ALGER FRED MANAGEMENT INC
13F-HR, 2000-11-22
Previous: AIR PRODUCTS & CHEMICALS INC /DE/, 8-K, 2000-11-22
Next: ENTERPRISE GROUP OF FUNDS INC, 497, 2000-11-22





                                                     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



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