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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