AMERICAN INTERNATIONAL GROUP INC
13F-HR/A, 1999-09-10
FIRE, MARINE & CASUALTY INSURANCE
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<PAGE>   1
                                UNITED STATES
                      SECURITIES AND EXCHANGE COMMISSION
                            Washington, D.C. 20549

                                   FORM 13F

                             FORM 13F COVER PAGE


Report for the Calendar Year or Quarter Ended: June 30, 1999


Check here if Amendment [X]; Amendment Number:  1


  This Amendment (Check only one.):      [X] is a restatement.
                                         [ ] adds new holdings entries

Institutional Investment Manager Filing this Report:

Name: AMERICAN INTERNATIONAL GROUP, INC.


Address: 70 Pine Street

         New York, New York 10270


Form 13F File Number:  28-219



The Institutional Investment Manager filing this report and the person by whom
it is signed represent 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 this form.

Person Signing this Report on Behalf of Reporting Manager:

Name:  Edward E. Matthews

Title: Vice Chairman -- Investments and Financial Services

Phone: (212) 770-5400



Signature, Place, and Date of Signing:


/s/ Edward E. Matthews             New York, New York        September 10, 1999
- -------------------------------    ------------------------  ----------------
(Signature)                        (City, State)              (Date)

Report Type (Check only one.):

[X] 13F HOLDINGS REPORT. (Check if all holdings of this reporting manager are
    reported in this report.)

[ ] 13F NOTICE.  (Check if no holdings reported are in this report, and all
    holdings are reported in this report and a portion are reported by other
    reporting manager(s).)

[ ] 13F COMBINATION REPORT.  (Check if a portion of the holdings for this
    reporting manager are reported in this report and a portion are reported by
    other reporting manager(s).)




<PAGE>   2

                             FORM 13F SUMMARY PAGE

REPORT SUMMARY:


Number of Other Included Managers:  3



Form 13F Information Table Entry Total: 2408



Form 13F Information Table Value Total:  $11,120,271 (thousands)


List of Other Included Managers:

Provide a numbered list of the name(s) and Form 13F file number(s) of all
institutional investment managers with respect to which this report is filed,
other than the manager filing this report.


No.       Form 13F File Number     Name
- --        --------------------     -------------------------------------

1         28-4637                  AIG GLOBAL INVESTMENT CORP.

2         28-2725                  SUNAMERICA ASSET MANAGEMENT CORP.

3         28-3463                  JOHN MCSTAY INVESTMENT COUNSEL LLC
<PAGE>   3
FILE NUMBER 28-219 (CONSOLIDATED)
AS OF 6/30/99

<TABLE>
<CAPTION>
- -----------------------------------------------------------------------------------------------------------------------------------
         COLUMN             COLUMN    COLUMN     COLUMN       COLUMN              COLUMN     COLUMN               COLUMN
           1                  2         3          4            5                   6          7                    8
- -----------------------------------------------------------------------------------------------------------------------------------
                            TITLE OF  CUSIP       VALUE    SHRS OR SH/PRN  PUT/  INVESTMENT   OTHER         VOTING AUTHORITY
NAME OF ISSUER               CLASS               (X$1000)  PRN AMT         CALL  DISCRETION  MANAGERS  SOLE       SHARED       NONE
- -----------------------------------------------------------------------------------------------------------------------------------
<S>                         <C>     <C>         <C>      <C>       <C>     <C>   <C>         <C>       <C>   <C>           <C>
3COM                          COM    885535104       64      2,400   SH           DEFINED       1                  2,400
99 CENTS ONLY STORES          COM    65440K106   41,306    827,149   SH           DEFINED       3                809,099     18,050
A D C TELECOMMUNICATN         COM    000886101    9,700    212,900   SH           DEFINED       3                176,600     36,300
A. SCHULMAN INC               COM    808194104       57      3,300   SH           DEFINED       1                  3,300
A.J. GALLAGHER                COM    363576109   11,177    225,800   SH           DEFINED       1                225,800
AAR CORP                      COM    000361105       86      4,800   SH           DEFINED       2                  4,800
ABACUS DIRECT CORP            COM    002553105   14,924    163,100   SH           DEFINED       3                159,300      3,800
ABBEY NATIONAL                COM    000445007      269     13,000   SH           DEFINED       2                 13,000
ABITIBI-PRICE                 COM    003924107    1,928    161,675   SH           DEFINED       1                161,675
ABBOTT LABORATORIES           COM    002824100    3,004     66,200   SH           DEFINED       1                 66,200
ABBOTT LABS                   COM    002824100    2,563     54,900   SH           DEFINED       2                 54,900
ABERCROMBIE & FITCH - CL A    COM    002896207    2,554     53,200   SH           DEFINED       3                 50,800      2,400
ABERCROMBIE & FITCH - CL A    COM    002896207      442      9,200   SH           DEFINED       1                  9,200
ABERCROMBIE & FITCH - CL A    COM    002896207    7,102     77,200   SH           DEFINED       2                 77,200
ABR INFORMATION SVCS INC      COM    00077R108      207      2,300   SH           DEFINED       2                  2,300
ACCREDO HEALTH INC            COM    00437V104   10,153    310,000   SH           DEFINED       3                310,000
ACE LTD                       COM    G0070K103    1,182     37,900   SH           DEFINED       2                 37,900
ACNIELSEN CORP                COM    004833109      148      4,899   SH           DEFINED       1                  4,899
ACTION PERFORMANCE COS INC    COM    004933107    4,641    154,300   SH           DEFINED       2                154,300
ACUSON CORP                   COM    005113105       43      2,500   SH           DEFINED       1                  2,500
ACXIOM CORP                   COM    005125109      885     33,400   SH           DEFINED       2                 33,400
ADAC LABS                     COM    005313200       19      1,400   SH           DEFINED       2                  1,400
ADAPTEC INC                   COM    00651F108      457     20,100   SH           DEFINED       2                 20,100
ADC TELECOMMUNICATIONS        COM    000886101      560     12,300   SH           DEFINED       1                 12,300
ADC TELECOMMUNICATIONS        COM    000886101      844     17,700   SH           DEFINED       2                 17,700
ADELPHIA COMMUNICATIONS CORP  COM    006848105      688     10,900   SH           DEFINED       2                 10,900
ADOBE SYS INC                 COM    00724F101      289      5,100   SH           DEFINED       2                  5,100
ADOBE SYSTEMS INC             COM    00724F101      214      2,600   SH           DEFINED       1                  2,600
ADVANCE PARADIGM INC          COM    007491103   31,208    511,600   SH           DEFINED       3                502,100      9,500
ADVANCED MICRO DEVICES        COM    007903107       94      5,200   SH           DEFINED       1                  5,200
AEA INVESTORS CLASS B         COM    00799H115    1,800     11,250   SH           DEFINED       1                 11,250
AES CORP                      COM    00130H105      401      6,900   SH           DEFINED       1                  6,900
AETNA INC                     COM    008117103      537      6,000   SH           DEFINED       1                  6,000
AETNA INC                     COM    008117103    1,312     16,100   SH           DEFINED       2                 16,100
AFFILIATED COMPUTER           COM    008190100   98,830  1,952,200   SH           DEFINED       3              1,881,800     70,400
AFFILIATED COMPUTER SVCS INC  COM    008190100      791     17,300   SH           DEFINED       2                 17,300
AFFILIATED COMPUTER SVCS-A    COM    008190100      223      4,400   SH           DEFINED       1                  4,400
AFLAC INC                     COM    001055102    1,682     30,900   SH           DEFINED       2                 30,900
AFLAC INC.                    COM    001055102    8,632    180,300   SH           DEFINED       1                180,300
AGCO CORP                     COM    001084102       61      5,400   SH           DEFINED       1                  5,400
AGL RES INC                   COM    001204106       89      4,800   SH           DEFINED       1                  4,800
AGL RES INC                   COM    001204106      657     37,400   SH           DEFINED       2                 37,400
AGOURON PHARMACEUTICALS INC   COM    008488108      136      2,400   SH           DEFINED       2                  2,400
AIR EXPRESS INTL CORP         COM    009104100      416     27,500   SH           DEFINED       2                 27,500
</TABLE>

                                  Page 1 of 49
<PAGE>   4
FILE NUMBER 28-219 (CONSOLIDATED)
AS OF 6/30/99

<TABLE>
<CAPTION>
- -----------------------------------------------------------------------------------------------------------------------------------
                            TITLE OF  CUSIP       VALUE    SHRS OR SH/PRN  PUT/  INVESTMENT   OTHER         VOTING AUTHORITY
NAME OF ISSUER               CLASS               (X$1000)  PRN AMT         CALL  DISCRETION  MANAGERS  SOLE   SHARED        NONE
- -----------------------------------------------------------------------------------------------------------------------------------
<S>                         <C>    <C>          <C>      <C>       <C>    <C>   <C>           <C>      <C>  <C>           <C>
AIR PRODS + CHEMS INC        COM    009158106     4,425    129,191   SH           DEFINED       2             129,191
AIR PRODUCTS                 COM    009158106       358      8,900   SH           DEFINED       1               8,900
AIRBORNE FGHT CORP           COM    009266107       311     10,000   SH           DEFINED       2              10,000
AIRBORNE FREIGHT CORP        COM    009266107       100      3,600   SH           DEFINED       1               3,600
AIRGAS INC                   COM    009363102        70      5,700   SH           DEFINED       1               5,700
AK STEEL HOLDING CORP        COM    001547108       104      4,600   SH           DEFINED       1               4,600
AK STL HLDG CORP             COM    001547108       505     22,400   SH           DEFINED       2              22,400
ALASKA AIR GROUP             COM    011659109        88      2,100   SH           DEFINED       1               2,100
ALASKA AIR GROUP INC         COM    011659109        95      2,000   SH           DEFINED       2               2,000
ALBANY INTL CORP             COM    012348108        52      2,470   SH           DEFINED       1               2,470
ALBEMARLE CORP               COM    012653101       111      4,800   SH           DEFINED       1               4,800
ALBERTO-CULVER CO            COM    013068101        59      2,200   SH           DEFINED       1               2,200
ALBERTSON'S INC              COM    013104104    16,806    325,943   SH           DEFINED       1             325,943
ALCAN ALUM LTD               COM    013716956        45      1,740   SH           DEFINED       2               1,740
ALCAN ALUMINUM LTD           COM    013716105    16,383    507,400   SH           DEFINED       1             507,400
ALCOA INC                    COM    013817101       362      8,800   SH           DEFINED       2               8,800
ALCOA INC.                   COM    013817101       693     11,200   SH           DEFINED       1              11,200
ALEXANDER BALDWIN            COM    014482103        87      3,900   SH           DEFINED       1               3,900
ALIANT COMMUNICATIONS INC    COM    016090102       143      3,100   SH           DEFINED       1               3,100
ALKERMES INC                 COM    01642T108     2,542     93,600   SH           DEFINED       2              93,600
ALLAIRE CORP                 COM    016714107     2,040     30,000   SH           DEFINED       2              30,000
ALLEGHENY ENERGY INC         COM    017361106       337     10,500   SH           DEFINED       1              10,500
ALLEGHENY TELEDYNE INC       COM    017415100       166      7,345   SH           DEFINED       1               7,345
ALLEN TELECOM INC            COM    018091108        82     13,500   SH           DEFINED       2              13,500
ALLERGAN INC                 COM    018490102       289      2,600   SH           DEFINED       1               2,600
ALLIANT ENERGY CORP          COM    018802108       182      6,400   SH           DEFINED       1               6,400
ALLIED WASTE INDUSTRIES I    COM    019589308       310     15,700   SH           DEFINED       1              15,700
ALLIED WASTE INDUSTRIES I    COM    019589308     2,673    185,125   SH           DEFINED       2             185,125
ALLIED-SIGNAL INC.           COM    019512102    18,153    288,150   SH           DEFINED       1             288,150
ALLMERICA FINANCIAL CORP     COM    019754100       304      5,000   SH           DEFINED       1               5,000
ALLOY ONLINE INC             COM    019855105         6        500   SH           DEFINED       1                 500
ALLSTATE CORP                COM    020002101    30,424    848,050   SH           DEFINED       1             848,050
ALLSTATE CORP                COM    020002101     1,831     49,400   SH           DEFINED       2              49,400
ALLTEL CORP                  COM    020039103       672      9,400   SH           DEFINED       1               9,400
ALLTEL CORP                  COM    020039103     5,184     83,105   SH           DEFINED       2              83,105
ALPHA INDUSTRIES INC         COM    020753109        19        390   SH           DEFINED       2                 390
ALTERA CORP                  COM    021441100       655     17,800   SH           DEFINED       1              17,800
ALTERNATIVE LIVING SVCS I    COM    02145K107     3,504    175,200   SH           DEFINED       2             175,200
ALZA                         COM    022615108       163      3,200   SH           DEFINED       1               3,200
ALZA CORP                    COM    022615108     1,251     32,700   SH           DEFINED       2              32,700
AMB PPTY CORP                COM    00163T109    16,137    686,700   SH           DEFINED       3             561,900       124,000
AMBAC FINL GROUP INC         COM    023139108       680     12,600   SH           DEFINED       2              12,600
AMBAC INC.                   COM    023139108       343      6,000   SH           DEFINED       1               6,000
AMCORE FINL INC              COM    023912108       186      9,000   SH           DEFINED       2               9,000
AMDOCS LIMITED               COM    002256908       796     35,000   SH           DEFINED       1              35,000
AMERADA HESS CORP            COM    023551104       214      3,600   SH           DEFINED       1               3,600
AMERADA HESS CORP            COM    023551104    21,667    148,470   SH           DEFINED       2             148,470
AMEREN CORPORATION           COM    023608102       176      4,580   SH           DEFINED       1               4,580
AMERICA ONLINE INC           COM    02364J104     4,290     39,000   SH           DEFINED       1              39,000
AMERICAN AIRLINES            COM    001765106       484      7,100   SH           DEFINED       1               7,100
</TABLE>

                                  Page 2 of 49
<PAGE>   5
FILE NUMBER 28-219 (CONSOLIDATED)
AS OF 6/30/99

<TABLE>
<CAPTION>
- -----------------------------------------------------------------------------------------------------------------------------------
                            TITLE OF  CUSIP       VALUE    SHRS OR SH/PRN  PUT/  INVESTMENT   OTHER         VOTING AUTHORITY
NAME OF ISSUER               CLASS               (X$1000)  PRN AMT         CALL  DISCRETION  MANAGERS  SOLE   SHARED        NONE
- -----------------------------------------------------------------------------------------------------------------------------------
<S>                          <C>    <C>         <C>       <C>        <C>   <C>   <C>         <C>      <C>  <C>           <C>
AMERICAN BANKERS INS
GROUP INC                      COM   024456204        802      7,600  SH          DEFINED       2               7,600
AMERICAN CELLULAR COMMON
STOCK                          COM   02599C106        357      3,571  SH          DEFINED       1               3,571
AMERICAN ELEC PWR INC          COM   025537101         20        500  SH          DEFINED       2                 500
AMERICAN ELECTRIC POWER        COM   025537101        285      7,600  SH          DEFINED       1               7,600
AMERICAN EXPRESS               COM   025816109     27,645    212,450  SH          DEFINED       1             212,450
AMERICAN EXPRESS CO            COM   025816109     20,250    172,255  SH          DEFINED       2             172,255
AMERICAN FINANCIAL GROUP INC   COM   025932104        187      5,500  SH          DEFINED       1               5,500
AMERICAN FINL GROUP INC OHIO   COM   025932104        176      5,000  SH          DEFINED       2               5,000
AMERICAN GENERAL CORP          COM   026351106        758     10,061  SH          DEFINED       1              10,061
AMERICAN GREEETINGS -CL A      COM   026375105         81      2,700  SH          DEFINED       1               2,700
AMERICAN GREETINGS CORP        COM   026375105      3,145    123,950  SH          DEFINED       2             123,950
AMERICAN HEALTH PPTYS          COM   026494104      4,423    219,800  SH          DEFINED       3             180,300       39,500
AMERICAN HERITAGE LIFE INVT    COM   026522102         61      2,600  SH          DEFINED       2               2,600
AMERICAN HOME PRODUCTS         COM   026609107     18,412    320,900  SH          DEFINED       1             320,900
AMERICAN HOME PRODUCTS CORP    COM   026609107      6,225     95,400  SH          DEFINED       2              95,400
AMERICAN INTL GROUP INC        COM   026874107      7,673     65,438  SH          DEFINED       1               7,673
AMERICAN INTL GROUP INC        COM   026874107      2,120     17,575  SH          DEFINED       2              17,575
AMERICAN ITALIAN PASTA CO      COM   027070101        143      5,700  SH          DEFINED       2               5,700
AMERICAN POWER CONVERSION      COM   029066107        326     16,200  SH          DEFINED       1              16,200
AMERICAN PWR CONVERSION CORP   COM   029066107        918     34,000  SH          DEFINED       2              34,000
AMERICAN SKIING CORP COMMON    COM   029654308          2    371,415  SH          DEFINED       2             371,415
AMERICAN STANDARD COMPANIES    COM   029712106        302      6,300  SH          DEFINED       1               6,300
AMERICAN TOWER                 COM   029912201     52,178  2,174,100  SH          DEFINED       3           2,088,300       85,800
AMERICAN WTR WKS INC           COM   030411102        209      6,800  SH          DEFINED       1               6,800
AMERICREDIT CORP               COM   03060R101     40,726  2,545,400  SH          DEFINED       3           2,479,500       65,900
AMERIN CORP                    COM   03070X106        278     13,700  SH          DEFINED       2              13,700
AMERISOURCE HEALTH CORP        COM   03071P102        940     27,500  SH          DEFINED       2              27,500
AMERITECH CORPORATION/DEL      COM   030954101      3,197     43,500  SH          DEFINED       1              43,500
AMES DEPT STORES INC           COM   030789507         16        360  SH          DEFINED       1                 360
AMES DEPT STORES INC           COM   030789507     50,251  1,101,400  SH          DEFINED       3           1,080,200       21,200
AMETEK INC (new)               COM   031100100         67      2,900  SH          DEFINED       1               2,900
AMGEN INC                      COM   031162100     12,343    165,300  SH          DEFINED       2             165,300
AMGEN INC.                     COM   031162100      1,297     21,300  SH          DEFINED       1              21,300
AMLI RESIDENTIAL PPTYS TR      COM   001735109         95      4,600  SH          DEFINED       2               4,600
AMSOUTH BANCORPORATION         COM   321651020        139      6,000  SH          DEFINED       1               6,000
ANADARKO PETROLEUM CORP        COM   032511107        180      4,900  SH          DEFINED       1               4,900
ANALOG DEVICES INC             COM   032654105        693     13,800  SH          DEFINED       1              13,800
ANALOG DEVICES INC             COM   032654105        473     15,900  SH          DEFINED       2              15,900
ANDREW CORPRATION              COM   034425108         62      3,275  SH          DEFINED       1               3,275
ANHEUSER BUSCH COS INC         COM   035229103      4,099     53,800  SH          DEFINED       2              53,800
ANHEUSER-BUSCH COS             COM   035229103     13,531    190,750  SH          DEFINED       1             190,750
ANIXTER INTL INC               COM   035290105        208     17,400  SH          DEFINED       2              17,400
ANNTAYLOR STORES CORP          COM   036115103        433      9,800  SH          DEFINED       2               9,800
ANNUITY AND LIFE RE HLDGS      COM   G03910109        229     10,000  SH          DEFINED       2              10,000
ANSWERTHINK CONSULTING GROUP   COM   036916104      2,940    105,000  SH          DEFINED       2             105,000
ANTEC CORP                     COM   03664P105     56,543  1,763,517  SH          DEFINED       3           1,702,517       61,000
AON CORP                       COM   037389103     11,362    275,450  SH          DEFINED       1             275,450
APACHE CORP                    COM   037411105        135      3,450  SH          DEFINED       1               3,450
APACHE CORP                    COM   037411105         58      1,475  SH          DEFINED       2               1,475
APACHE CORP                    COM   037411105      5,737    147,100  SH          DEFINED       3             127,800       19,300
</TABLE>

                                  Page 3 of 49
<PAGE>   6
FILE NUMBER 28-219 (CONSOLIDATED)
AS OF 6/30/99

<TABLE>
<CAPTION>
- -----------------------------------------------------------------------------------------------------------------------------------
                            TITLE OF  CUSIP       VALUE    SHRS OR SH/PRN  PUT/  INVESTMENT   OTHER         VOTING AUTHORITY
NAME OF ISSUER               CLASS               (X$1000)  PRN AMT         CALL  DISCRETION  MANAGERS  SOLE       SHARED      NONE
- -----------------------------------------------------------------------------------------------------------------------------------
<S>                         <C>     <C>         <C>      <C>       <C>     <C>   <C>         <C>       <C>      <C>          <C>
APARTMENT INVT & MGMT         COM    03748R101   11,158    261,000   SH           DEFINED        3                216,100     44,900
APARTMENT INVT. + MGMT CO     COM    03748R101      558     15,400   SH           DEFINED        2                 15,400
APOGEE ENTERPRISES INC        COM    037598109      166     14,400   SH           DEFINED        2                 14,400
APOLLO GROUP INC              COM    037604105      189      7,100   SH           DEFINED        1                  7,100
APPLE COMPUTER                COM    037833100      222      4,800   SH           DEFINED        1                  4,800
APPLE COMPUTER                COM    037833100      410     11,400   SH           DEFINED        2                 11,400
APPLEBEES INTL INC            COM    037899101      109      4,400   SH           DEFINED        2                  4,400
APPLIED MATERIALS INC         COM    038222105    1,056     14,300   SH           DEFINED        1                 14,300
APPLIED MATERIALS INC         COM    038222105    1,616     26,200   SH           DEFINED        2                 26,200
APPLIED MICRO CIRCUITS        COM    03822W109   15,356    186,700   SH           DEFINED        3                182,300      4,400
APPLIED PWR INC               COM    038225108       63      2,300   SH           DEFINED        2                  2,300
APRIA HEALTHCARE GROUP        COM    037933108       75      4,400   SH           DEFINED        1                  4,400
APRIA HEALTHCARE GROUP INC    COM    037933108      120     10,100   SH           DEFINED        2                 10,100
APTARGROUP INC                COM    038336103      187      7,200   SH           DEFINED        2                  7,200
ARCHER DANIELS MIDLAND        COM    039483102    4,832    313,026   SH           DEFINED        1                313,026
ARCHER DANIELS MIDLAND CO     COM    039483102      238     16,200   SH           DEFINED        2                 16,200
ARCHSTONE COMM                COM    039581103   14,320    652,762   SH           DEFINED        3                536,649    116,113
ARCHSTONE COMMUNITIES TRUST   COM    039581103    4,388    200,000   SH           DEFINED        1                200,000
ARDEN RLTY GROUP INC          COM    039793104    8,446    343,000   SH           DEFINED        3                284,600     58,400
ARDEN RLTY INC                COM    039793104       65      2,900   SH           DEFINED        2                  2,900
ARGONAUT GROUP INC            COM    040157109      721     29,000   SH           DEFINED        2                 29,000
ARMSTRONG WORLD INDS INS      COM    042476101       81      1,400   SH           DEFINED        1                  1,400
ARNOLD INDS INC               COM    042595108       37      2,400   SH           DEFINED        1                  2,400
ARROW ELECTRONICS             COM    042735100      152      8,000   SH           DEFINED        1                  8,000
ARVIN INDS INC                COM    043339100       76      2,000   SH           DEFINED        1                  2,000
ASARCO                        COM    043413103       26      1,400   SH           DEFINED        1                  1,400
ASDA GROUP                    COM    005720008      122     50,000   SH           DEFINED        2                 50,000
ASHLAND INC                   COM    044204105      104      2,600   SH           DEFINED        1                  2,600
ASHLAND INC                   COM    044204105      197      4,800   SH           DEFINED        2                  4,800
ASSOCIATED BANC CORP          COM    045487105      169      5,300   SH           DEFINED        2                  5,300
ASSOCIATED BANC-CORP          COM    045487105      218      5,250   SH           DEFINED        1                  5,250
ASSOCIATES FIRST CAP CORP     COM    046008108    2,056     45,738   SH           DEFINED        2                 45,738
ASSOCIATES FIRST CAPITAL CORP COM    046008108    1,164     26,368   SH           DEFINED        1                 26,368
ASTORIA FINANCIAL CORP        COM    046265104      220      5,000   SH           DEFINED        1                  5,000
ASTORIA FINL CORP             COM    046265104      178      3,560   SH           DEFINED        2                  3,560
ASTRA AB                      COM    046298105    1,193     52,000   SH           DEFINED        2                 52,000
ASTROPOWER INC                COM    04644A101    2,935    167,700   SH           DEFINED        3                167,700
AT & T                        COM    001957109   36,178    648,200   SH           DEFINED        1                648,200
AT + T CORP                   COM    001957109   21,262    271,394   SH           DEFINED        2                271,394
AT HOME CORP                  COM    045919107    8,628     54,825   SH           DEFINED        2                 54,825
AT&T CORP LIBERTY MEDIA A     COM    001957208    2,840     54,719   SH           DEFINED        2                 54,719
ATLANTIC RICHFIELD            COM    048825103    1,070     12,800   SH           DEFINED        1                 12,800
ATLANTIC RICHFIELD CO         COM    048825103      781     10,700   SH           DEFINED        2                 10,700
ATMEL CRP                     COM    049513104      223      8,500   SH           DEFINED        1                  8,500
AUDIOCODES LTD ORD            COM    M15342104    3,283    121,600   SH           DEFINED        3                115,200      6,400
AURORA FOODS INC              COM    05164B106       85      5,200   SH           DEFINED        2                  5,200
AUTO BY TEL                   COM    05275N106    4,000    400,000   SH           DEFINED        1                400,000
AUTOBYTEL INC                 COM    05275N106      616     14,700   SH           DEFINED        2                 14,700
AUTODESK INC.                 COM    052769106       56      1,900   SH           DEFINED        1                  1,900
AUTOMATIC DATA PROCESSING INC COM    053015103   15,655    355,800   SH           DEFINED        1                355,800
</TABLE>




                                  Page 4 of 49
<PAGE>   7
FILE NUMBER 28-219 (CONSOLIDATED)
AS OF 6/30/99


<TABLE>
<CAPTION>
- -----------------------------------------------------------------------------------------------------------------------------------
                            TITLE OF  CUSIP       VALUE    SHRS OR SH/PRN  PUT/  INVESTMENT   OTHER         VOTING AUTHORITY
NAME OF ISSUER               CLASS               (X$1000)  PRN AMT         CALL  DISCRETION  MANAGERS  SOLE       SHARED      NONE
- -----------------------------------------------------------------------------------------------------------------------------------
<S>                         <C>     <C>         <C>      <C>       <C>     <C>   <C>         <C>       <C>   <C>            <C>
AUTOMATIC DATA PROCESSING
INC                           COM    053015103    9,930    240,000   SH           DEFINED       2                 240,000
AUTOZONE INC                  COM    053332102      178      5,900   SH           DEFINED       1                   5,900
AUTOZONE INC                  COM    053332102      945     31,100   SH           DEFINED       2                  31,100
AVALONBAY COMM                COM    053484101   16,979    458,898   SH           DEFINED       3                 388,785    70,113
AVERY DENNISON CORP.          COM    053611109      248      4,100   SH           DEFINED       1                   4,100
AVISTA CORP                   COM    05379B503    1,028     60,000   SH           DEFINED       2                  60,000
AVNET INC.                    COM    053807103      172      3,700   SH           DEFINED       1                   3,700
AVON PRODUCTS                 COM    054303102      566     10,200   SH           DEFINED       1                  10,200
AVT CORP                      COM    002420107      742     31,100   SH           DEFINED       2                  31,100
AXIOM SYSTEMS                 COM    054607106        6      5,025   SH           DEFINED       1                   5,025
AXOGEN LTD                    COM    G0690R108    6,275    200,000   SH           DEFINED       1                 200,000
BAKER HUGHES INC              COM    057224107      938     38,600   SH           DEFINED       2                  38,600
BAKER HUGHES INC.             COM    057224107      418     12,470   SH           DEFINED       1                  12,470
BALL CORP                     COM    058498106       46       1100   SH           DEFINED       1                   1,100
BANC ONE CORP                 COM    06423A103   18,387    308,700   SH           DEFINED       1                 308,700
BANCO DE A EDWARDS - ADR      COM    059504100      568     39,200   SH           DEFINED       1                  39,200
BANCO DE GALICIA Y BUENOS AIR COM    059538207       15        909   SH           DEFINED       2                     909
BANCO FRANCES ADR             COM    059591107      501     27,500   SH           DEFINED       1                  27,500
BANCO FRANCES DEL RIO LA PLAT COM    059591107       10        560   SH           DEFINED       2                     560
BANCO GANADERO SA - ADR       CVT    059594507       81     10,500   SH           DEFINED       1                  10,500
BANCO LATINOAMERICANO DE EXP  COM    P16994132      624     24,000   SH           DEFINED       2                  24,000
BANCO RIO DE LA PLATA - ADR   COM    059644104      278     29,300   SH           DEFINED       1                  29,300
BANCWEST CORP NEW             COM    059790105      123      2,900   SH           DEFINED       2                   2,900
BANDAG INC                    COM    059815100       66      1,900   SH           DEFINED       1                   1,900
BANK COMM SAN DIEGO CALIF     COM    061589107       78      3,900   SH           DEFINED       2                   3,900
BANK NEW YORK INC             COM    064057102    4,589    127,680   SH           DEFINED       2                 127,680
BANK OF IRELAND               COM    407617000      581     27,700   SH           DEFINED       2                  27,700
BANK OF MONTREAL              COM    063671101    9,500    254,700   SH           DEFINED       1                 254,700
BANK OF NEW YORK              COM    064057102    1,376     37,500   SH           DEFINED       1                  37,500
BANK ONE CORP                 COM    06423A103    3,924     70,539   SH           DEFINED       2                  70,539
BANK ONE CORP                 COM    06423A103      514      8,622   SH           DEFINED       1                   8,622
BANK UNITED CORP.             COM    065412108   47,835  1,190,302   SH           DEFINED       1               1,190,302
BANK UTD CORP                 COM    065412108   28,200    701,700   SH           DEFINED       3                 687,000    14,700
BANKAMERICA CORP NEW          COM    06605F102    4,130     58,480   SH           DEFINED       2                  58,480
BANKAMERICA CORPORATION       COM    060505104   29,744    405,719   SH           DEFINED       1                 405,719
BANK OF MONTREAL              COM    063671101    2,576     72,650   SH           DEFINED       1                  72,650
BANTA CORP                    COM    066821109       57      2,700   SH           DEFINED       1                   2,700
BANTA CORP                    COM    066821109      439     23,100   SH           DEFINED       2                  23,100
BARCLAYS                      COM    007820004      487     16,900   SH           DEFINED       2                  16,900
BARD C R INC                  COM    067383109    2,018     40,000   SH           DEFINED       2                  40,000
BARD(C.R.)                    COM    067383109       19        400   SH           DEFINED       1                     400
BARNES & NOBLE INC.           COM    067774109      153      5,600   SH           DEFINED       1                   5,600
BARNETT INC                   COM    068062108       94     10,900   SH           DEFINED       2                  10,900
BARR LABS INC                 COM    068306109       40      1,300   SH           DEFINED       2                   1,300
BARRETT RES CORP              COM    068480201      566     22,600   SH           DEFINED       2                  22,600
BARRICK GOLD CORP.            COM    067901108    1,487     79,035   SH           DEFINED       1                  79,035
BASSETT FURNITURE INDS INC    COM    070203104      138      6,400   SH           DEFINED       2                   6,400
BATTLE MTN GOLD CO            COM    071593107       22      9,000   SH           DEFINED       1                   9,000
</TABLE>


                                  Page 5 of 49
<PAGE>   8
FILE NUMBER 28-219 (CONSOLIDATED)
AS OF 6/30/99

<TABLE>
<CAPTION>
- -----------------------------------------------------------------------------------------------------------------------------------
                            TITLE OF  CUSIP       VALUE    SHRS OR SH/PRN  PUT/  INVESTMENT   OTHER         VOTING AUTHORITY
NAME OF ISSUER               CLASS               (X$1000)  PRN AMT         CALL  DISCRETION  MANAGERS  SOLE       SHARED       NONE
- -----------------------------------------------------------------------------------------------------------------------------------
<S>                         <C>     <C>         <C>      <C>       <C>     <C>   <C>         <C>       <C>  <C>               <C>
BAUSCH & LOMB                 COM    071707103      153      2,000   SH           DEFINED       1                  2,000
BAXTER INTERNATIONAL
INC.                          COM    071813109    6,117    100,900   SH           DEFINED       1                100,900
BAXTER INTL INC               COM    071813109    1,676     25,400   SH           DEFINED       2                 25,400
BB&T CORPORATION              COM    054937107      404     11,000   SH           DEFINED       1                 11,000
BCE INC                       COM    05534B109   10,212    211,530   SH           DEFINED       1                211,530
BE AEROSPACE INC              COM    073302101      239     16,300   SH           DEFINED       2                 16,300
BEAR STEARNS                  COM    073902108      207      4,430   SH           DEFINED       1                  4,430
BEAR STEARNS COS INC          COM    073902108      469     10,500   SH           DEFINED       2                 10,500
BECKMAN COULTER INC           COM    075811109      122      2,500   SH           DEFINED       1                  2,500
BECTON DICKINSON & CO         COM    075887109      309     10,300   SH           DEFINED       1                 10,300
BECTON DICKINSON + CO         COM    075887109    1,023     26,700   SH           DEFINED       2                 26,700
BED BATH & BEYOND             COM    075896100    4,570    118,700   SH           DEFINED       3                 87,400      31,300
BED BATH + BEYOND INC         COM    075896100      136      3,700   SH           DEFINED       2                  3,700
BED BATH AND BEYOND           COM    075896100      454     11,800   SH           DEFINED       1                 11,800
BEDFORD PPTY INVS             COM    076446301    3,375    188,800   SH           DEFINED       3                154,700      34,100
BEDFORD PPTY INVS INC         COM    076446301       70      6,100   SH           DEFINED       2                  6,100
BELCO OIL + GAS CORP          COM    077410207      488     31,000   SH           DEFINED       2                 31,000
BELDEN INC                    COM    077459105      119      7,000   SH           DEFINED       2                  7,000
BELL + HOWELL CO NEW          COM    077852101      196      6,700   SH           DEFINED       2                  6,700
BELL ATLANTIC                 COM    077853109    4,456     68,160   SH           DEFINED       1                 68,160
BELL ATLANTIC CORP            COM    077853109    1,091     21,100   SH           DEFINED       2                 21,100
BELL CANADA INTERNATIONAL
INC.                          COM    077914109      505     40,000   SH           DEFINED       1                 40,000
BELLSOUTH CORP                COM    079860102    3,510     76,100   SH           DEFINED       1                 76,100
BELO A H CORP DEL             COM    080555105      217     10,800   SH           DEFINED       1                 10,800
BEMIS CO.                     COM    081437105       80      2,000   SH           DEFINED       1                  2,000
BEMIS INC                     COM    081437105    5,739    184,758   SH           DEFINED       2                184,758
BEN + JERRYS HOMEMADE INC     COM    081465106      722     25,900   SH           DEFINED       2                 25,900
BENCHMARK ELECTRS INC         COM    08160H101      106      3,531   SH           DEFINED       2                  3,531
BERGEN BRUNSWIG CORP          COM    083739102      198     11,450   SH           DEFINED       1                 11,450
BERGEN BRUNSWIG CORP          COM    083739102      438     21,900   SH           DEFINED       2                 21,900
BERINGER WINE ESTATES
HLDGS                         COM    084102102    1,004     27,900   SH           DEFINED       2                 27,900
BERKLEY W R CORP              COM    084423102      102      4,150   SH           DEFINED       2                  4,150
BERKLEY, W.R.                 COM    084423102    1,650     66,000   SH           DEFINED       1                 66,000
BERKSHIRE HATHAWAY INC        COM    084670207      447        191   SH           DEFINED       2                    191
BERKSHIRE HATHAWAY INC DEL    COM    084670108    4,855         68   SH           DEFINED       2                     68
BERKSHIRE HATHWAY INC         COM    084990308      971     10,000   SH           DEFINED       1                 10,000
BEST BUY CO INC               COM    086516101      603     11,600   SH           DEFINED       2                 11,600
BEST BUY INC                  COM    086516101    1,161     17,200   SH           DEFINED       1                 17,200
BEST FOODS INC                COM    08658U101      629     12,700   SH           DEFINED       1                 12,700
BESTFOODS                     COM    08658U101    4,945    105,217   SH           DEFINED       2                105,217
BETHELEM STEEL  CORP          COM    087509105       36      4,700   SH           DEFINED       1                  4,700
BEVERLY ENTERPRISES
INC (new)                     COM    087851309       73      9,000   SH           DEFINED       1                  9,000
BEYOND COM CORP               COM    08860E101    1,359     51,900   SH           DEFINED       2                 51,900
BG                            COM    015421902       96     16,294   SH           DEFINED       2                 16,294
BIOGEN                        COM    090597105      810     12,600   SH           DEFINED       1                 12,600
BIOGEN INC                    COM    090597105    8,538     74,700   SH           DEFINED       2                 74,700
BIOMET INC                    COM    090613100      183      4,600   SH           DEFINED       1                  4,600
BISYS GROUP INC               COM    055472104    1,670     29,700   SH           DEFINED       2                 29,700
BJ SVCS CO                    COM    055482103      188      6,400   SH           DEFINED       1                  6,400
BJ SVCS CO                    COM    055482103    4,645    198,200   SH           DEFINED       2                198,200
</TABLE>

                                  Page 6 of 49
<PAGE>   9
FILE NUMBER 28-219 (CONSOLIDATED)
AS OF 6/30/99

<TABLE>
<CAPTION>
- -----------------------------------------------------------------------------------------------------------------------------------
                            TITLE OF  CUSIP       VALUE    SHRS OR SH/PRN  PUT/  INVESTMENT   OTHER         VOTING AUTHORITY
NAME OF ISSUER               CLASS               (X$1000)  PRN AMT         CALL  DISCRETION  MANAGERS  SOLE       SHARED       NONE
- -----------------------------------------------------------------------------------------------------------------------------------
<S>                         <C>     <C>         <C>      <C>       <C>     <C>   <C>         <C>       <C>  <C>             <C>
BJS WHOLESALE CLUB            COM    05548J106   37,320  1,241,400   SH           DEFINED       3              1,180,900      60,500
BJ'S WHOLESALE CLUB INC       COM    05548J106      180      6,000   SH           DEFINED       1                  6,000
BJS WHSL CLUB INC             COM    05548J106      788     29,800   SH           DEFINED       2                 29,800
BLACK & DECKER CORP           COM    091797100      227      3,600   SH           DEFINED       1                  3,600
BLACK BOX CORP                COM    091826107      550     17,800   SH           DEFINED       2                 17,800
BLACK HILLS CORP              COM    092113109       45      1,950   SH           DEFINED       1                  1,950
BLANCH E W HLDGS INC          COM    093210102      184      3,500   SH           DEFINED       2                  3,500
BLOCK H & R INC               COM    093671105      800      16000   SH           DEFINED       1                 16,000
BMC SOFTWARE                  COM    055921100      502      9,300   SH           DEFINED       1                  9,300
BMC SOFTWARE INC              COM    055921100      990     26,700   SH           DEFINED       2                 26,700
BOARDWALK EQUITIES INC        COM    096613104        7        800   SH           DEFINED       2                    800
BOB EVANS FARMS INC           COM    096761101       74      3,700   SH           DEFINED       1                  3,700
BOB EVANS FARMS INC           COM    096761101      161      8,100   SH           DEFINED       2                  8,100
BOEING CO                     COM    097023105    1,411     37,690   SH           DEFINED       2                 37,690
BOEING CO.                    COM    097023105    1,620     36,826   SH           DEFINED       1                 36,826
BOISE CASCADE CORP            COM    097383103       86      2,000   SH           DEFINED       1                  2,000
BORDERS GROUP INC             COM    099709107      101      6,400   SH           DEFINED       1                  6,400
BORDERS GROUP INC             COM    099709107      203     14,400   SH           DEFINED       2                 14,400
BORG WARNER AUTOMOTIVE INC    COM    099724106      306      6,400   SH           DEFINED       2                  6,400
BORG-WARNER AUTOMOTIVE INC    COM    099724106      110      2,000   SH           DEFINED       1                  2,000
BOSTON SCIENTIFIC             COM    101137107      633     14,400   SH           DEFINED       1                 14,400
BOSTON SCIENTIFIC CORP        COM    101137107      933     23,000   SH           DEFINED       2                 23,000
BOWATER INC                   COM    102183100      232      4,900   SH           DEFINED       1                  4,900
BOWATER INC                   COM    102183100       83      2,100   SH           DEFINED       2                  2,100
BOWNE + CO INC                COM    103043105      141     12,100   SH           DEFINED       2                 12,100
BOYDS COLLECTION LTD          COM    103354106      427     23,700   SH           DEFINED       2                 23,700
BP AMOCO PLC                  COM    055622104    1,319     12,684   SH           DEFINED       2                 12,684
BRADLEY REAL ESTATE           COM    104580105    4,324    208,400   SH           DEFINED       3                172,000      36,400
BRADLEY REAL ESTATE INC       COM    104580105    4,140    199,500   SH           DEFINED       1                199,500
BRADLEY REAL ESTATE INC       COM    104580105       78      4,300   SH           DEFINED       2                  4,300
BRANDYWINE RLTY               COM    105368203    6,613    333,800   SH           DEFINED       3                275,500      58,300
BRANDYWINE RLTY TR            COM    105368203       86      5,300   SH           DEFINED       2                  5,300
BRASIL DISTR PAO ACU-SP AD    COM    20440T201      663     35,500   SH           DEFINED       1                 35,500
BRE PROPERTIES                COM    05564E106    4,264    164,000   SH           DEFINED       3                134,900      29,100
BRIGGS & STRATTON             COM    109043109       52        900   SH           DEFINED       1                    900
BRIGGS + STRATTON CORP        COM    109043109       44        900   SH           DEFINED       2                    900
BRIGHT HORIZON FAMILY         COM    109195107   28,242  1,496,280   SH           DEFINED       3              1,496,280
BRIGHTSTAR INFORMATION        COM    10947N104      119     31,000   SH           DEFINED       2                 31,000
BRINKER INTERNATIONAL INC     COM    109641100      149      5,400   SH           DEFINED       1                  5,400
BRINKER INTL INC              COM    109641100   17,149    623,600   SH           DEFINED       3                582,800      40,800
BRISTOL HOTEL                 COM    110041100      369     49,200   SH           DEFINED       3                 49,200
BRISTOL MYERS SQUIBB          COM    110122108   19,906    282,600   SH           DEFINED       1                282,600
BRISTOL MYERS SQUIBB          COM    110122108    6,208     96,260   SH           DEFINED       2                 96,260
BROADCOM CORP                 COM    111320107      486      7,900   SH           DEFINED       2                  7,900
BROADVISION INC               COM    111412102    4,626     77,400   SH           DEFINED       2                 77,400
BROWN AND BROWN               COM    115236101    4,452    117,150   SH           DEFINED       1                117,150
BROWN GROUP INC               COM    115736100    9,657    444,000   SH           DEFINED       3                444,000
BROWN-FORMAN CORP CL B        COM    115637209      163      2,500   SH           DEFINED       1                  2,500
BROWNING FERRIS INDS INC      COM    115885105      490     12,700   SH           DEFINED       2                 12,700
BROWNING FERRIS INDUSTRIES    COM    115885105      344      8,000   SH           DEFINED       1                  8,000
</TABLE>

                                  Page 7 of 49
<PAGE>   10
FILE NUMBER 28-219 (CONSOLIDATED)
AS OF 6/30/99

<TABLE>
<CAPTION>
- -----------------------------------------------------------------------------------------------------------------------------------
                            TITLE OF  CUSIP       VALUE    SHRS OR SH/PRN  PUT/  INVESTMENT   OTHER         VOTING AUTHORITY
NAME OF ISSUER               CLASS               (X$1000)  PRN AMT         CALL  DISCRETION  MANAGERS  SOLE       SHARED       NONE
- -----------------------------------------------------------------------------------------------------------------------------------
<S>                         <C>     <C>         <C>      <C>       <C>     <C>   <C>         <C>       <C>  <C>             <C>
BRUNSWICK CORP                COM    117043109       98      3,500   SH           DEFINED       1                  3,500
BRUNSWICK CORP                COM    117043109      135      7,100   SH           DEFINED       2                  7,100
BUDGET GROUP INC              COM    119003101    1,611    130,874   SH           DEFINED       1                130,874
BUDGET GROUP INC              COM    119003101       98      8,000   SH           DEFINED       2                  8,000
BUFFETS INC                   COM    119882108       47      4,100   SH           DEFINED       1                  4,100
BURLINGTON INDUSTRIES
EQUITY INC                    COM    121693105       50      5,400   SH           DEFINED       1                  5,400
BURLINGTON NORTHERN
SANTA FE                      COM    12189T104      564     18,310   SH           DEFINED       1                 18,310
BURLINGTON NORTHN
SANTA FE                      COM    12189T104    4,241    129,000   SH           DEFINED       2                129,000
BURLINGTON RES INC            COM    122014103      192      4,800   SH           DEFINED       2                  4,800
BURLINGTON RESOURCES          COM    122014103      286      6,624   SH           DEFINED       1                  6,624
BURNHAM PAC PPTYS             COM    12232C108    4,079    331,300   SH           DEFINED       3                273,400      57,900
BUSH BOAKE ALLEN INC          COM    123162109      275     10,000   SH           DEFINED       2                 10,000
C D I CORP                    COM    125071100      106      4,400   SH           DEFINED       2                  4,400
C H ROBINSON WORLDWIDE        COM    12541W100      732     28,900   SH           DEFINED       2                 28,900
C.R. BARD                     COM    067383109       77      1,600   SH           DEFINED       1                  1,600
CABLE + WIRELESS              COM    016255903      378     30,334   SH           DEFINED       2                 30,334
CABLE DESIGN TECHNOLOGIES
CORP                          COM    126924109      132     12,000   SH           DEFINED       2                 12,000
CABLETRON SYSTEMS INC         COM    126920107       77      5,900   SH           DEFINED       1                  5,900
CABLEVISION SYS CORP          COM    12686C109    4,249     57,320   SH           DEFINED       2                 57,320
CABOT CORP                    COM    127055101      150      6,200   SH           DEFINED       1                  6,200
CADBURY SCHWEPPES             COM    016124000      302     21,000   SH           DEFINED       2                 21,000
CADENCE DESIGN SYSTEMS INC.   COM    127387108      274     21,700   SH           DEFINED       1                 21,700
CALIBER LEARNING NETWORK INC  COM    129914107      147     37,700   SH           DEFINED       2                 37,700
CALLAWAY GOLF CO              COM    131193104       89      6,100   SH           DEFINED       1                  6,100
CALPINE CORP                  COM    131347106      215      5,900   SH           DEFINED       2                  5,900
CAMBRIDGE TECH PARTNERS INC   COM    132524109       88      5,000   SH           DEFINED       1                  5,000
CAMBRIDGE TECHNOLOGY
PARNERS M                     COM    132524109    1,388    100,000   SH           DEFINED       2                100,000
CAMBRIDGE TECHNOLOGY
PARNERS M                     COM    132524109      339     24,400   SH           DEFINED       2                 24,400
CAMDEN PPTY                   COM    133131102   11,935    430,100   SH           DEFINED       3                353,500      76,600
CAPITAL ONE FINL CORP         COM    14040H105   12,609     83,500   SH           DEFINED       2                 83,500
CAPITAL RE CORP               COM    140432105       79      4,600   SH           DEFINED       2                  4,600
CAPITOL TRANSAMERICA CORP     COM    140640103    1,601    120,800   SH           DEFINED       1                120,800
CAPSTAR BROADCASTING          COM    14067g105    3,301    120,600   SH           DEFINED       3                 96,000      24,600
CAPTEC NET LEASE RLTY         COM    140724105    6,005    442,800   SH           DEFINED       3                370,700      72,100
CARAUSTAR INDS INC            COM    140909102       80      3,500   SH           DEFINED       2                  3,500
CARDIAC SCIENCE INC.          COM    141410209        2        578   SH           DEFINED       1                    578
CARDINAL HEALTH INC           COM    14149Y108      616      9,600   SH           DEFINED       1                  9,600
CARDINAL HEALTH INC           COM    14149Y108    9,900    150,000   SH           DEFINED       2                150,000
CAREER ED CORP                COM    141665109    1,731     50,000   SH           DEFINED       2                 50,000
CARLISLE COS INC              COM    142339100      130      2,700   SH           DEFINED       1                  2,700
CARLISLE COS INC              COM    142339100      173      3,700   SH           DEFINED       2                  3,700
CARNIVAL CORP                 COM    143658102    7,006    144,275   SH           DEFINED       2                144,275
</TABLE>

                                  Page 8 of 49
<PAGE>   11
FILE NUMBER 28-219 (CONSOLIDATED)
AS OF 6/30/99

<TABLE>
<CAPTION>
- -----------------------------------------------------------------------------------------------------------------------------------
                            TITLE OF  CUSIP       VALUE    SHRS OR SH/PRN  PUT/  INVESTMENT   OTHER         VOTING AUTHORITY
NAME OF ISSUER               CLASS               (X$1000)  PRN AMT         CALL  DISCRETION  MANAGERS  SOLE       SHARED       NONE
- -----------------------------------------------------------------------------------------------------------------------------------
<S>                         <C>     <C>         <C>      <C>       <C>     <C>   <C>         <C>       <C>  <C>             <C>
CARNIVAL CORP CLASS A         COM    143658102    1,130     23,300   SH           DEFINED       1                 23,300
CAROLINA POWER AND LIGHT      COM    144141108      253      5,900   SH           DEFINED       1                  5,900
CARPENTER TECHNOLOGY          COM    144285103       49      1,700   SH           DEFINED       1                  1,700
CARPENTER TECHNOLOGY CORP     COM    144285103      493     19,000   SH           DEFINED       2                 19,000
CARRAMERICA REALTY            COM    144418100   12,238    489,500   SH           DEFINED       3                403,600      85,900
CARRIAGE SVCS INC             COM    143905107    1,187     63,500   SH           DEFINED       3                 63,500
CARTER WALLACE INC            COM    146285101       64      3,500   SH           DEFINED       1                  3,500
CASCADE NAT GAS CORP          COM    147339105      363     24,300   SH           DEFINED       2                 24,300
CASE CORP                     COM    14743R103      149      3,100   SH           DEFINED       1                  3,100
CATALINA MARKETING CORP       COM    148867104    1,718     20,000   SH           DEFINED       2                 20,000
CATAPULT COMMUNICATIONS CORP  COM    149016107       69      5,000   SH           DEFINED       2                  5,000
CATELLUS DEV CORP             COM    149111106      115      8,600   SH           DEFINED       2                  8,600
CATERPILLAR INC               COM    149123101    4,993    108,689   SH           DEFINED       2                108,689
CATERPILLAR INC.              COM    149123101      918     15,300   SH           DEFINED       1                 15,300
CB RICHARD ELLIS SVCS INC     COM    12489L108      450     27,300   SH           DEFINED       2                 27,300
CBL + ASSOC PPTYS INC         COM    124830100       88      3,800   SH           DEFINED       2                  3,800
CBRL GROUP INC                COM    12489V106       92      5,300   SH           DEFINED       1                  5,300
CBRL GROUP INC                COM    12489V106      108      6,000   SH           DEFINED       2                  6,000
CBS CORP                      COM    12490K107    7,892    192,700   SH           DEFINED       2                192,700
CBS CORPORATION               COM    12490K107    1,167     26,800   SH           DEFINED       1                 26,800
CBT GROUP PUB LTD             COM    124853300       29      2,527   SH           DEFINED       2                  2,527
CCB FINANCIAL CORP            COM    124875105      185      3,500   SH           DEFINED       1                  3,500
CCB FINL CORP                 COM    124875105      487      9,000   SH           DEFINED       2                  9,000
CCC INFORMATION SERVICE GROUP
INC                           COM    12487Q109    1,545    120,000   SH           DEFINED       1                120,000
CELLSTAR CORP                 COM    150925105      138     13,300   SH           DEFINED       2                 13,300
CEMENTOS DIAMANTE S.A. - ADR  COM    151261104      119      9,600   SH           DEFINED       1                  9,600
CEMIG-ENERGETICA DE MINAS
GERAIS-ADR                    COM    204409601    1,066     51,090   SH           DEFINED       1                 51,090
CENDANT CORP                  COM    151313103        7        324   SH           DEFINED       2                    324
CENDANT CORPORATION           COM    151313103      642     31,318   SH           DEFINED       1                 31,318
CENTERPOINT PPTYS TR          COM    151895109       72      2,300   SH           DEFINED       2                  2,300
CENTERPOINT PPTYS TR          COM    151895109        3        100   SH           DEFINED       2                    100
CENTEX CORP                   COM    152312104       75      2,000   SH           DEFINED       1                  2,000
CENTOCOR INC                  COM    152342101      654     17,700   SH           DEFINED       2                 17,700
CENTOCOR INC.                 COM    152342101      280      6,000   SH           DEFINED       1                  6,000
CENTRAIS ELEC BRAS-SP ADR CM  COM    15234Q207      401     42,400   SH           DEFINED       1                 42,400
CENTRAL + SOUTH WEST CORP     COM    152357109      117      5,000   SH           DEFINED       2                  5,000
CENTRAL AND SOUTHWEST CORP    COM    152357109      192      8,200   SH           DEFINED       1                  8,200
CENTRAL EUROPEAN MEDIA ENT
LTD                           COM    G20045103      466     37,300   SH           DEFINED       2                 37,300
CENTRAL GARDEN + PET CO       COM    153527106      597     35,400   SH           DEFINED       2                 35,400
CENTURY TEL ENTERPRISES INC   COM    156686107    4,229     60,200   SH           DEFINED       2                 60,200
CENTURYTEL INC                COM    156700106      239      6,000   SH           DEFINED       1                  6,000
CERIDIAN CORP                 COM    15677T106      193      5,900   SH           DEFINED       1                  5,900
CHAMPION INTERNATIONAL CORP   COM    158525105      182      3,800   SH           DEFINED       1                  3,800
CHAMPIONSHIP AUTO RACING
TEAM                          COM    158711101      507     17,400   SH           DEFINED       2                 17,400
CHARTER ONE FINANCIAL, INC.   COM    160903100      426     15,300   SH           DEFINED       1                 15,300
CHARTER ONE FINL INC          COM    160903100   37,975  1,365,383   SH           DEFINED       3              1,286,259      79,124
CHARTWELL RE CORP             COM    16139W109       43      2,500   SH           DEFINED       2                  2,500
CHASE MANHATTAN CORP NEW      COM    16161A108   22,889    281,500   SH           DEFINED       2                281,500
CHASE MANHATTAN CORP(new)     COM    16161A108   26,363    304,776   SH           DEFINED       1                304,776
CHATEAU CMNTYS INC            COM    161726104      116      4,200   SH           DEFINED       2                  4,200
</TABLE>

                                  Page 9 of 49
<PAGE>   12
FILE NUMBER 28-219 (CONSOLIDATED)
AS OF 6/30/99

<TABLE>
<CAPTION>
- -----------------------------------------------------------------------------------------------------------------------------------
                            TITLE OF  CUSIP       VALUE    SHRS OR SH/PRN  PUT/  INVESTMENT   OTHER         VOTING AUTHORITY
NAME OF ISSUER               CLASS               (X$1000)  PRN AMT         CALL  DISCRETION  MANAGERS  SOLE       SHARED       NONE
- -----------------------------------------------------------------------------------------------------------------------------------
<S>                         <C>     <C>         <C>      <C>       <C>     <C>   <C>         <C>       <C>  <C>             <C>
CHATEAU COMMUNITIES           COM    161726104    3,362    112,300   SH            DEFINED      3                 90,800      21,500
CHATEAU COMMUNITIES INC.      COM    161726104    4,640    155,000   SH            DEFINED      1                155,000
CHECKFREE HLDGS CORP          COM    162816102    2,171     51,010   SH            DEFINED      2                 51,010
CHEESECAKE FACTORY            COM    163072101   31,545  1,034,250   SH            DEFINED      3              1,012,300      21,950
CHESAPEAKE CORP               COM    165159104       75      2,000   SH            DEFINED      1                  2,000
CHESAPEAKE CORP               COM    165159104       62      2,300   SH            DEFINED      2                  2,300
CHEVRON CORP                  COM    166751107   12,061    136,379   SH            DEFINED      2                136,379
CHEVRON CORPORATION           COM    166751107   19,968    210,050   SH            DEFINED      1                210,050
CHICOS FAS INC                COM    168615102    1,217     51,800   SH            DEFINED      3                 51,800
CHIEFTAIN INTL INC            COM    16867C101      306     25,000   SH            DEFINED      2                 25,000
CHILDRENS PL RETAIL STORES
INC                           COM    168905107        5        200   SH            DEFINED      2                    200
CHILECTRA S A                 COM    168884104        9        422   SH            DEFINED      2                    422
CHIQUITA BRANDS INTL INC      COM    170032502      313      7,000   SH            DEFINED      2                  7,000
CHIRON CORP                   COM    170040109      329     15,000   SH            DEFINED      2                 15,000
CHIRON CORP.                  COM    170040109      338     16,300   SH            DEFINED      1                 16,300
CHRIS CRAFT INDS INC          COM    170520100      117      2,481   SH            DEFINED      1                  2,481
CHUBB CORP                    COM    171232101      848     12,200   SH            DEFINED      1                 12,200
CHUBB CORP                    COM    171232101    1,605     27,400   SH            DEFINED      2                 27,400
CHURCH & DWIGHT INC           COM    171340102       74      1,700   SH            DEFINED      1                  1,700
CIA ANONIMA NACL TELEF
DE VENEZUELA-A                COM    204421101    1,259     46,200   SH            DEFINED      1                 46,200
CIA CERVEJARIA BRAHMA-SP ADR  COM    20440X103      632     55,900   SH            DEFINED      1                 55,900
CIA DE MINAS BUENAVENTURA -
ADR                           COM    204448104      507     33,102   SH            DEFINED      1                 33,102
CIA PARANAENSE ENER-SP ADR    COM    20441B407      501     59,850   SH            DEFINED      1                 59,850
CIA TELECOM CHILE-SPONS ADR   COM    204449300      705     28,500   SH            DEFINED      1                 28,500
CIA VALE DO RIO DOCE-ADR      COM    204412100    1,064     53,600   SH            DEFINED      1                 53,600
CIBER INC                     COM    17163B102      290     15,100   SH            DEFINED      2                 15,100
CIENA CORP                    COM    171779101      450     20,000   SH            DEFINED      2                 20,000
CIFRA S.A. DE C.V. ADR
Series V                      COM    171785405      244     12,745   SH            DEFINED      1                 12,745
CIGNA CORP                    COM    125509109      730      8,200   SH            DEFINED      1                  8,200
CINAR CORP                    COM    171905300      968     43,000   SH            DEFINED      2                 43,000
CINAR CORPORATION             COM    171905300   71,070  2,900,800   SH            DEFINED      3              2,845,600      55,200
CINCINNATI BELL               COM    171870108      289     11,600   SH            DEFINED      1                 11,600
CINCINNATI BELL INC           COM    171870108      523     23,300   SH            DEFINED      2                 23,300
CINCINNATI FINANCIAL
CORPORATION                   COM    172062101      201      5,350   SH            DEFINED      1                  5,350
CINERGY CORP                  COM    172474108      195      6,100   SH            DEFINED      1                  6,100
CINTAS CORP                   COM    172908105      645      9,600   SH            DEFINED      1                  9,600
CINTAS CORP                   COM    172908105      411      6,300   SH            DEFINED      2                  6,300
CIRCLE INTL GROUP INC         COM    172574105       60      4,200   SH            DEFINED      2                  4,200
CIRCUIT CITY STORES INC       COM    172737108      942     12,300   SH            DEFINED      2                 12,300
CIRCUIT CITY STORES-CIRCUIT
CITY GROU                     COM    172737108      363      3,900   SH            DEFINED      1                  3,900
CIRRUS LOGIC, INCORPORATED    COM    172755100       50      5,600   SH            DEFINED      1                  5,600
CISCO SYS INC                 COM    17275R102   31,567    288,440   SH            DEFINED      2                288,440
CISCO SYSTEMS INC.            COM    17275R102   38,753    601,400   SH            DEFINED      1                601,400
CIT GROUP INC                 COM    125577106      568     18,600   SH            DEFINED      2                 18,600
CITIGROUP INC                 COM    172967101   30,598    644,162   SH            DEFINED      1                644,162
CITIGROUP INC                 COM    172967101   43,938    698,726   SH            DEFINED      2                698,726
CITRIX SYS INC                COM    177376100    2,769     72,800   SH            DEFINED      2                 72,800
CITRIX SYSTEMS INC            COM    177376100      396      7,000   SH            DEFINED      1                  7,000
CITY NATL CORP                COM    178566105      150      4,000   SH            DEFINED      1                  4,000
CLAIRE S STORES INC           COM    179584107    1,022     34,000   SH            DEFINED      2                 34,000
</TABLE>

                                 Page 10 of 49
<PAGE>   13
FILE NUMBER 28-219 (CONSOLIDATED)
AS OF 6/30/99

<TABLE>
<CAPTION>
- -----------------------------------------------------------------------------------------------------------------------------------
                              TITLE OF    CUSIP     VALUE     SHRS OR   SH/PRN  PUT/  INVESTMENT   OTHER         VOTING AUTHORITY
NAME OF ISSUER                 CLASS              (X$1000)    PRN AMT           CALL  DISCRETION  MANAGERS  SOLE       SHARED   NONE
- -----------------------------------------------------------------------------------------------------------------------------------
<S>                               <C>   <C>         <C>      <C>        <C>   <C>     <C>          <C>     <C>  <C>         <C>
CLAIRE'S STORES INC               COM    179584107      108       4,200   SH            DEFINED      1               4,200
CLAYTON HOMES INC                 COM    184190106      148      12,968   SH            DEFINED      1              12,968
CLEAR CHANNEL COMMUN              COM    184502102   95,459   1,384,714   SH            DEFINED      3           1,339,844    44,870
CLEAR CHANNEL COMMUNICATIONS      COM    184502102      724      10,500   SH            DEFINED      1              10,500
CLEAR CHANNEL COMMUNICATIONS      COM    184502102   20,736     309,200   SH            DEFINED      2             309,200
CLECO CORPORATION                 COM    12561M107       61       2,000   SH            DEFINED      1               2,000
CLEVELAND CLIFFS INC              COM    185896107       32       1,000   SH            DEFINED      1               1,000
CLEVELAND CLIFFS INC              COM    185896107       61       1,800   SH            DEFINED      2               1,800
CLOROX CO.                        COM    189054109      427       4,000   SH            DEFINED      1               4,000
CMAC INVT CORP                    COM    125662106      312       8,000   SH            DEFINED      2               8,000
CMG INFORMATION SVCS INC          COM    125750109    4,832      26,400   SH            DEFINED      2              26,400
CMP GROUP INC                     COM    125887109       73       2,800   SH            DEFINED      1               2,800
CMS ENERGY CORP                   COM    125896100      184       4,400   SH            DEFINED      1               4,400
CNF TRANSN INC                    COM    12612W104      787      20,800   SH            DEFINED      2              20,800
CNF TRANSPORTATION                COM    12612W104      169       4,400   SH            DEFINED      1               4,400
COACH USA INC                     COM    18975L106      446      16,200   SH            DEFINED      2              16,200
COAST FEDERAL LITIGATION TR       COM    19034Q110        9       1,500   SH            DEFINED      2               1,500
COASTAL CORP                      COM    190441105      326       8,100   SH            DEFINED      1               8,100
COASTAL CORP                      COM    190441105    4,335     107,700   SH            DEFINED      3              92,700    15,000
COCA COLA                         COM    191216100    5,927      95,600   SH            DEFINED      1              95,600
COCA COLA CO                      COM    191216100    1,384      22,545   SH            DEFINED      2              22,545
COCA COLA ENTERPRISES INC         COM    191219104      743      24,550   SH            DEFINED      2              24,550
COCA-COLA ENTERPRISES             COM    191219104      470      15,800   SH            DEFINED      1              15,800
COGNEX CORP                       COM    192422103      471      20,100   SH            DEFINED      2              20,100
COGNOS INC                        COM    19244C109      503      21,500   SH            DEFINED      2              21,500
COINSTAR INC                      COM    19259P300    7,172     250,000   SH            DEFINED      3             250,000
COLE NATL CORP                    COM    193290103       88       4,800   SH            DEFINED      2               4,800
COLGATE PALMOLIVE CO              COM    194162103      285       3,100   SH            DEFINED      2               3,100
COLGATE-PALMOLIVE                 COM    194162103    1,807      18,350   SH            DEFINED      1              18,350
COLONIAL PROPERTIES TRUST         COM    195872106   17,275     611,500   SH            DEFINED      1             611,500
COLT TELECOM GROUP                COM    042469908      563      31,300   SH            DEFINED      2              31,300
COLUMBIA / HCA HEALTHCARE CORP    COM    197677107      394      20,787   SH            DEFINED      2              20,787
COLUMBIA ENERGY GROUP             COM    197648108      213       3,400   SH            DEFINED      1               3,400
COLUMBIA/HCA HEALTHCARE CO        COM    197677107      601      26,350   SH            DEFINED      1              26,350
COMAIR HLDGS INC                  COM    199789108      408      17,250   SH            DEFINED      2              17,250
COMAIR HOLDINGS                   COM    199789108      178       8,550   SH            DEFINED      1               8,550
COMCAST CORP                      COM    200300200   14,132     224,540   SH            DEFINED      2             224,540
COMCAST CORP. SPECIAL CL A        COM    200300200    1,061      27,600   SH            DEFINED      1              27,600
COMDISCO                          COM    200336105      336      13,100   SH            DEFINED      1              13,100
COMERICA INC                      COM    200340107      392       6,600   SH            DEFINED      1               6,600
COMMSCOPE INC                     COM    203372107   30,818   1,002,200   SH            DEFINED      3             982,000    20,200
COMMUNICATIONS SATELLITE CORP
SERIES                            COM    20564D107      137       4,200   SH            DEFINED      1               4,200
COMMUNITY BK SYS INC              COM    203607106      262      11,000   SH            DEFINED      2              11,000
COMPANHIA BRASILEIRA DE DISTR     COM    20440T201       15       1,000   SH            DEFINED      2               1,000
COMPANHIA ENERGETICA DE MINAS     COM    204409601       42       1,888   SH            DEFINED      2               1,888
COMPANHIA ENERGETICA DE MINAS
GERAIS                            COM    204409601      470      22,500   SH            DEFINED      1              22,500
COMPANIA TELECOMUNICACIONES
CHILE AD                          COM    204449300    1,103      44,550   SH            DEFINED      1              44,550
COMPAQ COMPUTER                   COM    204493100    2,318      97,844   SH            DEFINED      1              97,844
COMPAQ COMPUTER CORP              COM    204493100    1,782      61,519   SH            DEFINED      2              61,519
COMPASS BANCSHARES INC            COM    20449H109      518      15,000   SH            DEFINED      2              15,000
</TABLE>

                                 Page 11 of 49
<PAGE>   14
FILE NUMBER 28-219 (CONSOLIDATED)
AS OF 6/30/99

<TABLE>
- -----------------------------------------------------------------------------------------------------------------------------------
                            TITLE OF  CUSIP       VALUE    SHRS OR SH/PRN  PUT/  INVESTMENT   OTHER         VOTING AUTHORITY
NAME OF ISSUER               CLASS               (X$1000)  PRN AMT         CALL  DISCRETION  MANAGERS  SOLE     SHARED     NONE
- -----------------------------------------------------------------------------------------------------------------------------------
<S>                          <C>    <C>          <C>      <C>     <C>   <C>      <C>         <C>       <C>    <C>         <C>
COMPASS GROUP                 COM    028801900      796    68,800   SH            DEFINED      2                 68,800
COMPUSA INC                   COM    204932107       64     8,600   SH            DEFINED      1                  8,600
COMPUTER ASSOC INTL INC       COM    204912109      960    27,000   SH            DEFINED      2                 27,000
COMPUTER ASSOCIATES INT'L     COM    204912109   15,867   289,800   SH            DEFINED      1                289,800
COMPUTER HORIZONS CORP        COM    205908106      301    27,500   SH            DEFINED      2                 27,500
COMPUTER SCIENCES CORP        COM    205363104      422     6,100   SH            DEFINED      1                  6,100
COMPUTER SCIENCES CORP        COM    205363104   14,901   270,000   SH            DEFINED      2                270,000
COMPUWARE CORP                COM    205638109      452    14,200   SH            DEFINED      1                 14,200
COMVERSE TECH                 COM    205862402      419     5,550   SH            DEFINED      1                  5,550
CONAGRA                       COM    205887102      511    19,200   SH            DEFINED      1                 19,200
CONAGRA INC                   COM    205887102    4,931   192,882   SH            DEFINED      2                192,882
CONCENTRA MANAGED CARE        COM    20589T103   15,978   078,700   SH            DEFINED      3              1,051,000    27,700
CONCENTRA MANAGED CARE INC    COM    20589T103       61     4,100   SH            DEFINED      1                  4,100
CONCENTRA MANAGED CARE INC    COM    20589T103      551    38,000   SH            DEFINED      2                 38,000
CONCENTRIC NETWORK CORP DEL   COM    20589R107      599     8,000   SH            DEFINED      2                  8,000
CONCORD COMMUNICATIONS INC    COM    206186108      241     4,300   SH            DEFINED      2                  4,300
CONCORD EFS INC               COM    206197105      449    10,600   SH            DEFINED      1                 10,600
CONCORD EFS INC               COM    206197105      829    30,200   SH            DEFINED      2                 30,200
CONCORD EFS INC               COM    206197105    9,495   224,400   SH            DEFINED      3                183,300    41,100
CONECTIV INC                  COM    206829103      200     8,200   SH            DEFINED      1                  8,200
CONEXANT SYSTEMS              COM    207142100    4,697    80,900   SH            DEFINED      3                 67,600    13,300
CONEXANT SYSTEMS INC          COM    207142100       73     1,250   SH            DEFINED      1                  1,250
CONMED CORP                   COM    207410101      164     5,300   SH            DEFINED      2                  5,300
CONOCO INC                    COM    208251306      160     5,855   SH            DEFINED      2                  5,855
CONSECO INC                   COM    208464107       56     1,800   SH            DEFINED      2                  1,800
CONSECO INC.                  COM    208464107      372    12,206   SH            DEFINED      1                 12,206
CONSOLIDATED EDISON INC       COM    209115104    1,317    29,100   SH            DEFINED      1                 29,100
CONSOLIDATED EDISON INC       COM    209115104       18       400   SH            DEFINED      2                    400
CONSOLIDATED NATURAL GAS CO.  COM    209615103      231     3,800   SH            DEFINED      1                  3,800
CONSOLIDATED PAPER INC        COM    209759109      209     7,800   SH            DEFINED      1                  7,800
CONSOLIDATED PAPERS INC       COM    209759109      940    40,000   SH            DEFINED      2                 40,000
CONSOLIDATED STORES CORP      COM    210149100      485    16,000   SH            DEFINED      2                 16,000
CONSOLIDATED STORES
  CORPORATION                 COM    210149100      119     4,400   SH            DEFINED      1                  4,400
CONSTELLATION ENERGY GROUP    COM    210371100      172     5,800   SH            DEFINED      1                  5,800
CONTINENTAL AIRLS INC         COM    210795308      836    22,000   SH            DEFINED      2                 22,000
CONVERGYS CORPORATION         COM    212485106      271    14,000   SH            DEFINED      1                 14,000
COOPER CAMERON CORP           COM    216640102      722    21,300   SH            DEFINED      2                 21,300
COOPER INDS INC               COM    216669101       38       900   SH            DEFINED      2                    900
COOPER INDUSTRIES             COM    216669101      276     5,300   SH            DEFINED      1                  5,300
COOPER TIRE & RUBBER          COM    216831107       73     3,100   SH            DEFINED      1                  3,100
COOPER TIRE + RUBR CO         COM    216831107    4,606   250,645   SH            DEFINED      2                250,645
COORS (ADOLPH) - CL B         COM    217016104       54     1,100   SH            DEFINED      1                  1,100
COPART INC                    COM    217204106      132     6,400   SH            DEFINED      2                  6,400
CORDANT TECHNOLOGIES INC      COM    218412104      145     3,200   SH            DEFINED      1                  3,200
CORN PRODUCTS INTL INC        COM    219023108      110     4,600   SH            DEFINED      2                  4,600
CORNERSTONE PPTYS             COM    21922h103   10,333   650,900   SH            DEFINED      3                530,400   120,500
CORNING INC.                  COM    219350105      631     9,000   SH            DEFINED      1                  9,000
CORPORATE EXEC BRD            COM    21988R102    6,223   175,000   SH            DEFINED      3                175,000
CORPORATE EXECUTIVE BRD CO    COM    21988R102       26     1,000   SH            DEFINED      2                  1,000
CORPORATE EXPRESS INC         COM    219881042        0     3,901   SH            DEFINED      2                  3,901
</TABLE>

                                 Page 12 of 49
<PAGE>   15
FILE NUMBER 28-219 (CONSOLIDATED)
AS OF 6/30/99

<TABLE>
<CAPTION>
- ------------------------------------------------------------------------------------------------------------------------------------
                              TITLE OF   CUSIP       VALUE       SHRS OR  SH/PRN  PUT/  INVESTMENT  OTHER       VOTING AUTHORITY
NAME OF ISSUER                 CLASS               (X$1000)      PRN AMT          CALL  DISCRETION  MANAGERS  SOLE   SHARED   NONE
- ------------------------------------------------------------------------------------------------------------------------------------
<S>                              <C>    <C>           <C>        <C>       <C>   <C>     <C>       <C>       <C>  <C>       <C>
COST COMPANIES INC               COM    22160Q102        649         8,100    SH          DEFINED      1              8,100
COST PLUS INC CALIF              COM    221485105     13,463       295,900    SH          DEFINED      3            295,900
COSTCO COS INC                   COM    22160Q102      4,110        44,890    SH          DEFINED      2             44,890
COUNTRYWIDE CR INDS INC          COM    222372104      1,219        32,500    SH          DEFINED      2             32,500
COUNTRYWIDE CREDIT IND INC       COM    222372104        180         4,200    SH          DEFINED      1              4,200
COVAD COMMUNICATIONS GROUP INC   COM    222814204      1,460        22,200    SH          DEFINED      2             22,200
COVANCE INC                      COM    222816100        122         5,100    SH          DEFINED      1              5,100
COVANCE INC                      COM    222816100      1,519        60,600    SH          DEFINED      2             60,600
COX COMMUNICATIONS INC NEW       COM    224044107        401         5,300    SH          DEFINED      2              5,300
CRANE CO                         COM    224399105         78         2,475    SH          DEFINED      1              2,475
CRANE CO                         COM    224399105        145         6,000    SH          DEFINED      2              6,000
CREDENCE SYSTEMS CORP            COM    225302108        212         9,900    SH          DEFINED      2              9,900
CREDITRUST CORP                  COM    225429109         79         4,000    SH          DEFINED      2              4,000
CRESCENT REAL ESTATE             COM    225756105     17,490       736,400    SH          DEFINED      3            603,000  133,400
CRESCENT REAL ESTATE EQUITIES    COM    225756105        591        27,500    SH          DEFINED      2             27,500
CRESTLINE CAPITAL CORP           COM    226153104         56         3,309    SH          DEFINED      1              3,309
CRISTALERIAS DE CHILE
S.A. - ADR                       COM    226714103         96         6,200    SH          DEFINED      1              6,200
CRITICAL PATH INC                COM    22674V100      1,594        20,700    SH          DEFINED      2             20,700
CRITICAL PATH INC                COM    22674V100     10,178       184,000    SH          DEFINED      3            180,700    3,300
CROMPTON & KNOWLES COR           COM    227111101        119         6,000    SH          DEFINED      1              6,000
CROWN CASTLE INTERNATIONAL       COM    228227104     50,867     2,444,050    SH          DEFINED      1          2,444,050
CROWN CORK & SEAL                COM    228255105        140         4,900    SH          DEFINED      1              4,900
CSG SYS INTL INC                 COM    126349109        631        16,000    SH          DEFINED      2             16,000
CSG SYS INTL INC                 COM    126349109     43,380     1,656,500    SH          DEFINED      3          1,597,000   59,500
CSK AUTO CORP                    COM    125965103     16,327       604,700    SH          DEFINED      3            557,900   46,800
CSX CORP                         COM    126408103        381         8,400    SH          DEFINED      1              8,400
CSX CORP                         COM    126408103        596        15,300    SH          DEFINED      2             15,300
CTG RES INC                      COM    125957100        676        28,000    SH          DEFINED      2             28,000
CUMMINS ENGINE                   COM    231021106         91         1,600    SH          DEFINED      1              1,600
CUMMINS ENGINE INC               COM    231021106     61,284     1,072,800    SH          DEFINED      3          1,047,400   25,400
CUSTOMTRACKS CORP                COM    232046102      1,398        25,000    SH          DEFINED      3             25,000
CVS CORP                         COM    126650100      9,500       200,000    SH          DEFINED      2            200,000
CVS CORPORATION                  COM    126650100        716        14,100    SH          DEFINED      1             14,100
CYPRESS SEMICONDUCTOR            COM    232806109        123         7,200    SH          DEFINED      1              7,200
CYPRUS AMAX MINERALS CO          COM    232809103         52         3,400    SH          DEFINED      1              3,400
CYTEC INDUSTRIES INC             COM    232820100        123         3,900    SH          DEFINED      1              3,900
D + N SVGS FINL CORP             COM    232864108         59         2,600    SH          DEFINED      2              2,600
D R HORTON INC                   COM    23331A109      1,421        85,500    SH          DEFINED      3             85,500
D.R.HORTON INC                   COM    23331A109      1,420        84,800    SH          DEFINED      2             84,800
DAIMLER CHRYSLER AG              COM    D1668R123      5,706        66,375    SH          DEFINED      2             66,375
DAIRY MART CONV STORES           COM    2338602*5                  360,001    SH          DEFINED      2            360,001
DAISYTEK INTL CORP               COM    234053106      3,042       186,500    SH          DEFINED      3            186,500
DALLAS SEMICONDUCTOR CORP        COM    235204104      1,027        26,600    SH          DEFINED      2             26,600
DANA CORP                        COM    235811106        284         6,157    SH          DEFINED      1              6,157
DANA CORP                        COM    235811106        380        10,000    SH          DEFINED      2             10,000
DANAHER CORP                     COM    235851102        273         4,700    SH          DEFINED      1              4,700
DANAHER CORP                     COM    235851102        993        19,000    SH          DEFINED      2             19,000
DANAHER CORP DEL                 COM    235851102     10,195       175,400    SH          DEFINED      3            148,800   26,600
DARDEN RESTAURANTS INC           COM    237194105        127         5,800    SH          DEFINED      1              5,800
DARDEN RESTAURANTS INC           COM    237194105        516        25,000    SH          DEFINED      2             25,000
</TABLE>

                                  Page 13 of 49
<PAGE>   16
FILE NUMBER 28-219 (CONSOLIDATED)
AS OF 6/30/99

<TABLE>
<CAPTION>
- ------------------------------------------------------------------------------------------------------------------------------------
                          TITLE OF     CUSIP        VALUE      SHRS OR   SH/PRN  PUT/  INVESTMENT   OTHER        VOTING AUTHORITY
NAME OF ISSUER             CLASS                   (X$1000)    PRN AMT           CALL  DISCRETION  MANAGERS  SOLE   SHARED    NONE
- ------------------------------------------------------------------------------------------------------------------------------------
<S>                         <C>     <C>              <C>       <C>         <C>   <C>    <C>         <C>   <C>     <C>        <C>
DATA GENERAL CORP            COM     237688106           22       1,500     SH           DEFINED       1            1,500
DAYTON HUDSON CORP           COM     239753106        1,229      18,900     SH           DEFINED       1           18,900
DAYTON HUDSON CORP           COM     239753106        5,996      90,000     SH           DEFINED       2           90,000
DEAN FOODS CO                COM     242361103          145       3,500     SH           DEFINED       1            3,500
DEERE & CO                   COM     244199105          643      16,400     SH           DEFINED       1           16,400
DEERE & CO                   COM     244199105          231       5,915     SH           DEFINED       2            5,915
DELL COMPUTER CORP           COM     247025109       21,747     532,620     SH           DEFINED       2          532,620
DELL COMPUTER CORP.          COM     247025109        3,689      99,700     SH           DEFINED       1           99,700
DELPHI AUTOMOTIVE SYSTEMS    COM     247126105           62       3,354     SH           DEFINED       1            3,354
DELPHI AUTOMOTIVE SYSTEMS    COM     247126105           71       3,862     SH           DEFINED       2            3,862
DELTA AIRLINES INC.          COM     247361108          328       5,700     SH           DEFINED       1            5,700
DELUXE CHECK PRINTERS        COM     248019101          109       2,800     SH           DEFINED       1            2,800
DENTSPLY INTL INC NEW        COM     249030107          139       4,800     SH           DEFINED       1            4,800
DEPARTMENT 56 INC            COM     249509100           88       2,900     SH           DEFINED       2            2,900
DEPPHI AUTOMOTIVE SYSTEMS    COM     247126105          290      15,668     SH           DEFINED       1           15,668
DESC SA -SPON ADR            COM     250309101          534      23,600     SH           DEFINED       1           23,600
DESCARTES SYS GROUP INC      COM     249906108          332      40,000     SH           DEFINED       2           40,000
DETROIT EDISON CO            COM     233331107          183       4,500     SH           DEFINED       1            4,500
DEVELOPERS DIVERS RLTY       COM     251591103       12,754     755,800     SH           DEFINED       3          623,900   131,900
DEVON ENERGY CORP            COM     251799102          543      19,700     SH           DEFINED       2           19,700
DEVON ENERGY CORP            COM     251799102       13,437     375,200     SH           DEFINED       3          366,500     8,700
DEVON FING TR                COM     251910402           77       1,200     SH           DEFINED       2            1,200
DEVRY INC DEL                COM     251893103          853      29,400     SH           DEFINED       2           29,400
DEVRY INC DEL                COM     251893103       53,886   2,408,300     SH           DEFINED       3        2,355,600    52,700
DEXTER                       COM     252165105           86       2,100     SH           DEFINED       1            2,100
DEXTER CORP                  COM     252165105          145       4,600     SH           DEFINED       2            4,600
DIAGEO PLC                   COM     25243Q205          828      18,100     SH           DEFINED       2           18,100
DIAL CORP (NEW)              COM     25247D101          331       8,900     SH           DEFINED       1            8,900
DIAMOND FIELDS NOE           COM     252905203                      125     SH           DEFINED       1              125
DIAMOND OFFSHORE DRILLING
INC                          COM     25271C102        3,036      96,000     SH           DEFINED       2           96,000
DIEBOLD                      COM     253651103          174       6,050     SH           DEFINED       1            6,050
DILLARDS INC - CL A          COM     254067101          158       4,500     SH           DEFINED       1            4,500
DIME BANCORP, INC.           COM     25429Q102          205      10,200     SH           DEFINED       1           10,200
DISNEY WALT CO               COM     254687106          996      32,000     SH           DEFINED       2           32,000
DITECH CORP                  COM     25500M103        3,898     194,900     SH           DEFINED       3          184,600    10,300
DOLE FOOD INC                COM     256605106          153       5,200     SH           DEFINED       1            5,200
DOLLAR GENERAL               COM     256669102          209       7,206     SH           DEFINED       1            7,206
DOLLAR TREE STORES           COM     256747106        5,320     120,900     SH           DEFINED       3           98,100    22,800
DOLLAR TREE STORES INC       COM     256747106          278       6,888     SH           DEFINED       1            6,888
DOMINION RESOURCES           COM     257470104          316       7,300     SH           DEFINED       1            7,300
DONALDSON CO INC             COM     257651109          103       4,200     SH           DEFINED       1            4,200
DONALDSON INC                COM     257651109          360      20,000     SH           DEFINED       2           20,000
DONALDSON LUFKIN+JENRETTE
INC                          COM     257661108          767      11,000     SH           DEFINED       2           11,000
DOREL INDS INC               COM     25822C205          107       6,400     SH           DEFINED       2            6,400
DOUBLECLICK INC              COM     258609304        2,840      15,600     SH           DEFINED       2           15,600
DOVER CORP                   COM     260003108          700      21,300     SH           DEFINED       2           21,300
DOVER CORP                   COM     260003108          174       5,300     SH           DEFINED       2            5,300
DOVER CORP.                  COM     260003108          291       8,300     SH           DEFINED       1            8,300
DOW CHEMICAL CORP            COM     260543103        1,218       9,600     SH           DEFINED       1            9,600
DOW JONES & CO.              COM     260561105          212       4,000     SH           DEFINED       1            4,000
</TABLE>

                                  Page 14 of 49
<PAGE>   17
FILE NUMBER 28-219 (CONSOLIDATED)
AS OF 6/30/99
<TABLE>
<CAPTION>
- -----------------------------------------------------------------------------------------------------------------------------------
                            TITLE OF  CUSIP       VALUE    SHRS OR SH/PRN  PUT/  INVESTMENT   OTHER         VOTING AUTHORITY
NAME OF ISSUER               CLASS               (X$1000)  PRN AMT         CALL  DISCRETION  MANAGERS  SOLE     SHARED     NONE
- -----------------------------------------------------------------------------------------------------------------------------------
<S>                         <C>     <C>         <C>      <C>       <C>     <C>   <C>         <C>       <C>    <C>           <C>
DOW JONES + CO INC            COM    260561105      227      4,800   SH           DEFINED       2               4,800
DPL INC                       COM    233293109      258     13,900   SH           DEFINED       1              13,900
DREYER'S GRAND ICE CREAM      COM    261878102       33      2,200   SH           DEFINED       1               2,200
DRKOOP COM INC                COM    262098106    2,550    160,000   SH           DEFINED       3             160,000
DSET CORP                     COM    262504103    3,217    276,700   SH           DEFINED       2             276,700
DSP COMMUNICATIONS            COM    23332K106   27,420    949,600   SH           DEFINED       3             930,700       18,900
DSP COMMUNICATIONS INC        COM    23332K106      267     17,200   SH           DEFINED       2              17,200
DST SYS INC DEL               COM    233326107    1,171     19,500   SH           DEFINED       2              19,500
DST SYS INC DEL               COM    233326107      402      6,700   SH           DEFINED       2               6,700
DTE Energy Co Com Stk         COM    233331107       37        900   SH           DEFINED       1                 900
DU PONT E I DE NEMOUR         COM    263534109   11,586    197,633   SH           DEFINED       2             197,633
DU PONT E.I. DE NEMOURS       COM    263534109    3,040     44,500   SH           DEFINED       1              44,500
DUKE ENERGY CO                COM    264399106        5        100   SH           DEFINED       2                 100
DUKE ENERGY CORP              COM    264399106      793     14,572   SH           DEFINED       1              14,572
DUKE REALTY INVT              COM    264411505   10,534    466,900   SH           DEFINED       3             383,400       83,500
DUN & BRADSTREET CORP         COM    26483B106      237      6,700   SH           DEFINED       1               6,700
DURA AUTOMOTIVE SYS INC       COM    265903104       90      3,200   SH           DEFINED       2               3,200
DURA PHARMACEUTICALS          COM    26632S109   29,531  2,473,800   SH           DEFINED       3           2,382,800       91,000
E M C CORP MASS               COM    268648102   47,979    379,383   SH           DEFINED       2             379,383
E TRADE GROUP INC             COM    269246104      542      9,300   SH           DEFINED       2               9,300
E*TRADE GROUP INC             COM    269246104      783     19,600   SH           DEFINED       1              19,600
EAGLE HARDWARE AND GARDEN     COM    26959B101       99      2,600   SH           DEFINED       2               2,600
EASTERN ENTERPRISES           COM    27637F100       28        700   SH           DEFINED       1                 700
EASTMAN CHEMICAL              COM    277432100      166      3,200   SH           DEFINED       1               3,200
EASTMAN KODAK                 COM    277461109      901     13,300   SH           DEFINED       1              13,300
EASTMAN KODAK CO              COM    277461109    4,687     73,384   SH           DEFINED       2              73,384
EATON CORP                    COM    278058102      285      3,100   SH           DEFINED       1               3,100
EATON CORP                    COM    278058102       21        300   SH           DEFINED       2                 300
EBAY INC                      COM    278642103    2,053     14,955   SH           DEFINED       2              14,955
ECHOSTAR COMMUNICATIONS
  CORP N                      COM    278762109    3,141     38,500   SH           DEFINED       2              38,500
ECOLAB INC                    COM    278865100      239      5,476   SH           DEFINED       1               5,476
EDISON INTERNATIONAL
  -formerly S                 COM    281020107   14,779    552,500   SH           DEFINED       1             552,500
EDISON INTL                   COM    281020107        2        100   SH           DEFINED       2                 100
EDUCATION MGMT CORP           COM    28139T101   19,244    927,400   SH           DEFINED       3             927,400
EDWARDS AG INC                COM    281760108      266      8,250   SH           DEFINED       1               8,250
EG & G                        COM    268457108       57      1,600   SH           DEFINED       1               1,600
EL PASO ENERGY CORPORATION    COM    283905107      387     11,000   SH           DEFINED       1              11,000
ELAN CORP PLC - ADR           COM    284131208   46,289  1,668,055   SH           DEFINED       1           1,668,055
ELAN CORP PLC -WTS CL-A  ADR  COM    284131703    6,300    200,000   SH           DEFINED       1             200,000
ELDER BEERMAN STR             COM    284470101      249     34,100   SH           DEFINED       3              34,100
ELDERTRUST COM                COM    284560109    2,745    269,400   SH           DEFINED       3             221,000       48,400
ELECTRONIC ARTS               COM    285512109      255      4,700   SH           DEFINED       1               4,700
ELECTRONIC ARTS               COM    285512109    1,014     21,400   SH           DEFINED       2              21,400
ELECTRONIC DATA SYS CORP NEW  COM    285661104      584     12,000   SH           DEFINED       2              12,000
ELECTRONIC DATA SYSTEMS       COM    285661104    1,076     19,000   SH           DEFINED       1              19,000
ELETRONICS FOR IMAGING INC    COM    286082102      648     16,300   SH           DEFINED       2              16,300
ELF AQUITAINE - ADR           COM    286269105       75      1,306   SH           DEFINED       1               1,306
ELI LILLY AND COMPANY         COM    532457108   10,908    152,300   SH           DEFINED       1             152,300
EMBOTELLADORA ANDINA -ADR 'B' COM    29081P303      584     38,300   SH           DEFINED       1              38,300
EMBRATEL PARTICIPACOES - ADR  COM    29081N100      698     50,300   SH           DEFINED       1              50,300
</TABLE>

                                  Page 15 of 49
<PAGE>   18
FILE NUMBER 28-219 (CONSOLIDATED)
AS OF 6/30/99

<TABLE>
<CAPTION>
- ------------------------------------------------------------------------------------------------------------------------------------
                          TITLE OF     CUSIP        VALUE    SHRS OR   SH/PRN  PUT/  INVESTMENT   OTHER      VOTING AUTHORITY
NAME OF ISSUER             CLASS                   (X$1000)  PRN AMT           CALL  DISCRETION  MANAGERS  SOLE   SHARED     NONE
- ------------------------------------------------------------------------------------------------------------------------------------
<S>                         <C>      <C>           <C>       <C>      <C>     <C>    <C>         <C>      <C>    <C>       <C>
EMC CORPORATION               COM     268648102      2,090    38,000    SH             DEFINED       1             38,000
EMERSON ELEC CO               COM     291011104      4,274    80,741    SH             DEFINED       2             80,741
EMERSON ELECTRIC              COM     291011104      1,687    26,800    SH             DEFINED       1             26,800
EMMIS COMMUNICTNS             COM     291525103        741    15,000    SH             DEFINED       3             15,000
EMPRESA NACIONAL DE ELEC ADR  COM     29244T101        353    29,392    SH             DEFINED       1             29,392
EMPRESAS ICA S.A. ADS         COM     292448107        400    59,300    SH             DEFINED       1             59,300
ENERGY EAST CORP              COM     29266M109      1,314    25,000    SH             DEFINED       2             25,000
ENERGY EAST CORPORATION       COM     29266M109        289    11,100    SH             DEFINED       1             11,100
ENERSIS SA ADR                COM     29274F104        499    20,797    SH             DEFINED       1             20,797
ENESCO GROUP                  COM     292973104         37     1,600    SH             DEFINED       1              1,600
ENGELHARD CORP                COM     292845104        127     5,600    SH             DEFINED       1              5,600
ENHANCE FINL SVCS GROUP INC   COM     293310108        817    35,900    SH             DEFINED       2             35,900
ENRON CORP                    COM     293561106        899    11,000    SH             DEFINED       1             11,000
ENRON CORP                    COM     293561106     10,000   155,500    SH             DEFINED       2            155,500
ENSCO INTL INC                COM     26874Q100        247    12,400    SH             DEFINED       1             12,400
ENTERGY CORP                  COM     29364G103        297     9,500    SH             DEFINED       1              9,500
ENTRUST TECHNOLOGIES INC      COM     293848107      4,140   122,700    SH             DEFINED       2            122,700
EQUIFAX INC.                  COM     294429105        239     6,700    SH             DEFINED       1              6,700
EQUITABLE RES INC             COM     294549100        261    10,000    SH             DEFINED       2             10,000
EQUITY OFFICE PPTYS           COM     294741103     30,321   183,275    SH             DEFINED       3            981,598    201,677
EQUITY OFFICE PPTYS TR        COM     294741103        244     9,600    SH             DEFINED       2              9,600
EQUITY OFFICE PROPERTIES TRUSTCOM     294741103     13,399   522,873    SH             DEFINED       1            522,873
EQUITY RESIDENT PPTYS         COM     29476L107     25,582   567,700    SH             DEFINED       3            468,200     99,500
EQUITY RESIDENTIAL 7.25% PFD  CVT     29476L859      3,572   150,000    SH             DEFINED       1            150,000
EQUITY RESIDENTIAL PPTYS TR   COM     29476L107        165     4,000    SH             DEFINED       2              4,000
EQUITY RESIDENTIAL PROPS TR   COM     29476L107      4,506   100,000    SH             DEFINED       1            100,000
ERICSSON L M TEL CO           COM     294821400        533    22,400    SH             DEFINED       2             22,400
ESAT TELECOM GROUP PLC        COM     26883Y102        226     5,400    SH             DEFINED       2              5,400
ESSEX PPTY TR INC             COM     297178105        318     9,000    SH             DEFINED       3              9,000
ETEC SYS INC                  COM     26922C103        400    13,600    SH             DEFINED       2             13,600
ETHAN ALLEN INTERIORS INC     COM     297602104        736    17,700    SH             DEFINED       2             17,700
ETHYL CORP                    COM     297659104         41     6,800    SH             DEFINED       1              6,800
EVEREST REINSURANCE HOLDINGS  COM     299808105        150     4,600    SH             DEFINED       1              4,600
EVERGREEN RESOURCES           COM     299900308        296    14,800    SH             DEFINED       2             14,800
EXCALIBUR TECHNOLOGIES CORP   COM     300651205        260    19,900    SH             DEFINED       2             19,900
EXCITE INC                    COM     300904109      5,725    40,900    SH             DEFINED       2             40,900
EXECUTIVE RISK INC            COM     301586103      2,467    29,000    SH             DEFINED       1             29,000
EXODUS COMMUNICATIONS INC     COM     302088109        656     4,900    SH             DEFINED       2              4,900
EXTENDED STAY AMER INC        COM     30224P101        567    55,700    SH             DEFINED       2             55,700
EXXON                         COM     302290101     38,138   494,500    SH             DEFINED       1            494,500
EXXON CORP                    COM     302290101      2,371    33,600    SH             DEFINED       2             33,600
FAIRFAX FINL                  COM     303901953         28       100    SH             DEFINED       2                100
FAIRFAX FINL HLDGS LTD        COM     303901102        233       800    SH             DEFINED       2                800
FAMILY DLR STORES INC         COM     307000109        499    21,700    SH             DEFINED       2             21,700
FAMILY DOLLAR STORES          COM     307000109        377    15,700    SH             DEFINED       1             15,700
FASTENAL CO                   COM     311900104        178     3,400    SH             DEFINED       1              3,400
FDX CORPORATION               COM     31304N107        575    10,600    SH             DEFINED       1             10,600
FEDERAL HOME LN MTG CORP      COM     313400301      6,252   109,450    SH             DEFINED       2            109,450
FEDERAL HOME LOAN MTG CORP.   COM     313400301      1,740    30,000    SH             DEFINED       1             30,000
FEDERAL MOGUL CORP            COM     313549107        296     5,700    SH             DEFINED       1              5,700
</TABLE>

                                  Page 16 of 49
<PAGE>   19
FILE NUMBER 28-219 (CONSOLIDATED)
AS OF 6/30/99

<TABLE>
<CAPTION>
- ------------------------------------------------------------------------------------------------------------------------------------
                            TITLE OF   CUSIP      VALUE      SHRS OR  SH/PRN  PUT/   INVESTMENT   OTHER        VOTING AUTHORITY
NAME OF ISSUER               CLASS               (X$1000)    PRN AMT          CALL   DISCRETION  MANAGERS  SOLE   SHARED    NONE
- ------------------------------------------------------------------------------------------------------------------------------------
<S>                         <C>    <C>           <C>       <C>         <C>    <C>    <C>           <C>     <C>  <C>         <C>
FEDERAL NAT'L MORTGAGE CO.    COM    313586109    24,976      365,950    SH             DEFINED      1           365,950
FEDERAL NATL MTG ASSN         COM    313586109     3,172       45,800    SH             DEFINED      2            45,800
FEDERAL REALTY INVS TRUST     COM    313747206     3,899      170,000    SH             DEFINED      1           170,000
FEDERAL RLTY INVT TR          COM    313747206        38        1,800    SH             DEFINED      2             1,800
FEDERAL SIGNAL CORP           COM    313855108        83        3,900    SH             DEFINED      1             3,900
FEDERATED DEPARTMENT STORES   COM    31410H101    17,745      335,200    SH             DEFINED      1           335,200
FELCOR LODGING TR INC         COM    31430F101       227        9,800    SH             DEFINED      2             9,800
FELCOR LODGING TRUST          COM    31430f101    23,941    1,153,769    SH             DEFINED      3           956,154     197,615
FERRO CORP                    COM    315405100        99        3,600    SH             DEFINED      1             3,600
FERRO CORP                    COM    315405100       139        5,600    SH             DEFINED      2             5,600
FIFTH THIRD BANK              COM    316773100       651        9,775    SH             DEFINED      1             9,775
FINOVA GROUP INC              COM    317928109       519       10,000    SH             DEFINED      2            10,000
FINOVA GROUP INC              COM    317928109       488        9,400    SH             DEFINED      2             9,400
FINOVA GROUP INC COM          COM    317928109    11,125      211,400    SH             DEFINED      3           193,800      17,600
FINOVA GROUP INC.             COM    317928109       284        5,400    SH             DEFINED      1             5,400
FIREBIRD REPUBLICA FUND LTD   COM    318991965        50          960    SH             DEFINED      2               960
FIRST DATA CORP               COM    319963104       866       17,700    SH             DEFINED      1            17,700
FIRST DATA CORP               COM    319963104       718       16,800    SH             DEFINED      2            16,800
FIRST HEALTH GROUP CORP       COM    320960107       104        4,800    SH             DEFINED      1             4,800
FIRST INDUSTRIAL RLTY         COM    32054K103    10,690      389,600    SH             DEFINED      3           321,300      68,300
FIRST SEC CORP DEL            COM    336294103       471       17,300    SH             DEFINED      1            17,300
FIRST SENTINEL BANCORP INC    COM    33640T103       291       37,000    SH             DEFINED      2            37,000
FIRST SIERRA FINANCIAL        COM    335944104    19,985      799,400    SH             DEFINED      3           787,200      12,200
FIRST TENN NATL CORP          COM    337162101       444       11,600    SH             DEFINED      1            11,600
FIRST TENN NATL CORP          COM    337162101       568       15,500    SH             DEFINED      2            15,500
FIRST UN CORP                 COM    337358105     5,889      110,200    SH             DEFINED      2           110,200
FIRST UNION CORP              COM    337358105     1,778       37,726    SH             DEFINED      1            37,726
FIRST VA BKS INC              COM    337477103     1,818       39,800    SH             DEFINED      2            39,800
FIRST VIRGINIA BANKS          COM    337477103       219        4,450    SH             DEFINED      1             4,450
FIRST WASH RLTY TR            COM    337489504     4,009      171,500    SH             DEFINED      3           141,600      29,900
FIRST YRS INC                 COM    337610109        66        4,800    SH             DEFINED      2             4,800
FIRSTAR CORPORATION           COM    33763V109       687       24,550    SH             DEFINED      1            24,550
FIRSTENERGY CORPORATION       COM    337932107       279        9,000    SH             DEFINED      1             9,000
FIRSTMERIT CORP               COM    337915102    21,185      754,922    SH             DEFINED      3           738,922      16,000
FISERV INC                    COM    337738108       336       10,725    SH             DEFINED      1            10,725
FISERV INC                    COM    337738108     1,618       30,250    SH             DEFINED      2            30,250
FISERV INC COM                COM    337738108    13,337      425,925    SH             DEFINED      3           386,300      39,625
FLASHNET COMMUNICATIONS INC   COM    338527104       267        6,500    SH             DEFINED      2             6,500
FLEET FINANCIAL GROUP         COM    338915101       932       21,000    SH             DEFINED      1            21,000
FLEETWOOD ENTERPRISES         COM    339099103        45        1,700    SH             DEFINED      1             1,700
FLEXTRONICS INTERNATIONAL     COM    Y2573F102       622       12,200    SH             DEFINED      2            12,200
FLIR SYS INC                  COM    302445101        65        3,600    SH             DEFINED      2             3,600
FLORIDA PROGRESS              COM    341109106       347        8,400    SH             DEFINED      1             8,400
FLORIDA PROGRESS CORP         COM    341109106       468       12,400    SH             DEFINED      2            12,400
FLOWERS INDS INC              COM    343496105       148        6,000    SH             DEFINED      2             6,000
FLOWERS INDUSTRIES INC        COM    343496105       191        8,800    SH             DEFINED      1             8,800
FLOWSERVE CORP                COM    34354P105     1,503       96,600    SH             DEFINED      2            96,600
FLOWSERVE CORPORATION         COM    34354P105        49        2,600    SH             DEFINED      1             2,600
FLUOR CORP                    COM    343861100       142        3,500    SH             DEFINED      1             3,500
FMC CORP                      COM    302491303       109        1,600    SH             DEFINED      1             1,600
</TABLE>


                                  Page 17 of 49
<PAGE>   20
FILE NUMBER 28-219 (CONSOLIDATED)
AS OF 6/30/99

<TABLE>
<CAPTION>
- -----------------------------------------------------------------------------------------------------------------------------------
                            TITLE OF  CUSIP       VALUE    SHRS OR SH/PRN  PUT/  INVESTMENT   OTHER         VOTING AUTHORITY
NAME OF ISSUER               CLASS               (X$1000)  PRN AMT         CALL  DISCRETION  MANAGERS  SOLE    SHARED         NONE
- -----------------------------------------------------------------------------------------------------------------------------------
<S>                         <C>     <C>         <C>      <C>       <C>    <C>   <C>           <C>      <C>  <C>            <C>
FOMENTO ECONOMICO MEX-SP
ADR                          COM    344419106       319      8,000   SH           DEFINED       1               8,000
FOODMAKER INC                COM    344839204       217      8,500   SH           DEFINED       2               8,500
FORD MOTOR                   COM    345370100     2,658     47,100   SH           DEFINED       1              47,100
FORD MOTOR                   COM    345370100    12,179    214,650   SH           DEFINED       2             214,650
FORE SYSTEMS                 COM    345449102       689     36,500   SH           DEFINED       2              36,500
FOREST LABORATORIES-
CLASS A                      COM    345838106     5,564    120,300   SH           DEFINED       1             120,300
FORT JAMES CORPORATION       COM    347471104       314      8,300   SH           DEFINED       1               8,300
FORTUNE BRANDS INC           COM    349631101       281      6,800   SH           DEFINED       1               6,800
FORTUNE BRANDS INC           COM    349631101         8        200   SH           DEFINED       2                 200
FOSTER WHEELER CORP.         COM    350244109        25      1,800   SH           DEFINED       1               1,800
FOUNDATION HEALTH SYSTEMS -
CL A                         COM    350404109       157     10,490   SH           DEFINED       1              10,490
FOX ENTMT GROUP INC          COM    35138T107       328     12,100   SH           DEFINED       2              12,100
FPL GROUP INC                COM    302571104       415      7,600   SH           DEFINED       1               7,600
FPL GROUP INC                COM    302571104       692     13,000   SH           DEFINED       2              13,000
FRANCHISE FIN CORP           COM    351807102     8,310    373,500   SH           DEFINED       3             308,900         64,600
FRANKLIN RES INC             COM    354613101       402      9,900   SH           DEFINED       1               9,900
FRANKLIN RES INC             COM    354613101       152      5,400   SH           DEFINED       2               5,400
FREDS INC                    COM    356108100        83      7,500   SH           DEFINED       2               7,500
FREEPORT-MCMORAN COPPER
& GOLD                       COM    35671D857       135      7,500   SH           DEFINED       1               7,500
FRIEDE GOLDMAN INTL INC      COM    358430106     1,808    113,000   SH           DEFINED       2             113,000
FRONTIER CORP                COM    35906P105       416      7,100   SH           DEFINED       1               7,100
FRONTIER CORP                COM    35906P105     4,145     79,900   SH           DEFINED       2              79,900
FRONTIER INS GROUP INC
NEW                          COM    359081106       318     26,740   SH           DEFINED       2              26,740
FRONTIER INS. GRP.           COM    359081106        28      1,740   SH           DEFINED       1               1,740
FRUIT OF THE LOOM INC        COM    G3682L105        28      2,900   SH           DEFINED       1               2,900
FULLER H B CO                COM    359694106       188      3,200   SH           DEFINED       2               3,200
FULLER, H.B.                 COM    359694106        82      1,200   SH           DEFINED       1               1,200
FUNDTECH LTD                 COM    M47095100     2,445     81,000   SH           DEFINED       2              81,000
FURNITURE BRANDS
INTERNATIONAL                COM    360921100       131      4,700   SH           DEFINED       1               4,700
FURNITURE BRANDS INTL        COM    360921100     7,203    258,400   SH           DEFINED       3             235,200         23,200
FURNITURE BRANDS INTL
INC                          COM    360921100       177      8,000   SH           DEFINED       2               8,000
G + K SERVICES               COM    361268105       876     19,000   SH           DEFINED       2              19,000
GABLES RESIDENTIAL           COM    362418105     8,166    338,500   SH           DEFINED       3             272,500         66,000
GABLES RESIDENTIAL TR        COM    362418105       368     16,700   SH           DEFINED       2              16,700
GALILEO INTL INC             COM    363547100       779     16,100   SH           DEFINED       2              16,100
GALLAGHER ARTHUR J
+ CO                         COM    363576109       129      2,800   SH           DEFINED       2               2,800
GALLAHER GROUP PLC           COM    363595109         5        200   SH           DEFINED       2                 200
GANNETT INC                  COM    364730101       907     14,400   SH           DEFINED       2              14,400
GANNETT PUBLISHING           COM    364730101    17,518    245,430   SH           DEFINED       1             245,430
GAP INC                      COM    364760108    13,412    266,251   SH           DEFINED       1             266,251
GAP INC                      COM    364760108    14,206    211,050   SH           DEFINED       2             211,050
GARTNER GROUP INC NEW        COM    366651107       478     21,200   SH           DEFINED       2              21,200
GATEWAY INC                  COM    367626108       307      5,200   SH           DEFINED       1               5,200
GATX CORP.                   COM    361448103       145      3,800   SH           DEFINED       1               3,800
GELTEX PHARMACEUTICALS
INC                          COM    368538104     1,055     75,000   SH           DEFINED       2              75,000
GENCORP INC                  COM    368682100        78      3,100   SH           DEFINED       1               3,100
GENENTECH INC                COM    368710307       612      6,900   SH           DEFINED       2               6,900
GENER S.A. - Spons ADR       COM    368731105     1,269     71,465   SH           DEFINED       1              71,465
GENERAL ALUMINUM CORP.       COM    368768107     1,162    516,663   SH           DEFINED       1             516,663
GENERAL COMMUNICATION
INC                          COM    369385109       254     55,700   SH           DEFINED       2              55,700
</TABLE>



                                 Page 18 of 49
<PAGE>   21
FILE NUMBER 28-219 (CONSOLIDATED)
AS OF 6/30/99

<TABLE>
<CAPTION>
- -----------------------------------------------------------------------------------------------------------------------------------
                            TITLE OF  CUSIP       VALUE    SHRS OR SH/PRN  PUT/  INVESTMENT   OTHER         VOTING AUTHORITY
NAME OF ISSUER               CLASS               (X$1000)  PRN AMT         CALL  DISCRETION  MANAGERS  SOLE        SHARED     NONE
- -----------------------------------------------------------------------------------------------------------------------------------
<S>                         <C>     <C>         <C>      <C>       <C>    <C>   <C>           <C>      <C>  <C>            <C>
GENERAL DYNAMICS CORP        COM    369550108     1,164     16,900   SH           DEFINED       1                  16,900
GENERAL ELEC CO              COM    369604103    30,928    279,525   SH           DEFINED       2                 279,525
GENERAL ELEC CO              COM    369604103     2,712     24,000   SH           DEFINED       3                  24,000
GENERAL ELECTRIC             COM    369604103    48,782    431,700   SH           DEFINED       1                 431,700
GENERAL GROWTH PPTYS         COM    370021107     7,679    216,300   SH           DEFINED       3                 183,200    33,100
GENERAL GROWTH PPTYS INC     COM    370021107       542     16,700   SH           DEFINED       2                  16,700
GENERAL GROWTH PPTYS INC     COM    370021206       344     15,100   SH           DEFINED       2                  15,100
GENERAL INSTR CORP           COM    370120107     8,016    188,600   SH           DEFINED       3                 155,100    33,500
GENERAL INSTR CORP DEL       COM    370120107       667     22,000   SH           DEFINED       2                  22,000
GENERAL INSTRUMENT CORP      COM    370120107       234      5,500   SH           DEFINED       1                   5,500
GENERAL MILLS INC            COM    370334104       490      6,100   SH           DEFINED       1                   6,100
GENERAL MOTORS               COM    370442105     1,683     25,500   SH           DEFINED       1                  25,500
GENERAL MTRS CORP            COM    370442105    21,822    252,521   SH           DEFINED       2                 252,521
GENERAL MTRS CORP            COM    370442832     1,261     25,000   SH           DEFINED       2                  25,000
GENERAL NUTRITION COS        COM    37047F103       156      6,700   SH           DEFINED       1                   6,700
GENERAL NUTRITION COS INC    COM    37047F103        82      5,900   SH           DEFINED       2                   5,900
GENERAL PUBLIC UTILITY       COM    36225X100       186      4,400   SH           DEFINED       1                   4,400
GENERAL RE CORPORATION       COM    370997306       971     10,000   SH           DEFINED       1                  10,000
GENTEX CORP                  COM    371901109       512     23,800   SH           DEFINED       2                  23,800
GENTEX CORP                  COM    371901109    57,142  2,040,800   SH           DEFINED       3               1,969,800    71,000
GENUINE PARTS CO             COM    372460105     4,327    150,192   SH           DEFINED       2                 150,192
GENUINE PARTS CO.            COM    372460105       252      7,200   SH           DEFINED       1                   7,200
GENZYME CORP                 COM    372917104       359      7,400   SH           DEFINED       1                   7,400
GENZYME CORP                 COM    372917104     5,491    108,900   SH           DEFINED       2                 108,900
GENZYME CORP                 COM    372917500         0          3   SH           DEFINED       2                       3
GENZYME CORP GENL DIV
5.25% 6/1/05                 CVT    372917AE4       556      4,000   SH           DEFINED       1                   4,000
GENZYME SURGICAL PRODUCTS    COM    372917609         6      1,325   SH           DEFINED       1                   1,325
GEO. HORMEL & CO             COM    440452100       262      6,500   SH           DEFINED       1                   6,500
GEORGIA GULF CORP            COM    373200203        51      3,000   SH           DEFINED       1                   3,000
GEORGIA PAC CORP             COM    373298108     5,643     76,000   SH           DEFINED       2                  76,000
GEORGIA PAC CORP             COM    373298702       642     28,600   SH           DEFINED       2                  28,600
GEORGIA PACIFIC              COM    373298108       351      7,400   SH           DEFINED       1                   7,400
GEORGIA PACIFIC
(TIMBER GRP)                 COM    373298702       189      7,500   SH           DEFINED       1                   7,500
GERBER CHILDRENSWEAR INC     COM    373701101       578     91,500   SH           DEFINED       2                  91,500
GETTY IMAGES INC             COM    374276103       706     33,700   SH           DEFINED       2                  33,700
GIBSON GREETINGS INC         COM    374827103        20      2,800   SH           DEFINED       2                   2,800
GILAT SATELLITE
NETWORKS LTD                 COM    M51474100       537      9,000   SH           DEFINED       2                   9,000
GILAT SATELLITE
NETWORKS, LTD.               COM    M51474100       289      5,500   SH           DEFINED       1                   5,500
GILEAD SCIENCES INC          COM    375558103       141      2,700   SH           DEFINED       1                   2,700
GILEAD SCIENCES INC          COM    375558103     1,114     24,500   SH           DEFINED       2                  24,500
GILLETTE CO                  COM    375766102    10,328    251,900   SH           DEFINED       1                 251,900
GILLETTE CO                  COM    375766102     2,152     36,200   SH           DEFINED       2                  36,200
GLATFELTER P H CO            COM    377316104        53      3,600   SH           DEFINED       1                   3,600
GLAXO PLC                    COM    37733W105       748     11,980   SH           DEFINED       2                  11,980
GLENBOROUGH RLTY             COM    37803P105    10,864    620,800   SH           DEFINED       3                 503,100   117,700
GLENBOROUGH RLTY TR INC      COM    37803P105       213     12,500   SH           DEFINED       2                  12,500
GLIMCHER RLTY TR             COM    379302102        66      4,600   SH           DEFINED       2                   4,600
GLOBAL CROSSING LTD          COM    G3921A100       162      3,500   SH           DEFINED       2                   3,500
GLOBAL INDUSTRIES INC        COM    379336100       101     10,000   SH           DEFINED       2                  10,000
GLOBAL MARINE                COM    379352404       231     14,900   SH           DEFINED       1                  14,900
</TABLE>



                                  Page 19 of 49
<PAGE>   22
FILE NUMBER 28-219 (CONSOLIDATED)
AS OF 6/30/99

<TABLE>
<CAPTION>
- -----------------------------------------------------------------------------------------------------------------------------------
                            TITLE OF  CUSIP       VALUE    SHRS OR SH/PRN  PUT/  INVESTMENT   OTHER         VOTING AUTHORITY
NAME OF ISSUER               CLASS               (X$1000)  PRN AMT         CALL  DISCRETION  MANAGERS  SOLE        SHARED     NONE
- -----------------------------------------------------------------------------------------------------------------------------------
<S>                         <C>     <C>         <C>      <C>       <C>    <C>   <C>           <C>      <C>  <C>              <C>
GLOBAL TELESYSTEMS           COM    37936U104    32,400    400,000   SH           DEFINED       1                 400,000
GLOBAL TELESYSTEMS GROUP
INC                          COM    37936U104       207      3,700   SH           DEFINED       2                   3,700
GLOBALSTAR LP LTD            COM    G3930H104       522     37,760   SH           DEFINED       2                  37,760
GOLDEN ST BANCORP            COM    381197102    24,212  1,076,100   SH           DEFINED       3               1,053,000     23,100
GOLDEN WEST FINANCIAL
CORP.                        COM    381317106       245      2,500   SH           DEFINED       1                   2,500
GOLDEN WEST FINL CORP DEL    COM    381317106       535      5,600   SH           DEFINED       2                   5,600
GOLF TR AMER INC             COM    38168B103     4,175    170,850   SH           DEFINED       3                 140,650     30,200
GOODRICH (B.F.) CO           COM    382388106       116      2,720   SH           DEFINED       1                   2,720
GOODYEAR TIRE & RUBBER
CO.                          COM    382550101       365      6,200   SH           DEFINED       1                   6,200
GOODYEAR TIRE AND RUBBER     COM    382550101     4,922     98,818   SH           DEFINED       2                  98,818
GP FINANCIAL CORP            COM    395384100       279      8,500   SH           DEFINED       1                   8,500
GPU INC                      COM    36225X100       194      5,200   SH           DEFINED       2                   5,200
GRACE W.R. (NEW)             COM    38388F108        63      3,300   SH           DEFINED       1                   3,300
GRAINGER (W.W.) INC.         COM    384802104       221      4,100   SH           DEFINED       1                   4,100
GRANITE CONSTR INC           COM    387328107       130      5,550   SH           DEFINED       2                   5,550
GRANITE CONSTRUCTION INC     COM    387328107        70      2,400   SH           DEFINED       1                   2,400
GREAT ATLANTIC & PACIFIC     COM    390064103        47      1,400   SH           DEFINED       1                   1,400
GREAT ATLANTIC + PAC TEA INC COM    390064103        78      2,600   SH           DEFINED       2                   2,600
GREAT LAKES CHEMICAL CORP    COM    390568103       115      2,500   SH           DEFINED       1                   2,500
GREAT LAKES CHEMICAL CORP    COM    390568103       243      6,600   SH           DEFINED       2                   6,600
GREAT LAKES REIT INC         COM    390752103     3,541    217,900   SH           DEFINED       3                 178,900     39,000
GREAT PLAINS SOFTWARE        COM    39119E105    13,505    286,200   SH           DEFINED       3                 264,500     21,700
GREATER BAY BANCORP          COM    391648102        86      3,000   SH           DEFINED       2                   3,000
GREENPOINT FINL CORP         COM    395384100       695     20,000   SH           DEFINED       2                  20,000
GRUPO INDUSTRIAL MASECA
SA-ADR                       COM    400488409       261     29,205   SH           DEFINED       1                  29,205
GRUPO TELEVISA S.A. GDR
(ADR)                        COM    40049J206     2,438     54,400   SH           DEFINED       1                  54,400
GST TELECOMMUNICATIONS INC   COM    361942105     4,755    435,200   SH           DEFINED       2                 435,200
GTE CORP                     COM    362320103     2,760     45,500   SH           DEFINED       2                  45,500
GTE CORP.                    COM    362320103    36,882    488,497   SH           DEFINED       1                 488,497
GTECH HOLDINGS CORP          COM    400518106        90      3,800   SH           DEFINED       1                   3,800
GTS DURATEK                  COM    36237J107     1,308    230,000   SH           DEFINED       1                 230,000
GUCCI GROUP N V              COM    401566104     3,144     39,054   SH           DEFINED       2                  39,054
GUIDANT CORP                 COM    401698105       583     11,400   SH           DEFINED       1                  11,400
GULFSTREAM AEROSPACE CORP    COM    402734107       446      6,600   SH           DEFINED       1                   6,600
GULFSTREAM AEROSPACE CORP
NEW                          COM    402734107       542     12,500   SH           DEFINED       2                  12,500
HA LO INDS INC               COM    404429102     1,306    106,050   SH           DEFINED       2                 106,050
HALIBURTON                   COM    406216101       751     16,600   SH           DEFINED       1                  16,600
HALLIBURTON CO               COM    406216101     5,808    148,550   SH           DEFINED       2                 148,550
HAMILTON BANCORP INC FLA     COM    407013101     1,548     60,000   SH           DEFINED       2                  60,000
HANNA M A CO                 COM    410522106        74      4,500   SH           DEFINED       1                   4,500
HANNAFORD BROS CO            COM    410550107       193      3,600   SH           DEFINED       1                   3,600
HANSON PLC                   COM    411352404       238      5,400   SH           DEFINED       2                   5,400
HARCOURT GEN INC             COM    41163G101     1,985     44,800   SH           DEFINED       2                  44,800
HARCOURT GENERAL             COM    41163G101       139      2,700   SH           DEFINED       1                   2,700
HARLEY DAVIDSON INC          COM    412822108       761     14,000   SH           DEFINED       1                  14,000
HARLEYSVILLE GROUP INC       COM    412824104        92      4,800   SH           DEFINED       2                   4,800
HARMAN INTL INDS INC
NEW                          COM    413086109       331      9,000   SH           DEFINED       2                   9,000
HARMONIC INC                 COM    413160102    23,452    408,300   SH           DEFINED       3                 392,200     16,100
HARRAH'S ENTERTAINMENT       COM    413619107        82      3,700   SH           DEFINED       1                   3,700
HARRIS COPR                  COM    413875105       110      2,800   SH           DEFINED       1                   2,800
</TABLE>


                                 Page 20 of 49
<PAGE>   23
FILE NUMBER 28-219 (CONSOLIDATED)
AS OF 6/30/99

<TABLE>
<CAPTION>
- -----------------------------------------------------------------------------------------------------------------------------------
                            TITLE OF  CUSIP       VALUE    SHRS OR SH/PRN  PUT/  INVESTMENT   OTHER         VOTING AUTHORITY
NAME OF ISSUER               CLASS               (X$1000)  PRN AMT         CALL  DISCRETION  MANAGERS  SOLE        SHARED      NONE
- -----------------------------------------------------------------------------------------------------------------------------------
<S>                         <C>     <C>         <C>      <C>       <C>    <C>   <C>           <C>      <C>  <C>            <C>
HARRIS CORP DEL              COM    413875105       263      9,200   SH           DEFINED       2                   9,200    25,300
HARSCO CORP                  COM    415864107       138      4,300   SH           DEFINED       1                   4,300
HARTE HANKS INC              COM    416196103       576     21,000   SH           DEFINED       2                  21,000
HARTE-HANKS INC              COM    416196103    32,406  1,194,700   SH           DEFINED       3               1,169,400
HARTFORD FINANCIAL
SERVICES GROUP, IN           COM    416515104       554      9,500   SH           DEFINED       1                   9,500
HARTFORD FINANCIAL SVCS
GRP                          COM    416515104     1,136     20,000   SH           DEFINED       2                  20,000
HASBRO INC.                  COM    418056107       210      7,525   SH           DEFINED       1                   7,525
HAVERTY FURNITURE COS INC    COM    419596101       112      4,400   SH           DEFINED       2                   4,400
HAWAIIAN ELECTRIC            COM    419870100        96      2,700   SH           DEFINED       1                   2,700
HCC INS HLDGS INC            COM    404132102       156      8,100   SH           DEFINED       2                   8,100    46,800
HCR MANOR CARE               COM    404134108        73      3,000   SH           DEFINED       1                   3,000
HCR MANOR CARE INC           COM    404134108       167      7,300   SH           DEFINED       2                   7,300
HEALTH CARE PPTY INVS        COM    421915109     7,655    265,100   SH           DEFINED       3                 218,300
HEALTH MANAGEMENT
ASSOCIATES INC - A           COM    421933102       248     22,000   SH           DEFINED       1                  22,000
HEALTH MGMT ASSOC            COM    421933102       950     77,975   SH           DEFINED       2                  77,975    35,700
HEALTHCARE FINL PARTNERS                                                                                                     47,200
INC                          COM    42219W108     1,505     57,600   SH           DEFINED       2                  57,600
HEALTHCARE FINL PRTNER       COM    42219W108    52,831  1,542,500   SH           DEFINED       3               1,506,800
HEALTHCARE RLTY TR           COM    421946104     5,590    264,600   SH           DEFINED       3                 217,400
HEALTHSOUTH CORP             COM    421924101        89      8,600   SH           DEFINED       2                   8,600
HEALTHSOUTH CORPORATION      COM    421924101       231     15,500   SH           DEFINED       1                  15,500
HEFTEL BROADCASTING CORP     COM    422799106       907     20,900   SH           DEFINED       2                  20,900
HEICO CORP NEW               COM    422806208     2,734    127,900   SH           DEFINED       2                 127,900
HEILIG-MEYERS                COM    422893107        37      5,500   SH           DEFINED       1                   5,500
HEINZ H J CO                 COM    423074103     4,136     87,310   SH           DEFINED       2                  87,310
HEINZ H.J.                   COM    423074103    18,366    366,400   SH           DEFINED       1                 366,400
HELLENIC TELECOMMUN
ORGANIZA ADR'S               COM    423325307       332     30,000   SH           DEFINED       1                  30,000
HELLER FINANCIAL INC         CVT    423328871    13,125    125,000   SH           DEFINED       1                 125,000
HELLER FINL INC              COM    423328103       494     21,000   SH           DEFINED       2                  21,000
HELMERICH & PAYNE            COM    423452101        43      1,800   SH           DEFINED       1                   1,800
HELMERICH AND PAYNE INC      COM    423452101       191      8,400   SH           DEFINED       2                   8,400
HENRY JACK + ASSOC INC       COM    426281101        66      1,800   SH           DEFINED       2                   1,800
HENRY SCHEIN INC             COM    806407102     1,437     56,900   SH           DEFINED       2                  56,900
HERCULES INC                 COM    427056106       157      4,000   SH           DEFINED       1                   4,000
HERSHEY FOODS CORP           COM    427866108       350      5,900   SH           DEFINED       1                   5,900
HERTZ CORP                   COM    428040109    11,224    209,800   SH           DEFINED       2                 209,800
HEWLETT PACKARD CO           COM    428236103    12,993    191,600   SH           DEFINED       2                 191,600
HEWLETT-PACKARD COMPANY      COM    428236103     4,080     40,600   SH           DEFINED       1                  40,600
HIBERNIA CORP                COM    428656102       224     14,300   SH           DEFINED       1                  14,300    85,700
HIBERNIA CORP                COM    428656102       683     52,000   SH           DEFINED       2                  52,000
HIGHLAND INS GROUP INC       COM    431032101         0         15   SH           DEFINED       2                      15
HIGHWOODS PPTYS INC          COM    431284108    14,265    519,900   SH           DEFINED       3                 434,200
HIGHWOODS PROPERTIES INC     COM    431284108     3,293    120,000   SH           DEFINED       1                 120,000
HILLENBRAND INDUSTRIES       COM    431573104       251      5,800   SH           DEFINED       1                   5,800    47,400
HILLSBOROUGH COMPANIES       COM    431992106        13      2,571   SH           DEFINED       1                   2,571
HILTON HOTELS                COM    432848109       140      9,900   SH           DEFINED       1                   9,900
HILTON HOTELS CORP           COM    432848109     3,623    255,400   SH           DEFINED       3                 208,000    24,200
HILTON HOTELS CORP 5.0%
05/15/06                     CVT    432848AL3       229      2,500   SH           DEFINED       1                   2,500
HISPANIC BROADCASTING        COM    43357b104    84,335  1,111,500   SH           DEFINED       3               1,087,300
HOLLYWOOD ENTMT CORP         COM    436141105       302     16,200   SH           DEFINED       2                  16,200
HOLOPHANE CORP               COM    43645B106       264     12,000   SH           DEFINED       2                  12,000
</TABLE>


                                 Page 21 of 49
<PAGE>   24
FILE NUMBER 28-219 (CONSOLIDATED)
AS OF 6/30/99

<TABLE>
<CAPTION>
- -----------------------------------------------------------------------------------------------------------------------------------
                            TITLE OF  CUSIP       VALUE    SHRS OR SH/PRN  PUT/  INVESTMENT   OTHER         VOTING AUTHORITY
NAME OF ISSUER               CLASS               (X$1000)  PRN AMT         CALL  DISCRETION  MANAGERS  SOLE        SHARED      NONE
- -----------------------------------------------------------------------------------------------------------------------------------
<S>                         <C>     <C>         <C>      <C>       <C>     <C>   <C>         <C>       <C>  <C>            <C>
HOME DEPOT                    COM    437076102   13,165    204,300   SH           DEFINED       1                 204,300
HOME DEPOT INC                COM    437076102   29,792    477,810   SH           DEFINED       2                 477,810
HOME DEPOT INC                COM    437076102    2,900     45,000   SH           DEFINED       3                  45,000
HOME PPTYS N Y INC            COM    437306103      296     12,800   SH           DEFINED       2                  12,800
HOMEBASE INC 5.25% 11/1/04    CVT    43738EAA6      258      3,000   SH           DEFINED       1                   3,000
HOMESTAKE MINING              COM    437614100       63      7,700   SH           DEFINED       1                   7,700
HON INDS INC                  COM    438092108      152      5,200   SH           DEFINED       1                   5,200
HON INDS INC                  COM    438092108      325     14,800   SH           DEFINED       2                  14,800
HONEYWELL                     COM    438506107      556      4,800   SH           DEFINED       1                   4,800
HONEYWELL INC                 COM    438506107    1,137     15,000   SH           DEFINED       2                  15,000
HORACE MANN EDUCATORS CORP    COM    440327104    1,974     72,600   SH           DEFINED       1                  72,600
HOSPITALITY PPTYS             COM    44106M102    4,199    154,800   SH           DEFINED       3                 128,600    26,200
HOST MARRIOTT CORP            COM    44107p104   20,487  1,725,200   SH           DEFINED       3               1,424,100   301,100
HOST MARRIOTT CORP (REIT)     COM    44107P104      427     35,967   SH           DEFINED       1                  35,967
HOST MARRIOTT CORP NEW        COM    44107P104      468     42,100   SH           DEFINED       2                  42,100
HOST MARRIOTT SERVICES CORP   COM    440914109       54      6,617   SH           DEFINED       1                   6,617
HOUGHTON MIFFLIN CO           COM    441560109      127      2,700   SH           DEFINED       1                   2,700
HOUGHTON MIFFLIN CO           COM    441560109      502     10,700   SH           DEFINED       2                  10,700
HOUSEHOLD INT'L               COM    441815107    1,015     21,425   SH           DEFINED       1                  21,425
HOUSEHOLD INTL INC            COM    441815107    5,448    119,400   SH           DEFINED       2                 119,400
HRPT TRUST                    COM    40426w101    5,416    353,700   SH           DEFINED       3                 291,400    62,300
HSB GROUP INC                 COM    40428N109   14,889    361,500   SH           DEFINED       1                 361,500
HUANENG POWER INTL INC        COM    443304100       40      4,000   SH           DEFINED       2                   4,000
HUBBELL INC. Class B          COM    443510201      259      5,700   SH           DEFINED       1                   5,700
HUBCO INC                     COM    404382103      419     12,510   SH           DEFINED       2                  12,510
HUGHES SUPPLY INC             COM    444482103       96      4,200   SH           DEFINED       2                   4,200
HUMANA CORP                   COM    444859102       82      6,300   SH           DEFINED       1                   6,300
HUNT (JB) TRANSPRT SVCS INC   COM    445658107       55      3,400   SH           DEFINED       1                   3,400
HUNTINGTON BANCSHARES         COM    446150104      278      7,930   SH           DEFINED       1                   7,930
HUSSMANN INTL INC             COM    448110106       84      5,700   SH           DEFINED       2                   5,700
HYPERCOM CORP                 COM    44913M105      217     34,000   SH           DEFINED       2                  34,000
HYPERION SOLUTIONS CORP       COM    44914M104       77      5,280   SH           DEFINED       2                   5,280
IBERDROLA SA                  COM    442464004      165     11,120   SH           DEFINED       2                  11,120
IBP INC.                      COM    449223106      195      8,200   SH           DEFINED       1                   8,200
ICG COMMUNICATIONS INC        COM    449246107      755     37,800   SH           DEFINED       2                  37,800
ICN PHARMACEUTICALS INC       COM    448924100      225      7,000   SH           DEFINED       1                   7,000
IDACORP INC                   COM    451107106      104      3,300   SH           DEFINED       1                   3,300
IDACORP INC                   COM    451107106      226      7,700   SH           DEFINED       2                   7,700
IKON OFFICE SOLUTIONS INC     COM    451713101       75      5,000   SH           DEFINED       1                   5,000
ILLINOIS TOOL WORKS           COM    452308109      801      9,800   SH           DEFINED       1                   9,800
ILLINOVA CORP                 COM    452317100      177      6,500   SH           DEFINED       1                   6,500
ILLINOVA CORP                 COM    452317100      311     14,700   SH           DEFINED       2                  14,700
IMASCO                        COM    452451701    3,661    131,400   SH           DEFINED       1                 131,400
IMATION CORPORATION           COM    45245A107       92      3,700   SH           DEFINED       1                   3,700
IMAX CORP                     COM    45245E109      282     14,400   SH           DEFINED       2                  14,400
IMC GLOBAL INC                COM    449669100      204     10,000   SH           DEFINED       2                  10,000
IMC GLOBAL INC.               COM    449669100      182     10,500   SH           DEFINED       1                  10,500
IMPERIAL BANCORP              COM    452556103      343     20,000   SH           DEFINED       2                  20,000
IMS HEALTH INC                COM    449934108    3,119     94,160   SH           DEFINED       2                  94,160
IMS HEALTH INC.               COM    449934108      409     13,100   SH           DEFINED       1                  13,100
</TABLE>


                                 Page 22 of 49


<PAGE>   25
FILE NUMBER 28-219 (CONSOLIDATED)
AS OF 6/30/99

<TABLE>
<CAPTION>
- -----------------------------------------------------------------------------------------------------------------------------------
                            TITLE OF  CUSIP       VALUE    SHRS OR SH/PRN  PUT/  INVESTMENT   OTHER         VOTING AUTHORITY
NAME OF ISSUER               CLASS               (X$1000)  PRN AMT         CALL  DISCRETION  MANAGERS  SOLE        SHARED      NONE
- -----------------------------------------------------------------------------------------------------------------------------------
<S>                         <C>     <C>         <C>      <C>       <C>    <C>   <C>           <C>      <C>  <C>            <C>
INA(IST NAZ ASS)             COM    453493900       242     80,000   SH           DEFINED       2                  80,000
INACOM CORP                  COM    45323G109        22      2,800   SH           DEFINED       2                   2,800
INCO LTD                     COM    453258402       115      6,400   SH           DEFINED       1                   6,400
INDIANA ENERGY INC           COM    454707100        57      2,666   SH           DEFINED       1                   2,666
INDIGO AVIATION AB           COM    45567P104     2,182    329,300   SH           DEFINED       3                 329,300
INFINITY                     COM    45662s102     3,719    125,800   SH           DEFINED       3                 104,100    21,700
INFINITY BROADCASTING
CORP NEW                     COM    45662S102       749     29,100   SH           DEFINED       2                  29,100
INFORMATION RES INC          COM    456905108        21      2,400   SH           DEFINED       1                   2,400
INFORMIX CORP                COM    456779107       135     15,800   SH           DEFINED       1                  15,800
INFOSEEK CORP                COM    45678M107     3,839     51,900   SH           DEFINED       2                  51,900
INFOSYS TECH - ADR           COM    456788108       406      7,000   SH           DEFINED       1                   7,000
INGERSOLL-RAND               COM    456866102     1,050     16,250   SH           DEFINED       1                  16,250
INKTOMI CORP                 COM    457277101     5,948     69,460   SH           DEFINED       2                  69,460
INNKEEPERS USA TR            COM    4576J0104     4,094    409,400   SH           DEFINED       3                 341,600    67,800
INSIGHT ENTERPRISES INC      COM    45765U103       639     25,700   SH           DEFINED       2                  25,700
INSPIRE INS SOLUTIONS        COM    457732105    19,465  1,342,400   SH           DEFINED       3               1,318,400    24,000
INSURANCE AUTO AUCTIONS      COM    457875102     1,613    100,000   SH           DEFINED       1                 100,000
INSURANCE MGMT SOLUTNS       COM    458045101       638     75,000   SH           DEFINED       3                  75,000
INTEGRATED DEVICE TECH INC   COM    458118106        84      7,700   SH           DEFINED       1                   7,700
INTEL CORP                   COM    458140100    30,982    520,700   SH           DEFINED       1                 520,700
INTEL CORP                   COM    458140100    18,636    157,540   SH           DEFINED       2                 157,540
INTERFACE INC                COM    458665106       103     11,000   SH           DEFINED       2                  11,000
INTERIM SVCS INC             COM    45868P100       662     44,100   SH           DEFINED       2                  44,100
INTERMEDIA COMM COMMON       COM    458801107         0      7,399   SH           DEFINED       2                   7,399
INTERMEDIA COMM SER. B       CVT    458801404       507      5,169   SH           DEFINED       1                   5,169
INTERMEDIA COMMUNICATIONS
INC                          COM    458801107     3,166    118,900   SH           DEFINED       2                 118,900
INTERMET CORP                COM    45881K104        79      5,900   SH           DEFINED       2                   5,900
INTERNATIONAL BUSINESS
MACHINES                     COM    459200101    36,410    281,700   SH           DEFINED       1                 281,700
INTERNATIONAL BUSINESS
MACHS                        COM    459200101    26,626    152,755   SH           DEFINED       2                 152,755
INTERNATIONAL FLAVORS
& FRAGRANCES                 COM    459506101       202      4,600   SH           DEFINED       1                   4,600
INTERNATIONAL FLAVOURS       COM    459506101     4,245    113,016   SH           DEFINED       2                 113,016
INTERNATIONAL GAME
TECHNOLOGY                   COM    459902102       176      9,500   SH           DEFINED       1                   9,500
INTERNATIONAL MULTIFOOD      COM    460043102        36      1,600   SH           DEFINED       1                   1,600
INTERNATIONAL MULTIFOODS
CORP                         COM    460043102        84      3,600   SH           DEFINED       2                   3,600
INTERNATIONAL PAPER          COM    460146103       782     15,559   SH           DEFINED       1                  15,559
INTERNATIONAL PAPER CO       COM    460146103     4,793    113,605   SH           DEFINED       2                 113,605
INTERNATIONAL SPEEDWAY       COM    460335201    38,185    803,900   SH           DEFINED       3                 782,400    21,500
INTERPUBLIC GROUP COS        COM    460690100       485      5,600   SH           DEFINED       1                   5,600
INTERPUBLIC GROUP COS INC    COM    460690100     1,931     24,800   SH           DEFINED       2                  24,800
INTERSTATE BAKERIES CORP     COM    46072H108       139      6,200   SH           DEFINED       1                   6,200
INTERSTATE BAKERIES CORP     COM    46072H108       173      8,000   SH           DEFINED       2                   8,000
INTERSTATE HOTELS
CORPORATION                  COM    46088R108        62     15,057   SH           DEFINED       1                  15,057
INTERTAN INC                 COM    461120107     1,500     75,000   SH           DEFINED       3                  75,000
INTRAWARE INC                COM    46118M103       200      5,000   SH           DEFINED       2                   5,000
INTUIT                       COM    461202103     1,025     10,080   SH           DEFINED       2                  10,080
INTUIT INCORPORATION         COM    461202103       469      5,200   SH           DEFINED       1                   5,200
INVESTMENT TECHNOLOGY GROUP  COM    46145F105        80      2,500   SH           DEFINED       1                   2,500
INVITROGEN CORP              COM    46185R100     1,893    147,000   SH           DEFINED       2                 147,000
INVITROGEN CORP              COM    46185R100     1,827     74,000   SH           DEFINED       3                  74,000
IONICS INC                   COM    462218108       609     20,200   SH           DEFINED       2                  20,200
</TABLE>



                                  Page 23 of 49

<PAGE>   26
FILE NUMBER 28-219 (CONSOLIDATED)
AS OF 6/30/99

<TABLE>
<CAPTION>
- ------------------------------------------------------------------------------------------------------------------------------------
                        TITLE OF    CUSIP      VALUE      SHRS OR   SH/PRN  PUT/  INVESTMENT   OTHER        VOTING AUTHORITY
NAME OF ISSUER           CLASS                (X$1000)    PRN AMT           CALL  DISCRETION  MANAGERS  SOLE       SHARED    NONE
- ------------------------------------------------------------------------------------------------------------------------------------
<S>                     <C>      <C>          <C>        <C>           <C>  <C>    <C>       <C>     <C>      <C>          <C>
IPALCO ENTERPRISES INC   COM     462613100        161         7,600     SH          DEFINED     1                   7,600
IPC HOLDINGS LTD         COM     G4933P101        278        14,000     SH          DEFINED     2                  14,000
IPC HOLDINGS LTDS        COM     G4933P101    122,000     6,100,000     SH          DEFINED     1               6,100,000
IRON MOUNTAIN INC        COM     462849104          3       100,000     SH          DEFINED     2                 100,000
IRON MTN INC DEL         COM     46284P104     45,149     1,577,250     SH          DEFINED     3               1,520,700   56,550
IRT PPTY CO              COM     450058102        353        40,000     SH          DEFINED     2                  40,000
IRT PPTY CO              COM     450058102      4,230       428,400     SH          DEFINED     3                 352,500   75,900
ISS GROUP INC            COM     450306105        585         7,300     SH          DEFINED     2                   7,300
ITALGAS(SOC ITAL)        COM     446820003         39         8,000     SH          DEFINED     2                   8,000
ITT EDL SVCS INC         COM     45068B109      2,780        74,000     SH          DEFINED     2                  74,000
ITT INDUSTRIES           COM     450911102        160         4,200     SH          DEFINED     1                   4,200
IVAX CORP                COM     465823102        148        10,500     SH          DEFINED     1                  10,500
IVILLAGE INC             COM     46588H105        291         2,900     SH          DEFINED     2                   2,900
IXL ENTERPRISES INC      COM     450718101      1,075        40,000     SH          DEFINED     3                  40,000
J.C. PENNEY & CO.        COM     708160106        665        13,700     SH          DEFINED     1                  13,700
J.M. SMUCKER             COM     832696108         45         2,000     SH          DEFINED     1                   2,000
JABIL CIRCUIT INC        COM     466313103        320         7,100     SH          DEFINED     1                   7,100
JACOBS ENGR GROUP INC    COM     469814107         87         2,300     SH          DEFINED     1                   2,300
JACOR COMMUNICATIONS
INC                      COM     469858401      3,260        42,900     SH          DEFINED     2                  42,900
JDN RLTY CORP            COM     465917102        121         6,100     SH          DEFINED     2                   6,100
JDN RLTY CORP            COM     465917102      2,918       130,400     SH          DEFINED     3                 106,900   23,500
JEFFERSON PILOT          COM     475070108        351         5,300     SH          DEFINED     1                   5,300
JERONIMO MARTINS SGPS    COM     447723008        163         4,566     SH          DEFINED     2                   4,566
JLG INDS INC             COM     466210101        226        16,600     SH          DEFINED     2                  16,600
JOHNSON & JOHNSON        COM     478160104     19,118       195,080     SH          DEFINED     1                 195,080
JOHNSON & JOHNSON        COM     478160104     17,649       188,080     SH          DEFINED     2                 188,080
JOHNSON CONTROLS INC     COM     478366107        243         3,500     SH          DEFINED     1                   3,500
JONES APPAREL GROUP INC  COM     480074103        376        10,953     SH          DEFINED     1                  10,953
JONES APPAREL GROUP INC  COM     480074103        617        22,100     SH          DEFINED     2                  22,100
JONES INTERCABLE INC     COM     480206200      1,138        28,900     SH          DEFINED     2                  28,900
JONES LANG LASALLE INC   COM     48020Q107        543        18,100     SH          DEFINED     2                  18,100
JONES PHARMACEUTICALS    COM     480236108     35,827       909,900     SH          DEFINED     3                 877,100   32,800
JOSTENS                  COM     481088102         25         1,200     SH          DEFINED     1                   1,200
JOSTENS INC              COM     481088102        425        20,000     SH          DEFINED     2                  20,000
JP REALTY INC            COM     46624A106      1,388        67,500     SH          DEFINED     3                  55,500   12,000
JUST FOR FEET INC        COM     48213P106        313        25,000     SH          DEFINED     2                  25,000
K MART                   COM     482584109        310        18,800     SH          DEFINED     1                  18,800
K MART CORP              COM     482584109        398        23,700     SH          DEFINED     2                  23,700
K2 INC                   COM     482732104         65         8,200     SH          DEFINED     2                   8,200
KANSAS CITY PWR & LT C   COM     485134100        138         5,400     SH          DEFINED     1                   5,400
KANSAS CITY SOUTHN IND   COM     485170104        306         4,800     SH          DEFINED     1                   4,800
KAUFMAN & BROAD HOME
CORP.                    COM     486168107         55         2,200     SH          DEFINED     1                   2,200
KAUFMAN + BROAD HOME
CORP                     COM     486168107         47         2,100     SH          DEFINED     2                   2,100
KAYDON CORP              COM     486587108        130         4,500     SH          DEFINED     2                   4,500
KAYDON CORP.             COM     486587108         94         2,800     SH          DEFINED     1                   2,800
KBC BANKVERZEKERIN NPV   COM     449774009        433         6,480     SH          DEFINED     2                   6,480
KEANE INC                COM     486665102        127         5,600     SH          DEFINED     1                   5,600
KEEBLER FOODS CO         COM     487256109        548        15,000     SH          DEFINED     2                  15,000
KELLOGG                  COM     487836108        561        17,000     SH          DEFINED     1                  17,000
KELLOGG CO               COM     487836108      4,920       145,517     SH          DEFINED     2                 145,517
</TABLE>


                                  Page 24 of 49
<PAGE>   27
FILE NUMBER 28-219 (CONSOLIDATED)
AS OF 6/30/99

<TABLE>
<CAPTION>
- -----------------------------------------------------------------------------------------------------------------------------------
                            TITLE OF  CUSIP       VALUE    SHRS OR SH/PRN  PUT/  INVESTMENT   OTHER         VOTING AUTHORITY
NAME OF ISSUER               CLASS               (X$1000)  PRN AMT         CALL  DISCRETION  MANAGERS  SOLE        SHARED     NONE
- -----------------------------------------------------------------------------------------------------------------------------------
<S>                         <C>     <C>         <C>      <C>       <C>     <C>   <C>         <C>       <C>  <C>            <C>
KELLSTROM INDS INC            COM    488035106       71      4,500   SH           DEFINED       2                   4,500
KELLWOOD CO                   COM    488044108      119      5,400   SH           DEFINED       2                   5,400
KELLY SERVICES CI'A'          COM    488152208      103      3,200   SH           DEFINED       1                   3,200
KEMET CORP                    COM    488360108      162     14,200   SH           DEFINED       2                  14,200
KENNAMETAL INC                COM    489170100       74      2,400   SH           DEFINED       1                   2,400
KERR MCGEE CORP               COM    492386107      165      3,285   SH           DEFINED       1                   3,285
KEY PRODTN INC                COM    493138101      928    101,000   SH           DEFINED       3                 101,000
KEYCORP                       COM    493267108      585     18,200   SH           DEFINED       1                  18,200
KEYSPAN CORPORATION           COM    49337W100      340     12,900   SH           DEFINED       1                  12,900
KEYSTONE FINANCIAL INC        COM    493482103      130      4,400   SH           DEFINED       1                   4,400
KILROY REALTY CORP            COM    49427F108    3,656    150,000   SH           DEFINED       1                 150,000
KILROY RLTY CORP              COM    49427F108      123      6,000   SH           DEFINED       2                   6,000
KIMBALL INTL INC              COM    494274103       74      5,000   SH           DEFINED       2                   5,000
KIMBERLY CLARK CORP           COM    494368103      259      5,400   SH           DEFINED       2                   5,400
KIMBERLY-CLARK CORP           COM    494368103    1,454     25,500   SH           DEFINED       1                  25,500
KIMCO REALTY                  COM    49446R109   35,500    893,075   SH           DEFINED       1                 893,075
KIMCO REALTY CORP             COM    49446R109   12,410    312,200   SH           DEFINED       3                 255,800   56,400
KIMCO RLTY CORP               COM    49446R109       15        400   SH           DEFINED       2                     400
KING WORLD PRODUCTIONS        COM    495667107       87      2,500   SH           DEFINED       1                   2,500
KINGFISHER                    COM    026201905      503     40,000   SH           DEFINED       2                  40,000
KLA TENCOR CORP               COM    482480100      481      9,900   SH           DEFINED       2                   9,900
KLA-TENCOR CORP               COM    482480100      212      3,275   SH           DEFINED       1                   3,275
KLM ROYAL DUTCH AIRLS         COM    482516101      389     14,000   SH           DEFINED       2                  14,000
KMART FINANCING 7.75% PFD     CVT    498778208    3,510     60,000   SH           DEFINED       1                  60,000
KN ENERGY INC.                COM    482620101       76      5,700   SH           DEFINED       1                   5,700
KNIGHT RIDDER INC.            COM    499040103      198      3,600   SH           DEFINED       1                   3,600
KNIGHT TRIMARK GROUP          COM    499067106      670     10,000   SH           DEFINED       2                  10,000
KNIGHT/TRIMARK GRP            COM    499067106   22,729    372,600   SH           DEFINED       3                 357,200   15,400
KNIGHTSBRIDGE TANKERS LTD     COM    G5299G106      540     32,000   SH           DEFINED       2                  32,000
KOGER EQUITY INC              COM    500228101       47      3,500   SH           DEFINED       2                   3,500
KOHLS CORPORATION             COM    500255104      538      7,000   SH           DEFINED       1                   7,000
KOMAG INC                     COM    500453105      157     35,800   SH           DEFINED       2                  35,800
KONINKLIJKE PHILIPS
ELECTRS NV                    COM    500472105      247      3,000   SH           DEFINED       2                   3,000
KONINKLIJKE PHILIPS
ELECTRS NV                    COM    500472105       41        500   SH           DEFINED       2                     500
KOREA ELEC POWER CORP-SP ADR  COM    500631106    2,960    164,000   SH           DEFINED       1                 164,000
KOREA ELEC PWR CORP           COM    500631106      136     10,700   SH           DEFINED       2                  10,700
KOREA FUND INC                COM    500634100    1,978    133,000   SH           DEFINED       1                 133,000
KRAUSES FURNITURE INC         COM    500760202      314    173,100   SH           DEFINED       2                 173,100
KROGER CO.                    COM    501044101      941     33,700   SH           DEFINED       1                  33,700
KROLL O GARA CO               COM    501050108    4,646    171,800   SH           DEFINED       2                 171,800
KROLL-O'GARA COMPANY          COM    501050108   31,863  1,444,212   SH           DEFINED       1               1,444,212
L OREAL                       COM    453478000      101        160   SH           DEFINED       2                     160
LA Z BOY INC                  COM    505336107      131      6,900   SH           DEFINED       2                   6,900
LAB HLDGS INC                 COM    505353102      527     31,700   SH           DEFINED       2                  31,700
LABONE INC                    COM    50540E101       37      3,500   SH           DEFINED       2                   3,500
LACLEDE GAS CO                COM    505588103      559     26,700   SH           DEFINED       2                  26,700
LAFARGE                       COM    450270004       67        742   SH           DEFINED       2                     742
LAIDLAW INC.                  COM    50730K503       92     12,500   SH           DEFINED       1                  12,500
LAM RESH CORP                 COM    512807108      525     18,100   SH           DEFINED       2                  18,100
LAMONTS APPAREL INC           COM    513628404       13     34,222   SH           DEFINED       1                  34,222
</TABLE>

                                 Page 25 of 49

<PAGE>   28

File Number 28-219 (Consolidated)
As of 6/30/99

<TABLE>
<CAPTION>
- ------------------------------------------------------------------------------------------------------------------------------------
                           TITLE OF    CUSIP        VALUE      SHRS OR  SH/PRN  PUT/  INVESTMENT   OTHER        VOTING AUTHORITY
NAME OF ISSUER              CLASS                   (X$1000)   PRN AMT          CALL  DISCRETION   MANAGERS  SOLE    SHARED    NONE
- ------------------------------------------------------------------------------------------------------------------------------------
<S>                         <C>      <C>           <C>        <C>       <C>     <C>   <C>         <C>       <C>   <C>        <C>
LANCASTER COLONY CORP         COM    513847103        129       3,750     SH           DEFINED         1              3,750
LANCASTER COLONY CORP         COM    513847103        797      30,000     SH           DEFINED         2             30,000
LANCE INC                     COM    514606102        225      14,400     SH           DEFINED         1             14,400
LANCE INC                     COM    514606102      1,113      70,100     SH           DEFINED         2             70,100
LANDAMERICA FINL GROUP INC    COM    514936103         17         600     SH           DEFINED         2                600
LANDRYS SEAFOOD REST INC      COM    51508L103        179      28,000     SH           DEFINED         2             28,000
LANDS END INC                 COM    515086106        140       2,900     SH           DEFINED         1              2,900
LAS VEGAS ENTER NETWRK CO     COM    517669305          0      90,629     SH           DEFINED         2             90,629
LASALLE RE HOLDINGS LTD       COM    G5383Q101        881      30,000     SH           DEFINED         1             30,000
LASON HLDGS INC               COM    51808R107        528       9,400     SH           DEFINED         2              9,400
LATTICE SEMICONDUCTOR CORP    COM    518415104        632      13,900     SH           DEFINED         2             13,900
LAUDER ESTEE COS INC          COM    518439104        567       6,000     SH           DEFINED         2              6,000
LEAR CORP                     COM    521865105        867      20,300     SH           DEFINED         2             20,300
LEAR CORPORATION              COM    521865105        289       5,800     SH           DEFINED         1              5,800
LEARNING CO INC               COM    522008101        458      15,800     SH           DEFINED         2             15,800
LEE ENTERPRISES INC           COM    523768109        110       3,600     SH           DEFINED         1              3,600
LEGATO SYSTEMS INC            COM    524651106        196       3,400     SH           DEFINED         1              3,400
LEGATO SYSTEMS INC            COM    524651106      3,392      65,800     SH           DEFINED         2             65,800
LEGGETT & PLATT INC.          COM    524660107        470      16,900     SH           DEFINED         1             16,900
LEHMAN BROTHERS HLDGS INC     COM    524908100        896      15,000     SH           DEFINED         2             15,000
LEHMAN BROTHERS HOLDING INC   COM    524908100        236       3,800     SH           DEFINED         1              3,800
LEINER HEALTH PRODUCTS INC. NECOM    525367108        364       3,640     SH           DEFINED         1              3,640
LEINER HEALTH PRODUCTS INC. WACOM    525996112         43       8,925     SH           DEFINED         1              8,925
LEVEL 3 COMMUNICATIONS INC    COM    52729N100      3,713      50,990     SH           DEFINED         2             50,990
LEXMARK INTL GROUP - CL A     COM    529771107        799      12,200     SH           DEFINED         1             12,200
LG&E ENERGY CORP              COM    501917108        250      11,900     SH           DEFINED         1             11,900
LIBBEY INC                    COM    529898108         90       2,900     SH           DEFINED         2              2,900
LIBERTY FINANCIAL COMPANIES   COM    530512102        628      25,000     SH           DEFINED         1             25,000
LIBERTY PPTY                  COM    531172104     11,059     444,600     SH           DEFINED         3            365,100   79,500
LIBERTY PROPERTY              COM    531172104         66       3,200     SH           DEFINED         2              3,200
LIFE FINL CORP                COM    53184P101         25       8,000     SH           DEFINED         2              8,000
LIFEPOINT HOSPITAL INC        COM    53219L109          0           9     SH           DEFINED         2                  9
LIFEPOINT HOSPITALS INC. W/I  COM    53219L109          0           1     SH           DEFINED         1                  1
LILLY ELI + CO                COM    532457108      5,346      62,990     SH           DEFINED         2             62,990
LIMITED INC                   COM    532716107        454      10,000     SH           DEFINED         1             10,000
LIMITED INC                   COM    532716107        424      10,700     SH           DEFINED         2             10,700
LINCARE HLDGS INC             COM    532791100      1,313      46,800     SH           DEFINED         2             46,800
LINCARE HOLDINGS INC          COM    532791100        125       5,000     SH           DEFINED         1              5,000
LINCOLN NATIONAL CORP         COM    534187109         55       1,050     SH           DEFINED         2              1,050
LINCOLN NATIONAL CORP.        COM    534187109        544      10,400     SH           DEFINED         1             10,400
LINEAR TECHNOLOGY CORP        COM    535678106        874      13,000     SH           DEFINED         1             13,000
LINEAR TECHNOLOGY CORP        COM    535678106      1,040      20,270     SH           DEFINED         2             20,270
LINENS N THINGS INC           COM    535679104     43,273     989,100     SH           DEFINED         3            969,700   19,400
LITCHFIELD FINL CORP          COM    536619109     13,174     777,813     SH           DEFINED         3            762,613   15,200
LITTELFUSE INC                COM    537008104        551      30,000     SH           DEFINED         2             30,000
LITTON INDS INC               COM    538021106        296       4,100     SH           DEFINED         1              4,100
LIZ CLAIBORNE INC             COM    539320101        102       2,800     SH           DEFINED         1              2,800
LOCKHEED MARTIN CORP          COM    539830109        842      22,600     SH           DEFINED         1             22,600
LOCKHEED MARTIN CORP          COM    539830109        328       8,700     SH           DEFINED         2              8,700
LOEWS CORP.                   COM    540424108        411       5,200     SH           DEFINED         1              5,200
</TABLE>


                                 Page 26 of 49
<PAGE>   29

File Number 28-219 (Consolidated)
As of 6/30/99

<TABLE>
<CAPTION>
- -----------------------------------------------------------------------------------------------------------------------------------
                            TITLE OF  CUSIP       VALUE    SHRS OR SH/PRN  PUT/  INVESTMENT   OTHER         VOTING AUTHORITY
NAME OF ISSUER               CLASS               (X$1000)  PRN AMT         CALL  DISCRETION  MANAGERS  SOLE    SHARED       NONE
- -----------------------------------------------------------------------------------------------------------------------------------
<S>                         <C>     <C>         <C>       <C>      <C>     <C>   <C>          <C>       <C>  <C>            <C>
LO-JACK CORPORATION           COM    539451104    2,010    240,000   SH           DEFINED       1             240,000
LONE STAR INDS INC            COM    542290408      217      7,000   SH           DEFINED       2               7,000
LONE STAR STEAKHOUSE +
SALOON                        COM    542307103       71      6,900   SH           DEFINED       2               6,900
LONE STAR STEAKHOUSE S        COM    542307103       34      3,500   SH           DEFINED       1               3,500
LONGS DRUG STORES INC         COM    543162101       41      1,200   SH           DEFINED       1               1,200
LONGVIEW FIBRE                COM    543213102       70      4,500   SH           DEFINED       1               4,500
LORAL SPACE + COMMUNICATIONS  COM    G56462107      884     61,200   SH           DEFINED       2              61,200
LOUISIANA PACIFIC             COM    546347105      103      4,300   SH           DEFINED       1               4,300
LOWE'S COMPANIES              COM    548661107      754     13,300   SH           DEFINED       1              13,300
LSI LOGIC CORP                COM    502161102      240      5,200   SH           DEFINED       1               5,200
LTC PROPERTIES                COM    502175102    3,374    259,500   SH    0      DEFINED       3             209,000       50,500
LUBRIZOL CORP                 COM    549271104      450     20,000   SH           DEFINED       2              20,000
LUBRIZOL CORP.                COM    549271104      142      5,200   SH           DEFINED       1               5,200
LUBYS CAFETERIAS INC          COM    549282101      386     22,900   SH           DEFINED       2              22,900
LUCENT TECHNOLOGIES           COM    549463107   23,620    350,252   SH           DEFINED       1             350,252
LUCENT TECHNOLOGIES           COM    549463107   21,686    217,316   SH           DEFINED       2             217,316
LYCOS INC                     COM    550818108    1,489     17,300   SH           DEFINED       2              17,300
LYONDELL CHEMICAL COMPANY     COM    552078107      198      9,600   SH           DEFINED       1               9,600
MAC GRAY CORP                 COM    554153106      891     97,000   SH           DEFINED       2              97,000
MACDERMID INC                 COM    554273102   16,298    350,500   SH    0      DEFINED       3             343,200        7,300
MACERICH CO                   COM    554382101    7,038    268,100   SH    0      DEFINED       3             221,600       46,500
MACK CA RLTY CORP             COM    554489104      235      8,000   SH           DEFINED       2               8,000
MACK CALI REALTY CORP         COM    554489104    9,207    297,600   SH    0      DEFINED       3             244,100       53,500
MACROMEDIA INC                COM    556100105    2,315     51,100   SH           DEFINED       2              51,100
MADECO SA-ADR                 COM    556304103      197     19,500   SH           DEFINED       1              19,500
MAGELLAN HEALTH SVCS INC      COM    559079108       36      8,700   SH           DEFINED       2               8,700
MAGNA INTL. 4.875% 2/15/05    CVT    559222AF1      294      3,000   SH           DEFINED       1               3,000
MAGNETEK INC                  COM    559424106       23      2,200   SH           DEFINED       1               2,200
MAGNETEK INC                  COM    559424106       84     10,000   SH           DEFINED       2              10,000
MAHANAGAR TELE NIGAM-GDR      COM    559778204      442     51,500   SH           DEFINED       1              51,500
MAHANAGAR TELEP NI            COM    559778204       21      2,000   SH           DEFINED       2               2,000
MAKER COMMUNICATIONS          COM    560875106    1,380     44,500   SH           DEFINED       3              44,500
MALLINCKRODT GROUP INC        COM    561232109      105      2,900   SH           DEFINED       1               2,900
MALLINCKRODT INC NEW          COM    561232109       29      1,100   SH           DEFINED       2               1,100
MANDALAY RESORT GROUP         COM    562567107      178      8,400   SH           DEFINED       1               8,400
MANPOWER INC                  COM    56418H100      158      7,000   SH           DEFINED       1               7,000
MANPOWER INC WIS              COM    56418H100      281     12,000   SH           DEFINED       2              12,000
MANUFACTURED HOME CMNT        COM    564682102    6,170    237,300   SH    0      DEFINED       3             195,500       41,800
MANUFACTURED HOME CMNTYS INC  COM    564682102      401     16,700   SH           DEFINED       2              16,700
MANUFACTURED HOME COMMUNITIES COM    564682102    4,680    180,000   SH           DEFINED       1             180,000
MAPQUEST COM INC              COM    565644101    3,044    186,600   SH    0      DEFINED       3             183,400        3,200
MARINE DRILLING COS INC       COM    568240204      385     35,000   SH           DEFINED       2              35,000
MARK IV INDS INC              COM    570387100       97      4,600   SH           DEFINED       1               4,600
MARK IV INDS INC              COM    570387100      179     13,700   SH           DEFINED       2              13,700
MARKETWATCH COM INC           COM    570619106       37        500   SH           DEFINED       2                 500
MARRIOTT INTERNATIONAL-CL A   COM    571903202    2,825     75,576   SH           DEFINED       1              75,576
MARRIOTT INTL INC NEW         COM    571903202    1,150     34,200   SH           DEFINED       2              34,200
MARSH & MC LENNAN             COM    571748102   16,928    223,650   SH           DEFINED       1             223,650
MARSH + MCLENNAN COS INC      COM    571748102      163      2,200   SH           DEFINED       2               2,200
MARSHALL & ILSLY CORP         COM    571834100      573      8,900   SH           DEFINED       1               8,90
</TABLE>


                                 Page 27 of 49
<PAGE>   30

File Number 28-219 (Consolidated)
As of 6/30/99

<TABLE>
<CAPTION>
- -----------------------------------------------------------------------------------------------------------------------------------
                            TITLE OF  CUSIP       VALUE    SHRS OR SH/PRN  PUT/  INVESTMENT   OTHER         VOTING AUTHORITY
NAME OF ISSUER               CLASS               (X$1000)  PRN AMT         CALL  DISCRETION  MANAGERS  SOLE      SHARED     NONE
- -----------------------------------------------------------------------------------------------------------------------------------
<S>                         <C>     <C>         <C>      <C>       <C>     <C>   <C>          <C>       <C>  <C>            <C>
MARTIN MARIETTA MATERIALS
INC                           COM    573284106      236      4,000   SH           DEFINED       1                 4,000
MARTIN MARIETTA MATLS INC     COM    573284106    3,258     57,100   SH           DEFINED       2                57,100
MASCO CORP                    COM    574599106      375     13,000   SH           DEFINED       1                13,000
MASCO CORP                    COM    574599106    2,011     71,200   SH           DEFINED       2                71,200
MASISA SA-ADR                 COM    574799102      185     17,600   SH           DEFINED       1                17,600
MATAV RT-SPONSORED ADR        COM    559776109      265      9,625   SH           DEFINED       1                 9,625
MATTEL INC                    COM    577081102    2,438     97,386   SH           DEFINED       2                97,386
MATTEL INC.                   COM    577081102      355     13,600   SH           DEFINED       1                13,600
MAXIM INTEGRATED PRODS        COM    57772K101      798     12,000   SH           DEFINED       1                12,000
MAXIM INTEGRATED PRODS INC    COM    57772K101    1,341     24,800   SH           DEFINED       2                24,800
MAXIMUS INC                   COM    577933104   36,147  1,257,300   SH           DEFINED       3             1,232,900     24,400
MAXXAM INC                    COM    577913106       52        800   SH           DEFINED       1                   800
MAXXIM MED INC                COM    57777G105       68      3,600   SH           DEFINED       2                 3,600
MAY DEPARTMENT STORES         COM    577778103      989     24,200   SH           DEFINED       1                24,200
MAY DEPT STORES CO            COM    577778103    5,119    130,848   SH           DEFINED       2               130,848
MAYTAG CO.                    COM    578592107      258      3,700   SH           DEFINED       1                 3,700
MAYTAG CORP                   COM    578592107       12        200   SH           DEFINED       2                   200
MBIA INC                      COM    55262C100       70      1,200   SH           DEFINED       2                 1,200
MBIA INC.                     COM    55262C100      259      4,000   SH           DEFINED       1                 4,000
MBNA CORP                     COM    55262L100      899     29,365   SH           DEFINED       1                29,365
MBNA CORP                     COM    55262L100      511     21,400   SH           DEFINED       2                21,400
MBNA CORP                     COM    55262L100    7,001    228,600   SH           DEFINED       3               228,600
MC DONALDS CORP.              COM    580135101   13,148    319,700   SH           DEFINED       1               319,700
McCORMICK & CO.               COM    579780206      215      6,800   SH           DEFINED       1                 6,800
MCDERMOTT INTERNATIONAL       COM    580037109       59      2,100   SH           DEFINED       1                 2,100
MCDERMOTT INTL INC            COM    580037109      749     29,600   SH           DEFINED       2                29,600
MCDONALDS CORP                COM    580135101   10,109    223,100   SH           DEFINED       2               223,100
MCGRAW HILL CORP              COM    580645109    1,483     27,500   SH           DEFINED       1                27,500
MCI WORLDCOM                  COM    552688106      521      5,885   SH           DEFINED       2                 5,885
MCI WORLDCOM                  COM    552688106      503      5,843   SH           DEFINED       2                 5,843
MCI WORLDCOM INC              COM    55268B106   16,946    196,907   SH           DEFINED       1               196,907
MCI WORLDCOM INC              COM    55268B106   36,435    411,535   SH           DEFINED       2               411,535
MCKESSON HBOC INC             COM    58155Q103      299      9,294   SH           DEFINED       1                 9,294
MCKESSON HBOC INC             COM    58155Q103    6,322     95,790   SH           DEFINED       2                95,790
MCN ENERGY GROUP INC.         COM    55267J100      149      7,200   SH           DEFINED       1                 7,200
MDU RES GROUP INC             COM    552690109       48      2,100   SH           DEFINED       2                 2,100
MEAD CORP                     COM    582834107      175      4,200   SH           DEFINED       1                 4,200
MEDE AMER CORP                COM    584067102    4,152    110,000   SH           DEFINED       3               110,000
MEDIA GEN INC                 COM    584404107      122      2,400   SH           DEFINED       1                 2,400
MEDIA METRIX INC              COM    58440X103      799     15,000   SH           DEFINED       3                15,000
MEDIAONE GROUP INC            COM    58440J104    1,726     23,200   SH           DEFINED       1                23,200
MEDIAONE GROUP INC            COM    58440J104    9,418    148,200   SH           DEFINED       2               148,200
MEDICIS PHARMACEUTICAL        COM    584690309   28,867  1,137,600   SH           DEFINED       3             1,112,700     24,900
MEDICIS PHARMACEUTICAL CORP   COM    584690309      300     10,000   SH           DEFINED       2                10,000
MEDIMMUNE INC                 COM    584699102      318      4,700   SH           DEFINED       1                 4,700
MEDIMMUNE INC                 COM    584699102    6,804    114,950   SH           DEFINED       2               114,950
MEDIOLANUM                    COM    553519901    1,987     74,680   SH           DEFINED       2                74,680
MEDITRUST CORP PAIRED         COM    58501T306   14,985  1,147,200   SH           DEFINED       3               944,900    202,300
MEDTRONIC INC                 COM    585055106    1,830     25,500   SH           DEFINED       2                25,500
MEDTRONIC INC.                COM    585055106    1,768     22,700   SH           DEFINED       1                22,700
</TABLE>


                                 Page 28 of 49
<PAGE>   31

File Number 28-219 (Consolidated)
As of 6/30/99

<TABLE>
<CAPTION>
- -----------------------------------------------------------------------------------------------------------------------------------
                            TITLE OF  CUSIP       VALUE    SHRS OR SH/PRN  PUT/  INVESTMENT   OTHER         VOTING AUTHORITY
NAME OF ISSUER               CLASS               (X$1000)  PRN AMT         CALL  DISCRETION  MANAGERS  SOLE    SHARED       NONE
- -----------------------------------------------------------------------------------------------------------------------------------
<S>                         <C>     <C>         <C>      <C>       <C>     <C>   <C>         <C>       <C>  <C>             <C>
MELLON BANK CORP              COM     585509102     793     21,800   SH           DEFINED       1              21,800
MELLON BK CORP                COM     585509102   5,982     85,000   SH           DEFINED       2              85,000
MENTOR GRAPHICS               COM     587200106      72      5,600   SH           DEFINED       1               5,600
MERCANTILE BANCORPORAT        COM     587342106     343      6,000   SH           DEFINED       1               6,000
MERCANTILE BANCORPORATION
INC                           COM     587342106   2,294     48,300   SH           DEFINED       2              48,300
MERCANTILE BANCORPORTN        COM     587342106   4,142     72,500   SH           DEFINED       3              59,800       12,700
MERCANTILE BANKSHARES CORP    COM     587405101     822     23,250   SH           DEFINED       1              23,250
MERCANTILE BANKSHARES CORP    COM     587405101     734     20,100   SH           DEFINED       2              20,100
MERCK & CO INC                COM     589331107  18,648    234,050   SH           DEFINED       2             234,050
MERCK & CO.                   COM     589331107  25,669    348,640   SH           DEFINED       1             348,640
MEREDITH CORP                 COM     589433101      62      1,800   SH           DEFINED       1               1,800
MERISTAR HOSPITALITY          COM     58984y103     305     13,600   SH           DEFINED       3              13,600
MERITOR AUTOMOTIVE INC        COM     59000G100     145      5,699   SH           DEFINED       1               5,699
MERRILL LYNCH & CO.           COM     590188108   1,089     13,700   SH           DEFINED       1              13,700
MERRILL LYNCH + CO INC        COM     590188108   7,597     85,900   SH           DEFINED       2              85,900
MESABA HLDGS INC              COM     59066B102     265     20,000   SH           DEFINED       2              20,000
META GROUP INC                COM     591002100     673     43,800   SH           DEFINED       2              43,800
METHODE ELECTRS INC           COM     591520200     231     21,000   SH           DEFINED       2              21,000
METRIS COS INC                COM     591598107     143      3,601   SH           DEFINED       2               3,601
METRIS COS INC                COM     591598107  72,918  1,789,388   SH           DEFINED       3           1,723,452       65,936
METRO AG                      COM     504141904     382      6,100   SH           DEFINED       2               6,100
METROCALL STOCKS              COM     591647102       0     40,000   SH           DEFINED       2              40,000
METTLER-TOLEDO INTERNATIONAL  COM     592688105  15,010    588,631   SH           DEFINED       1             588,631
METZLER GROUP INC             COM     592903108     622     19,900   SH           DEFINED       2              19,900
METZLER GROUP INC             COM     592903108  46,134  1,670,000   SH           DEFINED       3           1,609,200       60,800
MEYER FRED INC DEL NEW        COM     592907109     841     14,280   SH           DEFINED       2              14,280
MGI PPTYS                     COM     552885105      30      1,100   SH           DEFINED       2               1,100
MGIC INVESTMENT CORP          COM     552848103     263      5,400   SH           DEFINED       1               5,400
MGIC INVT CORP WIS            COM     552848103     214      6,100   SH           DEFINED       2               6,100
MGIC INVT CORP WIS            COM     552848103   5,519    113,500   SH           DEFINED       3              82,100       31,400
MGM GRAND INC                 COM     552953101     842     25,035   SH           DEFINED       2              25,035
MIAMI CRUISELINE SERVICES
HOLD                          COM     593993108   1,604      3,333   SH           DEFINED       1               3,333
MICHAELS STORES INC SUB NT
CV6                           CVT     594087ac2     593    600,000   SH           DEFINED       3             600,000
MICRO WHSE INC                COM     59501B105      54      3,000   SH           DEFINED       1               3,000
MICROCHIP TECHNOLOGY
INCORPORATED                  COM     595017104     218      4,600   SH           DEFINED       1               4,600
MICROMUSE INC                 COM     595094103   4,393     95,500   SH           DEFINED       2              95,500
MICRON  7.0% 7/1/04           CVT     595112AB9     202      2,000   SH           DEFINED       1               2,000
MICRON TECHNOLOGY INC         COM     595112103     324      8,000   SH           DEFINED       1               8,000
MICRON TECHNOLOGY INC         COM     595112103     241      5,000   SH           DEFINED       2               5,000
MICROSOFT                     COM     594918104  61,787    685,090   SH           DEFINED       1             685,090
MICROSOFT CORP                COM     594918104  61,821    690,010   SH           DEFINED       2             690,010
MIDAMERICAN ENERGY
HOLDINGS CO                   COM     59562V107     177      5,100   SH           DEFINED       1               5,100
MIDCOAST ENERGY RES           COM     59563W104   2,306    143,000   SH           DEFINED       3             143,000
MIDWEST EXPRESS HLDGS INC     COM     597911106      97      3,300   SH           DEFINED       2               3,300
MILACRON INC                  COM     598709103      24      1,300   SH           DEFINED       1               1,300
MILACRON INC                  COM     598709103      33      2,100   SH           DEFINED       2               2,100
MILLENNIUM CHEMICALS INC      COM     599903101     225     11,300   SH           DEFINED       2              11,300
MILLENNIUM PHARMACEUTICALS    COM     599902103     625     20,000   SH           DEFINED       2              20,000
MILLER HERMAN                 COM     600544100     153      7,300   SH           DEFINED       1               7,300
MILLER HERMAN INC             COM     600544100     471     26,100   SH           DEFINED       2              26,100
</TABLE>



                                 Page 29 of 49
<PAGE>   32

File Number 28-219 (Consolidated)
As of 6/30/99

<TABLE>
<CAPTION>
- -----------------------------------------------------------------------------------------------------------------------------------
                            TITLE OF  CUSIP       VALUE    SHRS OR SH/PRN  PUT/  INVESTMENT   OTHER         VOTING AUTHORITY
NAME OF ISSUER               CLASS               (X$1000)  PRN AMT         CALL  DISCRETION  MANAGERS  SOLE    SHARED       NONE
- -----------------------------------------------------------------------------------------------------------------------------------
<S>                         <C>     <C>         <C>      <C>       <C>     <C>   <C>         <C>       <C>  <C>             <C>
MILLIPORE CORP                COM    601073109       69      1,700   SH           DEFINED       1               1,700
MILLIPORE CORP                COM    601073109   18,456    455,000   SH           DEFINED       3             444,700       10,300
MILLS COPORATION              COM    601148109    3,253    150,000   SH           DEFINED       1             150,000
MINAS BUENAVENTURA-SPON
ADR                           COM    204448104      168     11,000   SH           DEFINED       1              11,000
MINDSPRING ENTERPRISES INC    COM    602683104      567      6,600   SH           DEFINED       2               6,600
MINERALS TECHNOLOGIES INC     COM    603158106      112      2,000   SH           DEFINED       1               2,000
MINERALS TECHNOLOGIES INC     COM    603158106      912     19,000   SH           DEFINED       2              19,000
MINNESOTA MINING & MFG.       COM    604059105    1,452     16,700   SH           DEFINED       1              16,700
MINNESOTA MNG + MFG CO        COM    604059105    6,576     92,949   SH           DEFINED       2              92,949
MINNESOTA POWER, INC          COM    604110106      115      5,800   SH           DEFINED       1               5,800
MIRAGE RESORTS INC            COM    60462E104      124      7,400   SH           DEFINED       1               7,400
MIRAGE RESORTS INC            COM    60462E104      799     38,296   SH           DEFINED       2              38,296
MITCHELL ENERGY + DEV CORP    COM    606592301      225     18,000   SH           DEFINED       2              18,000
MITEL CORP                    COM    606711109    1,809    275,125   SH           DEFINED       1             275,125
MMC NETWORKS INC              COM    55308N102   17,564    392,500   SH           DEFINED       3             384,500        8,000
MOBIL CORP                    COM    607059102   11,492    129,550   SH           DEFINED       2             129,550
MOBIL CORP.                   COM    607059102    3,985     40,350   SH           DEFINED       1              40,350
MOBILE MINI                   COM    60740F105    1,072     54,800   SH           DEFINED       3              54,800
MODINE MFG CO                 COM    607828100       81      2,500   SH           DEFINED       1               2,500
MODIS PROFESSIONAL SERVICES   COM    607830106      138     10,200   SH           DEFINED       1              10,200
MOHAWK INDS INC               COM    608190104    1,680     56,000   SH           DEFINED       2              56,000
MOHAWK INDUSTRIES INC         COM    608190104      161      5,300   SH           DEFINED       1               5,300
MOLEX INC                     COM    608554101      506     13,686   SH           DEFINED       1              13,686
MOLEX INC                     COM    608554200      839     32,500   SH           DEFINED       2              32,500
MOLEX INC                     COM    608554101      492     16,737   SH           DEFINED       2              16,737
MONSANTO COMPANY              COM    611662107      942     23,800   SH           DEFINED       1              23,800
MONTANA POWER CO              COM    612085100      338      4,800   SH           DEFINED       1               4,800
MONTANA PWR CO                COM    612085100      736     10,000   SH           DEFINED       2              10,000
MONY GROUP INC                COM    615337102       62      2,500   SH           DEFINED       2               2,500
MOOG INC                      COM    615394202       70      2,300   SH           DEFINED       2               2,300
MOORE CORP                    COM    615785102    1,622    184,750   SH           DEFINED       1             184,750
MORGAN J P + CO INC           COM    616880100    5,737     46,497   SH           DEFINED       2              46,497
MORGAN J.P.                   COM    616880100    1,068      7,600   SH           DEFINED       1               7,600
MORGAN STANLEY ASIA PAC
FD INC                        COM    61744U106      656     82,000   SH           DEFINED       2              82,000
MORGAN STANLEY DEAN WITTER    COM    617446448   20,933    208,995   SH           DEFINED       2             208,995
MORGAN STANLEY DEAN WITTER
& CO                          COM    617446448   24,650    240,191   SH           DEFINED       1             240,191
MORGAN STANLEY DW INDIA
INVESTMENT FU                 COM    61745C105      291     30,000   SH           DEFINED       1              30,000
MOTOROLA INC                  COM    620076109    2,246     23,700   SH           DEFINED       1              23,700
MOTOROLA INC                  COM    620076109    9,437    125,750   SH           DEFINED       2             125,750
MOVADO GROUP INC              COM    624580106    1,304     52,200   SH           DEFINED       2              52,200
MTI HOLDING INC COMMON        COM    553769100        0    104,164   SH           DEFINED       2             104,164
MULTEX SYS INC                COM    625367107    2,405     38,500   SH           DEFINED       2              38,500
MURATA MFG CO                 COM    661040006      692     13,000   SH           DEFINED       2              13,000
MURPHY OIL CORP               COM    626717102      190      3,900   SH           DEFINED       1               3,900
MURPHY OIL CORP               COM    626717102      266      6,400   SH           DEFINED       2               6,400
MYLAN LABORATORIES            COM    628530107      313     11,800   SH           DEFINED       1              11,800
MYLAN LABS INC                COM    628530107    5,740    216,600   SH           DEFINED       3             188,300       28,300
NABISCO GROUP HOLDINGS        COM    62952P102      284     14,500   SH           DEFINED       1              14,500
NABISCO HLDGS CORP            COM    629526104    1,135     27,300   SH           DEFINED       2              27,300
NABORS INDS INC               COM    629568106      212      8,700   SH           DEFINED       1               8,700
</TABLE>



                                 Page 30 of 49
<PAGE>   33

File Number 28-219 (Consolidated)
As of 6/30/99

<TABLE>
<CAPTION>
- -----------------------------------------------------------------------------------------------------------------------------------
                            TITLE OF  CUSIP       VALUE    SHRS OR SH/PRN  PUT/  INVESTMENT   OTHER         VOTING AUTHORITY
NAME OF ISSUER               CLASS               (X$1000)  PRN AMT         CALL  DISCRETION  MANAGERS  SOLE    SHARED       NONE
- -----------------------------------------------------------------------------------------------------------------------------------
<S>                         <C>     <C>         <C>      <C>       <C>     <C>   <C>         <C>       <C>  <C>             <C>
NAC RE CORP                   COM    628907107      413      7,700    SH          DEFINED       2               7,700
NACCO INDUSTRIES -CL A        COM    629579103       29        400    SH          DEFINED       1                 400
NALCO CHEM CO                 COM    629853102    5,814    218,868    SH          DEFINED       2             218,868
NALCO CHEMICAL CO             COM    629853102      130      2,500    SH          DEFINED       1               2,500
NALE LABORATORIES WARRANTS    COM    629857111      400     26,000    SH          DEFINED       1              26,000
NANOGEN INC                   COM    630075109    3,438    500,000    SH          DEFINED       1             500,000
NANOGEN INC                   COM    630075109      185     20,000    SH          DEFINED       2              20,000
NATIONAL AUSTRALIA
BK 7.875% PFD                 CVT    632525309    3,797    125,000    SH          DEFINED       1             125,000
NATIONAL CITY CORP            COM    635405103      878     13,400    SH          DEFINED       1              13,400
NATIONAL CITY CORP            COM    635405103      976     14,700    SH          DEFINED       2              14,700
NATIONAL COMM BANCORP         COM    635449101      342     15,000    SH          DEFINED       2              15,000
NATIONAL DATA CORP            COM    635621105      399      9,500    SH          DEFINED       2               9,500
NATIONAL EQUIPMENT SERV       COM    635847106        0     75,000    SH          DEFINED       2              75,000
NATIONAL FUEL GAS CO N        COM    636180101      160      3,300    SH          DEFINED       1               3,300
NATIONAL FUEL GAS CO N J      COM    636180101      279      7,100    SH          DEFINED       2               7,100
NATIONAL INSTRS CORP          COM    636518102      382     13,550    SH          DEFINED       2              13,550
NATIONAL PRESTO INDS INC      COM    637215104    2,112     59,600    SH          DEFINED       2              59,600
NATIONAL SEMICONDUCTER
 6.5% 10/01/02                CVT    637640AB9      143      1,500    SH          DEFINED       1               1,500
NATIONAL SEMICONDUCTOR        COM    637640103      144      5,700    SH          DEFINED       1               5,700
NATIONAL SERVICE INDS INC     COM    637657107       50      1,400    SH          DEFINED       1               1,400
NATIONAL SVC INDS INC         COM    637657107    4,579    134,438    SH          DEFINED       2             134,438
NATIONWIDE HEALTH PPTY        COM    638620104    6,729    353,000    SH          DEFINED       3             290,300       62,700
NAUTICA ENTERPRISES INC       COM    639089101      101      8,900    SH          DEFINED       2               8,900
NAVISTAR INTERNATIONAL        COM    63934E108      135      2,700    SH          DEFINED       1               2,700
NCH CORP.                     COM    628850109       30        600    SH          DEFINED       1                 600
NEOMAGIC CORP                 COM    640497103       64      6,400    SH          DEFINED       2               6,400
NEON SYS INC                  COM    640509105      553     10,200    SH          DEFINED       2              10,200
NETGRAVITY INC                COM    641114103    2,852     69,000    SH          DEFINED       2              69,000
NETWORK APPLIANCE INC         COM    64120L104    4,250     83,900    SH          DEFINED       2              83,900
NETWORK EQUIP TECHNOLOGIES    COM    641208103      286     32,000    SH          DEFINED       2              32,000
NETWORK SOLUTIONS INC         COM    64121q102   26,863    339,500    SH          DEFINED       3             324,100       15,400
NETWORK SOLUTIONS INC DEL     COM    64121Q102    3,976     37,600    SH          DEFINED       2              37,600
NETWORKS ASSOCIATES INC       COM    640938106      166     11,300    SH          DEFINED       1              11,300
NETWORKS ASSOCS INC           COM    640938106      199      6,500    SH          DEFINED       2               6,500
NEVADA POWER CO               COM    641423108      105      4,200    SH          DEFINED       1               4,200
NEVADA PWR CO                 COM    641423108    1,015     41,000    SH          DEFINED       2              41,000
NEW CENTURY ENERGIES          COM    64352U103      190      4,900    SH          DEFINED       1               4,900
NEW ENGLAND ELEC SYS          COM    644001109      281      5,600    SH          DEFINED       1               5,600
NEW JERSEY RES CORP           COM    646025106       64      1,800    SH          DEFINED       2               1,800
NEW PLAN EXCEL REALTY         COM    648053106   11,255    625,300    SH          DEFINED       3             513,400      111,900
NEW YORK TIMES                COM    650111107      283      7,700    SH          DEFINED       1               7,700
NEW YORK TIMES CO             COM    650111107       46      1,600    SH          DEFINED       2               1,600
NEWBRIDGE NETWORKS            COM    650901101    2,914    101,800    SH          DEFINED       1             101,800
NEWCOURT CR GROUP INC         COM    650905102      280     10,350    SH          DEFINED       2              10,350
NEWELL RUBBERMAID INC         COM    651229106      660     14,237    SH          DEFINED       1              14,237
NEWELL RUBBERMAID INC         COM    651229106    5,742    120,874    SH          DEFINED       2             120,874
NEWFIELD EXPL CO              COM    651290108      317     14,000    SH          DEFINED       2              14,000
NEWMONT MINING CORP           COM    651639106      122      6,133    SH          DEFINED       1               6,133
NEWPORT NEWS SHIPBUILDING     COM    652228107       74      2,500    SH          DEFINED       1               2,500
NEWS CORP LTD                 COM    652487802    1,185     43,100    SH          DEFINED       2              43,100
</TABLE>



                                 Page 31 of 49
<PAGE>   34

File Number 28-219 (Consolidated)
As of 6/30/99

<TABLE>
<CAPTION>
- -----------------------------------------------------------------------------------------------------------------------------------
                            TITLE OF  CUSIP       VALUE    SHRS OR SH/PRN  PUT/  INVESTMENT   OTHER         VOTING AUTHORITY
NAME OF ISSUER               CLASS               (X$1000)  PRN AMT         CALL  DISCRETION  MANAGERS  SOLE    SHARED       NONE
- -----------------------------------------------------------------------------------------------------------------------------------
<S>                         <C>     <C>         <C>      <C>       <C>     <C>   <C>         <C>       <C>  <C>             <C>
NEWS CORPORATION              COM    662075902       56      8,162   SH           DEFINED       2               8,162
NEWS CORPORATION              COM    688692003      101     13,685   SH           DEFINED       2              13,685
NEXTCARD INC                  COM    65332K107    6,631    195,400   SH           DEFINED       3             191,300        4,100
NEXTEL COMMUNICATIONS         COM    65332V103      527     10,500   SH           DEFINED       1              10,500
NEXTLINK COMMUNICATIONS
INC                           COM    65333H707      812     14,500   SH           DEFINED       2              14,500
NIAGARA MOHAWK HLDGS INC      COM    653520106    2,245    167,100   SH           DEFINED       2             167,100
NIAGARA MOHAWK HOLDINGS
INC                           COM    653520106       93      5,800   SH           DEFINED       1               5,800
NICOR INC                     COM    654086107       72      1,900   SH           DEFINED       1               1,900
NIELSEN MEDIA RESH INC        COM    653929307      788     31,933   SH           DEFINED       2              31,933
NIKE INC CL B                 COM    654106103    1,109     18,325   SH           DEFINED       2              18,325
NIKE INC.                     COM    654106103      729     11,500   SH           DEFINED       1              11,500
NIPPON TEL+TEL CP             COM    664137007      774         79   SH           DEFINED       2                  79
NISOURCE INC                  COM    65473P105      279     10,800   SH           DEFINED       1              10,800
NOBLE AFFILIATES INC          COM    654894104      132      4,700   SH           DEFINED       1               4,700
NOBLE DRILLING CORP           COM    655042109      222     11,300   SH           DEFINED       1              11,300
NOBLE DRILLING CORP           COM    655042109       55      3,200   SH           DEFINED       2               3,200
NOKIA CORP                    COM    654902204    8,009     55,475   SH           DEFINED       2              55,475
NOMURA SECURITIES             COM    664310000      199     19,000   SH           DEFINED       2              19,000
NORDSON CORP                  COM    655663102       98      1,600   SH           DEFINED       1               1,600
NORDSON CORP                  COM    655663102      279      5,000   SH           DEFINED       2               5,000
NORDSTROM INC.                COM    655664100      211      6,300   SH           DEFINED       1               6,300
NORFOLK AND SOUTHERN          COM    655844108      452     15,000   SH           DEFINED       1              15,000
NORFOLK SOUTHN CORP           COM    655844108    4,225    160,188   SH           DEFINED       2             160,188
NORTEL NETWORKS CORP          COM    656569100   25,294    291,360   SH           DEFINED       1             291,360
NORTH FORK BANCORPORATION     COM    659424105      278     13,000   SH           DEFINED       1              13,000
NORTH FORK BANCORPORATION
INC                           COM    659424105    1,208     57,200   SH           DEFINED       2              57,200
NORTHEAST UTILS               COM    664397106      198     11,100   SH           DEFINED       1              11,100
NORTHERN STATES POWER - MN    COM    665772109      135      5,600   SH           DEFINED       1               5,600
NORTHERN TELECOM LTD          COM    665815106    1,777     28,600   SH           DEFINED       2              28,600
NORTHERN TELECOM LTD          COM    665815106    8,977    108,500   SH           DEFINED       1             108,500
NORTHERN TELECOM LTD          COM    665815957      430      6,900   SH           DEFINED       2               6,900
NORTHERN TR CORP              COM    665859104      446      4,600   SH           DEFINED       1               4,600
NORTHROP GRUMMAN CORP         COM    666807102      139      2,100   SH           DEFINED       1               2,100
NORTHROP GRUMMAN CORP         COM    666807102       54        900   SH           DEFINED       2                 900
NORTHWAY FINANCIAL INC.       COM    667270102    1,249     45,010   SH           DEFINED       1              45,010
NORTHWEST NAT GAS CO          COM    667655104      893     40,800   SH           DEFINED       2              40,800
NORTHWEST NATURAL GAS CO.     COM    667655104      405     16,800   SH           DEFINED       1              16,800
NOVA CORP GA                  COM    669784100      457     17,400   SH           DEFINED       2              17,400
NOVA CORP GA                  COM    669784100   59,001  2,360,021   SH           DEFINED       3           2,279,315       80,706
NOVA CORP/GEORGIA             COM    669784100      145      5,800   SH           DEFINED       1               5,800
NOVARTIS AG                   COM    66987V109      479      5,900   SH           DEFINED       2               5,900
NOVELL INC                    COM    670006105    1,496     59,400   SH           DEFINED       2              59,400
NOVELL INC.                   COM    670006105      371     14,000   SH           DEFINED       1              14,000
NS GROUP INC                  COM    628916108      278     50,000   SH           DEFINED       2              50,000
NTL INC                       COM    629407107      195      2,400   SH           DEFINED       2               2,400
NUCOR CORP                    COM    670346105      171      3,600   SH           DEFINED       1               3,600
NUI CORP                      COM    629430109      125      5,800   SH           DEFINED       2               5,800
O CHARLEYS INC                COM    670823103    3,778    236,100   SH           DEFINED       3             236,100
OAK INDS INC                  COM    671400505      149      4,700   SH           DEFINED       2               4,700
OAK INDS INC                  COM    671400505   64,983  1,481,100   SH           DEFINED       3           1,443,200       37,900
</TABLE>



                                 Page 32 of 49
<PAGE>   35

File Number 28-219 (Consolidated)
As of 6/30/99

<TABLE>
<CAPTION>
- -----------------------------------------------------------------------------------------------------------------------------------
                            TITLE OF  CUSIP       VALUE    SHRS OR SH/PRN  PUT/  INVESTMENT   OTHER         VOTING AUTHORITY
NAME OF ISSUER               CLASS               (X$1000)  PRN AMT         CALL  DISCRETION  MANAGERS  SOLE    SHARED       NONE
- -----------------------------------------------------------------------------------------------------------------------------------
<S>                         <C>     <C>         <C>      <C>       <C>     <C>   <C>         <C>       <C>  <C>             <C>
OAKLEY INC                    COM    673662102    2,959    426,420   SH           DEFINED       2             426,420
OCCIDENTAL PETROLEUM          COM    674599105      277     13,100   SH           DEFINED       1              13,100
OCEAN ENERGY INC TEX          COM    67481E106       88     12,900   SH           DEFINED       2              12,900
OFFICE DEPOT INC              COM    676220106    3,198    108,471   SH           DEFINED       2             108,471
OFFICE DEPOT INCORPORATED     COM    676220106      710     32,200   SH           DEFINED       1              32,200
OFFICEMAX INC                 COM    67622M108      128     10,700   SH           DEFINED       1              10,700
OFFSHORE LOGISTICS INC        COM    676255102    1,793    154,200   SH           DEFINED       2             154,200
OGDEN CORP                    COM    676346109      105      3,900   SH           DEFINED       1               3,900
OGE ENERGY CORP.              COM    670837103      166      7,000   SH           DEFINED       1               7,000
OHIO CAS CORP                 COM    677240103       78      2,000   SH           DEFINED       2               2,000
OIL CO LUKOIL                 COM    677862104        3        120   SH           DEFINED       2                 120
OLD KENT FINANCIAL CORP       COM    679833103      426     10,185   SH           DEFINED       1              10,185
OLD REPUBLIC INTERNATIONAL
GROUP                         COM    680223104      216     12,500   SH           DEFINED       1              12,500
OLIN CORP                     COM    680665205       55      4,200   SH           DEFINED       1               4,200
OLSTEN CORP.                  COM    681385100       42      6,600   SH           DEFINED       1               6,600
OMNICARE INC                  COM    681904108       97      7,700   SH           DEFINED       1               7,700
OMNICARE INC                  COM    681904108      170      8,900   SH           DEFINED       2               8,900
OMNICARE INC                  COM    681904108      369     29,200   SH           DEFINED       3              29,200
OMNICOM GROUP                 COM    681919106    1,119     14,000   SH           DEFINED       2              14,000
OMNICOM GROUP INC             COM    681919106      496      6,200   SH           DEFINED       1               6,200
OMNIPOINT CORP                COM    68212D102      138      9,600   SH           DEFINED       2               9,600
OMNIQUIP INTL INC             COM    681969101       72      6,100   SH           DEFINED       2               6,100
ON ASSIGNMENT INC             COM    682159108      513     20,000   SH           DEFINED       2              20,000
ONEOK                         COM    682680103       25        800   SH           DEFINED       1                 800
ONHEALTH NETWORK CO           COM    68272W107      996     93,700   SH           DEFINED       3              93,700
ONYX SOFTWARE CORP            COM    683402101    1,163     29,700   SH           DEFINED       2              29,700
ORACLE CORP                   COM    68389X105       18        700   SH           DEFINED       2                 700
ORACLE SYSTEMS                COM    68389X105    2,119     57,075   SH           DEFINED       1              57,075
ORANGE                        COM    066149907      292     20,900   SH           DEFINED       2              20,900
ORBOTECH LTD                  COM    M75253100      399      8,100   SH           DEFINED       2               8,100
OREGON STL MLS INC            COM    686079104       27      2,000   SH           DEFINED       1               2,000
ORION CAP CORP                COM    686268103      247      7,900   SH           DEFINED       2               7,900
ORTHODONTIC CTRS AMER         COM    68750P103   18,700  1,323,900   SH           DEFINED       3           1,291,700       32,200
ORTHODONTIC CTRS AMER INC     COM    68750P103      394     25,000   SH           DEFINED       2              25,000
OSHKOSH TRUCK CORP            COM    688239201    3,298    102,000   SH           DEFINED       2             102,000
OUTBACK STEAKHOUSE            COM    689899102      543     13,800   SH           DEFINED       3              13,800
OUTBACK STEAKHOUSE INC        COM    689899102      242      6,150   SH           DEFINED       1               6,150
OUTBACK STEAKHOUSE INC        COM    689899102    3,443    105,300   SH           DEFINED       2             105,300
OUTDOOR SYS INC               COM    690057104    3,254    108,480   SH           DEFINED       2             108,480
OUTDOOR SYS INC               COM    690057104   99,230  2,718,639   SH           DEFINED       3           2,633,014       85,625
OVERSEAS SHIPHOLDING          COM    690368105       40      3,100   SH           DEFINED       1               3,100
OWENS CORNING                 COM    69073F103       69      2,000   SH           DEFINED       1               2,000
OWENS ILL INC                 COM    690768403      575     23,000   SH           DEFINED       2              23,000
OWENS-ILLINOIS INC            COM    690768403      173      5,300   SH           DEFINED       1               5,300
OXFORD HEALTH PLANS           COM    691471106      115      7,400   SH           DEFINED       1               7,400
P + O                         COM    068004001      278     19,040   SH           DEFINED       2              19,040
P G & E CORPORATION           COM    69331C108   13,410    413,400   SH           DEFINED       1             413,400
P P & L RESOURCES INC         COM    693499105      178      5,800   SH           DEFINED       1               5,800
PACCAR INC                    COM    693718108      144      2,700   SH           DEFINED       1               2,700
PACCAR INC COM                COM    693718108    7,344    137,600   SH           DEFINED       3             117,400       20,200
</TABLE>




                                 Page 33 of 49
<PAGE>   36

File Number 28-219 (Consolidated)
As of 6/30/99

<TABLE>
<CAPTION>
- -----------------------------------------------------------------------------------------------------------------------------------
                            TITLE OF  CUSIP       VALUE    SHRS OR SH/PRN  PUT/  INVESTMENT   OTHER         VOTING AUTHORITY
NAME OF ISSUER               CLASS               (X$1000)  PRN AMT         CALL  DISCRETION  MANAGERS  SOLE    SHARED       NONE
- -----------------------------------------------------------------------------------------------------------------------------------
<S>                         <C>     <C>         <C>      <C>       <C>     <C>   <C>         <C>       <C>  <C>             <C>
PACIFIC CENTURY FINL          COM    694058108      142      6,600   SH           DEFINED       1               6,600
PACIFIC GULF PPTYS INC        COM    694396102       63      3,500   SH           DEFINED       2               3,500
PACIFICARE HEALTH SYSTEMS
INC                           COM    695112102      245      3,404   SH           DEFINED       1               3,404
PACIFICORP                    COM    695114108      215     11,700   SH           DEFINED       1              11,700
PAINE WEBBER GROUP INC        COM    695629105      257      5,500   SH           DEFINED       1               5,500
PAINE WEBBER GROUP INC        COM    695629105    3,190     80,000   SH           DEFINED       2              80,000
PAINE WEBBER GROUP INC        COM    695629105      234      5,000   SH           DEFINED       3               5,000
PALL CORP                     COM    696429307      107      4,800   SH           DEFINED       1               4,800
PALL CORP                     COM    696429307      222     13,400   SH           DEFINED       2              13,400
PAN PACIFIC RETAIL            COM    69806L104    3,528    182,100   SH           DEFINED       3             150,000       32,100
PANAMERICAN BEVERAGES         COM    P74823108      207      8,700   SH           DEFINED       1               8,700
PANTRY INC COM                COM    698657103      790     49,000   SH           DEFINED       3              49,000
PAPA JOHNS INTL INC           COM    698813102      434      9,900   SH           DEFINED       2               9,900
PAPA JOHN'S INTL INC          COM    698813102      116      2,600   SH           DEFINED       1               2,600
PARAMETRIC TECHNOLOGY CORP    COM    699173100      146     10,500   SH           DEFINED       1              10,500
PARAMETRIC TECHNOLOGY CORP    COM    699173100    1,335     67,600   SH           DEFINED       2              67,600
PARK PLACE ENTERTAINMENT      COM    700690100       33      3,500   SH           DEFINED       1               3,500
PARKER HANNIFAN               COM    701094104      201      4,400   SH           DEFINED       1               4,400
PARKWAY PPTYS INC             COM    70159Q104      282     10,000   SH           DEFINED       2              10,000
PARMALAT FINANZ               COM    471440909      234    164,600   SH           DEFINED       2             164,600
PARTNERRE LTD                 COM    G6852T105       45      1,100   SH           DEFINED       2               1,100
PAYCHEX INC                   COM    704326107      271      8,500   SH           DEFINED       1               8,500
PAYCHEX INC                   COM    704326107    1,921     40,500   SH           DEFINED       2              40,500
PAYCHEX INC                   COM    704326107   56,216  1,763,648   SH           DEFINED       3           1,699,649       63,999
PAYLESS SHOESOURCE INC        COM    704379106      632     13,600   SH           DEFINED       2              13,600
PAYLESS SHOESOURCE INC.       COM    704379106      187      3,500   SH           DEFINED       1               3,500
PE CORP-PE BIOSYTEMS          COM    69332S102      218      1,900   SH           DEFINED       1               1,900
PECO ENERGY CO                COM    693304107      327      7,800   SH           DEFINED       1               7,800
PECO ENERGY CO                COM    693304107    5,550    120,000   SH           DEFINED       2             120,000
PENNCORP FINANCIAL GROUP      COM    708094107       12      7,225   SH           DEFINED       1               7,225
PENNEY J C INC                COM    708160106    1,458     36,000   SH           DEFINED       2              36,000
PENSKE MOTORSPORTS INC        COM    709598106    1,114     31,600   SH           DEFINED       2              31,600
PENTAIR INC                   COM    709631105      257      7,600   SH           DEFINED       2               7,600
PENTAIR, INC                  COM    709631105      151      3,300   SH           DEFINED       1               3,300
PENZOIL-QUAKER STATE CO       COM    709323109      105      6,999   SH           DEFINED       1               6,999
PEOPLES ENERGY CORP           COM    711030106      452     14,000   SH           DEFINED       2              14,000
PEOPLE'S ENERGY CORP.         COM    711030106       53      1,400   SH           DEFINED       1               1,400
PEOPLES HERITAGE FINL GROUP   COM    711147108    1,101     61,400   SH           DEFINED       2              61,400
PEOPLESOFT INC                COM    712713106      174     10,100   SH           DEFINED       1              10,100
PEP BOYS MANNY MOE & JAC      COM    713278109       50      2,400   SH           DEFINED       1               2,400
PEPSI BOTTLING GROUP INC      COM    713409100    2,190    101,000   SH           DEFINED       2             101,000
PEPSICO INC.                  COM    713448108   11,711    302,700   SH           DEFINED       1             302,700
PEPSI-GEMEX S.A.- GDR         COM    713435105    1,132    124,100   SH           DEFINED       1             124,100
PERRIGO CO                    COM    714290103       50      6,600   SH           DEFINED       1               6,600
PERRIGO CO                    COM    714290103      433     59,700   SH           DEFINED       2              59,700
PERVASIVE SOFTWARE INC        COM    715710109   13,661    549,200   SH           DEFINED       3             549,200
PETROL BRASILEIROS            COM    268453008      102    737,000   SH           DEFINED       2             737,000
PETROLEUM GEO SVCS AS         COM    716597109      688     45,100   SH           DEFINED       2              45,100
PETSMART INC                  COM    716768106      590     73,800   SH           DEFINED       2              73,800
PETSMART INC                  COM    716768106    9,370    914,100   SH           DEFINED       3             914,100
</TABLE>


                                 Page 34 of 49
<PAGE>   37

File Number 28-219 (Consolidated)
As of 6/30/99

<TABLE>
<CAPTION>
- -----------------------------------------------------------------------------------------------------------------------------------
                            TITLE OF  CUSIP       VALUE    SHRS OR SH/PRN  PUT/  INVESTMENT   OTHER         VOTING AUTHORITY
NAME OF ISSUER               CLASS               (X$1000)  PRN AMT         CALL  DISCRETION  MANAGERS  SOLE    SHARED       NONE
- -----------------------------------------------------------------------------------------------------------------------------------
<S>                         <C>     <C>         <C>      <C>       <C>     <C>   <C>         <C>       <C>  <C>             <C>
PETSMART INC SB NT CV
6.75%04                       CVT    716768ab2      513    400,000   SH           DEFINED       3             400,000
PFF BANCORP INC               COM    69331W104      175     10,000   SH           DEFINED       2              10,000
PFIZER                        COM    717081103    6,262     57,450   SH           DEFINED       1              57,450
PFIZER INC                    COM    717081103   30,456    230,365   SH           DEFINED       2             230,365
PG+E CORP                     COM    69331C108      311     10,000   SH           DEFINED       2              10,000
PHARMACIA & UPJOHN INC        COM    716941109    1,613     28,400   SH           DEFINED       1              28,400
PHARMACIA + UPJOHN INC        COM    716941109    4,965     79,600   SH           DEFINED       2              79,600
PHELPS DODGE CORP.            COM    717265102   14,500    234,100   SH           DEFINED       1             234,100
PHILADELPHIA CONSOLIDATED
HLDG CO                       COM    717528103    1,898     81,232   SH           DEFINED       1              81,232
PHILIP MORRIS                 COM    718154107   25,748    640,700   SH           DEFINED       1             640,700
PHILIP MORRIS COS INC         COM    718154107   14,368    408,313   SH           DEFINED       2             408,313
PHILLIPS PETROLEUM            COM    718507106    5,051    100,400   SH           DEFINED       1             100,400
PIER 1 IMPORTS INC            COM    720279108      403     49,600   SH           DEFINED       2              49,600
PINNACLE SYS INC              COM    723481107      209      4,600   SH           DEFINED       2               4,600
PINNACLE WEST CAP CORP        COM    723484101      302      7,500   SH           DEFINED       1               7,500
PINNACLE WEST CAP CORP        COM    723484101      247      6,800   SH           DEFINED       2               6,800
PIONEER HI BRED INTNL INC     COM    723686101      370      9,500   SH           DEFINED       1               9,500
PIONEER NATURAL RESOURCES CO  COM    723787107      101      9,200   SH           DEFINED       1               9,200
PITNEY BOWES                  COM    724479100      752     11,700   SH           DEFINED       1              11,700
PITTSTON BRINKS GROUP         COM    725701106      251     10,700   SH           DEFINED       2              10,700
PITTSTON BRINK'S GROUP        COM    725701106       94      3,500   SH           DEFINED       1               3,500
PITTSTON CO                   COM    725701882       61      8,800   SH           DEFINED       2               8,800
PITTWAY CORP DEL              COM    725790208      792     29,900   SH           DEFINED       2              29,900
PIXAR                         COM    725811103      310      8,000   SH           DEFINED       2               8,000
PIXAR COM                     COM    725811103    2,450     56,800   SH           DEFINED       3              56,800
PJ AMER INC COM               COM    72585Q104    3,581    169,000   SH           DEFINED       3             169,000
PLACER DOME INC               COM    725906101      114      9,700   SH           DEFINED       1               9,700
PLATINUM TECHNOLOGY INTL INC  COM    72764T101      213      8,400   SH           DEFINED       2               8,400
PLEXUS CORP                   COM    729132100      141      5,000   SH           DEFINED       2               5,000
PLX TECHNOLOGY INC            COM    693417107    3,553     75,000   SH           DEFINED       3              75,000
PMC SIERRA INC                COM    69344F106      363      5,100   SH           DEFINED       2               5,100
PMI GROUP INC                 COM    69344M101      201      3,200   SH           DEFINED       1               3,200
PNC FINANCIAL CORP            COM    693475105      749     13,000   SH           DEFINED       1              13,000
POGO PRODUCING CO             COM    730448107   18,137    973,800   SH           DEFINED       3             953,600       20,200
POLARIS INDS INC              COM    731068102      178      5,600   SH           DEFINED       2               5,600
POLAROID CORP                 COM    731095105       50      1,800   SH           DEFINED       1               1,800
POLICY MANAGEMENT SYSTEMS     COM    731108106       96      3,200   SH           DEFINED       1               3,200
POLICY MGMT SYS CORP          COM    731108106      815     26,600   SH           DEFINED       2              26,600
POLO RALPH LAUREN CORP        COM    731572103      332     16,700   SH           DEFINED       2              16,700
POST PPTYS INC                COM    737464107   10,480    255,600   SH           DEFINED       3             212,500       43,100
POST PROPERTIES INC           COM    737464107    4,141    101,000   SH           DEFINED       1             101,000
POTLATCH CORP                 COM    737628107       44       1000   SH           DEFINED       1               1,000
POTLATCH CORP                 COM    737628107      367     10,800   SH           DEFINED       2              10,800
POTOMAC ELEC PWR CO           COM    737679100      303     10,300   SH           DEFINED       1              10,300
POWER INTERIGATIONS INC       COM    739276103       50        678   SH           DEFINED       1                 678
PPG INDUSTRIES INC            COM    693506107      443      7,500   SH           DEFINED       1               7,500
PPT VISION INC                COM    693519100      125     26,000   SH           DEFINED       2              26,000
PRAXAIR INC                   COM    74005P104   15,738    321,600   SH           DEFINED       1             321,600
PRAXAIR INC                   COM    74005P104      902     25,000   SH           DEFINED       2              25,000
PRECISION CASTPARTS CORP      COM    740189105       85      2,000   SH           DEFINED       1               2,000
</TABLE>



                                 Page 35 of 49
<PAGE>   38

File Number 28-219 (Consolidated)
As of 6/30/99

<TABLE>
<CAPTION>
- -----------------------------------------------------------------------------------------------------------------------------------
                            TITLE OF  CUSIP       VALUE    SHRS OR SH/PRN  PUT/  INVESTMENT   OTHER         VOTING AUTHORITY
NAME OF ISSUER               CLASS               (X$1000)  PRN AMT         CALL  DISCRETION  MANAGERS  SOLE   SHARED       NONE
- -----------------------------------------------------------------------------------------------------------------------------------
<S>                         <C>     <C>         <C>      <C>       <C>     <C>   <C>          <C>      <C>  <C>            <C>
PRECISION CASTPARTS CORP      COM     740189105      153          3,800     SH    DEFINED       2               3,800
PREMARK INTERNATIONAL,
INC.                          COM     740459102      191          5,100     SH    DEFINED       1               5,100
PREMIER PKS INC               COM     740540208    2,395         64,300     SH    DEFINED       2              64,300
PRENTISS PPTYS TR             COM     740706106    1,254         53,100     SH    DEFINED       3              53,100
PRESIDENTIAL LIFE CORP        COM     740884101       81          4,500     SH    DEFINED       2               4,500
PRICE T ROWE & ASSOCIA        COM     741477103      418         10,900     SH    DEFINED       1              10,900
PRICELINE COM INC             COM     741503106      124          1,500     SH    DEFINED       2               1,500
PRIME HOSPITALITY CORP        COM     741917108       95          9,600     SH    DEFINED       2               9,600
PROCTER + GAMBLE CO           COM     742718109    1,175         12,000     SH    DEFINED       2              12,000
PROCTER AND GAMBLE            COM     742718109   28,560        320,000     SH    DEFINED       1             320,000
PROFESSIONAL DETAILING        COM     74312N107    4,531        192,800     SH    DEFINED       3             192,800
PROFESSIONAL DETAILING
INC                           COM     74312N107      524         20,000     SH    DEFINED       2              20,000
PROFIT RECOVERY GROUP         COM     743168106   57,873      1,223,200     SH    DEFINED       3           1,201,300       21,900
PROGRESSIVE CORP OHIO         COM     743315103    2,597         18,100     SH    DEFINED       2              18,100
PROGRESSIVE CORP.             COM     743315103      467          3,220     SH    DEFINED       1               3,220
PROLOGIS TR SH BEN INT        COM     743410102   25,947      1,281,340     SH    DEFINED       3           1,054,510      226,830
PROMUS HOTEL CORP             COM     74342P106      216          6,962     SH    DEFINED       1               6,962
PROMUS HOTEL CORP NEW         COM     74342P106      524         14,400     SH    DEFINED       2              14,400
PROTECTION ONE INC            COM     743663304      237         38,000     SH    DEFINED       2              38,000
PROTECTIVE LIFE CORP          COM     743674103    1,011         26,700     SH    DEFINED       2              26,700
PROTECTIVE LIFE CORP.         COM     743674103    2,356         69,300     SH    DEFINED       1              69,300
PROVIDENT COMPANIES INC       COM     743862104      216          5,400     SH    DEFINED       1               5,400
PROVIDENT COS INC             COM     743862104       17            500     SH    DEFINED       2                 500
PROVIDENT FINANCIAL GROUP     COM     743866105      162          3,700     SH    DEFINED       1               3,700
PROVIDIAN FINANCIAL CORP      COM     74406A102    1,445         15,500     SH    DEFINED       1              15,500
PROVIDIAN FINL CORP           COM     74406A102    7,194         65,400     SH    DEFINED       2              65,400
PROVIDIAN FINL CORP           COM     74406A102    5,026         53,900     SH    DEFINED       3              42,700       11,200
PSS WORLD MEDICAL INC         COM     69366A100       66          5,900     SH    DEFINED       1               5,900
PT INDOSAT (PERSERO) TBK      COM     715680104      351         18,000     SH    DEFINED       1              18,000
PUBLIC SERVICE ENTERPRISE
GP                            COM     744573106      380          9,300     SH    DEFINED       1               9,300
PUBLIC STORAGE INC            COM     74460D109      152          6,100     SH    DEFINED       2               6,100
PUBLIC STORAGE INC            COM     74460D109   16,395        585,522     SH    DEFINED       3             483,696      101,826
PUBLIC SVC CO N MEX           COM     744499104       72          3,600     SH    DEFINED       1               3,600
PUBLIC SVC CO NM              COM     744499104       78          4,600     SH    DEFINED       2               4,600
PUBLISHING + BROADCASTING
LTD                           COM     663708006      114         20,000     SH    DEFINED       2              20,000
PUGET SOUND PWR & LT C        COM     745332106      173          7,200     SH    DEFINED       1               7,200
PULITZER INC                  COM     745769109       81          2,000     SH    DEFINED       2               2,000
PULTE CORP                    COM     745867101       39          1,700     SH    DEFINED       1               1,700
QRS CORP                      COM     74726X105    1,058         17,000     SH    DEFINED       2              17,000
QUAKER OATS                   COM     747402105      345          5,200     SH    DEFINED       1               5,200
QUALCOMM INC                  COM     747525103    1,808         12,600     SH    DEFINED       1              12,600
QUALCOMM INC                  COM     747525103    1,031          8,300     SH    DEFINED       2               8,300
QUANTUM 7% 8/1/04             CVT     747906AC9      279          3,000     SH    DEFINED       1               3,000
QUANTUM CORP                  COM     747906105      692         38,500     SH    DEFINED       2              38,500
QUANTUM CORP.                 COM     747906105      372         15,400     SH    DEFINED       1              15,400
QUEBECOR                      COM     747922210    1,345         61,850     SH    DEFINED       1              61,850
QUESTAR CORP                  COM     748356102      604         31,600     SH    DEFINED       1              31,600
QUINTILES TRANSNATIONAL
CORP                          COM     748767100      407          9,700     SH    DEFINED       1               9,700
QUORUM HEALTH GROUP INC       COM     749084109       77          6,100     SH    DEFINED       1               6,100
QUORUM HEALTH GROUP INC       COM     749084109       36          3,600     SH    DEFINED       2               3,600
</TABLE>



                                 Page 36 of 49
<PAGE>   39

File Number 28-219 (Consolidated)
As of 6/30/99

<TABLE>
<CAPTION>
- -----------------------------------------------------------------------------------------------------------------------------------
                            TITLE OF  CUSIP       VALUE    SHRS OR SH/PRN  PUT/  INVESTMENT   OTHER         VOTING AUTHORITY
NAME OF ISSUER               CLASS               (X$1000)  PRN AMT         CALL  DISCRETION  MANAGERS  SOLE   SHARED        NONE
- -----------------------------------------------------------------------------------------------------------------------------------
<S>                         <C>     <C>         <C>      <C>       <C>     <C>   <C>         <C>       <C>  <C>             <C>
QWEST COMMUNICATIONS INTL
INC                           COM    749121109    4,060     56,324   SH           DEFINED       2              56,324
R R DONNELLEY & SONS          COM    257867101      215      5,800   SH           DEFINED       1               5,800
R.P.M. INC OHIO               COM    749685103      362     27,200   SH           DEFINED       2              27,200
RADIAN GROUP INC              COM    750236101   13,497    276,500   SH           DEFINED       3             269,800        6,700
RALCORP HLDGS INC NEW         COM    751028101      251     13,200   SH           DEFINED       2              13,200
RALSTON PURINA CO             COM    751277401      770     17,100   SH           DEFINED       2              17,100
RALSTON PURINA CO             COM    751277302      336     12,600   SH           DEFINED       2              12,600
RALSTON PURINA GROUP          COM    751277302      374     12,300   SH           DEFINED       1              12,300
RANBAXY LABORATORIES-GRD      COM    747204230    1,210     73,350   SH           DEFINED       1              73,350
RANGER OIL LTD                COM    752805101       57     11,500   SH           DEFINED       1              11,500
RAO GAZPROM                   COM    753317205       11      1,080   SH           DEFINED       2               1,080
RATIONAL SOFTWARE CORP        COM    75409P202      247      7,500   SH           DEFINED       1               7,500
RATIONAL SOFTWARE CORP        COM    75409P202      681     25,700   SH           DEFINED       2              25,700
RAYCHEM CORP.                 COM    754603108      133      3,600   SH           DEFINED       1               3,600
RAYMOND JAMES FINANCIAL
INC                           COM    754730109    1,325     67,100   SH           DEFINED       2              67,100
RAYONIER INC                  COM    754907103      125      2,500   SH           DEFINED       1               2,500
RAYTHEON CO                   COM    755111408      586     10,000   SH           DEFINED       2              10,000
RAYTHEON CO                   COM    755111309      982     17,000   SH           DEFINED       2              17,000
RAYTHEON COMPANY CLASS - B    COM    755111408      881     12,500   SH           DEFINED       1              12,500
RCM TECHNOLOGIES INC          COM    749360400    1,691    153,700   SH           DEFINED       2             153,700
READERS DIGEST ASSN-
CLASS A                       COM    755267101    1,157     29,100   SH           DEFINED       1              29,100
REAL NETWORKS INC             COM    75605L104    2,969     24,300   SH           DEFINED       2              24,300
RECKSON ASSOCS RLTY           COM    75621K106    5,954    252,700   SH           DEFINED       3             215,000       37,700
RECKSON ASSOCS RLTY CORP      COM    75621K106       80      3,900   SH           DEFINED       2               3,900
REEBOK INTL LTD               COM    758110100       47      2,500   SH           DEFINED       1               2,500
REEBOK INTL LTD               COM    758110100      416     26,200   SH           DEFINED       2              26,200
REGAL BELOIT CORP             COM    758750103      130      7,200   SH           DEFINED       2               7,200
REGENCY RLTY CORP             COM    758939102       39      2,100   SH           DEFINED       2               2,100
REGENCY RLTY CORP COM         COM    758939102    9,731    443,600   SH           DEFINED       3             364,200       79,400
REGIONS FINL CORP             COM    758940100      327      8,500   SH           DEFINED       1               8,500
REGIS CORP MINN COM           COM    758932107   19,951  1,039,800   SH           DEFINED       3           1,022,400       17,400
REINSURANCE GROUP AMER INC    COM    759351109      702     16,500   SH           DEFINED       2              16,500
REINSURANCE GROUP OF
AMERICA                       COM    759351208      930     27,450   SH           DEFINED       2              27,450
RELIANCE GROUP HLDGS INC      COM    759464100      329     43,500   SH           DEFINED       2              43,500
RELIANT ENERGY INC.           COM    75952J108      341     12,326   SH           DEFINED       1              12,326
RELIASTAR FINANCIAL CORP      COM    75952U103      333      7,600   SH           DEFINED       1               7,600
RELIASTAR FINL CORP           COM    75952U103      124      2,900   SH           DEFINED       2               2,900
RENAISSANCE RE HOLDINGS LTD   COM    G7496G103    1,084     25,000   SH           DEFINED       1              25,000
RENAISSANCE WORLDWIDE INC     COM    75968A109       71     11,400   SH           DEFINED       2              11,400
REPUBLIC NEW YORK             COM    760719104      334      4,900   SH           DEFINED       1               4,900
RESTORATION HARDWARE INC
DEL                           COM    760981100      357     16,300   SH           DEFINED       2              16,300
REYNOLDS & REYNOLDS           COM    761695105      163      7,000   SH           DEFINED       1               7,000
REYNOLDS + REYNOLDS CO        COM    761695105      201     10,600   SH           DEFINED       2              10,600
REYNOLDS METALS               COM    761763101      142      2,400   SH           DEFINED       1               2,400
RICHFOOD HLDGS INC            COM    763408101      304     14,100   SH           DEFINED       2              14,100
RITCHIE BROS AUCTIONEERS INC  COM    767744105      573     17,000   SH           DEFINED       2              17,000
RITE AID CORP                 COM    767754104      266     10,800   SH           DEFINED       1              10,800
RITE AID CORP                 COM    767754104    1,050     42,000   SH           DEFINED       2              42,000
RIVERVIEW BANCORP INC         COM    769397100      238     20,000   SH           DEFINED       2              20,000
RJ REYNOLDS TOBACCO HOLDINGS  COM    76182K105      153      4,833   SH           DEFINED       1               4,833
</TABLE>




                                 Page 37 of 49
<PAGE>   40

File Number 28-219 (Consolidated)
As of 6/30/99

<TABLE>
<CAPTION>
- -----------------------------------------------------------------------------------------------------------------------------------
                            TITLE OF  CUSIP       VALUE    SHRS OR SH/PRN  PUT/  INVESTMENT   OTHER         VOTING AUTHORITY
NAME OF ISSUER               CLASS               (X$1000)  PRN AMT         CALL  DISCRETION  MANAGERS  SOLE    SHARED        NONE
- -----------------------------------------------------------------------------------------------------------------------------------
<S>                         <C>     <C>         <C>      <C>        <C>     <C>   <C>          <C>     <C>   <C>           <C>
ROBERT HALF INTERNATIONAL
INC                           COM    770323103      197      7,650   SH           DEFINED       1               7,650
ROBERT HALF INTL INC          COM    770323103    9,283    282,900   SH           DEFINED       2             282,900
ROBERTS PHARMACEUTICAL CORP   COM    770491108       77      3,700   SH           DEFINED       2               3,700
ROCKWELL INTL CORP            COM    773903109      510      8,400   SH           DEFINED       1               8,400
ROGERS COMMUNICATIONS INC     COM    775109200    1,437     94,200   SH           DEFINED       1              94,200
ROGERS COMMUNICATIONS INC     COM    775109200      185     10,200   SH           DEFINED       2              10,200
ROGERS COMMUNICATIONS INC     COM    775109960      298     16,400   SH           DEFINED       2              16,400
ROHM & HAAS CO                COM    775371107      401      9,354   SH           DEFINED       1               9,354
ROLLINS INC                   COM    775711104       48      3,000   SH           DEFINED       1               3,000
ROMAC INTL INC                COM    775835101      194     22,800   SH           DEFINED       2              22,800
ROPER INDS                    COM    776696106      167      7,000   SH           DEFINED       2               7,000
ROSS STORES INC               COM    778296103      207      4,100   SH           DEFINED       1               4,100
ROSS STORES INC COM           COM    778296103   43,907    871,600   SH           DEFINED       3             851,600       20,000
ROUSE CO                      COM    779273101      555     25,000   SH           DEFINED       2              25,000
ROUSE CO                      COM    779273309       15        400   SH           DEFINED       2                 400
ROUSE CO                      COM    779273101      142      6,400   SH           DEFINED       2               6,400
ROUSE CO COM                  COM    779273101   17,592    693,300   SH           DEFINED       3             567,600      125,700
ROWAN COS. INC.               COM    779382100       57      3,100   SH           DEFINED       1               3,100
ROWECOM INC                   COM    77957X108       48      1,100   SH           DEFINED       2               1,100
ROYAL BK CDA MONTREAL QUE     COM    780087953       30        640   SH           DEFINED       2                 640
ROYAL CARIBBEAN CRUISES LTD   COM    V7780T103      480     12,300   SH           DEFINED       2              12,300
ROYAL DUTCH PETE CO           COM    780257804   12,417    238,785   SH           DEFINED       2             238,785
ROYAL DUTCH PETRO-NY SHRS     COM    780257804    5,037     83,600   SH           DEFINED       1              83,600
RPM INC OHIO                  COM    749685103      133      9,400   SH           DEFINED       1               9,400
RSL COMMUNICATIONS LTD        COM    G7702U102      592     16,500   SH           DEFINED       2              16,500
RUDDICK CORP                  COM    781258108       82      4,100   SH           DEFINED       1               4,100
RUSSELL CORP                  COM    782352108       29      1,500   SH           DEFINED       1               1,500
RYANS FAMILY STEAK HOUSES
INC                           COM    783519101      166     13,800   SH           DEFINED       2              13,800
RYDER SYS INC                 COM    783549108       91      3,300   SH           DEFINED       2               3,300
RYDER SYSTEMS INC             COM    783549108       72      2,800   SH           DEFINED       1               2,800
RYERSON TULL INC              COM    78375P107       43      1,900   SH           DEFINED       1               1,900
SAFECO CORP                   COM    786429100      278      6,300   SH           DEFINED       1               6,300
SAFEGUARD SCIENTIFICS INC     COM    786449108      739     10,900   SH           DEFINED       2              10,900
SAFEWAY INC NEW               COM    786514208      936     18,900   SH           DEFINED       1              18,900
SAKS INC                      COM    79377W108      850     32,700   SH           DEFINED       2              32,700
SAKS INCORPORATED             COM    79377W108      375     13,000   SH           DEFINED       1              13,000
SAN JUAN BASIN RTY TR         COM    798241105      729     89,690   SH           DEFINED       3              89,690
SANMINA CORPORATION           COM    800907107      372      4,900   SH           DEFINED       1               4,900
SANTA FE INTERNATIONAL CORP   COM    G7805C108       73      3,900   SH           DEFINED       2               3,900
SANTA FE SNYDER CORPORATION   COM    80218K105      117     14,600   SH           DEFINED       1              14,600
SAP AKTIENGESELLSCHAFT        COM    803054204      705     26,800   SH           DEFINED       2              26,800
SAPIENT CORP                  COM    803062108      328      4,600   SH           DEFINED       2               4,600
SARA LEE CORP                 COM    803111103      819     36,100   SH           DEFINED       1              36,100
SARA LEE CORP                 COM    803111103      755     30,500   SH           DEFINED       2              30,500
SAVILLE SYS PLC               COM    805174109    1,701    139,100   SH           DEFINED       2             139,100
SBA COMMUNICATIONS CRP        COM    78388J106    1,405    145,000   SH           DEFINED       3             145,000
SBARRO INC                    COM    805844107       49      1,800   SH           DEFINED       1               1,800
SBARRO INC                    COM    805844107    1,720     64,900   SH           DEFINED       2              64,900
SBC COMMUNICATIONS INC        COM    78387G103   26,628    459,108   SH           DEFINED       1             459,108
SBC COMMUNICATIONS INC        COM    78387G103    1,659     35,200   SH           DEFINED       2              35,200
</TABLE>


                                 Page 38 of 49
<PAGE>   41

File Number 28-219 (Consolidated)
As of 6/30/99

<TABLE>
<CAPTION>
- -----------------------------------------------------------------------------------------------------------------------------------
                            TITLE OF  CUSIP       VALUE    SHRS OR SH/PRN  PUT/  INVESTMENT   OTHER         VOTING AUTHORITY
NAME OF ISSUER               CLASS               (X$1000)  PRN AMT         CALL  DISCRETION  MANAGERS  SOLE    SHARED       NONE
- -----------------------------------------------------------------------------------------------------------------------------------
<S>                          <C>     <C>        <C>      <C>       <C>    <C>   <C>           <C>    <C>    <C>             <C>
SCANA CORP                    COM    805898103      117      5,400   SH           DEFINED       2               5,400
SCANNA CORP                   COM    805898103      215      9,200   SH           DEFINED       1               9,200
SCHERING PLOUGH               COM    806605101    8,366    540,300   SH           DEFINED       1             540,300
SCHERING PLOUGH CORP          COM    806605101    7,477    316,060   SH           DEFINED       2             316,060
SCHLUMBERGER                  COM    806857108    8,390    288,750   SH           DEFINED       1             288,750
SCHLUMBERGER                  COM    806857108    6,514    107,940   SH           DEFINED       2             107,940
SCHOLASTIC CORP               COM    807066105      655     13,400   SH           DEFINED       2              13,400
SCHOLASTIC CORPORATION        COM    807066105       71      1,400   SH           DEFINED       1               1,400
SCHULMAN A INC                COM    808194104      471     34,700   SH           DEFINED       2              34,700
SCHWAB (CHARLES) CORP         COM    808513105    1,684     15,450   SH           DEFINED       1              15,450
SCHWAB CHARLES CORP           COM    808513105    1,132     11,775   SH           DEFINED       2              11,775
SCHWEITZER MAUDUIT
INTL INC                      COM    808541106      115     10,000   SH           DEFINED       2              10,000
SCI SYS INC                   COM    783890106       86      2,900   SH           DEFINED       2               2,900
SCI SYSTEMS INC               COM    783890106      237      5,000   SH           DEFINED       1               5,000
SCIENTIFIC ATLANTA INC        COM    808655104      104      2,900   SH           DEFINED       1               2,900
SCIENTIFIC ATLANTA INC        COM    808655104    5,900    163,900   SH           DEFINED       3             133,300       30,600
SCOTSMAN INDS INC             COM    809340102       67      3,900   SH           DEFINED       2               3,900
SDL INC COM                   COM    784076101    9,727    778,000   SH           DEFINED       3             762,600       15,400
SEAGATE TECHNOLOGY            COM    811804103      246      9,600   SH           DEFINED       1               9,600
SEAGATE TECHNOLOGY            COM    811804103      591     20,000   SH           DEFINED       2              20,000
SEAGRAM COMPANY LTD           COM    811850106    5,885    121,400   SH           DEFINED       1             121,400
SEALED AIR CORP NEW           COM    81211K100    1,013     20,600   SH           DEFINED       2              20,600
SEALED AIR CORP.  (new)       COM    81211K100      172      2,657   SH           DEFINED       1               2,657
SEARS ROEBUCK + CO            COM    812387108      375      8,300   SH           DEFINED       2               8,300
SEARS, ROEBUCK                COM    812387108    6,551    371,400   SH           DEFINED       1             371,400
SELECTIVE INS GROUP INC       COM    816300107       95      5,400   SH           DEFINED       2               5,400
SEMPRA ENERGY                 COM    816851109      193      8,552   SH           DEFINED       1               8,552
SENSORMATIC ELECTRONICS
CORP                          COM    817265101       91      6,500   SH           DEFINED       1               6,500
SEPRACOR INC                  COM    817315104      211      2,600   SH           DEFINED       1               2,600
SEPRACOR INC                  COM    817315104    4,469     39,835   SH           DEFINED       2              39,835
SEQUA CORP - CL A             COM    817320104       49        700   SH           DEFINED       1                 700
SEQUENT COMPUTER SYS INC      COM    817338106       37      4,100   SH           DEFINED       2               4,100
SEQUENT COMPUTER SYS.         COM    817338106       55      3,100   SH           DEFINED       1               3,100
SERVICE CORP INTERNATIONAL    COM    817565104      191      9,900   SH           DEFINED       1               9,900
SFX ENTMT INC                 COM    784178105      646     10,000   SH           DEFINED       2              10,000
SFX ENTMT INC CL A            COM    784178105    1,507    117,300   SH           DEFINED       3           1,078,900       38,400
SHARED MEDI CAL SYSTEM        COM    819486101    1,014     18,200   SH           DEFINED       2              18,200
SHARED MEDICAL SYSTEMS        COM    819486101       65       1000   SH           DEFINED       1               1,000
SHAW INDUSTRIES INC.          COM    820286102      210     12,000   SH           DEFINED       1              12,000
SHELL TRANS + TRADING PLC     COM    822703609      532     13,100   SH           DEFINED       2              13,100
SHELL TRNSPT+TRDG             COM    080341001      706    105,000   SH           DEFINED       2             105,000
SHERWIN-WILLIAMS              COM    824348106      183      6,600   SH           DEFINED       1               6,600
SHIRE PHARMACEUTICALS
GROUP PL                      COM    82481R106       98      4,300   SH           DEFINED       2               4,300
SHOPKO STORES INC             COM    824911101      442     14,800   SH           DEFINED       2              14,800
SIEBEL SYS INC                COM    826170102    1,425     30,000   SH           DEFINED       2              30,000
SIEBEL SYSTEMS INC            COM    826170102      491      7,400   SH           DEFINED       1               7,400
SIERRA HEALTH SVCS INC        COM    826322109      262     20,150   SH           DEFINED       2              20,150
SIERRA PAC RES                COM    826425100      194      5,500   SH           DEFINED       2               5,500
SIGMA-ALDRICH                 COM    826552101      138      4,000   SH           DEFINED       1               4,000
SILICON GRAPHICS 5.25
09/04                         CVT    827056AC6      354      4,000   SH           DEFINED       1               4,000
</TABLE>


                                 Page 39 of 49
<PAGE>   42

File Number 28-219 (Consolidated)
As of 6/30/99

<TABLE>
<CAPTION>
- -----------------------------------------------------------------------------------------------------------------------------------
                            TITLE OF  CUSIP       VALUE    SHRS OR SH/PRN  PUT/  INVESTMENT   OTHER         VOTING AUTHORITY
NAME OF ISSUER               CLASS               (X$1000)  PRN AMT         CALL  DISCRETION  MANAGERS  SOLE    SHARED       NONE
- -----------------------------------------------------------------------------------------------------------------------------------
<S>                         <C>     <C>         <C>      <C>       <C>     <C>   <C>         <C>       <C>    <C>          <C>
SILICON GRAPHICS, INC.        COM    827056102      113      6,900   SH           DEFINED       1               6,900
SILICON VY GROUP INC          COM    827066101       66      5,400   SH           DEFINED       2               5,400
SIMON PPTY GROUP NEW          COM    828806109   23,950    904,550   SH           DEFINED       3             746,250      158,300
SK TELECOM CO LTD - ADR       COM    78440P108   3,0169    186,208   SH           DEFINED       1             186,208
SKY FINL GROUP INC COM        COM    83080P103    1,172     43,000   SH           DEFINED       3              43,000
SL GREEN REALTY CORP          COM    78440X101   11,269    551,400   SH           DEFINED       3             455,000       96,400
SLM HLDG CORP                 COM    78442A109    1,870     44,800   SH           DEFINED       2              44,800
SMITH (DS) HLDGS              COM    082201906       32     18,000   SH           DEFINED       2              18,000
SMITH CORONA                  COM    831858204      957        785   SH           DEFINED       1                 785
SMITH INTERNATIONAL INC.      COM    832110100      152      3,500   SH           DEFINED       1               3,500
SMITH INTL INC                COM    832110100    5,224    130,600   SH           DEFINED       2             130,600
SMITHKLINE BEECHAM P L C      COM    832378301    2,200     30,775   SH           DEFINED       2              30,775
SNAP-ON INC.                  COM    833034101      127      3,500   SH           DEFINED       1               3,500
SNYDER COMMUNICATIONS INC     COM    832914105      206      6,300   SH           DEFINED       1               6,300
SNYDER COMMUNICATIONS INC     COM    832914105    1,787     64,100   SH           DEFINED       2              64,100
SOC QUIMICA Y MINERA          COM    833635105    1,809     51,130   SH           DEFINED       1              51,130
SOC. GENERALE                 COM    481775005      486      2,526   SH           DEFINED       2               2,526
SODEXHO ALLIANCE              COM    481830008      303      1,848   SH           DEFINED       2               1,848
SODEXHO MARIOTT SERVICES      COM    833793102      159      8,272   SH           DEFINED       1               8,272
SODEXHO MARRIOTT SVCS INC     COM    833793102      154      7,000   SH           DEFINED       2               7,000
SOLA INTL INC                 COM    834092108      434     36,000   SH           DEFINED       2              36,000
SOLECTRON CORP                COM    834182107      600      9,000   SH           DEFINED       1               9,000
SOLECTRON CORP                COM    834182107      777     16,000   SH           DEFINED       2              16,000
SOLUTIA INC                   COM    834376105      205      9,600   SH           DEFINED       1                9,600
SOLUTIA INC                   COM    834376105       26      1,485   SH           DEFINED       2               1,485
SONAT INC                     COM    835415100        3        100   SH           DEFINED       2                 100
SONAT INC.                    COM    835415100      123      3,700   SH           DEFINED       1               3,700
SONIC AUTOMOTIVE INC CL A     COM    83545G102   18,641    355,700   SH           DEFINED       3            ,336,300       19,400
SONOCO PRODS CO               COM    835495102      260      8,690   SH           DEFINED       1               8,690
SOTHEBYS HLDGS INC            COM    835898107    2,500     77,000   SH           DEFINED       2              77,000
SOTHEBY'S HOLDINGS            COM    835898107      183      4,800   SH           DEFINED       1               4,800
SOUTHDOWN INC                 COM    841297104      212      3,300   SH           DEFINED       1               3,300
SOUTHERN CO                   COM    842587107      729     27,500   SH           DEFINED       1              27,500
SOUTHERN CO                   COM    842587107      140      6,000   SH           DEFINED       2               6,000
SOUTHERN PERU COPPER CORP     COM    843611104      188     13,000   SH           DEFINED       1              13,000
SOUTHTRUST CORP               COM    844730101      276      7,200   SH           DEFINED       1               7,200
SOUTHTRUST CORP               COM    844730101      119      3,200   SH           DEFINED       2               3,200
SOUTHWEST AIRLINES            COM    844741108      405     13,025   SH           DEFINED       1              13,025
SOUTHWEST AIRLS CO            COM    844741108      377     12,450   SH           DEFINED       2              12,450
SOUTHWEST BANCORPORATION TEX  COM    84476R109       59      4,800   SH           DEFINED       2               4,800
SOVEREIGN BANCORP INC         COM    845905108      177     14,600   SH           DEFINED       1              14,600
SPARTECH CORP COM NEW         COM    847220209    9,402    297,300   SH           DEFINED       3             288,200        9,100
SPEEDFAM IPEC INC             COM    847705100      240     20,000   SH           DEFINED       2              20,000
SPEEDWAY MOTORSPORTS          COM    847788106   16,751    426,100   SH           DEFINED       3             406,700       19,400
SPEEDWAY MOTORSPORTSINC       COM    847788106    1,159     28,100   SH           DEFINED       2              28,100
SPIEGEL INC                   COM    848457107      122     20,000   SH           DEFINED       2              20,000
SPIEKER PPTYS INC COM         COM    848497103    6,714    172,700   SH           DEFINED       3             143,300       29,400
SPLASH TECHNOLOGY HLDGS INC   COM    848623104      194     32,000   SH           DEFINED       2              32,000
SPORTS AUTH INC               COM    849176102       25      3,400   SH           DEFINED       2               3,400
SPRINGS INDUSTRIES INC - CL A COM    851783100       31        700   SH           DEFINED       1                 700
</TABLE>

                                 Page 40 of 49

<PAGE>   43

File Number 28-219 (Consolidated)
As of 6/30/99

<TABLE>
<CAPTION>
- -----------------------------------------------------------------------------------------------------------------------------------
                            TITLE OF  CUSIP       VALUE    SHRS OR SH/PRN  PUT/  INVESTMENT   OTHER         VOTING AUTHORITY
NAME OF ISSUER               CLASS               (X$1000)  PRN AMT         CALL  DISCRETION  MANAGERS  SOLE    SHARED       NONE
- -----------------------------------------------------------------------------------------------------------------------------------
<S>                         <C>     <C>         <C>      <C>       <C>    <C>   <C>           <C>      <C>  <C>             <C>
SPRINT                       COM    852061100      1,800    32,600   SH           DEFINED       1              32,600
SPRINT CORP                  COM    852061506      8,018   180,937   SH           DEFINED       2             180,937
SPRINT PCS GROUP             COM    852061506        972    17,050   SH           DEFINED       1              17,050
SPT TELECOM AS - GDR         COM    852110105        356    22,000   SH           DEFINED       1              22,000
SPX CORP                     COM    784635104        225     2,700   SH           DEFINED       1               2,700
SPYGLASS INC                 COM    852192103      1,208   134,100   SH           DEFINED       2             134,100
ST JUDE MEDICAL INC          COM    790849103        110     3,100   SH           DEFINED       1               3,100
ST PAUL BANCORP INC          COM    792848103        281    13,000   SH           DEFINED       2              13,000
ST PAUL BANCORP INC COM      COM    792848103     14,415   565,300   SH           DEFINED       3             554,300        11,000
ST. PAUL COS INC.            COM    792860108        287     9,000   SH           DEFINED       1               9,000
STANDARD REGISTER CO         COM    854402104        590    38,400   SH           DEFINED       2              38,400
STANLEY WORKS                COM    854616109        348    10,800   SH           DEFINED       1              10,800
STANLEY WORKS                COM    854616109         72     2,800   SH           DEFINED       2               2,800
STAPLES INC                  COM    855030102        540    17,450   SH           DEFINED       1              17,450
STAR CHOICE COMMUNICATIONS
WARRANT                      COM    854921111        255   254,760   SH           DEFINED       1             254,760
STAR CITY HLDGS              COM    686871906         29    28,600   SH           DEFINED       2              28,600
STARBUCKS CORP               COM    855244109        586    15,600   SH           DEFINED       1              15,600
STARBUCKS CORP               COM    855244109        800   300,000   SH           DEFINED       2             300,000
STARBUCKS CORP COM           COM    855244109      1,096 1,096,400   SH           DEFINED       3           1,057,800         38,600
STARWOOD HOTELS & RESORTS    COM    85590A203        109   108,900   SH           DEFINED       3              88,400         20,500
STATE STREET CORP            COM    857477103        572     6,700   SH           DEFINED       1               6,700
STATE STREET CORPORATION     COM    857477103      1,907    23,200   SH           DEFINED       2              23,200
STATEN IS BANCORP INC        COM    857550107        101     5,900   SH           DEFINED       2               5,900
STEINER LEISURE LIMITED      COM    P8744Y102      1,887    61,450   SH           DEFINED       2              61,450
STEINWAY MUSICAL COMMON      COM    858495104     47,730 1,801,131   SH           DEFINED       2           1,801,131
STERIS CORP                  COM    859152100        114     5,900   SH           DEFINED       1               5,900
STERIS CORP                  COM    859152100        397    14,900   SH           DEFINED       2              14,900
STERLING BANCSHARES INC      COM    858907108         34     3,300   SH           DEFINED       2               3,300
STERLING COMM INC            COM    859205106        753    24,500   SH           DEFINED       2              24,500
STERLING COMMERCE INC        COM    859205106        308     8,400   SH           DEFINED       1               8,400
STERLING SOFTWARE INC        COM    859547101        172     6,500   SH           DEFINED       1               6,500
STERLING SOFTWARE INC.       COM    859547101      1,207    50,800   SH           DEFINED       2              50,800
STEWART & STEVE              COM    860342104         44     2,900   SH           DEFINED       1               2,900
STEWART + STEVENSON SVCS
INC                          COM    860342104        173    23,000   SH           DEFINED       2              23,000
STEWART ENETERPRISES INC -
CL A                         COM    860370105        143     9,800   SH           DEFINED       1               9,800
STONE ENERGY CORP            COM    861642106      1,979    46,700   SH           DEFINED       3              46,700
STORAGE TECHNOLOGY CORP.     COM    862111200        193     8,500   SH           DEFINED       1               8,500
STORAGE USA                  COM    861907103      7,552   236,000   SH           DEFINED       3             193,200         42,800
STORAGE USA INC              COM    861907103      2,560    80,000   SH           DEFINED       1              80,000
STRIDE RITE CORP             COM    863314100        254    20,700   SH           DEFINED       2              20,700
STRUCTURAL DYNAMICS
RESEARCH                     COM    863555108         54     2,900   SH           DEFINED       1               2,900
STRUCTURAL DYNAMICS RESH
CORP                         COM    863555108        139     7,400   SH           DEFINED       2               7,400
STRYKER CORP                 COM    863667101        499     8,300   SH           DEFINED       1               8,300
STRYKER CORP                 COM    863667101        257    15,000   SH           DEFINED       2              15,000
STUDENT LN CORP              COM    863902102         67     1,800   SH           DEFINED       2               1,800
STUDENT LOAN MARKETING       COM    78442A109        243     5,300   SH           DEFINED       1               5,300
SUIZA FOODS CORP             COM    865077101        139     3,200   SH           DEFINED       1               3,200
SUIZA FOODS CORP             COM    865077101        595    17,700   SH           DEFINED       2              17,700
SUMMIT BANCORP               COM    866005101      9,617   246,600   SH           DEFINED       2             246,600
</TABLE>



















                                 Page 41 of 49
<PAGE>   44

File Number 28-219 (Consolidated)
As of 6/30/99

<TABLE>
<CAPTION>
- -----------------------------------------------------------------------------------------------------------------------------------
                            TITLE OF  CUSIP       VALUE    SHRS OR SH/PRN  PUT/  INVESTMENT   OTHER         VOTING AUTHORITY
NAME OF ISSUER               CLASS               (X$1000)  PRN AMT         CALL  DISCRETION  MANAGERS  SOLE    SHARED       NONE
- -----------------------------------------------------------------------------------------------------------------------------------
<S>                         <C>     <C>         <C>      <C>       <C>     <C>   <C>         <C>       <C>  <C>             <C>
SUMMIT BANCORPORATION         COM    866005101       289     6,900   SH           DEFINED       1               6,900
SUMMIT PPTYS INC              COM    866239106       444    26,600   SH           DEFINED       2              26,600
SUN COMMUNITIES INC           COM    866674104     1,129    31,800   SH           DEFINED       3              31,800
SUN INTL HOTELS LTD           COM    P8797T133        17       385   SH           DEFINED       2                 385
SUN MICROSYSTEMS              COM    866810104     2,052    29,800   SH           DEFINED       1              29,800
SUN MICROSYSTEMS INC          COM    866810104     8,750    70,000   SH           DEFINED       2              70,000
SUNGARD DATA SYS INC          COM    867363103       768    11,700   SH           DEFINED       2              11,700
SUNGARD DATA SYS INC          COM    867363103     8,931 2,577,696   SH           DEFINED       3           2,487,296       90,400
SUNGARD DATA SYSTEMS INC.     COM    867363103       331     9,600   SH           DEFINED       1               9,600
SUNGLASS HUT INTL INC         COM    86736F106     2,205   210,000   SH           DEFINED       2             210,000
SUNGLASS HUT INTL INC         COM    86736F106       564    52,100   SH           DEFINED       2              52,100
SUNGLASS HUT INTL INC         COM    86736F106        30     1,720   SH           DEFINED       2               1,720
SUNOCO INC                    COM    86764P109        78     2,600   SH           DEFINED       1               2,600
SUNRISE ASSISTED LIVING INC   COM    86768K106     3,983    87,500   SH           DEFINED       2              87,500
SUNRISE MED INC               COM    867910101        55     8,800   SH           DEFINED       2               8,800
SUNTERRA CORP                 COM    86787D109       418    42,900   SH           DEFINED       2              42,900
SUNTRUST BANKS INC.           COM    867914103       777    11,200   SH           DEFINED       1              11,200
SUNTRUST BKS INC              COM    867914103       342     5,500   SH           DEFINED       2               5,500
SUPER VALU STORES             COM    868536103       111     4,300   SH           DEFINED       1               4,300
SUPERIOR CONSULT HLDG         COM    868146101     4,247   577,100   SH           DEFINED       3             554,900       22,200
SUPERIOR INDS INTL INC        COM    868168105        66     2,400   SH           DEFINED       1               2,400
SUPERIOR INDS INTL INC        COM    868168105       346    14,900   SH           DEFINED       2              14,900
SWIFT TRANSN CO               COM    870756103     2,073 1,003,325   SH           DEFINED       3             977,900       25,425
SWIFT TRANSN INC              COM    870756103       528    20,900   SH           DEFINED       2              20,900
SYBRON CORP                   COM    87114F106       254     9,200   SH           DEFINED       1               9,200
SYBRON INTL CORP WISCONSIN    COM    87114F106       485    18,600   SH           DEFINED       2              18,600
SYKES ENTERPRISES INC         COM    871237103     6,344   489,700   SH           DEFINED       3             479,500       10,200
SYLVAN LEARNING SYS           COM    871399101     2,624 1,935,600   SH           DEFINED       3           1,895,750       39,850
SYLVAN LEARNING SYS INC       COM    871399101     1,668    61,000   SH           DEFINED       2              61,000
SYLVAN LEARNING SYSTEMS INC   COM    871399101       125     4,600   SH           DEFINED       1               4,600
SYMANTEC CORP                 COM    871503108       188    11,100   SH           DEFINED       2              11,100
SYMANTEC CORPORATION          COM    871503108       117     4,600   SH           DEFINED       1               4,600
SYMBOL TECHNOLOGIES IN        COM    871508107       274     7,425   SH           DEFINED       1               7,425
SYNOPSYS INC                  COM    871607107       293     5,300   SH           DEFINED       1               5,300
SYNOPSYS INC                  COM    871607107       784    14,600   SH           DEFINED       2              14,600
SYNOVUS FINANCIAL CORPORATIO  COM    87161C105       195     9,800   SH           DEFINED       1               9,800
SYSCO CORP.                   COM    871829107     1,193    40,000   SH           DEFINED       1              40,000
SYSTEMS + COMPUTER TECHNOLOG  COM    871873105        19    19,300   SH           DEFINED       2              19,300
TAIWAN FUND                   COM    874036106       519    25,000   SH           DEFINED       1              25,000
TALBOTS INC                   COM    874161102        95     3,900   SH           DEFINED       2               3,900
TANDY CORP                    COM    875382103     1,546    25,800   SH           DEFINED       2              25,800
TANDY CORP COM                COM    875382103     8,920   387,100   SH           DEFINED       3             346,300       40,800
TANDY CORP.                   COM    875382103       440     9,000   SH           DEFINED       1               9,000
TAUBMAN CTRS INC COM          COM    876664103     3,331   252,600   SH           DEFINED       3             208,600       44,000
TCA CABLE TV INC              COM    872241104       699    16,100   SH           DEFINED       2              16,100
TCA CABLE TV INC.             COM    872241104       233     4,200   SH           DEFINED       1               4,200
TCF FINANCIAL CORP.           COM    872275102       212     7,600   SH           DEFINED       1               7,600
TDK CORP                      COM    686930009       405     5,000   SH           DEFINED       2               5,000P
TECH DATA CORP                COM    878237106       157     4,100   SH           DEFINED       1               4,100
TECO ENERGY                   COM    872375100       259    11,400   SH           DEFINED       1              11,400
</TABLE>


                                 Page 42 of 49
<PAGE>   45

File Number 28-219 (Consolidated)
As of 6/30/99
<TABLE>
<CAPTION>
- -----------------------------------------------------------------------------------------------------------------------------------
                            TITLE OF  CUSIP       VALUE    SHRS OR SH/PRN  PUT/  INVESTMENT   OTHER         VOTING AUTHORITY
NAME OF ISSUER               CLASS               (X$1000)  PRN AMT         CALL  DISCRETION  MANAGERS  SOLE    SHARED       NONE
- -----------------------------------------------------------------------------------------------------------------------------------
<S>                         <C>     <C>         <C>      <C>       <C>    <C>   <C>           <C>      <C>  <C>             <C>
TECUMSEH PRODS CO            COM    878895200        97      1,600   SH           DEFINED       1               1,600
TEEKAY SHIPPING CORP         COM    V89564104        76      4,600   SH           DEFINED       2               4,600
TEKTRONIX INC                COM    879131100        56      1,850   SH           DEFINED       1               1,850
TELE NORTE LESTE
PARTICIPACOES S.A. A         COM    879246106       117      6,300   SH           DEFINED       1               6,300
TELEBRAS ADR PFD BLOCK       COM    879287308     3,202     37,200   SH           DEFINED       1              37,200
TELECOMUNICACOES
BRASILEIRAS                  COM    879287308       666      8,256   SH           DEFINED       2               8,256
TELEFLEX INC                 COM    879369106       135      3,100   SH           DEFINED       1               3,100
TELEFLEX INC                 COM    879369106       337      9,900   SH           DEFINED       2               9,900
TELEFONICA DE ARGENTINA ADR  COM    879378206     2,027     65,250   SH           DEFINED       1              65,250
TELEFONICA DE ARGENTINA S A  COM    879378206        81      2,690   SH           DEFINED       2               2,690
TELEFONICA DEL PERU ADR      COM    879384105       842     57,700   SH           DEFINED       1              57,700
TELEFONOS DE MEXICO S A      COM    879403780       364      5,550   SH           DEFINED       2               5,550
TELEKOMUNIKACJA POLSKA-GDR   COM    87943D207       477     68,000   SH           DEFINED       1              68,000
TELEPHONE & DATA
SYSTEMS, INC.                COM    879433100       358      4,900   SH           DEFINED       1               4,900
TELESP CELULAR SA            COM    224695908        10    275,000   SH           DEFINED       2             275,000
TELESP PARTICIPACOES SA-ADR  COM    87952K100       816     38,500   SH           DEFINED       1              38,500
TELESP TEL SAO PAU           COM    288254006        35    287,924   SH           DEFINED       2             287,924
TELEWEST COMMS               COM    065445900       269     62,200   SH           DEFINED       2              62,200
TELLABS                      COM    879664100     1,013     15,000   SH           DEFINED       1              15,000
TELLABS INC                  COM    879664100       704      7,200   SH           DEFINED       2               7,200
TELMEX ADS - TELEFONOS DE
MEXICO CL L                  COM    879403780     5,779     76,770   SH           DEFINED       1              76,770
TEMPLE-INLAND                COM    879868107       144      2,100   SH           DEFINED       1               2,100
TENET HEALTHCARE CORP        COM    88033G100     1,379     72,800   SH           DEFINED       2              72,800
TENET HEALTHCARE CORP.       COM    88033G100       219     11,800   SH           DEFINED       1              11,800
TENNECO INC NEW              COM    88037E101       698     25,000   SH           DEFINED       2              25,000
TENNECO(NEW)                 COM    88037E101       167      7,000   SH           DEFINED       1               7,000
TERADYNE INC                 COM    880770102       382      7,000   SH           DEFINED       2               7,000
TERADYNE INC.                COM    880770102     4,111     57,300   SH           DEFINED       1              57,300
TESCO                        COM    088470000       196     74,000   SH           DEFINED       2              74,000
TESORO PETE CORP             COM    881609101       116     10,500   SH           DEFINED       2              10,500
TETRA TECH INC NEW           COM    88162G103       427     20,200   SH           DEFINED       2              20,200
TETRA TECH INC NEW COM       COM    88162G103    33,066  2,003,991   SH           DEFINED       3           1,961,956        42,035
TEVA PHARMACEUTICAL
INDS ADR                     COM    881624209     1,061     22,400   SH           DEFINED       2              22,400
TEXACO INC                   COM    881694103     2,207     38,390   SH           DEFINED       2              38,390
TEXACO INC.                  COM    881694103     1,617     25,928   SH           DEFINED       1              25,928
TEXAS INDS INC               COM    882491103        65      2,600   SH           DEFINED       2               2,600
TEXAS INSTRS INC             COM    882508104    26,410    266,100   SH           DEFINED       2             266,100
TEXAS INSTRS INC             COM    882508104     2,881     20,010   SH           DEFINED       3              20,010
TEXAS INSTRUMENTS INC        COM    882508104     2,203     15,300   SH           DEFINED       1              15,300
TEXAS UTILITIES CO           COM    882848104       417     10,052   SH           DEFINED       1              10,052
TEXAS UTILS CO               COM    882848104     1,668     40,000   SH           DEFINED       2              40,000
TEXTRON INC                  COM    883203101       560      6,800   SH           DEFINED       1               6,800
THERMADYNE CORP COMMON       COM    883434201        58     80,000   SH           DEFINED       1              80,000
THERMO ELECTRON              COM    883556102       130      6,500   SH           DEFINED       1               6,500
THOMAS & BETTS CORP          COM    884315102        85      1,800   SH           DEFINED       1               1,800
TICKETMASTER ONLINE
CITYSEARCH                   COM    88633P203     2,989     88,900   SH           DEFINED       2              88,900
TIDEWATER INC.               COM    886423102       165      5,400   SH           DEFINED       1               5,400
TIFFANY & CO.                COM    886547108       280      2,900   SH           DEFINED       1               2,900
TIME WARNER INC              COM    887315109    30,083    423,078   SH           DEFINED       2             423,078
TIME WARNER INC.             COM    887315109    28,364    390,550   SH           DEFINED       1             390,550
</TABLE>







                                 Page 43 of 49
<PAGE>   46

File Number 28-219 (Consolidated)
As of 6/30/99

<TABLE>
<CAPTION>
- -----------------------------------------------------------------------------------------------------------------------------------
                            TITLE OF  CUSIP       VALUE    SHRS OR SH/PRN  PUT/  INVESTMENT   OTHER         VOTING AUTHORITY
NAME OF ISSUER               CLASS               (X$1000)  PRN AMT         CALL  DISCRETION  MANAGERS  SOLE    SHARED       NONE
- -----------------------------------------------------------------------------------------------------------------------------------
<S>                         <C>     <C>         <C>      <C>       <C>    <C>   <C>           <C>      <C>  <C>            <C>
TIMES MIRROR CO              COM    887364107       225      3,800   SH           DEFINED       1                3,800
TIMKEN CO.                   COM    887389104        41      2,100   SH           DEFINED       1                2,100
TJX COMPANIES INC. NEW       COM    872540109       386     11,600   SH           DEFINED       1               11,600
TMP WORLDWIDE INC COM        COM    872941109    22,041    347,100   SH           DEFINED       3              339,700      7,400
TOKIO MARINE +FIRE           COM    689476000        68      6,000   SH           DEFINED       2                6,000
TOKYO ELECTRON               COM    689567006       207      4,000   SH           DEFINED       2                4,000
TOLL BROS INC                COM    889478103       237     13,100   SH           DEFINED       2               13,100
TOMKINS                      COM    089626006       236     64,000   SH           DEFINED       2               64,000
TOPPAN PRINTING CO           COM    689702009       131     10,000   SH           DEFINED       2               10,000
TORCHMARK CORP               COM    891027104       229      6,700   SH           DEFINED       1                6,700
TORO CO                      COM    891092108        91      2,900   SH           DEFINED       2                2,900
TORONTO DOMINION BANK        COM    891160509     5,916    134,350   SH           DEFINED       1              134,350
TOSCO CORP                   COM    891490302       345     13,300   SH           DEFINED       1               13,300
TOSCO CORP                   COM    891490302       819     33,000   SH           DEFINED       2               33,000
TOTAL RENAL CARE HLDGS INC   COM    89151A107        95      8,600   SH           DEFINED       2                8,600
TOTAL RENAL CARE HOLDINGS    COM    89151A107       103      6,600   SH           DEFINED       1                6,600
TOWER AUTOMOTIVE INC         COM    891707101       205     11,000   SH           DEFINED       2               11,000
TOYS R US                    COM    892335100       230     11,100   SH           DEFINED       1               11,100
TRANS WORLD AIRLINES, INC    COM    893349837        12      2,649   SH           DEFINED       1                2,649
TRANSACTION SYS ARCHIT       COM    893416107    62,927  1,613,500   SH           DEFINED       3            1,557,000     56,500
TRANSACTION SYS ARCHITECTS
INC                          COM    893416107     1,274     35,400   SH           DEFINED       2               35,400
TRANSAMERICA                 COM    893485102       443      5,900   SH           DEFINED       1                5,900
TRANSAMERICA CORP            COM    893485102       383      5,400   SH           DEFINED       2                5,400
TRANSATLANTIC HLDGS INC      COM    893521104     1,973     26,300   SH           DEFINED       2               26,300
TRANSATLANTIC HOLDINGS INC   COM    893521104 1,472,936 19,655,520   SH           DEFINED       1           19,655,520
TRANSMONTAIGNE INC           COM    893934109    16,432  1,308,000   SH           DEFINED       3            1,283,500     24,500
TRANSOCEAN OFFSHORE INC      COM    G90076103       231      8,800   SH           DEFINED       1                8,800
TRANSOCEAN OFFSHORE INC      COM    893817106     1,570     54,500   SH           DEFINED       2               54,500
TRANSPORTADOR GAS SUR-SP ADR COM    893870204       730     77,900   SH           DEFINED       1               77,900
TRANSWITCH CORP              COM    894065101    17,766    375,000   SH           DEFINED       3              367,300      7,700
TRAVEL SVCS INTL INC         COM    894169101       681     64,900   SH           DEFINED       2               64,900
TRIAD HOSPITAL INC           COM    89379K109         0          9   SH           DEFINED       2                    9
TRIAD HOSPITALS INC W/I      COM    89579K109         0          1   SH           DEFINED       1                    1
TRIBUNE CO                   COM    896047107       401      4,600   SH           DEFINED       1                4,600
TRIBUNE CO NEW               COM    896047107       386      5,900   SH           DEFINED       2                5,900
TRICON GLOBAL RESTAURANTS,
INC.                         COM    895953107       334      6,170   SH           DEFINED       1                6,170
TRIGON HEALTHCARE            COM    89618L100    30,271    832,200   SH           DEFINED       3              812,100     20,100
TRIGON HEALTHCARE INC        COM    89618L100       131      3,600   SH           DEFINED       1                3,600
TRIMERIS INC                 COM    896263100       988     68,153   SH           DEFINED       1               68,153
TRINET CORP RLTY TR INC      COM    896287109       109      4,300   SH           DEFINED       2                4,300
TRINITY INDUSTRIES           COM    896522109       121      3,600   SH           DEFINED       1                3,600
TRIZEC HAHN CORP             COM    896938107     3,482    170,900   SH           DEFINED       3              136,800     34,100
TRW INC                      COM    872649108       274      5,000   SH           DEFINED       1                5,000
TUBOS DE ACERO DE MEX-SP ADR COM    898592506       384     35,300   SH           DEFINED       1               35,300
TUPPERWARE CORP              COM    899896104        66      2,600   SH           DEFINED       1                2,600
TV AZTECA S A DE C V         COM    901145102        13      2,100   SH           DEFINED       2                2,100
TV AZTECA S.A. DE C.V. -
ADR                          COM    901145102     1,021    196,900   SH           DEFINED       1              196,900
TV GUIDE INC                 COM    87307Q109       757     20,600   SH           DEFINED       2               20,600
TWENTIETH CENTURY IND.       COM    901272203   988,744 53,445,620   SH           DEFINED       1           53,445,620
TWENTIETH CENTURY IND.       COM    901272203        80      4,900   SH           DEFINED       2                4,900
</TABLE>


                                 Page 44 of 49
<PAGE>   47
File Number 28-219 (Consolidated)
As of 6/30/99

<TABLE>
<CAPTION>
- -----------------------------------------------------------------------------------------------------------------------------------
                            TITLE OF  CUSIP       VALUE    SHRS OR SH/PRN  PUT/  INVESTMENT   OTHER         VOTING AUTHORITY
NAME OF ISSUER               CLASS               (X$1000)  PRN AMT         CALL  DISCRETION  MANAGERS  SOLE    SHARED       NONE
- -----------------------------------------------------------------------------------------------------------------------------------
<S>                         <C>     <C>         <C>      <C>       <C>    <C>   <C>           <C>      <C>  <C>             <C>
TYCO INTERNATIONAL LTD.      COM    902124106    29,091    307,032   SH           DEFINED       1             307,032
TYCO INTL LTD NEW            COM    902124106     3,057     42,600   SH           DEFINED       2              42,600
TYSON FOODS                  COM    902494103       448     19,900   SH           DEFINED       1              19,900
U S FOODSERVICE              COM    90331R101       698     15,000   SH           DEFINED       2              15,000
U S RESTAURANT PPTYS         COM    902971100     3,685    173,400   SH           DEFINED       3             143,000        30,400
U.S VISION INC               COM    90339M104        43     10,000   SH           DEFINED       2              10,000
U.S. BANCORP                 COM    902973106       982     29,420   SH           DEFINED       1              29,420
U.S. FOODSERVICE             COM    90331R101       153      3,600   SH           DEFINED       1               3,600
U.S. WEST INC                COM    91273H101       203      3,463   SH           DEFINED       1               3,463
UAL CORP                     COM    902549500       635      8,165   SH           DEFINED       2               8,165
UCAR INTERNATIONAL INC       COM    90262K109        96      3,800   SH           DEFINED       1               3,800
UGLY DUCKLING HLDGS INC
COMMON                       COM    903512101         1    137,644   SH           DEFINED       2             137,644
ULTRAMAR DIAMOND SHAMROCK    COM    904000106       161      7,399   SH           DEFINED       1               7,399
UMB FINL CORP                COM    902788108       743     19,300   SH           DEFINED       2              19,300
UNIBANCO UNIAO DE BARNCOS
BRAS                         COM    90458E107        19      1,000   SH           DEFINED       2               1,000
UNICOM CORP                  COM    904911104     1,002     27,400   SH           DEFINED       2              27,400
UNICOM CORPORATION           COM    904911104       320      8,300   SH           DEFINED       1               8,300
UNIFI INC                    COM    904677101       117      5,500   SH           DEFINED       1               5,500
UNIFIED ENERGY SYSTEMS GDR   COM    904688207       398     45,500   SH           DEFINED       1              45,500
UNILEVER N V                 COM    904784709     1,600     22,946   SH           DEFINED       1              22,946
UNION CAMP CORP              COM    905530101         7        100   SH           DEFINED       2                 100
UNION CARBIDE                COM    905581104       239      4,900   SH           DEFINED       1               4,900
UNION PACIFIC CORP.          COM    907818108     3,749     64,284   SH           DEFINED       1              64,284
UNION PACIFIC RES GROUP INC  COM    907834105       390     32,800   SH           DEFINED       2              32,800
UNION PACIFIC RESOURCES GRP  COM    907834105       916     56,178   SH           DEFINED       1              56,178
UNION PLANTERS CORP          COM    908068109       223      5,000   SH           DEFINED       1               5,000
UNIPHASE CORP                COM    909149106     2,639     23,000   SH           DEFINED       2              23,000
UNISOURCE WORLDWIDE INC      COM    909208100        72     10,100   SH           DEFINED       2              10,100
UNISYS CORP.                 COM    909214108       323      8,300   SH           DEFINED       1               8,300
UNITED DOMINION IND.         COM    909914103     2,318     84,765   SH           DEFINED       1              84,765
UNITED DOMINION RLTY TR INC  COM    910197102        19      1,900   SH           DEFINED       2               1,900
UNITED HEALTHCARE CORP       COM    910581107       772     14,025   SH           DEFINED       2              14,025
UNITED HEALTHCARE CORP.      COM    910581107       451      7,200   SH           DEFINED       1               7,200
UNITED PARK CITY MINES       COM    911315208     4,970    154,094   SH           DEFINED       1             154,094
UNITED RENTALS INC           COM    911363109     2,068     72,578   SH           DEFINED       2              72,578
UNITED TECHNOLOGIES CORP     COM    913017109    19,966    277,305   SH           DEFINED       1             277,305
UNITED TECHNOLOGIES CORP     COM    913017109     7,449     55,000   SH           DEFINED       2              55,000
UNITRIN INC                  COM    913275103       117      3,800   SH           DEFINED       2               3,800
UNIVERSAL CORP VA            COM    913456109        85      3,000   SH           DEFINED       1               3,000
UNIVERSAL CORP VA            COM    913456109       281     11,000   SH           DEFINED       2              11,000
UNIVERSAL FOODS              COM    913538104        80      3,800   SH           DEFINED       1               3,800
UNIVISION COMMUNICATIONS
CL A                         COM    914906102       507      7,800   SH           DEFINED       1               7,800
UNIVISION COMMUNICATIONS
INC                          COM    914906102    10,325    206,500   SH           DEFINED       2             206,500
UNOCAL CAP TR                COM    91528T207     1,666     31,000   SH           DEFINED       2              31,000
UNOCAL CORP                  COM    915289102       384      9,700   SH           DEFINED       1               9,700
UNOCAL CORP                  COM    915289102       442     12,000   SH           DEFINED       2              12,000
UNUM CORP                    COM    903192102     1,455     30,600   SH           DEFINED       2              30,600
UNUMPROVIDENT                COM    903192102   114,367  2,088,900   SH           DEFINED       1           2,088,900
URBAN SHOPPING CTRS          COM    917060105     4,202    133,400   SH           DEFINED       3             109,200        24,200
US AIRWAYS GROUP, INC.       COM    911905107       122      2,800   SH           DEFINED       1               2,800
</TABLE>

                                 Page 45 of 49
<PAGE>   48

File Number 28-219 (Consolidated)
As of 6/30/99

<TABLE>
<CAPTION>
- -----------------------------------------------------------------------------------------------------------------------------------
                            TITLE OF  CUSIP       VALUE    SHRS OR SH/PRN  PUT/  INVESTMENT   OTHER         VOTING AUTHORITY
NAME OF ISSUER               CLASS               (X$1000)  PRN AMT         CALL  DISCRETION  MANAGERS  SOLE       SHARED       NONE
- -----------------------------------------------------------------------------------------------------------------------------------
<S>                         <C>     <C>         <C>      <C>       <C>    <C>   <C>           <C>      <C>  <C>             <C>
US BANCORP DEL               COM    902973106     1,175     34,500   SH           DEFINED       2              34,500
US WEST INC                  COM    91273H101       916     15,589   SH           DEFINED       1              15,589
USA NETWORKS INC             COM    902984103     8,621    214,864   SH           DEFINED       1             214,864
USA NETWORKS INC             COM    902984103     2,849     79,600   SH           DEFINED       2              79,600
USG CORP                     COM    903293405       246      4,400   SH           DEFINED       1               4,400
UST INC                      COM    902911106       202      6,900   SH           DEFINED       1               6,900
UST INC                      COM    902911106     4,133    158,222   SH           DEFINED       2             158,222
USWEB CORP                   COM    917327108     7,429    180,200   SH           DEFINED       2             180,200
USWEB CORP COM               COM    917327108    25,416  1,145,500   SH           DEFINED       3           1,120,200         25,300
USX MARATHON GROUP           COM    902905827       245      8,900   SH           DEFINED       2               8,900
USX U S STL GROUP            COM    90337T101       392     16,700   SH           DEFINED       2              16,700
USX/MARATHON GROUP           COM    902905827       368     11,300   SH           DEFINED       1              11,300
USX-U.S. STEEL GROUP INC.    COM    90337T101        86      3,200   SH           DEFINED       1               3,200
UTILICORP UTD INC DEL        COM    918005109       201      8,250   SH           DEFINED       1               8,250
VALASSIS COMMUNICATIONS
INC                          COM    918866104       378      7,300   SH           DEFINED       2               7,300
VALERO ENERGY CORP           COM    91913Y100       109      5,100   SH           DEFINED       1               5,100
VALERO ENERGY CORP           COM    91913Y100       480     19,300   SH           DEFINED       2              19,300
VALLEY MEDIA INC             COM    91972C106     1,138     50,000   SH           DEFINED       2              50,000
VANGUARD CELLULAR SYS
INC                          COM    922022108        84      3,100   SH           DEFINED       2               3,100
VARCO INTL INC               COM    922126107        58      5,400   SH           DEFINED       1               5,400
VASTAR RES INC               COM    922380100       478     10,000   SH           DEFINED       2              10,000
VASTAR RES INC COM           COM    922380100     7,776    148,300   SH           DEFINED       3             126,200         22,100
VENTAS INC COM               COM    92276F100     3,720    692,100   SH           DEFINED       3             569,200        122,900
VERISIGN INC                 COM    92343E102     7,256     47,120   SH           DEFINED       2              47,120
VERITAS SOFTWARE CORP        COM    923436109       570      6,000   SH           DEFINED       1               6,000
VERTICALNET INC              COM    92532L107     1,265     12,200   SH           DEFINED       2              12,200
VF CORP                      COM    918204108       205      4,800   SH           DEFINED       1               4,800
VIACOM INC                   COM    925524308       583      6,945   SH           DEFINED       2               6,945
VIACOM INC CL-B COMMON       COM    925524308     1,245     28,300   SH           DEFINED       1              28,300
VIAD CORP                    COM    92552R109       334     12,000   SH           DEFINED       2              12,000
VIAD CORPORATION             COM    92552R109       282      9,100   SH           DEFINED       1               9,100
VIGNETTE CORP                COM    926734104     3,173     42,300   SH           DEFINED       2              42,300
VISHAY INTERTECHNOLOGY       COM    928298108       154      7,315   SH           DEFINED       1               7,315
VISTA INFO SOLUTIONS         COM    928365204       935     80,900   SH           DEFINED       3              80,900
VISTANA INC                  COM    92839P108       570     42,200   SH           DEFINED       2              42,200
VISUAL NETWORKS INC          COM    928444108       483     13,000   SH           DEFINED       2              13,000
VISUAL NETWORKS INC          COM    928444108    18,515    578,600   SH           DEFINED       3             566,900         11,700
VISX INC DEL                 COM    92844S105       408      3,800   SH           DEFINED       2               3,800
VISX INCORPORATED            COM    92844S105       412      5,200   SH           DEFINED       1               5,200
VITESSE SEMICONDUCTOR        COM    928497106     2,893     42,900   SH           DEFINED       3              35,600          7,300
VITESSE SEMICONDUCTOR
CORP                         COM    928497106       405      6,000   SH           DEFINED       1               6,000
VITESSE SEMICONDUCTOR
CORP                         COM    928497106       718     14,200   SH           DEFINED       2              14,200
VLASIC FOODS INTERNATIONAL   COM    928559103        29      3,900   SH           DEFINED       1               3,900
VLASIC FOODS INTL INC        COM    928559103        91      7,000   SH           DEFINED       2               7,000
VLSI TECHNOLOGY 8.25%
10/1/05                      CVT    918270AB5       508      5,000   SH           DEFINED       1               5,000
VLSI TECHNOLOGY INC          COM    918270109       179      9,200   SH           DEFINED       2               9,200
VODAFONE                     COM    92857T107     2,059     10,450   SH           DEFINED       1              10,450
VODAFONE GROUP               COM    071921001       621     33,472   SH           DEFINED       2              33,472
VORNADO REALTY TR            COM    929042208        15        300   SH           DEFINED       2                 300
VORNADO RLTY TR              COM    929042109       476     13,800   SH           DEFINED       2              13,800
</TABLE>

                                 Page 46 of 49
<PAGE>   49

File Number 28-219 (Consolidated)
As of 6/30/99

<TABLE>
<CAPTION>
- -----------------------------------------------------------------------------------------------------------------------------------
                            TITLE OF  CUSIP       VALUE    SHRS OR SH/PRN  PUT/  INVESTMENT   OTHER         VOTING AUTHORITY
NAME OF ISSUER               CLASS               (X$1000)  PRN AMT         CALL  DISCRETION  MANAGERS  SOLE      SHARED      NONE
- -----------------------------------------------------------------------------------------------------------------------------------
<S>                         <C>     <C>         <C>      <C>       <C>    <C>   <C>           <C>      <C>  <C>            <C>
VORNADO RLTY TR              COM    929042109    13,867    392,700   SH           DEFINED       3                322,500    70,200
VULCAN MATERIALS INC         COM    929160109       434      9,000   SH           DEFINED       1                  9,000
VULCAN MATLS CO              COM    929160109       905     21,900   SH           DEFINED       2                 21,900
WACHOVIA CORP                COM    929771103       607      7,100   SH           DEFINED       1                  7,100
WADDELL + REED FINL INC      COM    930059100       361     17,600   SH           DEFINED       2                 17,600
WADDELL + REED FINL INC      COM    930059209       173      8,700   SH           DEFINED       2                  8,700
WAL MART STORES INC          COM    931142103    13,089    143,230   SH           DEFINED       2                143,230
WALDEN RESIDENT              COM    931210108     6,201    288,400   SH           DEFINED       3                236,500    51,900
WALDEN RESIDENT PPTYS WT
B EX 123107                  WTS    931210124       443    443,020   SH           DEFINED       3                443,020
WALGREEN CO                  COM    931422109     1,163     39,600   SH           DEFINED       1                 39,600
WALGREEN CO                  COM    931422109     1,222     43,260   SH           DEFINED       2                 43,260
WALLACE COMPUTER SER INC     COM    932270101       361     18,200   SH           DEFINED       2                 18,200
WALLACE COMPUTER SYSTEMS     COM    932270101       100      4,000   SH           DEFINED       1                  4,000
WAL-MART STORES              COM    931142103    32,657    676,820   SH           DEFINED       1                676,820
WALT DISNEY COMPANY          COM    254687106     2,447     79,400   SH           DEFINED       1                 79,400
WALTER IND COMMON            COM    93317Q105         0        807   SH           DEFINED       2                    807
WALTER INDS INC              COM    93317Q105        98      8,700   SH           DEFINED       2                  8,700
WANG LABS INC NEW            COM    93369N109       143      7,300   SH           DEFINED       2                  7,300
WARNACO                      COM    934390105       147      5,500   SH           DEFINED       1                  5,500
WARNACO GROUP INC            COM    934390105       627     25,400   SH           DEFINED       2                 25,400
WARNER CHILCOTT ADR (NEW)    COM    934435207     4,031    496,120   SH           DEFINED       1                496,120
WARNER LAMBERT               COM    934488107     8,431    121,965   SH           DEFINED       1                121,965
WARNER LAMBERT CO            COM    934488107    13,044    196,170   SH           DEFINED       2                196,170
WASHINGTON GAS LT CO         COM    938837101        99      3,800   SH           DEFINED       1                  3,800
WASHINGTON GAS LT CO         COM    938837101       713     31,500   SH           DEFINED       2                 31,500
WASHINGTON MUT INC           COM    939322103     6,370    169,900   SH           DEFINED       2                169,900
WASHINGTON MUTUAL INC.       COM    939322103       760     21,380   SH           DEFINED       1                 21,380
WASHINGTON POST CO           COM    939640108       104        200   SH           DEFINED       2                    200
WASHINGTON POST CO.          COM    939640108       484        900   SH           DEFINED       1                    900
WASTE CONNECTIONS            COM    941053100    18,968    621,900   SH           DEFINED       3                613,000     8,900
WASTE MANAGEMENT INC         COM    94106L109     1,349     25,100   SH           DEFINED       1                 25,100
WASTE MGMT INC DEL           COM    94106L109     1,237     27,872   SH           DEFINED       2                 27,872
WATERS CORP                  COM    941848103       147      1,400   SH           DEFINED       2                  1,400
WATERS CORP COM              COM    941848103    58,374  1,098,800   SH           DEFINED       3              1,048,200    50,600
WATSCO INC                   COM    942622200        79      5,400   SH           DEFINED       2                  5,400
WATSON PHARMACEUTICALS       COM    942683103       140      4,000   SH           DEFINED       1                  4,000
WATSON PHARMACEUTICALS INC   COM    942683103       441     10,000   SH           DEFINED       2                 10,000
WATTS INDS INC               COM    942749102       400     29,500   SH           DEFINED       2                 29,500
WATTS INDUSTRIES CLASS A     COM    942749102        38      2,000   SH           DEFINED       1                  2,000
WAUSAU MOSINEE PAPER CORP    COM    943315101       101      7,200   SH           DEFINED       2                  7,200
WAUSAU-MOSINEE PAPER CORP    COM    943315101        85      4,700   SH           DEFINED       1                  4,700
WD 40 CO                     COM    929236107     1,363     47,000   SH           DEFINED       2                 47,000
WEATHERFORD INTERNATIONAL    COM    947074100       300      8,200   SH           DEFINED       1                  8,200
WEATHERFORD INTL INC NEW     COM    947074100     3,041    116,400   SH           DEFINED       2                116,400
WEEKS CORP                   COM    94856P102     3,935    129,000   SH           DEFINED       3                107,900    21,100
WEINGARTEN RLTY INVS         COM    948741103        24        600   SH           DEFINED       2                    600
WELLMAN INC                  COM    949702104        45      2,800   SH           DEFINED       1                  2,800
WELLPOINT HEALTH NETWORKS    COM    94973H108       221      2,600   SH           DEFINED       1                  2,600
WELLPOINT HEALTH NETWORKS
INC                          COM    94973H108       432      5,700   SH           DEFINED       2                  5,700
WELLPOINT HLT NETW           COM    94973H108     4,702     55,400   SH           DEFINED       3                 44,500    10,900
</TABLE>

                                 Page 47 of 49
<PAGE>   50
File Number 28-219 (Consolidated)
As of 6/30/99

<TABLE>
<CAPTION>
- -----------------------------------------------------------------------------------------------------------------------------------
                            TITLE OF  CUSIP       VALUE    SHRS OR SH/PRN  PUT/  INVESTMENT   OTHER         VOTING AUTHORITY
NAME OF ISSUER               CLASS               (X$1000)  PRN AMT         CALL  DISCRETION  MANAGERS  SOLE       SHARED       NONE
- -----------------------------------------------------------------------------------------------------------------------------------
<S>                         <C>     <C>         <C>      <C>       <C>     <C>   <C>         <C>       <C>  <C>             <C>
WELLS FARGO                   COM    949746101    2,685     62,800   SH           DEFINED       1              62,800
WELLS FARGO + CO NEW          COM    949746101    6,094    173,800   SH           DEFINED       2             173,800
WENDY'S                       COM    950590109      131      4,600   SH           DEFINED       1               4,600
WERNER ENTERPRISES INC        COM    950755108      484     30,750   SH           DEFINED       2              30,750
WESLEY JESSEN VISIONCARE INC  COM    951018100      159      5,800   SH           DEFINED       2               5,800
WEST PHARMACEUTICAL SVCS INC  COM    955306105       60      1,882   SH           DEFINED       2               1,882
WESTAMERICA BANCORPORATION    COM    957090103      128      3,500   SH           DEFINED       1               3,500
WESTAMERICA BANCORPORATION    COM    957090103      538     17,000   SH           DEFINED       2              17,000
WESTCOAST ENERGY              COM    95751D102    1,736     78,800   SH           DEFINED       1              78,800
WESTERN BANCORP               COM    957683105      276      9,000   SH           DEFINED       2               9,000
WESTERN WIRELESS CORP         COM    95988E204    2,503     69,300   SH           DEFINED       2              69,300
WESTFIELD AMER INC            COM    959910100    8,128    539,600   SH           DEFINED       3             443,700       95,900
WESTPOINT STEVENS             COM    961238102   17,732    594,800   SH           DEFINED       3             562,800       32,000
WESTPOINT STEVENS INC.        COM    961238102    1,505     50,480   SH           DEFINED       1              50,480
WESTVACO CORP                 COM    961548104      273     13,000   SH           DEFINED       2              13,000
WESTVACO CORP.                COM    961548104      116      4,000   SH           DEFINED       1               4,000
WESTWOOD ONE                  COM    961815107   20,249    567,400   SH           DEFINED       3             555,900       11,500
WET SEAL INC                  COM    961840105      103      2,800   SH           DEFINED       2               2,800
WEYERHAEUSER CO               COM    962166104      422      7,600   SH           DEFINED       2               7,600
WEYERHAEUSER CO.              COM    962166104      564      8,200   SH           DEFINED       1               8,200
WHIRLPOOL CORP                COM    963320106      222      3,000   SH           DEFINED       1               3,000
WHIRLPOOL CORP                COM    963320106      435      8,000   SH           DEFINED       2               8,000
WHITMAN CORP                  COM    96647R107      155      8,600   SH           DEFINED       1               8,600
WHITTMAN HART INC             COM    966834103      323     15,000   SH           DEFINED       2              15,000
WHOLE FOODS MKT INC           COM    966837106      947     27,600   SH           DEFINED       2              27,600
WILD OATS MARKETS             COM    96808B107   26,815    883,700   SH           DEFINED       3             865,700       18,000
WILEY JOHN + SON              COM    968223206      567     13,500   SH           DEFINED       2              13,500
WILLAMETTE INDS INC           COM    969133107      483     12,800   SH           DEFINED       2              12,800
WILLAMETTE INDS. INC.         COM    969133107      198      4,300   SH           DEFINED       1               4,300
WILLIAMS COMPANIES            COM    969457100      694     16,300   SH           DEFINED       1              16,300
WILLIAMS COS INC              COM    969457100    1,067     27,000   SH           DEFINED       2              27,000
WILLIAMS SONOMA               COM    969904101    6,963    200,000   SH           DEFINED       3             190,600        9,400
WILLIAMS SONOMA INC           COM    969904101      520     18,400   SH           DEFINED       2              18,400
WILMINGTON TR CORP            COM    971807102      857     15,000   SH           DEFINED       2              15,000
WILMINGTON TRUST CORP         COM    971807102      172      3,000   SH           DEFINED       1               3,000
WINN DIXIE STORES INC         COM    974280109    4,119    110,195   SH           DEFINED       2             110,195
WINN-DIXIE STORES INC.        COM    974280109      214      5,800   SH           DEFINED       1               5,800
WISCONSIN CENTRAL TRANSPORT   COM    976592105       79      4,200   SH           DEFINED       1               4,200
WISCONSIN ENERGY CORP.        COM    976657106      266     10,600   SH           DEFINED       1              10,600
WITCO CORP                    COM    977385103       97      4,900   SH           DEFINED       1               4,900
WM. WRIGLEY CO                COM    982526105      410      4,600   SH           DEFINED       1               4,600
WOLVERINE WORLD WIDE INC      COM    978097103      523     55,000   SH           DEFINED       2              55,000
WORLD COLOR PRESS INC DEL     COM    981443104       83      3,900   SH           DEFINED       2               3,900
WORTHINGTON INDUSTRIES        COM    981811102       58      3,500   SH           DEFINED       1               3,500
WPP GROUP PLC                 COM    929309300       51        600   SH           DEFINED       2                 600
WYNDAHAM INTERNATIONAL
CLASS A                       COM    983101106    2,033    451,748   SH           DEFINED       1             451,748
XEROX CORP                    COM    984121103    2,256     38,200   SH           DEFINED       1              38,200
XEROX CORP                    COM    984121103    1,692     31,700   SH           DEFINED       2              31,700
XILINX INC                    COM    983919101    1,053     26,000   SH           DEFINED       2              26,000
XILINX INC.                   COM    983919101      721     12,600   SH           DEFINED       1              12,600
</TABLE>

                                 Page 48 of 49
<PAGE>   51
File Number 28-219 (Consolidated)
As of 6/30/99

<TABLE>
<CAPTION>
- -----------------------------------------------------------------------------------------------------------------------------------
                            TITLE OF  CUSIP       VALUE    SHRS OR SH/PRN  PUT/  INVESTMENT   OTHER         VOTING AUTHORITY
NAME OF ISSUER               CLASS               (X$1000)  PRN AMT         CALL  DISCRETION  MANAGERS  SOLE      SHARED      NONE
- -----------------------------------------------------------------------------------------------------------------------------------
<S>                         <C>    <C>          <C>      <C>       <C>    <C>   <C>           <C>      <C>  <C>              <C>
XIRCOM INC                   COM    983922105        75      3,000   SH           DEFINED       2                  3,000
XL CAPITAL LTD               COM    G98255105     5,650    100,000   SH           DEFINED       1                100,000
XL CAPITAL LTD               COM    G98255105       547      9,000   SH           DEFINED       2                  9,000
XTRA CORP                    COM    984138107     1,222     31,900   SH           DEFINED       2                 31,900
YAHOO INC                    COM    984332106    10,000     59,400   SH           DEFINED       2                 59,400
YORK INTERNATIONAL CORP      COM    986670107       163      3,800   SH           DEFINED       1                  3,800
YOUNG + RUBICAM INC          COM    987425105       660     16,200   SH           DEFINED       2                 16,200
YPF S.A.- ADR                COM    984245100       265      9,000   SH           DEFINED       1                  9,000
YPF SOCIEDAD ANONIMA         COM    984245100       399     12,626   SH           DEFINED       2                 12,626
ZANY BRAINY                  COM    98906Q101       484     50,000   SH           DEFINED       3                 50,000
ZIFF DAVIS INC               COM    989511100     7,226    318,900   SH           DEFINED       2                318,900
ZIONS BANCORP                COM    989701107       325      4,900   SH           DEFINED       2                  4,900
ZIONS BANCORPORATION         COM    989701107       457      7,200   SH           DEFINED       1                  7,200
ZONAGEN INC                  COM    98975L108       215     10,000   SH           DEFINED       2                 10,000
- ---------------------------------------------------------------------------------------------------------------------------
TOTAL                                        11,120,271
- ---------------------------------------------------------------------------------------------------------------------------
</TABLE>



                                 Page 49 of 49


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