FORM 13F
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO
SECTION 13(F) OF THE SECURITIES AND EXCHANGE ACT OF 1934 AND RULES
THEREUNDER
Securities and Exchange Commission
Washington, D.C. 20549
Report for calendar quarter ended: March 31, 1999
If amended report check here: [ ]
Name of Institutional Investment Manager:
Capital Guardian Trust Company
11100 Santa Monica Boulevard
Los Angeles, California 90025-3384
Name, Phone No., and Title of Person Duly Authorized to Submit this Report:
David I. Fisher
Chairman
(310) 996-6331
ATTENTION: Intentional misstatements or omissions of facts constitute Federal
Criminal Violations. See 18 U.S.C. 1001 and 15 U.S.C. 78ff(a).
The institutional investment manager submitting this Form and its attachments
and the person by whom it is signed represent hereby that all information
contained therein is true, correct and complete. It is understood that all
required items, statements and schedules are considered integral parts of this
Form and that the submission of any amendment represents that all unamended
items, statements and schedules retain true, correct and complete as
previously submitted.
Pursuant to the requirements of Securities Exchange Act of 1934, the
undersigned institutional investment manager has caused this report to be
signed on its behalf in the City of Los Angeles and State of California on the
13th day of May, 1999.
Capital Guardian Trust Company
(Name of Institutional Investment Manager)
David I. Fisher*
David I. Fisher, Chairman
(Manual Signature of Person Duly Authorized to submit this Report)
*By: /s/ Michael J. Downer
Michael J. Downer
Attorney-in-fact
Signed pursuant to a Power of Attorney dated January 29, 1999 included as
an Exhibit to Schedule 13G filed with the Securities and Exchange
Commission by Capital Guardian Trust Company on February 8, 1999
with respect to Acclaim Entertainment, Inc.
Name and 13F file number of All Institutional Investment Managers with
respect to which this schedule is filed (other than the one filing this
report).
(List in alphabetical order)
Name: 1. The Capital Group Companies, Inc.
13F File No.: 28-218
2. Capital Group International, Inc.
13F File No. 28-5044
<PAGE>
FORM 13F SUMMARY PAGE
Report Summary:
Number of Other Included Managers: 2
Form 13F Information Table Entry Total: 874
Form 13F Information Table Value Total: $30,387,214.3
Pursuant to regulation section 240.24b-2, certain confidential
material has been filed with the Secretary of the Securities
and Exchange Commission for non-public treatment.
List of Other Included Managers:
No. 13F File Number Name
1 28-818 The Capital Group Companies, Inc.
2 28-5044 Capital Group International, Inc.
<PAGE>
<TABLE>
FORM 13F - FILE NO. 28-96 PAGE 1
NAME OF REPORTING MANAGER - CAPITAL GUARDIAN TRUST COMPANY# MAR 31, 1999
ITEM 1 AND 2 ITEM 3 ITEM 4 ITEM 5 ITEM 6 ITEM 7* ITEM 8
SHARES OF
PRINCIPAL INVESTMENT VOTING AUTHORITY
NAME OF ISSUER/TITLE OF CLASS FAIR MARKET AMOUNT DISCRETION (SHARES - 000'S)
------------ ----------------------------
(COMMON UNLESS OTHERWISE INDICATED) CUSIP VALUE ($000'S) (000'S) SOLE SHR OTH MGR SOLE SHARED NONE
- -------------------------------------- --------- -------------- ------------- ------------ --- ----------------------------
<S> <C> <C> <C> <C> <C> <C> <C> <C> <C> <C> <C> <C>
AAR CORP 000361105 $ 868.4 48.8 X 1 48.8
ABAXIS INC 002567105 0.9 0.5 X 1 0.5
ABB AB B SPON ADR 00256Q103 47,352.1 3,807.2 X 1 2,699.7 1,107.5
ABBOTT LABORATORIES 002824100 3,996.7 85.4 X 1 56.0 29.4
ABITIBI-CONSOLIDATED INC C$ 003924107 698.5 78.0 X 1 78.0
ACCLAIM ENTERTAINMENT INC 004325205 17,794.6 1,991.0 X 1 1,731.0 260.0
ACTUATE SOFTWARE CORP 00508B102 2.8 0.1 X 1 0.1
ADELPHIA COMMUNICATIONS CORP CL A 006848105 53,165.7 843.9 X 1 763.9 80.0
ADVANCED COMMUNICATIONS GROUP 00751B106 4,647.2 941.2 X 1 846.2 95.0
ADVANCED ENERGY INDUSTRIES 007973100 28,981.9 1,230.0 X 1 922.0 308.0
ADVANCED MICRO DEVICES INC 007903107 30,164.0 1,946.1 X 1 929.6 1,016.5
AEGON NV ORD AMER REG 007924103 1,842.4 20.5 X 1 20.1 0.4
AES CORP (THE) 00130H105 323,266.6 8,678.3 X 1 7,042.5 1,635.8
AIR PRODS & CHEMICAL 009158106 42,070.0 1,228.3 X 1 973.4 254.9
AIRTOUCH COMM CV PF CL B 6.00% SER 1996 00949T209 8,001.0 101.6 X 1 101.6
AIRTOUCH COMM CV PF CL C 4.25% SER 1996 00949T308 9,280.5 69.0 X 1 59.0 10.0
AIRTOUCH COMM INC 00949T100 450,518.7 4,662.5 X 1 3,773.3 889.2
ALBERTSON'S INC 013104104 2,313.7 42.6 X 1 42.6
ALCAN ALUMINIUM LTD US$ 013716105 18,948.9 734.1 X 1 590.0 144.1
ALCATEL SA ADR 013904305 77.6 3.4 X 1 3.4
ALGOS PHARMACEUTICALS CORP 015869100 7,818.4 317.5 X 1 317.5
ALKERMES INC 01642T108 1,114.0 40.9 X 1 40.9
ALLEGHENY TELEDYNE INC 017415100 4,872.0 257.3 X 1 239.0 18.3
ALLIED WASTE INDS 019589308 16,969.8 1,175.4 X 1 904.4 271.0
ALLSTATE CORP (THE) 020002101 67.5 1.8 X 1 1.8
ALTERNATIVE LIVING SERVICES 02145K107 11,230.0 561.5 X 1 399.5 162.0
ALYN CORP 022611107 3,064.5 1,065.9 X 1 1,041.0 24.9
ALZA CORP 022615108 60.2 1.6 X 1 1.6
ALZA CORP WTS 0.1250:1@$65.00 EXP 022615157 0.2 X 1 0.2
12/31/99
AMBAC FINANCIAL GROUP INC 023139108 1,904.0 35.3 X 1 35.3
AMER WEST HLDGS CL B 023657208 15,044.1 789.2 X 1 622.4 166.8
AMERICA ONLINE INC 02364J104 40,165.4 273.2 X 1 259.2 14.0
--------------
SUB-TOTAL $ 1,146,302.1
# PURSUANT TO REG. SEC. 240.24B-2 CERTAIN CONFIDENTIAL MATERIAL HAS BEEN FILED WITH THE SECRETARY OF THE SEC FOR NON-PUBLIC
TREATMENT
* INVESTMENT DISCRETION IS DISCLAIMED BY THE CAPITAL GROUP COMPANIES, INC FOR ALL PURPOSES OTHER THAN FORM 13F
<PAGE>
FORM 13F - FILE NO. 28-96 PAGE 2
NAME OF REPORTING MANAGER - CAPITAL GUARDIAN TRUST COMPANY# MAR 31, 1999
ITEM 1 AND 2 ITEM 3 ITEM 4 ITEM 5 ITEM 6 ITEM 7* ITEM 8
SHARES OF
PRINCIPAL INVESTMENT VOTING AUTHORITY
NAME OF ISSUER/TITLE OF CLASS FAIR MARKET AMOUNT DISCRETION (SHARES - 000'S)
------------ ----------------------------
(COMMON UNLESS OTHERWISE INDICATED) CUSIP VALUE ($000'S) (000'S) SOLE SHR OTH MGR SOLE SHARED NONE
- -------------------------------------- --------- -------------- ------------- ------------ --- ----------------------------
AMERICAN CAPITAL STRATEGIES 024937104 $ 9,149.9 534.3 X 1 304.3 230.0
AMERICAN EXPRESS CO 025816109 333.7 2.8 X 1 2.8
AMERICAN GEN CORP CV PF 7.00% 03/01/01 026351809 39,944.5 665.7 X 1 665.7
AMERICAN GREETINGS CORP CL A 026375105 84,638.3 3,335.5 X 1 2,616.5 719.0
AMERICAN HOME PRODUCTS CORP 026609107 1,187.6 18.2 X 1 18.2
AMERICAN INTL GROUP 026874107 120,772.2 1,001.2 X 1 853.2 148.0
AMERICAN RETIREMENT CORPORATION 028913101 23,359.4 1,625.0 X 1 1,583.0 42.0
AMERICAN SUPERCONDUCTOR CORP 030111108 5,931.3 650.0 X 1 373.0 277.0
AMERICREDIT CORPORATION 03060R101 17,414.3 1,326.8 X 1 954.2 372.6
AMERITECH CORP 030954101 129,335.8 2,243.6 X 1 1,874.7 368.9
AMGEN INC 031162100 232.1 3.1 X 1 3.1
AMKOR TECHNOLOGIES INC 031652100 7,465.5 948.0 X 1 948.0
AMP INC 031897101 28.1 0.5 X 1 0.5
AMR CORPORATION 001765106 42.9 0.7 X 1 0.7
AMYLIN PHARMACEUTICALS INC 032346108 X 1
ANADIGICS INC 032515108 14,593.5 828.0 X 1 676.0 152.0
ANALOG DEVICES 032654105 27,001.1 907.6 X 1 797.6 110.0
ANESTA CORP 034603100 6,768.8 300.0 X 1 300.0
ANHEUSER BUSCH COS 035229103 66,379.6 871.9 X 1 702.5 169.4
AON CORP 037389103 1,821.6 28.8 X 1 28.8
APOLLO GROUP INC CL A 037604105 1,120.3 37.5 X 1 37.5
APPLIED GRAPHICS TECHNOLOGIES INC 037937109 14,010.0 1,868.0 X 1 1,644.0 224.0
APPLIED INDL TECHS 03820C105 6,035.3 542.5 X 1 485.5 57.0
APPLIED MATERIALS 038222105 412,362.4 6,684.7 X 1 5,422.3 1,262.4
ARADIGM CORP 038505103 0.6 0.1 X 1 0.1
ARCHER DANIELS MIDLAND CO 039483102 64.1 4.4 X 1 4.4
ARCTIC CAT INC 039670104 9,689.1 975.0 X 1 781.0 194.0
ARM HOLDINGS PLC SPON ADR 042068106 914.3 6.9 X 1 6.9
ARMOR HOLDING INC 042260109 4,133.6 302.0 X 1 252.0 50.0
ASCEND COMMUNICATIONS INC 043491109 101,134.9 1,208.5 X 1 955.0 253.5
ASIA PACIFIC RES INTL HLDGS LTD CL A 044903904 40.6 92.8 X 1 92.8
(APRIL)
ASIA PULP & PAPER LTD SPON ADR 04516V100 230.3 27.5 X 1 27.5
--------------
SUB-TOTAL $ 1,106,135.5
# PURSUANT TO REG. SEC. 240.24B-2 CERTAIN CONFIDENTIAL MATERIAL HAS BEEN FILED WITH THE SECRETARY OF THE SEC FOR NON-PUBLIC
TREATMENT
* INVESTMENT DISCRETION IS DISCLAIMED BY THE CAPITAL GROUP COMPANIES, INC FOR ALL PURPOSES OTHER THAN FORM 13F
<PAGE>
FORM 13F - FILE NO. 28-96 PAGE 3
NAME OF REPORTING MANAGER - CAPITAL GUARDIAN TRUST COMPANY# MAR 31, 1999
ITEM 1 AND 2 ITEM 3 ITEM 4 ITEM 5 ITEM 6 ITEM 7* ITEM 8
SHARES OF
PRINCIPAL INVESTMENT VOTING AUTHORITY
NAME OF ISSUER/TITLE OF CLASS FAIR MARKET AMOUNT DISCRETION (SHARES - 000'S)
------------ ----------------------------
(COMMON UNLESS OTHERWISE INDICATED) CUSIP VALUE ($000'S) (000'S) SOLE SHR OTH MGR SOLE SHARED NONE
- -------------------------------------- --------- -------------- ------------- ------------ --- ----------------------------
ASM LITHOGRAPHY NY SHARES 001905918 $ 231,745.5 5,149.9 X 1 3,964.5 1,185.4
ASPECT DEVELOPMENT INC 045234101 17.6 0.8 X 1 0.8
ASPECT TELECOMMUNICATIONS 045237104 15,290.5 2,308.0 X 1 2,035.0 273.0
ASSISTED LIVING CONCEPTS INC 04543L109 2,974.7 835.0 X 1 608.0 227.0
ASSOC 1ST CAPL CL A 046008108 128,557.1 2,856.8 X 1 2,468.9 387.9
ASSOCIATED BANC-CORP 045487105 4,701.6 147.2 X 1 109.0 38.3
ASTRA AB A SPON ADR 046298105 273,387.5 11,918.8 X 1 10,407.3 1,511.5
ASYMETRIX LEARNING SYSTEMS INC 045927100 2,859.4 610.0 X 1 500.0 110.0
AT&T CORP 001957109 225,228.9 2,822.0 X 1 2,263.0 559.0
AT&T CORP LIBERTY MEDIA GROUP CL A 001957208 657,447.1 12,500.3 X 1 10,047.4 2,453.0
ATLANTIC RICHFIELD 048825103 73.0 1.0 X 1 1.0
AUSPEX SYSTEMS INC 052116100 4.9 0.5 X 1 0.5
AUTHENTIC FITNESS CORP 052661105 11,817.4 765.5 X 1 670.5 95.0
AUTODESK INC 052769106 189,441.6 4,684.8 X 1 3,737.1 947.7
AUTOMATIC COMMON EXCHANGE SECURITY TR II 05300A202 16,177.7 1,115.7 X 1 948.7 167.0
6.50% TRACES 05/15/00 (RWIN)
AVERY DENNISON CORP 053611109 48,491.0 843.3 X 1 742.0 101.3
AVIRON 053762100 6,075.0 300.0 X 1 300.0
AVIS RENT A CAR INC 053790101 9,574.3 345.8 X 1 314.8 31.0
BAKER HUGHES 057224107 235,709.0 9,695.0 X 1 7,721.9 1,973.1
BANCO DE GALICIA ADR B SPON 059538207 205.6 12.8 X 1 12.8
BANCO SANTANDER PUERTO RICO 059646109 22,590.0 1,129.5 X 1 998.5 131.0
BANDAG INC 059815100 26,318.5 928.7 X 1 789.7 139.0
BANK OF AMERICA CORP 060505104 602,361.2 8,529.0 X 1 6,875.9 1,653.1
BANK OF MONTREAL C$ 063671101 51,231.6 1,275.5 X 1 938.8 336.7
BANK ONE CORP 06423A103 14,242.8 258.7 X 1 243.3 15.4
BANK UNITED CORP CL A 065412108 28,686.1 701.8 X 1 684.8 17.0
BANKBOSTON CORP 06605R106 82.3 1.9 X 1 1.9
BANKERS TRUST CORP 066365107 16,220.4 183.8 X 1 161.8 22.0
BANKNORTH GROUP INC 06646L100 1,491.6 52.8 X 1 52.8
BANKUNITED FINANCIAL CORP CL A 06652B103 3,256.1 457.0 X 1 362.0 95.0
BANTA CORP 066821109 9,500.0 500.0 X 1 346.0 154.0
BARRICK GOLD CORP US$ 067901108 21,488.5 1,259.4 X 1 923.9 335.5
--------------
SUB-TOTAL $ 2,857,248.3
# PURSUANT TO REG. SEC. 240.24B-2 CERTAIN CONFIDENTIAL MATERIAL HAS BEEN FILED WITH THE SECRETARY OF THE SEC FOR NON-PUBLIC
TREATMENT
* INVESTMENT DISCRETION IS DISCLAIMED BY THE CAPITAL GROUP COMPANIES, INC FOR ALL PURPOSES OTHER THAN FORM 13F
<PAGE>
FORM 13F - FILE NO. 28-96 PAGE 4
NAME OF REPORTING MANAGER - CAPITAL GUARDIAN TRUST COMPANY# MAR 31, 1999
ITEM 1 AND 2 ITEM 3 ITEM 4 ITEM 5 ITEM 6 ITEM 7* ITEM 8
SHARES OF
PRINCIPAL INVESTMENT VOTING AUTHORITY
NAME OF ISSUER/TITLE OF CLASS FAIR MARKET AMOUNT DISCRETION (SHARES - 000'S)
------------ ----------------------------
(COMMON UNLESS OTHERWISE INDICATED) CUSIP VALUE ($000'S) (000'S) SOLE SHR OTH MGR SOLE SHARED NONE
- -------------------------------------- --------- -------------- ------------- ------------ --- ----------------------------
BAYOU STEEL CL A 073051104 $ 6.3 2.0 X 1 2.0
BB&T CORPORATION 054937107 72.4 2.0 X 1 2.0
BE SEMICONDUCTOR INDUSTRIES NV NY SHRS 073320103 4,900.6 784.1 X 1 694.0 90.1
BELLSOUTH 079860102 32.2 0.8 X 1 0.8
BEN & JERRYS HOMEMADE INC CL A 081465106 10,850.0 387.5 X 1 281.0 106.5
BENTON OIL & GAS CO 083288100 2,461.4 679.0 X 1 679.0
BERINGER WINE ESTATES HOLDINGS INC CL B 084102102 5,092.5 140.0 X 1 140.0
BERKSHIRE HATHAWAY CLASS B 084670207 8,032.5 3.4 X 1 3.2 0.2
BERKSHIRE HATHAWAY INC CL A 084670108 309,202.3 4.3 X 1 3.4 0.9
BESTFOODS 08658U101 2,840.7 60.4 X 1 60.4
BHC COMM CL A 055448104 5,032.8 41.0 X 1 36.0 5.0
BIG CITY RADIO INC CL A 089098107 1,346.7 371.5 X 1 371.5
BJ SERVICES 055482103 21,141.4 905.9 X 1 788.0 117.9
BLACK & DECKER CORP 091797100 29,936.3 540.0 X 1 540.0
BOEING CO 097023105 143,399.9 4,215.9 X 1 3,503.9 712.1
BORG WARNER AUTOMTVE 099724106 34,573.2 723.1 X 1 667.2 55.9
BOSTON COMMUNICATIONS GROUP 100582105 16,633.5 1,706.0 X 1 1,620.0 86.0
BOWATER INC 102183100 59,374.1 1,498.4 X 1 1,339.1 159.3
BRE PROPERTIES CL A 05564E106 271.5 12.0 X 1 12.0
BRIGHTSTAR INFO TECH 10947N104 2,247.5 580.0 X 1 580.0
BRINKER INTL INC 109641100 60,957.0 2,350.2 X 1 2,132.0 218.2
BRISTOL-MYERS SQUIBB 110122108 4,003.8 62.3 X 1 62.3
BROKEN HILL PTY ADR 112169602 94,207.4 5,461.3 X 1 4,641.3 820.0
BROWN (TOM) INC 115660201 0.1 X 1
BROWN-FORMAN CORP CL B NON-VTG 115637209 1,210.1 21.0 X 1 21.0
BROWNING-FERRIS 115885105 31,779.4 824.1 X 1 694.5 129.6
BUFETE INDUSTRIAL CPO SPON ADR 11942H100 27.7 27.7 X 1 27.7
BUFFETS INC 119882108 22,080.5 2,236.0 X 1 2,071.0 165.0
BURLINGTON NORTHERN SANTA FE CORP 12189T104 813.7 24.8 X 1 24.8
BURLINGTON RESOURCES 122014103 132,844.1 3,326.3 X 1 2,817.2 509.1
C-CUBE MICROSYSTEMS 125015107 38,379.0 1,937.1 X 1 1,632.1 305.0
CABLE & WIRELESS ADR 126830207 88.7 2.4 X 1 2.4
CABLEVISION SYSTEMS CORP NEW CL A 12686C109 192,169.1 2,592.5 X 1 2,301.9 290.6
--------------
SUB-TOTAL $ 1,236,008.1
# PURSUANT TO REG. SEC. 240.24B-2 CERTAIN CONFIDENTIAL MATERIAL HAS BEEN FILED WITH THE SECRETARY OF THE SEC FOR NON-PUBLIC
TREATMENT
* INVESTMENT DISCRETION IS DISCLAIMED BY THE CAPITAL GROUP COMPANIES, INC FOR ALL PURPOSES OTHER THAN FORM 13F
<PAGE>
FORM 13F - FILE NO. 28-96 PAGE 5
NAME OF REPORTING MANAGER - CAPITAL GUARDIAN TRUST COMPANY# MAR 31, 1999
ITEM 1 AND 2 ITEM 3 ITEM 4 ITEM 5 ITEM 6 ITEM 7* ITEM 8
SHARES OF
PRINCIPAL INVESTMENT VOTING AUTHORITY
NAME OF ISSUER/TITLE OF CLASS FAIR MARKET AMOUNT DISCRETION (SHARES - 000'S)
------------ ----------------------------
(COMMON UNLESS OTHERWISE INDICATED) CUSIP VALUE ($000'S) (000'S) SOLE SHR OTH MGR SOLE SHARED NONE
- -------------------------------------- --------- -------------- ------------- ------------ --- ----------------------------
CABOT INDUSTRIAL TRUST 127072106 $ 3,775.0 200.0 X 1 170.0 30.0
CADENCE DESIGNS SYS 127387108 210,377.5 8,170.0 X 1 6,663.5 1,506.5
CAMBRIDGE TECHNOLOGY PARTNERS INC 132524109 8,658.0 624.0 X 1 624.0
CAMPBELL SOUP CO 134429109 40.7 1.0 X 1 1.0
CANADIAN IMPERIAL BANK OF COMMERCE C$ 136069101 55,998.8 2,187.0 X 1 1,629.0 558.0
CANNONDALE CORP 137798104 2,311.5 276.0 X 1 276.0
CAPITAL SENIOR LIVING CORP 140475104 5,385.9 762.6 X 1 712.6 50.0
CAPSTAR BROADCASTING CORP CL A 14067G105 6,431.7 280.4 X 1 212.9 67.5
CAPSTAR HOTEL CV SUB NT 4.75% 10/15/2004 140918AC7 9,707.0 $13,482.0 X 1 $13,131.0 $351.0
CARAUSTAR INDS INC 140909102 26,088.9 1,134.3 X 1 1,011.3 123.0
CARDIAC PATHWAYS CORP 141408104 943.4 686.1 X 1 662.0 24.1
CARDINAL HEALTH INC 14149Y108 98.5 1.5 X 1 1.5
CARIBINER INTL INC 141888107 6,524.4 715.0 X 1 643.0 72.0
CARNIVAL CORP 143658102 14,607.6 300.8 X 1 253.1 47.7
CARRIER ACCESS CORP 144460102 58,216.3 753.0 X 1 668.0 85.0
CASTLE DENTAL CENTERS 14844P105 3,974.4 594.3 X 1 190.4 403.9
CATERPILLAR INC 149123101 10,652.6 231.9 X 1 217.7 14.2
CB RICHARD ELLIS SVS GROUP INC 12489L108 22,987.8 1,393.2 X 1 1,137.9 255.3
CBS CORPORATION 12490K107 630.7 15.4 X 1 15.4
CDNOW/N2K INC NEW 125085100 7,116.0 441.3 X 1 441.3
CELLULAR COMMUNICATIONS PUERTO RICO NEW 15116N108 270.0 10.0 X 1 10.0
CENDANT CORPORATION 151313103 4,621.9 290.0 X 1 290.0
CENTRAL EUROPEAN MEDIA ENTERPRISES CL A 153445903 5,945.7 461.8 X 1 461.8
CENTURY COMM CL A 156503104 102,534.0 2,208.0 X 1 1,694.7 513.3
CHAMPION INTL CORP 158525105 16,383.9 399.0 X 1 329.4 69.6
CHAMPIONSHIP AUTO RACING TEAM INC 158711101 10,080.2 346.1 X 1 301.1 45.0
CHASE MANHATTAN NEW 16161A108 195,891.8 2,407.3 X 1 2,006.1 401.2
CHASTAIN CAPITAL CORP 161697107 5,068.6 943.0 X 1 668.0 275.0
CHEVRON CORP 166751107 49,421.8 556.9 X 1 549.4 7.5
CHINA TELECOM (HONG KONG) LTD SPON ADR 169428109 298.2 8.9 X 1 8.9
CHROMAVISION MEDICAL SYSTEMS INC 17111P104 3,649.7 572.5 X 1 450.0 122.5
CINAR CORPORATION CL B SUB VTG US$ 171905300 1,587.0 69.0 X 1 69.0
CINCINNATI FINL CORP 172062101 91,898.1 2,522.1 X 1 1,958.7 563.4
--------------
SUB-TOTAL $ 942,177.6
# PURSUANT TO REG. SEC. 240.24B-2 CERTAIN CONFIDENTIAL MATERIAL HAS BEEN FILED WITH THE SECRETARY OF THE SEC FOR NON-PUBLIC
TREATMENT
* INVESTMENT DISCRETION IS DISCLAIMED BY THE CAPITAL GROUP COMPANIES, INC FOR ALL PURPOSES OTHER THAN FORM 13F
<PAGE>
FORM 13F - FILE NO. 28-96 PAGE 6
NAME OF REPORTING MANAGER - CAPITAL GUARDIAN TRUST COMPANY# MAR 31, 1999
ITEM 1 AND 2 ITEM 3 ITEM 4 ITEM 5 ITEM 6 ITEM 7* ITEM 8
SHARES OF
PRINCIPAL INVESTMENT VOTING AUTHORITY
NAME OF ISSUER/TITLE OF CLASS FAIR MARKET AMOUNT DISCRETION (SHARES - 000'S)
------------ ----------------------------
(COMMON UNLESS OTHERWISE INDICATED) CUSIP VALUE ($000'S) (000'S) SOLE SHR OTH MGR SOLE SHARED NONE
- -------------------------------------- --------- -------------- ------------- ------------ --- ----------------------------
CINERGY CORP 172474108 $ 62,273.8 2,264.5 X 1 1,838.5 426.0
CIRCUIT CITY STORES CARMAX GROUP 172737306 2,015.2 511.8 X 1 511.8
CIRCUIT CITY STORES CIRCUIT CITY GROUP 172737108 131,120.7 1,711.2 X 1 1,260.1 451.1
CIRRUS LOGIC 144A CV SUB NT 6.00% 172755AA8 7,442.1 $11,005.0 X 1 $11,005.0
12/15/03
CISCO SYSTEMS INC 17275R102 168,790.8 1,540.6 X 1 1,297.2 243.4
CITADEL COMMUNICATIONS CORP 172853202 32,292.4 971.2 X 1 808.7 162.5
CITIGROUP INC 172967101 797,868.6 12,491.1 X 1 10,030.8 2,460.3
CKE RESTAURANTS INC 12561E105 6,243.0 316.1 X 1 259.9 56.2
CLARIFY INC 180492100 17,587.1 659.0 X 1 460.0 199.0
CNET INC 125945105 4.6 0.1 X 1 0.1
CNF TRANSPORTATION 12612W104 30,450.4 805.3 X 1 791.3 14.0
CNF TRUST 1 CV PF 5.00% SER A 06/01/2012 12612V205 2,247.8 40.5 X 1 38.1 2.4
CO CERVEJARIA BRAHMA PN ADR 20440X103 139.7 15.0 X 1 15.0
CO SID NACIONAL ON SPON ADR 20440W105 104.8 6.4 X 1 6.4
COAST FEDERAL LITIGATION CONT PAY RTS TR 19034Q110 1,312.2 221.0 X 1 136.0 85.0
COASTAL BANCORP INC 19041P105 3,923.5 236.0 X 1 131.0 105.0
COCA-COLA CO 191216100 172,787.0 2,815.3 X 1 2,067.2 748.1
COCA-COLA FEMSA ADR L SPON 191241108 2,156.5 132.2 X 1 132.2
COFLEXIP SPON ADS 192384105 10,291.6 298.3 X 1 230.2 68.1
COINMACH LAUNDRY CORP CL A 19259L101 6,742.5 657.8 X 1 536.6 121.2
COLGATE-PALMOLIVE CO 194162103 51,023.6 554.6 X 1 396.4 158.2
COLUMBIA ENERGY GROUP 197648108 59,244.0 1,133.9 X 1 899.3 234.6
COMCAST CL A 200300101 21,506.6 349.7 X 1 349.7
COMCAST CL A SPECIAL 200300200 458.9 7.3 X 1 7.3
COMFORT SYSTEMS USA INC 199908104 5,659.9 387.0 X 1 235.1 151.9
COMMUNITY FIRST BKSH 203902101 20,793.2 1,039.7 X 1 880.7 159.0
COMMUNITY SAVINGS BANKSHARES 204037105 9,114.6 729.2 X 1 729.2
COMPAQ COMPUTER CORP 204493100 31.7 1.0 X 1 1.0
COMSAT CORP 20564D107 21,014.4 726.2 X 1 726.2
COMVERSE TECHNOLOGY INC 205862402 1,020.0 12.0 X 1 12.0
CONDOR TECHNOLOGY SOLUTIONS 206772105 4,465.0 470.0 X 1 470.0
CONSOLIDATED STORES 210149100 19,783.9 652.7 X 1 617.6 35.1
--------------
SUB-TOTAL $ 1,669,909.8
# PURSUANT TO REG. SEC. 240.24B-2 CERTAIN CONFIDENTIAL MATERIAL HAS BEEN FILED WITH THE SECRETARY OF THE SEC FOR NON-PUBLIC
TREATMENT
* INVESTMENT DISCRETION IS DISCLAIMED BY THE CAPITAL GROUP COMPANIES, INC FOR ALL PURPOSES OTHER THAN FORM 13F
<PAGE>
FORM 13F - FILE NO. 28-96 PAGE 7
NAME OF REPORTING MANAGER - CAPITAL GUARDIAN TRUST COMPANY# MAR 31, 1999
ITEM 1 AND 2 ITEM 3 ITEM 4 ITEM 5 ITEM 6 ITEM 7* ITEM 8
SHARES OF
PRINCIPAL INVESTMENT VOTING AUTHORITY
NAME OF ISSUER/TITLE OF CLASS FAIR MARKET AMOUNT DISCRETION (SHARES - 000'S)
------------ ----------------------------
(COMMON UNLESS OTHERWISE INDICATED) CUSIP VALUE ($000'S) (000'S) SOLE SHR OTH MGR SOLE SHARED NONE
- -------------------------------------- --------- -------------- ------------- ------------ --- ----------------------------
CONTINENTAL AIR CL B 210795308 $ 24,991.5 657.7 X 1 595.4 62.3
COOPER INDUSTRIES 216669101 34.2 0.8 X 1 0.8
COR THERAPEUTICS INC 217753102 21,441.2 2,157.6 X 1 1,667.0 490.6
CORN PRODUCTS INTL INC 219023108 75,523.0 3,155.0 X 1 2,747.9 407.1
CORNING INC 219350105 60.0 1.0 X 1 1.0
COSTCO COMPANIES INC 22160Q102 109.9 1.2 X 1 1.2
COX COMMUNICATIONS INC CL A 224044107 2,767.9 36.6 X 1 36.6
COX RADIO INC CL A 224051102 22,755.0 444.0 X 1 444.0
CREDENCE SYSTEMS 225302108 46,798.1 2,183.0 X 1 1,945.0 238.0
CREDIT ACCEPTANCE CORP 225310101 15,612.2 2,745.0 X 1 2,665.0 80.0
CROWN CORK & SEAL CO CV PF 4.50% 2-26-00 228255303 10,673.8 391.7 X 1 378.2 13.5
CSK AUTO CORP 125965103 16,654.2 556.3 X 1 409.4 146.9
CSX CORP 126408103 12.3 0.3 X 1 0.3
CUMULUS MEDIA INC CL A 231082108 5,875.0 500.0 X 1 270.0 230.0
CVS CORP 126650100 95.0 2.0 X 1 2.0
CYMER INC 232572107 37,613.4 1,892.5 X 1 1,695.4 197.1
DAIMLERCHRYSLER AG NY SHARE 233835909 40,297.7 469.6 X 1 408.9 60.7
DANAHER CORP 235851102 27,783.2 531.7 X 1 503.3 28.4
DARDEN RESTAURANTS INC 237194105 2.3 0.1 X 1 0.1
DATA GENERAL 237688106 3,493.1 345.0 X 1 345.0
DATA GENERAL CV SUB NT 6.00% 05/15/2004 237688AG1 3,266.9 $4,090.0 X 1 $3,950.0 $140.0
DATA PROCESSING RES CORP CV SUB NT 144A 237823AA7 8,618.0 $12,400.0 X 1 $12,400.0
5.25% 04/01/05
DATA PROCESSING RES CORP CV SUB NT RG'D 237823AB5 168.9 $243.0 X 1 $243.0
5.25% 04/01/05
DATA PROCESSING RESOURCES CORP 237823109 3,688.8 269.5 X 1 269.5
DEBEERS CONS MNG ADR 240253302 135,706.1 7,166.0 X 1 6,262.6 903.4
DELTA AIR LINES INC 247361108 161.8 2.3 X 1 2.3
DIAMOND OFFSHORE DRILLING INC 25271C102 23.7 0.8 X 1 0.8
DISNEY WALT CO 254687106 4,141.1 133.0 X 1 133.0
DOCUMENTUM INC 256159104 14.4 0.8 X 1 0.8
DOLLAR THRIFTY AUTOMOTIVE GROUP INC 256743105 42,900.8 2,487.0 X 1 2,157.0 330.0
DONALDSON LUFKIN & JENRETTE 257661108 42,345.2 607.1 X 1 508.5 98.6
--------------
SUB-TOTAL $ 593,628.7
# PURSUANT TO REG. SEC. 240.24B-2 CERTAIN CONFIDENTIAL MATERIAL HAS BEEN FILED WITH THE SECRETARY OF THE SEC FOR NON-PUBLIC
TREATMENT
* INVESTMENT DISCRETION IS DISCLAIMED BY THE CAPITAL GROUP COMPANIES, INC FOR ALL PURPOSES OTHER THAN FORM 13F
<PAGE>
FORM 13F - FILE NO. 28-96 PAGE 8
NAME OF REPORTING MANAGER - CAPITAL GUARDIAN TRUST COMPANY# MAR 31, 1999
ITEM 1 AND 2 ITEM 3 ITEM 4 ITEM 5 ITEM 6 ITEM 7* ITEM 8
SHARES OF
PRINCIPAL INVESTMENT VOTING AUTHORITY
NAME OF ISSUER/TITLE OF CLASS FAIR MARKET AMOUNT DISCRETION (SHARES - 000'S)
------------ ----------------------------
(COMMON UNLESS OTHERWISE INDICATED) CUSIP VALUE ($000'S) (000'S) SOLE SHR OTH MGR SOLE SHARED NONE
- -------------------------------------- --------- -------------- ------------- ------------ --- ----------------------------
DONNELLEY R R & SONS 257867101 $ 390.8 12.1 X 1 12.1
DOVER CORP 260003108 302,728.1 9,208.5 X 1 7,330.8 1,877.7
DOW CHEMICAL CO 260543103 55.9 0.6 X 1 0.6
DU PONT EI DE NEMOUR 263534109 3,441.5 59.3 X 1 59.3
DUANE READE INC 263578106 2,405.6 86.3 X 1 86.3
DUKE ENERGY CORP 264399106 2,412.2 44.2 X 1 44.2
DUPONT PHOTOMASKS INC 26613X101 7,251.4 183.0 X 1 183.0
DYNEGY INC 26816L102 42,820.3 3,045.0 X 1 2,563.0 482.0
EAGLE USA AIRFREIGHT INC 270018104 12,512.5 385.0 X 1 367.0 18.0
EARTHGRAINS CO (THE) 270319106 0.5 X 1
EASTERN ENTERPRISES 27637F100 11,138.0 306.2 X 1 288.7 17.5
EASTMAN CHEMICAL CO 277432100 33.9 0.8 X 1 0.8
EASTMAN KODAK CO 277461109 308.5 4.8 X 1 4.8
ECLIPSE SURGICAL TECH INC 278849104 3,838.8 365.6 X 1 327.4 38.2
ECOLAB INC 278865100 83,801.3 2,360.6 X 1 1,159.5 1,201.1
EDISON INTL 281020107 496.2 22.3 X 1 22.3
EDWARDS AG INC 281760108 49.0 1.5 X 1 1.5
EGGHEAD.COM INC 282330109 25,462.5 1,400.0 X 1 1,205.0 195.0
EL PASO ENERGY CORP 283905107 45.8 1.4 X 1 1.4
ELANTEC SEMICONDUCTOR INC 284155108 1.5 0.2 X 1 0.2
ELECTROGLAS INC 285324109 9,338.2 725.3 X 1 661.5 63.8
ELECTRONIC ARTS 285512109 311.9 6.6 X 1 6.6
ELECTRONIC DATA SYSTEMS CORP 285661104 17,004.8 349.3 X 1 330.4 18.9
EMCORE CORPORATION 290846104 8,746.9 622.0 X 1 562.0 60.0
EMERSON ELEC CO 291011104 56,783.4 1,072.6 X 1 865.6 207.0
EMPRESAS ICA ADS SPON 292448107 27.0 27.0 X 1 27.0
ENERGEN CORP 29265N108 21,284.4 1,424.9 X 1 1,384.9 40.0
ENERSIS SPON ADR 29274F104 10,644.6 397.0 X 1 228.0 169.0
ENRON CORP 293561106 122.1 1.9 X 1 1.9
ENTERCOM COMMUNICATIONS CL A 293639100 5,306.3 150.0 X 1 128.2 21.8
ENTREMED INC 29382F103 10.6 0.5 X 1 0.5
EQUIFAX INC 294429105 596.0 17.3 X 1 17.3
EQUITY OFFICE PROPERTIES TRUST 294741103 109.0 4.3 X 1 4.3
--------------
SUB-TOTAL $ 629,479.5
# PURSUANT TO REG. SEC. 240.24B-2 CERTAIN CONFIDENTIAL MATERIAL HAS BEEN FILED WITH THE SECRETARY OF THE SEC FOR NON-PUBLIC
TREATMENT
* INVESTMENT DISCRETION IS DISCLAIMED BY THE CAPITAL GROUP COMPANIES, INC FOR ALL PURPOSES OTHER THAN FORM 13F
<PAGE>
FORM 13F - FILE NO. 28-96 PAGE 9
NAME OF REPORTING MANAGER - CAPITAL GUARDIAN TRUST COMPANY# MAR 31, 1999
ITEM 1 AND 2 ITEM 3 ITEM 4 ITEM 5 ITEM 6 ITEM 7* ITEM 8
SHARES OF
PRINCIPAL INVESTMENT VOTING AUTHORITY
NAME OF ISSUER/TITLE OF CLASS FAIR MARKET AMOUNT DISCRETION (SHARES - 000'S)
------------ ----------------------------
(COMMON UNLESS OTHERWISE INDICATED) CUSIP VALUE ($000'S) (000'S) SOLE SHR OTH MGR SOLE SHARED NONE
- -------------------------------------- --------- -------------- ------------- ------------ --- ----------------------------
ERICSSON CL B ADR 294821400 $ 62,128.7 2,609.1 X 1 1,718.6 890.5
ERICSSON LM B CV ADD 4.25% 06-30-00 294821509 2,634.1 411.2 X 1 411.2
ESG RE LIMITED 269159901 9,024.9 568.5 X 1 568.5
ETEC SYSTEMS INC 26922C103 64,456.4 2,189.6 X 1 1,955.2 234.4
EVEREST RE HLDGS INC 299808105 6,115.9 196.1 X 1 196.1
EXXON CORP 302290101 116,848.2 1,656.0 X 1 1,149.5 506.5
FDX CORPORATION 31304N107 8,127.6 87.6 X 1 78.7 8.9
FED HOME LN MTG CORP 313400301 1,249.7 21.9 X 1 21.9
FEDERAL MOGUL CORP 313549107 172,575.8 4,034.5 X 1 3,179.0 855.5
FEDERAL NATIONAL MTG 313586109 1,688.1 24.4 X 1 24.4
FELCOR LODGING TRUST 31430F101 5,463.0 235.6 X 1 172.6 63.0
FIDELITY BANKSHARES INC 316047109 3,870.0 215.0 X 1 133.0 82.0
FIREARMS TRAINING SYSTEMS 318120102 473.1 458.8 X 1 331.9 126.9
FIRST ALLIANCE CORP CL A 317936102 6,180.6 1,705.0 X 1 1,460.0 245.0
FIRST MIDWEST BANCRP 320867104 5,002.2 131.6 X 1 100.9 30.8
FIRST SECURITY CP UT 336294103 96.6 5.0 X 1 5.0
FIRST UNION CORP 337358105 12,126.5 226.9 X 1 188.5 38.4
FLORIDA E COAST INDS 340632108 35.9 1.2 X 1 1.2
FOCAL INC 343909107 4,655.0 665.0 X 1 365.0 300.0
FORD MOTOR CO 345370100 21,033.9 370.6 X 1 345.9 24.7
FOREST LABS INC 345838106 73,389.0 1,301.8 X 1 1,033.9 267.9
FORT JAMES CORP 347471104 211,402.3 6,671.5 X 1 5,363.6 1,307.9
FOUR SEASONS HOTELS INC C$ LTD VTG 35100E104 448.9 10.7 X 1 10.7
FOX ENTERTAINMENT GROUP INC CL A 35138T107 144,448.8 5,325.3 X 1 4,386.6 938.7
FPIC INSURANCE GROUP 302563101 2,925.8 70.5 X 1 70.5
FPL GROUP 302571104 191.7 3.6 X 1 3.6
FREEPORT-MCMORAN C&G CV PF SER A DEP SHS 35671D501 10,710.9 674.7 X 1 651.2 23.5
$1.75
FREEPORT-MCMORAN COPPER & GOLD CL A 35671D105 0.3 X 1
FREEPORT-MCMORAN COPPER & GOLD CL B 35671D857 152.3 14.0 X 1 14.0
FRESH DEL MONTE PRODUCE INC 358035905 22,050.4 1,187.9 X 1 1,158.9 29.0
FRITZ COMPANIES INC 358846103 5,192.0 755.2 X 1 613.6 141.6
FUJI PHOTO FILM ADR 359586302 15.0 0.4 X 1 0.4
--------------
SUB-TOTAL $ 974,713.4
# PURSUANT TO REG. SEC. 240.24B-2 CERTAIN CONFIDENTIAL MATERIAL HAS BEEN FILED WITH THE SECRETARY OF THE SEC FOR NON-PUBLIC
TREATMENT
* INVESTMENT DISCRETION IS DISCLAIMED BY THE CAPITAL GROUP COMPANIES, INC FOR ALL PURPOSES OTHER THAN FORM 13F
<PAGE>
FORM 13F - FILE NO. 28-96 PAGE 10
NAME OF REPORTING MANAGER - CAPITAL GUARDIAN TRUST COMPANY# MAR 31, 1999
ITEM 1 AND 2 ITEM 3 ITEM 4 ITEM 5 ITEM 6 ITEM 7* ITEM 8
SHARES OF
PRINCIPAL INVESTMENT VOTING AUTHORITY
NAME OF ISSUER/TITLE OF CLASS FAIR MARKET AMOUNT DISCRETION (SHARES - 000'S)
------------ ----------------------------
(COMMON UNLESS OTHERWISE INDICATED) CUSIP VALUE ($000'S) (000'S) SOLE SHR OTH MGR SOLE SHARED NONE
- -------------------------------------- --------- -------------- ------------- ------------ --- ----------------------------
FULLER H B 359694106 $ 46,703.5 792.4 X 1 706.4 86.0
FULTON FINL CORP 360271100 8,855.8 386.1 X 1 297.8 88.3
FUSION MEDICAL TECHNOLOGIES INC 361128101 1,170.8 223.0 X 1 223.0
GABELLI ASSET MANAGEMENT INC CL A 36239Y102 10,893.8 700.0 X 1 618.0 82.0
GALLAGHER ARTHUR J 363576109 4,895.3 106.4 X 1 100.4 6.0
GANNETT COMPANY INC 364730101 170.9 2.7 X 1 2.7
GARDNER DENVER INC 365558105 1.5 0.1 X 1 0.1
GASONICS INTL CORP 367278108 16,318.5 1,483.5 X 1 1,191.5 292.0
GATEWAY 2000 367833100 156,024.3 2,275.7 X 1 1,786.6 489.1
GEN MTRS CL H (NEW) 370442832 136.2 2.7 X 1 2.7
GENCORP INC 368682100 18.0 1.0 X 1 1.0
GENERAL ELEC CO 369604103 72,972.5 659.6 X 1 628.0 31.6
GENERAL MILLS INC 370334104 135,907.7 1,798.6 X 1 1,473.7 324.9
GENERAL MTRS CORP 370442105 357.8 4.1 X 1 4.1
GENESIS DIRECT INC 371935107 1,541.3 360.0 X 1 360.0
GENSIA SICOR INC 372450106 1.2 0.4 X 1 0.4
GEORGIA-PACIFIC CORP (GEORGIA-PAC GROUP) 373298108 17,990.8 242.3 X 1 164.9 77.4
GILEAD SCIENCES INC 375558103 74,438.0 1,636.0 X 1 1,433.0 203.0
GILLETTE CO 375766102 7,114.7 119.7 X 1 119.4 0.3
GLAXO WELLCOME PLC SPON ADR 37733W105 10.0 0.2 X 1 0.2
GLOBAL CROSSING LTD 379325905 55,037.5 1,190.0 X 1 993.6 196.4
GLOBAL TELESYSTEMS GROUP 37936U104 911.8 16.3 X 1 16.3
GLOBALSTAR TELECOMMUNICATIONS 379364904 16,559.8 1,193.5 X 1 1,027.8 165.7
GOLDEN ST BANCORP LITIGATION TRKNG WTS 381197136 32.7 6.8 X 1 6.8
CVT TO CASH VAR EXP
GRAY COMMUNICATIONS SYSTEMS INC CL B 389190208 5,371.4 401.6 X 1 167.8 233.9
GRUPO IMSA SA SPON ADR 40048T106 21.4 21.4 X 1 21.4
GRUPO RADIO CEN ADR SPON 40049C102 705.7 128.3 X 1 128.3
GRUPO TELEVISA ADR SPON CPO 40049J206 46,896.2 1,494.7 X 1 1,066.4 428.3
GUANGSHEN RAILWAY H SPON ADS 40065W107 111.4 19.8 X 1 19.8
GUIDANT CORPORATION 401698105 349,447.9 5,776.0 X 1 4,950.2 825.8
HAGLER BAILLY INC 405183104 3,816.0 477.0 X 1 442.0 35.0
HAMILTON BANCORP INC 407013101 1,022.1 39.5 X 1 39.5
--------------
SUB-TOTAL $ 1,035,456.1
# PURSUANT TO REG. SEC. 240.24B-2 CERTAIN CONFIDENTIAL MATERIAL HAS BEEN FILED WITH THE SECRETARY OF THE SEC FOR NON-PUBLIC
TREATMENT
* INVESTMENT DISCRETION IS DISCLAIMED BY THE CAPITAL GROUP COMPANIES, INC FOR ALL PURPOSES OTHER THAN FORM 13F
<PAGE>
FORM 13F - FILE NO. 28-96 PAGE 11
NAME OF REPORTING MANAGER - CAPITAL GUARDIAN TRUST COMPANY# MAR 31, 1999
ITEM 1 AND 2 ITEM 3 ITEM 4 ITEM 5 ITEM 6 ITEM 7* ITEM 8
SHARES OF
PRINCIPAL INVESTMENT VOTING AUTHORITY
NAME OF ISSUER/TITLE OF CLASS FAIR MARKET AMOUNT DISCRETION (SHARES - 000'S)
------------ ----------------------------
(COMMON UNLESS OTHERWISE INDICATED) CUSIP VALUE ($000'S) (000'S) SOLE SHR OTH MGR SOLE SHARED NONE
- -------------------------------------- --------- -------------- ------------- ------------ --- ----------------------------
HARBOR FLORIDA BANCSHARES 411901101 $ 12,342.0 968.0 X 1 705.0 263.0
HARLEYSVILLE GRP INC 412824104 22,746.3 1,174.0 X 1 914.0 260.0
HARMAN INTL INDS 413086109 20,473.4 557.1 X 1 502.3 54.8
HARRAHS ENTMNT INC 413619107 22,482.3 1,179.4 X 1 921.1 258.3
HARTFORD LIFE INC CL A 416592103 4,906.0 89.2 X 1 46.2 43.0
HASBRO INC 418056107 290,933.3 10,053.9 X 1 7,918.5 2,135.4
HAYES LEMMERZ INTL INC 420781106 3,557.9 151.4 X 1 132.0 19.4
HEINZ H J CO 423074103 488.0 10.3 X 1 10.3
HESKA CORPORATION 42805E108 4,862.0 1,496.0 X 1 1,211.0 285.0
HEWLETT PACKARD CO 428236103 81,229.1 1,197.8 X 1 1,026.5 171.3
HIBERNIA CORP CL A 428656102 5,000.7 379.2 X 1 244.6 134.6
HILTON HOTELS CORP 432848109 8,303.9 590.5 X 1 590.5
HOLLINGER INTL CL A 435569108 15,257.8 1,125.0 X 1 1,125.0
HOLOPHANE CORP 43645B106 21,285.0 967.5 X 1 796.9 170.6
HOME DEPOT 437076102 997.1 16.0 X 1 16.0
HOME DEPOT CV SUB NT 3.25% 10-01-01 437076AE2 5,364.8 $1,935.0 X 1 $1,935.0
HOMESTAKE MNG CO 437614100 16,844.6 1,953.0 X 1 1,623.0 330.0
HOMESTAKE MNG CV SUB DEB 5.50% 06/23/00 437614AA8 9,446.4 $9,840.0 X 1 $9,750.0 $90.0
HONDA MOTOR LTD ADR 438128308 52,546.8 590.1 X 1 533.9 56.2
HONG KONG TELCOM ADR 438579203 9,793.1 500.6 X 1 278.2 222.4
HOUSEHOLD INTL 441815107 190,210.6 4,169.0 X 1 3,156.1 1,012.9
HUB GROUP INC CL A 443320106 18,240.0 768.0 X 1 768.0
HUBBELL INC CL B 443510201 20,632.0 515.8 X 1 477.8 38.0
HYPERION SOLUTIONS 44914M104 12.8 0.9 X 1 0.9
ICG COMMUNICATIONS 449246107 87,094.2 4,354.7 X 1 3,775.7 579.0
ICON PLC SPON ADR 45103T107 2,485.3 171.4 X 1 163.4 8.0
ILLINOIS TOOL WORKS 452308109 251,115.7 4,058.4 X 1 3,245.4 813.0
IMAX CORP C$ 45245E109 2,463.7 125.9 X 1 114.9 11.0
IMMUNE RESPONSE CORP 45252T106 12,633.6 1,433.6 X 1 1,238.6 195.0
IMPERIAL CREDIT COMMERCIAL MTG INV CORP 45272T102 10,584.6 1,099.7 X 1 1,099.7
IMPERIAL OIL LTD US$ 453038408 12,144.8 635.0 X 1 595.4 39.6
INCO LTD CL VBN US$ 453258709 1,204.9 172.1 X 1 167.1 5.0
INCO LTD CV 5.750% 07-01-04 453258AK1 5,581.1 $6,415.0 X 1 $6,150.0 $265.0
--------------
SUB-TOTAL $ 1,223,263.6
# PURSUANT TO REG. SEC. 240.24B-2 CERTAIN CONFIDENTIAL MATERIAL HAS BEEN FILED WITH THE SECRETARY OF THE SEC FOR NON-PUBLIC
TREATMENT
* INVESTMENT DISCRETION IS DISCLAIMED BY THE CAPITAL GROUP COMPANIES, INC FOR ALL PURPOSES OTHER THAN FORM 13F
<PAGE>
FORM 13F - FILE NO. 28-96 PAGE 12
NAME OF REPORTING MANAGER - CAPITAL GUARDIAN TRUST COMPANY# MAR 31, 1999
ITEM 1 AND 2 ITEM 3 ITEM 4 ITEM 5 ITEM 6 ITEM 7* ITEM 8
SHARES OF
PRINCIPAL INVESTMENT VOTING AUTHORITY
NAME OF ISSUER/TITLE OF CLASS FAIR MARKET AMOUNT DISCRETION (SHARES - 000'S)
------------ ----------------------------
(COMMON UNLESS OTHERWISE INDICATED) CUSIP VALUE ($000'S) (000'S) SOLE SHR OTH MGR SOLE SHARED NONE
- -------------------------------------- --------- -------------- ------------- ------------ --- ----------------------------
INCO LTD CV 7.750% 03-15-16 453258AH8 $ 5,016.0 $5,700.0 X 1 $5,500.0 $200.0
INCO LTD US$ 453258402 63,200.3 4,747.4 X 1 3,750.0 997.5
INDUS INTL INC 45578L100 5,319.7 1,198.8 X 1 858.8 340.0
INDUSTRI NATUZZI ADR 456478106 1,445.4 87.6 X 1 87.6
INDYMAC MTG HLDGS 456607100 59,031.7 5,428.2 X 1 4,567.3 860.9
INFORMIX CORP 456779107 0.3 X 1
INSIGNIA FINANCIAL GROUP INC (NEW) 45767A105 31,872.1 2,266.5 X 1 1,971.3 295.2
INTEGRATED ELECTRICAL SVCS 45811E103 9,697.6 606.1 X 1 321.1 285.0
INTEGRATED PROCESS EQUIPMENT CORP 45812K108 14,208.3 1,578.7 X 1 1,403.7 175.0
INTEL CORP 458140100 197,649.2 1,662.7 X 1 1,385.6 277.0
INTELLIGROUP INC 45816A106 6,476.1 1,006.0 X 1 972.0 34.0
INTERDENT INC 45865R109 3,325.0 604.5 X 1 604.5
INTERPUBLIC GROUP 460690100 137,481.1 1,765.4 X 1 1,539.5 226.0
INTERTAPE POLYMER GROUP INC C$ 460919103 15,407.0 588.0 X 1 503.0 85.0
INTL BUS MACH CORP 459200101 90,157.7 508.6 X 1 424.0 84.6
INTL INTEGRATION INC 459698106 14,496.0 453.0 X 1 224.0 229.0
INTL NETWORK SERVICES 460053101 80.8 1.2 X 1 1.2
INTL SPEEDWAY CORP CL A 460335201 9,305.1 176.4 X 1 176.4
INTRAWEST CORP C$ 460915200 3,165.8 185.7 X 1 173.7 12.0
IONICS INC 462218108 16,490.4 547.4 X 1 432.7 114.7
IRVINE APT CMTYS INC 463606103 4,448.0 135.3 X 1 133.3 2.0
IVEX PACKAGING CORP 465855104 4,576.0 301.3 X 1 271.3 30.0
JACOBS ENGR GROUP 469814107 11,239.7 285.0 X 1 285.0
JEVIC TRANSPORTATION INC 47719P107 3,820.7 593.5 X 1 321.5 272.0
JLK DIRECT DISTRIBUTION INC CL A 46621C105 3,239.1 345.5 X 1 345.5
JOHNSON & JOHNSON 478160104 23,434.1 250.5 X 1 140.5 110.0
JONES APPAREL GROUP 480074103 74,883.7 2,680.4 X 1 2,083.1 597.3
JONES INTERCABLE CL A 480206200 65,939.5 1,672.0 X 1 1,612.0 60.0
JOSTENS INC 481088102 55,907.0 2,630.9 X 1 1,978.9 652.0
KELLOGG CO 487836108 177,985.7 5,263.9 X 1 4,261.7 1,002.2
KELLWOOD CO 488044108 21,202.1 961.0 X 1 935.0 26.0
KENDLE INTL INC 48880L107 12,366.8 614.5 X 1 426.2 188.3
KERR MCGEE CORP 492386107 11,979.0 365.1 X 1 296.2 68.9
--------------
SUB-TOTAL $ 1,154,846.9
# PURSUANT TO REG. SEC. 240.24B-2 CERTAIN CONFIDENTIAL MATERIAL HAS BEEN FILED WITH THE SECRETARY OF THE SEC FOR NON-PUBLIC
TREATMENT
* INVESTMENT DISCRETION IS DISCLAIMED BY THE CAPITAL GROUP COMPANIES, INC FOR ALL PURPOSES OTHER THAN FORM 13F
<PAGE>
FORM 13F - FILE NO. 28-96 PAGE 13
NAME OF REPORTING MANAGER - CAPITAL GUARDIAN TRUST COMPANY# MAR 31, 1999
ITEM 1 AND 2 ITEM 3 ITEM 4 ITEM 5 ITEM 6 ITEM 7* ITEM 8
SHARES OF
PRINCIPAL INVESTMENT VOTING AUTHORITY
NAME OF ISSUER/TITLE OF CLASS FAIR MARKET AMOUNT DISCRETION (SHARES - 000'S)
------------ ----------------------------
(COMMON UNLESS OTHERWISE INDICATED) CUSIP VALUE ($000'S) (000'S) SOLE SHR OTH MGR SOLE SHARED NONE
- -------------------------------------- --------- -------------- ------------- ------------ --- ----------------------------
KERR-MCGEE CORP CV DB 7.50% 05-15-14 492386AL1 $ 7,219.6 $7,265.0 X 1 $6,960.0 $305.0
KEYSPAN ENERGY (NEW) 49337K106 2,483.4 98.8 X 1 87.5 11.3
KIMBERLY CLARK CORP 494368103 174,515.1 3,640.5 X 1 3,172.7 467.8
KLA TENCOR CORP 482480100 223,654.6 4,605.5 X 1 3,637.7 967.8
KN ENERGY 482620101 83,939.5 4,210.1 X 1 3,344.1 866.0
KNIGHT RIDDER INC 499040103 194.8 3.9 X 1 3.9
KON PHILIPS ELECTRONICS NY 500472105 803.8 9.8 X 1 9.8
KORN/FERRY INTERNATIONAL 500643200 12,271.9 935.0 X 1 817.0 118.0
KOS PHARMACEUTICALS INC 500648100 7,478.9 1,359.8 X 1 1,314.8 45.0
KULICKE & SOFFA 501242101 58,731.5 2,326.0 X 1 2,024.0 302.0
KYOCERA CORP ADR 501556203 389.4 7.4 X 1 7.4
LAM RESEARCH 512807108 39,877.9 1,375.1 X 1 1,216.0 159.1
LAM RESEARCH CV SUB NT 144A 5.00% 9/1/02 512807AB4 8,957.0 $10,600.0 X 1 $10,600.0
LAMAR ADVERTISING CO CL A 512815101 15,122.6 445.6 X 1 429.5 16.1
LANDSTAR SYSTEM INC 515098101 26,784.9 808.6 X 1 693.6 115.0
LAUDER (ESTEE) COS INC (THE) CL A 518439104 10,503.7 111.2 X 1 111.2
LEXMARK INTL GROUP INC CL A 529771107 598.2 5.4 X 1 5.4
LIBBEY INC 529898108 39,804.0 1,284.0 X 1 1,144.0 140.0
LIGAND PHARMACEUTICALS CL B 53220K207 1.6 0.2 X 1 0.2
LILLY ELI & CO 532457108 1,341.1 15.8 X 1 15.6 0.2
LIMITED INC 532716107 21,064.7 531.6 X 1 372.9 158.7
LINCOLN NATL CORP 534187109 40,311.7 407.7 X 1 382.4 25.3
LINEAR TECH CORP 535678106 557.6 10.9 X 1 10.9
LITHIA MOTORS INC CLASS A 536797103 8,080.4 509.0 X 1 339.0 170.0
LOCKHEED MARTIN CORP 539830109 199.7 5.3 X 1 5.3
LOJACK CORP 539451104 14,696.2 1,911.7 X 1 1,548.7 363.0
LONGVIEW FIBRE CO 543213102 69.4 6.0 X 1 6.0
LORAL SPACE & COMMUNICATIONS LTD 543880900 189,239.5 13,107.5 X 1 11,489.9 1,617.6
LOUIS DREYFUS NATURAL GAS CORP 546011107 13,632.9 940.2 X 1 742.8 197.4
LOWES COS INC 548661107 346,925.2 5,734.3 X 1 4,505.6 1,228.7
LSI LOGIC 502161102 323.9 10.4 X 1 10.4
LUCENT TECHNOLOGIES 549463107 7,120.1 66.0 X 1 66.0
LUXOTTICA GRP ADS 55068R202 3,605.0 280.0 X 1 74.0 206.0
--------------
SUB-TOTAL $ 1,360,499.6
# PURSUANT TO REG. SEC. 240.24B-2 CERTAIN CONFIDENTIAL MATERIAL HAS BEEN FILED WITH THE SECRETARY OF THE SEC FOR NON-PUBLIC
TREATMENT
* INVESTMENT DISCRETION IS DISCLAIMED BY THE CAPITAL GROUP COMPANIES, INC FOR ALL PURPOSES OTHER THAN FORM 13F
<PAGE>
FORM 13F - FILE NO. 28-96 PAGE 14
NAME OF REPORTING MANAGER - CAPITAL GUARDIAN TRUST COMPANY# MAR 31, 1999
ITEM 1 AND 2 ITEM 3 ITEM 4 ITEM 5 ITEM 6 ITEM 7* ITEM 8
SHARES OF
PRINCIPAL INVESTMENT VOTING AUTHORITY
NAME OF ISSUER/TITLE OF CLASS FAIR MARKET AMOUNT DISCRETION (SHARES - 000'S)
------------ ----------------------------
(COMMON UNLESS OTHERWISE INDICATED) CUSIP VALUE ($000'S) (000'S) SOLE SHR OTH MGR SOLE SHARED NONE
- -------------------------------------- --------- -------------- ------------- ------------ --- ----------------------------
M S CARRIERS INC 553533100 $ 20,642.4 780.8 X 1 730.8 50.0
MAC-GRAY CORPORATION 554153106 3,220.2 350.5 X 1 36.0 314.5
MACROMEDIA INC 556100105 88,581.4 1,954.9 X 1 1,864.0 90.9
MADECO SA ADR 556304103 121.5 13.5 X 1 13.5
MANPOWER INC 56418H100 67.8 2.9 X 1 2.9
MARSH & MCLENNAN COS 571748102 489.6 6.6 X 1 6.6
MATAV RT SPON ADR 559776109 3,343.8 125.0 X 1 125.0
MAXIM INTEGRATED PRODUCTS INC 57772K101 89,046.5 1,645.2 X 1 1,356.5 288.7
MAY DEPT STORES CO 577778103 24.3 0.6 X 1 0.6
MBIA INC 55262C100 34.8 0.6 X 1 0.6
MBNA CORP 55262L100 351.0 14.7 X 1 14.7
MC DONALDS CORP 580135101 35,630.7 786.3 X 1 723.7 62.7
MCDERMOTT (J RAY) SA 579999905 6,408.2 214.5 X 1 214.5
MCI WORLDCOM INC 55268B106 603,469.4 6,814.1 X 1 5,416.1 1,397.9
MCMORAN EXPLORATION CO 582411104 10.1 0.6 X 1 0.6
MCWHORTER TECHS INC 582803102 132.0 9.7 X 1 9.7
MDC COMMUNICATIONS CORP CL A C$ 55267W309 6,440.9 719.2 X 1 565.8 153.5
MEDALLION FINANCIAL CORP 583928106 22,608.8 1,501.0 X 1 1,301.0 200.0
MEDIA GENERAL CL A 584404107 34,675.1 745.7 X 1 638.0 107.7
MEDIAONE GROUP INC 58440J104 104,973.8 1,654.8 X 1 1,226.5 428.3
MEDIAONE GROUP INC CV PF SER D 4.50% 58440J203 11,467.8 89.2 X 1 84.7 4.5
MEDTRONIC INC 585055106 393,746.9 5,478.4 X 1 4,635.8 842.6
MERCK & CO INC 589331107 39,693.0 495.0 X 1 480.4 14.6
MERIDIAN RESOURCE CORP 58977Q109 0.1 X 1
MERISTAR HOSPITALITY CORP 58984Y103 32,181.0 1,769.4 X 1 1,546.1 223.3
MERRILL LYNCH 590188108 73,403.7 829.5 X 1 685.8 143.7
METRO INFORMATION SERVICES INC 59162P104 3,873.9 213.0 X 1 213.0
MICREL INC 594793101 17,847.3 356.5 X 1 356.5
MICRO WAREHOUSE INC 59501B105 2,918.6 181.0 X 1 181.0
MICROCELL TELECOMMUNICATIONS CL B NV US$ 59501T304 10,029.7 1,225.0 X 1 1,225.0
MICROCHIP TECH INC 595017104 227.3 6.6 X 1 6.6
MICRON TECH INC 595112103 30,654.9 636.1 X 1 414.2 221.9
MICRON TECHNOLOGY CV NT 7.00% 07/01/2004 595112AB9 8,374.0 $7,900.0 X 1 $7,500.0 $400.0
--------------
SUB-TOTAL $ 1,644,690.5
# PURSUANT TO REG. SEC. 240.24B-2 CERTAIN CONFIDENTIAL MATERIAL HAS BEEN FILED WITH THE SECRETARY OF THE SEC FOR NON-PUBLIC
TREATMENT
* INVESTMENT DISCRETION IS DISCLAIMED BY THE CAPITAL GROUP COMPANIES, INC FOR ALL PURPOSES OTHER THAN FORM 13F
<PAGE>
FORM 13F - FILE NO. 28-96 PAGE 15
NAME OF REPORTING MANAGER - CAPITAL GUARDIAN TRUST COMPANY# MAR 31, 1999
ITEM 1 AND 2 ITEM 3 ITEM 4 ITEM 5 ITEM 6 ITEM 7* ITEM 8
SHARES OF
PRINCIPAL INVESTMENT VOTING AUTHORITY
NAME OF ISSUER/TITLE OF CLASS FAIR MARKET AMOUNT DISCRETION (SHARES - 000'S)
------------ ----------------------------
(COMMON UNLESS OTHERWISE INDICATED) CUSIP VALUE ($000'S) (000'S) SOLE SHR OTH MGR SOLE SHARED NONE
- -------------------------------------- --------- -------------- ------------- ------------ --- ----------------------------
MICROSOFT CORP 594918104 $ 4,715.0 52.6 X 1 52.6
MICROSOFT CORP CV PF SER A $2.196 594918203 241.3 2.5 X 1 2.5
MICROSTRATEGY CL A 594972101 1,732.5 90.0 X 1 90.0
MIDCOAST ENERGY RESOURCES 59563W104 5,521.9 356.3 X 1 160.0 196.3
MIDWAY AIRLINES CORP 598126100 4,164.2 354.4 X 1 354.4
MIDWAY GAMES INC 598148104 27,626.3 3,180.0 X 1 2,763.0 417.0
MILLENIUM PHARMACEUTICALS INC 599902103 26,212.5 838.8 X 1 582.8 256.0
MILLENNIUM CHEMICALS INC 599903101 85.2 4.3 X 1 4.3
MILLIPORE CORP 601073109 44.2 1.8 X 1 1.8
MINN MNG & MFG CO 604059105 100.9 1.4 X 1 1.4
MOBIL CORP 607059102 100,897.6 1,146.6 X 1 986.0 160.6
MOLEX INC CL A NON VTG 608554200 44.3 1.7 X 1 1.7
MONDAVI (ROBERT) CORP CL A 609200100 26,673.1 746.1 X 1 689.1 57.0
MONSANTO CO 611662107 7,658.7 166.7 X 1 159.5 7.2
MORGAN J P & CO INC 616880100 91,939.5 745.2 X 1 669.0 76.2
MORGAN STANLEY DEAN WITTER & CO 617446448 770.8 7.7 X 1 7.7
MORTON INTERNATIONAL INC 619335102 33.1 0.9 X 1 0.9
MOTOROLA INC 620076109 29.7 0.4 X 1 0.4
MURPHY OIL CORP 626717102 52,622.0 1,268.0 X 1 867.5 400.5
MYLAN LABS INC 628530107 0.3 X 1
NABISCO HOLDINGS CORP CL A 629526104 105,312.8 2,533.8 X 1 2,232.2 301.6
NAC RE CORP 628907107 28,293.3 527.0 X 1 258.0 269.0
NAT AUSTRALIA BANK 7.875% EXCH CAP UNITS 632525309 12,600.6 $400.8 X 1 $400.8
PRP
NATL SEMICONDUCTOR CV DEB 6.50% 10-01-02 637640AB9 3,448.7 $4,155.0 X 1 $3,860.0 $295.0
NATROL INC 638789107 3,298.0 544.0 X 1 286.0 258.0
NATURES SUNSHINE PRODUCTS INC 639027101 9,083.8 825.8 X 1 648.3 177.5
NEC CORP ADR 629050204 11,805.8 198.0 X 1 90.0 108.0
NEOMAGIC CORPORATION 640497103 10.3 1.0 X 1 1.0
NETWORK APPLIANCE INC 64120L104 7.8 0.2 X 1 0.2
NETWORK COMPUTING DEVICES INC 64120N100 1.6 0.3 X 1 0.3
NEW ENGLAND ELEC SYS 644001109 24.3 0.5 X 1 0.5
NEW PLAN EXCEL REALTY TRUST INC 648053106 1,033.0 53.8 X 1 53.8
--------------
SUB-TOTAL $ 526,033.1
# PURSUANT TO REG. SEC. 240.24B-2 CERTAIN CONFIDENTIAL MATERIAL HAS BEEN FILED WITH THE SECRETARY OF THE SEC FOR NON-PUBLIC
TREATMENT
* INVESTMENT DISCRETION IS DISCLAIMED BY THE CAPITAL GROUP COMPANIES, INC FOR ALL PURPOSES OTHER THAN FORM 13F
<PAGE>
FORM 13F - FILE NO. 28-96 PAGE 16
NAME OF REPORTING MANAGER - CAPITAL GUARDIAN TRUST COMPANY# MAR 31, 1999
ITEM 1 AND 2 ITEM 3 ITEM 4 ITEM 5 ITEM 6 ITEM 7* ITEM 8
SHARES OF
PRINCIPAL INVESTMENT VOTING AUTHORITY
NAME OF ISSUER/TITLE OF CLASS FAIR MARKET AMOUNT DISCRETION (SHARES - 000'S)
------------ ----------------------------
(COMMON UNLESS OTHERWISE INDICATED) CUSIP VALUE ($000'S) (000'S) SOLE SHR OTH MGR SOLE SHARED NONE
- -------------------------------------- --------- -------------- ------------- ------------ --- ----------------------------
NEWBRIDGE NETWORKS CORP US$ 650901101 $ 80,722.7 2,563.1 X 1 2,165.9 397.2
NEWCOURT CREDIT GROUP INC C$ 650905102 232,640.7 8,616.9 X 1 6,640.7 1,976.2
NEWFIELD EXPLORATION 651290108 254.5 11.3 X 1 11.3
NEWMONT MNG CORP 651639106 612.5 35.0 X 1 35.0
NEWS CORP LTD PFD ADR 652487802 67,223.3 2,444.5 X 1 2,048.2 396.3
NEWS CORP NEW ADR 652487703 154,285.1 5,230.0 X 1 4,253.1 976.9
NICE SYSTEMS LTD SPON ADR 653656108 4,277.5 145.0 X 1 145.0
NIKE INC CL B 654106103 176,727.7 3,063.5 X 1 2,435.5 628.0
NINE WEST GROUP CV SUB NT 5.50% SEASONED 65440DAC6 2,457.0 $2,600.0 X 1 $2,500.0 $100.0
07/15/03
NISSAN MOTOR ADR 654744408 2,490.0 332.0 X 1 232.0 100.0
NN BALL & ROLLER INC 629305103 5,034.6 885.2 X 1 840.0 45.2
NOKIA A SPON ADR 654902204 479,644.4 3,079.6 X 1 2,327.0 752.6
NORDSTROM INC 655664100 631.5 15.5 X 1 15.5
NORFOLK SOTHN CORP 655844108 6,002.2 227.6 X 1 223.1 4.5
NORSK HYDRO SPON ADR 656531605 21,126.9 523.3 X 1 446.0 77.3
NORTEL NETWORKS CORPORATION US$ 656569100 117,246.1 1,887.3 X 1 1,363.3 523.9
NORTHEAST UTILITIES 664397106 60,470.0 4,358.2 X 1 3,950.9 407.3
NOVEL DENIM HOLDINGS LTD 669944902 9,925.5 1,018.0 X 1 898.0 120.0
NOVELLUS SYSTEMS INC 670008101 75,411.0 1,368.0 X 1 1,222.0 146.0
NOVOSTE CORPORATION 67010C100 18,244.8 760.2 X 1 669.1 91.1
NU SKIN ENTERPRISES INC CL A 67018T105 11,558.7 505.3 X 1 505.3
NUCOR CORP 670346105 17.6 0.4 X 1 0.4
NVIDIA CORP 67066G104 10,302.7 487.7 X 1 428.7 59.0
NY MAGIC 629484106 3,022.5 232.5 X 1 103.5 129.0
OCCIDENTAL PETE 674599105 5,575.6 309.8 X 1 283.4 26.4
OCCIDENTAL PETE CV PF $3.00 674599790 10,439.6 210.9 X 1 202.4 8.5
OCULAR SCIENCES INC 675744106 10,757.8 375.0 X 1 375.0
OM GROUP INC 670872100 32,206.4 976.0 X 1 863.0 113.0
OPTICAL COATING LAB 683829105 15,427.2 321.4 X 1 265.4 56.0
OWENS & MINOR NEW 690732102 3,775.6 372.9 X 1 372.9
PACIFIC BANK NA 694026204 3,150.0 150.0 X 1 120.0 30.0
PACIFIC CENTURY FINANCIAL CORP 694058108 375.8 18.0 X 1 18.0
--------------
SUB-TOTAL $ 1,622,037.3
# PURSUANT TO REG. SEC. 240.24B-2 CERTAIN CONFIDENTIAL MATERIAL HAS BEEN FILED WITH THE SECRETARY OF THE SEC FOR NON-PUBLIC
TREATMENT
* INVESTMENT DISCRETION IS DISCLAIMED BY THE CAPITAL GROUP COMPANIES, INC FOR ALL PURPOSES OTHER THAN FORM 13F
<PAGE>
FORM 13F - FILE NO. 28-96 PAGE 17
NAME OF REPORTING MANAGER - CAPITAL GUARDIAN TRUST COMPANY# MAR 31, 1999
ITEM 1 AND 2 ITEM 3 ITEM 4 ITEM 5 ITEM 6 ITEM 7* ITEM 8
SHARES OF
PRINCIPAL INVESTMENT VOTING AUTHORITY
NAME OF ISSUER/TITLE OF CLASS FAIR MARKET AMOUNT DISCRETION (SHARES - 000'S)
------------ ----------------------------
(COMMON UNLESS OTHERWISE INDICATED) CUSIP VALUE ($000'S) (000'S) SOLE SHR OTH MGR SOLE SHARED NONE
- -------------------------------------- --------- -------------- ------------- ------------ --- ----------------------------
PACIFICARE HEALTH SYSTEMS CL B NEW N/V 695112201 $ 72,343.4 1,060.0 X 1 782.6 277.4
PACIFICARE HEALTH SYSTEMS INC CL A NEW 695112102 36,302.5 603.2 X 1 461.0 142.2
PAMECO CORP CL A 697934107 2,015.4 350.5 X 1 168.0 182.5
PANAMERICAN BEV A 69829W905 55,011.0 3,132.3 X 1 2,759.3 373.0
PARAGON TRADE BRANDS 69912K107 2,606.8 1,042.7 X 1 1,042.7
PARK PLACE ENTERTAINMENT CORP 700690100 102.1 13.5 X 1 13.5
PARTNER RE HLDGS LTD 702122904 15,791.0 389.9 X 1 328.9 61.0
PAYCHEX INC 704326107 101.0 2.1 X 1 2.1
PAYLESS SHOESOURCE INC 704379106 3.1 0.1 X 1 0.1
PENTAIR INC 709631105 43,578.8 1,291.2 X 1 1,156.0 135.2
PEOPLES HERITAGE FINL GROUP 711147108 10,908.0 606.0 X 1 571.0 35.0
PEOPLESOFT INC 712713106 201,175.7 13,755.6 X 1 11,061.9 2,693.7
PEP BOYS 713278109 30,456.5 1,997.2 X 1 1,582.8 414.4
PEPSICO INC 713448108 85,940.1 2,193.1 X 1 1,694.8 498.3
PERCLOSE INC 71361C107 0.6 X 1
PEREGRINE SYSTEMS INC 71366Q101 15,541.5 462.2 X 1 438.2 24.0
PERKIN ELMER CORP 714041100 182,963.6 1,885.0 X 1 1,643.0 242.0
PETROLEUM GEO-SERVICES SPON ADR 716597109 13,084.5 858.0 X 1 738.0 120.0
PFEIFFER VACUUM TECHNOLOGY BEAR SPON ADR 717067102 24,789.4 600.9 X 1 578.9 22.0
PFF BANCORP INC 69331W104 17,587.5 1,005.0 X 1 905.0 100.0
PFIZER INC 717081103 749,768.1 5,403.7 X 1 4,293.7 1,110.0
PG&E CORP 69331C108 139.8 4.5 X 1 4.5
PHARMAPRINT INC 716950100 4,395.6 488.4 X 1 430.0 58.4
PHILIP MORRIS CO INC 718154107 8,659.7 246.1 X 1 243.6 2.5
PHILIPPINE LDTEL ADS SPON 718252604 36,413.2 1,407.3 X 1 1,226.3 181.0
PHILIPPINE LONG DIST TEL SPON GDS CV PF 718252703 2,683.8 56.5 X 1 56.5
SER III
PHILLIPS PETE CO 718507106 39.3 0.8 X 1 0.8
PHOSPHATE RES PTRS LP DEP UNIT 719217101 117.5 10.0 X 1 10.0
PHOTRONICS CV SUB NT 6.00% 06/01/04 719405AA0 1,902.5 $1,950.0 X 1 $1,792.0 $158.0
PHOTRONICS INC 719405102 14,434.4 775.0 X 1 741.0 34.0
PIONEER HI-BRED INTL 723686101 15,237.4 405.0 X 1 393.5 11.5
PIONEER NATURAL RESOURCES CO 723787107 1.6 0.2 X 1 0.2
--------------
SUB-TOTAL $ 1,644,095.0
# PURSUANT TO REG. SEC. 240.24B-2 CERTAIN CONFIDENTIAL MATERIAL HAS BEEN FILED WITH THE SECRETARY OF THE SEC FOR NON-PUBLIC
TREATMENT
* INVESTMENT DISCRETION IS DISCLAIMED BY THE CAPITAL GROUP COMPANIES, INC FOR ALL PURPOSES OTHER THAN FORM 13F
<PAGE>
FORM 13F - FILE NO. 28-96 PAGE 18
NAME OF REPORTING MANAGER - CAPITAL GUARDIAN TRUST COMPANY# MAR 31, 1999
ITEM 1 AND 2 ITEM 3 ITEM 4 ITEM 5 ITEM 6 ITEM 7* ITEM 8
SHARES OF
PRINCIPAL INVESTMENT VOTING AUTHORITY
NAME OF ISSUER/TITLE OF CLASS FAIR MARKET AMOUNT DISCRETION (SHARES - 000'S)
------------ ----------------------------
(COMMON UNLESS OTHERWISE INDICATED) CUSIP VALUE ($000'S) (000'S) SOLE SHR OTH MGR SOLE SHARED NONE
- -------------------------------------- --------- -------------- ------------- ------------ --- ----------------------------
PITNEY BOWES INC 724479100 $ 10,332.0 162.1 X 1 156.1 6.0
PIXAR INC 725811103 22,376.8 568.3 X 1 458.1 110.2
PLATINUM SOFTWARE CORP 72764R105 18,713.3 2,537.4 X 1 2,277.4 260.0
PMC-SIERRA INC 69344F106 49.7 0.7 X 1 0.7
PMI GROUP INC (THE) 69344M101 84,824.5 1,829.1 X 1 1,517.1 312.0
POGO PRODUCING CO 730448107 8,060.0 620.0 X 1 600.0 20.0
POLARIS INDUSTRIES INC 731068102 52,536.7 1,654.7 X 1 1,449.9 204.8
POLYCOM INC 73172K104 11,568.8 617.0 X 1 592.0 25.0
PORTUGAL TELECOM ORD SPON ADR 737273102 33,367.4 761.6 X 1 632.3 129.3
POST PROPERTIES INC 737464107 36.3 1.0 X 1 1.0
POWER-ONE INC 739308104 5,042.3 747.0 X 1 655.0 92.0
PRAXAIR INC 74005P104 68,910.0 1,910.9 X 1 1,717.2 193.7
PROCTER & GAMBLE CO 742718109 8,847.0 90.3 X 1 90.3
PROTECTION ONE INC 743663304 1,962.5 314.0 X 1 314.0
PROTEIN DESIGN LABS 74369L103 11,537.9 766.0 X 1 734.0 32.0
PROVIDENT COS INC 743862104 39,957.7 1,156.1 X 1 975.2 180.9
QUANTA SERVICES INC 74762E102 16,923.6 665.3 X 1 628.3 37.0
QUEBECOR PRINTING INC SUB VTG C$ 747922102 1,306.4 57.3 X 1 46.5 10.8
QUINTILES TRANSNAT CV SUB NT 144A 4.25% 748767AA8 6,682.2 $6,364.0 X 1 $6,364.0
05/31/00
QUINTILES TRANSNATIONAL CORP 748767100 153,178.7 4,057.7 X 1 3,612.3 445.4
QWEST COMMUNICATIONS INTL 749121109 168.1 2.3 X 1 2.3
R&B FALCON CORP 74912E101 3,381.0 392.0 X 1 282.0 110.0
RAILTEX INC 750766107 5,232.5 460.0 X 1 460.0
RALSTON-RALSTON PURINA GROUP 751277302 48.0 1.8 X 1 1.8
RANGER OIL LTD US$ 752805101 4,000.0 1,000.0 X 1 1,000.0
RATIONAL SOFTWARE CORP 75409P202 26.8 1.0 X 1 1.0
RAUMA OYJ SPON ADR 754183101 261.3 22.0 X 1 22.0
RAYOVAC CORP 755081106 4,120.6 149.5 X 1 149.5
RAYTHEON COMPANY CL B 755111408 304.9 5.2 X 1 5.2
REGIONS FINL CORP 758940100 76.2 2.2 X 1 2.2
REMEC INC 759543101 11,815.3 566.0 X 1 331.8 234.2
REMEDY CORP 759548100 24,022.6 1,715.9 X 1 1,501.9 214.0
--------------
SUB-TOTAL $ 609,670.9
# PURSUANT TO REG. SEC. 240.24B-2 CERTAIN CONFIDENTIAL MATERIAL HAS BEEN FILED WITH THE SECRETARY OF THE SEC FOR NON-PUBLIC
TREATMENT
* INVESTMENT DISCRETION IS DISCLAIMED BY THE CAPITAL GROUP COMPANIES, INC FOR ALL PURPOSES OTHER THAN FORM 13F
<PAGE>
FORM 13F - FILE NO. 28-96 PAGE 19
NAME OF REPORTING MANAGER - CAPITAL GUARDIAN TRUST COMPANY# MAR 31, 1999
ITEM 1 AND 2 ITEM 3 ITEM 4 ITEM 5 ITEM 6 ITEM 7* ITEM 8
SHARES OF
PRINCIPAL INVESTMENT VOTING AUTHORITY
NAME OF ISSUER/TITLE OF CLASS FAIR MARKET AMOUNT DISCRETION (SHARES - 000'S)
------------ ----------------------------
(COMMON UNLESS OTHERWISE INDICATED) CUSIP VALUE ($000'S) (000'S) SOLE SHR OTH MGR SOLE SHARED NONE
- -------------------------------------- --------- -------------- ------------- ------------ --- ----------------------------
RENAISSANCE WLDWIDE 75968A109 $ 7,425.0 1,200.0 X 1 1,200.0
RENTAL SERVICE CORP 76009V102 4,838.8 276.5 X 1 224.5 52.0
RES-CARE INC 144A CV SUB NT 6.00% 12/04 760943AA8 3,155.0 $2,460.0 X 1 $2,460.0
RES-CARE INC REG'D CV SUB NT 6.00% 12/04 760943AC4 196.2 $153.0 X 1 $153.0
REUTERS GROUP PLC SPON ADR 76132M102 15,930.1 183.4 X 1 165.4 17.9
RJR NABISCO HLDG NEW 74960K876 6,137.5 245.5 X 1 233.0 12.5
ROGERS CANTEL MOBILE COMM INC CL B US$ 775102205 15,042.5 832.8 X 1 698.8 134.0
RESTRICTED VOTING SHARES
ROGERS COMMUNICATIONS INC CL B C$ N/V 775109200 13,297.4 731.6 X 1 338.3 393.3
ROHM & HAAS CO 775371107 19.7 0.6 X 1 0.6
ROWAN COMPANIES INC 779382100 4,500.3 354.7 X 1 354.7
ROYAL BANK OF CANADA C$ 780087102 305,303.0 6,505.2 X 1 4,777.2 1,728.0
ROYAL CARIBBEAN CRUISES CV PF SER A 780151916 9,667.6 79.0 X 1 75.5 3.5
7.25%
ROYAL DUTCH PETE 1.25 GUILDER NY SHR 780257804 39,105.6 752.0 X 1 714.0 38.0
RPM INC OHIO 749685103 18,898.7 1,419.6 X 1 1,273.7 145.9
RUBY TUESDAY INC 781182100 12,139.9 698.7 X 1 698.7
S3 INC 784849101 11.0 1.5 X 1 1.5
SAFEGRD SCIENTIFICS 786449108 459.0 6.8 X 1 6.8
SAN JUAN BASIN RTY 798241105 18,417.8 2,774.0 X 1 2,272.6 501.4
SANCHEZ COMPUTER ASSOCIATES 799702105 23.3 1.0 X 1 1.0
SANGSTAT MEDICAL CORP 801003104 10,618.0 858.0 X 1 763.0 95.0
SAPIENT CORPORATION 803062108 14,631.9 205.0 X 1 119.0 86.0
SARA LEE CORP 803111103 99.0 4.0 X 1 4.0
SBC COMMUNICATIONS 78387G103 345.7 7.3 X 1 7.3
SBS BROADCASTING SA 783939901 5,615.5 174.8 X 1 174.8
SCANDINAV BROAD SYS CV 7.25% 08-01-05 805906AA2 9,131.9 $8,190.0 X 1 $8,190.0
SCHERING-PLOUGH 806605101 2,775.2 50.2 X 1 50.2
SCHLUMBERGER LTD 806857108 173,804.3 2,887.7 X 1 2,330.4 557.3
SCHULER HOMES CV DB 6.50% 01-15-03 808188AA4 4,123.8 $5,220.0 X 1 $5,075.0 $145.0
SCHWAB CHARLES NEW 808513105 281.2 2.9 X 1 2.9
SCITEX CORP LTD ORD 809090103 553.4 55.0 X 1 55.0
SCOTTS CO CL A 810186106 5,426.9 145.2 X 1 145.2
--------------
SUB-TOTAL $ 701,974.9
# PURSUANT TO REG. SEC. 240.24B-2 CERTAIN CONFIDENTIAL MATERIAL HAS BEEN FILED WITH THE SECRETARY OF THE SEC FOR NON-PUBLIC
TREATMENT
* INVESTMENT DISCRETION IS DISCLAIMED BY THE CAPITAL GROUP COMPANIES, INC FOR ALL PURPOSES OTHER THAN FORM 13F
<PAGE>
FORM 13F - FILE NO. 28-96 PAGE 20
NAME OF REPORTING MANAGER - CAPITAL GUARDIAN TRUST COMPANY# MAR 31, 1999
ITEM 1 AND 2 ITEM 3 ITEM 4 ITEM 5 ITEM 6 ITEM 7* ITEM 8
SHARES OF
PRINCIPAL INVESTMENT VOTING AUTHORITY
NAME OF ISSUER/TITLE OF CLASS FAIR MARKET AMOUNT DISCRETION (SHARES - 000'S)
------------ ----------------------------
(COMMON UNLESS OTHERWISE INDICATED) CUSIP VALUE ($000'S) (000'S) SOLE SHR OTH MGR SOLE SHARED NONE
- -------------------------------------- --------- -------------- ------------- ------------ --- ----------------------------
SCRIPPS CO (THE E.W.) CL A NEW 811054204 $ 150.5 3.4 X 1 3.4
SEACOR SMIT INC 811904101 8,588.5 159.6 X 1 159.6
SEALED AIR CORP CV PF SER A $2.00 81211K209 52,326.5 1,057.1 X 1 936.1 121.0
SEALED AIR CORP NEW 81211K100 63,341.2 1,287.8 X 1 1,065.4 222.4
SECURITY DYNAMICS TECHNOLOGIES INC 814208104 20,785.0 1,116.0 X 1 900.0 216.0
SENSORMATIC ELEC CV PF 144A 6.50% DEP 817265200 18,492.0 1,072.0 X 1 1,072.0
SHS
SENSORMATIC ELECTRONICS CORP 817265101 80,190.5 8,441.1 X 1 6,698.2 1,742.9
SERVICE CORP INTL 817565104 78,520.4 5,510.2 X 1 4,783.2 727.0
SHAW COMMUNICATIONS INC CL B C$ 82028K200 7,418.7 230.6 X 1 186.3 44.3
SHELL TRANS/TRADING (NY SHARES NEW) 822703609 325,003.0 8,000.1 X 1 7,142.0 858.1
SHERWIN WILLIAMS CO 824348106 10,125.0 360.0 X 1 339.1 20.9
SIGMA-ALDRICH CORP 826552101 542.5 18.5 X 1 18.5
SILGAN HOLDINGS INC 827048109 33.4 2.0 X 1 2.0
SILICON GRAPHICS CV SR NT 5.25% 9/01/04 827056AC6 2,178.6 $2,497.0 X 1 $2,497.0
SILICON GRAPHICS INC 827056102 3,920.3 236.7 X 1 95.2 141.5
SILICON VY GROUP INC 827066101 24,051.2 1,953.4 X 1 1,776.4 177.0
SIZZLER INTL INC 830139101 4,350.7 2,283.1 X 1 1,902.4 380.7
SK TELECOM SPON ADR 78440P108 818.8 67.2 X 1 67.2
SLM HOLDING CORP VTG 78442A109 534,161.7 12,794.3 X 1 10,335.1 2,459.2
SMURFIT-STONE CONTAINER CORP 832727101 15,530.0 804.1 X 1 757.5 46.6
SONOCO PRODS CO 835495102 898.6 39.1 X 1 39.1
SONY CORP ADR 835699307 130,013.6 1,423.8 X 1 1,216.6 207.2
SOUTHERN CO 842587107 18.7 0.8 X 1 0.8
SOUTHTRUST CORP 844730101 98.6 2.6 X 1 2.6
SPEEDWAY MOTORSPORTS INC 847788106 8,250.0 200.0 X 1 165.0 35.0
SPELLING ENTERTAINMENT INC NEW 847807104 10,223.5 1,168.4 X 1 1,126.4 42.0
SPRINT CORP (FON GROUP) 852061100 112,932.1 1,150.9 X 1 851.8 299.1
SPRINT CORP (PCS GROUP) 852061506 22.2 0.5 X 1 0.5
SRS LABS INC 78464M106 2,162.5 692.0 X 1 692.0
STANDARD PROD CO 853836104 7,856.9 483.5 X 1 483.5
STANLEY WORKS 854616109 38,538.5 1,503.9 X 1 1,243.9 260.0
STARBUCKS CORP 855244109 3,283.3 117.0 X 1 117.0
--------------
SUB-TOTAL $ 1,564,826.6
# PURSUANT TO REG. SEC. 240.24B-2 CERTAIN CONFIDENTIAL MATERIAL HAS BEEN FILED WITH THE SECRETARY OF THE SEC FOR NON-PUBLIC
TREATMENT
* INVESTMENT DISCRETION IS DISCLAIMED BY THE CAPITAL GROUP COMPANIES, INC FOR ALL PURPOSES OTHER THAN FORM 13F
<PAGE>
FORM 13F - FILE NO. 28-96 PAGE 21
NAME OF REPORTING MANAGER - CAPITAL GUARDIAN TRUST COMPANY# MAR 31, 1999
ITEM 1 AND 2 ITEM 3 ITEM 4 ITEM 5 ITEM 6 ITEM 7* ITEM 8
SHARES OF
PRINCIPAL INVESTMENT VOTING AUTHORITY
NAME OF ISSUER/TITLE OF CLASS FAIR MARKET AMOUNT DISCRETION (SHARES - 000'S)
------------ ----------------------------
(COMMON UNLESS OTHERWISE INDICATED) CUSIP VALUE ($000'S) (000'S) SOLE SHR OTH MGR SOLE SHARED NONE
- -------------------------------------- --------- -------------- ------------- ------------ --- ----------------------------
STARTEK INC 85569C107 $ 7,340.9 695.0 X 1 555.0 140.0
STATE STREET CORP 857477103 226.0 2.7 X 1 2.7
STATION CASINOS 857689103 10,518.8 825.0 X 1 745.0 80.0
STATION CASINOS CV PF 7.00% 857689202 14,598.5 301.0 X 1 291.0 10.0
STMICROELECTRONICS NV LYON CV 0.00% 861012AA0 5,230.6 $5,250.0 X 1 $5,085.0 $165.0
06-10-08
STMICROELECTRONICS NY SHRS 861012102 185,780.7 1,912.8 X 1 1,334.1 578.7
STORAGE TECHNOLOGY 862111200 13,324.3 478.0 X 1 286.0 192.0
STRIDE RITE CORP 863314100 6,002.5 490.0 X 1 231.0 259.0
STRUCTURAL DYNAMICS RESEARCH CORP 863555108 23,026.4 1,207.9 X 1 1,021.8 186.2
SUN MICROSYSTEMS 866810104 725.4 5.8 X 1 5.8
SUN TRUST BANKS INC 867914103 1,740.0 28.0 X 1 6.5 21.5
SUNCOR ENERGY INC C$ 867229106 77,160.2 2,292.0 X 1 1,886.6 405.4
SUNGLASS HUT INTL CV 144A 5.25% 06/15/03 86736FAA4 2,926.0 $3,800.0 X 1 $3,800.0
SUNRISE ASSISTED LIVING INC 86768K106 9,896.2 217.2 X 1 137.2 80.0
SUPERIOR TELECOM INC 868365107 15,152.5 802.8 X 1 658.3 144.5
TAG HEUER INTL SA NAMEN SPON ADR 873773105 3,357.5 395.0 X 1 267.0 128.0
TAIWAN SEMICONDUCTOR MFG CO SPON ADR 874039100 231,055.4 9,780.1 X 1 8,054.0 1,726.1
TALISMAN ENERGY INC C$ 87425E103 6,339.3 291.8 X 1 256.8 35.0
TANDY CORP 875382103 10,790.7 169.1 X 1 151.4 17.7
TDK CORP ADR 872351408 5,095.3 63.1 X 1 51.1 12.0
TECHNISOURCE INC 878553106 2,707.5 380.0 X 1 380.0
TEFRON LTD 879009900 3,947.9 559.0 X 1 429.0 130.0
TELE DANMARK B ADR SPON 879242105 28,748.3 586.7 X 1 531.7 55.0
TELEBRAS HOLDRS SPON ADR PFD 879287308 274.1 3.4 X 1 3.4
TELECOM ARGENTINA B SPON ADS 879273209 41,460.8 1,511.1 X 1 1,238.3 272.8
TELECOM ITALIA ORD ADR (EX STET) 87927W106 20,207.0 193.6 X 1 193.6
TELEFLEX INC 879369106 20,214.1 593.4 X 1 493.4 100.0
TELEFONICA ARG B ADS 879378206 65,361.2 2,160.7 X 1 1,552.2 608.5
TELEFONICA SPON ADR 879382208 21,035.7 164.7 X 1 49.6 115.0
TELEFONOS DE MEXICO L ADR 879403780 401,943.9 6,103.0 X 1 5,008.3 1,094.7
TELEGLOBE INC C$ 87941V100 94,220.6 3,094.5 X 1 2,534.9 559.6
TERADYNE 880770102 212,510.0 3,894.8 X 1 3,053.0 841.8
--------------
SUB-TOTAL $ 1,542,918.1
# PURSUANT TO REG. SEC. 240.24B-2 CERTAIN CONFIDENTIAL MATERIAL HAS BEEN FILED WITH THE SECRETARY OF THE SEC FOR NON-PUBLIC
TREATMENT
* INVESTMENT DISCRETION IS DISCLAIMED BY THE CAPITAL GROUP COMPANIES, INC FOR ALL PURPOSES OTHER THAN FORM 13F
<PAGE>
FORM 13F - FILE NO. 28-96 PAGE 22
NAME OF REPORTING MANAGER - CAPITAL GUARDIAN TRUST COMPANY# MAR 31, 1999
ITEM 1 AND 2 ITEM 3 ITEM 4 ITEM 5 ITEM 6 ITEM 7* ITEM 8
SHARES OF
PRINCIPAL INVESTMENT VOTING AUTHORITY
NAME OF ISSUER/TITLE OF CLASS FAIR MARKET AMOUNT DISCRETION (SHARES - 000'S)
------------ ----------------------------
(COMMON UNLESS OTHERWISE INDICATED) CUSIP VALUE ($000'S) (000'S) SOLE SHR OTH MGR SOLE SHARED NONE
- -------------------------------------- --------- -------------- ------------- ------------ --- ----------------------------
TERAYON COMMUNICATION SYS 880775101 $ 3.6 0.1 X 1 0.1
TEXACO INC 881694103 113.5 2.0 X 1 2.0
TEXAS INSTRS INC 882508104 139.0 1.4 X 1 1.4
TEXTRON INC 883203101 165,463.3 2,138.5 X 1 1,727.9 410.6
THERMOQUEST CV 144A 5.00% 08-15-00 883655AA0 3,445.1 $3,570.0 X 1 $3,570.0
TIER TECHNOLOGY INC CL B 88650Q100 4,852.0 558.5 X 1 523.5 35.0
TIME WARNER INC 887315109 374,703.8 5,290.6 X 1 4,488.7 801.9
TMP WORLDWIDE 872941109 56,581.3 873.0 X 1 665.5 207.5
TOMMY HILFIGER CORP 890121908 32,681.2 474.5 X 1 422.0 52.5
TOPPS CO 890786106 24,220.9 5,536.2 X 1 4,551.7 984.5
TORONTO DOMINION BANK (THE) C$ 891160509 97,844.7 2,134.6 X 1 1,410.6 724.0
TOSCO CORP NEW 891490302 10.7 0.4 X 1 0.4
TOTAL SA SPON ADR B 89151E109 151,835.1 2,489.1 X 1 1,928.8 560.3
TRAMMELL CROW CO 89288R106 10,212.0 552.0 X 1 477.6 74.4
TRANSATLANTIC HLDGS INC 893521104 5,943.8 79.3 X 1 79.3
TRANSPORTATION COMPONENTS 893878108 2,789.1 875.0 X 1 875.0
TRANZ RAIL HLDGS SPON ADR 894116102 1,177.2 192.2 X 1 192.2
TRENWICK GROUP INC 895290104 21.1 0.8 X 1 0.8
TRICON GLOBAL RESTAURANTS 895953107 93.4 1.3 X 1 1.3
TRIGON HEALTHCARE INC 89618L100 18,669.7 545.1 X 1 525.1 20.0
TRIMERIS INC 896263100 8,886.8 697.0 X 1 622.0 75.0
TRINITY INDS INC 896522109 299.7 10.2 X 1 10.2
TRW INC 872649108 8.0 0.2 X 1 0.2
TV AZTECA SA DE CV SPON ADR 901145102 4,745.6 759.3 X 1 709.3 50.0
TYCO INTL LTD (NEW) 902124106 92,514.5 1,289.4 X 1 1,040.7 248.7
TYSON FOODS CL A 902494103 59,714.9 2,886.5 X 1 2,199.0 687.6
U S BANCORP 902973106 54.0 1.6 X 1 1.6
U S FOODSERVICE 90331R101 675.7 14.5 X 1 14.5
UAL CORPORATION NEW 902549500 14,749.5 189.4 X 1 156.4 33.0
UNIBANCO UNIT GDS (REP 500 UNITS) UNIT=1 90458E107 69,556.9 3,613.3 X 1 2,848.3 765.0
UBB4 +1 UBH6
UNILEVER NV NY SHRS 904784501 6,796.5 102.3 X 1 101.6 0.7
UNION CAMP CORP 905530101 85.2 1.3 X 1 1.3
--------------
SUB-TOTAL $ 1,208,887.6
# PURSUANT TO REG. SEC. 240.24B-2 CERTAIN CONFIDENTIAL MATERIAL HAS BEEN FILED WITH THE SECRETARY OF THE SEC FOR NON-PUBLIC
TREATMENT
* INVESTMENT DISCRETION IS DISCLAIMED BY THE CAPITAL GROUP COMPANIES, INC FOR ALL PURPOSES OTHER THAN FORM 13F
<PAGE>
FORM 13F - FILE NO. 28-96 PAGE 23
NAME OF REPORTING MANAGER - CAPITAL GUARDIAN TRUST COMPANY# MAR 31, 1999
ITEM 1 AND 2 ITEM 3 ITEM 4 ITEM 5 ITEM 6 ITEM 7* ITEM 8
SHARES OF
PRINCIPAL INVESTMENT VOTING AUTHORITY
NAME OF ISSUER/TITLE OF CLASS FAIR MARKET AMOUNT DISCRETION (SHARES - 000'S)
------------ ----------------------------
(COMMON UNLESS OTHERWISE INDICATED) CUSIP VALUE ($000'S) (000'S) SOLE SHR OTH MGR SOLE SHARED NONE
- -------------------------------------- --------- -------------- ------------- ------------ --- ----------------------------
UNION PACIFIC 907818108 $ 99.0 1.9 X 1 1.9
UNION PACIFIC RESOURCES GROUP INC 907834105 1.5 0.1 X 1 0.1
UNISYS CORP CV PF SER A $3.75 909214207 1,239.3 23.9 X 1 21.8 2.1
UNITED HEALTHCARE CO 910581107 192,745.4 3,662.6 X 1 2,783.3 879.3
UNITED TECHNOLOGIES 913017109 259,660.8 1,917.2 X 1 1,570.3 346.9
UNOCAL CORP 915289102 85.6 2.3 X 1 2.3
UNUM CORPORATION 903192102 675.4 14.2 X 1 14.2
USA DETERGENTS INC 902938109 7,694.7 1,231.2 X 1 1,161.2 70.0
USFREIGHTWAYS CORP 916906100 34,061.8 1,036.1 X 1 889.1 147.0
USX-MARATHON GROUP 902905827 33,962.5 1,235.0 X 1 1,023.9 211.1
VAIL RESORTS INC 91879Q109 3,016.3 190.0 X 1 190.0
VALERO ENERGY CORP NEW 91913Y100 36,019.0 1,448.0 X 1 1,274.0 174.0
VALSPAR CORP 920355104 6,109.6 193.6 X 1 178.9 14.7
VEECO INSTRUMENTS INC 922417100 10,527.2 285.0 X 1 285.0
VERIO INC 923433106 23,072.5 500.2 X 1 500.2
VERITAS SOFTWARE 923436109 545.1 6.8 X 1 6.8
VF CORP 918204108 66,124.8 1,392.1 X 1 1,146.2 245.9
VIACOM INC CL A 925524100 15,541.9 186.6 X 1 186.6
VIACOM INC CL B N/V 925524308 290,323.0 3,458.8 X 1 2,732.1 726.7
VIATEL INC 925529208 74,918.0 2,628.7 X 1 1,949.3 679.4
VICAL INC 925602104 4.7 0.5 X 1 0.5
VINTAGE PETROLEUM 927460105 23,814.0 2,646.0 X 1 2,393.9 252.1
VITESSE SEMICONDUCTR 928497106 51.0 1.0 X 1 1.0
VITRO SPON ADR 928502301 22.0 22.0 X 1 22.0
VODAFONE GRP PLC ADR 92857T107 4,693.8 25.0 X 1 18.0 7.0
VORNADO RLTY TR SBI 929042109 21,678.6 628.4 X 1 627.0 1.4
VULCAN MATLS CO 929160109 10,596.9 256.5 X 1 242.3 14.3
WACHOVIA CORPORATION 929771103 16,194.7 199.5 X 1 177.6 21.9
WAL MART STORES INC 931142103 189,592.2 2,056.6 X 1 1,825.4 231.2
WALGREEN CO 931422109 17,532.0 620.6 X 1 526.4 94.2
WARNER LAMBERT CO 934488107 5,139.5 77.7 X 1 77.7
WASHINGTON MUTL INC 939322103 338,180.0 8,273.5 X 1 6,675.7 1,597.8
WASHINGTON POST CL B 939640108 184.1 0.4 X 1 0.4
--------------
SUB-TOTAL $ 1,684,106.6
# PURSUANT TO REG. SEC. 240.24B-2 CERTAIN CONFIDENTIAL MATERIAL HAS BEEN FILED WITH THE SECRETARY OF THE SEC FOR NON-PUBLIC
TREATMENT
* INVESTMENT DISCRETION IS DISCLAIMED BY THE CAPITAL GROUP COMPANIES, INC FOR ALL PURPOSES OTHER THAN FORM 13F
<PAGE>
FORM 13F - FILE NO. 28-96 PAGE 24
NAME OF REPORTING MANAGER - CAPITAL GUARDIAN TRUST COMPANY# MAR 31, 1999
ITEM 1 AND 2 ITEM 3 ITEM 4 ITEM 5 ITEM 6 ITEM 7* ITEM 8
SHARES OF
PRINCIPAL INVESTMENT VOTING AUTHORITY
NAME OF ISSUER/TITLE OF CLASS FAIR MARKET AMOUNT DISCRETION (SHARES - 000'S)
------------ ----------------------------
(COMMON UNLESS OTHERWISE INDICATED) CUSIP VALUE ($000'S) (000'S) SOLE SHR OTH MGR SOLE SHARED NONE
- -------------------------------------- --------- -------------- ------------- ------------ --- ----------------------------
WASTE MANAGEMENT INC NEW 94106L109 $ 2,499.9 56.3 X 1 56.3
WAUSAU MOSINEE PAPER CORP 943315101 61.9 4.4 X 1 4.4
WEATHERFORD INTL INC 947074100 148,637.5 5,689.5 X 1 4,560.9 1,128.6
WELLS FARGO & CO (NEW) 949746101 319,646.1 9,116.5 X 1 7,622.2 1,494.3
WERNER ENTERPRISES 950755108 30,532.4 1,938.6 X 1 1,683.7 254.9
WESLEY JESSEN VISIONCARE INC 951018100 11,708.6 424.8 X 1 384.8 40.0
WEST MARINE INC 954235107 6,478.8 730.0 X 1 530.0 200.0
WESTERN BANCORP 957683105 9,714.4 314.0 X 1 294.0 20.0
WESTERN DIGITAL CORP 958102105 17,772.3 2,256.8 X 1 1,967.0 289.8
WESTERN DIGITAL CV SUB DEB 0.00% 144A 958102AF2 10,811.3 $48,050.0 X 1 $48,050.0
02/18/18
WESTERN DIGITAL CV SUB DEB 0.00% REG'D 958102AH8 5,621.6 $24,985.0 X 1 $22,965.0 $2,020.0
02/18/18
WESTERN RESOURCES 959425109 48.0 1.8 X 1 1.8
WESTPAC BANKING ADR SPON 961214301 331.2 9.1 X 1 9.1
WESTWOOD ONE INC 961815107 14,250.0 500.0 X 1 300.0 200.0
WEYERHAEUSER CO 962166104 153.3 2.8 X 1 2.8
WHITE CAP INDUSTRIES INC 963505102 4,394.5 399.5 X 1 357.8 41.7
WHOLE FOODS MARKET 966837106 3,334.4 97.0 X 1 97.0
WILLIAMS COS INC 969457100 317,776.2 8,045.0 X 1 6,422.1 1,622.9
WILLIAMS-SONOMA INC 969904101 11,757.1 416.2 X 1 395.5 20.7
WISCONSIN CENT TRANS 976592105 22,701.6 1,713.3 X 1 1,315.3 398.0
WMC LIMITED ADR 928947100 819.2 63.6 X 1 63.6
XEROX CORP 984121103 136,809.1 2,563.2 X 1 2,373.9 189.3
XILINX 983919101 4,178.7 103.0 X 1 98.0 5.0
XL CAPITAL LTD 983940909 454,738.2 7,485.4 X 1 6,349.8 1,135.6
XOMED SURGICAL PRODUCTS INC 98412V107 632.3 16.1 X 1 16.1
YAHOO! INC 984332106 27,048.4 160.6 X 1 160.6
YORK INTL CORP 986670107 14,781.8 418.6 X 1 324.8 93.8
YOUNG & RUBICAM INC 987425105 69,992.2 1,717.6 X 1 1,503.0 214.6
YOUNG BROADCASTING INC CL A 987434107 18,601.3 407.7 X 1 407.7
YPF SOC ANONIMA ADR D SPON 984245100 28,222.0 894.2 X 1 837.7 56.5
ZIFF-DAVIS INC - ZD 989511100 9,068.7 421.8 X 1 276.9 144.9
--------------
SUB-TOTAL $ 1,703,123.0
# PURSUANT TO REG. SEC. 240.24B-2 CERTAIN CONFIDENTIAL MATERIAL HAS BEEN FILED WITH THE SECRETARY OF THE SEC FOR NON-PUBLIC
TREATMENT
* INVESTMENT DISCRETION IS DISCLAIMED BY THE CAPITAL GROUP COMPANIES, INC FOR ALL PURPOSES OTHER THAN FORM 13F
<PAGE>
FORM 13F - FILE NO. 28-96 PAGE 25
NAME OF REPORTING MANAGER - CAPITAL GUARDIAN TRUST COMPANY# MAR 31, 1999
ITEM 1 AND 2 ITEM 3 ITEM 4 ITEM 5 ITEM 6 ITEM 7* ITEM 8
SHARES OF
PRINCIPAL INVESTMENT VOTING AUTHORITY
NAME OF ISSUER/TITLE OF CLASS FAIR MARKET AMOUNT DISCRETION (SHARES - 000'S)
------------ ----------------------------
(COMMON UNLESS OTHERWISE INDICATED) CUSIP VALUE ($000'S) (000'S) SOLE SHR OTH MGR SOLE SHARED NONE
- -------------------------------------- --------- -------------- ------------- ------------ --- ----------------------------
ZONAGEN INC 98975L108 $ 5,181.5 241.0 X 1 241.0
--------------
SUB-TOTAL $ 5,181.5
-----------------
GRAND $ 30,387,214.3
-----------------
# PURSUANT TO REG. SEC. 240.24B-2 CERTAIN CONFIDENTIAL MATERIAL HAS BEEN FILED WITH THE SECRETARY OF THE SEC FOR NON-PUBLIC
TREATMENT
* INVESTMENT DISCRETION IS DISCLAIMED BY THE CAPITAL GROUP COMPANIES, INC FOR ALL PURPOSES OTHER THAN FORM 13F
</TABLE>