ALGER FRED MANAGEMENT INC
13F-HR, 1999-04-29
Previous: VILLAGE BANCORP INC /DE/, SB-2, 1999-04-28
Next: AMCAP FUND INC, NSAR-B, 1999-04-29




FORM 13F

                INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT
              MANAGERS PURSUANT TO SECTION 13(f) OF THE SECURITIES
                   EXCHANGE ACT OF 1934 AND RULES THEREUNDER

                        SECURITIES & EXCHANGE COMMISSION
                              WASHINGTON, DC 20549

                REPORT FOR THE QUARTER YEAR ENDED MARCH 31, 1999
                                                  --------    --
                       If amended report, check here ___

Name of Institutional Investment Manager:

Fred Alger Management, Inc. 
- ----------------------------

Business Address:

Street:   30 Montgomery Street  City:     Jersey City  State:    NJ  Zip:  07302
          --------------------            -----------            --        -----

Name, Phone No., and Title of Person Only Authorized to Submit This Report:

Mary Marsden-Cochran (201) 547-3600 Secretary        
- ---------------------------------------------

- --------------------------------------------------------------------------------
 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  are true,  correct and complete as
previously submitted.

     Pursuant to the  requirements of the Securities  Exchange Act of 19334, the
undersigned institutional investment manager has caused this report to be signed
on its  behalf  in the city of New  York and  State of New York on the 29 day of
                               ---------               --------        --
April 1999.
- -----   --

                             Fred Alger Management, Inc.                   
                             ---------------------------
                             (Name of Institutional Investment Manager)
                             s/s Mary Marsden-Cochran
                             (Manual Signature of Person Duly Authorized
                             to Submit This Report)

Name and 13F file numbers of ALL Institutional  Investment Managers with respect
to which this schedule is filed (other than the one filing this  report).  (List
in alphabetical order).

13F File Numbers will be assigned to  Institutional  Investment  Managers  after
they file their first report

Name:                                 13F File No.    Name:     13F File No.

<TABLE>
<CAPTION>
<S>                                      <C>           <C>
1. Fred Alger Management, Inc.           28-869       3. Fred Alger & Company, Incorporated
- -----------------------------------------------       --------------------------
2. Alger Associates, Inc.                             4. Fred M. Alger III
- -----------------------------------------------       --------------------------
</TABLE>


<PAGE>

                                     FORM 13F                       03/31/99
REPORTING MANAGER: FRED ALGER MANAGEMENT, INC.                      PAGE 1

<TABLE>
<CAPTION>

- ------------------------------------------------------------------------------------------------------------------------------------
ITEM 1                           ITEM 2    ITEM 3        ITEM 4     ITEM 5        ITEM 6         ITEM 7          ITEM 8     
NAME OF ISSUER                   TITLE     CUSIP          FAIR     SHARES OF  INVEST. DISCRETION  MGRS.     VOTING AUTHORITY
                                   OF      NUMBER        MARKET    PRINCIPAL           SHARED                                    
                                 CLASS                   VALUE      AMOUNT  SOLE SHARED OTHER          SOLE       SHARED    NONE
                                                                             (A)  (B)    (C)           (A)         (B)       (C)
- --------------------------------------------------------------------------------------------------------------------------------
<S>                              <C>      <C>          <C>          <C>       <C>  <C>   <C>     <C>   <C>       <C>         <C>
AT&T CORP.                       COMMON   001957109    52,819,913   661,800   X                  ALG   453,600   208,200
AT&T CORP.                       COMMON   001957109     3,958,700    49,600        X             ALG              49,600
AT&T CORP.                       COMMON   001957109       367,138     4,600   X                  ALG               4,600
ATMI CORP.                       COMMON   00207R101     3,200,000   160,000   X                  ALG   160,000
ADVENT SOFTWARE INC              COMMON   007974108     6,050,000   121,000   X                  ALG   121,000
AFFILIATED MANAGERS GROUP        COMMON   008252108     2,600,000   100,000   X                  ALG   100,000
AGOURON PHARMACEUTICALS IN       COMMON   008488108    18,162,219   321,100   X                  ALG   318,900     2,200
ALTERA CORP                      COMMON   021441100    46,909,800   788,400   X                  ALG   782,800     5,600
ALTERA CORP                      COMMON   021441100     2,028,950    34,100        X             ALG              34,100
ALZA CORP-CL A                   COMMON   022615108    25,742,250   673,000   X                  ALG   670,000     3,000
AMAZON COM INC.                  COMMON   023135106   188,510,875 1,094,800   X                  ALG   857,900   236,900
AMAZON COM INC.                  COMMON   023135106    16,047,875    93,200        X             ALG              93,200
AMAZON COM INC.                  COMMON   023135106       878,156     5,100   X                  ALG               5,100
AMERICA ON LINE INC-DEL          COMMON   02364J104   303,150,015 2,062,245   X                  ALG 1,605,145   457,100
AMERICA ON LINE INC-DEL          COMMON   02364J104    18,992,400   129,200        X             ALG             129,200
AMERICA ON LINE INC-DEL          COMMON   02364J104     1,425,900     9,700   X                  ALG               9,700
AMERICAN EXPRESS COMPANY         COMMON   025816109    18,074,625   153,500   X                  ALG   153,500
AMERICAN HOME PRODUCTS COR       COMMON   026609107    26,915,625   412,500   X                  ALG   308,600   103,900
AMERICAN INTERNATIONAL GRO       COMMON   026874107       209,646     1,738   X                  ALG     1,738
AMERICAN INTERNATIONAL GRO       COMMON   026874107   150,508,396 1,247,738   X                  ALG   960,532   287,206
AMERICAN INTERNATIONAL GRO       COMMON   026874107     5,283,375    43,800        X             ALG              43,800
AMERICAN INTERNATIONAL GRO       COMMON   026874107       759,938     6,300   X                  ALG               6,300
AMERISOURCE HEALTH CORP-CL       COMMON   03071P102    16,410,000   480,000   X                  ALG   480,000
AMGEN INC.                       COMMON   031162100   144,972,601 1,936,195   X                  ALG 1,758,995   177,200
AMGEN INC.                       COMMON   031162100     3,676,363    49,100        X             ALG              49,100
                                                                            
                                                    -------------
   PAGE COLUMN TOTALS                               1,057,654,758

</TABLE>


<PAGE>



                                     FORM 13F                       03/31/99
REPORTING MANAGER: FRED ALGER MANAGEMENT, INC.                      PAGE 2

<TABLE>
<CAPTION>

- ------------------------------------------------------------------------------------------------------------------------------------
ITEM 1                           ITEM 2    ITEM 3        ITEM 4     ITEM 5        ITEM 6         ITEM 7          ITEM 8     
NAME OF ISSUER                   TITLE     CUSIP          FAIR     SHARES OF  INVEST. DISCRETION  MGRS.     VOTING AUTHORITY
                                   OF      NUMBER        MARKET    PRINCIPAL           SHARED                                    
                                 CLASS                   VALUE      AMOUNT  SOLE SHARED OTHER          SOLE       SHARED    NONE
                                                                             (A)  (B)    (C)           (A)         (B)       (C)
- --------------------------------------------------------------------------------------------------------------------------------
<S>                              <C>      <C>          <C>          <C>       <C>  <C>   <C>     <C>   <C>       <C>         <C>
AMGEN INC.                       COMMON   031162100       277,038     3,700   X                  CM                3,700
ANTEC CORP.                      COMMON   03664P105    21,555,900 1,002,600   X                  ALG 1,002,600          
APPLIED MATERIALS INC            COMMON   038222105   140,727,694 2,281,300   X                  ALG 1,713,800   567,500
APPLIED MATERIALS INC            COMMON   038222105     9,277,800   150,400        X             ALG             150,400
APPLIED MATERIALS INC            COMMON   038222105       771,094    12,500   X                  CM               12,500
ASCEND COMMUMICATIONS INC.       COMMON   043491109       309,644     3,700   X                          3,700
ASCEND COMMUMICATIONS INC.       COMMON   043491109    92,550,006 1,105,900   X                  ALG 1,103,600     2,300
AT HOME CORP-SER A               COMMON   045919107    15,490,125    98,350   X                  ALG    98,350          
AT HOME CORP-SER A               COMMON   045919107     3,165,750    20,100        X             ALG              20,100
AUTOBYTEL.COM INC                COMMON   05275N106     1,046,875    25,000   X                  ALG    25,000          
BISYS GROUP INC.                 COMMON   055472104    33,856,875   601,900   X                  ALG   601,900          
BJS WHOLESALE CLUB INC           COMMON   05548J106    45,667,975 1,735,600   X                  ALG 1,735,600          
BANKAMERICA CORP                 COMMON   06605F102    25,747,827   364,571   X                  ALG   176,700   187,871
BANKAMERICA CORP                 COMMON   06605F102     3,262,875    46,200        X             ALG              46,200
BANKAMERICA CORP                 COMMON   06605F102       303,688     4,300   X                  CM                4,300
BED BATH & BEYOND INC            COMMON   075896100    70,317,250 1,926,500   X                  ALG 1,916,600     9,900
BERGEN BRUNSWIG CORP-CL A        COMMON   083739102    28,060,000 1,403,000   X                  ALG 1,202,200   200,800
BERINGER WINE ESTATES HLDG       COMMON   084102102     8,366,250   230,000   X                  ALG   230,000          
BEST BUY COMPANY INC.            COMMON   086516101    53,102,400 1,021,200   X                  ALG 1,017,200     4,000
BEST BUY COMPANY INC.            COMMON   086516101     6,188,000   119,000        X             ALG             119,000
BIG FLOWER HOLDINGS INC.         COMMON   089159107     7,052,925   226,600   X                  ALG   226,600          
BIOGEN INC.                      COMMON   090597105    71,548,194   625,900   X                  ALG   622,400     3,500
BIOGEN INC.                      COMMON   090597105     2,000,469    17,500        X             ALG              17,500
BIOMET INC.                      COMMON   090613100     6,412,244   152,900   X                  ALG   152,900          
BOSTON SCIENTIFIC CORP           COMMON   101137107    21,519,063   529,700   X                  ALG   529,700          
                                                                            
                                                    -------------
   PAGE COLUMN TOTALS                                 668,577,958


</TABLE>




<PAGE>





                                     FORM 13F                       03/31/99
REPORTING MANAGER: FRED ALGER MANAGEMENT, INC.                      PAGE 3

<TABLE>
<CAPTION>

- ------------------------------------------------------------------------------------------------------------------------------------
ITEM 1                           ITEM 2    ITEM 3        ITEM 4     ITEM 5        ITEM 6         ITEM 7          ITEM 8     
NAME OF ISSUER                   TITLE     CUSIP          FAIR     SHARES OF  INVEST. DISCRETION  MGRS.     VOTING AUTHORITY
                                   OF      NUMBER        MARKET    PRINCIPAL           SHARED                                    
                                 CLASS                   VALUE      AMOUNT  SOLE SHARED OTHER          SOLE       SHARED    NONE
                                                                             (A)  (B)    (C)           (A)         (B)       (C)
- --------------------------------------------------------------------------------------------------------------------------------
<S>                              <C>      <C>          <C>          <C>       <C>  <C>   <C>     <C>   <C>       <C>         <C>
BRISTOL MYERS SQUIBB CO          COMMON   110122108     3,567,915    55,640   X                  ALG    55,500        140
BROADCAST COM INC                COMMON   111310108    54,661,719   462,500   X                  ALG   460,900      1,600
BROADCAST COM INC                COMMON   111310108     7,800,375    66,000        X             ALG               66,000
BUSINESS OBJECTS SA SPONSO       COMMON   12328X107     8,903,281   299,900   X                  ALG   299,900
CNET INC                         COMMON   125945105    15,965,263   173,300   X                  ALG   171,800      1,500
CSK AUTO CORP.                   COMMON   125965103     6,691,031   223,500   X                  ALG   223,500
CVS CORP                         COMMON   126650100    62,208,375 1,309,650   X                  ALG 1,050,650    259,000
CVS CORP                         COMMON   126650100     2,869,000    60,400        X             ALG               60,400
CVS CORP                         COMMON   126650100       261,250     5,500   X                  ALG                5,500
CABLEVISION SYSTEMS CORP-C       COMMON   12686C109    20,977,375   283,000   X                  ALG   283,000
CABLEVISION SYSTEMS CORP-C       COMMON   12686C109     7,041,875    95,000        X             ALG               95,000
CAPSTAR BROADCASTING CORP-       COMMON   14067G105    14,214,369   619,700   X                  ALG   390,700    229,000
CAPSTAR BROADCASTING CORP-       COMMON   14067G105     1,713,431    74,700        X             ALG               74,700
CAPSTAR BROADCASTING CORP-       COMMON   14067G105       229,375    10,000   X                  ALG               10,000
CARDINAL HEALTH INC.             COMMON   14149Y108   126,694,277 1,919,610   X                  ALG 1,519,980    399,630
CARDINAL HEALTH INC.             COMMON   14149Y108     5,148,000    78,000        X             ALG               78,000
CARDINAL HEALTH INC.             COMMON   14149Y108       584,430     8,855   X                  ALG                8,855
CAREER EDUCATION CORP            COMMON   141665109     2,008,250    58,000   X                  ALG    58,000
CARNIVAL CORP                    COMMON   143658102    57,706,819 1,188,300   X                  ALG   976,800    211,500
CARNIVAL CORP                    COMMON   143658102     1,180,069    24,300        X             ALG               24,300
CARNIVAL CORP                    COMMON   143658102       301,088     6,200   X                  ALG                 6,200
CASTLE CONVERTIBLE FUND IN       COMMON   148443104     9,169,562   424,026   X                  ALG   424,026
CATALINA MARKETING CORP          COMMON   148867104    14,882,138   173,300   X                  ALG   173,300
CHAMPION ENTERPRISES INC.        COMMON   158496109    21,498,500 1,109,600   X                  ALG 1,109,600
CHARTER ONE FINANCIAL INC.       COMMON   160903100    10,207,570   353,700   X                  ALG   349,300      4,400

                                                      -----------
   PAGE COLUMN TOTALS                                 456,485,335
</TABLE>



<PAGE>





                                     FORM 13F                       03/31/99
REPORTING MANAGER: FRED ALGER MANAGEMENT, INC.                      PAGE 4

<TABLE>
<CAPTION>

- ------------------------------------------------------------------------------------------------------------------------------------
ITEM 1                           ITEM 2    ITEM 3        ITEM 4     ITEM 5        ITEM 6         ITEM 7          ITEM 8     
NAME OF ISSUER                   TITLE     CUSIP          FAIR     SHARES OF  INVEST. DISCRETION  MGRS.     VOTING AUTHORITY
                                   OF      NUMBER        MARKET    PRINCIPAL           SHARED                                    
                                 CLASS                   VALUE      AMOUNT  SOLE SHARED OTHER          SOLE       SHARED    NONE
                                                                             (A)  (B)    (C)           (A)         (B)       (C)
- --------------------------------------------------------------------------------------------------------------------------------
<S>                              <C>      <C>          <C>          <C>       <C>  <C>   <C>     <C>   <C>       <C>         <C>
CHILDRENS PLACE RETAIL STO       COMMON   168905107     2,693,750   100,000   X                  ALG   100,000
CHURCH & DWIGHT CO INC.          COMMON   171340102     4,254,300   104,400   X                  ALG   104,400
CINAR FILMS INC.-CL B            COMMON   171905300     4,600,000   200,000   X                  ALG   200,000
CISCO SYSTEMS INC.               COMMON   17275R102   171,261,198 1,563,137   X                  ALG 1,166,787    396,350
CISCO SYSTEMS INC.               COMMON   17275R102     9,674,369    88,300        X             ALG               88,300
CISCO SYSTEMS INC.               COMMON   17275R102       944,977     8,625   X                  CM                 8,625
CINTAS CORP.                     COMMON   172908105    63,217,625   967,000   X                  ALG   963,000      4,000
CITIGROUP INC.                   COMMON   172967101       255,500     4,000   X                  ALG     4,000
CITIGROUP INC.                   COMMON   172967101   215,175,713 3,368,700   X                  ALG 2,678,200    690,500
CITIGROUP INC.                   COMMON   172967101    11,190,900   175,200        X             ALG              175,200
CITIGROUP INC.                   COMMON   172967101       977,288    15,300   X                  ALG               15,300
CITRIX SYSTEMS INC               COMMON   177376100    13,389,500   351,200   X                  ALG   348,600      2,600
CLARIFY INC                      COMMON   180492100    10,474,844   392,500   X                  ALG   392,500
CLEAR CHANNEL COMMUNICATION      COMMON   184502102    29,856,225   445,200   X                  ALG   197,600    247,600
CLEAR CHANNEL COMMUNICATION      COMMON   184502102     3,084,875    46,000        X             ALG               46,000
CLEAR CHANNEL COMMUNICATION      COMMON   184502102       375,550     5,600   X                  ALG                5,600
COACH USA INC.                   COMMON   18975L106    23,204,500   843,800   X                  ALG   833,300     10,500
COINSTAR INC.                    COMMON   19259P300     4,861,688   301,500   X                  ALG   301,500
COMCAST CORP SPECIAL CL A        COMMON   200300200   157,516,828 2,502,750   X                  ALG 2,133,150    369,600
COMCAST CORP SPECIAL CL A        COMMON   200300200     7,735,019   122,900        X             ALG              122,900
COMCAST CORP SPECIAL CL A        COMMON   200300200       503,500     8,000   X                  ALG                8,000
COMMERCE BANCSHARES INC.         COMMON   200525103     2,815,659    73,134   X                  ALG    73,134
COM21 INC.                       COMMON   205937105    17,999,625   685,700   X                  ALG   685,700
CONMED CORP                      COMMON   207410101     5,558,300   179,300   X                  ALG   179,300
CORNING INC.                     COMMON   219350105    43,158,000   719,300   X                  ALG   719,300

                                                      ----------- 
   PAGE COLUMN TOTALS                                 804,779,730
</TABLE>



<PAGE>



                                     FORM 13F                       03/31/99
REPORTING MANAGER: FRED ALGER MANAGEMENT, INC.                      PAGE 5

<TABLE>
<CAPTION>

- ------------------------------------------------------------------------------------------------------------------------------------
ITEM 1                           ITEM 2    ITEM 3        ITEM 4     ITEM 5        ITEM 6         ITEM 7          ITEM 8     
NAME OF ISSUER                   TITLE     CUSIP          FAIR     SHARES OF  INVEST. DISCRETION  MGRS.     VOTING AUTHORITY
                                   OF      NUMBER        MARKET    PRINCIPAL           SHARED                                    
                                 CLASS                   VALUE      AMOUNT  SOLE SHARED OTHER          SOLE       SHARED    NONE
                                                                             (A)  (B)    (C)           (A)         (B)       (C)
- --------------------------------------------------------------------------------------------------------------------------------
<S>                              <C>      <C>          <C>          <C>       <C>  <C>   <C>     <C>   <C>       <C>         <C>
COSTCO COMPANIES INC.            COMMON   22160Q102   107,051,213 1,169,160   X                  ALG   936,800   232,360
COSTCO COMPANIES INC.            COMMON   22160Q102     5,594,469    61,100        X             ALG              61,100
COSTCO COMPANIES INC.            COMMON   22160Q102       466,969     5,100   X                  ALG               5,100
COX COMMUNICATIONS INC CL        COMMON   224044107    41,427,375   547,800   X                  ALG   545,800     2,000
COX COMMUNICATIONS INC CL        COMMON   224044107     4,908,063    64,900        X             ALG              64,900
COX RADIO INC CL-A               COMMON   224051102     2,101,250    41,000   X                  ALG    41,000
CYMER INC.                       COMMON   232572107     1,874,213    94,300   X                  ALG    94,300
DALLAS SEMICONDUCTOR CORP        COMMON   235204104     7,049,063   182,500   X                  ALG   182,500
DAYTON HUDSON CORP.              COMMON   239753106       999,375    15,000   X                  ALG    15,000
DENDRITE INTL INC                COMMON   248239105     8,378,344   375,500   X                  ALG   375,500
DIAL CORP NEW                    COMMON   25247D101    14,227,813   413,900   X                  ALG   411,400     2,500
DIME BANCORP INC NEW             COMMON   25429Q102    20,639,104   890,100   X                  ALG   890,100
DORAL FINANCIAL CORP             COMMON   25811P100     5,613,563   305,500   X                  ALG   305,500
DUPONT PHOTOMASKS INC            COMMON   26613X101     7,132,500   180,000   X                  ALG   180,000
DYCOM INDUSTRIES INC             COMMON   267475101    15,353,325   352,950   X                  ALG   352,950
EMC CORP.                        COMMON   268648102       300,213     2,350   X                  ALG     2,350
EMC CORP.                        COMMON   268648102    95,477,795   747,380   X                  ALG   515,580   231,800
EMC CORP.                        COMMON   268648102     4,420,150    34,600        X             ALG              34,600
EMC CORP.                        COMMON   268648102       651,525     5,100   X                  ALG               5,100
EBAY INC                         COMMON   278642103    89,634,854   652,780   X                  ALG   558,645    94,135
EBAY INC                         COMMON   278642103     5,616,081    40,900   X                  ALG              40,900
EBAY INC                         COMMON   278642103       274,625     2,000   X                  ALG               2,000
EDUCATION MANAGEMENT CORP        COMMON   28139T101     3,148,800   102,400   X                  ALG   102,400
EGGHEAD.COM INC.                 COMMON   282330109     7,049,475   387,600   X                  ALG   387,600
EMMIS BROADCASTING CORP          COMMON   291525103     5,925,000   118,500   X                  ALG   118,500
                                                                           
                                                      -----------
   PAGE COLUMN TOTALS                                 455,315,243
</TABLE>


<PAGE>



                                     FORM 13F                       03/31/99
REPORTING MANAGER: FRED ALGER MANAGEMENT, INC.                      PAGE 6

<TABLE>
<CAPTION>

- ------------------------------------------------------------------------------------------------------------------------------------
ITEM 1                           ITEM 2    ITEM 3        ITEM 4     ITEM 5        ITEM 6         ITEM 7          ITEM 8     
NAME OF ISSUER                   TITLE     CUSIP          FAIR     SHARES OF  INVEST. DISCRETION  MGRS.     VOTING AUTHORITY
                                   OF      NUMBER        MARKET    PRINCIPAL           SHARED                                    
                                 CLASS                   VALUE      AMOUNT  SOLE SHARED OTHER          SOLE       SHARED    NONE
                                                                             (A)  (B)    (C)           (A)         (B)       (C)
- --------------------------------------------------------------------------------------------------------------------------------
<S>                              <C>      <C>          <C>          <C>       <C>  <C>   <C>     <C>   <C>         <C>       <C>
ETHAN ALLEN INTERIORS, INC.      COMMON   297602104    28,391,344   683,100   X                  ALG     683,100
EVEREN CAPITAL CORP.             COMMON   299761106     4,039,656   206,500   X                  ALG     206,500
EXCITE INC                       COMMON   300904109   188,020,000 1,343,000   X                  ALG   1,155,100   187,900
EXCITE INC                       COMMON   300904109     9,520,000    68,000        X             ALG                68,000
EXCITE INC                       COMMON   300904109       574,000     4,100   X                  CM                  4,100
F.Y.I. INC                       COMMON   302712104     3,888,000   121,500   X                  ALG     121,500
FACTSET RESEARCH SYSTEMS I       COMMON   303075105    18,299,075   423,100   X                  ALG     423,100
FAMILY DOLLAR STORES INC         COMMON   307000109    32,190,800 1,399,600   X                  ALG   1,399,600
FIFTH THIRD BANCORP              COMMON   316773100     1,384,688    21,000   X                  ALG      21,000
FINOVA GROUP INC                 COMMON   317928109    31,550,375   608,200   X                  ALG     606,300     1,900
FISERV INC.                      COMMON   337738108    12,349,838   230,300   X                  ALG     228,000     2,300
FOOD LION INC CL A               COMMON   344775200     2,535,454   275,500   X                  ALG     275,500
FOREST LABORATORIES INC          COMMON   345838106    49,136,450   871,600   X                  ALG     863,200     8,400
FOX ENTERTAINMENT GROUP IN       COMMON   35138T107     2,644,688    97,500   X                  ALG      97,500
FOX ENTERTAINMENT GROUP IN       COMMON   35138T107     1,017,188    37,500        X             ALG                37,500
FRONTIER CORP.                   COMMON   35906P105    70,316,563 1,355,500   X                  ALG   1,102,500   253,000
FRONTIER CORP.                   COMMON   35906P105     3,698,688    71,300        X             ALG                71,300
FURNITURE BRANDS INTERNATI       COMMON   360921100    12,626,738   570,700   X                  ALG     570,600       100
G&K SERVICES INC CL A            COMMON   361268105     9,205,169   199,300   X                  ALG     199,300
GAP INC                          COMMON   364760108     2,355,938    35,000   X                  ALG      35,000
GENERAL ELECTRIC CORP            COMMON   369604103     6,438,375    58,200   X                  ALG      54,900     3,300
GEOTEL COMMUNICATIONS CORP       COMMON   373656107     3,367,225    73,400   X                  ALG      73,400
GOLDEN STATE BANCORP INC         COMMON   381197102     4,924,459   221,324   X                  ALG     218,424     2,900
GUCCI GROUP NY                   COMMON   401566104    21,380,800   265,600   X                  ALG     263,200     2,400
HARLEY DAVIDSON INC.             COMMON   412822108    38,441,250   670,000   X                  ALG     665,400     4,600

                                                      -----------
   PAGE COLUMN TOTALS                                 558,296,757
</TABLE>


<PAGE>




                                     FORM 13F                       03/31/99
REPORTING MANAGER: FRED ALGER MANAGEMENT, INC.                      PAGE 7

<TABLE>
<CAPTION>

- ------------------------------------------------------------------------------------------------------------------------------------
ITEM 1                           ITEM 2    ITEM 3        ITEM 4     ITEM 5        ITEM 6         ITEM 7          ITEM 8     
NAME OF ISSUER                   TITLE     CUSIP          FAIR     SHARES OF  INVEST. DISCRETION  MGRS.     VOTING AUTHORITY
                                   OF      NUMBER        MARKET    PRINCIPAL           SHARED                                    
                                 CLASS                   VALUE      AMOUNT  SOLE SHARED OTHER          SOLE       SHARED    NONE
                                                                             (A)  (B)    (C)           (A)         (B)       (C)
- --------------------------------------------------------------------------------------------------------------------------------
<S>                              <C>      <C>          <C>          <C>       <C>  <C>   <C>     <C>  <C>         <C>       <C>
HOME DEPOT INC                   COMMON   437076102       224,100     3,600   X                           3,600
HOME DEPOT INC                   COMMON   437076102   220,100,438 3,535,750   X                  ALG  2,744,100   791,650
HOME DEPOT INC                   COMMON   437076102    10,632,300   170,800        X             ALG              170,800
HOME DEPOT INC                   COMMON   437076102     1,033,350    16,600   X                  ALG               16,600
HOOPER HOLMES INC                COMMON   439104100    15,725,000 1,006,400   X                  ALG  1,006,400
HOUSEHOLD INTERNATIONAL IN       COMMON   441815107    61,118,018 1,339,573   X                  ALG  1,339,573
IDEC PHARMACEUTICALS CORP        COMMON   449370105    24,300,375   473,000   X                  ALG    473,000
IMS HEALTH, INC                  COMMON   449934108   155,957,469 4,708,150   X                  ALG  3,965,300   742,850
IMS HEALTH, INC                  COMMON   449934108     7,032,438   212,300        X             ALG              212,300
IMS HEALTH, INC                  COMMON   449934108       533,313    16,100   X                  ALG               16,100
ITT EDUCATIONAL SERVICES I       COMMON   45068B109     1,126,875    30,000   X                  ALG     30,000
INFINITY BROADCASTING CORP       COMMON   45662S102     4,068,500   158,000   X                  ALG    158,000
INFINITY BROADCASTING CORP       COMMON   45662S102     1,660,875    64,500        X             ALG               64,500
INTEL CORP.                      COMMON   458140100   111,110,085   934,680   X                  ALG    706,305   228,375
INTEL CORP.                      COMMON   458140100     6,668,888    56,100        X             ALG               56,100
INTEL CORP.                      COMMON   458140100       594,375     5,000   X                                     5,000
INTL BUSINESS MACHINES CORP.     COMMON   459200101       221,563     1,250   X                  ALG     1,250
INTL BUSINESS MACHINES CORP.     COMMON   459200101    41,640,456   234,925   X                  ALG    234,875        50
INTL BUSINESS MACHINES CORP.     COMMON   459200101     3,367,750    19,000        X             ALG               19,000
INTUIT INC.                      COMMON   461202103    87,830,600   863,200   X                  ALG    859,500     3,700
IVILLAGE INC.                    COMMON   46588H105       502,500     5,000   X                  ALG      5,000
JACOR COMMUNICATIONS INC         COMMON   469858401    25,346,000   333,500   X                  ALG    322,600    10,900
JACOR COMMUNICATIONS INC         COMMON   469858401     3,830,400    50,400        X             ALG               50,400
JOHNSON & JOHNSON                COMMON   478160104       247,775     2,650   X                  ALG      1,250     1,400
KANSAS CITY SOUTHERN INDS.       COMMON   485170104   147,476,100 2,587,300   X                  ALG  2,465,300   122,000

                                                     ------------
   PAGE COLUMN TOTALS                                 932,349,541
</TABLE>



<PAGE>




                                     FORM 13F                       03/31/99
REPORTING MANAGER: FRED ALGER MANAGEMENT, INC.                      PAGE 8

<TABLE>
<CAPTION>

- ------------------------------------------------------------------------------------------------------------------------------------
ITEM 1                           ITEM 2    ITEM 3        ITEM 4     ITEM 5        ITEM 6         ITEM 7          ITEM 8     
NAME OF ISSUER                   TITLE     CUSIP          FAIR     SHARES OF  INVEST. DISCRETION  MGRS.     VOTING AUTHORITY
                                   OF      NUMBER        MARKET    PRINCIPAL           SHARED                                    
                                 CLASS                   VALUE      AMOUNT  SOLE SHARED OTHER          SOLE       SHARED    NONE
                                                                             (A)  (B)    (C)           (A)         (B)       (C)
- --------------------------------------------------------------------------------------------------------------------------------
<S>                              <C>      <C>          <C>          <C>       <C>  <C>   <C>     <C>  <C>         <C>       <C>
KANSAS CITY SOUTHERN INDS.       COMMON   485170104     1,653,000    29,000        X             ALG               29,000
KEYSTONE AUTOMOTIVE INDUST       COMMON   49338N109     1,698,125   104,500   X                  ALG    104,500
KROGER CO.                       COMMON   501044101   103,242,463 1,724,300   x                  ALG  1,351,900   372,400
KROGER CO.                       COMMON   501044101     1,987,850    33,200        X             ALG               33,200
KROGER CO.                       COMMON   501044101       538,875     9,000   X                  CM                 9,000
L-3 COMMUNICATIONS HOLDING       COMMON   502424104    10,730,000   232,000   X                  ALG    232,000
LASON INC                        COMMON   51808R107     5,956,875   105,900   X                  ALG    105,900
LATTICE SEMICONDUCTOR CORP       COMMON   518415104     5,358,150   117,600   X                  ALG    117,600
ELI LILLY& CO                    COMMON   532457108    68,460,175   806,600   X                  ALG    805,200     1,400
LINEAR TECHNOLOGY CORP.          COMMON   535678106    78,274,125 1,527,300   X                  ALG  1,519,700     7,600
LINEAR TECHNOLOGY CORP.          COMMON   535678106     3,813,000    74,400        X             ALG               74,400
LINENS N THINGS INC.             COMMON   535679104    38,065,088   838,900   X                  ALG    838,900
MCI WORLD COM INC                COMMON   55268B106       292,256     3,300   X                           3,300
MCI WORLD COM INC                COMMON   55268B106   232,069,618 2,620,405   X                  ALG  1,984,505   635,900
MCI WORLD COM INC                COMMON   55268B106     9,369,913   105,800        X             ALG              105,800
MCI WORLD COM INC                COMMON   55268B106     1,239,875    14,000   X                  CM                14,000
MAXIM INTEGRATED PRODUCTS        COMMON   57772K101    15,739,550   290,800   X                  ALG    290,800
MEDIAONE GROUP INC               COMMON   58440J104       861,164    13,575   X                  ALG     13,575
MEDICAL MANAGER CORP             COMMON   58461C103     4,074,625   176,200   x                  ALG    176,200
MEDIMMUNE INC.                   COMMON   584699102    29,475,375   498,000   X                  ALG    498,000
MEDQUIST INC                     COMMON   584949101    38,475,000 1,282,500   X                  ALG  1,282,500
MEDTRONIC INC.                   COMMON   585055106    27,086,094   376,850   X                  ALG    182,250   194,600
MEDTRONIC INC.                   COMMON   585055106     3,773,438    52,500        X             ALG               52,500
MEDTRONIC INC.                   COMMON   585055106       309,063     4,300   X                  CM                 4,300
MELLON BANK CORP.                COMMON   585509102       844,500    12,000   X                  ALG     12,000

                                                      -----------
   PAGE COLUMN TOTALS                                 683,388,194

</TABLE>


<PAGE>






                                     FORM 13F                       03/31/99
REPORTING MANAGER: FRED ALGER MANAGEMENT, INC.                      PAGE 9

<TABLE>
<CAPTION>

- ------------------------------------------------------------------------------------------------------------------------------------
ITEM 1                           ITEM 2    ITEM 3        ITEM 4     ITEM 5        ITEM 6         ITEM 7          ITEM 8     
NAME OF ISSUER                   TITLE     CUSIP          FAIR     SHARES OF  INVEST. DISCRETION  MGRS.     VOTING AUTHORITY
                                   OF      NUMBER        MARKET    PRINCIPAL           SHARED                                    
                                 CLASS                   VALUE      AMOUNT  SOLE SHARED OTHER           SOLE      SHARED    NONE
                                                                             (A)  (B)    (C)             (A)       (B)       (C)
- --------------------------------------------------------------------------------------------------------------------------------
<S>                              <C>      <C>          <C>          <C>       <C>  <C>   <C>     <C>  <C>         <C>       <C>
MENS WEARHOUSE INC               COMMON  587118100      10,623,113    367,900  X                 ALG    367,900
MERCK & CO INC                   COMMON  589331107     120,676,263  1,506,100  X                 ALG  1,075,700   430,400
MERCK & CO INC                   COMMON  589331107         801,250     10,000  X                 CM                10,000
METTLER-TOLEDO INTERNATION       COMMON  592688105      17,560,125    709,500  X                 ALG    709,500
FRED MEYER INC.-DEL              COMMON  592907109      95,177,619  1,616,605  X                 ALG  1,425,305   191,300
FRED MEYER INC.-DEL              COMMON  592907109       4,215,450     71,600      X             ALG               71,600
MICROSOFT CORP                   COMMON  594918104     296,319,071  3,306,210  X                 ALG  2,656,810   649,400
MICROSOFT CORP                   COMMON  594918104      18,444,825    205,800      X             ALG              205,800
MICROSOFT CORP                   COMMON  594918104       1,272,675     14,200  X                 CM                14,200
MICROCHIP TECHNOLOGIES INC       COMMON  595017104      26,467,350    764,400  X                 ALG    753,400    11,000
MICRON TECHNOLOGY INC.           COMMON  595112103      64,205,025  1,332,400  X                 ALG    964,500   367,900
MICRON TECHNOLOGY INC.           COMMON  595112103       3,132,188     65,000      X             ALG               65,000
MICRON TECHNOLOGY INC.           COMMON  595112103         409,594      8,500  X                 CM                 8,500
MIDAS INC                        COMMON  595626102       8,443,875    253,000  X                 ALG    253,000
MONSANTO CO                      COMMON  611662107      30,631,125    666,800  X                 ALG    666,800
MORGAN STANLEY, DEAN WITTER      COMMON  617446448         208,769      2,089  X                          2,089
MORGAN STANLEY, DEAN WITTER      COMMON  617446448     208,467,926  2,085,983  X                 ALG  1,680,983   405,000
MORGAN STANLEY, DEAN WITTER      COMMON  617446448      10,383,506    103,900      X             ALG              103,900
MORGAN STANLEY, DEAN WITTER      COMMON  617446448         849,469      8,500  X                 CM                 8,500
MOTOROLA INC                     COMMON  620076109      80,303,975  1,096,300  X                 ALG  1,005,800    90,500
MOTOROLA INC                     COMMON  620076109       3,047,200     41,600      X             ALG               41,600
MOVADO GROUP INC                 COMMON  624580106       2,292,500     91,700  X                 ALG     91,700
NATIONAL COMMERCE BANCORP        COMMON  635449101       7,468,813    327,400  X                 ALG    327,400
NEXTEL COMMUNICATIONS INC-       COMMON  65332V103      25,252,938    689,500  X                 ALG    689,500
NIKE INC CL B                    COMMON  654106103       1,442,188     25,000  X                 ALG     25,000

                                                      -----------
   PAGE COLUMN TOTALS                                1,038,096,830


</TABLE>





<PAGE>





                                     FORM 13F                       03/31/99
REPORTING MANAGER: FRED ALGER MANAGEMENT, INC.                      PAGE 10

<TABLE>
<CAPTION>

- ------------------------------------------------------------------------------------------------------------------------------------
ITEM 1                           ITEM 2    ITEM 3        ITEM 4     ITEM 5        ITEM 6         ITEM 7          ITEM 8     
NAME OF ISSUER                   TITLE     CUSIP          FAIR     SHARES OF  INVEST. DISCRETION  MGRS.     VOTING AUTHORITY
                                   OF      NUMBER        MARKET    PRINCIPAL           SHARED                                    
                                 CLASS                   VALUE      AMOUNT  SOLE SHARED OTHER          SOLE       SHARED    NONE
                                                                             (A)  (B)    (C)           (A)         (B)       (C)
- --------------------------------------------------------------------------------------------------------------------------------
<S>                              <C>      <C>          <C>          <C>       <C>  <C>    <C>    <C>  <C>         <C>       <C>
99 CENTS ONLY STORES             COMMON   65440K106      7,129,500    168,000  X                 ALG    168,000
NOKIA CORP-SPONSORED ADR         COMMON   654902204     26,602,100    170,800  X                 ALG     83,200    87,600
NOKIA CORP-SPONSORED ADR         COMMON   654902204      3,815,875     24,500      X             ALG               24,500
NOKIA CORP-SPONSORED ADR         COMMON   654902204        295,925      1,900  X                 CM                 1,900
NOBLE METAL GROUP INC.           COMMON   65506F108          3,000     30,000  X                 ALG     30,000
NORTH FORK BANCORPORATION        COMMON   659424105     10,282,594    486,750  X                 ALG    486,750
NVIDIA CORP.                     COMMON   67066G104      4,489,063    212,500  X                 ALG    212,500
NVIDIA CORP.                     COMMON   67066G104      1,590,713     75,300      X             ALG               75,300
OFFICE DEPOT INC.                COMMON   676220106    129,106,963  3,448,600  X                 ALG  3,082,200   366,400
OFFICE DEPOT INC.                COMMON   676220106      3,796,163    101,400      X             ALG              101,400
OFFICE DEPOT INC.                COMMON   676220106        292,013      7,800  X                 CM                 7,800
ONEMAIN.COM INC                  COMMON   68267P109      1,160,000     32,000  X                 ALG     32,000
OUTBACK STEAKHOUSE INC.          COMMON   689899102     58,627,314  1,790,147  X                 ALG  1,778,747    11,400
OUTDOOR SYSTEMS INC              COMMON   690057104     28,661,250    955,375  X                 ALG    955,375
OUTDOOR SYSTEMS INC              COMMON   690057104      2,523,000     84,100      X             ALG               84,100
PRI AUTOMATION INC               COMMON   69357H106      4,979,100    237,100  X                 ALG    237,100
PACIFIC SUNWEAR OF CALI IN       COMMON   694873100      5,507,875    158,500  X                 ALG    158,500
PAINE WEBBER GROUP INC           COMMON   695629105     54,414,382  1,364,624  X                 ALG    767,999   596,625
PAINE WEBBER GROUP INC           COMMON   695629105      2,244,963     56,300      X             ALG               56,300
PAINE WEBBER GROUP INC           COMMON   695629105        510,400     12,800  X                 CM                12,800
PAIRGAIN TECHNOLOGIES INC.       COMMON   695934109      5,850,000    600,000  X                 ALG    600,000  
PALM HARBOR HOMES INC            COMMON   696639103      4,408,453    202,688  X                 ALG    202,688
PAPA JOHNS INTERNATIONAL I       COMMON   698813102      5,515,625    125,000  X                 ALG    125,000
PAYMENTECH INC.                  COMMON   704384106     11,132,100    471,200  X                 ALG    471,200
PERCLOSE INC                     COMMON   71361C107      4,588,000    148,000  X                 ALG    148,000


                                                      -----------
   PAGE COLUMN TOTALS                                  377,526,368


</TABLE>



<PAGE>




                                     FORM 13F                       03/31/99
REPORTING MANAGER: FRED ALGER MANAGEMENT, INC.                      PAGE 11

<TABLE>
<CAPTION>

- ------------------------------------------------------------------------------------------------------------------------------------
ITEM 1                           ITEM 2    ITEM 3        ITEM 4     ITEM 5        ITEM 6         ITEM 7          ITEM 8     
NAME OF ISSUER                   TITLE     CUSIP          FAIR     SHARES OF  INVEST. DISCRETION  MGRS.     VOTING AUTHORITY
                                   OF      NUMBER        MARKET    PRINCIPAL           SHARED                                    
                                 CLASS                   VALUE      AMOUNT  SOLE SHARED OTHER          SOLE       SHARED    NONE
                                                                             (A)  (B)    (C)           (A)         (B)       (C)
- --------------------------------------------------------------------------------------------------------------------------------
<S>                              <C>      <C>          <C>          <C>       <C>  <C>    <C>    <C>  <C>         <C>       <C>
PFIZER INC                       COMMON  717081103        346,875       2,500  X                          2,500
PFIZER INC                       COMMON  717081103    208,729,950   1,504,360  X                 ALG  1,202,060   302,300
PFIZER INC                       COMMON  717081103     11,474,625      82,700      X             ALG               82,700
PFIZER INC                       COMMON  717081103        860,250       6,200  X                 CM                 6,200
PITTWAY CORP-DEL-CL A            COMMON  725790208     13,223,500     499,000  X                 ALG    499,000
PLAYTEX PRODUCTS INC             COMMON  72813P100      5,327,025     352,200  X                 ALG    352,200
PRICELINE COM INC                COMMON  741503106        828,750      10,000  X                 ALG     10,000
Q CARS TECHNOLOGY                COMMON  74726B103            N/A      16,000  X                 ALG     16,000
QRS CORP.                        COMMON  74726X105     25,725,700     411,200  X                 ALG    411,200
QUANTA SERVICES INC.             COMMON  74762E102      7,486,256     294,300  X                 ALG    294,300
QUANTUM CORP                     COMMON  747906105     18,684,000   1,038,000  X                 ALG  1,023,000    15,000
QWEST COMMUNICATIONS             COMMON  749121109     42,382,143     587,875  X                 ALG    390,575   197,300
QWEST COMMUNICATIONS             COMMON  749121109      3,784,925      52,500      X             ALG               52,500
RAMBUS INC.-DEL                  COMMON  750917106     46,723,375     725,800  X                 ALG    582,300   143,500
RAMBUS INC.-DEL                  COMMON  750917106      2,645,813      41,100      X             ALG               41,100
REGIS CORP-MINN                  COMMON  758932107      7,994,156     300,250  X                 ALG    300,250
RENT A CENTER INC.-NEW           COMMON  76009N100      7,270,875     252,900  X                 ALG    252,900
RENT WAY INC.                    COMMON  76009U104     14,959,200     623,300  X                 ALG    623,300
ROYAL DUTCH PETROLEUM CO.        COMMON  780257804        291,200       5,600  X                 ALG      1,600     4,000
SAFEWAY INC                      COMMON  786514208     92,688,848   1,806,360  X                 ALG  1,452,060   354,300
SAFEWAY INC                      COMMON  786514208      3,340,444      65,100      X             ALG               65,100
SAFEWAY INC                      COMMON  786514208        400,238       7,800  X                 CM                 7,800
SANMINA CORP                     COMMON  800907107     64,569,188   1,012,850  X                 ALG  1,002,750    10,100
SANMINA CORP                     COMMON  800907107      1,275,000      20,000      X             ALG               20,000
SCHERING PLOUGH CORP             COMMON  806605101        240,338       4,350  X                          4,350

                                                      -----------
   PAGE COLUMN TOTALS                                 581,252,671


</TABLE>


<PAGE>



                                     FORM 13F                       03/31/99
REPORTING MANAGER: FRED ALGER MANAGEMENT, INC.                      PAGE 12

<TABLE>
<CAPTION>

- ------------------------------------------------------------------------------------------------------------------------------------
ITEM 1                           ITEM 2    ITEM 3        ITEM 4     ITEM 5        ITEM 6         ITEM 7          ITEM 8     
NAME OF ISSUER                   TITLE     CUSIP          FAIR     SHARES OF  INVEST. DISCRETION  MGRS.     VOTING AUTHORITY
                                   OF      NUMBER        MARKET    PRINCIPAL           SHARED                                    
                                 CLASS                   VALUE      AMOUNT  SOLE SHARED OTHER          SOLE       SHARED    NONE
                                                                             (A)  (B)    (C)           (A)         (B)       (C)
- --------------------------------------------------------------------------------------------------------------------------------
<S>                              <C>      <C>          <C>          <C>       <C>  <C>    <C>    <C>  <C>         <C>       <C>
SCHERING PLOUGH CORP             COMMON  806605101     104,787,150  1,896,600  X                 ALG  1,360,350   536,250
SCHERING PLOUGH CORP             COMMON  806605101       6,077,500    110,000      X             ALG              110,000
SCHERING PLOUGH CORP             COMMON  806605101         563,550     10,200  X                 CM                10,200
SCHOOL SPECIALTY INC.            COMMON  807863105       5,180,150    264,800  X                 ALG    264,800
CHARLES SCHWAB CORP              COMMON  808513105         281,166      2,925  X                          2,925
CHARLES SCHWAB CORP              COMMON  808513105       5,493,448     57,149  X                 ALG     54,224     2,925
SIEBEL SYSTEMS INC.              COMMON  826170102      26,125,000    550,000  X                 ALG    545,800     4,200
SKYWEST INC.                     COMMON  830879102      22,707,300    786,400  X                 ALG    786,400
SMITHKLINE BEECHAM PLC A A       COMMON  832378301      23,387,650    327,100  X                 ALG    327,100
SOUTHWEST AIRLINES CO.           COMMON  844741108      20,560,925    679,700  X                 ALG    677,600     2,100
SOVEREIGN BANCORP INC.           COMMON  845905108      12,499,410  1,020,360  X                 ALG  1,020,360
SPECTRA FUND                     COMMON  847561107         258,554      8,888  X                 ALG      8,888
SPEEDWAY MOTORSPORTS INC         COMMON  847788106       8,868,750    215,000  X                 ALG    215,000
STAPLES INC                      COMMON  855030102      82,085,752  2,496,905  X                 ALG  2,091,175   405,730
STAPLES INC                      COMMON  855030102       3,719,806    113,150      X             ALG              113,150
STAPLES INC                      COMMON  855030102         315,600      9,600  X                 CM                 9,600
STARBUCKS CORP.                  COMMON  855244109      42,778,475  1,524,400  X                 ALG  1,516,600     7,800
STATE STREET CORP                COMMON  857477103         781,375      9,500  X                 ALG      9,500
STILLWATER MINING CO.            COMMON  86074Q102       2,861,688    108,500  X                 ALG    108,500
STRIDE RITE CORP.                COMMON  863314100       4,814,250    393,000  X                 ALG    393,000
SUN MICROSYSTEMS INC             COMMON  866810104     164,832,375  1,318,000  X                 ALG  1,067,600   250,400
SUN MICROSYSTEMS INC             COMMON  866810104       7,628,813     61,000      X             ALG               61,000
SUN MICROSYSTEMS INC             COMMON  866810104         700,350      5,600  X                 CM                 5,600
SUNGLASS HUT INTERNATIONAL       COMMON  86736F106       3,276,000    312,000  X                 ALG    312,000
SYKES ENTERPRISES INC.           COMMON  871237103       6,882,563    213,000  X                 ALG    213,000

                                                      -----------
   PAGE COLUMN TOTALS                                 557,467,598

</TABLE>



<PAGE>



                                     FORM 13F                       03/31/99
REPORTING MANAGER: FRED ALGER MANAGEMENT, INC.                      PAGE 13

<TABLE>
<CAPTION>

- ------------------------------------------------------------------------------------------------------------------------------------
ITEM 1                           ITEM 2    ITEM 3        ITEM 4     ITEM 5        ITEM 6         ITEM 7          ITEM 8     
NAME OF ISSUER                   TITLE     CUSIP          FAIR     SHARES OF  INVEST. DISCRETION  MGRS.     VOTING AUTHORITY
                                   OF      NUMBER        MARKET    PRINCIPAL           SHARED                                    
                                 CLASS                   VALUE      AMOUNT  SOLE SHARED OTHER          SOLE       SHARED    NONE
                                                                             (A)  (B)    (C)           (A)         (B)       (C)
- --------------------------------------------------------------------------------------------------------------------------------
<S>                              <C>      <C>          <C>          <C>       <C>  <C>    <C>    <C>  <C>         <C>       <C>
TELLABS INC.                     COMMON  879664100         263,925      2,700  X                 ALG                2,700
TERADYNE INC.                    COMMON  880770102      74,543,288  1,366,200  X                 ALG  1,031,300   334,900
TERADYNE INC.                    COMMON  880770102       4,288,613     78,600      X             ALG               78,600
TERADYNE INC.                    COMMON  880770102         398,306      7,300  X                 CM                 7,300
TETRA TECH INC NEW               COMMON  88162G103       6,053,363    287,400  X                 ALG    287,400
TEXAS INSTRUMENTS INC.           COMMON  882508104         286,833      2,890  X                          2,890
TEXAS INSTRUMENTS INC.           COMMON  882508104     151,332,430  1,524,760  X                 ALG  1,114,040   410,720
TEXAS INSTRUMENTS INC.           COMMON  882508104      11,254,950    113,400      X             ALG              113,400
TEXAS INSTRUMENTS INC.           COMMON  882508104         893,250      9,000  X                 CM                 9,000
TIFFANY & CO-NEW                 COMMON  886547108       9,044,750    121,000  X                 ALG    121,000
TIME WARNER INC.                 COMMON  887315109       3,055,559     43,150  X                 ALG     40,750     2,400
TWEETYER HOME & ENTERTAINM       COMMON  901167106       3,966,750    123,000  X                 ALG    123,000
TYCO INTERNATIONAL LTD NEW       COMMON  902124106     187,128,161  2,608,058  X                 ALG  2,107,794   500,264
TYCO INTERNATIONAL LTD NEW       COMMON  902124106       9,742,359    135,782      X             ALG              135,782
TYCO INTERNATIONAL LTD NEW       COMMON  902124106         645,750      9,000  X                 CM                 9,000
US FOODSERVICE INC               COMMON  90331R101      20,032,200    430,800  X                 ALG    425,900     4,900
VALLEY MEDIA INC COM             COMMON  91972C106         568,750     25,000  X                 ALG     25,000
VANGUARD CELLULAR SYSTEMS        COMMON  922022108       1,911,875     70,000  X                 ALG     70,000
WAL-MART STORES INC              COMMON  931142103     182,599,930  1,980,745  X                 ALG  1,558,485   422,260
WAL-MART STORES INC              COMMON  931142103       8,969,844     97,300      X             ALG               97,300
WAL-MART STORES INC              COMMON  931142103         811,250      8,800  X                 CM                 8,800
WARNER LAMBERT CO.               COMMON  934488107     109,282,688  1,649,550  X                 ALG  1,379,450   270,100
WARNER LAMBERT CO.               COMMON  934488107       4,796,500     72,400      X             ALG               72,400
WARNER LAMBERT CO.               COMMON  934488107         390,875      5,900  X                 CM                 5,900
WASTE MANAGEMENT INC NEW         COMMON  94106L109     105,921,039  2,386,953  X                 ALG  2,059,637   327,316


                                                       -----------
   PAGE COLUMN TOTALS                                  898,183,236
</TABLE>




<PAGE>





                                     FORM 13F                       03/31/99
REPORTING MANAGER: FRED ALGER MANAGEMENT, INC.                      PAGE 14

<TABLE>
<CAPTION>

- ------------------------------------------------------------------------------------------------------------------------------------
ITEM 1                           ITEM 2    ITEM 3        ITEM 4     ITEM 5        ITEM 6         ITEM 7          ITEM 8     
NAME OF ISSUER                   TITLE     CUSIP          FAIR     SHARES OF  INVEST. DISCRETION  MGRS.     VOTING AUTHORITY
                                   OF      NUMBER        MARKET    PRINCIPAL           SHARED                                    
                                 CLASS                   VALUE      AMOUNT  SOLE SHARED OTHER          SOLE       SHARED    NONE
                                                                             (A)  (B)    (C)           (A)         (B)       (C)
- --------------------------------------------------------------------------------------------------------------------------------
<S>                              <C>      <C>          <C>          <C>       <C>  <C>    <C>    <C>  <C>         <C>       <C>
WELLS FARGO & CO NEW             COMMON  949746101         424,256     12,100  X                  ALG    12,100
WILLIAMS SONOMA INC.             COMMON  969904101      34,832,250  1,233,000  X                  ALG 1,227,300     5,700
WILMINGTON TRUST CORP.           COMMON  971807102       5,484,000     96,000  X                  ALG    96,000
WIND RIVER SYSTEMS INC           COMMON  973149107      15,667,875    879,600  X                  ALG   879,600
XILINX INC                       COMMON  983919101     143,327,594  3,533,500  X                  ALG 2,739,700   793,800
XILINX INC                       COMMON  983919101       8,445,113    208,200      X              ALG             208,200
XILINX INC                       COMMON  983919101         705,788     17,400  X                                   17,400
YAHOO INC.                       COMMON  984332106      93,436,339    554,930  X                  ALG   444,595   110,335
YAHOO INC.                       COMMON  984332106      12,594,450     74,800      X              ALG              74,800
YAHOO INC.                       COMMON  984332106         404,100      2,400  X                  ALG               2,400
YOUNG & RUBICAM INC.             COMMON  987425105      17,551,025    430,700  X                  ALG   428,700     2,000
YOUNG BROADCASTING INC.-         COMMON  987434107      13,541,500    296,800  X                  ALG   296,800
ZIFF DAVIS INC-ZDNET             COMMON  989511209         360,000     10,000  X                  ALG    10,000
E.I. DU PONT DE NEMOURS R        COMMON  9DD905100         326,200      5,600  X                  ALG     5,600
MICROSOFT CORP.                  COMMON  594918104         215,100      2,400  X                  ALG     2,400
WESTERN COPPER HOLDINGS LT       COMMON  95805J105          38,700     30,000  X                  ALG    30,000
TOMMY HILFIGER CORP              COMMON  G8915Z102       4,614,625     67,000  X                  ALG    66,100       900
ASM LITHOGRAPHY HOLDING NV       COMMON  N07059111      43,047,000    956,600  X                  ALG   802,900   153,700
ASM LITHOGRAPHY HOLDING NV       COMMON  N07059111       3,636,000     80,800      X              ALG              80,800

                                                      -----------
   PAGE COLUMN TOTALS                                 398,651,914

                                                    -------------
   AGGREGATE COLUMN TOTALS                          9,468,026,131

</TABLE>



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