ALGER FRED MANAGEMENT INC
13F-HR, 2000-04-10
Previous: ALGER FRED MANAGEMENT INC, 4, 2000-04-10
Next: ALLIED CAPITAL CORP, 497, 2000-04-10



                                                     Fred Alger Management Inc.
                                                              FORM 13F
                                                           March 31, 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>
D 724 SOLUTIONS INC              Common           81788Q100   3735      30000 SH       Sole                  30000
D ACTUATE CORPORATION            Common           00508B102   2691      50000 SH       Sole                  50000
D ADELPHIA BUSINESS SOLUTIONS    Common           006847107  19751     320500 SH       Sole                 320500
D ADVENT SOFTWARE INC.           Common           007974108  13955     304200 SH       Sole                 304200
D AFFYMETRIX INC.                Common           00826T108  19666     132485 SH       Sole                 132250      235
D AIRGATE PCS INC                Common           009367103  12829     121600 SH       Sole                 121600
D ALAMOSA PCS HOLDINGS INC       Common           011593100  13401     355000 SH       Sole                 355000
D ALLEGIANCE TELECOM INC.        Common           01747T102   6345      78695 SH       Sole                  78695
D ALPHA INDUSTRIES INC-DEL       Common           020753109  10602     111600 SH       Sole                 111600
D ALPHARMA INC-CL A              Common           020813101   7534     205000 SH       Sole                 205000
D ALTEON WEBSYSTEMS INC          Common           02145A109   2099      25600 SH       Sole                  25600
D ALTERA CORP                    Common           021441100 369039    4134892 SH       Sole                4126082     8810
D ALZA CORP-CL A                 Common           022615108  36556     973200 SH       Sole                 965050     8150
D AMDOCS LIMITED                 Common           G02602103  50601     683800 SH       Sole                 679500     4300
D AMERICA ONLINE INC.            Common           02364J104 288528    4278450 SH       Sole                3733250   545200
                                                              1315      19500 SH       Defined DB                              19500
D AMERICAN ELECTRIC POWER CO INC Common           025537101    847      28400 SH       Sole                  28400
D AMERICAN EXPRESS COMPANY       Common           025816109  85885     576650 SH       Sole                 476150   100500
                                                               506       3400 SH       Defined DB                               3400
D AMERICAN HOME PRODUCTS CORP    Common           026609107 245643    4570100 SH       Sole                4570100
D AMERICAN INTERNATIONAL GROUP I Common           026874107  10207      93218 SH       Sole                  93218
D AMERICAN MOBILE SATELLITE CORP Common           02755R103   2626     109400 SH       Sole                 109400
D AMFM INC                       Common           001693100   5009      80626 SH       Sole                   3516    77110
D AMGEN INC                      Common           031162100 509521    8301765 SH       Sole                7616180   685585
                                                              1363      22200 SH       Defined DB                              22200
D AMKOR TECHNOLOGY INC           Common           031652100  11191     210900 SH       Sole                 208900     2000
D ANTEC CORP.                    Common           03664P105  23360     521273 SH       Sole                 521273
D APPLIED MATERIALS INC          Common           038222105 630330    6687855 SH       Sole                5906710   781145
                                                              2658      28200 SH       Defined DB                              28200
D APPLIED MICRO CIRCUITS CORP.   Common           03822W109  32994     219870 SH       Sole                 219070      800
D ARIBA INC                      Common           04033V104 213567    1018805 SH       Sole                 759350   259455
                                                              1845       8800 SH       Defined DB                               8800
D ART TECHNOLOGY GROUP INC       Common           04289L107  11863     180600 SH       Sole                 179200     1400
D ARTHROCARE CORPORATION         Common           043136100   5566      60500 SH       Sole                  60500
D ASIAINFO HOLDINGS INC          Common           04518A104   1996      33000 SH       Sole                  33000
D ASM LITHOGRAPHY HOLDING NV     Common           N07059111 119492    1069276 SH       Sole                 912431   156845
                                                               536       4800 SH       Defined DB                               4800
D ASPECT COMMUNICATIONS INC.     Common           04523Q102   8261     222900 SH       Sole                 222900
D ASPECT DEVELOPMENT INC         Common           045234101  50453     783740 SH       Sole                 782300     1440
D AT HOME CORP-SER A             Common           045919107 114966    3490424 SH       Sole                3478840    11584
D AT&T CORP LIBERTY MEDIA GROUP  Common           001957208 328311    5535280 SH       Sole                5041625   493655
                                                              1471      24800 SH       Defined DB                              24800
D ATMI INC                       Common           00207R101  49849    1043952 SH       Sole                1036952     7000
D AURORA BIOSCIENCES CORP.       Common           051920106   4083      99900 SH       Sole                  99900
D AVANEX CORP                    Common           05348W109   2276      15000 SH       Sole                  15000
D AWARE INC-MASS                 Common           05453N100  10452     260498 SH       Sole                 260498
D B.J. SERVICES CO.              Common           055482103 133659    1809265 SH       Sole                1710765    98500
                                                               421       5700 SH       Defined DB                               5700
D BEA SYSTEMS INC                Common           073325102  20956     285600 SH       Sole                 285600
D BED BATH & BEYOND INC          Common           075896100  42300    1074277 SH       Sole                1064377     9900
D BERINGER WINE ESTATES HLDS B C Common           084102102   9349     260600 SH       Sole                 260600
D BEST BUY COMPANY INC.          Common           086516101 226937    2638800 SH       Sole                2633800     5000
D BISYS GROUP INC.               Common           055472104  39421     592800 SH       Sole                 592800
D BJS WHOLESALE CLUB INC         Common           05548J106  53333    1389790 SH       Sole                1389790
D BREEZECOM.LTD                  Common           M20385106   1261      33733 SH       Sole                  33733
D BROADBASE SOFTWARE INC         Common           11130R100   2153      27000 SH       Sole                  27000
D BROADCOM CORP.                 Common           111320107 158917     654315 SH       Sole                 654010      305
D BROADVISION  INC               Common           111412102   5385     120000 SH       Sole                 120000
D BROADWING INC                  Common           111620100  15444     415300 SH       Sole                 415300
D BROCADE COMMUNICATIONS SYS INC Common           111621108 324081    1807355 SH       Sole                1499140   308215
                                                              2439      13600 SH       Defined DB                              13600
D BSQUARE CORP                   Common           11776U102   7372     333200 SH       Sole                 333200
D BUSINESS OBJECTS SA SPONSORED  Common           12328X107  38019     382100 SH       Sole                 382100
D CABLEVISION SYSTEMS CORP-CL A  Common           12686C109  16451     270800 SH       Sole                 270800
D CALIPER TECHNOLOGIES CORP      Common           130876105  12778     158000 SH       Sole                 158000
D CALPINE CORP.                  Common           131347106   4926      52400 SH       Sole                  52325       75
D CASTLE CONVERTIBLE FUND INC    Common           148443104   9118     446126 SH       Sole                 446126
                                                                55       2700 SH       Other   ND                               2700
D CELGENE CORP                   Common           151020104  29242     293700 SH       Sole                 293700
D CENTRA SOFTWARE INC COM        Common           15234X103   7174     341600 SH       Sole                 341600
D CEPHALON INC                   Common           156708109   2152      57400 SH       Sole                  57400
D CHARLES SCHWAB CORP            Common           808513105  74622    1313474 SH       Sole                1307624     5850
D CHECK POINT SOFTWARE TECHNOLOG Common           M22465104   4277      25000 SH       Sole                  25000
D CIENA CORPORATION              Common           171779101   5928      47000 SH       Sole                  47000
D CISCO SYSTEMS INC              Common           17275R102 728409    9421617 SH       Sole                8357042  1064575
                                                              2814      36400 SH       Defined DB                              36400
                                                              1072      13860 SH       Other   ND                              13860
D CITADEL COMMUNICATIONS CORP    Common           172853202  13148     311652 SH       Sole                 311652
D CITIGROUP INC.                 Common           172967101 426563    7124224 SH       Sole                6345624   778600
                                                              1653      27600 SH       Defined DB                              27600
D CLEAR CHANNEL COMMUNICATIONS I Common           184502102 178316    2581944 SH       Sole                2054573   527371
                                                              1243      18000 SH       Defined DB                              18000
D CMGI INC.                      Common           125750109   3626      32000 SH       Sole                  32000
D CNET NETWORKS INC.             Common           12613R104 220324    4346708 SH       Sole                3928708   418000
                                                               689      13600 SH       Defined DB                              13600
D COINSTAR INC                   Common           19259P300    681      54000 SH       Sole                  54000
D COMCAST CORP-SPECIAL CL A      Common           200300200 186892    4308760 SH       Sole                3753950   554810
                                                               837      19300 SH       Defined DB                              19300
D COMMERCE ONE INC               Common           200693109  90643     607320 SH       Sole                 512755    94565
                                                               448       3000 SH       Defined DB                               3000
D COMMSCOPE INC                  Common           203372107  17946     392800 SH       Sole                 392800
D CONDUCTUS INC                  Common           206784100   7590     234000 SH       Sole                 234000
D CONEXANT SYSTEMS               Common           207142100  39469     555900 SH       Sole                 555900
D COOPER CAMERON CORP.           Common           216640102  12338     184500 SH       Sole                 182900     1600
D COR THERAPEUTICS INC           Common           217753102  29929     454000 SH       Sole                 454000
D CORNING INC                    Common           219350105 367953    1896665 SH       Sole                1896530      135
D COSTCO WHOLESALE CORP NEW      Common           22160K105 112715    2144400 SH       Sole                1843200   301200
                                                               673      12800 SH       Defined DB                              12800
D COX COMMUNICATIONS INC CL A    Common           224044107 120295    2480300 SH       Sole                2313000   167300
                                                               519      10700 SH       Defined DB                              10700
D COX RADIO INC CL-A             Common           224051102   4720      56192 SH       Sole                  56192
D CRITICAL PATH INC.             Common           22674V100  38530     453300 SH       Sole                 453300
D CSG SYSTEMS INTERNATIONAL INC  Common           126349109   8684     177900 SH       Sole                 177900
D CYGNUS INC                     Common           232560102  12531     864200 SH       Sole                 864200
D CYLINK CORP                    Common           232565101   2929     202000 SH       Sole                 202000
D CYTYC CORP                     Common           232946103  31893     661000 SH       Sole                 661000
D DALLAS SEMICONDUCTOR CORP      Common           235204104  19631     537826 SH       Sole                 537826
D DELL COMPUTER CORP.            Common           247025109 257401    4772200 SH       Sole                4403960   368240
                                                               704      13050 SH       Defined DB                              13050
D DEVON ENERGY CORP NEW          Common           25179M103  19274     396900 SH       Sole                 393500     3400
D DIGEX INC DEL CL A             Common           253756100   5547      50000 SH       Sole                  50000
D DIGITAL ISLAND INC DEL         Common           25385N101  61010    1001190 SH       Sole                 927945    73245
                                                               244       4000 SH       Defined DB                               4000
D DIGITAL LIGHTWAVE INC          Common           253855100  13210     212000 SH       Sole                 212000
D DOVER CORP                     Common           260003108  29395     614000 SH       Sole                 607100     6900
D E PIPHANY INC                  Common           26881V100   2003      15000 SH       Sole                  15000
D E-SPEED INC                    Common           296643109  45126     861600 SH       Sole                 859200     2400
D E-TEK DYNAMICS INC.            Common           269240107  10453      44435 SH       Sole                  44300      135
D E. I. DU PONT DE NEMOURS RESTD Common           9DD905100    281       5300 SH       Sole                   5300
D EBAY INC                       Common           278642103 654640    3719546 SH       Sole                3462311   257235
                                                              1566       8900 SH       Defined DB                               8900
D ECHOSTAR COMMUNICATIONS CORP C Common           278762109 362299    4586065 SH       Sole                4054980   531085
                                                              1469      18600 SH       Defined DB                              18600
D EFFICIENT NETWORKS INC         Common           282056100 118397     760175 SH       Sole                 757900     2275
D ELANTEC SEMICONDUCTOR INC.     Common           284155108   2942      40000 SH       Sole                  40000
D EMMIS COMMUNICATIONS CORPORATI Common           291525103  17921     385400 SH       Sole                 385400
D EMULEX CORP NEW                Common           292475209  35335     323800 SH       Sole                 322800     1000
D ENTRUST TECHNOLOGIES INC       Common           293848107 110189    1295150 SH       Sole                1180700   114450
                                                               417       4900 SH       Defined DB                               4900
D ENZON INC                      Common           293904108  18391     488000 SH       Sole                 488000
D EOG RES INC                    Common           26875P101   6976     329250 SH       Sole                 325450     3800
D ETHAN ALLEN INTERIORS,INC.     Common           297602104  16041     641621 SH       Sole                 641621
D EXODUS COMMUNICATIONS INC      Common           302088109 428325    3048573 SH       Sole                2681053   367520
                                                              1770      12600 SH       Defined DB                              12600
D F.Y.I. INC                     Common           302712104   3296     121500 SH       Sole                 121500
D F5 NETWORKS INC                Common           315616102   1355      20000 SH       Sole                  20000
D FACTSET RESEARCH SYSTEMS INC   Common           303075105  22783     841848 SH       Sole                 841848
D FAMILY DOLLAR STORES INC       Common           307000109  17206     826700 SH       Sole                 816700    10000
D FISERV INC.                    Common           337738108  42849    1152250 SH       Sole                1138600    13650
D FLAG TELECOM LTD               Common           G3529L102   2311     102150 SH       Sole                 101400      750
D FOREST LABORATORIES INC        Common           345838106  80213     949272 SH       Sole                 938772    10500
D FORWARD AIR CORPORATION        Common           349853101   4458     188198 SH       Sole                 188198
D FOUNDRY NETWORKS INC           Common           35063R100   8560      59550 SH       Sole                  59550
D GARTNER GROUP INC CL B         Common           366651206   8387     630000 SH       Sole                 630000
                                                                 1         60 SH       Other   ND                                 60
D GENE LOGIC INC                 Common           368689105   8601     204475 SH       Sole                 203200     1275
D GENENTECH INC COM NEW          Common           368710406   6430      42300 SH       Sole                  42300
D GENERAL ELECTRIC CORP          Common           369604103   7837      50360 SH       Sole                  44760     5600
D GETTY IMAGES INC               Common           374276103  27920     776900 SH       Sole                 776900
D GLOBECOMM SYSTEMS INC          Common           37956X103  11436     428500 SH       Sole                 428500
D GLOBIX CORP                    Common           37957F101  10294     270000 SH       Sole                 270000
D GUIDANT CORP.                  Common           401698105  68943    1171000 SH       Sole                1171000
D HALLIBURTON CO                 Common           406216101 456602   11102790 SH       Sole               10164950   937840
                                                              1283      31200 SH       Defined DB                              31200
D HARLEY DAVIDSON INC.           Common           412822108 131524    1657000 SH       Sole                1650200     6800
D HARMONIC LIGHTWAVES INC.       Common           413160102  21412     257200 SH       Sole                 257200
D HEWLETT PACKARD CO.            Common           428236103   5621      42300 SH       Sole                  42300
D HOME DEPOT INC                 Common           437076102 370040    5737054 SH       Sole                4946319   790735
                                                              1854      28750 SH       Defined DB                              28750
D HOOPER HOLMES INC              Common           439104100  26489     771983 SH       Sole                 771983
D I2 TECHNOLOGIES INC            Common           465754109  80291     657450 SH       Sole                 509350   148100
                                                               598       4900 SH       Defined DB                               4900
D IDEC PHARMACEUTICALS CORP      Common           449370105   3565      36288 SH       Sole                  36288
D IMAGEX COM INC                 Common           45244D102   2757     137000 SH       Sole                 137000
D INFINEON TECHNOLOGIES AG SPONS Common           45662N103  11845     206000 SH       Sole                 206000
D INFOSPACE COM INC              Common           45678T102  37392     257100 SH       Sole                 257100
D INKTOMI CORP.                  Common           457277101 147563     756735 SH       Sole                 755220     1515
D INSITUFORM TECHNOLOGIES INC CL Common           457667103   7662     250200 SH       Sole                 250200
D INTEGRAL SYSTEMS INC.          Common           45810H107   9112     202500 SH       Sole                 202500
D INTEL CORP.                    Common           458140100 446137    3381430 SH       Sole                3053870   327560
                                                              1524      11550 SH       Defined DB                              11550
                                                               545       4128 SH       Other   ND                               4128
D INTERNAP NETWORK SERVICES CORP Common           45885A102   2783      60500 SH       Sole                  60500
D INTERNATIONAL RECTIFIER CORP   Common           460254105   3050      80000 SH       Sole                  80000
D INTERNET CAPITAL GROUP INC     Common           46059C106   5428      60100 SH       Sole                  60100
D INTERSIL HLDG CORP CL-A        Common           46069S109  13423     259700 SH       Sole                 259700
D INTL BUSINESS MACHINES CORP    Common           459200101   2823      23920 SH       Sole                  23820      100
D INTUIT INC.                    Common           461202103 136834    2516479 SH       Sole                2510479     6000
D INVESTMENT TECHNOLOGY GROUP    Common           46145F105  18582     527150 SH       Sole                 524750     2400
D ISS GROUP INC                  Common           450306105  45691     392200 SH       Sole                 392200
D ITC DELTACOM INC               Common           45031T104  27667     776618 SH       Sole                 776618
D JDS UNIPHASE CORP              Common           46612J101  10083      83630 SH       Sole                  83130      500
D KANA COMMUNICATIONS            Common           483600102  15973     234900 SH       Sole                 233900     1000
D KANSAS CITY SOUTHERN INDS. INC Common           485170104 179162    2084800 SH       Sole                2077600     7200
D KING PHARMACEUTICALS           Common           495582108  19287     612300 SH       Sole                 606700     5600
D KLA-TENCOR CORP.               Common           482480100   5645      67000 SH       Sole                  67000
D KPNQWEST N.V.                  Common           N50919104    928      17100 SH       Sole                  17100
D L M ERICSSON TELEPHONE CO. ADR Common           294821400  83409     889100 SH       Sole                 889100
D LAM RESEARCH CORP.             Common           512807108  12924     286800 SH       Sole                 286800
D LATTICE SEMICONDUCTOR CORP.    Common           518415104  23831     352078 SH       Sole                 352078
D LIBERATE TECHNOLOGIES          Common           530129105  44753     713200 SH       Sole                 713200
D LINEAR TECHNOLOGY CORP.        Common           535678106 274913    4998410 SH       Sole                4983210    15200
D LINENS N THINGS INC.           Common           535679104  25580     746850 SH       Sole                 746850
D LSI LOGIC CORP                 Common           502161102  55594     765500 SH       Sole                 765500
D MANAGEMENT NETWORK GROUP INC   Common           561693102   9671     359000 SH       Sole                 359000
D MARKETING SERVICES GROUP INC   Common           570907105   5566     313600 SH       Sole                 313600
D MAXIM INTEGRATED PRODUCTS INC  Common           57772K101  54192     762600 SH       Sole                 756600     6000
                                                               398       5600 SH       Other   ND                               5600
D MCI WORLDCOM INC               Common           55268B106  50154    1106850 SH       Sole                1106850
D MCLEODUSA INC-CL A             Common           582266102  78587     926592 SH       Sole                 712057   214535
                                                               645       7600 SH       Defined DB                               7600
D MEDAREX INC                    Common           583916101   8829     175700 SH       Sole                 175700
D MEDIAONE GROUP INC             Common           58440J104   1294      15971 SH       Sole                  15971
D MEDIMMUNE INC.                 Common           584699102  30090     172806 SH       Sole                 172806
D MERCURY INTERACTIVE CORP.      Common           589405109  25043     316000 SH       Sole                 316000
D MERRILL LYNCH & CO. INC        Common           590188108  42787     407500 SH       Sole                 407500
D METASOLV SOFTWARE INC COM      Common           591393103  11919     201800 SH       Sole                 201800
D METRICOM INC                   Common           591596101  21156     456200 SH       Sole                 456200
D METTLER-TOLEDO  INTERNATIONAL  Common           592688105  20832     508870 SH       Sole                 508870
D MICHAELS STORES INC            Common           594087108  13651     335000 SH       Sole                 335000
D MICROCHIP TECHNOLOGY INC.      Common           595017104 124772    1897671 SH       Sole                1891521     6150
D MICROMUSE INC.                 Common           595094103   9883      71200 SH       Sole                  71200
D MICRON TECHNOLOGY INC.         Common           595112103   8795      69800 SH       Sole                  69800
D MICROSOFT CORP                 Common           594918104 661561    6226455 SH       Sole                5586200   640255
                                                              2337      22000 SH       Defined DB                              22000
D MILLENNIUM PHARMACEUTICALS INC Common           599902103  23586     181605 SH       Sole                 181585       20
D MILLIPORE CORP                 Common           601073109  31447     557200 SH       Sole                 553400     3800
D MINIMED INC.                   Common           60365K108   9712      75000 SH       Sole                  75000
D MORGAN STANLEY,DEAN WITTER & C Common           617446448 409180    4937311 SH       Sole                4680976   256335
                                                               729       8800 SH       Defined DB                               8800
D MOTOROLA INC                   Common           620076109 434994    2979410 SH       Sole                2601050   378360
                                                              1869      12800 SH       Defined DB                              12800
D MRV COMMUNICATIONS INC         Common           553477100   4581      50000 SH       Sole                  50000
D NABORS INDUSTRIES INC          Common           629568106 101446    2613750 SH       Sole                2202650   411100
                                                               675      17400 SH       Defined DB                              17400
D NANCY LEE MINES                Common           630004109      0      11000 SH       Sole                  11000
D NAVIDEC INC                    Common           63934Q101   1333      86000 SH       Sole                  86000
D NEOFORMA.COM INC               Common           640475109    164      10000 SH       Sole                  10000
D NET2000 COMMUNICATIONS INC     Common           64122G103    950      40000 SH       Sole                  40000
D NETWORK APPLIANCE INC.         Common           64120L104  25173     304200 SH       Sole                 304200
D NETWORK SOLUTIONS INC. CL-A    Common           64121Q102   6148      40000 SH       Sole                  40000
D NEW CENTURY ENERGIES INC.      Common           64352U103    872      29000 SH       Sole                  29000
D NEWPORT CORP                   Common           651824104  19615     145300 SH       Sole                 145300
D NEXT LEVEL COMMUNICATIONS INC  Common           65333U104   5552      51050 SH       Sole                  51050
D NEXTEL COMMUNICATIONS INC-CL A Common           65332V103 275120    1855785 SH       Sole                1501085   354700
                                                              1809      12200 SH       Defined DB                              12200
D NEXTEL PARTNERS INC  CL-A      Common           65333F107   5635     194300 SH       Sole                 194300
D NOKIA CORP.-SPONSORED ADR      Common           654902204 181342     816855 SH       Sole                 732320    84535
                                                               577       2600 SH       Defined DB                               2600
D NORTEL NETWORKS CORP           Common           656569100  10545      83605 SH       Sole                  83330      275
D NOVELLUS SYSTEMS INC.          Common           670008101   5405      96300 SH       Sole                  96300
D OFFICIAL PAYMENTS CORP.        Common           676235104  15926     379200 SH       Sole                 379200
D OGE ENERGY CORP.               Common           670837103    959      50000 SH       Sole                  50000
D OMNICOM GROUP INC              Common           681919106 132947    1420000 SH       Sole                1271815   148185
                                                               431       4600 SH       Defined DB                               4600
D ORACLE CORP.                   Common           68389X105 135157    1731400 SH       Sole                1601850   129550
                                                               336       4300 SH       Defined DB                               4300
D OSICOM TECHNOLOGIES INC-NEW    Common           688271501   4063      36200 SH       Sole                  36200
D OUTBACK STEAKHOUSE INC.        Common           689899102  80273    2503650 SH       Sole                2479500    24150
D PACIFIC SUNWEAR OF CALI INC    Common           694873100   4310     111950 SH       Sole                 111950
D PAINE WEBBER GROUP INC         Common           695629105  42885     974650 SH       Sole                 962950    11700
D PALM INC                       Common           696642107  12803     285300 SH       Sole                 201750    83550
                                                               121       2700 SH       Defined DB                               2700
D PAYCHEX INC.                   Common           704326107   6018     114900 SH       Sole                 114900
D PE CORP / CELERA GENOMICS GROU Common           69332S201  34752     377225 SH       Sole                 274015   103210
                                                               295       3200 SH       Defined DB                               3200
D PE CORP / PE BIOSYSTEMS GROUP  Common           69332S102  89307     925465 SH       Sole                 817700   107765
                                                               328       3400 SH       Defined DB                               3400
D PHONE.COM INC                  Common           71920Q100 194543    1192600 SH       Sole                1192600
D PMC-SIERRA INC                 Common           69344F106 154116     756630 SH       Sole                 589370   167260
                                                              1222       6000 SH       Defined DB                               6000
D PRECISION RESPONSE CORP.       Common           740314109   1212      50000 SH       Sole                  50000
D PRI AUTOMATION INC             Common           69357H106  39882     652463 SH       Sole                 652463
D PRIMUS TELECOMMUNICATIONS GROU Common           741929103  13723     265500 SH       Sole                 265500
D PUGET SOUND ENERGY INC.        Common           745332106   1509      68000 SH       Sole                  68000
D Q CARS TECHNOLOGY              Common           QCAR           0      16000 SH       Sole                  16000
D QLOGIC CORP                    Common           747277101  15040     111000 SH       Sole                 109600     1400
D QRS CORP.                      Common           74726X105  14413     191537 SH       Sole                 191537
D QUALCOMM INC.                  Common           747525103  90267     604550 SH       Sole                 443500   161050
                                                               821       5500 SH       Defined DB                               5500
D RADIANT SYSTEMS INC.           Common           75025N102  11003     175000 SH       Sole                 175000
D REALNETWORKS INC               Common           75605L104  17696     310800 SH       Sole                 310800
D REDBACK NETWORK INC            Common           757209101   4049      13500 SH       Sole                  13500
D REGENT COMMUNICATIONS INC      Common           758865109   1237     100000 SH       Sole                 100000
D ROYAL DUTCH PETROLEUM CO. NY.  Common           780257804    324       5600 SH       Sole                   1600     4000
D S1 CORP                        Common           78463B101   8320      97100 SH       Sole                  96000     1100
D SAFEGUARD SCIENTIFICS INC      Common           786449108   3105      45000 SH       Sole                  45000
D SAFEWAY INC                    Common           786514208  86796    1918150 SH       Sole                1918150
D SANDISK CORP                   Common           80004C101   5512      45000 SH       Sole                  45000
D SCIENTIFIC ATLANTA INC         Common           808655104   3302      52200 SH       Sole                  52200
D SDL INC                        Common           784076101 122019     573195 SH       Sole                 572920      275
D SELECTICA INC DEL              Common           816288104   1324      15000 SH       Sole                  15000
D SEPRACOR INC                   Common           817315104  39740     545782 SH       Sole                 545782
D SILICON LABORATORIES INC       Common           826919102   1761      19900 SH       Sole                  19900
D SILICON VALLEY BANCSHARES      Common           827064106   8503     118300 SH       Sole                 117000     1300
D SPRINT CORP PCS SER 1          Common           852061506 100431    1533300 SH       Sole                1191900   341400
                                                               747      11400 SH       Defined DB                              11400
D SPRINT CORP.                   Common           852061100  67058    1060200 SH       Sole                1060000      200
D SPX CORP.                      Common           784635104  19714     173025 SH       Sole                 173025
D STARBUCKS CORP.                Common           855244109  48846    1090000 SH       Sole                1075700    14300
D SUN MICROSYSTEMS INC           Common           866810104 229286    2446940 SH       Sole                1936600   510340
                                                              1705      18200 SH       Defined DB                              18200
D SYCAMORE NETWORKS INC COM      Common           871206108  16241     125900 SH       Sole                 125700      200
D SYMBOL TECHNOLOGIES INC.       Common           871508107  12347     150000 SH       Sole                 150000
D TELAXIS COMMUNICATIONS CORP.   Common           879202109   2771      46100 SH       Sole                  46100
D TELECORP PCS INC CL A          Common           879299105   1035      20000 SH       Sole                  20000
D TELETECH HOLDINGS INC          Common           879939106  19789     573600 SH       Sole                 573600
D TERADYNE INC.                  Common           880770102 313805    3826890 SH       Sole                3343150   483740
                                                              1345      16400 SH       Defined DB                              16400
D TEXAS INSTRUMENTS INC.         Common           882508104 360279    2251745 SH       Sole                1846270   405475
                                                              2240      14000 SH       Defined DB                              14000
D TIME WARNER INC.               Common           887315109 158400    1584000 SH       Sole                1579500     4500
D TIME WARNER TELECOM INC CLASS  Common           887319101  26275     330500 SH       Sole                 330500
D TRUE NORTH COMMUNICATIONS INC  Common           897844106   1966      50000 SH       Sole                  50000
D TWEETER HOME & ENTERTAINMENT G Common           901167106  17744     401000 SH       Sole                 401000
D TYCO INTERNATIONAL LTD NEW     Common           902124106    200       4000 SH       Sole                   4000
D UNITED STATIONERS INC          Common           913004107   5842     163700 SH       Sole                 163700
D UNITED TECHNOLOGIES CORP.      Common           913017109 127493    2017700 SH       Sole                2017700
D VALUEVISION INTERNATIONAL INC  Common           92047K107   4551     110000 SH       Sole                 110000
D VARCO INTERNATIONAL INC.       Common           922126107  14379    1138910 SH       Sole                1138910
D VARIAN INC                     Common           922206107   9594     250000 SH       Sole                 250000
D VARIAN SEMICONDUCTOR EQUIPMENT Common           922207105   9544     150000 SH       Sole                 150000
D VEECO INSTRUMENTS INC-DEL      Common           922417100   4259      57550 SH       Sole                  57550
D VERISIGN INC.                  Common           92343E102  66220     442945 SH       Sole                 334480   108465
                                                               493       3300 SH       Defined DB                               3300
D VERITAS SOFTWARE CORP          Common           923436109  80487     614405 SH       Sole                 570925    43480
                                                               432       3300 SH       Defined DB                               3300
D VERTICALNET INC-PA             Common           92532L107   6664      49000 SH       Sole                  49000
D VIGNETTE CORP.                 Common           926734104 243991    1522566 SH       Sole                1229351   293215
                                                              1651      10300 SH       Defined DB                              10300
D VITESSE SEMICONDUCTOR CORP     Common           928497106  42283     439300 SH       Sole                 439300
D VITRIA TECHNOLOGY INC COM      Common           92849Q104  67222     666800 SH       Sole                 553950   112850
                                                               373       3700 SH       Defined DB                               3700
D WAL-MART STORES INC            Common           931142103 196831    3483730 SH       Sole                3060710   423020
                                                               825      14600 SH       Defined DB                              14600
D WARNER LAMBERT CO.             Common           934488107 353306    3616700 SH       Sole                3616700
D WATERS CORP.                   Common           941848103  57143     599927 SH       Sole                 594827     5100
D WEBMETHODS INC                 Common           94768C108   2896      12000 SH       Sole                  12000
D WELLS FARGO & CO NEW           Common           949746101    493      12100 SH       Sole                  12100
D WESTELL TECHNOLOGIES INC - CL  Common           957541105  17069     535500 SH       Sole                 535500
D WESTERGAARD ONLINE SYSTEMS,INC Common           957565104      6      10000 SH       Other   ND                              10000
D XILINX INC                     Common           983919101 213378    2576645 SH       Sole                1967700   608945
                                                              1714      20700 SH       Defined DB                              20700
D YAHOO INC.                     Common           984332106 360821    2105449 SH       Sole                1775149   330300
                                                              1885      11000 SH       Defined DB                              11000
D YOUNG & RUBICAM INC.           Common           987425105  52029    1107005 SH       Sole                1101905     5100
D APACHE CORP DEPOSITORY SHARES  Conv Pref.       037411600   1350      30000 SH       Sole                  30000
D BETHLEHEM STEEL CORP $5 CV PFD Conv Pref.       087509303    850      20000 SH       Sole                  20000
D CALPINE CAPITAL TRUST 5.50% IN Conv Pref.       13134E200   1092      20000 SH       Sole                  20000
D CANADIAN NATL RWY CO PFD CONV  Conv Pref.       136375409    666      16000 SH       Sole                  16000
D CNB CAPITAL TRUST I            Conv Pref.       12613G207   2047      63000 SH       Sole                  63000
D COX COMMUNICATIONS INC NEW INC Conv Pref.       224044305    952      15000 SH       Sole                  15000
D COX COMMUNICATIONS PRIZES      Conv Pref.       224044503   1210      10000 SH       Sole                  10000
D DOLLAR GENERAL STRYPES TRUST   Conv Pref.       256678103    956      25000 SH       Sole                  25000
D EL PASO ENERGY CAPITAL TRUST I Conv Pref.       283678209   1942      37000 SH       Sole                  37000
D ENRON CORP EXCHANGEABLE NOTES  Conv Pref.       293561882   1324      60000 SH       Sole                  60000
D ENTERCOM COMMUNICATIONS CAP TR Conv Pref.       29363P104   1222      20000 SH       Sole                  20000
D HANNOVER COMPRESSOR CAP TRUST  Conv Pref.       41076M203   2059      25000 SH       Sole                  25000
D HERCULES TRUST II UNIT $1000 P Conv Pref.       4270983ZZ    997       1800 SH       Sole                   1800
D INTERNATIONAL PAPER CAPITAL TS Conv Pref.       460137300   1361      30000 SH       Sole                  30000
D MCLEODUSA INC PFD CONV SER A   Conv Pref.       582266201   1291       1800 SH       Sole                   1800
D NEWFIELD FINANCIAL TRUST I 6.5 Conv Pref.       651291205   1509      26100 SH       Sole                  26100
D PROLOGIS TRUST PFD CONV SH BEN Conv Pref.       743410300    960      40000 SH       Sole                  40000
D TXI CAPITAL TRUST I PFD SECS   Conv Pref.       873119200   1124      35000 SH       Sole                  35000
D UNION PACIFIC CAPITAL TRUST TE Conv Pref.       907824403   1213      31000 SH       Sole                  31000
D UNOCAL CAPITAL TRUST-6.25%     Conv Pref.       91528T207   1765      40000 SH       Sole                  40000
D WEATHERFORD - EVI INC 5% CONV  Conv Pref.       268939402   1684      35000 SH       Sole                  35000
D ALGER GROWTH PORTFOLIO CL A.   Mutual Funds     015565856   5925 358464.364 SH       Other   ND                         358464.364
D ALGER SMALL CAP PORTFOLIO CL A Mutual Funds     015565872   3855 334946.351 SH       Other   ND                         334946.351
D SPECTRA FUND INC               Mutual Funds     847561107    430  28665.614 SH       Sole              28665.614
                                                              1086  72431.315 SH       Other   ND                          72431.315
D THE ALGER  FUND CAPITAL APPREC Mutual Funds     015565849    265  14618.189 SH       Other   ND                          14618.189
D THE ALGER AMERICAN ASSET GROWT Mutual Funds     985109999   8690 221293.910 SH       Other   ND                         221293.910
D THE ALGER AMERICAN FUND GROWTH Mutual Funds     015544505   2593  36503.718 SH       Other   ND                          36503.718
D THE ALGER AMERICAN FUND SMALL  Mutual Funds     015544406   1647  27547.809 SH       Other   ND                          27547.809
D THE ALGER FUND GROWTH CL B     Mutual Funds     015565609   1204  75323.752 SH       Other   ND                          75323.752
D THE ALGER FUND SMALL CAP CL B  Mutual Funds     015565500    639  57137.886 SH       Other   ND                          57137.886
S REPORT SUMMARY                367 DATA RECORDS            20149017            2 OTHER MANAGERS ON WHOSE BEHALF REPORT IS FILED
</TABLE>



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