BP AMOCO PLC
13F-HR, 2000-11-13
PETROLEUM REFINING
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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: September 30, 2000

Check here if Amendment [  ]; Amendment Number: ____
This Amendment (Check only one.): [  ] is a restatement.
                                  [  ] adds new holdings entries.

Institutional Investment Manager Filing this Report:

Name:    BP Amoco p.l.c.
Address: Britannic House
         1 Finsbury Circus
         London EC2m 7BA
         England

Form 13F File Number:  28-05353
                       --------

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:  Dr. J. G. S. Buchanan
Title: Group Chief Financial Officer and Executive Director
Phone: 020 7496 4157

Signature, Place, and Date of Signing:

/s/ J. Buchanan                     London                       10.11.2000
[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:        ___3______


Form 13F Information Table Entry Total:   _ 332_____
                                           ----

Form 13F Information Table Value Total:   $1,567,260
                                          ----------
                                          (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
01       28-05357                           BP Investment Management Limited
02       28-00312                           BP Amoco Corporation
03       28-05355                           BP America Inc.




<PAGE>

<TABLE>
 BP Amoco p.l.c.
 FORM 13 F Information Table
 SEPTEMBER 30, 2000
<CAPTION>

                                     TITLE                Market
                                      OF                  Value      SHARES    SH/ INVESTMENT                Voting authority
           ISSUER                    CLASS    CUSIP       ($000)    /PRN AMT   PRN DISCRETION MANAGERS SOLE       SHARED    NONE
<S>                                    <C>   <C>       <C>         <C>         <C>  <C>        <C>    <C>         <C>       <C>
ABBOTT LABORATORIES COM NPV            COM   002824100     6,659     140,000   SH   DEFINED      01     140,000
ADC TELECOMMS                          COM   000886101     1,748      65,000   SH   DEFINED      01      65,000
ADOBE SYSTEMS COM NPV                  COM   00724F101     2,329      15,000   SH   DEFINED      01      15,000
ADVANCED MICRO DEV COM $US0.01         COM   007903107       662      28,000   SH   DEFINED      01      28,000
AES COM $US0.01                        COM   00130H105     2,740      40,000   SH   DEFINED      01      40,000
AFLAC COM $US0.10                      COM   001055102     2,563      40,000   SH   DEFINED      01      40,000
AGILENT TECHNOLOGIES                   COM   00846U101     1,866      38,140   SH   DEFINED      01      38,140
AIR PRODUCTS & CHEMS COM $US1          COM   009158106     1,440      40,000   SH   DEFINED      01      40,000
ALBERTSONS COM $US1                    COM   013104104     1,050      50,000   SH   DEFINED      01      50,000
ALCAN ALUMINUM COM NPV ($US)           COM   013716105     1,302      45,000   SH   DEFINED      01      45,000
ALCOA COM $US1                         COM   013817101     2,531     100,000   SH   DEFINED      01     100,000
ALLOS THERAPEUTICS                     COM   019777101       211      23,237   SH   SOLE                 23,237
ALLSTATE COM $US0.01                   COM   020002101     2,780      80,000   SH   DEFINED      01      80,000
ALLTEL COM $US1                        COM   020039103     1,566      30,000   SH   DEFINED      01      30,000
ALTERA                                 COM   021441100     1,910      40,000   SH   DEFINED      01      40,000
AMER ELEC POWER COM $US6.50            COM   025537101     1,565      40,000   SH   DEFINED      01      40,000
AMER HOME PRODUCTS COM $US0.333        COM   026609107     7,919     140,000   SH   DEFINED      01     140,000
AMERICA ONLINE COM $US0.01             COM   02364J104    12,362     230,000   SH   DEFINED      01     230,000
AMERICAN EXPRESS COM $US0.60           COM   025816109     9,112     150,000   SH   DEFINED      01     150,000
AMERICAN GENERAL COM $US0.50           COM   026351106     4,680      60,000   SH   DEFINED      01      60,000
AMERICAN INTL GROUP COM $US2.50        COM   026874107    22,427     234,375   SH   DEFINED      01     234,375
AMGEN COM $US0.0001                    COM   031162100     8,379     120,000   SH   DEFINED      01     120,000
AMR CORP COM $US1                      COM   001765106       915      28,000   SH   DEFINED      01      28,000
ANADARKO PETROLEUM COM $US0.10         COM   032511107     1,661      25,000   SH   DEFINED      01      25,000
ANALOG DEVICES COM $US0.1667           COM   032654105     3,303      40,000   SH   DEFINED      01      40,000
ANHEUSER BUSCH COM $US1                COM   035229103     6,347     150,000   SH   DEFINED      01     150,000
APACHE COM $US1.25                     COM   037411105     2,365      40,000   SH   DEFINED      01      40,000
APPLE COMPUTER COM NPV                 COM   037833100       772      30,000   SH   DEFINED      01      30,000
APPLIED IMAGING CORP COM               COM   03820G106       210      45,500   SH   DEFINED      02      45,500
APPLIED MATERIALS COM NPV              COM   038222105     5,101      86,000   SH   DEFINED      01      86,000
ASPECT MED SYS INC COM                 COM   045235108     1,473     119,036   SH   DEFINED      02     119,036
ASSOC FIRST CAP CORP A $US0.01         COM   046008108     1,710      45,000   SH   DEFINED      01      45,000
AT & T CORP $US1                       COM   001957109    10,268     349,547   SH   DEFINED      01     349,547
AT & T WIRELESS COM $US1 (TRACK)       COM   001957406       626      30,000   SH   DEFINED      01      30,000
AUTO DATA PROCESS COM $US0.10          COM   053015103     4,012      60,000   SH   DEFINED      01      60,000
AVANEX CORP COM                        COM   05348W109     3,998      37,126   SH   DEFINED      02      37,126
AVICI SYSTEMS                          COM   05367L109     2,036      46,929   SH   SOLE                 46,929
BANK OF AMERICA COM $US0.01            COM   060505104     8,380     160,000   SH   DEFINED      01     160,000
BANK OF NEW YORK COM $US7.50           COM   064057102     4,485      80,000   SH   DEFINED      01      80,000
BANK ONE COM $US0.01                   COM   06423A103     3,862     100,000   SH   DEFINED      01     100,000
BAXTER INTERNATIONAL COM $US1          COM   071813109     2,793      35,000   SH   DEFINED      01      35,000
BB&T                                   COM   054937107       603      20,000   SH   DEFINED      01      20,000
BE FREE INC COM                        COM   073308108     1,416     333,088   SH   DEFINED      02     333,088
BECTON DICKINSON COM $US1              COM   075887109       661      25,000   SH   DEFINED      01      25,000
BELL ATLANTIC COM $US0.10              COM   077853109    12,342     254,800   SH   DEFINED      01     254,800
BELLSOUTH COM $US1                     COM   079860102     6,842     170,000   SH   DEFINED      01     170,000
BESTFOODS COM $US0.25                  COM   08658U101     2,546      35,000   SH   DEFINED      01      35,000
BIOGEN COM $US0.01                     COM   090597105       854      14,000   SH   DEFINED      01      14,000
BLACK & DECKER COM $US0.50             COM   091797100     1,197      35,000   SH   DEFINED      01      35,000
BMC SOFTWARE COM $US0.01               COM   055921100       478      25,000   SH   DEFINED      01      25,000
BOEING COM $US5                        COM   097023105     5,670      90,000   SH   DEFINED      01      90,000
BOSTON SCIENTIFIC COM $US0.01          COM   101137107       986      60,000   SH   DEFINED      01      60,000
BRANDYWINE REALTY TR COM $US0.01       COM   105368203       899      44,400   SH   DEFINED      01      44,400
BRISTOL MYERS SQUIBB COM $US0.10       COM   110122108    12,567     220,000   SH   DEFINED      01     220,000
BROADCOM CL A                          COM   111320107     4,875      20,000   SH   DEFINED      01      20,000
BURLINGTON NTH SANTA COM $US0.01       COM   12189T104     1,294      60,000   SH   DEFINED      01      60,000
BURLINGTON RESOURCES COM $US0.01       COM   122014103       917      24,900   SH   DEFINED      01      24,900
C CUBE MICROSYSTEMS INC NEW COM        COM   12501N108       283      13,782   SH   DEFINED      02      13,782
CARNIVAL CORP CL A $US0.01             COM   143658102       985      40,000   SH   DEFINED      01      40,000
CARSO GLOBAL TELECOM ADR (2 ORD)       ADR   14574P107     1,540     320,000   SH   DEFINED      01     320,000
CATERPILLAR COM $US1                   COM   149123101     1,687      50,000   SH   DEFINED      01      50,000
CENDANT COM $US0.01                    COM   151313103     1,740     160,000   SH   DEFINED      01     160,000
CENTURYTEL COM $US1                    COM   156700106       272      10,000   SH   DEFINED      01      10,000
CHASE MANHATTAN COM $US1.00            COM   16161A108     7,390     616,507   SH   DEFINED      01     616,507
CHEVRON COM $US1.50                    COM   166751107     4,689      55,000   SH   DEFINED      01      55,000
CHORDIANT SOFTWARE,INC                 COM   170404107       443      57,125   SH   DEFINED      02      57,125
CHORDIANT SOFTWARE,INC                 COM   170404107       139      22,850   SH   SOLE                 22,850
CHUBB                                  COM   171232101     1,978      25,000   SH   DEFINED      01      25,000
CIGNA COM $US1                         COM   125509109     3,132      30,000   SH   DEFINED      01      30,000
CIRCUIT CITY STORE COM $US0.50         COM   172737108     1,610      70,000   SH   DEFINED      01      70,000
CISCO SYS INC COM                      COM   17275R102     7,233     130,918   SH   DEFINED      02     130,918
CISCO SYSTEMS COM $US0.001             COM   17275R102    36,189     655,000   SH   DEFINED      01     655,000
CITIGROUP COM $US0.01                  COM   172967101    25,770     476,666   SH   DEFINED      01     476,666
CITRIX SYSTEMS COM $US0.001            COM   177376100       421      21,000   SH   DEFINED      01      21,000
CLEAR CHANNEL COMM COM $US0.10         COM   184502102     5,085      90,000   SH   DEFINED      01      90,000
CMGI INC COM                           COM   125750109     3,516     125,869   SH   DEFINED      02     125,869
CNET NETWORKS, INC                     COM   12613R104     1,626      66,765   SH   DEFINED      02      66,765
CNET NETWORKS, INC                     COM   12613R104       385      16,755   SH   SOLE                 16,755
COASTAL COM $US0.333                   COM   190441105     2,224      30,000   SH   DEFINED      01      30,000
COCA COLA $US0.25                      COM   191216100    13,230     240,000   SH   DEFINED      01     240,000
COLGATE-PALMOLIVE COM $US1             COM   194162103     5,192     110,000   SH   DEFINED      01     110,000
COMCAST A SPECIAL COM $US1             COM   200300200     4,503     110,000   SH   DEFINED      01     110,000
COMPAQ COMPUTER COM $US0.01            COM   204493100     5,240     190,000   SH   DEFINED      01     190,000
COMPUTER ASSOC INTL COM $US0.10        COM   204912109     1,385      55,000   SH   DEFINED      01      55,000
COMPUTER SCIENCES COM $US1             COM   205363104     1,485      20,000   SH   DEFINED      01      20,000
COMPUWARE COM $US0.01                  COM   205638109       335      40,000   SH   DEFINED      01      40,000
COMVERSE TECHNOLOGY COM $US0.1         COM   205862402     1,620      15,000   SH   DEFINED      01      15,000
CONCORD COMMUNICATIONS INC COM         COM   206186108     1,918      72,363   SH   DEFINED      02      72,363
CONEXANT SYS INC COM                   COM   207142100     3,503      83,659   SH   DEFINED      02      83,659
CONEXANT SYSTEMS COM $US0.01           COM   207142100       754      18,000   SH   DEFINED      01      18,000
CONS EDISON NY COM $US0.10             COM   209115104     2,730      80,000   SH   DEFINED      01      80,000
CONTROL COM DE MEX GDR (20BC UT)       GDR   21238A206       260      11,400   SH   DEFINED      01      11,400
CORNING COM $US0.5                     COM   219350105     8,168      27,500   SH   DEFINED      01      27,500
COSTCO WHOLESALE COM $US0.10           COM   22160K105     4,088     117,000   SH   DEFINED      01     117,000
COULTER PHARMACEUTICAL INC COM         COM   222116105       431      14,935   SH   DEFINED      02      14,935
CP&L ENERGY COM NPV                    COM   144141108     2,084      50,000   SH   DEFINED      01      50,000
CREATIVE TECHNOLOGY COM $S0.25         COM   225290402     4,669     225,000   SH   DEFINED      01     225,000
CVS COM $US0.01                        COM   126650100     3,473      75,000   SH   DEFINED      01      75,000
DANA COM $US1                          COM   235811106       430      20,000   SH   DEFINED      01      20,000
DAYTON HUDSON COM $US0.1667            COM   239753106     4,233     165,200   SH   DEFINED      01     165,200
DEERE & CO COM $US1                    COM   244199105       831      25,000   SH   DEFINED      01      25,000
DELL COMPUTERS COM $US0.01             COM   247025109     7,395     240,000   SH   DEFINED      01     240,000
DELPHI AUTO SYSTEMS COM $US0.01        COM   247126105     1,746     115,430   SH   DEFINED      01     115,430
DIGITAL ISLAND                         COM   25385N101     1,768      94,286   SH   DEFINED      02      94,286
DIGITAL ISLAND                         COM   25385N101       446      35,357   SH   SOLE                 35,357
DISNEY(WALT) COM $US0.01               COM   254687106     7,650     200,000   SH   DEFINED      01     200,000
DOLLAR GENERAL COM $US0.50             COM   256669102       942      56,250   SH   DEFINED      01      56,250
DOW CHEMICAL COM $US2.50               COM   260543103     2,244      90,000   SH   DEFINED      01      90,000
DTE ENERGY COM NPV                     COM   233331107     1,530      40,000   SH   DEFINED      01      40,000
DU PONT (EI) DE NEMOURS $US0.30        COM   263534109     4,765     115,000   SH   DEFINED      01     115,000
DUKE ENERGY COM NPV                    COM   264399106     3,001      35,000   SH   DEFINED      01      35,000
DURA PHARMACEUTICALS                   COM   26632S109     6,191     175,000   SH   DEFINED      01     175,000
E PIPHANY INC COM                      COM   26881V100       263       3,411   SH   DEFINED      02       3,411
EASTMAN KODAK COM $US2.50              COM   277461109     1,022      25,000   SH   DEFINED      01      25,000
ECSOFT GROUP ADR (1 ORD)               ADR   279240105       283      29,000   SH   DEFINED      01      29,000
EL PASO ENERGY COM $US3                COM   28368B102     2,465      40,000   SH   DEFINED      01      40,000
ELAN ADR  (1 ORD NY)                   COM   284131208     1,095      20,000   SH   DEFINED      01      20,000
ELECTRONIC DATA SYST COM $US0.01       COM   285661104     2,282      55,000   SH   DEFINED      01      55,000
E-LOAN INC COM                         COM   26861P107        66      15,850   SH   DEFINED      02      15,850
EMC COM $US0.01                        COM   268648102    20,321     205,000   SH   DEFINED      01     205,000
EMERSON ELECTRIC COM $US1              COM   291011104     3,350      50,000   SH   DEFINED      01      50,000
ENRON COM $US0.10                      COM   293561106     5,958      68,000   SH   DEFINED      01      68,000
EXULT INC                              COM   302284104   118,869   8,607,465   SH   SOLE              8,607,465
EXXON MOBIL COM NPV                    COM   30231G102    33,422     375,000   SH   DEFINED      01     375,000
FANNIE MAE COM NPV                     COM   313586109     8,580     120,000   SH   DEFINED      01     120,000
FDX COM $US0.10                        COM   31428X106     1,330      30,000   SH   DEFINED      01      30,000
FIFTH THIRD BANCORP COM NPV            COM   316773100     3,502      65,000   SH   DEFINED      01      65,000
FIRST DATA COM $US0.01                 COM   319963104     2,555      65,400   SH   DEFINED      01      65,400
FIRST UNION COM $US3.333               COM   337358105     2,253      70,000   SH   DEFINED      01      70,000
FIRSTAR COM $US0.01                    COM   33763V109     2,461     110,000   SH   DEFINED      01     110,000
FLEET BOSTON FINANCE COM $US0.01       COM   339030108     5,573     142,908   SH   DEFINED      01     142,908
FOMENTO ECO MEX ADR (1B/2DB/2DL)       ADR   344419106     1,841      47,200   SH   DEFINED      01      47,200
FORD MOTOR (NEW)                       COM   345370860     5,116     202,097   SH   DEFINED      01     202,097
FORT JAMES COM $US0.10                 COM   347471104     1,528      50,000   SH   DEFINED      01      50,000
FOUNDRY NETWORKS INC COM               COM   35063R100     9,888     147,720   SH   DEFINED      02     147,720
FPL GROUP COM $US0.01                  COM   302571104     1,118      17,000   SH   DEFINED      01      17,000
FREDDIE MAC COM $US0.21                COM   313400301     2,811      52,000   SH   DEFINED      01      52,000
GANNETT                                COM   364730101     2,385      45,000   SH   DEFINED      01      45,000
GAP COM $US0.05                        COM   364760108     2,314     115,000   SH   DEFINED      01     115,000
GATEWAY COM $US0.01                    COM   367626108     1,870      40,000   SH   DEFINED      01      40,000
GEDEON RICHTER GDR                     GDR   368467304     4,738      92,000   SH   DEFINED      01      92,000
GENERAL ELECTRIC COM $US0.16           COM   369604103    53,649     930,000   SH   DEFINED      01     930,000
GENERAL MILLS                          COM   370334104       888      25,000   SH   DEFINED      01      25,000
GENERAL MOTORS COM $US1.67             COM   370442105     3,422      52,647   SH   DEFINED      01      52,647
GEORGIA PACIFIC COM $US0.80            COM   373298108       587      25,000   SH   DEFINED      01      25,000
GILLETTE COM $US1                      COM   375766102     3,087     100,000   SH   DEFINED      01     100,000
GLOBAL CROSSING COM $US0.01            COM   37931K309     2,480      80,000   SH   DEFINED      01      80,000
GPO CARSO ADR (2 A1)                   ADR   400485207       386      65,000   SH   DEFINED      01      65,000
GPO ELEKTRA GDR (10 CPO)               GDR   40050A102       570      60,000   SH   DEFINED      01      60,000
GPO TELEVISA GDR (2 PTG CERT)          GDR   40049J206     1,731      30,000   SH   DEFINED      01      30,000
GUIDANT SHS NPV                        COM   401698105     1,767      25,000   SH   DEFINED      01      25,000
HALLIBURTON COM $US2.50                COM   406216101     2,692      55,000   SH   DEFINED      01      55,000
HANCOCK JOHN FINL SVCS INC COM         COM   41014S106     6,929     257,813   SH   DEFINED      02     257,813
HARTFORD FINL SERV COM $US0.01         COM   416515104     6,747      92,500   SH   DEFINED      01      92,500
HCA - THE HEALTHCARE COM $US0.01       COM   404119109     1,856      50,000   SH   DEFINED      01      50,000
HEINZ (HJ) COM $US0.25                 COM   423074103     1,668      45,000   SH   DEFINED      01      45,000
HELLENIC TELECOM ADR (OTE)             ADR   423325307       257      27,778   SH   DEFINED      01      27,778
HERCULES COM NPV                       COM   427056106       141      10,000   SH   DEFINED      01      10,000
HEWLETT PACKARD COM $US0.01            COM   428236103     9,312      96,000   SH   DEFINED      01      96,000
HOME DEPOT COM $US0.05                 COM   437076102     9,551     180,000   SH   DEFINED      01     180,000
HONEYWELL INTL COM $US1                COM   438516106     3,496      98,125   SH   DEFINED      01      98,125
HOUSEHOLD INTERNATIONAL COM $US1       COM   441815107     2,548      45,000   SH   DEFINED      01      45,000
HYBRID NETWORKS INC COM                COM   44860K102       585      31,530   SH   DEFINED      02      31,530
IBASIS INC COM                         COM   450732102     3,767     237,264   SH   DEFINED      02     237,264
ILLINOIS TOOL WKS COM NPV              COM   452308109     2,794      50,000   SH   DEFINED      01      50,000
INDIA FUND COM $US0.001                COM   454089103     4,292     354,000   SH   DEFINED      01     354,000
INDOSAT ADR (10 B)                     ADR   715680104     2,400     300,000   SH   DEFINED      01     300,000
INDUSTRIE NATUZZI ADR (1 ORD)          ADR   456478106     2,176     181,340   SH   DEFINED      01     181,340
INFONET SERVICES COM $US0.01           COM   45666T106     3,253     308,000   SH   DEFINED      01     308,000
INGERSOLL RAND AM COM $US2             COM   456866102       745      22,000   SH   DEFINED      01      22,000
INKTOMI CORP COM                       COM   457277101     1,925      16,888   SH   DEFINED      02      16,888
INTEL COM $US0.001                     COM   458140100    26,351     634,000   SH   DEFINED      01     634,000
INTERNATIONAL PAPER COM $US1           COM   460146103     1,781      62,073   SH   DEFINED      01      62,073
INTERNET PICTURES CORP COM             COM   46059S101        71      13,035   SH   DEFINED      02      13,035
INTERPUBLIC COM $US0.10                COM   460690100     2,384      70,000   SH   DEFINED      01      70,000
INTL BUSINESS MACHN COM $US0.20        COM   459200101    19,125     170,000   SH   DEFINED      01     170,000
INTL FLAVORS COM $US0.125              COM   459506101       365      20,000   SH   DEFINED      01      20,000
IONA TECH ADR (1 ORD)                  ADR   46206P109     3,128      45,000   SH   DEFINED      01      45,000
JDS UNIPHASE                           COM   46612J101     8,304      87,700   SH   DEFINED      01      87,700
JOHN HANCOCK FIN SVS COM $US0.01       COM   410145106       806      30,000   SH   DEFINED      01      30,000
JOHNSON & JOHNSON COM $US1             COM   478160104    11,742     125,000   SH   DEFINED      01     125,000
KERR MCGEE COM $US1                    COM   492386107     1,988      30,000   SH   DEFINED      01      30,000
KIMBERLY CLARK ADR (5A)                ADR   494368204       641      50,000   SH   DEFINED      01      50,000
KIMBERLY CLARK COM $US1.25             COM   494368103     2,791      50,000   SH   DEFINED      01      50,000
KLA TENCOR COM $US0.001                COM   482480100       700      17,000   SH   DEFINED      01      17,000
KROGER COM $US1                        COM   501044101     2,482     110,000   SH   DEFINED      01     110,000
LEVEL 3 COMMS COM $US0.01              COM   52729N100     1,111      14,400   SH   DEFINED      01      14,400
LILLY(ELI) & CO COM NPV                COM   532457108     8,924     110,000   SH   DEFINED      01     110,000
LIMITED COM $US0.50                    COM   532716107     2,206     100,000   SH   DEFINED      01     100,000
LINCOLN ELEC HLDGS INC COM             COM   533900106       753      56,600   SH   DEFINED      02      56,600
LINEAR TECHNOLOGY                      COM   535678106     1,619      25,000   SH   DEFINED      01      25,000
LOCKHEED MARTIN COM                    COM   539830109     1,318      40,000   SH   DEFINED      01      40,000
LOWES COM $US0.50                      COM   548661107     4,936     110,000   SH   DEFINED      01     110,000
LSI LOGIC COM $US0.01                  COM   502161102     1,024      35,000   SH   DEFINED      01      35,000
LUCENT TECHNOLOGIES COM $US0.01        COM   549463107     9,322     305,000   SH   DEFINED      01     305,000
MANULIFE FINL CORP COM                 COM   56501R106     5,845     281,665   SH   DEFINED      02     281,665
MANULIFE FINL CORP COM (ARCO)          COM   56501R106    49,985   2,408,906   SH   SOLE              2,408,906
MARSH & MCLENNAN COM $US1              COM   571748102     4,646      35,000   SH   DEFINED      01      35,000
MASCO COM $US1                         COM   574599106       931      50,000   SH   DEFINED      01      50,000
MATAV RT ADR (5B)                      ADR   576561104     1,178      50,000   SH   DEFINED      01      50,000
MAXIM INTEGRATED                       COM   57772K101     2,172      27,000   SH   DEFINED      01      27,000
MBNA                                   COM   55262L100     3,080      80,000   SH   DEFINED      01      80,000
MCDONALDS COM $US0.01                  COM   580135101     4,830     160,000   SH   DEFINED      01     160,000
MCI WORLDCOM COM $US0.01               COM   55268B106     8,201     270,000   SH   DEFINED      01     270,000
MEAD COM NPV                           COM   582834107     1,052      45,000   SH   DEFINED      01      45,000
MEDTRONIC COM $US0.10                  COM   585055106     6,995     135,000   SH   DEFINED      01     135,000
MELLON FINANCIAL COM $US0.5            COM   58551A108     4,614      99,500   SH   DEFINED      01      99,500
MERANT GROUP ADR (5 ORD)               ADR   587336108       718      99,000   SH   DEFINED      01      99,000
MERCK COM NPV                          COM   589331107    16,748     225,000   SH   DEFINED      01     225,000
MERRILL LYNCH COM $US1.333             COM   590188108     4,620      70,000   SH   DEFINED      01      70,000
MICRON TECHNOLOGY COM $US0.10          COM   595112103     2,300      50,000   SH   DEFINED      01      50,000
MICROSOFT COM $US0.000012              COM   594918104    29,674     492,000   SH   DEFINED      01     492,000
MINNESOTA MINING COM NPV               COM   604059105     3,645      40,000   SH   DEFINED      01      40,000
MOLEX COM $US0.05                      COM   608554101     1,361      25,000   SH   DEFINED      01      25,000
MORGAN (JP) COM $US2.50                COM   616880100     2,451      15,000   SH   DEFINED      01      15,000
MORGAN ST DEAN WIT COM $US0.01         COM   617446448    10,972     120,000   SH   DEFINED      01     120,000
MOTOROLA COM $US3                      COM   620076109     6,498     230,000   SH   DEFINED      01     230,000
MOTOROLA INC COM                       COM   620076109     2,406      85,163   SH   DEFINED      02      85,163
NATIONAL INFORMATION CONSORTIUM, INC   COM   636491102        36       9,130   SH   SOLE                  9,130
NATL SEMICONDUCTOR COM $US0.50         COM   637640103       805      20,000   SH   DEFINED      01      20,000
NEOFORMA COM INC COM                   COM   640475109        75      20,136   SH   DEFINED      02      20,136
NETRO                                  COM   64114R109     4,879      82,348   SH   SOLE                 82,348
NETWORK APPLIANCE COM NPV              COM   64120L104     3,566      28,000   SH   DEFINED      01      28,000
NEW YORK TIMES A COM $US0.10           COM   650111107     2,162      55,000   SH   DEFINED      01      55,000
NEWELL RUBBERMAID COM $US1             COM   651229106       684      30,000   SH   DEFINED      01      30,000
NEXTEL COMMS CL A $US0.001             COM   65332V103     3,740      80,000   SH   DEFINED      01      80,000
NIKE B COM NPV                         COM   654106103     1,002      25,000   SH   DEFINED      01      25,000
NORTEL NETWORKS ($US)                  COM   656569100    16,975     285,000   SH   DEFINED      01     285,000
NORTEL NETWORKS CORP NEW COM           COM   656568102     4,739      79,568   SH   DEFINED      02      79,568
NORTH FORK BANCORP COM $US2.50         COM   659424105     3,363     155,500   SH   DEFINED      01     155,500
NORTHROP GRUMMAN COM $US1.00           COM   666807102     2,272      25,000   SH   DEFINED      01      25,000
NOVELL COM $US0.10                     COM   670006105       348      35,000   SH   DEFINED      01      35,000
OMNICOM GRP                            COM   681919106     2,918      40,000   SH   DEFINED      01      40,000
ORACLE COM $US0.01                     COM   68389X105    22,050     280,000   SH   DEFINED      01     280,000
ORBOTECH COM                           COM   M75253100     2,051      37,500   SH   DEFINED      01      37,500
PALM                                   COM   696642107     2,748      51,912   SH   DEFINED      01      51,912
PARAMETRIC TECHNOLOGY CORP COM         COM   699173100       316      28,931   SH   DEFINED      02      28,931
PARKER HANNIFIN COM $US0.50            COM   701094104       844      25,000   SH   DEFINED      01      25,000
PAYCHEX                                COM   704326107     1,838      35,000   SH   DEFINED      01      35,000
PE CORP-PE BIOSYSTEMS GRP $US1         COM   693325102     2,330      20,000   SH   DEFINED      01      20,000
PEPSICO CAP $US0.016666                COM   713448108    10,350     225,000   SH   DEFINED      01     225,000
PFIZER COM $US0.05                     COM   717081103    27,861     620,000   SH   DEFINED      01     620,000
PHARMACIA                              COM   71713U102     9,699     327,750   SH   DEFINED      01     327,750
PHELPS DODGE COM $US6.25               COM   717265102       626      15,000   SH   DEFINED      01      15,000
PHILIP MORRIS COM $US0.33              COM   718154107     5,887     200,000   SH   DEFINED      01     200,000
PHILLIPS PETROLEUM COM $US1.25         COM   718507106       941      15,000   SH   DEFINED      01      15,000
PITNEY BOWES COM $US1.00               COM   724479100       789      20,000   SH   DEFINED      01      20,000
PMC-SIERRA INC COM                     COM   69344F106       528       2,455   SH   DEFINED      02       2,455
PPG INDUSTRIES COM $US1.6667           COM   693506107       794      20,000   SH   DEFINED      01      20,000
PPL                                    COM   69351T106       418      10,000   SH   DEFINED      01      10,000
PRAXAIR COM $US0.01                    COM   74005P104       561      15,000   SH   DEFINED      01      15,000
PROCTER & GAMBLE COM NPV               COM   742718109     7,169     107,000   SH   DEFINED      01     107,000
PROKOM SOFTWARE GDR (1/2) REG S        GDR   743394207       783      35,000   SH   DEFINED      01      35,000
PUBLIC SERVICE ENT COM NPV             COM   744573106     3,575      80,000   SH   DEFINED      01      80,000
QUALCOMM COM $US0.0001                 COM   747525103     4,987      70,000   SH   DEFINED      01      70,000
QWEST COMMS INTL                       COM   749121109     7,390     153,759   SH   DEFINED      01     153,759
RALSTON-RAL PURINA COM $US0.10         COM   751277302     2,132      90,000   SH   DEFINED      01      90,000
RAYTHEON B COM $US1                    COM   755111408     1,138      40,000   SH   DEFINED      01      40,000
RELIANT ENERGY COM NPV                 COM   75952J108     4,650     100,000   SH   DEFINED      01     100,000
RHYTHMS NETCONNECTIONS                 COM   762430205       758     102,750   SH   DEFINED      02     102,750
RHYTHMS NETCONNECTIONS                 COM   762430205        90      41,100   SH   SOLE                 41,100
ROC TAIWAN FUND SBI NPV                COM   749651105     1,432     220,284   SH   DEFINED      01     220,284
ROCKWELL INTL                          COM   773903109       908      30,000   SH   DEFINED      01      30,000
ROHM & HAAS                            COM   775371107       291      10,000   SH   DEFINED      01      10,000
ROYAL DUTCH PETROL NYS ( 1 ORD )       COM   780257804     4,495      75,000   SH   DEFINED      01      75,000
SABRE HOLDINGS COM $US0.01             COM   785905100       586      20,234   SH   DEFINED      01      20,234
SANMINA                                COM   800907107     1,404      15,000   SH   DEFINED      01      15,000
SAPIENT                                COM   803062108       610      15,000   SH   DEFINED      01      15,000
SARA LEE COM $US1.3333                 COM   803111103     2,336     115,000   SH   DEFINED      01     115,000
SBC COMMUNICATIONS COM $US1            COM   78387G103    16,000     320,000   SH   DEFINED      01     320,000
SCHERING PLOUGH COM $US0.50            COM   806605101     7,207     155,000   SH   DEFINED      01     155,000
SCHLUMBERGER COM $US0.01               COM   806857108     5,350      65,000   SH   DEFINED      01      65,000
SCHWAB (CHARLES) COM $US0.01           COM   808513105     4,260     120,000   SH   DEFINED      01     120,000
SCIENT CORP COM                        COM   80864H109       746      35,607   SH   DEFINED      02      35,607
SCIENTIFIC ATLANTA COM $US0.50         COM   808655104     1,273      20,000   SH   DEFINED      01      20,000
SEAGATE TECHNOLOGY COM $US0.01         COM   811804103     1,380      20,000   SH   DEFINED      01      20,000
SEAGRAM COM NPV ($US)                  COM   811850106     2,298     250,000   SH   DEFINED      01     250,000
SICOR, INC                             COM   825846108       246      23,985   SH   SOLE                 23,985
SIEBEL SYSCOM                          COM   826170102     4,452      40,000   SH   DEFINED      01      40,000
SOLECTRON COM $US0.001                 COM   834182107     3,229      70,000   SH   DEFINED      01      70,000
SONUS NETWORKS INC COM                 COM   835916107     8,823      69,816   SH   DEFINED      02      69,816
SONUS PHARMACEUTICALS INC COM          COM   835692104        70      19,570   SH   DEFINED      02      19,570
SOUTHERN CO COM $US5                   COM   842587107     3,568     110,000   SH   DEFINED      01     110,000
SOUTHWEST AIRLINES                     COM   844741108     1,455      60,000   SH   DEFINED      01      60,000
SPRINT (PCS GRP) COM $US1.00           COM   852061506     2,805      80,000   SH   DEFINED      01      80,000
SPRINT COM (FON GROUP) $US2.50         COM   852061100     3,078     105,000   SH   DEFINED      01     105,000
STAMPS COM INC COM                     COM   852857101       277      72,111   SH   DEFINED      02      72,111
STAPLES COM $US0.0006                  COM   855030102       709      50,000   SH   DEFINED      01      50,000
STET HELLAS TELECOM ADR                ADR   859823106       859      57,737   SH   DEFINED      01      57,737
STILWELL FINANCIAL                     COM   860831106     1,957      45,000   SH   DEFINED      01      45,000
SUN MICROSYSTEMS COM $US0.0006         COM   866810104    17,512     150,000   SH   DEFINED      01     150,000
SYSCO COM $US1                         COM   871829107     4,168      90,000   SH   DEFINED      01      90,000
TELEFONOS DE MEXICO ADR (1 ORD)        ADR   879403780     7,088   2,700,000   SH   DEFINED      01   2,700,000
TELLABS COM $US0.01                    COM   879664100     2,387      50,000   SH   DEFINED      01      50,000
TEMPLE INLAND COM $US1                 COM   879868107       758      20,000   SH   DEFINED      01      20,000
TENET HEALTHCARE COM $US0.15           COM   88033G103     1,091      30,000   SH   DEFINED      01      30,000
TERADYNE COM $US0.125                  COM   880770102       700      20,000   SH   DEFINED      01      20,000
TEXACO COM $US3.125                    COM   881694103     2,100      40,000   SH   DEFINED      01      40,000
TEXAS INSTRUMENTS COM $US1             COM   882508104     7,550     160,000   SH   DEFINED      01     160,000
TIME WARNER COM $US0.01                COM   887315109    11,737     150,000   SH   DEFINED      01     150,000
TJX COM $US1                           COM   872540109     1,013      45,000   SH   DEFINED      01      45,000
TOPPS INC COM                          COM   890786106     1,821     198,164   SH   DEFINED      02     198,164
TOTAL ACCESS COMMS THB10 ($S)          COM   891490108     6,720   2,000,000   SH   DEFINED      01   2,000,000
TUBOS DE ACERO ADR (1 ORD)             ADR   898592501       888      53,000   SH   DEFINED      01      53,000
TXU                                    COM   873168108     1,189      30,000   SH   DEFINED      01      30,000
TYCO INTL COM $US0.2                   COM   902124106     8,508     164,000   SH   DEFINED      01     164,000
UNILEVER NV NYS (1 ORD)                COM   904784704     2,171      45,000   SH   DEFINED      01      45,000
UNISYS COM $US0.01                     COM   909214108       338      30,000   SH   DEFINED      01      30,000
UNITED HEALTHCARE COM $US0.01          COM   910581107     3,456      35,000   SH   DEFINED      01      35,000
UNITED TECHNOLOGIES COM $US1           COM   913017109     4,501      65,000   SH   DEFINED      01      65,000
US BANCORP COM $US1.25 (NEW)           COM   902973106     1,592      70,000   SH   DEFINED      01      70,000
USX-MARATHON GROUP COM $US1            COM   902905827       851      30,000   SH   DEFINED      01      30,000
VA LINUX SYS INC COM                   COM   91819B105     2,695      58,270   SH   DEFINED      02      58,270
VERITAS SOFTWARE CO $US0.001           COM   923436109     5,680      40,000   SH   DEFINED      01      40,000
VERSATA INC COM                        COM   925298101       784      29,578   SH   DEFINED      02      29,578
VIACOM CL B N/VTG COM $US0.01          COM   925524308    10,091     172,500   SH   DEFINED      01     172,500
VIGNETTE CORP COM                      COM   926734104       926      30,974   SH   DEFINED      02      30,974
VISTEON COM $US1                       COM   92839U107       257      17,021   SH   DEFINED      01      17,021
VITRIA TECHNOLOGY                      COM   92849Q104     7,012     150,390   SH   DEFINED      02     150,390
VITRIA TECHNOLOGY                      COM   92849Q104     1,516      56,396   SH   SOLE                 56,396
VYSIS INC                              COM   928961101    43,307   6,662,682   SH   DEFINED      02   6,662,682
WACHOVIA CORP COM $US5                 COM   929771103     1,134      20,000   SH   DEFINED      01      20,000
WAL MART STORES COM $US0.10            COM   931142103    21,175     440,000   SH   DEFINED      01     440,000
WASHINGTON MUTUAL COM NPV              COM   939322103     2,190      55,000   SH   DEFINED      01      55,000
WASTE MANAGEMENT COM $US0.01           COM   94106L109     1,046      60,000   SH   DEFINED      01      60,000
WELLS FARGO COM $US1.6667              COM   949746101     9,417     205,000   SH   DEFINED      01     205,000
WEYERHAEUSER COM $US1.25               COM   962166104     1,501      37,168   SH   DEFINED      01      37,168
WILLIAMS COM $US1                      COM   969457100     2,556      60,500   SH   DEFINED      01      60,500
WYNDHAM INTL INC CL A                  COM   983101106        31      17,014   SH   DEFINED      02      17,014
XEROX COM $US1                         COM   984121103       844      56,000   SH   DEFINED      01      56,000
XILINX                                 COM   983919101     2,569      30,000   SH   DEFINED      01      30,000
YAHOO COM $US0.00017                   COM   984332106     4,823      53,000   SH   DEFINED      01      53,000

TOTAL                                                  1,567,260
</TABLE>


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