Fred Alger Management Inc.
FORM 13F
FRED ALGER & CO., INC.
SEPTEMBER 30, 2000
<TABLE>
<CAPTION>
Voting Authority
--------------------------
Value Shares/ Sh/ Put/ Invstmt
Name of Issuer Title of class CUSIP (x$1000) Prn Amt Prn Call Dscretn Managers Sole Shared None
------------------------------ ---------------- --------- -------- ------- --- ---- ------- ---------- -------- -------- --------
<S> <C> <C> <C> <C> <C> <C> <C> <C> <C> <C>
D ABBOTT LABORATORIES Common 002824100 45907 965200 SH Sole 965200 965200
45907 965200 SH Defined FM 965200
45907 965200 SH Other FM 965200
D ACTEL CORP, Common 004934105 5046 140415 SH Sole 140415 140415
5046 140415 SH Defined FM 140415
5046 140415 SH Other FM 140415
D ACTIVE POWER INC Common 00504W100 16165 260726 SH Sole 260726 260726
16165 260726 SH Defined FM 260726
16165 260726 SH Other FM 260726
D ACTUATE CORPORATION Common 00508B102 25421 735830 SH Sole 735830 735830
25421 735830 SH Defined FM 735830
25421 735830 SH Other FM 735830
D ADVANCED FIBRE COMM INC Common 00754A105 6196 163600 SH Sole 163600 163600
6196 163600 SH Defined FM 163600
6196 163600 SH Other FM 163600
D ADVANCED PARADIGM INC Common 007491103 4873 115500 SH Sole 115500 115500
4873 115500 SH Defined FM 115500
4873 115500 SH Other FM 115500
D AFFILIATED MANAGERS GROUP INC Common 008252108 20899 367043 SH Sole 367043 367043
20899 367043 SH Defined FM 367043
20899 367043 SH Other FM 367043
D AGILE SOFTWARE CORP Common 00846X105 18446 205100 SH Sole 205100 205100
18446 205100 SH Defined FM 205100
18446 205100 SH Other FM 205100
D AKAMAI TECHNOLOGIES INC Common 00971T101 4839 92150 SH Sole 92150 92150
4839 92150 SH Defined FM 92150
4839 92150 SH Other FM 92150
D ALEXION PHARMACEUTICALS INC Common 015351109 11653 102215 SH Sole 102215 102215
11653 102215 SH Defined FM 102215
11653 102215 SH Other FM 102215
D ALLERGAN INC. Common 018490102 14976 177360 SH Sole 177360 177360
14976 177360 SH Defined FM 177360
14976 177360 SH Other FM 177360
D ALPHARMA INC-CL A Common 020813101 23688 387536 SH Sole 387536 387536
23688 387536 SH Defined FM 387536
23688 387536 SH Other FM 387536
D ALTERA CORP Common 021441100 355510 7445239 SH Sole 7445239 7445239
355510 7445239 SH Defined FM 7445239
355510 7445239 SH Other FM 7445239
D ALZA CORP-CL A Common 022615108 146371 1692150 SH Sole 1692150 1692150
146371 1692150 SH Defined FM 1692150
146371 1692150 SH Other FM 1692150
D AMDOCS LIMITED Common G02602103 93979 1506680 SH Sole 1506680 1506680
93979 1506680 SH Defined FM 1506680
93979 1506680 SH Other FM 1506680
D AMERICA ONLINE INC. Common 02364J104 276367 5141705 SH Sole 5141705 5141705
276367 5141705 SH Defined FM 5141705
276367 5141705 SH Other FM 5141705
D AMERICAN ELECTRIC POWER CO INC Common 025537101 l1ll 28400 SH Sole 28400 28400
1111 28400 SH Defined FM 28400
1111 28400 SH Other FM 28400
D AMERICAN EXPRESS COMPANY Common 025816109 105566 1737720 SH Sole 1737720 1737720
105566 1737720 SH Defined FM 1737720
105566 1737720 SH Other FM 1737720
D AMERICAN HOME PRODUCTS CORP Common 026609107 311748 5511565 SH Sole 5511565 5511565
</TABLE>
1
<PAGE>
Fred Alger Management Inc.
FORM 13F
FRED ALGER & CO., INC.
SEPTEMBER 30, 2000
<TABLE>
<CAPTION>
Voting Authority
--------------------------
Value Shares/ Sh/ Put/ Invstmt
Name of Issuer Title of class CUSIP (x$1000) Prn Amt Prn Call Dscretn Managers Sole Shared None
------------------------------ --------------- --------- -------- ------- --- ---- ------- ---------- -------- -------- --------
<S> <C> <C> <C> <C> <C> <C> <C> <C> <C> <C>
311748 5511565 SH Defined FM 5511565
311748 5511565 SH Other FM 5511565
D AMERICAN INTERNATIONAL GROUP Common 026874107 127220 1329540 SH Sole 1329540 1329540
127220 1329540 SH Defined FM 1329540
127220 1329540 SH Other FM 1329540
D AMERISOURCE HEALTH CORP-CL A Common 03071P102 71342 1517910 SH Sole 1517910 1517910
71342 1517910 SH Defined FM 1517910
71342 1517910 SH Other FM 1517910
D AMGEN INC Common 031162100 508276 7278965 SH Sole 7278965 7278965
508276 7278965 SH Defined FM 7278965
508276 7278965 SH Other FM 7278965
D ANESTA CORP Common 034603100 15845 688900 SH Sole 688900 688900
15845 688900 SH Defined FM 688900
15845 688900 SH Other FM 688900
D APPLIED MATERIALS INC Common 038222105 272040 4586555 SH Sole 4586555 4586555
272040 4586555 SH Defined FM 4586555
272040 4586555 SH Other FM 4586555
D APPLIED MICRO CIRCUITS CORP. Common 03822W109 12049 58190 SH Sole 58190 58190
12049 58190 SH Defined FM 58190
12049 58190 SH Other FM 58190
D ARENA PHARMACEUTICALS INC Common 040047102 271 6300 SH Sole 6300 6300
271 6300 SH Defined FM 6300
271 6300 SH Other FM 6300
D ARIBA INC Common 04033V104 262532 1832485 SH Sole 1832485 1832485
262532 1832485 SH Defined FM 1832485
262532 1832485 SH Other FM 1832485
D ARM HOLDINGS PLS SPONSORED ADR Common 042068106 487 14800 SH Sole 14800 14800
487 14800 SH Defined FM 14800
487 14800 SH Other FM 14800
D ARTESYN TECHNOLOGIES INC. Common 043127109 7480 256835 SH Sole 256835 256835
7480 256835 SH Defined FM 256835
7480 256835 SH Other FM 256835
D ASIAINFO HOLDINGS INC Common 04518A104 833 44000 SH Sole 44000 44000
833 44000 SH Defined FM 44000
833 44000 SH Other FM 44000
D ASM LITHOGRAPHY HOLDING NV Common N07059111 14998 464140 SH Sole 464140 464140
14998 464140 SH Defined FM 464140
14998 464140 SH Other FM 464140
D ASPEN TECHNOLOGY INC Common 045327103 13641 302300 SH Sole 302300 302300
13641 302300 SH Defined FM 302300
13641 302300 SH Other FM 302300
D AT&T CORP LIBERTY MEDIA GROUP Common 001957208 149229 8290500 SH Sole 8290500 8290500
149229 8290500 SH Defined FM 8290500
149229 8290500 SH Other FM 8290500
D AT&T CORP. Common 001957109 420 14302 SH Sole 14302 14302
420 14302 SH Defined FM 14302
420 14302 SH Other FM 14302
D ATMI INC Common 00207R101 10409 445300 SH Sole 445300 445300
10409 445300 SH Defined FM 445300
10409 445300 SH Other FM 445300
D AUDIOCODES LTD ORD Common M15342104 451 5300 SH Sole 5300 5300
451 5300 SH Defined FM 5300
451 5300 SH Other FM 5300
D AURORA BIOSCIENCES CORP. Common 051920106 38629 568080 SH Sole 568080 568080
38629 568080 SH Defined FM 568080
</TABLE>
2
<PAGE>
Fred Alger Management Inc.
FORM 13F
FRED ALGER & CO., INC.
SEPTEMBER 30, 2000
<TABLE>
<CAPTION>
Voting Authority
--------------------------
Value Shares/ Sh/ Put/ Invstmt
Name of Issuer Title of class CUSIP (x$1000) Prn Amt Prn Call Dscretn Managers Sole Shared None
------------------------------ ---------------- --------- -------- ------- --- ---- ------- ---------- -------- -------- --------
<S> <C> <C> <C> <C> <C> <C> <C> <C> <C> <C>
38629 568080 SH Other FM 568080
D AVANTGO INC Common 05349M100 1500 75000 SH Sole 75000 75000
1500 75000 SH Defined FM 75000
1500 75000 SH Other FM 75000
D AVIRON Common 053762100 7395 126820 SH Sole 126820 126820
7395 126820 SH Defined FM 126820
7395 126820 SH Other FM 126820
D AVOCENT CORP Common 053893103 16407 297625 SH Sole 297625 297625
16407 297625 SH Defined FM 297625
16407 297625 SH Other FM 297625
D B.J. SERVICES CO. Common 055482103 103125 1687115 SH Sole 1687115 1687115
103125 1687115 SH Defined FM 1687115
103125 1687115 SH Other FM 1687115
D BAXTER INTERNATIONAL INC Common 071813109 149811 1877035 SH Sole 1877035 1877035
149811 1877035 SH Defined FM 1877035
149811 1877035 SH Other FM 1877035
D BEA SYSTEMS INC Common 073325102 178892 2297170 SH Sole 2297170 2297170
178892 2297170 SH Defined FM 2297170
178892 2297170 SH Other FM 2297170
D BENCHMARK ELECTRONICS Common 08160H101 18111 348290 SH Sole 348290 342890
18111 348290 SH Defined FM 348290
18111 348290 SH Other FM 348290
D BEST BUY COMPANY INC. Common 086516101 143337 2252835 SH Sole 2252835 2252835
143337 2252835 SH Defined FM 2252835
143337 2252835 SH Other FM 2252835
D BINDLEY WESTERN INDUSTRY INC Common 090324104 15690 490300 SH Sole 490300 490300
15690 490300 SH Defined FM 490300
15690 490300 SH Other FM 490300
D BISYS GROUP INC. Common 055472104 35918 464585 SH Sole 464585 464585
35918 464585 SH Defined FM 464585
35918 464585 SH Other FM 464585
D BLACKROCK INC. Common 09247X101 20096 628011 SH Sole 628011 628011
20096 628011 SH Defined FM 628011
20096 628011 SH Other FM 628011
D BOOKHAM TECHNOLOGY PLC SPONSOR Common 09856Q108 1085 25300 SH Sole 25300 25300
1085 25300 SH Defined FM 25300
1085 25300 SH Other FM 25300
D BROADCOM CORP. Common 111320107 156107 640440 SH Sole 640440 640440
156107 640440 SH Defined FM 640440
156107 640440 SH Other FM 640440
D BROADWING INC Common 111620100 3834 150000 SH Sole 150000 150000
3834 150000 SH Defined FM 150000
3834 150000 SH Other FM 150000
D BROCADE COMMUNICATIONS SYS INC Common 111621108 5354 22685 SH Sole 22685 22685
5354 22685 SH Defined FM 22685
5354 22685 SH Other FM 22685
D BUSINESS OBJECTS SA SPONSORED Common 12328X107 11419 101000 SH Sole 101000 101000
11419 101000 SH Defined FM 101000
11419 101000 SH Other FM 101000
D CALIFORNIA PIZZA KITCEHN INC. Common 13054D109 6208 221730 SH Sole 221730 221730
6208 221730 SH Defined FM 221730
6208 221730 SH Other FM 221730
D CALPINE CORP. Common 131347106 228866 2192725 SH Sole 2192725 2192725
228866 2192725 SH Defined FM 2192725
228866 2192725 SH Other FM 2192725
</TABLE>
3
<PAGE>
Fred Alger Management Inc.
FORM 13F
FRED ALGER & CO., INC.
SEPTEMBER 30, 2000
<TABLE>
<CAPTION>
Voting Authority
---------------------
Title of Value Shares/ Sh/ Put/ Invstmt
Name of Issuer Class CUSIP (x$1000) Prn Amt Prn Call Dscretn Managers Sole Shared None
-------------------------------- -------- ----- -------- ----------- ---- ------- -------- ---- ------ ----
<S> <C> <C> <C> <C> <C> <C> <C> <C> <C> <C>
D CARBO CERAMICS INC Common 140781105 5153 194000 SH Sole 194000 194000
5153 194000 SH Defined FM 194000
5153 194000 SH Other FM 194000
D CARDINAL HEALTH INC. Common 14149Y108 213702 2423268 SH Sole 2423268 2423268
213702 2423268 SH Defined FM 2423268
213702 2423268 SH Other FM 2423268
D CASTLE CONVERTIBLE FUND INC Common 148443104 10379 448826 SH Sole 448826 448826
10379 448826 SH Defined FM 448826
10379 448826 SH Other FM 448826
D CELESTICA INC SUBORD VTG SHS Common 15101Q108 623 9000 SH Sole 9000 9000
623 9000 SH Defined FM 9000
623 9000 SH Other FM 9000
D CELGENE CORP Common 151020104 53085 892180 SH Sole 892180 892180
53085 892180 SH Defined FM 892180
53085 892180 SH Other FM 892180
D CELL PATHWAYS INC - NEW Common 15114R101 931 114625 SH Sole 114625 114625
931 114625 SH Defined FM 114625
931 114625 SH Other FM 114625
D CELL THERAPEUTICS INC - NEW Common 150934107 5448 81700 SH Sole 81700 81700
5448 81700 SH Defined FM 81700
5448 81700 SH Other FM 81700
D CEPHALON INC Common 156708109 38738 798730 SH Sole 798730 798730
38738 798730 SH Defined FM 798730
38738 798730 SH Other FM 798730
D CERAGON NETWORKS LTD. Common M22013102 8131 302565 SH Sole 302565 302565
8131 302565 SH Defined FM 302565
8131 302565 SH Other FM 302565
D CHARLES RIVER LABORATORIES INT Common 159864107 10767 316690 SH Sole 316690 316690
10767 316690 SH Defined FM 316690
10767 316690 SH Other FM 316690
D CHARLES SCHWAB CORP Common 808513105 115693 3258961 SH Sole 3258961 3258961
115693 3258961 SH Defined FM 3258961
115693 3258961 SH Other FM 3258961
D CHARTERED SEMICONDUCTOR MFG LT Common 16133R106 1197 19725 SH Sole 19725 19725
1197 19725 SH Defined FM 19725
1197 19725 SH Other FM 19725
D CHASE MANHATTAN CORP. NEW Common 16161A108 87485 1894130 SH Sole 1894130 1894130
87485 1894130 SH Defined FM 1894130
87485 1894130 SH Other FM 1894130
D CHECK POINT SOFTWARE TECHNOLOG Common M22465104 1197 7600 SH Sole 7600 7600
1197 7600 SH Defined FM 7600
1197 7600 SH Other FM 7600
D CHEESECAKE FACTORY INC Common 163072101 12459 288075 SH Sole 288075 288075
12459 288075 SH Defined FM 288075
12459 288075 SH Other FM 288075
D CHINA MOBILE HONG KONG LTD SPO Common 16941M109 1356 41800 SH Sole 41800 41800
1356 41800 SH Defined FM 41800
1356 41800 SH Other FM 41800
D CHUBB CORP. Common 171232101 5475 69200 SH Sole 69200 69200
5475 69200 SH Defined FM 69200
5475 69200 SH Other FM 69200
D CIENA CORPORATION Common 171779101 19797 161200 SH Sole 161200 161200
19797 161200 SH Defined FM 161200
19797 161200 SH Other FM 161200
D CIPHERGEN BIOSYSTEMS INC Common 17252Y104 1600 50000 SH Sole 50000 50000
</TABLE>
4
<PAGE>
Fred Alger Management Inc.
FORM 13F
FRED ALGER & CO., INC.
SEPTEMBER 30, 2000
<TABLE>
<CAPTION>
Voting Authority
---------------------
Title of Value Shares/ Sh/ Put/ Invstmt
Name of Issuer Class CUSIP (x$1000) Prn Amt Prn Call Dscretn Managers Sole Shared None
-------------------------------- -------- ----- -------- ----------- ---- ------- -------- ---- ------ ----
<S> <C> <C> <C> <C> <C> <C> <C> <C> <C> <C>
1600 50000 SH Defined FM 50000
1600 50000 SH Other FM 50000
D CISCO SYSTEMS INC Common 17275R102 551057 9973890 SH Sole 9973890 9973890
551057 9973890 SH Defined FM 9973890
551057 9973890 SH Other FM 9973890
D CITIGROUP INC. Common 172967101 522693 9668303 SH Sole 9668303 9668303
522693 9668303 SH Defined FM 9668303
522693 9668303 SH Other FM 9668303
D CLEAR CHANNEL COMMUNICATIONS Common 184502102 754 13354 SH Sole 13354 13354
754 13354 SH Defined FM 13354
754 13354 SH Other FM 13354
D CLICK COMMERCE INC Common 18681D109 2185 51110 SH Sole 51110 51110
2185 51110 SH Defined FM 51110
2185 51110 SH Other FM 51110
D CNET NETWORKS INC. Common 12613R104 75459 3097750 SH Sole 3097750 3097750
75459 3097750 SH Defined FM 3097750
75459 3097750 SH Other FM 3097750
D COBALT NETWORKS INC COM Common 19074R101 32653 564200 SH Sole 564200 564200
32653 564200 SH Defined FM 564200
32653 564200 SH Other FM 564200
D COCA COLA CO. Common 191216100 90856 1648182 SH Sole 1648182 1648182
90856 1648182 SH Defined FM 1648182
90856 1648182 SH Other FM 1648182
D COLLATERAL THERAPEUTICS INC Common 193921103 1739 60100 SH Sole 60100 60100
1739 60100 SH Defined FM 60100
1739 60100 SH Other FM 60100
D COMCAST CORP-SPECIAL CL A Common 200300200 139743 3413575 SH Sole 3413575 3413575
139743 3413575 SH Defined FM 3413575
139743 3413575 SH Other FM 3413575
D COMMERCE ONE INC Common 200693109 146910 1871463 SH Sole 1871463 1871463
146910 1871463 SH Defined FM 1871463
146910 1871463 SH Other FM 1871463
D CONCORD EFS INC. Common 206197105 14425 406150 SH Sole 406150 406150
14425 406150 SH Defined FM 406150
14425 406150 SH Other FM 406150
D CONTINENTAL AIRLINES INC-CL B Common 210795308 9877 217365 SH Sole 217365 217365
9877 217365 SH Defined FM 217365
9877 217365 SH Other FM 217365
D COOPER CAMERON CORP. Common 216640102 79789 1082800 SH Sole 1082800 1082800
79789 1082800 SH Defined FM 1082800
79789 1082800 SH Other FM 1082800
D COR THERAPEUTICS INC Common 217753102 11453 183800 SH Sole 183800 183800
11453 183800 SH Defined FM 183800
11453 183800 SH Other FM 183800
D CORNING INC Common 219350105 487209 1640433 SH Sole 1640433 1640433
487209 1640433 SH Defined FM 1640433
487209 1640433 SH Other FM 1640433
D CORVIS CORP. Common 221009103 6535 107050 SH Sole 107050 107050
6535 107050 SH Defined FM 107050
6535 107050 SH Other FM 107050
D COSINE COMMUNICATIONS INC Common 221222102 278 5000 SH Sole 5000 5000
278 5000 SH Defined FM 5000
278 5000 SH Other FM 5000
D CREE INC Common 225447101 18786 161600 SH Sole 161600 161600
18786 161600 SH Defined FM 161600
</TABLE>
5
<PAGE>
Fred Alger Management Inc.
FORM 13F
FRED ALGER & CO., INC.
SEPTEMBER 30, 2000
<TABLE>
<CAPTION>
Voting Authority
---------------------
Title of Value Shares/ Sh/ Put/ Invstmt
Name of Issuer Class CUSIP (x$1000) Prn Amt Prn Call Dscretn Managers Sole Shared None
-------------------------------- -------- ----- -------- ----------- ---- ------- -------- ---- ------ ----
<S> <C> <C> <C> <C> <C> <C> <C> <C> <C> <C>
18786 161600 SH Other FM 161600
D CROSSWAVE COMMUNICATIONS INC A Common 227686102 533 52000 SH Sole 52000 52000
533 52000 SH Defined FM 52000
533 52000 SH Other FM 52000
D CUBIST PHARMACEUTICALS INC Common 229678107 7894 151625 SH Sole 151625 151625
7894 151625 SH Defined FM 151625
7894 151625 SH Other FM 151625
D CYTYC CORP Common 232946103 14201 329300 SH Sole 329300 329300
14201 329300 SH Defined FM 329300
14201 329300 SH Other FM 329300
D DDI CORP Common 233162106 33704 761670 SH Sole 761670 761670
33704 761670 SH Defined FM 761670
33704 761670 SH Other FM 761670
D DELL COMPUTER CORP. Common 247025109 28770 933720 SH Sole 933720 933720
28770 933720 SH Defined FM 933720
28770 933720 SH Other FM 933720
D DELTAGEN INC Common 24783R103 3831 123845 SH Sole 123845 123845
3831 123845 SH Defined FM 123845
3831 123845 SH Other FM 123845
D DENDRITE INTL INC Common 248239105 9795 365300 SH Sole 365300 365300
9795 365300 SH Defined FM 365300
9795 365300 SH Other FM 365300
D DEVON ENERGY CORP NEW Common 25179M103 36527 607260 SH Sole 607260 607260
36527 607260 SH Defined FM 607260
36527 607260 SH Other FM 607260
D DIGITAL LIGHTWAVE INC Common 253855100 12805 176320 SH Sole 176320 176320
12805 176320 SH Defined FM 176320
12805 176320 SH Other FM 176320
D DISCOVERY PARTNERS INTL INC Common 254675101 2031 100000 SH Sole 100000 100000
2031 100000 SH Defined FM 100000
2031 100000 SH Other FM 100000
D DOCUMENTUM INC Common 256159104 5334 65700 SH Sole 65700 65700
5334 65700 SH Defined FM 65700
5334 65700 SH Other FM 65700
D DOVER CORP Common 260003108 43642 929800 SH Sole 929800 929800
43642 929800 SH Defined FM 929800
43642 929800 SH Other FM 929800
D DUPONT PHOTOMASKS INC Common 26613X101 7885 134218 SH Sole 134218 134218
7885 134218 SH Defined FM 134218
7885 134218 SH Other FM 134218
D DYAX CORP Common 26746E103 1094 25000 SH Sole 25000 25000
1094 25000 SH Defined FM 25000
1094 25000 SH Other FM 25000
D E PIPHANY INC Common 26881V1O0 6496 84300 SH Sole 84300 84300
6496 84300 SH Defined FM 84300
6496 84300 SH Other FM 84300
D E. I. DU PONT DE NEMOURS RESTD Common 9DD905100 211 5100 SH Sole 5100 5100
211 5100 SH Defined FM 5100
211 5100 SH Other FM 5100
D EBAY INC Common 278642103 655997 9550450 SH Sole 9550450 9550450
655997 9550450 SH Defined FM 9550450
655997 9550450 SH Other FM 9550450
D EDEN BIOSCIENCE CORP Common 279445100 990 30000 SH Sole 30000 30000
990 30000 SH Defined FM 30000
990 30000 SH Other FM 30000
</TABLE>
6
<PAGE>
Fred Alger Management Inc.
FORM 13F
FRED ALGER & CO., INC.
SEPTEMBER 30, 2000
<TABLE>
<CAPTION>
Voting Authority
---------------------
Title of Value Shares/ Sh/ Put/ Invstmt
Name of Issuer Class CUSIP (x$1000) Prn Amt Prn Call Dscretn Managers Sole Shared None
-------------------------------- -------- ----- -------- ----------- ---- ------- -------- ---- ------ ----
<S> <C> <C> <C> <C> <C> <C> <C> <C> <C> <C>
D EFFICIENT NETWORKS INC Common 282056100 15726 421475 SH Sole 421475 421475
15726 421475 SH Defined FM 421475
15726 421475 SH Other FM 421475
D EGL INC Common 268484102 1096 36220 SH Sole 36220 36220
1096 36220 SH Defined FM 36220
1096 36220 SH Other FM 36220
D ELANTEC SEMICONDUCTOR INC. Common 284155108 27866 279710 SH Sole 279710 279710
27866 279710 SH Defined FM 279710
27866 279710 SH Other FM 279710
D ELASTIC NETWORKS INC Common 284159100 697 50000 SH Sole 50000 50000
697 50000 SH Defined FM 50000
697 50000 SH Other FM 50000
D ELI LILLY & CO Common 532457108 27105 334110 SH Sole 334110 334110
27105 334110 SH Defined FM 334110
27105 334110 SH Other FM 334110
D EMC CORP. Common 268648102 133112 1342868 SH Sole 1342868 1342868
133112 1342868 SH Defined FM 1342868
133112 1342868 SH Other FM 1342868
D ENTRAVISION COMMUNICATIONS COR Common 29382R107 14012 806470 SH Sole 806470 806470
14012 806470 SH Defined FM 806470
14012 806470 SH Other FM 806470
D ENZON INC Common 293904108 24110 365310 SH Sole 365310 365310
24110 365310 SH Defined FM 365310
24110 365310 SH Other FM 365310
D EOG RES INC Common 26875P101 26427 679800 SH Sole 679800 679800
26427 679800 SH Defined FM 679800
26427 679800 SH Other FM 679800
D EVOLVE SOFTWARE INC Common 30049P104 9774 407235 SH Sole 407235 407235
9774 407235 SH Defined FM 407235
9774 407235 SH Other FM 407235
D EXAR CORP Common 300645108 9947 82210 SH Sole 82210 82210
9947 82210 SH Defined FM 82210
9947 82210 SH Other FM 82210
D EXODUS COMMUNICATIONS INC Common 302088109 179750 3640503 SH Sole 3640503 3640503
179750 3640503 SH Defined FM 3640503
179750 3640503 SH Other FM 3640503
D EXPRESS SCRIPTS INC - CL A Common 302182100 27835 385255 SH Sole 385255 385255
27835 385255 SH Defined FM 385255
27835 385255 SH Other FM 385255
D EXULT INC Common 302284104 12139 878865 SH Sole 878865 878865
12139 878865 SH Defined FM 878865
12139 878865 SH Other FM 878865
D EXXON MOBIL CORP Common 30231G1O2 290534 3259847 SH Sole 3259847 3259847
290534 3259847 SH Defined FM 3259847
290534 3259847 SH Other FM 3259847
D FACTSET RESEARCH SYSTEMS INC Common 303075105 32374 861008 SH Sole 861008 861008
32374 861008 SH Defined FM 861008
32374 861008 SH Other FM 861008
D FEDERATED INVESTORS INC (PA.) Common 314211103 31125 1257556 SH Sole 1257556 1257556
31125 1257556 SH Defined FM 1257556
31125 1257556 SH Other FM 1257556
D FISERV INC. Common 337738108 85163 1422350 SH Sole 1422350 1422350
85163 1422350 SH Defined FM 1422350
85163 1422350 SH Other FM 1422350
D FLEXTRONICS INTERNATIONAL LTD Common Y2573F102 13758 167525 SH Sole 167525 167525
</TABLE>
7
<PAGE>
Fred Alger Management Inc.
FORM 13F
FRED ALGER & CO., INC.
SEPTEMBER 30, 2000
<TABLE>
<CAPTION>
Voting Authority
---------------------
Title of Value Shares/ Sh/ Put/ Invstmt
Name of Issuer Class CUSIP (x$1000) Prn Amt Prn Call Dscretn Managers Sole Shared None
-------------------------------- -------- ----- -------- ----------- ---- ------- -------- ---- ------ ----
<S> <C> <C> <C> <C> <C> <C> <C> <C> <C> <C>
13758 167525 SH Defined FM 167525
13758 167525 SH Other FM 167525
D FLOWARE WIRELESS SYSTEMS LTD Common M45919103 209 8400 SH Sole 8400 8400
209 8400 SH Defined FM 8400
209 8400 SH Other FM 8400
D FOREST LABORATORIES INC Common 345838106 89746 782530 SH Sole 782530 782530
89746 782530 SH Defined FM 782530
89746 782530 SH Other FM 782530
D FORRESTER RESEARCH INC Common 346563109 17206 269900 SH Sole 269900 269900
17206 269900 SH Defined FM 269900
17206 269900 SH Other FM 269900
D FORWARD AIR CORPORATION Common 349853101 11153 316971 SH Sole 316971 316971
11153 316971 SH Defined FM 316971
11153 316971 SH Other FM 316971
D FURUKAWA ELECTRIC CO LTD ADR Common 361118102 642 2325 SH Sole 2325 2325
642 2325 SH Defined FM 2325
642 2325 SH Other FM 2325
D GENENTECH INC COM NEW Common 368710406 7855 42300 SH Sole 42300 42300
7855 42300 SH Defined FM 42300
7855 42300 SH Other FM 42300
D GENERAL DYNAMICS CORP Common 369550108 66139 1052960 SH Sole 1052960 1052960
66139 1052960 SH Defined FM 1052960
66139 1052960 SH Other FM 1052960
D GENERAL ELECTRIC CORP Common 369604103 12303 213268 SH Sole 213268 213268
12303 213268 SH Defined FM 213268
12303 213268 SH Other FM 213268
D GENOMICA CORP Common 37243Q101 1458 75000 SH Sole 75000 75000
1458 75000 SH Defined FM 75000
1458 75000 SH Other FM 75000
D GETTY IMAGES INC Common 374276103 8495 279100 SH Sole 279100 279100
8495 279100 SH Defined FM 279100
8495 279100 SH Other FM 279100
D GPU INC Common 36225X100 973 30000 SH Sole 30000 30000
973 30000 SH Defined FM 30000
973 30000 SH Other FM 30000
D GREY WOLF INC Common 397888108 9538 1658850 SH Sole 1658850 1658850
9538 1658850 SH Defined FM 1658850
9538 1658850 SH Other FM 1658850
D GRUPO TELEVISA SA DE CV-GDS Common 40049J206 516 8950 SH Sole 8950 8950
516 8950 SH Defined FM 8950
516 8950 SH Other FM 8950
D GUIDANT CORP. Common 401698105 99054 1401295 SH Sole 1401295 1401295
99054 1401295 SH Defined FM 1401295
99054 1401295 SH Other FM 1401295
D HALLIBURTON CO Common 406216101 452249 9241350 SH Sole 9241350 9241350
452249 9241350 SH Defined FM 9241350
452249 9241350 SH Other FM 9241350
D HANDSPRING INC Common 410293104 2072 30000 SH Sole 30000 30000
2072 30000 SH Defined FM 30000
2072 30000 SH Other FM 30000
D HARLEY DAVIDSON INC. Common 412822108 126803 2648625 SH Sole 2648625 2648625
126803 2648625 SH Defined FM 2648625
126803 2648625 SH Other FM 2648625
D HEWLETT PACKARD CO. Common 428236103 133807 1379458 SH Sole 1379458 1379458
133807 1379458 SH Defined FM 1379458
</TABLE>
8
<PAGE>
Fred Alger Management Inc.
FORM 13F
FRED ALGER & CO., INC.
SEPTEMBER 30, 2000
<TABLE>
<CAPTION>
Voting Authority
---------------------
Title of Value Shares/ Sh/ Put/ Invstmt
Name of Issuer Class CUSIP (x$1000) Prn Amt Prn Call Dscretn Managers Sole Shared None
-------------------------------- -------- ----- -------- ----------- ---- ------- -------- ---- ------ ----
<S> <C> <C> <C> <C> <C> <C> <C> <C> <C> <C>
133807 1379458 SH Other FM 1379458
D HOME DEPOT INC Common 437076102 448364 8449730 SH Sole 8449730 8449730
448364 8449730 SH Defined FM 8449730
448364 8449730 SH Other FM 8449730
D 12 TECHNOLOGIES INC Common 465754109 277962 1485933 SH Sole 1485933 1485933
277962 1485933 SH Defined FM 1485933
277962 1485933 SH Other FM 1485933
D IDEC PHARMACEUTICALS CORP Common 449370105 23027 131315 SH Sole 131315 131315
23027 131315 SH Defined FM 131315
23027 131315 SH Other FM 131315
D IMPATH INC Common 45255G1O1 8340 132125 SH Sole 132125 132125
8340 132125 SH Defined FM 132125
8340 132125 SH Other FM 132125
D INFORMATICA CORP Common 45666Q102 13037 139810 SH Sole 139810 139810
13037 139810 SH Defined FM 139810
13037 139810 SH Other FM 139810
D INRANGE TECHNOLOGIES CORP CL B Common 45769V206 1060 20000 SH Sole 20000 20000
1060 20000 SH Defined FM 20000
1060 20000 SH Other FM 20000
D INTEGRATED CIRCUIT SYSTEMS INC Common 45811K208 15566 841400 SH Sole 841400 841400
15566 841400 SH Defined FM 841400
15566 841400 SH Other FM 841400
D INTEL CORP. Common 458140100 122556 2948709 SH Sole 2948709 2948709
122556 2948709 SH Defined FM 2948709
122556 2948709 SH Other FM 2948709
D INTERWOVEN INC Common 46114T102 22356 197730 SH Sole 197730 197730
22356 197730 SH Defined FM 197730
22356 197730 SH Other FM 197730
D INTL BUSINESS MACHINES CORP Common 459200101 2704 24034 SH Sole 24034 24034
2704 24034 SH Defined FM 24034
2704 24034 SH Other FM 24034
D INTUIT INC. Common 461202103 149923 2630230 SH Sole 2630230 2630230
149923 2630230 SH Defined FM 2630230
149923 2630230 SH Other FM 2630230
D INVESTMENT TECHNOLOGY GROUP Common 46145F105 27035 676935 SH Sole 676935 676935
27035 676935 SH Defined FM 676935
27035 676935 SH Other FM 676935
D IONA TECHNOLOGIES PLC Common 46206P109 438 6300 SH Sole 6300 6300
438 6300 SH Defined FM 6300
438 6300 SH Other FM 6300
D JABIL CIRCUIT INC Common 466313103 19542 344350 SH Sole 344350 344350
19542 344350 SH Defined FM 344350
19542 344350 SH Other FM 344350
D JDS UNIPHASE CORP Common 46612J101 162160 1712585 SH Sole 1712585 1712585
162160 1712585 SH Defined FM 1712585
162160 1712585 SH Other FM 1712585
D JUNIPER NETWORKS Common 48203R104 11998 54800 SH Sole 54800 54800
11998 54800 SH Defined FM 54800
11998 54800 SH Other FM 54800
D KANA COMMUNICATIONS Common 483600102 6822 306600 SH Sole 306600 306600
6822 306600 SH Defined FM 306600
6822 306600 SH Other FM 306600
D KEITHLEY INSTRUMENTS INC Common 487584104 13680 195435 SH Sole 195435 195435
13680 195435 SH Defined FM 195435
13680 195435 SH Other FM 195435
</TABLE>
9
<PAGE>
Fred Alger Management Inc.
FORM 13F
FRED ALGER & CO., INC.
SEPTEMBER 30, 2000
<TABLE>
<CAPTION>
Voting Authority
---------------------
Title of Value Shares/ Sh/ Put/ Invstmt
Name of Issuer Class CUSIP (x$1000) Prn Amt Prn Call Dscretn Managers Sole Shared None
-------------------------------- -------- ----- -------- ----------- ---- ------- -------- ---- ------ ----
<S> <C> <C> <C> <C> <C> <C> <C> <C> <C> <C>
D KING PHARMACEUTICALS Common 495582108 36786 1100150 SH Sole 1100150 1100150
36786 1100150 SH Defined FM 1100150
36786 1100150 SH Other FM 1100150
D KROGER CO. Common 501044101 57485 2547815 SH Sole 2547815 2547815
57485 2547815 SH Defined FM 2547815
57485 2547815 SH Other FM 2547815
D L M ERICSSON TELEPHONE CO. ADR Common 294821400 111673 7539090 SH Sole 7539090 7539090
111673 7539090 SH Defined FM 7539090
111673 7539090 SH Other FM 7539090
D LABORATORY CORP AMER HLDGS Common 50540R409 58375 487470 SH Sole 487470 487470
58375 487470 SH Defined FM 487470
58375 487470 SH Other FM 487470
D LAMAR ADVERTISING CO-CL A Common 512815101 22386 591060 SH Sole 591060 591060
22386 591060 SH Defined FM 591060
22386 591060 SH Other FM 591060
D LARGE SCALE BIOLOGY CORP. Common 517053104 3472 106015 SH Sole 106015 106015
3472 106015 SH Defined FM 106015
3472 106015 SH Other FM 106015
D LEXICON GENETICS INC Common 528872104 4508 142530 SH Sole 142530 142530
4508 142530 SH Defined FM 142530
4508 142530 SH Other FM 142530
D LINEAR TECHNOLOGY CORP. Common 535678106 191174 2952491 SH Sole 2952491 2952491
191174 2952491 SH Defined FM 2952491
191174 2952491 SH Other FM 2952491
D MANUGISTICS GROUP INC Common 565011103 8095 82500 SH Sole 82500 82500
8095 82500 SH Defined FM 82500
8095 82500 SH Other FM 82500
D MARCONI PLC SPONSORED ADR Common 566306205 445 16250 SH Sole 16250 16250
445 16250 SH Defined FM 16250
445 16250 SH Other FM 16250
D MARSH & McLENNAN COMPANIES INC Common 571748102 146131 1100800 SH Sole 1100800 1100800
146131 1100800 SH Defined FM 1100800
146131 1100800 SH Other FM 1100800
D MARVELL TECHNOLOGY GROUP LTD Common G5876H105 1542 20000 SH Sole 20000 20000
1542 20000 SH Defined FM 20000
1542 20000 SH Other FM 20000
D MATRIXONE INC Common 57685P304 1960 49000 SH Sole 49000 49000
1960 49000 SH Defined FM 49000
1960 49000 SH Other FM 49000
D MAXIM INTEGRATED PRODUCTS INC Common 57772K101 65739 817265 SH Sole 817265 817265
65739 817265 SH Defined FM 817265
65739 817265 SH Other FM 817265
D MCLEODUSA INC-CL A Common 582266102 33075 2310904 SH Sole 2310904 2310904
33075 2310904 SH Defined FM 2310904
33075 2310904 SH Other FM 2310904
D MEDICIS PHARMACEUTICAL CORP CL Common 584690309 9651 156930 SH Sole 156930 156930
9651 156930 SH Defined FM 156930
9651 156930 SH Other FM 156930
D MEDTRONIC INC. Common 585055106 141127 2723801 SH Sole 2723801 2723801
141127 2723801 SH Defined FM 2723801
141127 2723801 SH Other FM 2723801
D MERCK & CO INC Common 589331107 213 2860 SH Sole 2860 2860
213 2860 SH Defined FM 2860
213 2860 SH Other FM 2860
D MERCURY INTERACTIVE CORP. Common 589405109 32917 210000 SH Sole 210000 210000
</TABLE>
10
<PAGE>
Fred Alger Management Inc.
FORM 13F
FRED ALGER & CO., INC.
SEPTEMBER 30, 2000
<TABLE>
<CAPTION>
Voting Authority
---------------------
Title of Value Shares/ Sh/ Put/ Invstmt
Name of Issuer Class CUSIP (x$1000) Prn Amt Prn Call Dscretn Managers Sole Shared None
-------------------------------- -------- ----- -------- ----------- ---- ------- -------- ---- ------ ----
<S> <C> <C> <C> <C> <C> <C> <C> <C> <C> <C>
32917 210000 SH Defined FM 210000
32917 210000 SH Other FM 210000
D MERRILL LYNCH & CO. INC Common 590188108 74963 1135800 SH Sole 1135800 1135800
74963 1135800 SH Defined FM 1135800
74963 1135800 SH Other FM 1135800
D METASOLV SOFTWARE INC COM Common 591393103 17463 427230 SH Sole 427230 427230
17463 427230 SH Defined FM 427230
17463 427230 SH Other FM 427230
D METTLER-TOLEDO INTERNATIONAL Common 592688105 8199 186330 SH Sole 186330 186330
8199 186330 SH Defined FM 186330
8199 186330 SH Other FM 186330
D MICHAELS STORES INC Common 594087108 9242 231050 SH Sole 231050 231050
9242 231050 SH Defined FM 231050
9242 231050 SH Other FM 231050
D MICROCHIP TECHNOLOGY INC. Common 595017104 68134 2060755 SH Sole 2060755 2060755
68134 2060755 SH Defined FM 2060755
68134 2060755 SH Other FM 2060755
D MICROMUSE INC. Common 595094103 25120 125015 SH Sole 125015 125015
25120 125015 SH Defined FM 125015
25120 125015 SH Other FM 125015
D MICRON TECHNOLOGY INC. Common 595112103 31000 673905 SH Sole 673905 673905
31000 673905 SH Defined FM 673905
31000 673905 SH Other FM 673905
D MICROSOFT CORP Common 594918104 462566 7669495 SH Sole 7669495 7669495
462566 7669495 SH Defined FM 7669495
462566 7669495 SH Other FM 7669495
D MICROTUNE INC Common 59514P109 26017 485738 SH Sole 485738 485738
26017 485738 SH Defined FM 485738
26017 485738 SH Other FM 485738
D MILLIPORE CORP Common 601073109 51255 1058175 SH Sole 1058175 1058175
51255 1058175 SH Defined FM 1058175
51255 1058175 SH Other FM 1058175
D MINIMED INC. Common 60365K108 6819 76300 SH Sole 76300 76300
6819 76300 SH Defined FM 76300
6819 76300 SH Other FM 76300
D MIPS TECHNOLOGIES INC CL-A Common 604567107 1897 41240 SH Sole 41240 41240
1897 41240 SH Defined FM 41240
1897 41240 SH Other FM 41240
D MMC NETWORKS INC. Common 55308N102 42940 339444 SH Sole 339444 339444
42940 339444 SH Defined FM 339444
42940 339444 SH Other FM 339444
D MORGAN STANLEY, DEAN WITTER & C Common 617446448 152244 1665006 SH Sole 1665006 1665006
152244 1665006 SH Defined FM 1665006
152244 1665006 SH Other FM 1665006
D MOTOROLA INC Common 620076109 149147 5279530 SH Sole 5279530 5279530
149147 5279530 SH Defined FM 5279530
149147 5279530 SH Other FM 5279530
D MRV COMMUNICATIONS INC Common 553477100 16487 363850 SH Sole 363850 363850
16487 363850 SH Defined FM 363850
16487 363850 SH Other FM 363850
D NABORS INDUSTRIES INC Common 629568106 138689 2646745 SH Sole 2646745 2646745
138689 2646745 SH Defined FM 2646745
138689 2646745 SH Other FM 2646745
D NANCY LEE MINES Common 630004109 0 11000 SH Sole 11000 11000
0 11000 SH Defined FM 11000
</TABLE>
11
<PAGE>
Fred Alger Management Inc.
FORM 13F
FRED ALGER & CO., INC.
SEPTEMBER 30, 2000
<TABLE>
<CAPTION>
Voting Authority
---------------------
Title of Value Shares/ Sh/ Put/ Invstmt
Name of Issuer Class CUSIP (x$1000) Prn Amt Prn Call Dscretn Managers Sole Shared None
-------------------------------- -------- ----- -------- ----------- ---- ------- -------- ---- ------ ----
<S> <C> <C> <C> <C> <C> <C> <C> <C> <C> <C>
0 11000 SH Other FM 11000
D NATURAL MICROSYSTEMS CORP Common 638882100 10120 188120 SH Sole 188120 188120
10120 188120 SH Defined FM 188120
10120 188120 SH Other FM 188120
D NETEGRITY INC. Common 64110P107 9763 139475 SH Sole 139475 139475
9763 139475 SH Defined FM 139475
9763 139475 SH Other FM 139475
D NETWORK APPLIANCE INC. Common 64120L104 8267 64900 SH Sole 64900 64900
8267 64900 SH Defined FM 64900
8267 64900 SH Other FM 64900
D NEWPORT CORP Common 651824104 103226 648135 SH Sole 648135 648135
103226 648135 SH Defined FM 648135
103226 648135 SH Other FM 648135
D NIKU CORP Common 654113109 2072 85000 SH Sole 85000 85000
2072 85000 SH Defined FM 85000
2072 85000 SH Other FM 85000
D NORTEL NETWORK CORP NEW Common 656568102 235768 3958336 SH Sole 3958336 3958336
235768 3958336 SH Defined FM 3958336
235768 3958336 SH Other FM 3958336
D NPS PHARMACUTICALS Common 62936P103 8117 143500 SH Sole 143500 143500
8117 143500 SH Defined FM 143500
8117 143500 SH Other FM 143500
D OAK TECHNOLOGY INC. Common 671802106 16553 604665 SH Sole 604665 604665
16553 604665 SH Defined FM 604665
16553 604665 SH Other FM 604665
D OGE ENERGY CORP. Common 670837103 1066 50000 SH Sole 50000 50000
1066 50000 SH Defined FM 50000
1066 50000 SH Other FM 50000
D OMNICOM GROUP INC Common 681919106 55203 756859 SH Sole 756859 756859
55203 756859 SH Defined FM 756859
55203 756859 SH Other FM 756859
D OMNISKY CORP Common 68213L103 203 10000 SH Sole 10000 10000
203 10000 SH Defined FM 10000
203 10000 SH Other FM 10000
D OMNIVISION TECHNOLOGIES INC Common 682128103 3275 90500 SH Sole 90500 90500
3275 90500 SH Defined FM 90500
3275 90500 SH Other FM 90500
D ONYX PHARMACEUTICALS INC Common 683399109 5516 224010 SH Sole 224010 224010
5516 224010 SH Defined FM 224010
5516 224010 SH Other FM 224010
D OPNET TECHNOLOGIES INC Common 683757108 255 7000 SH Sole 7000 7000
255 7000 SH Defined FM 7000
255 7000 SH Other FM 7000
D ORACLE CORP. Common 68389X105 336750 4276185 SH Sole 4276185 4276185
336750 4276185 SH Defined FM 4276185
336750 4276185 SH Other FM 4276185
D ORIENT EXPRESS HOTELS LTD Common G67743107 7426 385755 SH Sole 385755 385755
7426 385755 SH Defined FM 385755
7426 385755 SH Other FM 385755
D ORTHODONTIC CENTERS OF AMERICA Common 68750P103 17402 522375 SH Sole 522375 522375
17402 522375 SH Defined FM 522375
17402 522375 SH Other FM 522375
D OUTBACK STEAKHOUSE INC. Common 689899102 59100 2178800 SH Sole 2178800 2178800
59100 2178800 SH Defined FM 2178800
59100 2178800 SH Other FM 2178800
</TABLE>
12
<PAGE>
Fred Alger Management Inc.
FORM 13F
FRED ALGER & CO., INC.
SEPTEMBER 30, 2000
<TABLE>
<CAPTION>
Voting Authority
---------------------
Title of Value Shares/ Sh/ Put/ Invstmt
Name of Issuer Class CUSIP (x$1000) Prn Amt Prn Call Dscretn Managers Sole Shared None
-------------------------------- -------- ----- -------- ----------- ---- ------- -------- ---- ------ ----
<S> <C> <C> <C> <C> <C> <C> <C> <C> <C> <C>
D PACKETEER INC Common 695210104 21865 576355 SH Sole 576355 576355
21865 576355 SH Defined FM 576355
21865 576355 SH Other FM 576355
D PARTHUS TECHNOLOGIES PLC SPONS Common 70211Y103 1187 29500 SH Sole 29500 29500
1187 29500 SH Defined FM 29500
1187 29500 SH Other FM 29500
D PAYCHEX INC. Common 704326107 1867 149850 SH Sole 149850 149850
7867 149850 SH Defined FM 149850
7867 149850 SH Other FM 149850
D PEOPLESOFT INC Common 712713106 29608 1059800 SH Sole 1059800 1059800
29608 1059800 SH Defined FM 1059800
29608 1059800 SH Other FM 1059800
D PERICOM SEMICONDUCTOR CORP Common 713831105 14813 394355 SH Sole 394355 394355
14813 394355 SH Defined FM 394355
14813 394355 SH Other FM 394355
D PFIZER INC Common 717081103 634794 14126142 SH Sole 14126142 14126142
634794 14126142 SH Defined FM 14126142
634794 14126142 SH Other FM 14126142
D PHONE.COM INC Common 71920Q100 216350 1904070 SH Sole 1904070 1904070
216350 1904070 SH Defined FM 1904070
216350 1904070 SH Other FM 1904070
D PHOTON DYNAMICS INC. Common 719364101 9065 240135 SH Sole 240135 240135
9065 240135 SH Defined FM 240135
9065 240135 SH Other FM 240135
D PLANTRONICS INC. NEW Common 727493108 3808 100200 SH Sole 100200 100200
3808 100200 SH Defined FM 100200
3808 100200 SH Other FM 100200
D PLEXUS CORP Common 729132100 30290 429650 SH Sole 429650 429650
30290 429650 SH Defined FM 429650
30290 429650 SH Other FM 429650
D PMC-SIERRA INC Common 69344F106 148728 690955 SH Sole 690955 690955
148728 690955 SH Defined FM 690955
148728 690955 SH Other FM 690955
D POWER-ONE INC Common 739308104 19454 321474 SH Sole 321474 321474
19454 321474 SH Defined FM 321474
19454 321474 SH Other FM 321474
D PRIORITY HEALTHCARE CORP CL-B Common 74264T102 19154 251200 SH Sole 251200 251200
19154 251200 SH Defined FM 251200
19154 251200 SH Other FM 251200
D PROVINCE HEALTHCARE CO Common 743977100 38750 970275 SH Sole 970275 970275
38750 970275 SH Defined FM 970275
38750 970275 SH Other FM 970275
D PROXIM INC. Common 744284100 4148 93220 SH Sole 93220 93220
4148 93220 SH Defined FM 93220
4148 93220 SH Other FM 93220
D Q CARS TECHNOLOGY Common QCAR 0 16000 SH Sole 16000 16000
0 16000 SH Defined FM 16000
0 16000 SH Other FM 16000
D QIAGEN NV Common N72482107 3254 69045 SH Sole 69045 69045
3254 69045 SH Defined FM 69045
3254 69045 SH Other FM 69045
D QLT INC Common 746927102 60375 851850 SH Sole 851850 851850
60375 851850 SH Defined FM 851850
60375 851850 SH Other FM 851850
D QUALCOMM INC. Common 747525103 688 9650 SH Sole 9650 9650
</TABLE>
13
<PAGE>
Fred Alger Management Inc.
FORM 13F
FRED ALGER & CO., INC.
SEPTEMBER 30, 2000
<TABLE>
<CAPTION>
Voting Authority
---------------------
Title of Value Shares/ Sh/ Put/ Invstmt
Name of Issuer Class CUSIP (x$1000) Prn Amt Prn Call Dscretn Managers Sole Shared None
-------------------------------- -------- ----- -------- ----------- ---- ------- -------- ---- ------ ----
<S> <C> <C> <C> <C> <C> <C> <C> <C> <C> <C>
688 9650 SH Defined FM 9650
688 9650 SH Other FM 9650
D R G S ENERGY GROUP INC Common 74956K104 1127 40000 SH Sole 40000 40000
1127 40000 SH Defined FM 40000
1127 40000 SH Other FM 40000
D REALNETWORKS INC Common 75605L104 475 11950 SH Sole 11950 11950
475 11950 SH Defined FM 11950
475 11950 SH Other FM 11950
D REDBACK NETWORK INC Common 757209101 17819 108650 SH Sole 108650 108650
17819 108650 SH Defined FIVI 108650
17819 108650 SH Other FM 108650
D REMEC INC Common 759543101 8060 273800 SH Sole 273800 273800
8060 273800 SH Defined FM 273800
8060 273800 SH Other FM 273800
D RESEARCH IN MOTION LTD NEW Common 760975102 16452 166915 SH Sole 166915 166915
16452 166915 SH Defined FM 166915
16452 166915 SH Other FM 166915
D RESONATE INC Common 76115Q104 3294 83400 SH Sole 83400 83400
3294 83400 SH Defined FM 83400
3294 83400 SH Other FM 83400
D ROSETTA INPHARMATICS Common 777777103 3970 142325 SH Sole 142325 142325
3970 142325 SH Defined FM 142325
3970 142325 SH Other FM 142325
D ROYAL DUTCH PETROLEUM CO. NY. Common 780257804 336 5600 SH Sole 5600 5600
336 5600 SH Defined .FM 5600
336 5600 SH Other FM 5600
D SAFEWAY INC Common 786514208 240397 5149075 SH Sole 5149075 5149075
240397 5149075 SH Defined FM 5149075
240397 5149075 SH Other FM 5149075
D SANMINA CORP Common 800907107 39054 417130 SH Sole 417130 417130
39054 417130 SH Defined FM 417130
39054 417130 SH Other FM 417130
D SANTA FE INTERNATIONAL CORP Common G7805C108 25708 570500 SH Sole 570500 570500
25708 570500 SH Defined FM 570500
25708 570500 SH Other FM 570500
D SAP AG-SPONSORED ADR Common 803054204 646 10500 SH Sole 10500 10500
646 10500 SH Defined FIVI 10500
646 10500 SH Other FM 10500
D SDL INC Common 784076101 97513 315258 SH Sole 315258 315258
97513 315258 SH Defined FM 315258
97513 315258 SH Other FM 315258
D SEPRACOR INC Common 817315104 37530 305900 SH Sole 305900 305900
37530 305900 SH Defined FM 305900
37530 305900 SH Other FM 305900
D SHAW GROUP INC Common 820280105 15914 225735 SH Sole 225735 225735
15914 225735 SH Defined FM 225735
15914 225735 SH Other FM 225735
D SIGNALSOFT CORP Common 82668M102 2146 52815 SH Sole 52815 52815
2146 52815 SH Defined FM 52815
2146 52815 SH Other FM 52815
D SILICON IMAGE INC Common 82705T102 3090 124520 SH Sole 124520 124520
3090 124520 SH Defined FM 124520
3090 124520 SH Other FM 124520
D SKYWEST INC. Common 830879102 9072 177020 SH Sole 177020 177020
9072 177020 SH Defined FM 177020
</TABLE>
14
<PAGE>
Fred Alger Management Inc.
FORM 13F
FRED ALGER & CO., INC.
SEPTEMBER 30, 2000
<TABLE>
<CAPTION>
Voting Authority
---------------------
Title of Value Shares/ Sh/ Put/ Invstmt
Name of Issuer Class CUSIP (x$1000) Prn Amt Prn Call Dscretn Managers Sole Shared None
-------------------------------- -------- ----- -------- ----------- ---- ------- -------- ---- ------ ----
<S> <C> <C> <C> <C> <C> <C> <C> <C> <C> <C>
9072 177020 SH Other FM 177020
D SMARTFORCE PUB LTD CO SPONSORE Common 83170A206 242 5100 SH Sole 5100 5100
242 5100 SH Defined FM 5100
242 5100 SH Other FM 5100
D SMITH INTERNATIONAL INC Common 832110100 33999 416850 SH Sole 416850 416850
33999 416850 SH Defined FM 416850
33999 416850 SH Other FM 416850
D SMTC CORPORATION Common 832682108 4317 200800 SH Sole 200800 200800
4317 200800 SH Defined FM 200800
4317 200800 SH Other FM 200800
D SOFTWARE.COM INC Common 83402P104 49620 273480 SH Sole 273480 273480
49620 273480 SH Defined FM 273480
49620 273480 SH Other FM 273480
D SOLECTRON CORP. Common 834182107 207826 4505720 SH Sole 4505720 4505720
207826 4505720 SH Defined FM 4505720
207826 4505720 SH Other FM 4505720
D SONY CORP-ADR NEW Common 835699307 505 5000 SH Sole 5000 5000
505 5000 SH Defined FM 5000
505 5000 SH Other FM 5000
D SOUTHERN ENERGY Common 842816100 3137 100000 SH Sole 100000 100000
3137 100000 SH Defined FM 100000
3137 100000 SH Other FM 100000
D SPECRASITE HOLDINGS INC Common 84760T100 21378 1151700 SH Sole 1151700 1151700
21378 1151700 SH Defined FM 1151700
21378 1151700 SH Other FM 1151700
D SPEECHWORKS INTL INC Common 84764M101 14207 229150 SH Sole 229150 229150
14207 229150 SH Defined FM 229150
14207 229150 SH Other FM 229150
D SPX CORP Common 784635104 38330 270045 SH Sole 270045 270045
38330 270045 SH Defined FM 270045
38330 270045 SH Other FM 270045
D STARBUCKS CORP. Common 855244109 69138 1725760 SH Sole 1725760 1725760
69138 1725760 SH Defined FM 1725760
69138 1725760 SH Other FM 1725760
D STILWELL FINANCIAL INC Common 860831106 186781 4293820 SH Sole 4293820 4293820
186781 4293820 SH Defined FM 4293820
186781 4293820 SH Other FM 4293820
D STMICROELECTRONICS N V NY REG Common 861012102 381 8000 SH Sole 8000 8000
381 8000 SH Defined FM 8000
381 8000 SH Other FM 8000
D SUN MICROSYSTEMS INC Common 866810104 406811 3484463 SH Sole 3484463 3484463
406811 3484463 SH Defined FM 3484463
406811 3484463 SH Other FM 3484463
D SYCAMORE NETWORKS INC COM Common 871206108 10508 97300 SH Sole 97300 97300
10508 97300 SH Defined FM 97300
10508 97300 SH Other FM 97300
D TAIWAN SEMICONDUCTOR MFG CORP Common 874039100 595 29200 SH Sole 29200 29200
595 29200 SH Defined FM 29200
595 29200 SH Other FM 29200
D TELECOMMUNICATIONS SYSTEMS INC Common 87929J103 7486 391400 SH Sole 391400 391400
7486 391400 SH Defined FM 391400
7486 391400 SH Other FM 391400
D TERADYNE INC. Common 880770102 124137 3546785 SH Sole 3546785 3546785
124137 3546785 SH Defined FM 3546785
124137 3546785 SH Other FM 3546785
</TABLE>
15
<PAGE>
Fred Alger Management Inc.
FORM 13F
FRED ALGER & CO., INC.
SEPTEMBER 30, 2000
<TABLE>
<CAPTION>
Voting Authority
---------------------
Title of Value Shares/ Sh/ Put/ Invstmt
Name of Issuer Class CUSIP (x$1000) Prn Amt Prn Call Dscretn Managers Sole Shared None
-------------------------------- -------- ----- -------- ----------- ---- ------- -------- ---- ------ ----
<S> <C> <C> <C> <C> <C> <C> <C> <C> <C> <C>
D TEXAS INSTRUMENTS INC. Common 882508104 139949 2965802 SH Sole 2965802 2965802
139949 2965802 SH Defined FM 2965802
139949 2965802 SH Other FM 2965802
D TICKETMASTER ONLINE-CITYSEARCH Common 88633P203 8374 494410 SH Sole 494410 494410
8374 494410 SH Defined FM 494410
8374 494410 SH Other FM 494410
D TIME WARNER INC. Common 887315109 125921 1609218 SH Sole 1609218 1609218
125921 1609218 SH Defined FM 1609218
125921 1609218 SH Other FM 1609218
D TITAN PHARMACEUTICALS INC-DEL Common 888314101 3383 52050 SH Sole 52050 52050
3383 52050 SH Defined FM 52050
3383 52050 SH Other FM 52050
D TTM TECHNOLOGIES INC Common 87305R109 1762 75000 SH Sole 75000 75000
1762 75000 SH Defined FM 75000
1762 75000 SH Other FM 75000
D TUMBLEWEED COMMUNICATIONS CORP Common 899690101 6309 123710 SH Sole 123710 123710
6309 123710 SH Defined FM 123710
6309 123710 SH Other FM 123710
D TUT SYSTEMS Common 901103101 8151 94435 SH Sole 94435 94435
8151 94435 SH Defined FM 94435
8151 94435 SH Other FM 94435
D TYCO INTERNATIONAL LTD NEW Common 902124106 270703 5218380 SH Sole 5218380 5218380
270703 5218380 SH Defined FM 5218380
270703 5218380 SH Other FM 5218380
D UNITED TECHNOLOGIES CORP. Common 913017109 246874 3564965 SH Sole 3564965 3564965
246874 3564965 SH Defined FM 3564965
246874 3564965 SH Other FM 3564965
D UNITED THERAPEUTICS CORP. Common 91307C102 10197 116700 SH Sole 116700 116700
10197 116700 SH Defined FM 116700
10197 116700 SH Other FM 116700
D VA LINUX SYS INC Common 91819B105 440 9515 SH Sole 9515 9515
440 9515 SH Defined FM 9515
440 9515 SH Other FM 9515
D VARIAGENICS INC Common 922196100 3708 165730 SH Sole 165730 165730
3708 165730 SH Defined FM 165730
3708 165730 SH Other FM 165730
D VARIAN SEMICONDUCTOR EQUIPMENT Common 922207105 7159 191225 SH Sole 191225 191225
7159 191225 SH Defined FM 191225
7159 191225 SH Other FM 191225
D VEECO INSTRUMENTS INC Common 922417100 9649 90800 SH Sole 90800 90800
9649 90800 SH Defined FM 90800
9649 90800 SH Other FM 90800
D VERISIGN INC. Common 92343E102 70040 345770 SH Sole 345770 345770
70040 345770 SH Defined FM 345770
70040 345770 SH Other FM 345770
D VIACOM INC-CL B Common 925524308 109657 1874479 SH Sole 1874479 1874479
109657 1874479 SH Defined FM 1874479
109657 1874479 SH Other FM 1874479
D VIGNETTE CORP. Common 926734104 65705 2199325 SH Sole 2199325 2199325
65705 2199325 SH Defined FM 2199325
65705 2199325 SH Other FM 2199325
D VINA TECHNOLOGIES INC Common 92719D100 308 22100 SH Sole 22100 22100
308 22100 SH Defined FM 22100
308 22100 SH Other FM 22100
D VIRATA CORP Common 927646109 20261 306400 SH Sole 306400 306400
</TABLE>
16
<PAGE>
Fred Alger Management Inc.
FORM 13F
FRED ALGER & CO., INC.
SEPTEMBER 30, 2000
<TABLE>
<CAPTION>
Voting Authority
---------------------
Title of Value Shares/ Sh/ Put/ Invstmt
Name of Issuer Class CUSIP (x$1000) Prn Amt Prn Call Dscretn Managers Sole Shared None
-------------------------------- -------- ----- -------- ----------- ---- ------- -------- ---- ------ ----
<S> <C> <C> <C> <C> <C> <C> <C> <C> <C> <C>
20261 306400 SH Defined FM 306400
20261 306400 SH Other FM 306400
D VISHAY INTERTECHNOLOGY INC Common 928298108 10378 337500 SH Sole 337500 337500
10378 337500 SH Defined FM 337500
10378 337500 SH Other FM 337500
D VITESSE SEMICONDUCTOR CORP Common 928497106 95554 1074400 SH Sole 1074400 1074400
95554 1074400 SH Defined FM 1074400
95554 1074400 SH Other FM 1074400
D VITRIA TECHNOLOGY INC COM Common 92849Q104 13725 294360 SH Sole 294360 294360
13725 294360 SH Defined FM 294360
13725 294360 SH Other FM 294360
D WAL-MART STORES INC Common 931142103 402326 8360018 SH Sole 8360018 8360018
402326 8360018 SH Defined FM 8360018
402326 8360018 SH Other FM 8360018
D WALGREEN CO. Common 931422109 58670 1546487 SH Sole 1546487 1546487
58670 1546487 SH Defined FM 1546487
58670 1546487 SH Other FM 1546487
D WASHINGTON MUTUAL INC Common 939322103 48869 1227470 SH Sole 1227470 1227470
48869 1227470 SH Defined FM 1227470
48869 1227470 SH Other FM 1227470
D WATERS CORP. Common 941848103 80038 899300 SH Sole 899300 899300
80038 899300 SH Defined FM 899300
80038 899300 SH Other FM 899300
D WELLS FARGO & CO NEW Common 949746101 5201 113225 SH Sole 113225 113225
5201 113225 SH Defined FM 113225
5201 113225 SH Other FM 113225
D WESTERGAARD ONLINE SYSTEMS, INC Common 957565104 2 10000 SH Sole 10000 10000
2 10000 SH Defined FM 10000
2 10000 SH Other FM 10000
D WILLIAMS SONOMA INC. Common 969904101 13694 394075 SH Sole 394075 394075
13694 394075 SH Defined FM 394075
13694 394075 SH Other FM 394075
D WJ COMMUNICATIONS INC Common 929284107 10168 274815 SH Sole 274815 274815
10168 274815 SH Defined FM 274815
10168 274815 SH Other FM 274815
D XCEL ENERGY INC Common 98389B100 1236 44950 SH Sole 44950 44950
1236 44950 SH Defined FM 44950
1236 44950 SH Other FM 44950
D XILINX INC Common 983919101 5009 58498 SH Sole 58498 58498
5009 58498 SH Defined FM 58498
5009 58498 SH Other FM 58498
D YAHOO INC. Common 984332106 86157 946777 SH Sole 946777 946777
86157 946777 SH Defined FM 946777
86157 946777 SH Other FM 946777
D YOUNG & RUBICAM INC. Common 987425105 32045 647370 SH Sole 647370 647370
32045 647370 SH Defined FM 647370
32045 647370 SH Other FM 647370
D ZALE CORP NEW Common 988858106 7441 229400 SH Sole 229400 229400
7441 229400 SH Defined FM 229400
7441 229400 SH Other FM 229400
D APACHE CORP DEPOSITORY SHARES Conv Pref. 037411600 1026 20000 SH Sole 20000 20000
1026 20000 SH Defined FM 20000
1026 20000 SH Other FM 20000
D CALPINE CAPITAL III 5.00% CONV Conv Pref. 13134R201 1347 20000 SH Sole 20000 20000
1347 20000 SH Defined FM 20000
</TABLE>
17
<PAGE>
Fred Alger Management Inc.
FORM 13F
FRED ALGER & CO., INC.
SEPTEMBER 30, 2000
<TABLE>
<CAPTION>
Voting Authority
---------------------
Title of Value Shares/ Sh/ Put/ Invstmt
Name of Issuer Class CUSIP (x$1000) Prn Amt Prn Call Dscretn Managers Sole Shared None
-------------------------------- -------- ----- -------- ----------- ---- ------- -------- ---- ------ ----
<S> <C> <C> <C> <C> <C> <C> <C> <C> <C> <C>
1347 20000 SH Other FM 20000
D CANADIAN NATL RWY CO PFD CONV Conv Pref. 136375409 1383 31000 SH Sole 31000 31000
1383 31000 SH Defined FM 31000
1383 31000 SH Other FM 31000
D CNB CAPITAL TRUST I Conv Pref. 12613G207 2402 63000 SH Sole 63000 63000
2402 63000 SH Defined FM 63000
2402 63000 SH Other FM 63000
D COLTEC CAPITAL TRUST PFD CONV Conv Pref. 196878409 1536 32000 SH Sole 32000 32000
1536 32000 SH Defined FM 32000
1536 32000 SH Other FM 32000
D COX COMMUNICATIONS INC NEW INC Conv Pref. 224044305 802 15000 SH Sole 15000 15000
802 15000 SH Defined FM 15000
802 15000 SH Other FM 15000
D COX COMMUNICATIONS PRIZES Conv Pref. 224044503 730 10000 SH Sole 10000 10000
730 10000 SH Defined FM 10000
730 10000 SH Other FM 10000
D DOLLAR GENERAL STRYPES TRUST Conv Pref. 256678103 775 25000 SH Sole 25000 25000
775 25000 SH Defined FM 25000
775 25000 SH Other FM 25000
D EL PASO ENERGY CAPITAL TRUST I Conv Pref. 283678209 2891 37000 SH Sole 37000 37000
2891 37000 SH Defined FM 37000
2891 37000 SH Other FM 37000
D ENRON CORP EXCHANGEABLE NOTES Conv Pref. 293561882 2134 60000 SH Sole 60000 60000
2134 60000 SH Defined FM 60000
2134 60000 SH Other FM 60000
D ENTERCOM COMMUNICATIONS CAP TR Conv Pref. 29363P104 807 20000 SH Sole 20000 20000
807 20000 SH Defined FM 20000
807 20000 SH Other FM 20000
D HANNOVER COMPRESSOR CAP TRUST Conv Pref. 41076M203 1483 15000 SH Sole 15000 15000
1483 15000 SH Defined FM 15000
1483 15000 SH Other FM 15000
D INTERNATIONAL PAPER CAPITAL TS Conv Pref. 460137300 1174 30000 SH Sole 30000 30000
1174 30000 SH Defined FM 30000
1174 30000 SH Other FM 30000
D MCLEODUSA INC PFD CONV SER A Conv Pref. 582266201 558 1800 SH Sole 1800 1800
558 1800 SH Defined FM 1800
558 1800 SH Other FM 1800
D NEWFIELD FINANCIAL TRUST I 6.5 Conv Pref. 651291205 1827 26100 SH Sole 26100 26100
1827 26100 SH Defined FM 26100
1827 26100 SH Other FM 26100
D PROLOGIS TRUST PFD CONV SH BEN Conv Pref. 743410300 1230 40000 SH Sole 40000 40000
1230 40000 SH Defined FM 40000
1230 40000 SH Other FM 40000
D TXI CAPITAL TRUST I PFD SECS Conv Pref. 873119200 1074 35000 SH Sole 35000 35000
1074 35000 SH Defined FM 35000
1074 35000 SH Other FM 35000
D UNION PACIFIC CAPITAL TRUST TE Conv Pref. 907824403 1252 31000 SH Sole 31000 31000
1252 31000 SH Defined FM 31000
1252 31000 SH Other FM 31000
D UNOCAL CAPITAL TRUST-6.25% Conv Pref. 91528T207 1925 40000 SH Sole 40000 40000
1925 40000 SH Defined FM 40000
1925 40000 SH Other FM 40000
D WEATHERFORD - EVI INC 5% CONV Conv Pref. 268939402 1667 35000 SH Sole 35000 35000
1667 35000 SH Defined FM 35000
1667 35000 SH Other FM 35000
</TABLE>
18
<PAGE>
Fred Alger Management Inc.
FORM 13F
FRED ALGER & CO., INC.
SEPTEMBER 30, 2000
<TABLE>
<CAPTION>
Voting Authority
--------------------------
Title of Value Shares/ Sh/ Put/ Invstmt Mana-
Name of Issuer Class CUSIP (x$1000) Prn Amt Prn Call Dscretn gers Sole Shared None
------------------------------ -------- ----- -------- ----------- ---- ------- ---- ---------- ------ ---------
<S> <C> <C> <C> <C> <C> <C> <C> <C> <C> <C>
D WENDY'S FINANCING I-$2.50 TERM Conv Pref. 950588202 1734 36500 SH Sole 36500 36500
1734 36500 SH Defined FM 36500
1734 36500 SH Other FM 36500
D ALGER FUND LARGECAP GROWTH CL Mutual Funds 015565856 5602 375966.988 SH Sole 375966.988 375966.988
5602 375966.988 SH Defined FM 375966.988
5602 375966.988 SH Other FM 375966.988
D ALGER SMALL CAP PORTFOLIO CL A Mutual Funds 015565872 3319 347930.470 SH Sole 347930.470 347930.470
3319 347930.470 SH Defined FM 347930.470
3319 347930.470 SH Other FM 347930.470
D SPECTRA FUND INC CL N Mutual Funds 847561107 1203 101125.475 SH Sole 101125.475 101125.475
1203 101125.475 SH Defined FM 101125.475
1203 101125.475 SH Other FM 101125.475
D THE ALGER FUND CAPITAL APPREC Mutual Funds 015565849 220 14618.189 SH Sole 14618.189 14618.189
220 14618.189 SH Defined FM 14618.189
220 14618.189 SH Other FM 14618.189
D THE ALGER AMERICAN ASSET GROWT Mutual Funds 985109999 7522 225079.388 SH Sole 225079.388 225079.388
7522 225079.388 SH Defined FM 225079.388
7522 225079.388 SH Other FM 225079.388
D THE ALGER AMERICAN FUND GROWTH Mutual Funds 015544505 2338 42195.147 SH Sole 42195.147 42195.147
2338 42195.147 SH Defined FM 42195.147
2338 42195.147 SH Other FM 42195.147
D THE ALGER AMERICAN FUND SMALL Mutual Funds 015544406 1373 46891.033 SH Sole 46891.033 46891.033
1373 46891.033 SH Defined FM 46891.033
1373 46891.033 SH Other FM 46891.033
D THE ALGER FUND LARGECAP GROWTH Mutual Funds 015565609 807 56225.618 SH Sole 56225.618 56225.618
807 56225.618 SH Defined FM 56225.618
807 56225.618 SH Other FM 56225.618
D THE ALGER FUND SMALL CAP CL B Mutual Funds 015565500 404 43764.378 SH Sole 43764.378 43764.378
404 43764.378 SH Defined FM 43764.378
404 43764.378 SH Other FM 43764.378
D LEGEND HOLDINGS Common 6218089 480 506000 SH Sole 506000 506000
480 506000 SH Defined FM 506000
480 506000 SH Other FM 506000
D NTT DOCOMO INC Common 6129277 1033 36 SH Sole 36 36
1033 36 SH Defined FM 36
1033 36 SH Other FM 36
D ORACLE CORP JAPAN JPY50 Common 6141680 414 1800 SH Sole 1800 1800
414 1800 SH Defined FM 1800
414 1800 SH Other FM 1800
D SOFTBANK CORP Common 6770620 449 4800 SH Sole 4800 4800
449 4800 SH Defined FM 4800
449 4800 SH Other FM 4800
D TOKYO ELECTRON LTD Common 6895675 453 5000 SH Sole 5000 5000
453 5000 SH Defined FM 5000
453 5000 SH Other FM 5000
D YAHOO JAPAN CORP COM STK (WHEN Common 9YHJ00000 248 2 SH Sole 2 2
248 2 SH Defined FM 2
248 2 SH Other FM 2
D YAHOO JAPAN CORP COM STX JPY50 Common 6084848 248 2 SH Sole 2 2
248 2 SH Defined FM 2
248 2 SH Other FM 2
D ADVA OPTICAL NETWORKING AD VPV Common 5653487 1243 13100 SH Sole 13100 13100
1243 13100 SH Defined FM 13100
1243 13100 SH Other FM 13100
S REPORT SUMMARY 1044 DATA RECORDS 57528503 1 OTHER MANAGERS ON WHOSE BEHALF REPORT IS FILED
</TABLE>
19