AMERICAN CENTURY INVESTMENT MANAGEMENT INC
13F-HR, 1999-11-03
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UNITED STATES
SECURITIES AND EXCHANGE COMMISSION
Washington, D.C. 20549



FORM 13F

FORM 13F COVER PAGE

Report for the quarter ended:  September 30, 1999

Check here if Amendment [ ];  Amendment Number:

This amendment (check only one):  [ ] is a restatment.
[ ] adds new holdings enries.

Instititional Investment Manager Filing this Report:

Name:     American Century Investment Management, Inc.
Address:  American Century Towers
4500 Main
Kansas City, MO 64111

13F File Number:    28-1091

The institutional investment manager filing this report and the person
by whom it is signed hereby represents that the person signing the
report is authorized to submit it, that all information contained
herein is true, correct and complete, and that it is understood that
all required items, statements schedules, lists, and tables, are
considered integral parts of the this form.

Person Signing this Report on Behalf of Reporting Manager:

Name:               Maryanne Roepke
Title:              Senior Vice President
Phone:              (816) 531-5575

Signature, Place and Date of Signing:


Signature:  A24

City, State: Kansas City, MO

Date:  November 03, 1999

Report Type (check only one):

[X]   13F Holdings Report
[ ]   13F Notice Report
[ ]   13F Combination Report

List of Other Managers Reporting for this Manager:

Form 13F File Number:  28-3946          Name: Barclay's Global Investors
Form 13F File Number: 801-55209         Name: RREEF America LLC

Form 13F SUMMARY PAGE

REPORT SUMMARY:

Numer of Other Included Managers:       2

Form 13F Information Table Entry Total: 894

Form 13F Information Table Value Total: $64,594,083

<PAGE>
<TABLE>
FORM 13F INFORMATION TABLE
                                     FORM 13F
                                     09/30/1999
                                     ITEM 2     ITEM 3      ITEM 4        ITEM 5      ITEM 6 (A)   ITEM 8 (A)    ITEM 8 (C)
ITEM 1                               TITLE OF   CUSIP       MRKT VALUE    NUMBER OF   SOLE INV.    SOLE VOTING   NO VOTING
NAME OF ISSUER                       CLASS      NUMBER      (X1000)       SHARES      AUTHORITY    AUTHORITY     AUTHORITY
______________________________       __________ ___________ ___________________________________________________________________
<S>                                  <C>        <C>         <C>           <C>         <C>          <C>           <C>
A M R CORP                           CS         001765106   6,344         116,400     116,400      116,400       0
A S M LITHOGRAPHY                    CS         N07059111   38,349        572,100     572,100      572,100       0
A T & T                              CS         001957109   201,468       4,631,438   4,631,438    4,631,438     0
A T M I LTD                          CS         00207R101   7,444         200,000     200,000      200,000       0
A V X INC                            CS         002444107   4,946         140,800     140,800      140,800       0
ABBOTT LABORATORIES                  CS         002824100   18,529        504,200     504,200      504,200       0
ABERCROMBIE & FITCH                  CS         002896207   44,005        1,291,900   1,291,900    1,291,900     0
ACME COMMUNICATIONS                  CS         004631107   3,839         123,700     123,700      123,700       0
ACTION PERFORMANCE COS               CS         004933107   9,163         435,700     435,700      435,700       0
ACTIVE SOFTWARE, INC                 CS         00504E100   5,061         211,700     211,700      211,700       0
ACXIOM                               CS         005125109   59            3,000       3,000        3,000         0
ADAPTEC INC                          CS         00651F108   85,149        2,143,800   2,143,800    2,143,800     0
ADELPHIA COMM CVT PFD                PS         006848402   8,870         50,000      50,000       50,000        0
ADELPHIA COMMUNICATIONS              CS         006848105   16,288        277,100     277,100      277,100       0
ADOBE SYSTEMS INC                    CS         00724F101   30,671        270,300     270,300      270,300       0
ADOLPH COORS CO                      CS         217016104   6,831         126,200     126,200      126,200       0
ADVANCED ENERGY                      CS         007973100   3,563         115,300     115,300      115,300       0
ADVO-SYSTEM INC                      CS         007585102   80            4,000       4,000        4,000         0
AEROFLEX INCORPORATED                CS         007768104   2,704         221,900     221,900      221,900       0
AES CORPORATION (THE)                CS         00130H105   13,381        226,800     226,800      226,800       0
AETNA LIFE & CASUALTY                CS         008117103   61,302        1,244,719   1,244,719    1,244,719     0
AFFYMETRIX CVT BOND                  CVT BOND   00826TAA6   1,990         2,000,000   2,000,000    2,000,000     0
AFFYMETRIX INC                       CS         00826T108   7,346         74,700      74,700       74,700        0
AGILE SOFTWARE CORP                  CS         00846X105   883           13,800      13,800       13,800        0
AGL RESOURCES INC                    CS         001204106   68,403        4,209,400   4,209,400    4,209,400     0
AGNICO-EAGLE MINES                   CS         008474108   3,365         434,200     434,200      434,200       0
AIR PRODUCTS & CHEMICALS             CS         009158106   895           30,800      30,800       30,800        0
ALBERTO CULVER CO                    CS         013068101   763           33,000      33,000       33,000        0
ALBERTSON'S INC                      CS         013104104   9,455         238,982     238,982      238,982       0
ALCAN ALUMINIUM LTD                  CS         013716105   1,163         37,200      37,200       37,200        0
ALCOA INC                            CS         013817101   22,870        368,500     368,500      368,500       0
ALEXANDER & BALDWIN INC              CS         014482103   3,218         135,500     135,500      135,500       0
ALLERGAN INC                         CS         018490102   6,215         56,500      56,500       56,500        0
ALLIANT TECHSYSTEMS INC              CS         018804104   3,778         54,500      54,500       54,500        0
ALLIED-SIGNAL CORP                   CS         019512102   45,547        759,900     759,900      759,900       0
ALLSTATE CORPORATION                 CS         020002101   4,579         183,600     183,600      183,600       0
ALLTEL CORP                          CS         020039103   122,889       1,746,200   1,746,200    1,746,200     0
ALPHARMA INC                         CS         020813101   4,629         131,083     131,083      131,083       0
AMAZON.COM INC                       CS         023135106   40,752        510,000     510,000      510,000       0
AMBAC INC                            CS         023139108   28,998        612,100     612,100      612,100       0
AMCOL INTERNATIONAL CORP             CS         02341W103   63            4,300       4,300        4,300         0
AMDOCS LIMITED                       CS         G02602103   24,652        1,176,400   1,176,400    1,176,400     0
AMERADA HESS CORP                    CS         023551104   73,567        1,201,100   1,201,100    1,201,100     0
AMEREN CORP                          CS         023608102   48,668        1,287,100   1,287,100    1,287,100     0
AMERICA ONLINE INC                   CS         02364J104   1,925,581     18,515,200  18,515,200   18,515,200    0
AMERICAN CENTURY SHORT               CS         025081506   310,692       33,443,690  33,443,690   33,443,690    0
AMERICAN EAGLE OUTFITTERS            CS         02553E106   6,278         129,600     129,600      129,600       0

                                     ITEM 2     ITEM 3      ITEM 4        ITEM 5      ITEM 6 (A)   ITEM 8 (A)    ITEM 8 (C)
ITEM 1                               TITLE OF   CUSIP       MRKT VALUE    NUMBER OF   SOLE INV.    SOLE VOTING   NO VOTING
NAME OF ISSUER                       CLASS      NUMBER      (X1000)       SHARES      AUTHORITY    AUTHORITY     AUTHORITY
______________________________       __________ ___________ ___________________________________________________________________
AMERICAN ELECTRIC POWER              CS         025537101   546           16,000      16,000       16,000        0
AMERICAN EXPRESS CO                  CS         025816109   325,308       2,416,400   2,416,400    2,416,400     0
AMERICAN FINANCIAL GROUP             CS         025932104   786           28,000      28,000       28,000        0
AMERICAN GREETINGS CL-A              CS         026375105   286           11,100      11,100       11,100        0
AMERICAN HOME PRODUCTS               CS         026609107   2,938         70,800      70,800       70,800        0
AMERICAN INT'L GROUP INC             CS         026874107   1,871,173     21,523,193  21,523,193   21,523,193    0
AMERICAN ITALIAN PASTA               CS         027070101   3,140         109,700     109,700      109,700       0
AMERICAN MANAGEMENT                  CS         027352103   15,019        585,400     585,400      585,400       0
AMERICAN NATIONAL CAN                CS         027714104   2,914         184,300     184,300      184,300       0
AMERICAN POWER CONVERSION            CS         029066107   2,815         148,400     148,400      148,400       0
AMERICAN STANDARD COS INC            CS         029712106   269           7,000       7,000        7,000         0
AMERISOURCE HEALTH CORP              CS         03071P102   64            2,700       2,700        2,700         0
AMERITECH CORPORATION                CS         030954101   212,205       3,158,400   3,158,400    3,158,400     0
AMES DEPARTMENT STORES               CS         030789507   23,160        727,300     727,300      727,300       0
AMGEN                                CS         031162100   189,504       2,325,200   2,325,200    2,325,200     0
AMSOUTH BANCORPORATION               CS         032165102   25,320        1,080,300   1,080,300    1,080,300     0
ANADARKO PETROLEUM CORP              CS         032511107   4,395         143,800     143,800      143,800       0
ANALOG DEVICES INC                   CS         032654105   13,474        262,900     262,900      262,900       0
ANCHOR GAMING                        CS         033037102   7,896         133,200     133,200      133,200       0
ANDRX CORPORATION                    CS         034551101   17,156        293,100     293,100      293,100       0
ANGLOGOLD LIMITED-SPON               CS         035128206   2,672         85,000      85,000       85,000        0
ANHEUSER BUSCH INC                   CS         035229103   109,641       1,564,900   1,564,900    1,564,900     0
ANN TAYLOR STORES CORP               CS         036115103   12,316        301,300     301,300      301,300       0
ANTEC CORPORATION                    CS         03664P105   45,055        848,600     848,600      848,600       0
AON CORP                             CS         037389103   6,575         222,400     222,400      222,400       0
APACHE CORP                          CS         037411105   21,602        500,200     500,200      500,200       0
APPLE COMPUTER INC                   CS         037833100   87,796        1,387,400   1,387,400    1,387,400     0
APPLIED MATERIALS INC                CS         038222105   332,190       4,277,700   4,277,700    4,277,700     0
APPLIED POWER INC                    CS         038225108   261           8,600       8,600        8,600         0
ARACRUZ CELULOSE SA                  CS         038496204   1,002         48,000      48,000       48,000        0
ARCH COAL INC                        CS         039380100   106           8,600       8,600        8,600         0
ARCHER-DANIELS-MIDLAND CO            CS         039483102   93,425        7,665,662   7,665,662    7,665,662     0
ARGONAUT GROUP INC                   CS         040157109   21,404        851,900     851,900      851,900       0
ARMSTRONG WORLD                      CS         042476101   7,891         175,600     175,600      175,600       0
ARROW ELECTRONICS INC                CS         042735100   8,113         460,300     460,300      460,300       0
ARTHROCARE                           CS         043136100   4,761         89,100      89,100       89,100        0
ARVIN INDUSTRIES INC                 CS         043339100   96            3,100       3,100        3,100         0
ASHANTI GOLDFIELDS                   CS         043743202   8,699         1,104,599   1,104,599    1,104,599     0
ASSOCIATES FIRST CAPITAL             CS         046008108   18,432        512,000     512,000      512,000       0
ASTEC INDUSTRIES INC                 CS         046224101   8,663         360,000     360,000      360,000       0
AT&T CORP - LIBERTY                  CS         001957208   991,401       26,704,400  26,704,400   26,704,400    0
ATLANTIC RICHFIELD CO                CS         048825103   134,887       1,522,000   1,522,000    1,522,000     0
ATLAS AIR                            CS         049164106   8,340         381,250     381,250      381,250       0
AUDIOCODES                           CS         M15342104   1,128         30,000      30,000       30,000        0
AURORA BIOSCIENCES CORP              CS         051920106   2,481         183,800     183,800      183,800       0
AUTODESK INC                         CS         052769106   27,871        1,274,100   1,274,100    1,274,100     0
AVERY DENNISON CORP                  CS         053611109   6,267         118,800     118,800      118,800       0

                                     ITEM 2     ITEM 3      ITEM 4        ITEM 5      ITEM 6 (A)   ITEM 8 (A)    ITEM 8 (C)
ITEM 1                               TITLE OF   CUSIP       MRKT VALUE    NUMBER OF   SOLE INV.    SOLE VOTING   NO VOTING
NAME OF ISSUER                       CLASS      NUMBER      (X1000)       SHARES      AUTHORITY    AUTHORITY     AUTHORITY
______________________________       __________ ___________ ___________________________________________________________________
AVIS RENT A CAR                      CS         053790101   50            2,400       2,400        2,400         0
AVISTA CORP  CVT PFD                 PS         05379B503   15,787        902,100     902,100      902,100       0
AVNET INC                            CS         053807103   33,831        805,500     805,500      805,500       0
AVON PRODUCTS                        CS         054303102   11,793        475,300     475,300      475,300       0
AWARE INC                            CS         05453N100   613           21,400      21,400       21,400        0
AXA FINANCIAL, INC                   CS         002451102   12,602        225,800     225,800      225,800       0
B M C SOFTWARE                       CS         055921100   59,206        827,700     827,700      827,700       0
BAKER HUGHES INC                     CS         057224107   31,633        1,090,800   1,090,800    1,090,800     0
BALL CORP                            CS         058498106   10,037        227,800     227,800      227,800       0
BALLARD POWER SYSTEMS                CS         05858H104   12,638        437,200     437,200      437,200       0
BANK OF AMERICA CORP                 CS         060505104   183,016       3,286,485   3,286,485    3,286,485     0
BANK OF NEW YORK CO INC              CS         064057102   379,021       11,335,200  11,335,200   11,335,200    0
BANK ONE INC                         CS         06423A103   76,603        2,200,440   2,200,440    2,200,440     0
BANKBOSTON                           CS         06605R106   14,422        332,500     332,500      332,500       0
BANTA CORP                           CS         066821109   32,248        1,445,300   1,445,300    1,445,300     0
BARD (C R) INC                       CS         067383109   27,372        581,600     581,600      581,600       0
BARR LABS INC                        CS         068306109   44            1,400       1,400        1,400         0
BARRICK GOLD CORP                    CS         067901108   34,906        1,604,866   1,604,866    1,604,866     0
BASIN EXPLORATION INC                CS         070107107   67            2,800       2,800        2,800         0
BATTLE MOUNTAIN GOLD                 CS         071593107   6,674         2,053,500   2,053,500    2,053,500     0
BAUSCH & LOMB INC CLA                CS         071707103   17,414        264,100     264,100      264,100       0
BAXTER INTERNATIONAL INC             CS         071813109   31,384        520,900     520,900      520,900       0
BCE INC                              CS         999401ZG0   9,494         190,600     190,600      190,600       0
BEA SYSTEMS                          CS         073325102   35,077        994,200     994,200      994,200       0
BECKMAN COULTER INC                  CS         075811109   45,870        1,016,500   1,016,500    1,016,500     0
BED BATH & BEYOND INC                CS         075896100   26,576        760,000     760,000      760,000       0
BELCO OIL & GAS  CVT PFD             PS         077410207   2,769         165,300     165,300      165,300       0
BELCO OIL AND GAS CO                 CS         077410108   518           76,700      76,700       76,700        0
BELDEN INCORPORATED                  CS         077459105   933           45,500      45,500       45,500        0
BELL ATLANTIC CORP                   CS         077853109   201,332       2,991,000   2,991,000    2,991,000     0
BELLSOUTH CORP                       CS         079860102   157,253       3,494,500   3,494,500    3,494,500     0
BEMIS CO INC                         CS         081437105   30,891        911,900     911,900      911,900       0
BEN & JERRY'S HOMEMADE               CS         081465106   88            5,000       5,000        5,000         0
BERGEN BRUNSWIG                      CS         083739102   7,112         685,500     685,500      685,500       0
BERKLEY (W R) CORPORATION            CS         084423102   20,878        912,700     912,700      912,700       0
BERKSHIRE HATHAWAY INC               CS         084670108   341,880       6,216       6,216        6,216         0
BEST BUY CO                          CS         086516101   41,569        669,800     669,800      669,800       0
BIOCHEM PHARMA INC                   CS         09058T108   9,376         392,200     392,200      392,200       0
BIOGEN INC                           CS         090597105   24,548        311,600     311,600      311,600       0
BIOVAIL CORP INT'L                   CS         09067K106   4,812         95,200      95,200       95,200        0
BISYS GROUP INC                      CS         055472104   6,637         141,500     141,500      141,500       0
BJ SERVICES COMPANY                  CS         055482103   4,428         139,200     139,200      139,200       0
BLOCK (H & R) INC                    CS         093671105   10,051        231,400     231,400      231,400       0
BLUESTONE SOFTWARE                   CS         09623P102   972           41,700      41,700       41,700        0
BOEING CO                            CS         097023105   47,778        1,120,900   1,120,900    1,120,900     0
BOISE CASCADE CORP                   CS         097383103   2,387         65,500      65,500       65,500        0
BORG-WARNER AUTOMOTIVE               CS         099724106   116           2,700       2,700        2,700         0

                                     ITEM 2     ITEM 3      ITEM 4        ITEM 5      ITEM 6 (A)   ITEM 8 (A)    ITEM 8 (C)
ITEM 1                               TITLE OF   CUSIP       MRKT VALUE    NUMBER OF   SOLE INV.    SOLE VOTING   NO VOTING
NAME OF ISSUER                       CLASS      NUMBER      (X1000)       SHARES      AUTHORITY    AUTHORITY     AUTHORITY
______________________________       __________ ___________ ___________________________________________________________________
BOYDS COLLECTION LTD                 CS         103354106   170           13,900      13,900       13,900        0
BP AMOCO PLC                         CS         055622104   75,639        682,585     682,585      682,585       0
BRIGGS & STRATTON                    CS         109043109   12,492        214,000     214,000      214,000       0
BRINKER INTERNATIONAL INC            CS         109641100   11,422        421,100     421,100      421,100       0
BRISTOL-MYERS SQUIBB CO              CS         110122108   1,028,079     15,230,800  15,230,800   15,230,800    0
BROADBASE SOFTWARE INC               CS         11130R100   970           61,000      61,000       61,000        0
BROOKS AUTOMATION INC                CS         11434A100   2,503         140,300     140,300      140,300       0
BURLINGTON RESOURCES                 CS         122014103   86,399        2,351,000   2,351,000    2,351,000     0
BURNHAM PACIFIC                      CS         12232C108   127           12,000      12,000       12,000        0
BUSH BOAKE ALLEN INC                 CS         123162109   10,310        390,900     390,900      390,900       0
C M S ENERGY CORP                    CS         125896100   1,086         32,000      32,000       32,000        0
C N A FINANCIAL CORP                 CS         126117100   19,390        554,000     554,000      554,000       0
C T S CORP                           CS         126501105   6,089         105,900     105,900      105,900       0
C-COR.NET CORPORATION                CS         125010108   8,002         262,900     262,900      262,900       0
C-CUBE MICROSYSTEMS INC              CS         125015107   70            1,600       1,600        1,600         0
C/NET INC                            CS         125945105   6,157         110,000     110,000      110,000       0
CABLE & WIRELESS HKT                 CS         126828102   544           25,000      25,000       25,000        0
CABLE & WIRELESS PLC ADR             CS         126830207   497           15,000      15,000       15,000        0
CABLE DESIGN TECHNOLOGIES            CS         126924109   4,688         205,500     205,500      205,500       0
CABLEVISION SYSTEMS CORP             CS         12686C109   728           10,000      10,000       10,000        0
CAERE CORPORATION                    CS         127646107   371           48,400      48,400       48,400        0
CALPINE CORPORATION                  CS         131347106   16,298        191,600     191,600      191,600       0
CANANDAIGUA BRANDS INC               CS         137219200   48            800         800          800           0
CARNIVAL CORP                        CS         143658102   95,678        2,199,500   2,199,500    2,199,500     0
CARPENTER TECHNOLOGY CORP            CS         144285103   4,285         174,900     174,900      174,900       0
CARRAMERICA REALTY CORP              CS         144418100   8,488         386,900     386,900      386,900       0
CASCADE NATURAL GAS CORP             CS         147339105   2,399         134,200     134,200      134,200       0
CASE CORPORATION                     CS         14743R103   16,568        332,600     332,600      332,600       0
CASEY'S GENERAL STORES               CS         147528103   79            5,900       5,900        5,900         0
CASTLE (A M) & CO                    CS         148411101   47            3,700       3,700        3,700         0
CATALINA MARKETING CORP              CS         148867104   85            1,000       1,000        1,000         0
CATERPILLAR INC                      CS         149123101   7,285         132,900     132,900      132,900       0
CATO CORP                            CS         149205106   748           53,100      53,100       53,100        0
CBS CORP                             CS         12490K107   265,877       5,748,700   5,748,700    5,748,700     0
CELESTICA                            CS         15101Q108   16,724        340,100     340,100      340,100       0
CENTEX CONSTRUCTION PROD             CS         15231R109   4,759         128,200     128,200      128,200       0
CENTEX CORP                          CS         152312104   7,423         251,100     251,100      251,100       0
CENTOCOR CVT BOND                    CVT BOND   152342AE1   13,560        10,292,000  10,292,000   10,292,000    0
CENTRAL & SOUTH WEST CORP            CS         152357109   1,741         82,400      82,400       82,400        0
CENTURY BANCORP INC                  CS         156432106   800           44,600      44,600       44,600        0
CENTURY BUSINESS SERVICES            CS         156490104   761           65,100      65,100       65,100        0
CENTURYTEL INC                       CS         156700106   2,303         56,700      56,700       56,700        0
CHAMPION INT'L                       CS         158525105   5,579         108,600     108,600      108,600       0
CHASE MANHATTAN CORP                 CS         16161A108   404,063       5,360,700   5,360,700    5,360,700     0
CHEMDEX CORP                         CS         163595101   1,130         36,500      36,500       36,500        0
CHESAPEAKE CORP OF VA                CS         165159104   18            600         600          600           0
CHEVRON CORP                         CS         166751107   19,330        217,800     217,800      217,800       0

                                     ITEM 2     ITEM 3      ITEM 4        ITEM 5      ITEM 6 (A)   ITEM 8 (A)    ITEM 8 (C)
ITEM 1                               TITLE OF   CUSIP       MRKT VALUE    NUMBER OF   SOLE INV.    SOLE VOTING   NO VOTING
NAME OF ISSUER                       CLASS      NUMBER      (X1000)       SHARES      AUTHORITY    AUTHORITY     AUTHORITY
______________________________       __________ ___________ ___________________________________________________________________
CHILDREN'S PLACE                     CS         168905107   1,896         71,386      71,386       71,386        0
CHIQUITA BRANDS INT'L INC            CS         170032106   118           19,800      19,800       19,800        0
CHIREX INC                           CS         170038103   5,059         195,300     195,300      195,300       0
CHIRON CORP                          CS         170040109   8,880         321,100     321,100      321,100       0
CHUBB CORP                           CS         171232101   48,976        983,200     983,200      983,200       0
CHURCH & DWIGHT CO INC               CS         171340102   4,378         175,100     175,100      175,100       0
CIENA CORPORATION                    CS         171779101   29,777        816,500     816,500      816,500       0
CINCINNATI BELL INC                  CS         171870108   1,534         78,900      78,900       78,900        0
CIRCUIT CITY STORES INC              CS         172737108   34,514        818,100     818,100      818,100       0
CISCO SYSTEMS INC                    CS         17275R102   1,396,437     20,376,650  20,376,650   20,376,650    0
CITIGROUP INC                        CS         172967101   744,592       16,922,550  16,922,550   16,922,550    0
CITRIX SYSTEM CVT BOND               CVT BOND   177376AB6   21,909        45,408,000  45,408,000   45,408,000    0
CITRIX SYSTEMS INC                   CS         177376100   11,049        178,483     178,483      178,483       0
CLAIRE'S STORES INC                  CS         179584107   3,200         193,200     193,200      193,200       0
CLEAR CHANNEL                        CS         184502102   623,118       7,801,160   7,801,160    7,801,160     0
CLOROX CO                            CS         189054109   11,073        289,500     289,500      289,500       0
CMP GROUP INC                        CS         125887109   119           4,500       4,500        4,500         0
COASTAL CORPORATION                  CS         190441105   2,907         71,000      71,000       71,000        0
COCA-COLA CO                         CS         191216100   762,002       15,854,400  15,854,400   15,854,400    0
COCA-COLA ENTERPRISES INC            CS         191219104   245,313       10,872,600  10,872,600   10,872,600    0
COLGATE-PALMOLIVE CO                 CS         194162103   166,727       3,644,300   3,644,300    3,644,300     0
COLUMBIA ENERGY GROUP                CS         197648108   2,536         45,800      45,800       45,800        0
COLUMBIA HLTH CVT BOND               CVT BOND   584505AC5   10,332        12,245,000  12,245,000   12,245,000    0
COLUMBIA/HCA HEALTHCARE              CS         197677107   58,992        2,784,300   2,784,300    2,784,300     0
COMCAST CORP CL A SPL COM            CS         200300200   683,010       17,142,200  17,142,200   17,142,200    0
COMMERCE BANCSHARES INC              CS         200525103   542           15,300      15,300       15,300        0
COMMONWEALTH INDUSTRIES              CS         203004106   43            3,200       3,200        3,200         0
COMMSCOPE INC                        CS         203372107   22,666        697,400     697,400      697,400       0
COMPANHIA BRASILEIRA DE              CS         20440T201   575           29,000      29,000       29,000        0
COMPAQ COMPUTER CORP                 CS         204493100   4,438         193,500     193,500      193,500       0
COMPUTER ASSOC INT'L INC             CS         204912109   85,762        1,400,200   1,400,200    1,400,200     0
COMPUTER SCIENCES CORP               CS         205363104   773           11,000      11,000       11,000        0
COMPUWARE CORP                       CS         205638109   416,555       16,002,100  16,002,100   16,002,100    0
COMVERSE TECHNOLOGY INC              CS         205862402   107,099       1,135,950   1,135,950    1,135,950     0
CONAGRA INC                          CS         205887102   39,552        1,753,000   1,753,000    1,753,000     0
CONCORD E F S INC                    CS         206197105   44,036        2,135,100   2,135,100    2,135,100     0
CONECTIV INC                         CS         206829103   9,498         483,963     483,963      483,963       0
CONECTIV INC                         CS         206829202   1,867         45,525      45,525       45,525        0
CONEXANT SYSTEMS INC                 CS         207142100   47,343        651,600     651,600      651,600       0
CONMED CORP                          CS         207410101   6,511         265,400     265,400      265,400       0
CONOCO INC                           CS         208251405   40,672        1,485,750   1,485,750    1,485,750     0
CONSECO INC                          CS         208464107   2,841         147,100     147,100      147,100       0
CONSOLIDATED EDISON INC              CS         209115104   614           14,800      14,800       14,800        0
CONSOLIDATED NATURAL GAS             CS         209615103   1,790         28,700      28,700       28,700        0
CONSOLIDATED PAPERS INC              CS         209759109   4,754         176,900     176,900      176,900       0
CONSOLIDATED TRANSPORT               CS         12612W104   8,568         230,000     230,000      230,000       0
CONSTELLATION ENERGY                 CS         210371100   16,386        582,600     582,600      582,600       0

                                     ITEM 2     ITEM 3      ITEM 4        ITEM 5      ITEM 6 (A)   ITEM 8 (A)    ITEM 8 (C)
ITEM 1                               TITLE OF   CUSIP       MRKT VALUE    NUMBER OF   SOLE INV.    SOLE VOTING   NO VOTING
NAME OF ISSUER                       CLASS      NUMBER      (X1000)       SHARES      AUTHORITY    AUTHORITY     AUTHORITY
______________________________       __________ ___________ ___________________________________________________________________
COOPER INDUSTRIES INC                CS         216669101   20,734        443,500     443,500      443,500       0
CORDANT TECHNOLOGIES INC             CS         218412104   3,147         103,400     103,400      103,400       0
CORN PRODUCTS INT'L INC              CS         219023108   85            2,800       2,800        2,800         0
CORNING INC                          CS         219350105   58,820        857,900     857,900      857,900       0
COSTCO COMPANIES INC                 CS         22160K105   159,339       2,214,000   2,214,000    2,214,000     0
COUNTRYWIDE CREDIT                   CS         222372104   590           18,300      18,300       18,300        0
COX COMMUNICATIONS, INC.             CS         224044107   24,524        587,400     587,400      587,400       0
CRACKER BARREL OLD CTY               CS         12489V106   49,268        3,185,000   3,185,000    3,185,000     0
CROWN CENTRAL PETROLEUM              CS         228219309   206           34,400      34,400       34,400        0
CROWN CORK & SEAL CO INC             CS         228255105   4,132         170,400     170,400      170,400       0
CROWN RESOURCE CORP                  CS         228569109   1,254         418,100     418,100      418,100       0
CSG SYSTEMS INTERNATIONAL            CS         126349109   21,714        792,300     792,300      792,300       0
CSX CORPORATION                      CS         126408103   17,175        405,300     405,300      405,300       0
CULLEN/FROST BANKERS                 CS         229899109   4,528         181,100     181,100      181,100       0
CUMMINS ENGINE                       CS         231021106   15,148        304,100     304,100      304,100       0
CVS CORP                             CS         126650100   92,338        2,262,500   2,262,500    2,262,500     0
CYMER LASER                          CS         232572107   12,608        363,800     363,800      363,800       0
CYPRESS SEMICONDUCTOR                CS         232806109   23,493        1,092,700   1,092,700    1,092,700     0
D I I GROUP INC                      CS         232949107   8,442         239,700     239,700      239,700       0
D S P COMMUNICATIONS, INC            CS         23332K106   57            3,000       3,000        3,000         0
D S P GROUP INC                      CS         23332B106   5,168         130,000     130,000      130,000       0
DAIN RAUSCHER CORP                   CS         233856103   98            2,000       2,000        2,000         0
DARDEN RESTAURANTS                   CS         237194105   6,295         321,800     321,800      321,800       0
DAYTON-HUDSON CORP                   CS         239753106   186,969       3,112,900   3,112,900    3,112,900     0
DELL COMPUTER CORP                   CS         247025109   910,605       21,778,300  21,778,300   21,778,300    0
DELPHI AUTOMOTIVE SYSTEMS            CS         247126105   35,198        2,191,300   2,191,300    2,191,300     0
DELTA AIR LINES INC                  CS         247361108   5,238         108,000     108,000      108,000       0
DELUXE CORP                          CS         248019101   64,036        1,883,400   1,883,400    1,883,400     0
DENTSPLY INTERNATIONAL               CS         249030107   18,368        808,500     808,500      808,500       0
DEPARTMENT 56 INC                    CS         249509100   12,895        538,700     538,700      538,700       0
DEVON ENERGY CORP                    CS         25179M103   174           4,200       4,200        4,200         0
DEXTER CORP                          CS         252165105   22,014        590,000     590,000      590,000       0
DIAMOND OFFSHORE CVT BOND            CVT BOND   25271CAA0   5,251         4,980,000   4,980,000    4,980,000     0
DIAMOND OFFSHORE DRILLING            CS         25271C102   14,808        443,700     443,700      443,700       0
DIAMOND TECHNOLOGY                   CS         252762109   9,919         221,200     221,200      221,200       0
DIGEX INCORPORATED                   CS         253756100   13,868        587,800     587,800      587,800       0
DIGITAL MICROWAVE CORP               CS         253859102   49            3,100       3,100        3,100         0
DILLARD'S INC                        CS         254067101   274           13,500      13,500       13,500        0
DISNEY (WALT) COMPANY                CS         254687106   4,469         172,700     172,700      172,700       0
DOMINION RESOURCES INC               CS         257470104   34,602        766,800     766,800      766,800       0
DORAL FINANCIAL CORP                 CS         25811P100   108           8,100       8,100        8,100         0
DOVER CORP                           CS         260003108   2,031         49,700      49,700       49,700        0
DOW CHEMICAL CO                      CS         260543103   73,197        644,200     644,200      644,200       0
DRUGSTORE.COM                        CS         262241102   834           23,000      23,000       23,000        0
DTE ENERGY HOLDING CO                CS         233331107   1,806         50,000      50,000       50,000        0
DU PONT CO                           CS         263534109   83,119        1,365,406   1,365,406    1,365,406     0
DUCKWALL ALCO STORES                 CS         264142100   151           18,000      18,000       18,000        0

                                     ITEM 2     ITEM 3      ITEM 4        ITEM 5      ITEM 6 (A)   ITEM 8 (A)    ITEM 8 (C)
ITEM 1                               TITLE OF   CUSIP       MRKT VALUE    NUMBER OF   SOLE INV.    SOLE VOTING   NO VOTING
NAME OF ISSUER                       CLASS      NUMBER      (X1000)       SHARES      AUTHORITY    AUTHORITY     AUTHORITY
______________________________       __________ ___________ ___________________________________________________________________
DUKE ENERGY CORP                     CS         264399106   25,517        462,900     462,900      462,900       0
DUN & BRADSTREET CORP                CS         26483B106   6,719         224,900     224,900      224,900       0
DURA PHARMACEUTICALS INC             CS         26632S109   99            7,100       7,100        7,100         0
DYCOM INDUSTRIES INC                 CS         267475101   89            2,100       2,100        2,100         0
DYNEGY INC                           CS         26816L102   828           40,000      40,000       40,000        0
E M C CORP                           CS         268648102   1,562,095     21,866,600  21,866,600   21,866,600    0
E.PIPHANY                            CS         26881V100   683           14,000      14,000       14,000        0
E'TOWN CORP                          CS         269242103   89            1,800       1,800        1,800         0
EAGLE USA AIRFREIGHT                 CS         270018104   4,290         143,300     143,300      143,300       0
EARTHGRAINS                          CS         270319106   13,350        603,400     603,400      603,400       0
EASTMAN CHEMICAL CO                  CS         277432100   1,736         43,400      43,400       43,400        0
EASTMAN KODAK CO                     CS         277461109   72,360        959,200     959,200      959,200       0
ECHO BAY MINES LTD                   CS         278751102   736           379,800     379,800      379,800       0
ECHOSTAR COMMUNICATIONS              CS         278762109   32,577        358,600     358,600      358,600       0
EDISON INTERNATIONAL INC             CS         281020107   5,244         215,700     215,700      215,700       0
EL PASO ENERGY CORP                  CS         283905107   3,205         80,500      80,500       80,500        0
ELCOR CORPORATION                    CS         284443108   3,330         133,200     133,200      133,200       0
ELECTROGLAS INC                      CS         285324109   117           5,000       5,000        5,000         0
ELECTRONIC DATA SYSTEMS              CS         285661104   7,882         148,900     148,900      148,900       0
ELECTRONICS FOR IMAGING              CS         286082102   27,178        528,700     528,700      528,700       0
ELI LILLY & COMPANY                  CS         532457108   451,782       7,059,100   7,059,100    7,059,100     0
EMBRATEL PART ADR                    CS         29081N100   549           48,000      48,000       48,000        0
EMERSON ELECTRIC CO                  CS         291011104   1,472         23,300      23,300       23,300        0
EMPRESA NAC ELEC CHILE  -            CS         29244T101   203           15,600      15,600       15,600        0
EMULEX CORP                          CS         292475209   11,525        134,300     134,300      134,300       0
ENERGEN CORP                         CS         29265N108   944           46,600      46,600       46,600        0
ENERGY EAST                          CS         29266M109   2,717         114,400     114,400      114,400       0
ENESCO GROUP INC                     CS         292973104   647           42,100      42,100       42,100        0
ENGELHARD CORPORATION                CS         292845104   2,970         163,300     163,300      163,300       0
ENRON CORP                           CS         293561106   479,061       11,613,600  11,613,600   11,613,600    0
ENSCO INTERNATIONAL                  CS         26874Q100   7,211         399,200     399,200      399,200       0
ENTERGY CORP                         CS         29364G103   4,775         165,000     165,000      165,000       0
EOG RESOURCES INC                    CS         26875P101   4,953         233,100     233,100      233,100       0
EQUANT CORP                          CS         294409107   7,487         92,000      92,000       92,000        0
EQUITABLE RESOURCES INC              CS         294549100   57            1,500       1,500        1,500         0
ESAT TELECOM GROUP PLC               CS         26883Y102   24,314        604,900     604,900      604,900       0
ESTEE LAUDER CO INC                  CS         518439104   469           12,000      12,000       12,000        0
ETEC SYSTEMS INC                     CS         26922C103   38            1,000       1,000        1,000         0
ETOYS INC                            CS         297862104   8,094         121,600     121,600      121,600       0
EVI WEATHERFORD, INC                 CS         947074100   13,962        436,300     436,300      436,300       0
EXCITE@HOME                          CS         045919107   5,573         134,500     134,500      134,500       0
EXODUS COMMUNICATIONS                CS         302088109   14,029        194,600     194,600      194,600       0
EXPEDITORS INT'L OF WASH             CS         302130109   189           5,900       5,900        5,900         0
EXPRESS SCRIPTS INC                  CS         302182100   48,088        614,300     614,300      614,300       0
EXXON CORP                           CS         302290101   100,192       1,319,400   1,319,400    1,319,400     0
F D X CORPORATION                    CS         31304N107   3,205         82,700      82,700       82,700        0
F M C CORP                           CS         302491303   434           9,000       9,000        9,000         0

                                     ITEM 2     ITEM 3      ITEM 4        ITEM 5      ITEM 6 (A)   ITEM 8 (A)    ITEM 8 (C)
ITEM 1                               TITLE OF   CUSIP       MRKT VALUE    NUMBER OF   SOLE INV.    SOLE VOTING   NO VOTING
NAME OF ISSUER                       CLASS      NUMBER      (X1000)       SHARES      AUTHORITY    AUTHORITY     AUTHORITY
______________________________       __________ ___________ ___________________________________________________________________
F P L GROUP INC                      CS         302571104   101,994       2,024,700   2,024,700    2,024,700     0
FAIRCHILD SEMICONDUCTOR              CS         303726103   353           15,000      15,000       15,000        0
FAMILY DOLLAR STORES INC             CS         307000109   34,449        1,630,700   1,630,700    1,630,700     0
FANNIE MAE                           CS         313586109   741,950       11,835,700  11,835,700   11,835,700    0
FBL FINANCIAL GROUP, INC             CS         30239F106   52            2,500       2,500        2,500         0
FEDERAL HOME LOAN MTG                CS         313400301   484,708       9,321,300   9,321,300    9,321,300     0
FEDERATED DEPT STORES INC            CS         31410H101   3,456         79,100      79,100       79,100        0
FIDELITY NATIONAL                    CS         316326107   21            1,400       1,400        1,400         0
FIFTH THIRD BANCORP                  CS         316773100   64,312        1,057,000   1,057,000    1,057,000     0
FIRST AMERICAN FINC'L                CS         318522307   37            2,800       2,800        2,800         0
FIRST DATA CORPORATION               CS         319963104   267,072       6,087,100   6,087,100    6,087,100     0
FIRST TENNESSEE NAT'L                CS         337162101   5,063         180,000     180,000      180,000       0
FIRST UNION CORP                     CS         337358105   62,697        1,763,000   1,763,000    1,763,000     0
FIRST VIRGINIA BANK INC              CS         337477103   123,423       2,833,250   2,833,250    2,833,250     0
FIRSTENERGY                          CS         337932107   1,119         43,900      43,900       43,900        0
FISERV INC                           CS         337738108   34,380        1,057,850   1,057,850    1,057,850     0
FLEET BOSTON CORP                    CS         33901A108   31,530        860,900     860,900      860,900       0
FLEXTRONICS INTERNATIONAL            CS         Y2573F102   13,449        231,000     231,000      231,000       0
FLORIDA PROGRESS CORP                CS         341109106   31,122        672,900     672,900      672,900       0
FLOWSERVE CORP                       CS         34354P105   55,453        3,335,500   3,335,500    3,335,500     0
FOOTSTAR                             CS         344912100   60            1,700       1,700        1,700         0
FORD MOTOR CO                        CS         345370100   106,528       2,122,600   2,122,600    2,122,600     0
FOREST LABORATORIES INC              CS         345838106   26,577        630,900     630,900      630,900       0
FORTUNE BRANDS INC                   CS         349631101   24,042        745,500     745,500      745,500       0
FORWARD AIR CORP                     CS         349853101   5,943         254,600     254,600      254,600       0
FOSSIL INC                           CS         349882100   118           4,350       4,350        4,350         0
FOUNDRY NETWORKS INC                 CS         35063R100   17,884        141,900     141,900      141,900       0
FOUR SEASONS HOTELS                  CS         9997023X9   4,271         116,800     116,800      116,800       0
FRANKLIN RESOURCES INC               CS         354613101   72,887        2,370,300   2,370,300    2,370,300     0
FRED'S INC                           CS         356108100   1,372         113,750     113,750      113,750       0
FREMONT GENERAL CORP                 CS         357288109   49            5,200       5,200        5,200         0
FRONTIER INSURANCE GROUP             CS         359081106   90            10,300      10,300       10,300        0
FUNDTECH                             CS         M47095100   5,020         224,000     224,000      224,000       0
FURNITURE BRANDS INC                 CS         360921100   100           5,100       5,100        5,100         0
G P U INC                            CS         36225X100   6,231         191,000     191,000      191,000       0
G T E CORP                           CS         362320103   312,382       4,063,500   4,063,500    4,063,500     0
GALLAGHER (ARTHUR J) & CO            CS         363576109   21,912        411,500     411,500      411,500       0
GAP INC                              CS         364760108   5,440         170,000     170,000      170,000       0
GEMSTAR INTERNATIONAL GRP            CS         G3788V106   183,942       2,355,400   2,355,400    2,355,400     0
GENERAL DYNAMICS CORP                CS         369550108   30,064        481,500     481,500      481,500       0
GENERAL ELECTRIC CO                  CS         369604103   2,504,609     21,124,800  21,124,800   21,124,800    0
GENERAL INSTRUMENT CORP              CS         370120107   1,492         31,000      31,000       31,000        0
GENERAL MILLS INC                    CS         370334104   49,000        604,000     604,000      604,000       0
GENERAL MOTORS CORP                  CS         370442105   40,148        637,900     637,900      637,900       0
GENTEX CORP                          CS         371901109   2,204         106,700     106,700      106,700       0
GENZYME GENERAL CORP                 CS         372917104   12,162        269,900     269,900      269,900       0
GEON CO                              CS         37246W105   88            3,400       3,400        3,400         0

                                     ITEM 2     ITEM 3      ITEM 4        ITEM 5      ITEM 6 (A)   ITEM 8 (A)    ITEM 8 (C)
ITEM 1                               TITLE OF   CUSIP       MRKT VALUE    NUMBER OF   SOLE INV.    SOLE VOTING   NO VOTING
NAME OF ISSUER                       CLASS      NUMBER      (X1000)       SHARES      AUTHORITY    AUTHORITY     AUTHORITY
______________________________       __________ ___________ ___________________________________________________________________
GEORGIA PACIFIC GROUP                CS         373298108   16,646        411,000     411,000      411,000       0
GEORGIA PACIFIC GROUP                CS         373298702   309           13,500      13,500       13,500        0
GILEAD SCIENCES INC                  CS         375558103   12,203        190,200     190,200      190,200       0
GILLETTE CO                          CS         375766102   90,783        2,675,000   2,675,000    2,675,000     0
GLOBAL CROSSING LTD                  CS         G3921A100   15,887        600,220     600,220      600,220       0
GLOBAL MARINE INC                    CS         379352404   5,115         311,200     311,200      311,200       0
GLOBAL TELES   CVT BOND              CVT BOND   37936UAE4   18,046        20,262,000  20,262,000   20,262,000    0
GLOBAL TELESYSTEMS GROUP             CS         37936U104   23,539        1,195,300   1,195,300    1,195,300     0
GOLDEN STAR RESOURCES LTD            CS         38119T104   75            100,000     100,000      100,000       0
GOLDEN STATE BANCORP INC             CS         381197102   36            2,000       2,000        2,000         0
GOLDMAN SACHS GROUP                  CS         38141G104   5,344         87,600      87,600       87,600        0
GOODRICH (B F) CO                    CS         382388106   54,868        1,892,000   1,892,000    1,892,000     0
GRACO INC                            CS         384109104   66            2,000       2,000        2,000         0
GREENPOINT FINANCIAL CORP            CS         395384100   23,747        894,000     894,000      894,000       0
GRIFFON CORPORATION                  CS         398433102   333           41,600      41,600       41,600        0
GRUPO TELEVISA                       CS         40049J206   15,236        381,500     381,500      381,500       0
GTECH HOLDINGS CORP                  CS         400518106   44,920        2,095,400   2,095,400    2,095,400     0
GUCCI                                CS         401566104   30,461        364,800     364,800      364,800       0
GUIDANT CORPORATION                  CS         401698105   468,656       8,739,500   8,739,500    8,739,500     0
GUITAR CENTER INC                    CS         402040109   87            9,200       9,200        9,200         0
GULF INDONESIA RESOURCES             CS         402284103   403           40,000      40,000       40,000        0
H N C SOFTWARE INC                   CS         40425P107   43            1,100       1,100        1,100         0
HALLIBURTON CO                       CS         406216101   40,574        989,600     989,600      989,600       0
HAMILTON BANCORP                     CS         407013101   75            3,500       3,500        3,500         0
HARLEY-DAVIDSON INC                  CS         412822108   7,880         157,400     157,400      157,400       0
HARMONIC INC                         CS         413160102   11,004        84,100      84,100       84,100        0
HARRAH'S ENTERTAINMENT               CS         413619107   18,842        679,000     679,000      679,000       0
HARRIS CORP                          CS         413875105   506           18,300      18,300       18,300        0
HASBRO INC                           CS         418056107   7,618         355,350     355,350      355,350       0
HAWAIIAN ELECTRIC                    CS         419870100   1,601         45,500      45,500       45,500        0
HCC INSURANCE HOLDINGS               CS         404132102   175           10,400      10,400       10,400        0
HEALTH MANAGEMENT ASSOC              CS         421933102   25,355        3,438,000   3,438,000    3,438,000     0
HEALTHSOUTH CORP                     CS         421924101   19,861        3,276,000   3,276,000    3,276,000     0
HEALTHSOUTH CVT BOND                 CVT BOND   421924AF8   6,764         8,700,000   8,700,000    8,700,000     0
HEARTLAND EXPRESS INC                CS         422347104   272           19,200      19,200       19,200        0
HEINZ (H J) CO                       CS         423074103   21,251        494,200     494,200      494,200       0
HERBALIFE INTL                       CS         426908208   2,367         155,500     155,500      155,500       0
HERCULES INC                         CS         427056106   17,421        608,600     608,600      608,600       0
HERCULES INC CVT PFD                 PS         427098306   2,052         2,400       2,400        2,400         0
HERTZ CORP                           CS         428040109   29,885        679,200     679,200      679,200       0
HEWLETT-PACKARD CO                   CS         428236103   321,917       3,499,100   3,499,100    3,499,100     0
HI/FN INC                            CS         428358105   2,501         22,700      22,700       22,700        0
HISPANIC BROADCASTING CO             CS         43357B104   22,847        300,000     300,000      300,000       0
HOLLYWOOD ENTERTAINMENT              CS         436141105   1,856         124,000     124,000      124,000       0
HOLLYWOOD PARK INC                   CS         436255103   57            3,700       3,700        3,700         0
HOME DEPOT INC                       CS         437076102   848,754       12,368,000  12,368,000   12,368,000    0
HOMESTAKE MINING                     CS         437614100   8,063         877,576     877,576      877,576       0

                                     ITEM 2     ITEM 3      ITEM 4        ITEM 5      ITEM 6 (A)   ITEM 8 (A)    ITEM 8 (C)
ITEM 1                               TITLE OF   CUSIP       MRKT VALUE    NUMBER OF   SOLE INV.    SOLE VOTING   NO VOTING
NAME OF ISSUER                       CLASS      NUMBER      (X1000)       SHARES      AUTHORITY    AUTHORITY     AUTHORITY
______________________________       __________ ___________ ___________________________________________________________________
HOMESTAKE MINING CVT BOND            CVT BOND   437614AA8   244           250,000     250,000      250,000       0
HOMESTORE.COM                        CS         437852106   1,822         43,500      43,500       43,500        0
HON INDUSTRIES INC                   CS         438092108   5,479         284,600     284,600      284,600       0
HONEYWELL INC                        CS         438506107   58,183        522,700     522,700      522,700       0
HORACE MANN EDUCATORS                CS         440327104   7,661         296,800     296,800      296,800       0
HORMEL FOODS CORP                    CS         440452100   12,980        314,200     314,200      314,200       0
HOST MARRIOTT CORPORATION            CS         44107P104   8,513         896,100     896,100      896,100       0
HOUSEHOLD INT'L INC                  CS         441815107   722           18,000      18,000       18,000        0
HOUSTON EXPLORATION                  CS         442120101   67            3,100       3,100        3,100         0
HUDSON UNITED BANCORP                CS         444165104   4,120         133,700     133,700      133,700       0
HUNTINGTON BANCSHARES INC            CS         446150104   12,093        454,740     454,740      454,740       0
I B P INC                            CS         449223106   23,162        938,200     938,200      938,200       0
I M C GLOBAL INC                     CS         449669100   18,969        1,302,600   1,302,600    1,302,600     0
I T T HARTFORD GROUP INC             CS         416515104   5,669         138,700     138,700      138,700       0
I T T INDUSTRIES                     CS         450911102   538           16,900      16,900       16,900        0
ICICI                                CS         44926P103   936           78,000      78,000       78,000        0
ICU MEDICAL INC                      CS         44930G107   40            2,700       2,700        2,700         0
IDACORP INC                          CS         451107106   2,377         78,900      78,900       78,900        0
IDEC PHARMACEUTICALS CORP            CS         449370105   7,532         80,100      80,100       80,100        0
IDEXX LABORATORIES INC               CS         45168D104   6,925         402,200     402,200      402,200       0
IGEN INC                             CS         449536101   1,928         77,800      77,800       77,800        0
IMPERIAL BANCORP                     CS         452556103   57            2,700       2,700        2,700         0
IMPERIAL THRIFT AND LOAN             CS         450565106   88            6,000       6,000        6,000         0
IMS HEALTH INC                       CS         449934108   79,618        3,490,100   3,490,100    3,490,100     0
IN FOCUS SYSTEMS INC                 CS         452919103   72            4,300       4,300        4,300         0
INCO LTD                             CS         453258402   492           23,000      23,000       23,000        0
INDEPENDENT BANK CORP                CS         453838104   73            4,800       4,800        4,800         0
INDEPENDENT ENERGY                   CS         45384X108   7,469         391,500     391,500      391,500       0
INFINITY BROADCASTING                CS         45662S102   66,422        2,266,000   2,266,000    2,266,000     0
INGERSOLL-RAND CO                    CS         456866102   44,351        807,300     807,300      807,300       0
INKTOMI CORPORATION                  CS         457277101   21,786        181,500     181,500      181,500       0
INSIGHT COMMUNICATIONS               CS         45768V108   15,640        545,200     545,200      545,200       0
INSIGHT ENTERPRISES                  CS         45765U103   123           3,800       3,800        3,800         0
INSITUFORM TECHNOLOGIES              CS         457667103   5,521         221,100     221,100      221,100       0
INSURANCE AUTO AUCTIONER             CS         457875102   78            5,300       5,300        5,300         0
INT'L BUSINESS MACHINES              CS         459200101   1,597,089     13,158,300  13,158,300   13,158,300    0
INT'L FLAVORS &                      CS         459506101   7,966         230,900     230,900      230,900       0
INT'L MULTIFOODS CORP                CS         460043102   225           9,800       9,800        9,800         0
INT'L PAPER COMPANY                  CS         460146103   8,644         179,852     179,852      179,852       0
INT'L RECTIFIER CORP                 CS         460254105   6,115         401,000     401,000      401,000       0
INTEGRATED DEVICE                    CS         458118106   2,750         148,900     148,900      148,900       0
INTEL CORPORATION                    CS         458140100   1,194,838     16,071,800  16,071,800   16,071,800    0
INTER-TEL INC                        CS         458372109   55            3,100       3,100        3,100         0
INTERIM SERVICES INC                 CS         45868P100   80            4,900       4,900        4,900         0
INTERNAP                             CS         45885A102   1,989         44,500      44,500       44,500        0
INTERNATIONAL SPEEDWAY               CS         460335201   11,419        217,900     217,900      217,900       0
INTERSTATE BAKERIES CORP             CS         46072H108   78,251        3,402,200   3,402,200    3,402,200     0

                                     ITEM 2     ITEM 3      ITEM 4        ITEM 5      ITEM 6 (A)   ITEM 8 (A)    ITEM 8 (C)
ITEM 1                               TITLE OF   CUSIP       MRKT VALUE    NUMBER OF   SOLE INV.    SOLE VOTING   NO VOTING
NAME OF ISSUER                       CLASS      NUMBER      (X1000)       SHARES      AUTHORITY    AUTHORITY     AUTHORITY
______________________________       __________ ___________ ___________________________________________________________________
INTERVOICE-BRITE INC                 CS         461142101   71            6,400       6,400        6,400         0
INTIMATE BRANDS INC                  CS         461156101   7,832         201,150     201,150      201,150       0
ISPAT INTERNATIONAL                  CS         464899103   5,404         519,900     519,900      519,900       0
ITC DELTACOM INC                     CS         45031T104   1,170         42,500      42,500       42,500        0
IVAX CORP                            CS         465823102   6,270         380,000     380,000      380,000       0
JABIL CIRCUIT INC                    CS         466313103   31,442        635,200     635,200      635,200       0
JACK IN THE BOX                      CS         466367109   31,511        1,263,600   1,263,600    1,263,600     0
JDS UNIPHASE CORP                    CS         46612J101   376,003       3,304,612   3,304,612    3,304,612     0
JOHN NUVEEN COMPANY                  CS         478035108   146           3,900       3,900        3,900         0
JOHNSON & JOHNSON                    CS         478160104   647,223       7,044,600   7,044,600    7,044,600     0
JONES APPAREL GROUP INC              CS         480074103   8,102         281,800     281,800      281,800       0
JONES PHARMA INC                     CS         480236108   112           3,400       3,400        3,400         0
JUNIPER NETWORKS INC                 CS         48203R104   692           3,800       3,800        3,800         0
K-SWISS INC                          CS         482686102   57            1,800       1,800        1,800         0
KANSAS CITY POWER & LIGHT            CS         485134100   1,456         60,200      60,200       60,200        0
KEEBLER FOODS COMPANY                CS         487256109   18,729        626,900     626,900      626,900       0
KELLY SERVICES INC                   CS         488152208   5,673         188,500     188,500      188,500       0
KEMET CORP                           CS         488360108   45            1,400       1,400        1,400         0
KENNAMETAL INC                       CS         489170100   4,818         186,200     186,200      186,200       0
KENT ELECTRONICS CORP                CS         490553104   7,729         417,800     417,800      417,800       0
KERAVISION INC                       CS         492061106   5,569         429,400     429,400      429,400       0
KERR-MCGEE CORP                      CS         492386107   62,028        1,126,500   1,126,500    1,126,500     0
KEYCORP                              CS         493267108   106,959       4,143,700   4,143,700    4,143,700     0
KEYSPAN ENERGY CORP                  CS         49337W100   9,441         329,800     329,800      329,800       0
KEYSTONE FINANCIAL INC               CS         493482103   81            3,400       3,400        3,400         0
KIMBERLY-CLARK CORP                  CS         494368103   82,682        1,574,900   1,574,900    1,574,900     0
KINDER MORGAN ENERGY                 CS         494550106   74            1,700       1,700        1,700         0
KINDER MORGAN INC                    CS         49455P101   893           39,800      39,800       39,800        0
KINROSS GOLD CORPORATION             CS         496902107   1,068         371,380     371,380      371,380       0
KLA TENCOR CORP                      CS         482480100   14,430        221,900     221,900      221,900       0
KNIGHT-RIDDER INC                    CS         499040103   4,395         80,100      80,100       80,100        0
KOHL'S CORP                          CS         500255104   3,538         53,500      53,500       53,500        0
L G & E ENERGY CORP                  CS         501917108   12,909        607,500     607,500      607,500       0
L-3 COMMUNICATIONS                   CS         502424104   9,958         263,800     263,800      263,800       0
LAB ONE INC                          CS         50540L105   9,484         995,050     995,050      995,050       0
LABOR READY INC                      CS         505401208   1,773         176,200     176,200      176,200       0
LACLEDE GAS CO                       CS         505588103   5,765         253,400     253,400      253,400       0
LAFARGE CORP                         CS         505862102   3,277         102,000     102,000      102,000       0
LAM RESEARCH CORP                    CS         512807108   52,095        854,900     854,900      854,900       0
LANCASTER COLONY CORP                CS         513847103   8,088         252,000     252,000      252,000       0
LANCE INC                            CS         514606102   11,320        868,700     868,700      868,700       0
LANDS' END INC                       CS         515086106   16,381        248,200     248,200      248,200       0
LATTICE SEMICONDUCTOR                CS         518415104   11,293        380,800     380,800      380,800       0
LEGG MASON INC                       CS         524901105   92            2,400       2,400        2,400         0
LEHMAN BROTHERS HOLDING              CS         524908100   8,181         140,300     140,300      140,300       0
LEVEL 3 COMMUNICATION INC            CS         52729N100   1,044         20,000      20,000       20,000        0
LEXMARK INTERNATIONAL GRP            CS         529771107   13,017        161,700     161,700      161,700       0

                                     ITEM 2     ITEM 3      ITEM 4        ITEM 5      ITEM 6 (A)   ITEM 8 (A)    ITEM 8 (C)
ITEM 1                               TITLE OF   CUSIP       MRKT VALUE    NUMBER OF   SOLE INV.    SOLE VOTING   NO VOTING
NAME OF ISSUER                       CLASS      NUMBER      (X1000)       SHARES      AUTHORITY    AUTHORITY     AUTHORITY
______________________________       __________ ___________ ___________________________________________________________________
LIBERATE TECHNOLOGIES                CS         530129105   686           16,300      16,300       16,300        0
LILLY INDUSTRIES INC                 CS         532491107   364           26,700      26,700       26,700        0
LIMITED INC                          CS         532716107   4,781         125,000     125,000      125,000       0
LINCOLN NATIONAL CORP                CS         534187109   92,952        2,474,600   2,474,600    2,474,600     0
LINEAR TECHNOLOGY CORP               CS         535678106   163,606       2,783,300   2,783,300    2,783,300     0
LITTELFUSE INC                       CS         537008104   29,454        1,321,900   1,321,900    1,321,900     0
LIZ CLAIBORNE INC                    CS         539320101   1,699         54,800      54,800       54,800        0
LOCKHEED MARTIN CORP                 CS         539830109   27,552        842,900     842,900      842,900       0
LOEWS CORP                           CS         540424108   43,867        625,000     625,000      625,000       0
LOUISIANA-PACIFIC CORP               CS         546347105   7,958         509,300     509,300      509,300       0
LOWE'S COS                           CS         548661107   5,285         108,400     108,400      108,400       0
LUBRIZOL CORP                        CS         549271104   27,470        1,069,400   1,069,400    1,069,400     0
LUCENT TECHNOLOGIES INC              CS         549463107   681,343       10,502,400  10,502,400   10,502,400    0
LUKOIL                               CS         677862104   637           23,500      23,500       23,500        0
LUMINANT WORLDWIDE CORP              CS         550260103   2,157         70,000      70,000       70,000        0
LYONDELL PETROCHEMICAL CO            CS         552078107   334           25,000      25,000       25,000        0
M B I A INC                          CS         55262C100   9,614         206,200     206,200      206,200       0
M B N A CORPORATION                  CS         55262L100   13,767        603,500     603,500      603,500       0
M C I WORLDCOM INC                   CS         55268B106   1,940,273     27,006,848  27,006,848   27,006,848    0
M D U RESOURCES GROUP                CS         552690109   1,544         68,600      68,600       68,600        0
M I SCHOTTENSTEIN HOMES              CS         55305B101   58            3,500       3,500        3,500         0
MACROMEDIA INC                       CS         556100105   78            1,900       1,900        1,900         0
MAIC HOLDINGS INC                    CS         58449U100   73            2,900       2,900        2,900         0
MAINE PUBLIC SERVICE                 CS         560483109   335           18,600      18,600       18,600        0
MALLINCKRODT GROUP INC               CS         561232109   24,609        815,200     815,200      815,200       0
MANDALAY RESORT GROUP                CS         562567107   16,175        819,000     819,000      819,000       0
MANITOWOC CO                         CS         563571108   6,357         186,300     186,300      186,300       0
MANPOWER INC                         CS         56418H100   13,089        449,400     449,400      449,400       0
MANUFACTURED HOME                    CS         564682102   5,463         233,700     233,700      233,700       0
MARSH & MC LENNAN COS                CS         571748102   73,877        1,078,500   1,078,500    1,078,500     0
MARSHALL & ILSLEY CORP               CS         571834100   8,850         155,000     155,000      155,000       0
MASCO CORP                           CS         574599106   9,412         303,600     303,600      303,600       0
MATTEL INC                           CS         577081102   437           23,000      23,000       23,000        0
MAVERICK TUBE CORP                   CS         577914104   586           35,300      35,300       35,300        0
MAXIM INTEGRATED PRODUCTS            CS         57772K101   125,241       1,985,000   1,985,000    1,985,000     0
MAXIMUS                              CS         577933104   102           3,400       3,400        3,400         0
MAY DEPARTMENT STORES CO             CS         577778103   20,172        553,600     553,600      553,600       0
MCCLATCHY CO HOLDING CO              CS         579489105   114           3,200       3,200        3,200         0
MCDONALD'S CORPORATION               CS         580135101   110,979       2,580,900   2,580,900    2,580,900     0
MEDIAONE GROUP INC                   CS         58440J104   415,777       6,086,400   6,086,400    6,086,400     0
MEDIMMUNE INC                        CS         584699102   38,228        383,600     383,600      383,600       0
MEDQUIST INC                         CS         584949101   13,027        389,600     389,600      389,600       0
MEDTRONIC INC                        CS         585055106   796,535       22,437,600  22,437,600   22,437,600    0
MELLON FINANCIAL CORP                CS         58551A108   1,448         42,900      42,900       42,900        0
MENTOR CORP  (MINN)                  CS         587188103   4,323         152,000     152,000      152,000       0
MERCK & CO INC                       CS         589331107   645,377       9,957,600   9,957,600    9,957,600     0
MERCURY INTERACTIVE CORP             CS         589405109   18,998        294,400     294,400      294,400       0

                                     ITEM 2     ITEM 3      ITEM 4        ITEM 5      ITEM 6 (A)   ITEM 8 (A)    ITEM 8 (C)
ITEM 1                               TITLE OF   CUSIP       MRKT VALUE    NUMBER OF   SOLE INV.    SOLE VOTING   NO VOTING
NAME OF ISSUER                       CLASS      NUMBER      (X1000)       SHARES      AUTHORITY    AUTHORITY     AUTHORITY
______________________________       __________ ___________ ___________________________________________________________________
MERIDIAN GOLD INC                    CS         589975101   3,590         527,000     527,000      527,000       0
MERRILL LYNCH   CVT PFD              PS         590188751   5,181         297,100     297,100      297,100       0
MERRILL LYNCH & CO                   CS         590188108   24,423        363,500     363,500      363,500       0
METHODE ELECTRONICS INC              CS         591520200   7,929         420,800     420,800      420,800       0
METROCORP BANCSHARES                 CS         591650106   113           12,600      12,600       12,600        0
MGIC INVESTMENT CORP                 CS         552848103   16,378        343,000     343,000      343,000       0
MICHAEL FOODS INC                    CS         594079105   142           5,400       5,400        5,400         0
MICHAELS STORES INC                  CS         594087108   65            2,200       2,200        2,200         0
MICROMUSE INC                        CS         595094103   515           8,000       8,000        8,000         0
MICRON TECHNOLOGY INC                CS         595112103   64,825        973,900     973,900      973,900       0
MICROSOFT CORPORATION                CS         594918104   3,266,865     36,060,600  36,060,600   36,060,600    0
MICROSTRATEGY INC                    CS         594972101   12,148        215,000     215,000      215,000       0
MIDAMERICAN ENERGY                   CS         59562V107   83            2,800       2,800        2,800         0
MILLENNIUM PHARMA INC                CS         599902103   10,933        170,000     170,000      170,000       0
MILLIPORE CORP                       CS         601073109   25,918        690,000     690,000      690,000       0
MINIMED INC                          CS         60365K108   4,963         50,500      50,500       50,500        0
MINNESOTA MINING & MFG CO            CS         604059105   165,967       1,727,700   1,727,700    1,727,700     0
MINNESOTA POWER INC                  CS         604110106   19,141        1,089,900   1,089,900    1,089,900     0
MINNTECH CORP                        CS         604258103   57            5,600       5,600        5,600         0
MOBIL CORP                           CS         607059102   284,790       2,826,700   2,826,700    2,826,700     0
MOHAWK INDUSTRIES                    CS         608190104   72            3,600       3,600        3,600         0
MOLEX INC                            CS         608554101   7,333         201,600     201,600      201,600       0
MONTANA POWER CO                     CS         612085100   47,336        1,555,200   1,555,200    1,555,200     0
MORGAN STANLEY DEAN                  CS         617446448   190,933       2,140,800   2,140,800    2,140,800     0
MORTON'S RESTAURANT GROUP            CS         619429103   84            4,800       4,800        4,800         0
MOTOR CARGO INDUSTRIES,              CS         619907108   71            10,000      10,000       10,000        0
MOTOROLA INC                         CS         620076109   209,150       2,376,700   2,376,700    2,376,700     0
MUELLER INDUSTRIES INC               CS         624756102   56            1,900       1,900        1,900         0
MURPHY OIL CORP                      CS         626717102   56,517        1,045,400   1,045,400    1,045,400     0
MYLAN LABORATORIES                   CS         628530107   320           17,400      17,400       17,400        0
N C R CORP                           CS         62886E108   6,470         195,700     195,700      195,700       0
N T L INC                            CS         629407107   28,934        301,100     301,100      301,100       0
N V R INC                            CS         62944T105   91            1,800       1,800        1,800         0
NABISCO GROUP HOLDINGS               CS         62952P102   19,403        1,293,500   1,293,500    1,293,500     0
NATIONAL CITY CORP                   CS         635405103   520           19,500      19,500       19,500        0
NATIONAL COMPUTER SYSTEMS            CS         635519101   22,485        586,400     586,400      586,400       0
NATIONAL INSTRUMENTS CORP            CS         636518102   10,198        288,550     288,550      288,550       0
NATIONAL PRESTO                      CS         637215104   12,916        334,400     334,400      334,400       0
NATIONAL R V HOLDINGS                CS         637277104   2,323         117,600     117,600      117,600       0
NATIONAL SEMICONDUCTOR               CS         637640103   14,573        477,800     477,800      477,800       0
NATIONAL SERVICE                     CS         637657107   10,568        335,500     335,500      335,500       0
NAVIGANT CONSULTING INC              CS         63935N107   40,202        866,900     866,900      866,900       0
NAVISTAR INTL CORP                   CS         63934E108   79            1,700       1,700        1,700         0
NCO GROUP INC                        CS         628858102   11,005        234,300     234,300      234,300       0
NETWORK SOLUTIONS                    CS         64121Q102   16,921        184,300     184,300      184,300       0
NETZERO                              CS         64122R109   3,423         131,800     131,800      131,800       0
NEW CENTURY ENERGIES INC             CS         64352U103   1,715         51,300      51,300       51,300        0

                                     ITEM 2     ITEM 3      ITEM 4        ITEM 5      ITEM 6 (A)   ITEM 8 (A)    ITEM 8 (C)
ITEM 1                               TITLE OF   CUSIP       MRKT VALUE    NUMBER OF   SOLE INV.    SOLE VOTING   NO VOTING
NAME OF ISSUER                       CLASS      NUMBER      (X1000)       SHARES      AUTHORITY    AUTHORITY     AUTHORITY
______________________________       __________ ___________ ___________________________________________________________________
NEWBRIDGE NETWORKS CORP              CS         650901101   2,022         77,600      77,600       77,600        0
NEWMONT MINING CORP                  CS         651639106   19,579        756,675     756,675      756,675       0
NEXTEL COMMUNICATIONS INC            CS         65332V103   59,994        884,300     884,300      884,300       0
NIAGARA MOHAWK POWER                 CS         653520106   39,520        2,560,000   2,560,000    2,560,000     0
NIKE INCORPORATED                    CS         654106103   36,064        634,100     634,100      634,100       0
NOBLE AFFILIATES INC                 CS         654894104   4,965         171,200     171,200      171,200       0
NOKIA ADR CLASS A                    CS         654902204   251,834       2,804,000   2,804,000    2,804,000     0
NORDSON CORP                         CS         655663102   6,758         138,800     138,800      138,800       0
NORTEL NETWORKS CORP                 CS         656569100   145,835       2,859,500   2,859,500    2,859,500     0
NORTH FORK BANCORP                   CS         659424105   2,217         113,700     113,700      113,700       0
NORTHEAST UTILITIES                  CS         664397106   2,481         135,000     135,000      135,000       0
NORTHERN STATES POWER                CS         665772109   2,749         127,500     127,500      127,500       0
NORTHERN TRUST CORP                  CS         665859104   27,365        327,600     327,600      327,600       0
NORTHPOINT COMMUNICATIONS            CS         666610100   4,243         228,600     228,600      228,600       0
NORTHROP GRUMMAN CORP                CS         666807102   9,229         145,200     145,200      145,200       0
NORTHWEST AIRLINES CORP              CS         667280101   5,840         229,300     229,300      229,300       0
NORTHWEST NATURAL GAS CO             CS         667655104   2,037         79,100      79,100       79,100        0
NOVAMED EYECARE, INC.                CS         66986W108   3,978         389,300     389,300      389,300       0
NOVELL INC                           CS         670006105   15,763        763,100     763,100      763,100       0
NOVELLUS SYSTEMS INC                 CS         670008101   7,530         111,600     111,600      111,600       0
NOVOSTE CORPORATION                  CS         67010C100   1,142         64,000      64,000       64,000        0
NSTAR                                CS         67019E107   1,473         38,021      38,021       38,021        0
NUCOR CORP                           CS         670346105   9,396         197,300     197,300      197,300       0
NUEVO GRUPO IUSACELL SA-V            CS         670512102   4,137         435,464     435,464      435,464       0
OCCIDENTAL PETROLEUM CORP            CS         674599105   30,874        1,335,100   1,335,100    1,335,100     0
OCEANEERING INTL INC                 CS         675232102   135           8,000       8,000        8,000         0
OFFICE DEPOT CVT BOND                CVT BOND   676220AA4   2,151         3,400,000   3,400,000    3,400,000     0
OFFICE DEPOT INC                     CS         676220106   14,186        1,392,500   1,392,500    1,392,500     0
OLD KENT FINANCIAL                   CS         679833103   14,468        389,700     389,700      389,700       0
OMEGA PROTEIN CORPORATION            CS         68210P107   422           137,900     137,900      137,900       0
OMNICOM GROUP INC                    CS         681919106   11,031        139,300     139,300      139,300       0
OPEN TEXT CORPORATION                CS         683715106   11,055        565,700     565,700      565,700       0
OPTICAL COATING                      CS         683829105   9,120         99,100      99,100       99,100        0
ORACLE SYSTEMS CORP                  CS         68389X105   514,617       11,302,500  11,302,500   11,302,500    0
ORBOTECH LTD                         CS         M75253100   9,615         155,300     155,300      155,300       0
OXFORD HEALTH PLANS INC              CS         691471106   10,068        803,400     803,400      803,400       0
P M I GROUP INC                      CS         69344M101   11,341        277,450     277,450      277,450       0
P N C BANK CORP                      CS         693475105   1,164         22,100      22,100       22,100        0
PACCAR INC                           CS         693718108   4,035         79,400      79,400       79,400        0
PACIFIC CENTURY FINL CORP            CS         694058108   4,525         221,400     221,400      221,400       0
PACIFICARE HEALTH SYSTEMS            CS         695112102   11,405        263,500     263,500      263,500       0
PALL CORP                            CS         696429307   3,666         158,100     158,100      158,100       0
PARAMETRIC TECHNOLOGY                CS         699173100   57,848        4,295,000   4,295,000    4,295,000     0
PARK ELECTROCHEMICAL CORP            CS         700416209   138           4,200       4,200        4,200         0
PARK PLACE ENTERTAINMENT             CS         700690100   22,650        1,812,000   1,812,000    1,812,000     0
PARKER-HANNIFIN CORP                 CS         701094104   565           12,600      12,600       12,600        0
PATTERSON DENTAL CO                  CS         703412106   173           3,500       3,500        3,500         0

                                     ITEM 2     ITEM 3      ITEM 4        ITEM 5      ITEM 6 (A)   ITEM 8 (A)    ITEM 8 (C)
ITEM 1                               TITLE OF   CUSIP       MRKT VALUE    NUMBER OF   SOLE INV.    SOLE VOTING   NO VOTING
NAME OF ISSUER                       CLASS      NUMBER      (X1000)       SHARES      AUTHORITY    AUTHORITY     AUTHORITY
______________________________       __________ ___________ ___________________________________________________________________
PE CORPORATION - PE                  CS         69332S102   3,808         52,700      52,700       52,700        0
PECO ENERGY CO                       CS         693304107   2,250         60,000      60,000       60,000        0
PENNEY (J C) COMPANY INC             CS         708160106   25,479        741,200     741,200      741,200       0
PENTAIR INC                          CS         709631105   3,459         86,200      86,200       86,200        0
PEOPLES ENERGY CORP                  CS         711030106   99            2,800       2,800        2,800         0
PEPSICO INC                          CS         713448108   148,712       4,916,100   4,916,100    4,916,100     0
PERKIN ELMER INC                     CS         714046109   19,799        497,300     497,300      497,300       0
PERRIGO COMPANY                      CS         714290103   109           13,900      13,900       13,900        0
PERRY ELLIS INTERNATIONAL            CS         288853104   32            3,000       3,000        3,000         0
PETROLEUM GEO-SVC  -SPON             CS         716597109   23,885        1,253,000   1,253,000    1,253,000     0
PFIZER INC                           CS         717081103   1,162,887     32,358,600  32,358,600   32,358,600    0
PG&E CORP                            CS         69331C108   3,105         120,000     120,000      120,000       0
PHARMACIA & UPJOHN INC               CS         716941109   243,902       4,914,900   4,914,900    4,914,900     0
PHARMACYCLICS INC                    CS         716933106   5,545         136,700     136,700      136,700       0
PHELPS DODGE CORP                    CS         717265102   38,940        707,200     707,200      707,200       0
PHILADELPHIA SUBURBAN                CS         718009608   45            1,900       1,900        1,900         0
PHILIP MORRIS COS INC                CS         718154107   65,715        1,922,200   1,922,200    1,922,200     0
PHILLIPS N.V.                        CS         500472204   62,167        615,512     615,512      615,512       0
PHILLIPS PETROLEUM CO                CS         718507106   26,062        534,600     534,600      534,600       0
PIEDMONT NATURAL GAS CO              CS         720186105   133           4,400       4,400        4,400         0
PILGRIM'S PRIDE CORP                 CS         721467108   1             100         100          100           0
PILGRIM'S PRIDE CORP                 CS         721467207   43            8,400       8,400        8,400         0
PINNACLE HOLDINGS INC                CS         72346N101   3,088         118,500     118,500      118,500       0
PINNACLE SYSTEMS INC                 CS         723481107   34,425        811,200     811,200      811,200       0
PITNEY BOWES INC                     CS         724479100   34,698        569,400     569,400      569,400       0
PLACER DOME INC                      CS         725906101   19,575        1,315,995   1,315,995    1,315,995     0
PLANTRONICS INC                      CS         727493108   75            1,500       1,500        1,500         0
PMC SIERRA INC                       CS         69344F106   44,221        477,100     477,100      477,100       0
POGO PRODUCING CO                    CS         730448107   5,640         271,800     271,800      271,800       0
POHANG IRON & STEEL ADR              CS         730450103   282           9,000       9,000        9,000         0
POINT OF SALE LTD                    CS         M7945W108   683           60,000      60,000       60,000        0
POLYCOM INC                          CS         73172K104   12,572        263,800     263,800      263,800       0
POSSIS MEDICAL INC                   CS         737407106   39            3,400       3,400        3,400         0
POTOMAC ELECTRIC POWER               CS         737679100   2,646         104,000     104,000      104,000       0
POWER INTEGRATIONS INC               CS         739276103   10,538        152,800     152,800      152,800       0
POWERWAVE TECHNOLOGIES               CS         739363109   7,281         151,000     151,000      151,000       0
PREMARK INT'L INC                    CS         740459102   45,541        901,800     901,800      901,800       0
PREMIER PARKS CVT PFD                PS         740540307   14,629        270,900     270,900      270,900       0
PREMIER PARKS INC                    CS         740540208   6,163         212,500     212,500      212,500       0
PRI AUTOMATION INC                   CS         69357H106   18,484        512,100     512,100      512,100       0
PRIDE INTERNATIONAL INC              CS         741932107   5,234         368,900     368,900      368,900       0
PROCTER & GAMBLE CO                  CS         742718109   997,969       10,645,000  10,645,000   10,645,000    0
PROFIT RECOVERY GROUP                CS         743168106   45            1,000       1,000        1,000         0
PROGRESS SOFTWARE CORP               CS         743312100   135           4,300       4,300        4,300         0
PROTEIN DESIGN LABS INC              CS         74369L103   21,198        586,300     586,300      586,300       0
PROVIDIAN FINANCIAL CORP             CS         74406A102   14,816        187,100     187,100      187,100       0
PROXICOM                             CS         744282104   4,841         83,200      83,200       83,200        0

                                     ITEM 2     ITEM 3      ITEM 4        ITEM 5      ITEM 6 (A)   ITEM 8 (A)    ITEM 8 (C)
ITEM 1                               TITLE OF   CUSIP       MRKT VALUE    NUMBER OF   SOLE INV.    SOLE VOTING   NO VOTING
NAME OF ISSUER                       CLASS      NUMBER      (X1000)       SHARES      AUTHORITY    AUTHORITY     AUTHORITY
______________________________       __________ ___________ ___________________________________________________________________
PT TELECOM                           CS         715684106   173           25,000      25,000       25,000        0
PUBLIC SERVICE CO OF N               CS         744499104   913           50,000      50,000       50,000        0
PUBLIC SERVICE ENTERPRISE            CS         744573106   15,975        413,600     413,600      413,600       0
PUGET SOUND POWER & LIGHT            CS         745332106   1,061         47,300      47,300       47,300        0
PULTE CORPORATION                    CS         745867101   2,899         133,300     133,300      133,300       0
Q L T PHOTOTHERAPEUTICS              CS         746927102   4,777         62,700      62,700       62,700        0
QIAGEN N.V.                          CS         N72482107   6,605         156,700     156,700      156,700       0
QLOGIC CORP                          CS         747277101   25,144        361,300     361,300      361,300       0
QUAKER OATS CO                       CS         747402105   80,821        1,306,200   1,306,200    1,306,200     0
QUALCOMM CVT PFD                     PS         74752R402   30,000        113,300     113,300      113,300       0
QUALCOMM INC                         CS         747525103   1,102,649     5,829,300   5,829,300    5,829,300     0
QUANTA                               CS         74762E102   9,116         311,000     311,000      311,000       0
QUEST DIAGNOSTIC INC                 CS         74834L100   83            3,200       3,200        3,200         0
QUICKSILVER INC                      CS         74838C106   68            3,700       3,700        3,700         0
QWEST COMMUNICATIONS INT             CS         749121109   6,723         227,400     227,400      227,400       0
R & B FALCON CORP                    CS         74912E101   15,864        1,208,700   1,208,700    1,208,700     0
R P M  INC                           CS         749685103   5,478         449,500     449,500      449,500       0
RADIAN GROUP                         CS         750236101   4,583         106,746     106,746      106,746       0
RADIANT SYSTEMS                      CS         75025N102   4,038         249,000     249,000      249,000       0
RADISYS CORP                         CS         750459109   59            1,500       1,500        1,500         0
RALSTON PURINA  CVT PFD              PS         751277401   13,310        283,200     283,200      283,200       0
RATIONAL SOFTWARE CORP               CS         75409P202   58,276        1,990,200   1,990,200    1,990,200     0
RAVENSWOOD WINERY                    CS         754438109   572           53,500      53,500       53,500        0
RAYONIER INC                         CS         754907103   15,624        372,000     372,000      372,000       0
RAYTHEON B SHRS                      CS         755111408   873           17,600      17,600       17,600        0
RCN CORPORATION                      CS         749361101   6,802         166,400     166,400      166,400       0
REALNETWORKS                         CS         75605L104   21,262        203,400     203,400      203,400       0
REGIONS FINANCIAL CORP               CS         758940100   21,113        704,500     704,500      704,500       0
REHABCARE CORPORATION                CS         759148109   124           7,000       7,000        7,000         0
RELIANT ENERGY INC                   CS         75952J108   9,310         344,000     344,000      344,000       0
RENAL CARE GROUP INC                 CS         759930100   59            2,700       2,700        2,700         0
REX STORES CORP                      CS         761624105   704           22,700      22,700       22,700        0
RITE AID CORP                        CS         767754104   2,095         151,700     151,700      151,700       0
ROBERTS PHARMACEUTICAL               CS         770491108   3,231         106,800     106,800      106,800       0
ROCKWELL INT'L                       CS         773903109   32,330        615,800     615,800      615,800       0
ROHM & HAAS CO                       CS         775371107   8,869         245,500     245,500      245,500       0
ROSLYN BANCORP INC                   CS         778162107   141           7,900       7,900        7,900         0
ROSS STORES INC                      CS         778296103   5,745         285,000     285,000      285,000       0
ROWAN COMPANIES INC                  CS         779382100   6,542         402,600     402,600      402,600       0
ROYAL DUTCH PETROL                   CS         780257804   156,522       2,650,100   2,650,100    2,650,100     0
RR DONNELLEY AND SONS CO             CS         257867101   3,081         106,700     106,700      106,700       0
RUSS BERRIE & CO                     CS         782233100   182           8,700       8,700        8,700         0
RYANAIR HOLDINGS PLC ADR             CS         783513104   4,368         94,000      94,000       94,000        0
RYLAND GROUP INC                     CS         783764103   123           5,400       5,400        5,400         0
S C M MICROSYSTEMS                   CS         784018103   1,283         28,400      28,400       28,400        0
S E I CORP                           CS         784117103   161           1,800       1,800        1,800         0
S P X CORP                           CS         784635104   3,721         41,000      41,000       41,000        0

                                     ITEM 2     ITEM 3      ITEM 4        ITEM 5      ITEM 6 (A)   ITEM 8 (A)    ITEM 8 (C)
ITEM 1                               TITLE OF   CUSIP       MRKT VALUE    NUMBER OF   SOLE INV.    SOLE VOTING   NO VOTING
NAME OF ISSUER                       CLASS      NUMBER      (X1000)       SHARES      AUTHORITY    AUTHORITY     AUTHORITY
______________________________       __________ ___________ ___________________________________________________________________
S THREE INC                          CS         784849101   40            3,800       3,800        3,800         0
SAFECO CORP                          CS         786429100   199           7,100       7,100        7,100         0
SAFEWAY INC                          CS         786514208   187,625       4,929,400   4,929,400    4,929,400     0
SALEM COMMUNICATIONS CORP            CS         794093104   3,709         143,700     143,700      143,700       0
SALON.COM                            CS         79549F108   195           40,100      40,100       40,100        0
SANMINA CORP                         CS         800907107   11,363        146,800     146,800      146,800       0
SAP AG                               CS         803054204   17,720        469,400     469,400      469,400       0
SAPIENT                              CS         803062108   40,019        424,600     424,600      424,600       0
SARA LEE CORP                        CS         803111103   5,445         232,300     232,300      232,300       0
SAWTEK INC                           CS         805468105   19,852        566,200     566,200      566,200       0
SBC COMMUNICATIONS                   CS         78387G103   126,492       2,477,200   2,477,200    2,477,200     0
SCHAWK INC                           CS         806373106   358           36,700      36,700       36,700        0
SCHERING-PLOUGH CORP                 CS         806605101   653,206       14,973,200  14,973,200   14,973,200    0
SCHLUMBERGER LTD                     CS         806857108   90,453        1,451,600   1,451,600    1,451,600     0
SCHULMAN (A) INC                     CS         808194104   64            3,700       3,700        3,700         0
SCHWAB, CHARLES CORP                 CS         808513105   21,968        652,100     652,100      652,100       0
SCIENTIFIC-ATLANTA INC               CS         808655104   59,416        1,198,800   1,198,800    1,198,800     0
SCOTTS CO                            CS         810186106   93            2,700       2,700        2,700         0
SEAGATE TECHNOLOGY                   CS         811804103   21,600        701,000     701,000      701,000       0
SEARS ROEBUCK & CO                   CS         812387108   11,522        367,250     367,250      367,250       0
SEMPRA ENERGY                        CS         816851109   30,234        1,452,700   1,452,700    1,452,700     0
SHARED MEDICAL SYSTEMS               CS         819486101   5,582         119,400     119,400      119,400       0
SHERWIN-WILLIAMS CO                  CS         824348106   484           23,100      23,100       23,100        0
SHOPKO STORES INC                    CS         824911101   17,267        595,400     595,400      595,400       0
SIEBEL SYSTEMS, INC.                 CS         826170102   17,124        256,900     256,900      256,900       0
SIERRA PACIFIC RESOURCES             CS         826428104   17,873        803,296     803,296      803,296       0
SILICON VALLEY BANCSHARES            CS         827064106   80            3,300       3,300        3,300         0
SKYWEST INC                          CS         830879102   39            1,800       1,800        1,800         0
SMARTFORCE                           CS         124853300   17,543        708,800     708,800      708,800       0
SMITH (A O) CORP                     CS         831865209   124           4,100       4,100        4,100         0
SMURFIT STONE CONTAINER              CS         832727101   13,704        632,800     632,800      632,800       0
SNAP-ON INCORPORATED                 CS         833034101   5,694         175,200     175,200      175,200       0
SNYDER COMMUNICATIONS                CS         832914105   2,041         134,400     134,400      134,400       0
SOFTBANK S.A. GDR                    CS         83401R101   4,698         186,763     186,763      186,763       0
SOLECTRON CORP                       CS         834182107   136,990       1,907,600   1,907,600    1,907,600     0
SOUTHERN CO                          CS         842587107   55,502        2,155,400   2,155,400    2,155,400     0
SOUTHERN PERU COPPER CORP            CS         843611104   422           25,000      25,000       25,000        0
SOUTHWEST AIRLINES                   CS         844741108   2,141         141,000     141,000      141,000       0
SPEEDWAY MOTORSPORTS INC             CS         847788106   11,040        254,900     254,900      254,900       0
SPRINT CORPORATION                   CS         852061100   35,865        661,100     661,100      661,100       0
SPRINT PCS                           CS         852061506   64,515        865,250     865,250      865,250       0
ST PAUL COS                          CS         792860108   38,808        1,411,200   1,411,200    1,411,200     0
STANLEY WORKS                        CS         854616109   6,667         264,700     264,700      264,700       0
STAPLES INC                          CS         855030102   12,324        565,000     565,000      565,000       0
STATION CASINOS INC                  CS         857689103   6,040         259,800     259,800      259,800       0
STERLING COMMERCE                    CS         859205106   17,024        917,100     917,100      917,100       0
STERLING SOFTWARE                    CS         859547101   10,966        548,300     548,300      548,300       0

                                     ITEM 2     ITEM 3      ITEM 4        ITEM 5      ITEM 6 (A)   ITEM 8 (A)    ITEM 8 (C)
ITEM 1                               TITLE OF   CUSIP       MRKT VALUE    NUMBER OF   SOLE INV.    SOLE VOTING   NO VOTING
NAME OF ISSUER                       CLASS      NUMBER      (X1000)       SHARES      AUTHORITY    AUTHORITY     AUTHORITY
______________________________       __________ ___________ ___________________________________________________________________
STILLWATER MINING CO                 CS         86074Q201   17,411        647,850     647,850      647,850       0
STMICROELECTRONICS                   CS         861012102   31,931        431,500     431,500      431,500       0
STUDENT LOAN CORP                    CS         863902102   7,180         175,400     175,400      175,400       0
SUIZA FOODS                          CS         865077101   13,695        365,200     365,200      365,200       0
SUMMIT BANCORP                       CS         866005101   118,819       3,663,000   3,663,000    3,663,000     0
SUN INTERBREW LTD - A SHS            CS         999902P29   35            20,000      20,000       20,000        0
SUN INTERBREW LTD - B SHS            CS         999902FJ3   445           112,000     112,000      112,000       0
SUN MICROSYSTEMS INC                 CS         866810104   253,389       2,723,700   2,723,700    2,723,700     0
SUNGLASS HUT INTERN'L INC            CS         86736F106   11,836        1,123,900   1,123,900    1,123,900     0
SUPER VALU STORES INC                CS         868536103   31,737        1,455,000   1,455,000    1,455,000     0
SUPERIOR INDUSTRIES INT'L            CS         868168105   75,348        2,691,000   2,691,000    2,691,000     0
SURGUTNEFTEGAZ ADR                   CS         868861204   622           93,000      93,000       93,000        0
SWIFT ENERGY CO                      CS         870738101   211           16,700      16,700       16,700        0
SYBRON CORP                          CS         87114F106   12,148        452,000     452,000      452,000       0
T J X COS INC                        CS         872540109   20,898        744,700     744,700      744,700       0
TACO CABANA                          CS         873425102   64            6,600       6,600        6,600         0
TAIWAN SEMICONDUCTOR -ADR            CS         874039100   8,273         280,430     280,430      280,430       0
TALBOTS INC                          CS         874161102   12,439        276,800     276,800      276,800       0
TANDY CORP                           CS         875382103   6,921         133,900     133,900      133,900       0
TECUMSEH PRODUCTS CL A               CS         878895200   17,154        343,500     343,500      343,500       0
TELECOM CP NEW ZEALAND               CS         879278208   102           3,200       3,200        3,200         0
TELEFLEX INC                         CS         879369106   10,250        259,500     259,500      259,500       0
TELEFONOS DE MEXICO S.A.             CS         879403780   33,958        476,600     476,600      476,600       0
TELESP PARTICIPACOES SA              CS         87952K100   10,606        673,400     673,400      673,400       0
TELLABS INC                          CS         879664100   21,563        378,500     378,500      378,500       0
TENET HEALTHCARE CORP                CS         88033G100   8,151         464,100     464,100      464,100       0
TENFOLD CORP                         CS         88033A103   5,024         190,500     190,500      190,500       0
TERADYNE INC                         CS         880770102   42,660        1,210,200   1,210,200    1,210,200     0
TERAYON COMMUNICATION                CS         880775101   9,652         197,600     197,600      197,600       0
TEREX CORP                           CS         880779103   117           3,700       3,700        3,700         0
TEXACO  INC                          CS         881694103   67,399        1,067,700   1,067,700    1,067,700     0
TEXAS INSTRUMENTS INC                CS         882508104   787,667       9,576,500   9,576,500    9,576,500     0
TEXAS UTILITIES CO                   CS         882848104   30,499        817,400     817,400      817,400       0
TEXTRON INC                          CS         883203101   28,350        366,400     366,400      366,400       0
THERAGENICS CORP                     CS         883375107   2,150         168,600     168,600      168,600       0
TIBCO SOFTWARE INC                   CS         88632Q103   14,352        476,900     476,900      476,900       0
TICKETMASTER ONLINE -                CS         88633P203   5,035         207,900     207,900      207,900       0
TIDEWATER INC                        CS         886423102   21,282        834,600     834,600      834,600       0
TIFFANY & CO                         CS         886547108   1,678         28,000      28,000       28,000        0
TIMBERLAND CO                        CS         887100105   109           2,800       2,800        2,800         0
TIME WARNER INC                      CS         887315109   1,252,708     20,620,700  20,620,700   20,620,700    0
TITAN EXPLORATION INC                CS         888289105   338           68,000      68,000       68,000        0
TIVO INC                             CS         888706108   749           25,000      25,000       25,000        0
TLC THE LASER CENTER                 CS         9999018I5   1,986         81,400      81,400       81,400        0
TOM BROWN INC                        CS         115660201   294           20,000      20,000       20,000        0
TOMMY HILFIGER CORP                  CS         G8915Z102   27,257        967,000     967,000      967,000       0
TORCHMARK CORP                       CS         891027104   546           21,100      21,100       21,100        0

                                     ITEM 2     ITEM 3      ITEM 4        ITEM 5      ITEM 6 (A)   ITEM 8 (A)    ITEM 8 (C)
ITEM 1                               TITLE OF   CUSIP       MRKT VALUE    NUMBER OF   SOLE INV.    SOLE VOTING   NO VOTING
NAME OF ISSUER                       CLASS      NUMBER      (X1000)       SHARES      AUTHORITY    AUTHORITY     AUTHORITY
______________________________       __________ ___________ ___________________________________________________________________
TORO CO                              CS         891092108   37            1,000       1,000        1,000         0
TOYS R US INC                        CS         892335100   6,698         446,500     446,500      446,500       0
TRANSCANADA PIPELINES LTD            CS         893526103   1,737         133,000     133,000      133,000       0
TRANSOCEAN OFFSHORE                  CS         G90076103   16,954        553,600     553,600      553,600       0
TRAVELERS/AETNA PROPERTY             CS         893939108   6,036         204,600     204,600      204,600       0
TRAVIS BOATS AND                     CS         894363100   27            2,800       2,800        2,800         0
TRICON GLOBAL RESTAURANTS            CS         895953107   8,548         208,800     208,800      208,800       0
TRIGON HEALTHCARE INC                CS         89618L100   1,236         42,800      42,800       42,800        0
TRINITY INDUSTRIES INC               CS         896522109   2,396         77,600      77,600       77,600        0
TRIUMPH GROUP INC                    CS         896818101   61            2,300       2,300        2,300         0
TRUE NORTH COMMUNICATIONS            CS         897844106   15,041        413,500     413,500      413,500       0
TUBOS DE ACERO DE MEXICO             CS         898592506   919           75,000      75,000       75,000        0
TUESDAY MORNING INC                  CS         899035505   4,841         190,300     190,300      190,300       0
TUPPERWARE CORP                      CS         899896104   23,468        1,158,900   1,158,900    1,158,900     0
TV GUIDE INC                         CS         87307Q109   12,195        311,700     311,700      311,700       0
TYCO INTERNATIONAL LTD               CS         902124106   1,869,000     18,101,696  18,101,696   18,101,696    0
TYSON FOODS INC                      CS         902494103   54,485        3,314,700   3,314,700    3,314,700     0
U G I CORPORATION                    CS         902681105   993           42,700      42,700       42,700        0
U R S CORP                           CS         903236107   137           5,600       5,600        5,600         0
U S BANCORP                          CS         902973106   688           22,800      22,800       22,800        0
U S BIOSCIENCE INC                   CS         911646206   5,892         413,500     413,500      413,500       0
U S FOODSERVICE                      CS         90331R101   29,146        1,619,200   1,619,200    1,619,200     0
U S T INC                            CS         902911106   49,335        1,634,300   1,634,300    1,634,300     0
U S TRUST CORP                       CS         91288L105   96            1,200       1,200        1,200         0
U S WEST INC                         CS         91273H101   48,756        854,425     854,425      854,425       0
U S X - MARATHON GROUP               CS         902905827   576           19,700      19,700       19,700        0
ULTRAMAR DIAMOND SHAMROCK            CS         904000106   18,987        744,600     744,600      744,600       0
UMB FINANCIAL CORP                   CS         902788108   5,173         123,810     123,810      123,810       0
UNICOM CORP                          CS         904911104   2,530         68,500      68,500       68,500        0
UNIFIED ENERGY SYS                   CS         904688108   316           60,000      60,000       60,000        0
UNILEVER N V (GROUP)                 CS         904784709   52,793        774,944     774,944      774,944       0
UNION PACIFIC CORP                   CS         907818108   10,338        215,100     215,100      215,100       0
UNION PACIFIC RESOURCES              CS         907834105   14,231        886,000     886,000      886,000       0
UNIONBANCAL CORPORATION              CS         908906100   22,294        615,000     615,000      615,000       0
UNISYS CORP                          CS         909214108   238,919       5,294,600   5,294,600    5,294,600     0
UNITED ASSET MANAGEMENT              CS         909420101   3,629         188,500     188,500      188,500       0
UNITED HEALTHCARE CORP               CS         910581107   1,407         28,900      28,900       28,900        0
UNITED TECHNOLOGIES CORP             CS         913017109   236,052       3,979,800   3,979,800    3,979,800     0
UNITEDGLOBALCOM INC                  CS         913247508   108,753       1,511,400   1,511,400    1,511,400     0
UNITRIN INC                          CS         913275103   1,610         46,300      46,300       46,300        0
UNIVERSAL CORP                       CS         913456109   5,740         219,700     219,700      219,700       0
UNIVERSAL FOODS CORP                 CS         913538104   193           8,400       8,400        8,400         0
UNIVISION COMMUNICATIONS             CS         914906102   22,533        276,900     276,900      276,900       0
UNOCAL CORP                          CS         915289102   42,314        1,141,700   1,141,700    1,141,700     0
UNOCAL CORP CVT PFD                  CS         91528T207   14,601        272,600     272,600      272,600       0
US AGGREGATES INC                    CS         90334D109   2,362         169,500     169,500      169,500       0
US AIRWAYS GROUP INC                 CS         911905107   593           22,600      22,600       22,600        0

                                     ITEM 2     ITEM 3      ITEM 4        ITEM 5      ITEM 6 (A)   ITEM 8 (A)    ITEM 8 (C)
ITEM 1                               TITLE OF   CUSIP       MRKT VALUE    NUMBER OF   SOLE INV.    SOLE VOTING   NO VOTING
NAME OF ISSUER                       CLASS      NUMBER      (X1000)       SHARES      AUTHORITY    AUTHORITY     AUTHORITY
______________________________       __________ ___________ ___________________________________________________________________
USA NETWORKS INC                     CS         902984103   79,288        2,044,500   2,044,500    2,044,500     0
USWEB CORPORATION                    CS         917327108   41,789        1,216,800   1,216,800    1,216,800     0
UTILICORP UNITED INC                 CS         918005109   37,067        1,759,850   1,759,850    1,759,850     0
V F CORP                             CS         918204108   24,763        798,800     798,800      798,800       0
V I S X INC                          CS         92844S105   100,932       1,276,100   1,276,100    1,276,100     0
VALASSIS COMMUNICATIONS              CS         918866104   22,962        522,600     522,600      522,600       0
VALLEY NAT'L BANCORP NJ              CS         919794107   251           10,075      10,075       10,075        0
VASTAR RESOURCES INC                 CS         922380100   3,823         61,100      61,100       61,100        0
VENTIV HEALTH INC                    CS         922793104   445           44,799      44,799       44,799        0
VERISIGN                             CS         92343E102   1,451         13,600      13,600       13,600        0
VERITAS SOFTWARE CORP                CS         923436109   19,478        256,500     256,500      256,500       0
VERITY                               CS         92343C106   31,083        451,500     451,500      451,500       0
VIACOM INC                           CS         925524100   8,477         196,000     196,000      196,000       0
VIACOM INC                           CS         925524308   500,041       11,835,300  11,835,300   11,835,300    0
VIATEL INC                           CS         925529208   9,110         310,100     310,100      310,100       0
VICOR CORP                           CS         925815102   54            2,400       2,400        2,400         0
VINTAGE PETROLEUM INC                CS         927460105   5,100         377,800     377,800      377,800       0
VISHAY INTERTECHNOLOGY               CS         928298108   21,988        925,825     925,825      925,825       0
VITESSE SEMICONDUCTOR                CS         928497106   44,385        519,500     519,500      519,500       0
VITRIA TECHNOLOGY INC                CS         92849Q104   37            1,000       1,000        1,000         0
VODAFONE AIRTOUCH PLC                CS         92857T107   993,629       4,179,300   4,179,300    4,179,300     0
VOICESTREAM WIRELESS CORP            CS         928615103   37,414        606,200     606,200      606,200       0
W D-40 COMPANY                       CS         929236107   9,262         395,700     395,700      395,700       0
WACHOVIA CORP                        CS         929771103   2,005         25,500      25,500       25,500        0
WAL-MART STORES INC                  CS         931142103   1,262,789     26,550,100  26,550,100   26,550,100    0
WARNER-LAMBERT CO                    CS         934488107   807,624       12,167,600  12,167,600   12,167,600    0
WASHINGTON FED S & L ASSN            CS         938824109   182           7,800       7,800        7,800         0
WASHINGTON GAS LIGHT CO              CS         938837101   22,533        830,700     830,700      830,700       0
WASHINGTON MUTUAL INC                CS         939322103   576           19,700      19,700       19,700        0
WASTE MANAGEMENT CVT BOND            CVT BOND   92929QAF4   4,141         5,050,000   5,050,000    5,050,000     0
WASTE MANAGEMENT CVT BOND            CVT BOND   94106LAA7   4,493         5,020,000   5,020,000    5,020,000     0
WASTE MANAGEMENT INC                 CS         94106L109   58,573        3,042,774   3,042,774    3,042,774     0
WATERS CORPORATION                   CS         941848103   2,689         44,400      44,400       44,400        0
WAUSAU-MOSINEE PAPER                 CS         943315101   175           14,400      14,400       14,400        0
WELLS FARGO & CO                     CS         949746101   209,311       5,282,300   5,282,300    5,282,300     0
WENDY'S INTERNATIONAL INC            CS         950590109   19,586        742,600     742,600      742,600       0
WESLEY JESSEN VISIONCARE             CS         951018100   8,475         269,300     269,300      269,300       0
WEST TELESERVICES CORP               CS         956188106   275           26,800      26,800       26,800        0
WESTERN RESOURCES INC                CS         959425109   1,037         48,500      48,500       48,500        0
WESTERN WIRELESS CORP                CS         95988E204   18,691        416,800     416,800      416,800       0
WESTVACO CORP                        CS         961548104   24,144        942,200     942,200      942,200       0
WESTWOOD ONE INC                     CS         961815107   68            1,500       1,500        1,500         0
WEYERHAEUSER CO                      CS         962166104   37,698        654,200     654,200      654,200       0
WHIRLPOOL CORP                       CS         963320106   14,970        229,200     229,200      229,200       0
WHITTMAN-HART INC                    CS         966834103   159           4,100       4,100        4,100         0
WICOR INC                            CS         929253102   9,663         332,500     332,500      332,500       0
WILD OATS MARKETS                    CS         96808B107   3,860         97,800      97,800       97,800        0

                                     ITEM 2     ITEM 3      ITEM 4        ITEM 5      ITEM 6 (A)   ITEM 8 (A)    ITEM 8 (C)
ITEM 1                               TITLE OF   CUSIP       MRKT VALUE    NUMBER OF   SOLE INV.    SOLE VOTING   NO VOTING
NAME OF ISSUER                       CLASS      NUMBER      (X1000)       SHARES      AUTHORITY    AUTHORITY     AUTHORITY
______________________________       __________ ___________ ___________________________________________________________________
WILLIAMS COS                         CS         969457100   16,862        450,400     450,400      450,400       0
WILLIAMS-SONOMA INC                  CS         969904101   97            2,000       2,000        2,000         0
WILSONS THE LEATHER                  CS         972463103   59            3,700       3,700        3,700         0
WINK COMMUNICATIONS                  CS         974168106   1,310         30,000      30,000       30,000        0
WINN-DIXIE STORES INC                CS         974280109   5,584         188,100     188,100      188,100       0
WOLVERINE WORLD WIDE                 CS         978097103   130           11,400      11,400       11,400        0
WORLDGATE COMMUNICATIONS             CS         98156L307   5,920         257,400     257,400      257,400       0
WORTHINGTON INDUSTRIES               CS         981811102   12,591        742,000     742,000      742,000       0
X-RITE INC                           CS         983857103   315           48,200      48,200       48,200        0
XILINX INC                           CS         983919101   167,078       2,549,600   2,549,600    2,549,600     0
XIRCOM INC                           CS         983922105   841           19,700      19,700       19,700        0
XTRA CORP                            CS         984138107   39,655        997,600     997,600      997,600       0
YANKEE CANDLE COMPANY INC            CS         984757104   7,339         380,000     380,000      380,000       0
YELLOW CORP                          CS         985509108   147           8,900       8,900        8,900         0
YORK INTERNATIONAL CORP              CS         986670107   17,552        488,400     488,400      488,400       0
YOUNG & RUBICAM                      CS         987425105   69,300        1,575,000   1,575,000    1,575,000     0
ZALE CORP                            CS         988858106   21,558        562,700     562,700      562,700       0
ZEBRA TECHNOLOGIES CP CL             CS         989207105   77            1,700       1,700        1,700         0
ZIONS BANCORPORATION                 CS         989701107   17,021        308,600     308,600      308,600       0
3COM CORP                            CS         885535104   7,797         271,500     271,500      271,500       0
</TABLE>


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