AON CORP
13F-HR/A, 2000-05-24
ACCIDENT & HEALTH INSURANCE
Previous: FIRST INVESTORS FUND FOR INCOME INC/NY, NSAR-A, 2000-05-24
Next: FORUM FUNDS, PRES14A, 2000-05-24




                                 UNITED STATES
                       SECURITIES AND EXCHANGE COMMISSION
                             Washington, D.C. 20549

                                    Form 13F

                              Form 13F COVER PAGE

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

Check here if Amendment [X]; Amendment Number: 1
This Amendment (Check only one.):      [X]  is a restatement.
                                       [ ]  adds new holdings entries.

Institutional Investment Manager Filing this Report:

Name:      Aon Advisors, Inc.
Address:   123 North Wacker Drive
           Chicago, IL 60606

Name of additional disclosed party:

Name:      Aon Corporation
Address:   123 North Wacker Drive
           Chicago, IL 60606

Form 13F File Number:  28-2005
                       28-2401

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:   Michael A. Conway
Title:  President
Phone:  (312) 701-3910

Signature, Place, and Date of Signing:

/s/ Michael A. Conway             Chicago, IL                  May 17, 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).)

<PAGE>

                             Form 13F SUMMARY PAGE

Report Summary


Number of Other Included Managers:         0

Form 13F Information Table Entry Total:    484

Form 13F Information Table Value Total:    $834,799
                                           (thousands)

List of Other Included Managers


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

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

    No.        Form 13F File Number       Name

<PAGE>


<TABLE>
<CAPTION>
                           FORM 13F INFORMATION TABLE

          NAME OF ISSUER        TITLE OF CLASS               CUSIP     MARKET VALUE  PAR SHARES  ITEM:6  ITEM:7  ITEM:8
<S>                             <C>                          <C>       <C>           <C>         <C>     <C>     <C>
ADC TELECOMMUNICATIONS INC      Common Stock                 000886101    2,654,960       49,280    X               X
ACM GOVT OPPOR FUND INC.        Common Stock                 000918102   34,335,318    4,655,636    X               X
ABN AMRO HOLDINGS NV - ADR      Common Stock                 000937102      592,798       26,201    X               X
AMB PROPERTY CORP               Common Stock                 00163T109      356,900       16,600    X               X
AMFM, INC                       Common Stock                 001693100    5,109,719       82,249    X               X
AMLI RESIDENTIAL PROPERTIES     Common Stock                 001735109       66,523        3,245    X               X
AT&T CORP.                      Common Stock                 001957109    3,773,018       67,001    X               X
AT&T CORP.                      Common Stock                 001957208    2,372,500       40,000    X               X
ABBOTT LABORATORIES             Common Stock                 002824100      225,200        6,400    X               X
ACLARA BIOSCIENCES              Common Stock                 00461P106       98,594        2,500    X               X
ADAPTEC INC.                    Common Stock                 00651F108      231,750        6,000    X               X
AIR PRODUCTS & CHEMICALS, INC.  Common Stock                 009158106    1,837,063       64,600    X               X
ALCOA, INC.                     Common Stock                 013817101    4,074,500       58,000    X               X
ALEXANDRIA REAL EST EQUITIES    Common Stock                 015271109       78,000        2,600    X               X
ALLIED CAPITAL CORP             Common Stock                 01903Q108    1,743,750      100,000    X               X
ALLIED WASTE INDUSTRIES INC     Common Stock                 019589308      492,306       75,018    X               X
ALLTEL CORP.                    Common Stock                 020039103    2,846,250       45,000    X               X
AMERICA ONLINE INC              Common Stock                 02364J104    1,888,250       28,000    X               X
AMERICAN HOME PRODUCTS          Common Stock                 026609107      252,625        4,700    X               X
AMERICAN INDUSTRIAL PROPS REIT  Common Stock                 026791202       47,250        4,000    X               X
AMERICAN INTERNATIONAL GROUP    Common Stock                 026874107    3,660,740       33,431    X               X
AMERICAN MOBILE SATELITE        Common Stock                 02755R111       29,300          586    X               X
AMGEN, INC.                     Common Stock                 031162100    5,370,313       87,500    X               X
ANHEUSER-BUSCH COMPANIES INC    Common Stock                 035229103    3,517,125       56,500    X               X
AON FUNDS                       Common Stock                 036912301    4,800,206      512,295    X               X
AON FUNDS                       Common Stock                 036912889   98,750,226   10,340,338    X               X
AON FUNDS                       Common Stock                 037387206   21,018,532    1,235,657    X               X
APACHE CORP.                    Common Stock                 037411105    4,795,900       96,400    X               X
APARTMENT INVESTMENT & MGMT CO  Common Stock                 03748R101      489,296       12,813    X               X
APTARGROUP, INC.                Common Stock                 038336103      400,313       15,000    X               X
ARCHSTONE COMMUNITIES TRUST     Common Stock                 039581103      532,929       26,730    X               X
ARDEN REALTY GROUP INC.         Common Stock                 039793104      252,588       12,100    X               X
ASSOCIATED ESTATES REALTY CORP  Common Stock                 045604105       33,621        4,170    X               X
ASSOCIATES FIRST CAPITAL CORP.  Common Stock                 046008108    1,395,241       65,274    X               X
ATLANTIC RICHFIELD COMPANY      Common Stock                 048825103    2,125,000       25,000    X               X
AVALONBAY COMMUNITIES INC.      Common Stock                 053484101      460,083       12,562    X               X
BP AMOCO PLC                    Common Stock                 055622104    3,703,005       69,540    X               X
BRE PROPERTIES, INC.            Common Stock                 05564E106      221,471        8,580    X               X
BANKAMERICA CORP                Common Stock                 060505104    1,688,488       32,200    X               X
BEDFORD PROPERTY INVESTORS      Common Stock                 076446301       69,390        4,320    X               X
BEST BUY CO INC                 Common Stock                 086516101    1,720,000       20,000    X               X
BIOGEN                          Common Stock                 090597105    2,166,125       31,000    X               X
BOLDER TECHNOLOGIES CORP.       Common Stock                 097519102       61,075        6,980    X               X
BOSTON PROPERTIES INC           Common Stock                 101121101      413,563       13,000    X               X
BOYKIN LODGING                  Common Stock                 103430104       38,775        3,300    X               X
BRADLEY REAL ESTATES INC        Common Stock                 104580105       79,341        4,650    X               X
BRANDYWINE REALTY TRUST         Common Stock                 105368203      122,529        7,155    X               X
BRISTOL MYERS SQUIBB            Common Stock                 110122108    1,212,200       20,900    X               X
BROADWING INC                   Common Stock                 111620100    1,301,563       35,000    X               X
11601 HOLDING CORP.             Common Stock                 11601H$01           14            2    X               X
BURLINGTON NORTHERN/SANTA FE    Common Stock                 12189T104    1,137,500       50,000    X               X
BURLINGTON RESOURCES INC        Common Stock                 122014103      925,000       25,000    X               X
BURNHAM PACIFIC PPTY INC.       Common Stock                 12232C108       43,858        6,210    X               X
CBL & ASSOC. PROPERTIES         Common Stock                 124830100       96,567        4,725    X               X
CBS CORP                        Common Stock                 12490K107    1,698,750       30,000    X               X
CK WITCO CORP                   Common Stock                 12562C108      329,535       32,347    X               X
CMGI INC                        Common Stock                 125750109      283,735        2,504    X               X
CSG SYSTEM INTL INC             Common Stock                 126349109    1,708,438       35,000    X               X
CSX CORPORATION                 Common Stock                 126408103    1,997,500       85,000    X               X
CVS CORPORATION                 Common Stock                 126650100    1,502,500       40,000    X               X
CABOT INDUSTRIAL TRUST          Common Stock                 127072106      145,275        7,800    X               X
CAMDEN PROPERTY TRUST           Common Stock                 133131102      208,219        7,694    X               X
CANWEST GLOBAL COMM. CORP.      Common Stock                 138906300      702,577       65,356    X               X
CAPITAL AUTOMOTIVE REIT         Common Stock                 139733109       49,200        4,100    X               X
CAPTEC NET LEASE REALTY INC     Common Stock                 140724105       15,019        1,800    X               X
CARAUSTAR INDUSTRIES INC        Common Stock                 140909102    1,059,375       75,000    X               X
CARDINAL HEALTH INC.            Common Stock                 14149Y108    1,146,875       25,000    X               X
CARNIVAL CORP                   Common Stock                 143658102      744,375       30,000    X               X
CARRAMERICA REALTY CORP         Common Stock                 144418100      272,319       12,815    X               X
CENTER TRUST, INC.              Common Stock                 151845104       32,066        5,030    X               X
CENTERPOINT PROPERTIES TRUST    Common Stock                 151895109      145,203        3,985    X               X
CENTURYTEL, INC.                Common Stock                 156700106    1,299,375       35,000    X               X
CHAPMAN CAPITAL MANAGEMENT      Common Stock                 159508100      155,625       10,000    X               X
CHASE MANHATTAN NEW             Common Stock                 16161A108    1,264,219       14,500    X               X
CHATEAU COMMUNITIES INC         Common Stock                 161726104      137,445        5,390    X               X
CHELSEA GCA REALTY INC          Common Stock                 163262108       86,855        2,995    X               X
CHEVRON CORP                    Common Stock                 166751107    1,155,469       12,500    X               X
CINAR CORP CL B SUB VTG         Common Stock                 171905300      280,000       40,000    X               X
CISCO SYSTEMS                   Common Stock                 17275R102    4,638,750       60,000    X               X
CITIGROUP INC.                  Common Stock                 172967101    3,887,085       64,920    X               X
CITRIX SYSTEMS INC              Common Stock                 177376100    1,590,000       24,000    X               X
CLEAR CHANNEL COMMUNICATIONS    Common Stock                 184502102    3,955,624       57,276    X               X
COASTAL CORP.                   Common Stock                 190441105      920,000       20,000    X               X
COINMACH LAUNDRY CORP           Common Stock                 19259L101      496,875       50,000    X               X
COLONIAL PROPERTIES TRUST       Common Stock                 195872106      102,363        4,310    X               X
COLUMBIA BANKING SYSTEM INC     Common Stock                 197236102      446,926       38,036    X               X
COMFORT SYSTEMS USA INC         Common Stock                 199908104      146,625       23,000    X               X
COMMERCIAL NET LEASE REALTY     Common Stock                 202218103       60,694        5,815    X               X
COMPAQ COMPUTER                 Common Stock                 204493100    1,687,500       62,500    X               X
COMPUTER ASSOCIATES             Common Stock                 204912109      347,727        5,875    X               X
COMPUWARE CORP.                 Common Stock                 205638109      890,944       42,300    X               X
COMVERSE TECHNOLOGY,INC         Common Stock                 205862402    1,890,000       10,000    X               X
COM21 INC                       Common Stock                 205937105      705,000       15,000    X               X
CONCORD EFS INC                 Common Stock                 206197105    1,146,875       50,000    X               X
CORNERSTONE PROPANE PARTNERS    Common Stock                 218916104      343,400       27,200    X               X
CORNERSTONE PROPERTIES          Common Stock                 21922H103      432,450       24,800    X               X
CORNERSTONE REALTY INCOME TR    Common Stock                 21922V102       79,550        7,400    X               X
CORNING INC.                    Common Stock                 219350105    2,716,000       14,000    X               X
CORPORATE OFFICE PROPERTIES     Common Stock                 22002T108       27,019        3,300    X               X
CORRECTIONAL PROPERTIES TRUST   Common Stock                 22025E104       16,100        1,400    X               X
COUSINS PROPERTIES INC.         Common Stock                 222795106      226,029        6,140    X               X
CRESENT REAL ESTATE EQUITIES    Common Stock                 225756105      402,763       23,015    X               X
CROWN AMERN REALTY TRUST        Common Stock                 228186102       26,908        5,065    X               X
DANA CORP                       Common Stock                 235811106      467,490       16,585    X               X
DEAN FOODS CO                   Common Stock                 242361103    2,140,000       80,000    X               X
DEERE & CO                      Common Stock                 244199105    3,800,000      100,000    X               X
DELL COMPUTER CORP              Common Stock                 247025109    4,584,688       85,000    X               X
DELPHI AUTO SYSTEMS CORP        Common Stock                 247126105    1,600,080      100,005    X               X
DEVELOPERS DIVERSIFIED REALTY   Common Stock                 251591103    1,337,550       96,400    X               X
DIGITAL RIVER INC               Common Stock                 25388B104      430,000       20,000    X               X
THE WALT DISNEY CO.             Common Stock                 254687106    3,881,625       94,100    X               X
DIVA SYSTEMS                    Common Stock                 255013153            0        1,182    X               X
DOW CHEMICAL                    Common Stock                 260543103      171,000        1,500    X               X
DSL.NET                         Common Stock                 262506108    1,814,641       82,250    X               X
DUPONT (E.I.) DENEMOURS & CO    Common Stock                 263534109    3,440,938       65,000    X               X
DUKES-WEEKS REALTY CORP.        Common Stock                 264411505      459,442       24,023    X               X
EMC CORP./MASS                  Common Stock                 268648102    2,212,056       17,556    X               X
EASTGROUP PROPERTIES            Common Stock                 277276101       66,543        3,095    X               X
EASTMAN CHEMICAL                Common Stock                 277432100    2,957,500       65,000    X               X
EMERSON ELECTRIC CO             Common Stock                 291011104    4,441,250       83,600    X               X
EMMIS BROADCASTING CORP         Common Stock                 291525103    1,674,000       36,000    X               X
ENTERTAINMENT PROPERTIES TRUST  Common Stock                 29380T105       39,563        3,000    X               X
EPRISE CORP                     Common Stock                 294352109       39,375        2,500    X               X
EQUITY INNS INC.                Common Stock                 294703103       48,539        7,125    X               X
EQUITY OFFICE PROPERTIES TRUST  Common Stock                 294741103    1,213,261       48,289    X               X
EQUITY ONE INC                  Common Stock                 294752100       20,625        2,200    X               X
EQUITY RESIDENTIAL PROPERTIES   Common Stock                 29476L107    2,976,407       74,063    X               X
ESSEX PROPERTY TRUST INC        Common Stock                 297178105      122,580        3,405    X               X
EXCEL LEGACY CORP.              Common Stock                 300665106      395,888      117,300    X               X
EXXON MOBIL CORP                Common Stock                 30231G102    6,950,232       89,177    X               X
FEDERAL HOME LOAN MORTGAGE      Common Stock                 313400301       88,375        2,000    X               X
FEDERAL NATIONAL MORTGAGE ASSN  Common Stock                 313586109    1,696,875       30,000    X               X
FEDERAL REALTY INV. TRUST       Common Stock                 313747206      149,865        7,760    X               X
FEDERATED DEPART. STORES INC.   Common Stock                 31410H101    1,292,850       30,600    X               X
FELCOR SUITE HOTELS INC.        Common Stock                 31430F101      225,046       12,590    X               X
FIBERMARK INC                   Common Stock                 315646109      776,250       60,000    X               X
FIRST DATA CORPORATION          Common Stock                 319963104    3,180,667       71,677    X               X
FIRST INDUSTRIAL REALTY TRUST   Common Stock                 32054K103      744,061       27,305    X               X
FIRST UNION CORP                Common Stock                 337358105    2,793,750       75,000    X               X
FIRST WASHINGTON REALTY TRUST   Common Stock                 337489504      404,663       21,800    X               X
FIRST FEDERAL SAVINGS BANK      Common Stock                 33761K105      976,144       55,384    X               X
FLEET BOSTON FINANCIAL CORP     Common Stock                 339030108      131,400        3,600    X               X
FORD MOTOR COMPANY              Common Stock                 345370100    6,270,469      136,500    X               X
FORT JAMES CORPORATION          Common Stock                 347471104      660,000       30,000    X               X
FOUNDRY NETWORKS IN             Common Stock                 35063R100    1,437,500       10,000    X               X
FOX ENTERTAINMENT GRP INC-A     Common Stock                 35138T107    1,496,875       50,000    X               X
FRANCHISE FINANCE CORP OF AMER  Common Stock                 351807102      250,170       10,760    X               X
GPU INC.                        Common Stock                 36225X100    1,368,750       50,000    X               X
GTE CORPORATION                 Common Stock                 362320103    1,554,900       21,900    X               X
GABLES RESIDENTIAL TRUST        Common Stock                 362418105      109,688        4,875    X               X
GENERAL ELECTRIC                Common Stock                 369604103    7,736,430       49,712    X               X
GENERAL GROWTH PROPERTIES INC.  Common Stock                 370021107      301,483        9,905    X               X
GENTEX CORP                     Common Stock                 371901109      370,625       10,000    X               X
GLENBOROUGH REALTY TRUST        Common Stock                 37803P105       86,928        5,995    X               X
GLIMCHER REALTY TRUST           Common Stock                 379302102       61,425        4,550    X               X
GOLF TRUST OF AMERICA, INC.     Common Stock                 38168B103       24,750        1,500    X               X
GRAINGER W W INC                Common Stock                 384802104      895,125       16,500    X               X
GREAT LAKES REIT                Common Stock                 390752103       46,888        3,100    X               X
GROVE PROPERTY TRUST            Common Stock                 399613108       20,800        1,600    X               X
HRPT PROPERTIES, INC            Common Stock                 40426W101    1,977,275      227,600    X               X
JOHN HANCOCK FINANCIAL SVCS     Common Stock                 41014S106       69,523        3,849    X               X
HARTMARX                        Common Stock                 417119104      300,575      109,300    X               X
HEALTH CARE PPTYS INVEST INC    Common Stock                 421915109      234,025        9,200    X               X
HEALTH CARE REIT, INC.          Common Stock                 42217K106      999,250       71,375    X               X
JACK HENRY & ASSOCIATES         Common Stock                 426281101      737,500       20,000    X               X
HEWLETT PACKARD COMPANY         Common Stock                 428236103    4,637,338       34,900    X               X
HIGHWOOD PROPERTIES INC         Common Stock                 431284108      254,790       11,920    X               X
HOME DEPOT INC                  Common Stock                 437076102    2,719,385       42,161    X               X
HOME PROPERTIES OF NY INC       Common Stock                 437306103       98,975        3,700    X               X
HONEYWELL INTERNATIONAL INC.    Common Stock                 438516106    2,370,938       45,000    X               X
HOSPITALITY PROPERTIES TRUST    Common Stock                 44106M102      217,991       10,765    X               X
HOST MARRIOTT CORP              Common Stock                 44107P104      806,383       90,860    X               X
IRT PROPERTY COMPANY            Common Stock                 450058102       51,040        6,380    X               X
ILLINOIS TOOL WORKS INC.        Common Stock                 452308109    3,839,875       69,500    X               X
INFINITY BROADCASTING CORP - A  Common Stock                 45662S102    1,618,750       50,000    X               X
INGERSOLL RAND CO.              Common Stock                 456866102    3,761,250       85,000    X               X
INSIGHT ENTERPRISES             Common Stock                 45765U103    1,093,125       30,000    X               X
INNKEEPERS USA TRUST            Common Stock                 4576J0104       94,656       11,650    X               X
INTEL CORPORATION               Common Stock                 458140100    5,923,994       44,900    X               X
INT'L BUSINESS MACHINES         Common Stock                 459200101    3,469,200       29,400    X               X
INTERNATIONAL PAPER COMPANY     Common Stock                 460146103      149,625        3,500    X               X
INTRABIOTICS PHARMACEUTICALS    Common Stock                 46116T100      135,000        9,000    X               X
INVESTORS REAL ESTATE TRUST     Common Stock                 461730103       32,544        4,100    X               X
IVEX PACKAGING                  Common Stock                 465855104      605,000       80,000    X               X
JDN REALTY CORP                 Common Stock                 465917102       67,489        6,505    X               X
JP REALTY INC                   Common Stock                 46624A106       58,959        3,310    X               X
JAMESON INNS                    Common Stock                 470457102       14,142        2,155    X               X
JOHNSON & JOHNSON               Common Stock                 478160104    4,567,374       65,016    X               X
JOHNSON CONTROLS INC.           Common Stock                 478366107      135,156        2,500    X               X
KELLSTROM INDUSTRIES            Common Stock                 488035106      188,720       33,000    X               X
KERR MCGEE CORP                 Common Stock                 492386107    1,155,000       20,000    X               X
KILROY REALTY CORP              Common Stock                 49427F108      996,256       47,300    X               X
KIMCO REALTY CORP.              Common Stock                 49446R109      436,875       11,650    X               X
KOGER EQUITY INC.               Common Stock                 500228101       87,975        5,100    X               X
KONOVER PROPERTY TRUST, INC     Common Stock                 50047R100       32,819        5,900    X               X
KRANZCO REALTY TRUST            Common Stock                 50076E103       17,763        2,030    X               X
KROGER                          Common Stock                 501044101    2,008,588      114,368    X               X
LTC HEALTHCARE, INC.            Common Stock                 50217R104        4,620        4,348    X               X
L-3 COMMUNICATIONS HLDGS INC    Common Stock                 502424104    1,906,106       36,700    X               X
LASALLE HOTEL PROPERTIES        Common Stock                 517942108       37,500        3,000    X               X
LEXINGTON CORP PPTY TRUST       Common Stock                 529043101       34,286        3,345    X               X
LIBERTY PROPERTY TRUST          Common Stock                 531172104      308,435       12,885    X               X
ELI LILLY & CO.                 Common Stock                 532457108    1,484,213       23,700    X               X
LITTELFUSE, INC.                Common Stock                 537008104    1,174,000       32,000    X               X
LUCENT TECHNOLOGIES, INC.       Common Stock                 549463107    4,838,750       79,000    X               X
LYONDELL PETROCHEMICAL          Common Stock                 552078107      147,500       10,000    X               X
MCI WORLDCOM INC                Common Stock                 55268B106    4,914,141      108,450    X               X
MGIC INVESTMENT CORP            Common Stock                 552848103      349,000        8,000    X               X
MMI COMPANIES INC.              Common Stock                 553087107    1,098,100      111,200    X               X
THE MACERICH COMPANY            Common Stock                 554382101      135,609        6,575    X               X
MACK-CALI REALTY CORP.          Common Stock                 554489104    1,815,473       71,195    X               X
MANUFACTURED HOME COMMUNITIES   Common Stock                 564682102      106,722        4,615    X               X
MCDONALDS CORP                  Common Stock                 580135101      859,625       23,000    X               X
MERCK & CO.                     Common Stock                 589331107    5,312,682       85,516    X               X
MERISTAR HOSPITALITY CORP       Common Stock                 58984Y103      160,129        9,183    X               X
MESA LABORATORIES INC.          Common Stock                 59064R109      168,188       39,000    X               X
METALS USA INC                  Common Stock                 591324108      132,500       20,000    X               X
MICROSOFT CORP.                 Common Stock                 594918104    3,187,500       30,000    X               X
MID-AMERICA APARTMENT COMM.     Common Stock                 59522J103       79,511        3,495    X               X
MID ATLANTIC REALTY TRUST       Common Stock                 595232109       24,975        2,700    X               X
MILLS CORPORATION               Common Stock                 601148109       81,810        4,545    X               X
MISSION WEST PROPERTIES         Common Stock                 605203108       27,400        3,200    X               X
MORGAN STANLEY DEAN WITTER & C  Common Stock                 617446448    1,939,325       23,401    X               X
MOTOROLA INC.                   Common Stock                 620076109    2,190,000       15,000    X               X
NATIONAL GOLF PROPERTIES INC.   Common Stock                 63623G109       50,445        2,395    X               X
NATIONAL HEALTH INVESTORS INC.  Common Stock                 63633D104      253,075       21,200    X               X
NEW PLAN EXCEL REALTY, INC      Common Stock                 648053106      782,678       56,922    X               X
NEWELL RUBBERMAID, INC          Common Stock                 651229106           13            1    X               X
NEWPARK RESOURCES INC.          Common Stock                 651718504    1,205,472      150,684    X               X
NOKIA CORPORATION               Common Stock                 654902204    2,442,000       11,000    X               X
NORFOLK SOUTHERN CORP           Common Stock                 655844108    1,920,900      134,800    X               X
NUCOR CORP                      Common Stock                 670346105    3,250,000       65,000    X               X
OCULAR SCIENCES INC             Common Stock                 675744106      786,720       50,000    X               X
OFFICE DEPOT INC                Common Stock                 676220106      161,875       14,000    X               X
OMEGA HEALTHCARE INVESTORS      Common Stock                 681936100      378,750       60,000    X               X
OMEGA WORLDWIDE INC             Common Stock                 68210B108      123,753       28,286    X               X
ORACLE SYSTEMS CORP             Common Stock                 68389X105    1,475,381       18,900    X               X
OWENS-ILLINOIS                  Common Stock                 690768403      421,875       25,000    X               X
PNC BANK CORP                   Common Stock                 693475105      450,625       10,000    X               X
PPG INDS INC.                   Common Stock                 693506107      784,688       15,000    X               X
PS BUSINESS PARKS INC           Common Stock                 69360J107       91,688        4,500    X               X
PACIFIC GULF PROPERTIES         Common Stock                 694396102       76,930        3,920    X               X
PANAMSAT CORP. - NEW            Common Stock                 697933109      490,625       10,000    X               X
PAN PACIFIC RETAIL PPTY         Common Stock                 69806L104       75,594        4,100    X               X
PARKWAY PROPERTIES INC.         Common Stock                 70159Q104       55,931        1,900    X               X
PENNEY J C COMPANY, INC.        Common Stock                 708160106      520,625       35,000    X               X
PENN REAL ESTATE INVEST TST     Common Stock                 709102107       41,519        2,555    X               X
PEPSICO INC                     Common Stock                 713448108    2,580,750       74,000    X               X
PETROLEUM GEO-SVCS -SPON ADR    Common Stock                 716597109    1,125,313       65,000    X               X
PFIZER, INC.                    Common Stock                 717081103    4,387,500      120,000    X               X
PHILIPS INTL REALTY             Common Stock                 718333107       23,275        1,400    X               X
PINNACLE HOLDINGS INC           Common Stock                 72346N101      806,250       15,000    X               X
BANCPONCE                       Common Stock                 733174106    8,603,307      387,755    X               X
POST PROPERTIES                 Common Stock                 737464107      298,111        7,395    X               X
PREMIER PARKS, INC              Common Stock                 740540208    1,470,000       70,000    X               X
PRENTISS PROPERTIES TRUST       Common Stock                 740706106      160,650        7,200    X               X
PRIME RETAIL                    Common Stock                 741570105       18,131        8,289    X               X
PRIME GROUP REALTY TRUST        Common Stock                 74158J103       41,506        2,900    X               X
PRIMARK CORP                    Common Stock                 741903108      723,750       30,000    X               X
PRISON REALTY TRUST             Common Stock                 74264N105       58,188       19,000    X               X
PROCTOR & GAMBLE CO             Common Stock                 742718109      395,500        7,000    X               X
PUBLIC STORAGE INC.             Common Stock                 74460D109      548,073       26,099    X               X
QUANTA SERVICES INC             Common Stock                 74762E102    2,913,000       48,000    X               X
RFS HOTEL INVESTORS INC.        Common Stock                 74955J108       51,869        4,825    X               X
RADIANT SYSTEMS INC             Common Stock                 75025N102    1,257,501       30,000    X               X
RAILWORKS CORP                  Common Stock                 750789109      972,000       96,000    X               X
RAMCO-GERSHENSON PROPERTIES     Common Stock                 751452202       19,950        1,400    X               X
REALTY INCOME CORP              Common Stock                 756109104       99,138        5,150    X               X
RECKSON ASSOC REALTY CORP       Common Stock                 75621K106      181,313        9,670    X               X
REGENCY REALTY CORP             Common Stock                 758939102    8,841,443      447,668    X               X
RELIANCE GROUP HOLDINGS         Common Stock                 759464100      372,754      106,501    X               X
REYNOLDS METALS COMPANY         Common Stock                 761763101    1,003,140       15,000    X               X
ROUSE CO                        Common Stock                 779273101      291,525       13,800    X               X
ROYAL DUTCH PETROLEUM CO.       Common Stock                 780257804    2,324,063       40,200    X               X
SL GREEN REALTY CORP            Common Stock                 78440X101      109,250        4,600    X               X
ST PAUL COS                     Common Stock                 792860108    4,074,549      119,401    X               X
SAKS INCORPORATED               Common Stock                 79377W108      725,000       50,000    X               X
SAUL CENTERS INC                Common Stock                 804395101       41,844        2,595    X               X
SAVVIS COMMUNICATIONS CORP      Common Stock                 805423100       88,125        5,000    X               X
SCHERING PLOUGH CORP            Common Stock                 806605101    5,286,897      142,408    X               X
SCHOLASTIC CORP                 Common Stock                 807066105    1,348,438       25,000    X               X
SECURITY CAPITAL GROUP          Common Stock                 81413P105           16            1    X               X
SECURITY CAPITAL GROUP          Common Stock                 81413P204    5,827,668      403,648    X               X
SENIOR HOUSING PROPERTIES       Common Stock                 81721M109       49,200        4,800    X               X
SHELL TRANSPORT - TRADING ADR   Common Stock                 822703609    4,170,313       85,000    X               X
SHERWIN-WILLIAMS CO             Common Stock                 824348106      867,300       39,200    X               X
SHURGARD STORAGE                Common Stock                 82567D104      145,386        5,565    X               X
SIENA HOLDINGS INC              Common Stock                 826203101          902          601    X               X
SIGMA ALDRICH                   Common Stock                 826552101    1,881,250       70,000    X               X
SILICON VALLEY BANCSHARES       Common Stock                 827064106    1,006,250       14,000    X               X
SIMON PROPERTY GROUP, INC.      Common Stock                 828806109      773,858       33,195    X               X
SMITH-GARDNER & ASSOCIATES      Common Stock                 832059109      528,750       30,000    X               X
SMITH CHARLES E RESIDENTIAL     Common Stock                 832197107      137,094        3,795    X               X
SMITHKLINE BEECHAM - ADR        Common Stock                 832378301    1,222,156       18,500    X               X
SOVRAN SELF STORAGE INC         Common Stock                 84610H108       49,005        2,420    X               X
SPIEKER PROPERTIES, INC.        Common Stock                 848497103      554,025       12,450    X               X
STATE STREET CORP               Common Stock                 857477103    3,603,750       37,200    X               X
SSW STERLING SOFTWARE           Common Stock                 859547101    1,552,350       47,400    X               X
STORAGE USA                     Common Stock                 861907103      164,303        5,365    X               X
SUMMIT PROPERTIES INC           Common Stock                 866239106      105,474        5,515    X               X
SUN COMMUNITIES INC             Common Stock                 866674104       96,298        3,335    X               X
SUN MICROSYSTEMS, INC.          Common Stock                 866810104   15,788,598      168,496    X               X
SUNGARD DATA SYSTEMS            Common Stock                 867363103    1,510,000       40,000    X               X
SUPERVALU INC.                  Common Stock                 868536103      155,288        8,200    X               X
SYNOPSYS INC                    Common Stock                 871607107       87,750        1,800    X               X
TJX COMPANIES                   Common Stock                 872540109      454,844       20,500    X               X
TALISMAN ENERGY INC             Common Stock                 87425E103      714,063       25,000    X               X
TANGER FACTORY                  Common Stock                 875465106       28,781        1,500    X               X
TARGET CORP                     Common Stock                 87612E106    2,691,000       36,000    X               X
TARRAGON REALTY INVESTORS       Common Stock                 876287103       15,188        1,500    X               X
TAUBMAN CENTERS INC.            Common Stock                 876664103      113,253       10,180    X               X
TEKELEC                         Common Stock                 879101103      742,500       20,000    X               X
TELEHUB COMMUNICATIONS          Common Stock                 87942R116          262          524    X               X
TELLABS INC.                    Common Stock                 879664100    6,928,284      110,000    X               X
TEXAS INSTRUMENTS               Common Stock                 882508104    1,120,000        7,000    X               X
TEXAS REGIONAL BANCSHARES-A     Common Stock                 882673106    1,335,469       52,500    X               X
TEXTRON, INC                    Common Stock                 883203101    1,217,500       20,000    X               X
3COM CORP                       Common Stock                 885535104      278,125        5,000    X               X
TIME WARNER, INC.               Common Stock                 887315109   12,195,400      121,954    X               X
TOWN & COUNTRY TRUST            Common Stock                 892081100       50,836        3,035    X               X
TRIBUNE CO                      Common Stock                 896047107    3,436,875       94,000    X               X
TUT SYSTEMS INC                 Common Stock                 901103101    1,489,063       25,000    X               X
TV AZTECA S.A. ADR              Common Stock                 901145102    1,069,375       72,500    X               X
TWEETER HOME ENTERTAINMENT GRP  Common Stock                 901167106    1,991,250       45,000    X               X
TYCO INTERNATIONAL LTD.         Common Stock                 902124106    1,604,032       32,001    X               X
US RESTAURANT PROPERTIES        Common Stock                 902971100       37,881        2,900    X               X
US AGGREGATES INC               Common Stock                 90334D109      287,500       20,000    X               X
UNISYS CORP                     Common Stock                 909214108       77,063        3,000    X               X
UNITED AUTO GROUP INC           Common Stock                 909440109   10,289,422    1,167,594    X               X
UNITED DOMINION REALTY TRUST    Common Stock                 910197102      198,080       19,685    X               X
UNITED TECHNOLOGIES CORP        Common Stock                 913017109    1,955,148       30,942    X               X
UNOCAL(FORMERLY UNION OIL CAL)  Common Stock                 915289102      892,500       30,000    X               X
URBAN SHOPPING CENTERS INC.     Common Stock                 917060105       99,103        3,410    X               X
VF CORP.                        Common Stock                 918204108    2,362,938       98,200    X               X
VANTAGEMED CORP                 Common Stock                 92208W106      109,375       25,000    X               X
VIACOM INC                      Common Stock                 925524100    1,273,095       23,824    X               X
VIACOM INC                      Common Stock                 925524308      473,695        8,980    X               X
VORNADO REALTY TRUST            Common Stock                 929042109      552,013       16,478    X               X
VORNADO OPERATING COMPANY       Common Stock                 92904N103       35,875        2,800    X               X
WALGREENS CO                    Common Stock                 931422109    3,605,000      140,000    X               X
WARNER-LAMBERT CO               Common Stock                 934488107    4,884,375       50,000    X               X
WASHINGTON MUTUAL INC           Common Stock                 939322103           40            2    X               X
WASHINGTON REIT                 Common Stock                 939653101      103,050        6,870    X               X
WATSCO                          Common Stock                 942622101      124,500       12,000    X               X
WATSCO                          Common Stock                 942622200    1,252,500      120,000    X               X
WATSON PHARMACEUTICALS, INC.    Common Stock                 942683103      793,750       20,000    X               X
WEINGARTEN REALTY TRUST         Common Stock                 948741103      186,139        5,065    X               X
WELLS FARGO & COMPANY           Common Stock                 949740104      122,331        3,700    X               X
WESTELL TECHNOLOGIES INC        Common Stock                 957541105      796,875       25,000    X               X
WESTERN PROPERTIES TRUST        Common Stock                 959261108       34,286        3,345    X               X
WESTFIELD AMERICA INC           Common Stock                 959910100      191,231       14,100    X               X
WINSTON HOTELS INC.             Common Stock                 97563A102       25,071        3,235    X               X
WINTRUST FINANCIAL CORP         Common Stock                 97650W108    1,100,100       77,200    X               X
WIRELESS TELECOM GROUP, INC.    Common Stock                 976524108      506,900      109,600    X               X
WYNDHAM INTERNATIONAL           Common Stock                 983101106       50,312       26,833    X               X
XEROX CORP                      Common Stock                 984121103    1,222,000       47,000    X               X
YORK INTERNATIONAL CORP         Common Stock                 986670107       79,475        3,400    X               X
YOUNG BROADCASTING CORP -A      Common Stock                 987434107      731,500       38,500    X               X
PLATT MUSIC CORPORATION COMMON  Common Stock                 990775$08            0       19,186    X               X
DAIMLER-CHRYSLER                Common Stock                 D1668R123    1,350,000       20,000    X               X
ACE LTD                         Common Stock                 G0070K103    7,280,701      318,282    X               X
LASALLE RE                      Common Stock                 G5383Q101   16,659,352    1,200,674    X               X
CORE LABORATORIES INC           Common Stock                 N22717107      857,344       29,500    X               X
SUN INTERNATIONAL HOTELS LTD-A  Common Stock                 P8797T133      503,125       25,000    X               X
ALLIANCE GAMING CORP            Taxable Bonds-Convertible    01859PAG9       97,180      226,000    X               X
ALLIED WASTE NORTH AMER         Taxable Bonds-Convertible    01958XAN7      237,120      312,000    X               X
ARGENTINA                       Taxable Bonds-Convertible    040114AZ3      390,000      400,000    X               X
J. BAKER INC                    Taxable Bonds-Convertible    057232AA8      119,250      150,000    X               X
BIOVAIL CORP INTL               Taxable Bonds-Convertible    09067KAB2       35,920       32,000    X               X
BRAZIL FEDERATIVE REP OF        Taxable Bonds-Convertible    105756AK6      149,100      150,000    X               X
BUILDING ONE SERVICES CORP      Taxable Bonds-Convertible    120114AA1      117,390      129,000    X               X
CKE RESTAURANTS INC             Taxable Bonds-Convertible    12561EAB1      595,406    1,095,000    X               X
CALIFORNIA STEEL INDUSTRIES     Taxable Bonds-Convertible    13077QAA1      117,760      128,000    X               X
CARMIKE CINEMAS INC.            Taxable Bonds-Convertible    143436AD5       46,990       74,000    X               X
CARSON INC                      Taxable Bonds-Convertible    145845AB9      311,370      291,000    X               X
CLEAR CHANNEL COMMUNICATIONS    Taxable Bonds-Convertible    184502AE2      812,656      875,000    X               X
REPUBLIC OF COLOMBIA            Taxable Bonds-Convertible    195325AU9      632,125      650,000    X               X
COMPANIA DE ALIMENTOS FARGO     Taxable Bonds-Convertible    204440AC5       89,000      100,000    X               X
CYBERNET INTERNET SERV          Taxable Bonds-Convertible    232503AA0      145,200          121    X               X
DEVON ENERGY                    Taxable Bonds-Convertible    25179MAB9    2,002,500    2,000,000    X               X
ESC MEDICAL SYSTEMS             Taxable Bonds-Convertible    269025AA0      442,813      545,000    X               X
ESC MEDICAL SYSTEMS             Taxable Bonds-Convertible    269025AB8      260,000      320,000    X               X
EUROTUNNEL TIER 1               Taxable Bonds-Convertible    29880K9W1       79,680       96,000    X               X
EXODUS COMMUNICATIONS INC.      Taxable Bonds-Convertible    302088AF6      135,630      137,000    X               X
FILTRONIC PLC                   Taxable Bonds-Convertible    317325AC2       65,620       68,000    X               X
GST NETWORKS FDG, INC           Taxable Bonds-Convertible    36228YAC9      204,120      486,000    X               X
GETTY IMAGES, INC               Taxable Bonds-Convertible    374276AA1    2,740,000    2,000,000    X               X
GRUPO ELEKTRA                   Taxable Bonds-Convertible    40050AAC6      480,000      500,000    X               X
HEALTHSOUTH CORP                Taxable Bonds-Convertible    421924AD3    1,140,625    1,460,000    X               X
HILTON HOTELS CORP.             Taxable Bonds-Convertible    432848AL3      513,844      675,000    X               X
INTEGRATED ELECTRIC SVCS        Taxable Bonds-Convertible    45811EAB9       73,100       85,000    X               X
INTEGRATED HEALTH SERV.,INC.    Taxable Bonds-Convertible    45812CAE6        6,250    1,000,000    X               X
INTERIM SERVICES, INC.          Taxable Bonds-Convertible    45868PAA8      901,175    1,130,000    X               X
KELLSTROM INDUSTRIES            Taxable Bonds-Convertible    488035AC0    1,872,500    3,500,000    X               X
KELLSTROM INDUSTRIES            Taxable Bonds-Convertible    488035AE6    1,072,500    2,000,000    X               X
KERR MCGEE CORP                 Taxable Bonds-Convertible    492386AP2    1,322,500    1,150,000    X               X
LTC PROPERTIES INC              Taxable Bonds-Convertible    502175AF9      665,625      750,000    X               X
LOUISIANA CASINO CRUISES        Taxable Bonds-Convertible    546214AE7      138,720      136,000    X               X
LOUISIANA CASINO CRUISES        Taxable Bonds-Convertible    546214AG2       51,000       50,000    X               X
LYONDELL PETROCHEMICAL          Taxable Bonds-Convertible    552078AM9      128,588      135,000    X               X
MADISON RIVER CAP               Taxable Bonds-Convertible    558212AA4       93,120       97,000    X               X
MASCOTECH INC.                  Taxable Bonds-Convertible    574670AB1      633,613      865,000    X               X
MEDITRUST CORP                  Taxable Bonds-Convertible    58501TAC2    6,090,000    7,000,000    X               X
METAL MANAGEMENT                Taxable Bonds-Convertible    591097AB6      198,565      263,000    X               X
METROCALL, INC                  Taxable Bonds-Convertible    591647AE2      154,160      188,000    X               X
UNITED MEXICAN STATES           Taxable Bonds-Convertible    593048BA8      355,500      300,000    X               X
MUTUAL RISK                     Taxable Bonds-Convertible    628351AA6      507,500    1,000,000    X               X
OFFSHORE LOGISTICS              Taxable Bonds-Convertible    676255AF9      833,319      935,000    X               X
ORANGE PLC                      Taxable Bonds-Convertible    685211AC8      216,275      211,000    X               X
PRICE COMM WIRELESS             Taxable Bonds-Convertible    741439AB9      124,200      115,000    X               X
PRIMUS TELECOM GROUP            Taxable Bonds-Convertible    741929AG8      250,575      257,000    X               X
R&B FALCON CORP                 Taxable Bonds-Convertible    74912EAL5      191,090      197,000    X               X
RIVIERA BLACK HAWK INC          Taxable Bonds-Convertible    76962PAA8      154,780      142,000    X               X
RIVIERA BLACK HAWK INC          Taxable Bonds-Convertible    76962PAC4       74,120       68,000    X               X
SPECIALTY RETAILERS INC         Taxable Bonds-Convertible    847514AN6       25,410       84,000    X               X
SWIFT ENERGY CO                 Taxable Bonds-Convertible    870738AC5      117,465      123,000    X               X
TFM SA DE CV                    Taxable Bonds-Convertible    872402AC6      288,000      300,000    X               X
TENNECO, INC.                   Taxable Bonds-Convertible    880370BS9      124,800      128,000    X               X
THERMO INSTRUMENT SYSTEMS       Taxable Bonds-Convertible    883559AE6      603,781      695,000    X               X
THERMO FIBERTEK INC             Taxable Bonds-Convertible    88355WAA3      425,000      500,000    X               X
TIMES MIRROR CO.                Taxable Bonds-Convertible    887364AG2    1,483,035    1,500,000    X               X
REPUBLIC OF TURKEY              Taxable Bonds-Convertible    900123AJ9      589,875      550,000    X               X
TV AZTECA S.A. ADR              Taxable Bonds-Convertible    901145AF9      236,875      250,000    X               X
UNITED INTL HOLDINGS INC        Taxable Bonds-Convertible    910734AE2      113,850      165,000    X               X
UNITED RENTALS INC              Taxable Bonds-Convertible    911363AH2      176,610      203,000    X               X
VERIO INC                       Taxable Bonds-Convertible    923433AM8       93,120       96,000    X               X
VICAP SA                        Taxable Bonds-Convertible    925609AD1       74,156       75,000    X               X
VOICESTREAM WIRELESS CORP       Taxable Bonds-Convertible    92861LAC2      151,725      255,000    X               X
WATERFORD GAMING LLC            Taxable Bonds-Convertible    941388AD2      251,340      264,568    X               X
WILLIAMS COMM GROUP             Taxable Bonds-Convertible    969455AB0      182,688      185,000    X               X
JAZZTEL PLC                     Taxable Bonds-Convertible    EC2071271      138,720      136,000    X               X
BONOS DEL TESORO, REP OF ARGEN  Taxable Bonds-Convertible    EC2271962      687,488      675,000    X               X
SAN LUIS CORP                   Taxable Bonds-Convertible    P84484AA5      207,000      225,000    X               X
REPUBLIC OF VENEZUELA           Taxable Bonds-Convertible    TT3068380      571,429      714,286    X               X
VENEZUELA-FLIRB                 Taxable Bonds-Convertible    TT3077357      160,387      202,381    X               X
ARGENTINA                       Taxable Bonds-Convertible    TT3106925      132,536      141,750    X               X
BRAZIL-IDU                      Taxable Bonds-Convertible    TT3117492      655,283      657,750    X               X
BRAZIL                          Taxable Bonds-Convertible    TT3163140      211,250      250,000    X               X
BRAZIL, REPUBLIC OF             Taxable Bonds-Convertible    TT3179690      272,250      300,000    X               X
REPUBLIC OF PANAMA              Taxable Bonds-Convertible    TT3220270      561,750      700,000    X               X
VIETNAM-                        Taxable Bonds-Convertible    TT3299522      621,000    1,150,000    X               X
VIETNAM-                        Taxable Bonds-Convertible    TT3299530       65,500      200,000    X               X
THERMO ELECTRON CORP            Taxable Bonds-Convertible    VV3070842      453,535      515,000    X               X
THERMO FIBERTEK INC             Taxable Bonds-Convertible    VV3081948      440,300      500,000    X               X
AT&T CAPITAL                    Preferred Stock-Convertible  00206J308    8,685,000      360,000    X               X
ABN AMRO CAPITAL                Preferred Stock-Convertible  00371T206    4,025,000      200,000    X               X
ALABAMA POWER                   Preferred Stock-Convertible  010392595    4,127,063      200,100    X               X
ALABAMA POWER                   Preferred Stock-Convertible  010392611   16,100,000      700,000    X               X
ANADARKO PETROLEUM CORP         Preferred Stock-Convertible  032511305    4,350,000       50,000    X               X
APACHE CORP.                    Preferred Stock-Convertible  037411402    3,535,000       40,000    X               X
APPALACHIAN POWER COMPANY       Preferred Stock-Convertible  037735792    5,098,379      259,790    X               X
ARMSTRONG WORLD INDUSTRIES INC  Preferred Stock-Convertible  042476606    4,975,898      254,359    X               X
BEAR STEARNS COMPANIES, INC.    Preferred Stock-Convertible  073902876   10,510,500      273,000    X               X
BOLDER TECHNOLOGIES CORP.       Preferred Stock-Convertible  097519912    1,346,560       40,000    X               X
BUDGET GROUP CAPITAL TRUST      Preferred Stock-Convertible  119001204      445,050       17,200    X               X
CENDANT CORPORATION             Preferred Stock-Convertible  151313301      226,631        7,900    X               X
CENTRAL MAINE POWER             Preferred Stock-Convertible  154990113    3,950,000       50,000    X               X
CHASE MANHATTAN NEW             Preferred Stock-Convertible  16161A777    2,598,750       55,000    X               X
CITIGROUP INC.                  Preferred Stock-Convertible  172967507    4,600,000      100,000    X               X
CITIGROUP INC.                  Preferred Stock-Convertible  172967705    8,022,000      168,000    X               X
COLTEC CAPITAL TRUST            Preferred Stock-Convertible  196878201      436,500       12,000    X               X
COX COMMUNICATIONS INC          Preferred Stock-Convertible  224044503    1,936,000       16,000    X               X
DETROIT EDISON CO               Preferred Stock-Convertible  250847688    3,270,000      160,000    X               X
DETROIT EDISON CO               Preferred Stock-Convertible  250847696      963,188       46,700    X               X
DILLARD DEPARTMENT STORES       Preferred Stock-Convertible  25406P200    5,780,000      340,000    X               X
ENTERPRISE CAPITAL              Preferred Stock-Convertible  29390B201    1,856,250      100,000    X               X
FPC CAPITAL I                   Preferred Stock-Convertible  302552203    4,050,000      200,000    X               X
FEDERAL HOME LOAN MORTGAGE      Preferred Stock-Convertible  313400830    9,100,000      200,000    X               X
FLEETWOOD CAPITAL TRUST         Preferred Stock-Convertible  339072407      373,063       12,700    X               X
HECO CAPITAL TRUST II           Preferred Stock-Convertible  40415B209    2,691,260      130,683    X               X
HAWAIIAN ELECTRIC IND CAP TR    Preferred Stock-Convertible  41987M201    2,892,500      130,000    X               X
HIGHWOOD PROPERTIES INC         Preferred Stock-Convertible  431284504    1,788,401      100,755    X               X
HOUSEHOLD INT'L                 Preferred Stock-Convertible  44180R209    2,870,551      145,000    X               X
KAUFMAN & BROAD HOME            Preferred Stock-Convertible  486168503      458,725       62,200    X               X
MBNA CORPORATION                Preferred Stock-Convertible  55262L308    3,672,900      148,400    X               X
MOTOTOLA CAPITAL                Preferred Stock-Convertible  620074203    4,150,000      200,000    X               X
NVP CAPITAL III                 Preferred Stock-Convertible  62944L201    6,792,295      315,005    X               X
NEW PLAN EXCEL REALTY, INC      Preferred Stock-Convertible  648053502    6,825,000      350,000    X               X
PP&L RESOURCES                  Preferred Stock-Convertible  693498206    2,006,172       90,419    X               X
SALOMON SMITH BARNEY HLDS. INC  Preferred Stock-Convertible  784646200    9,396,000      464,000    X               X
SOUTHERN COMPANY                Preferred Stock-Convertible  842637209    2,362,500      120,000    X               X
SUIZA FOODS CORP                Preferred Stock-Convertible  86507G200      630,200       18,400    X               X
SUNAMERICA                      Preferred Stock-Convertible  86702N208    3,536,813      145,100    X               X
WINSTAR COMMUNICATIONS, INC     Preferred Stock-Convertible  975515602        5,055          109    X               X
                                                                        834,798,956   84,520,111
</TABLE>



© 2022 IncJournal is not affiliated with or endorsed by the U.S. Securities and Exchange Commission