JENNISON ASSOCIATES LLC
13F-HR, 2000-08-11
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<PAGE>
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, 2000

Check here if Amendment [ ]; Amendment Number: _____________

This Amendment (Check only one):   [ ] is a restatement.

[ ] adds new holdings entries.

Institutional Investment Manager Filing this Report:

Name: Jennison Associates LLC

Address: 466 Lexington Avenue, New York, NY 10017

Form 13F File Number: 28-74

The institutional investment manager filing this report and the
person by

whom it is signed hereby 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:  Karen E. Kohler
Title:  Senior Vice President
Phone: 212-421-1000

Signature, Place and Date of Signing:

 /s/ Karen E. Kohler               New York, New York       July
27, 2000




Report Type (Check only one):

[X] 13F HOLDINGS REPORT.

[ ] 13F NOTICE.

[ ] 13F COMBINATION REPORT.


</PAGE>



<PAGE>

FORM 13F SUMMARY PAGE

Report Summary:

Number of Other Included Managers:  1

Form 13F Information Table Entry Total:   187

Form 13F Information Table Value Total:  $45,597,018

List of Other Included Managers:

No.       13F File Number               Name

01        28-256                   Prudential Insurance Company
                                          of America
</PAGE>
<TABLE> 06/30/2000
                                                             VALUE    SHARES/
SH/ PUT/ INVSTMT            -----VOTING AUTHORITY-----
  NAME OF ISSUER                 -TITLE OF CLASS- --CUSIP-- x$1000    PRN AMT
PRN CALL DSCRETN -MANAGERS-     SOLE   SHARED     NONE
                                 <C>
<C>
D AMR CORP                       COMMON           001765106    13238   500700 SH
DEFINED 01           415000        0    85700
D AT&T LIBERTY MEDIA GROUP       COMMON           001957208   742969 30637900 SH
DEFINED 01         29247100        0  1390800
D ALCOA INC.                     COMMON           013817101     6659   229636 SH
DEFINED 01           229636        0        0
D ALEXION PHARMACEUTICALS        COMMON           015351109     2839    39700 SH
DEFINED 01            39700        0        0
D ALKERMES INC.                  COMMON           01642T108     2050    43500 SH
DEFINED 01            43500        0        0
D ALLEGIANCE TELECOM, INC.       COMMON           01747T102   396253  6191450 SH
DEFINED 01          5885250        0   306200
D ALLERGAN                       COMMON           018490102     9029   121200 SH
DEFINED 01           121200        0        0
D ALLSCRIPTS INC.                COMMON           019886100     2001    87000 SH
DEFINED 01            87000        0        0
D ALLSTATE INSURANCE             COMMON           020002101    49153  2209100 SH
DEFINED 01          1922200        0   286900
D AMERICA ON-LINE                COMMON           02364J104   532275 10102500 SH
DEFINED 01          9652100        0   450400
D AMERICAN EXPRESS CO.           COMMON           025816109   867256 16638000 SH
DEFINED 01         15810700        0   827300
D AMERICAN GENERAL CORP.         COMMON           026351106     8156   133700 SH
DEFINED 01           110700        0    23000
D AMERICAN HOME PRODUCTS         COMMON           026609107   871586 14835500 SH
DEFINED 01         14136800        0   698700
D AMERICAN INTL. GROUP           COMMON           026874107   985520  8387400 SH
DEFINED 01          7963700        0   423700
D AMGEN INC.                     COMMON           031162100   687910  9792300 SH
DEFINED 01          9310300        0   482000
D AON CORP                       COMMON           037389103     1152    37100 SH
DEFINED 01                0        0    37100
D APPLIED MATERIALS INC.         COMMON           038222105   627479  6923900 SH
DEFINED 01          6581800        0   342100
D APPLIED MICRO CIRCUITS CORP    COMMON           03822W109   294730  2984600 SH
DEFINED 01          2837800        0   146800
D ASPECT MEDICAL SYSTEMS, INC.   COMMON           045235108     2327    86200 SH
DEFINED 01            86200        0        0
D AUTOZONE INC                   COMMON           053332102     5564   252900 SH
DEFINED 01           251100        0     1800
D AVALONBAY COMMUNITIES INC.     COMMON           053484101     7554   180944 SH
DEFINED 01           180944        0        0
D AVIRON                         COMMON           053762100    22060   714500 SH
DEFINED 01           713000        0     1500
D BANK OF AMERICA CORP.          COMMON           060505104     1422    33070 SH
DEFINED 01             4636        0    28434
D BIOGEN INC.                    COMMON           090597105      800    12400 SH
DEFINED 01            12400        0        0
D BOEING CO.                     COMMON           097023105    11294   270100 SH
DEFINED 01           270100        0        0
D BOISE CASCADE CORP.            COMMON           097383103    14961   578200 SH
DEFINED 01           475900        0   102300
D BOWATER INC                    COMMON           102183100    11777   266900 SH
DEFINED 01           266900        0        0
D BROADCOM CORP. - CL. A         CL A             111320107   259616  1185800 SH
DEFINED 01          1127900        0    57900
D BURLINGTON RESOURCES INC.      COMMON           122014103    10855   283800 SH
DEFINED 01           282600        0     1200
D CIGNA CORP.                    COMMON           125509109    13044   139500 SH
DEFINED 01           120200        0    19300
D CABOT CORP.                    COMMON           127055101     1929    70800 SH
DEFINED 01            70800        0        0
D CAPITAL ONE FINANCIAL CORP     COMMON           14040H105     1089    24400 SH
DEFINED 01                0        0    24400
D CARDINAL HEALTH INC            COMMON           14149Y108     3323    44900 SH
DEFINED 01            44900        0        0
D CAREMARK RX INC.               COMMON           141705103     9099  1335500 SH
DEFINED 01          1329700        0     5800
D CHASE MANHATTAN CORP           COMMON           16161A108     3065    66550 SH
DEFINED 01            66550        0        0
D CISCO SYSTEMS INC.             COMMON           17275R102  1617373 25445400 SH
DEFINED 01         24280100        0  1165300
D CITIGROUP INC                  COMMON           172967101  1637595 27180000 SH
DEFINED 01         25923175        0  1256825
D CLEAR CHANNEL COMMUNICATIONS I COMMON           184502102   754362 10058159 SH
DEFINED 01          9564259        0   493900
D COMPAQ COMPUTER CORP           COMMON           204493100   438471 17152900 SH
DEFINED 01         16299200        0   853700
D CONOCO INC. CL.-A              CL A             208251306    11172   507800 SH
DEFINED 01           505500        0     2300
D CONTINENTAL AIRLINES INC. 'B'  CL B             210795308    13663   290700 SH
DEFINED 01           290700        0        0
D CORNING INC.                   COMMON           219350105   584198  2164700 SH
DEFINED 01          2055000        0   109700
D COSTCO WHOLESALE CORPORATION   COMMON           22160K105    49741  1507300 SH
DEFINED 01          1443500        0    63800
D COUNTRYWIDE CREDIT IND INC     COMMON           222372104     1219    40200 SH
DEFINED 01                0        0    40200
D CROMPTON CORP                  COMMON           227116100    12640  1031795 SH
DEFINED 01           891727        0   140068
D CYGNUS INC                     COMMON           232560102     3530   247700 SH
DEFINED 01           247700        0        0
D CYTEC INDUSTRIES INC.          COMMON           232820100     7542   305500 SH
DEFINED 01           305500        0        0
D DELL COMPUTER CORP.            COMMON           247025109   484959  9834400 SH
DEFINED 01          9366200        0   468200
D DEXTER CORPORATION             COMMON           252165105    19877   414100 SH
DEFINED 01           361100        0    53000
D DIAMOND OFFSHORE DRILLING      COMMON           25271C102     9287   264400 SH
DEFINED 01           264400        0        0
D DIEBOLD, INC.                  COMMON           253651103    15512   556500 SH
DEFINED 01           478400        0    78100
D EGL INC.                       COMMON           268484102     6470   210400 SH
DEFINED 01           210400        0        0
D EMC CORP. MASS.                COMMON           268648102  1013513 13173200 SH
DEFINED 01         12568800        0   604400
D ENGELHARD CORP                 COMMON           292845104    13683   801900 SH
DEFINED 01           678600        0   123300
D FMC CORP                       COMMON           302491303     9814   169200 SH
DEFINED 01           169200        0        0
D FED HOME LOAN MTG CORP.        COMMON           313400301     1701    42000 SH
DEFINED 01                0        0    42000
D FANNIE MAE                     COMMON           313586109     1273    24400 SH
DEFINED 01                0        0    24400
D FIDELITY NATIONAL FINL INC     COMMON           316326107     2198   120000 SH
DEFINED 01                0        0   120000
D FLEET BOSTON FINANCIAL CORP    COMMON           339030108    20498   602900 SH
DEFINED 01           436600        0   166300
D FORT JAMES CORPORATION         COMMON           347471104     9625   416200 SH
DEFINED 01           416200        0        0
D GAP INC.                       COMMON           364760108   430586 13778725 SH
DEFINED 01         13095665        0   683060
D GENENTECH INC.                 COMMON           368710406   514504  2991300 SH
DEFINED 01          2842800        0   148500
D GENERAL ELECTRIC CO.           COMMON           369604103   875420 16517350 SH
DEFINED 01         15563850        0   953500
D GENERAL MOTORS CL H            CLASS H          370442832   560959  6392700 SH
DEFINED 01          6075000        0   317700
D GENTEX CORP                    COMMON           371901109     3357   133600 SH
DEFINED 01           132400        0     1200
D GLIATECH INC.                  COMMON           37929C103      502    24800 SH
DEFINED 01            24800        0        0
D GUIDANT CORP                   COMMON           401698105     3599    72700 SH
DEFINED 01            72700        0        0
D GUILFORD PHARMACEUTICALS       COMMON           401829106      480    31900 SH
DEFINED 01            31900        0        0
D HCA - THE HEALTHCARE COMPANY   COMMON           404119109    15337   504900 SH
DEFINED 01           503000        0     1900
D HCC INSURANCE HOLDINGS INC.    COMMON           404132102     1219    64600 SH
DEFINED 01                0        0    64600
D HALLIBURTON CO.                COMMON           406216101     3436    72800 SH
DEFINED 01            72300        0      500
D JOHN HANCOCK FINANCIAL SERVICE COMMON           41014S106    15814   667600 SH
DEFINED 01           561000        0   106600
D THE HARTFORD FINANCIAL SVCS GR COMMON           416515104    15707   280800 SH
DEFINED 01           252600        0    28200
D HEALTHSOUTH CORP               COMMON           421924101     5756   800800 SH
DEFINED 01           794700        0     6100
D HEALTH MANAGEMENT ASSOCIATES   CL A             421933102    16760  1283100 SH
DEFINED 01          1079200        0   203900
D HERTZ CORP-CL A                CL A             428040109    10829   385900 SH
DEFINED 01           331100        0    54800
D HEWLETT-PACKARD CO             COMMON           428236103  1665373 13336320 SH
DEFINED 01         12740320        0   596000
D HILB ROGAL & HAMILTON CO       COMMON           431294107     1231    35500 SH
DEFINED 01                0        0    35500
D HILTON HOTELS CORP             COMMON           432848109    12494  1332782 SH
DEFINED 01          1133482        0   199300
D HOME DEPOT INC                 COMMON           437076102  1485219 29741559 SH
DEFINED 01         28354962        0  1386597
D HORACE MANN EDUCATORS          COMMON           440327104     1689   112600 SH
DEFINED 01                0        0   112600
D ICOS CORPORATION               COMMON           449295104      730    16600 SH
DEFINED 01            16600        0        0
D IDEC PHARMACEUTICAL            COMMON           449370105     1666    14200 SH
DEFINED 01            14200        0        0
D INFINITY BROADCASTING CORP - A CL A             45662S102    14480   397400 SH
DEFINED 01           397400        0        0
D INFORMIX CORP.                 COMMON           456779107     6970   937200 SH
DEFINED 01           743800        0   193400
D INTEL CORP                     COMMON           458140100  1693537 12667880 SH
DEFINED 01         12031680        0   636200
D INTERNATIONAL RECTIFIER CORP.  COMMON           460254105    71848  1283000 SH
DEFINED 01          1212800        0    70200
D INTERTRUST TECHNOLOGIES CORP.  COMMON           46113Q109      471    22900 SH
DEFINED 01            17100        0     5800
D JDS UNIPHASE CORP              COMMON           46612J101   477402  3982500 SH
DEFINED 01          3788600        0   193900
D JUNIPER NETWORKS INC.          COMMON           48203R104   268621  1845400 SH
DEFINED 01          1753700        0    91700
D K MART CORP.                   COMMON           482584109     4524   664100 SH
DEFINED 01           658800        0     5300
D KNIGHT RIDDER NEWSPAPER INC.   COMMON           499040103    16515   310500 SH
DEFINED 01           282400        0    28100
D KOHL'S CORP.                   COMMON           500255104   961334 17282400 SH
DEFINED 01         16470400        0   812000
D ESTEE LAUDER COMPANIES, INC.   CL A             518439104   271046  5482600 SH
DEFINED 01          5186900        0   295700
D LEHMAN BROTHERS HOLDING INC.   COMMON           524908100     1277    13500 SH
DEFINED 01                0        0    13500
D LEVEL 3 COMMUNICATIONS, INC.   COMMON           52729N100   193565  2199600 SH
DEFINED 01          2089000        0   110600
D LILLY (ELI) & CO.              COMMON           532457108   334861  3352800 SH
DEFINED 01          3185800        0   167000
D LINCOLN NATIONAL CORP.         COMMON           534187109     1391    38500 SH
DEFINED 01                0        0    38500
D LITTON INDUSTRIES INC          COMMON           538021106    16233   386500 SH
DEFINED 01           332000        0    54500
D MBNA CORP                      COMMON           55262L100     1389    51200 SH
DEFINED 01                0        0    51200
D MANPOWER INC                   COMMON           56418H100    10988   343400 SH
DEFINED 01           340700        0     2700
D MARKEL CORP                    COMMON           570535104      425     3000 SH
DEFINED 01                0        0     3000
D MEDIMMUNE INC                  COMMON           584699102     3108    42000 SH
DEFINED 01            42000        0        0
D MERCK AND CO.                  COMMON           589331107   693326  9048300 SH
DEFINED 01          8596400        0   451900
D MEREDITH CORP.                 COMMON           589433101      270     8000 SH
DEFINED 01             8000        0        0
D MERRILL LYNCH & CO., INC.      COMMON           590188108  1060335  9220300 SH
DEFINED 01          8821500        0   398800
D METROMEDIA FIBER NETWORK,INC.  CL A             591689104   360922  9094100 SH
DEFINED 01          8645400        0   448700
D MICROSOFT CORP.                COMMON           594918104   765544  9569300 SH
DEFINED 01          9092500        0   476800
D MINERALS TECHNOLOGIES INC.     COMMON           603158106    10078   219100 SH
DEFINED 01           217900        0     1200
D MORGAN STANLEY DEAN WITTER & C COMMON           617446448  1186329 14250200 SH
DEFINED 01         13541080        0   709120
D MOTOROLA INC.                  COMMON           620076109   391532 13472050 SH
DEFINED 01         12874250        0   597800
D NPS PHARMACEUTICALS INC.       COMMON           62936P103     6441   240800 SH
DEFINED 01           240800        0        0
D NTL INCORPORATED               COMMON           629407107   647935 10821465 SH
DEFINED 01         10352103        0   469362
D NAT'L SEMICONDUCTOR CORP.      COMMON           637640103     7394   130300 SH
DEFINED 01           115300        0    15000
D NATIONWIDE FINANCIAL SERVICES  CL A             638612101     1141    34700 SH
DEFINED 01                0        0    34700
D NETWORK APPLIANCE INC          COMMON           64120L104     3180    39500 SH
DEFINED 01            39500        0        0
D NEW YORK TIMES CLASS A         CL A             650111107     5170   130900 SH
DEFINED 01           129600        0     1300
D NEXTEL COMMUNICATIONS INC-A    CL A             65332V103   347061  5672100 SH
DEFINED 01          5410100        0   262000
D NEXTEL PARTNERS INC. - CL. A   CL A             65333F107      876    26900 SH
DEFINED 01            26900        0        0
D NEXTLINK COMMUNICATIONS-A      CL A             65333H707   248897  6560700 SH
DEFINED 01          6231400        0   329300
D NORTEL NETWORKS CORP           COMMON           656568102   491967  7208300 SH
DEFINED 01          6849800        0   358500
D NORTHWEST AIRLINES CORP.-CLASS CL A             667280101    11101   364700 SH
DEFINED 01           364700        0        0
D NOVOSTE COPORATION             COMMON           67010C100     1824    29900 SH
DEFINED 01            29900        0        0
D OSI PHARMACEUTICALS INC.       COMMON           671040103     6180   214500 SH
DEFINED 01           214500        0        0
D OMNICOM GROUP                  COMMON           681919106   467144  5245120 SH
DEFINED 01          4989820        0   255300
D ONI SYSTEMS CORP.              COMMON           68273F103     2344    20000 SH
DEFINED 01            20000        0        0
D ORATEC INTERVENTIONS INC.      COMMON           68554M108      668    20000 SH
DEFINED 01            20000        0        0
D PNC FINL CORP                  COMMON           693475105     1542    32900 SH
DEFINED 01                0        0    32900
D PACTIV CORPORATION             COMMON           695257105    11188  1420600 SH
DEFINED 01          1202100        0   218500
D PALL CORP.                     COMMON           696429307    17910   968100 SH
DEFINED 01           744000        0   224100
D PANAMSAT CORP (NEW)            COMMON           697933109    10380   237600 SH
DEFINED 01           212800        0    24800
D PFIZER INC.                    COMMON           717081103  1896216 39504512 SH
DEFINED 01         37638587        0  1865925
D PHARMACIA CORP                 COMMON           71713U102   918655 17773254 SH
DEFINED 01         16891814        0   881440
D PHILADELPHIA CONSOLIDATED HLDG COMMON           717528103      521    31000 SH
DEFINED 01                0        0    31000
D POLAROID CORP.                 COMMON           731095105     7380   408600 SH
DEFINED 01           361600        0    47000
D POLO RALPH LAUREN CORP.        CL A             731572103     9292   652100 SH
DEFINED 01           559600        0    92500
D PROVIDIAN FINCL CORP           COMMON           74406A102     1359    15100 SH
DEFINED 01                0        0    15100
D QUALCOMM INC                   COMMON           747525103     2160    36000 SH
DEFINED 01            36000        0        0
D QWEST COMMUNICATIONS INTL      COMMON           749121109  1266862 25496600 SH
DEFINED 01         24287700        0  1208900
D RAYTHEON CO. - CLASS B         CL B             755111408     6449   335000 SH
DEFINED 01           335000        0        0
D ROCKWELL INTERNATIONAL         COMMON           773903109     9482   301000 SH
DEFINED 01           299800        0     1200
D ROHM & HAAS CO.                COMMON           775371107     8366   242500 SH
DEFINED 01           242500        0        0
D SLM HOLDING CORP               COMMON           78442A109     3598    96100 SH
DEFINED 01                0        0    96100
D SABRE HOLDINGS CORP            CL A             785905100    23954   840500 SH
DEFINED 01           838700        0     1800
D SAFECO CORP.                   COMMON           786429100     7284   366500 SH
DEFINED 01           216200        0   150300
D SAKS INCORPORATED              COMMON           79377W108     9061   862900 SH
DEFINED 01           739500        0   123400
D SCHLUMBERGER, LTD.             COMMON           806857108   470399  6303500 SH
DEFINED 01          6012500        0   291000
D SCHWAB (CHARLES) CORP          COMMON           808513105    41078  1221650 SH
DEFINED 01          1166650        0    55000
D SEPRACOR INC.                  COMMON           817315104     7865    65200 SH
DEFINED 01            65200        0        0
D SNAP ON INC.                   COMMON           833034101    13227   496800 SH
DEFINED 01           444500        0    52300
D SONIC INNOVATIONS INC          COMMON           83545M109     3618   194900 SH
DEFINED 01           194900        0        0
D STMICROELECTRONICS NV-NY SHS   COMMON           861012102   121591  1894300 SH
DEFINED 01          1846462        0    47838
D STONE CONTAINER PREF SERIES E  PFD E CV $1.75   861589307      203    12500 SH
DEFINED 01            12500        0        0
D SUN MICROSYSTEMS               COMMON           866810104   560934  6168350 SH
DEFINED 01          5862250        0   306100
D TEMPLE-INLAND                  COMMON           879868107     3184    75800 SH
DEFINED 01            75800        0        0
D TEXAS BIOTECH CORP.            COMMON           88221T104     1018    53600 SH
DEFINED 01            53600        0        0
D TEXAS INSTRUMENTS INC.         COMMON           882508104  1075247 15654200 SH
DEFINED 01         14950500        0   703700
D TIFFANY & CO.                  COMMON           886547108   501472  7429200 SH
DEFINED 01          7080600        0   348600
D TIME WARNER INC.               COMMON           887315109   432497  5690750 SH
DEFINED 01          5419350        0   271400
D TORCHMARK CORP.                COMMON           891027104     1388    56200 SH
DEFINED 01             1000        0    55200
D TRANSKARYOTIC THERAPIES INC.   COMMON           893735100     1731    47100 SH
DEFINED 01            47100        0        0
D TRIBUNE CO                     COMMON           896047107     3413    97500 SH
DEFINED 01            97500        0        0
D TRIZETTO GROUP INC.            COMMON           896882107      809    50000 SH
DEFINED 01            50000        0        0
D USX-MARATHON GROUP             COMMON           902905827    11501   458900 SH
DEFINED 01           455500        0     3400
D U.S BANCORP                    COMMON           902973106     9779   508000 SH
DEFINED 01           435300        0    72700
D USX-US STEEL GROUP             COMMON           90337T101    11305   609000 SH
DEFINED 01           526100        0    82900
D UNIVISION COMMUNICATIONS INC.  CL A             914906102   530965  5130100 SH
DEFINED 01          4882300        0   247800
D UNOCAL CORP.                   COMMON           915289102     9391   283500 SH
DEFINED 01           281700        0     1800
D VERITAS SOFTWARE CORPORATION   COMMON           923436109   334509  2959850 SH
DEFINED 01          2813300        0   146550
D VERISIGN INC.                  COMMON           92343E102   290714  1647100 SH
DEFINED 01          1567000        0    80100
D VERTEX PHARMACEUTICALS         COMMON           92532F100    18978   180100 SH
DEFINED 01           179600        0      500
D VIACOM INC-CL B                CL B             925524308  1322138 19389741 SH
DEFINED 01         18417352        0   972389
D VIROPHARMA INC.                COMMON           928241108     1705   109100 SH
DEFINED 01           109100        0        0
D WAL-MART STORES                COMMON           931142103   926676 16081150 SH
DEFINED 01         15309550        0   771600
D WASHINGTON MUTUAL INC          COMMON           939322103     1242    43000 SH
DEFINED 01                0        0    43000
D ZIONS BANCORPORATION           COMMON           989701107     1331    29000 SH
DEFINED 01                0        0    29000
D GLOBAL CROSSING LTD.           COMMON           G3921A100   553910 21051200 SH
DEFINED 01         20058800        0   992400
D XL CAPITAL LTD - CLASS A       CL A             G98255105    24280   448600 SH
DEFINED 01           350900        0    97700
D ASM INTERNATIONAL N.V.         COMMON           N07045102     6784   256000 SH
DEFINED 01           256000        0        0
D ASM LITHOGRAPHY HOLD-NY REG    COM N.Y.REG      N07059111   274445  6219700 SH
DEFINED 01          5910200        0   309500
D CABLE AND WIRELESS PLC - ADR   ADR - LISTED     126830207    16801   335600 SH
DEFINED 01           288100        0    47500
D ERICSSON (L.M.) TEL-SP ADR     ADR - LISTED     294821400   606778 30338900 SH
DEFINED 01         29007200        0  1331700
D GRUPO TELEVISA SA - SPONS GDR  ADR - LISTED     40049J206   185775  2694827 SH
DEFINED 01          2630267        0    64560
D KONINKLIJKE PHILIPS ELEC-NY SH ADR - LISTED     500472204      350     7360 SH
DEFINED 01             7360        0        0
D NOKIA CORP-SPONSORED ADR       ADR - LISTED     654902204  1590219 31844200 SH
DEFINED 01         30347900        0  1496300
D TAIWAN SEMICONDUCTOR - ADR NEW ADR - LISTED     874039209     3881   100000 SH
DEFINED 01           100000        0        0
D VODAFONE AIRTOUCH PLC-ADR      ADR - LISTED     92857T107  1481967 35763906 SH
DEFINED 01         34077756        0  1686150
S REPORT SUMMARY                187 DATA RECORDS            45597018
1 OTHER MANAGERS ON WHOSE BEHALF REPORT IS FILED
</TABLE>



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