SHARED-AS DEFINED IN INSTR Y
                       C = SHARED-OTHER
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
PG 16        FORM 13F      NAME OF REPORTING MANAGER  LOOMIS SAYLES & CO., INC     06/30/00
                                                                                                           VOTING AUTHORITY (SHARES)
            ITEM 1              ITEM 2     ITEM 3      ITEM 4     ITEM 5     ITEM 6     ITEM 7                 ITEM 8
                                                                        INVEST DISCRETION
         NAME OF ISSUER         CLASS      CUSIP       MKT VAL            SHARES A B C MANAGERS     (A)SOLE    (B)SHARED    (C)NONE
                                                        (000)                                       ---------  ---------   ---------
<S>                             <C>      <C>           <C>            <C>         <C>  <C>           <C>          <C>       <C>
 KOPIN CORP                     COMMON   500600101      49,873           720,185   X   123            540,385     45,000     134,800
 KOS PHARMACEUTICALS INC        COMMON   500648100          80             5,000   X   123              5,000
 KROGER                         COMMON   501044101      50,098         2,270,720   X   123          1,304,380     37,800     928,540
 KULICKE & SOFA INDUSTRIES      COMMON   501242101      32,996           555,715   X   123            435,615     35,900      84,200
 LG&E ENERGY CORP               COMMON   501917108          40             1,670   X   123                                     1,670
 LSI LOGIC                      COMMON   502161102       3,919            72,400   X   123             51,550      1,000      19,850
 LTX CORP                       COMMON   502392103      14,457           413,790   X   123            388,290                 25,500
 LADD FURNITURE INC             COMMON   505739201          58             3,500   X   123                                     3,500
 LAFARGE CORP                   COMMON   505862102          86             4,100   X   123              4,100
 LAGUNA HILLS UTIL CO           COMMON   507205102          43             2,000   X   123                                     2,000
 LANIER WORLDWIDE               COMMON   51589L105         108           108,190   X   123             15,600                 92,590
 LASON INC                      COMMON   51808R107          14             5,470   X   123              5,470
 LATIN AMERICA INVESTMENT FD    Closed E 518279104         189            12,700   X   123             12,700
 LEAP WIRELESS INTL INC         COMMON   521863100          45               949   X   123                 74                    875
 LEARNING TREE INTL INC         COMMON   522015106      15,870           259,100   X   123            244,100                 15,000
 LEGGETT & PLATT INC            COMMON   524660107       4,101           248,550   X   123            157,300                 91,250
 LEHMAN BROS HOLDING INC        COMMON   524908100       4,095            43,300   X   123             33,400      3,700       6,200
 LENNAR CONV ZERO CPN           CV BND   526057AA2      27,746           833,120   X   123            668,694    122,035      42,391
 LEVEL 3 COMMUNICATIONS INC     COMMON   52729N100          18               200   X   123                                       200
 LEXMARK INTL INC               COMMON   529771107      70,503         1,048,375   X   123            717,805      3,150     327,420
 LIBERTY FINANCIAL COS          COMMON   530512102         395            18,000   X   123             10,200                  7,800
 LIBERTY PPTY TRUST             COMMON   531172104      19,710           759,900   X   123            589,000     16,800     154,100
 LIFEPOINT HOSPITALS            COMMON   53219L109           1                34   X   123                                        34
 LIGHTPATH TECHNOLOGIES INC CL  COMMON   532257102      23,156           581,633   X   123            546,283                 35,350
 LILLY ELI                      COMMON   532457108      51,426           514,903   X   123            233,288      9,510     272,105
 LILLY INDS INC CL A            COMMON   532491107         114             3,800   X   123                                     3,800
 LIMITED INC                    COMMON   532716107         534            24,696   X   123             17,896                  6,800
 LINCARE HLDG                   COMMON   532791100         544            22,100   X   123             11,500                 10,600
 LINCOLN ELECTRIC HOLDINGS      COMMON   533900106         133             9,300   X   123              8,500                    800
 LINCOLN NATL CORP              COMMON   534187109       1,723            47,700   X   123             41,900                  5,800
 LINEAR TECHNOLOGY CORP         COMMON   535678106       7,252           113,420   X   123             41,520                 71,900
 LITTON INDS INC                COMMON   538021106      46,332         1,103,140   X   123            644,995      1,000     457,145
 LIZ CLAIBORNE                  COMMON   539320101      15,330           434,900   X   123            335,300      9,200      90,400
 L90 INC                        COMMON   539441105         372            35,400   X   123             35,400
 LOCAL FINANCIAL CORP           COMMON   539553107         632            75,700   X   123             54,300                 21,400
 LOCKHEED MARTIN CORP           COMMON   539830109       9,905           399,200   X   123            387,400                 11,800
 LOEWS CORP                     COMMON   540424108          12               200   X   123                200
 LOEWS CORP SUB CONV NTS        CV BND   540424AL2     321,292         5,743,224   X   123          5,463,924     20,757     258,542
 LOMAS FINL CORP                COMMON   541535100                         4,267   X   123              4,267
 LONE STAR TECHNOLOGIES         COMMON   542312103          32               700   X   123                700
 LONGVIEW FIBRE                 COMMON   543213102         221            20,000   X   123             20,000
 LS GROWTH FUND I               MUT FN   543487102       9,375           651,036   X   123            243,420                407,617
 LS CORE VALUE FUND I           MUT FN   543487201      21,522         1,489,385   X   123            249,350              1,240,035
 LS SMALL CAP VALUE FUND I      MUT FN   543487300      69,562         3,624,888   X   123          1,769,491              1,855,397
 LS INTL EQUITY FUND I          MUT FN   543487409      72,851         3,848,441   X   123          1,852,613      5,628   1,990,200
 LS GLOBAL TECHNOLOGY FD I      MUT FN   543487540         582            46,360   X   123             16,397                 29,964
 LS AGGRESSIVE GROWTH FD RETAIL MUT FN   543487631          11               277   X   123                277
 LS AGGRESSIVE GROWTH FD I      MUT FN   543487797       6,595           158,223   X   123             32,315                125,909
 LS MID CAP VALUE FUND I        MUT FN   543487813       3,561           310,707   X   123             11,328                299,379
 LS SMALL CAP GROWTH FUND I     MUT FN   543487854      24,370           916,164   X   123            337,402        309     578,453
 LS WORLDWIDE FUND I            MUT FN   543487870       7,806           542,066   X   123                                   542,066
 LS CORE GROWTH FUND-LSIT       MUT FN   543495402      26,510         2,436,573   X   123                                 2,436,573
 LS SMALL COMPANY VALUE FD-LSIT MUT FN   543495881      43,855         4,176,658   X   123          4,176,658
 LOWES COS                      COMMON   548661107       1,503            36,601   X   123                500                 36,101
 LUCENT TECHNOLOGIES INC        COMMON   549463107      80,736         1,362,626   X   123            725,357     10,600     626,669
 INVESTMENT DISCRETION  A = SOLE
                        B = SHARED-AS DEFINED IN INSTR Y
                        C = SHARED-OTHER
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
 PG 17        FORM 13F      NAME OF REPORTING MANAGER  LOOMIS SAYLES & CO., INC     06/30/00
                                                                                                           VOTING AUTHORITY (SHARES)
            ITEM 1              ITEM 2     ITEM 3      ITEM 4     ITEM 5     ITEM 6     ITEM 7                 ITEM 8
                                                                        INVEST DISCRETION
         NAME OF ISSUER         CLASS      CUSIP       MKT VAL            SHARES A B C MANAGERS     (A)SOLE    (B)SHARED    (C)NONE
                                                        (000)                                       ---------  ---------   ---------
<S>                            <C>      <C>           <C>              <C>        <C>  <C>           <C>        <C>         <C>
 LUNAR CORP                     COMMON   550362107           5               300   X   123                                       300
 MBNA CORP                      COMMON   55262L100          51             1,865   X   123              1,500                    365
 MBL INTL FINANCE BERMUDA CONV  CV BND   55262XAA2      11,679           524,105   X   123            524,105
 MCN ENERGY GROUP INC           COMMON   55267J100       3,617           169,200   X   123            136,900                 32,300
 MDC COMMUNICATIONS             COMMON   55267W309          62             7,000   X   123              1,000      6,000
 MDU RESOURCES GROUP INC        COMMON   552690109       3,626           167,675   X   123            138,500      5,000      24,175
 MGIC INVT CORP WIS             COMMON   552848103         662            14,560   X   123                200                 14,360
 MACROVISION CORP               COMMON   555904101      66,456         1,039,645   X   123            768,845     91,400     179,400
 MACROMEDIA INC                 COMMON   556100105      28,302           292,718   X   123            140,218     58,800      93,700
 MAGELLAN HEALTH SVCS           COMMON   559079108         121            96,600   X   123             81,300                 15,300
 MAGNA INTL SUB CONV            CV BND   559222AG9     159,164           907,284   X   123            876,432     13,128      17,723
 MANDALAY RESORT GROUP          COMMON   562567107          10               500   X   123                                       500
 MANITOWOC COMPANY INC          COMMON   563571108       4,885           182,600   X   123            129,600     11,300      41,700
 MANOR CARE INC                 COMMON   564055101       4,413           630,400   X   123            630,400
 MANPOWER INC                   COMMON   56418H100      13,328           416,502   X   123            329,600      8,000      78,902
 MAPICS INC                     COMMON   564910107         305            53,000   X   123             53,000
 MANUGISTICS GROUP INC          COMMON   565011103      41,947           897,264   X   123            844,164                 53,100
 MARCUS CORP                    COMMON   566330106         567            46,775   X   123                                    46,775
 MARINE DRILLING CO INC         COMMON   568240204      55,525         1,983,047   X   123          1,528,047    119,500     335,500
 MARSH & MCLENNAN               COMMON   571748102      47,195           451,901   X   123            239,249      3,850     208,802
 MARSHALL & ILSLEY              COMMON   571834100       2,376            57,246   X   123             28,900      1,000      27,346
 MARRIOTT INTERNATIONAL         COMMON   571903202         307             8,500   X   123              6,700                  1,800
 MARTIN MARIETTA MATERIALS      COMMON   573284106         142             3,500   X   123              1,000                  2,500
 MASCO CORP                     COMMON   574599106      23,708         1,312,552   X   123            783,372     43,900     485,280
 MASCOTECH INC                  COMMON   574670105          12             1,155   X   123                                     1,155
 MASCOTECH SUB DEB CONV         CV BND   574670AB1      79,200         2,707,745   X   123          2,354,841    308,065      44,839
 MASSMUTUAL CORP INV            Closed E 576292106           6               300   X   123                                       300
 MATSUSHITA ELEC INDL LTD ADR   ADR      576879209          54               210   X   123                                       210
 MATTEL INC                     COMMON   577081102       1,486           112,647   X   123            110,000                  2,647
 MAXTOR CORP SUB DEB CONV       CV BND   577729AA4      54,534         1,947,650   X   123          1,700,425    188,125      59,100
 MAXWELL TECHNOLOGIES INC       COMMON   577767106          19             1,400   X   123                                     1,400
 MAY DEPT STORES CO             COMMON   577778103         197             8,200   X   123                700                  7,500
 MAVERICK TUBE CORP             COMMON   577914104      11,764           403,900   X   123            321,100     10,400      72,400
 MCDONALDS                      COMMON   580135101      70,260         2,133,119   X   123          1,249,765     25,900     857,454
 MCGRAW HILL COS INC            COMMON   580645109      36,819           681,830   X   123            376,030      1,100     304,700
 MCKESSON HBOC INC              COMMON   58155Q103          54             2,600   X   123                600                  2,000
 MEAD CORP                      COMMON   582834107          81             3,200   X   123              3,200
 MEDIAONE GROUP INC             COMMON   58440J104      20,694           310,598   X   123            132,944                177,654
 MEDICAL CARE INT SUB DEB CONV  CV BND   584505AC5      31,746           544,590   X   123            459,930     75,182       9,478
 MEDICIS PHARMACEUTICAL -CL A   COMMON   584690309      18,742           328,800   X   123            262,100      6,100      60,600
 MEDIMMUNE INC                  COMMON   584699102      16,780           226,757   X   123            155,857     59,100      11,800
 MEDQUIST INC                   COMMON   584949101      14,761           434,157   X   123            407,757                 26,400
 MEDITRUST CORP                 COMMON   58501T306           9             2,522   X   123                                     2,522
 MEDTRONIC INC                  COMMON   585055106      91,515         1,837,190   X   123            854,526     27,675     954,989
 MELLON FINANCIAL CORP          COMMON   58551A108         554            15,200   X   123                800                 14,400
 THE MENS WEARHOUSE             COMMON   587118100       8,688           389,400   X   123            319,800      8,300      61,300
 MERCK & CO                     COMMON   589331107     122,619         1,600,247   X   123            914,664     16,425     669,158
 MERCURY COMPUTER SYSTEMS INC   COMMON   589378108      12,441           385,023   X   123            373,173                 11,850
 MERCURY INTERACTIVE CORP       COMMON   589405109      33,265           343,824   X   123            171,624     73,900      98,300
 MERIDIAN DIAGNOSTICS INC       COMMON   589602101       2,381           304,800   X   123            229,300     14,700      60,800
 MERISTAR HOSPITALITY CORP      COMMON   58984Y103      18,733           892,035   X   123            703,771     21,653     166,611
 MERRILL LYNCH EUROFUND CL B    MUT FND  589922103         128             9,977   X   123                                     9,977
 MERRILL LYNCH GLOBAL B         MUT FND  589939206         165            11,625   X   123                                    11,625
 MERRILL LYNCH & CO             COMMON   590188108      55,045           478,650   X   123            193,200     12,500     272,950
 MESA AIR GROUP                 COMMON   590479101         140            25,400   X   123              3,400                 22,000
 INVESTMENT DISCRETION  A = SOLE
                        B = SHARED-AS DEFINED IN INSTR Y
                        C = SHARED-OTHER
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
 PG 18        FORM 13F      NAME OF REPORTING MANAGER  LOOMIS SAYLES & CO., INC     06/30/00
                                                                                                           VOTING AUTHORITY (SHARES)
            ITEM 1              ITEM 2     ITEM 3      ITEM 4     ITEM 5     ITEM 6     ITEM 7                 ITEM 8
                                                                        INVEST DISCRETION
         NAME OF ISSUER         CLASS      CUSIP       MKT VAL            SHARES A B C MANAGERS     (A)SOLE    (B)SHARED    (C)NONE
                                                        (000)                                       ---------  ---------   ---------
<S>                             <C>      <C>           <C>              <C>       <C>  <C>          <C>        <C>         <C>
 MERRILL LYNCH PACIFIC FUND-B   MUT FND  590906202          83             3,061   X   123                                     3,061
 META GROUP INC                 COMMON   591002100         343            17,800   X   123             17,800
 METAL MANAGEMENT INC           COMMON   591097100           3             3,000   X   123              3,000
 METALS USA INC                 COMMON   591324108          19             4,000   X   123                                     4,000
 METRIS COMPANIES INC           COMMON   591598107      18,306           728,614   X   123            317,464    151,275     259,875
 METROMEDIA FIBER NETWORK -A    COMMON   591689104       6,739           169,800   X   123            159,500      7,900       2,400
 MICHAEL FOODS INC NEW          COMMON   594079105      25,163         1,027,050   X   123            829,850     21,700     175,500
 MICHAELS STORES INC            COMMON   594087108         852            18,600   X   123             11,600                  7,000
 MICROSOFT CORP                 COMMON   594918104     128,311         1,603,885   X   123            846,437     26,867     730,581
 MICROCHIP TECHNOLOGY INC       COMMON   595017104       6,963           119,500   X   123            102,700                 16,800
 MICRON TECHNOLOGY              COMMON   595112103       2,792            31,700   X   123             22,300                  9,400
 MIDAS INC                      COMMON   595626102           6               298   X   123                 66                    232
 MIDWEST EXPRESS HLDGS          COMMON   597911106         145             6,750   X   123                                     6,750
 MILACRON  INC                  COMMON   598709103       9,092           627,050   X   123            511,750     15,100     100,200
 MILLENNIUM PHARMACEUTICALS     COMMON   599902103       1,633            14,600   X   123             12,300      2,300
 MILLER (HERMAN) INC            COMMON   600544100          47             1,800   X   123                                     1,800
 MILLIPORE CORP                 COMMON   601073109         109             1,450   X   123                650                    800
 MINIMED INC                    COMMON   60365K108       9,470            80,253   X   123             53,453     22,300       4,500
 MINNESOTA MNG & MFG            COMMON   604059105      54,178           656,698   X   123            328,301        700     327,697
 MINOLTA-QMS INC                COMMON   604312108           3             1,000   X   123                                     1,000
 MODIS PROFESSIONAL SVCS        COMMON   607830106         286            37,500   X   123             37,500
 MOLEX INC CL A                 COMMON   608554200         671            19,164   X   123                                    19,164
 MONACO COACH CORP              COMMON   60886R103       3,074           225,600   X   123            162,000     13,400      50,200
 MONTANA POWER CO               COMMON   612085100           1                24   X   123                                        24
 MONY GROUP INC                 COMMON   615337102          23               683   X   123                                       683
 MORAN ENERGY SUB DEB CONV      CV BND   616457AC1       3,118           206,670   X   123            158,210     48,461
 MORGAN JP & CO                 COMMON   616880100      11,396           103,480   X   123            101,800                  1,680
 MORGAN ST DEAN WITTER DISCOV   COMMON   617446448     152,870         1,836,282   X   123          1,038,265      5,625     792,392
 MSDW QUAL MUNI INV TR          Closed E 61745P668          28             2,000   X   123                                     2,000
 MORRISON MANAGEMENT SPECIALIST COMMON   618459101       7,627           270,568   X   123            196,945     10,300      63,323
 MOTHERS WORK INC               COMMON   619903107          21             1,828   X   123              1,769                     59
 MOTOROLA INC                   COMMON   620076109      85,363         2,937,226   X   123          1,746,586      3,600   1,187,040
 MUNDER NET NET FUND CL B       MUT FND  626124317          65               940   X   123                                       940
 MIT FD UNIT CTF SER 7 CALIF    COMMON   626233134           2                15   X   123                                        15
 MYLAN LABS                     COMMON   628530107          15               800   X   123                800
 MYRIAD GENETICS INC            COMMON   62855J104      27,631           186,600   X   123            168,200      1,700      16,700
 NABI INC SUB CONV NTS          CV BND   628716AB8      29,287         2,461,072   X   123          2,129,072    169,643     162,357
 NCR CORP                       COMMON   62886E108         630            16,168   X   123              1,468                 14,700
 NPC INTL                       COMMON   629360306         135            15,000   X   123              2,200                 12,800
 NABISCO GROUP HLDGS            COMMON   62952P102         680            26,200   X   123              4,500                 21,700
 NABORS INDS INC                COMMON   629568106      31,323           753,630   X   123            491,930      6,800     254,900
 NASDAQ-100 SHARES              COMMON   631100104         186             2,000   X   123              1,300                    700
 NATIONAL AUTO CREDIT INC       COMMON   632900106           4             4,637   X   123              4,637
 NATIONAL CITY CORP             COMMON   635405103         821            48,097   X   123             17,296                 30,801
 NATIONAL COMPUTER SYS INC      COMMON   635519101      12,780           259,500   X   123            209,500      5,700      44,300
 NATIONAL DISCOUNT BROKERS      COMMON   635646102      15,608           489,653   X   123            461,353                 28,300
 NATIONAL INSTRUMENTS CORP      COMMON   636518102       7,957           182,400   X   123            149,000      5,000      28,400
 NATIONAL SEMICONDUCTOR CORP    COMMON   637640103       2,645            46,600   X   123             34,100                 12,500
 NATL SVC INDS                  COMMON   637657107       4,634           231,700   X   123            194,700      5,500      31,500
 NATURAL MICROSYSTEMS CORP      COMMON   638882100      19,238           171,100   X   123             79,900     33,400      57,800
 NAVIGANT CONSULTING GROUP      COMMON   63935N107          17             4,000   X   123                                     4,000
 NEIMAN MARCUS GRP CL A         COMMON   640204202       1,137            38,474   X   123             30,474                  8,000
 NEMATRON CORP                  COMMON   640441101           2             1,054   X   123                                     1,054
 NETWORKS ASSOCIATES INC        COMMON   640938106         102             5,000   X   123                                     5,000
 NESTLE S ASPONS ADR FOR REG    ADR      641069406          20               200   X   123                                       200
 INVESTMENT DISCRETION  A = SOLE
                        B = SHARED-AS DEFINED IN INSTR Y
                        C = SHARED-OTHER
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
 PG 19        FORM 13F      NAME OF REPORTING MANAGER  LOOMIS SAYLES & CO., INC     06/30/00
                                                                                                           VOTING AUTHORITY (SHARES)
            ITEM 1              ITEM 2     ITEM 3      ITEM 4     ITEM 5     ITEM 6     ITEM 7                 ITEM 8
                                                                        INVEST DISCRETION
         NAME OF ISSUER         CLASS      CUSIP       MKT VAL            SHARES A B C MANAGERS     (A)SOLE    (B)SHARED    (C)NONE
                                                        (000)                                       ---------  ---------   ---------
<S>      <C>                    <C>      <C>           <C>               <C>                        <C>        <C>         <C>
 NETEGRITY INC                  COMMON   64110P107      18,459           245,100   X   123            231,300                 13,800
 NETEASE.COM INC ADR            ADR      64110W102          50             4,100   X   123                         4,100
 NETRATINGS INC                 COMMON   64116M108       3,165           123,500   X   123            103,500      3,000      17,000
 NETWORK APPLIANCE INC          COMMON   64120L104       4,266            53,000   X   123             47,800      5,200
 SHOPNOW.COM INC                COMMON   64122T105         209            38,000   X   123             26,200                 11,800
 NEUBERGER BERMAN INC           COMMON   641234109         116             2,500   X   123              2,500
 NEW CENTURY ENERGIES INC       COMMON   64352U103          72             2,401   X   123                                     2,401
 NEW FOCUS INC                  COMMON   644383101       1,371            16,700   X   123             14,400      2,300
 NEW GERMANY FUND               MUT FND  644465106           4               267   X   123                267
 NEW JERSEY RESOURCES           COMMON   646025106       9,980           262,200   X   123            202,200      5,200      54,800
 NEW YORK TIMES CL A            COMMON   650111107      11,965           302,900   X   123             98,200                204,700
 NEWELL RUBBERMAID INC          COMMON   651229106      10,798           419,348   X   123            207,275                212,073
 NEWFIELD EXPLORATION CO        COMMON   651290108       3,568            91,200   X   123             78,800                 12,400
 NEWMONT MNG                    COMMON   651639106       7,459           344,905   X   123            276,435                 68,470
 NEWPORT CORP                   COMMON   651824104      66,484           619,176   X   123            569,876                 49,300
 NEWPORT NEWS SHIPBUILDING      COMMON   652228107      15,990           435,100   X   123            353,700     10,800      70,600
 NEWS CORP LTD SPONS ADR        ADR      652487703         113             2,080   X   123                         2,080
 NEXTEL COMMUNICATIONS CL A     COMMON   65332V103      27,965           457,040   X   123            178,600     16,300     262,140
 NEXTEL PARTNERS INC -A         COMMON   65333F107          33             1,000   X   123                                     1,000
 NIAGARA MOHAWK HOLDINGS INC    COMMON   653520106       4,601           330,100   X   123            245,200                 84,900
 NICHOLAS LTD EDITION INC       MUT FND  653738104       1,940            80,080   X   123                                    80,080
 NICHOLAS FUND II INC           MUT FND  653740100         773            21,224   X   123             21,224
 NIKE INC CL B                  COMMON   654106103          16               400   X   123                400
 NOKIA CORP SPON ADR A          ADR      654902204       1,119            22,400   X   123             11,200                 11,200
 NOBLE DRILLING                 COMMON   655042109       5,278           128,154   X   123            109,022                 19,132
 NORAM ENERGY SUB CONV          CV BND   655419AC3       5,796            89,274   X   123             79,488                  9,786
 NORDSON CORP                   COMMON   655663102         339             6,700   X   123              6,700
 NORFOLK SOUTHN CORP            COMMON   655844108       1,028            69,117   X   123             37,100                 32,017
 NORTEL NETWORKS CORP           COMMON   656568102     136,681         2,002,655   X   123            896,830     31,425   1,074,400
 NORTHEAST OPTIC NETWORK        COMMON   664334109      16,491           267,610   X   123            249,060                 18,550
 NORTHEAST UTILITIES            COMMON   664397106         316            14,550   X   123             14,550
 NORTHN STS PWR MINN            COMMON   665772109          91             4,500   X   123                                     4,500
 NORTHERN TR CORP               COMMON   665859104      60,622           931,750   X   123            451,850     12,350     467,550
 NORTHROP GRUMMAN CORP          COMMON   666807102       8,411           126,951   X   123             39,350                 87,601
 NOVA CORP/GEORGIA              COMMON   669784100       1,383            49,500   X   123             32,600                 16,900
 NOVELL INC                     COMMON   670006105           4               400   X   123                400
 NOVELLUS SYSTEMS INC           COMMON   670008101       3,173            56,100   X   123             48,800      6,900         400
 NSTAR                          COMMON   67019E107      14,798           363,700   X   123            296,300      8,600      58,800
 NUCOR CORP                     COMMON   670346105          27               800   X   123                800
 NUVEEN INSD QUALITY MUNI FD    Closed E 67062N103          46             3,500   X   123                                     3,500
 NVEST L.P                      COMMON   67065F107          95             2,500   X   123              2,500
 NVIDIA CORP                    COMMON   67066G104      21,319           335,400   X   123            275,000                 60,400
 NVEST BALANCED FD CL Y         MUT FND  67067Q408       8,732           807,789   X   123            807,789
 NVEST GROWTH & INCOME FD A     MUT FND  67067S107          66             4,535   X   123              4,535
 OGE ENERGY CORP                COMMON   670837103          37             2,000   X   123                                     2,000
 OM GROUP INC                   COMMON   670872100       7,885           179,200   X   123            145,800      3,800      29,600
 NUVEEN MICH QUALITY INC MUNI   MUT FND  670979103         127             9,100   X   123                                     9,100
 OCCIDENTAL PETE                COMMON   674599105          13               600   X   123                600
 OFFICE DEPOT                   COMMON   676220106          73            11,650   X   123              6,850                  4,800
 OGDEN CORP SUB DEB CONV        CV BND   676346AC3         840            25,591   X   123                                    25,591
 OHIO CASUALTY CORP             COMMON   677240103         879            82,696   X   123                                    82,696
 OLD REPUBLIC INTL CORP         COMMON   680223104      14,310           867,300   X   123            713,700     24,400     129,200
 OLIN                           COMMON   680665205      11,646           705,800   X   123            552,000     16,500     137,300
 OMNICARE CVT                   CV BND   681904AD0      31,269         1,160,653   X   123          1,110,879     44,723       5,051
 OMNICOM GROUP                  COMMON   681919106      82,308           924,159   X   123            423,483     18,100     482,576
 INVESTMENT DISCRETION  A = SOLE
                        B = SHARED-AS DEFINED IN INSTR Y
                        C = SHARED-OTHER
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
 PG 20        FORM 13F      NAME OF REPORTING MANAGER  LOOMIS SAYLES & CO., INC     06/30/00
                                                                                                           VOTING AUTHORITY (SHARES)
            ITEM 1              ITEM 2     ITEM 3      ITEM 4     ITEM 5     ITEM 6     ITEM 7                 ITEM 8
                                                                        INVEST DISCRETION
         NAME OF ISSUER         CLASS      CUSIP       MKT VAL            SHARES A B C MANAGERS     (A)SOLE    (B)SHARED    (C)NONE
                                                        (000)                                       ---------  ---------   ---------
<S>                             <C>      <C>           <C>             <C>         <C> <C>          <C>        <C>         <C>
 OMNOVA SOLUTIONS INC           COMMON   682129101          48             7,600   X   123                900                  6,700
 ON ASSIGNMENT INC              COMMON   682159108      15,161           497,091   X   123            466,741                 30,350
 ONEMAIN.COM INC                COMMON   68267P109          12             1,100   X   123              1,100
 ONI SYSTEMS CORP               COMMON   68273F103       2,344            20,000   X   123             17,000      3,000
 ORACLE CORP                    COMMON   68389X105      41,069           488,552   X   123            194,850     17,475     276,227
 OPPENHEIMER GLOBAL FD CL A     MUT FND  683924104          31               457   X   123                                       457
 OPUS 360 CORP                  COMMON   68400F109                             5   X   123                  5
 ORBITAL SCIENCES CORP          COMMON   685564106          99             8,100   X   123                                     8,100
 ORGANOGENESISINC               COMMON   685906109          46             4,000   X   123              4,000
 OSCA INC                       COMMON   687836106         285            16,900   X   123              1,400                 15,500
 OASHKOSH  TRUCK CORP           COMMON   688239201      15,977           446,900   X   123            372,000     11,000      63,900
 OWENS CORNING CAP LLC CONV PFD CV PFD   690733209      39,459         1,885,760   X   123          1,676,672    158,599      50,489
 OWENS-ILLINOIS INC             COMMON   690768403       4,331           370,560   X   123             92,150                278,410
 OWENS-ILLINOIS 4.75%  CVT PFD  CV PFD   690768502      17,266           736,516   X   1235           611,946     98,232      26,338
 PC CONNECTION INC              COMMON   69318J100      16,809           294,900   X   123            273,150                 21,750
 P-COM INC                      COMMON   693262107         799           140,500   X   123            102,400                 38,100
 PECO ENERGY CO                 COMMON   693304107         959            23,800   X   123             23,300                    500
 P G & E CORP                   COMMON   69331C108         149             6,053   X   123                800                  5,253
 PE CORP -PE BIOSYSTEMS         COMMON   69332S102       6,581            99,900   X   123             31,800                 68,100
 PE CORP -CELERA GENOMICS       COMMON   69332S201          37               400   X   123                           400
 P F CHANGS CHINA BISTRO INC    COMMON   69333Y108          16               500   X   123                                       500
 PIMCO INNOVATION FD CL B       MUT FND  693389439          85             1,224   X   123                                     1,224
 PIMCO HIGH YIELD FUND C        MUT FND  693390353          69             6,810   X   123                                     6,810
 PLX TECHNOLOGY INC             COMMON   693417107       9,628           232,000   X   123            103,000     47,500      81,500
 PMC SIERRA INC                 COMMON   69344F106      37,590           211,550   X   123             89,400      6,750     115,400
 THE PMI GROUP                  COMMON   69344M101       2,366            49,800   X   123             33,800                 16,000
 PNC FINANCIAL SERVICES         COMMON   693475105      92,927         1,982,440   X   123          1,029,235      2,200     951,005
 PPG INDS                       COMMON   693506107         379             8,550   X   123              7,750                    800
 PPL CORPORATION                COMMON   69351T106          22             1,000   X   123              1,000
 PRI AUTOMATION INC             COMMON   69357H106      40,778           623,600   X   123            449,400     56,900     117,300
 PAC-WEST TELECOMM INC          COMMON   69371Y101           2               100   X   123                100
 PACIFIC GULF PROPERTIES INC    COMMON   694396102      14,985           597,900   X   123            478,600     17,500     101,800
 PACTIV CORP                    COMMON   695257105       1,742           221,175   X   123             38,900                182,275
 PAINE WEBBER GRP INC           COMMON   695629105       1,986            43,650   X   123             13,200                 30,450
 PW EQUITY PTNRS LTD L          MUT FND  69574C104          12             1,000   X   123                                     1,000
 PW EQUITY PTNRS LTD 2          MUT FND  69574C203          14            57,000   X   123              7,000                 50,000
 PAINEWEBBER GEODYNE ENERGY IIE MUT FND  695923862          14               500   X   123                                       500
 PW GEODYNE ENERGY PTNR 11C     MUT FND  695923888          26               750   X   123                                       750
 PALL CORP                      COMMON   696429307         670            36,200   X   123             20,700                 15,500
 PALM INC                       COMMON   696642107          53             1,600   X   123              1,400                    200
 PARAMETRIC TECH CORP           COMMON   699173100          42             3,800   X   123                                     3,800
 PAREXEL INTERNATIONAL CORP     COMMON   699462107         185            19,300   X   123             19,300
 PARK ELECTROCHEM SUB DEB CONV  CV BND   700416AB6      43,621         1,065,942   X   123            899,402    134,303      32,237
 PARK PLACE ENTERTAINMENT       COMMON   700690100       2,467           202,400   X   123            151,500                 50,900
 PARKER HANNIFIN                COMMON   701094104       2,199            64,200   X   123             49,500                 14,700
 PATHOGENESIS CORP              COMMON   70321E104      12,774           491,300   X   123            405,000     12,800      73,500
 PATTERSON ENERGY INC           COMMON   703414102      45,321         1,590,200   X   123          1,420,200     10,100     159,900
 PAYCHEX INC                    COMMON   704326107       2,514            59,850   X   123             53,850      6,000
 PENN TRAFFIC CO WTS EXP 6/7 5  WTS      707832119          34            45,124   X   123             45,124
 PENN TRAFFIC CO                COMMON   707832200         982           148,194   X   123            148,194
 PENNEY JC CO INC               COMMON   708160106          44             2,400   X   123                500                  1,900
 PENTAIR INC                    COMMON   709631105      14,310           403,110   X   123            322,000      8,100      73,010
 PENTEGRA DENTAL GROUP          COMMON   709637102          14            20,600   X   123              2,300                 18,300
 PEOPLES ENERGY CORP            COMMON   711030106          33             1,033   X   123              1,033
 PEPSI BOTTLING GROUP INC       COMMON   713409100      10,510           360,100   X   123            315,800                 44,300
 INVESTMENT DISCRETION  A = SOLE
                        B = SHARED-AS DEFINED IN INSTR Y
                        C = SHARED-OTHER
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
PG 21        FORM 13F      NAME OF REPORTING MANAGER  LOOMIS SAYLES & CO., INC     06/30/00
                                                                                                           VOTING AUTHORITY (SHARES)
            ITEM 1              ITEM 2     ITEM 3      ITEM 4   ITEM 5     ITEM 6     ITEM 7                   ITEM 8
                                                                      INVEST DISCRETION
         NAME OF ISSUER         CLASS      CUSIP       MKT VAL          SHARES A B C MANAGERS     (A)SOLE      (B)SHARED    (C)NONE
                                                        (000)                                     ---------    ---------   ---------
<S>                             <C>      <C>           <C>      <C>              <C> <C>      <C>            <C>          <C>
 PEPSICO INC                    COMMON   713448108      41,068         924,184   X   123            381,510       28,700     513,974
 PER SE TECHNOLOGIES INC        COMMON   713569309       8,946         954,203   X   123            770,046       23,167     160,990
 PERICOM SEMICONDUCTOR CORP     COMMON   713831105      27,238         400,556   X   123            376,356                   24,200
 PHARMACYCLICS INC              COMMON   716933106      18,994         311,376   X   123            287,676                   23,700
 PFIZER INC                     COMMON   717081103     130,992       2,729,005   X   123          1,045,403       67,350   1,616,252
 PHARMACIA CORP                 COMMON   71713U102     135,261       2,616,903   X   123          1,274,121       21,428   1,321,353
 PHELPS DODGE                   COMMON   717265102          19             500   X   123                500
 PHILIP MORRIS COS INC          COMMON   718154107      29,629       1,115,436   X   123            707,775                  407,661
 PHILIPPINE LONG DIST TEL CNV P CV PFD   718252703      36,095   1,682,464,062   X   123      1,041,459,462  568,544,700  72,459,900
 PHILLIPS PETE                  COMMON   718507106      13,178         259,978   X   123             27,750          900     231,328
 PHONE.COM INC                  COMMON   71920Q100          13             200   X   123                                         200
 PHOTON DYNAMICS                COMMON   719364101      15,026         201,185   X   123             87,285       41,100      72,800
 PHOTRONICS INC                 COMMON   719405102         114           4,000   X   123                                       4,000
 PHYCOR INC SUB DEB CONV        CV BND   71940FAB6      10,697       1,536,860   X   123          1,386,251      101,475      49,134
 PIER 1 IMPORTS INC DEL         COMMON   720279108       7,623         781,800   X   123            655,400       19,800     106,600
 PILGRAM MID CAP GROWTH FD      MUT FND  72146E558         476          18,365   X   123                                      18,365
 PILGRIM PRIME RATE TRUST       MUT FND  72146W103           9           1,000   X   123              1,000
 PINNACLE ENTERTAINMENT INC     COMMON   723456109           9             475   X   123                475
 PINNACLE HOLDINGS INC          COMMON   72346N101      16,657         308,472   X   123            125,072       66,400     117,000
 PINNACLE WEST CAPITAL CORP     COMMON   723484101       1,233          36,400   X   123             17,900                   18,500
 PIONEER STD ELECTRS            COMMON   723877106         133           9,003   X   123                                       9,003
 PITNEY BOWES                   COMMON   724479100         332           8,300   X   123                400                    7,900
 PLAINS RESOURCES INC           COMMON   726540503         248          15,500   X   123              1,800                   13,700
 PLEXUS CORP                    COMMON   729132100      53,268         471,401   X   123            381,501       24,350      65,550
 POGO PRODUCING CO CVT SUB NTS  CV BND   730448AE7      13,497         393,505   X   123            354,984       33,780       4,741
 POLAROID CORP                  COMMON   731095105         118           6,515   X   123                800                    5,715
 POLICY MGMT SYSTEMS CP         COMMON   731108106         415          27,000   X   123             27,000
 POLYCOM INC                    COMMON   73172K104      28,283         300,586   X   123            142,286       58,600      99,700
 POLYMEDICA CORP                COMMON   731738100      22,552         521,433   X   123            487,833                   33,600
 PORTAL SOFTWARE                COMMON   736126103       3,200          50,100   X   123             45,000        5,100
 POST PROPERTIES INC            COMMON   737464107         189           4,300   X   123              4,300
 POWERWAVE TECHNOLOGIES INC     COMMON   739363109      11,246         255,600   X   123            128,500       49,900      77,200
 PRAXAIR INC                    COMMON   74005P104      72,377       1,933,268   X   123          1,134,531       12,325     786,412
 PREMIER FARNELL PLC CVT PFD    CV PFD   74050U206          24           2,590   X   123                                       2,590
 PRENTISS PROPERTIES TRUST      COMMON   740706106       6,857         285,700   X   123            222,600        6,500      56,600
 PRESTON CORP SUB DEB CONV      CV BND   741130AA6       8,290       1,730,554   X   123          1,151,482      483,882      95,190
 PRIMEX TECHNOLOGIES INC        COMMON   741597108         691          31,400   X   123             22,000                    9,400
 PRIMUS TELECOM GRP             COMMON   741929103       1,478          59,400   X   123             35,900                   23,500
 PRIDE INTERNATIONAL INC        COMMON   741932107      18,810         760,009   X   123            348,709      129,200     282,100
 PRINCIPAL PRES -PSE TECH 100   MUT FND  74252B832         112           2,720   X   123              2,720
 PRIORITY HEALTHCARE CORP CL B  COMMON   74264T102      21,069         283,521   X   123            125,821       58,000      99,700
 PROCTER & GAMBLE               COMMON   742718109       9,207         160,823   X   123             62,462                   98,361
 PROGRESS SOFTWARE CORP         COMMON   743312100       7,593         423,300   X   123            344,800       11,500      67,000
 PROGRESSIVE CORP               COMMON   743315103           7             100   X   123                100
 PROTECTIVE LIFE CORP           COMMON   743674103      15,703         589,800   X   123            483,200       14,800      91,800
 PROTEIN DESIGN LABS INC        COMMON   74369L103          82             500   X   123                500
 PROVIDIAN FINANCIAL CORP       COMMON   74406A102      25,196         279,951   X   123            211,351                   68,600
 PROXICOM INC                   COMMON   744282104           5             100   X   123                                         100
 PUB SVC ENTERPRISE GROUP INC   COMMON   744573106          52           1,500   X   123              1,500
 PUBLIC STORAGE INC             COMMON   74460D109           7             300   X   123                                         300
 PUTNAM AMERICAN GOVT FD CL A   MUT FND  74644B102           6             750   X   123                                         750
 PUTNAM GRWTH & INC FD CL B     MUT FND  746761204         120           6,758   X   123              6,758
 PUTNAM NEW OPPORTUNITIES -B    MUT FND  746916204          64             700   X   123                700
 PUTNAM INTL GROWTH FD B        MUT FND  746932201         401          13,733   X   123                                      13,733
 QLOGIC CORP                    COMMON   747277101          26             400   X   123                                         400
 INVESTMENT DISCRETION  A = SOLE
                        B = SHARED-AS DEFINED IN INSTR Y
                        C = SHARED-OTHER
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
 PG 22        FORM 13F      NAME OF REPORTING MANAGER  LOOMIS SAYLES & CO., INC     06/30/00
                                                                                                           VOTING AUTHORITY (SHARES)
            ITEM 1              ITEM 2     ITEM 3      ITEM 4     ITEM 5     ITEM 6     ITEM 7                 ITEM 8
                                                                        INVEST DISCRETION
         NAME OF ISSUER         CLASS      CUSIP       MKT VAL            SHARES A B C MANAGERS     (A)SOLE    (B)SHARED    (C)NONE
                                                        (000)                                       ---------  ---------   ---------
<S>                             <C>      <C>           <C>        <C>              <C> <C>          <C>        <C>         <C>
 QUAKER OATS                    COMMON   747402105       1,759            23,420   X   123             12,500                 10,920
 QUALCOMM INC                   COMMON   747525103       1,683            28,050   X   123              2,600                 25,450
 QUANTUM CORP - DLT & STORAGE   COMMON   747906204           5               500   X   123                                       500
 QUANTUM CORP SUB CONV NTS      CV BND   747906AC9      46,573         1,256,686   X   123          1,094,030    139,449      23,206
 QUEST DIAGNOSTICS INC          COMMON   74834L100          18               237   X   123                                       237
 QUESTAR CORP                   COMMON   748356102          93             4,800   X   123              4,800
 QWEST COMMUNICATIONS INTL      COMMON   749121109          91             1,825   X   123                200                  1,625
 R & B FALCON WTS 144A          WTS      74912E119       6,785            13,150   X   123             11,650      1,250         250
 DRESDNER RCM GLBL TECH FD      MUT FND  74935P703          47               669   X   123                                       669
 R H DONNELLEY                  COMMON   74955W307      24,542         1,266,660   X   123          1,024,160     27,500     215,000
 RGS ENERGY GROUP INC           COMMON   74956K104         180             8,100   X   123                900                  7,200
 RPM INC OHIO                   COMMON   749685103          69             6,863   X   123                                     6,863
 RADIAN GROUP INC               COMMON   750236101      16,803           324,700   X   123            261,800      7,700      55,200
 RADIO ONE INC                  COMMON   75040P108      19,166           648,315   X   123            489,315     47,800     111,200
 RADIO ONE INC CL D NON VTG     COMMON   75040P405      28,307         1,283,030   X   123            965,030     95,600     222,400
 RADIOSHACK CORP                COMMON   750438103       4,936           104,200   X   123             34,600                 69,600
 RAMBUS INC                     COMMON   750917106       2,050            19,900   X   123             17,200      2,700
 RALSTON-RALSTON PURINA GRP     COMMON   751277302          10               500   X   123                500
 RAMCO GERSHENSON PPTYS         COMMON   751452202          12               789   X   123                                       789
 RATIONAL SOFTWARE CORP         COMMON   75409P202       3,206            34,500   X   123             30,900      3,600
 RAYTHEON CO CL A               COMMON   755111309       2,662           136,933   X   123            135,984                    949
 RAYTHEON CO CL B               COMMON   755111408       1,849            96,065   X   123             58,000        400      37,665
 READERS DIGEST ASSN CL A       COMMON   755267101       4,353           109,500   X   123             77,800                 31,700
 REALNETWORKS INC               COMMON   75605L104       2,174            43,000   X   123             36,300      3,300       3,400
 RECKSON ASSOCIATES REALTY CORP COMMON   75621K106      16,601           699,000   X   123            556,400     18,500     124,100
 REDBACK NETWORKS               COMMON   757209101       3,565            19,900   X   123             17,000      2,900
 REGAL BELOIT                   COMMON   758750103         339            21,100   X   123             14,300                  6,800
 REGAL COMMUNICATIONS CORP      COMMON   758756308                         7,000   X   123                                     7,000
 REGENT COMMUNICATIONS INC      COMMON   758865109       9,545         1,110,700   X   123            867,800     23,900     219,000
 REGIONS FINANCIAL CORP         COMMON   758940100           8               400   X   123                400
 REINSURANCE GRP OF AMERICA     COMMON   759351109         783            26,000   X   123             21,600                  4,400
 RELIANT ENERGY INC             COMMON   75952J108         307            10,400   X   123              5,300                  5,100
 RELIASTER FINANCIAL CORP       COMMON   75952U103      27,187           518,470   X   123            199,170                319,300
 REMEC INC                      COMMON   759543101       7,663           183,000   X   123            148,000      3,800      31,200
 RENAL CARE GROUP INC           COMMON   759930100      14,691           600,800   X   123            493,100     15,600      92,100
 REPSOL ADR                     ADR      76026T205         574            28,950   X   123             16,950                 12,000
 REPUBLIC BANCORP               COMMON   760282103          35             3,918   X   123                                     3,918
 REPUBLIC SERVICES INC          COMMON   760759100       7,421           463,800   X   123            376,000                 87,800
 RESMED INC                     COMMON   761152107         107             4,000   X   123                                     4,000
 RESPIRONICS INC                COMMON   761230101      16,785           932,500   X   123            762,700     22,200     147,600
 REUTERS HLDGS PLC ADS          ADR      76132M102       3,439            34,407   X   123              4,332                 30,075
 RJR TOBACCO HLDGS              COMMON   76182K105         185             6,631   X   123                                     6,631
 RICHARDSON ELEC SUB DEB CONV   CV BND   763165AB3      18,757           957,283   X   123            666,602    279,091      11,589
 RIO TINTO PLC-SPON ADR         ADR      767202104          20               300   X   123                300
 ROADWAY EXPRESS INC            COMMON   769742107           4               175   X   123                                       175
 ROBOTIC VISIONS SYSTEMS INC    COMMON   771074101       6,125           340,300   X   123            261,200     16,800      62,300
 ROCHESTER FUND MUNICIPAL       MUT FND  771362100          48             2,829   X   123              2,829
 ROCKEFELLER CTR PPTYS EURO CV  CV BND   773102AA6      83,622        22,926,365   X   123         19,367,078  3,305,956     253,330
 ROCKWELL INTL (NEW)            COMMON   773903109         364            11,560   X   123              1,400                 10,160
 ROGERS COMM INC CONV           CV BND   775109AE1      83,009         2,920,833   X   123          2,731,809     89,357      99,667
 ROGERS CORP                    COMMON   775133101         396            11,300   X   123                                    11,300
 ROHM & HAAS                    COMMON   775371107      17,156           497,286   X   123            227,626     21,500     248,160
 ROWAN COS                      COMMON   779382100       6,008           197,800   X   123             53,200                144,600
 ROYAL DUTCH PETROLEUM CO       COMMON   780257804      11,213           182,135   X   123             85,405                 96,730
 RUBY TUESDAY INC               COMMON   781182100       7,249           577,000   X   123            459,000     12,400     105,600
 INVESTMENT DISCRETION  A = SOLE
                        B = SHARED-AS DEFINED IN INSTR Y
                        C = SHARED-OTHER
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
 PG 23        FORM 13F      NAME OF REPORTING MANAGER  LOOMIS SAYLES & CO., INC     06/30/00
                                                                                                           VOTING AUTHORITY (SHARES)
            ITEM 1              ITEM 2     ITEM 3      ITEM 4     ITEM 5     ITEM 6     ITEM 7                 ITEM 8
                                                                        INVEST DISCRETION
         NAME OF ISSUER         CLASS      CUSIP       MKT VAL            SHARES A B C MANAGERS     (A)SOLE    (B)SHARED    (C)NONE
                                                        (000)                                       ---------  ---------   ---------
<S>      <C>                    <C>      <C>           <C>        <C>      <C>     <C> <C>          <C>        <C>         <C>
 RUSS BERRIE & CO INC           COMMON   782233100          29             1,500   X   123              1,500
 RUSSELL CORP                   COMMON   782352108      10,072           503,600   X   123            412,900     14,600      76,100
 RYDER SYSTEM                   COMMON   783549108       5,100           269,300   X   123            264,200                  5,100
 SBC COMMUNICATIONS INC         COMMON   78387G103     190,374         4,401,705   X   123          2,439,478     31,275   1,930,952
 SBA COMMUNICATIONS CORP        COMMON   78388J106      31,886           613,934   X   123            574,034                 39,900
 SCI SYSTEMS INC                COMMON   783890106       7,485           191,000   X   123            148,700      2,400      39,900
 SDL INC                        COMMON   784076101      52,239           183,175   X   123             84,350     28,025      70,800
 SK TELECOM CO LTD -ADR         ADR      78440P108          95             2,600   X   123                         2,600
 SLM HOLDING CORP               COMMON   78442A109          56             1,500   X   123                300                  1,200
 S & P 500 DEPOSITARY RCPT      COMMON   78462F103         671             4,620   X   123              4,620
 SPX CORP                       COMMON   784635104      19,471           161,000   X   123            129,600      3,100      28,300
 S3 INC SUB DEB CONV            CV BND   784849AC5      26,055         1,415,764   X   123          1,183,974    187,565      44,225
 SABRE  HOLDINGS CORP           COMMON   785905100       1,633            57,304   X   123             56,365                    939
 SAFEGUARD SCIENTIFIC           COMMON   786449108          74             2,300   X   123                500                  1,800
 SAFETY-KLEEN CORP              COMMON   78648R203           6            10,200   X   123              1,200                  9,000
 SAFEWAY INC                    COMMON   786514208         746            16,570   X   123              9,170                  7,400
 ST JUDE MEDICAL INC            COMMON   790849103          26               569   X   123                                       569
 ST PAUL COS                    COMMON   792860108       4,569           133,883   X   123             53,600                 80,283
 SALOMON BROTHERS FUND          MUT FND  795477108         105             5,961   X   123              1,802                  4,159
 SANMINA CORP                   COMMON   800907107      12,257           143,360   X   123            114,380      3,080      25,900
 SANTA FE SNYDER CORP           COMMON   80218K105      10,024           881,200   X   123            715,900     24,400     140,900
 SAPPI LTD -SPONS ADR           ADR      803069202       9,382         1,272,100   X   123            580,250     10,000     681,850
 SARA LEE                       COMMON   803111103      65,388         3,385,794   X   123          1,622,909     24,400   1,738,485
 SAWTEK INC                     COMMON   805468105       9,889           171,800   X   123            115,000     56,800
 SCANA CORP                     COMMON   80589M102          99             4,100   X   123              4,100
 SCHERING-PLOUGH                COMMON   806605101      83,316         1,649,831   X   123            910,403     12,550     726,878
 SCHLUMBERGER LTD               COMMON   806857108      37,732           505,615   X   123            209,579     12,150     283,886
 SCHOLASTIC CORP CVT 144A       CV BND   807066AA3      14,866           188,515   X   123            176,155                 12,360
 SCHOOL SPECIALTY INC           COMMON   807863105       4,544           244,800   X   123            178,000     12,000      54,800
 SCHULER HOMES SUB CONV DEB     CV BND   808188AA4      25,296         1,448,481   X   123          1,196,165    195,055      57,261
 SCHWAB CHARLES CORP            COMMON   808513105      34,667         1,030,981   X   123            427,395     19,050     584,536
 SCIENTIFIC ATL                 COMMON   808655104       1,162            15,600   X   123             11,400                  4,200
 SCORE BOARD INC                COMMON   809173206                             2   X   123                  2
 SCOTTISH POWER PLC ADR         ADR      81013T705         326             9,742   X   123              1,392                  8,350
 SCOTTS COMPANY                 COMMON   810186106      10,019           274,500   X   123            224,100      6,900      43,500
 SCRIPPS CO (E.W.) -CL A        COMMON   811054204       6,013           122,100   X   123            100,900                 21,200
 SCUDDER INTERNATIONAL FUND     MUT FND  811165109          99             1,540   X   123                                     1,540
 SCUDDER GREATER EURO GRWTH FD  MUT FND  811165406          44             1,298   X   123                                     1,298
 SCUDDER EMRG MRKS GRWITH       MUT FND  811165505          22             1,601   X   123                                     1,601
 SEAGATE TECHNOLOGY             COMMON   811804103       1,430            26,000   X   123             16,000                 10,000
 SEAGRAM CO LTD                 COMMON   811850106          41               700   X   123                700
 SEALED AIR CORP                COMMON   81211K100      36,639           699,545   X   123            505,860     12,950     180,735
 SEALED AIR CORP CONV PFD $2.00 CV PFD   81211K209         218             3,810   X   123                503                  3,307
 SEARS ROEBUCK & CO             COMMON   812387108         317             9,721   X   123              3,000                  6,721
 SECURITY NATL CORP SIOUX CITY  COMMON   814784104         829            16,575   X   123             16,575
 SEGUE SOFTWARE INC             COMMON   815807102         196            23,400   X   123             23,400
 SENIOR HOUSING PROP TR         COMMON   81721M109           8             1,040   X   123              1,000                     40
 SENSORMATIC ELECTRONICS CORP   COMMON   817265101       6,034           381,600   X   123            311,700      6,100      63,800
 SEPRACOR INC                   COMMON   817315104       1,725            14,300   X   123             11,800      2,500
 SERENA SOFTWARE INC            COMMON   817492101      12,223           269,200   X   123            119,200     54,900      95,100
 SERVICEMASTER CO               COMMON   81760N109          58             5,062   X   123                                     5,062
 SHELL TRNSPORT & TRADING ADR   ADR      822703609          30               600   X   123                                       600
 SHERWIN WILLIAMS               COMMON   824348106         136             6,400   X   123              3,000                  3,400
 SIEBEL SYSTEMS INC             COMMON   826170102      60,698           371,100   X   123            201,100      4,600     165,400
 SIENA HLDGS INC                COMMON   826203101                           407   X   123                407
 INVESTMENT DISCRETION  A = SOLE
                        B = SHARED-AS DEFINED IN INSTR Y
                        C = SHARED-OTHER
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
 PG 24        FORM 13F      NAME OF REPORTING MANAGER  LOOMIS SAYLES & CO., INC     06/30/00
                                                                                                           VOTING AUTHORITY (SHARES)
            ITEM 1              ITEM 2     ITEM 3      ITEM 4     ITEM 5     ITEM 6     ITEM 7                 ITEM 8
                                                                        INVEST DISCRETION
         NAME OF ISSUER         CLASS      CUSIP       MKT VAL            SHARES A B C MANAGERS     (A)SOLE    (B)SHARED    (C)NONE
                                                        (000)                                       ---------  ---------   ---------
<S>                             <C>      <C>           <C>        <C>                               <C>        <C>         <C>
 SIGMA ALDRICH                  COMMON   826552101          23               800   X   123                                       800
 SILICON GRAPHICS SR CONV NTS   CV BND   827056AC6      15,082           682,069   X   123            642,069     40,000
 SILICON STORAGE TECH INC       COMMON   827057100      14,698           166,427   X   123             73,727     34,000      58,700
 SILICON VALLEY BANCSHARES      COMMON   827064106      20,498           480,900   X   123            212,900     98,300     169,700
 SILVERLINE TECHNOLOGIES -ADR   ADR      828408104          45             2,100   X   123                         2,100
 SIMON PROPERTY GROUP INC       COMMON   828806109       6,293           283,608   X   123            107,300     11,000     165,308
 SIZELER PROP INV SUB CONV DEB  CV BND   830137AA3       5,771           498,077   X   123            355,769     76,923      65,385
 SMARTFORCE PLC -SP ADR         ADR      83170A206          48             1,000   X   123              1,000
 SMITH BARNEY LARGE CAP GROWTH  MUT FND  83181J816         110             4,284   X   123              4,284
 SMITH A.O. CORP                COMMON   831865209         451            21,550   X   123             14,750                  6,800
 SMITHKLINE BEECHAM SPONS ADR   ADR      832378301       7,827           120,066   X   123             62,888        400      56,778
 SMURFIT-STONE CONTAINER CORP   COMMON   832727101          33             2,600   X   123                                     2,600
 SOFTNET SYSTEMS                COMMON   833964109           6               600   X   123                                       600
 SOLECTRON CORP                 COMMON   834182107      33,238           793,750   X   123            293,900     23,900     475,950
 SOLUTIA INC                    COMMON   834376105      10,650           774,575   X   123            747,150     22,200       5,225
 SONIC CORP                     COMMON   835451105      13,627           463,900   X   123            386,400     11,500      66,000
 SOUND WORKS INTL INC           COMMON   836112102           1            10,000   X   123                                    10,000
 SOUTH AFRICAN BREWER SP ADR    ADR      836216309                             9   X   123                                         9
 SOUTHERN CO                    COMMON   842587107       3,334           143,000   X   123             78,300                 64,700
 SOUTHTRUST CORP                COMMON   844730101          14               600   X   123                300                    300
 SOUTHWEST AIRLINES             COMMON   844741108       2,911           153,700   X   123            120,200        300      33,200
 SPARTECH CORP                  COMMON   847220209      10,579           391,800   X   123            318,200     10,000      63,600
 SPECTRA PHYSICS LASERS INC     COMMON   847568102       2,154            30,800   X   123             30,800
 SPEEDFAM-IPEC INC              COMMON   847705100         687            37,800   X   123             37,800
 SPIEKER PROPERTIES INC         COMMON   848497103       1,992            43,300   X   123             32,300                 11,000
 SPINNAKER EXPLORATION CO       COMMON   84855W109       4,559           177,900   X   123            120,100                 57,800
 SPRINGS INDUSTRIES INC CL A    COMMON   851783100         701            21,900   X   123             17,700                  4,200
 SPRINT CORP                    COMMON   852061100      49,522           971,025   X   123            528,480      1,200     441,345
 SPRINT CORP (PCS GROUP)        COMMON   852061506       5,060            85,034   X   123             20,200                 64,834
 ST ASSEMBLY TEST SVC ADR       ADR      85227G102         167             6,500   X   123                         6,500
 STANCORP FINANCIAL GROUP       COMMON   852891100       1,545            48,100   X   123             33,300                 14,800
 STANLEY WORKS                  COMMON   854616109         238            10,000   X   123              5,000                  5,000
 STAPLES INC                    COMMON   855030102       1,678           109,150   X   123             36,050     10,350      62,750
 STARBUCKS CORP                 COMMON   855244109          53             1,400   X   123              1,400
 STARWOOD HOTELS & RESORTS TR   COMMON   85590A203         251             7,700   X   123              7,700
 STATE STREET CORP              COMMON   857477103      32,323           304,750   X   123            136,300      6,100     162,350
 STATE STR INVT CORP            MUT FND  857483101         219            15,147   X   123             15,147
 STATEN ISLAND BANCORP INC      COMMON   857550107         509            28,900   X   123             20,500                  8,400
 STEARNS & LEHMAN INC           COMMON   857890107           3             1,000   X   123                                     1,000
 STERLING BANCSHARES INC TX     COMMON   858907108         250            23,100   X   123             10,000                 13,100
 STERIS CORP                    COMMON   859152100       8,122           915,100   X   123            745,100     25,200     144,800
 STEWART INFO SVCS              COMMON   860372101          12               800   X   123                                       800
 STMICROELECTRONICS NV-NY SHS   COMMON   861012102         186             2,900   X   123                         1,600       1,300
 STORAGE NETWORKS INC           COMMON   86211E103       1,444            16,000   X   123             13,900      2,100
 STRATOS LIGHTWARE INC          COMMON   863100103       1,129            40,500   X   123             25,400      2,250      12,850
 STRATTEC SECURITY CORP         COMMON   863111100          14               418   X   123                                       418
 STRYKER CORP                   COMMON   863667101       9,224           210,830   X   123             90,030        200     120,600
 SUN COMMUNITIES INC            COMMON   866674104       1,294            38,700   X   123             27,400                 11,300
 SUN MICROSYSTEMS               COMMON   866810104      42,319           465,367   X   123            203,847      8,150     253,370
 SUNGARD DATA SYSTEMS           COMMON   867363103      35,753         1,153,335   X   123            887,810     49,000     216,525
 SUNOCO INC                     COMMON   86764P109          59             2,000   X   123              1,000                  1,000
 SUNTRUST BANK                  COMMON   867914103         413             9,040   X   123              8,540                    500
 SUPERTEX INC                   COMMON   868532102      15,849           315,400   X   123            296,150                 19,250
 SUPERVALU INC                  COMMON   868536103         114             6,000   X   123              1,200                  4,800
 SYBASE INC                     COMMON   871130100       3,825           166,324   X   123            139,400                 26,924
 INVESTMENT DISCRETION  A = SOLE
                        B = SHARED-AS DEFINED IN INSTR Y
                        C = SHARED-OTHER
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
 PG 25        FORM 13F      NAME OF REPORTING MANAGER  LOOMIS SAYLES & CO., INC     06/30/00
                                                                                                           VOTING AUTHORITY (SHARES)
            ITEM 1              ITEM 2     ITEM 3      ITEM 4     ITEM 5     ITEM 6     ITEM 7                 ITEM 8
                                                                        INVEST DISCRETION
         NAME OF ISSUER         CLASS      CUSIP       MKT VAL            SHARES A B C MANAGERS     (A)SOLE    (B)SHARED    (C)NONE
                                                         (000)                                      ---------  ---------   ---------
 <S>                            <C>      <C>           <C>             <C>       <C> <C>            <C>        <C>         <C>
 SYBRON INTL                    COMMON   87114F106       5,708           288,100   X   123            218,600                 69,500
 SYCAMORE NETWORKS INC          COMMON   871206108         132             1,200   X   123                         1,200
 SYMANTEC CORP                  COMMON   871503108       4,374            81,100   X   123             46,800                 34,300
 SYSCO CORP                     COMMON   871829107       1,761            41,800   X   123             26,400                 15,400
 TCF FINANCIAL CORP             COMMON   872275102       1,028            40,000   X   123                                    40,000
 TD WATERHOUSE GROUP            COMMON   872362108           9               500   X   123                500
 TECO ENERGY INC                COMMON   872375100         209            10,420   X   123             10,320                    100
 TEPPCO PARTNERS L P            COMMON   872384102          66             2,800   X   123                                     2,800
 TJX COMPANIES INC              COMMON   872540109      64,464         3,438,093   X   123          2,215,193      2,600   1,220,300
 TRW INC                        COMMON   872649108          69             1,600   X   123                                     1,600
 TXU CORP                       COMMON   873168108      31,335         1,062,209   X   123            419,450     35,000     607,759
 TAIWAN SEMICONDUCTOR ADR       ADR      874039100         107             2,752   X   123                         2,752
 TALBOTS INC                    COMMON   874161102      22,037           401,135   X   123            171,485     82,300     147,350
 TALK.COM                       COMMON   874264104         194            33,300   X   123             33,300
 TANKNOLOGY-NDE INTL INC        COMMON   87583E101                         2,000   X   123                                     2,000
 TARGET CORP                    COMMON   87612E106      42,766           737,341   X   123            465,734      1,300     270,307
 TECHNE CORP                    COMMON   878377100       5,421            41,700   X   123                600                 41,100
 TEKELEC                        COMMON   879101103      14,871           308,600   X   123            249,000      6,900      52,700
 TEKTRONIX                      COMMON   879131100      17,590           237,700   X   123            187,100      4,800      45,800
 TELCOM SEMICONDUCTOR INC       COMMON   87921P107      13,477           336,400   X   123            325,800                 10,600
 TELE NORTE LESTE PART -ADR     ADR      879246106           2                82   X   123                                        82
 TELE SUDESTE CELULAR PARTICIPA ADR      879252104           4               140   X   123                                       140
 TELEBRAS SPON ADR              ADR      879287100                         1,410   X   123                710                    700
 TELEBRAS SPON ADR PFD BLOCK    ADR      879287308          68               700   X   123                                       700
 TELECOMUNICACOES DE S.P.       ADR      87929A102          13               700   X   123                                       700
 TELEFLEX INC                   COMMON   879369106       1,725            48,250   X   123             20,450                 27,800
 TELEFONOS DE MEXICO S P ADR  L ADR      879403780         234             4,100   X   123                         1,300       2,800
 TELLABS INC                    COMMON   879664100         712            10,400   X   123              1,400                  9,000
 TELXON CORP                    COMMON   879700102       3,035           169,800   X   123            130,600      6,000      33,200
 TELXON CORP SUB CONV NTS       CV BND   879700AC6      14,785           624,399   X   123            424,400    167,273      32,727
 TEMPLE INLAND INC              COMMON   879868107       4,275           101,774   X   123             92,000                  9,774
 TEMPLETON DEV MKTS TR CL I     MUT FND  88018W104         269            20,531   X   123                                    20,531
 TEMPLETON EMERG MKTS INC FD    MUT FND  880192109          23             2,281   X   123              2,281
 TEMPLETON FOREIGN FD           MUT FND  880196209         660            61,978   X   123                                    61,978
 TENET HEALTHCARE CORP          COMMON   88033G100     167,618         6,208,066   X   123          3,579,956     56,300   2,571,810
 TENET HEALTHCARE SUB NTS CVT   CV BND   88033GAD2      21,279           665,024   X   123            570,343     84,305      10,376
 TENNECO AUTOMOTIVE             COMMON   880349105         213            40,575   X   123              4,120                 36,455
 TERADYNE INC                   COMMON   880770102       1,404            19,100   X   123             13,800                  5,300
 TERAYON COMMUNICATIONS SYS     COMMON   880775101       2,762            43,000   X   123             37,700      4,300       1,000
 TERRAMAR CORP                  COMMON   881027106                           133   X   123                                       133
 TEVA PHARMACEUTICALS -SP ADR   COMMON   881624209       2,739            49,400   X   123             36,500                 12,900
 TETRA TECH INC                 COMMON   88162G103      12,216           534,025   X   123            438,275     12,775      82,975
 TEXACO INC                     COMMON   881694103      61,210         1,149,476   X   123            585,022      1,300     563,154
 TEXAS INSTRUMENTS              COMMON   882508104      39,564           576,000   X   123            245,710     11,100     319,190
 TEXTRON INC                    COMMON   883203101         572            10,536   X   123              3,300                  7,236
 TEXTRON INC CV PFD A           CV PFD   883203200         101             2,108   X   123              2,108
 THERAGENICS CORP               COMMON   883375107         652            76,100   X   123             59,600                 16,500
 THERMO ELECTRON CORP           COMMON   883556102         150             7,100   X   123                                     7,100
 THERMO ELECTRON DEB CONV 144A  CV BND   883556AF9     199,876         5,731,952   X   123          5,388,301    148,809     194,841
 THERMO INSTRUMENT 144A CVT DEB CV BND   883559AC0      34,697         1,133,058   X   123          1,075,012     29,023      29,023
 THERMO TERRATECH SUB CONV 144A CV BND   883598AA2      24,600         1,738,365   X   123          1,615,346                123,019
 THERMEDICS INC SUB CONV        CV BND   883901AD2          38             3,148   X   123              3,148
 THOMAS & BETTS                 COMMON   884315102         746            39,007   X   123             24,700                 14,307
 3COM                           COMMON   885535104      11,159           193,650   X   123            132,900     19,700      41,050
 3DO COMPANY                    COMMON   88553W105         692            88,200   X   123             66,600                 21,600
 INVESTMENT DISCRETION  A = SOLE
                        B = SHARED-AS DEFINED IN INSTR Y
                        C = SHARED-OTHER
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
 PG 26        FORM 13F      NAME OF REPORTING MANAGER  LOOMIS SAYLES & CO., INC     06/30/00
                                                                                                           VOTING AUTHORITY (SHARES)
            ITEM 1              ITEM 2     ITEM 3      ITEM 4     ITEM 5     ITEM 6     ITEM 7                 ITEM 8
                                                                        INVEST DISCRETION
         NAME OF ISSUER         CLASS      CUSIP       MKT VAL            SHARES A B C MANAGERS     (A)SOLE    (B)SHARED    (C)NONE
                                                        (000)                                       ---------  ---------   ---------
 <S>                            <C>      <C>           <C>             <C>       <C> <C>            <C>        <C>         <C>
 THREE FIVE SYSTEMS INC         COMMON   88554L108      18,471           313,075   X   123            293,425                 19,650
 TIBCO SOFTWARE INC             COMMON   88632Q103       3,700            34,500   X   123             28,900      5,600
 TIDEWATER                      COMMON   886423102      24,138           670,500   X   123            586,800      8,000      75,700
 TIFFANY & CO                   COMMON   886547108       1,721            25,500   X   123             22,900      2,600
 TIME WARNER INC                COMMON   887315109      55,180           726,052   X   123            360,480      8,700     356,872
 TITAN INTL INC                 COMMON   88830M102           5             1,000   X   123                                     1,000
 TOLL BROTHERS INC              COMMON   889478103      13,932           679,600   X   123            638,325                 41,275
 TOLLGRADE COMMUNICATIONS       COMMON   889542106      34,688           261,800   X   123            245,900                 15,900
 TOO INC                        COMMON   890333107          19               756   X   123                756
 TORCHMARK CORP                 COMMON   891027104         294            11,926   X   123              2,000                  9,926
 TOSCO CORP                     COMMON   891490302       6,292           222,225   X   123            161,900     16,600      43,725
 TOWER AUTOMOTIVE INC           COMMON   891707101       2,198           175,800   X   123            163,500                 12,300
 TOYOTA MOTOR CORP UNSP ADR     COMMON   892331307          43               457   X   123                                       457
 TRANS INDS INC                 COMMON   893239103          26             5,672   X   123                                     5,672
 TRANSWITCH CORP                COMMON   894065101      62,244           806,395   X   123            601,495     66,350     138,550
 TREDEGAR INDS                  COMMON   894650100       1,368            72,000   X   123                                    72,000
 TRI CONTL CORP                 MUT FND  895436103       1,129            44,698   X   123             36,478                  8,220
 TRIAD HOSPITALS INC            COMMON   89579K109           1                34   X   123                                        34
 TRIGEN ENERGY CORP             COMMON   895930105          86             3,700   X   123                                     3,700
 TRICON GLOBAL RESTAURANTS      COMMON   895953107          50             1,760   X   123                240                  1,520
 TRIBUNE CO                     COMMON   896047107      31,271           893,451   X   123             44,700                848,751
 TRICO MARINE SERVICES INC      COMMON   896106101      39,651         3,109,857   X   123          2,806,031    256,414      47,412
 TRIGON HEALTHCARE INC          COMMON   89618L100      10,209           198,000   X   123            155,200      2,700      40,100
 TRIMERIS INC                   COMMON   896263100       4,854            69,400   X   123             30,800     14,200      24,400
 TRUE NORTH COMMUNICATIONS      COMMON   897844106         132             3,000   X   123                                     3,000
 TUT SYSTEMS INC                COMMON   901103101      19,591           341,450   X   123            320,650                 20,800
 TWEETER HOME ENTERTAINMENT     COMMON   901167106      20,347           669,852   X   123            629,252                 40,600
 TYCO INTERNATIONAL LTD         COMMON   902124106      79,681         1,681,931   X   123            978,453      5,578     697,900
 UAM STERLING SM CAP VAL -I     MUT FND  902555432         306            21,911   X   123                                    21,911
 UMB FINANCIAL CORP             COMMON   902788108           4               110   X   123                                       110
 USX-MARATHON GRP COM NEW       COMMON   902905827      53,787         2,146,111   X   123          1,049,105      3,000   1,094,006
 US RESTAURANT PROPERTIES       COMMON   902971100         359            40,200   X   123             40,200
 U S BANCORP                    COMMON   902973106      39,529         2,053,470   X   123          1,368,020     42,300     643,150
 USAA INTERNATIONAL             MUT FND  903287308         849            36,309   X   123                                    36,309
 U.S. FOODSERVICE               COMMON   90331R101         329            12,700   X   123                                    12,700
 ULTRAMAR DIAMOND SHAMROCK CORP COMMON   904000106         171             6,900   X   123                                     6,900
 UNICAPITAL CORP                COMMON   90459D108          21            41,200   X   123              4,800                 36,400
 UNILEVER PLC SPON ADR          ADR      904767704          50             2,000   X   123              2,000
 UNILEVER NV                    COMMON   904784709          72             1,671   X   123              1,671
 UNICOM CORP                    COMMON   904911104      89,715         2,318,960   X   123          1,220,070      2,600   1,096,290
 UNION CARBIDE                  COMMON   905581104         753            15,220   X   123              8,700                  6,520
 UNION PACIFIC                  COMMON   907818108         176             4,725   X   123              2,725                  2,000
 UNION PACIFIC RESOURCES GRP    COMMON   907834105          11               508   X   123                                       508
 UNION PLANTERS CORP            COMMON   908068109           6               200   X   123                200
 UNIONBANCAL CORP               COMMON   908906100           4               200   X   123                                       200
 UNISYS CORP                    COMMON   909214108       9,290           637,960   X   123            526,710     19,100      92,150
 UNITED PARCEL SERIVCE CL B     COMMON   911312106         212             3,600   X   123              1,700                  1,900
 UNITED RENTALS INC             COMMON   911363109      10,717           625,800   X   123            621,400                  4,400
 U S WEST INC                   COMMON   91273H101      64,527           752,500   X   123            305,932     19,050     427,518
 UNITED STATIONERS INC          COMMON   913004107      12,555           387,800   X   123            315,200      9,400      63,200
 UNITED TECHNOLOGIES            COMMON   913017109      48,916           830,839   X   123            475,221      8,116     347,502
 UNITEDHEALTH GROUP             COMMON   91324P102         180             2,100   X   123                300                  1,800
 UNIVERSAL FOODS CORP           COMMON   913538104         322            17,400   X   123              9,400                  8,000
 UNIVERSAL HEALTH SERVICES CL B COMMON   913903100       2,122            32,400   X   123             23,600                  8,800
 UNIVISION COMMUNICATIONS CL A  COMMON   914906102       2,349            22,700   X   123             20,000      2,700
 INVESTMENT DISCRETION  A = SOLE
                        B = SHARED-AS DEFINED IN INSTR Y
                        C = SHARED-OTHER
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
 PG 27        FORM 13F      NAME OF REPORTING MANAGER  LOOMIS SAYLES & CO., INC     06/30/00
                                                                                                           VOTING AUTHORITY (SHARES)
            ITEM 1              ITEM 2     ITEM 3      ITEM 4     ITEM 5     ITEM 6     ITEM 7                 ITEM 8
                                                                        INVEST DISCRETION
         NAME OF ISSUER         CLASS      CUSIP       MKT VAL            SHARES A B C MANAGERS     (A)SOLE    (B)SHARED    (C)NONE
                                                        (000)                                       ---------  ---------   ---------
 <S>                            <C>      <C>           <C>             <C>       <C> <C>            <C>        <C>         <C>
 UNOCAL CORP                    COMMON   915289102       2,782            83,970   X   123             50,020                 33,950
 UNOVA INC                      COMMON   91529B106         448            61,300   X   123             47,500                 13,800
 UNUMPROVIDENT CORP             COMMON   91529Y106       5,650           281,600   X   123            279,000                  2,600
 USFREIGHTWAYS CORP             COMMON   916906100       8,312           338,400   X   123            264,900      6,700      66,800
 UROMED CORP SUB CONV NTS       CV BND   917274AC6       3,884            99,985   X   123             84,927     12,046       3,012
 USWEB CORP                     COMMON   917327108         171             4,400   X   123                                     4,400
 UTSTARCOM INC                  COMMON   918076100         114             3,750   X   123                         3,750
 V F CORP                       COMMON   918204108       1,822            76,500   X   123             50,000                 26,500
 VALASSIS COMMUNICATIONS INC    COMMON   918866104       3,915           102,700   X   123             89,700                 13,000
 VALERO ENERGY CORP             COMMON   91913Y100       1,391            43,800   X   123             30,400                 13,400
 VANGUARD U.S. GROWTH FUND      MUT FND  921910105         194             4,234   X   123              4,234
 VANGUARD ADMIRAL INTER TERM TR MUT FND  921932307         252            25,078   X   123                                    25,078
 VANGUARD WINDSOR II            MUT FND  922018205         246            10,012   X   123              9,260                    753
 VARIAN SEMICONDUCTOR EQUIPMENT COMMON   922207105      22,342           355,700   X   123            290,200      8,300      57,200
 VARIAN MEDICAL SYSTEMS INC     COMMON   92220P105       9,773           249,800   X   123            202,600      5,400      41,800
 VECTREN CORP                   COMMON   92240G101      12,803           742,196   X   123            603,975     19,096     119,125
 VEECO INSTRUMENTS INC          COMMON   922417100         264             3,600   X   123                                     3,600
 VANGUARD INDEX TR 500 PORT     MUT FND  922908108         300             2,238   X   123                874                  1,365
 VENTURE STORES INC             COMMON   923275101                            13   X   123                 13
 VERITAS SOFTWARE CORP          COMMON   923436109      43,972           389,075   X   123            151,900     11,250     225,925
 VERISIGN INC                   COMMON   92343E102       9,760            55,300   X   123             26,400      2,300      26,600
 VERITAS DGC INC                COMMON   92343P107      10,358           398,400   X   123            328,100     10,400      59,900
 VIACOM INC                     COMMON   925524100         927            13,555   X   123             13,230                    325
 VIACOM INC CL B                COMMON   925524308     153,704         2,254,141   X   123          1,085,696     50,432   1,118,014
 VIAD CORP                      COMMON   92552R109      30,141         1,106,090   X   123            807,500     34,800     263,790
 VIASYSTEMS GROUP INC           COMMON   92553H100       5,015           309,800   X   123            239,000                 70,800
 VIGNETTE CORP                  COMMON   926734104       2,075            39,900   X   123             33,300      4,200       2,400
 VISHAY INTERTECHNOLOGY INC     COMMON   928298108      17,361           457,620   X   123            364,742      9,000      83,878
 VISIBLE GENEICS INC            COMMON   92829S104       9,778           216,685   X   123            200,085                 16,600
 VISTEON CORP                   COMMON   92839U107          28             2,344   X   123                718                  1,626
 VITESSE SEMICONDUCTOR CORP     COMMON   928497106      42,703           580,500   X   123            320,200      9,600     250,700
 VODAFONE AIRTOUCH PLC -SP ADR  ADR      92857T107       1,408            33,980   X   123             21,250                 12,730
 VOICESTREAM WIRELESS CORP      COMMON   928615103          29               250   X   123                                       250
 VULCAN MATER                   COMMON   929160109       1,562            36,600   X   123             34,200                  2,400
 WABASH NATIONAL CORP           COMMON   929566107         450            37,700   X   123             29,100                  8,600
 WACHOVIA CORP                  COMMON   929771103         513             9,450   X   123              2,000                  7,450
 WADDELL & REED FINANCIAL A     COMMON   930059100          28               846   X   123                                       846
 WADDELL & REED FINL CL B       COMMON   930059209         106             3,645   X   123                                     3,645
 WAL-MART STORES INC            COMMON   931142103      50,683           879,534   X   123            439,834     12,150     427,550
 WALGREEN CO                    COMMON   931422109      34,281         1,065,050   X   123            706,900      3,500     354,650
 WALLACE COMP SVCS              COMMON   932270101         140            14,200   X   123                                    14,200
 WASHINGTON FEDERAL INC         COMMON   938824109         271            14,868   X   123                                    14,868
 WASHINGTON GAS LIGHT CO        COMMON   938837101       7,267           302,000   X   123            248,300      7,100      46,600
 WASHINGTON MUTUAL INC          COMMON   939322103      10,612           367,506   X   123            328,261                 39,245
 AMERICAN FDS-WASH MUTUAL INV   MUT FND  939330106         716            25,443   X   123                                    25,443
 WASHINGTON TRUST BANCORP       COMMON   940610108         158            10,680   X   123                                    10,680
 WASTE MANAGEMENT INC           COMMON   94106L109      54,624         2,874,961   X   123          2,313,349     66,895     494,717
 WATER PIK TECHNOLOGIES         COMMON   94113U100       1,308           209,300   X   123            164,500                 44,800
 WATERS CORP                    COMMON   941848103       5,779            46,300   X   123             35,100                 11,200
 WATSON PHARM                   COMMON   942683103         118             2,200   X   123                                     2,200
 WAVE SYSTEMS CORP CL A         COMMON   943526103          16             1,000   X   123              1,000
 WEATHERFORD INTL               COMMON   947074100         583            14,636   X   123              1,805                 12,831
 WELLPOINT HEALTH NETWORKS      COMMON   94973H108       1,384            19,100   X   123             12,200                  6,900
 WELLS FARGO COMPANY            COMMON   949746101      82,022         2,116,702   X   123          1,195,789      4,225     916,688
 WENDYS INTL                    COMMON   950590109      20,338         1,141,775   X   123            910,800     19,300     211,675
 INVESTMENT DISCRETION  A = SOLE
                        B = SHARED-AS DEFINED IN INSTR Y
                        C = SHARED-OTHER
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
 PG 28        FORM 13F      NAME OF REPORTING MANAGER  LOOMIS SAYLES & CO., INC     06/30/00
                                                                                                           VOTING AUTHORITY (SHARES)
            ITEM 1              ITEM 2     ITEM 3      ITEM 4     ITEM 5     ITEM 6     ITEM 7                 ITEM 8
                                                                        INVEST DISCRETION
         NAME OF ISSUER         CLASS      CUSIP       MKT VAL            SHARES A B C MANAGERS     (A)SOLE    (B)SHARED    (C)NONE
                                                        (000)                                       ---------  ---------   ---------
  <S>                           <C>      <C>           <C>         <C>             <C> <C>      <C>            <C>         <C>
 WEST PHARMACEUTICALS SVCS      COMMON   955306105          24             1,124   X   123              1,124
 WESTERN DIGITAL CONV 144A      CV BND   958102AF2      17,696         1,355,321   X   123          1,114,495    175,113      65,714
 WESTERN DIGITAL SUB CNV ZERO C CV BND   958102AH8      10,569           809,477   X   123            727,334     74,675       7,468
 WESTERN GAS RES CONV PFD 5.25% CV PFD   958259301       8,858           327,140   X   123            253,862     56,862      16,417
 WESTVACO CORP                  COMMON   961548104       3,539           142,625   X   123            109,000                 33,625
 WESTWOOD ONE                   COMMON   961815107      20,146           590,350   X   123            254,450    122,100     213,800
 WET SEAL INC CL A              COMMON   961840105          63             4,800   X   123                600                  4,200
 WEYERHAEUSER CO                COMMON   962166104         312             7,248   X   123                400                  6,848
 WHITMAN CORP                   COMMON   96647R107         219            17,700   X   123              4,700                 13,000
 WHOLE FOODS MARKET INC         COMMON   966837106           4               100   X   123                                       100
 WILEY JOHN & SONC CL A         COMMON   968223206       6,386           283,800   X   123            234,700      6,100      43,000
 WILLAMETTE INDS INC            COMMON   969133107      29,828         1,094,622   X   123            600,420      2,500     491,702
 WILLIAMS COS INC               COMMON   969457100         498            11,938   X   123              8,789                  3,149
 WILLIAMS SONOMA INC            COMMON   969904101          32             1,000   X   123                                     1,000
 WILMINGTON TRUST CORP          COMMON   971807102      13,659           319,500   X   123            258,200      7,200      54,100
 WIND RIVER SYSTEMS             COMMON   973149107       1,288            34,000   X   123             32,500                  1,500
 WISCONSIN CENTRAL TRANSPROT    COMMON   976592105         445            34,200   X   123             26,300                  7,900
 WISCONSIN ENERGY CORP          COMMON   976657106       6,043           305,025   X   123            257,400     37,500      10,125
 WOODHEAD INDS INC              COMMON   979438108         133             7,300   X   123                                     7,300
 WORLDWAY CORP SUB CONV DEB     CV BND   98155FAA1      19,242           261,316   X   123            247,313      4,422       9,581
 WORLDCOM INC                   COMMON   98157D106     184,711         4,026,399   X   123          2,237,298     43,925   1,745,176
 WORTHINGTON INDUSTRIES         COMMON   981811102       8,078           769,350   X   123            614,700     14,600     140,050
 WRIGLEY W M JR                 COMMON   982526105       1,492            18,612   X   123             12,900                  5,712
 XILINX INC                     COMMON   983919101      72,304           875,750   X   123            443,900     11,600     420,250
 XIRCOM INC                     COMMON   983922105       4,812           101,300   X   123             82,900      2,700      15,700
 XEROX CORP                     COMMON   984121103      20,992         1,011,657   X   123            732,470     30,400     248,787
 XEROX CORP SUB DEB CONV        CV BND   984121BB8     135,608         2,036,201   X   123          1,877,309    105,798      53,094
 XYVISION SERIES B PFD          CV PFD   9841809D3          13         2,816,664   X   123                     2,816,664
 YAHOO INC                      COMMON   984332106         412             3,322   X   123              3,172                    150
 YOUNG & RUBICAM INC            COMMON   987425105          29               500   X   123                                       500
 ZALE CORP                      COMMON   988858106           5               130   X   123                                       130
 ZANY BRAINY INC                COMMON   98906Q101           1               200   X   123                200
 ZYGO CORP                      COMMON   989855101       6,439            70,900   X   123             31,450     14,550      24,900
 LERNOUT & HAUSPIE SPEECH PRODS COMMON   B5628B104          88             2,000   X   123                                     2,000
 DAIMLERCHRYSLER AG             COMMON   D1668R123         415             7,963   X   123              3,891                  4,072
 ACE LTD                        ADR      G0070K103      86,952         3,105,414   X   123          1,468,870      2,800   1,633,744
 ANNUITY AND LIFE RE HLDGS      COMMON   G03910109      14,832           605,400   X   123            482,600     13,100     109,700
 ASM PACIFIC TECHNOLOGY         COMMON   G0535Q109         277            74,000   X   123                        44,000      30,000
 EVEREST RE GROUP LTD           COMMON   G3223R108       1,440            43,800   X   123             22,500                 21,300
 GEMSTAR INTL GROUP LTD         COMMON   G3788V106         996            16,200   X   123             14,200      2,000
 GLOBAL CROSSING LTD            COMMON   G3921A100         326            12,407   X   123             11,275                  1,132
 LORAL SPACE & COMMUNICATIONS   COMMON   G56462107         152            21,869   X   123             14,469                  7,400
 MARVELL TECHNOLOGY GROUP LTD   COMMON   G5876H105       4,919            86,300   X   123             38,200     17,950      30,150
 SANTA FE INTERNATIONAL CORP    COMMON   G7805C108      33,252           951,750   X   123            832,000      9,300     110,450
 TRANSOCEAN SEDCO FOREX INC     COMMON   G90078109     105,819         1,980,233   X   123          1,224,239     14,620     741,374
 XL CAPITAL CORP                ADR      G98255105         119             2,200   X   123              2,200
 ACCORD NETWORKS LTD            COMMON   M01690102          31             3,400   X   123                         3,400
 CHECK POINT SOFTWARE TECH      COMMON   M22465104         169               800   X   123                           800
 GILAT SATELLITE NETWORKS LTD   COMMON   M51474100          56               800   X   123                           800
 CORE LABORATORIES N V          COMMON   N22717107      29,040         1,001,371   X   123            940,696                 60,675
 ROYAL CARIBBEAN CRUISES LTD    COMMON   V7780T103          41             2,200   X   123                800                  1,400
 SANWA INTL FIN BERM PFD 1.25%  CV BND   XX3012988       7,655     1,739,672,657   X   123      1,739,672,657
 FLEXTRONICS INTL LTD           COMMON   Y2573F102       3,221            46,900   X                   39,400      7,500
                  COLUMN TOTALS                   19,994,698
</TABLE>


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