ALGER FRED MANAGEMENT INC
13F-HR, 2001-01-16
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                                                     Fred Alger Management Inc.
                                                              FORM 13F
                                                       FRED ALGER & CO., INC.
                                                          December 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>      <C>
D ABBOTT LABORATORIES            Common           002824100    47254   975570 SH       Sole                 924247    51323
D ACTEL CORP.                    Common           004934105     2666   110215 SH       Sole                 110215
D ACTUATE CORPORATION            Common           00508B102    13773   720170 SH       Sole                 717270     2900
D ADOBE SYSTEMS INC.             Common           00724F101      291     5000 SH       Sole                   5000
D ADVANCED PARADIGM INC          Common           007491103    15753   346230 SH       Sole                 345730      500
D AFFILIATED MANAGERS GROUP INC. Common           008252108    18344   334290 SH       Sole                 333940      350
D AFFYMETRIX INC.                Common           00826T108    86390  1160565 SH       Sole                1154875     5690
D AGILE SOFTWARE CORP            Common           00846X105     6132   124200 SH       Sole                 117200     7000
D ALBANY MOLECULAR RESEARCH INC. Common           012423109     9546   154900 SH       Sole                 154900
D ALLERGAN INC.                  Common           018490102    12595   130100 SH       Sole                 127900     2200
D ALTERA CORP                    Common           021441100   106708  4055425 SH       Sole                3688550   366875
                                                                 434    16500 SH       Defined DB                              16500
D ALZA CORP-CL A                 Common           022615108   214777  5053565 SH       Sole                4948500   105065
D AMDOCS LIMITED                 Common           G02602103   104920  1583695 SH       Sole                1579300     4395
D AMERICA ONLINE INC.            Common           02364J104   194763  5596630 SH       Sole                4952760   643870
                                                                 698    20050 SH       Defined DB                              20050
D AMERICAN ELECTRIC POWER CO INC Common           025537101     1321    28400 SH       Sole                  28400
D AMERICAN EXPRESS COMPANY       Common           025816109    45933   836090 SH       Sole                 780840    55250
D AMERICAN HOME PRODUCTS CORP    Common           026609107   387919  6104150 SH       Sole                5593055   511095
                                                                 941    14800 SH       Defined DB                              14800
D AMERICAN INTERNATIONAL GROUP I Common           026874107   359873  3651216 SH       Sole                3199367   451849
                                                                1626    16500 SH       Defined DB                              16500
D AMERISOURCE HEALTH CORP-CL A   Common           03071P102   105498  2089075 SH       Sole                2075085    13990
D AMGEN INC                      Common           031162100   461711  7221285 SH       Sole                6485095   736190
                                                                1180    18450 SH       Defined DB                              18450
D APPLIED MATERIALS INC          Common           038222105      281     7350 SH       Sole                   2550     4800
D APPLIED MICRO CIRCUITS CORP.   Common           03822W109     1178    15698 SH       Sole                  15098      600
D ARIBA INC                      Common           04033V104   154284  2877090 SH       Sole                2564070   313020
                                                                 713    13300 SH       Defined DB                              13300
D ARTESYN TECHNOLOGIES INC.      Common           043127109     6401   403200 SH       Sole                 403200
D ASIAINFO HOLDINGS INC          Common           04518A104      184    19600 SH       Sole                  19600
D ASPEN TECHNOLOGY INC           Common           045327103    12322   370600 SH       Sole                 370000      600
D AT&T CORP LIBERTY MEDIA GROUP  Common           001957208    91241  6727430 SH       Sole                6052480   674950
                                                                 405    29850 SH       Defined DB                              29850
D AT&T CORP.                     Common           001957109      247    14302 SH       Sole                  14302
D AUDIOCODES LTD ORD             Common           M15342104      198    14600 SH       Sole                  14600
D AURORA BIOSCIENCES CORP.       Common           051920106    14425   458850 SH       Sole                 458250      600
D AVANT IMMUNOTHERAPEUTICS INC   Common           053491106     2027   294900 SH       Sole                 294900
D AVIRON                         Common           053762100    13000   194570 SH       Sole                 194370      200
D AVOCENT CORP                   Common           053893103     9290   344075 SH       Sole                 343675      400
D B.J. SERVICES CO.              Common           055482103   197920  2873615 SH       Sole                2625735   247880
                                                                 585     8500 SH       Defined DB                               8500
D BANK OF NEW YORK CO. INC.      Common           064057102    97325  1763540 SH       Sole                1479955   283585
                                                                 742    13450 SH       Defined DB                              13450
D BAXTER INTERNATIONAL INC       Common           071813109   419081  4745430 SH       Sole                4379335   366095
                                                                 720     8150 SH       Defined DB                               8150
D BEST BUY COMPANY INC.          Common           086516101    50313  1701930 SH       Sole                1676490    25440
D BINDLEY WESTERN INDUSTRY INC   Common           090324104    24511   589750 SH       Sole                 589750
D BISYS GROUP INC.               Common           055472104    27899   535240 SH       Sole                 534140     1100
D BLACKROCK INC.                 Common           09247X101    27691   659311 SH       Sole                 658161     1150
D CALIFORNIA PIZZA KITCHEN INC.  Common           13054D109     8633   305590 SH       Sole                 304890      700
D CALPINE CORP.                  Common           131347106   255661  5673475 SH       Sole                5613465    60010
D CARDINAL HEALTH INC.           Common           14149Y108   414784  4163453 SH       Sole                3776175   387278
                                                                1285    12900 SH       Defined DB                              12900
D CASTLE CONVERTIBLE FUND INC    Common           148443104    10261   446126 SH       Sole                 446126
                                                                  62     2700 SH       Other   ND                               2700
D CELGENE CORP                   Common           151020104    25307   778690 SH       Sole                 771420     7270
D CELL THERAPEUTICS INC - NEW    Common           150934107    10950   243000 SH       Sole                 243000
D CEPHALON INC                   Common           156708109    42636   673426 SH       Sole                 669391     4035
D CERAGON NETWORKS LTD.          Common           M22013102      622    51550 SH       Sole                  51550
D CHARLES SCHWAB CORP            Common           808513105   164660  5803001 SH       Sole                5307056   495945
                                                                 582    20500 SH       Defined DB                              20500
D CHECK POINT SOFTWARE TECHNOLOG Common           M22465104      508     3800 SH       Sole                   3800
D CHEESECAKE FACTORY INC         Common           163072101    25148   655325 SH       Sole                 654425      900
D CHINA MOBILE HONG KONG LTD SPO Common           16941M109     1134    41800 SH       Sole                  41800
D CHUBB CORP.                    Common           171232101     7223    83500 SH       Sole                  83500
D CIENA CORPORATION              Common           171779101    14077   173250 SH       Sole                 167150     6100
D CISCO SYSTEMS INC              Common           17275R102   402929 10534080 SH       Sole                9660982   873098
                                                                1125    29400 SH       Defined DB                              29400
                                                                 530    13860 SH       Other   ND                              13860
D CITIGROUP INC.                 Common           172967101   508261  9953697 SH       Sole                8925547  1028150
                                                                1879    36800 SH       Defined DB                              36800
D CLEAR CHANNEL COMMUNICATIONS I Common           184502102      632    13038 SH       Sole                     23    13015
D CNET NETWORKS INC.             Common           12613R104    14958   934850 SH       Sole                 934250      600
D COACH INC                      Common           189754104      575    20000 SH       Sole                  20000
D COCA COLA CO.                  Common           191216100   128232  2104322 SH       Sole                2011295    93027
D COMCAST CORP-SPECIAL CL A      Common           200300200   173507  4155865 SH       Sole                3732325   423540
                                                                 806    19300 SH       Defined DB                              19300
D COMMERCE ONE INC               Common           200693109   146221  5776628 SH       Sole                5454513   322115
                                                                 267    10550 SH       Defined DB                              10550
D COMPUTER NETWORK TECHNOLOGY CO Common           204925101    11370   394605 SH       Sole                 394105      500
D CONCORD CAMERA CORP            Common           206156101    13149   796883 SH       Sole                 795783     1100
D CONCORD EFS INC.               Common           206197105     8177   186100 SH       Sole                 184100     2000
D CONTINENTAL AIRLINES INC-CL B  Common           210795308    11247   217865 SH       Sole                 215200     2665
D COOPER CAMERON CORP.           Common           216640102    74822  1132595 SH       Sole                1122650     9945
D CORNING INC                    Common           219350105    42204   799127 SH       Sole                 799127
D CORPORATE EXECUTIVE BOARD CO.  Common           21988R102    15842   398385 SH       Sole                 397785      600
D CROSS TIMBERS OIL CO           Common           227573102     9264   333825 SH       Sole                 333325      500
D CROSSWAVE COMMUNICATIONS INC A Common           227686102      419    52000 SH       Sole                  52000
D CSG SYSTEMS INTERNATIONAL INC  Common           126349109    12036   256425 SH       Sole                 256400       25
D CYTYC CORP                     Common           232946103    11643   186100 SH       Sole                 185800      300
D DDI CORP                       Common           233162106    13760   504970 SH       Sole                 503970     1000
D DELL COMPUTER CORP.            Common           247025109   214320 12290765 SH       Sole               11369675   921090
                                                                 313    17975 SH       Defined DB                              17975
D DEVON ENERGY CORP NEW          Common           25179M103    37057   607795 SH       Sole                 601700     6095
D DIGITAL LIGHTWAVE INC          Common           253855100     7101   224080 SH       Sole                 224080
D DOCUMENTUM INC                 Common           256159104     6961   140100 SH       Sole                 140100
D DOVER CORP                     Common           260003108    13045   321600 SH       Sole                 321600
D DUKE ENERGY CORP               Common           264399106    74935   879005 SH       Sole                 791760    87245
                                                                 247     2900 SH       Defined DB                               2900
D DUPONT PHOTOMASKS INC          Common           26613X101     8523   161288 SH       Sole                 161288
D E. I. DU PONT DE NEMOURS RESTD Common           9DD905100      237     4900 SH       Sole                   4900
D EBAY INC                       Common           278642103   337370 10223345 SH       Sole                9557395   665950
                                                                 716    21700 SH       Defined DB                              21700
D EFFICIENT NETWORKS INC         Common           282056100     5920   415445 SH       Sole                 414725      720
D EGL INC                        Common           268484102     4995   208650 SH       Sole                 208150      500
D ELANTEC SEMICONDUCTOR INC.     Common           284155108     8440   304135 SH       Sole                 303735      400
D ELI LILLY & CO                 Common           532457108   154022  1655035 SH       Sole                1433635   221400
                                                                 479     5150 SH       Defined DB                               5150
D EMC CORP.                      Common           268648102   290823  4373278 SH       Sole                4020081   353197
                                                                 748    11250 SH       Defined DB                              11250
D ENTRAVISION COMMUNICATIONS COR Common           29382R107    14848   808030 SH       Sole                 800400     7630
D ENZON INC                      Common           293904108    27579   444370 SH       Sole                 443470      900
D EOG RES INC                    Common           26875P101    37169   680445 SH       Sole                 673700     6745
D EVOLVE SOFTWARE INC            Common           30049P104      431    88435 SH       Sole                  88435
D EXAR CORP                      Common           300645108     4115   132820 SH       Sole                 132820
D EXODUS COMMUNICATIONS INC      Common           302088109    20312  1015577 SH       Sole                 906715   108862
D EXPRESS SCRIPTS INC - CL A     Common           302182100    52416   512630 SH       Sole                 510325     2305
D EXTREME NETWORKS INC           Common           30226D106     5066   129490 SH       Sole                 122090     7400
D EXULT INC                      Common           302284104    14119  1065565 SH       Sole                1060465     5100
D EXXON MOBIL CORP               Common           30231G102   283626  3262412 SH       Sole                2987665   274747
                                                                 548     6300 SH       Defined DB                               6300
D FACTSET RESEARCH SYSTEMS INC   Common           303075105    37523  1012233 SH       Sole                1010883     1350
D FEDERATED INVESTORS INC (PA.)  Common           314211103    33168  1138800 SH       Sole                1136700     2100
D FISERV INC.                    Common           337738108      524    11050 SH       Sole                  10000     1050
D FLEXTRONICS INTERNATIONAL LTD. Common           Y2573F102    19759   693315 SH       Sole                 690100     3215
D FOREST LABORATORIES INC        Common           345838106   112456   846330 SH       Sole                 838350     7980
D FORWARD AIR CORPORATION        Common           349853101    11837   317241 SH       Sole                 316841      400
D FUELCELL ENERGY INC            Common           35952H106    11200   163360 SH       Sole                 163160      200
D FURUKAWA ELECTRIC CO LTD ADR   Common           361118102      633     3625 SH       Sole                   3625
D GEMSTAR TV GUIDE INTL INC      Common           36866W106     3229    70000 SH       Sole                  70000
D GENENTECH INC COM NEW          Common           368710406     6895    84600 SH       Sole                  84600
D GENERAL DYNAMICS CORP          Common           369550108   116561  1494375 SH       Sole                1321990   172385
                                                                 632     8100 SH       Defined DB                               8100
D GENERAL ELECTRIC CORP          Common           369604103   406173  8472970 SH       Sole                7739576   733394
                                                                1161    24219 SH       Defined DB                              24219
D GENZYME CORP-GENERAL DIVISION  Common           372917104    26686   296719 SH       Sole                 295263     1456
D GILEAD SCIENCES INC            Common           375558103    24717   298025 SH       Sole                 296100     1925
D GPU INC                        Common           36225X100     1104    30000 SH       Sole                  30000
D GREATER BAY BANCORP            Common           391648102    10373   253010 SH       Sole                 252610      400
D GREY WOLF INC                  Common           397888108     9909  1686650 SH       Sole                1684300     2350
D GRUPO TELEVISA SA DE CV-GDS    Common           40049J206      649    14450 SH       Sole                  14450
D GUIDANT CORP.                  Common           401698105    79110  1466705 SH       Sole                1395430    71275
D HALLIBURTON CO                 Common           406216101   213357  5885715 SH       Sole                5628890   256825
D HARLEY DAVIDSON INC.           Common           412822108    52444  1319355 SH       Sole                1318000     1355
D HOME DEPOT INC                 Common           437076102   149190  3265455 SH       Sole                2824869   440586
                                                                 914    20000 SH       Defined DB                              20000
D I2 TECHNOLOGIES INC            Common           465754109   168827  3104863 SH       Sole                2800168   304695
                                                                 707    13000 SH       Defined DB                              13000
D IDEC PHARMACEUTICALS CORP      Common           449370105    14393    75930 SH       Sole                  75830      100
D IMMUNEX CORP NEW               Common           452528102   112133  2760205 SH       Sole                2464215   295990
                                                                 561    13800 SH       Defined DB                              13800
D IMPATH INC                     Common           45255G101    20580   309475 SH       Sole                 309075      400
D INFORMATICA CORP               Common           45666Q102    16949   428400 SH       Sole                 426600     1800
D INFORMAX INC                   Common           45677N205     3412   328855 SH       Sole                 328855
D INTEGRATED CIRCUIT SYSTEMS INC Common           45811K208    15049   908600 SH       Sole                 907400     1200
D INTEL CORP.                    Common           458140100     6504   216348 SH       Sole                 141505    74843
                                                                 248     8256 SH       Other   ND                               8256
D INTERWOVEN INC                 Common           46114T102    15443   234200 SH       Sole                 233800      400
D INTL BUSINESS MACHINES CORP    Common           459200101     2033    23920 SH       Sole                  23820      100
D INTUIT INC.                    Common           461202103   109500  2776550 SH       Sole                2738045    38505
D INVERNESS MED TECHNOLOGY INC   Common           461268104     4190   107600 SH       Sole                 107600
D INVESTMENT TECHNOLOGY GROUP    Common           46145F105    21676   519185 SH       Sole                 515605     3580
D INVESTORS FINANCIAL SERVICES   Common           461915100    34219   397900 SH       Sole                 397300      600
D JUNIPER NETWORKS               Common           48203R104     7572    60065 SH       Sole                  60065
D KEITHLEY INSTRUMENTS INC       Common           487584104    16647   386585 SH       Sole                 386235      350
D KRISPY KREME DOUGHNUTS INC.    Common           501014104     2693    32450 SH       Sole                  32450
D KROGER CO.                     Common           501044101    69241  2558570 SH       Sole                2416200   142370
D L M ERICSSON TELEPHONE CO. ADR Common           294821400      210    18800 SH       Sole                  18800
D LABORATORY CORP AMER HLDGS     Common           50540R409   121353   689505 SH       Sole                 687720     1785
D LAMAR ADVERTISING CO-CL A      Common           512815101    22848   592015 SH       Sole                 585350     6665
D LIFEPOINT HOSPITALS INC        Common           53219L109    18774   374550 SH       Sole                 374150      400
D LINEAR TECHNOLOGY CORP.        Common           535678106    62212  1345115 SH       Sole                1345115
D MANUGISTICS GROUP INC          Common           565011103    17220   302100 SH       Sole                 301700      400
D MARCONI PLC SPONSORED ADR      Common           566306205      334    16250 SH       Sole                  16250
D MARSH & McLENNAN COMPANIES INC Common           571748102   267281  2284450 SH       Sole                2000272   284178
                                                                1228    10500 SH       Defined DB                              10500
D MATRIXONE INC                  Common           57685P304     2630   144600 SH       Sole                 127600    17000
D MAXIM INTEGRATED PRODUCTS INC  Common           57772K101      268     5600 SH       Other   ND                               5600
D MCLEODUSA INC-CL A             Common           582266102    14218  1006557 SH       Sole                 877957   128600
                                                                  79     5600 SH       Defined DB                               5600
D MERCK & CO INC                 Common           589331107       24      260 SH       Sole                             260
                                                                 243     2600 SH       Other   ND                               2600
D MERRILL LYNCH & CO. INC        Common           590188108   119731  1755905 SH       Sole                1621310   134595
                                                                 242     3550 SH       Defined DB                               3550
D METTLER-TOLEDO  INTERNATIONAL  Common           592688105    10132   186330 SH       Sole                 186030      300
D MICROCHIP TECHNOLOGY INC.      Common           595017104    69181  3153529 SH       Sole                3132025    21504
D MICROMUSE INC.                 Common           595094103    16978   281290 SH       Sole                 280890      400
D MICROSOFT CORP                 Common           594918104   262650  6055325 SH       Sole                5590410   464915
                                                                 503    11600 SH       Defined DB                              11600
D MICROTUNE INC                  Common           59514P109    10003   603925 SH       Sole                 603125      800
D MID ATLANTIC MEDICAL SERVICES  Common           59523C107     8683   438250 SH       Sole                 438250
D MILLIPORE CORP                 Common           601073109    40421   641600 SH       Sole                 633700     7900
D MINIMED INC.                   Common           60365K108     1534    36500 SH       Sole                  35900      600
D MITCHELL ENERGY & DEV CORP - C Common           606592202     8853   144540 SH       Sole                 144240      300
D MORGAN STANLEY,DEAN WITTER & C Common           617446448    76579   966295 SH       Sole                 842415   123880
                                                                 436     5500 SH       Defined DB                               5500
D MOTOROLA INC                   Common           620076109     4246   209700 SH       Sole                 209700
D MRV COMMUNICATIONS INC         Common           553477100     9449   706450 SH       Sole                 705450     1000
D MYRIAD GENETICS                Common           62855J104     9386   113430 SH       Sole                 113130      300
D NABORS INDUSTRIES INC          Common           629568106   201935  3413950 SH       Sole                3078400   335550
                                                                 553     9350 SH       Defined DB                               9350
D NANCY LEE MINES                Common           630004109        0    11000 SH       Sole                  11000
D NETEGRITY INC.                 Common           64110P107     8732   160582 SH       Sole                 160182      400
D NEWPORT CORP                   Common           651824104    44955   571880 SH       Sole                 571040      840
D NOKIA CORP.-SPONSORED ADR      Common           654902204   224102  5151767 SH       Sole                4550410   601357
                                                                1159    26650 SH       Defined DB                              26650
D NORTEL NETWORK CORP NEW        Common           656568102    70557  2200605 SH       Sole                2045855   154750
                                                                 248     7750 SH       Defined DB                               7750
D NORTHERN TRUST CORP            Common           665859104     9470   116110 SH       Sole                 110850     5260
D NOVATEL WIRELESS INC           Common           66987M109      742    60000 SH       Sole                  60000
D NPS PHARMACUTICALS             Common           62936P103    10481   218350 SH       Sole                 217950      400
D OAK TECHNOLOGY INC.            Common           671802106     3131   360365 SH       Sole                 360365
D OGE ENERGY CORP.               Common           670837103     1222    50000 SH       Sole                  50000
D OMNICOM GROUP INC              Common           681919106    64971   783959 SH       Sole                 721930    62029
D OPENWAVE SYSYTEMS INC          Common           683718100   141297  2947520 SH       Sole                2676523   270997
                                                                 614    12800 SH       Defined DB                              12800
D ORACLE CORP.                   Common           68389X105   225174  7747935 SH       Sole                6806662   941273
                                                                1090    37500 SH       Defined DB                              37500
D ORIENT EXPRESS HOTELS LTD      Common           G67743107     8454   392055 SH       Sole                 391055     1000
D ORTHODONTIC CENTERS OF AMERICA Common           68750P103    16800   537601 SH       Sole                 536851      750
D OUTBACK STEAKHOUSE INC.        Common           689899102    51115  1975450 SH       Sole                1963300    12150
D PARTHUS TECHNOLOGIES PLC SPONS Common           70211Y103      394    15000 SH       Sole                  15000
D PATTERSON ENERGY INC           Common           703414102     7454   200100 SH       Sole                 199700      400
D PAYCHEX INC.                   Common           704326107     7286   149850 SH       Sole                 149850
D PEOPLESOFT INC                 Common           712713106    68950  1854125 SH       Sole                1829350    24775
D PFIZER INC                     Common           717081103   557906 12128387 SH       Sole               11284263   844124
                                                                1203    26150 SH       Defined DB                              26150
D PHARMACIA CORP.                Common           71713U102    59188   970300 SH       Sole                 934300    36000
D PHARMACOPEIA INC.              Common           71713B104     2297   105300 SH       Sole                 105300
D PHILIP MORRIS COMPANIES INC    Common           718154107   259260  5892280 SH       Sole                5505110   387170
                                                                 455    10350 SH       Defined DB                              10350
D PLANTRONICS INC. NEW           Common           727493108     9555   203290 SH       Sole                 202790      500
D PLEXUS CORP                    Common           729132100    14024   461450 SH       Sole                 460850      600
D PMC-SIERRA INC                 Common           69344F106     1637    20825 SH       Sole                  20825
D PROVINCE HEALTHCARE CO         Common           743977100    27648   702175 SH       Sole                 701275      900
D PROXIM INC.                    Common           744284100     7534   175220 SH       Sole                 175220
D Q CARS TECHNOLOGY              Common           QCAR             0    16000 SH       Sole                  16000
D QIAGEN NV                      Common           N72482107     8678   250850 SH       Sole                 250850
D QLT INC                        Common           746927102     1012    36150 SH       Sole                  36150
D QUALCOMM INC.                  Common           747525103   181761  2211537 SH       Sole                1900247   311290
                                                                1157    14080 SH       Defined DB                              14080
D R G S ENERGY GROUP INC         Common           74956K104     1297    40000 SH       Sole                  40000
D RAMBUS INC.-DEL                Common           750917106     2464    68200 SH       Sole                  62200     6000
D REALNETWORKS INC               Common           75605L104      870   100200 SH       Sole                 100200
D REDBACK NETWORK INC            Common           757209101     4615   112565 SH       Sole                 108065     4500
D REHABCARE GROUP INC            Common           759148109    15481   301331 SH       Sole                 301031      300
D RESEARCH IN MOTION LTD NEW     Common           760975102    87680  1096000 SH       Sole                1094500     1500
D ROYAL DUTCH PETROLEUM CO. NY.  Common           780257804      339     5600 SH       Sole                   1600     4000
D SAFEWAY INC                    Common           786514208   312699  5003180 SH       Sole                4453780   549400
                                                                1175    18800 SH       Defined DB                              18800
D SANMINA CORP                   Common           800907107   185703  2423525 SH       Sole                2361730    61795
D SANTA FE INTERNATIONAL CORP.   Common           G7805C108    18324   571515 SH       Sole                 565550     5965
D SBC COMMUNICATIONS INC.        Common           78387G103    70245  1471095 SH       Sole                1406725    64370
D SELECTICA INC DEL              Common           816288104      764    31600 SH       Sole                  14600    17000
D SHAW GROUP INC                 Common           820280105    46769   935380 SH       Sole                 933580     1800
D SILICON VALLEY BANCSHARES      Common           827064106    12416   359220 SH       Sole                 358720      500
D SKYWEST INC.                   Common           830879102    10184   354240 SH       Sole                 353640      600
D SMITH INTERNATIONAL INC        Common           832110100    66919   897490 SH       Sole                 891500     5990
D SMTC CORPORATION               Common           832682108     4673   343000 SH       Sole                 343000
D SOLECTRON CORP.                Common           834182107   234449  6915895 SH       Sole                6357360   558535
                                                                 827    24400 SH       Defined DB                              24400
D SONY CORP-ADR NEW              Common           835699307      695    10000 SH       Sole                  10000
D SOUTHWEST BANCORPORATION OF TE Common           84476R109    18311   426450 SH       Sole                 425850      600
D SPECIALTY LABORATORIES         Common           84749R100    12147   366700 SH       Sole                 366700
D SPECRASITE HOLDINGS INC        Common           84760T100    23544  1776925 SH       Sole                1763500    13425
D SPEECHWORKS INTL INC           Common           84764M101    14800   301650 SH       Sole                 301150      500
D SPINNAKER EXPL CO              Common           84855W109    13063   307360 SH       Sole                 306960      400
D SPX CORP.                      Common           784635104    31084   287315 SH       Sole                 285075     2240
D ST MARY LAND & EXPLORATION CO  Common           792228108    12231   367150 SH       Sole                 366500      650
D STARBUCKS CORP.                Common           855244109    79136  1788380 SH       Sole                1771550    16830
D STATE STREET CORP              Common           857477103    37220   299650 SH       Sole                 264435    35215
                                                                 199     1600 SH       Defined DB                               1600
D STILWELL FINANCIAL INC         Common           860831106   166117  4212155 SH       Sole                4158200    53955
D SUN MICROSYSTEMS INC           Common           866810104   282986 10151976 SH       Sole                9182990   968986
                                                                 958    34350 SH       Defined DB                              34350
D SWIFT ENERGY CO                Common           870738101    10950   291035 SH       Sole                 290735      300
D TELECOMMUNICATIONS SYSTEMS INC Common           87929J103      939   278300 SH       Sole                 277900      400
D TERADYNE INC.                  Common           880770102    42571  1142850 SH       Sole                1110000    32850
D TIME WARNER INC.               Common           887315109    84066  1609218 SH       Sole                1604500     4718
D TITAN PHARMACEUTICALS INC-DEL  Common           888314101     1848    52250 SH       Sole                  52000      250
D TRANSOCEAN SEDCO FOREX INC     Common           G90078109   177215  3852500 SH       Sole                3769340    83160
D TYCO INTERNATIONAL LTD NEW     Common           902124106   405984  7315025 SH       Sole                6833945   481080
                                                                 658    11850 SH       Defined DB                              11850
D UNITED TECHNOLOGIES CORP.      Common           913017109   214436  2727325 SH       Sole                2480620   246705
                                                                 594     7550 SH       Defined DB                               7550
D UTI ENERGY CORP                Common           903387108    11089   337300 SH       Sole                 336800      500
D VARIAN SEMICONDUCTOR EQUIPMENT Common           922207105     6725   283150 SH       Sole                 283150
D VERISIGN INC.                  Common           92343E102      319     4300 SH       Sole                   4000      300
D VERITAS DGC INC                Common           92343P107     5847   181010 SH       Sole                 180910      100
D VERITAS SOFTWARE CORP          Common           923436109      350     4000 SH       Sole                   4000
D VIACOM INC-CL B                Common           925524308   116748  2497290 SH       Sole                2378565   118725
D VISHAY INTERTECHNOLOGY INC     Common           928298108     5105   337500 SH       Sole                 337500
D VODAFONE GROUP PLC SPONSORED A Common           92857W100     1074    30000 SH       Sole                  30000
D WAL-MART STORES INC            Common           931142103   269252  5068268 SH       Sole                4575530   492738
                                                                 935    17600 SH       Defined DB                              17600
D WALGREEN CO.                   Common           931422109    67065  1603952 SH       Sole                1369925   234027
                                                                 328     7850 SH       Defined DB                               7850
D WASHINGTON MUTUAL INC          Common           939322103    65321  1231020 SH       Sole                1168420    62600
D WATERS CORP.                   Common           941848103   100412  1202535 SH       Sole                1146250    56285
D WELLS FARGO & CO NEW           Common           949746101     6305   113225 SH       Sole                 112800      425
D WESTERGAARD.COM INC            Common           957556103        0    10000 SH       Other   ND                              10000
D XCEL ENERGY INC                Common           98389B100     1306    44950 SH       Sole                  44950
D APACHE CORP DEPOSITORY SHARES  Conv Pref.       037411600     1204    20000 SH       Sole                  20000
D CALPINE CAPITAL III 5.00% CONV Conv Pref.       13134R201     1503    25000 SH       Sole                  25000
D CANADIAN NATL RWY CO PFD CONV  Conv Pref.       136375409     1414    31000 SH       Sole                  31000
D CNB CAPITAL TRUST I            Conv Pref.       12613G207     2599    63000 SH       Sole                  63000
D COLTEC CAPITAL TRUST PFD CONV  Conv Pref.       196878409     1638    42000 SH       Sole                  42000
D CONTINENTAL AIRLINES CAP TR PF Conv Pref.       210796207     1300    25000 SH       Sole                  25000
D COX COMMUNICATIONS INC NEW INC Conv Pref.       224044305      930    15000 SH       Sole                  15000
D COX COMMUNICATIONS PRIZES      Conv Pref.       224044503      499    10000 SH       Sole                  10000
D DOMINION RESOURCES 9.5% PREMIU Conv Pref.       25746U208      937    15000 SH       Sole                  15000
D EL PASO ENERGY CAPITAL TRUST I Conv Pref.       283678209     2358    26500 SH       Sole                  26500
D ENRON CORP EXCHANGEABLE NOTES  Conv Pref.       293561882     1205    25000 SH       Sole                  25000
D ENTERCOM COMMUNICATIONS CAP TR Conv Pref.       29363P104      940    20000 SH       Sole                  20000
D EXPRESS SCRIPTS AUTOMATIC EXCH Conv Pref.       302181201      465     5000 SH       Sole                   5000
D HANNOVER COMPRESSOR CAP TRUST  Conv Pref.       41076M203     1963    15000 SH       Sole                  15000
D MCLEODUSA INC PFD CONV SER A   Conv Pref.       582266201      710     1800 SH       Sole                   1800
D NEWFIELD FINANCIAL TRUST I 6.5 Conv Pref.       651291205     1827    26100 SH       Sole                  26100
D PROLOGIS TRUST PFD CONV SH BEN Conv Pref.       743410300     1157    40000 SH       Sole                  40000
D SEI TRUST I PRD CONV SER A 6.2 Conv Pref.       78411Y104     1364    22000 SH       Sole                  22000
D UNOCAL CAPITAL TRUST-6.25%     Conv Pref.       91528T207     1511    30000 SH       Sole                  30000
D WEATHERFORD - EVI INC 5% CONV  Conv Pref.       268939402     1732    35000 SH       Sole                  35000
D WENDY'S FINANCING I-$2.50 TERM Conv Pref.       950588202     1989    36500 SH       Sole                  36500
D ALGER FUND LARGECAP GROWTH CL  Mutual Funds     015565856     4553 387171.442SH      Other   ND                         387171.442
D ALGER SMALL CAP PORTFOLIO CL A Mutual Funds     015565872     2040 356625.766SH      Other   ND                         356625.766
D SPECTRA FUND INC CL N          Mutual Funds     847561107      260 30761.952SH       Sole              30761.952
                                                                 638 75416.521SH       Other   ND                          75416.521
D THE ALGER  FUND CAPITAL APPREC Mutual Funds     015565849      162 14618.189SH       Other   ND                          14618.189
D THE ALGER AMERICAN ASSET GROWT Mutual Funds     985109999     5794 225079.388SH      Other   ND                         225079.388
D THE ALGER AMERICAN FUND GROWTH Mutual Funds     015544505     1990 42104.771SH       Other   ND                          42104.771
D THE ALGER AMERICAN FUND SMALL  Mutual Funds     015544406     1099 46790.340SH       Other   ND                          46790.340
D THE ALGER FUND LARGECAP GROWTH Mutual Funds     015565609      503 44580.892SH       Other   ND                          44580.892
D THE ALGER FUND SMALL CAP CL B  Mutual Funds     015565500      189 34761.738SH       Other   ND                          34761.738
D LEGEND HOLDINGS                Common           6218089        318   506000 SH       Sole                 506000
D NTT DOCOMO INC                 Common           6129277        707       41 SH       Sole                     41
D ORACLE CORP JAPAN JPY50        Common           6141680        337     1800 SH       Sole                   1800
D YAHOO JAPAN CORP COM STK JPY50 Common           6084848        235        4 SH       Sole                      4
D ADVA OPTICAL NETWORKING AD VPV Common           5653487        756    13100 SH       Sole                  13100
S REPORT SUMMARY                339 DATA RECORDS            16439465            2 OTHER MANAGERS ON WHOSE BEHALF REPORT IS FILED
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