LEGG MASON INC
13F-HR, 2000-08-08
SECURITY BROKERS, DEALERS & FLOTATION COMPANIES
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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:    Legg Mason, Inc.
Address: 100 Light Street
         Baltimore, MD 21202

13F File Number: 28-1700

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: Timothy C. Scheve
Title: Ex. Vice President
Phone: 410-454-3232
Signature, Place, and Date of Signing:

    Timothy C. Scheve       Baltimore, MD                 , 2000


Report Type (Check only one.):

[X]       13F HOLDINGS REPORT.
[ ]       13F NOTICE.
[ ]       13F COMBINATION REPORT.

List of Other Managers Reporting for this Manager:

I AM SIGNING THIS REPORT AS REQUIRED BY THE SECURITIES EXCHANGE ACT OF 1934.
<PAGE>

                             FORM 13F SUMMARY PAGE

Report Summary:

Number of Other Included Managers:      9
Form 13F Information Table Entry Total: 10,046
Form 13F Information Table Value Total: $37,919,557,348

List of Other Included Managers:

No.         13F File Number    Name
01          28-1891            Bartlett and Co.                              829
02          28-377             Batterymarch Financial Management, Inc.       766
03          28-5034            Berkshire Asset Management, Inc.               56
04          28-2204            Brandywine Asset Management, Inc.            1430
05          28-1062            Gray, Seifert & Co., Inc.                     489
06          28-1701            Legg Mason Capital Management, Inc.           109
07          28-1599            Legg Mason Fund Adviser, Inc.                5600
08          28-5474            Legg Mason Wood Walker, Incorporated          462
09                             Bingham Legg Advisers LLC                     305

<PAGE>

FORM 13F    Name of Reporting Manager:                      Run Date: 07/17/2000
                                                            --------------------
                          Bartlett - Inst ID# 71934         S.E.C. Use Only
                      For Positions Held as of 06/30/00             |
                                                            --------------------
<TABLE>
<CAPTION>
                                                                                                                         Item 8:
                                                          Item 4:                        Item 6:                  Voting Authority
                 Item 1:             Item 2:            Fair Market   Item 5:     Investment Discretion  Item 7:      (Shares)
             Name of Issuer         Title of  Item 3:      Value     Shares or    (a)  (b)Shared   (c)   Other   (a)     (b)   (c)
                                     Class     CUSIP     (X $1000) Principal Amt  Sole     Def    Other Managers Sole  Shared  None
-----------------------------------------------------------------------------------------------------------------------------------
<S>                                  <C>      <C>        <C>        <C>            <C>   <C>       <C>   <C>     <C>   <C>     <C>
3 Cities Fm Inc. Cl B                  COM    9990269A7         0          975     X                                        975
3 Com Corp.                            COM    885535104     1,229       21,325     X                                     21,325
A D C Telecommunications Inc.          COM    000886101        36          426     X                                        426
Abbott Laboratories                    COM    002824100    17,463      391,871     X         X                 31,900   359,971
ABN Amro Hldg NV Sponsored ADR         COM    000937102        48        1,972     X                                      1,972
Accel Intl Corp                        COM    004299103        59       93,620     X                                     93,620
Aceto Corp.                            COM    004446100        28        2,500     X                                      2,500
ACNielsen Corp.                        COM    004833109        82        3,706     X                                      3,706
Active Software Inc                    COM    00504E100         9          115     X                                        115
Adams Express                          COM    006212104        59        1,594     X                                      1,594
Adobe Systems Inc.                     COM    00724F101       900        6,925     X                                      6,925
Advanced Micro Devices Inc.            COM    007903107       850       11,000     X                           11,000
Aegon NV - ORD                         COM    007924103       301        8,442     X         X                            8,442
Aetna Inc.                             COM    008117103        13          200     X                                        200
Affymetrix Inc.                        COM    00826T108       719        4,355     X                                      4,355
Aflac Corp. New                        COM    001055102        81        1,770     X                                      1,770
Agilent Technologies Inc               COM    00846U101     7,602      103,080     X         X                          103,080
AK Steel Holding Corp.                 COM    001547108         8        1,000     X                                      1,000
AKZO Nobel NV Spons ADR                COM    010199305       243        5,766     X         X                            5,766
Alberta Energy Co Ltd                  COM    012873105    12,745      314,690     X                                    314,690
Albertson's Inc.                       COM    013104104       721       21,675     X                                     21,675
Alcatel Alsthom Sponsored ADR          COM    013904305     8,308      124,929     X                           12,000   112,929
Alcoa Inc                              COM    013817200        27          500               X                              500
Alcoa Inc.                             COM    013817101        53        1,840     X                                      1,840
Allegheny Energy Inc.                  COM    017361106       205        7,475     X         X                            7,475
Allen Telecom Inc.                     COM    018091108       750       42,400     X                                     42,400
Allergan Inc.                          COM    018490102       283        3,800     X                                      3,800
Allergan Specialty Therap-A            COM    018494104         1           80     X                                         80
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
                                                                                                                         Item 8:
                                                          Item 4:                        Item 6:                  Voting Authority
                 Item 1:             Item 2:            Fair Market   Item 5:     Investment Discretion  Item 7:      (Shares)
             Name of Issuer         Title of  Item 3:      Value     Shares or    (a)  (b)Shared   (c)   Other   (a)     (b)   (c)
                                     Class     CUSIP     (X $1000) Principal Amt  Sole     Def    Other Managers Sole  Shared  None
-----------------------------------------------------------------------------------------------------------------------------------
<S>                                  <C>      <C>        <C>        <C>            <C>   <C>       <C>   <C>     <C>   <C>     <C>
Alliance Financial Corp Ny             COM    019205103        44        2,100     X                                      2,100
Alliant Techsystem                     COM    018804104         1           10     X                                         10
Allied Irish Banks Plc                 COM    019228402     1,655       93,250     X                                     93,250
Allstate Financing I 7.95% Cum         COM    020013207        23        1,000     X                                      1,000
Alltel Corp.                           COM    020039103       222        3,588     X                                      3,588
ALZA Corp. Com                         COM    022615108       710       12,000     X                                     12,000
Amazon.com, Inc.                       COM    023135106        62        1,695     X         X                            1,695
AMB Property Corp                      COM    00163T109        16          700     X                                        700
Ameren Corp.                           COM    023608102        39        1,166     X                                      1,166
America Online Inc.                    COM    02364J104     1,397       26,484     X         X                           26,484
American Electric Power Co             COM    025537101       673       22,733     X         X                           22,733
American Express Co.                   COM    025816109     8,822      169,250     X         X                          169,250
American General Corp.                 COM    026351106       325        5,320     X                                      5,320
American Greetings Corp. Class A       COM    026375105       665       35,000     X                                     35,000
American Home Products Corp.           COM    026609107     9,258      157,579     X         X                          157,579
American International Group Inc.      COM    026874107     1,289       10,974     X                                     10,974
American Power Conversion              COM    029066107        65        1,600     X                                      1,600
American Tower System Corp Cl A        COM    029912201       133        3,200               X                            3,200
Ames Department Stores Inc.  New       COM    030789507        16        2,050     X         X                            2,050
AMFM Inc                               COM    001693100        76        1,095     X                                      1,095
Amgen Inc.                             COM    031162100     1,356       19,300     X                                     19,300
Ampal Amern Israel Corp.               COM    032015307       136        3,210     X                                      3,210
AMR Corp.                              COM    001765106     1,271       48,060     X                           28,500    19,560
AMREP Corp.                            COM    032159105         0           54     X                                         54
Anadarko Pete Corp.                    COM    032511107     1,463       29,672     X         X                           29,672
Analog Devices Inc.                    COM    032654105       319        4,198     X                                      4,198
Angelica Corp.                         COM    034663104        17        2,100     X                                      2,100
Anheuser-Busch Companies Inc.          COM    035229103    22,376      299,588     X         X                 14,650   284,938
Anixter International Inc.             COM    035290105        37        1,400     X                                      1,400
Antex Corp.                            COM    036730109         0        2,000     X                                      2,000
Apartment Investment & Mgt Co Class A  COM    03748R101        36          829     X                                        829
Apple Computer                         COM    037833100       597       11,400     X         X                           11,400
Applied Innovation Inc.                COM    037916103         4          400     X                                        400
Applied Materials Inc.                 COM    038222105       877        9,680     X                                      9,680
APT Satellite Holdings Ltd ADR         COM    00203R105       285       60,000     X                                     60,000
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
                                                                                                                         Item 8:
                                                          Item 4:                        Item 6:                  Voting Authority
                 Item 1:             Item 2:            Fair Market   Item 5:     Investment Discretion  Item 7:      (Shares)
             Name of Issuer         Title of  Item 3:      Value     Shares or    (a)  (b)Shared   (c)   Other   (a)     (b)   (c)
                                     Class     CUSIP     (X $1000) Principal Amt  Sole     Def    Other Managers Sole  Shared  None
-----------------------------------------------------------------------------------------------------------------------------------
<S>                                  <C>      <C>        <C>        <C>            <C>   <C>       <C>   <C>     <C>   <C>     <C>
Archer-Daniels Midland Co.             COM    039483102       310       31,623     X                                     31,623
Argosy Gaming Co                       COM    040228108         7          500     X                                        500
Asc Avcan Sys Corp                     COM    001906106         1        2,000     X                                      2,000
Associates First Capital Corp.         COM    046008108        11          472     X                                        472
Astrazena PLC -Spons ADR               COM    046353108        72        1,550     X                                      1,550
AT & T Corp.                           COM    001957109    12,243      387,136     X         X                 41,200   345,936
At Home Corp. Cl A                     COM    045919107       592       28,526     X                                     28,526
AT&T Corp - Liberty Media - A          COM    001957208    15,893      655,402     X                                    655,402
Audiovox Corp.                         COM    050757103        18          800     X                                        800
Autolliv, Inc.                         COM    052800109        15          613               X                              613
Automatic Data Processing              COM    053015103     4,046       75,530     X                                     75,530
Autozone Inc.                          COM    053332102       286       13,000     X         X                           13,000
Aventis                                COM    053561106     1,742       24,004     X                                     24,004
Avery Dennison Corp.                   COM    053611109        81        1,200     X                                      1,200
AXA Financial Inc                      COM    002451102        36        1,052     X                                      1,052
AXA-UAP - Sponsored ADR                COM    054536107        15          185     X                                        185
B2b Internet Holdrs Tr                 COM    056033103        82        2,000     X                                      2,000
Bae Systems Plc                        COM    05523R107         8          316     X                                        316
Ballard Power Systems Inc.             COM    05858H104        54          600     X                                        600
Banco Bilbao Vizcaya Intl              COM    059456400        21        1,000     X                                      1,000
Banco Comercial Portugues SA ADS       COM    059479303     1,430       55,285     X                                     55,285
Bancwest Corporation                   COM    059790105       456       27,768     X         X                           27,768
Bank of America Corp.                  COM    060505104       653       15,181     X         X                           15,181
Bank of New York Co. Inc.              COM    064057102       362        7,776     X                                      7,776
Bank of Tokyo - Mitsubishi ADR         COM    065379109       394       32,500     X                                     32,500
Bank One Corp.                         COM    06423A103       465       17,518     X                                     17,518
Bank United Capital II-9.60% Cum Trust COM    06651W207        49        2,500     X                                      2,500
Barnes & Noble Inc.                    COM    067774109         8          350     X                                        350
Battle Mountain Gold Co                COM    071593107         0          150     X                                        150
Baxter Intl Inc                        COM    071813109     1,026       14,599     X                           10,000     4,599
Bayer A G Ord                          COM    D07112119        25          650     X                                        650
Bayer AG Spons ADR                     COM    072730302       327        8,370     X         X                            8,370
Bayerische Motoren Werke A G           COM    D12096109        40        1,300     X                                      1,300
BB&T Corp.                             COM    054937107     1,992       83,438     X                                     83,438
BCE Inc.                               COM    05534B109       198        8,328     X         X                            8,328
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
                                                                                                                         Item 8:
                                                          Item 4:                        Item 6:                  Voting Authority
                 Item 1:             Item 2:            Fair Market   Item 5:     Investment Discretion  Item 7:      (Shares)
             Name of Issuer         Title of  Item 3:      Value     Shares or    (a)  (b)Shared   (c)   Other   (a)     (b)   (c)
                                     Class     CUSIP     (X $1000) Principal Amt  Sole     Def    Other Managers Sole  Shared  None
-----------------------------------------------------------------------------------------------------------------------------------
<S>                                  <C>      <C>        <C>        <C>            <C>   <C>       <C>   <C>     <C>   <C>     <C>
Bear Stearns Companies, Inc.           COM    073902108     2,610       62,710     X         X                           62,710
Bell Atlantic Corp.                    COM    077853109    12,660      249,153     X         X                          249,153
BellSouth Corp.                        COM    079860102     1,416       33,222     X         X                           33,222
Belo A H Com Ser A                     COM    080555105     4,949      285,860     X                           88,200   197,660
Berkshire Hathaway Inc. Class A        COM    084670108    22,219          413     X                                        413
Berkshire Hathaway Inc. Class B        COM    084670207     9,166        5,208     X                                      5,208
Best Buy Inc.                          COM    086516101        19          300     X                                        300
Bestfoods                              COM    08658U101     3,261       47,094     X         X                    600    46,494
BHC Communications Inc.                COM    055448104        53          350     X                                        350
Biogen Inc.                            COM    090597105        87        1,350     X                                      1,350
Biomet Inc.                            COM    090613100        38        1,000     X                                      1,000
Biotech HOLDRS Tr                      COM    09067D201        53          300     X                                        300
Bio-Technology General Corp.           COM    090578105        70        5,300     X                                      5,300
Black & Decker Corp.                   COM    091797100       356        9,054     X                                      9,054
Blaze Software Inc                     COM    09347T109       183       13,400     X                                     13,400
Block H & R Inc.                       COM    093671105     1,284       39,665     X                           25,100    14,565
Blue Fish Clothing Inc.                COM    095480109         0          100     X                                        100
BMC Software                           COM    055921100        55        1,515     X                                      1,515
Bob Evans Farms Inc.                   COM    096761101         3          200               X                              200
Boeing Co.                             COM    097023105       934       22,347     X         X                           22,347
Bombardier Inc. Cl B                   COM    097751200        95        3,500     X                                      3,500
Boston Properties Inc.                 COM    101121101       462       11,969     X                                     11,969
Boston Scientific Corp.                COM    101137107       165        7,500     X                                      7,500
BP Amoco Plc -Spons ADR                COM    055622104    17,376      307,199     X         X                  5,356   301,843
BP Prudhoe Bay Rty Tr Unit Ben Int     COM    055630107        12        1,000     X                                      1,000
Brambles Industries LTD                COM    Q17481104     1,819       59,000     X                                     59,000
Brazos Sportswear Inc                  COM    106233109         0        1,500     X                                      1,500
Brenton Bank Inc.                      COM    107211104        61        4,392     X                                      4,392
Bristol-Myers Squibb Co.               COM    110122108    12,098      207,695     X         X                          207,695
British Telecommunications             COM    111021408       730        5,520     X                                      5,520
Broadcom Corp Cl A                     COM    111320107       569        2,600     X                                      2,600
Broadwing Inc                          COM    111620100    34,185    1,317,968     X         X                 43,900 1,274,068
Brocade Communications Sys Inc         COM    111621108       128          700     X                                        700
Brown Forman Corp. CL B                COM    115637209        39          729     X                                        729
Brown Forman Corp. Class A             COM    115637100        41          771     X                                        771
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
                                                                                                                         Item 8:
                                                          Item 4:                        Item 6:                  Voting Authority
                 Item 1:             Item 2:            Fair Market   Item 5:     Investment Discretion  Item 7:      (Shares)
             Name of Issuer         Title of  Item 3:      Value     Shares or    (a)  (b)Shared   (c)   Other   (a)     (b)   (c)
                                     Class     CUSIP     (X $1000) Principal Amt  Sole     Def    Other Managers Sole  Shared  None
-----------------------------------------------------------------------------------------------------------------------------------
<S>                                  <C>      <C>        <C>        <C>            <C>   <C>       <C>   <C>     <C>   <C>     <C>
Buckeye Partners L P Unit              COM    118230101        16          600     X                                        600
Buderus AG                             COM    D14224105     1,409       88,676     X                                     88,676
Burlington Northern Santa Fe Corp.     COM    12189T104       749       32,662     X         X                           32,662
Burlington Resources                   COM    122014103       208        5,435     X         X                            5,435
C P & L Energy Inc                     COM    12614C106       431       13,499     X                                     13,499
C S X Corp.                            COM    126408103       638       30,126     X         X                           30,126
Cable & Wireless HKT                   COM    126828102       120        5,591     X                                      5,591
Cabot Oil & Gas Corp                   COM    127097103       343       16,200     X                                     16,200
Cadbury Schweppes P L C                COM    127209302     2,094       79,760     X                                     79,760
Calico Commerce Inc                    COM    129897104       523       32,162     X                                     32,162
Calpine Corp.                          COM    131347106       487        7,400               X                            7,400
Camco Finl Corp                        COM    132618109         1          122     X                                        122
Campbell Soup Co.                      COM    134429109       137        4,700     X                                      4,700
Canadian Intl Power Ltd                COM    136159100         0        1,000     X                                      1,000
Canadian Pacific Ltd Com               COM    135923100       319       12,200     X                                     12,200
Cancer Diagnostics                     COM    137385100         0        3,000     X                                      3,000
Canon Inc. - Spon ADR                  COM    138006309     1,487       29,510     X                                     29,510
Canon Inc. ORD                         COM    J05124144     1,408       28,200     X                                     28,200
Capital One Financial Corp.            COM    14040H105        54        1,200     X                                      1,200
Cardinal Health Inc.                   COM    14149Y108       151        2,040     X                                      2,040
Cardo AB                               COM    W1991F100       655       37,800     X                                     37,800
Caremark Rx Inc.                       COM    141705103         3          476     X                                        476
Carlisle Cos Inc.                      COM    142339100         9          200     X                                        200
Carnival Corp.                         COM    143658102         8          400     X                                        400
Carrier Access Corp.                   COM    144460102        22          425     X                                        425
Catellus Dev Corp.                     COM    149111106     4,116      274,395     X                                    274,395
Caterpillar Inc.                       COM    149123101       256        7,550     X                                      7,550
CBRL Group Inc.                        COM    12489V106         3          200     X                                        200
C-Cube Microsystems Inc New            COM    12501N108        20        1,000     X                                      1,000
Cedar Fair, L.P. Dep Rec               COM    150185106       675       35,079     X                                     35,079
Cendant Corp.                          COM    151313103       796       56,886     X                                     56,886
Centennial Technologies Inc            COM    151392206         2          190     X                                        190
CenterBank                             COM    8S01605         505       25,000     X                                     25,000
Centerpoint Properties Corp.           COM    151895109        41        1,000     X                                      1,000
Central Vermont Pub Svc Corp.          COM    155771108        13        1,200     X                                      1,200
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
                                                                                                                         Item 8:
                                                          Item 4:                        Item 6:                  Voting Authority
                 Item 1:             Item 2:            Fair Market   Item 5:     Investment Discretion  Item 7:      (Shares)
             Name of Issuer         Title of  Item 3:      Value     Shares or    (a)  (b)Shared   (c)   Other   (a)     (b)   (c)
                                     Class     CUSIP     (X $1000) Principal Amt  Sole     Def    Other Managers Sole  Shared  None
-----------------------------------------------------------------------------------------------------------------------------------
<S>                                  <C>      <C>        <C>        <C>            <C>   <C>       <C>   <C>     <C>   <C>     <C>
Cephalon Inc.                          COM    156708109        36          600     X                                        600
Ceridian Corp.                         COM    15677T106        12          500     X                                        500
Cerner Corp.                           COM    156782104       109        4,000     X                                      4,000
Champion International Corp.           COM    158525105        65          900     X                                        900
Charter One Financial Inc.             COM    160903100    15,790      686,537     X                          111,704   574,833
Chase Manhattan Corp.                  COM    16161A108     3,378       73,327     X         X                           73,327
Chateau Communities Inc.               COM    161726104    20,086      711,005     X         X                 87,300   623,705
Checkers Drive-In Restaurants Inc.-New COM    162809305         3          750     X                                        750
Chemed Corp.                           COM    163596109        15          540     X                                        540
Cheung Kong Hong Kong ADR              COM    166744201       671       60,649     X                                     60,649
Chevron Corp.                          COM    166751107     4,122       48,597     X         X                           48,597
Chile Fund Inc.                        COM    168834109         7          690     X                                        690
Chiquita Brands $3.75 Ser B            COM    170032502        37        1,900     X                                      1,900
Chiron Corp.Del                        COM    170040109        25          516     X                                        516
Choice Hotels Intl Inc.                COM    169905106        13        1,350     X                                      1,350
Choicecare Inc.                        COM    170383103         2          208     X                                        208
Chubb Corp.                            COM    171232101     2,762       44,906     X         X                    600    44,306
Cigna Corp.                            COM    125509109       421        4,500     X                                      4,500
Cincinnati Financial Corp.             COM    172062101    15,716      499,900     X         X                          499,900
Cincinnati Inter Term RR Co            COM    172124109         3          100     X                                        100
Cincinnati Microwave Inc.              COM    172167108         0        1,079     X                                      1,079
Cinergy Corp.                          COM    172474108       196        7,689     X         X                            7,689
Cintas Corp.                           COM    172908105    25,965      707,711     X         X                 29,025   678,686
Circor Intl Inc                        COM    17273K109         1          150     X                                        150
Circuit City Stores Inc.               COM    172737108        27          800     X                                        800
Cisco Systems Inc.                     COM    17275R102    14,542      228,785     X         X                  1,000   227,785
Citigroup Capital I Tr PFD Sec 8.00%   COM    17305F201        15          606     X                                        606
Citigroup, Inc.                        COM    172967101    21,707      360,289     X         X                 25,549   334,740
Citizens Bkg Corp.                     COM    174420109        70        4,326     X                                      4,326
Citizens Communications Co             COM    17453B101       359       20,795     X                                     20,795
Citrix Systems Inc.                    COM    177376100        88        4,625     X                                      4,625
City Investing Co Liq Tr Unit Ben Int  COM    177900107         1          500     X                                        500
Clarcor Inc.                           COM    179895107        25        1,248     X                                      1,248
Clarus Corp.                           COM    182707109        47        1,200     X                                      1,200
Clayton Homes Inc.                     COM    184190106        40        5,000     X                                      5,000
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
                                                                                                                         Item 8:
                                                          Item 4:                        Item 6:                  Voting Authority
                 Item 1:             Item 2:            Fair Market   Item 5:     Investment Discretion  Item 7:      (Shares)
             Name of Issuer         Title of  Item 3:      Value     Shares or    (a)  (b)Shared   (c)   Other   (a)     (b)   (c)
                                     Class     CUSIP     (X $1000) Principal Amt  Sole     Def    Other Managers Sole  Shared  None
-----------------------------------------------------------------------------------------------------------------------------------
<S>                                  <C>      <C>        <C>        <C>            <C>   <C>       <C>   <C>     <C>   <C>     <C>
Clear Channel Communications           COM    184502102        14          183     X                                        183
Cleveland Cliffs Inc.                  COM    185896107        18          692     X                                        692
Clorox Co.                             COM    189054109        83        1,850     X                                      1,850
CMG Information Services Inc.          COM    125750109        58        1,270     X                                      1,270
CMS Energy Corp.                       COM    125896100        22        1,000     X                                      1,000
CNH Global N.V.                        COM    N20935107     1,162      125,661     X                                    125,661
Coastal Corp.                          COM    190441105        55          900     X                                        900
Coca Cola Co.                          COM    191216100    12,297      214,091     X                              400   213,691
Cohesion Technologies Inc.             COM    19248N101         5          400     X                                        400
Colgate-Palmolive Co.                  COM    194162103     6,313      105,429     X         X                          105,429
Comcast Corp. Class A                  COM    200300101        51        1,300     X                                      1,300
Comcast Corp. Class A Special          COM    200300200       194        4,778     X                                      4,778
Comdisco                               COM    200336105        40        1,795     X                                      1,795
Comerica Inc.                          COM    200340107        79        1,758     X                                      1,758
Commerce One Inc Del                   COM    200693109        15          330     X                                        330
Community Trust Bancorp Inc.           COM    204149108        16          931     X                                        931
Compaq Computer Corp.                  COM    204493100     1,685       65,897     X                           42,200    23,697
Computer Associates International Inc. COM    204912109        24          465     X                                        465
Computer Concepts Corp New             COM    204897300       252      277,700     X                                    277,700
Computer Sciences Corp.                COM    205363104        43          575     X                                        575
Conagra Inc.                           COM    205887102       297       15,600     X         X                           15,600
Conectiv Inc.                          COM    206829103        40        2,591     X                                      2,591
Conectiv Inc.- Cl A                    COM    206829202         7          275     X                                        275
Conexant Systems Inc.                  COM    207142100        60        1,224     X                                      1,224
Conoco Inc                             COM    208251405        83        3,382     X                                      3,382
Consolidated Edison Co N Y Inc.        COM    209111301        13          200     X                                        200
Consolidated Edison Inc.               COM    209115104        87        2,936     X                                      2,936
Constellation Energy Group             COM    210371100        41        1,250     X                                      1,250
Convergys Corp                         COM    212485106    44,472      857,287     X         X                  1,500   855,787
Cooper Industries                      COM    216669101        37        1,134     X                                      1,134
Cooper Tire & Rubber Co                COM    216831107        71        6,400     X                                      6,400
Corn Products International Inc.       COM    219023108        61        2,316     X         X                            2,316
Corning Inc.                           COM    219350105     3,708       13,738     X         X                           13,738
Coyote Network Systems Inc.            COM    22406P108        60       11,500     X                                     11,500
Credit Suisse Group - Spon ADR         COM    225401108        60        1,200     X                                      1,200
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
                                                                                                                         Item 8:
                                                          Item 4:                        Item 6:                  Voting Authority
                 Item 1:             Item 2:            Fair Market   Item 5:     Investment Discretion  Item 7:      (Shares)
             Name of Issuer         Title of  Item 3:      Value     Shares or    (a)  (b)Shared   (c)   Other   (a)     (b)   (c)
                                     Class     CUSIP     (X $1000) Principal Amt  Sole     Def    Other Managers Sole  Shared  None
-----------------------------------------------------------------------------------------------------------------------------------
<S>                                  <C>      <C>        <C>        <C>            <C>   <C>       <C>   <C>     <C>   <C>     <C>
Cree Research, Inc.                    COM    225447101       387        2,900     X                                      2,900
Cross A T Co Cl A                      COM    227478104        54       11,000     X                                     11,000
CVS Corp.                              COM    126650100     2,883       72,077     X                                     72,077
Cyber-Care Inc                         COM    23243T105         0           50     X                                         50
DaimlerChrysler A.G.                   COM    D1668R123     1,412       27,128     X                                     27,128
Dana Corp.                             COM    235811106        23        1,090     X         X                            1,090
Danone                                 COM    399449107     1,643       61,000     X                                     61,000
Darden Restaurants Inc.                COM    237194105        60        3,668     X                                      3,668
Dassault Particpa FRF                  COM    F2455Z102         0          150     X                                        150
Data Race Inc.                         COM    237842109         7        1,000     X                                      1,000
Dave & Busters Inc.                    COM    23833N104        13        2,151     X                                      2,151
Dayton & Michigan RR                   COM    239649205        15          357     X                                        357
Dayton & Michigan RR Co                COM    239649106        17          608     X                                        608
Deere & Co                             COM    244199105       417       11,275     X                                     11,275
Dell Computer Corp.                    COM    247025109    15,986      324,165     X         X                  1,000   323,165
Delphi Automotive Sys Corp             COM    247126105        49        3,359     X         X                            3,359
Delta Air Lines Inc.                   COM    247361108       321        6,350     X                              500     5,850
Detection Systems Inc.                 COM    250644101        13        1,350     X                                      1,350
Detroit Mtg & Rlty Co                  COM    251273108        66       11,046     X                                     11,046
Deutsche Bank Sponsored ADR            COM    251525309        83        1,000     X                                      1,000
Deutsche Lufthansa A G                 COM    251561304       414       17,608     X                                     17,608
Deutsche Lufthansa New                 COM    D1908N106     1,500       64,000     X                                     64,000
Dexter Corp.                           COM    252165105       125        2,600     X                                      2,600
Diageo PLC-Sponsored ADR New           COM    25243Q205     1,454       40,886     X                                     40,886
Dial Corp.                             COM    25247D101     1,462      140,902     X         X                 65,000    75,902
Diebold Inc.                           COM    253651103       250        8,955     X                                      8,955
Digex Inc. Cl A                        COM    253756100        34          500     X                                        500
Digital Lightwave, Inc.                COM    253855100        15          150     X                                        150
Div Reinvest Plan SBC Commun Inc       COM    SSBC9ZZZZ        27          632               X                              632
Dole Food Company                      COM    256605106       115        8,200     X                                      8,200
Dollar General Corp.                   COM    256669102        32        1,625     X                                      1,625
Dominion Res Inc Va New                COM    25746U109        61        1,430     X                                      1,430
Donaldson Inc.                         COM    257651109     1,130       57,200     X         X                           57,200
Donnelley (R R) & Sons Co              COM    257867101        72        3,200     X                                      3,200
Dover Corp.                            COM    260003108    14,062      346,681     X                           22,200   324,481
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
                                                                                                                         Item 8:
                                                          Item 4:                        Item 6:                  Voting Authority
                 Item 1:             Item 2:            Fair Market   Item 5:     Investment Discretion  Item 7:      (Shares)
             Name of Issuer         Title of  Item 3:      Value     Shares or    (a)  (b)Shared   (c)   Other   (a)     (b)   (c)
                                     Class     CUSIP     (X $1000) Principal Amt  Sole     Def    Other Managers Sole  Shared  None
-----------------------------------------------------------------------------------------------------------------------------------
<S>                                  <C>      <C>        <C>        <C>            <C>   <C>       <C>   <C>     <C>   <C>     <C>
Dow Chemical Co                        COM    260543103     1,296       42,915     X         X                           42,915
Dow Jones & Co                         COM    260561105     1,127       15,380     X                            8,000     7,380
DPL Inc.                               COM    233293109       801       36,510     X                                     36,510
Dresdner Bank AG New ADR               COM    261561302        42        1,000     X                                      1,000
DTE Energy CO                          COM    233331107       122        4,005     X         X                            4,005
DTM Corp                               COM    23333L103         2        1,000     X                                      1,000
Du Pont (EI) de Nemours and Co.        COM    263534109     1,237       28,267     X         X                           28,267
Du Pont E I De Nemours & Co            COM    263534307        28          420     X                                        420
Duke Energy Corp.                      COM    264399106       424        7,522     X                                      7,522
Duke Realty Investments, Inc.          COM    264411505     1,014       45,300     X                           31,300    14,000
Dun & Bradstreet Corp.                 COM    26483B106       356       12,437     X                                     12,437
Duramed Pharmaceuticals Inc.           COM    266354109        27        5,000     X                                      5,000
Dusa Pharmaceuticals Inc.              COM    266898105       962       32,600     X                                     32,600
Dycap Inc.                             COM    267850998         0          100     X                                        100
Eagle Geophysical Inc                  COM    269524104         0          192     X                                        192
Earthlink Inc                          COM    270321102        12          800     X                                        800
Earthweb Inc                           COM    27032C108         3          200     X                                        200
Eastman Kodak Co.                      COM    277461109       744       12,501     X                                     12,501
Eaton Corp.                            COM    278058102       171        2,550     X         X                            2,550
Ebay Inc Com                           COM    278642103        11          200     X                                        200
ECI Telecom Limited ORD                COM    268258100        27          750     X                                        750
Ecolab                                 COM    278865100        63        1,600     X                                      1,600
Edison International                   COM    281020107        90        4,400     X                                      4,400
Edwards Lifesciences Corp              COM    28176E108         7          358     X                                        358
El Paso Energy Corp                    COM    283905107       266        5,222     X         X                            5,222
Elan Corp. ADR                         COM    284131208       165        3,400     X                                      3,400
Electronic Data Systems                COM    285661104        19          460     X                                        460
EMC Corp.                              COM    268648102       274        3,560     X                                      3,560
Emerson Electric Co.                   COM    291011104    22,026      364,812     X         X                 11,750   353,062
Endesa S.A. ADR                        COM    29258N107     1,318       67,600     X                                     67,600
Enerco Inc.                            COM    29265H101         0        4,000     X                                      4,000
Energizer Hldgs Inc                    COM    29266R108        16          854     X                                        854
Ennis Business Forms Inc.              COM    293389102       202       25,312     X         X                           25,312
Enron Capital Resources LP 9.0% Cum PF COM    29357D208        94        3,700     X                                      3,700
Enron Corp                             COM    293561106       499        7,735     X                                      7,735
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
                                                                                                                         Item 8:
                                                          Item 4:                        Item 6:                  Voting Authority
                 Item 1:             Item 2:            Fair Market   Item 5:     Investment Discretion  Item 7:      (Shares)
             Name of Issuer         Title of  Item 3:      Value     Shares or    (a)  (b)Shared   (c)   Other   (a)     (b)   (c)
                                     Class     CUSIP     (X $1000) Principal Amt  Sole     Def    Other Managers Sole  Shared  None
-----------------------------------------------------------------------------------------------------------------------------------
<S>                                  <C>      <C>        <C>        <C>            <C>   <C>       <C>   <C>     <C>   <C>     <C>
Ensco International Inc.               COM    26874Q100       978       27,300     X                                     27,300
Equitable Resources Inc.               COM    294549100        24          500     X                                        500
Equity Office Properties Trust         COM    294741103        14          500     X                                        500
Equity Residential Interest Trust      COM    29476L883       131        5,100     X                                      5,100
Equity Residential Properties Trust    COM    29476L107       947       20,597     X                                     20,597
Ericsson L M Tel Co ADR Cl B           COM    294821400     1,047       52,364     X                            4,000    48,364
Eshare Technologies Inc Ga             COM    296428105         7        1,000     X                                      1,000
Estee Lauder Companies                 COM    518439104        49        1,000     X                                      1,000
Excelon Corporation                    COM    300691102         6          700     X                                        700
Exodus Communications Inc.             COM    302088109        46        1,000     X                                      1,000
Exxon Mobil Corp.                      COM    30231G102    38,739      493,488     X         X                          493,488
Family Dollar Stores Inc.              COM    307000109     2,067      105,650     X                           28,500    77,150
Fannie Mae                             COM    313586109    33,655      644,887     X         X                 31,500   613,387
Farmer Brothers Co                     COM    307675108        96          550     X                                        550
Fastenal Co.                           COM    311900104        10          200     X                                        200
Federal Mogul Corp.                    COM    313549107        91        9,526     X         X                            9,526
Federal Realty Investment Trust        COM    313747206        58        2,900     X                                      2,900
Federal Signal Corp.                   COM    313855108        18        1,066     X                                      1,066
Federated Department Stores            COM    31410H101       491       14,551     X                                     14,551
Fedex Corp                             COM    31428X106        76        2,000     X                                      2,000
Ferro Corp.                            COM    315405100     1,845       87,834     X                           57,600    30,234
Fifth Third Bancorp                    COM    316773100    40,203      635,616     X         X                          635,616
Finger Lakes Financial Corp.           COM    317948107        13        1,800     X                                      1,800
Finova Group Inc.                      COM    317928109       228       17,575     X         X                           17,575
Fired Up Inc.                          COM    8S00969           5        2,000     X                                      2,000
First American Finl Corp               COM    318522307        33        2,300     X         X                            2,300
First Bell Bancorp Inc.                COM    319301107       441       28,900     X                                     28,900
First City Liquidating Trust           COM    33762E108       658       44,042     X                                     44,042
First Data Corp.                       COM    319963104       248        5,000     X         X                            5,000
First Finl Bancorp                     COM    320209109       164        8,345     X                                      8,345
First Franklin Corp.                   COM    320272107         8          900               X                              900
First Tennessee                        COM    337162101     4,418      266,716     X                           65,800   200,916
First Union Corp.                      COM    337358105       238        9,590     X                                      9,590
First VA Banks Inc.                    COM    337477103        38        1,100     X                                      1,100
Firstar Corporation                    COM    33763V109    21,831    1,036,476     X         X                        1,036,476
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
                                                                                                                         Item 8:
                                                          Item 4:                        Item 6:                  Voting Authority
                 Item 1:             Item 2:            Fair Market   Item 5:     Investment Discretion  Item 7:      (Shares)
             Name of Issuer         Title of  Item 3:      Value     Shares or    (a)  (b)Shared   (c)   Other   (a)     (b)   (c)
                                     Class     CUSIP     (X $1000) Principal Amt  Sole     Def    Other Managers Sole  Shared  None
-----------------------------------------------------------------------------------------------------------------------------------
<S>                                  <C>      <C>        <C>        <C>            <C>   <C>       <C>   <C>     <C>   <C>     <C>
Firstenergy Corp.                      COM    337932107        44        1,900     X                                      1,900
Firstmerit Corp.                       COM    337915102       213        9,950     X                                      9,950
Fiserv Inc.                            COM    337738108        12          275     X                                        275
Fleet Boston Financial Corp.           COM    339030108       490       14,406     X         X                           14,406
Fleetwood Enterprises Inc.             COM    339099103     1,871      131,280     X                           74,900    56,380
Flextronics International Ltd          COM    Y2573F102       124        1,806     X                                      1,806
Florida Progress                       COM    341109106       128        2,737     X                                      2,737
FMC Corp.                              COM    302491303       151        2,600               X                            2,600
Ford Motor Co.                         COM    345370100    10,674      248,233     X                           35,000   213,233
Foreign & Colonial Eurotrust           COM    G3623T100       284       27,500     X                                     27,500
Fort James Corp.                       COM    347471104        41        1,771     X                                      1,771
Fortune Brands Inc.                    COM    349631101       146        6,352     X                                      6,352
FPL Group Inc.                         COM    302571104       179        3,616     X                                      3,616
Franchise Finance Corp. of America     COM    351807102        60        2,594     X                                      2,594
Freddie Mac                            COM    313400301    26,742      660,307     X         X                          660,307
Freeport McMoran Copper And Gold       COM    35671D857        29        3,125     X                                      3,125
Fremont General Corp.                  COM    357288109         4          990               X                              990
Friedman Billings Ramsey Grp Inc. CL A COM    358433100         8        1,000     X                                      1,000
Frontier Insurance Group Inc.          COM    359081106        27       42,760     X                                     42,760
Fujitsu Ltd                            COM    359590304       759        4,377     X                                      4,377
Fujitsu Ltd Ord                        COM    J15708159     1,742       50,200     X                                     50,200
Gallaher Group PLC-Spon ADR            COM    363595109        35        1,617     X                                      1,617
Gannett Co                             COM    364730101     2,496       41,732     X         X                           41,732
Gap Inc.                               COM    364760108        21          668     X                                        668
Gartner Group Inc. - CL B              COM    366651206        29        2,895     X                                      2,895
Gateway Inc.                           COM    367626108       204        3,600     X                                      3,600
Gatx Corp.                             COM    361448103     5,272      155,062     X         X                 47,200   107,862
Genentech Inc                          COM    368710406         4           25     X                                         25
General Electric Co.                   COM    369604103    60,744    1,146,108     X         X                  2,400 1,143,708
General Magic Inc.                     COM    370253106         3          400     X                                        400
General Mills Inc.                     COM    370334104       334        8,721     X                                      8,721
General Motors Corp.                   COM    370442105     3,524       60,689     X         X                           60,689
General Motors Corp. - CL H New        COM    370442832       103        1,171     X                                      1,171
Genome Therapeutics Corp.              COM    372430108        73        2,400     X                                      2,400
Gentex Corp.                           COM    371901109        75        3,000     X                                      3,000
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
                                                                                                                         Item 8:
                                                          Item 4:                        Item 6:                  Voting Authority
                 Item 1:             Item 2:            Fair Market   Item 5:     Investment Discretion  Item 7:      (Shares)
             Name of Issuer         Title of  Item 3:      Value     Shares or    (a)  (b)Shared   (c)   Other   (a)     (b)   (c)
                                     Class     CUSIP     (X $1000) Principal Amt  Sole     Def    Other Managers Sole  Shared  None
-----------------------------------------------------------------------------------------------------------------------------------
<S>                                  <C>      <C>        <C>        <C>            <C>   <C>       <C>   <C>     <C>   <C>     <C>
Genuine Parts Co.                      COM    372460105       118        5,905     X                                      5,905
Genzyme Corp.-General Division         COM    372917104        17          284     X                                        284
Genzyme Surgical Products              COM    372917609         0           50     X                                         50
Genzyme-Molecular Oncology             COM    372917500         0           30     X                                         30
Georgia Pacific Corp. (Timber Group)   COM    373298702        36        1,674     X                                      1,674
Georgia-Pacific Corp.                  COM    373298108        98        3,724     X                                      3,724
Gerber Scientific Inc.                 COM    373730100        14        1,200     X                                      1,200
Gillette Co.                           COM    375766102       220        6,300     X                                      6,300
Glacier Bancorp Inc                    COM    37637Q105       114        8,678     X                                      8,678
Glaxo Wellcome PLC - Spons ADR         COM    37733W105       283        4,900     X                                      4,900
Global Crossing Ltd.                   COM    G3921A100       307       11,655     X                                     11,655
Globalstar Telecommunications LTD - OR COM    G3930H104        10        1,100     X                                      1,100
Go.Com                                 COM    254687205        21        1,725     X                                      1,725
Golden West Finl Corp. Del             COM    381317106        73        1,800     X                                      1,800
Goodyear Tire & Rubber Co              COM    382550101        11          526     X                                        526
GPU Inc.                               COM    36225X100        32        1,200     X                                      1,200
Grainger WW Inc.                       COM    384802104        31        1,000     X                                      1,000
Grupo Televisa, S.A. GDS               COM    40049J206        55          800     X                                        800
Gte Corp                               COM    362320103       862       13,846     X         X                           13,846
Guidant Corp.                          COM    401698105     6,476      130,822     X                            6,200   124,622
H & Q Life Sciences Investors          COM    404053100       256        8,616     X                                      8,616
H B Fuller Co                          COM    359694106         7          150     X                                        150
H J Heinz Co                           COM    423074103     2,572       58,783     X         X                           58,783
Halliburton Co.                        COM    406216101       830       17,583     X                                     17,583
Hancock John Finl Services Inc.        COM    41014S106        39        1,634     X                                      1,634
Hanna M A CO                           COM    410522106       164       18,175     X                                     18,175
Harcourt General Inc.                  COM    41163G101        61        1,128               X                            1,128
Harley Davidson, Inc.                  COM    412822108       354        9,200     X                                      9,200
Harris Corp.                           COM    413875105        43        1,300     X                                      1,300
Hartford Financial Services Group Inc. COM    416515104     1,103       19,722     X         X                           19,722
Hasbro Inc.                            COM    418056107        54        3,587     X                                      3,587
Hawaiian Elec Inds Inc.                COM    419870100        66        2,000     X                                      2,000
HCA-Healthcare Co                      COM    404119109       343       11,300     X                                     11,300
Health Management Associates, Inc. Cl  COM    421933102        53        4,050     X                                      4,050
Hearst-Argyle Television Inc.          COM    422317107       146        7,504     X                                      7,504
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
                                                                                                                         Item 8:
                                                          Item 4:                        Item 6:                  Voting Authority
                 Item 1:             Item 2:            Fair Market   Item 5:     Investment Discretion  Item 7:      (Shares)
             Name of Issuer         Title of  Item 3:      Value     Shares or    (a)  (b)Shared   (c)   Other   (a)     (b)   (c)
                                     Class     CUSIP     (X $1000) Principal Amt  Sole     Def    Other Managers Sole  Shared  None
-----------------------------------------------------------------------------------------------------------------------------------
<S>                                  <C>      <C>        <C>        <C>            <C>   <C>       <C>   <C>     <C>   <C>     <C>
Helix Technology Inc.                  COM    423319102       881       22,600     X                                     22,600
Helmerich & Payne                      COM    423452101       546       14,600     X         X                           14,600
Hershey Foods Corp.                    COM    427866108       863       17,720     X                                     17,720
Hewlett-Packard Co.                    COM    428236103    33,715      269,991     X         X                          269,991
Highwoods Properties Inc.              COM    431284108     2,057       85,720     X                                     85,720
Hillenbrand Industries Inc.            COM    431573104       612       19,553     X                                     19,553
Hilton Hotels Corp.                    COM    432848109       169       18,000     X                                     18,000
HL&P Capital Trust I-8.125% Tr PFD Sr  COM    404202202        44        2,000     X                                      2,000
Holly Corp. Com Par $0.01              COM    435758305         0            8     X                                          8
Hologic Inc.                           COM    436440101        16        2,400     X                                      2,400
Home Depot Inc.                        COM    437076102    24,930      499,224     X         X                          499,224
HON Industries Inc.                    COM    438092108     1,195       50,862     X                           46,300     4,562
Honda Motor LTD AMER SHS               COM    438128308         3           50     X                                         50
Honeywell International Inc.           COM    438516106       466       13,830     X                                     13,830
Household International Inc.           COM    441815107       149        3,580     X         X                            3,580
HRPT Proprties Trust                   COM    40426W101        13        2,200     X                                      2,200
HSBC Holdings (Hong Kong Reg)          COM    H008111         400       35,000     X                                     35,000
Hubbell Inc.  CL B                     COM    443510201       156        6,122               X                            6,122
Huffy Corp.                            COM    444356109         5        1,200     X                                      1,200
Human Genome Sciences Inc.             COM    444903108       714        5,350     X                                      5,350
Hunkar Laboratories Inc.               COM    8S02052           0            3     X                                          3
Huntington Bancshares Inc.             COM    446150104     3,876      245,129     X                                    245,129
Hutchinson Whampoa - Unsp ADR          COM    448415208        76        1,100     X                                      1,100
Hybrid Networks Inc.                   COM    44860K102         3          362     X                                        362
iBasis, Inc.                           COM    450732102        22          500     X                                        500
IBP Inc.                               COM    449223106        37        2,400     X                                      2,400
Identix Inc.                           COM    451906101         5          300     X                                        300
IFCO Systems N.V.                      COM    N43961106        10          393     X                                        393
Illinois Tool Works                    COM    452308109     2,946       51,690     X                              350    51,340
Imation Corp.                          COM    45245A107         6          190     X                                        190
Imclone Systems Inc                    COM    45245W109       111        1,450     X                                      1,450
IMS Health Inc.                        COM    449934108       401       22,254     X                                     22,254
Imx Pharmaceuticals Inc                COM    449730209        63       84,010     X                                     84,010
Incyte Pharmaceuticals Inc.            COM    45337C102        29          350     X                                        350
Infocus Corp                           COM    45665B106       109        3,400               X                            3,400
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
                                                                                                                         Item 8:
                                                          Item 4:                        Item 6:                  Voting Authority
                 Item 1:             Item 2:            Fair Market   Item 5:     Investment Discretion  Item 7:      (Shares)
             Name of Issuer         Title of  Item 3:      Value     Shares or    (a)  (b)Shared   (c)   Other   (a)     (b)   (c)
                                     Class     CUSIP     (X $1000) Principal Amt  Sole     Def    Other Managers Sole  Shared  None
-----------------------------------------------------------------------------------------------------------------------------------
<S>                                  <C>      <C>        <C>        <C>            <C>   <C>       <C>   <C>     <C>   <C>     <C>
Information Architects Corp            COM    45669R107        10        1,500     X                                      1,500
Infospace Com Inc.                     COM    45678T102        28          500     X                                        500
Ing Groep NV Spons ADR                 COM    456837103        37          552     X                                        552
Integral Technologies Inc              COM    45810J103         1          700     X                                        700
Intel Corp.                            COM    458140100    67,048      501,524     X         X                    800   500,724
Intelect Communications Inc.           COM    458144102         2        1,000     X                                      1,000
Inter-Digital Communications Corp.     COM    45866A105        50        3,000     X                                      3,000
International Business Machines Corp.  COM    459200101    27,700      252,820     X         X                  6,700   246,120
International Flavors & Fragrances     COM    459506101        45        1,500     X                                      1,500
International Home Foods Inc           COM    459655106        42        2,000               X                            2,000
International Paper Co.                COM    460146103        91        3,051     X         X                            3,051
International Speedway Corp.           COM    460335201     6,288      151,967     X                                    151,967
Internet Cap Group Inc                 COM    46059C106        57        1,550     X                                      1,550
Internet HOLDRs Tr                     COM    46059W102        11          100     X                                        100
Internet Infrastructr Holds Tr         COM    46059V104       106        1,700     X                                      1,700
Interpublic Group Companies Inc.       COM    460690100        52        1,200     X                                      1,200
Intl Speedway Corp. Cl B               COM    460335300       307        7,400     X                                      7,400
Invacare Corp.                         COM    461203101       210        8,000     X                                      8,000
Invensys PLC ORD                       COM    G49133104     1,059      282,400     X                                    282,400
Invensys PLC Spons Adr                 COM    461204109       408       54,400     X                                     54,400
INVESCO Asia Trust                     COM    H000379         206      190,000     X                                    190,000
Invesco Global Health Sciences Fund    COM    46128N109       516       28,471     X                                     28,471
Invesco Tokyo Trust                    COM    H000381         147      176,000     X                                    176,000
Investor AB Stockholm                  COM    W48102102        10          760     X                                        760
Iomega Corp.                           COM    462030107         2          400     X                                        400
Ipalco Enterprises Inc.                COM    462613100       145        7,200               X                            7,200
IRT Property Co                        COM    450058102        20        2,400     X                                      2,400
IShares Inc Hong Kong Index Fd         COM    464286871        51        4,150     X                                      4,150
IShares Inc Japan Index Fd             COM    464286848       114        7,500     X                                      7,500
IShares Inc Malaysia Free Index Fd     COM    464286830        32        5,100     X                                      5,100
IShares Inc Singapore Index Fd         COM    464286673        46        6,125     X                                      6,125
ISIS Pharmaceuticals                   COM    464330109       787       54,300     X                                     54,300
ISS Group Inc                          COM    450306105        30          300     X                                        300
Ito Yokado Ltd ADR - New               COM    465714301       576        9,295     X                                      9,295
ITT Industries, Inc.                   COM    450911102       131        4,300     X         X                            4,300
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
                                                                                                                         Item 8:
                                                          Item 4:                        Item 6:                  Voting Authority
                 Item 1:             Item 2:            Fair Market   Item 5:     Investment Discretion  Item 7:      (Shares)
             Name of Issuer         Title of  Item 3:      Value     Shares or    (a)  (b)Shared   (c)   Other   (a)     (b)   (c)
                                     Class     CUSIP     (X $1000) Principal Amt  Sole     Def    Other Managers Sole  Shared  None
-----------------------------------------------------------------------------------------------------------------------------------
<S>                                  <C>      <C>        <C>        <C>            <C>   <C>       <C>   <C>     <C>   <C>     <C>
Ixl Enterprises Inc                    COM    450718101         9          600     X                                        600
J M Smucker Co Cl B                    COM    832696207        88        4,700     X         X                            4,700
J M Smucker Co.                        COM    832696108        39        2,000     X                                      2,000
J P Morgan & Co.                       COM    616880100     5,894       53,518     X         X                    250    53,268
Jardine Strategic Holdings Ltd         COM    G50764102     1,518      507,828     X                                    507,828
Jefferson-Pilot Corp.                  COM    475070108     1,182       20,950     X         X                           20,950
John Hancock Bank & Thrift             COM    409735107        37        5,600     X                                      5,600
John Hancock Patriot Select            COM    41013U102        71        5,700     X                                      5,700
Johnson & Johnson                      COM    478160104    20,724      203,423     X         X                  7,600   195,823
Johnson Controls Inc.                  COM    478366107     1,416       27,602     X         X                  8,200    19,402
Jos E. Seagram & Sons Inc SR           COM    811845205        44        2,000     X                                      2,000
K Mart Corp.                           COM    482584109         1          150     X                                        150
Kansas City Power & Light Co           COM    485134100     1,577       70,075     X                           40,800    29,275
Kansas City Southern Ind Inc.          COM    485170104    54,466      614,126     X         X                 31,300   582,826
Kaydon Corp.                           COM    486587108     3,295      156,900     X                           39,300   117,600
Kellwood Co                            COM    488044108        53        2,500               X                            2,500
KEMET Corp.                            COM    488360108        15          600     X                                        600
Kerr-McGee Corp.                       COM    492386107       583        9,884     X         X                            9,884
Keycorp New                            COM    493267108       651       36,950     X         X                           36,950
Keyspan Corporation                    COM    49337W100       142        4,602     X                                      4,602
Keystone Financial Inc.                COM    493482103        33        1,562     X                                      1,562
Kimberly-Clark Corp.                   COM    494368103     1,238       21,576     X         X                           21,576
KIMCO Realty 8.5% Cumulative           COM    49446R505        44        2,000     X                                      2,000
KIMCO Realty Corp.                     COM    49446R109        41        1,000     X                                      1,000
Kinder Morgan Energy Partners LP       COM    494550106       902       22,573     X         X                           22,573
KMart Financing I 7.75% Conv           COM    498778208         7          200     X                                        200
Knight Trading Group Inc               COM    499063105        15          500     X                                        500
Kohls Corp.                            COM    500255104       148        2,664     X                                      2,664
Koninklijke Ahold NV-SP ADR            COM    500467303        10          330     X                                        330
Koninklijke Philips Electronics NV ADR COM    500472204       798       16,800     X                                     16,800
Korea Electric Power Corp. ADR         COM    500631106       848       46,000     X                                     46,000
Korea Fund Inc.                        COM    500634100       851       60,514     X                                     60,514
Kroger Co.                             COM    501044101     3,382      153,280     X         X                          153,280
Kroll O Gara Co.                       COM    501050108         3          500     X                                        500
L S Starrett Co                        COM    855668109         7          400               X                              400
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
                                                                                                                         Item 8:
                                                          Item 4:                        Item 6:                  Voting Authority
                 Item 1:             Item 2:            Fair Market   Item 5:     Investment Discretion  Item 7:      (Shares)
             Name of Issuer         Title of  Item 3:      Value     Shares or    (a)  (b)Shared   (c)   Other   (a)     (b)   (c)
                                     Class     CUSIP     (X $1000) Principal Amt  Sole     Def    Other Managers Sole  Shared  None
-----------------------------------------------------------------------------------------------------------------------------------
<S>                                  <C>      <C>        <C>        <C>            <C>   <C>       <C>   <C>     <C>   <C>     <C>
L S Starrett Co Cl B                   COM    855668208         6          400               X                              400
LaClede Gas Co                         COM    505588103        56        2,900     X                                      2,900
Laidlaw Inc. New                       COM    50730K503         1        1,600     X                                      1,600
LAM Research Corp.                     COM    512807108        11          300     X                                        300
Lancaster Colony Corp.                 COM    513847103       792       41,250     X                           34,000     7,250
Laser Corp                             COM    518056205        10        1,597     X                                      1,597
Latin American Investment Fd Inc.      COM    518279104       104        7,000     X                                      7,000
LCA-Vision Inc.                        COM    501803209       171       70,300     X                                     70,300
LCNB Corp                              COM    50181P100        71        1,800     X                                      1,800
Legg Mason, Inc.                       COM    524901105        56        1,110     X         X                            1,110
Leggett & Platt Inc.                   COM    524660107       718       43,500     X                                     43,500
Lehman Brothers Holdings Inc           COM    524908100        43          455     X                                        455
Level 3 Communications Inc.            COM    52729N100         9          100     X                                        100
LG & E Energy                          COM    501917108     1,319       55,229     X         X                           55,229
Ligand Pharmaceuticals Inc.            COM    53220K207       343       26,000     X                                     26,000
Lilly (Eli) & Co.                      COM    532457108     6,396       64,040     X                                     64,040
Lincoln National Corp. Ind.            COM    534187109     1,922       53,207     X                           21,000    32,207
Littlefuse Inc.                        COM    537008104       108        2,200     X                                      2,200
Lloyds TSB Group PLC                   COM    G5542W106       973      103,000     X                                    103,000
Lockheed Martin Corp.                  COM    539830109     3,165      127,554     X         X                 19,100   108,454
Loews Corp.                            COM    540424108     1,593       26,550     X                           17,900     8,650
Losantiville Cnty Club Land            COM    8S02062           4           17     X                                         17
Louisiana Pacific Corp.                COM    546347105        34        3,170     X                                      3,170
Lowe's Companies, Inc.                 COM    548661107       576       14,025     X                                     14,025
LSI Industries Inc                     COM    50216C108        36        2,400     X                                      2,400
LSI Logic Corp.                        COM    502161102        54        1,000     X                                      1,000
Lubys Cafeterias Inc.                  COM    549282101        20        2,535     X                                      2,535
Lucent Technologies Inc.               COM    549463107    22,630      381,936     X         X                          381,936
Lunar Corp.                            COM    550362107         5          300     X                                        300
M C N Corp.                            COM    55267J100        42        1,980     X                                      1,980
M D U Resources Group, Inc.            COM    552690109        39        1,800     X                                      1,800
Madge Networks N.V.                    COM    N5424G106         3          550     X                                        550
Madison Oil Co Inc                     COM    558129102         0            1     X                                          1
MAF Bancorp                            COM    55261R108        42        2,299     X                                      2,299
Magna International Inc.               COM    559222401       128        2,700     X                                      2,700
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
                                                                                                                         Item 8:
                                                          Item 4:                        Item 6:                  Voting Authority
                 Item 1:             Item 2:            Fair Market   Item 5:     Investment Discretion  Item 7:      (Shares)
             Name of Issuer         Title of  Item 3:      Value     Shares or    (a)  (b)Shared   (c)   Other   (a)     (b)   (c)
                                     Class     CUSIP     (X $1000) Principal Amt  Sole     Def    Other Managers Sole  Shared  None
-----------------------------------------------------------------------------------------------------------------------------------
<S>                                  <C>      <C>        <C>        <C>            <C>   <C>       <C>   <C>     <C>   <C>     <C>
Mandalay Resort Group                  COM    562567107         3          150               X                              150
Manor Care Inc                         COM    564055101         9        1,350     X                                      1,350
Manulife Finl Corp                     COM    56501R106        33        1,826     X                                      1,826
Marconi PLC-Unsponsored ADR            COM    566306106        39        3,000     X                                      3,000
Markel Corp.                           COM    570535104        28          200     X                                        200
Marriott International Cl A            COM    571903202        50        1,383     X         X                            1,383
Marsh & McLennan Cos Inc               COM    571748102       244        2,340     X                                      2,340
Marshall & Ilsley Corp.                COM    571834100     1,596       38,450     X                                     38,450
Martha Stewart Living Omnimed          COM    573083102         4          200     X                                        200
Martin Marietta Materials              COM    573284106     7,930      196,104     X                           31,500   164,604
Masco Corp.                            COM    574599106       141        7,812     X         X                            7,812
Mascotech Inc.                         COM    574670105        32        3,000     X                                      3,000
Matsumotokiyoshi Co ltd                COM    J40885105     1,125       10,700     X                                     10,700
Matsushita Elec Ind                    COM    576879209       649        2,524     X                                      2,524
Matsushita Electric Indl Co            COM    J41121104     1,503       57,800     X                                     57,800
Mattel Inc.                            COM    577081102       579       43,896     X                                     43,896
May Department Stores                  COM    577778103       867       36,145     X         X                           36,145
MBIA, Inc.                             COM    55262C100       322        6,690     X                                      6,690
MBNA Corp.                             COM    55262L100     6,094      224,659     X                                    224,659
McCormick & Co.                        COM    579780206     1,949       59,978     X                                     59,978
McDonalds Corp.                        COM    580135101    20,593      625,192     X         X                 18,100   607,092
MCI Capital I 8.00% Cum PFD Ser A      COM    55267Y206        23        1,000     X                                      1,000
McKesson HBOC Inc.                     COM    58155Q103       810       38,700     X                                     38,700
McMoran Exploration Co                 COM    582411104         0            5     X                                          5
McNeal Real Estate Fd                  COM    9021974          10           20     X                                         20
McWhorter Technologies                 COM    582803102        31        1,600     X                                      1,600
Mead Corp.                             COM    582834107       188        7,433     X         X                            7,433
Media General Inc. Class A             COM    584404107        39          800               X                              800
MediaOne Group Inc.                    COM    58440J104     1,346       19,664     X         X                           19,664
Medtronic Inc.                         COM    585055106     4,843       97,227     X         X                    900    96,327
Mellon Finl Corp                       COM    58551A108    26,159      717,901     X         X                          717,901
Mercantile Bankshares Corp.            COM    587405101       107        3,600               X                            3,600
Merck & Co., Inc.                      COM    589331107    40,385      527,051     X         X                  8,800   518,251
Meridian Diagnostics Inc.              COM    589602101        17        2,173     X         X                            2,173
Merrill Lynch & Co 9% Cum Pfd          COM    590188819        29        1,000     X                                      1,000
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
                                                                                                                         Item 8:
                                                          Item 4:                        Item 6:                  Voting Authority
                 Item 1:             Item 2:            Fair Market   Item 5:     Investment Discretion  Item 7:      (Shares)
             Name of Issuer         Title of  Item 3:      Value     Shares or    (a)  (b)Shared   (c)   Other   (a)     (b)   (c)
                                     Class     CUSIP     (X $1000) Principal Amt  Sole     Def    Other Managers Sole  Shared  None
-----------------------------------------------------------------------------------------------------------------------------------
<S>                                  <C>      <C>        <C>        <C>            <C>   <C>       <C>   <C>     <C>   <C>     <C>
Merrill Lynch & Co., Inc.              COM    590188108       812        7,060     X                                      7,060
Merrill Lynch Capt Trust II            COM    59021C203        14          600     X                                        600
Merry Land Properties Inc              COM    590441101         0           87     X                                         87
Metricom Inc.                          COM    591596101         1           50     X                                         50
Michelin S A, Cie Generale Des         COM    F61824144     1,092       33,900     X                                     33,900
Micron Technology Inc.                 COM    595112103        41          470     X                                        470
Microsoft Corp.                        COM    594918104    48,940      611,750     X         X                  1,200   610,550
Midas Inc.                             COM    595626102         2           95     X                                         95
Milacron Inc                           COM    598709103       359       24,753     X                                     24,753
Milacron Inc 4% PFD                    COM    598709202         4          108     X                                        108
Millenium Pharmaceuticals              COM    599902103       185        1,650     X                                      1,650
Miller Herman Inc.                     COM    600544100        62        2,400     X                                      2,400
Mineral Mountain Mining                COM    602873101         0          333     X                                        333
Minimed Inc                            COM    60365K108        71          600     X                                        600
Minnesota Mining & Manufacturing Co.   COM    604059105     2,133       25,860     X                                     25,860
Minnesota Pwr & Light                  COM    604110106        31        1,790     X                                      1,790
Minolta-QMS Inc                        COM    604312108         0            1     X                                          1
Mitchell Energy & Dev Corp.  CL A      COM    606592202         3          100     X                                        100
Molex Inc.                             COM    608554101     1,467       30,490     X                                     30,490
Molex Inc. Cl A                        COM    608554200    12,785      365,297     X         X                          365,297
Mony Group Inc.                        COM    615337102         4          131     X                                        131
Morgan JP & Co Inc. Adj Rate           COM    616880209       932       12,950     X                                     12,950
Morgan St Dean Witter Discover & Co.   COM    617446448     1,142       13,714     X                                     13,714
Morgan Stanley Emerging Mkts Fund      COM    61744G107        90        6,000     X                                      6,000
Morgan Stanley High Yield Fund Inc.    COM    61744M104       428       37,000     X         X                           37,000
Morgan Stanley India Fund              COM    61745C105       436       36,300     X                                     36,300
Morrison Mgmt Specialists              COM    618459101        19          674     X                                        674
Motorola Inc.                          COM    620076109     1,789       61,562     X         X                           61,562
Murray Global Retu Ord                 COM    M004265         166       99,624     X                                     99,624
Murray Global Retu Zero Div Pfd        COM    M004280         164       99,624     X                                     99,624
Myriad Genetics Inc                    COM    62855J104       111          750     X                                        750
Nabisco Group Holding Corp             COM    62952P102        95        3,680     X                                      3,680
Nasdaq 100 Shares                      COM    631100104       373        4,000     X                                      4,000
National Australia Bank LTD Spon ADR   COM    632525408     2,371       28,653     X                                     28,653
National City Corp.                    COM    635405103     2,930      171,690     X         X                          171,690
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
                                                                                                                         Item 8:
                                                          Item 4:                        Item 6:                  Voting Authority
                 Item 1:             Item 2:            Fair Market   Item 5:     Investment Discretion  Item 7:      (Shares)
             Name of Issuer         Title of  Item 3:      Value     Shares or    (a)  (b)Shared   (c)   Other   (a)     (b)   (c)
                                     Class     CUSIP     (X $1000) Principal Amt  Sole     Def    Other Managers Sole  Shared  None
-----------------------------------------------------------------------------------------------------------------------------------
<S>                                  <C>      <C>        <C>        <C>            <C>   <C>       <C>   <C>     <C>   <C>     <C>
National Presto Industries Inc.        COM    637215104        49        1,600     X                                      1,600
National Service Industries Inc.       COM    637657107        27        1,400     X                                      1,400
Natsteel Ltd                           COM    N032949         582      423,000     X                                    423,000
Navistar International Corp.           COM    63934E108         1           20     X                                         20
NCR Corp.                              COM    62886E108        11          277     X                                        277
Neiman Marcus Group Inc                COM    640204301         4          156               X                              156
Neon System Inc.                       COM    640509105         4          200     X                                        200
Nestle SA Sponsored ADR                COM    641069406     2,531       25,215     X         X                           25,215
Net2000 Communications Inc             COM    64122G103         1           75     X                                         75
Networks Associates Inc.               COM    640938106       363       17,800     X                                     17,800
New Century Energies Inc.              COM    64352U103        29          950     X                                        950
New Germany Fund Inc.                  COM    644465106       112        8,069     X                                      8,069
New York Times Co.                     COM    650111107     1,894       47,956     X                                     47,956
Newell Rubbermaid Inc.                 COM    651229106       350       13,589     X                                     13,589
Newmont Mining Corp.                   COM    651639106        78        3,593     X         X                            3,593
Newpark Resources Inc. Com Par $0.01   COM    651718504       330       34,932     X                                     34,932
News Corp. Limited                     COM    652487703     1,270       23,300     X                                     23,300
News Corp. Ltd Spons ADR Pfd           COM    652487802       151        3,179     X                                      3,179
NHP Retirement Housing Partners I      COM    nhpretire        10       10,000     X                                     10,000
Nike Inc.                              COM    654106103       299        7,500     X                                      7,500
Niku Corp                              COM    654113109         3          100     X                                        100
Nisource Inc.                          COM    65473P105       121        6,490     X                                      6,490
Nokia Corp. Sponsored ADR              COM    654902204     2,841       56,885     X         X                           56,885
Nordstrom Inc.                         COM    655664100        24        1,000     X                                      1,000
Norfolk Southern Corp.                 COM    655844108     2,470      166,042     X         X                          166,042
Norfolk Southern Railway Co.           COM    655855203         4          118     X                                        118
Norsk Hydro As Adr                     COM    656531605       673       16,000     X                                     16,000
Nortel Networks Corp.                  COM    656568102    16,308      238,949     X         X                    800   238,149
North Fork Bancorp, Inc.-DEL           COM    659424105     1,261       83,396     X                                     83,396
North Star Inc.                        COM    990186918        27        2,000     X                                      2,000
Northern Mineral Co                    COM    665415105         0           38     X                                         38
Northern States Power Co               COM    665772109        32        1,580     X                                      1,580
Northern Trust Corp.                   COM    665859104       366        5,625     X         X                            5,625
Northwest Natural Gas Co               COM    667655104        18          825     X                                        825
Novartis AG-ADR                        COM    66987V109       821       20,520     X                                     20,520
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
                                                                                                                      Item 8:
                                                          Item 4:                        Item 6:                  Voting Authority
                 Item 1:             Item 2:            Fair Market   Item 5:     Investment Discretion  Item 7:      (Shares)
             Name of Issuer         Title of  Item 3:      Value     Shares or    (a)  (b)Shared   (c)   Other   (a)     (b)   (c)
                                     Class     CUSIP     (X $1000) Principal Amt  Sole     Def    Other Managers Sole  Shared  None
-----------------------------------------------------------------------------------------------------------------------------------
<S>                                  <C>      <C>        <C>        <C>            <C>   <C>       <C>   <C>     <C>   <C>     <C>
Novartis Ag-Regd                       COM    H5820Q101     1,590        1,000     X                                      1,000
Novell, Inc.                           COM    670006105        19        2,000     X                                      2,000
Novellus System Inc.                   COM    670008101        42          750     X                                        750
Novo-Nordisk A/S ADR                   COM    670100205       304        3,600     X         X                            3,600
NSP Financing I-7.875% Tr PFD          COM    629384207        23        1,000     X                                      1,000
Nucor Corp.                            COM    670346105        70        2,122     X                                      2,122
Ogden Corp.                            COM    676346109        14        1,500     X                                      1,500
OGE Energy Corp.                       COM    670837103        70        3,800     X                                      3,800
Ohio Casualty Corp.                    COM    677240103       321       30,180     X         X                           30,180
Old Kent Financial Corp.               COM    679833103     5,205      194,597     X         X                          194,597
On Command Corp.                       COM    682160106         8          580     X                              580
Oneida Ltd                             COM    682505102       244       13,746     X                                     13,746
Oneida Valley Secs Corp                COM    682607106         0           20     X                                         20
Oracle Systems Corp.                   COM    68389X105       843       10,024     X                                     10,024
Oshkosh Truck Corp. Class B            COM    688239201       261        7,300     X         X                            7,300
Outback Steakhouse Inc.                COM    689899102       136        4,650     X                                      4,650
Paccar Inc.                            COM    693718108        91        2,300     X                                      2,300
Pacholder High Yield Fund              COM    693742108       699       56,509     X         X                           56,509
Pacific Century Financial Corp.        COM    694058108        12          796     X                                        796
Pacific Enterprises                    COM    694232604        23          350               X                              350
Pacific Telesis Finance TOPRS          COM    694887209        11          500     X                                        500
Paine Webber Group Inc.                COM    695629105       102        2,250     X                                      2,250
Pall Corp.                             COM    696429307        44        2,400     X         X                            2,400
Palm Inc                               COM    696642107         3          100     X                                        100
Panda Project Inc.                     COM    69833F104         0            5     X                                          5
Panera Bread Co                        COM    69840W108        76        7,500     X                                      7,500
Parker Hannifin Corp.                  COM    701094104        35        1,012     X                                      1,012
Paychex Inc.                           COM    704326107        57        1,350     X                                      1,350
Payless Shoesource Inc.                COM    704379106         8          160     X                                        160
PE Corp PE Biosystems Group            COM    69332S102        53          800     X                                        800
Pe Corp. Celera Genomics Group         COM    69332S201        31          330     X                                        330
Pegasus Communications Corp. - Cl A    COM    705904100       270        5,500               X                            5,500
Penney (J C) Co Inc.                   COM    708160106       212       11,476     X         X                           11,476
Penton Media Inc.                      COM    709668107        11          300     X                                        300
Peoples Energy Corp.                   COM    711030106        26          800     X                                        800
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
                                                                                                                         Item 8:
                                                          Item 4:                        Item 6:                  Voting Authority
                 Item 1:             Item 2:            Fair Market   Item 5:     Investment Discretion  Item 7:      (Shares)
             Name of Issuer         Title of  Item 3:      Value     Shares or    (a)  (b)Shared   (c)   Other   (a)     (b)   (c)
                                     Class     CUSIP     (X $1000) Principal Amt  Sole     Def    Other Managers Sole  Shared  None
-----------------------------------------------------------------------------------------------------------------------------------
<S>                                  <C>      <C>        <C>        <C>            <C>   <C>       <C>   <C>     <C>   <C>     <C>
PeopleSoft Inc.                        COM    712713106       604       36,060     X                                     36,060
PepsiCo, Inc.                          COM    713448108     2,728       61,380     X         X                           61,380
Peregrine Systems Inc                  COM    71366Q101         1           41     X                                         41
Perez Companc SA                       COM    713665107         1          185     X                                        185
Perkinelmer Inc                        COM    714046109         6           88     X                                         88
Perlis Plantations-Unsp ADR            COM    713900207        13       11,000     X                                     11,000
Persistence Software Inc               COM    715329108       422       23,300     X                                     23,300
Petrie Stores Liquidation              COM    716437108         0          200     X                                        200
Pfizer Inc.                            COM    717081103    40,996      854,075     X         X                          854,075
Pharmacia Corp                         COM    71713U102     6,551      126,744     X         X                 16,945   109,799
Phelps Dodge                           COM    717265102         9          240     X                                        240
Philip Morris Companies Inc.           COM    718154107     3,383      127,371     X         X                          127,371
Phillips Petroleum Company             COM    718507106     3,649       71,991     X         X                 30,400    41,591
Phone Com Inc                          COM    71920Q100         7          100     X                                        100
Phosphate Resource Partners LP         COM    719217101         1           90     X                                         90
Piedmont Natural Gas Co                COM    720186105        21          800     X                                        800
Pier 1 Imports Inc.                    COM    720279108        10        1,000     X                                      1,000
Pioneer Natural Resources Co           COM    723787107         1           42     X                                         42
Pioneer Standard                       COM    723877106     1,137       77,100     X                           51,800    25,300
Pitney-Bowes, Inc.                     COM    724479100       996       24,910     X                                     24,910
Placer Dome Inc.                       COM    725906101        20        2,042     X                                      2,042
Plains Resources Inc. New              COM    726540503        32        2,000     X                                      2,000
Playtex Products Inc.                  COM    72813P100        68        6,000     X                                      6,000
PLC Capital Trust I 8.25%              COM    693406209        46        2,000     X                                      2,000
Plum Creek Timber Co L P               COM    729251108        68        2,600     X                                      2,600
PMC Capital Inc.                       COM    693430100        27        2,800     X                                      2,800
PMI Group Inc.                         COM    69344M101        31          655     X                                        655
PNC Financial Services Group           COM    693475105     3,511       74,905     X         X                           74,905
Pohang Iron & Steel Co, Ltd ADS        COM    730450103       982       40,917     X                                     40,917
Pomeroy Computer Resources Inc.        COM    731822102       428       29,050     X         X                           29,050
Portal Software Inc                    COM    736126103        19          300     X                                        300
Post Properties Inc.                   COM    737464107       762       17,323     X                           13,000     4,323
Potash Corp. of Saskatchewan           COM    73755L107     2,101       38,065     X                           22,300    15,765
Potomac Electric Power Co              COM    737679100        43        1,710     X                                      1,710
PPG Industries, Inc.                   COM    693506107       452       10,200     X         X                           10,200
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
                                                                                                                         Item 8:
                                                          Item 4:                        Item 6:                  Voting Authority
                 Item 1:             Item 2:            Fair Market   Item 5:     Investment Discretion  Item 7:      (Shares)
             Name of Issuer         Title of  Item 3:      Value     Shares or    (a)  (b)Shared   (c)   Other   (a)     (b)   (c)
                                     Class     CUSIP     (X $1000) Principal Amt  Sole     Def    Other Managers Sole  Shared  None
-----------------------------------------------------------------------------------------------------------------------------------
<S>                                  <C>      <C>        <C>        <C>            <C>   <C>       <C>   <C>     <C>   <C>     <C>
Praxair Inc.                           COM    74005P104        37        1,000     X                                      1,000
Premiumwear Inc                        COM    740909106        94        7,000     X                                      7,000
Pride International Inc.               COM    741932107       124        5,000     X                                      5,000
Primark Corp.                          COM    741903108        22          600     X                                        600
Procter & Gamble Co.                   COM    742718109    32,918      574,990     X         X                          574,990
Prodigy Communications Corp. CL A      COM    74283P206         1          100     X                                        100
Provident Financial GRP                COM    743866105       142        5,976     X                                      5,976
Providian Financial Corp.              COM    74406A102       305        3,385     X                                      3,385
Public Service Enterprise Group        COM    744573106        21          615     X                                        615
Pulitzer Inc                           COM    745769109        77        1,833     X                                      1,833
Putnam High Income Cvt & Bd Fd         COM    746779107       186       24,600     X                                     24,600
Qingling Motors Co Ltd                 COM    Y71713104         1       12,000     X                                     12,000
Quaker Oats                            COM    747402105        90        1,200     X                                      1,200
Qualcomm Inc.                          COM    747525103       567        9,455     X                                      9,455
Questar Corp.                          COM    748356102        31        1,600     X                                      1,600
Qwest Communications International, In COM    749121109        30          600     X                                        600
R.H. Donnelly Corp.                    COM    74955W307        46        2,366     X                                      2,366
Ralston-Ralston Purina Group           COM    751277302        51        2,562     X                                      2,562
Rambus Inc.                            COM    750917106       330        3,200     X                                      3,200
Ramtron International Corp. Com New    COM    751907304         8          400     X                              400
Rayonier Inc.                          COM    754907103        17          475     X         X                              475
Raytheon Co. Cl A                      COM    755111309         9          448     X         X                              448
Raytheon Co-Cl B                       COM    755111408       294       15,254     X                                     15,254
Read-Rite Corp.                        COM    755246105        33       15,000     X                                     15,000
Reebok International Ltd               COM    758110100       186       11,700     X                                     11,700
Regions Financial Corp.                COM    758940100       183        9,226     X         X                            9,226
Reliant Energy Inc                     COM    75952J108       447       15,117     X         X                           15,117
Reliastar Financial Corp.              COM    75952U103        73        1,385     X                                      1,385
Repsol S.A. ADR                        COM    76026T205     1,781       89,885     X                                     89,885
Reuters Holdings PLC Spon ADR          COM    76132M102        69          693     X                                        693
Reynolds & Reynolds Co CL A            COM    761695105        20        1,075     X                                      1,075
Reynolds R J Tob Hldgs Inc             COM    76182K105        20          726     X                                        726
Rio Tinto PLC - Sponsored ADR          COM    767204100     1,615       24,758     X                                     24,758
Rite Aid Corp.                         COM    767754104         7        1,000     X                                      1,000
River Cities Capital Group II Ltd Part COM    RIVERCITI       200          200     X                                        200
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
                                                                                                                         Item 8:
                                                          Item 4:                        Item 6:                  Voting Authority
                 Item 1:             Item 2:            Fair Market   Item 5:     Investment Discretion  Item 7:      (Shares)
             Name of Issuer         Title of  Item 3:      Value     Shares or    (a)  (b)Shared   (c)   Other   (a)     (b)   (c)
                                     Class     CUSIP     (X $1000) Principal Amt  Sole     Def    Other Managers Sole  Shared  None
-----------------------------------------------------------------------------------------------------------------------------------
<S>                                  <C>      <C>        <C>        <C>            <C>   <C>       <C>   <C>     <C>   <C>     <C>
Roche Holdings Ltd Spons ADR           COM    771195104       107        1,100     X                                      1,100
Rockwell International Corp.           COM    773903109        39        1,224     X                                      1,224
Rohm & Haas                            COM    775371107       218        6,325     X                                      6,325
Rohm Co Ltd                            COM    J65328122     1,436        4,900     X                                      4,900
Royal Dutch Petroleum Co ADR           COM    780257804     5,480       89,013     X         X                    600    88,413
Royal KPN Nederland NV Spon ADR        COM    780641205        45        1,000     X                                      1,000
Royce Micro Cap Trust Inc.             COM    780915104        33        3,274     X                                      3,274
Royce Value Tr Inc.                    COM    780910105       736       53,993     X                                     53,993
RPM Inc. - Ohio                        COM    749685103         2          156     X                                        156
Ruby Tuesday Inc.                      COM    781182100        46        3,680     X                                      3,680
S C I Systems Inc.                     COM    783890106       153        3,900     X                                      3,900
Sabre Group Holdings Inc.              COM    785905100     1,061       37,244     X                           24,351    12,893
Safeway Inc.                           COM    786514208        69        1,534     X         X                            1,534
Saks Incorporated                      COM    79377W108         6          600     X                                        600
San Paolo-imi S P A                    COM    799175104     2,007       56,731     X                                     56,731
Sandisk Corp.                          COM    80004C101        10          165     X                                        165
Santa Fe Snyder Corp                   COM    80218K105         2          186               X                              186
SAP AG Sponsored ADR                   COM    803054204        94        2,000     X                                      2,000
Sara Lee Corp.                         COM    803111103       251       12,988     X         X                           12,988
SBC Communications Inc.                COM    78387G103    14,133      326,786     X         X                  5,700   321,086
Scana Corp New                         COM    80589M102        10          400     X                                        400
Schering-Plough Corp.                  COM    806605101    26,821      531,114     X         X                          531,114
Schlumberger Limited                   COM    806857108    10,062      134,835     X         X                          134,835
Schwab Charles Corp.                   COM    808513105    11,990      356,587     X         X                          356,587
Schweitzer-Mauduit Intl                COM    808541106         1           84     X                                         84
Scientific-Atlanta Inc.                COM    808655104       663        8,900     X                                      8,900
Scripps Co E W Cl A                    COM    811054204       113        2,300     X                                      2,300
Seagate Technology, Inc.               COM    811804103        42          770     X                                        770
Sealed Air Corp.                       COM    81211K100        89        1,700     X                                      1,700
Sears Roebuck & Co                     COM    812387108       139        4,264     X                                      4,264
Secom Co Ltd - Ord                     COM    J69972107     1,458       19,900     X                                     19,900
Secom Co Ltd Adr                       COM    813113206        29          200     X                                        200
Service Corp. International            COM    817565104       265       83,000     X                                     83,000
Servicemaster Co                       COM    81760N109       394       34,612     X                                     34,612
Shanghai Petro Co LTD ADR CL H         COM    819424102         6          400     X                                        400
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
                                                                                                                         Item 8:
                                                          Item 4:                        Item 6:                  Voting Authority
                 Item 1:             Item 2:            Fair Market   Item 5:     Investment Discretion  Item 7:      (Shares)
             Name of Issuer         Title of  Item 3:      Value     Shares or    (a)  (b)Shared   (c)   Other   (a)     (b)   (c)
                                     Class     CUSIP     (X $1000) Principal Amt  Sole     Def    Other Managers Sole  Shared  None
-----------------------------------------------------------------------------------------------------------------------------------
<S>                                  <C>      <C>        <C>        <C>            <C>   <C>       <C>   <C>     <C>   <C>     <C>
Shell Transport & Trading PLC          COM    822703609       873       17,472     X                                     17,472
Sherwin Williams Corp.                 COM    824348106        25        1,200     X                                      1,200
Shire Pharmaceuticals Grp PLC Spons AD COM    82481R106        17          333     X                                        333
Shopsmith Inc                          COM    825098106         0          750     X                                        750
Sidel SA                               COM    S002537          16          200     X                                        200
Siemens AG ADR New                     COM    826197402       272        1,800     X                                      1,800
Sigma-Aldrich Corp.                    COM    826552101        82        2,800     X                                      2,800
Simpson Inds Inc.                      COM    829060102         9        1,200     X                                      1,200
Singapore Telecommunications LTD-ORD   COM    Y79985126       581      397,000     X                                    397,000
Singapore Telecommunicatns Ltd         COM    82929R106        13          900     X                                        900
SK Telecom Co Ltd Sponsored Adr        COM    78440P108        89        2,450     X                                      2,450
Sky Financial Group Inc                COM    83080P103        75        4,709     X                                      4,709
SLM Holding Corp.                      COM    78442A109       105        2,800     X                                      2,800
SmithKline Beecham Spons ADR           COM    832378301       412        6,325     X                                      6,325
Softbank Corp                          COM    J75963108        38          300     X                                        300
Solectron Corp.                        COM    834182107        54        1,300     X                                      1,300
Solutia Inc.                           COM    834376105        26        1,924     X                                      1,924
Sonera Group Plc                       COM    835433202         7          150     X                                        150
Sony Corp. - Sponsored ADR             COM    835699307     3,105       32,924     X                                     32,924
Southeastern Thrift & Bank Fund Inc    COM    841901101        68        5,200     X                                      5,200
Southern Co                            COM    842587107        72        3,100     X                                      3,100
Southern Pacific Petroleum NL ADR      COM    843581307         3        1,375     X                                      1,375
Southwestern Energy Co.                COM    845467109       125       20,000     X                                     20,000
Spacelabs Medical Inc.                 COM    846247104         6          500     X                                        500
Spieker Properties, Inc.               COM    848497103        90        1,900     X                                      1,900
Sprint Corp. (FON Group)               COM    852061100     3,739       73,317     X                                     73,317
Sprint Corp. (PCS Group)               COM    852061506       457        7,674     X                                      7,674
St Gobain                              COM    F80343100     1,193        8,784     X                                      8,784
St Jude Medical Inc.                   COM    790849103     1,005       21,900     X                           20,000     1,900
St. Mary Land & Exploration            COM    792228108     1,952       46,400     X                                     46,400
St. Paul Companies Inc.                COM    792860108       218        6,400     X                                      6,400
Standard & Poors DEP Receipts          COM    78462F103        99          682     X                                        682
Staples Inc.                           COM    855030102       266       17,300     X         X                           17,300
Starbucks Corp.                        COM    855244109        57        1,500     X                                      1,500
Starwood Hotels & Resorts Worldwide In COM    85590A203        49        1,520     X         X                            1,520
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
                                                                                                                         Item 8:
                                                          Item 4:                        Item 6:                  Voting Authority
                 Item 1:             Item 2:            Fair Market   Item 5:     Investment Discretion  Item 7:      (Shares)
             Name of Issuer         Title of  Item 3:      Value     Shares or    (a)  (b)Shared   (c)   Other   (a)     (b)   (c)
                                     Class     CUSIP     (X $1000) Principal Amt  Sole     Def    Other Managers Sole  Shared  None
-----------------------------------------------------------------------------------------------------------------------------------
<S>                                  <C>      <C>        <C>        <C>            <C>   <C>       <C>   <C>     <C>   <C>     <C>
State Auto Financial Corp.             COM    855707105       299       25,200     X                                     25,200
State Street Corp.                     COM    857477103       318        3,000     X                                      3,000
Statefed Financial Corp                COM    857549109        19        2,000     X                                      2,000
Steelcase Inc. - CL A                  COM    858155203       354       20,800     X                                     20,800
Stewart & Stevenson                    COM    860342104       524       34,800     X                                     34,800
Stmicroelectronics NV - NY Shares      COM    861012102       116        1,800     X                                      1,800
Stone Energy Corp.                     COM    861642106     2,278       38,125     X                                     38,125
Strattec Security Corp.                COM    863111100        16          500     X                                        500
Stride Rite Corp.                      COM    863314100         0           59     X                                         59
Structural Dynamics Research           COM    863555108       604       40,120     X                                     40,120
Stryker Corp.                          COM    863667101        53        1,200     X                                      1,200
Student Loan Mkting                    COM    863871208        32          900     X                                        900
Suburst Hospitality Corp.              COM    866948102         2          450     X                                        450
Sun Microsystems Inc.                  COM    866810104     2,091       22,999     X                                     22,999
Sungard Data Systems Inc.              COM    867363103        17          550     X                                        550
Sunoco Inc                             COM    86764P109         7          228     X                                        228
Suntrust Banks Inc.                    COM    867914103       402        8,800     X         X                            8,800
Superior Energy Services Inc.          COM    868157108        42        4,000     X                                      4,000
Swissray Intl Inc                      COM    871016200         7        2,500     X                                      2,500
Switchboard Inc                        COM    871045100         1          100     X                                        100
Sylvan Learning Systems Inc.           COM    871399101        34        2,500               X                            2,500
Symantec Corp.                         COM    871503108       183        3,400     X                                      3,400
Symbol Technologies Inc.               COM    871508107        27          505     X                                        505
Symons Intl Group Inc                  COM    87154P105        18       16,620     X                                     16,620
Synopsys Inc.                          COM    871607107        24          700     X                                        700
Sysco Corp.                            COM    871829107    18,009      427,519     X         X                          427,519
T R W Inc.                             COM    872649108       313        7,210     X         X                            7,210
Taiwan Fund Inc.                       COM    874036106       633       33,100     X                                     33,100
Taiwan Semiconductor Co. LTD Spons ADR COM    874039100       130        3,347     X                                      3,347
Talisman Energy Inc                    COM    87425E103         8          250     X                                        250
Tanger Factory Outlet Centers          COM    875465106        12          500     X                                        500
Target Corp                            COM    87612E106     5,956      102,697     X         X                          102,697
Taubman Centers, Inc.                  COM    876664103       329       29,923     X                                     29,923
Teco Energy Inc.                       COM    872375100         8          400     X                                        400
Telecom Argentina Sa Adr 1 Adr Reps 10 COM    879273209       600       21,800     X                                     21,800
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
                                                                                                                         Item 8:
                                                          Item 4:                        Item 6:                  Voting Authority
                 Item 1:             Item 2:            Fair Market   Item 5:     Investment Discretion  Item 7:      (Shares)
             Name of Issuer         Title of  Item 3:      Value     Shares or    (a)  (b)Shared   (c)   Other   (a)     (b)   (c)
                                     Class     CUSIP     (X $1000) Principal Amt  Sole     Def    Other Managers Sole  Shared  None
-----------------------------------------------------------------------------------------------------------------------------------
<S>                                  <C>      <C>        <C>        <C>            <C>   <C>       <C>   <C>     <C>   <C>     <C>
Telefonica De Espana SA Spons ADR      COM    879382208     2,015       31,451     X         X                           31,451
Telefonos De Mexico SA Spons ADR       COM    879403780       423        7,404     X                                      7,404
Telephone & Data Systems, Inc.         COM    879433100       463        4,615     X                                      4,615
Teligent Inc. Cl A                     COM    87959Y103         9          400     X                                        400
Telxon Corp.                           COM    879700102        13          700     X                                        700
Temple Inland Inc.                     COM    879868107        17          400     X                                        400
Templeton Developing Markets Adv       COM    88018T101       988      114,550     X                            2,700   111,850
Templeton Emerging Markets             COM    880191101        42        4,320     X                                      4,320
Templeton Growth C                     COM    880192109       818       81,811     X         X                           81,811
Tenet Healthcare Corp.                 COM    88033G100        27        1,000     X                                      1,000
Tennant Co                             COM    880345103        34          900               X                              900
Tenneco Automotive Inc                 COM    880349105         4          800     X                                        800
Teppco Partners L P Units  Rep Lim     COM    872384102        48        2,000     X                                      2,000
Terumo Corp.                           COM    J83173104       849       25,000     X                                     25,000
Teva Pharmaceutical-SP ADR             COM    881624209         9          160     X                                        160
Texaco Inc.                            COM    881694103     7,921      148,755     X         X                  8,100   140,655
Texas Instruments Inc.                 COM    882508104     2,080       30,280     X                                     30,280
Textron Capital I Trust Pfd            COM    883198202        22        1,000     X                                      1,000
Thai Cap Fd Inc.                       COM    882905102         3          800     X                                        800
The Allstate Corp.                     COM    020002101       288       12,943     X                                     12,943
The Cincinnati Gas & Elec Co           COM    172070831         5          200     X                                        200
The India Fund, Inc.                   COM    454089103        55        3,900     X                                      3,900
The Japan Equity Fund, Inc.            COM    471057109        32        4,100     X                                      4,100
The Midland Co                         COM    597486109        74        3,000     X                                      3,000
The Royal Bank of Scotland Grp Plc Pfd COM    780097507        12          500     X                                        500
The Scotts Co Class A                  COM    810186106       292        8,000     X         X                            8,000
The Town and Country Trust             COM    892081100       249       14,500     X                                     14,500
The Valspar Corp.                      COM    920355104     7,322      216,937     X         X                          216,937
The Walt Disney Co.                    COM    254687106    13,897      358,062     X         X                  1,200   356,862
Theragenics Corp.                      COM    883375107         3          400     X                                        400
Thermo Electron Corp.                  COM    883556102       470       22,300     X                                     22,300
Thermo Instrument Systems Inc.         COM    883559106        39        2,106     X                                      2,106
Thomas & Betts Corp.                   COM    884315102       143        7,500     X                                      7,500
Time Warner Inc                        COM    887315109    31,617      416,019     X         X                 16,000   400,019
Timken Co                              COM    887389104        60        3,200     X                                      3,200
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
                                                                                                                         Item 8:
                                                          Item 4:                        Item 6:                  Voting Authority
                 Item 1:             Item 2:            Fair Market   Item 5:     Investment Discretion  Item 7:      (Shares)
             Name of Issuer         Title of  Item 3:      Value     Shares or    (a)  (b)Shared   (c)   Other   (a)     (b)   (c)
                                     Class     CUSIP     (X $1000) Principal Amt  Sole     Def    Other Managers Sole  Shared  None
-----------------------------------------------------------------------------------------------------------------------------------
<S>                                  <C>      <C>        <C>        <C>            <C>   <C>       <C>   <C>     <C>   <C>     <C>
Tomkins PLC Sponsored ADR              COM    890030208     1,050       81,973     X                                     81,973
Tommy Hilfiger Corp.                   COM    G8915Z102        60        8,000     X                                      8,000
Tootsie Roll Industries Inc.           COM    890516107     2,353       67,226     X         X                           67,226
Topps Inc.                             COM    890786106         0            1     X                                          1
Tosco Corp. Com New                    COM    891490302       396       14,000     X                           14,000
Total SA Adr                           COM    89151E109    14,553      189,461     X         X                  7,000   182,461
Toyoda Gosei Ltd                       COM    J91128108        64        1,000     X                                      1,000
Toys 'R' Us Inc.                       COM    892335100        15        1,006     X                                      1,006
Trammell Crow Co                       COM    89288R106         3          300     X                                        300
Trans World Airlines                   COM    893349837         0            1               X                                1
Transcanada Pipelines Ltd              COM    893526756        40        1,750     X                                      1,750
Transocean Sedco Forex Inc             COM    G90078109       419        7,844     X                                      7,844
Travelers P&C Capital I 8.08%          COM    893931204        23        1,000     X                                      1,000
Tri City Bank Shares Corp - Wisc       COM    895364107         0           15     X                                         15
Tribune Co                             COM    896047107     1,220       34,870     X         X                           34,870
Tricon Global Restaurants Inc.         COM    895953107        76        2,688     X         X                            2,688
Tri-Continental                        COM    895436103        19          764     X                                        764
Troy Group Inc                         COM    89733N106         7          500     X                                        500
Tupperware Corp.                       COM    899896104         9          420               X                              420
Turbosonic Technologies Inc.           COM    900010109         0           53     X                                         53
TXU Corp                               COM    873168108       231        7,832     X                                      7,832
TXU Electric Capital III 8.00%  Cum PF COM    87316Q207        22        1,000     X                                      1,000
Tyco International LTD                 COM    902124106    22,173      468,027     X         X                 13,532   454,495
U S T Inc.                             COM    902911106       410       27,900     X                                     27,900
U S Wireless Data inc Cl A             COM    912899101        17        7,000     X                                      7,000
U.S. Bancorp                           COM    902973106        50        2,572     X                                      2,572
U.S. West Inc.                         COM    91273H101     2,281       26,604     X         X                           26,604
Ucar International Inc.                COM    90262K109     1,258       96,273     X                           59,600    36,673
Union Carbide Corp.                    COM    905581104        65        1,306     X                                      1,306
Union Pacific Capital Trust Term       COM    907824403        23          600     X                                        600
Union Pacific Corp.                    COM    907818108     8,664      232,968     X         X                 37,300   195,668
Union Pacific Resources Group Inc.     COM    907834105       200        9,083     X                                      9,083
Union Planters Corp.                   COM    908068109        17          600     X                                        600
Uniprop Income Fund II                 COM    90915D106         7          500     X                                        500
Unisys Corp.                           COM    909214108        15        1,022     X                                      1,022
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
                                                                                                                         Item 8:
                                                          Item 4:                        Item 6:                  Voting Authority
                 Item 1:             Item 2:            Fair Market   Item 5:     Investment Discretion  Item 7:      (Shares)
             Name of Issuer         Title of  Item 3:      Value     Shares or    (a)  (b)Shared   (c)   Other   (a)     (b)   (c)
                                     Class     CUSIP     (X $1000) Principal Amt  Sole     Def    Other Managers Sole  Shared  None
-----------------------------------------------------------------------------------------------------------------------------------
<S>                                  <C>      <C>        <C>        <C>            <C>   <C>       <C>   <C>     <C>   <C>     <C>
United Asset Management Corp.          COM    909420101         7          300     X                                        300
United Dominion Realty Trust           COM    910197102     1,558      141,665     X                           46,400    95,265
United Dominion Realty Trust           COM    910197300        13          600     X                                        600
United Overseas Bank LTD Spons ADR     COM    911271302         4          316     X                                        316
United Parcel Service Inc              COM    911312106       559        9,475     X         X                            9,475
United Technologies Corp.              COM    913017109     2,398       40,729     X                                     40,729
United Water Resources Inc.            COM    913190104        35        1,000     X                                      1,000
UnitedHealth Group Inc.                COM    91324P102        58          680     X                                        680
Universal Display Corp                 COM    91347P105        15          500     X                                        500
Universal Foods Corp.                  COM    913538104        26        1,400     X                                      1,400
Universal Hlth Rlty Income Tr          COM    91359E105        12          613     X                                        613
Unocal Corp.                           COM    915289102     4,471      134,966     X                           46,200    88,766
Unumprovident Corp.                    COM    91529Y106        24        1,200     X                                      1,200
US Air Group                           COM    911905107        20          500     X                                        500
US Oncology Inc                        COM    90338W103       235       46,900     X                                     46,900
USX Marathon Group                     COM    902905827         7          277     X                                        277
USX-U.S. Steel Group                   COM    90337T101         0           19     X                                         19
Utilicorp United Inc.                  COM    918005109        21        1,050     X                                      1,050
V F Corp.                              COM    918204108        38        1,600     X                                      1,600
Valence Technology, Inc.               COM    918914102        13          700     X                                        700
Valmont Ind Inc                        COM    920253101        55        2,748     X                                      2,748
Valuevision International Inc. Cl A    COM    92047K107        74        3,100               X                            3,100
Varian Inc                             COM    922206107        28          600     X                                        600
Varian Medical Systems Inc             COM    92220P105        23          600     X                                        600
Varian Semiconductor Equip             COM    922207105        38          600     X                                        600
Vectren Corp                           COM    92240G101       114        6,582     X                                      6,582
Vertex Pharmaceuticals Inc.            COM    92532F100        58          550     X                                        550
Viacom Inc Class B                     COM    925524308       211        3,090     X         X                            3,090
Vina Concha Y Toro SA Spons ADR        COM    927191106         4          100     X                                        100
Vion Pharmaceuticals Inc.              COM    927624106        20        2,713     X                                      2,713
Vishay Intertechnology Inc.            COM    928298108        39        1,033     X                                      1,033
Visteon Corp                           COM    92839U107       393       32,388     X                            4,581    27,807
Visual Data Corp                       COM    928428200         1          350     X                                        350
Visx Inc Del                           COM    92844S105        17          600     X                                        600
Vitesse Semiconductor Corp.            COM    928497106       493        6,700     X                                      6,700
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
                                                                                                                         Item 8:
                                                          Item 4:                        Item 6:                  Voting Authority
                 Item 1:             Item 2:            Fair Market   Item 5:     Investment Discretion  Item 7:      (Shares)
             Name of Issuer         Title of  Item 3:      Value     Shares or    (a)  (b)Shared   (c)   Other   (a)     (b)   (c)
                                     Class     CUSIP     (X $1000) Principal Amt  Sole     Def    Other Managers Sole  Shared  None
-----------------------------------------------------------------------------------------------------------------------------------
<S>                                  <C>      <C>        <C>        <C>            <C>   <C>       <C>   <C>     <C>   <C>     <C>
Vlasic Foods International             COM    928559103         1          800     X                                        800
Vodafone Airtouch PLC-Sponsored ADR    COM    92857T107     1,723       41,590     X         X                           41,590
Vodafone Group PLC                     COM    G9387S105       155       38,326     X                                     38,326
Volvo Aktiebolaget                     COM    928856400         9          400     X                                        400
Vornado Realty Trust Common Shares     COM    929042109       139        3,999     X                                      3,999
Wachovia Corp.                         COM    929771103       315        5,798     X                                      5,798
Wal Mart De Mexico Sa De Cv            COM    93114W107         1           30     X                                         30
Walgreen Co                            COM    931422109     1,309       40,656     X         X                           40,656
Wal-Mart Stores Inc.                   COM    931142103     2,843       49,341     X                                     49,341
Walnut Capital Partners LP             COM    WLNTLPZZZ       400           16     X                                         16
Washington Federal Inc.                COM    938824109     4,514      247,359     X         X                 77,064   170,295
Washington Mutual Inc.                 COM    939322103       921       31,900     X                                     31,900
Washington Post- Class B               COM    939640108     2,181        4,562     X                                      4,562
Washington Real Estate Investors Trust COM    939653101       188       10,500     X                                     10,500
Waste Management Inc.                  COM    94106L109     6,568      345,659     X                                    345,659
Waterford Wedgewood - Unit             COM    G94697102        77       73,000     X                                     73,000
Watson Pharmaceuticals Inc             COM    942683103         6          119     X                                        119
Watts Industries Inc  Class A          COM    942749102         4          300     X                                        300
WEC CAP TR I TR PFD SECS 6.85%         COM    92923G204       164        8,000     X                                      8,000
Weingarten Realty Investors            COM    948741103        61        1,501     X                                      1,501
Weis Markets Inc                       COM    948849104        47        1,441     X                                      1,441
Wells Fargo Company                    COM    949746101     7,748      199,937     X         X                          199,937
Wendy's International Inc              COM    950590109         2          108     X                                        108
Western Digital Corp.                  COM    958102105         4          700     X                                        700
Western Resources Inc                  COM    959425109     1,358       87,600     X         X                 45,700    41,900
Westminster Cap Inc                    COM    960631109         5        2,000     X                                      2,000
Westvaco Corp.                         COM    961548104       163        6,579     X                                      6,579
Weyerhaeuser Co.                       COM    962166104       469       10,900     X         X                           10,900
Whitman Corp                           COM    96647R107        22        1,767     X                                      1,767
Whole Foods Market Inc                 COM    966837106        41        1,000     X                                      1,000
Wild Oats Markets Inc.                 COM    96808B107        46        3,650     X                                      3,650
Willamette Inds                        COM    969133107       340       12,460     X                              600    11,860
Williams Companies Inc                 COM    969457100       204        4,904     X                                      4,904
Williams Sonoma Inc.                   COM    969904101       211        6,508     X                                      6,508
Wind River Systems Inc                 COM    973149107         7          187     X                                        187
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
                                                                                                                         Item 8:
                                                          Item 4:                        Item 6:                  Voting Authority
                 Item 1:             Item 2:            Fair Market   Item 5:     Investment Discretion  Item 7:      (Shares)
             Name of Issuer         Title of  Item 3:      Value     Shares or    (a)  (b)Shared   (c)   Other   (a)     (b)   (c)
                                     Class     CUSIP     (X $1000) Principal Amt  Sole     Def    Other Managers Sole  Shared  None
-----------------------------------------------------------------------------------------------------------------------------------
<S>                                  <C>      <C>        <C>        <C>            <C>   <C>       <C>   <C>     <C>   <C>     <C>
Winstar Communications Inc             COM    975515107        68        2,000     X                                      2,000
Winton Finl Corp                       COM    976446104        13        1,400     X                                      1,400
Wisconsin Energy Power                 COM    976657106        42        2,129     X                                      2,129
Wolters Kluwer NV Spons ADR            COM    977874205       258        9,655     X                                      9,655
Wolters Kluwer-CVA                     COM    N9643A114        62        2,300     X                                      2,300
Wordcruncher Internet Tech             COM    98136C104         0          200     X                                        200
World Television Inc                   COM    98151F305         0           23     X                                         23
WorldCom, Inc.                         COM    98157D106    32,339      704,928     X         X                 16,900   688,028
Worthington Industry Inc               COM    981811102        32        3,000     X                                      3,000
Wrigley (WM) Jr Co                     COM    982526105        58          720     X                                        720
WSFS Financial Corp.                   COM    929328102       517       49,500     X                                     49,500
Xerox Corp.                            COM    984121103       550       26,500     X                                     26,500
XL Capital Ltd - Class A               COM    G98255105       162        3,000               X                            3,000
Yahoo Inc                              COM    984332106       118          956     X         X                              956
York International Inc                 COM    986670107        90        3,450     X         X                            3,450
Young & Rubicam Inc.                   COM    987425105     6,555      114,615     X                                    114,615
Zweig Series Tr-Appreciation C         COM    989834106        55        5,488               X                            5,488
                                                        1,860,466
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
                   FORM 13F         Name of Reporting Manager:    Batterymarch Financial Management, Inc.      Run Date: 07/06/2000
                                                                  For Positions Held As Of 06/30/2000          --------------------
                                                                                                                  S.E.C. Use Only
                                                                                                                         |
                                                                                                               --------------------

                                                              Item 4:                   Item 6:                       Item 8:
                                                               Fair     Item 5:   Investment Discretion           Voting Authority
                                      Item 2:      Item 3:    Market   Shares or          (b)    (c)    Item 7:       (Shares)
                    Item 1:          Title of       CUSIP     Value    Principal  (a)   Shared  Shared   Other    (a)   (b)     (c)
                Name of Issuer         Class       Number   (X $1000)   Amount    Sole  as Def   Other  Managers Sole  Shared  None
-----------------------------------------------------------------------------------------------------------------------------------
<S>                                <C>            <C>       <C>      <C>         <C>    <C>     <C>     <C>    <C>     <C>    <C>
A D C TELECOMMUNICATIONS COM
 NASD INDL                         Common Stock  000886101     117    1,400 SH    X                            1,400    0         0
AGL RES INC COM                    Common Stock  001204106     413   25,900 SH    X                            3,600    0    22,300
AES CORP                           Common Stock  00130H105  21,781  477,400 SH    X                          470,000    0     7,400
AMLI RESIDENTIAL PPT               Common Stock  001735109     130    5,500 SH    X                                0    0     5,500
AMR CORP COM                       Common Stock  001765106  14,895  563,400 SH    X                          545,100    0    18,300
APAC TELESERVICES INC COM          Common Stock  00185E106     533   48,200 SH    X                           48,200    0         0
AT&T                               Common Stock  001957109   6,407  202,600 SH    X                          194,550    0     8,050
AT&T CORP - LIBERTY MEDIA A SHS    Common Stock  001957208   3,788  156,200 SH    X                          151,400    0     4,800
A T & T WIRELESS GROUP             Common Stock  001957406     335   12,000 SH    X                           12,000    0         0
AVX CORP NEW COM                   Common Stock  002444107   7,416  323,300 SH    X                          312,700    0    10,600
AXA FINANCIAL INC                  Common Stock  002451102   1,863   54,800 SH    X                           53,400    0     1,400
ABAXIS INC                         Common Stock  002567105     145   21,700 SH    X                           18,300    0     3,400
ABBOTT LABS COM                    Common Stock  002824100   6,622  148,600 SH    X                          141,900    0     6,700
ABGENIX INC                        Common Stock  00339B107      72      600 SH    X                                0    0       600
ACTRADE INTERNATIONAL LTD          Common Stock  004931101     133    6,500 SH    X                            4,800    0     1,700
ACTEL CORP                         Common Stock  004934105     219    4,800 SH    X                            2,000    0     2,800
ACTUATE CORPORATION                Common Stock  00508B102     673   12,600 SH    X                            8,000    0     4,600
UNIFIED ENERGY SYS GDR RUSSIA      GDR           005252594   6,780  600,000 SH    X                          600,000    0         0
ADAC LABS  COM NEW                 Common Stock  005313200     206    8,600 SH    X                            8,600    0         0
VIDESH SANCHAR NIGAM LTD GDR REG S GDR           005718535     321   20,400 SH    X                           20,400    0         0
ADOBE SYSTEMS                      Common Stock  00724F101  24,778  190,600 SH    X                          180,500    0    10,100
ADTRAN INC                         Common Stock  00738A106     102    1,700 SH    X                              200    0     1,500
ADVO INC COM                       Common Stock  007585102     206    4,900 SH    X                              700    0     4,200
ADVANCED MICRO DEVICES INC COM     Common Stock  007903107   2,881   37,300 SH    X                           37,300    0         0
ADVANCED ENERGY INDS COM           Common Stock  007973100     430    7,300 SH    X                            7,300    0         0
AFFILIATED MANAGERS GRP INC        Common Stock  008252108     637   14,000 SH    X                           14,000    0         0
AFFYMETRIX INC                     Common Stock  00826T108      50      300 SH    X                                0    0       300
AGILENT TECHNOLOGIES INC           Common Stock  00846U101       0        2 SH    X                                1    0         1
AGRIBRANDS INTERNATIONAL INC       Common Stock  00849R105   2,407   57,400 SH    X                           46,700    0    10,700
ALASKA COMM SYSTEMS GROUP          Common Stock  01167P101     324   31,200 SH    X                           18,800    0    12,400
ALBERTO CULVER CO CL B CONV        Common Stock  013068101     844   27,600 SH    X                           27,600    0         0
ALCOA INC                          Common Stock  013817101   3,727  128,500 SH    X                          128,500    0         0
ALLAIRE CORP                       Common Stock  016714107     831   22,600 SH    X                           12,900    0     9,700
ALLEGHENY ENERGY INC COM           Common Stock  017361106   2,790  101,900 SH    X                           95,900    0     6,000
ALLERGAN INC COM                   Common Stock  018490102  19,772  265,400 SH    X                          261,000    0     4,400
ALPHARMA INC CL A                  Common Stock  020813101      50      800 SH    X                              800    0         0
AMERADA HESS CORP COM              Common Stock  023551104  23,348  378,100 SH    X                          361,100    0    17,000
AMERICA ONLINE INC                 Common Stock  02364J104  14,942  283,600 SH    X                          273,500    0    10,100
AMERICAN ELEC PWR INC COM          Common Stock  025537101   5,306  179,100 SH    X                          165,000    0    14,100
AMERICAN EXPRESS CO COM            Common Stock  025816109  12,062  231,400 SH    X                          223,400    0     8,000
AMERICAN FREIGHTWAYS CORP COM      Common Stock  02629V108   2,306  159,000 SH    X                          137,100    0    21,900
AMERICAN HOME PRODS CORP COM       Common Stock  026609107   4,982   84,800 SH    X                           81,400    0     3,400

Page Total                                                 195,621
</TABLE>

                                    Page 1
<PAGE>

<TABLE>
<CAPTION>
                   FORM 13F         Name of Reporting Manager:    Batterymarch Financial Management, Inc.      Run Date: 07/06/2000
                                                                  For Positions Held As Of 06/30/2000          --------------------
                                                                                                                  S.E.C. Use Only
                                                                                                                         |
                                                                                                               --------------------

                                                              Item 4:                   Item 6:                       Item 8:
                                                               Fair     Item 5:   Investment Discretion           Voting Authority
                                      Item 2:      Item 3:    Market   Shares or          (b)    (c)    Item 7:       (Shares)
                    Item 1:          Title of       CUSIP     Value    Principal  (a)   Shared  Shared   Other    (a)   (b)     (c)
                Name of Issuer         Class       Number   (X $1000)   Amount    Sole  as Def   Other  Managers Sole  Shared  None
-----------------------------------------------------------------------------------------------------------------------------------
<S>                                <C>            <C>       <C>      <C>         <C>    <C>     <C>     <C>    <C>     <C>    <C>
AMERICAN INTL GROUP INC COM        Common Stock  026874107  34,020  289,530 SH    X                          277,780    0    11,750
AMERICAN MGMT SYS INC COM
 NASD INDL                         Common Stock  027352103     309    9,400 SH    X                            9,400    0         0
AMERICAN NATL CAN GROUP INC        Common Stock  027714104     648   38,400 SH    X                           38,400    0         0
AMERICAN NATL INS CO COM
 NASD BK INS                       Common Stock  028591105     332    6,500 SH    X                            6,500    0         0
AMERICAN STAND COS INC COM         Common Stock  029712106   4,764  116,200 SH    X                          102,700    0    13,500
AMERICREDIT CORP COM               Common Stock  03060R101     213   12,500 SH    X                           11,800    0       700
AMETEK INC NEW COM                 Common Stock  031100100     256   14,600 SH    X                            4,600    0    10,000
AMGEN INC COM NASD INDL            Common Stock  031162100   5,079   72,300 SH    X                           69,500    0     2,800
AMKOR TECHNOLOGY INC               Common Stock  031652100   2,249   63,700 SH    X                           51,700    0    12,000
AMPHENOL CORP NEW CL A             Common Stock  032095101   2,283   34,500 SH    X                           30,000    0     4,500
ANADIGICS INC COM                  Common Stock  032515108      27      800 SH    X                              800    0         0
ANALOG DEVICES INC COM             Common Stock  032654105  37,004  486,900 SH    X                          483,300    0     3,600
ANDREW CORP COM NASD INDL          Common Stock  034425108     215    6,400 SH    X                            6,400    0         0
ANDRX CORP COM                     Common Stock  034551101   2,813   44,000 SH    X                           44,000    0         0
ANHEUSER BUSCH COS INC COM         Common Stock  035229103  12,787  171,200 SH    X                          167,700    0     3,500
ANIXTER INTL INC COM               Common Stock  035290105  11,299  426,360 SH    X                          403,860    0    22,500
APACHE CORP COM                    Common Stock  037411105  19,138  325,400 SH    X                          303,600    0    21,800
APPLEBEES INTL INC                 Common Stock  037899101     173    5,700 SH    X                            5,700    0         0
APPLIED INDL TECH INC COM          Common Stock  03820C105     129    7,900 SH    X                            4,500    0     3,400
APPLIED MATERIALS                  Common Stock  038222105  20,798  229,500 SH    X                          223,900    0     5,600
AREMISSOFT CORP/DE                 Common Stock  040026106   3,803  122,200 SH    X                           99,200    0    23,000
ARGOSY GAMING CORP                 Common Stock  040228108     518   36,000 SH    X                           31,100    0     4,900
ARKANSAS BEST CORP                 Common Stock  040790107   1,999  201,200 SH    X                          166,500    0    34,700
ARROW INTERNATIONAL                Common Stock  042764100     536   16,000 SH    X                           11,300    0     4,700
ART TECHNOLOGY GROUP INC           Common Stock  04289L107  12,102  119,900 SH    X                          114,900    0     5,000
ARTHROCARE CORP                    Common Stock  043136100      59    1,100 SH    X                            1,100    0         0
ASPEN TECHNOLOGY INC COM           Common Stock  045327103   1,124   29,200 SH    X                           19,300    0     9,900
ASYST TECHNOLOGIES INC             Common Stock  04648X107     579   16,900 SH    X                            9,900    0     7,000
ATMEL CORP                         Common Stock  049513104  29,762  807,100 SH    X                          758,500    0    48,600
ATWOOD OCEANICS INC COM
 NASD INDL                         Common Stock  050095108   3,701   83,400 SH    X                           74,300    0     9,100
AURORA BIOSCIENCES CORP            Common Stock  051920106   2,482   36,400 SH    X                           30,200    0     6,200
AUTOBYTEL.COM INC                  Common Stock  05275N106     137   22,300 SH    X                            9,900    0    12,400
AUTOMATIC DATA PROCESSING
 INC COM                           Common Stock  053015103   4,676   87,300 SH    X                           85,300    0     2,000
AVANT CORP COM                     Common Stock  053487104      62    3,300 SH    X                            3,300    0         0
AVON PRODS INC COM                 Common Stock  054303102   2,772   62,300 SH    X                           62,300    0         0
AXENT TECHNOLOGIES INC             Common Stock  05459C108      94    3,800 SH    X                            3,800    0         0
AZTAR CORP COM                     Common Stock  054802103   5,168  333,420 SH    X                          314,120    0    19,300
BCE INC COM                        Common Stock  05534B109   5,648  237,200 SH    X                          237,200    0         0
BJ SVCS CO COM                     Common Stock  055482103  19,988  319,800 SH    X                          298,700    0    21,100
BJS WHOLESALE CLUB INC CO          Common Stock  05548J106  19,124  579,500 SH    X                          561,100    0    18,400
BALDOR ELEC CO COM                 Common Stock  057741100      37    2,000 SH    X                            2,000    0         0
BANK OF AMERICA CORP               Common Stock  060505104   4,537  105,517 SH    X                          101,265    0     4,252

Page Total                                                 273,443
</TABLE>

                                    Page 2
<PAGE>

<TABLE>
<CAPTION>
                   FORM 13F         Name of Reporting Manager:    Batterymarch Financial Management, Inc.      Run Date: 07/06/2000
                                                                  For Positions Held As Of 06/30/2000          --------------------
                                                                                                                  S.E.C. Use Only
                                                                                                                         |
                                                                                                               --------------------

                                                              Item 4:                   Item 6:                       Item 8:
                                                               Fair     Item 5:   Investment Discretion           Voting Authority
                                      Item 2:      Item 3:    Market   Shares or          (b)    (c)    Item 7:       (Shares)
                    Item 1:          Title of       CUSIP     Value    Principal  (a)   Shared  Shared   Other    (a)   (b)     (c)
                Name of Issuer         Class       Number   (X $1000)   Amount    Sole  as Def   Other  Managers Sole  Shared  None
-----------------------------------------------------------------------------------------------------------------------------------
<S>                                <C>            <C>       <C>      <C>         <C>    <C>     <C>     <C>    <C>     <C>    <C>
BANK NEW YORK INC COM              Common Stock  064057102   4,636   99,700 SH    X                           95,100    0     4,600
BANK ONE CORP                      Common Stock  06423A103   1,916   72,128 SH    X                           69,170    0     2,958
BARD C R INC COM                   Common Stock  067383109   5,443  113,100 SH    X                          101,300    0    11,800
BARNES & NOBLE INC                 Common Stock  067774109      80    3,600 SH    X                            1,300    0     2,300
BARRA INC                          Common Stock  068313105     506   10,200 SH    X                           10,200    0         0
BEA SYSTEMS INC                    Common Stock  073325102      59    1,200 SH    X                            1,200    0         0
BEAZER HOMES USA INC               Common Stock  07556Q105     111    6,100 SH    X                            1,800    0     4,300
BELDEN INC                         Common Stock  077459105     820   32,000 SH    X                           17,800    0    14,200
BELL ATLANTIC CORP COM             Common Stock  077853109   5,064   99,660 SH    X                           95,660    0     4,000
BELLSOUTH CORP COM                 Common Stock  079860102  11,598  272,100 SH    X                          262,600    0     9,500
BIOSITE DIAGNOSTICS INC            Common Stock  090945106   1,075   22,300 SH    X                           21,600    0       700
BLACK HILLS CORP COM               Common Stock  092113109     377   16,700 SH    X                           16,700    0         0
BLACKROCK INC                      Common Stock  09247X101     145    5,000 SH    X                                0    0     5,000
BOEING CO COM                      Common Stock  097023105   7,627  182,400 SH    X                          178,600    0     3,800
BORG WARNER AUTO                   Common Stock  099724106     158    4,500 SH    X                            4,500    0         0
BRAUNS FASHIONS CORP               Common Stock  105658108     855   23,300 SH    X                           14,200    0     9,100
BRIGHTPOINT INC COM                Common Stock  109473108     387   44,700 SH    X                           44,700    0         0
BRINKER INTL INC COM               Common Stock  109641100   4,689  160,300 SH    X                          159,400    0       900
BRISTOL MYERS SQUIBB CO COM        Common Stock  110122108  12,634  216,900 SH    X                          208,500    0     8,400
BROADVISION CORP                   Common Stock  111412102   3,215   63,277 SH    X                           56,650    0     6,627
BROOKS AUTOMATION INC              Common Stock  11434A100     729   11,400 SH    X                            9,400    0     2,000
BRUNSWICK CORP  COM                Common Stock  117043109  14,433  871,400 SH    X                          825,400    0    46,000
BUFFETS INC COM NASD INDL          Common Stock  119882108     250   19,700 SH    X                           19,700    0         0
BURR BROWN CORP COM NASD INDL      Common Stock  122574106   1,716   19,800 SH    X                           16,100    0     3,700
CBL & ASSOCIATES PPTYS INC         Common Stock  124830100   2,456   98,500 SH    X                           76,300    0    22,200
CFW COMMUNICATIONS CO              Common Stock  124923103      74    1,960 SH    X                            1,960    0         0
CEC ENTERTAINMENT INC              Common Stock  125137109     502   19,600 SH    X                           19,600    0         0
CIGNA CORP  COM                    Common Stock  125509109   2,272   24,300 SH    X                           24,300    0         0
CNA SURETY CORP COM                Common Stock  12612L108     235   19,700 SH    X                           19,700    0         0
CACI INTL INC -CL A                Common Stock  127190304     158    8,100 SH    X                            3,500    0     4,600
CALIFORNIA AMPLIFIER INC           Common Stock  129900106   4,186   91,500 SH    X                           74,300    0    17,200
CALIFORNIA MICRO DEVICES CP        Common Stock  130439102      43    1,400 SH    X                            1,400    0         0
CANANDAIGUA BRANDS INC CLA         Common Stock  137219200   1,357   26,900 SH    X                           26,300    0       600
CAREER ED CORP                     Common Stock  141665109     387    7,975 SH    X                            4,275    0     3,700
CAREMARK RX INC                    Common Stock  141705103   2,265  332,500 SH    X                          297,100    0    35,400
CARREKER CORPORATION               Common Stock  144433109     293   32,600 SH    X                           32,600    0         0
CASEYS GEN STORES INC COM
 NASD INDL                         Common Stock  147528103      88    8,450 SH    X                            8,450    0         0
CATO CORP -CL A                    Common Stock  149205106     677   58,200 SH    X                           21,500    0    36,700
CELL GENESYS INC                   Common Stock  150921104   1,100   39,300 SH    X                           39,300    0         0
CENTIGRAM COMMUNICAT               Common Stock  152317103     340   13,300 SH    X                           13,300    0         0
CENTEX CONSTRN PRODS INC           Common Stock  15231R109     127    5,600 SH    X                            1,300    0     4,300
CERNER CORP COM NASD INDL          Common Stock  156782104     164    6,000 SH    X                            3,600    0     2,400

Page Total                                                  95,246
</TABLE>

                                    Page 3
<PAGE>

<TABLE>
<CAPTION>
                   FORM 13F         Name of Reporting Manager:    Batterymarch Financial Management, Inc.      Run Date: 07/06/2000
                                                                  For Positions Held As Of 06/30/2000          --------------------
                                                                                                                  S.E.C. Use Only
                                                                                                                         |
                                                                                                               --------------------

                                                              Item 4:                   Item 6:                       Item 8:
                                                               Fair     Item 5:   Investment Discretion           Voting Authority
                                      Item 2:      Item 3:    Market   Shares or          (b)    (c)    Item 7:       (Shares)
                    Item 1:          Title of       CUSIP     Value    Principal  (a)   Shared  Shared   Other    (a)   (b)     (c)
                Name of Issuer         Class       Number   (X $1000)   Amount    Sole  as Def   Other  Managers Sole  Shared  None
-----------------------------------------------------------------------------------------------------------------------------------
<S>                                <C>            <C>       <C>      <C>         <C>    <C>     <C>     <C>    <C>     <C>    <C>
CHARMING SHOPPES                   Common Stock  161133103     853   167,500 SH   X                          135,300    0    32,200
CHASE MANHATTAN CORP NEW COM       Common Stock  16161A108   3,627    78,750 SH   X                           75,600    0     3,150
CHEESECAKE FACTORY I               Common Stock  163072101      47     1,700 SH   X                            1,700    0         0
CHELSEA GCA REALTY INC             Common Stock  163262108     277     8,000 SH   X                            6,000    0     2,000
CHEMED CORP COM                    Common Stock  163596109      51     1,800 SH   X                                0    0     1,800
CHESAPEAKE ENERGY CORP             Common Stock  165167107     893   115,200 SH   X                          103,400    0    11,800
CHEVRON CORPORATION COM            Common Stock  166751107   4,775    56,300 SH   X                           54,600    0     1,700
CHICOS FAS INC                     Common Stock  168615102   2,292   114,600 SH   X                           83,400    0    31,200
CINERGY CORP                       Common Stock  172474108   3,355   131,900 SH   X                          131,900    0         0
CISCO SYSTEMS                      Common Stock  17275R102  77,012 1,211,600 SH   X                        1,165,900    0    45,700
CITIGROUP INC                      Common Stock  172967101  43,605   723,729 SH   X                          700,329    0    23,400
CITY NATL CORP COM NASD BK INS     Common Stock  178566105   1,720    49,500 SH   X                           43,300    0     6,200
CLARENT CORP                       Common Stock  180461105   6,603    92,350 SH   X                           86,900    0     5,450
COASTAL CORP COM                   Common Stock  190441105     469     7,700 SH   X                            5,700    0     2,000
COCA COLA CO COM                   Common Stock  191216100   9,960   173,400 SH   X                          166,200    0     7,200
COCA-COLA FEMSA S A DE C V
 SPNSR ADR 10S                     Sponsored ADR 191241108      19     1,000 SH   X                            1,000    0         0
COGNEX CORP                        Common Stock  192422103     104     2,000 SH   X                              800    0     1,200
COGNIZANT TECH SOLUTIONS           Common Stock  192446102     179     5,400 SH   X                            5,400    0         0
COHERENT INC COM NASD INDL         Common Stock  192479103     252     3,000 SH   X                            3,000    0         0
COLDWATER CREEK INC                Common Stock  193068103      60     2,000 SH   X                                0    0     2,000
COLE KENNETH PRODTNS INC COM       Common Stock  193294105     480    12,000 SH   X                           10,800    0     1,200
COLGATE PALMOLIVE CO COM           Common Stock  194162103   7,826   130,700 SH   X                          126,200    0     4,500
COLONIAL PROPERTIES TRUST          Common Stock  195872106     827    30,200 SH   X                           24,400    0     5,800
COLUMBIA SPORTSWEAR CO             Common Stock  198516106      51     1,900 SH   X                            1,900    0         0
COMCAST CORP CL A SPL NASD INDL    Common Stock  200300200   2,211    54,600 SH   X                           52,300    0     2,300
COMMERCE BANCSHARES INC COM
 NASD BK IN                        Common Stock  200525103     479    16,100 SH   X                           16,100    0         0
COMMERCE GROUP INC M               Common Stock  200641108   1,519    51,500 SH   X                           51,500    0         0
COMMERCIAL METALS CO COM           Common Stock  201723103     352    12,800 SH   X                           12,800    0         0
COMMONWEALTH TELEPHONE ENTER       Common Stock  203349105     532    11,300 SH   X                            8,400    0     2,900
COMP PARANAENSE ENERG (COPEL)
 ADR PFD                           ADR           20441B407   5,761   618,600 SH   X                          618,600    0         0
COMP ANONIMA NACIONAL TELE (CANTV)
 ADS V                             ADS           204421101      30     1,100 SH   X                            1,100    0         0
COMPAQ COMPUTER CORP COM           Common Stock  204493100   2,066    80,802 SH   X                           76,402    0     4,400
COMVERSE TECHNOLOGY INC PAR
 $0.10 NASD I                      Common Stock  205862402   1,423    15,300 SH   X                           15,300    0         0
CONMED CORP                        Common Stock  207410101   1,400    54,100 SH   X                           46,000    0     8,100
CONSTELLATION ENERGY GROUP         Common Stock  210371100  20,586   632,200 SH   X                          614,700    0    17,500
CONTINENTAL AIRLS INC -CL B        Common Stock  210795308   2,505    53,300 SH   X                           53,300    0         0
CONVERGYS CORP                     Common Stock  212485106     379     7,300 SH   X                            7,300    0         0
COOPER CAMERON CORP COM            Common Stock  216640102      40       600 SH   X                                0    0       600
COOPER COS INC COM NEW             Common Stock  216648402     335     9,200 SH   X                            9,200    0         0
COOPER INDS INC COM                Common Stock  216669101   2,996    92,000 SH   X                           77,100    0    14,900
COORS ADOLPH CO CL B NASD INDL     Common Stock  217016104   9,129   150,900 SH   X                          126,600    0    24,300
COORSTEK INC                       Common Stock  217020106      64     1,400 SH   X                            1,400    0         0

Page Total                                                 217,141
</TABLE>


                                    Page 4
<PAGE>

<TABLE>
<CAPTION>
                   FORM 13F         Name of Reporting Manager:    Batterymarch Financial Management, Inc.      Run Date: 07/06/2000
                                                                  For Positions Held As Of 06/30/2000          --------------------
                                                                                                                  S.E.C. Use Only
                                                                                                                         |
                                                                                                               --------------------

                                                              Item 4:                   Item 6:                       Item 8:
                                                               Fair     Item 5:   Investment Discretion           Voting Authority
                                      Item 2:      Item 3:    Market   Shares or          (b)    (c)    Item 7:       (Shares)
                    Item 1:          Title of       CUSIP     Value    Principal  (a)   Shared  Shared   Other    (a)   (b)     (c)
                Name of Issuer         Class       Number   (X $1000)   Amount    Sole  as Def   Other  Managers Sole  Shared  None
-----------------------------------------------------------------------------------------------------------------------------------
<S>                                <C>            <C>       <C>      <C>         <C>    <C>     <C>     <C>    <C>     <C>    <C>
COPART INC                         Common Stock  217204106     546   34,100 SH    X                           20,100    0    14,000
CORILLIAN CORP                     Common Stock  218725109     118    7,100 SH    X                            7,100    0         0
CORNING INC COM                    Common Stock  219350105   6,045   22,400 SH    X                           21,500    0       900
COX RADIO INC CL A                 Common Stock  224051102     694   24,800 SH    X                           24,200    0       600
CREDENCE SYSTEMS CORP              Common Stock  225302108   5,486   99,400 SH    X                           71,400    0    28,000
CRESCENT R E EQUITIES INC          Common Stock  225756105     256   12,500 SH    X                           12,500    0         0
CROSS TIMBERS OIL CO               Common Stock  227573102   4,885  220,800 SH    X                          220,800    0         0
CULLEN FROST BANKERS INC COM
  NASD INDL                        Common Stock  229899109      74    2,800 SH    X                            2,800    0         0
CUMMINS ENGINE INC COM             Common Stock  231021106   1,711   62,800 SH    X                           62,800    0         0
CYBEROPTICS CORP                   Common Stock  232517102     183    3,950 SH    X                            3,950    0         0
CYMER INC COM                      Common Stock  232572107   1,533   32,100 SH    X                           17,500    0    14,600
CYPRESS SEMICONDUCTOR CORP COM     Common Stock  232806109  13,785  326,280 SH    X                          276,680    0    49,600
CYTYC CORP COM                     Common Stock  232946103   1,518   28,440 SH    X                           14,840    0    13,600
DPL INC  COM                       Common Stock  233293109   1,016   46,300 SH    X                           32,500    0    13,800
DSP GROUP INC                      Common Stock  23332B106     470    8,400 SH    X                            8,000    0       400
DAIN RAUSCHER CORP COM             Common Stock  233856103   1,228   18,600 SH    X                           18,600    0         0
DARDEN RESTAURANTS INC COM         Common Stock  237194105   6,552  403,200 SH    X                          392,500    0    10,700
DATARAM CORP                       Common Stock  238108203      66    2,300 SH    X                            1,000    0     1,300
DATASCOPE CORP COM NASD INDL       Common Stock  238113104     209    5,800 SH    X                            4,300    0     1,500
DAVOX CORP COM                     Common Stock  239208101      57    4,400 SH    X                            4,400    0         0
DEERE & CO COM                     Common Stock  244199105   9,165  247,700 SH    X                          247,700    0         0
DELL COMPUTER CORP COM
 NASD INDL                         Common Stock  247025109   8,265  167,600 SH    X                          160,800    0     6,800
DELPHI AUTO SYSTEMS                Common Stock  247126105   9,106  625,313 SH    X                          576,540    0    48,773
DELTA AIR LINES INC DEL COM        Common Stock  247361108   4,126   81,600 SH    X                           81,400    0       200
DENSE-PAC MICROSYSTEMS INC         Common Stock  248719304     200   18,400 SH    X                           14,300    0     4,100
DENTSPLY INTL INC NEW COM
 NASD INDL                         Common Stock  249030107     404   13,100 SH    X                                0    0    13,100
DIAGNOSTIC PRODS CORP COM          Common Stock  252450101      99    3,100 SH    X                            3,100    0         0
DIAMOND TECH PRTNRS CL A           Common Stock  252762109      79      900 SH    X                              900    0         0
DIME BANCORP INC                   Common Stock  25429Q102   1,030   65,400 SH    X                           60,600    0     4,800
DISNEY WALT CO DEL COM             Common Stock  254687106   5,376  138,500 SH    X                          133,100    0     5,400
DIRECT FOCUS INC                   Common Stock  254931108   2,852   58,200 SH    X                           50,100    0     8,100
DOCUMENTUM INC                     Common Stock  256159104   1,055   11,800 SH    X                            8,500    0     3,300
DOLLAR THRIFTY AUTOMOTIVE GP       Common Stock  256743105   1,943  105,400 SH    X                          101,500    0     3,900
DOLLAR TREE STORES INC COM         Common Stock  256747106   2,635   66,600 SH    X                           61,650    0     4,950
DONALDSON LUFKIN & JENRETTE NV COM Common Stock  257661108      64    1,500 SH    X                            1,500    0         0
DORAL FINL CORP COM                Common Stock  25811P100      30    2,600 SH    X                            2,600    0         0
DOVER CORP COM                     Common Stock  260003108   2,328   57,400 SH    X                           57,400    0         0
DOW CHEM CO COM                    Common Stock  260543103   2,684   88,900 SH    X                           85,300    0     3,600
DOW JONES & CO INC COM             Common Stock  260561105   5,025   68,600 SH    X                           62,100    0     6,500
DRESS BARN INC COM NASD INDL       Common Stock  261570105     529   23,900 SH    X                           20,600    0     3,300
DU PONT E I DE NEMOURS & CO COM    Common Stock  263534109   7,599  173,700 SH    X                          167,000    0     6,700
DUKE ENERGY CORP COM               Common Stock  264399106  11,252  199,600 SH    X                          196,800    0     2,800

Page Total                                                 122,277
</TABLE>


                                    Page 5
<PAGE>

<TABLE>
<CAPTION>
                   FORM 13F         Name of Reporting Manager:    Batterymarch Financial Management, Inc.      Run Date: 07/06/2000
                                                                  For Positions Held As Of 06/30/2000          --------------------
                                                                                                                  S.E.C. Use Only
                                                                                                                         |
                                                                                                               --------------------

                                                              Item 4:                   Item 6:                       Item 8:
                                                               Fair     Item 5:   Investment Discretion           Voting Authority
                                      Item 2:      Item 3:    Market   Shares or          (b)    (c)    Item 7:       (Shares)
                    Item 1:          Title of       CUSIP     Value    Principal  (a)   Shared  Shared   Other    (a)   (b)     (c)
                Name of Issuer         Class       Number   (X $1000)   Amount    Sole  as Def   Other  Managers Sole  Shared  None
-----------------------------------------------------------------------------------------------------------------------------------
<S>                                <C>            <C>       <C>      <C>         <C>    <C>     <C>     <C>    <C>     <C>    <C>
DURA PHARMACEUTICALS INC COM
 NASD INDL                         Common Stock  26632S109     279    19,400 SH   X                           18,400    0     1,000
DYCOM INDS INC COM NASD INDL       Common Stock  267475101     207     4,500 SH   X                            4,500    0         0
DYNEGY INC                         Common Stock  26816Q101  13,792   201,900 SH   X                          188,200    0    13,700
ECI TELECOMMUNICATIONS -ORD        Common Stock  268258100   3,371    94,300 SH   X                           94,300    0         0
E M C CORP MASS COM                Common Stock  268648102  16,165   210,100 SH   X                          200,900    0     9,200
EOG RESOURCES INC                  Common Stock  26875P101  18,430   550,150 SH   X                          550,150    0         0
EAST WEST BANCORP INC              Common Stock  27579R104   1,333    92,700 SH   X                           68,700    0    24,000
EATON VANCE CORP COM NON VTG
 NASD INDL                         Common Stock  278265103     518    11,200 SH   X                            7,200    0     4,000
EDWARDS AG INC COM                 Common Stock  281760108     761    19,500 SH   X                           17,000    0     2,500
EL PASO ELECTRIC CO COM NEW        Common Stock  283677854   2,206   197,200 SH   X                          139,700    0    57,500
EL PASO ENERGY CORPORATION         Common Stock  283905107     764    15,000 SH   X                            6,300    0     8,700
ELANTEC SEMICONDUCTOR INC COM      Common Stock  284155108   3,147    45,200 SH   X                           39,800    0     5,400
ELECTRO SCIENTIFIC INDS COM
 NASD INDL                         Common Stock  285229100     832    18,900 SH   X                           15,500    0     3,400
ELECTROGLAS INC                    Common Stock  285324109     310    14,400 SH   X                           14,400    0         0
EMERSON ELEC CO COM                Common Stock  291011104   3,399    56,300 SH   X                           54,100    0     2,200
ENERGEN CORP COM                   Common Stock  29265N108   1,911    87,600 SH   X                           79,300    0     8,300
ENERGY EAST CORP                   Common Stock  29266M109     377    19,800 SH   X                           17,300    0     2,500
ENGELHARD CORP COM                 Common Stock  292845104     263    15,400 SH   X                           15,400    0         0
ENRON CORP COM                     Common Stock  293561106   3,264    50,600 SH   X                           46,900    0     3,700
ENTERGY CORP NEW COM               Common Stock  29364G103  11,598   426,600 SH   X                          399,600    0    27,000
ENZON INC COM NASD INDL            Common Stock  293904108      38       900 SH   X                              900    0         0
EQUITABLE RES INC COM              Common Stock  294549100   5,433   112,600 SH   X                           91,500    0    21,100
EVOLVING SYSTEMS INC               Common Stock  30049R100      21     3,600 SH   X                            3,600    0         0
EXAR CORP COM NASD INDL            Common Stock  300645108     532     6,100 SH   X                            2,200    0     3,900
EXXON MOBIL CORPORATION            Common Stock  30231G102  27,630   351,978 SH   X                          338,477    0    13,501
F M C CORP COM NEW                 Common Stock  302491303     168     2,900 SH   X                            2,900    0         0
FYI INC                            Common Stock  302712104      13       400 SH   X                              400    0         0
FACTORY 2-U INC                    Common Stock  303072102     405    10,700 SH   X                           10,700    0         0
FAIRCHILD SEMICONDUCTOR INTL CL A  Common Stock  303726103     761    18,800 SH   X                           18,800    0         0
FAIRFIELD CMNTYS INC COM PAR $0.10 Common Stock  304231301      78     9,900 SH   X                            5,200    0     4,700
FREDDIE MAC COM                    Common Stock  313400301   2,134    52,700 SH   X                           50,900    0     1,800
FANNIE MAE                         Common Stock  313586109   7,969   152,700 SH   X                          146,300    0     6,400
FEDERATED INVESTORS INC            Common Stock  314211103   6,294   179,500 SH   X                          159,200    0    20,300
FELCOR LODGING TR INC              Common Stock  31430F101       6       300 SH   X                              300    0         0
FERRO CORP COM                     Common Stock  315405100     806    38,400 SH   X                           38,400    0         0
F5 NETWORKS INC                    Common Stock  315616102      44       800 SH   X                              800    0         0
FILENET CORP COM NASD INDL         Common Stock  316869106     259    14,100 SH   X                           12,200    0     1,900
FIRST DATA CORP                    Common Stock  319963104   2,918    58,800 SH   X                           56,600    0     2,200
FIRST INDL REALTY TRUST INC        Common Stock  32054K103     224     7,600 SH   X                            5,800    0     1,800
FIRST HEALTH GROUP CORP            Common Stock  320960107   6,779   206,600 SH   X                          170,300    0    36,300
FIRST UN CORP COM                  Common Stock  337358105   1,536    61,900 SH   X                           59,400    0     2,500
FLEET BOSTON FINANCIAL CORP        Common Stock  339030108   4,097   120,500 SH   X                          115,800    0     4,700

Page Total                                                 151,072
</TABLE>

                                    Page 6
<PAGE>

<TABLE>
<CAPTION>
                   FORM 13F         Name of Reporting Manager:    Batterymarch Financial Management, Inc.      Run Date: 07/06/2000
                                                                  For Positions Held As Of 06/30/2000          --------------------
                                                                                                                  S.E.C. Use Only
                                                                                                                         |
                                                                                                               --------------------

                                                              Item 4:                   Item 6:                       Item 8:
                                                               Fair     Item 5:   Investment Discretion           Voting Authority
                                      Item 2:      Item 3:    Market   Shares or          (b)    (c)    Item 7:       (Shares)
                    Item 1:          Title of       CUSIP     Value    Principal  (a)   Shared  Shared   Other    (a)   (b)     (c)
                Name of Issuer         Class       Number   (X $1000)   Amount    Sole  as Def   Other  Managers Sole  Shared  None
-----------------------------------------------------------------------------------------------------------------------------------
<S>                                <C>            <C>       <C>      <C>         <C>    <C>     <C>     <C>    <C>     <C>    <C>
FOMENTO ECONOMICO MEX-SP ADR       ADS           344419106  19,897   462,040 SH   X                          446,720    0    15,320
FOOTSTAR INC COM                   Common Stock  344912100     216     6,500 SH   X                            6,500    0         0
FORD MTR CO DEL COM                Common Stock  345370100   4,012    93,300 SH   X                           86,500    0     6,800
FOREST LABS INC CL A               Common Stock  345838106     929     9,200 SH   X                            9,200    0         0
FOREST OIL CORP COM NEW            Common Stock  346091606     269    16,850 SH   X                           16,850    0         0
FORRESTER RESEARCH INC             Common Stock  346563109   1,099    15,100 SH   X                           12,000    0     3,100
FOUNDATION HEALTH SYS INC COM      Common Stock  350404109   2,803   215,600 SH   X                          211,300    0     4,300
FOUR SEASONS HOTEL INC LTD VTG SH  Common Stock  35100E104     811    13,000 SH   X                           11,300    0     1,700
FRANKLIN COVEY CO COM              Common Stock  353469109     139    20,000 SH   X                           20,000    0         0
FURNITURE BRANDS INTL COM          Common Stock  360921100   1,650   109,100 SH   X                           94,600    0    14,500
GBC BANCORP CALIF                  Common Stock  361475106     108     3,700 SH   X                            3,700    0         0
GTE CORP COM                       Common Stock  362320103   4,177    67,100 SH   X                           64,500    0     2,600
GADZOOKS INC                       Common Stock  362553109      39     3,400 SH   X                            3,400    0         0
GANNETT INC COM                    Common Stock  364730101   5,963    99,700 SH   X                           97,300    0     2,400
GASONICS INTERNATIONAL CORP        Common Stock  367278108     252     6,400 SH   X                            4,200    0     2,200
GENERAL CABLE CORP                 Common Stock  369300108      48     5,900 SH   X                            5,900    0         0
GENERAL ELEC CO COM                Common Stock  369604103  91,785 1,731,800 SH   X                          667,100    0    64,700
GENERAL MLS INC COM                Common Stock  370334104   1,679    43,900 SH   X                           43,900    0         0
GENERAL MTRS CORP COM              Common Stock  370442105   6,230   107,300 SH   X                          103,600    0     3,700
GENERAL MTRS CORP CL H NEW         Common Stock  370442832      53       600 SH   X                              600    0         0
GENERAL SEMICONDUCTOR INC COM      Common Stock  370787103     642    43,500 SH   X                           35,100    0     8,400
GENESCO INC COM                    Common Stock  371532102     610    38,000 SH   X                           33,500    0     4,500
GENOME THERAPEUTICS CP COM         Common Stock  372430108     405    13,300 SH   X                           10,100    0     3,200
GENTNER COMMUNICATIONS CORP        Common Stock  37245J105     487    34,800 SH   X                           28,200    0     6,600
GEON COMPANY                       Common Stock  37246W105   1,406    76,000 SH   X                           56,200    0    19,800
GEORGIA GULF CORP COM              Common Stock  373200203   3,438   165,200 SH   X                          108,000    0    57,200
GEORGIA PAC CORP COM               Common Stock  373298108      45     1,700 SH   X                            1,700    0         0
GILLETTE CO COM                    Common Stock  375766102   2,411    69,000 SH   X                           66,000    0     3,000
GLATFELTER P H CO COM              Common Stock  377316104      69     6,800 SH   X                                0    0     6,800
GLENAYRE TECHNOLOGIES INC COM
 NASD INDL                         Common Stock  377899109     517    48,900 SH   X                           29,000    0    19,900
GLIMCHER REALTY TRUST              Common Stock  379302102     699    48,600 SH   X                           22,800    0    25,800
GLOBAL TELESYSTEMS GROUP (GTS) INC Common Stock  37936U104     456    37,800 SH   X                           37,800    0         0
GLOBO CABO S A SPONSORED ADR       ADS           37957X102      35     2,500 SH   X                            2,500    0         0
GOLDMAN SACHS GROUP INC            Common Stock  38141G104   4,668    49,200 SH   X                           47,900    0     1,300
GRACE W R & CO COM                 Common Stock  38388F108   5,002   412,500 SH   X                          352,400    0    60,100
GRACO INC COM                      Common Stock  384109104     592    18,200 SH   X                           11,900    0     6,300
GRANT PRIDECO INC                  Common Stock  38821G101  12,318   492,700 SH   X                          492,700    0         0
GRUPO TELEVISA SA DE CV SPN
 ADR REPORD                        Sponsored ADR 40049J206  20,665   299,770 SH   X                          289,370    0    10,400
GUESS INC                          Common Stock  401617105      56     4,000 SH   X                                0    0     4,000
HAEMONETICS CORPORATION            Common Stock  405024100     338    16,100 SH   X                           16,100    0         0
HALL KINION & ASSOCIATES INC       Common Stock  406069104     257     7,700 SH   X                            4,000    0     3,700
JOHN HANCOCK FINANCIAL SRVCS       Common Stock  41014S106     569    24,000 SH   X                           24,000    0         0

Page Total                                                 197,842
</TABLE>

                                    Page 7
<PAGE>

<TABLE>
<CAPTION>
                   FORM 13F         Name of Reporting Manager:    Batterymarch Financial Management, Inc.      Run Date: 07/06/2000
                                                                  For Positions Held As Of 06/30/2000          --------------------
                                                                                                                  S.E.C. Use Only
                                                                                                                         |
                                                                                                               --------------------

                                                              Item 4:                   Item 6:                       Item 8:
                                                               Fair     Item 5:   Investment Discretion           Voting Authority
                                      Item 2:      Item 3:    Market   Shares or          (b)    (c)    Item 7:       (Shares)
                    Item 1:          Title of       CUSIP     Value    Principal  (a)   Shared  Shared   Other    (a)   (b)     (c)
                Name of Issuer         Class       Number   (X $1000)   Amount    Sole  as Def   Other  Managers Sole  Shared  None
-----------------------------------------------------------------------------------------------------------------------------------
<S>                                <C>            <C>       <C>      <C>         <C>    <C>     <C>     <C>    <C>     <C>    <C>
HANDLEMAN CO DEL COM               Common Stock  410252100      263    21,000 SH  X                             18,200  0     2,800
HANNA M A CO COM                   Common Stock  410522106       32     3,500 SH  X                              3,500  0         0
HARLAND JOHN H CO COM              Common Stock  412693103    1,807   121,000 SH  X                            104,500  0    16,500
HARMAN INTL INDS INC COM           Common Stock  413086109      430     7,050 SH  X                              7,050  0         0
HARSCO CORP COM                    Common Stock  415864107    2,672   104,770 SH  X                             83,170  0    21,600
HARTE-HANKS INC                    Common Stock  416196103      870    34,800 SH  X                             34,800  0         0
HARTFORD LIFE INC CL A             Common Stock  416592103      172     3,400 SH  X                              3,400  0         0
HEALTH MANAGEMNT ASSC              Common Stock  421933102    5,373   411,300 SH  X                            411,300  0         0
HEIDRICK & STRUGGLES INTL          Common Stock  422819102       76     1,200 SH  X                              1,200  0         0
HELMERICH & PAYNE INC COM          Common Stock  423452101    6,623   177,200 SH  X                            162,900  0    14,300
HENRY JACK & ASSOC INC
 COM NASD INDL                     Common Stock  426281101      160     3,200 SH  X                              1,000  0     2,200
HERTZ CORP CL A                    Common Stock  428040109    3,126   111,400 SH  X                            111,000  0       400
HEWLETT PACKARD CO COM             Common Stock  428236103   20,817   166,700 SH  X                            161,000  0     5,700
HIBERNIA CORP CL A                 Common Stock  428656102    6,363   585,100 SH  X                            487,500  0    97,600
HOME DEPOT INC COM                 Common Stock  437076102   15,785   316,100 SH  X                            302,600  0    13,500
HON INDS INC COM NASD INDL         Common Stock  438092108    1,126    47,900 SH  X                             47,900  0         0
HONEYWELL INTERNATIONAL INC        Common Stock  438516106    1,755    52,100 SH  X                             50,000  0     2,100
HOT TOPIC INC                      Common Stock  441339108    5,091   159,100 SH  X                            142,600  0    16,500
HOTEL RESERVATIONS NETWORK         Common Stock  441451101       42     1,400 SH  X                              1,400  0         0
HOUSTON EXPL CO COM                Common Stock  442120101       33     1,300 SH  X                              1,300  0         0
HUMAN GENOME SCIENCES INC          Common Stock  444903108       67       500 SH  X                                  0  0       500
ICU MEDICAL INC                    Common Stock  44930G107       78     2,900 SH  X                              2,900  0         0
IDEC PHARMACEUTICALS CORP COM      Common Stock  449370105       82       700 SH  X                                  0  0       700
IMS HEALTH INC                     Common Stock  449934108    9,391   521,700 SH  X                            499,400  0    22,300
ISS GROUP INC                      Common Stock  450306105    1,167    11,820 SH  X                              6,520  0     5,300
IDEXX LABS INC                     Common Stock  45168D104      522    22,800 SH  X                             22,800  0         0
ILLUMNET                           Common Stock  452334105      611    12,000 SH  X                              9,500  0     2,500
IMATION CORP COM                   Common Stock  45245A107      899    30,600 SH  X                             18,900  0    11,700
IMPERIAL BANCORP                   Common Stock  452556103      135     8,700 SH  X                              8,700  0         0
IMPATH INC                         Common Stock  45255G101      125     2,300 SH  X                              2,300  0         0
INCYTE GENOMICS INC                Common Stock  45337C102      444     5,400 SH  X                              5,400  0         0
INET TECHNOLOGIES INC              Common Stock  45662V105    3,877    71,470 SH  X                             51,670  0    19,800
IN FOCUS SYSTEMS INC               Common Stock  45665B106      734    22,800 SH  X                             22,300  0       500
INFORMATICA CORP                   Common Stock  45666Q102    2,048    25,000 SH  X                             16,700  0     8,300
INFORMIX CORP COM NASD INDL        Common Stock  456779107      251    33,700 SH  X                             24,600  0     9,100
INGERSOLL RAND CO COM              Common Stock  456866102    1,119    27,800 SH  X                             27,800  0         0
INKTOMI CORP                       Common Stock  457277101    3,181    26,900 SH  X                             26,900  0         0
INNERDYNE INC                      Common Stock  45764D102      344    46,600 SH  X                             32,000  0    14,600
INSITUFORM TECH INC CL A NASD INDL Common Stock  457667103      659    24,300 SH  X                             15,000  0     9,300
INSIGHT COMMUNICATIONS INC         Common Stock  45768V108      830    53,100 SH  X                             48,800  0     4,300
INTEGRATED MEASUREMENT SYS INC     Common Stock  457923100       44     2,800 SH  X                                700  0     2,100
INTEGRATED DEVICE TECHNOLOGY
 COM NASD                          Common Stock  458118106   12,143   202,800 SH  X                            170,000  0    32,800

Page Total                                                  111,363
</TABLE>

                                    Page 8
<PAGE>

<TABLE>
<CAPTION>
                   FORM 13F         Name of Reporting Manager:    Batterymarch Financial Management, Inc.      Run Date: 07/06/2000
                                                                  For Positions Held As Of 06/30/2000          --------------------
                                                                                                                  S.E.C. Use Only
                                                                                                                         |
                                                                                                               --------------------

                                                              Item 4:                   Item 6:                       Item 8:
                                                               Fair     Item 5:   Investment Discretion           Voting Authority
                                      Item 2:      Item 3:    Market   Shares or          (b)    (c)    Item 7:       (Shares)
                    Item 1:          Title of       CUSIP     Value    Principal  (a)   Shared  Shared   Other    (a)   (b)     (c)
                Name of Issuer         Class       Number   (X $1000)   Amount    Sole  as Def   Other  Managers Sole  Shared  None
-----------------------------------------------------------------------------------------------------------------------------------
<S>                                <C>            <C>       <C>      <C>         <C>    <C>     <C>     <C>    <C>     <C>    <C>
INTEGRATED SILICON SOLUTION        Common Stock  45812P107    1,072    28,200 SH  X                             11,100  0    17,100
INTEL CORP COM NASD INDL           Common Stock  458140100   70,854   530,000 SH  X                            507,400  0    22,600
INTERNATIONAL BUSINESS MACHINES
 COM                               Common Stock  459200101   12,687   115,800 SH  X                            111,000  0     4,800
INTERNATIONAL HOME FOODS INC       Common Stock  459655106      310    14,800 SH  X                              4,700  0    10,100
INT L GAME TECHNOLOGY              Common Stock  459902102      257     9,700 SH  X                              9,700  0         0
INTERNATIONAL RECTIFIER CORP COM   Common Stock  460254105    6,625   118,300 SH  X                             96,100  0    22,200
INTERTAN INC COM                   Common Stock  461120107      120    10,200 SH  X                             10,200  0         0
INTIMATE BRANDS INC CL A           Common Stock  461156101    8,354   423,000 SH  X                            423,000  0         0
INTUIT INC                         Common Stock  461202103      418    10,100 SH  X                             10,100  0         0
INVACARE CORP COM NASD INDL        Common Stock  461203101      743    28,300 SH  X                             16,300  0    12,000
ISLE OF CAPRIS CASINOS INC         Common Stock  464592104      233    17,200 SH  X                             16,400  0       800
I2 TECHNOLOGIES INC COM            Common Stock  465754109    1,229    11,785 SH  X                             11,290  0       495
IVAX CORP COM                      Common Stock  465823102    1,710    41,200 SH  X                             38,050  0     3,150
JDS UNIPHASE CORP                  Common Stock  46612J101   10,789    90,000 SH  X                             89,400  0       600
JDA SOFTWARE GROUP INC COM         Common Stock  46612K108    1,898    98,900 SH  X                             66,300  0    32,600
JACO ELECTRONICS INC               Common Stock  469783104      268    12,200 SH  X                             11,700  0       500
JEFFRIES GROUP INC (NEW)           Common Stock  472319102    1,141    56,500 SH  X                             54,400  0     2,100
JOHN NUVEEN CO -CL                 Common Stock  478035108      591    14,100 SH  X                              8,800  0     5,300
JOHNSON & JOHNSON COM              Common Stock  478160104   14,823   145,500 SH  X                            139,200  0     6,300
JONES PHARMA INC                   Common Stock  480236108   13,621   341,050 SH  X                            318,500  0    22,550
JUSTIN INDS INC COM NASD INDL      Common Stock  482171105      112     5,100 SH  X                              5,100  0         0
KEITHLEY INSTRS INC COM            Common Stock  487584104       70       800 SH  X                                800  0         0
KEMET CORP                         Common Stock  488360108    4,900   195,500 SH  X                            156,700  0    38,800
KENNAMETAL INC COM                 Common Stock  489170100      129     6,000 SH  X                              6,000  0         0
KEY PRODUCTION COMPANY INC         Common Stock  493138101       16       900 SH  X                                900  0         0
KEYSPAN ENERGY CORP                Common Stock  49337W100   35,916 1,168,000 SH  X                          1,124,700  0    43,300
KIMBERLY CLARK CORP COM            Common Stock  494368103    3,385    59,000 SH  X                             55,500  0     3,500
KINDER MORGAN INC                  Common Stock  49455P101    1,175    34,000 SH  X                             34,000  0         0
KING PHARMACEUTICALS INC           Common Stock  495582108   29,890   681,251 SH  X                            644,096  0    37,155
KNIGHT RIDDER INC COM              Common Stock  499040103    7,515   141,300 SH  X                            141,300  0         0
KORN FERRY INTERNATIONAL           Common Stock  500643200    4,956   156,400 SH  X                            144,000  0    12,400
KULICKE & SOFFA INDS INC COM
 NASD INDL                         Common Stock  501242101    2,191    36,900 SH  X                             22,400  0    14,500
LSI LOGIC CORP COM                 Common Stock  502161102   33,736   623,300 SH  X                            615,700  0     7,600
LTX CORP COM NASD INDL             Common Stock  502392103       42     1,200 SH  X                              1,200  0         0
LABRANCHE & CO INC                 Common Stock  505447102      345    24,000 SH  X                             17,300  0     6,700
LAM RESH CORP COM NASD INDL        Common Stock  512807108    5,927   158,060 SH  X                            132,060  0    26,000
LANDSTAR SYS INC                   Common Stock  515098101      137     2,300 SH  X                              1,100  0     1,200
ITI HOLDING SA POLAND              Common Stock  5167784        238       700 SH  X                                700  0         0
LEARNING TREE INTL INC             Common Stock  522015106    1,152    18,800 SH  X                              8,600  0    10,200
LEHMAN BROTHERS HOLDINGS INC       Common Stock  524908100   38,591   408,100 SH  X                            389,200  0    18,900
LENNAR CORP COM                    Common Stock  526057104    1,703    84,100 SH  X                             67,800  0    16,300
LEUCADIA NATL CORP COM             Common Stock  527288104      110     4,800 SH  X                                  0  0     4,800

Page Total                                                  319,976
</TABLE>


                                   Page 9
<PAGE>

<TABLE>
<CAPTION>
                   FORM 13F         Name of Reporting Manager:    Batterymarch Financial Management, Inc.      Run Date: 07/06/2000
                                                                  For Positions Held As Of 06/30/2000          --------------------
                                                                                                                  S.E.C. Use Only
                                                                                                                         |
                                                                                                               --------------------

                                                              Item 4:                   Item 6:                       Item 8:
                                                               Fair     Item 5:   Investment Discretion           Voting Authority
                                      Item 2:      Item 3:    Market   Shares or          (b)    (c)    Item 7:       (Shares)
                    Item 1:          Title of       CUSIP     Value    Principal  (a)   Shared  Shared   Other    (a)   (b)     (c)
                Name of Issuer         Class       Number   (X $1000)   Amount    Sole  as Def   Other  Managers Sole  Shared  None
-----------------------------------------------------------------------------------------------------------------------------------
<S>                                <C>            <C>       <C>      <C>         <C>    <C>     <C>     <C>    <C>     <C>    <C>
LEVEL 3 COMMUN INC                 Common Stock  52729N100    1,364    15,500 SH  X                             15,500  0         0
LIBERTY PROPERTY TRUST             Common Stock  531172104    3,258   125,600 SH  X                            112,000  0    13,600
LIFE TECHNOLOGIES INC COM NASD
 INDL                              Common Stock  532177201      189     3,700 SH  X                              3,700  0         0
LIFEMINDERS.COM INC                Common Stock  53220Q105       24       800 SH  X                                800  0         0
LIGHTBRIDGE INC                    Common Stock  532226107      802    33,600 SH  X                             25,400  0     8,200
LILLY ELI & CO COM                 Common Stock  532457108    9,728    97,400 SH  X                             93,500  0     3,900
LIMITED INC COM                    Common Stock  532716107   29,328 1,356,200 SH  X                          1,334,800  0    21,400
LINCARE HOLDINGS INC               Common Stock  532791100    1,652    67,100 SH  X                             34,900  0    32,200
LITTELFUSE INC                     Common Stock  537008104      613    12,500 SH  X                              9,600  0     2,900
LIZ CLAIBORNE INC COM NASD INDL    Common Stock  539320101    1,421    40,300 SH  X                             40,000  0       300
LODGENET ENTERTAINMENT CORP        Common Stock  540211109      403    16,600 SH  X                             10,200  0     6,400
LOEWS CORP COM                     Common Stock  540424108    4,464    74,400 SH  X                             74,400  0         0
LONE STAR STEAKHOUSE               Common Stock  542307103       65     6,400 SH  X                                  0  0     6,400
LONGVIEW FIBRE CO COM              Common Stock  543213102    3,641   329,170 SH  X                            255,870  0    73,300
LORONIX INFORMATION SYSTEMS        Common Stock  544183106       54     1,500 SH  X                                100  0     1,400
LUCENT TECHNOLOGIES INC COM        Common Stock  549463107   12,217   206,200 SH  X                            197,900  0     8,300
MBNA CORP                          Common Stock  55262L100    4,137   152,500 SH  X                            148,600  0     3,900
MGIC INVT CORP WIS COM             Common Stock  552848103   39,703   872,600 SH  X                            837,100  0    35,500
MGM GRAND INC                      Common Stock  552953101    3,559   110,800 SH  X                            101,100  0     9,700
MACNEAL SCHWENDLER CORP COM        Common Stock  553531104       81     8,700 SH  X                              8,700  0         0
MACERICH CO                        Common Stock  554382101      382    17,300 SH  X                             17,300  0         0
MACROMEDIA INC                     Common Stock  556100105      116     1,200 SH  X                              1,200  0         0
STEVEN MADDEN LTD                  Common Stock  556269108      181    27,556 SH  X                             22,856  0     4,700
MALLINCKRODT GROUP INC COM         Common Stock  561232109   25,941   597,200 SH  X                            572,600  0    24,600
MANDALAY RESORT GROUP              Common Stock  562567107      258    12,900 SH  X                             12,900  0         0
MANHATTAN ASSOCIATES INC           Common Stock  562750109       88     3,500 SH  X                              3,500  0         0
MANITOWOC INC COM                  Common Stock  563571108    1,071    40,050 SH  X                             40,050  0         0
MAPINFO CORP                       Common Stock  565105103    2,037    50,150 SH  X                             25,950  0    24,200
MARINE DRILLING COS COM PAR 0.01   Common Stock  568240204      736    26,300 SH  X                             26,100  0       200
MARSH & MCLENNAN COS INC COM       Common Stock  571748102   12,313   117,900 SH  X                            115,900  0     2,000
MASCOTECH INC COM                  Common Stock  574670105       49     4,500 SH  X                                  0  0     4,500
MASTEC INC COM                     Common Stock  576323109    2,790    73,050 SH  X                             71,550  0     1,500
MATTSON TECHNOLOGY INC             Common Stock  577223100      172     5,300 SH  X                              5,300  0         0
MAXTOR CORP COM NASD INDL          Common Stock  577729205      321    30,400 SH  X                             30,400  0         0
MAXYGEN INC                        Common Stock  577776107       40       700 SH  X                                700  0         0
MCCORMICK & CO INC COM NON
 VTG NASD IN                       Common Stock  579780206      117     3,600 SH  X                                  0  0     3,600
MCDONALDS CORP COM                 Common Stock  580135101    3,017    91,600 SH  X                             87,900  0     3,700
MEASUREMENT SPECIALTIES INC        Common Stock  583421102    1,105    28,800 SH  X                             21,900  0     6,900
MEDIAONE GROUP INC                 Common Stock  58440J104    2,903    43,900 SH  X                             42,200  0     1,700
MEDICIS PHARMACEUTICAL CORP
 CL A NEW                          Common Stock  584690309      336     5,900 SH  X                              4,200  0     1,700
MEDTRONIC INC COM                  Common Stock  585055106    6,112   122,700 SH  X                            117,000  0     5,700
MELLON BK CORP COM                 Common Stock  58551A108    4,278   117,400 SH  X                            117,400  0         0

Page Total                                                  181,064
</TABLE>

                                    Page 10
<PAGE>

<TABLE>
<CAPTION>
                   FORM 13F         Name of Reporting Manager:    Batterymarch Financial Management, Inc.      Run Date: 07/06/2000
                                                                  For Positions Held As Of 06/30/2000          --------------------
                                                                                                                  S.E.C. Use Only
                                                                                                                         |
                                                                                                               --------------------

                                                              Item 4:                   Item 6:                       Item 8:
                                                               Fair     Item 5:   Investment Discretion           Voting Authority
                                      Item 2:      Item 3:    Market   Shares or          (b)    (c)    Item 7:       (Shares)
                    Item 1:          Title of       CUSIP     Value    Principal  (a)   Shared  Shared   Other    (a)   (b)     (c)
                Name of Issuer         Class       Number   (X $1000)   Amount    Sole  as Def   Other  Managers Sole  Shared  None
-----------------------------------------------------------------------------------------------------------------------------------
<S>                                <C>            <C>       <C>      <C>         <C>    <C>     <C>     <C>    <C>     <C>    <C>
MEMBERWORKS INC                    Common Stock  586002107      101     3,000 SH  X                              3,000  0         0
MENTOR CORP MINN COM NASD INDL     Common Stock  587188103    1,191    43,800 SH  X                             19,100  0    24,700
MERCANTILE BANKSHARES CORP
 COM NASD BK                       Common Stock  587405101      441    14,800 SH  X                             13,400  0     1,400
MERCK & CO INC COM                 Common Stock  589331107   19,141   249,800 SH  X                            239,800  0    10,000
MERCURY INTERACTIVE CORP           Common Stock  589405109   12,420   128,370 SH  X                            120,570  0     7,800
MERISTAR HOSPITALITY CORP          Common Stock  58984Y103       92     4,400 SH  X                              4,400  0         0
MERIX CORP                         Common Stock  590049102      447     9,500 SH  X                              9,500  0         0
MERRILL LYNCH & CO INC COM         Common Stock  590188108   15,031   130,700 SH  X                            127,800  0     2,900
MESA AIR GROUP INC                 Common Stock  590479101       20     3,700 SH  X                              3,700  0         0
METASOLV SOFTWARE INC              Common Stock  591393103      246     5,600 SH  X                              5,600  0         0
METLIFE INC                        Common Stock  59156R108       27     1,300 SH  X                              1,300  0         0
METRIS COS INC COM                 Common Stock  591598107    9,045   360,000 SH  X                            324,350  0    35,650
METRO GOLDWYN MAYER INC            Common Stock  591610100      525    20,100 SH  X                             20,100  0         0
MICHAEL FOODS INC COM NASD INDL    Common Stock  594079105      595    24,300 SH  X                             20,000  0     4,300
MICHAEL'S STORES INC COM           Common Stock  594087108    4,446    97,050 SH  X                             89,850  0     7,200
MICROSOFT CORP COM NASD INDL       Common Stock  594918104   52,628   657,850 SH  X                            630,850  0    27,000
MICROCHIP TECHNOLOGY               Common Stock  595017104    2,768    47,500 SH  X                             46,200  0     1,300
MICROMUSE INC                      Common Stock  595094103    9,631    58,200 SH  X                             57,400  0       800
MICROSEMI CORP COM  NASD INDL      Common Stock  595137100       92     2,700 SH  X                              2,700  0         0
MID ATLANTIC MEDICAL SVCS          Common Stock  59523C107      325    24,100 SH  X                              4,400  0    19,700
MILACRON INC COM                   Common Stock  598709103      657    45,300 SH  X                             33,100  0    12,200
MILLENNIUM PHARMACEUTICALS INC COM Common Stock  599902103       90       800 SH  X                                  0  0       800
MILLENNIUM CHEMICALS INC COM       Common Stock  599903101    3,480   204,700 SH  X                            204,200  0       500
MINERALS TECHNOLOGIE               Common Stock  603158106    1,274    27,700 SH  X                             16,200  0    11,500
MINNESOTA MNG & MFG CO COM         Common Stock  604059105   20,724   251,200 SH  X                            248,200  0     3,000
MITCHELL ENERGY & DEV CL A         Common Stock  606592202      652    20,310 SH  X                             20,310  0         0
MITEL CORP COM                     Common Stock  606711109      496    23,600 SH  X                             16,600  0     7,000
MOHAWK INDUSTRIES IN               Common Stock  608190104    1,599    73,500 SH  X                             73,100  0       400
MONACO COACH CORP                  Common Stock  60886R103       83     6,100 SH  X                              1,000  0     5,100
MORGAN J P & CO INC COM            Common Stock  616880100    1,509    13,700 SH  X                             13,700  0         0
MORGAN ST DEAN WITTER & CO         Common Stock  617446448   18,639   223,890 SH  X                            215,290  0     8,600
MOTOROLA INC COM                   Common Stock  620076109    4,014   138,100 SH  X                            132,600  0     5,500
MUELLER INDUSTRIES                 Common Stock  624756102      221     7,900 SH  X                              4,200  0     3,700
NBTY INC COM                       Common Stock  628782104      231    36,200 SH  X                             36,200  0         0
NS GROUP INC                       Common Stock  628916108      379    18,100 SH  X                              7,700  0    10,400
NUI CORP COM                       Common Stock  629430109      394    14,600 SH  X                              6,000  0     8,600
NVR INC                            Common Stock  62944T105    5,410    94,920 SH  X                             80,220  0    14,700
NABISCO HLDGS CORP CL A            Common Stock  629526104      320     6,100 SH  X                              6,100  0         0
NABISCO GROUP HOLDINGS             Common Stock  62952P102   12,227   471,400 SH  X                            446,800  0    24,600
NABORS INDS INC COM                Common Stock  629568106      264     6,350 SH  X                              6,350  0         0
NAMIBIAN MINERALS CORP COM         Common Stock  629913104    5,124 1,413,500 SH  X                          1,413,500  0         0
NANOMETRICS INC COM NASD INDL      Common Stock  630077105      725    17,600 SH  X                             15,800  0     1,800

Page Total                                                  207,723
</TABLE>

                                    Page 11
<PAGE>

<TABLE>
<CAPTION>
                   FORM 13F         Name of Reporting Manager:    Batterymarch Financial Management, Inc.      Run Date: 07/06/2000
                                                                  For Positions Held As Of 06/30/2000          --------------------
                                                                                                                  S.E.C. Use Only
                                                                                                                         |
                                                                                                               --------------------

                                                              Item 4:                   Item 6:                       Item 8:
                                                               Fair     Item 5:   Investment Discretion           Voting Authority
                                      Item 2:      Item 3:    Market   Shares or          (b)    (c)    Item 7:       (Shares)
                    Item 1:          Title of       CUSIP     Value    Principal  (a)   Shared  Shared   Other    (a)   (b)     (c)
                Name of Issuer         Class       Number   (X $1000)   Amount    Sole  as Def   Other  Managers Sole  Shared  None
-----------------------------------------------------------------------------------------------------------------------------------
<S>                                <C>            <C>       <C>      <C>         <C>    <C>     <C>     <C>    <C>     <C>    <C>
NATIONAL FUEL GAS CO N J COM       Common Stock  636180101    4,607    94,500 SH  X                             79,700  0    14,800
NATIONAL INSTRS CORP COM           Common Stock  636518102      465    10,650 SH  X                              4,750  0     5,900
NATIONAL SEMICONDUCTOR CORP COM    Common Stock  637640103   13,926   245,400 SH  X                            242,400  0     3,000
NATURAL MICROSYSTEMS CORP          Common Stock  638882100    2,024    18,000 SH  X                             11,900  0     6,100
NAUTICA ENTERPRISES COM NASD INDL  Common Stock  639089101       25     2,300 SH  X                              2,300  0         0
NEIMAN MARCUS GROUP INC COM        Common Stock  640204202      517    17,500 SH  X                              7,100  0    10,400
NETEGRITY INC                      Common Stock  64110P107       53       700 SH  X                                700  0         0
NETSOLVE INC                       Common Stock  64115J106       81     3,100 SH  X                              2,300  0       800
NETIQ CORP                         Common Stock  64115P102      256     4,300 SH  X                              4,300  0         0
NETSCOUT SYSTEMS INC               Common Stock  64115T104      546    42,400 SH  X                             27,500  0    14,900
NETRATINGS INC                     Common Stock  64116M108       26     1,000 SH  X                              1,000  0         0
NEW YORK TIMES CO CL A             Common Stock  650111107      861    21,800 SH  X                             20,300  0     1,500
NEWPORT NEWS SHIPBUILDING INC COM  Common Stock  652228107      114     3,100 SH  X                              2,700  0       400
NICE SYSTEMS LTD ADR               ADR           653656108    6,612    85,660 SH  X                             85,660  0         0
NOBLE DRILLING CORP COM NASD INDL  Common Stock  655042109   27,114   658,300 SH  X                            607,100  0    51,200
NORTEL NETWORKS CORP               Common Stock  656568102   22,256   326,100 SH  X                            304,300  0    21,800
NORTHEAST UTILS COM                Common Stock  664397106      211     9,700 SH  X                              3,600  0     6,100
NORTHROP GRUMMAN CORP COM          Common Stock  666807102    1,789    27,000 SH  X                             27,000  0         0
NORTHWEST AIRLINES C               Common Stock  667280101    4,079   134,000 SH  X                            134,000  0         0
NOVAMED EYECARE INC                Common Stock  66986W108       94    10,700 SH  X                              6,200  0     4,500
NOVADIGM INC                       Common Stock  669937104      193     9,790 SH  X                              4,490  0     5,300
NOVELLUS SYSTEMS INC               Common Stock  670008101    3,691    65,250 SH  X                             59,000  0     6,250
NOVEN PHARMACEUTICALS INC          Common Stock  670009109    2,104    70,000 SH  X                             41,100  0    28,900
NSTAR COM                          Common Stock  67019E107   11,663   286,640 SH  X                            282,040  0     4,600
NUCOR CORP                         Common Stock  670346105      787    23,700 SH  X                             23,700  0         0
NVIDIA CORP                        Common Stock  67066G104    4,316    67,900 SH  X                             53,100  0    14,800
OGE ENERGY CORP COM                Common Stock  670837103       43     2,300 SH  X                              2,300  0         0
OAK TECHNOLOGY INC COM             Common Stock  671802106      147     6,800 SH  X                              3,300  0     3,500
OAKLEY INC COM                     Common Stock  673662102       28     2,400 SH  X                              2,400  0         0
OBJECTIVE SYS INTEGRATORS INC COM  Common Stock  674424106      212    19,850 SH  X                             16,850  0     3,000
OCCIDENTAL PETE CORP DEL COM       Common Stock  674599105    3,399   161,400 SH  X                            149,800  0    11,600
OCEAN ENERGY INC                   Common Stock  67481E106    8,110   571,600 SH  X                            507,900  0    63,700
LUKOIL OIL CO SPONSORED ADR RUSSIA Sponsored ADR 677862104    2,757    53,800 SH  X                             53,800  0         0
OLIN CORP COM PAR 1                Common Stock  680665205    5,166   313,100 SH  X                            250,600  0    62,500
ON ASSIGNMENT INC                  Common Stock  682159108       43     1,400 SH  X                              1,400  0         0
ONEOK INC NEW                      Common Stock  682680103      257     9,900 SH  X                              9,900  0         0
ORACLE CORP COM                    Common Stock  68389X105   35,760   425,400 SH  X                            409,300  0    16,100
OUTBACK STEAKHOUSE I               Common Stock  689899102      278     9,500 SH  X                              9,500  0         0
OWENS & MINOR INC NEW COM          Common Stock  690732102      131     7,600 SH  X                              7,600  0         0
OXFORD HEALTH PLANS                Common Stock  691471106      143     6,000 SH  X                              6,000  0         0
PC CONNECTION INC                  Common Stock  69318J100    1,210    21,225 SH  X                             12,300  0     8,925
PECO ENERGY CO COM                 Common Stock  693304107   29,481   731,300 SH  X                            730,700  0       600

Page Total                                                  195,571
</TABLE>

                                    Page 12
<PAGE>

<TABLE>
<CAPTION>
                   FORM 13F         Name of Reporting Manager:    Batterymarch Financial Management, Inc.      Run Date: 07/06/2000
                                                                  For Positions Held As Of 06/30/2000          --------------------
                                                                                                                  S.E.C. Use Only
                                                                                                                         |
                                                                                                               --------------------

                                                              Item 4:                   Item 6:                       Item 8:
                                                               Fair     Item 5:   Investment Discretion           Voting Authority
                                      Item 2:      Item 3:    Market   Shares or          (b)    (c)    Item 7:       (Shares)
                    Item 1:          Title of       CUSIP     Value    Principal  (a)   Shared  Shared   Other    (a)   (b)     (c)
                Name of Issuer         Class       Number   (X $1000)   Amount    Sole  as Def   Other  Managers Sole  Shared  None
-----------------------------------------------------------------------------------------------------------------------------------
<S>                                <C>            <C>       <C>      <C>         <C>    <C>     <C>     <C>    <C>     <C>    <C>
PE CORP-CELERA GENOMICS GRP        Common Stock  69332S201    1,472    16,000 SH  X                             14,500  0     1,500
PMI GROUP INC                      Common Stock  69344M101    7,244   152,500 SH  X                            140,500  0    12,000
PRWW LTD                           Common Stock  693591109      103     7,400 SH  X                              2,700  0     4,700
PACIFIC CENTY FINL CORP COM        Common Stock  694058108       18     1,200 SH  X                              1,200  0         0
PACIFICARE HEALTH SYS INC          Common Stock  695112102   17,262   286,810 SH  X                            275,610  0    11,200
PACKARD BIOSCIENCE INC             Common Stock  695172205      473    27,800 SH  X                             15,900  0    11,900
PAINE WEBBER GROUP INC COM         Common Stock  695629105    2,111    46,400 SH  X                             46,400  0         0
PARK PLACE ENT CORP                Common Stock  700690100    1,008    82,700 SH  X                             82,700  0         0
PARKER HANNIFIN CORP COM           Common Stock  701094104    4,144   121,000 SH  X                            120,600  0       400
PATINA OIL & GAS CORP              Common Stock  703224105    2,289   110,300 SH  X                             86,000  0    24,300
PATTERSON DENTAL CO                Common Stock  703412106    1,953    38,300 SH  X                             34,600  0     3,700
PATTERSON ENERGY INC               Common Stock  703414102    4,646   163,000 SH  X                            147,000  0    16,000
PAXAR CORP                         Common Stock  704227107      561    47,000 SH  X                             47,000  0         0
PAYLESS SHOESOURCE INC COM         Common Stock  704379106      246     4,800 SH  X                                200  0     4,600
PENN NATIONAL GAMING INC           Common Stock  707569109       18     1,300 SH  X                              1,300  0         0
PENTON MEDIA INC                   Common Stock  709668107      662    18,900 SH  X                              6,300  0    12,600
PEPSICO INC COM                    Common Stock  713448108   12,634   284,300 SH  X                            275,000  0     9,300
PERFORMANCE FOOD GROUP CO          Common Stock  713755106       35     1,100 SH  X                              1,100  0         0
PERICOM SEMICONDUCTOR CORP         Common Stock  713831105       34       500 SH  X                                500  0         0
PETCO ANIMAL SUPPLIES COM          Common Stock  716016100      812    41,400 SH  X                             30,300  0    11,100
PFIZER INC COM                     Common Stock  717081103   19,540   407,075 SH  X                            390,675  0    16,400
PHARMACIA CORPORATION              Common Stock  71713U102    5,541   107,204 SH  X                            101,715  0     5,489
PHILIP MORRIS COS INC COM          Common Stock  718154107    6,412   241,400 SH  X                            229,300  0    12,100
PHILLIPS PETE CO COM               Common Stock  718507106    1,237    24,400 SH  X                             22,900  0     1,500
PHOENIX TECHNOLOGIES LTD           Common Stock  719153108    1,217    74,600 SH  X                             44,600  0    30,000
PHOTON DYNAMICS INC                Common Stock  719364101      777    10,400 SH  X                              7,000  0     3,400
PIER 1 IMPORTS INC DEL COM         Common Stock  720279108      864    88,600 SH  X                             88,600  0         0
POHANG IRON & STEEL ADR            ADR           730450103    2,400   100,000 SH  X                            100,000  0         0
POLARIS INDS INC COM               Common Stock  731068102      246     7,700 SH  X                              7,700  0         0
POLYCOM INC                        Common Stock  73172K104      132     1,400 SH  X                              1,400  0         0
POLYMEDICA CORP COM                Common Stock  731738100      471    10,900 SH  X                              7,600  0     3,300
POPE & TALBOT INC COM              Common Stock  732827100      315    19,700 SH  X                              8,600  0    11,100
PORTAL SOFTWARE INC                Common Stock  736126103    1,016    15,900 SH  X                             15,900  0         0
POWERTEL INC                       Common Stock  73936C109      419     5,900 SH  X                              2,700  0     3,200
PRECISION CASTPARTS CORP COM       Common Stock  740189105      278     6,150 SH  X                              6,150  0         0
PRECISION DRILLING CORP COM        Common Stock  74022D100    2,329    60,300 SH  X                             51,400  0     8,900
PRESIDENTIAL LIFE CO               Common Stock  740884101    1,399   100,800 SH  X                             68,900  0    31,900
PRIME GROUP REALTY TRUST           Common Stock  74158J103      112     7,400 SH  X                              7,400  0         0
PRIORITY HEALTHCARE CORP CL B      Common Stock  74264T102      268     3,600 SH  X                                  0  0     3,600
PROCTER & GAMBLE CO COM            Common Stock  742718109    4,763    83,200 SH  X                             79,800  0     3,400
PROGRESS SOFTWARE CO               Common Stock  743312100      239    13,300 SH  X                             13,300  0         0
PROSOFTTRAINING.COM                Common Stock  743477101       94     5,600 SH  X                              5,600  0         0

Page Total                                                  107,791
</TABLE>

                                    Page 13
<PAGE>

<TABLE>
<CAPTION>
                   FORM 13F         Name of Reporting Manager:    Batterymarch Financial Management, Inc.      Run Date: 07/06/2000
                                                                  For Positions Held As Of 06/30/2000          --------------------
                                                                                                                  S.E.C. Use Only
                                                                                                                         |
                                                                                                               --------------------

                                                              Item 4:                   Item 6:                       Item 8:
                                                               Fair     Item 5:   Investment Discretion           Voting Authority
                                      Item 2:      Item 3:    Market   Shares or          (b)    (c)    Item 7:       (Shares)
                    Item 1:          Title of       CUSIP     Value    Principal  (a)   Shared  Shared   Other    (a)   (b)     (c)
                Name of Issuer         Class       Number   (X $1000)   Amount    Sole  as Def   Other  Managers Sole  Shared  None
-----------------------------------------------------------------------------------------------------------------------------------
<S>                                <C>            <C>       <C>      <C>         <C>    <C>     <C>     <C>    <C>     <C>    <C>
PROTEIN DESIGN LABS                Common Stock  74369L103    3,271    19,830 SH  X                             16,230  0     3,600
PROVIDIAN FINANCIAL CORP COM       Common Stock  74406A102    4,167    46,300 SH  X                             46,300  0         0
PROXICOM INC                       Common Stock  744282104    1,111    23,200 SH  X                             14,500  0     8,700
QUAKER OATS CO COM                 Common Stock  747402105      856    11,400 SH  X                             11,400  0         0
QUALCOMM                           Common Stock  747525103    5,412    90,200 SH  X                             85,500  0     4,700
QUANTA SERVICES INC                Common Stock  74762E102    6,419   116,700 SH  X                            114,400  0     2,300
QUANTUM CORP HDDG                  Common Stock  747906303    1,370   123,800 SH  X                            123,800  0         0
QUEST SOFTWARE INC                 Common Stock  74834T103      667    12,050 SH  X                              8,450  0     3,600
QUORUM HEALTH GROUP INC            Common Stock  749084109       54     5,200 SH  X                              5,200  0         0
R & B FALCON CORP                  Common Stock  74912E101      207     8,800 SH  X                              8,800  0         0
RFS HOTEL INVESTORS INC            Common Stock  74955J108      350    29,800 SH  X                             16,300  0    13,500
RH DONNELLEY CORP                  Common Stock  74955W307       83     4,300 SH  X                              2,800  0     1,500
RTI INTERNATIONAL METALS INC       Common Stock  74973W107      134    11,800 SH  X                             11,800  0         0
RADIAN GROUP INC                   Common Stock  750236101    1,992    38,500 SH  X                             26,600  0    11,900
RADIOSHACK CORP                    Common Stock  750438103    3,520    74,300 SH  X                             66,100  0     8,200
RADYNE COMSTREAM INC               Common Stock  750611402      220    15,200 SH  X                             15,200  0         0
RAINBOW TECHNOLOGIES INC COM
 NASD INDL                         Common Stock  750862104    1,177    24,200 SH  X                             18,700  0     5,500
RANGER OIL LTD COM                 Common Stock  752805101      166    30,200 SH  X                             30,200  0         0
RARE HOSPITALITY INTL INC          Common Stock  753820109      694    24,571 SH  X                             12,971  0    11,600
RATIONAL SOFTWARE CORP COM NEW     Common Stock  75409P202   38,513   414,400 SH  X                            399,200  0    15,200
RAYMOND JAMES FINANCIAL INC COM    Common Stock  754730109    1,110    49,340 SH  X                             49,340  0         0
RAYONIER INC COM                   Common Stock  754907103       25       700 SH  X                                700  0         0
RAZORFISH INC                      Common Stock  755236106    4,534   282,300 SH  X                            259,300  0    23,000
READERS DIGEST ASS'N A             Common Stock  755267101   24,351   612,600 SH  X                            578,400  0    34,200
REEBOK INTL LTD COM                Common Stock  758110100       88     5,500 SH  X                              1,900  0     3,600
REGAL BELOIT CORP COM              Common Stock  758750103       75     4,700 SH  X                              4,700  0         0
RELIANCE STEEL & ALUMINUM CO       Common Stock  759509102      373    19,500 SH  X                             18,500  0     1,000
RELIANT TECHNOLOGY INC             Common Stock  75952J108    4,000   135,300 SH  X                            127,700  0     7,600
REMEDY CORP                        Common Stock  759548100    3,306    59,300 SH  X                             37,200  0    22,100
REMINGTON OIL & GAS CL B NON
 VOTING                            Common Stock  759594302      611    81,400 SH  X                             76,200  0     5,200
RESMED INC COM                     Common Stock  761152107      107     4,000 SH  X                              1,800  0     2,200
RICHARDSON ELECTRS LTD COM
 NASD INDL                         Common Stock  763165107      249    15,500 SH  X                             15,500  0         0
RICHMOND COUNTY FINL CORP          Common Stock  764556106       31     1,600 SH  X                              1,600  0         0
ROADWAY EXPRESS IN                 Common Stock  769742107    2,295    97,900 SH  X                             82,600  0    15,300
ROBERT HALF INTL INC COM           Common Stock  770323103       46     1,600 SH  X                                  0  0     1,600
ROBOTIC VISION SYS INC
 COM NASD INDL                     Common Stock  771074101      166     9,200 SH  X                              9,200  0         0
ROFIN SINAR TECHNOLOGIES INC       Common Stock  775043102       73     5,800 SH  X                              5,800  0         0
ROSLYN BANCORP INC COM             Common Stock  778162107       55     3,300 SH  X                              3,300  0         0
ROSS STORES INC COM NASD INDL      Common Stock  778296103    7,931   464,800 SH  X                            399,200  0    65,600
ROWAN COS INC COM                  Common Stock  779382100      468    15,400 SH  X                             15,400  0         0
ROYAL DUTCH PETE CO NY REG GLD1.25 Common Stock  780257804   13,291   215,900 SH  X                            201,600  0    14,300
RUBY TUESDAY INC                   Common Stock  781182100      467    37,200 SH  X                             24,800  0    12,400

Page Total                                                  134,034
</TABLE>

                                    Page 14
<PAGE>

<TABLE>
<CAPTION>
                   FORM 13F         Name of Reporting Manager:    Batterymarch Financial Management, Inc.      Run Date: 07/06/2000
                                                                  For Positions Held As Of 06/30/2000          --------------------
                                                                                                                  S.E.C. Use Only
                                                                                                                         |
                                                                                                               --------------------

                                                              Item 4:                   Item 6:                       Item 8:
                                                               Fair     Item 5:   Investment Discretion           Voting Authority
                                      Item 2:      Item 3:    Market   Shares or          (b)    (c)    Item 7:       (Shares)
                    Item 1:          Title of       CUSIP     Value    Principal  (a)   Shared  Shared   Other    (a)   (b)     (c)
                Name of Issuer         Class       Number   (X $1000)   Amount    Sole  as Def   Other  Managers Sole  Shared  None
-----------------------------------------------------------------------------------------------------------------------------------
<S>                                <C>            <C>       <C>      <C>         <C>    <C>     <C>     <C>    <C>     <C>    <C>
RYDER SYS INC COM                  Common Stock  783549108       72     3,800 SH  X                              3,800  0         0
SBC COMMUNICATIONS INC             Common Stock  78387G103    9,342   215,998 SH  X                            207,302  0     8,696
SCP POOL CORP COM                  Common Stock  784028102      578    24,600 SH  X                             24,600  0         0
SK TELECOM ADR                     ADR           78440P108      908    25,000 SH  X                             25,000  0         0
SABA SOFTWARE INC                  Common Stock  784932105       57     2,700 SH  X                              2,700  0         0
ST JOE CORP COM                    Common Stock  790148100      219     7,300 SH  X                              7,300  0         0
ST JUDE MED INC COM NASD INDL      Common Stock  790849103      291     6,350 SH  X                              6,350  0         0
ST MARY LAND & EXPLO               Common Stock  792228108      358     8,500 SH  X                              8,500  0         0
SALTON INC                         Common Stock  795757103      258     7,000 SH  X                              7,000  0         0
SANDISK CORP                       Common Stock  80004C101       49       800 SH  X                                  0  0       800
SANTA FE SNYDER CORP               Common Stock  80218K105    6,863   603,300 SH  X                            534,700  0    68,600
SAPIENT CORP                       Common Stock  803062108      128     1,200 SH  X                              1,200  0         0
SAWTEK INC COM                     Common Stock  805468105      340     5,900 SH  X                              5,900  0         0
SCANA CORP COM                     Common Stock  80589M102    3,252   134,800 SH  X                            134,800  0         0
SCHERING PLOUGH CORP COM           Common Stock  806605101    4,850    96,040 SH  X                             92,040  0     4,000
SCHLUMBERGER LTD COM               Common Stock  806857108    2,410    32,300 SH  X                             32,000  0       300
SCHOLASTIC CORP                    Common Stock  807066105      348     5,700 SH  X                              5,700  0         0
SCHWAB (CHARLES) CORP              Common Stock  808513105    2,816    83,750 SH  X                             80,300  0     3,450
SCIENT CORP                        Common Stock  80864H109      618    14,000 SH  X                             14,000  0         0
SCIENTIFIC ATLANTA INC COM         Common Stock  808655104      685     9,200 SH  X                                  0  0     9,200
SEARS ROEBUCK & CO COM             Common Stock  812387108   29,610   907,600 SH  X                            897,300  0    10,300
SEMTECH CORP COM                   Common Stock  816850101      520     6,800 SH  X                              6,800  0         0
SEMPRA ENERGY                      Common Stock  816851109    1,911   112,400 SH  X                             89,100  0    23,300
SEMITOOL INC                       Common Stock  816909105      848    49,000 SH  X                             39,300  0     9,700
SERENA SOFTWARE INC                Common Stock  817492101    1,069    23,550 SH  X                             18,200  0     5,350
SHARPER IMAGE CORP                 Common Stock  820013100      149    11,900 SH  X                              6,800  0     5,100
SHAW GROUP INC                     Common Stock  820280105      405     8,600 SH  X                              8,600  0         0
SHERWIN WILLIAMS CO COM            Common Stock  824348106   12,259   578,600 SH  X                            561,100  0    17,500
SHUFFLE MASTER INC                 Common Stock  825549108       26     1,800 SH  X                              1,800  0         0
SICOR INC                          Common Stock  825846108    1,325   165,600 SH  X                            106,900  0    58,700
SIEBEL SYSTEMS INC                 Common Stock  826170102   35,984   220,000 SH  X                            212,100  0     7,900
SILICON STORAGE TECHNOLOGY         Common Stock  827057100       97     1,100 SH  X                              1,100  0         0
SILICON VALLEY BANCS               Common Stock  827064106      435    10,200 SH  X                             10,200  0         0
SILICON VY GROUP INC COM NASD INDL Common Stock  827066101      846    32,700 SH  X                             24,300  0     8,400
SMITH INTL INC COM                 Common Stock  832110100    1,041    14,300 SH  X                             14,300  0         0
SMITH CHARLES E RESDNTL RLTY COM   Common Stock  832197107      323     8,500 SH  X                              8,500  0         0
SODEXHO MARRIOTT SVCS INC          Common Stock  833793102    1,432    89,500 SH  X                             78,900  0    10,600
SOFTWARE.COM INC                   Common Stock  83402P104    2,598    20,000 SH  X                             18,600  0     1,400
SONICWALL INC                      Common Stock  835470105      432     4,900 SH  X                              4,900  0         0
SOUTHWEST SECURITIES               Common Stock  845224104      287     7,700 SH  X                              6,800  0       900
SPRINGS INDS INC COM               Common Stock  851783100       19       600 SH  X                                600  0         0
SPRINT CORP COM                    Common Stock  852061100    4,029    79,000 SH  X                             74,900  0     4,100

Page Total                                                  130,087
</TABLE>

                                    Page 15
<PAGE>

<TABLE>
<CAPTION>
                   FORM 13F         Name of Reporting Manager:    Batterymarch Financial Management, Inc.      Run Date: 07/06/2000
                                                                  For Positions Held As Of 06/30/2000          --------------------
                                                                                                                  S.E.C. Use Only
                                                                                                                         |
                                                                                                               --------------------

                                                              Item 4:                   Item 6:                       Item 8:
                                                               Fair     Item 5:   Investment Discretion           Voting Authority
                                      Item 2:      Item 3:    Market   Shares or          (b)    (c)    Item 7:       (Shares)
                    Item 1:          Title of       CUSIP     Value    Principal  (a)   Shared  Shared   Other    (a)   (b)     (c)
                Name of Issuer         Class       Number   (X $1000)   Amount    Sole  as Def   Other  Managers Sole  Shared  None
-----------------------------------------------------------------------------------------------------------------------------------
<S>                                <C>            <C>       <C>      <C>         <C>    <C>     <C>     <C>    <C>     <C>    <C>
SPRINT CORP (PCS GROUP)            Common Stock  852061506    8,372   140,700 SH  X                            134,700  0     6,000
SPYGLASS INC                       Common Stock  852192103        3       100 SH  X                                100  0         0
STANCORP FINL GROUP INC            Common Stock  852891100    3,389   105,500 SH  X                             84,100  0    21,400
STANDARD PAC CORP NEW COM          Common Stock  85375C101      271    27,100 SH  X                             24,100  0     3,000
STARTEK INC                        Common Stock  85569C107       10       200 SH  X                                  0  0       200
STARWOOD HOTELS & RESORTS WRLDWD
 PAIRD C                           Common Stock  85590A203      309     9,500 SH  X                              9,500  0         0
STATE STREET BOSTON COR            Common Stock  857477103   15,135   142,700 SH  X                            142,700  0         0
STATION CASINOS INC                Common Stock  857689103       43     1,700 SH  X                              1,700  0         0
STEWART & STEVENSON SVCS INC
 COM NASD                          Common Stock  860342104      151    10,000 SH  X                             10,000  0         0
STURM RUGER & CO INC COM NASD INDL Common Stock  864159108      610    68,700 SH  X                             33,200  0    35,500
SUIZA FOODS CORP                   Common Stock  865077101    1,574    32,200 SH  X                             28,600  0     3,600
SUN MICROSYSTEMS INC COM NASD INDL Common Stock  866810104   25,626   281,800 SH  X                            271,600  0    10,200
SUPERIOR ENERGY SERVICES INC       Common Stock  868157108      252    24,300 SH  X                             19,300  0     5,000
SUPERIOR INDS INTL INC COM         Common Stock  868168105      510    19,800 SH  X                             19,600  0       200
SURGUTNEFTEGAZ JSC SPON ADR        ADR           868861204    2,949   223,600 SH  X                            223,600  0         0
SYBASE INC                         Common Stock  871130100      991    43,100 SH  X                             22,600  0    20,500
SYBRON INTL CORP COM               Common Stock  87114F106    1,791    90,400 SH  X                             81,100  0     9,300
SYMANTEC CORP COM NASD INDL        Common Stock  871503108   12,896   239,100 SH  X                            223,000  0    16,100
SYMMETRICOM INC COM NASD INDL      Common Stock  871543104      374    14,800 SH  X                             14,800  0         0
SYNCOR INTL CORP DEL COM NASD INDL Common Stock  87157J106      698     9,700 SH  X                                  0  0     9,700
TECO ENERGY INC COM                Common Stock  872375100      469    23,400 SH  X                             23,400  0         0
TEXAS UTILS CO COM                 Common Stock  873168108    5,484   185,900 SH  X                            144,400  0    41,500
TALBOTS INC                        Common Stock  874161102    4,346    79,100 SH  X                             65,200  0    13,900
TANGER FACTORY OUTLET CTRS         Common Stock  875465106      811    34,500 SH  X                             15,600  0    18,900
TECHNE CORP                        Common Stock  878377100      546     4,200 SH  X                              3,100  0     1,100
TECHNITROL INC COM                 Common Stock  878555101    1,017    10,500 SH  X                              9,300  0     1,200
TECUMSEH PRODUCTS CO -CL A         Common Stock  878895200    6,404   167,700 SH  X                            164,600  0     3,100
TELECOM SEMICONDUCTOR INC          Common Stock  87921P107      409    10,200 SH  X                              4,500  0     5,700
TELEFONOS DE MEXICO S A ADR
 REP ORD L                         Sponsored ADR 879403780   12,853   225,000 SH  X                            225,000  0         0
TELEPHONE & DATA SYS INC COM       Common Stock  879433100    1,373    13,700 SH  X                             11,500  0     2,200
TELETECH HOLDING INC               Common Stock  879939106      186     6,000 SH  X                              4,000  0     2,000
TENET HEALTHCARE CORP              Common Stock  88033G100      262     9,700 SH  X                              9,700  0         0
TERADYNE INC COM                   Common Stock  880770102   40,807   555,200 SH  X                            540,500  0    14,700
TEXACO INC COM                     Common Stock  881694103    3,696    69,400 SH  X                             67,200  0     2,200
TEXAS INDS INC COM                 Common Stock  882491103      104     3,600 SH  X                              3,600  0         0
TEXAS INSTRS INC COM               Common Stock  882508104   18,374   267,500 SH  X                            257,700  0     9,800
TEXTRON INC COM                    Common Stock  883203101    8,940   164,600 SH  X                            155,100  0     9,500
THERAGENICS CORP COM               Common Stock  883375107       45     5,300 SH  X                              5,300  0         0
3-D SYS CORP DEL COM NEW           Common Stock  88554D205       15       800 SH  X                                800  0         0
THREE-FIVE SYSTEMS INC             Common Stock  88554L108      743    12,600 SH  X                             12,600  0         0
TIBCO SOFTWARE INC                 Common Stock  88632Q103    8,793    82,000 SH  X                             81,500  0       500
TIDEL TECHNOLOGIES INC             Common Stock  886368109      438    44,100 SH  X                             33,300  0    10,800

Page Total                                                  192,070
</TABLE>

                                    Page 16
<PAGE>

<TABLE>
<CAPTION>
                   FORM 13F         Name of Reporting Manager:    Batterymarch Financial Management, Inc.      Run Date: 07/06/2000
                                                                  For Positions Held As Of 06/30/2000          --------------------
                                                                                                                  S.E.C. Use Only
                                                                                                                         |
                                                                                                               --------------------

                                                              Item 4:                   Item 6:                       Item 8:
                                                               Fair     Item 5:   Investment Discretion           Voting Authority
                                      Item 2:      Item 3:    Market   Shares or          (b)    (c)    Item 7:       (Shares)
                    Item 1:          Title of       CUSIP     Value    Principal  (a)   Shared  Shared   Other    (a)   (b)     (c)
                Name of Issuer         Class       Number   (X $1000)   Amount    Sole  as Def   Other  Managers Sole  Shared  None
-----------------------------------------------------------------------------------------------------------------------------------
<S>                                <C>            <C>       <C>      <C>         <C>    <C>     <C>     <C>    <C>     <C>    <C>
TIMBERLAND CO CL A                 Common Stock  887100105    3,555    50,200 SH  X                             46,200  0     4,000
TIME WARNER INC COM                Common Stock  887315109    5,525    72,700 SH  X                             69,700  0     3,000
TIME WARNER TELECOM CL A           Common Stock  887319101    3,257    50,600 SH  X                             46,800  0     3,800
TIMKEN CO COM                      Common Stock  887389104    2,280   122,440 SH  X                            106,540  0    15,900
TOLLGRADE COMMUNICATIONS INC       Common Stock  889542106      596     4,500 SH  X                              4,500  0         0
TOO INC                            Common Stock  890333107      565    22,200 SH  X                             16,000  0     6,200
TOPPS INC COM NASD INDL            Common Stock  890786106    3,859   335,565 SH  X                            314,065  0    21,500
TORO CO COM                        Common Stock  891092108      244     7,400 SH  X                              7,400  0         0
TOWER AUTOMOTIVE INC               Common Stock  891707101      100     8,000 SH  X                              8,000  0         0
TOYS R US COM                      Common Stock  892335100      275    18,900 SH  X                             18,900  0         0
TRAMMELL CROW COMPANY COM          Common Stock  89288R106      255    23,700 SH  X                             19,000  0     4,700
TRIAD GTY INC COM                  Common Stock  895925105        5       200 SH  X                                200  0         0
TRIGON HEALTHCARE INC              Common Stock  89618L100    4,285    83,100 SH  X                             80,400  0     2,700
TRIMBLE NAVIGATION LTD             Common Stock  896239100       20       400 SH  X                                400  0         0
TRIQUINT SEMICONDUCTOR INC COM     Common Stock  89674K103       73       765 SH  X                                 65  0       700
TRUE NORTH COMMUNICATION COM       Common Stock  897844106    2,746    62,400 SH  X                             53,700  0     8,700
TUCKER ANTHONY SUTRO CORP          Common Stock  898647102      155     8,600 SH  X                              5,900  0     2,700
TV AZTECA S.A. DE C.V. ADS MEXICO  ADS           901145102      425    32,200 SH  X                              9,000  0    23,200
II-VI INC                          Common Stock  902104108      194     4,000 SH  X                              4,000  0         0
TYCO INTL LTD NEW COM              Common Stock  902124106    9,186   193,900 SH  X                            182,800  0    11,100
UAL CORP COM PAR 0.01              Common Stock  902549500    9,624   165,400 SH  X                            137,000  0    28,400
USX MARATHON GROUP COM NEW         Common Stock  902905827    8,890   354,700 SH  X                            322,700  0    32,000
USG CORP                           Common Stock  903293405       85     2,800 SH  X                              2,000  0       800
UTI ENERGY CORP COM                Common Stock  903387108    4,646   115,800 SH  X                            107,900  0     7,900
ULTICOM INC                        Common Stock  903844108       50     2,100 SH  X                              2,100  0         0
UNIBANCO-UNI GDS BRAZIL            GDS           90458E107      288    10,000 SH  X                              2,500  0     7,500
UNIFIED ENERGY SYSTEMS SPONS ADR   ADR           904688108      817    76,000 SH  X                             76,000  0         0
UNILEVER N.V. NEW YORK SHARES      Common Stock  904784709      323     7,500 SH  X                              5,300  0     2,200
UNICOM CORP COM                    Common Stock  904911104       97     2,500 SH  X                              2,500  0         0
UNIONBANCAL CORP COM               Common Stock  908906100    3,122   168,200 SH  X                            151,000  0    17,200
UNISOURCE ENERGY CORP COM          Common Stock  909205106      323    21,500 SH  X                             21,500  0         0
US CELLULAR CORP                   Common Stock  911684108      151     2,400 SH  X                              2,400  0         0
US WEST INC                        Common Stock  91273H101    4,843    56,482 SH  X                             55,182  0     1,300
UNITED STATIONERS INC
 COM NASD INDL                     Common Stock  913004107      725    22,400 SH  X                             22,400  0         0
UNITED TECHNOLOGIES CORP COM       Common Stock  913017109    4,104    69,700 SH  X                             67,200  0     2,500
UNITED HEALTHCARE CORP COM
 NASD INDL                         Common Stock  91324P102    3,207    37,400 SH  X                             31,800  0     5,600
UNIVERSAL CORP COM                 Common Stock  913456109      226    10,700 SH  X                             10,700  0         0
UNIVERSAL HEALTH SVCS INC CL B
 NASD IN                           Common Stock  913903100    4,382    66,900 SH  X                             65,100  0     1,800
USFREIGHTWAYS CORP COM             Common Stock  916906100    7,885   321,000 SH  X                            321,000  0         0
URBAN SHOPPING CENTERS INC         Common Stock  917060105      438    13,000 SH  X                              7,700  0     5,300
UTSTARCOM INC                      Common Stock  918076100   17,314   570,000 SH  X                            570,000  0         0
VALASSIS COMMUNICATI               Common Stock  918866104   19,446   510,050 SH  X                            472,500  0    37,550

Page Total                                                  128,583
</TABLE>

                                    Page 17
<PAGE>

<TABLE>
<CAPTION>
                   FORM 13F         Name of Reporting Manager:    Batterymarch Financial Management, Inc.      Run Date: 07/06/2000
                                                                  For Positions Held As Of 06/30/2000          --------------------
                                                                                                                  S.E.C. Use Only
                                                                                                                         |
                                                                                                               --------------------

                                                              Item 4:                   Item 6:                       Item 8:
                                                               Fair     Item 5:   Investment Discretion           Voting Authority
                                      Item 2:      Item 3:    Market   Shares or          (b)    (c)    Item 7:       (Shares)
                    Item 1:          Title of       CUSIP     Value    Principal  (a)   Shared  Shared   Other    (a)   (b)     (c)
                Name of Issuer         Class       Number   (X $1000)   Amount    Sole  as Def   Other  Managers Sole  Shared  None
-----------------------------------------------------------------------------------------------------------------------------------
<S>                                <C>            <C>       <C>      <C>         <C>    <C>     <C>     <C>    <C>     <C>    <C>
VARCO INTERNATIONAL INC            Common Stock  922122106      135     5,800 SH  X                              5,400  0       400
VARIAN INC                         Common Stock  922206107    3,192    69,200 SH  X                             57,600  0    11,600
VARIAN MEDICAL SYSTEMS INC         Common Stock  92220P105    3,693    94,400 SH  X                             85,000  0     9,400
VENTIV HEALTH INC                  Common Stock  922793104       36     3,200 SH  X                              3,200  0         0
VERITAS SOFTWARE CO COM            Common Stock  923436109   19,354   171,250 SH  X                            170,750  0       500
VERITY INC                         Common Stock  92343C106      125     3,300 SH  X                              3,300  0         0
VIACOM INC CL B                    Common Stock  925524308   10,056   147,482 SH  X                            141,512  0     5,970
VIAD CORP                          Common Stock  92552R109      109     4,000 SH  X                              4,000  0         0
VIANT CORP                         Common Stock  92553N107    2,548    86,000 SH  X                             61,100  0    24,900
VINTAGE PETROLEUM INC              Common Stock  927460105    3,003   133,100 SH  X                             85,400  0    47,700
VISHAY INTERTECHNOLOGY INC COM     Common Stock  928298108    9,065   238,937 SH  X                            218,537  0    20,400
VISTEON CORP                       Common Stock  92839U107      147    12,121 SH  X                             11,231  0       890
VOTORANTIM CELULOSE-SPON ADR       ADR           92906P106    3,491   190,000 SH  X                            173,900  0    16,100
WADDELL&REED INC                   Common Stock  930059100    1,514    46,150 SH  X                             42,250  0     3,900
WAL MART STORES INC COM            Common Stock  931142103   17,143   297,500 SH  X                            284,600  0    12,900
WALGREEN CO COM                    Common Stock  931422109    2,063    64,100 SH  X                             61,500  0     2,600
WEATHERFORD INTL INC               Common Stock  947074100    1,131    28,400 SH  X                             28,400  0         0
WEBTRENDS CORP                     Common Stock  94844D104      789    20,400 SH  X                             10,700  0     9,700
WELLMAN INC COM                    Common Stock  949702104       26     1,600 SH  X                              1,600  0         0
WELLPOINT HLTH NETWORKS NEW CL A   Common Stock  94973H108    4,296    59,300 SH  X                             56,600  0     2,700
WELLS FARGO & CO COM               Common Stock  949746101   10,370   267,600 SH  X                            257,000  0    10,600
WEST TELESERVICES CORP             Common Stock  956188106      873    34,500 SH  X                             30,000  0     4,500
WESTAMERICA BANCORPORATION COM     Common Stock  957090103       52     2,000 SH  X                              2,000  0         0
WESTERN WIRELESS CORP CL A         Common Stock  95988E204      382     7,000 SH  X                              7,000  0         0
WESTVACO CORP COM                  Common Stock  961548104   11,520   464,300 SH  X                            460,200  0     4,100
WHIRLPOOL CORP COM                 Common Stock  963320106    8,845   189,700 SH  X                            180,400  0     9,300
WHITNEY HOLDING CORP               Common Stock  966612103      103     3,000 SH  X                              3,000  0         0
WILLAMETTE INDS INC
 COM NASD INDL                     Common Stock  969133107   14,835   544,400 SH  X                            517,500  0    26,900
CLAYTON WILLIAMS ENERGY INC        Common Stock  969490101      144     4,500 SH  X                              4,500  0         0
WINK COMMUNICATIONS INC            Common Stock  974168106      854    28,000 SH  X                             27,600  0       400
WINNEBAGO INDS INC COM             Common Stock  974637100       10       800 SH  X                                800  0         0
WORKFLOW MGMT INC                  Common Stock  98137N109      431    36,300 SH  X                             23,600  0    12,700
WORLDCOM INC                       Common Stock  98157D106   10,633   231,781 SH  X                            223,189  0     8,593
WORTHINGTON INDS INC COM NASD INDL Common Stock  981811102    1,976   188,200 SH  X                            158,700  0    29,500
XETA CORP                          Common Stock  983909102      468    15,000 SH  X                             15,000  0         0
XTRA CORP COM                      Common Stock  984138107      252     6,400 SH  X                              6,400  0         0
YAHOO INC COM                      Common Stock  984332106    9,935    80,200 SH  X                             77,000  0     3,200
YANG MING MARINE 144A GDR TAIWAN   GDR 144A      984749101        3       396 SH  X                                396  0         0
XICOR INC COM NASD INDL            Common Stock  984903104      211    31,500 SH  X                             31,500  0         0
YELLOW CORP COM                    Common Stock  985509108    2,215   150,200 SH  X                            150,200  0         0
ZALE CORP NEW COM                  Common Stock  988858106    5,840   160,000 SH  X                            160,000  0         0
ZORAN CORP                         Common Stock  98975F101      762    11,550 SH  X                              6,250  0     5,300

Page Total                                                  162,630
</TABLE>

                                    Page 18
<PAGE>

<TABLE>
<CAPTION>
                   FORM 13F         Name of Reporting Manager:    Batterymarch Financial Management, Inc.      Run Date: 07/06/2000
                                                                  For Positions Held As Of 06/30/2000          --------------------
                                                                                                                  S.E.C. Use Only
                                                                                                                         |
                                                                                                               --------------------

                                                              Item 4:                   Item 6:                       Item 8:
                                                               Fair     Item 5:   Investment Discretion           Voting Authority
                                      Item 2:      Item 3:    Market   Shares or          (b)    (c)    Item 7:       (Shares)
                    Item 1:          Title of       CUSIP     Value    Principal  (a)   Shared  Shared   Other    (a)   (b)     (c)
                Name of Issuer         Class       Number   (X $1000)   Amount    Sole  as Def   Other  Managers Sole  Shared  None
-----------------------------------------------------------------------------------------------------------------------------------
<S>                                <C>            <C>       <C>      <C>         <C>    <C>     <C>     <C>    <C>     <C>    <C>
ZOLL MEDICAL CORP                  Common Stock  989922109      123     2,500 SH  X                              1,700  0       800
AMDOCS LTD                         Common Stock  G02602103   35,528   462,900 SH  X                            445,600  0    17,300
EVEREST REINSURANCE HLDGS          Common Stock  G3223R108      431    13,100 SH  X                             13,100  0         0
MIH LTD                            Common Stock  G6116R101      183     6,100 SH  X                              6,100  0         0
RENAISSANCERE HOLDINGS LTD         Common Stock  G7496G103    4,835   111,000 SH  X                             91,800  0    19,200
CHECK POINT SOFTWARE TECHN         Common Stock  M22465104    3,875    18,300 SH  X                             15,900  0     2,400
ORBOTECH LTD ORD NASD INDL         Common Stock  M75253100      864     9,300 SH  X                              7,800  0     1,500
PANAMERICAN BEVERAGES INC CL A     Common Stock  P74823108       33     2,200 SH  X                              2,200  0         0
OMI CORP (NEW)                     Common Stock  Y6476W104      411    75,500 SH  X                             75,500  0         0
TEEKAY SHIPPING CORP               Common Stock  Y8564W103    2,344    71,300 SH  X                             71,300  0         0

Page Total                                                  318,931

TOTAL                                                     3,442,464
</TABLE>

                                    Page 19
<PAGE>

<TABLE>
<CAPTION>
Form 13 F                        Name of Reporting Manager:  Berkshire Asset Management, Inc.
                                 For Positions Held - 6/30/00

                                                                                    ITEM 6                        ITEM 8
                                                                      ITEM 5      Investment     ITEM 7      Voting Authority
ITEM 1                             ITEM 2        ITEM 3    ITEM 4   Shares or     Discretion     Other           (Shares)
Issuer                             Class          CUSIP     Value   Prin. Amt.  (a)  (b)  (c)   Managers      (a)  (b)  (c)
<S>                              <C>            <C>         <C>     <C>         <C>  <C>  <C>   <C>          <C>   <C>  <C>
IBM                              Common Stock   459200101   31,088    283,751    X                             X
Cisco Systems                    Common Stock   17275R102   30,474    479,426    X                             X
Merck                            Common Stock   589331107   29,491    384,872    X                             X
M & T Bank                       Common Stock   55261f104   28,857     64,127    X                             X
Computer Associates              Common Stock   204912109   27,500    537,240    X                             X
Johnson & Johnson                Common Stock   478160104   14,628    143,585    X                             X
Mellon Financial                 Common Stock   58551A108   14,513    398,303    X                             X
Alltel                           Common Stock   020039103   14,090    227,490    X                             X
First Union                      Common Stock   337358105   13,833    557,501    X                             X
MAF Bancorp                      Common Stock   55261R108   13,616    748,648    X                             X
General Electric                 Common Stock   369604103   12,574    237,239    X                             X
Commonwealth Telephone           Common Stock   203349105   12,188    258,974    X                             X
Fannie Mae                       Common Stock   313586109   11,653    223,288    X                             X
Charter One                      Common Stock   160903100    9,823    427,084    X                             X
Microsoft                        Common Stock   594918104    9,400    117,502    X                             X
Federal Home Loan Mortgage       Common Stock   313400301    9,247    228,330    X                             X
Hasbro                           Common Stock   418056107    8,218    545,593    X                             X
Adelphia Communications          Common Stock   006848105    8,089    172,555    X                             X
Leggett & Platt                  Common Stock   524660107    7,820    473,921    X                             X
Hershey Foods                    Common Stock   427866108    7,417    152,935    X                             X
American International Group     Common Stock   026874107    7,383     62,832    X                             X
Gillette                         Common Stock   375766102    7,355    210,521    X                             X
Tribune                          Common Stock   896047107    7,333    209,515    X                             X
Sovereign Bancorp                Common Stock   845905108    5,255    747,445    X                             X
Royal Dutch                      Common Stock   780257804    4,372     71,010    X                             X
American Express                 Common Stock   025816109    4,160     79,800    X                             X
Waste Management                 Common Stock   94106l109    4,083    214,895    X                             X
Wells Fargo                      Common Stock   949746101    3,857     99,533    X                             X
Hewlett Packard                  Common Stock   428236103    3,746     30,000    X                             X
Berkshire Hathaway Cl B          Common Stock   084670207    2,934      1,667    X                             X
United Asset Management          Common Stock   909420101    2,859    122,330    X                             X
Interpublic Group                Common Stock   460690100    2,612     60,742    X                             X
Washington Mutual                Common Stock   939322103    1,305     45,185    X                             X
Morgan Stanley, Dean Witter, D   Common Stock   617446448    1,141     13,700    X                             X
Agilent Technologies, Inc.       Common Stock   00846u101      844     11,440    X                             X
UST                              Common Stock   902911106      734     50,000    X                             X
Intel                            Common Stock   458140100      694      5,190    X                             X
Washington Federal, Inc.         Common Stock   938824109      593     32,519    X                             X
EMC Corp                         Common Stock   268648102      482      6,260    X                             X
Berkshire Hathaway Class A       Common Stock   084670108      430          8    X                             X
BSB Bancorp                      Common Stock   055652101      406     20,250    X                             X
PNC Bank Corp                    Common Stock   693475105      375      8,000    X                             X
Southern Union                   Common Stock   844030106      371     23,459    X                             X
Provident Financial Group        Common Stock   743866105      337     14,157    X                             X
First Bell Bancorp               Common Stock   319301107      331     21,700    X                             X
Coca Cola                        Common Stock   191216100      287      5,000    X                             X
Tootsie Roll                     Common Stock   890516107      250      7,149    X                             X
Abbott Laboratories              Common Stock   002824100      241      5,400    X                             X
Human Genome Sciences            Common Stock   444903108      228      1,710    X                             X
GTECH                            Common Stock   400518106      227     10,000    X                             X
Exxon Mobil                      Common Stock   302290101      202      2,578    X                             X
                                                           379,946

Calls, Short Sale
Wells Fargo $50 Calls expires    Call Options   9497469GJ     -625    100 [c]    X                             X
Fannie Mae July $55 Calls        Call Options   3135869GJ   -2,031     25 [c]    X                             X
Immunex August $50 Calls         Call Options   4525289HJ   -8,000     10 [c]    X                             X
Xcelera.com July $25 Calls       Call Options   G316119GE   -8,875     10 [c]    X                             X
Cisco Jan 2001 $25 Calls         Call Options   17275T9AE -352,125     90 [c]    X                             X
</TABLE>
<PAGE>

Form 13 F              Name of Reporting Manager:
                       Brandywine Asset Management, Inc. - 6/30/00
<TABLE>
<CAPTION>
First Of Issuer           Class     CUSIP          FMV        Shares     IDSole IDShared IDOther Manager  VSole   VShared    VNone
-----------------------------------------------------------------------------------------------------------------------------------
<S>                       <C>     <C>        <C>            <C>        <C>      <C>      <C>     <C>    <C>       <C>       <C>
3COM CORP                 COMMON  885535104      8,662,766    150,330    150,330    0       0       1     138,430        0   11,900
7-ELEVEN INC              COMMON  817826209         12,375        900        900    0       0       1         900        0        0
A C MOORE ARTS & CRAFTS   COMMON  00086T103        541,875     85,000     85,000    0       0       1      82,300        0    2,700
AAON INC                  COMMON  000360206        124,950      5,100      5,100    0       0       1       5,100        0        0
AAR CORP                  COMMON  000361105      2,955,600    246,300    246,300    0       0       1     238,300        0    8,000
ABBEY NATL PLC ADR SP     COMMON  002920106      6,190,157    259,037    259,037    0       0       1     228,242        0   31,315
ABBOTT LABS               COMMON  002824100     26,166,764    587,190    587,190    0       0       1     571,455        0   16,315
ABERCROMBIE & FITCH C     COMMON  002896207     17,302,973  1,419,730  1,419,730    0       0       1   1,348,690    1,510   70,700
ABIGAIL ADAMS NATL BANCO  COMMON  003390101         45,713      5,300      5,300    0       0       1       5,300        0        0
ABINGTON BANCORP INC NEW  COMMON  00350P100         94,500     10,500     10,500    0       0       1      10,500        0        0
ABITIBI-CONSOLIDATED      COMMON  003924107        198,094     21,130     21,130    0       0       1         130        0   21,130
ABN AMRO HLDG N V ADR     COMMON  000937102      6,962,956    283,594    283,594    0       0       1     235,611   17,370   40,099
ACCEPTANCE INS COS INC    COMMON  004308102        220,000     44,000     44,000    0       0       1      44,000        0        0
ACE LTD                   COMMON  G0070K103     54,432,140  1,944,005  1,944,005    0       0       1   1,860,605        0   84,195
ACETO CORP                COMMON  004446100        362,285     32,935     32,935    0       0       1      32,935        0        0
ACME ELEC CORP            COMMON  004644100        700,350     81,200     81,200    0       0       1      79,000        0    2,200
ACTION PERFORMANCE COS I  COMMON  004933107          8,700      1,200      1,200    0       0       1       1,200        0        0
ADAMS RES & ENERGY INC    COMMON  006351308        493,538     36,900     36,900    0       0       1      36,100        0      800
ADVANTA CORP              COMMON  007942204         41,710      4,907      4,907    0       0       1       4,907        0        0
ADVANTA CORP              COMMON  007942105      7,221,325    592,519    592,519    0       0       1     581,319        0   11,200
ADVEST GROUP INC          COMMON  007566102      1,094,083     52,255     52,255    0       0       1      47,110      622    5,763
AETNA INC                 COMMON  008117103         86,653      1,350      1,350    0       0       1       1,350        0        0
AFSC EQUITY FUND          COMMON  0  BLA        12,410,210    555,689    555,689    0       0       1         689        0  555,689
AGILENT TECHNOLOGIES INC  COMMON  00846U101        141,231      1,915      1,915    0       0       1       1,915        0        0
AGRIBRANDS INTL INC       COMMON  00849R105      3,979,869     94,900     94,900    0       0       1      91,100        0    3,800
AHL SVCS INC              COMMON  001296102         83,913     13,700     13,700    0       0       1      13,700        0        0
AIR METHODS CORP          COMMON  009128307         70,384     22,300     22,300    0       0       1      22,300        0        0
AIR PRODS & CHEMS INC     COMMON  009158106      1,091,590     35,380     35,380    0       0       1      28,380        0    7,700
AIRBORNE FREIGHT          COMMON  009266107      2,075,235    109,583    109,583    0       0       1      90,988    1,210   18,950
AIRGAS INC                COMMON  009363102      1,287,110    226,302    226,302    0       0       1     187,650    2,630   37,621
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
First Of Issuer           Class     CUSIP          FMV        Shares     IDSole IDShared IDOther Manager  VSole   VShared    VNone
-----------------------------------------------------------------------------------------------------------------------------------
<S>                       <C>     <C>        <C>            <C>        <C>      <C>      <C>     <C>    <C>       <C>       <C>
AIRNET SYS INC            COMMON  009417106        166,075     36,400     36,400    0       0       1      32,200        0    4,200
AK STL HLDG CORP          COMMON  001547108      5,896,048    737,006    737,006    0       0       1     695,706        0   41,300
ALASKA AIR GROUP INC      COMMON  011659109     11,709,863    431,700    431,700    0       0       1     420,900        0   10,800
ALBANY INTL CORP          COMMON  012348108        226,432     15,616     15,616    0       0       1      15,616        0        0
ALBEMARLE CORP            COMMON  012653101      2,233,725    113,100    113,100    0       0       1     113,100        0        0
ALBERTSONS INC            COMMON  013104104          8,313        250        250    0       0       1         250        0        0
ALCAN ALUMINIUM LTD       COMMON  013716105     32,583,785  1,050,480  1,050,480    0       0       1   1,001,075        0   50,025
ALCATEL ALSTHOM           COMMON  013904305      3,723,335     55,990     55,990    0       0       1      39,590   15,600    8,600
ALCOA INC                 COMMON  013817101        140,824      4,856      4,856    0       0       1       4,856        0        0
ALFA CORP                 COMMON  015385107        179,795     10,274     10,274    0       0       1      10,274        0        0
ALLEGHENY ENERGY INC      COMMON  017361106      1,426,238     52,100     52,100    0       0       1      52,100        0        0
ALLIANCE BANCORP NEW ENG  COMMON  01852Q109         99,400     14,200     14,200    0       0       1      14,200        0        0
ALLIANCE SEMICONDUCTO     COMMON  01877H100      2,741,058    111,595    111,595    0       0       1      93,985    1,100   17,700
ALLIANT TECHSYSTEMS INC   COMMON  018804104      5,351,166     79,350     79,350    0       0       1      76,550        0    2,800
ALLIED IRISH BKS PLC      COMMON  019228402      5,341,226    300,910    300,910    0       0       1     265,185        0   35,905
ALLIED ZURICH PLC ADR     COMMON  01959Q101      4,895,521    206,975    206,975    0       0       1     180,287   15,370   19,297
ALLMERICA FINL CORP       COMMON  019754100        125,700      2,400      2,400    0       0       1       2,400        0        0
ALLSTAR SYS INC           COMMON  019892108         84,406     36,500     36,500    0       0       1      36,500        0        0
ALLSTATE CORP             COMMON  020002101        368,594     16,566     16,566    0       0       1      16,566        0        0
ALLTRISTA CORP            COMMON  020040101      2,631,263    123,100    123,100    0       0       1     120,200        0    2,900
ALPINE GROUP INC          COMMON  020825105        872,100    129,200    129,200    0       0       1     126,400        0    2,800
ALTERNATIVE RESOURCES CO  COMMON  02145R102         19,875     10,600     10,600    0       0       1      10,600        0        0
ALTERRA HEALTHCARE CORP   COMMON  02146C104         94,600     47,300     47,300    0       0       1      47,300        0        0
AMADA LTD ADR             COMMON  022631204        297,335      8,740      8,740    0       0       1         740        0    8,740
AMBAC INC                 COMMON  023139108     24,082,523    439,361    439,361    0       0       1     393,828        0   45,800
AMCAST INDL CORP          COMMON  023395106        770,000     88,000     88,000    0       0       1      88,000        0        0
AMER AIRCARRIERS SUPPORT  COMMON  023758105         55,500     14,800     14,800    0       0       1      14,800        0        0
AMERADA HESS CORP         COMMON  023551104          6,175        100        100    0       0       1         100        0        0
AMERCO                    COMMON  023586100      7,810,000    390,500    390,500    0       0       1     383,000        0    7,500
AMEREN CORP               COMMON  023608102          5,063        150        150    0       0       1         150        0        0
AMERICA WEST HLDG CORP    COMMON  023657208     15,464,766    903,052    903,052    0       0       1     883,252        0   19,800
AMERICAN BILTRITE INC     COMMON  024591109        348,075     27,300     27,300    0       0       1      25,700        0    1,600
AMERICAN BK CONN WATERBU  COMMON  024327108        261,013     13,300     13,300    0       0       1      13,300        0        0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
First Of Issuer           Class     CUSIP          FMV        Shares     IDSole IDShared IDOther Manager  VSole   VShared    VNone
-----------------------------------------------------------------------------------------------------------------------------------
<S>                       <C>     <C>        <C>            <C>        <C>      <C>      <C>     <C>    <C>       <C>       <C>
AMERICAN BUSINESS FINL S  COMMON  02476B106        484,950     42,400     42,400    0       0       1      41,200        0    1,200
AMERICAN COIN MERCHANDIS  COMMON  02516B108         79,250     31,700     31,700    0       0       1      29,600        0    2,100
AMERICAN DENTAL TECHNOLO  COMMON  025352204        110,250     88,200     88,200    0       0       1      88,200        0        0
AMERICAN ELEC PWR INC     COMMON  025537101      7,214,576    243,530    243,530    0       0       1     243,530        0        0
AMERICAN EXPRESS CO       COMMON  025816109         78,188      1,500      1,500    0       0       1       1,500        0        0
AMERICAN FINL GROUP INC   COMMON  025932104        429,256     17,300     17,300    0       0       1      17,300        0        0
AMERICAN FREIGHTWAYS COR  COMMON  02629V108      1,328,200     91,600     91,600    0       0       1      88,700        0    2,900
AMERICAN GENERAL CORP     COMMON  026351106      9,215,758    151,078    151,078    0       0       1     134,583        0   17,305
AMERICAN NATL INS CO      COMMON  028591105      1,290,300     25,300     25,300    0       0       1      25,300        0        0
AMERICAN PAC CORP         COMMON  028740108        297,563     52,900     52,900    0       0       1      50,500        0    2,400
AMERICAN PHYSICIANS SVC   COMMON  028882108         95,875     29,500     29,500    0       0       1      29,500        0        0
AMERICAN VANGUARD CORP    COMMON  030371108        243,100     29,920     29,920    0       0       1      28,710        0    1,210
AMERICAN WOODMARK CORP    COMMON  030506109         69,700      3,400      3,400    0       0       1       3,400        0        0
AMERIPATH INC             COMMON  03071D109      3,520,713    396,700    396,700    0       0       1     388,600        0    8,100
AMERISOURCE HEALTH CORP   COMMON  03071P102      1,190,400     38,400     38,400    0       0       1      38,400        0        0
AMERON INTL INC           COMMON  030710107      2,938,650     82,200     82,200    0       0       1      81,200        0    1,000
AMERUS LIFE HLDGS INC     COMMON  030732101     10,523,514    510,231    510,231    0       0       1     499,069        0   11,162
AMETEK INC NEW            COMMON  031100100      1,832,250    104,700    104,700    0       0       1     104,700        0        0
AMOY PPTYS LTD            COMMON  031892102         66,995     19,939     19,939    0       0       1           0   39,878        0
AMPCO-PITTSBURGH CORP     COMMON  032037103      2,216,100    199,200    199,200    0       0       1     194,800        0    4,400
AMPLICON INC              COMMON  032101107        737,200     77,600     77,600    0       0       1      72,100        0    5,500
AMR CORP                  COMMON  001765106        515,531     19,500     19,500    0       0       1      18,300        0    1,200
AMREP CORP NEW            COMMON  032159105        366,750     65,200     65,200    0       0       1      63,300        0    1,900
AMSOUTH BANCORPORATION    COMMON  032165102          6,489        412        412    0       0       1         412        0        0
AMTRAN INC                COMMON  03234G106      1,814,631    145,900    145,900    0       0       1     141,100        0    4,800
AMWEST INS GROUP INC DEL  COMMON  032345100         16,150      3,400      3,400    0       0       1       3,400        0        0
ANADARKO PETE CORP        COMMON  032511107        246,563      5,000      5,000    0       0       1       5,000        0        0
ANCHOR GAMING             COMMON  033037102      6,763,981    141,100    141,100    0       0       1     136,400        0    4,700
ANDERSONS INC             COMMON  034164103      1,530,450    161,100    161,100    0       0       1     158,600        0    2,500
ANDOVER BANCORP INC DEL   COMMON  034258103        475,406     16,500     16,500    0       0       1      16,500        0        0
ANNTAYLOR STORES CORP     COMMON  036115103        771,813     23,300     23,300    0       0       1      23,300        0        0
ANNUITY & LIFE RE HLD     COMMON  G03910109      2,955,952    120,650    120,650    0       0       1     106,299      900   14,011
AON CORP                  COMMON  037389103          9,319        300        300    0       0       1         300        0        0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
First Of Issuer           Class     CUSIP          FMV        Shares     IDSole IDShared IDOther Manager  VSole   VShared    VNone
-----------------------------------------------------------------------------------------------------------------------------------
<S>                       <C>     <C>        <C>            <C>        <C>      <C>      <C>     <C>    <C>       <C>       <C>
APACHE CORP COM           COMMON  037411105      1,984,922     33,750     33,750    0       0       1      30,750        0    3,600
APASCO S A DE C V ADR     COMMON  037488103        204,558      7,180      7,180    0       0       1         180        0    7,180
APOGEE ENTERPRISES INC    COMMON  037598109         12,006      3,400      3,400    0       0       1       3,400        0        0
APPLIED SIGNAL TECHNOLOG  COMMON  038237103      1,008,250     87,200     87,200    0       0       1      87,200        0        0
ARACRUZ CELULOSE S A      COMMON  038496204        202,781     10,500     10,500    0       0       1           0   21,000        0
ARCADIS NV ORD SHS        COMMON  N0605M105        168,984     27,037     27,037    0       0       1          37        0   27,037
ARCH CHEMICALS INC        COMMON  03937R102        813,750     37,200     37,200    0       0       1      37,200        0        0
ARCHER DANIELS MIDLAND C  COMMON  039483102          7,212        735        735    0       0       1         735        0        0
ARCTIC CAT INC            COMMON  039670104      5,392,438    454,100    454,100    0       0       1     441,400        0   12,700
AREA BANCSHARES CORP NEW  COMMON  039872106        421,706     18,900     18,900    0       0       1      18,900        0        0
ARGONAUT GROUP            COMMON  040157109      1,362,964     79,589     79,589    0       0       1      66,914    1,150   12,525
ARIBA INC                 COMMON  04033V104         39,219        400        400    0       0       1         400        0        0
ARK RESTAURANTS CORP      COMMON  040712101        482,050     62,200     62,200    0       0       1      59,000        0    3,200
ARKANSAS BEST CORP DEL    COMMON  040790107      3,552,656    357,500    357,500    0       0       1     348,800        0    8,700
ARMSTRONG HLDGS INC       COMMON  042384107        379,750     24,800     24,800    0       0       1      24,800        0        0
ARNOLD INDS INC           COMMON  042595108      6,243,912    517,630    517,630    0       0       1     505,330        0   12,300
ARROW FINL CORP           COMMON  042744102        294,000     19,600     19,600    0       0       1      18,600        0    1,000
ARVIN INDS INC COM        COMMON  043339100     10,364,903    596,541    596,541    0       0       1     570,631      970   25,450
ASI SOLUTIONS INC         COMMON  00206F108        148,238     17,700     17,700    0       0       1      17,700        0        0
ASIA PULP & PAPER LTD     COMMON  04516V100        144,965     28,635     28,635    0       0       1           0   57,270        0
ASSOCIATED MATLS INC      COMMON  045709102      1,180,500     78,700     78,700    0       0       1      78,700        0        0
ASSOCIATES FIRST CAP COR  COMMON  046008108         67,116      3,008      3,008    0       0       1       3,008        0        0
ASTORIA FINL CORP         COMMON  046265104      1,748,425     67,900     67,900    0       0       1      67,900        0        0
ASTRA ADR (046298105)     COMMON  046298105         51,600      2,400      2,400    0       0       1       2,400        0        0
ASTRA ZENECA PLC ADR      COMMON  046353108      9,124,196    196,189    196,189    0       0       1     170,440   13,364   19,471
AT&T CORP                 COMMON  001957109        478,170     15,120     15,120    0       0       1      15,120        0        0
ATCHISON CASTING CORP     COMMON  046613105        970,025    168,700    168,700    0       0       1     165,200        0    3,500
ATG INC                   COMMON  00206P106        210,188     88,500     88,500    0       0       1      86,300        0    2,200
ATLANTIC AMERN CORP       COMMON  048209100         75,250     28,000     28,000    0       0       1      28,000        0        0
ATLANTIS PLASTICS INC     COMMON  049156102        125,563     20,500     20,500    0       0       1      20,500        0        0
AUTODESK INC              COMMON  052769106        475,219     13,700     13,700    0       0       1      13,700        0        0
AUTOZONE INC              COMMON  053332102          3,300        150        150    0       0       1         150        0        0
AVANT CORP                COMMON  053487104     13,730,461    732,902    732,902    0       0       1     716,502        0   16,400
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
First Of Issuer           Class     CUSIP          FMV        Shares     IDSole IDShared IDOther Manager  VSole   VShared    VNone
-----------------------------------------------------------------------------------------------------------------------------------
<S>                       <C>     <C>        <C>            <C>        <C>      <C>      <C>     <C>    <C>       <C>       <C>
AVENTIS ADR SPONSORED     COMMON  053561106        316,814      4,366      4,366    0       0       1           0    8,732        0
AVIS RENT A CAR INC       COMMON  053790101     12,622,519    673,201    673,201    0       0       1     660,901        0   12,300
AVISTA CORP               COMMON  05379B107        932,906     53,500     53,500    0       0       1      53,500        0        0
AVTEAM INC                COMMON  054527205        290,469    169,000    169,000    0       0       1     165,200        0    3,800
AXA FINL INC              COMMON  002451102         17,000        500        500    0       0       1         500        0        0
AXA-UAP SPONSORED ADR     COMMON  054536107      7,509,165     94,381     94,381    0       0       1      79,651        0   15,195
AXYS PHARMACEUTICALS INC  COMMON  054635107          1,188        200        200    0       0       1         200        0        0
AZTEC MFG CO              COMMON  054825104      1,134,250     69,800     69,800    0       0       1      69,800        0        0
BAA PLC SPONSORED ADR     COMMON  05518L206        331,202     41,297     41,297    0       0       1         297        0   41,297
BACOU USA INC             COMMON  056439102      1,858,000     92,900     92,900    0       0       1      92,900        0        0
BADGER PAPER MLS INC      COMMON  056543101          3,656        900        900    0       0       1         900        0        0
BAIRNCO CORP              COMMON  057097107      1,174,838    159,300    159,300    0       0       1     154,500        0    4,800
BAKER HUGHES INC          COMMON  057224107         11,200        350        350    0       0       1         350        0        0
BAKER J INC               COMMON  057232100        343,519     59,100     59,100    0       0       1      54,000        0    5,100
BALDWIN TECHNOLOGY INC    COMMON  058264102        750,550    353,200    353,200    0       0       1     341,700        0   11,500
BALL CORP                 COMMON  058498106     10,204,780    317,041    317,041    0       0       1     297,818      558   19,366
BALLANTYNE OMAHA INC      COMMON  058516105        379,750    173,600    173,600    0       0       1     171,600        0    2,000
BALTEK CORP               COMMON  058822107        140,363     19,700     19,700    0       0       1      19,500        0      200
BANCINSURANCE CORP        COMMON  05945K102         64,571     15,420     15,420    0       0       1      15,420        0        0
BANCWEST CORP NEW COM     COMMON  059790105      1,772,131    107,810    107,810    0       0       1      91,540    1,220   15,955
BANDAG INC                COMMON  059815308      1,795,081     78,047     78,047    0       0       1      78,047        0        0
BANDAG INC                COMMON  059815100      6,879,216    283,679    283,679    0       0       1     274,379        0    9,300
BANGOR HYDRO ELEC CO      COMMON  060077104      3,072,518    131,094    131,094    0       0       1     119,909      540   11,705
BANK OF AMERICA           COMMON  060505104     46,509,336  1,080,954  1,080,954    0       0       1   1,028,834        0   52,624
BANK OF THE OZARKS INC    COMMON  063904106        258,000     16,000     16,000    0       0       1      16,000        0        0
BANK ONE CORP             COMMON  06423A103        680,266     25,610     25,610    0       0       1      25,610        0        0
BANK TOKYO MITSUBISHI     COMMON  065379109      6,095,049    502,894    502,894    0       0       1     426,824   38,550   57,660
BANK UTD CORP             COMMON  065412108      8,550,563    243,000    243,000    0       0       1     229,700        0   13,300
BANKATLANTIC BANCORP      COMMON  065908501      3,143,861    838,363    838,363    0       0       1     819,015        0   19,348
BARD C R INC              COMMON  067383109        668,938     13,900     13,900    0       0       1      13,900        0        0
BARNES GROUP INC          COMMON  067806109      5,528,306    338,900    338,900    0       0       1     331,800        0    7,100
BARNETT INC               COMMON  068062108      3,162,125    308,500    308,500    0       0       1     302,200        0    6,300
BASSETT FURNITURE INDS I  COMMON  070203104        122,463      9,700      9,700    0       0       1       9,700        0        0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
First Of Issuer           Class     CUSIP          FMV        Shares     IDSole IDShared IDOther Manager  VSole   VShared    VNone
-----------------------------------------------------------------------------------------------------------------------------------
<S>                       <C>     <C>        <C>            <C>        <C>      <C>      <C>     <C>    <C>       <C>       <C>
BAY VIEW CAP CORP DEL     COMMON  07262L101      3,852,388    392,600    392,600    0       0       1     389,100        0    3,500
BAYER AG SPONS ADR        COMMON  072730302      3,914,685     99,940     99,940    0       0       1      93,080    9,060    2,960
BAYOU STL CORP LA PLACE   COMMON  073051104        622,344    284,500    284,500    0       0       1     278,800        0    5,700
BCE INC                   COMMON  05534B109     50,408,202  2,116,874  2,116,874    0       0       1   1,991,909        0  125,700
BCT INTL INC              COMMON  055355101         58,575     42,600     42,600    0       0       1      40,100        0    2,500
BEAR STEARNS COS INC      COMMON  073902108          4,579        110        110    0       0       1         110        0        0
BEAZER HOMES USA INC      COMMON  07556Q105      3,122,958    171,121    171,121    0       0       1     167,321        0    3,800
BEBE STORES INC           COMMON  075571109        597,138     71,300     71,300    0       0       1      62,200        0    9,100
BECKMAN COULTER INC C     COMMON  075811109      2,499,146     42,812     42,812    0       0       1      34,785      520    8,000
BEL FUSE INC              COMMON  077347201        218,700      8,100      8,100    0       0       1       8,100        0        0
BEL FUSE INC              COMMON  077347300      1,313,425     49,100     49,100    0       0       1      49,100        0        0
BELL ATLANTIC CORP        COMMON  077853109     22,324,204    439,220    439,220    0       0       1     419,734        0   19,766
BELL INDS INC             COMMON  078107109        177,975     67,800     67,800    0       0       1      67,800        0        0
BELL MICROPRODUCTS INC    COMMON  078137106        409,763     22,300     22,300    0       0       1      22,300        0        0
BELLSOUTH CORP            Common  079860102     16,260,587    381,480    381,480    0       0       1     381,480        0        0
BEN FRANKLIN RETAIL STOR  COMMON  081499105              5        900        900    0       0       1         900        0        0
BENIHANA INC              COMMON  082047200        102,988      7,700      7,700    0       0       1       6,700        0    1,000
BERGEN BRUNSWIG CORP      COMMON  083739102      3,518,900    639,800    639,800    0       0       1     619,400        0   20,400
BERKSHIRE HATHAWAY INC D  COMMON  084670207        137,280         78         78    0       0       1          78        0        0
BEVERLY ENTERPRISES I     COMMON  087851309      6,654,102  2,365,903  2,365,903    0       0       1   2,292,103        0   73,903
BG PLC ADR FNL INSTLL     COMMON  055434203        387,087     11,865     11,865    0       0       1         865        0   11,865
BILLING CONCEPTS CORP     COMMON  090063108        303,081     68,300     68,300    0       0       1      68,300        0        0
BILLITON                  COMMON  090171109      2,721,031    669,098    669,098    0       0       1     536,463  126,800   70,130
BIO RAD LABS              COMMON  090572207      2,605,600    104,224    104,224    0       0       1      91,784    1,050   12,620
BLACK & DECKER CORP       COMMON  091797100          3,931        100        100    0       0       1         100        0        0
BLACK HAWK GAMING & DEV   COMMON  092067107        360,600     60,100     60,100    0       0       1      59,100        0    1,000
BLAIR CORP                COMMON  092828102         49,950      2,700      2,700    0       0       1       2,700        0        0
BLANCH E W HLDGS INC      COMMON  093210102      1,421,875     70,000     70,000    0       0       1      70,000        0        0
BLOCK H & R INC           COMMON  093671105        558,469     17,250     17,250    0       0       1      17,250        0        0
BLONDER TONGUE LABS INC   COMMON  093698108        130,900     17,600     17,600    0       0       1      17,600        0        0
BLUEGREEN CORP            COMMON  096231105      1,270,500    462,000    462,000    0       0       1     452,900        0    9,100
BNC MTG INC               COMMON  05561Y105         63,938      6,600      6,600    0       0       1       6,600        0        0
BOB EVANS FARMS INC       COMMON  096761101        717,000     48,000     48,000    0       0       1      48,000        0        0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
First Of Issuer           Class     CUSIP          FMV        Shares     IDSole IDShared IDOther Manager  VSole   VShared    VNone
-----------------------------------------------------------------------------------------------------------------------------------
<S>                       <C>     <C>        <C>            <C>        <C>      <C>      <C>     <C>    <C>       <C>       <C>
BOC GROUP PLC ADR         COMMON  055617609        480,449     16,603     16,603    0       0       1         466    8,560   12,180
BOEING CO                 COMMON  097023105     20,399,483    487,880    487,880    0       0       1     431,080        0   56,800
BON-TON STORES INC        COMMON  09776J101        743,238    321,400    321,400    0       0       1     314,600        0    6,800
BORG WARNER INC           COMMON  099724106      4,151,775    118,200    118,200    0       0       1     113,200        0    5,000
BOSTON ACOUSTICS INC      COMMON  100534106      1,109,900    100,900    100,900    0       0       1      99,250        0    1,650
BOSTONFED BANCORP INC     COMMON  101178101        449,175     31,800     31,800    0       0       1      31,800        0        0
BOYD BROS TRANSPORTATION  COMMON  103255105        207,075     50,200     50,200    0       0       1      48,400        0    1,800
BOYD GAMING CORP          COMMON  103304101      6,778,780  1,218,657  1,218,657    0       0       1   1,190,257        0   28,400
BP AMOCO ADS              COMMON  055622104     46,439,522    820,780    820,780    0       0       1     779,689        0   41,919
BRASCAN CORP LTD VTG      COMMON  10549P606        219,212     18,460     18,460    0       0       1         460        0   18,460
BRASS EAGLE INC           COMMON  10553F106        458,000     91,600     91,600    0       0       1      89,600        0    2,000
BRIGGS & STRATTON COR     COMMON  109043109     14,016,825    409,250    409,250    0       0       1     394,340      450   15,540
BRISTOL MYERS SQUIBB      COMMON  110122108     25,162,250    431,965    431,965    0       0       1     419,345        0   12,845
BRITISH AIRWAYS PLC       COMMON  110419306        629,337     10,945     10,945    0       0       1       1,570        0    9,920
BROOKS AUTOMATION INC     COMMON  11434A100      1,795,949     28,089     28,089    0       0       1      22,642      290    5,540
BROOKSTONE INC            COMMON  114537103        495,997     51,700     51,700    0       0       1      48,700        0    3,000
BROWN & SHARPE MFG CO     COMMON  115223109          6,050      2,200      2,200    0       0       1       2,200        0        0
BROWN SHOE INC NEW        COMMON  115736100      4,383,600    337,200    337,200    0       0       1     329,200        0    8,000
BSB BANCORP               COMMON  055652101      3,679,463    183,400    183,400    0       0       1     180,000        0    3,400
BUCKEYE TECHNOLOGIES INC  COMMON  118255108        811,688     37,000     37,000    0       0       1      34,700        0    2,300
BUCKLE INC                COMMON  118440106      1,627,375    138,500    138,500    0       0       1     135,200        0    3,300
BUFFETS INC               COMMON  119882108      1,169,788     92,200     92,200    0       0       1      84,300        0    7,900
BUILDING MATLS HLDG CORP  COMMON  120113105      2,248,069    255,100    255,100    0       0       1     250,200        0    4,900
BURLINGTON COAT FACTO     COMMON  121579106      6,839,185    632,525    632,525    0       0       1     606,023    1,280   25,910
BURLINGTON INDS INC       COMMON  121693105        303,359    179,768    179,768    0       0       1     179,768        0        0
BURLINGTON NORTHN SANTA   COMMON  12189T104     14,716,700    641,600    641,600    0       0       1     641,600        0        0
BURLINGTON RES INC        COMMON  122014103     17,143,841    448,205    448,205    0       0       1     413,505        0   34,700
BURNS INTERNATIONAL S     COMMON  122374101      5,538,676    443,092    443,092    0       0       1     404,732    2,330   37,695
BUSINESS RESOURCE GROUP   COMMON  12329K104         25,500      4,000      4,000    0       0       1       4,000        0        0
BUTLER INTL INC NEW       COMMON  123649105      1,327,700    156,200    156,200    0       0       1     152,900        0    3,300
BUTLER MFG CO DEL         COMMON  123655102      2,512,600    147,800    147,800    0       0       1     144,300        0    3,500
BYL BANCORP               COMMON  056064108        176,700     18,600     18,600    0       0       1      18,600        0        0
C D I CORP                COMMON  125071100      7,318,700    359,200    359,200    0       0       1     352,900        0    6,300
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
First Of Issuer           Class     CUSIP          FMV        Shares     IDSole IDShared IDOther Manager  VSole   VShared    VNone
-----------------------------------------------------------------------------------------------------------------------------------
<S>                       <C>     <C>        <C>            <C>        <C>      <C>      <C>     <C>    <C>       <C>       <C>
C P & L ENERGY INC        COMMON  12614C106          6,388        200        200    0       0       1         200        0        0
CABLETRON SYS INC         COMMON  126920107        568,125     22,500     22,500    0       0       1      22,500        0        0
CABLEVISION SYS CORP      COMMON  12686C109        278,288      4,100      4,100    0       0       1       4,100        0        0
CACHE INC                 COMMON  127150308        119,844     32,500     32,500    0       0       1      32,500        0        0
CADBURY SCHWEPPES P L     COMMON  127209302      8,170,424    311,239    311,239    0       0       1     272,124        0   39,220
CADMUS COMMUNICATIONS CO  COMMON  127587103      1,585,350    162,600    162,600    0       0       1     159,600        0    3,000
CAGLES INC                COMMON  127703106        322,500     43,000     43,000    0       0       1      43,000        0        0
CAMCO FINL CORP           COMMON  132618109        165,844     18,300     18,300    0       0       1      18,300        0        0
CANADIAN PAC LTD NEW      COMMON  135923100         99,513      3,800      3,800    0       0       1       1,200        0    2,600
CANNONDALE CORP           COMMON  137798104        155,350     23,900     23,900    0       0       1      23,900        0        0
CANON INC ADR             COMMON  138006309      1,114,043     22,115     22,115    0       0       1       1,800   15,430   12,600
CAPITAL CORP OF THE WEST  COMMON  140065103         57,063      5,500      5,500    0       0       1       5,500        0        0
CAPITAL CROSSING BK       COMMON  140071101        772,850     75,400     75,400    0       0       1      73,700        0    1,700
CAPITAL SR LIVING CORP    COMMON  140475104      1,051,625    358,000    358,000    0       0       1     350,400        0    7,600
CARBIDE/GRAPHITE GROUP I  COMMON  140777103        498,800    124,700    124,700    0       0       1     121,400        0    3,300
CAREY INTERNATIONAL INC   COMMON  141750109        165,113     11,900     11,900    0       0       1      11,900        0        0
CARPENTER TECHNOLOGY COR  COMMON  144285103      4,313,725    204,200    204,200    0       0       1     195,100        0    9,100
CARRIAGE SVCS INC         COMMON  143905107        832,613    246,700    246,700    0       0       1     240,000        0    6,700
CASCADE CORP              COMMON  147195101      2,869,775    240,400    240,400    0       0       1     235,200        0    5,200
CASTLE DENTAL CTRS INC    COMMON  14844P105        229,013    118,200    118,200    0       0       1     115,700        0    2,500
CASTLE ENERGY CORP        COMMON  148449309        254,391     40,500     40,500    0       0       1      37,500        0    3,000
CATALINA LTG INC          COMMON  148865108        356,725     75,100     75,100    0       0       1      73,000        0    2,100
CATERPILLAR INC           COMMON  149123101     29,747,418    878,150    878,150    0       0       1     836,520        0   41,830
CATO CORP NEW             COMMON  149205106      3,929,250    338,000    338,000    0       0       1     331,000        0    7,000
CBL MED INC               COMMON  124831108            253        900        900    0       0       1         900        0        0
CBRL GROUP INC COM        COMMON  12489V106      4,581,404    311,924    311,924    0       0       1     258,537    3,440   52,200
CCBT FINL COS INC         COMMON  12500Q102      1,138,038     72,400     72,400    0       0       1      72,400        0        0
CD&L INC                  COMMON  14983Y107        181,300    103,600    103,600    0       0       1     101,700        0    1,900
CELLSTAR CORP             COMMON  150925105         58,128     20,900     20,900    0       0       1      20,900        0        0
CENDANT CORP              COMMON  151313103         21,000      1,500      1,500    0       0       1       1,500        0        0
CENIT BANCORP INC         COMMON  15131W109         74,813      6,300      6,300    0       0       1       6,300        0        0
CENTEX CONSTRUCTION PROD  COMMON  15231R109      7,028,429    309,793    309,793    0       0       1     297,693        0   12,100
CENTEX CORP               COMMON  152312104      1,969,300     83,800     83,800    0       0       1      83,800        0        0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
First Of Issuer           Class     CUSIP          FMV        Shares     IDSole IDShared IDOther Manager  VSole   VShared    VNone
-----------------------------------------------------------------------------------------------------------------------------------
<S>                       <C>     <C>        <C>            <C>        <C>      <C>      <C>     <C>    <C>       <C>       <C>
CENTRAL GARDEN & PET CO   COMMON  153527106      4,203,653    468,700    468,700    0       0       1     454,700        0   14,000
CENTRAL VT PUB SVC CO     COMMON  155771108      1,014,046     92,186     92,186    0       0       1      77,329      730   14,760
CENTRICA PLC              COMMON  0183901           20,816     11,000     11,000    0       0       1           0        0   11,000
CENTURY ALUM CO COM       COMMON  156431108      2,177,617    200,240    200,240    0       0       1     159,538    1,970   39,830
CENTURYTEL INC            COMMON  156700106        825,125     28,700     28,700    0       0       1      28,700        0        0
CENVILL DEV CORP NEW      COMMON  156906109          2,455      4,900      4,900    0       0       1       4,900        0        0
CERES GROUP INC           COMMON  156772105        365,156     61,500     61,500    0       0       1      61,500        0        0
CERIDIAN CORP             COMMON  15677T106        762,300     31,680     31,680    0       0       1      26,500        0    5,180
CFC INTL INC              COMMON  125252106          6,200        800        800    0       0       1         800        0        0
CHAMPION ENTERPRISES INC  COMMON  158496109      4,346,550    891,600    891,600    0       0       1     871,500        0   20,100
CHAMPION INTL CORP        COMMON  158525105         36,031        500        500    0       0       1         500        0        0
CHANNELL COML CORP        COMMON  159186105      1,212,000    101,000    101,000    0       0       1     101,000        0        0
CHART INDS INC            COMMON  16115Q100         35,100      7,200      7,200    0       0       1       7,200        0        0
CHARTER ONE FINL INC      COMMON  160903100        679,236     29,532     29,532    0       0       1      29,532        0        0
CHASE INDS INC            COMMON  161568100      2,683,863    288,200    288,200    0       0       1     281,500        0    6,700
CHASE MANHATTAN CORPO     COMMON  16161A108     30,470,505    661,504    661,504    0       0       1     614,980        0   46,665
CHATTEM INC               COMMON  162456107        639,206     46,700     46,700    0       0       1      46,700        0        0
CHAUS BERNARD INC         COMMON  162510200        102,438    149,000    149,000    0       0       1     141,000        0    8,000
CHEMFAB CORP              COMMON  16361L102        787,313     66,300     66,300    0       0       1      63,500        0    2,800
CHEMFIRST INC COM         COMMON  16361A106      2,037,270     84,446     84,446    0       0       1      74,074      760   10,790
CHEROKEE INC DEL NEW      COMMON  16444H102        125,125     14,000     14,000    0       0       1      14,000        0        0
CHERRY CORP               COMMON  164541401        486,781     18,500     18,500    0       0       1      18,500        0        0
CHICAGO RIVET & MACH CO   COMMON  168088102        128,863      6,100      6,100    0       0       1       6,100        0        0
CHILDRENS COMPREHENSIVE   COMMON  16875K202        367,806    120,100    120,100    0       0       1     117,300        0    2,800
CHROMCRAFT REVINGTON INC  COMMON  171117104      2,372,663    204,100    204,100    0       0       1     200,300        0    3,800
CHUBB CORP                COMMON  171232101      1,337,502     21,748     21,748    0       0       1      17,748        0    4,848
CIGNA CORP                COMMON  125509109         45,815        490        490    0       0       1         490        0        0
CINCINNATI FINL CORP      COMMON  172062101          6,288        200        200    0       0       1         200        0        0
CINERGY CORP              COMMON  172474108        554,538     21,800     21,800    0       0       1      19,600        0    2,200
CIRCOR INTL INC           COMMON  17273K109        372,531     45,500     45,500    0       0       1      45,500        0        0
CIT GROUP INC CL A        COMMON  125577106     26,153,137  1,609,415  1,609,415    0       0       1   1,489,945        0  119,725
CITIGROUP INC             COMMON  172967101        298,238      4,950      4,950    0       0       1       4,950        0        0
CITIZENS BKG CORP MICH    COMMON  174420109      5,397,930    332,500    332,500    0       0       1     323,500        0    9,000
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
First Of Issuer           Class     CUSIP          FMV        Shares     IDSole IDShared IDOther Manager  VSole   VShared    VNone
-----------------------------------------------------------------------------------------------------------------------------------
<S>                       <C>     <C>        <C>            <C>        <C>      <C>      <C>     <C>    <C>       <C>       <C>
CKE RESTAURANTS INC       COMMON  12561E105      2,851,200    950,400    950,400    0       0       1     930,400        0   20,000
CLAYTON HOMES INC         COMMON  184190106      2,648,544    331,068    331,068    0       0       1     317,426      880   13,385
CMP GROUP INC COM         COMMON  125887109      2,320,675     79,170     79,170    0       0       1      64,400      320   15,330
CMS ENERGY CORP           COMMON  125896100          2,213        100        100    0       0       1         100        0        0
CNF TRANSN INC COM        COMMON  12612W104     18,339,650    806,131    806,131    0       0       1     787,721        0   19,345
COACHMEN INDS INC         COMMON  189873102      3,303,605    287,270    287,270    0       0       1     280,870        0    6,400
COAST DENTAL SVCS INC     COMMON  19034H102         98,000     56,000     56,000    0       0       1      56,000        0        0
COASTAL BANCORP INC       COMMON  19041P105        855,313     59,500     59,500    0       0       1      57,500        0    2,000
COASTAL CORP              COMMON  190441105         15,219        250        250    0       0       1         250        0        0
COBRA ELECTRS CORP        COMMON  191042100        772,875    114,500    114,500    0       0       1     111,600        0    2,900
COFLEXIP SPONSORED AD     COMMON  192384105        451,632      7,465      7,465    0       0       1         465        0    7,465
COLE NATIONAL CORP NEW    COMMON  193290103        715,000    104,000    104,000    0       0       1     104,000        0        0
COLLINS INDS INC          COMMON  194858106        123,000     24,600     24,600    0       0       1      24,600        0        0
COLONIAL BANCGROUP INC    COMMON  195493309        536,400     59,600     59,600    0       0       1      59,600        0        0
COLONIAL PROPERTIES T     COMMON  195872106      2,699,869     98,625     98,625    0       0       1      79,678      710   18,820
COLUMBIA BANCORP          COMMON  197227101        255,600     28,400     28,400    0       0       1      28,400        0        0
COLUMBIA ENERGY GROUP     COMMON  197648108         78,750      1,200      1,200    0       0       1       1,200        0        0
COLUMBUS MCKINNON CORP N  COMMON  199333105      3,660,225    263,800    263,800    0       0       1     258,600        0    5,200
COMDIAL CORP              COMMON  200332302        177,056     39,900     39,900    0       0       1      39,900        0        0
COMFORT SYS USA INC       COMMON  199908104      2,479,200    619,800    619,800    0       0       1     603,300        0   16,500
COMMERCE GROUP INC MASS   COMMON  200641108     14,191,064    481,053    481,053    0       0       1     467,653        0   13,400
COMMERCIAL FEDERAL CORPO  COMMON  201647104      8,867,513    569,800    569,800    0       0       1     558,800        0   11,000
COMMERCIAL METALS CO      COMMON  201723103      8,925,235    324,554    324,554    0       0       1     316,854        0    7,700
COMMONWEALTH BANCORP INC  COMMON  20268X102        242,250     20,400     20,400    0       0       1      20,400        0        0
COMMUNICATIONS SYS INC    COMMON  203900105         65,575      4,300      4,300    0       0       1       4,300        0        0
COMMUNITY BK SYS INC      COMMON  203607106        896,375     40,400     40,400    0       0       1      40,400        0        0
COMMUNITY FIRST BANKSHAR  COMMON  203902101      1,880,831    115,300    115,300    0       0       1     115,300        0        0
COMPUTER ASSOC INTL I     COMMON  204912109     47,385,077    925,710    925,710    0       0       1     864,992        0   60,774
COMPUTER HORIZON CORP     COMMON  205908106      1,525,865    113,552    113,552    0       0       1      87,396    1,140   26,248
COMPUTER TASK GROUP I     COMMON  205477102        591,381    116,815    116,815    0       0       1      91,350    1,090   25,190
CONCENTREX INC            COMMON  20589S105         36,800      9,200      9,200    0       0       1       9,200        0        0
CONGOLEUM CORP NEW        COMMON  207195108        208,800     52,200     52,200    0       0       1      52,200        0        0
CONOCO INC                COMMON  208251306         15,400        700        700    0       0       1         700        0        0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
First Of Issuer           Class     CUSIP          FMV        Shares     IDSole IDShared IDOther Manager  VSole   VShared    VNone
-----------------------------------------------------------------------------------------------------------------------------------
<S>                       <C>     <C>        <C>            <C>        <C>      <C>      <C>     <C>    <C>       <C>       <C>
CONOCO INC CL B           COMMON  208251405     24,916,926  1,014,425  1,014,425    0       0       1     973,735        0   40,885
CONSOLIDATED EDISON INC   COMMON  209115104          8,888        300        300    0       0       1         300        0        0
CONSOLIDATED FREIGHTWAYS  COMMON  209232107      1,273,594    313,500    313,500    0       0       1     302,900        0   10,600
CONSOLIDATED GRAPHICS IN  COMMON  209341106      1,574,063    167,900    167,900    0       0       1     163,000        0    4,900
CONSTELLATION ENERGY COR  COMMON  210371100          6,513        200        200    0       0       1         200        0        0
CONTINENTAL AIRLS INC     COMMON  210795308        122,200      2,600      2,600    0       0       1       2,600        0        0
COOKER RESTAURANT CORP    COMMON  216284208        223,963     77,900     77,900    0       0       1      77,900        0        0
COOPER INDS INC           COMMON  216669101          3,256        100        100    0       0       1         100        0        0
COOPER TIRE & RUBR CO     COMMON  216831107     12,269,763  1,102,900  1,102,900    0       0       1   1,075,100        0   27,800
COORSTEK INC              COMMON  217020106      1,354,654     29,449     29,449    0       0       1      29,449        0        0
CORNELL COMPANIES INC     COMMON  219141108        363,200     45,400     45,400    0       0       1      41,900        0    3,500
CORNING INC               COMMON  219350105        624,221      2,313      2,313    0       0       1       2,313        0        0
CORRECTIONAL SVCS CORP    COMMON  219921103        240,188     61,000     61,000    0       0       1      61,000        0        0
CORRPRO COS INC           COMMON  220317101        463,531    142,625    142,625    0       0       1     139,700        0    2,925
CORUS BANKSHARES INC      COMMON  220873103      8,265,457    312,641    312,641    0       0       1     298,961      630   14,040
COTTON STS LIFE INS CO    COMMON  221774102        188,267     22,149     22,149    0       0       1      22,149        0        0
COUNTRYWIDE CR INDS INC   COMMON  222372104     19,712,522    650,310    650,310    0       0       1     602,310        0   48,000
COURIER CORP              COMMON  222660102        964,738     34,150     34,150    0       0       1      33,400        0      750
COVANCE INC               COMMON  222816100      1,975,763    224,200    224,200    0       0       1     219,500        0    4,700
COVENANT TRANS INC        COMMON  22284P105      1,919,200    239,900    239,900    0       0       1     233,000        0    6,900
CPAC INC                  COMMON  126145101        970,500    129,400    129,400    0       0       1     126,200        0    3,200
CRAFTMADE INTL INC        COMMON  22413E104        222,075     32,900     32,900    0       0       1      32,900        0        0
CRANE CO                  COMMON  224399105         19,450        800        800    0       0       1         800        0        0
CREDIT ACCEP CORP MICH    COMMON  225310101        472,256     84,900     84,900    0       0       1      69,700        0   15,200
CROMPTON CORP             COMMON  227116100      1,038,800     84,800     84,800    0       0       1      84,800        0        0
CROSSMANN CMNTYS INC      COMMON  22764E109        960,300     58,200     58,200    0       0       1      54,300        0    3,900
CROWN CORK & SEAL INC     COMMON  228255105        903,000     60,200     60,200    0       0       1      49,200        0   11,300
CSK AUTO CORP             COMMON  125965103      1,452,756    192,100    192,100    0       0       1     192,100        0        0
CSX CORP                  COMMON  126408103     15,011,768    708,520    708,520    0       0       1     708,520        0        0
CTB INTL CORP             COMMON  125960104        930,150    137,800    137,800    0       0       1     136,800        0    1,000
CULP INC                  COMMON  230215105        621,150    121,200    121,200    0       0       1     116,400        0    4,800
CUMMINS ENGINE INC        COMMON  231021106      1,425,175     52,300     52,300    0       0       1      52,300        0        0
CURATIVE HEALTH SVCS INC  COMMON  231264102        615,188    102,000    102,000    0       0       1      99,800        0    2,200
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
First Of Issuer           Class     CUSIP          FMV        Shares     IDSole IDShared IDOther Manager  VSole   VShared    VNone
-----------------------------------------------------------------------------------------------------------------------------------
<S>                       <C>     <C>        <C>            <C>        <C>      <C>      <C>     <C>    <C>       <C>       <C>
CURTISS WRIGHT CORP       COMMON  231561101        298,653      8,031      8,031    0       0       1       7,531        0      500
CUTTER & BUCK INC         COMMON  232217109        315,119     39,700     39,700    0       0       1      35,900        0    3,800
CVS CORP                  COMMON  126650100         32,000        800        800    0       0       1         800        0        0
CYBEX INTL INC            COMMON  23252E106         57,525     17,700     17,700    0       0       1      17,700        0        0
CYCLE & CARRIAGE LTD      COMMON  232903302         99,147     21,140     21,140    0       0       1           0   42,280        0
CYTEC INDS INC            COMMON  232820100      6,017,114    243,731    243,731    0       0       1     231,491    1,010   11,821
D R HORTON INC            COMMON  23331A109     15,885,756  1,171,300  1,171,300    0       0       1   1,144,300        0   27,000
DAL-TILE INTL INC         COMMON  23426R108      4,808,925    582,900    582,900    0       0       1     567,600        0   15,300
DAN RIV INC GA            COMMON  235774106      1,032,175    217,300    217,300    0       0       1     208,800        0    8,500
DANA CORP                 COMMON  235811106          4,238        200        200    0       0       1         200        0        0
DATRON SYS INC DEL        COMMON  238173108         50,625      5,000      5,000    0       0       1       5,000        0        0
DAVE & BUSTERS INC        COMMON  23833N104      1,056,875    169,100    169,100    0       0       1     164,800        0    4,300
DE BEERS CONS MINES LTD   COMMON  240253302     12,876,143    529,610    529,610    0       0       1     441,610        0   88,000
DEB SHOPS INC             COMMON  242728103      1,042,500     83,400     83,400    0       0       1      78,300        0    5,100
DECORATOR INDS INC        COMMON  243631207        260,475     56,319     56,319    0       0       1      55,279        0    1,040
DEERE & CO                COMMON  244199105     15,028,105    406,165    406,165    0       0       1     406,165        0        0
DEL GLOBAL TECHNOLOGIES   COMMON  245073101      1,430,600    147,200    147,200    0       0       1     144,200        0    3,000
DELCO REMY INTL INC       COMMON  246626105      1,749,781    210,500    210,500    0       0       1     210,500        0        0
DELHAIZE AMER INC         COMMON  246688105          3,538        200        200    0       0       1         200        0        0
DELPHI AUTOMOTIVE SYS CO  COMMON  247126105          7,121        489        489    0       0       1         489        0        0
DELPHI FINL GROUP INC     COMMON  247131105     13,683,193    403,188    403,188    0       0       1     394,507        0    8,681
DELTA AIR LINES INC DEL   COMMON  247361108          7,584        150        150    0       0       1         150        0        0
DELTA FINANCIAL CORP      COMMON  247918105        489,288    301,100    301,100    0       0       1     295,100        0    6,000
DELUXE CORP COM           COMMON  248019101     16,000,159    679,050    679,050    0       0       1     659,195        0   20,065
DENALI INC                COMMON  248221103        180,691     86,300     86,300    0       0       1      84,400        0    1,900
DEPARTMENT 56 INC         COMMON  249509100      3,588,189    326,199    326,199    0       0       1     319,199        0    7,000
DESERT CMNTY BK VICTORVI  COMMON  25037Y109         15,300        900        900    0       0       1         900        0        0
DETROIT DIESEL CORP       COMMON  250837101      5,917,995    401,220    401,220    0       0       1     392,020        0    9,200
DEUTSCHE BK A G SPON      COMMON  251525309        336,387      4,071      4,071    0       0       1         162    7,980        0
DEWOLFE COS INC           COMMON  252115100        264,625     36,500     36,500    0       0       1      35,100        0    1,400
DIAGEO PLC ADR SPONSO     COMMON  25243Q205      4,586,495    128,890    128,890    0       0       1     124,965        0    4,015
DIEBOLD INC               COMMON  253651103     15,951,194    572,235    572,235    0       0       1     540,820        0   31,880
DIME CMNTY BANCSHARES     COMMON  253922108      2,795,000    172,000    172,000    0       0       1     167,300        0    4,700
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
First Of Issuer           Class     CUSIP          FMV        Shares     IDSole IDShared IDOther Manager  VSole   VShared    VNone
-----------------------------------------------------------------------------------------------------------------------------------
<S>                       <C>     <C>        <C>            <C>        <C>      <C>      <C>     <C>    <C>       <C>       <C>
DISCOUNT AUTO PTS INC     COMMON  254642101      2,412,000    241,200    241,200    0       0       1     235,700        0    5,500
DISNEY WALT CO            COMMON  254687106      1,217,548     31,370     31,370    0       0       1      31,370        0        0
DIXIE GROUP INC           COMMON  255519100        953,250    246,000    246,000    0       0       1     241,800        0    4,200
DIXON TICONDEROGA CO      COMMON  255860108         55,938     17,900     17,900    0       0       1      17,900        0        0
DOLLAR THRIFTY AUTOMOTIV  COMMON  256743105      6,320,043    342,782    342,782    0       0       1     333,782        0    9,000
DOMINION HOMES INC        COMMON  257386102        492,319     84,700     84,700    0       0       1      81,900        0    2,800
DOMINION RES INC VA NEW   COMMON  25746U109         13,763        321        321    0       0       1         321        0        0
DONEGAL GROUP INC         COMMON  257701102        964,005    167,653    167,653    0       0       1     163,920        0    3,733
DONNELLEY R R & SONS CO   COMMON  257867101      1,148,431     50,900     50,900    0       0       1      50,900        0        0
DONNELLY CORP             COMMON  257870105        695,500     53,500     53,500    0       0       1      53,500        0        0
DOW CHEMICAL CORP         COMMON  260543103      4,163,306    137,035    137,035    0       0       1     123,170        0   14,190
DOWNEY FINL CORP          COMMON  261018105     10,396,935    358,515    358,515    0       0       1     352,715        0    5,800
DRESS BARN INC            COMMON  261570105      7,500,176    338,991    338,991    0       0       1     328,291        0   10,700
DTE ENERGY CO             COMMON  233331107     13,696,584    448,150    448,150    0       0       1     448,150        0        0
DUCKWALL-ALCO STORES INC  COMMON  264142100        892,650    108,200    108,200    0       0       1     106,100        0    2,100
DUCOMMUN INC DEL          COMMON  264147109        830,850     69,600     69,600    0       0       1      67,000        0    2,600
DUKE ENERGY CORP          COMMON  264399106         22,550        400        400    0       0       1         400        0        0
DUN & BRADSTREET CORP DE  COMMON  26483B106          5,725        200        200    0       0       1         200        0        0
DURA AUTOMOTIVE SYS I     COMMON  265903104      4,559,956    421,729    421,729    0       0       1     402,642      812   19,409
DURA PHARMACEUTICALS      COMMON  26632S109      3,892,668    270,794    270,794    0       0       1     231,504    2,510   38,605
DVI INC                   COMMON  233343102      1,156,800     72,300     72,300    0       0       1      65,300        0    7,000
DYNAMEX INC               COMMON  26784F103              0     66,300     66,300    0       0       1      65,100        0    1,200
DYNEGY INC NEW            COMMON  26816Q101        894,894     13,100     13,100    0       0       1      13,100        0        0
E M C CORP MASS           COMMON  268648102        192,190      2,498      2,498    0       0       1       2,498        0        0
EAGLE BANCSHARES INC      COMMON  26942C109        266,175     23,400     23,400    0       0       1      23,400        0        0
EASTERN CO                COMMON  276317104        534,300     41,100     41,100    0       0       1      39,450        0    1,650
EASTMAN CHEM CO           COMMON  277432100         14,325        300        300    0       0       1         300        0        0
EASTMAN KODAK CO          COMMON  277461109         23,800        400        400    0       0       1         400        0        0
EATON CORP                COMMON  278058102          3,350         50         50    0       0       1          50        0        0
ECI TELECOM LTD           COMMON  268258100     35,065,942    980,910    980,910    0       0       1     905,555    7,860   72,025
EDELBROCK CORP            COMMON  279434104        500,106     49,700     49,700    0       0       1      48,600        0    1,100
EDISON INTL               COMMON  281020107         85,485      4,170      4,170    0       0       1       4,170        0        0
EDO CORP                  COMMON  281347104        810,525    128,400    128,400    0       0       1     125,500        0    2,900
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
First Of Issuer           Class     CUSIP          FMV        Shares     IDSole IDShared IDOther Manager  VSole   VShared    VNone
-----------------------------------------------------------------------------------------------------------------------------------
<S>                       <C>     <C>        <C>            <C>        <C>      <C>      <C>     <C>    <C>       <C>       <C>
EDUCATIONAL DEV CORP      COMMON  281479105        150,134     66,726     66,726    0       0       1      66,726        0        0
EDWARDS AG INC            COMMON  281760108        994,500     25,500     25,500    0       0       1      25,500        0        0
EIDOS PLC SPONSORED A     COMMON  282485101      4,883,287    662,207    662,207    0       0       1     641,027        0   21,585
EISAI CO LTD - ADR        COMMON  282579309      7,542,799    234,754    234,754    0       0       1     212,494        0   22,635
EL PASO ELEC CO COM N     COMMON  283677854      2,230,388    199,363    199,363    0       0       1     167,166    1,850   32,230
EL PASO ENERGY CORP DEL   COMMON  283905107     17,285,641    339,350    339,350    0       0       1     309,350        0   30,000
ELDER BEERMAN STORES      COMMON  284470101      2,268,075    549,833    549,833    0       0       1     485,796    3,700   62,501
ELECTRO RENT CORP         COMMON  285218103        507,995     41,469     41,469    0       0       1      41,469        0        0
ELECTRONICS FOR IMAGI     COMMON  286082102     17,077,927    674,680    674,680    0       0       1     625,235        0   50,435
ELLETT BROS INC           COMMON  288398100        207,200     59,200     59,200    0       0       1      57,900        0    1,300
ELLIS PERRY INTL INC      COMMON  288853104      1,169,128    146,141    146,141    0       0       1     143,241        0    2,900
ELXSI CORP                COMMON  268613205        451,350     40,800     40,800    0       0       1      38,400        0    2,400
EMCOR GROUP INC           COMMON  29084Q100        345,494     14,900     14,900    0       0       1      14,900        0        0
EMERGENT INFORMATION TEC  COMMON  290931104        119,213     56,100     56,100    0       0       1      54,800        0    1,300
EMERSON ELEC CO           COMMON  291011104      1,429,076     23,670     23,670    0       0       1      23,670        0        0
ENCOMPASS SVCS CORP       COMMON  29255U104      1,445,113    251,324    251,324    0       0       1     251,324        0        0
ENERGEN CORP              COMMON  29265N108        366,450     16,800     16,800    0       0       1      16,800        0        0
ENERGYSOUTH INC           COMMON  292970100        525,669     27,850     27,850    0       0       1      27,850        0        0
ENGELHARD CORP            COMMON  292845104     10,055,443    589,330    589,330    0       0       1     537,930        0   51,400
ENGLE HOMES INC           COMMON  292896107      2,273,006    237,700    237,700    0       0       1     232,800        0    4,900
ENHANCE FINL SVCS GROUP   COMMON  293310108     11,871,853    825,868    825,868    0       0       1     807,068        0   18,800
ENI S P A SPONSORED A     COMMON  26874R108      5,540,653     95,192     95,192    0       0       1      88,792    6,180    4,290
ENNIS BUSINESS FORMS INC  COMMON  293389102      2,740,800    342,600    342,600    0       0       1     336,300        0    6,300
ENSCO INTL INC            COMMON  26874Q100        239,944      6,700      6,700    0       0       1       6,700        0        0
ENTERGY CORP NEW          COMMON  29364G103          8,156        300        300    0       0       1         300        0        0
EQUINOX SYS INC           COMMON  294436100         15,600      2,600      2,600    0       0       1       2,600        0        0
EQUITABLE RES INC         COMMON  294549100     23,029,725    477,300    477,300    0       0       1     477,300        0        0
EQUITY MARKETING INC      COMMON  294724109        315,563     29,700     29,700    0       0       1      27,900        0    1,800
ESCALADE INC              COMMON  296056104        178,100     10,400     10,400    0       0       1      10,400        0        0
ESCO ELECTRS CORP         COMMON  269030102         39,100      2,300      2,300    0       0       1       2,300        0        0
ESTERLINE TECHNOLOGIES C  COMMON  297425100      3,766,350    253,200    253,200    0       0       1     247,500        0    5,700
ETHYL CORP                COMMON  297659104      5,235,868  2,094,347  2,094,347    0       0       1   2,048,147        0   46,200
EVEREST RE GROUP          COMMON  G3223R108      4,200,606    127,775    127,775    0       0       1     115,020      710   12,915
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
First Of Issuer           Class     CUSIP          FMV        Shares     IDSole IDShared IDOther Manager  VSole   VShared    VNone
-----------------------------------------------------------------------------------------------------------------------------------
<S>                       <C>     <C>        <C>            <C>        <C>      <C>      <C>     <C>    <C>       <C>       <C>
EXIDE CORP                COMMON  302051107      1,656,016    207,002    207,002    0       0       1     179,980    1,900   27,010
EXPONENT INC              COMMON  30214U102        735,325     87,800     87,800    0       0       1      86,200        0    1,600
EXXON CORPORATION         COMMON  30231G102        679,810      8,660      8,660    0       0       1       8,660        0        0
EZCORP INC                COMMON  302301106        214,550    122,600    122,600    0       0       1     122,600        0        0
F M C CORP                COMMON  302491303     12,400,400    213,800    213,800    0       0       1     213,800        0        0
FANSTEEL INC DEL          COMMON  307260109        455,175    115,600    115,600    0       0       1     115,600        0        0
FARM FAMILY HLDGS INC     COMMON  307901108        603,281     19,500     19,500    0       0       1      19,500        0        0
FARREL CORP NEW           COMMON  311667109         45,675     34,800     34,800    0       0       1      33,400        0    1,400
FBL FINL GROUP INC        COMMON  30239F106         82,420      5,233      5,233    0       0       1       5,233        0        0
FEATHERLITE INC           COMMON  313054108        355,894     99,900     99,900    0       0       1      97,200        0    2,700
FEDDERS CORP              COMMON  313135105      3,743,250    644,000    644,000    0       0       1     628,800        0   15,200
FEDERAL MOGUL CORP        COMMON  313549107      6,158,250    644,000    644,000    0       0       1     617,800        0   26,200
FEDERAL SIGNAL CORP       COMMON  313855108      1,653,527    100,212    100,212    0       0       1      81,227    1,210   19,070
FEDERATED DEPARTMENT      COMMON  31410H101     41,107,487  1,217,995  1,217,995    0       0       1   1,144,650        0   74,330
FEDEX CORP                COMMON  31428X106        684,000     18,000     18,000    0       0       1      18,000        0        0
FFY FINL CORP             COMMON  30242U108        229,900     20,900     20,900    0       0       1      20,900        0        0
FIBERMARK INC             COMMON  315646109      1,689,188    136,500    136,500    0       0       1     132,950        0    3,550
FIDELITY BANCORP INC DEL  COMMON  31583B105        112,938      6,500      6,500    0       0       1       6,500        0        0
FIDELITY NATL FINL INC    COMMON  316326107     11,071,536    604,589    604,589    0       0       1     589,102        0   15,487
FINISH LINE INC           COMMON  317923100      2,409,581    294,300    294,300    0       0       1     294,300        0        0
FINLAY ENTERPRISES INC    COMMON  317884203      3,211,000    247,000    247,000    0       0       1     242,600        0    4,400
FINOVA GROUP INC          COMMON  317928109      4,800,900    369,300    369,300    0       0       1     360,600        0    8,700
FIRST AMERN CORP CALIF    COMMON  318522307         30,772      2,150      2,150    0       0       1       2,150        0        0
FIRST BELL BANCORP INC    COMMON  319301107        808,250     53,000     53,000    0       0       1      53,000        0        0
FIRST CAP HLDGS CORP      COMMON  319417101            769     12,200     12,200    0       0       1      12,200        0        0
FIRST CASH FINL SVCS INC  COMMON  31942D107         33,750     10,000     10,000    0       0       1      10,000        0        0
FIRST CHARTER CORP        COMMON  319439105        910,350     57,800     57,800    0       0       1      57,800        0        0
FIRST CTZNS BANCSHARES I  COMMON  31946M103      9,429,560    158,480    158,480    0       0       1     153,180        0    5,300
FIRST ESSEX BANCORP INC   COMMON  320103104      1,075,781     67,500     67,500    0       0       1      64,300        0    3,200
FIRST FED BANCSHARES ARK  COMMON  32020F105         85,550      5,800      5,800    0       0       1       5,800        0        0
FIRST FED CAP CORP        COMMON  319960100        445,819     40,300     40,300    0       0       1      36,800        0    3,500
FIRST MERCHANTS ACCEP CO  COMMON  320816101             14      2,300      2,300    0       0       1         700        0    1,600
FIRST REP BK SAN FRANCIS  COMMON  336158100      2,769,319    138,900    138,900    0       0       1     135,300        0    3,600
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
First Of Issuer           Class     CUSIP          FMV        Shares     IDSole IDShared IDOther Manager  VSole   VShared    VNone
-----------------------------------------------------------------------------------------------------------------------------------
<S>                       <C>     <C>        <C>            <C>        <C>      <C>      <C>     <C>    <C>       <C>       <C>
FIRST SEC CORP DEL        COMMON  336294103          2,713        200        200    0       0       1         200        0        0
FIRST TENN NATL CORP      COMMON  337162101          1,656        100        100    0       0       1         100        0        0
FIRST UN CORP             COMMON  337358105         32,256      1,300      1,300    0       0       1       1,300        0        0
FIRST VA BANKS INC        COMMON  337477103        577,888     16,600     16,600    0       0       1      14,650        0    1,950
FIRST WASH BANCORP INC W  COMMON  33748T104      1,276,675     91,600     91,600    0       0       1      91,600        0        0
FIRST YRS INC             COMMON  337610109        718,675     64,600     64,600    0       0       1      62,500        0    2,100
FIRSTAR CORP NEW WIS      COMMON  33763V109          8,804        418        418    0       0       1         418        0        0
FIRSTENERGY CORP          COMMON  337932107          7,013        300        300    0       0       1         300        0        0
FIRSTFED AMER BANCORP IN  COMMON  337929103        274,031     23,700     23,700    0       0       1      23,700        0        0
FIRSTFED FINL CORP        COMMON  337907109      5,868,938    415,500    415,500    0       0       1     407,200        0    8,300
FLAGSTAR BANCORP INC      COMMON  337930101      1,769,625    217,800    217,800    0       0       1     213,300        0    4,500
FLEETBOSTON FINANCIAL     COMMON  339030108     55,228,101  1,624,356  1,624,356    0       0       1   1,538,993        0   86,123
FLEETWOOD ENTERPRISES IN  COMMON  339099103     10,399,650    729,800    729,800    0       0       1     716,200        0   13,600
FLEXSTEEL INDS INC        COMMON  339382103      1,222,550     99,800     99,800    0       0       1      97,500        0    2,300
FLIR SYS INC              COMMON  302445101         23,400      3,600      3,600    0       0       1       3,600        0        0
FLORIDA PROGRESS CORP     COMMON  341109106        960,938     20,500     20,500    0       0       1      20,500        0        0
FLOWSERVE CORP            COMMON  34354P105        831,450     55,200     55,200    0       0       1      55,200        0        0
FOAMEX INTL INC           COMMON  344123104        740,838    122,200    122,200    0       0       1     112,900        0    9,300
FORD MTR CO DEL           COMMON  345370100     13,342,943    310,301    310,301    0       0       1     310,301        0        0
FORT JAMES CORP           COMMON  347471104        652,125     28,200     28,200    0       0       1      28,200        0        0
FORTUNE BRANDS INC CO     COMMON  349631101     12,646,377    548,348    548,348    0       0       1     534,778        0   14,330
FOTOBALL USA INC          COMMON  350384103          4,400      1,100      1,100    0       0       1       1,100        0        0
FOUNDATION HEALTH SYS IN  COMMON  350404109        738,400     56,800     56,800    0       0       1      56,800        0        0
FPIC INS GROUP INC        COMMON  302563101      2,204,094    140,500    140,500    0       0       1     137,200        0    3,300
FPL GROUP INC             COMMON  302571104          9,900        200        200    0       0       1         200        0        0
FRANKLIN BK NA SOUTHFIEL  COMMON  352456107        278,400     34,800     34,800    0       0       1      34,800        0        0
FRANKLIN COVEY CO         COMMON  353469109        457,875     66,000     66,000    0       0       1      66,000        0        0
FRANKLIN RES INC          COMMON  354613101          9,113        300        300    0       0       1         300        0        0
FREEPORT-MCMORAN COPPER   COMMON  35671D857         48,100      5,200      5,200    0       0       1       5,200        0        0
FREMONT GEN CORP          COMMON  357288109        184,275     46,800     46,800    0       0       1      46,800        0        0
FRENCH FRAGRANCES INC     COMMON  357658103      2,241,738    273,800    273,800    0       0       1     267,200        0    6,600
FRESH AMERICA CORP        COMMON  35803R105         17,425      8,200      8,200    0       0       1       8,200        0        0
FRIEDE GOLDMAN HALTER IN  COMMON  358430106        518,375     58,000     58,000    0       0       1      58,000        0        0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
First Of Issuer           Class     CUSIP          FMV        Shares     IDSole IDShared IDOther Manager  VSole   VShared    VNone
-----------------------------------------------------------------------------------------------------------------------------------
<S>                       <C>     <C>        <C>            <C>        <C>      <C>      <C>     <C>    <C>       <C>       <C>
FRIEDMAN INDS INC         COMMON  358435105        410,851    117,386    117,386    0       0       1     114,708        0    2,678
FRIEDMANS INC             COMMON  358438109      1,657,025    335,600    335,600    0       0       1     327,900        0    7,700
FTI CONSULTING INC        COMMON  302941109        273,000     26,000     26,000    0       0       1      26,000        0        0
FUJI BK JAPAN ADR         COMMON  359550209      2,544,869     33,406     33,406    0       0       1      30,956        0    2,985
FUJITSU LTD ADR 5 COM     COMMON  359590304      5,577,714     32,161     32,161    0       0       1      30,916    2,520      920
FULLER H B CO COM         COMMON  359694106      4,396,976     96,504     96,504    0       0       1      81,717      710   14,440
FURNITURE BRANDS INTL IN  COMMON  360921100     10,350,038    684,300    684,300    0       0       1     672,100        0   12,200
GA FINL INC               COMMON  361437106        172,188     14,500     14,500    0       0       1      14,500        0        0
GALLAHER GROUP PLC        COMMON  363595109     17,799,556    830,300    830,300    0       0       1     830,300        0        0
GARAN INC                 COMMON  364802108      1,719,500     76,000     76,000    0       0       1      73,800        0    2,200
GARDEN FRESH RESTAURANT   COMMON  365235100        332,956     31,900     31,900    0       0       1      29,900        0    2,000
GBC BANCORP CALIF         COMMON  361475106      2,433,600     83,200     83,200    0       0       1      80,900        0    2,300
GEHL CO                   COMMON  368483103      1,061,625     74,500     74,500    0       0       1      72,400        0    2,100
GENCORP INC               COMMON  368682100      5,742,400    717,800    717,800    0       0       1     700,500        0   17,300
GENERAL CABLE CORP DEL N  COMMON  369300108      5,373,063    661,300    661,300    0       0       1     649,700        0   11,600
GENERAL DYNAMICS CORP     COMMON  369550108     14,492,583    277,370    277,370    0       0       1     253,170        0   24,200
GENERAL ELEC CO           COMMON  369604103        232,545      4,440      4,440    0       0       1         440        0    4,440
GENERAL EMPLOYMENT ENTER  COMMON  369730106        287,348     75,370     75,370    0       0       1      73,470        0    1,900
GENERAL MTRS CORP         COMMON  370442105     15,943,907    274,650    274,650    0       0       1     264,205        0   11,225
GENESCO INC               COMMON  371532102      4,626,000    288,000    288,000    0       0       1     276,000        0   12,000
GENESSEE AND WYOMING      COMMON  371559105      3,416,377    203,962    203,962    0       0       1     180,175    1,340   23,770
GENLYTE GROUP INC         COMMON  372302109        798,269     37,900     37,900    0       0       1      35,500        0    2,400
GENTEK INC                COMMON  37245X104      4,382,144    391,700    391,700    0       0       1     382,400        0    9,300
GENUINE PARTS CO          COMMON  372460105         18,000        900        900    0       0       1         900        0        0
GEORGIA PAC CORP          COMMON  373298108     25,280,990    963,080    963,080    0       0       1     929,200        0   34,120
GERBER CHILDRENSWEAR INC  COMMON  373701101      1,434,906    270,100    270,100    0       0       1     262,900        0    7,200
GERBER SCIENTIFIC INC     COMMON  373730100      2,332,200    202,800    202,800    0       0       1     194,800        0    8,000
GETTY PETE MARKETING INC  COMMON  374292100        129,625     30,500     30,500    0       0       1      30,500        0        0
GIANT INDS INC            COMMON  374508109      1,078,088    136,900    136,900    0       0       1     133,300        0    3,600
GLATFELTER P H CO         COMMON  377316104         53,994      5,300      5,300    0       0       1       5,300        0        0
GLAXO PLC                 COMMON  37733W105      8,835,063    152,687    152,687    0       0       1     133,607        0   19,100
GLOBAL IMAGING SYSTEMS    COMMON  37934A100        752,850     71,700     71,700    0       0       1      69,000        0    2,700
GLOBAL MARINE INC         COMMON  379352404        814,619     28,900     28,900    0       0       1      28,900        0        0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
First Of Issuer           Class     CUSIP          FMV        Shares     IDSole IDShared IDOther Manager  VSole   VShared    VNone
-----------------------------------------------------------------------------------------------------------------------------------
<S>                       <C>     <C>        <C>            <C>        <C>      <C>      <C>     <C>    <C>       <C>       <C>
GOLDEN ST BANCORP INC     COMMON  381197102        126,000      7,000      7,000    0       0       1       7,000        0        0
GOLDEN ST VINTNERS INC    COMMON  38121K208        252,038     61,100     61,100    0       0       1      61,100        0        0
GOLDEN WEST FINL CORP DE  COMMON  381317106          6,122        150        150    0       0       1         150        0        0
GOLDMAN SACHS GROUP INC   COMMON  38141G104      3,387,038     35,700     35,700    0       0       1      35,700        0        0
GOODYEAR TIRE & RUBR CO   COMMON  382550101          4,000        200        200    0       0       1         200        0        0
GOODYS FAMILY CLOTHING I  COMMON  382588101      3,235,650    588,300    588,300    0       0       1     573,500        0   14,800
GORMAN RUPP CO            COMMON  383082104        236,250     15,000     15,000    0       0       1      12,500        0    2,500
GPU INC                   COMMON  36225X100          4,059        150        150    0       0       1         150        0        0
GRACE W R & CO DEL NEW    COMMON  38388F108     10,083,150    831,600    831,600    0       0       1     808,800        0   22,800
GRACO INC                 COMMON  384109104      1,569,750     48,300     48,300    0       0       1      48,300        0        0
GRADCO SYS INC            COMMON  384111100        193,503    116,832    116,832    0       0       1     114,382        0    2,450
GRAHAM CORP               COMMON  384556106         53,375      7,000      7,000    0       0       1       7,000        0        0
GRAINGER W W INC          COMMON  384802104          3,081        100        100    0       0       1         100        0        0
GRANITE CONSTR INC        COMMON  387328107         17,150        700        700    0       0       1         700        0        0
GRAPHIC PACKAGING INTL C  COMMON  388690109      1,066,960    502,099    502,099    0       0       1     487,999        0   14,100
GREAT AMERN FINL RES INC  COMMON  389915109      1,317,931     74,512     74,512    0       0       1      63,512        0   11,000
GREENBRIER COS INC        COMMON  393657101      3,119,497    430,274    430,274    0       0       1     400,499    1,280   29,205
GRIFFON CORP              COMMON  398433102      3,874,687    696,573    696,573    0       0       1     681,873        0   14,700
GRUBB & ELLIS CO          COMMON  400095204         67,563     11,500     11,500    0       0       1      11,500        0        0
GSE SYS INC               COMMON  36227K106          4,500      1,000      1,000    0       0       1       1,000        0        0
GTE CORP                  COMMON  362320103      5,822,421     93,530     93,530    0       0       1      83,970        0   10,350
GTECH HLDGS CORP          COMMON  400518106     16,827,319    741,700    741,700    0       0       1     727,000        0   14,700
GUILFORD MLS INC          COMMON  401794102        735,888    173,150    173,150    0       0       1     173,150        0        0
HAGGAR CORP               COMMON  405173105        667,400     56,800     56,800    0       0       1      54,100        0    2,700
HALLWOOD GROUP INC        COMMON  406364406        122,231     15,900     15,900    0       0       1      15,900        0        0
HAMILTON BANCORP INC FLA  COMMON  407013101      3,115,000    178,000    178,000    0       0       1     173,000        0    5,000
HAMPSHIRE GROUP LTD       COMMON  408859106        141,375     19,500     19,500    0       0       1      18,500        0    1,000
HANCOCK FABRICS INC       COMMON  409900107        331,075     77,900     77,900    0       0       1      77,900        0        0
HANCOCK JOHN FINL SVC     COMMON  41014S106     15,243,222    642,530    642,530    0       0       1     619,805        0   23,375
HANDLEMAN CO DEL          COMMON  410252100      2,487,500    199,000    199,000    0       0       1     193,300        0    5,700
HANGER ORTHOPEDIC GROUP   COMMON  41043F208        296,744     60,100     60,100    0       0       1      57,400        0    2,700
HARCOURT GEN INC          COMMON  41163G101        589,969     10,850     10,850    0       0       1      10,850        0        0
HARDINGE INC              COMMON  412324303        320,431     30,700     30,700    0       0       1      30,700        0        0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
First Of Issuer           Class     CUSIP          FMV        Shares     IDSole IDShared IDOther Manager  VSole   VShared    VNone
-----------------------------------------------------------------------------------------------------------------------------------
<S>                       <C>     <C>        <C>            <C>        <C>      <C>      <C>     <C>    <C>       <C>       <C>
HARLEYSVILLE GROUP INC    COMMON  412824104      4,597,976    274,506    274,506    0       0       1     260,006        0   14,500
HARMAN INTL INDS INC      COMMON  413086109      1,024,800     16,800     16,800    0       0       1      16,800        0        0
HARSCO CORP               COMMON  415864107        357,000     14,000     14,000    0       0       1      14,000        0        0
HARTFORD FINL SVCS GR     COMMON  416515104     30,743,267    549,600    549,600    0       0       1     516,490        0   33,980
HARTMARX CORP             COMMON  417119104        425,375    166,000    166,000    0       0       1     166,000        0        0
HASBRO INC                COMMON  418056107        857,056     56,900     56,900    0       0       1      56,900        0        0
HAVEN BANCORP INC         COMMON  419352109        271,013     14,600     14,600    0       0       1      14,600        0        0
HAVERTY FURNITURE INC     COMMON  419596101      1,816,450    213,700    213,700    0       0       1     206,100        0    7,600
HAWAIIAN AIRLS INC NEW    COMMON  419849104        633,675    241,400    241,400    0       0       1     212,800        0   28,600
HAWK CORP                 COMMON  420089104        139,150     18,400     18,400    0       0       1      18,400        0        0
HAWKINS CHEM INC          COMMON  420200107        290,036     36,830     36,830    0       0       1      36,830        0        0
HAWTHORNE FINL CORP       COMMON  420542102        412,300     53,200     53,200    0       0       1      53,200        0        0
HAYES LEMMERZ INTL INC    COMMON  420781106      5,658,519    469,100    469,100    0       0       1     458,000        0   11,100
HCA-THE HEALTHCARE CO     COMMON  404119109      9,634,274    315,836    315,836    0       0       1     294,011        0   22,745
HCC INS HLDGS INC         COMMON  404132102      3,841,063    203,500    203,500    0       0       1     203,500        0        0
HEADWAY CORPORATE RESOUR  COMMON  422101105        564,850    173,800    173,800    0       0       1     170,500        0    3,300
HEALTH MGMT SYS INC       COMMON  42219M100        233,438     74,700     74,700    0       0       1      74,700        0        0
HEALTHCARE RECOVERIES IN  COMMON  42220K101        762,019    213,900    213,900    0       0       1     208,200        0    5,700
HEALTHCARE SVCS GRP INC   COMMON  421906108      1,043,982    231,996    231,996    0       0       1     227,196        0    4,800
HEALTHEON WEBMD CORP      COMMON  422209106      6,910,031    466,500    466,500    0       0       1     432,200        0   34,300
HEALTHGRADES COM INC      COMMON  42222R104         14,700      9,800      9,800    0       0       1       9,800        0        0
HELLER FINANCIAL INC      COMMON  423328103         61,500      3,000      3,000    0       0       1       3,000        0        0
HELMERICH & PAYNE INC     COMMON  423452101         97,175      2,600      2,600    0       0       1       2,600        0        0
HENDERSON LD DEV LTD      COMMON  425166303      4,219,054    958,876    958,876    0       0       1     906,421        0   53,255
HERBALIFE INTL INC        COMMON  426908208      4,206,388    480,730    480,730    0       0       1     466,630        0   14,100
HERBALIFE INTL INC        COMMON  426908307        576,159     73,163     73,163    0       0       1      69,363        0    3,800
HERCULES INC              COMMON  427056106     23,091,572  1,642,060  1,642,060    0       0       1   1,611,270        0   30,950
HERLEY INDS INC DEL       COMMON  427398102      1,024,894     54,299     54,299    0       0       1      51,666        0    2,633
HERTZ CORP                COMMON  428040109        101,025      3,600      3,600    0       0       1       3,600        0        0
HEWLETT PACKARD CO        COMMON  428236103        422,702      3,385      3,385    0       0       1       3,385        0        0
HEXCEL CORP NEW           COMMON  428291108        391,400     41,200     41,200    0       0       1      41,200        0        0
HI-TECH PHARMACAL INC     COMMON  42840B101        174,225     40,400     40,400    0       0       1      38,700        0    1,700
HITACHI LTD               COMMON  433578507        447,508      3,105      3,105    0       0       1           0    6,210        0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
First Of Issuer           Class     CUSIP          FMV        Shares     IDSole IDShared IDOther Manager  VSole   VShared    VNone
-----------------------------------------------------------------------------------------------------------------------------------
<S>                       <C>     <C>        <C>            <C>        <C>      <C>      <C>     <C>    <C>       <C>       <C>
HOLLY CORP                COMMON  435758305      1,914,250    161,200    161,200    0       0       1     158,000        0    3,200
HOLTS CIGAR HLDS INC      COMMON  436598106        121,713     21,400     21,400    0       0       1      19,100        0    2,300
HOME PORT BANCORP INC     COMMON  437304108          9,200        400        400    0       0       1         400        0        0
HOME PRODS INTL INC       COMMON  437305105        562,650    145,200    145,200    0       0       1     141,800        0    3,400
HOMEBASE INC              COMMON  43738E108        695,313    445,000    445,000    0       0       1     430,400        0   14,600
HONDA MTR LTD             COMMON  438128308      4,960,268     72,182     72,182    0       0       1      64,687        0    8,105
HONEYWELL INTL INC        COMMON  438516106         20,213        600        600    0       0       1         600        0        0
HORACE MANN EDUCATORS     COMMON  440327104      1,518,750    101,250    101,250    0       0       1      83,568    1,170   17,940
HORIZON FINL CORP WASH    COMMON  44041F105         14,400      1,600      1,600    0       0       1       1,600        0        0
HORIZON HEALTH CORP       COMMON  44041Y104        642,375    114,200    114,200    0       0       1     111,600        0    2,600
HOST MARRIOTT CORP NEW    COMMON  44107P104        371,719     39,650     39,650    0       0       1      39,650        0        0
HOVNANIAN ENTERPRISES     COMMON  442487203      3,684,780    614,130    614,130    0       0       1     579,840      710   34,715
HSBC HOLDINGS PLC         COMMON  404280406      4,654,608     80,320     80,320    0       0       1      67,960    9,970    8,030
HUANENG PWR INTL INC      COMMON  443304100      2,773,897    208,344    208,344    0       0       1     202,099        0    6,705
HUGHES SUPPLY INC         COMMON  444482103     10,134,713    513,150    513,150    0       0       1     502,950        0   10,200
HUMANA INC                COMMON  444859102      6,331,163  1,298,700  1,298,700    0       0       1   1,298,700        0        0
HUNTINGTON BANCSHARES IN  COMMON  446150104          4,348        275        275    0       0       1         275        0        0
HURCO COMPANIES INC       COMMON  447324104        480,547    124,012    124,012    0       0       1     124,012        0        0
HUTCHINSON TECHNOLOGY     COMMON  448407106      1,566,959    109,961    109,961    0       0       1      90,006    1,330   20,010
I B M                     COMMON  459200101      8,443,221     77,062     77,062    0       0       1      70,742        0    6,990
I C H CORP NEW            COMMON  44926L300         44,000      8,000      8,000    0       0       1       8,000        0        0
IBERIABANK CORP           COMMON  450828108      1,585,163    103,100    103,100    0       0       1     100,900        0    2,200
IBP INC                   COMMON  449223106      1,441,863     93,400     93,400    0       0       1      93,400        0        0
ICN PHARMACEUTICALS INC   COMMON  448924100        179,391      6,450      6,450    0       0       1       6,450        0        0
IDACORP INC               COMMON  451107106      1,154,550     35,800     35,800    0       0       1      35,800        0        0
IGATE CAPITAL CORP        COMMON  45169U105          2,750        200        200    0       0       1         200        0        0
IHOP CORP                 COMMON  449623107      2,142,325    127,900    127,900    0       0       1     121,300        0    6,600
II VI INC                 COMMON  902104108          8,466        175        175    0       0       1         175        0        0
IMC GLOBAL INC            COMMON  449669100      1,453,400    111,800    111,800    0       0       1     111,800        0        0
IMCO RECYCLING INC        COMMON  449681105      1,939,556    356,700    356,700    0       0       1     347,300        0    9,400
IMPERIAL CHEM INDS PL     COMMON  452704505     20,326,087    659,665    659,665    0       0       1     645,540        0   14,490
IN HOME HEALTH INC        COMMON  453222408         21,500      8,000      8,000    0       0       1       8,000        0        0
INCO LTD                  COMMON  453258402        384,375     25,000     25,000    0       0       1      25,000        0        0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
First Of Issuer           Class     CUSIP          FMV        Shares     IDSole IDShared IDOther Manager  VSole   VShared    VNone
-----------------------------------------------------------------------------------------------------------------------------------
<S>                       <C>     <C>        <C>            <C>        <C>      <C>      <C>     <C>    <C>       <C>       <C>
INDEPENDENCE HLDG CO NEW  COMMON  453440307        287,263     23,450     23,450    0       0       1      21,700        0    1,750
INDEPENDENT BANK CORP MA  COMMON  453836108        229,644     20,300     20,300    0       0       1      18,100        0    2,200
INDEPENDENT BANK CORP MI  COMMON  453838104        280,744     20,700     20,700    0       0       1      20,700        0        0
INDEPENDENT BANKSHARES I  COMMON  453841207         37,875      2,000      2,000    0       0       1       2,000        0        0
INDONESIAN SATELLITE      COMMON  715680104        129,220     11,360     11,360    0       0       1           0   22,720        0
INDUSTRIAL BANCORP INC    COMMON  455882100        162,688     13,700     13,700    0       0       1      12,100        0    1,600
ING GROEP N V ADR SPO     COMMON  456837103      6,117,853     90,631     90,631    0       0       1      76,931    6,050   11,200
INGERSOLL-RAND COMPAN     COMMON  456866102        411,959     10,235     10,235    0       0       1       9,635        0      635
INNOTRAC CORP             COMMON  45767M109        160,413     31,300     31,300    0       0       1      31,300        0        0
INSTEEL INDUSTRIES INC    COMMON  45774W108        110,138     17,800     17,800    0       0       1      17,800        0        0
INSURANCE AUTO AUCTIO     COMMON  457875102      3,884,263    183,870    183,870    0       0       1     145,525    1,810   37,845
INTEGRATED DEVICE TEC     COMMON  458118106      1,974,986     32,985     32,985    0       0       1      26,480      260    6,485
INTERCHANGE FINL SVCS S   COMMON  458447109         28,875      2,200      2,200    0       0       1       2,200        0        0
INTERFACE INC             COMMON  458665106      3,960,806  1,038,900  1,038,900    0       0       1   1,012,700        0   26,200
INTERMET CORP             COMMON  45881K104      4,276,938    622,100    622,100    0       0       1     610,700        0   11,400
INTERNATIONAL AIRCRAFT I  COMMON  458860103        208,425     39,700     39,700    0       0       1      38,100        0    1,600
INTERNATIONAL AIRL SUPPO  COMMON  458865201         47,925     21,300     21,300    0       0       1      20,200        0    1,100
INTERNATIONAL ALUM CORP   COMMON  458884103        274,275     15,900     15,900    0       0       1      15,900        0        0
INTERNATIONAL MULTIFOODS  COMMON  460043102      1,308,825     75,600     75,600    0       0       1      75,600        0        0
INTERPOOL INC             COMMON  46062R108      5,568,995    571,179    571,179    0       0       1     558,429        0   12,750
INTERSTATE BAKERIES CORP  COMMON  46072H108      8,190,000    585,000    585,000    0       0       1     572,100        0   12,900
INTERSTATE NATL DEALER S  COMMON  46102P104        202,125     38,500     38,500    0       0       1      38,500        0        0
INTERWEST BANCORP INC     COMMON  460931108         85,400      6,100      6,100    0       0       1       6,100        0        0
INTL PAPER CO             COMMON  460146103         14,727        494        494    0       0       1         494        0        0
INTL SPECIALTY PRODS INC  COMMON  460337108      4,311,694    758,100    758,100    0       0       1     724,000        0   34,100
INVENSYS PLC ADR          COMMON  461204109        190,275     25,370     25,370    0       0       1         370        0   25,370
INVESTORS TITLE CO        COMMON  461804106         70,350      6,700      6,700    0       0       1       6,700        0        0
IROQUOIS BANCORP INC      COMMON  463347104         35,956      1,100      1,100    0       0       1       1,100        0        0
IT GROUP INC              COMMON  465266104      1,705,275    349,800    349,800    0       0       1     340,200        0    9,600
ITLA CAP CORP             COMMON  450565106      1,796,550    123,900    123,900    0       0       1     121,700        0    2,200
ITOCHU CORP ADR           COMMON  465717106      4,344,182     85,920     85,920    0       0       1      77,105   14,200    2,465
ITT INDS INC IND          COMMON  450911102          3,038        100        100    0       0       1         100        0        0
IVEX PACKAGING CORP DEL   COMMON  465855104      4,587,283    412,340    412,340    0       0       1     405,640        0    6,700
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
First Of Issuer           Class     CUSIP          FMV        Shares     IDSole IDShared IDOther Manager  VSole   VShared    VNone
-----------------------------------------------------------------------------------------------------------------------------------
<S>                       <C>     <C>        <C>            <C>        <C>      <C>      <C>     <C>    <C>       <C>       <C>
J P MORGAN AND CO.        COMMON  616880100      9,398,724     85,345     85,345    0       0       1      79,445        0    6,855
JACKSONVILLE BANCORP INC  COMMON  469248108        133,900     10,400     10,400    0       0       1      10,400        0        0
JAN BELL MARKETING INC    COMMON  470760109         76,950     32,400     32,400    0       0       1      32,400        0        0
JASON INC                 COMMON  471171108      1,866,288    193,900    193,900    0       0       1     186,100        0    7,800
JEFFERIES GROUP INC NEW   COMMON  472319102      1,189,044     58,900     58,900    0       0       1      57,500        0    1,400
JEFFERSON PILOT CORP      COMMON  475070108          5,644        100        100    0       0       1         100        0        0
JEFFERSON SMURFIT GRO     COMMON  47508W107      4,951,564    280,816    280,816    0       0       1     248,421   21,450   21,755
JLG INDS INC              COMMON  466210101      6,773,500    570,400    570,400    0       0       1     555,100        0   15,300
JLK DIRECT DISTRIBUTION   COMMON  46621C105      1,437,563    280,500    280,500    0       0       1     274,800        0    5,700
JO-ANN STORES INC         COMMON  47758P109      1,103,900    157,700    157,700    0       0       1     151,200        0    6,500
JOHNSON & JOHNSON         COMMON  478160104     29,692,208    291,455    291,455    0       0       1     285,475        0    6,095
JOHNSON CTLS INC          COMMON  478366107          5,131        100        100    0       0       1         100        0        0
JOHNSON OUTDOORS INC      COMMON  479167108        443,525     62,800     62,800    0       0       1      62,800        0        0
JONES APPAREL GROUP INC   COMMON  480074103         58,750      2,500      2,500    0       0       1         200        0    2,300
JOS A BANK CLOTHIERS INC  COMMON  480838101        484,375    125,000    125,000    0       0       1     122,400        0    2,600
JOURNAL REGISTER CO C     COMMON  481138105      2,044,656    112,035    112,035    0       0       1      91,677    1,260   20,410
JPM CO                    COMMON  465933109         19,800      3,600      3,600    0       0       1       3,600        0        0
JUNO LTG INC              COMMON  482047206         21,000      3,500      3,500    0       0       1       3,500        0        0
JUSTIN INDS INC           COMMON  482171105      1,583,750     72,400     72,400    0       0       1      61,700        0   10,700
K MART CORP               COMMON  482584109          4,088        600        600    0       0       1         600        0        0
K TRON INTL INC           COMMON  482730108        615,350     39,700     39,700    0       0       1      39,700        0        0
K-SWISS INC               COMMON  482686102      2,514,938    157,800    157,800    0       0       1     153,100        0    4,700
K2 INC                    COMMON  482732104      2,872,800    345,600    345,600    0       0       1     338,600        0    7,000
KAMAN CORP                COMMON  483548103      5,050,913    472,600    472,600    0       0       1     462,600        0   10,000
KANEB SERVICES INC        COMMON  484170105      1,383,200    345,800    345,800    0       0       1     335,400        0   10,400
KANSAS CITY LIFE INS CO   COMMON  484836101         82,721      3,078      3,078    0       0       1       3,078        0        0
KATY INDS INC             COMMON  486026107        862,450     73,400     73,400    0       0       1      72,600        0      800
KAUFMAN & BROAD HOME COR  COMMON  486168107     14,314,531    722,500    722,500    0       0       1     705,200        0   17,300
KAYE GROUP INC            COMMON  486589104        339,450     58,400     58,400    0       0       1      56,900        0    1,500
KEANE INC                 COMMON  486665102     20,335,891    940,385    940,385    0       0       1     841,190        0   99,850
KELLSTROM INDS INC        COMMON  488035106        763,588    165,100    165,100    0       0       1     161,200        0    3,900
KELLWOOD CO               COMMON  488044108     12,037,680    569,831    569,831    0       0       1     558,131        0   11,700
KENNAMETAL INC            COMMON  489170100      1,527,536     71,255     71,255    0       0       1      62,228      460    8,975
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
First Of Issuer           Class     CUSIP          FMV        Shares     IDSole IDShared IDOther Manager  VSole   VShared    VNone
-----------------------------------------------------------------------------------------------------------------------------------
<S>                       <C>     <C>        <C>            <C>        <C>      <C>      <C>     <C>    <C>       <C>       <C>
KERR MCGEE CORP           COMMON  492386107        767,779     13,027     13,027    0       0       1      13,027        0        0
KEYCORP NEW               COMMON  493267108     11,181,300    634,400    634,400    0       0       1     634,400        0        0
KEYSPAN CORP              COMMON  49337W100          6,150        200        200    0       0       1         200        0        0
KEYSTONE AUTOMOTIVE INDS  COMMON  49338N109      1,529,719    220,500    220,500    0       0       1     214,400        0    6,100
KILROY RLTY CORP          COMMON  49427F108        274,938     10,600     10,600    0       0       1      10,600        0        0
KIMBALL INTL INC          COMMON  494274103        161,778     10,968     10,968    0       0       1      10,968        0        0
KIMBERLY CLARK CORP       COMMON  494368103         14,344        250        250    0       0       1         250        0        0
KINDER MORGAN ENERGY PAR  COMMON  494550106        263,588      6,600      6,600    0       0       1       6,600        0        0
KINDER MORGAN INC KANS    COMMON  49455P101     23,184,525    670,800    670,800    0       0       1     625,700        0   45,100
KLAMATH FIRST BANCORP IN  COMMON  49842P103      1,159,356     98,800     98,800    0       0       1      96,500        0    2,300
KNIGHT RIDDER INC         COMMON  499040103          5,319        100        100    0       0       1         100        0        0
KONINKLIJKE PHILIPS E     COMMON  500472204     61,312,343  1,290,917  1,290,917    0       0       1   1,180,481   25,536   98,565
KOREA ELEC PWR CO         COMMON  500631106        296,844     16,100     16,100    0       0       1           0   32,200        0
KOREA TELECOM ADR SPO     COMMON  50063P103      3,959,088     82,394     82,394    0       0       1      78,504        0    4,250
KOSS CORP                 COMMON  500692108        693,738     43,700     43,700    0       0       1      42,200        0    1,500
KUBOTA LTD CORP           COMMON  501173207      5,696,523     79,909     79,909    0       0       1      77,989        0    2,720
LA Z BOY INC              COMMON  505336107        882,168     63,012     63,012    0       0       1      63,012        0        0
LACROSSE FOOTWEAR INC     COMMON  505688101         13,500      2,700      2,700    0       0       1       2,700        0        0
LADISH INC                COMMON  505754200      1,815,450    186,200    186,200    0       0       1     181,700        0    4,500
LAFARGE CORP              COMMON  505862102      1,717,800     81,800     81,800    0       0       1      81,800        0        0
LAKELAND INDS INC         COMMON  511795106        169,375     27,100     27,100    0       0       1      25,900        0    1,200
LAKES GAMING INC          COMMON  51206P109      1,318,932    148,612    148,612    0       0       1     143,712        0    4,900
LAM RESEARCH CORP         COMMON  512807108        567,736     15,139     15,139    0       0       1      13,461      180    2,495
LAMSON & SESSIONS CO      COMMON  513696104      3,212,563    209,800    209,800    0       0       1     205,400        0    4,400
LANCASTER COLONY CORP     COMMON  513847103        460,200     23,600     23,600    0       0       1      23,600        0        0
LANDAMERICA FINL GROUP I  COMMON  514936103      7,184,025    313,200    313,200    0       0       1     305,600        0    7,600
LANDRYS SEAFOOD RESTAURA  COMMON  51508L103        186,150     21,900     21,900    0       0       1      21,900        0        0
LANDSTAR SYS INC          COMMON  515098101      1,135,440     19,063     19,063    0       0       1      19,063        0        0
LAWSON PRODS INC          COMMON  520776105      1,802,550     73,200     73,200    0       0       1      69,600        0    3,600
LEAR CORP                 COMMON  521865105      1,908,000     95,400     95,400    0       0       1      95,400        0        0
LEGGETT & PLATT INC       COMMON  524660107          4,125        250        250    0       0       1         250        0        0
LEHMAN BROS HLDGS INC     COMMON  524908100        113,475      1,200      1,200    0       0       1         400        0      800
LENNAR CORP               COMMON  526057104      3,628,800    179,200    179,200    0       0       1     179,200        0        0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
First Of Issuer           Class     CUSIP          FMV        Shares     IDSole IDShared IDOther Manager  VSole   VShared    VNone
-----------------------------------------------------------------------------------------------------------------------------------
<S>                       <C>     <C>        <C>            <C>        <C>      <C>      <C>     <C>    <C>       <C>       <C>
LENNOX INTL INC           COMMON  526107107      1,948,611    147,065    147,065    0       0       1     137,953        0    9,112
LIBBEY INC                COMMON  529898108      2,075,275     64,600     64,600    0       0       1      64,600        0        0
LIBERTY FINL COS INC      COMMON  530512102      7,088,006    323,100    323,100    0       0       1     316,400        0    6,700
LIFEMARK CORP             COMMON  53219F102         93,600     15,600     15,600    0       0       1      15,600        0        0
LIFETIME HOAN CORP        COMMON  531926103        805,600    100,700    100,700    0       0       1      95,800        0    4,900
LILLY INDS INC            COMMON  532491107      5,784,025    192,400    192,400    0       0       1     186,400        0    6,000
LILLY, ELI AND COMPAN     COMMON  532457108     31,115,768    311,545    311,545    0       0       1     304,185        0    7,825
LINCOLN ELEC HLDGS INC    COMMON  533900106      1,702,733    119,490    119,490    0       0       1     114,490        0    5,000
LINCOLN NATL CORP IND     COMMON  534187109          7,225        200        200    0       0       1         200        0        0
LINDBERG CORP             COMMON  535171102        732,450    102,800    102,800    0       0       1     100,400        0    2,400
LITTON INDS INC           COMMON  538021106         60,900      1,450      1,450    0       0       1       1,450        0        0
LIZ CLAIBORNE INC         COMMON  539320101     12,912,075    366,300    366,300    0       0       1     366,300        0        0
LMI AEROSPACE INC         COMMON  502079106         71,250     28,500     28,500    0       0       1      28,500        0        0
LOCAL FINL CORP           COMMON  539553107      2,427,197    290,900    290,900    0       0       1     282,900        0    8,000
LOCKHEED MARTIN CORP      COMMON  539830109         11,166        450        450    0       0       1         450        0        0
LODGIAN INC               COMMON  54021P106        546,975    224,400    224,400    0       0       1     224,400        0        0
LOEWS CORP                COMMON  540424108      8,418,000    140,300    140,300    0       0       1     140,300        0        0
LONE STAR STEAKHOUSE SAL  COMMON  542307103      1,944,000    192,000    192,000    0       0       1     192,000        0        0
LORAL SPACE & COMMUNICAT  COMMON  G56462107          2,081        300        300    0       0       1         300        0        0
LOUIS DREYFUS NAT GAS     COMMON  546011107      3,615,635    115,469    115,469    0       0       1      97,479    1,500   17,610
LOUISIANA PAC CORP        COMMON  546347105      1,658,438    152,500    152,500    0       0       1     152,500        0        0
LOWRANCE ELECTRS INC      COMMON  548900109         74,625     19,900     19,900    0       0       1      19,900        0        0
LSI INDS INC              COMMON  50216C108         33,413      2,200      2,200    0       0       1       2,200        0        0
LTV CORP NEW              COMMON  501921100          2,875      1,000      1,000    0       0       1       1,000        0        0
LUBYS INC                 COMMON  549282101      3,619,104    452,388    452,388    0       0       1     439,688        0   12,700
LUFKIN INDS INC           COMMON  549764108          1,588        100        100    0       0       1         100        0        0
LYDALL INC DEL            COMMON  550819106      2,932,500    276,000    276,000    0       0       1     269,500        0    6,500
LYONDELL CHEMICAL CO      COMMON  552078107      8,236,478    491,730    491,730    0       0       1     452,030        0   39,700
M & F WORLDWIDE CORP      COMMON  552541104      2,251,688    400,300    400,300    0       0       1     391,600        0    8,700
M D C HLDGS INC           COMMON  552676108      3,978,300    213,600    213,600    0       0       1     207,300        0    6,300
M S CARRIERS INC          COMMON  553533100        343,688     19,500     19,500    0       0       1      19,500        0        0
M.A. HANNA CO.            COMMON  410522106      2,861,127    317,903    317,903    0       0       1     263,793    2,370   53,490
M/I SCHOTTENSTEIN HOMES   COMMON  55305B101      2,764,125    175,500    175,500    0       0       1     171,400        0    4,100
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
First Of Issuer           Class     CUSIP          FMV        Shares     IDSole IDShared IDOther Manager  VSole   VShared    VNone
-----------------------------------------------------------------------------------------------------------------------------------
<S>                       <C>     <C>        <C>            <C>        <C>      <C>      <C>     <C>    <C>       <C>       <C>
MAF BANCORP INC           COMMON  55261R108      4,971,844    273,366    273,366    0       0       1     268,666        0    4,700
MAGELLAN HEALTH SVCS INC  COMMON  559079108        562,750    450,200    450,200    0       0       1     438,400        0   11,800
MAIL-WELL INC             COMMON  560321200      4,233,150    490,800    490,800    0       0       1     483,300        0    7,500
MAIN STREET AND MAIN INC  COMMON  560345308         77,675     23,900     23,900    0       0       1      23,900        0        0
MAINE PUB SVC CO          COMMON  560483109        240,425     11,800     11,800    0       0       1      11,800        0        0
MALLINCKRODT INC NEW      COMMON  561232109      2,436,844     56,100     56,100    0       0       1      56,100        0        0
MANCHESTER EQUIP INC      COMMON  562154104         52,894     10,850     10,850    0       0       1      10,850        0        0
MARINEMAX INC             COMMON  567908108      1,325,800    189,400    189,400    0       0       1     186,500        0    2,900
MARK IV INDS INC          COMMON  570387100      5,527,700    264,800    264,800    0       0       1     262,700        0    2,100
MARLTON TECHNOLOGIES INC  COMMON  571263102         53,488     38,900     38,900    0       0       1      38,900        0        0
MARRIOTT INTL INC NEW     COMMON  571903202          9,016        250        250    0       0       1         250        0        0
MARSH SUPERMARKETS INC    COMMON  571783307        615,000     41,000     41,000    0       0       1      37,700        0    3,300
MARTIN MARIETTA MATLS IN  COMMON  573284106        792,575     19,600     19,600    0       0       1      19,600        0        0
MASCOTECH INC             COMMON  574670105     10,968,200  1,014,400  1,014,400    0       0       1     992,100        0   22,300
MATRIX BANCORP INC        COMMON  576819106        288,225     42,700     42,700    0       0       1      42,700        0        0
MATSUSHITA ELEC CO        COMMON  576879209      5,848,057     22,746     22,746    0       0       1      20,420        0    3,185
MATTEL INC                COMMON  577081102        880,529     66,770     66,770    0       0       1      66,770        0        0
MAXWELL SHOE INC          COMMON  577766108      1,711,338    173,300    173,300    0       0       1     169,400        0    3,900
MAY DEPT STORES CO        COMMON  577778103          9,000        375        375    0       0       1         375        0        0
MBIA INC                  COMMON  55262C100     11,361,167    235,770    235,770    0       0       1     235,770        0        0
MCGRATH RENTCORP          COMMON  580589109      2,811,800    165,400    165,400    0       0       1     158,400        0    7,000
MCKESSON HBOC INC COM     COMMON  58155Q103     11,325,871    540,930    540,930    0       0       1     488,805        0   52,815
MCN CORP                  COMMON  55267J100     19,915,515    931,720    931,720    0       0       1     919,720        0   12,700
MCNAUGHTON APPAREL GROUP  COMMON  582524104        596,400     56,800     56,800    0       0       1      56,800        0        0
MCRAE INDS INC            COMMON  582757209         22,100      5,200      5,200    0       0       1       5,200        0        0
MEAD CORP                 COMMON  582834107     10,746,526    425,605    425,605    0       0       1     423,005        0    2,600
MEADOW VY CORP            COMMON  583185103        163,134     48,336     48,336    0       0       1      48,336        0        0
MEDFORD BANCORP INC       COMMON  584131106         66,388      4,700      4,700    0       0       1       4,700        0        0
MEDIA ARTS GROUP INC      COMMON  58439C102        993,688    244,600    244,600    0       0       1     239,600        0    5,000
MEDICAL ASSURN INC        COMMON  58449U100        727,178     64,638     64,638    0       0       1      64,638        0        0
MEDSTONE INTL INC NEW     COMMON  58505C101        560,941     97,555     97,555    0       0       1      97,555        0        0
MEMC ELECTR MATLS INC     COMMON  552715104        415,800     23,100     23,100    0       0       1      23,100        0        0
MENTOR GRAPHICS CORP      COMMON  587200106      1,373,425     69,103     69,103    0       0       1      57,881      690   11,715
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
First Of Issuer           Class     CUSIP          FMV        Shares     IDSole IDShared IDOther Manager  VSole   VShared    VNone
-----------------------------------------------------------------------------------------------------------------------------------
<S>                       <C>     <C>        <C>            <C>        <C>      <C>      <C>     <C>    <C>       <C>       <C>
MERCHANTS BANCSHARES      COMMON  588448100      1,132,950     58,100     58,100    0       0       1      56,400        0    1,700
MERCHANTS GROUP INC       COMMON  588539106        176,225     10,600     10,600    0       0       1      10,000        0      600
MERCURY AIR GROUP INC     COMMON  589354109        752,890    150,578    150,578    0       0       1     147,553        0    3,025
MERCURY GENL CORP NEW     COMMON  589400100        243,338     10,300     10,300    0       0       1      10,300        0        0
MERITAGE CORP             COMMON  59001A102        480,938     45,000     45,000    0       0       1      43,100        0    1,900
MERITOR AUTOMOTIVE INC    COMMON  59000G100        503,800     45,800     45,800    0       0       1      45,800        0        0
MERRILL LYNCH & CO INC    COMMON  590188108        356,500      3,100      3,100    0       0       1       3,100        0        0
MESA LABS INC             COMMON  59064R109        297,000     54,000     54,000    0       0       1      52,500        0    1,500
MESTEK INC                COMMON  590829107      1,115,663     63,300     63,300    0       0       1      59,700        0    3,600
MET PRO CORP              COMMON  590876306        889,200     98,800     98,800    0       0       1      96,600        0    2,200
METALS USA INC            COMMON  591324108      3,834,773    818,085    818,085    0       0       1     799,185        0   18,900
METLIFE INC               COMMON  59156R108     22,077,713  1,048,200  1,048,200    0       0       1   1,003,200        0   45,000
METROPOLITAN FINL CORP    COMMON  59189N108         46,075      9,700      9,700    0       0       1       9,700        0        0
METROWEST BK MASS         COMMON  592668107        589,600    107,200    107,200    0       0       1     103,400        0    3,800
MGIC INVT CORP WIS        COMMON  552848103          4,550        100        100    0       0       1         100        0        0
MICHAEL ANTHONY JEWELERS  COMMON  594060105         39,600     14,400     14,400    0       0       1      14,400        0        0
MICHAEL FOOD INC NEW      COMMON  594079105      4,707,038    192,124    192,124    0       0       1     189,024        0    3,100
MID AMER BANCORP          COMMON  595915109        107,500      4,300      4,300    0       0       1       4,300        0        0
MIDAS GROUP INC           COMMON  595626102      1,530,000     76,500     76,500    0       0       1      76,500        0        0
MIDLAND CO                COMMON  597486109      1,697,850     69,300     69,300    0       0       1      68,000        0    1,300
MIDWAY AIRLS CORP         COMMON  598126100        283,925     55,400     55,400    0       0       1      55,400        0        0
MIDWEST EXPRESS HLDGS IN  COMMON  597911106        572,416     26,624     26,624    0       0       1      22,649        0    3,975
MIKASA INC                COMMON  59862T109      1,620,300    147,300    147,300    0       0       1     138,700        0    8,600
MILACRON INC              COMMON  598709103     14,059,200    969,600    969,600    0       0       1     951,200        0   18,400
MILLER BLDG SYS INC       COMMON  600404107        403,100     55,600     55,600    0       0       1      54,900        0      700
MINNTECH CORP             COMMON  604258103        383,400     56,800     56,800    0       0       1      54,300        0    2,500
MODINE MFG CO             COMMON  607828100      3,676,536    136,168    136,168    0       0       1     133,868        0    2,300
MODIS PROFESSIONAL SV     COMMON  607830106      7,539,410    988,775    988,775    0       0       1     876,175        0  112,715
MOHAWK INDS INC           COMMON  608190104      1,735,650     79,800     79,800    0       0       1      79,800        0        0
MONACO COACH CORP         COMMON  60886R103        755,166     55,425     55,425    0       0       1      45,750        0    9,675
MONARCH DENTAL CORP       COMMON  609044102        250,094     75,500     75,500    0       0       1      75,500        0        0
MONRO MUFFLER BRAKE INC   COMMON  610236101         56,503      6,150      6,150    0       0       1       6,150        0        0
MONTANA POWER CO          COMMON  612085100        875,750     24,800     24,800    0       0       1      24,800        0        0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
First Of Issuer           Class     CUSIP          FMV        Shares     IDSole IDShared IDOther Manager  VSole   VShared    VNone
-----------------------------------------------------------------------------------------------------------------------------------
<S>                       <C>     <C>        <C>            <C>        <C>      <C>      <C>     <C>    <C>       <C>       <C>
MONY GROUP INC COM        COMMON  615337102      1,706,859     50,480     50,480    0       0       1      41,075      620    9,460
MOOG INC                  COMMON  615394202      2,466,063     93,500     93,500    0       0       1      91,000        0    2,500
MOORE MED CORP            COMMON  615799103         34,200      5,700      5,700    0       0       1       5,700        0        0
MORGAN KEEGAN INC         COMMON  617410105      1,464,439     99,284     99,284    0       0       1      84,134        0   15,150
MORGAN STANLEY DEAN WITT  COMMON  617446448     14,152,500    170,000    170,000    0       0       1     170,000        0        0
MORRISON KNUDSEN CORP NE  COMMON  61844A109      3,770,000    520,000    520,000    0       0       1     497,900        0   22,100
MORTONS RESTAURANT GROUP  COMMON  619429103         81,700      3,800      3,800    0       0       1       3,800        0        0
MOTOR CARGO INDS          COMMON  619907108        169,738     36,700     36,700    0       0       1      36,700        0        0
MOTOR CLUB AMER           COMMON  619823107         47,850      5,800      5,800    0       0       1       5,800        0        0
MOVADO GROUP INC          COMMON  624580106        223,200     18,600     18,600    0       0       1      18,600        0        0
MOVIE GALLERY INC         COMMON  624581104        706,413    182,300    182,300    0       0       1     176,800        0    5,500
MTS SYS CORP              COMMON  553777103        307,500     49,200     49,200    0       0       1      49,200        0        0
MULTI COLOR CORP          COMMON  625383104         67,200      8,400      8,400    0       0       1       8,400        0        0
MURPHY OIL CORP           COMMON  626717102      1,937,662     32,600     32,600    0       0       1      28,600        0    4,300
MUSICLAND STORES CORP     COMMON  62758B109      3,347,619    450,100    450,100    0       0       1     436,200        0   13,900
MYERS INDS INC            COMMON  628464109      2,599,350    241,800    241,800    0       0       1     234,600        0    7,200
NACCO INDS INC            COMMON  629579103      9,395,588    267,490    267,490    0       0       1     256,685      480   10,835
NAPCO SEC SYS INC         COMMON  630402105         32,081      8,700      8,700    0       0       1       8,700        0        0
NASH FINCH CO             COMMON  631158102      1,383,525    167,700    167,700    0       0       1     161,500        0    6,200
NATIONAL AUSTRALIA BANK   PFD CV  632525309        894,675     31,600     31,600    0       0       1      31,600        0        0
NATIONAL CITY BANCORPORA  COMMON  635312101      1,896,600    130,800    130,800    0       0       1     126,400        0    4,400
NATIONAL CITY CORP        COMMON  635405103         15,356        900        900    0       0       1         900        0        0
NATIONAL EQUIP SVCS INC   COMMON  635847106        829,200    138,200    138,200    0       0       1     134,400        0    3,800
NATIONAL SEMICONDUCTOR C  COMMON  637640103         28,375        500        500    0       0       1         500        0        0
NATIONAL STL CORP         COMMON  637844309        446,388    106,600    106,600    0       0       1       5,200        0  101,400
NATIONAL SVC INDS INC     COMMON  637657107     11,628,000    581,400    581,400    0       0       1     566,500        0   14,900
NATIONAL TECHNICAL SYS I  COMMON  638104109        536,300    138,400    138,400    0       0       1     137,300        0    1,100
NATIONAL WESTMINSTER BK   COMMON  638539403        326,200      2,800      2,800    0       0       1         800        0    2,000
NATIONAL WESTN LIFE INS   COMMON  638522102      3,045,600     42,300     42,300    0       0       1      41,200        0    1,100
NATIONSRENT INC           COMMON  638588103        184,525     48,400     48,400    0       0       1      48,400        0        0
NATIONWIDE FINL SVCS      COMMON  638612101     24,625,480    749,060    749,060    0       0       1     700,835        0   48,445
NATROL INC                COMMON  638789107        334,750    103,000    103,000    0       0       1     101,000        0    2,000
NATURAL ALTERNATIVES INT  COMMON  638842302         23,381     12,900     12,900    0       0       1      12,900        0        0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
First Of Issuer           Class     CUSIP          FMV        Shares     IDSole IDShared IDOther Manager  VSole   VShared    VNone
-----------------------------------------------------------------------------------------------------------------------------------
<S>                       <C>     <C>        <C>            <C>        <C>      <C>      <C>     <C>    <C>       <C>       <C>
NATURES SUNSHINE PRODUCT  COMMON  639027101      2,555,000    365,000    365,000    0       0       1     358,200        0    6,800
NAUTICA ENTERPRISES INC   COMMON  639089101      7,221,544    675,700    675,700    0       0       1     661,100        0   14,600
NAVIGANT CONSULTING INC   COMMON  63935N107        739,075    173,900    173,900    0       0       1     158,400        0   15,500
NAVIGATORS GROUP INC      COMMON  638904102        228,600     25,400     25,400    0       0       1      25,400        0        0
NBT BANCORP INC           COMMON  628778102        461,700     43,200     43,200    0       0       1      40,600        0    2,600
NCH CORP                  COMMON  628850109      1,905,561     52,658     52,658    0       0       1      52,658        0        0
NCI BUILDING SYS INC      COMMON  628852105      7,490,475    369,900    369,900    0       0       1     362,100        0    7,800
NEIMAN MARCUS GROUP INC   COMMON  640204301         89,633      3,230      3,230    0       0       1       3,230        0        0
NEIMAN MARCUS GROUP INC   COMMON  640204202        671,069     22,700     22,700    0       0       1      22,700        0        0
NEOMAGIC CORP             COMMON  640497103      1,342,541    442,900    442,900    0       0       1     433,300        0    9,600
NEW CENTURY FINANCIAL CO  COMMON  64352D101        923,316    105,900    105,900    0       0       1     103,700        0    2,200
NEW ENGLAND BUSINESS SVC  COMMON  643872104      2,796,625    172,100    172,100    0       0       1     167,200        0    4,900
NEW HAMPSHIRE THRIFT BAN  COMMON  644722100         64,125      5,700      5,700    0       0       1       5,700        0        0
NEWELL RUBBERMAID INC     COMMON  651229106          5,150        200        200    0       0       1         200        0        0
NEWMARK HOMES CORP        COMMON  651578106         25,750      4,000      4,000    0       0       1       4,000        0        0
NEWPORT NEWS SHIPBLDG     COMMON  652228107      1,164,975     31,700     31,700    0       0       1      31,700        0        0
NIAGARA CORP              COMMON  653349100        564,713    136,900    136,900    0       0       1     133,800        0    3,100
NIAGARA MOHAWK HLDGS      COMMON  653520106     14,767,104  1,059,515  1,059,515    0       0       1     967,435        0   92,645
NIKE INC CL B             COMMON  654106103      4,893,488    122,915    122,915    0       0       1     109,805        0   13,805
NIKKO SECS LTD JAPAN      COMMON  654107200      4,928,766     49,665     49,665    0       0       1      43,585    4,150    4,790
NIPPON TELEG & TEL CO     COMMON  654624105        975,370     14,265     14,265    0       0       1       7,550    6,130    4,000
NL INDS INC               COMMON  629156407     12,666,650    830,600    830,600    0       0       1     804,900        0   25,700
NOBILITY HOMES INC        COMMON  654892108         19,000      3,800      3,800    0       0       1       3,800        0        0
NOBLE DRILLING CORP       COMMON  655042109        205,938      5,000      5,000    0       0       1       5,000        0        0
NORFOLK SOUTHERN CORP     COMMON  655844108         43,881      2,950      2,950    0       0       1       2,950        0        0
NORTEK INC                COMMON  656559101      3,764,350    190,600    190,600    0       0       1     185,000        0    5,600
NORTEL NETWORKS CORP NEW  COMMON  656568102        841,181     12,325     12,325    0       0       1      12,325        0        0
NORTH CENT BANCSHARES IN  COMMON  658418108         92,963      6,700      6,700    0       0       1       5,700        0    1,000
NORTHEAST BANCORP         COMMON  663904100         43,313      5,500      5,500    0       0       1       5,500        0        0
NORTHERN TECH INTL CORP   COMMON  665809109        163,538     26,700     26,700    0       0       1      25,300        0    1,400
NORTHN STS PWR CO MINN    COMMON  665772109          3,028        150        150    0       0       1         150        0        0
NORTHRIM BK ALASKA        COMMON  666764105        376,094     51,875     51,875    0       0       1      51,875        0        0
NORTHROP GRUMMAN CORP     COMMON  666807102     26,575,525    401,140    401,140    0       0       1     380,540        0   20,600
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
First Of Issuer           Class     CUSIP          FMV        Shares     IDSole IDShared IDOther Manager  VSole   VShared    VNone
-----------------------------------------------------------------------------------------------------------------------------------
<S>                       <C>     <C>        <C>            <C>        <C>      <C>      <C>     <C>    <C>       <C>       <C>
NORTHWEST PIPE CO         COMMON  667746101      1,422,625    119,800    119,800    0       0       1     116,600        0    3,200
NOVARTIS AG SPONSORED     COMMON  66987V109     15,342,287    383,568    383,568    0       0       1     347,761    8,600   32,080
NOVO NORDISK              COMMON  670100205      7,857,889     92,921     92,921    0       0       1      75,981    7,250   13,835
NPC INTERNATIONAL INC     COMMON  629360306      1,269,975    141,600    141,600    0       0       1     132,500        0    9,100
NSTAR                     COMMON  67019E107        807,850     19,855     19,855    0       0       1      19,855        0        0
NU HORIZONS ELECTRS CORP  COMMON  669908105        194,895      7,320      7,320    0       0       1       7,320        0        0
NU SKIN ENTERPRISES INC   COMMON  67018T105        842,375    146,500    146,500    0       0       1     146,500        0        0
NUCOR CORP                COMMON  670346105          3,319        100        100    0       0       1         100        0        0
NVR INC                   COMMON  62944T105      3,032,400     53,200     53,200    0       0       1      48,900        0    4,300
NYMAGIC INC               COMMON  629484106        634,125     44,500     44,500    0       0       1      44,500        0        0
O I CORP                  COMMON  670841105        172,125     40,800     40,800    0       0       1      40,800        0        0
OCCIDENTAL PETE CORP DEL  COMMON  674599105          8,425        400        400    0       0       1         400        0        0
OCTEL CORP                COMMON  675727101         44,625      5,712      5,712    0       0       1       5,712        0        0
OCULAR SCIENCES INC       COMMON  675744106        903,575     76,900     76,900    0       0       1      76,900        0        0
OFFICEMAX INC             COMMON  67622M108      3,206,000    641,200    641,200    0       0       1     629,300        0   11,900
OGDEN CORP                COMMON  676346109      6,232,824    692,536    692,536    0       0       1     645,160    2,660   46,492
OGE ENERGY CORP COM       COMMON  670837103      1,705,700     92,200     92,200    0       0       1      82,200        0   10,300
OGLEBAY NORTON CO         COMMON  677007106      2,182,800     85,600     85,600    0       0       1      84,000        0    1,600
OIL DRI CORP AMER         COMMON  677864100        175,500     19,500     19,500    0       0       1      19,500        0        0
OLD DOMINION FGHT LINES   COMMON  679580100      1,068,600    109,600    109,600    0       0       1     108,100        0    1,500
OMNICARE INC              COMMON  681904108        296,344     32,700     32,700    0       0       1      32,700        0        0
OMNICOM GROUP             COMMON  681919106        224,438      2,520      2,520    0       0       1         520        0    2,520
OMNOVA SOLUTIONS INC      COMMON  682129101      2,534,375    405,500    405,500    0       0       1     390,200        0   15,300
ONE PRICE CLOTHING STORE  COMMON  682411103        440,750    176,300    176,300    0       0       1     172,300        0    4,000
ONEIDA LTD                COMMON  682505102      3,413,325    192,300    192,300    0       0       1     186,200        0    6,100
ONEOK INC NEW COM         COMMON  682680103      1,778,854     68,582     68,582    0       0       1      56,522      870   11,665
ONYX ACCEP CORP           COMMON  682914106        450,300     94,800     94,800    0       0       1      92,800        0    2,000
ORACLE CORP               COMMON  68389X105         33,625        400        400    0       0       1         400        0        0
OROAMERICA INC            COMMON  687027102        729,825    105,200    105,200    0       0       1     102,800        0    2,400
ORTHALLIANCE INC          COMMON  687913103        994,800    165,800    165,800    0       0       1     161,700        0    4,100
OSHKOSH B GOSH INC        COMMON  688222207        838,400     51,200     51,200    0       0       1      46,700        0    4,500
OVERSEAS SHIPHOLDING GRO  COMMON  690368105        694,425     28,200     28,200    0       0       1      28,200        0        0
OWENS CORNING             COMMON  69073F103      7,161,350    774,200    774,200    0       0       1     757,900        0   16,300
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
First Of Issuer           Class     CUSIP          FMV        Shares     IDSole IDShared IDOther Manager  VSole   VShared    VNone
-----------------------------------------------------------------------------------------------------------------------------------
<S>                       <C>     <C>        <C>            <C>        <C>      <C>      <C>     <C>    <C>       <C>       <C>
OWENS ILL INC             COMMON  690768403         84,150      7,200      7,200    0       0       1       7,200        0        0
OXFORD INDS INC           COMMON  691497309      3,195,000    177,500    177,500    0       0       1     173,700        0    3,800
P & F INDS INC            COMMON  692830508         71,400      8,400      8,400    0       0       1       8,400        0        0
P A M TRANSN SVCS INC     COMMON  693149106      1,206,500    127,000    127,000    0       0       1     125,300        0    1,700
PACCAR INC                COMMON  693718108        799,703     20,150     20,150    0       0       1      20,150        0        0
PACIFIC CENTY FINL CO     COMMON  694058108      2,114,641    144,590    144,590    0       0       1     125,275    1,250   19,540
PACIFIC CREST CAP INC     COMMON  694166109        421,326     32,101     32,101    0       0       1      30,801        0    1,300
PAINE WEBBER INC          COMMON  695629105     39,532,208    868,832    868,832    0       0       1     835,160        0   34,070
PALM HARBOR HOMES         COMMON  696639103      4,167,300    287,400    287,400    0       0       1     279,000        0    8,400
PARAVANT INC              COMMON  699376109        428,869    154,200    154,200    0       0       1     147,500        0    6,700
PARK OHIO HLDGS CORP      COMMON  700666100      1,558,538    180,700    180,700    0       0       1     177,100        0    3,600
PARKER HANNIFIN CORP      COMMON  701094104         35,586      1,039      1,039    0       0       1       1,039        0        0
PARKVALE FINL CORP        COMMON  701492100      1,867,295    108,249    108,249    0       0       1     105,849        0    2,400
PATRICK INDS INC          COMMON  703343103        725,000    116,000    116,000    0       0       1     113,300        0    2,700
PAUL HARRIS STORES INC    COMMON  703555201        343,875    131,000    131,000    0       0       1     126,800        0    4,200
PECHINEY SPONSORED AD     COMMON  705151207      3,818,817    183,987    183,987    0       0       1     171,557   14,850    5,600
PECO ENERGY CO            COMMON  693304107         80,625      2,000      2,000    0       0       1       2,000        0        0
PEDIATRIX MED GROUP       COMMON  705324101      3,439,838    295,900    295,900    0       0       1     290,800        0    5,100
PEERLESS MFG CO           COMMON  705514107        232,875     13,800     13,800    0       0       1      13,800        0        0
PENN ENGR & MFG CORP      COMMON  707389300        218,550      6,200      6,200    0       0       1       6,200        0        0
PENN ENGR & MFG CORP      COMMON  707389102        499,875     15,500     15,500    0       0       1      15,500        0        0
PENN TREATY AMERN CORP    COMMON  707874103      2,497,300    146,900    146,900    0       0       1     143,100        0    3,800
PENN VIRGINIA CORP        COMMON  707882106      3,914,108    158,948    158,948    0       0       1     143,361    1,370   15,485
PENNEY J C INC            COMMON  708160106      6,167,897    334,530    334,530    0       0       1     308,030        0   26,500
PENNFED FINL SVCS INC     COMMON  708167101      1,340,463     94,900     94,900    0       0       1      93,600        0    1,300
PEPSICO INC               COMMON  713448108      1,142,488     25,710     25,710    0       0       1      25,710        0        0
PERINI CORP               COMMON  713839108        347,550     99,300     99,300    0       0       1      97,200        0    2,100
PERSONNEL GROUP AMER INC  COMMON  715338109      1,405,611    478,506    478,506    0       0       1     467,306        0   11,200
PETROLEUM DEV CORP        COMMON  716578109        786,688    153,500    153,500    0       0       1     150,300        0    3,200
PFF BANCORP INC           COMMON  69331W104      2,901,750    159,000    159,000    0       0       1     156,400        0    2,600
PG&E CORP                 COMMON  69331C108         11,081        450        450    0       0       1         450        0        0
PHARMACEUTICAL PROD DEV   COMMON  717124101         81,900      3,900      3,900    0       0       1       3,900        0        0
PHARMACIA CORP            COMMON  71713U102     11,527,553    223,024    223,024    0       0       1     223,024        0        0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
First Of Issuer           Class     CUSIP          FMV        Shares     IDSole IDShared IDOther Manager  VSole   VShared    VNone
-----------------------------------------------------------------------------------------------------------------------------------
<S>                       <C>     <C>        <C>            <C>        <C>      <C>      <C>     <C>    <C>       <C>       <C>
PHELPS DODGE CORP         COMMON  717265102     13,971,939    375,716    375,716    0       0       1     351,216        0   24,500
PHILADELPHIA CONS HLDG C  COMMON  717528103      2,281,456    135,700    135,700    0       0       1     131,600        0    4,100
PHILIP MORRIS COS INC     COMMON  718154107         79,688      3,000      3,000    0       0       1       3,000        0        0
PHILLIPS PETE CO          COMMON  718507106         15,206        300        300    0       0       1         300        0        0
PHOENIX DUFF & PHELPS CO  PFD CV  718924202              1        170        170    0       0       1         170        0        0
PHOTRONICS INC            COMMON  719405102         55,473      1,955      1,955    0       0       1         850        0    1,105
PIER 1 IMPORTS INC        COMMON  720279108      2,602,275    266,900    266,900    0       0       1     263,400        0    3,500
PIERCING PAGODA INC       COMMON  720773100        353,800     24,400     24,400    0       0       1      24,400        0        0
PILGRIMS PRIDE CORP       COMMON  721467108      4,909,838    689,100    689,100    0       0       1     671,700        0   17,400
PILGRIMS PRIDE CORP       COMMON  721467207        629,391    115,750    115,750    0       0       1     111,300        0    4,450
PIONEER STD ELECTRS INC   COMMON  723877106      7,081,357    480,092    480,092    0       0       1     465,692        0   14,400
PITT DESMOINES INC        COMMON  724508106      1,825,900     96,100     96,100    0       0       1      93,500        0    2,600
PITTSTON CO               COMMON  725701106      7,060,478    515,834    515,834    0       0       1     511,568        0    4,266
PLAZA INVTS LTD           Common  72818P105              0          4          4                    1           4
PMI GROUP INC             COMMON  69344M101        406,125      8,550      8,550    0       0       1       8,550        0        0
PNC BANK CORP             COMMON  693475105     27,489,965    586,451    586,451    0       0       1     566,501        0   20,110
POHANG IRON & STL LTD     COMMON  730450103      5,920,376    246,704    246,704    0       0       1     232,374        0   14,780
POINT WEST CAP CORP       COMMON  730715109         28,700      8,200      8,200    0       0       1       8,200        0        0
POLARIS INDS INC          COMMON  731068102      1,254,400     39,200     39,200    0       0       1      39,200        0        0
POMEROY COMPUTER RES      COMMON  731822102      1,247,850     84,600     84,600    0       0       1      84,600        0        0
POPE & TALBOT INC         COMMON  732827100        404,368     25,273     25,273    0       0       1      19,058      410    6,602
PORTUGAL TEL.(737273102)  COMMON  737273102        478,125     42,500     42,500    0       0       1      24,000        0   18,500
POTASH CORP SASK INC      COMMON  73755L107        121,413      2,200      2,200    0       0       1       2,200        0        0
POTOMAC ELEC PWR CO       COMMON  737679100     10,025,000    401,000    401,000    0       0       1     401,000        0        0
POWELL INDS INC           COMMON  739128106        240,825     24,700     24,700    0       0       1      24,700        0        0
PPG INDS INC              COMMON  693506107     15,408,343    347,720    347,720    0       0       1     347,720        0        0
PPL CORP                  COMMON  69351T106         21,938      1,000      1,000    0       0       1       1,000        0        0
PRAXAIR INC               COMMON  74005P104      1,029,531     27,500     27,500    0       0       1      22,500        0    5,400
PRECISION CASTPARTS C     COMMON  740189105      9,692,559    214,200    214,200    0       0       1     197,450      570   16,645
PREMIER FINL BANCORP INC  COMMON  74050M105         85,800     13,200     13,200    0       0       1      13,200        0        0
PREMIUMWEAR INC           COMMON  740909106        337,050     25,200     25,200    0       0       1      25,200        0        0
PRESIDENTIAL LIFE CORP    COMMON  740884101        743,312     53,572     53,572    0       0       1      53,572        0        0
PRIME HOSPITALITY CORP    COMMON  741917108     11,284,674  1,195,727  1,195,727    0       0       1   1,174,427        0   21,300
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
First Of Issuer           Class     CUSIP          FMV        Shares     IDSole IDShared IDOther Manager  VSole   VShared    VNone
-----------------------------------------------------------------------------------------------------------------------------------
<S>                       <C>     <C>        <C>            <C>        <C>      <C>      <C>     <C>    <C>       <C>       <C>
PRIME MED SVCS INC NEW    COMMON  74156D108        598,300     77,200     77,200    0       0       1      73,900        0    3,300
PRIMESOURCE CORP          COMMON  741593107        465,244     91,900     91,900    0       0       1      89,800        0    2,100
PRINTRONIX INC            COMMON  742578107        609,000     46,400     46,400    0       0       1      46,400        0        0
PRIORITY HEALTHCARE CORP  COMMON  74264T201        174,384      3,114      3,114    0       0       1       3,114        0        0
PROCTER & GAMBLE CO       COMMON  742718109      3,826,800     66,840     66,840    0       0       1      62,750        0    4,530
PROFESSIONALS GROUP INC   COMMON  742954100      3,844,581    157,323    157,323    0       0       1     155,453        0    1,870
PROGRAMMING & SYS INC     COMMON  743209108         10,925      2,300      2,300    0       0       1       2,300        0        0
PROMEDCO MGMT CO          COMMON  74342L105        470,203    429,900    429,900    0       0       1     421,700        0    8,200
PROVIDENCE & WORCESTER R  COMMON  743737108         22,875      3,000      3,000    0       0       1       3,000        0        0
PROVIDENT BANKSHARES COR  COMMON  743859100      2,113,763    156,575    156,575    0       0       1     156,575        0        0
PROVIDENT FINL GROUP INC  COMMON  743866105      1,135,856     47,700     47,700    0       0       1      47,700        0        0
PROVIDENT FINL HLDGS INC  COMMON  743868101        115,681      8,300      8,300    0       0       1       8,300        0        0
PSC INC                   COMMON  69361E107      1,893,938    233,100    233,100    0       0       1     228,500        0    4,600
PT TELEKOMUNIKIASI IN     COMMON  715684106      4,272,289    615,903    615,903    0       0       1     597,448        0   19,425
PUBLIC STORAGE INC        COMMON  74460D109        660,938     28,200     28,200    0       0       1      28,200        0        0
PUBLIC SVC CO N MEX       COMMON  744499104     18,071,506  1,170,624  1,170,624    0       0       1   1,129,024    1,100   41,520
PUBLIC SVC ENTERPRISE GR  COMMON  744573106          8,656        250        250    0       0       1         250        0        0
PULTE CORP                COMMON  745867101     17,369,200    803,200    803,200    0       0       1     785,000        0   18,200
Q E P INC                 COMMON  74727K102        454,750     53,500     53,500    0       0       1      52,400        0    1,100
QUAKER CHEM CORP          COMMON  747316107      3,235,225    186,200    186,200    0       0       1     183,200        0    3,000
QUAKER CITY BANCORP INC   COMMON  74731K106        275,213     17,900     17,900    0       0       1      17,900        0        0
QUANEX CORP               COMMON  747620102      4,467,156    300,313    300,313    0       0       1     292,713        0    7,600
QUANTUM CORP DSS          COMMON  747906204      4,178,219    431,300    431,300    0       0       1     394,400        0   36,900
QUEST ED CORP             COMMON  74835F102        623,156     34,500     34,500    0       0       1      34,500        0        0
QUESTAR CORP              COMMON  748356102         38,750      2,000      2,000    0       0       1       2,000        0        0
QUINTILES TRANSNATION     COMMON  748767100     15,410,163  1,090,985  1,090,985    0       0       1     999,665        0   91,795
QUIPP INC                 COMMON  748802105        112,100      5,900      5,900    0       0       1       5,900        0        0
QUORUM HEALTH GROUP INC   COMMON  749084109      2,050,125    198,800    198,800    0       0       1     198,800        0        0
R & B FALCON CORP         COMMON  74912E101      1,039,106     44,100     44,100    0       0       1      44,100        0        0
R & B INC                 COMMON  749124103        430,100    156,400    156,400    0       0       1     153,100        0    3,300
R G S ENERGY GROUP INC    COMMON  74956K104     15,417,025    692,900    692,900    0       0       1     678,800        0   14,100
R H PHILLIPS INC          COMMON  749573101        110,188     41,000     41,000    0       0       1      41,000        0        0
RADIOLOGIX INC            COMMON  75040K109      1,163,869    326,700    326,700    0       0       1     318,600        0    8,100
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
First Of Issuer           Class     CUSIP          FMV        Shares     IDSole IDShared IDOther Manager  VSole   VShared    VNone
-----------------------------------------------------------------------------------------------------------------------------------
<S>                       <C>     <C>        <C>            <C>        <C>      <C>      <C>     <C>    <C>       <C>       <C>
RAILWORKS CORP            COMMON  750789109      1,094,438    134,700    134,700    0       0       1     134,700        0        0
RAINFOREST CAFE INC       COMMON  75086K104      1,305,359    439,700    439,700    0       0       1     427,400        0   12,300
RAVEN INDS INC            COMMON  754212108        803,600     57,400     57,400    0       0       1      55,800        0    1,600
RAYMOND JAMES FINANCIAL   COMMON  754730109      6,348,285    282,146    282,146    0       0       1     274,746        0    7,400
RAYTEL MED CORP           COMMON  755107109        307,057    175,461    175,461    0       0       1     171,361        0    4,100
RAYTHEON CO               COMMON  755111408         60,638      3,150      3,150    0       0       1       3,150        0        0
RCM TECHNOLOGIES INC      COMMON  749360400        157,088     21,300     21,300    0       0       1      17,500        0    3,800
RDO EQUIPMENT CO          COMMON  749413100      1,060,950    192,900    192,900    0       0       1     187,800        0    5,100
REEBOK INTL LTD           COMMON  758110100        612,000     38,400     38,400    0       0       1      38,400        0        0
REEDS JEWELERS INC        COMMON  758341101         27,961     12,782     12,782    0       0       1      12,782        0        0
REFAC                     COMMON  758653109        251,625     73,200     73,200    0       0       1      72,000        0    1,200
REGAL BELOIT CORP         COMMON  758750103      4,600,300    286,400    286,400    0       0       1     282,100        0    4,300
REGIONS FINL CORP         COMMON  758940100        714,506     35,950     35,950    0       0       1      35,950        0        0
REHABCARE GROUP INC       COMMON  759148109        942,850     34,600     34,600    0       0       1      34,600        0        0
REHABILICARE INC          COMMON  758944102         32,625     11,600     11,600    0       0       1      11,600        0        0
RELIANCE GROUP HOLDINGS   COMMON  759464100        409,200    545,600    545,600    0       0       1     521,800        0   23,800
RELIANCE STEEL & ALUMINU  COMMON  759509102      1,276,307     66,735     66,735    0       0       1      66,735        0        0
RELIANT ENERGY INC        COMMON  75952J108          8,869        300        300    0       0       1         300        0        0
RELIASTAR FINL CORP       COMMON  75952U103          5,244        100        100    0       0       1         100        0        0
REMEDYTEMP INC            COMMON  759549108        966,525     78,900     78,900    0       0       1      76,400        0    2,500
RENAISSANCE RE HLDGS LTD  COMMON  G7496G103      8,248,124    189,340    189,340    0       0       1     177,440        0   11,900
REPSOL ADS                COMMON  76026T205        296,296     14,955     14,955    0       0       1         700   20,510    4,700
REPUBLIC BANCORP INC      COMMON  760282103      1,457,822    163,113    163,113    0       0       1     154,613        0    8,500
REPUBLIC GROUP INC        COMMON  760473108      1,557,990    173,110    173,110    0       0       1     168,490        0    4,620
REPUBLIC SECURITY FINL C  COMMON  760758102      2,220,000    444,000    444,000    0       0       1     437,800        0    6,200
REPUBLIC SVCS INC         COMMON  760759100        168,000     10,500     10,500    0       0       1      10,500        0        0
RESORTQUEST INTL INC      COMMON  761183102         86,613     16,900     16,900    0       0       1      16,900        0        0
RESOURCE BANCSHARES MTG   COMMON  761197102      1,180,607    281,936    281,936    0       0       1     270,836        0   11,100
REUTERS GROUP PLC         COMMON  76132M102      1,031,355     10,320     10,320    0       0       1      10,320        0        0
REX STORES CORP           COMMON  761624105        202,819      8,700      8,700    0       0       1       8,700        0        0
REXHALL INDS INC          COMMON  761684109        128,334     25,350     25,350    0       0       1      24,090        0    1,260
RICHTON INTL CORP         COMMON  765516109         95,400      4,800      4,800    0       0       1       4,800        0        0
RIGGS NATL CORP WASH DC   COMMON  766570105        800,425     63,400     63,400    0       0       1      63,400        0        0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
First Of Issuer           Class     CUSIP          FMV        Shares     IDSole IDShared IDOther Manager  VSole   VShared    VNone
-----------------------------------------------------------------------------------------------------------------------------------
<S>                       <C>     <C>        <C>            <C>        <C>      <C>      <C>     <C>    <C>       <C>       <C>
RIGHT MGMT CONSULTANTS I  COMMON  766573109        933,450     88,900     88,900    0       0       1      86,700        0    2,200
RIO TINTO LTD ADR SPO     COMMON  767204100      3,913,116     59,938     59,938    0       0       1      56,103    5,310    1,670
RIVIERA TOOL CO           COMMON  769648106         59,469     17,300     17,300    0       0       1      17,300        0        0
RLI CORP                  COMMON  749607107        788,200     22,682     22,682    0       0       1      17,432        0    5,250
ROADWAY EXPRESS INC DEL   COMMON  769742107      7,611,680    324,765    324,765    0       0       1     315,265        0    9,500
ROANOKE ELEC STL CORP     COMMON  769841107      1,597,813    127,825    127,825    0       0       1     124,075        0    3,750
ROCK-TENN CO              COMMON  772739207      2,707,985    316,261    316,261    0       0       1     300,961        0   15,300
ROCKY MTN CHOCOLATE FACT  COMMON  774678403          3,886        818        818    0       0       1         485        0      333
ROHM & HAAS CO            COMMON  775371107     11,747,083    340,495    340,495    0       0       1     309,430        0   31,760
ROLLINS TRUCK LEASING CO  COMMON  775741101      4,001,821    576,839    576,839    0       0       1     555,939        0   20,900
ROUGE INDS INC DEL        COMMON  779088103         87,600     29,200     29,200    0       0       1      29,200        0        0
ROWE COS                  COMMON  779528108        893,459    234,350    234,350    0       0       1     228,750        0    5,600
ROYAL APPLIANCE MFG CO    COMMON  780076105      1,442,919    253,700    253,700    0       0       1     246,700        0    7,000
RTI INTL METALS INC       COMMON  74973W107         87,588      7,700      7,700    0       0       1       7,700        0        0
RURAL / METRO CORP        COMMON  781748108        486,530    299,403    299,403    0       0       1     292,203        0    7,200
RUSH ENTERPISES INC       COMMON  781846100        628,006    112,900    112,900    0       0       1     110,300        0    2,600
RUSS BERRIE & CO          COMMON  782233100      2,703,720    140,453    140,453    0       0       1     140,453        0        0
RYANS FAMILY STEAK HOUSE  COMMON  783519101      7,273,690    862,067    862,067    0       0       1     840,067        0   22,000
RYERSON TULL INC NEW      COMMON  78375P107      2,319,850    223,600    223,600    0       0       1     217,100        0    6,500
RYLAND GROUP INC          COMMON  783764103      6,907,425    312,200    312,200    0       0       1     304,800        0    7,400
S&K FAMOUS BRANDS INC     COMMON  783774102        536,250     78,000     78,000    0       0       1      75,800        0    2,200
SABRE HLDGS CORP CL A     COMMON  785905100     19,483,277    683,623    683,623    0       0       1     622,761        0   61,758
SAFECO CORP               COMMON  786429100          2,981        150        150    0       0       1         150        0        0
SAKS INC                  COMMON  79377W108        262,500     25,000     25,000    0       0       1      25,000        0        0
SAKURA BK LTD ADR         COMMON  793774100      4,625,904     66,771     66,771    0       0       1      61,591        0    5,780
SAN PAOLO-MII S P A       COMMON  799175104        416,541     11,775     11,775    0       0       1           0   23,550        0
SANDERSON FARMS INC       COMMON  800013104        677,600     84,700     84,700    0       0       1      84,700        0        0
SANTA FE SNYDER CORPO     COMMON  80218K105      4,655,930    409,312    409,312    0       0       1     345,485    3,350   63,085
SAP ADR (803054204)       COMMON  803054204        722,368     15,390     15,390    0       0       1      10,240        0    5,150
SAPPI LTD ADR SPON NE     COMMON  803069202     27,877,303  3,780,021  3,780,021    0       0       1   3,579,271        0  201,640
SARA LEE CORP             COMMON  803111103     54,971,259  2,847,965  2,847,965    0       0       1   2,648,770        0  199,310
SAUCONY INC               COMMON  804120103        239,850     23,400     23,400    0       0       1      23,400        0        0
SAVOIR TECHNOLOGY GROUP   COMMON  80533W107        372,194     52,700     52,700    0       0       1      52,700        0        0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
First Of Issuer           Class     CUSIP          FMV        Shares     IDSole IDShared IDOther Manager  VSole   VShared    VNone
-----------------------------------------------------------------------------------------------------------------------------------
<S>                       <C>     <C>        <C>            <C>        <C>      <C>      <C>     <C>    <C>       <C>       <C>
SBC COMMUNICATIONS, I     COMMON  78387G103      6,295,536    145,557    145,557    0       0       1     120,377        0   26,113
SCANSOFT INC              COMMON  80603P107        132,750     47,200     47,200    0       0       1      47,200        0        0
SCHEID VINEYARDS INC      COMMON  806403101         70,553     21,100     21,100    0       0       1      21,100        0        0
SCHLOTZSKYS INC           COMMON  806832101        634,725    111,600    111,600    0       0       1     108,800        0    2,800
SCHUFF STL CO             COMMON  808156103        268,450     82,600     82,600    0       0       1      80,300        0    2,300
SCHULER HOMES INC         COMMON  808188106        414,050     67,600     67,600    0       0       1      67,600        0        0
SCHULMAN A INC            COMMON  808194104      6,870,667    569,589    569,589    0       0       1     553,789        0   15,800
SCHULTZ SAV O STORES INC  COMMON  808196109        216,319     20,850     20,850    0       0       1      20,850        0        0
SCHWEITZER-MAUDUIT INTL   COMMON  808541106      4,515,000    361,200    361,200    0       0       1     353,700        0    7,500
SCIENTIFIC GAMES HLDGS C  COMMON  808747109      3,451,031    140,500    140,500    0       0       1     140,500        0        0
SCOR ADR (80917Q106)      COMMON  80917Q106        229,888      5,300      5,300    0       0       1         800        0    4,500
SCORE BRD INC             COMMON  809173206              1         63         63    0       0       1          63        0        0
SCOTTISH PWR PLC          COMMON  81013T705        196,847      5,887      5,887    0       0       1       5,887        0        0
SCPIE HLDGS INC           COMMON  78402P104        830,250     40,500     40,500    0       0       1      39,400        0    1,100
SEAGATE TECHNOLOGY        COMMON  811804103     15,953,300    290,060    290,060    0       0       1     271,805        0   18,395
SEARS ROEBUCK & CO        COMMON  812387108     19,131,626    586,410    586,410    0       0       1     586,410        0        0
SEGA ENTERPRISES LTD      COMMON  815793104        174,963     45,445     45,445    0       0       1           0   90,890        0
SEITEL INC                COMMON  816074306        153,563     18,900     18,900    0       0       1      18,900        0        0
SELAS CORP AMER           COMMON  816119101         59,000      8,000      8,000    0       0       1       8,000        0        0
SELECTIVE INS GROUP I     COMMON  816300107      8,155,351    429,229    429,229    0       0       1     414,704    1,400   14,775
SEMPRA ENERGY COM         COMMON  816851109      5,304,874    311,607    311,607    0       0       1     278,617        0   33,875
SENIOR HSG PPTYS TR S     COMMON  81721M109      2,090,984    280,802    280,802    0       0       1     234,204    2,910   45,270
SEROLOGICALS CORP         COMMON  817523103        177,000     35,400     35,400    0       0       1      35,400        0        0
SERVICE CORP INTL COM     COMMON  817565104      6,783,734  2,128,230  2,128,230    0       0       1   2,107,230        0   21,800
SHANDONG HUANENG PWR      COMMON  819419102      2,398,322    572,721    572,721    0       0       1     554,542        0   18,370
SHERWIN WILLIAMS CO       COMMON  824348106          4,238        200        200    0       0       1         200        0        0
SHILOH INDS INC           COMMON  824543102        694,238     72,600     72,600    0       0       1      68,300        0    4,300
SHOE CARNIVAL INC         COMMON  824889109        733,125    117,300    117,300    0       0       1     115,300        0    2,000
SHOE PAVILION INC         COMMON  824894109        159,934     83,900     83,900    0       0       1      83,900        0        0
SHOPKO STORES INC         COMMON  824911101      8,151,825    530,200    530,200    0       0       1     517,400        0   12,800
SIERRA HEALTH SVCS INC    COMMON  826322109      1,749,867    548,978    548,978    0       0       1     536,178        0   12,800
SIFCO INDS INC            COMMON  826546103        449,375     71,900     71,900    0       0       1      69,700        0    2,200
SIGMATRON INTL INC        COMMON  82661L101          7,500      2,000      2,000    0       0       1       2,000        0        0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
First Of Issuer           Class     CUSIP          FMV        Shares     IDSole IDShared IDOther Manager  VSole   VShared    VNone
-----------------------------------------------------------------------------------------------------------------------------------
<S>                       <C>     <C>        <C>            <C>        <C>      <C>      <C>     <C>    <C>       <C>       <C>
SILGAN HOLDINGS INC       COMMON  827048109      3,608,056    367,700    367,700    0       0       1     358,900        0    8,800
SILICON VY GROUP INC      COMMON  827066101      3,159,553    122,108    122,108    0       0       1     105,456      910   16,495
SILVERLEAF RESORTS INC    COMMON  828395103        503,369    187,300    187,300    0       0       1     181,900        0    5,400
SIMIONE CENTRAL HOLDINGS  COMMON  828654301         32,346     10,782     10,782    0       0       1      10,169        0      613
SIMPSON INDS INC          COMMON  829060102      3,897,892    517,563    517,563    0       0       1     483,137    1,540   33,944
SIZZLER INTL INC          COMMON  830139101      1,179,006    460,100    460,100    0       0       1     448,000        0   12,100
SK TELECOM LTD ADR SP     COMMON  78440P108      2,308,647     63,577     63,577    0       0       1      29,657   31,040   19,260
SKYLINE CORP              COMMON  830830105      3,450,750    160,500    160,500    0       0       1     156,100        0    4,400
SLI INC                   COMMON  78442T108        655,963     54,100     54,100    0       0       1      54,100        0        0
SLM HLDG CORP COM         COMMON  78442A109     18,096,913    483,390    483,390    0       0       1     443,515        0   40,625
SMEDVIG ASA ADR           COMMON  83169H105      6,644,325    368,122    368,122    0       0       1     316,262   30,120   37,374
SMITH & NEPHEW ASSOC      COMMON  G82343107      1,533,852    415,678    415,678    0       0       1     410,271        0    6,085
SMITH & NEPHEW P L C      COMMON  83175M106      5,319,503    147,155    147,155    0       0       1     126,485        0   21,105
SMITH A O                 COMMON  831865209      4,077,494    194,746    194,746    0       0       1     188,046        0    6,700
SMITHFIELD COS INC        COMMON  832245104         23,125      3,700      3,700    0       0       1       3,700        0        0
SMITHWAY MTR XPRESS CORP  COMMON  832653109        173,094     95,500     95,500    0       0       1      93,200        0    2,300
SMURFIT-STONE CONTAINER   COMMON  832727101      7,062,710    548,560    548,560    0       0       1     496,760        0   51,800
SOCIETE GENERALE FRAN     COMMON  83364L109        941,520     78,005     78,005    0       0       1         865   28,280   63,865
SOFTWARE SPECTRUM INC     COMMON  833960107        554,000     32,000     32,000    0       0       1      32,000        0        0
SOLA INTL INC             COMMON  834092108      1,653,113    339,100    339,100    0       0       1     331,000        0    8,100
SOLUTIA INC COM           COMMON  834376105     12,126,973    881,960    881,960    0       0       1     815,110    1,300   66,425
SONY CORP                 COMMON  835699307      1,113,831     11,810     11,810    0       0       1       1,480    6,740    7,000
SOS STAFFING SVCS INC     COMMON  78462X104        727,038    237,400    237,400    0       0       1     231,800        0    5,600
SOUTHERN CO               COMMON  842587107         18,650        800        800    0       0       1         800        0        0
SOUTHERN ENERGY HOMES IN  COMMON  842814105         13,800     13,800     13,800    0       0       1      13,800        0        0
SOUTHTRUST CORP           COMMON  844730101          4,525        200        200    0       0       1         200        0        0
SOUTHWEST AIRLS CO        COMMON  844741108         11,363        600        600    0       0       1         600        0        0
SOUTHWEST BANCORP INC OK  COMMON  844767103        304,763     18,900     18,900    0       0       1      17,400        0    1,500
SOVEREIGN BANCORP INC     COMMON  845905108      1,522,266    216,500    216,500    0       0       1     216,500        0        0
SPECIALTY CATALOG CORP    COMMON  84748Q103        130,781     46,500     46,500    0       0       1      44,200        0    2,300
SPECIALTY EQUIP COS INC   COMMON  847497203      5,807,463    214,100    214,100    0       0       1     209,400        0    4,700
SPEIZMAN INDS INC         COMMON  847805108         37,613     11,800     11,800    0       0       1      11,800        0        0
SPIEGEL INC               COMMON  848457107      1,478,150    173,900    173,900    0       0       1     173,900        0        0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
First Of Issuer           Class     CUSIP          FMV        Shares     IDSole IDShared IDOther Manager  VSole   VShared    VNone
-----------------------------------------------------------------------------------------------------------------------------------
<S>                       <C>     <C>        <C>            <C>        <C>      <C>      <C>     <C>    <C>       <C>       <C>
SPLASH TECHNOLOGY HLDGS   COMMON  848623104         58,275      7,400      7,400    0       0       1       7,400        0        0
SPORT CHALET INC          COMMON  849163100         34,688      7,500      7,500    0       0       1       7,500        0        0
SPORT SUPPLY GROUP INC    COMMON  848915104         34,225      7,400      7,400    0       0       1       7,400        0        0
SPORT-HALEY INC           COMMON  848925103         49,500     12,000     12,000    0       0       1      12,000        0        0
SPRINGS INDS INC          COMMON  851783100      2,304,000     72,000     72,000    0       0       1      72,000        0        0
SPRINT CORP               COMMON  852061100         51,000      1,000      1,000    0       0       1       1,000        0        0
SPRINT CORP               COMMON  852061506         29,750        500        500    0       0       1         500        0        0
SPS TECHNOLOGIES INC      COMMON  784626103      6,726,038    163,800    163,800    0       0       1     160,200        0    3,600
ST FRANCIS CAP CORP       COMMON  789374105        296,450     19,600     19,600    0       0       1      17,000        0    2,600
ST JOSEPH LT & PWR CO     COMMON  790654107         25,200      1,200      1,200    0       0       1       1,200        0        0
ST PAUL COS INC           COMMON  792860108        940,144     27,550     27,550    0       0       1      27,550        0        0
STAFF LEASING INC         COMMON  852381102        781,256    219,300    219,300    0       0       1     212,100        0    7,200
STANDARD AUTOMOTIVE CORP  COMMON  853097103        253,150     33,200     33,200    0       0       1      31,900        0    1,300
STANDARD COML CORP        COMMON  853258101      1,159,788    254,200    254,200    0       0       1     248,800        0    5,400
STANDARD MANAGEMENT CORP  COMMON  853612109        484,144    135,900    135,900    0       0       1     132,800        0    3,100
STANDARD MTR PRODS INC    COMMON  853666105      1,042,950    122,700    122,700    0       0       1     118,400        0    4,300
STANDARD PAC CORP NEW     COMMON  85375C101      6,285,230    628,523    628,523    0       0       1     616,023        0   12,500
STANDARD REGISTER CO      COMMON  853887107      7,331,426    514,486    514,486    0       0       1     502,686        0   11,800
STANDEX INTL CORP         COMMON  854231107      3,838,575    241,800    241,800    0       0       1     235,800        0    6,000
STANLEY FURNITURE INC     COMMON  854305208        888,800     40,400     40,400    0       0       1      37,400        0    3,000
STAR BUFFET INC           COMMON  855086104         44,450     12,700     12,700    0       0       1      12,700        0        0
STARRETT L S CO           COMMON  855668109      2,359,000    134,800    134,800    0       0       1     131,400        0    3,400
STATE AUTO FINL CORP      COMMON  855707105      3,898,586    328,302    328,302    0       0       1     320,802        0    7,500
STEEL DYNAMICS INC        COMMON  858119100        748,563     82,600     82,600    0       0       1      82,600        0        0
STEEL TECHNOLOGIES INC    COMMON  858147101      1,648,013    231,300    231,300    0       0       1     227,200        0    4,100
STEELCASE INC CL A        COMMON  858155203      9,960,810    585,930    585,930    0       0       1     532,850        0   53,550
STEIN MART INC            COMMON  858375108        548,375     53,500     53,500    0       0       1      53,500        0        0
STEINWAY MUSICAL INSTRS   COMMON  858495104        414,150     25,100     25,100    0       0       1      21,800        0    3,300
STEPAN CO                 COMMON  858586100      3,945,525    169,700    169,700    0       0       1     165,800        0    3,900
STEPHAN CO                COMMON  858603103         11,700      2,600      2,600    0       0       1       2,600        0        0
STERILE RECOVERIES INC    COMMON  859151102        324,725     41,900     41,900    0       0       1      40,000        0    1,900
STERIS CORP               COMMON  859152100      2,890,028    325,630    325,630    0       0       1     309,840        0   16,460
STERLING BANCORP          COMMON  859158107      1,320,323     83,830     83,830    0       0       1      80,830        0    3,000
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
First Of Issuer           Class     CUSIP          FMV        Shares     IDSole IDShared IDOther Manager  VSole   VShared    VNone
-----------------------------------------------------------------------------------------------------------------------------------
<S>                       <C>     <C>        <C>            <C>        <C>      <C>      <C>     <C>    <C>       <C>       <C>
STERLING FINL CORP WASH   COMMON  859319105      1,749,150    152,100    152,100    0       0       1     148,200        0    3,900
STEWART ENTERPRISES INC   COMMON  860370105      6,524,691  1,847,700  1,847,700    0       0       1   1,800,600        0   47,100
STEWART INFORMATION SVCS  COMMON  860372101      2,824,088    193,100    193,100    0       0       1     187,700        0    5,400
STIFEL FINL CORP          COMMON  860630102        661,238     62,975     62,975    0       0       1      59,720        0    3,255
STMICROELECTRONICS N      COMMON  861012102        270,550      4,215      4,215    0       0       1           0    8,430        0
STONERIDGE INC COM        COMMON  86183P102        856,489     97,883     97,883    0       0       1      78,806    1,180   18,925
STORAGE TECHNOLOGY CO     COMMON  862111200     11,622,965  1,062,665  1,062,665    0       0       1   1,037,020        0   25,720
STRATTEC SEC CORP         COMMON  863111100      1,056,250     32,500     32,500    0       0       1      30,200        0    2,300
STUDENT LN CORP           COMMON  863902102      2,106,804     50,162     50,162    0       0       1      44,562        0    5,600
STURM RUGER & CO INC      COMMON  864159108      3,866,838    435,700    435,700    0       0       1     424,400        0   11,300
SUBURBAN LODGES AMER INC  COMMON  864444104      1,139,775    200,400    200,400    0       0       1     192,900        0    7,500
SUMMA INDS                COMMON  86562T105        783,750     66,000     66,000    0       0       1      64,200        0    1,800
SUMMIT BANCORP            COMMON  866005101          4,925        200        200    0       0       1         200        0        0
SUMMIT BK CORP GA         COMMON  866013105        132,388      8,900      8,900    0       0       1       8,900        0        0
SUNOCO INC                COMMON  86764P109        554,603     18,840     18,840    0       0       1      18,840        0        0
SUNTRUST BANKS INC        COMMON  867914103        324,381      7,100      7,100    0       0       1       7,750        0        0
SUPERIOR TELECOM INC      COMMON  868365107      3,712,650    373,600    373,600    0       0       1     363,051        0   10,549
SUPERIOR UNIFORM GROUP I  COMMON  868358102        414,394     47,700     47,700    0       0       1      43,900        0    3,800
SUPREMA SPECIALTIES INC   COMMON  86859F107        483,750     51,600     51,600    0       0       1      49,500        0    2,100
SUPREME INDS INC          COMMON  868607102        993,632    220,807    220,807    0       0       1     215,641        0    5,166
SWISSCOM ADR SPONSORE     COMMON  871013108      4,243,535    120,435    120,435    0       0       1     106,975        0   14,040
SYLVAN INC                COMMON  871371100        776,075     83,900     83,900    0       0       1      81,100        0    2,800
SYMANTEC CORP             COMMON  871503108     14,934,107    276,876    276,876    0       0       1     246,213      410   31,225
SYMS CORP                 COMMON  871551107         62,213     15,800     15,800    0       0       1      15,800        0        0
SYNOPSYS INC              COMMON  871607107     25,765,418    745,470    745,470    0       0       1     698,815        0   46,755
SYSTEMAX INC              COMMON  871851101      2,633,063    679,500    679,500    0       0       1     664,400        0   15,100
TANDY BRANDS ACCESSORIES  COMMON  875378101        758,363     96,300     96,300    0       0       1      94,100        0    2,200
TARRANT APPAREL GROUP     COMMON  876289109      1,278,956    143,100    143,100    0       0       1     136,500        0    6,600
TB WOODS CORP             COMMON  872226105        808,213     77,900     77,900    0       0       1      76,200        0    1,700
TBC CORP                  COMMON  872180104      2,316,200    500,800    500,800    0       0       1     489,900        0   10,900
TECH OPS SEVCON INC       COMMON  878293109        230,125     26,300     26,300    0       0       1      26,300        0        0
TECUMSEH PRODS CO         COMMON  878895200     10,826,156    283,500    283,500    0       0       1     276,400        0    7,100
TEEKAY SHIPPING MARSHALL  COMMON  Y8564W103        802,150     24,400     24,400    0       0       1      24,400        0        0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
First Of Issuer           Class     CUSIP          FMV        Shares     IDSole IDShared IDOther Manager  VSole   VShared    VNone
-----------------------------------------------------------------------------------------------------------------------------------
<S>                       <C>     <C>        <C>            <C>        <C>      <C>      <C>     <C>    <C>       <C>       <C>
TELE CENTRO SUL PARTI     COMMON  879239101      4,651,280     63,610     63,610    0       0       1      58,156        0    5,530
TELECOM CO NZD(879278208  COMMON  879278208        357,188     12,700     12,700    0       0       1       7,400        0    5,300
TELECOMUNICACOE           COMMON  87929A102        927,257     50,122     50,122    0       0       1      17,322        0   33,265
TELEGLOBE INC             COMMON  87941V100      7,913,118    375,691    375,691    0       0       1     341,017        0   35,325
TELEPHONE & DATA SYS INC  COMMON  879433100        902,250      9,000      9,000    0       0       1       9,000        0        0
TEMPLE INLAND INC         COMMON  879868107        407,400      9,700      9,700    0       0       1       9,700        0        0
TENET HEALTHCARE CORP     COMMON  88033G100      9,701,100    359,300    359,300    0       0       1     349,300        0   10,000
TENNANT CO                COMMON  880345103         93,750      2,500      2,500    0       0       1       2,500        0        0
TERADYNE INC              COMMON  880770102        220,500      3,000      3,000    0       0       1       3,000        0        0
TEREX CORP NEW            COMMON  880779103      4,635,825    328,200    328,200    0       0       1     321,600        0    6,600
TESCO PLC-ADR             COMMON  881575302        720,369     77,210     77,210    0       0       1         210        0   77,210
TESORO PETROLEUM          COMMON  881609101      2,615,643    258,334    258,334    0       0       1     234,252    1,570   23,765
TEXACO INC                COMMON  881694103     40,991,570    769,717    769,717    0       0       1     725,937        0   44,735
TEXAS INDS INC            COMMON  882491103     10,616,847    367,683    367,683    0       0       1     357,983        0    9,700
TEXAS INSTRS INC          COMMON  882508104        103,031      1,500      1,500    0       0       1       1,500        0        0
TF FINL CORP              COMMON  872391107        159,413     11,700     11,700    0       0       1      10,700        0    1,000
TFC ENTERPRISES INC       COMMON  872388103        261,000    130,500    130,500    0       0       1     128,300        0    2,200
THERMWOOD CORP            COMMON  883672305          7,313      1,300      1,300    0       0       1       1,300        0        0
THOMAS GROUP INC          COMMON  884402108        552,781     66,500     66,500    0       0       1      64,900        0    1,600
THOMAS INDS INC           COMMON  884425109        399,738     22,600     22,600    0       0       1      22,600        0        0
THOR INDS INC             COMMON  885160101      1,306,200     62,200     62,200    0       0       1      62,200        0        0
THREE RIVS BANCORP INC    COMMON  88562Q107        784,875    119,600    119,600    0       0       1     116,800        0    2,800
TIDEWATER INC             COMMON  886423102     18,639,900    517,775    517,775    0       0       1     473,775        0   44,000
TIMBERLAND BANCORP INC    COMMON  887098101        243,281     22,500     22,500    0       0       1      22,500        0        0
TJX COS INC NEW           COMMON  872540109        405,938     21,650     21,650    0       0       1      21,650        0        0
TODDLERWATCH.COM   RST    COMMON  889043923              0     40,000     40,000                    1      40,000
TODHUNTER INTL INC DEL    COMMON  889050100        315,000     40,000     40,000    0       0       1      37,700        0    2,300
TOLL BROTHERS INC         COMMON  889478103     17,034,578    830,955    830,955    0       0       1     813,855        0   17,100
TORCHMARK CORP            COMMON  891027104      1,201,047     48,650     48,650    0       0       1      48,650        0        0
TORO CO                   COMMON  891092108      2,045,135     62,091     62,091    0       0       1      52,621      740    9,540
TOSCO CORP                COMMON  891490302     11,964,863    422,600    422,600    0       0       1     385,200        0   37,400
TOTAL RENAL CARE HLDGS I  COMMON  89151A107        651,600    108,600    108,600    0       0       1     108,600        0        0
TOWER AUTOMOTIVE INC      COMMON  891707101      2,108,750    168,700    168,700    0       0       1     168,700        0        0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
First Of Issuer           Class     CUSIP          FMV        Shares     IDSole IDShared IDOther Manager  VSole   VShared    VNone
-----------------------------------------------------------------------------------------------------------------------------------
<S>                       <C>     <C>        <C>            <C>        <C>      <C>      <C>     <C>    <C>       <C>       <C>
TOYS R US INC             COMMON  892335100        535,900     36,800     36,800    0       0       1      35,000        0    1,800
TRACTOR SUPPLY CO         COMMON  892356106      2,053,750    124,000    124,000    0       0       1     121,100        0    2,900
TRAMMELL CROW CO          COMMON  89288R106      6,279,075    584,100    584,100    0       0       1     569,100        0   15,000
TRANS LUX CORP            COMMON  893247106         24,500      5,600      5,600    0       0       1       5,600        0        0
TRANSOCEAN SEDCO FOREX I  COMMON  G90078109     10,384,509    194,330    194,330    0       0       1     176,330        0   18,000
TRANSPORT CORP OF AMER I  COMMON  89385P102        907,400    139,600    139,600    0       0       1     137,400        0    2,200
TRANSPORTATION COMPONENT  COMMON  893878108        104,625     54,000     54,000    0       0       1      54,000        0        0
TRANSPRO INC              COMMON  893885103         16,706      3,300      3,300    0       0       1       3,300        0        0
TRANSTECHNOLOGY CORP DEL  COMMON  893889105      1,431,100    130,100    130,100    0       0       1     127,800        0    2,300
TRAVIS BOATS & MTRS INC   COMMON  894363100        353,100     64,200     64,200    0       0       1      62,500        0    1,700
TRENWICK GROUP INC        COMMON  895290104        977,144     67,100     67,100    0       0       1      67,100        0        0
TRIARC COS INC            COMMON  895927101      1,695,067     82,685     82,685    0       0       1      67,300    1,010   15,040
TRIDENT MICROSYSTEMS      COMMON  895919108        714,834     79,426     79,426    0       0       1      59,543    1,104   19,905
TRIGON HEALTHCARE INC     COMMON  89618L100      3,294,807     63,899     63,899    0       0       1      56,709      470    7,260
TRINITY INDS INC          COMMON  896522109      9,562,650    516,900    516,900    0       0       1     499,800        0   17,100
TRITON ENERGY LTD         COMMON  G90751101        106,144      2,700      2,700    0       0       1       2,700        0        0
TRIUMPH GROUP INC NEW     COMMON  896818101      7,738,100    277,600    277,600    0       0       1     271,800        0    5,800
TRW INC                   COMMON  872649108         17,350        400        400    0       0       1         400        0        0
TUBOS DE ACERO DE MEX     COMMON  898592506      8,548,043    615,768    615,768    0       0       1     556,518   35,790   41,860
TUCKER ANTHONY SUTRO      COMMON  898647102      3,344,382    185,799    185,799    0       0       1     164,299    2,020   21,385
TUSCARORA INC             COMMON  900902107        692,188     44,300     44,300    0       0       1      40,600        0    3,700
TWIN DISC INC             COMMON  901476101         22,181      1,300      1,300    0       0       1       1,300        0        0
TWINLAB CORP              COMMON  901774109          8,925      1,400      1,400    0       0       1       1,400        0        0
TXU CORP                  COMMON  873168108      8,842,625    299,750    299,750    0       0       1     299,750        0        0
TYCO INTL LTD NEW         COMMON  902124106         86,412      1,824      1,824    0       0       1       1,824        0        0
TYSON FOODS INC           COMMON  902494103         33,688      3,850      3,850    0       0       1       3,850        0        0
U S CAN CORP              COMMON  90328W105      4,011,733    230,891    230,891    0       0       1     213,466      920   17,875
U S G CORP                COMMON  903293405      1,248,413     41,100     41,100    0       0       1      41,100        0        0
U S INDS INC NEW          COMMON  912080108      1,447,725    119,400    119,400    0       0       1     119,400        0        0
U S VISION INC            COMMON  90339M104         42,900     15,600     15,600    0       0       1      15,600        0        0
U S WEST INC NEW COM      COMMON  91273H101     46,089,833    537,489    537,489    0       0       1     512,365        0   25,385
U S XPRESS ENTERPRISES I  COMMON  90338N103      1,968,056    244,100    244,100    0       0       1     238,300        0    5,800
UCAR INTL INC             COMMON  90262K109      4,731,238    362,200    362,200    0       0       1     362,200        0        0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
First Of Issuer           Class     CUSIP          FMV        Shares     IDSole IDShared IDOther Manager  VSole   VShared    VNone
-----------------------------------------------------------------------------------------------------------------------------------
<S>                       <C>     <C>        <C>            <C>        <C>      <C>      <C>     <C>    <C>       <C>       <C>
UFP TECHNOLOGIES INC      COMMON  902673102         19,550      6,800      6,800    0       0       1       5,800        0    1,000
UGLY DUCKLING CORP        COMMON  903512101        478,838     67,800     67,800    0       0       1      65,500        0    2,300
UNIBANCO-UNIAO DE BAN     COMMON  90458E107        336,375     11,700     11,700    0       0       1           0   23,400        0
UNICO AMERN CORP          COMMON  904607108        800,400    133,400    133,400    0       0       1     130,900        0    2,500
UNICOM CORP               COMMON  904911104     17,401,341    449,790    449,790    0       0       1     419,908        0   30,270
UNIFIRST CORP MASS        COMMON  904708104      2,455,425    311,800    311,800    0       0       1     301,900        0    9,900
UNILEVER ADR(904784709)   COMMON  904784709        333,680      7,760      7,760    0       0       1       6,960        0      800
UNION ACCEP CORP          COMMON  904832102        361,213     78,100     78,100    0       0       1      77,100        0    1,000
UNION CARBIDE CORP        COMMON  905581104          7,425        150        150    0       0       1         150        0        0
UNION PAC CORP            COMMON  907818108        429,388     11,463     11,463    0       0       1       2,463        0    9,945
UNION PAC RES GROUP I     COMMON  907834105     22,254,496  1,011,568  1,011,568    0       0       1     928,768        0   83,228
UNION PACIFIC             PFD CV  907824205        464,338     12,100     12,100    0       0       1      12,100        0        0
UNION PLANTERS CORP       COMMON  908068109          4,191        150        150    0       0       1         150        0        0
UNITED ASSETS MGMT CO     COMMON  909420101      4,065,390    173,920    173,920    0       0       1     150,820    1,500   22,680
UNITED AUTO GROUP INC     COMMON  909440109      1,772,075    194,200    194,200    0       0       1     190,000        0    4,200
UNITED DOMINION RLTY      COMMON  910197102        176,605     16,055     16,055    0       0       1          55        0   16,055
UNITED INDL CORP          COMMON  910671106         12,775      1,400      1,400    0       0       1       1,400        0        0
UNITED RENTALS INC        COMMON  911363109        243,175     14,200     14,200    0       0       1      14,200        0        0
UNITED RETAIL GROUP INC   COMMON  911380103      1,397,400    164,400    164,400    0       0       1     159,900        0    4,500
UNITED SEC BANCORPORATIO  COMMON  91146A101        437,938     45,500     45,500    0       0       1      44,700        0      800
UNITEDHEALTH GROUP INC    COMMON  91324P102         51,450        600        600    0       0       1         600        0        0
UNIVERSAL CORP VA         COMMON  913456109     14,288,950    676,400    676,400    0       0       1     660,400        0   16,000
UNIVERSAL FST PRODS INC   COMMON  913543104      3,722,125    270,700    270,700    0       0       1     265,000        0    5,700
UNOCAL CORP               COMMON  915289102     13,614,375    411,000    411,000    0       0       1     373,400        0   37,600
UNUMPROVIDENT CORP        COMMON  91529Y106          5,196        259        259    0       0       1         259        0        0
UPM KYMMENE CORP SPN ADR  COMMON  915436109         68,000      2,755      2,755    0       0       1       2,530        0      225
URS CORP NEW              COMMON  903236107      2,900,550    190,200    190,200    0       0       1     184,400        0    5,800
US BANCORP DEL            COMMON  902973106         15,400        800        800    0       0       1         800        0        0
US ONCOLOGY INC           COMMON  90338W103      2,897,000    579,400    579,400    0       0       1     562,700        0   16,700
USA TRUCK INC             COMMON  902925106      1,093,925    186,200    186,200    0       0       1     182,600        0    3,600
USANA INC                 COMMON  90328M107        320,950    104,800    104,800    0       0       1     101,200        0    3,600
USBANCORP INC PA          COMMON  917292104        852,150    239,200    239,200    0       0       1     233,600        0    5,600
USEC INC                  COMMON  90333E108      5,425,125  1,173,000  1,173,000    0       0       1   1,134,800        0   38,200
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
First Of Issuer           Class     CUSIP          FMV        Shares     IDSole IDShared IDOther Manager  VSole   VShared    VNone
-----------------------------------------------------------------------------------------------------------------------------------
<S>                       <C>     <C>        <C>            <C>        <C>      <C>      <C>     <C>    <C>       <C>       <C>
USFREIGHTWAYS CORP CO     COMMON  916906100      8,729,149    355,385    355,385    0       0       1     335,125      630   20,790
UST INC                   COMMON  902911106          2,938        200        200    0       0       1         200        0        0
USX MARATHON GROUP        COMMON  902905827     44,547,293  1,777,445  1,777,445    0       0       1   1,674,050        0  103,570
USX-U S STL               COMMON  90337T101     12,965,906    698,500    698,500    0       0       1     698,500        0        0
UTAH MED PRODS INC        COMMON  917488108        924,456    135,700    135,700    0       0       1     132,100        0    3,600
V F CORP                  COMMON  918204108          3,572        150        150    0       0       1         150        0        0
VALERO ENERGY CORP NEW    COMMON  91913Y100      1,644,650     51,800     51,800    0       0       1      51,800        0        0
VALUE CITY DEPT STORES I  COMMON  920387107        161,500     17,000     17,000    0       0       1      17,000        0        0
VDI MULTIMEDIA            COMMON  917916108        304,500     43,500     43,500    0       0       1      43,500        0        0
VERIZON COMMUNICATIONS    COMMON  92343V104     28,371,668    558,360    558,360    0       0       1     538,596        0   19,764
VESTA INS GROUP INC       COMMON  925391104        617,513     99,800     99,800    0       0       1      94,100        0    5,700
VESTCOM INTL INC          COMMON  924904105         13,894      3,900      3,900    0       0       1       3,900        0        0
VIACOM INC                COMMON  925524308     17,619,769    258,402    258,402    0       0       1     228,987        0   29,725
VICON INDS INC            COMMON  925811101         50,681     15,900     15,900    0       0       1      15,900        0        0
VILLAGE SUPER MKT INC     COMMON  927107409         47,025      3,800      3,800    0       0       1       3,800        0        0
VIRCO MFG CO              COMMON  927651109        459,787     31,172     31,172    0       0       1      27,001        0    4,171
VISTEON CORP              COMMON  92839U107        174,879     14,423     14,423    0       0       1      14,423        0        0
VOLVO AKTIEBOLAGET        COMMON  928856400        369,688     16,900     16,900    0       0       1      16,900        0        0
VULCAN MATLS CO           COMMON  929160109          6,403        150        150    0       0       1         150        0        0
WABASH NATL CORP          COMMON  929566107      1,794,206    150,300    150,300    0       0       1     146,800        0    3,500
WABTEC CORP               COMMON  929740108      8,712,925    839,800    839,800    0       0       1     819,700        0   20,100
WACHOVIA CORP             COMMON  929771103         10,850        200        200    0       0       1         200        0        0
WADDELL & REED FINL INC   COMMON  930059100        226,406      6,900      6,900    0       0       1       6,900        0        0
WALLACE COMPUTER SERVICE  COMMON  932270101      5,338,425    540,600    540,600    0       0       1     523,000        0   17,600
WALTER INDS INC           COMMON  93317Q105        121,901     10,658     10,658    0       0       1      10,658        0        0
WARNACO GROUP INC         COMMON  934390105      3,695,200    476,800    476,800    0       0       1     465,900        0   10,900
WASHINGTON FED INC        COMMON  938824109     14,327,891    785,089    785,089    0       0       1     755,182    1,260   30,261
WASHINGTON HOMES INC NEW  COMMON  938864105        924,600    154,100    154,100    0       0       1     150,400        0    3,700
WASHINGTON MUT INC        COMMON  939322103      1,273,388     44,100     44,100    0       0       1      44,100        0        0
WASTE MGMT INC DEL        COMMON  94106L109      4,810,800    253,200    253,200    0       0       1     253,200        0        0
WATSCO INC                COMMON  942622200         65,000      5,200      5,200    0       0       1       5,200        0        0
WATTS INDS INC            COMMON  942749102      4,381,683    347,064    347,064    0       0       1     335,764        0   11,300
WEBB DEL CORP             COMMON  947423109      6,775,307    442,469    442,469    0       0       1     434,469        0    8,000
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
First Of Issuer           Class     CUSIP          FMV        Shares     IDSole IDShared IDOther Manager  VSole   VShared    VNone
-----------------------------------------------------------------------------------------------------------------------------------
<S>                       <C>     <C>        <C>            <C>        <C>      <C>      <C>     <C>    <C>       <C>       <C>
WEBCO INDS INC            COMMON  947621108         31,238     10,200     10,200    0       0       1      10,200        0        0
WEBSTER FINL CORP CONN    COMMON  947890109      8,484,500    382,400    382,400    0       0       1     375,800        0    6,600
WELLMAN INC               COMMON  949702104        718,725     44,400     44,400    0       0       1      44,400        0        0
WELLS FARGO & CO NEW      COMMON  949746101         34,875        900        900    0       0       1         900        0        0
WEST COAST BANCORP ORE N  COMMON  952145100        148,000     14,800     14,800    0       0       1      14,800        0        0
WESTAFF INC               COMMON  957070105      1,365,419    307,700    307,700    0       0       1     300,000        0    7,700
WESTBANK CORP             COMMON  957116106         57,688      7,100      7,100    0       0       1       7,100        0        0
WESTCOAST HOSPITALITY CO  COMMON  95750P106         93,800     13,400     13,400    0       0       1      13,400        0        0
WESTCORP INC              COMMON  957907108        149,219     12,500     12,500    0       0       1      12,500        0        0
WESTERFED FINL CORP       COMMON  957550106        453,338     31,400     31,400    0       0       1      31,400        0        0
WESTERN GAS RES INC       COMMON  958259103      1,216,992     57,952     57,952    0       0       1      48,107      670   10,205
WESTERN RES INC           COMMON  959425109        230,950     14,900     14,900    0       0       1      14,900        0        0
WESTPOINT STEVENS INC     COMMON  961238102      3,097,200    278,400    278,400    0       0       1     277,600        0      800
WESTVACO CORP COM         COMMON  961548104      5,347,514    215,510    215,510    0       0       1     199,445        0   16,535
WET SEAL INC              COMMON  961840105        252,000     19,200     19,200    0       0       1      19,200        0        0
WEYCO GROUP INC           COMMON  962149100         91,800      3,600      3,600    0       0       1       3,600        0        0
WEYERHAEUSER CO           COMMON  962166104          8,600        200        200    0       0       1         200        0        0
WHIRLPOOL CORP            COMMON  963320106        804,281     17,250     17,250    0       0       1      17,250        0        0
WHITEHALL JEWELLERS INC   COMMON  965063100      1,178,963     63,300     63,300    0       0       1      57,300        0    6,000
WICKES INC                COMMON  967446105         35,625      6,000      6,000    0       0       1       5,800        0      200
WILLIS LEASE FINANCE COR  COMMON  970646105        203,750     32,600     32,600    0       0       1      32,600        0        0
WINNEBAGO INDS INC        COMMON  974637100      4,485,663    343,400    343,400    0       0       1     335,000        0    8,400
WISCONSIN CENT TRANSN CO  COMMON  976592105      2,657,200    204,400    204,400    0       0       1     204,400        0        0
WLR FOODS INC             COMMON  929286102      1,249,213    270,100    270,100    0       0       1     262,100        0    8,000
WOLOHAN LMBR CO           COMMON  977865104        635,500     62,000     62,000    0       0       1      58,800        0    3,200
WOLTERS KLUWER N V AD     COMMON  977874205      2,502,414     93,581     93,581    0       0       1      82,426        0   11,225
WOLVERINE TUBE INC        COMMON  978093102      5,558,303    326,959    326,959    0       0       1     319,359        0    7,600
WOLVERINE WORLD WIDE INC  COMMON  978097103      1,017,125    103,000    103,000    0       0       1     103,000        0        0
WOODWARD GOVERNOR CO      COMMON  980745103      4,742,344    167,500    167,500    0       0       1     163,200        0    4,300
WORLD ACCEP CORP DEL      COMMON  981419104      2,072,700    394,800    394,800    0       0       1     386,000        0    8,800
WORLD FUEL SVCS CORP      COMMON  981475106      2,032,913    235,700    235,700    0       0       1     230,500        0    5,200
WORLDCOM INC              COMMON  98157D106     34,184,967    745,174    745,174    0       0       1     699,279        0   45,980
WSFS FINL CORP            COMMON  929328102      1,450,813    139,000    139,000    0       0       1     134,900        0    4,100
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
First Of Issuer           Class     CUSIP          FMV        Shares     IDSole IDShared IDOther Manager  VSole   VShared    VNone
-----------------------------------------------------------------------------------------------------------------------------------
<S>                       <C>     <C>        <C>            <C>        <C>      <C>      <C>     <C>    <C>       <C>       <C>
WVS FINL CORP             COMMON  929358109         11,563      1,000      1,000    0       0       1       1,000        0        0
WYNNS INTL INC            COMMON  983195108      2,761,069    121,700    121,700    0       0       1     115,500        0    6,200
XEROX CORP                COMMON  984121103        464,800     22,400     22,400    0       0       1      22,400        0        0
XL CAPITAL LTD.           COMMON  G98255105     40,822,113    754,217    754,217    0       0       1     709,711        0   44,707
XTRA CORP                 COMMON  984138107        757,200     19,200     19,200    0       0       1      19,200        0        0
XYBERNAUT CORP            COMMON  984149104          1,119        100        100    0       0       1         100        0        0
YARDVILLE NATL BANCORP    COMMON  985021104      1,073,125    101,000    101,000    0       0       1      98,800        0    2,200
YELLOW CORP               COMMON  985509108      8,155,600    552,922    552,922    0       0       1     540,922        0   12,000
YORK GROUP INC            COMMON  986632107        715,600    178,900    178,900    0       0       1     174,800        0    4,100
YORK INTL CORP NEW        COMMON  986670107      9,132,925    361,700    361,700    0       0       1     355,700        0    6,000
YORK RESH CORP            COMMON  987048105         43,556     30,300     30,300    0       0       1      30,300        0        0
ZALE CORP NEW             COMMON  988858106     11,784,901    322,874    322,874    0       0       1     297,874        0   25,000
ZENITH NATL INS CORP      COMMON  989390109      1,048,655     49,348     49,348    0       0       1      42,703      250    7,125
ZIMMERMAN SIGN CO         COMMON  989580105          2,610        870        870    0       0       1         740        0      130

                                             4,670,572,471
</TABLE>
<PAGE>

FORM 13F  Name of Reporting Manager:                        Run Date: 07/17/2000
                                 Gray Seifert               --------------------
                      For Positions Held as of 06/30/2000   S.E.C. Use Only
                                                                      |
                                                            --------------------
<TABLE>
<CAPTION>
                                                                                                                       Item 8:
                                                                                               Item 6:                 Voting
                                                                   Item 4:                   Investment               Authority
                Item 1:                     Item 2:     Item 3:  Fair Market   Item 5:       Discretion     Item 7:   (Shares)
             Name of Issuer             Title of Class   CUSIP     Value      Shares or    (a)   (b)   (c)   Other (a)   (b)   (c)
                                                                  (X $1000) Principal Amt Sole Shared Other  Mgrs. Sole Shared None
-----------------------------------------------------------------------------------------------------------------------------------
<S>                                    <C>             <C>       <C>        <C>           <C>  <C>    <C>   <C>    <C> <C>     <C>
Ampersand Group Inc.                   LTD (GS) P4     000706TD3       40            12           x                 0        12  0
Perry One Beta Inc.                    LTD (GS) P4     009218TD0        0            16           x                 0        16  0
Perry One Inc.                         LTD (GS) P4     009219TD8        0            16           x                 0        16  0
Perry One Gamma Inc.                   LTD (GS) P4     009220TD6        0            16           x                 0        16  0
Perry One Delta Inc.                   LTD (GS) P4     009221TD4        0            16           x                 0        16  0
Beaver Valley Two Omega Inc.           LTD (GS) P4     009222TD2        0            16           x                 0        16  0
Beaver Valley Two Rho Inc.             LTD (GS) P4     009233TD9        0            16           x                 0        16  0
Beaver Valley Two Sigma Inc.           LTD (GS) P4     009224TD8        0            16           x                 0        16  0
Beaver Valley Two Tau Inc.             LTD (GS) P4     009225TD5        0            16           x                 0        16  0
Beaver Valley Two Pi Inc.              LTD (GS) P4     009226TD3        0            16           x                 0        16  0
Sheldahl, Inc. Series D Convertible Pf LTD (GS) P4     009663TD7       15        15,000           x                 0    15,000  0
Hartford Life Cap Tr                   PFD QTR 30/360  416590206       43         2,000           x                 0     2,000  0
Small Blue Planet, LLC                 LTD (GS) P4     5956493         50        50,000           x                 0    50,000  0
Absorbit International Holding LP      LTD (GS) P4     5958031        146       145,799           x                 0   145,799  0
Custodian Transfer In                  Common Stock    999903149        0           220           x                 0       220  0
Rollover Contribution 1999             Common Stock    999978992        0       155,940           x                 0   155,940  0
Wind Baron Corp                        Foreign Stock   973145204        1         6,000           x                 0     6,000  0
Arbusto 81 L.P.                        LTD (GS) P4     9758104        150       150,000           x                 0   150,000  0
McNeil Real Estate Fund X              LTD (GS) P4     9758105         75        75,000           x                 0    75,000  0
Medicus Systems Corp-Restricted        Common Stock GS 9758108          1         1,981           x                 0     1,981  0
Orlando Investors Special              LTD (GS) P4     9758109        294       294,000           x                 0   294,000  0
One Qty Of Gold APR                    Personal Hld    9758118         48           100           x                 0       100  0
Brock Exploration Co.                  LTD (GS) P4     9758125        169        45,000           x                 0    45,000  0
China Telecommunications Services Inc  Common Stock GS 9758128         10        10,000           x                 0    10,000  0
Affirmative Development Company L.P.   LTD (GS) P4     9758151        200       200,000           x                 0   200,000  0
Energy Search 1979-3                   LTD (GS) P4     9758181         75        75,000           x                 0    75,000  0
Second Time Out                        LTD (GS) P4     9758235        210       210,000           x                 0   210,000  0
Emerald Green Investors                LTD (GS) P4     9758321        321       321,400           x                 0   321,400  0
Regency Fund                           LTD (GS) P4     9758329        250       250,000           x                 0   250,000  0
AEC Hanover Investors                  LTD (GS) P4     9758332        968       968,140           x                 0   968,140  0
Rockefeller & Co.                      LTD (GS) P4     9758380          1         1,000           x                 0     1,000  0
Harbor Ridge LP                        LTD (GS) P4     9758431        500       500,000           x                 0   500,000  0
Guardian Exploration                   LTD (GS) P4     9758572         50        50,000           x                 0    50,000  0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
                                                                                                                       Item 8:
                                                                                               Item 6:                 Voting
                                                                   Item 4:                   Investment               Authority
                Item 1:                     Item 2:     Item 3:  Fair Market   Item 5:       Discretion     Item 7:   (Shares)
             Name of Issuer             Title of Class   CUSIP     Value      Shares or    (a)   (b)   (c)   Other (a)   (b)   (c)
                                                                  (X $1000) Principal Amt Sole Shared Other  Mgrs. Sole Shared None
-----------------------------------------------------------------------------------------------------------------------------------
<S>                                    <C>             <C>       <C>        <C>           <C>  <C>    <C>   <C>    <C> <C>     <C>
Tackmer Corp. Restricted               Common Stock GS 9758573          3           250           x                 0       250  0
Reitrac Corp - Restricted              Common Stock GS 9758793         75        75,000           x                 0    75,000  0
Asia Pacific Industries                LTD (GS) P4     9758910         98           185           x                 0       185  0
Cumberland House Inc                   Personal Hld    9758941        427       427,000           x                 0   427,000  0
ABC Dispensing Tech Inc. 9% Pfd Ser B  PrefStockConvGS 9759008        300            24           x                 0        24  0
The Oaks Partnership                   LTD (GS) P4     9759120        100       100,010           x                 0   100,010  0
Wesco 80                               LTD (GS) P4     9759122         94        94,000           x                 0    94,000  0
The Establishment L.P.                 LTD (GS) P4     9759123        255       255,000           x                 0   255,000  0
O/G L.P.                               LTD (GS) P4     9759124        645       645,000           x                 0   645,000  0
Little Falls L.P.                      LTD (GS) P4     9759126      2,420     2,419,998           x                 0 2,419,998  0
Universal Fibers L.P.                  LTD (GS) P4     9759128        623       623,000           x                 0   623,000  0
Affirmitive Equities Company L.P.      LTD (GS) P4     9759377      7,088     7,088,100           x                 0 7,088,100  0
Patrick Henry Hotel Investors L.P.     LTD (GS) P4     9759382        200       200,000           x                 0   200,000  0
Hope Capital Associates L.P.           LTD (GS) P4     9759465        650       650,000           x                 0   650,000  0
ABC Dispensing Tech Inc 9% Pfd Ser A   PrefStockConvGS 9759511      2,363           189           x                 0       189  0
Woodsource Partners L.P.               LTD (GS) P4     9759535         90        90,000           x                 0    90,000  0
ECO Soil Systems Warrants              Common Stock    9759564          0         5,000           x                 0     5,000  0
Unapix Entertainment Warrants          Common Stock    9759684          0        55,000           x                 0    55,000  0
LBJG Enterprises L.P.                  LTD (GS) P4     9759755      1,670     1,670,000           x                 0 1,670,000  0
Southeast Mortgage Investors L.P.      LTD (GS) P4     9759768      1,850     1,850,000           x                 0 1,850,000  0
Michael Flomen, Inc.                   LTD (GS) P4     9759807         30        30,000           x                 0    30,000  0
Isle Lands Inc.                        LTD (GS) P4     9759959          1           504           x                 0       504  0
Kerry Petroleum Co.-Restricted         Common Stock GS 9760100      8,223     3,289,369           x                 0 3,289,369  0
NU CO2 Inc                             Common Stock    9760192          2           262           x                 0       262  0
ABC Dispensing Technologies Inc-Restr  Common Stock GS 9760225        550     2,116,749           x                 0 2,116,749  0
Bayou Steel Corp-Restricted            Common Stock    9760352          2         2,199           x                 0     2,199  0
AEC River Walk L.P.                    LTD (GS) P4     9760398        351       351,000           x                 0   351,000  0
ABC Dispensing Tech Inc. 9% Pfd Ser C  PrefStockConvGS 9760514        320            32           x                 0        32  0
Unapix Entertainment Inc 8% Pfd Ser C  PrefStockConvGS 9760634        165           165           x                 0       165  0
Hycor Biomedical Inc-Restricted        Common Stock    9760913          1           408           x                 0       408  0
Unapix Entertainment-Restricted        Common Stock    9761481      2,234       730,003           x                 0   730,003  0
Unapix Entertainment 8% Cum Conv. Pfd  PrefStockConvGS 9761482        306        99,996           x                 0    99,996  0
American Business Computers-Restricted Common Stock    9761585         33       100,000           x                 0   100,000  0
American Hospitality Supply Corp-Restr Common Stock    9761870          2            30           x                 0        30  0
Displaytek Corp                        LTD (GS) P4     9761873          0         8,512           x                 0     8,512  0
TVC Image Technology Inc-Restricted    Common Stock    9762607      2,995         9,390           x                 0     9,390  0
Carbon Associates                      LTD (GS) P4     9762856         50        50,000           x                 0    50,000  0
Kingston Systems Inc.                  Common Stock    9763324          3        12,453           x                 0    12,453  0
Agilent Technologies Inc               Common Stock    00846U101      193         2,621           x                 0     2,621  0
Anglo American Properties              Common Stock    AAPQ             0           277           x                 0       277  0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
                                                                                                                       Item 8:
                                                                                               Item 6:                 Voting
                                                                   Item 4:                   Investment               Authority
                Item 1:                     Item 2:     Item 3:  Fair Market   Item 5:       Discretion     Item 7:   (Shares)
             Name of Issuer             Title of Class   CUSIP     Value      Shares or    (a)   (b)   (c)   Other (a)   (b)   (c)
                                                                  (X $1000) Principal Amt Sole Shared Other  Mgrs. Sole Shared None
-----------------------------------------------------------------------------------------------------------------------------------
<S>                                    <C>             <C>       <C>        <C>           <C>  <C>    <C>   <C>    <C> <C>     <C>
ABC Dispensing Techologies Inc         Common Stock GS 000573105      376     1,709,012           x                 0 1,709,012  0
Ambac Financial Group, Inc.            Common Stock    023139108       50           905           x                 0       905  0
Albertson's Inc.                       Common Stock    013104104      111         3,331           x                 0     3,331  0
Abbott Laboratories                    Common Stock    002824100      808        18,125           x                 0    18,125  0
Aca Joe Inc                            Common Stock    003870300        0         1,169           x                 0     1,169  0
Adept Technology Inc                   Common Stock    006854103      159         3,400           x                 0     3,400  0
Allmerica Financial Corp.              Common Stock    019754100       31           600           x                 0       600  0
Aflac Corp. New                        Common Stock    001055102      186         4,045           x                 0     4,045  0
American General Corp.                 Common Stock    026351106    3,530        57,875           x                 0    57,875  0
Edwards A G Inc.                       Common Stock    281760108    1,397        35,825           x                 0    35,825  0
Amerada Hess Corp.                     Common Stock    023551104        0             4           x                 0         4  0
American Home Products Corp.           Common Stock    026609107    1,269        21,600           x                 0    21,600  0
Allied Irish Banks Plc                 ADR             019228402       73         4,100           x                 0     4,100  0
American International Group Inc.      Common Stock    026874107   23,323       198,493           x                 0   198,493  0
Apartment Investment & Mgt Co Class A  Common Stock    03748R101       77         1,774           x                 0     1,774  0
American Language Kollege              Common Stock    AMDQ            90           800           x                 0       800  0
Affiliated Managers Group              Common Stock    008252108    1,748        38,425           x                 0    38,425  0
Amgen Inc.                             Common Stock    031162100       63           900           x                 0       900  0
Ampersand Corp.                        Common Stock    AMPQ           160            48           x                 0        48  0
Alberta Energy Co Ltd                  Common Stock    012873105    2,953        72,925           x                 0    72,925  0
America Online Inc.                    Common Stock    02364J104    2,300        43,600           x                 0    43,600  0
Applied Signal Technology Inc          Common Stock    038237103    1,909       165,163           x                 0   165,163  0
Applied Power Inc  Class A             Common Stock    038225108       27           800           x                 0       800  0
Archstone Communities Trust            Common Stock    039581103        7           334           x                 0       334  0
AmSouth Bancorp                        Common Stock    032165102      213        13,500           x                 0    13,500  0
Ashton Technology Group Inc            Common Stock    045084100        6         2,000           x                 0     2,000  0
At Home Corp. Cl A                     Common Stock    045919107      645        31,100           x                 0    31,100  0
Aptargroup Inc.                        Common Stock    038336103    4,799       177,750           x                 0   177,750  0
Automatic Data Processing              Common Stock    053015103    2,523        47,100           x                 0    47,100  0
AXA Financial Inc                      Common Stock    002451102    7,445       218,982           x                 0   218,982  0
American Express Co.                   Common Stock    025816109    1,326        25,437           x                 0    25,437  0
ALZA Corp. Com                         Common Stock    022615108       16           268           x                 0       268  0
Astrazena PLC -Spons ADR               ADR             046353108       93         1,999           x                 0     1,999  0
Autozone Inc.                          Common Stock    053332102       66         3,000           x                 0     3,000  0
Bank of America Corp.                  Common Stock    060505104    1,862        43,312           x                 0    43,312  0
BB&T Corp.                             Common Stock    054937107    1,784        74,710           x                 0    74,710  0
Bell Atlantic Corp.                    Common Stock    077853109    7,124       140,193           x                 0   140,193  0
Franklin Resources                     Common Stock    354613101       39         1,269           x                 0     1,269  0
Bestfoods                              Common Stock    08658U101      292         4,216           x                 0     4,216  0
B I Incorporated                       Common Stock    055467203        1           100           x                 0       100  0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
                                                                                                                       Item 8:
                                                                                               Item 6:                 Voting
                                                                   Item 4:                   Investment               Authority
                Item 1:                     Item 2:     Item 3:  Fair Market   Item 5:       Discretion     Item 7:   (Shares)
             Name of Issuer             Title of Class   CUSIP     Value      Shares or    (a)   (b)   (c)   Other (a)   (b)   (c)
                                                                  (X $1000) Principal Amt Sole Shared Other  Mgrs. Sole Shared None
-----------------------------------------------------------------------------------------------------------------------------------
<S>                                    <C>             <C>       <C>        <C>           <C>  <C>    <C>   <C>    <C> <C>     <C>
Ben & Jerrys Homemade Inc - Cl B       Common Stock    081465205        8           200           x                 0       200  0
Ben & Jerry Homemade Inc               Common Stock    081465106       26           600           x                 0       600  0
Bank of New York Co. Inc.              Common Stock    064057102    1,251        26,900           x                 0    26,900  0
Ballard Power Systems Inc.             Common Stock    05858H104      180         2,000           x                 0     2,000  0
BellSouth Corp.                        Common Stock    079860102      100         2,340           x                 0     2,340  0
BMC Software                           Common Stock    055921100        8           226           x                 0       226  0
Biomet Inc.                            Common Stock    090613100      653        17,000           x                 0    17,000  0
Bristol-Myers Squibb Co.               Common Stock    110122108    1,183        20,312           x                 0    20,312  0
Pacific Century Financial Corp.        Common Stock    694058108    2,570       175,745           x                 0   175,745  0
BP Amoco Plc -Spons ADR                ADR             055622104    2,052        36,273           x                 0    36,273  0
Burlington Resources                   Common Stock    122014103    7,908       206,750           x                 0   206,750  0
Brocade Communications Sys Inc         Common Stock    111621108       18           100           x                 0       100  0
Brady W H Co.                          Common Stock    104674106        3           100           x                 0       100  0
BRE Properties Inc. Cl A               Common Stock    05564E106       23           800           x                 0       800  0
Berkshire Hathaway Inc. Class A        Common Stock    084670108      269             5           x                 0         5  0
Berkshire Hathaway Inc. Class B        Common Stock    084670207      113            64           x                 0        64  0
Bisys Group Inc.                       Common Stock    055472104    6,231       101,325           x                 0   101,325  0
Anheuser-Busch Companies Inc.          Common Stock    035229103      299         4,000           x                 0     4,000  0
Bancwest Corporation                   Common Stock    059790105      326        19,810           x                 0    19,810  0
Citigroup, Inc.                        Common Stock    172967101    5,754        95,501           x                 0    95,501  0
Cascade-Teton Farm Lands Co.           LTD (GS) P4     C242339          0            16           x                 0        16  0
Cascade Bancorp                        Common Stock    147154108      450        40,252           x                 0    40,252  0
Conagra Inc.                           Common Stock    205887102      106         5,546           x                 0     5,546  0
Cardinal Health Inc.                   Common Stock    14149Y108       50           675           x                 0       675  0
Chubb Corp.                            Common Stock    171232101      123         2,000           x                 0     2,000  0
Northland Cranberries Inc-A            Common Stock    666499108        2           400           x                 0       400  0
Commerce Bancshares Inc.               Common Stock    200525103    5,095       171,262           x                 0   171,262  0
CCB Financial Corp.                    Common Stock    124875105      377        10,188           x                 0    10,188  0
Crown Cork & Seal Co Inc.              Common Stock    228255105       37         2,467           x                 0     2,467  0
Centennial Bancorp                     Common Stock    15133T104      346        39,806           x                 0    39,806  0
Community First Bankshares Inc         Common Stock    203902101      153         9,400           x                 0     9,400  0
CFM Technologies Inc.                  Common Stock    12525K106        1            75           x                 0        75  0
Cullen Frost Bankers Inc.              Common Stock    229899109    1,402        53,300           x                 0    53,300  0
Cognex Corp.                           Common Stock    192422103       34           650           x                 0       650  0
Coastal Corp.                          Common Stock    190441105       56           919           x                 0       919  0
Chevron Corp.                          Common Stock    166751107    2,035        23,999           x                 0    23,999  0
Ciena Corp.                            Common Stock    171779101       50           300           x                 0       300  0
Crompton Corp                          Common Stock    227116100        2           200           x                 0       200  0
Colgate-Palmolive Co.                  Common Stock    194162103   12,738       212,750           x                 0   212,750  0
Comerica Inc.                          Common Stock    200340107    1,930        43,000           x                 0    43,000  0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
                                                                                                                       Item 8:
                                                                                               Item 6:                 Voting
                                                                   Item 4:                   Investment               Authority
                Item 1:                     Item 2:     Item 3:  Fair Market   Item 5:       Discretion     Item 7:   (Shares)
             Name of Issuer             Title of Class   CUSIP     Value      Shares or    (a)   (b)   (c)   Other (a)   (b)   (c)
                                                                  (X $1000) Principal Amt Sole Shared Other  Mgrs. Sole Shared None
-----------------------------------------------------------------------------------------------------------------------------------
<S>                                    <C>             <C>       <C>        <C>           <C>  <C>    <C>   <C>    <C> <C>     <C>
Comcast Corp. Class A Special          Common Stock    200300200       28           700           x                 0       700  0
Consolidated Natural Gas Co            Common Stock    209615103      126         1,900           x                 0     1,900  0
Conexant Systems Inc.                  Common Stock    207142100       24           500           x                 0       500  0
Pennsylvania Commerce Bancorp Inc      Common Stock    708677109      585        26,010           x                 0    26,010  0
Colorado Business Bankshares           Common Stock    196333108      611        45,675           x                 0    45,675  0
3 Com Corp.                            Common Stock    885535104      122         2,111           x                 0     2,111  0
Contour Energy Co.                     Common Stock    21220C103        0            12           x                 0        12  0
Costco Whsl Corp New                   Common Stock    22160K105      231         7,000           x                 0     7,000  0
C P & L Energy Inc                     Common Stock    12614C106      112         3,500           x                 0     3,500  0
Corn Products International Inc.       Common Stock    219023108        1            50           x                 0        50  0
Compaq Computer Corp.                  Common Stock    204493100      491        19,200           x                 0    19,200  0
Chronar Corp                           Common Stock    171133101        0           121           x                 0       121  0
Crazy Woman Creek Bancorp              Common Stock    225233105       44         4,000           x                 0     4,000  0
Cabletron Systems Inc.                 Common Stock    126920107       13           500           x                 0       500  0
Computer Sciences Corp.                Common Stock    205363104   13,359       178,870           x                 0   178,870  0
Cisco Systems Inc.                     Common Stock    17275R102   25,930       407,942           x                 0   407,942  0
CSG Systems International Inc.         Common Stock    126349109      101         1,800           x                 0     1,800  0
Cintas Corp.                           Common Stock    172908105    5,059       137,888           x                 0   137,888  0
CVB Financial Corp.                    Common Stock    126600105       36         2,300           x                 0     2,300  0
CVS Corp.                              Common Stock    126650100    7,423       185,578           x                 0   185,578  0
Cygnus Inc.                            Common Stock    232560102        1           100           x                 0       100  0
City National Corp.                    Common Stock    178566105    2,148        61,825           x                 0    61,825  0
Dominion Res Inc Va New                Common Stock    25746U109       11           250           x                 0       250  0
Du Pont (EI) de Nemours and Co.        Common Stock    263534109      107         2,440           x                 0     2,440  0
Diedrich Coffee Inc                    Common Stock    253675102        2           800           x                 0       800  0
Dell Computer Corp.                    Common Stock    247025109      111         2,250           x                 0     2,250  0
Delger Finl Corp                       Common Stock    246680102        0             1           x                 0         1  0
Quest Diagnostics Inc.                 Common Stock    74834L100        7           100           x                 0       100  0
Diamonds Trust Unit Series 1           Common Stock    252787106       31           300           x                 0       300  0
The Walt Disney Co.                    Common Stock    254687106      156         4,011           x                 0     4,011  0
Echostar Communications New            Common Stock    278762109    2,371        71,625           x                 0    71,625  0
Daily Journal Corp                     Common Stock    233912104        1            20           x                 0        20  0
Dover Corp.                            Common Stock    260003108       65         1,600           x                 0     1,600  0
Dow Chemical Co                        Common Stock    260543103    8,599       284,850           x                 0   284,850  0
Duramed Pharmaceuticals Inc.           Common Stock    266354109       11         2,000           x                 0     2,000  0
DST Systems Inc.                       Common Stock    233326107    4,006        52,625           x                 0    52,625  0
Datawatch Corp                         Common Stock    237917109       11         5,264           x                 0     5,264  0
Consolidated Edison Inc.               Common Stock    209115104        2            68           x                 0        68  0
Eagle Geophysical Inc                  Common Stock    269524104        0         2,032           x                 0     2,032  0
Earthgrains Co                         Common Stock    270319106       12           640           x                 0       640  0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
                                                                                                                       Item 8:
                                                                                               Item 6:                 Voting
                                                                   Item 4:                   Investment               Authority
                Item 1:                     Item 2:     Item 3:  Fair Market   Item 5:       Discretion     Item 7:   (Shares)
             Name of Issuer             Title of Class   CUSIP     Value      Shares or    (a)   (b)   (c)   Other (a)   (b)   (c)
                                                                  (X $1000) Principal Amt Sole Shared Other  Mgrs. Sole Shared None
-----------------------------------------------------------------------------------------------------------------------------------
<S>                                    <C>             <C>       <C>        <C>           <C>  <C>    <C>   <C>    <C> <C>     <C>
Eastman Kodak Co.                      Common Stock    277461109       80         1,340           x                 0     1,340  0
Estee Lauder Companies                 Common Stock    518439104    2,104        42,550           x                 0    42,550  0
Elan Corp. ADR                         ADR             284131208    7,415       153,075           x                 0   153,075  0
EMC Corp.                              Common Stock    268648102    7,383        95,960           x                 0    95,960  0
Eastman Chemical Co                    Common Stock    277432100        3            60           x                 0        60  0
Emerson Electric Co.                   Common Stock    291011104    1,546        25,600           x                 0    25,600  0
Enron Corp                             Common Stock    293561106    3,891        60,332           x                 0    60,332  0
El Paso Energy Corp                    Common Stock    283905107        1            20           x                 0        20  0
Euro Disneyland SCA Shs Ord            Common Stock    F26387104        0           100           x                 0       100  0
ITT Educational Services Inc           Common Stock    45068B109      339        19,300           x                 0    19,300  0
Eco Soil Sys Inc                       Common Stock    278858105       25        14,000           x                 0    14,000  0
Ford Motor Co.                         Common Stock    345370100      108         2,500           x                 0     2,500  0
3rds First Womens Bank-Ny Ny           LTD (GS) P4     F388119          0             1           x                 0         1  0
Fleet Boston Financial Corp.           Common Stock    339030108    6,407       188,455           x                 0   188,455  0
Furniture Brands Intl Inc.             Common Stock    360921100       27         1,800           x                 0     1,800  0
Firstbank Corp Del                     Common Stock    33762X106       87         7,550           x                 0     7,550  0
First Data Corp.                       Common Stock    319963104      844        17,000           x                 0    17,000  0
Financial Federal Corp                 Common Stock    317492106      586        33,725           x                 0    33,725  0
Fine Host Corp                         Common Stock    317832103        0           100           x                 0       100  0
Fiserv Inc.                            Common Stock    337738108   14,186       327,992           x                 0   327,992  0
Fifth Third Bancorp                    Common Stock    316773100    4,023        63,612           x                 0    63,612  0
Fannie Mae                             Common Stock    313586109    1,336        25,600           x                 0    25,600  0
Sprint Corp. (FON Group)               Common Stock    852061100      668        13,100           x                 0    13,100  0
Freddie Mac                            Common Stock    313400301      697        17,200           x                 0    17,200  0
First Security Corp.                   Common Stock    336294103      623        45,925           x                 0    45,925  0
Firstar Corporation                    Common Stock    33763V109    2,041        96,900           x                 0    96,900  0
Fort Dearborn Income Secs Inc.         Common Stock    347200107        3           200           x                 0       200  0
First Union Corp.                      Common Stock    337358105        3           131           x                 0       131  0
Gillette Co.                           Common Stock    375766102    1,201        34,368           x                 0    34,368  0
General Aircraft Corp New              Common Stock    368757209        0           441           x                 0       441  0
Langer Biomechanics Group              Common Stock    515707107        0           100           x                 0       100  0
Greater Bay Bancorp                    Common Stock    391648102    7,680       164,269           x                 0   164,269  0
Globix Corp.                           Common Stock    37957F101       15           500           x                 0       500  0
Global Crossing Ltd.                   Common Stock    G3921A100      896        34,050           x                 0    34,050  0
Gardner Denver Machinery Inc.          Common Stock    365558105        1            60           x                 0        60  0
Guidant Corp.                          Common Stock    401698105    6,314       127,548           x                 0   127,548  0
General Electric Co.                   Common Stock    369604103   36,247       683,906           x                 0   683,906  0
General Ener Tech Inc                  Common Stock    369739107        0         2,000           x                 0     2,000  0
General Mills Inc.                     Common Stock    370334104      474        12,400           x                 0    12,400  0
Corning Inc.                           Common Stock    219350105      690         2,558           x                 0     2,558  0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
                                                                                                                       Item 8:
                                                                                               Item 6:                 Voting
                                                                   Item 4:                   Investment               Authority
                Item 1:                     Item 2:     Item 3:  Fair Market   Item 5:       Discretion     Item 7:   (Shares)
             Name of Issuer             Title of Class   CUSIP     Value      Shares or    (a)   (b)   (c)   Other (a)   (b)   (c)
                                                                  (X $1000) Principal Amt Sole Shared Other  Mgrs. Sole Shared None
-----------------------------------------------------------------------------------------------------------------------------------
<S>                                    <C>             <C>       <C>        <C>           <C>  <C>    <C>   <C>    <C> <C>     <C>
General Motors Corp. - CL H New        Common Stock    370442832    8,446        96,250           x                 0    96,250  0
Greenpoint Financial Corp.             Common Stock    395384100        5           250           x                 0       250  0
Goldman Sachs Group Inc                Common Stock    38141G104        9           100           x                 0       100  0
GTE Corp.                              Common Stock    362320103       78         1,252           x                 0     1,252  0
Grove Property Trust                   Common Stock    399613108       96         5,906           x                 0     5,906  0
Harbor Florida Bancshares              Common Stock    411901101    2,573       246,516           x                 0   246,516  0
Home Depot Inc.                        Common Stock    437076102   10,476       209,783           x                 0   209,783  0
H E R C Prods Inc                      Common Stock    404165102        2         5,000           x                 0     5,000  0
Hooper Holmes Incorporated             Common Stock    439104100    5,662       707,753           x                 0   707,753  0
Hibernia Corp. Class A                 Common Stock    428656102       22         2,000           x                 0     2,000  0
Hartford Financial Services Group Inc. Common Stock    416515104       10           174           x                 0       174  0
Starwood Hotels & Resorts Worldwide In Common Stock    85590A203        3           100           x                 0       100  0
Hannaford Brothers Inc.                Common Stock    410550107       14           200           x                 0       200  0
Hershey Foods Corp.                    Common Stock    427866108    6,194       127,209           x                 0   127,209  0
Hudson United Bancorp                  Common Stock    444165104        0            18           x                 0        18  0
Hewlett-Packard Co.                    Common Stock    428236103      759         6,075           x                 0     6,075  0
International Business Machines Corp.  Common Stock    459200101   24,576       224,310           x                 0   224,310  0
Intersystems Inc Del                   Common Stock    460920101        0           668           x                 0       668  0
ITT Industries, Inc.                   Common Stock    450911102        3            87           x                 0        87  0
Ing Groep NV Spons ADR                 ADR             456837103        4            58           x                 0        58  0
Intel Corp.                            Common Stock    458140100   20,873       156,132           x                 0   156,132  0
Intuit Corp.                           Common Stock    461202103       41         1,000           x                 0     1,000  0
Interpool Inc                          Common Stock    46062R108        1           150           x                 0       150  0
Gartner Group Inc. - CL B              Common Stock    366651206        1           130           x                 0       130  0
IVAX Corp.                             Common Stock    465823102       28           675           x                 0       675  0
Hancock John Finl Services Inc.        Common Stock    41014S106        7           296           x                 0       296  0
Henry Jack & Associates Inc            Common Stock    426281101    9,390       187,324           x                 0   187,324  0
Johnson & Johnson                      Common Stock    478160104   12,252       120,269           x                 0   120,269  0
Jefferson-Pilot Corp.                  Common Stock    475070108    6,049       107,181           x                 0   107,181  0
J P Morgan & Co.                       Common Stock    616880100      922         8,375           x                 0     8,375  0
John Phillip Tuba Corp                 Common Stock    478037104        0           172           x                 0       172  0
Wiley John & Sons                      Common Stock    968223206      127         5,640           x                 0     5,640  0
Keebler Foods Co.                      Common Stock    487256109    4,489       120,925           x                 0   120,925  0
KIMCO Realty Corp.                     Common Stock    49446R109      842        20,533           x                 0    20,533  0
Kimberly-Clark Corp.                   Common Stock    494368103      115         2,000           x                 0     2,000  0
Kendle International Inc               Common Stock    48880L107       16         2,000           x                 0     2,000  0
Coca Cola Co.                          Common Stock    191216100      766        13,342           x                 0    13,342  0
Kroger Co.                             Common Stock    501044101    8,299       376,150           x                 0   376,150  0
Keyspan Corporation                    Common Stock    49337W100      272         8,833           x                 0     8,833  0
Kohls Corp.                            Common Stock    500255104    7,572       136,130           x                 0   136,130  0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
                                                                                                                       Item 8:
                                                                                               Item 6:                 Voting
                                                                   Item 4:                   Investment               Authority
                Item 1:                     Item 2:     Item 3:  Fair Market   Item 5:       Discretion     Item 7:   (Shares)
             Name of Issuer             Title of Class   CUSIP     Value      Shares or    (a)   (b)   (c)   Other (a)   (b)   (c)
                                                                  (X $1000) Principal Amt Sole Shared Other  Mgrs. Sole Shared None
-----------------------------------------------------------------------------------------------------------------------------------
<S>                                    <C>             <C>       <C>        <C>           <C>  <C>    <C>   <C>    <C> <C>     <C>
Safra Republic Holding                 LTD (GS) P4     L80614107      136         2,000           x                 0     2,000  0
Loews Cineplex Entmt Corp              Common Stock    540423100        0            20           x                 0        20  0
Lehman Brothers Holdings Inc           Common Stock    524908100    1,135        12,000           x                 0    12,000  0
Linear Technology Corp.                Common Stock    535678106      192         3,000           x                 0     3,000  0
Lilly (Eli) & Co.                      Common Stock    532457108   15,861       158,808           x                 0   158,808  0
Legg Mason, Inc.                       Common Stock    524901105    3,876        77,525           x                 0    77,525  0
AT&T Corp - Liberty Media - A          Common Stock    001957208      196         8,080           x                 0     8,080  0
Lincoln National Corp. Ind.            Common Stock    534187109    1,063        29,425           x                 0    29,425  0
L Oreal Co                             ADR             502117203      956         5,500           x                 0     5,500  0
Lasik Vision Corp                      Foreign Stock   51808E106       11        10,000           x                 0    10,000  0
Loews Corp.                            Common Stock    540424108      240         4,000           x                 0     4,000  0
Lucent Technologies Inc.               Common Stock    549463107   12,910       217,884           x                 0   217,884  0
Level 3 Communications Inc.            Common Stock    52729N100    3,377        38,380           x                 0    38,380  0
LSI Industries Inc                     Common Stock    50216C108       30         2,000           x                 0     2,000  0
Massbank Corp.                         Common Stock    576152102       22           800           x                 0       800  0
Mattel Inc.                            Common Stock    577081102       20         1,493           x                 0     1,493  0
Maxicare Health Plans Inc. New         Common Stock    577904204        0             1           x                 0         1  0
McDonalds Corp.                        Common Stock    580135101      800        24,300           x                 0    24,300  0
Millenium Chemicals Inc.               Common Stock    599903101        0            14           x                 0        14  0
McLeodusa Inc. - CL A                  Common Stock    582266102    1,772        85,650           x                 0    85,650  0
M C N Corp.                            Common Stock    55267J100        8           392           x                 0       392  0
Media 100 Inc                          Common Stock    58440W105      303        11,750           x                 0    11,750  0
Mid-state Bancshares                   Common Stock    595440108    2,631        96,550           x                 0    96,550  0
Medtronic Inc.                         Common Stock    585055106   14,999       301,099           x                 0   301,099  0
Mead Corp.                             Common Stock    582834107      129         5,100           x                 0     5,100  0
Merrill Lynch & Co., Inc.              Common Stock    590188108    1,998        17,375           x                 0    17,375  0
Metromedia Fiber Network Inc. Cl A     Common Stock    591689104    3,951        99,540           x                 0    99,540  0
McGraw-Hill Companies Inc.             Common Stock    580645109      205         3,800           x                 0     3,800  0
Marshall & Ilsley Corp.                Common Stock    571834100    6,321       152,321           x                 0   152,321  0
Marshall Industries                    Common Stock    572393106       37         1,000           x                 0     1,000  0
Marsh & McLennan Cos Inc               Common Stock    571748102    1,044        10,000           x                 0    10,000  0
Minnesota Mining & Manufacturing Co.   Common Stock    604059105      264         3,206           x                 0     3,206  0
Mobil Corp.                            Common Stock    607059102        0           247           x                 0       247  0
Molex Inc. Cl A                        Common Stock    608554200       68         1,953           x                 0     1,953  0
Morgan Keegan Inc.                     Common Stock    617410105       15         1,000           x                 0     1,000  0
Motorola Inc.                          Common Stock    620076109    6,201       213,375           x                 0   213,375  0
Minnesota Pwr & Light                  Common Stock    604110106       42         2,400           x                 0     2,400  0
Mercantile Bankshares Corp.            Common Stock    587405101    2,723        91,350           x                 0    91,350  0
Merck & Co., Inc.                      Common Stock    589331107    9,016       117,666           x                 0   117,666  0
Merant Plc Sponsored ADR               ADR             587336108       20         2,000           x                 0     2,000  0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
                                                                                                                       Item 8:
                                                                                               Item 6:                 Voting
                                                                   Item 4:                   Investment               Authority
                Item 1:                     Item 2:     Item 3:  Fair Market   Item 5:       Discretion     Item 7:   (Shares)
             Name of Issuer             Title of Class   CUSIP     Value      Shares or    (a)   (b)   (c)   Other (a)   (b)   (c)
                                                                  (X $1000) Principal Amt Sole Shared Other  Mgrs. Sole Shared None
-----------------------------------------------------------------------------------------------------------------------------------
<S>                                    <C>             <C>       <C>        <C>           <C>  <C>    <C>   <C>    <C> <C>     <C>
Microsoft Corp.                        Common Stock    594918104    4,521        56,517           x                 0    56,517  0
Martha Stewart Living Omnimed          Common Stock    573083102        2           100           x                 0       100  0
M & T Bank Corp                        Common Stock    55261F104       90           200           x                 0       200  0
Montana Power Co                       Common Stock    612085100        7           200           x                 0       200  0
Matrix Service Co                      Common Stock    576853105        5         1,000           x                 0     1,000  0
Mississippi Vy Bancshares Inc          Common Stock    605720101      681        28,100           x                 0    28,100  0
Morgan St Dean Witter Discover & Co.   Common Stock    617446448    4,758        57,157           x                 0    57,157  0
Nomas Corp Nev Pfd Ser A               PFD 30/360 P1   65531N209        0           405           x                 0       405  0
Nomas Corp.                            Common Stock    65531N100        0           405           x                 0       405  0
Nanophase Technologies Corp            Common Stock    630079101       10         1,000           x                 0     1,000  0
National Bancorp Of Alaska Inc.        Common Stock    632587101    3,539        98,650           x                 0    98,650  0
National City Corp.                    Common Stock    635405103       96         5,616           x                 0     5,616  0
NCR Corp.                              Common Stock    62886E108        2            46           x                 0        46  0
Neuberger Berman Inc                   Common Stock    641234109      149         3,200           x                 0     3,200  0
North Fork Bancorp, Inc.-DEL           Common Stock    659424105    2,930       193,733           x                 0   193,733  0
Nokia Corp. Sponsored ADR              ADR             654902204    7,294       146,070           x                 0   146,070  0
Northpoint Communications Hldg         Common Stock    666610100       22         2,000           x                 0     2,000  0
Northern States Power Co               Common Stock    665772109        8           400           x                 0       400  0
Nestle SA Sponsored ADR                ADR             641069406      442         4,400           x                 0     4,400  0
Nortel Networks Corp.                  Common Stock    656568102    8,903       130,450           x                 0   130,450  0
Natural Pharmaceutical Intl            Common Stock    638887109        0             4           x                 0         4  0
Northern Trust Corp.                   Common Stock    665859104   16,295       250,444           x                 0   250,444  0
NUCO2 Inc.                             Common Stock    629428103       19         2,424           x                 0     2,424  0
New PLan Excel Realty Trust            Common Stock    648053106       51         3,900           x                 0     3,900  0
Nextlink Communications Inc Cl A       Common Stock    65333H707    4,490       118,350           x                 0   118,350  0
Nextel Communications Inc.             Common Stock    65332V103    4,899        80,060           x                 0    80,060  0
New York Times Co.                     Common Stock    650111107       11           268           x                 0       268  0
Cascade Teton Farmlands Co.            LTD (GS) P4     OA0041           0        15,304           x                 0    15,304  0
Oak Tech Inc.                          Common Stock    671802106      298        13,800           x                 0    13,800  0
Quaker Oats                            Common Stock    747402105      361         4,800           x                 0     4,800  0
Wild Oats Markets Inc.                 Common Stock    96808B107        2           150           x                 0       150  0
Old Kent Financial Corp.               Common Stock    679833103    2,546        95,185           x                 0    95,185  0
***Old Mutual South African Trust PLC  Foreign Stock   G6738S107       30        17,647           x                 0    17,647  0
Oncor, Inc.                            Common Stock    682311105        0           100           x                 0       100  0
Oracle Systems Corp.                   Common Stock    68389X105    5,302        63,075           x                 0    63,075  0
Oxford Health Plans Inc.               Common Stock    691471106        7           305           x                 0       305  0
Prudential Acquisition Fund LP II      LTD Part  P0    P624630          0            25           x                 0        25  0
Pitney-Bowes, Inc.                     Common Stock    724479100      932        23,300           x                 0    23,300  0
Plum Creek Timber Co L P               Common Stock    729251108       19           732           x                 0       732  0
Sprint Corp. (PCS Group)               Common Stock    852061506    5,647        94,900           x                 0    94,900  0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
                                                                                                                       Item 8:
                                                                                               Item 6:                 Voting
                                                                   Item 4:                   Investment               Authority
                Item 1:                     Item 2:     Item 3:  Fair Market   Item 5:       Discretion     Item 7:   (Shares)
             Name of Issuer             Title of Class   CUSIP     Value      Shares or    (a)   (b)   (c)   Other (a)   (b)   (c)
                                                                  (X $1000) Principal Amt Sole Shared Other  Mgrs. Sole Shared None
-----------------------------------------------------------------------------------------------------------------------------------
<S>                                    <C>             <C>       <C>        <C>           <C>  <C>    <C>   <C>    <C> <C>     <C>
PE Corp PE Biosystems Group            Common Stock    69332S102      438         6,650           x                 0     6,650  0
PepsiCo, Inc.                          Common Stock    713448108       71         1,600           x                 0     1,600  0
Pfizer Inc.                            Common Stock    717081103   30,777       641,195           x                 0   641,195  0
Procter & Gamble Co.                   Common Stock    742718109   11,510       201,041           x                 0   201,041  0
Progressive Corp.                      Common Stock    743315103       13           175           x                 0       175  0
Pegasus Communications Corp. - Cl A    Common Stock    705904100      118         2,400           x                 0     2,400  0
Pharmacia Corp                         Common Stock    71713U102       26           500           x                 0       500  0
Philadelphia Cons Hldg Co.             Common Stock    717528103    3,207       190,800           x                 0   190,800  0
Protective Life Corp.                  Common Stock    743674103      502        18,850           x                 0    18,850  0
Pall Corp.                             Common Stock    696429307    4,964       268,350           x                 0   268,350  0
Proxim Inc.                            Common Stock    744284100      802         8,100           x                 0     8,100  0
Puget Sound Power & Light              Common Stock    745332106        4           200           x                 0       200  0
Pactiv Corp                            Common Stock    695257105        1           118           x                 0       118  0
Paine Webber Group Inc.                Common Stock    695629105    2,007        44,108           x                 0    44,108  0
Power Spectra Inc                      Common Stock    738901107        0           300           x                 0       300  0
Qwest Communications International, In Common Stock    749121109    5,182       104,290           x                 0   104,290  0
QRS Corp                               Common Stock    74726X105       41         1,674           x                 0     1,674  0
Rural Cellular Corp                    Common Stock    781904107       38           500           x                 0       500  0
Royal Dutch Petroleum Co ADR           ADR             780257804    2,060        33,469           x                 0    33,469  0
Transocean Sedco Forex Inc             Common Stock    G90078109       72         1,355           x                 0     1,355  0
Raymond James Financial Inc.           Common Stock    754730109       63         2,800           x                 0     2,800  0
Reliastar Financial Corp.              Common Stock    75952U103      763        14,550           x                 0    14,550  0
Remedy Corp.                           Common Stock    759548100       50           900           x                 0       900  0
Ragen Mackenzie Group Inc              Common Stock    750642100    1,831        91,525           x                 0    91,525  0
Roper Industries Inc. New              Common Stock    776696106       26         1,000           x                 0     1,000  0
Roslyn Bancorp Inc.                    Common Stock    778162107      415        25,000           x                 0    25,000  0
Riviana Foods Inc.                     Common Stock    769536103    3,689       211,650           x                 0   211,650  0
Rayonier Inc.                          Common Stock    754907103        4           100           x                 0       100  0
Sears Roebuck & Co                     Common Stock    812387108    5,240       160,625           x                 0   160,625  0
Satellite Control Technologies         Common Stock    804000107        1         1,000           x                 0     1,000  0
Pacific Cap Bancorp New                Common Stock    69404P101    2,104        83,950           x                 0    83,950  0
Safeco Corp.                           Common Stock    786429100        4           200           x                 0       200  0
Safescience Inc                        Common Stock    786452102        4           800           x                 0       800  0
Asia Satelite Telecom Hldgs Ltd ADS    ADR             04516X106        1            22           x                 0        22  0
SATX, Inc.                             Common Stock    78400J100        1         1,000           x                 0     1,000  0
SBC Communications Inc.                Common Stock    78387G103      825        19,085           x                 0    19,085  0
Seacoast Banking Corp. FLA             Common Stock    811707108      359        13,300           x                 0    13,300  0
Salomon Brothers Fd Inc.               Common Stock    795477108        2           138           x                 0       138  0
SmithKline Beecham Spons ADR           ADR             832378301       20           300           x                 0       300  0
SBS Broadcasting SA                    Foreign Stock   L8137F102       55         1,000           x                 0     1,000  0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
                                                                                                                       Item 8:
                                                                                               Item 6:                 Voting
                                                                   Item 4:                   Investment               Authority
                Item 1:                     Item 2:     Item 3:  Fair Market   Item 5:       Discretion     Item 7:   (Shares)
             Name of Issuer             Title of Class   CUSIP     Value      Shares or    (a)   (b)   (c)   Other (a)   (b)   (c)
                                                                  (X $1000) Principal Amt Sole Shared Other  Mgrs. Sole Shared None
-----------------------------------------------------------------------------------------------------------------------------------
<S>                                    <C>             <C>       <C>        <C>           <C>  <C>    <C>   <C>    <C> <C>     <C>
Shell Transport & Trading PLC          ADR             822703609       15           300           x                 0       300  0
Schwab Charles Corp.                   Common Stock    808513105    1,271        37,800           x                 0    37,800  0
Sungard Data Systems Inc.              Common Stock    867363103    1,882        60,700           x                 0    60,700  0
Seitel Inc. New                        Common Stock    816074306      209        25,692           x                 0    25,692  0
Stancorp Financial Group Inc.          Common Stock    852891100    6,609       205,725           x                 0   205,725  0
Schering-Plough Corp.                  Common Stock    806605101    2,047        40,529           x                 0    40,529  0
Shenandoah Telecommunications          Common Stock    82312B106       15           500           x                 0       500  0
Stochastic Models Inc                  Common Stock    860902105        0        35,000           x                 0    35,000  0
Sherwin Williams Corp.                 Common Stock    824348106    7,742       365,400           x                 0   365,400  0
Smith International Inc.               Common Stock    832110100      998        13,700           x                 0    13,700  0
Silicon Valley Bancshares              Common Stock    827064106      537        12,600           x                 0    12,600  0
Schlumberger Limited                   Common Stock    806857108      522         7,000           x                 0     7,000  0
SLM Holding Corp.                      Common Stock    78442A109       56         1,488           x                 0     1,488  0
Solectron Corp.                        Common Stock    834182107    9,673       231,000           x                 0   231,000  0
Shared Medical Systems Corp.           Common Stock    819486101      124         1,700           x                 0     1,700  0
Synopsys Inc.                          Common Stock    871607107    5,163       149,392           x                 0   149,392  0
Source Capital Corp A                  Common Stock    836142307       58        10,500           x                 0    10,500  0
Southtrust Corp.                       Common Stock    844730101       14           600           x                 0       600  0
Scottich Power PLC                     Common Stock    81013T705        7           196           x                 0       196  0
Panamsat Corp New                      Common Stock    697933109    1,145        26,200           x                 0    26,200  0
Stamford Intl Inc                      Common Stock    852902105        8           800           x                 0       800  0
Suntrust Banks Inc.                    Common Stock    867914103    1,925        42,123           x                 0    42,123  0
State Street Corp.                     Common Stock    857477103   15,615       147,226           x                 0   147,226  0
Sun Microsystems Inc.                  Common Stock    866810104   12,852       141,325           x                 0   141,325  0
Southwest Bancorporation of Texas Inc. Common Stock    84476R109      973        46,900           x                 0    46,900  0
Safeway Inc.                           Common Stock    786514208    2,873        63,671           x                 0    63,671  0
Sybron International Corp. Wis         Common Stock    87114F106       79         4,000           x                 0     4,000  0
Synergistics Inc.                      Common Stock GS 871599106   11,367     7,578,296           x                 0 7,578,296  0
AT & T Corp.                           Common Stock    001957109       94         2,981           x                 0     2,981  0
Tejas Gas Corp Del                     Common Stock    879075109        0             3           x                 0         3  0
TCF Financial Corp.                    Common Stock    872275102    4,597       178,945           x                 0   178,945  0
Thermo Ecotek Corporation              Common Stock    88355R106        0            36           x                 0        36  0
Triteal Corp.                          Common Stock    896937109        0         2,000           x                 0     2,000  0
Tenneco Automotive Inc                 Common Stock    880349105        0            23           x                 0        23  0
Terex Corp.                            Common Stock    880779103        3           200           x                 0       200  0
Forgotten Woman Inc.                   Common Stock    345902100        0           500           x                 0       500  0
Teligent Inc. Cl A                     Common Stock    87959Y103      456        19,300           x                 0    19,300  0
Georgia Pacific Corp. (Timber Group)   Common Stock    373298702        5           250           x                 0       250  0
Target Corp                            Common Stock    87612E106    6,958       119,963           x                 0   119,963  0
Thorn PLC                              ADR             885197103        1            53           x                 0        53  0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
                                                                                                                       Item 8:
                                                                                               Item 6:                 Voting
                                                                   Item 4:                   Investment               Authority
                Item 1:                     Item 2:     Item 3:  Fair Market   Item 5:       Discretion     Item 7:   (Shares)
             Name of Issuer             Title of Class   CUSIP     Value      Shares or    (a)   (b)   (c)   Other (a)   (b)   (c)
                                                                  (X $1000) Principal Amt Sole Shared Other  Mgrs. Sole Shared None
-----------------------------------------------------------------------------------------------------------------------------------
<S>                                    <C>             <C>       <C>        <C>           <C>  <C>    <C>   <C>    <C> <C>     <C>
Thermotrex Corp.                       Common Stock    883666109       33         3,000           x                 0     3,000  0
Tellabs Inc.                           Common Stock    879664100       41           600           x                 0       600  0
Thermolase Corp                        Common Stock    883624108        2           600           x                 0       600  0
Thermo Electron Corp.                  Common Stock    883556102       28         1,350           x                 0     1,350  0
Tengasco Inc                           Common Stock    88033R205       97        10,582           x                 0    10,582  0
Tribune Co                             Common Stock    896047107       21           600           x                 0       600  0
Texas Regional Bancshares Inc.         Common Stock    882673106    4,406       173,645           x                 0   173,645  0
Transatlantic Holdings, Inc.           Common Stock    893521104       49           582           x                 0       582  0
T. Rowe Price Assoc. Inc.              Common Stock    741477103    4,795       112,828           x                 0   112,828  0
Transaction System Architects Inc. Cl  Common Stock    893416107      241        14,050           x                 0    14,050  0
Tetra Technologies Inc Del             Common Stock    88162F105        3           200           x                 0       200  0
Texaco Inc.                            Common Stock    881694103      268         5,028           x                 0     5,028  0
TREX MEDICAL CORP                      Common Stock    89531R101        1           300           x                 0       300  0
Texas Instruments Inc.                 Common Stock    882508104    1,611        23,450           x                 0    23,450  0
TXU Corp                               Common Stock    873168108        1            17           x                 0        17  0
Tyco International LTD                 Foreign Stock   902124106        8           161           x                 0       161  0
Union Carbide Corp.                    Common Stock    905581104      106         2,151           x                 0     2,151  0
MediaOne Group Inc.                    Common Stock    58440J104      155         2,260           x                 0     2,260  0
Unilever N V (NY Shares)               ADR             904784501      307         7,142           x                 0     7,142  0
Unumprovident Corp.                    Common Stock    91529Y106      297        14,800           x                 0    14,800  0
Union Pacific Corp.                    Common Stock    907818108       47         1,266           x                 0     1,266  0
Unapix Entertainment Inc.              Common Stock    904270105      172       131,265           x                 0   131,265  0
USA Networks Inc.                      Common Stock    902984103        4           200           x                 0       200  0
U.S. Bancorp                           Common Stock    902973106    1,174        60,999           x                 0    60,999  0
United States Cellular Corp.           Common Stock    911684108    2,208        35,050           x                 0    35,050  0
U.S. West Inc.                         Common Stock    91273H101      171         1,990           x                 0     1,990  0
Visteon Corp                           Common Stock    92839U107        4           327           x                 0       327  0
Vector Group Ltd                       Common Stock    92240M108        6           395           x                 0       395  0
Vlasic Foods International             Common Stock    928559103        0            20           x                 0        20  0
Vodafone Airtouch PLC-Sponsored ADR    ADR             92857T107    4,414       106,525           x                 0   106,525  0
Viropro Inc                            Common Stock    928242106        0           165           x                 0       165  0
Vitaminshoppe Com Inc                  Common Stock    92848M104        0           250           x                 0       250  0
Voicestream Wireless Corp              Common Stock    928615103      465         4,000           x                 0     4,000  0
Winward Isle Sailing Co.               Common Stock    W1SQ             0             1           x                 0         1  0
Westamerica Bancorp                    Common Stock    957090103       43         1,650           x                 0     1,650  0
Walgreen Co                            Common Stock    931422109   11,359       352,896           x                 0   352,896  0
Wachovia Corp.                         Common Stock    929771103      575        10,600           x                 0    10,600  0
West Coast Bancorp Ore New             Common Stock    952145100       18         1,817           x                 0     1,817  0
Winstar Communications Inc             Common Stock    975515107    3,581       105,725           x                 0   105,725  0
WorldCom, Inc.                         Common Stock    98157D106    4,231        92,219           x                 0    92,219  0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
                                                                                                                       Item 8:
                                                                                               Item 6:                 Voting
                                                                   Item 4:                   Investment               Authority
                Item 1:                     Item 2:     Item 3:  Fair Market   Item 5:       Discretion     Item 7:   (Shares)
             Name of Issuer             Title of Class   CUSIP     Value      Shares or    (a)   (b)   (c)   Other (a)   (b)   (c)
                                                                  (X $1000) Principal Amt Sole Shared Other  Mgrs. Sole Shared None
-----------------------------------------------------------------------------------------------------------------------------------
<S>                                    <C>             <C>       <C>        <C>           <C>  <C>    <C>   <C>    <C> <C>     <C>
Waddell & Reed Financial - A           Common Stock    930059100    4,639       141,375           x                 0   141,375  0
Wells Fargo Company                    Common Stock    949746101    7,317       188,828           x                 0   188,828  0
Whole Foods Market Inc                 Common Stock    966837106      123         2,976           x                 0     2,976  0
Wimberly Res Ltd                       Foreign Stock   972629109        0            12           x                 0        12  0
Wilmington Trust Corp. New             Common Stock    971807102      468        10,937           x                 0    10,937  0
Washington Mutual Inc.                 Common Stock    939322103    5,777       200,075           x                 0   200,075  0
Wal-Mart Stores Inc.                   Common Stock    931142103   10,645       184,725           x                 0   184,725  0
Western Wireless Corp Cl A             Common Stock    95988E204    2,831        51,950           x                 0    51,950  0
Wrigley (WM) Jr Co                     Common Stock    982526105    9,656       120,411           x                 0   120,411  0
Xircom Inc                             Common Stock    983922105        5           100           x                 0       100  0
Exxon Mobil Corp.                      Common Stock    30231G102   10,261       130,718           x                 0   130,718  0
Xoma LTD                               Common Stock    G9825R107        4         1,000           x                 0     1,000  0
Exxon Corp.                            Common Stock    302290101       50           641           x                 0       641  0
Yahoo Inc                              Common Stock    984332106       12           100           x                 0       100  0
Polaris Aircraft Income Fund IV-Units  LTD (GS) P4     731045308        1            30           x                 0        30  0
Zions BanCorporation                   Common Stock    989701107    9,412       205,092           x                 0   205,092  0

Grand Total:                                                      914,025
</TABLE>
<PAGE>

Form 13F  Name of Reporting Manager:                       Run Date: 07/17/2000
                                                           --------------------
          Legg Mason Capital Management - Inst. ID# 71102  S.E.C. Use Only
                For Positions Held as of 06/30/2000                   |
                                                           --------------------
<TABLE>
<CAPTION>
                                                                                                                      Item 8:
                                                                                        Item 6:                   Voting Authority
                Item 1:                 Item 2:  Item 3:   Item 4:    Item 5:     Investment Discretion Item 7:       (Shares)
            Name of Issuer               Class    CUSIP     Value    Shares or     (a)     (b)     (c)   Other  (a)     (b)    (c)
                                                          (X $1000) Principal Amt Sole   Shared   Other  Mgrs.  Sole  Shared   None
-----------------------------------------------------------------------------------------------------------------------------------
<S>                                     <C>     <C>       <C>       <C>           <C>    <C>      <C>   <C>     <C> <C>        <C>
Albertson's Inc.                        Common  013104104   177,558   5,340,100            x                     0   5,340,100   0
Armstrong Hldgs Inc                     Common  042384107       740      48,300            x                     0      48,300   0
Acxiom Corp.                            Common  005125109     7,159     262,700            x                     0     262,700   0
Aetna Inc.                              Common  008117103   176,726   2,753,250            x                     0   2,753,250   0
Apartment Investment & Mgt Co Class A   Common  03748R101     1,531      35,400            x                     0      35,400   0
The Allstate Corp.                      Common  020002101       614      27,600            x                     0      27,600   0
Amazon.com, Inc.                        Common  023135106   142,842   3,933,620            x                     0   3,933,620   0
America Online Inc.                     Common  02364J104   324,302   6,147,903            x                     0   6,147,903   0
Airgas Inc.                             Common  009363102       717     126,000            x                     0     126,000   0
Archstone Communities Trust             Common  039581103     1,870      88,800            x                     0      88,800   0
Avon Products Inc.                      Common  054303102        59       1,330            x                     0       1,330   0
American Express Co.                    Common  025816109        65       1,245            x                     0       1,245   0
Bank of America Corp.                   Common  060505104    69,061   1,606,075            x                     0   1,606,075   0
Bell & Howell Co.                       Common  077852101     1,038      42,800            x                     0      42,800   0
Banknorth Group Inc.                    Common  06646R107       822      53,700            x                     0      53,700   0
Berkshire Hathaway Inc. Class A         Common  084670108    38,198         710            x                     0         710   0
Berkshire Hathaway Inc. Class B         Common  084670207    61,732      35,075            x                     0      35,075   0
Bear Stearns Companies, Inc.            Common  073902108    50,856   1,221,768            x                     0   1,221,768   0
Citigroup, Inc.                         Common  172967101   171,882   2,852,817            x                     0   2,852,817   0
Cadence Design Systems Inc.             Common  127387108     1,860      91,300            x                     0      91,300   0
Cell Genesys Inc.                       Common  150921104     1,819      64,977            x                     0      64,977   0
Ceridian Corp.                          Common  15677T106     2,498     103,800            x                     0     103,800   0
Mack-Cali Realty Corp.                  Common  554489104     1,552      60,400            x                     0      60,400   0
Chase Manhattan Corp.                   Common  16161A108   140,346   3,046,835            x                     0   3,046,835   0
Caremark Rx Inc.                        Common  141705103     2,008     294,700            x                     0     294,700   0
Consolidated Stores Corp.               Common  210149100     4,528     377,300            x                     0     377,300   0
Cott Corp.                              Common  22163N106       337      56,100            x                     0      56,100   0
Cabletron Systems Inc.                  Common  126920107     7,709     305,300            x                     0     305,300   0
Dell Computer Corp.                     Common  247025109    80,272   1,627,803            x                     0   1,627,803   0
Danaher Corp.                           Common  235851102    57,809   1,169,332            x                     0   1,169,332   0
Donnelley (R R) & Sons Co               Common  257867101     4,673     207,100            x                     0     207,100   0
Enhance Financial Services Group Inc.   Common  293310108       787      54,750            x                     0      54,750   0
Equifax Inc.                            Common  294429105     2,121      80,800            x                     0      80,800   0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
                                                                                                                      Item 8:
                                                                                        Item 6:                   Voting Authority
                Item 1:                 Item 2:  Item 3:   Item 4:    Item 5:     Investment Discretion Item 7:       (Shares)
            Name of Issuer               Class    CUSIP     Value    Shares or     (a)     (b)     (c)   Other  (a)     (b)    (c)
                                                          (X $1000) Principal Amt Sole   Shared   Other  Mgrs.  Sole  Shared   None
-----------------------------------------------------------------------------------------------------------------------------------
<S>                                     <C>     <C>       <C>       <C>           <C>    <C>      <C>   <C>     <C> <C>        <C>
Eastman Kodak Co.                       Common  277461109   188,588   3,169,550            x                     0   3,169,550   0
Equity Office Properties Trust          Common  294741103     4,035     146,400            x                     0     146,400   0
Equity Residential Properties Trust     Common  29476L107     6,477     140,800            x                     0     140,800   0
Fleet Boston Financial Corp.            Common  339030108   121,410   3,570,886            x                     0   3,570,886   0
Foundation Health Systems               Common  350404109    64,481   4,960,081            x                     0   4,960,081   0
Fannie Mae                              Common  313586109   143,886   2,757,062            x                     0   2,757,062   0
Finova Group Inc.                       Common  317928109     6,462     497,050            x                     0     497,050   0
Freddie Mac                             Common  313400301    53,175   1,312,965            x                     0   1,312,965   0
Golden West Finl Corp. Del              Common  381317106     3,955      96,900            x                     0      96,900   0
General Growth Properties, Inc.         Common  370021107     1,057      33,300            x                     0      33,300   0
Great Lakes Chemical Corp.              Common  390568103     1,688      53,600            x                     0      53,600   0
General Motors Corp.                    Common  370442105    89,990   1,549,867            x                     0   1,549,867   0
Gateway Inc.                            Common  367626108   340,091   5,992,796            x                     0   5,992,796   0
Hillenbrand Industries Inc.             Common  431573104       792      25,300            x                     0      25,300   0
HCA-Healthcare Co                       Common  404119109     7,627     251,100            x                     0     251,100   0
Harley Davidson, Inc.                   Common  412822108        69       1,780            x                     0       1,780   0
Hollywood Entertainment Corp.           Common  436141105     3,920     497,800            x                     0     497,800   0
Starwood Hotels & Resorts Worldwide In  Common  85590A203    98,657   3,053,156            x                     0   3,053,156   0
Block H & R Inc.                        Common  093671105        29         900            x                     0         900   0
International Business Machines Corp.   Common  459200101   161,533   1,474,337            x                     0   1,474,337   0
ICG Communications Inc.                 Common  449246107     8,432     382,173            x                     0     382,173   0
International Game Technology           Common  459902102     2,457      92,700            x                     0      92,700   0
International Speedway Corp.            Common  460335201        46       1,100            x                     0       1,100   0
Kroger Co.                              Common  501044101    95,125   4,311,524            x                     0   4,311,524   0
MBNA Corp.                              Common  55262L100    76,564   2,822,648            x                     0   2,822,648   0
Litton Industries                       Common  538021106     2,008      47,800            x                     0      47,800   0
Liz Claiborne, Incorporated             Common  539320101     1,459      41,400            x                     0      41,400   0
Lloyds TSB Group PLC                    Foreign G5542W106    56,936   6,025,655            x                     0   6,025,655   0
Lockheed Martin Corp.                   Common  539830109     4,377     176,400            x                     0     176,400   0
Manpower Inc.                           Common  56418H100     6,098     190,550            x                     0     190,550   0
Mattel Inc.                             Common  577081102    40,230   3,050,490            x                     0   3,050,490   0
Mandalay Resort Group                   Common  562567107    33,123   1,656,127            x                     0   1,656,127   0
McDonalds Corp.                         Common  580135101        41       1,250            x                     0       1,250   0
McKesson HBOC Inc.                      Common  58155Q103    74,751   3,570,119            x                     0   3,570,119   0
MGM Grand Inc.                          Common  552953101    26,882     836,796            x                     0     836,796   0
Metro Goldwyn Mayer Inc.                Common  591610100     1,521      58,202            x                     0      58,202   0
Philip Morris Companies Inc.            Common  718154107    11,988     451,300            x                     0     451,300   0
Modis Professional Services             Common  607830106     3,555     466,250            x                     0     466,250   0
MGIC Investment Corp.                   Common  552848103   153,326   3,369,813            x                     0   3,369,813   0
Nike Inc.                               Common  654106103       677      17,000            x                     0      17,000   0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
                                                                                                                      Item 8:
                                                                                        Item 6:                   Voting Authority
                Item 1:                 Item 2:  Item 3:   Item 4:    Item 5:     Investment Discretion Item 7:       (Shares)
            Name of Issuer               Class    CUSIP     Value    Shares or     (a)     (b)     (c)   Other  (a)     (b)    (c)
                                                          (X $1000) Principal Amt Sole   Shared   Other  Mgrs.  Sole  Shared   None
-----------------------------------------------------------------------------------------------------------------------------------
<S>                                     <C>     <C>       <C>       <C>           <C>    <C>      <C>   <C>     <C> <C>        <C>
Nokia Corp. Sponsored ADR               ADR     654902204   113,514   2,273,096            x                     0   2,273,096   0
Nextel Communications Inc.              Common  65332V103   185,723   3,035,280            x                     0   3,035,280   0
Bank One Corp.                          Common  06423A103   118,827   4,473,400            x                     0   4,473,400   0
Old Republic International Corp.        Common  680223104     3,810     230,922            x                     0     230,922   0
Koninklijke Philips Electronics NV ADR  ADR     500472204     6,809     143,344            x                     0     143,344   0
Pinnacle Entertainment Inc              Common  723456109     1,505      77,400            x                     0      77,400   0
Radian Group Inc.                       Common  750236101     8,136     157,227            x                     0     157,227   0
Republic Services Inc                   Common  760759100    25,073   1,567,050            x                     0   1,567,050   0
Raytheon Co-Cl B                        Common  755111408       123       6,400            x                     0       6,400   0
Security Capital Group Inc. Ser B       Common  81413P204       915      53,800            x                     0      53,800   0
Security Capital Group, Inc. Class A    Common  81413P105       416         595            x                     0         595   0
Sungard Data Systems Inc.               Common  867363103     6,197     199,900            x                     0     199,900   0
Sigma-Aldrich Corp.                     Common  826552101     1,112      38,000            x                     0      38,000   0
Sara Lee Corp.                          Common  803111103     5,294     274,100            x                     0     274,100   0
Storage Technology Corp.                Common  862111200    27,016   2,469,964            x                     0   2,469,964   0
Stanley Works                           Common  854616109     2,876     121,100            x                     0     121,100   0
Sybase Inc.                             Common  871130100     8,430     366,500            x                     0     366,500   0
Symantec Corp.                          Common  871503108     7,568     140,300            x                     0     140,300   0
Talk.Com Inc.                           Common  874264104     3,721     640,100            x                     0     640,100   0
Tenet Healthcare Corp.                  Common  88033G100     4,371     161,900            x                     0     161,900   0
TJX Companies Inc.                      Common  872540109     2,312     123,300            x                     0     123,300   0
Telefonos De Mexico SA Spons ADR        ADR     879403780    59,361   1,039,144            x                     0   1,039,144   0
Toys 'R' Us Inc.                        Common  892335100   123,701   8,494,176            x                     0   8,494,176   0
United Asset Management Corp.           Common  909420101     1,551      66,350            x                     0      66,350   0
Unisys Corp.                            Common  909214108         5         350            x                     0         350   0
UnitedHealth Group Inc.                 Common  91324P102   247,830   2,890,151            x                     0   2,890,151   0
Unumprovident Corp.                     Common  91529Y106     2,392     119,200            x                     0     119,200   0
U S T Inc.                              Common  902911106     3,300     224,700            x                     0     224,700   0
Viad Corp.                              Common  92552R109     2,334      85,650            x                     0      85,650   0
WorldCom, Inc.                          Common  98157D106   243,209   5,301,551            x                     0   5,301,551   0
Wellpoint Health Networks Inc.          Common  94973H108     7,744     106,900            x                     0     106,900   0
Washington Mutual Inc.                  Common  939322103   164,727   5,704,840            x                     0   5,704,840   0
Waste Management Inc.                   Common  94106L109   234,312  12,332,220            x                     0  12,332,220   0
Wal-Mart Stores Inc.                    Common  931142103        40         700            x                     0         700   0
WPP Group PLC- Ord                      Foreign GB0009740     2,132     146,000            x                     0     146,000   0
WPP Group PLC - Sponsored ADR           ADR     929309300   129,746   1,786,520            x                     0   1,786,520   0

Grand Total:                                              5,189,737
</TABLE>

<PAGE>

<TABLE>
<CAPTION>
     FORM 13F      Name of Reporting Manager:                                                              Run Date: 07/17/2000
                                                 Legg Mason Wood Walker (IMS)                              -------------------------
                                               For Positions Held as of 06/30/2000                         S.E.C. Use Only

                                                                                                           -------------------------
                  Item 1:                 Item 2:      Item 3:  Item 4:    Item 5:           Item 6:       Item 7:    Item 8:
              Name of Issuer          Title of Class    CUSIP     Fair    Shares or  Investment Discretion  Other  Voting Authority
                                                                 Market   Principal  (a)     (b)     (c)     Mgrs      (Shares)
                                                                  Value      Amt.    Sole   Shared   Other         (a)    (b)   (c)
                                                                (X $1000)                                          Sole  Shared None

------------------------------------------------------------------------------------------------------------------------------------
<S>                                   <C>             <C>       <C>       <C>        <C>    <C>      <C>   <C>     <C>   <C>    <C>
Videoactive Co                        Common Stock    92657N102         0    10,000            x                      0  10,000    0
Escrow Charter Federal Savings        Common Stock    161223987         0       318            x                      0     318    0
Medialliance Inc. Liquidating         Common Stock    584022990         0     2,500            x                      0   2,500    0
Merrill Lynch Pfd Cap Tr V            PFD QTR 30/360  59021K205         9       400            x                      0     400    0
Comstock Uranium & Oil Corp.          Common Stock    8971580           0     1,000            x                      0   1,000    0
Hire Quality Inc Cl B                 Common Stock    8L24130           0        75            x                      0      75    0
Escrow Cafe Ones LP LTD Partnership   LTD Part  P4    8S00076           0     1,000            x                      0   1,000    0
Warren Ehret Co.                      PFD QTR 30/360  8S00431           0         3            x                      0       3    0
Resource Bank Mandeville LA           Common Stock    8S00732           0    37,500            x                      0  37,500    0
Astron Corp.                          Common Stock    8S00961           0     4,000            x                      0   4,000    0
State Bank of Commerce Slidell LA     Common Stock    8S01071           0     5,000            x                      0   5,000    0
System Planning Corp Inc              Common Stock    8S01086           0     4,093            x                      0   4,093    0
Triangle Biomedical Sciences          Common Stock    8S01111           0       289            x                      0     289    0
Hethwood INcome Partners Ltd          LTD Part P2     8S01155           0         1            x                      0       1    0
Cellular Radio Corp Inc               Common Stock    8S01656           0    25,000            x                      0  25,000    0
Ni-Cal Technology Ltd                 Common Stock    8S01690           0        25            x                      0      25    0
Development Partners                  Common Stock    8S01811           0         5            x                      0       5    0
Union Street Corporation              Common Stock    8S01973           0         7            x                      0       7    0
Technology Funding Secured Investors  Common Stock    8S02033           0       300            x                      0     300    0
Ipal Equity Inc                       Common Stock    8S02337           0     5,000            x                      0   5,000    0
Lourdes Physician Health Organization Common Stock    8S02338           0       900            x                      0     900    0
Centrigen Inc. Ser A                  Common Stock    8S02340           0    47,774            x                      0  47,774    0
Centreville Square                    Common Stock    8S02346           0         1            x                      0       1    0
Quill Medical, Inc.                   PreferdStk Conv 8S02470           0    25,000            x                      0  25,000    0
TechnologyNet, Inc.                   Common Stock    8S02492           0    15,000            x                      0  15,000    0
Netdecide Corporation Sec C           PreferdStk Conv 8S02518           0    27,559            x                      0  27,559    0
AAA Mall Subscription                 Common Stock    8S02558           0       500            x                      0     500    0
Telefonica Del Peru Exchange Offer    Common Stock    8S02566           8     5,355            x                      0   5,355    0
Consolidated Oil Corp                 Common Stock    8S03025           0         0            x                      0       0    0
First National Bank of Wyoming, Del.  Common Stock    8S03133           0        20            x                      0      20    0
Bridgeview Inc                        Common Stock    8S03534           0     1,000            x                      0   1,000    0
Keefe Offshore Fund LTD               Common Stock    8S04075           0         4            x                      0       4    0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
     FORM 13F      Name of Reporting Manager:                                                                Run Date: 07/17/2000
                                                 Legg Mason Wood Walker (IMS)                              -------------------------
                                               For Positions Held as of 06/30/2000                           S.E.C. Use Only

                                                                                                           -------------------------
                  Item 1:                 Item 2:      Item 3:  Item 4:    Item 5:           Item 6:       Item 7:    Item 8:
              Name of Issuer          Title of Class    CUSIP     Fair    Shares or  Investment Discretion  Other  Voting Authority
                                                                 Market   Principal  (a)     (b)     (c)     Mgrs      (Shares)
                                                                  Value      Amt.    Sole   Shared   Other         (a)   (b)    (c)
                                                                (X $1000)                                          Sole  Shared None

------------------------------------------------------------------------------------------------------------------------------------
<S>                                   <C>              <C>       <C>      <C>        <C>    <C>      <C>   <C>     <C>   <C>    <C>
Houston Spec ASO LLC                  Common Stock     8S04644         0        100            x                      0     100    0
U.S. Fleet Services Inc.              Common Stock     8S04894         0          4            x                      0       4    0
Agilent Technologies Inc              Common Stock     00846U101  18,975    257,286            x                      0 257,286    0
Alabama Railroad Co. - Iowa Pfd       PFD QTR 30/360   01039N300       0          1            x                      0       1    0
Akers Laboratories Inc                Common Stock     00972M105       0     15,000            x                      0  15,000    0
American Sts Wtr Co Pfd 4%            PFD QTR 30/360   029899200       0         85            x                      0      85    0
Aames Finl Corp. Pfd Conv Ser C       PreferdStk Conv  00253A408       0        200            x                      0     200    0
Arch Coal, Inc.                       Common Stock     039380993       1        127            x                      0     127    0
Amr Corp                              PFD QTR 30/360   001765866      10        440            x                      0     440    0
American Natl Can Group Inc           Common Stock     027714997     230     13,645            x                      0  13,645    0
Axcan Pharma Inc.                     Common Stock     054923107      15      2,150            x                      0   2,150    0
Alabama & Florida Railway Co.         Common Stock     010210201       0          4            x                      0       4    0
Alcoa Inc.                            Common Stock     013817101   2,495     86,029            x                      0  86,029    0
Airtran Holdings Inc.                 Common Stock     00949P108       1        240            x                      0     240    0
Aames Finl Corp                       Common Stock     00253A309       1      1,200            x                      0   1,200    0
ABN AMRO Capital FDG Trust I 7.5% Pfd PFD QTR 30/360   00371Q202      63      2,940            x                      0   2,940    0
Abn Amro Cap Fdg Tr Ii                PFD QTR 30/360   00371T206      31      1,500            x                      0   1,500    0
Apple Computer                        Common Stock     037833100   3,002     57,316            x                      0  57,316    0
Anglo American Platinum Corp          ADR              034855106      29      1,000            x                      0   1,000    0
Advanced Aerodynamics &Str -A         Common Stock     00750B107      29      9,000            x                      0   9,000    0
American Acces Technologies           Common Stock     02368F108      12      2,000            x                      0   2,000    0
Anglo American PLC                    ADR              03485P102     496     10,498            x                      0  10,498    0
Allied Artists Inds Inc               Common Stock     018859108       0        200            x                      0     200    0
Abacan Resource Corp. New             Foreign Stock    002919108       0     46,900            x                      0  46,900    0
Abington Bancorp Inc.                 Common Stock     00350P100      98     10,910            x                      0  10,910    0
ABC-NACO Inc                          Common Stock     000752105     204     25,475            x                      0  25,475    0
Airborne Freight Corp.                Common Stock     009266107     162      8,570            x                      0   8,570    0
Arkansas Best Corp. - Del             Common Stock     040790107     576     58,000            x                      0  58,000    0
Arkansas Best Corp. Conv PFD Ser A    PreferdStk Conv  040790206      11        275            x                      0     275    0
Abgenix Inc.                          Common Stock     00339B107     179      1,493            x                      0   1,493    0
American Bk Nt Holographics           Common Stock     024377103      23     10,000            x                      0  10,000    0
Adelphia Business Solutions           Common Stock     006847107      32      1,400            x                      0   1,400    0
Alabama Power Co Sr Nt C 7%           PFD QTR 30/360   010392629       3        160            x                      0     160    0
Ambac Financial Group, Inc.           Common Stock     023139108     516      9,408            x                      0   9,408    0
ABM Industries Inc.                   Common Stock     000957100      51      2,200            x                      0   2,200    0
Abiomed Inc                           Common Stock     003654100      18        600            x                      0     600    0
ABN Amro Hldg NV Sponsored ADR        ADR              000937102     562     22,899            x                      0  22,899    0
Ambra Rty Inc Com New                 Common Stock     023316300       1     17,000            x                      0  17,000    0
Albertson's Inc.                      Common Stock     013104104   3,622    108,943            x                      0 108,943    0
Aurora Biosciences Corp               Common Stock     051920106     224      3,290            x                      0   3,290    0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
     FORM 13F      Name of Reporting Manager:                                                              Run Date: 07/17/2000
                                                 Legg Mason Wood Walker (IMS)                              ------------------------
                                               For Positions Held as of 06/30/2000                         S.E.C. Use Only

                                                                                                           -------------------------
                  Item 1:                 Item 2:      Item 3:  Item 4:    Item 5:           Item 6:       Item 7:    Item 8:
              Name of Issuer          Title of Class    CUSIP     Fair    Shares or  Investment Discretion  Other  Voting Authority
                                                                 Market   Principal  (a)     (b)     (c)     Mgrs      (Shares)
                                                                  Value      Amt.    Sole   Shared   Other         (a)   (b)    (c)
                                                                (X $1000)                                          Sole  Shared None

------------------------------------------------------------------------------------------------------------------------------------
<S>                                   <C>             <C>       <C>       <C>        <C>    <C>      <C>   <C>     <C>   <C>    <C>
Abbott Laboratories                    Common Stock    002824100  25,752   577,882           x                        0 577,882    0
Able Telcom Holding Corp. New          Common Stock    003712304       0       150           x                        0     150    0
Ambient Corp                           Common Stock    02318N102      12     3,500           x                        0   3,500    0
Alpha Beta Technology Inc.             Common Stock    02071K105       0       800           x                        0     800    0
Autobytel.Com Inc.                     Common Stock    05275N106       3       560           x                        0     560    0
Agribiotech Inc                        Common Stock    008494106       0    10,000           x                        0  10,000    0
Barrick Gold Corp.                     Foreign Stock   067901108      78     4,300           x                        0   4,300    0
Abitibi-Consolidated Inc.              Foreign Stock   003924107     141    15,009           x                        0  15,009    0
Abbey National PLC Spons ADR           ADR             002920106     115     4,830           x                        0   4,830    0
Alliance Capital Management - LP Unit  LTD Part P4     01855A101   1,820    38,358           x                        0  38,358    0
Alabama Power Co. 7.00% Ser B Pfd      PFD QTR 30/360  010392637      33     1,600           x                        0   1,600    0
Atlantic Coast Airlines                Common Stock    048396105      25       800           x                        0     800    0
American Capital Strategies            Common Stock    024937104   1,016    42,550           x                        0  42,550    0
Arctic Cat Inc                         Common Stock    039670104      15     1,300           x                        0   1,300    0
Access Power Inc                       Common Stock    00431N108       2     4,300           x                        0   4,300    0
Ace*Comm Corp                          Common Stock    004404109       6     1,150           x                        0   1,150    0
Aceto Corp.                            Common Stock    004446100      15     1,400           x                        0   1,400    0
Americredit Corp.                      Common Stock    03060R101     360    21,170           x                        0  21,170    0
Acm Government Income Fund Inc.        MutualFdFiClose 000912105     209    29,068           x                        0  29,068    0
Arch Coal, Inc.                        Common Stock    039380100       4       564           x                        0     564    0
Armstrong Hldgs Inc                    Common Stock    042384107     142     9,305           x                        0   9,305    0
ACE LTD                                Common Stock    G0070K103     685    24,466           x                        0  24,466    0
Aclara Biosciences Inc                 Common Stock    00461P106     174     3,410           x                        0   3,410    0
Accent Color Sciences Inc              Common Stock    004305108       3     5,000           x                        0   5,000    0
Accom Inc                              Common Stock    004334108       1     1,000           x                        0   1,000    0
Agency Com Ltd                         Common Stock    008447104      15       833           x                        0     833    0
Anderson Computers Tidalwave           Common Stock    033614108       0     2,000           x                        0   2,000    0
American Retirement Corp.              Common Stock    028913101       6     1,000           x                        0   1,000    0
Acacia Research Corp.                  Common Stock    003881109   1,253    52,200           x                        0  52,200    0
Acrodyne Communications Inc.           Common Stock    00500E104       0       150           x                        0     150    0
Affiliated Computer Services           Common Stock    008190100     788    23,823           x                        0  23,823    0
Actel Corp                             Common Stock    004934105      61     1,334           x                        0   1,334    0
ACT Manufacturing Inc                  Common Stock    000973107      51     1,100           x                        0   1,100    0
Action Performance Cos Inc.            Common Stock    004933107      65     8,950           x                        0   8,950    0
Actuate Corp                           Common Stock    00508B102   1,253    23,475           x                        0  23,475    0
Alberto Culver Co Cl B Conv            Common Stock    013068101      17       550           x                        0     550    0
Alberto Culver Co. Cl A                Common Stock    013068200      68     2,600           x                        0   2,600    0
Acxiom Corp.                           Common Stock    005125109     468    17,165           x                        0  17,165    0
ADAC Laboratories New                  Common Stock    005313200     269    11,225           x                        0  11,225    0
Adaptive Broadband Corp                Common Stock    00650M104      11       290           x                        0     290    0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
     FORM 13F      Name of Reporting Manager:                                                              Run Date: 07/17/2000
                                                 Legg Mason Wood Walker (IMS)                              -------------------------
                                               For Positions Held as of 06/30/2000                         S.E.C. Use Only

                                                                                                           -------------------------
                  Item 1:                 Item 2:      Item 3:  Item 4:    Item 5:           Item 6:       Item 7:    Item 8:
              Name of Issuer          Title of Class    CUSIP     Fair    Shares or  Investment Discretion  Other  Voting Authority
                                                                 Market   Principal  (a)     (b)     (c)     Mgrs      (Shares)
                                                                  Value      Amt.    Sole   Shared   Other         (a)   (b)    (c)
                                                                (X $1000)                                          Sole  Shared None

------------------------------------------------------------------------------------------------------------------------------------
<S>                                   <C>             <C>       <C>       <C>        <C>   <C>       <C>   <C>    <C>  <C>      <C>
Adobe Systems Inc.                    Common Stock    00724F101     8,097    62,288            x                   0    62,288   0
Audible Inc                           Common Stock    05069A104        11     2,550            x                   0     2,550   0
Agree Realty Corp.                    Common Stock    008492100       233    14,000            x                   0    14,000   0
A D C Telecommunications Inc.         Common Stock    000886101     9,073   108,174            x                   0   108,174   0
Aden Enterprises Inc New              Common Stock    006852206         1     2,800            x                   0     2,800   0
ACM Managed Dollar Income Fund        Common Stock    000949107        30     3,500            x                   0     3,500   0
American Diversified Group Inc        Common Stock    02541M103         1     5,000            x                   0     5,000   0
Adams Golf Inc                        Common Stock    006228100         0       200            x                   0       200   0
Analog Devices Inc.                   Common Stock    032654105     2,339    30,780            x                   0    30,780   0
Advanced Digital Info Corp            Common Stock    007525108        81     5,110            x                   0     5,110   0
Adelphia Communications Corp. - Cl A  Common Stock    006848105     1,579    33,680            x                   0    33,680   0
Advanced Lighting Tech Inc            Common Stock    00753C102        13       700            x                   0       700   0
Archer-Daniels Midland Co.            Common Stock    039483102       824    84,015            x                   0    84,015   0
Alden Electrs Inc                     Common Stock    014086102         0     2,500            x                   0     2,500   0
Adaptec Inc.                          Common Stock    00651F108       135     5,943            x                   0     5,943   0
Andrx Corp.                           Common Stock    034551101     1,065    16,662            x                   0    16,662   0
Atlantic Data Services Inc            Common Stock    048523104        13     4,000            x                   0     4,000   0
Autodesk Inc.                         Common Stock    052769106       247     7,110            x                   0     7,110   0
Ariel Corp                            Common Stock    04033M104         1       500            x                   0       500   0
Applied Digital Solutions             Common Stock    038188108        54    15,925            x                   0    15,925   0
Adept Technology Inc                  Common Stock    006854103         9       200            x                   0       200   0
Adtran Inc.                           Common Stock    00738A106       383     6,405            x                   0     6,405   0
Advest Group Inc                      Common Stock    007566102        56     2,655            x                   0     2,655   0
Advanta Corp. CL A                    Common Stock    007942105        24     1,935            x                   0     1,935   0
Advanced Viral Research Corp          Common Stock    007928104        15    33,700            x                   0    33,700   0
Advent Software Inc.                  Common Stock    007974108       363     5,625            x                   0     5,625   0
Advantage Technologies Inc            Common Stock    00759U106         0    10,800            x                   0    10,800   0
Adams Express                         MutualFdEqClose 006212104       342     9,284            x                   0     9,284   0
Allied Zurich PLC Sponsored ADR       ADR             01959Q101     5,248   222,350            x                   0   222,350   0
Associated Estates Realty Corp.       Common Stock    045604105        24     3,375            x                   0     3,375   0
Alberta Energy                        PFD QTR 30/360  012873808         5       200            x                   0       200   0
Ameren Corp.                          Common Stock    023608102       218     6,462            x                   0     6,462   0
Aegon NV - ORD                        ADR             007924103       706    19,814            x                   0    19,814   0
Advanced Energy Industries Inc.       Common Stock    007973100         5        80            x                   0        80   0
AMC Entertainment Inc.                Common Stock    001669100         6     1,200            x                   0     1,200   0
American Eagle Outfitters Inc.        Common Stock    02553E106        15     1,100            x                   0     1,100   0
American Electric Power Co            Common Stock    025537101       514    17,358            x                   0    17,358   0
Aegis Realty Inc                      Common Stock    00760P104        21     2,069            x                   0     2,069   0
The AES Corp.                         Common Stock    00130H105     5,318   116,568            x                   0   116,568   0
AES Tr III Pfd Cv 6.75%               PreferdStk Conv 00808N202        14       190            x                   0       190   0
</TABLE>
<PAGE>
<TABLE>
<CAPTION>
     FORM 13F      Name of Reporting Manager:                                                                Run Date: 07/17/2000
                                                 Legg Mason Wood Walker (IMS)                                -----------------------
                                               For Positions Held as of 06/30/2000                           S.E.C. Use Only

                                                                                                             -----------------------
   Item 1:                               Item 2:         Item 3:   Item 4:  Item 5:         Item 6:          Item 7:    Item 8:
Name of Issuer                         Title of Class     CUSIP     Fair    Shares or  Investment Discretion  Other Voting Authority
                                                                   Market   Principal  (a)    (b)    (c)      Mgrs    (Shares)
                                                                    Value      Amt.     Sole Shared Other           (a)   (b)   (C)
                                                                  (X $1000)                                        Sole Shared None

------------------------------------------------------------------------------------------------------------------------------------
<S>                                    <C>              <C>        <C>     <C>         <C>    <C>    <C>     <C>    <C>   <C>   <C>
Aes Trust II Conv Secs Ser B           PreferdStk Conv  001034305      7        80             x                     0       80  0
Aetna Inc.                             Common Stock     008117103  1,098    17,104             x                     0   17,104  0
Applied Extrusion Technologies Inc     Common Stock     038196101     67    12,795             x                     0   12,795  0
Aether Sys Inc                         Common Stock     00808V105    278     1,355             x                     0    1,355  0
The Argentina Fund, Inc.               Common Stock     040112104      4       400             x                     0      400  0
Advance Financial Bancorp              Common Stock     007437106      3       300             x                     0      300  0
Asia Fiber Hldgs Ltd                   Common Stock     04518F103      0         1             x                     0        1  0
Allmerica Financial Corp.              Common Stock     019754100     58     1,100             x                     0    1,100  0
Advanced Fibre Communication           Common Stock     00754A105    303     6,680             x                     0    6,680  0
Morgan Stanley Africa                  MutualFdEqClose  617444104      2       200             x                     0      200  0
Affinity Technology Group Inc          Common Stock     00826M103      1       450             x                     0      450  0
Affinity International Travel          Common Stock     00826F108      1     1,000             x                     0    1,000  0
Affymetrix Inc.                        Common Stock     00826T108    557     3,374             x                     0    3,374  0
American Financial Group Inc.          Common Stock     025932104    188     7,563             x                     0    7,563  0
American Financial Cap Trust           Preferred Stock  026077206    136     5,910             x                     0    5,910  0
Atlantic Financial Corp                Common Stock     04853R100    129    10,117             x                     0   10,117  0
Aflac Corp. New                        Common Stock     001055102  1,592    34,664             x                     0   34,664  0
AMFM Inc                               Common Stock     001693100    444     6,434             x                     0    6,434  0
Associates First Capital Corp.         Common Stock     046008108  1,299    58,198             x                     0   58,198  0
American Freightways Corp              Common Stock     02629V108    150    10,350             x                     0   10,350  0
Agco Corp.                             Common Stock     001084102    152    12,375             x                     0   12,375  0
U S Aggregates Inc                     Common Stock     90334D109     36     2,000             x                     0    2,000  0
American General Corp.                 Common Stock     026351106  2,316    37,974             x                     0   37,974  0
American General Capital LLC 8.125%    PFDMthly 30/360  02637F301    107     4,550             x                     0    4,550  0
American Gen Cap I                     PFD QTR 30/360   02638N105     34     1,400             x                     0    1,400  0
American General Capital LLC 8.45% Pfd PFDMthly 30/360  02637F202    218     9,065             x                     0    9,065  0
Edwards A G Inc.                       Common Stock     281760108    432    11,074             x                     0   11,074  0
Argonaut Group Inc.                    Common Stock     040157109      2       105             x                     0      105  0
Agile Software Corp Del                Common Stock     00846X105     48       680             x                     0      680  0
Angelica Corp.                         Common Stock     034663104      1       100             x                     0      100  0
Associated Golf Mngmt Inc              Common Stock     045646106      0     6,667             x                     0    6,667  0
Allergan Inc.                          Common Stock     018490102    541     7,267             x                     0    7,267  0
Augrid Nev Inc                         Common Stock     05106D103      0   120,000             x                     0  120,000  0
SAGA Sys Inc                           Common Stock     786610105  4,005   322,000             x                     0  322,000  0
Argosy Gaming Co                       Common Stock     040228108    742    51,625             x                     0   51,625  0
Alpha Industries Inc Del               Common Stock     020753109    412     9,355             x                     0    9,355  0
Amerada Hess Corp.                     Common Stock     023551104     44       707             x                     0      707  0
Ambanc Hldg Inc                        Common Stock     023161102      3       200             x                     0      200  0
Apria Healthcare Group Inc.            Common Stock     037933108    256    20,935             x                     0   20,935  0
American Heliothermal Corp.            Common Stock     026497206      0     2,500             x                     0    2,500  0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
     FORM 13F      Name of Reporting Manager:                                                              Run Date: 07/17/2000
                                                 Legg Mason Wood Walker (IMS)                              -------------------------
                                               For Positions Held as of 06/30/2000                         S.E.C. Use Only

                                                                                                           -------------------------
                  Item 1:                 Item 2:     Item 3:   Item 4:    Item 5:           Item 6:       Item 7:    Item 8:
              Name of Issuer          Title of Class   CUSIP      Fair    Shares or  Investment Discretion  Other  Voting Authority
                                                                 Market   Principal  (a)     (b)     (c)     Mgrs      (Shares)
                                                                  Value      Amt.    Sole   Shared   Other         (a)   (b)    (c)
                                                                (X $1000)                                          Sole  Shared None

------------------------------------------------------------------------------------------------------------------------------------
<S>                                    <C>            <C>       <C>       <C>        <C>    <C>      <C>   <C>     <C>   <C>    <C>
American Home Mtg Hldgs Inc            Common Stock   02660M108       1        200             x                      0      200   0
Koninklijke Ahold NV-SP ADR            ADR            500467303     632     21,556             x                      0   21,556   0
American Homepatient Inc               Common Stock   026649103       0         47             x                      0       47   0
American Home Products Corp.           Common Stock   026609107  15,152    257,903             x                      0  257,903   0
Anthracite Capital Inc.                Common Stock   037023108       7      1,000             x                      0    1,000   0
Allied Irish Banks Plc                 ADR            019228402   2,655    149,556             x                      0  149,556   0
Asset Investors Corporation            Common Stock   04541W107       0         40             x                      0       40   0
American International Group Inc.      Common Stock   026874107  35,720    303,998             x                      0  303,998   0
Adair International Oil & Gas Inc.     Common Stock   005408109      19     23,000             x                      0   23,000   0
Alpnet Inc                             Common Stock   021089107       8      2,600             x                      0    2,600   0
Autoimmune Inc.                        Common Stock   052776101       2      1,400             x                      0    1,400   0
Arnold Inds Inc.                       Common Stock   042595108     760     63,027             x                      0   63,027   0
Applied Innovation Inc.                Common Stock   037916103     710     66,820             x                      0   66,820   0
American Intl Pete Corp Com Par        Common Stock   026909408      12     21,750             x                      0   21,750   0
Air Liquide ADR                        ADR            009126202       3         90             x                      0       90   0
AAR Corp.                              Common Stock   000361105       2        200             x                      0      200   0
Airtech Intl Group Com New             Foreign Stock  00950F205       6      6,216             x                      0    6,216   0
Jet Fla Sys Inc.                       Common Stock   476901103       0      4,000             x                      0    4,000   0
American Aircarriers Support Inc.      Common Stock   023758105       2        600             x                      0      600   0
Ampal American Israel Corp.            Common Stock   032015109      68      4,500             x                      0    4,500   0
Apartment Investment & Mgt Co Class A  Common Stock   03748R101       4        100             x                      0      100   0
Apartment Inv & Mgmt Co 8.75% Cum PFD  PFD QTR 30/360 03748R309     116      5,760             x                      0    5,760   0
Apartment Invt & Mgmt Co 9% Cum Perp   PFD QTR 30/360 03748R200     164      8,300             x                      0    8,300   0
Apartment Invt & Mgmt Co Pfd H 9.50%   PFD QTR 30/360 03748R507      32      1,500             x                      0    1,500   0
Amcast Industrial Corp                 Common Stock   023395106       1        100             x                      0      100   0
Appalachian Pwr Co                     PFD QTR 30/360 037735818      95      4,200             x                      0    4,200   0
Appalachian Power Co 7.20% Senior Note PFD QTR 30/360 037735792       8        400             x                      0      400   0
Gallagher Arthur J & Co                Common Stock   363576109   1,316     31,341             x                      0   31,341   0
Akamai Technologies Inc                Common Stock   00971T101     279      2,352             x                      0    2,352   0
Ambac Financial Group Inc 7.08%        PFD QTR 30/360 023139306     128      6,000             x                      0    6,000   0
Armstrong World Industries 7.45% Pfd   PFD QTR 30/360 042476606      23      1,200             x                      0    1,200   0
Acclaim Entmt Inc. Com Par $.02        Common Stock   004325205      12      8,000             x                      0    8,000   0
AK Steel Holding Corp.                 Common Stock   001547108      64      7,996             x                      0    7,996   0
Aksys Ltd                              Common Stock   010196103       9      1,000             x                      0    1,000   0
AKZO Nobel NV Spons ADR                ADR            010199305      78      1,850             x                      0    1,850   0
Alcan Aluminium Ltd                    Common Stock   013716105     344     11,090             x                      0   11,090   0
Alcatel Alsthom Sponsored ADR          ADR            013904305   6,131     92,195             x                      0   92,195   0
Alabama Natl Bancorp Dela              Common Stock   010317105      40      2,000             x                      0    2,000   0
Alanco Environmental Resources Corp.   Common Stock   011612405       0        110             x                      0      110   0
Albemarle Corp.                        Common Stock   012653101      43      2,176             x                      0    2,176   0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
     FORM 13F      Name of Reporting Manager:                                                              Run Date: 07/17/2000
                                                 Legg Mason Wood Walker (IMS)                              -------------------------
                                               For Positions Held as of 06/30/2000                         S.E.C. Use Only

                                                                                                           -------------------------
                  Item 1:               Item 2:      Item 3:   Item 4:     Item 5:           Item 6:       Item 7:    Item 8:
              Name of Issuer        Title of Class    CUSIP      Fair     Shares or  Investment Discretion  Other  Voting Authority
                                                                Market    Principal  (a)     (b)     (c)     Mgrs      (Shares)
                                                                 Value       Amt.    Sole   Shared   Other         (a)   (b)    (c)
                                                               (X $1000)                                           Sole  Shared None

------------------------------------------------------------------------------------------------------------------------------------
<S>                                  <C>             <C>       <C>        <C>        <C>    <C>      <C>   <C>     <C>   <C>    <C>
Alcide Corp.                         Common Stock    013742507       2          100           x                      0       100   0
Aldila, Inc.                         Common Stock    014384101       4        2,750           x                      0     2,750   0
Allied Domecq PLC                    ADR             019121102     166       31,270           x                      0    31,270   0
Aladdin Knowledge Sys Ltd            Foreign Stock   M0392N101      16        1,000           x                      0     1,000   0
Alfa Corp                            Common Stock    015385107      28        1,600           x                      0     1,600   0
Alottafun Inc                        Common Stock    020526109      21       45,000           x                      0    45,000   0
Algiers Bancorp Inc.                 Common Stock    015600109       2          300           x                      0       300   0
Allegiance Telecom Inc               Common Stock    01747T102       6          100           x                      0       100   0
Alpha Hospitality Corp               Common Stock    020732103       1          300           x                      0       300   0
Allstate Corp. - 7.125% Sr Qtrly In  PFD QTR 30/360  020002200      21          949           x                      0       949   0
Alaska Air Group Inc.                Common Stock    011659109       9          329           x                      0       329   0
Alkermes Inc                         Common Stock    01642T108      41          863           x                      0       863   0
The Allstate Corp.                   Common Stock    020002101   5,191      233,324           x                      0   233,324   0
Allstate Financing I 7.95% Cum       PFD QTR 30/360  020013207     292       12,675           x                      0    12,675   0
Allied Capital Corp.                 Common Stock    01903Q108     459       27,019           x                      0    27,019   0
Allied Energy Corp.                  Common Stock    019150200       0          500           x                      0       500   0
Alliance Pharmaceutical Corp.        Common Stock    018773101      43        3,800           x                      0     3,800   0
Allaire Corp                         Common Stock    016714107      11          300           x                      0       300   0
Alliance Gaming Corp                 Common Stock    01859P609       2        1,000           x                      0     1,000   0
Alpha Microsystems Inc               Common Stock    020903100      10        1,935           x                      0     1,935   0
Alpharme Inc. Class A                Common Stock    020813101     138        2,220           x                      0     2,220   0
Alabama Power Capital Trust I        Preferred Stock 010383206       9          400           x                      0       400   0
Alabama Power Capt Trust II          PFD QTR 30/360  010388205      69        3,100           x                      0     3,100   0
Alabama Pwr Co Sr Nt J 6.75%         PFD QTR 30/360  010392587       2          100           x                      0       100   0
Annuity & Life Re Holdings Ltd.      Common Stock    G03910109      21          870           x                      0       870   0
Alliance Semi Conductor Corp.        Common Stock    01877H100      15          600           x                      0       600   0
Alaska Communications Sys Grp        Common Stock    01167P101      15        1,400           x                      0     1,400   0
Allos Therapeutics Inc               Common Stock    019777101       0           50           x                      0        50   0
Altair International Inc.            Common Stock    02136W102       3        1,000           x                      0     1,000   0
Alteon Inc.                          Common Stock    02144G107      24       11,000           x                      0    11,000   0
Altera Corp.                         Common Stock    021441100     912        8,945           x                      0     8,945   0
Altex Industries Inc.                Common Stock    021454103       0        1,000           x                      0     1,000   0
Autolliv, Inc.                       Common Stock    052800109       9          356           x                      0       356   0
Alexion Pharmaceuticals Inc          Common Stock    015351109      36          500           x                      0       500   0
Alya Intl Inc                        Common Stock    02260W100       1       10,000           x                      0    10,000   0
American Greetings Corp. Class A     Common Stock    026375105     894       47,030           x                      0    47,030   0
Applied Materials Inc.               Common Stock    038222105  15,744      173,730           x                      0   173,730   0
AMB Ppty Corp 8.50% Cum Red          PFD QTR 30/360  00163T208      53        2,500           x                      0     2,500   0
American Bancorporation Cap Trust I  PFD QTR 30/360  024075202     124       16,000           x                      0    16,000   0
American Mortgage Acceptance         Common Stock    027568104       6          720           x                      0       720   0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
     FORM 13F      Name of Reporting Manager:                                                             Run Date: 07/17/2000
                                                 Legg Mason Wood Walker (IMS)                             --------------------------
                                               For Positions Held as of 06/30/2000                        S.E.C. Use Only

                                                                                                          --------------------------
                  Item 1:              Item 2:     Item 3:   Item 4:    Item 5:            Item 6:        Item 7:     Item 8:
              Name of Issuer       Title of Class   CUSIP      Fair    Shares or   Investment Discretion   Other   Voting Authority
                                                              Market   Principal   (a)     (b)     (c)      Mgrs       (Shares)
                                                               Value      Amt.     Sole   Shared   Other           (a)   (b)    (c)
                                                             (X $1000)                                             Sole  Shared None

------------------------------------------------------------------------------------------------------------------------------------
<S>                                <C>             <C>       <C>       <C>         <C>    <C>      <C>    <C>      <C>   <C>    <C>
Applied Micro Circuits Corp        Common Stock    03822W109    1,804     18,266             x                       0    18,266   0
Amcor Ltd ADR                      ADR             02341R302    1,403    102,000             x                       0   102,000   0
American Classic Voyages Company   Common Stock    024928103      216     10,470             x                       0    10,470   0
Advanced Micro Devices Inc.        Common Stock    007903107      663      8,581             x                       0     8,581   0
Ametek Inc. New                    Common Stock    031100100      104      5,925             x                       0     5,925   0
Crosswalk.com Inc                  Common Stock    227685104       51     21,320             x                       0    21,320   0
Ames Department Stores Inc.  New   Common Stock    030789507       63      8,125             x                       0     8,125   0
American Finl Hldgs Inc            Common Stock    026075101      352     22,200             x                       0    22,200   0
Affiliated Managers Group          Common Stock    008252108        2         40             x                       0        40   0
Amgen Inc.                         Common Stock    031162100   28,154    400,765             x                       0   400,765   0
American Healthcorp, Inc.          Common Stock    02649V104      136     26,573             x                       0    26,573   0
ACME Metals Inc.                   Common Stock    004724100        0        525             x                       0       525   0
Americare Health Scan Inc.         Common Stock    03060C104        0          1             x                       0         1   0
Amkor Technology Inc               Common Stock    031652100      198      5,605             x                       0     5,605   0
Amli Residential Pptys Tr          Common Stock    001735109       27      1,150             x                       0     1,150   0
Aml Communications Inc             Common Stock    001733104        2        500             x                       0       500   0
Amylin Pharmaceuticals Inc.        Common Stock    032346108       35      2,300             x                       0     2,300   0
Ameron Inc.                        Common Stock    030710107       21        597             x                       0       597   0
American National Bankshares Inc   Common Stock    027745108       31      2,282             x                       0     2,282   0
Amplidyne Inc                      Common Stock    032103103       10      3,000             x                       0     3,000   0
AMR Corp.                          Common Stock    001765106      311     11,774             x                       0    11,774   0
Albany Molecular Resh Inc          Common Stock    012423109        6        105             x                       0       105   0
American Superconductor Corp.      Common Stock    030111108      603     12,489             x                       0    12,489   0
Amsurg Corp.- Cl A                 Common Stock    03232P108        6      1,045             x                       0     1,045   0
Amsurg Corp.- Cl B                 Common Stock    03232P207       61     11,128             x                       0    11,128   0
American Software CL A             Common Stock    029683109       20      3,850             x                       0     3,850   0
American Management Systems Inc.   Common Stock    027352103    1,151     35,054             x                       0    35,054   0
American Tower System Corp Cl A    Common Stock    029912201      581     13,939             x                       0    13,939   0
Ameritrade Holding Corp.  Class A  Common Stock    03072H109      228     19,600             x                       0    19,600   0
American Telesource Intl Inc       Common Stock    03018P108      348     55,080             x                       0    55,080   0
Advanced Machine Vision CRP        Common Stock    00753B104        3      2,000             x                       0     2,000   0
American Woodmark Corp.            Common Stock    030506109    1,104     53,830             x                       0    53,830   0
Amazon.com, Inc.                   Common Stock    023135106   10,254    282,385             x                       0   282,385   0
Autonation Inc                     Common Stock    05329W102       52      7,350             x                       0     7,350   0
Anadigics Inc.                     Common Stock    032515108       99      2,910             x                       0     2,910   0
American Nat'l Insurance Co        Common Stock    028591105       82      1,600             x                       0     1,600   0
Ancor Communications Inc           Common Stock    03332K108      127      3,550             x                       0     3,550   0
Andover Bancorp Inc.               Common Stock    034258103       14        500             x                       0       500   0
Andrew Corp.                       Common Stock    034425108      160      4,765             x                       0     4,765   0
Anaren Microwave Inc               Common Stock    032744104      276      2,100             x                       0     2,100   0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
     FORM 13F      Name of Reporting Manager:                                                              Run Date: 07/17/2000
                                                 Legg Mason Wood Walker (IMS)                              -------------------------
                                               For Positions Held as of 06/30/2000                         S.E.C. Use Only

                                                                                                           -------------------------
                  Item 1:                 Item 2:      Item 3:  Item 4:    Item 5:           Item 6:       Item 7:    Item 8:
              Name of Issuer          Title of Class    CUSIP     Fair    Shares or  Investment Discretion  Other Voting Authority
                                                                 Market   Principal  (a)     (b)     (c)     Mgrs      (Shares)
                                                                  Value      Amt.    Sole   Shared   Other        (a)    (b)    (c)
                                                                (X $1000)                                         Sole   Shared None

------------------------------------------------------------------------------------------------------------------------------------
<S>                                   <C>              <C>      <C>       <C>        <C>    <C>      <C>   <C>    <C> <C>       <C>
Abercrombie & Fitch Co Cl A           Common Stock     002896207   1,830    150,175            x                     0   150,175   0
Anglogold Limited-Spon ADR            ADR              035128206       4        200            x                     0       200   0
ANZ Exchangeable Trust II 8.08% Pfd   PFD QTR 30/360   001824101       4        200            x                     0       200   0
Analytical Surveys Inc.               Common Stock     032683302       0        100            x                     0       100   0
Analysts Intl Corp.                   Common Stock     032681108       7        800            x                     0       800   0
Angio Medical Corp                    Common Stock     034755108       0        500            x                     0       500   0
Ann Taylor Stores Corp.               Common Stock     036115103   1,048     31,640            x                     0    31,640   0
Answerthink Consulting Corp           Common Stock     036916104     100      6,010            x                     0     6,010   0
Ansys Inc.                            Common Stock     03662Q105      55      4,800            x                     0     4,800   0
Antec Corp.                           Common Stock     03664P105     192      4,620            x                     0     4,620   0
Antennas Amer Inc                     Common Stock     036727105      25     26,500            x                     0    26,500   0
Antenna Prods Inc                     Common Stock     036728103       1        500            x                     0       500   0
Ants Software.com                     Common Stock     037271103       1         50            x                     0        50   0
Antex Biologics Inc                   Common Stock     03672W100     126     71,600            x                     0    71,600   0
ANZ Exch Pfd Trust 8%                 PFD QTR 30/360   001823202      24      1,100            x                     0     1,100   0
Australia & New Zealand               Preferred Stock  052528403       9        350            x                     0       350   0
Aon Corporation                       Common Stock     037389103     166      5,336            x                     0     5,336   0
Alberta Energy Co Ltd                 Common Stock     012873105      61      1,500            x                     0     1,500   0
Appalachian Oil & Gas Inc             Common Stock     037725207       0        100            x                     0       100   0
America Online Inc.                   Common Stock     02364J104  83,252  1,578,246            x                     0 1,578,246   0
Mosenergo - Sponsored ADR             ADR              037376308       1        300            x                     0       300   0
Aurora Foods Inc                      Common Stock     05164B106      40      9,900            x                     0     9,900   0
Smith A O Corp.                       Common Stock     831865209      38      1,837            x                     0     1,837   0
Apache Corp.                          Common Stock     037411105   2,974     50,572            x                     0    50,572   0
Apac Customer Services Inc            Common Stock     00185E106      58      5,240            x                     0     5,240   0
Apa Optics Inc                        Common Stock     001853100      57      4,000            x                     0     4,000   0
Asia Pacific Fund Inc.                Common Stock     044901106      10      1,000            x                     0     1,000   0
Anadarko Pete Corp.                   Common Stock     032511107     430      8,724            x                     0     8,724   0
American Power Conversion             Common Stock     029066107     991     24,285            x                     0    24,285   0
Alamosa PCS Holdings                  Common Stock     011593100     185      8,850            x                     0     8,850   0
Air Products and Chemicals, Inc.      Common Stock     009158106   1,450     47,062            x                     0    47,062   0
Apex Inc                              Common Stock     037548104      22        500            x                     0       500   0
Morgan Stanley Asia - Pacific         MutualFdEqClose  61744U106     401     39,366            x                     0    39,366   0
Arch Communications Group Inc         Common Stock     039381504      15      2,250            x                     0     2,250   0
Amphenol Corp New Cl  A               Common Stock     032095101   2,267     34,250            x                     0    34,250   0
Aphton Corporation                    Common Stock     03759P101      26      1,000            x                     0     1,000   0
Advanced Photonix Inc.                Common Stock     00754E107      13      3,300            x                     0     3,300   0
Atplan Inc                            Common Stock     04962Q100       2        350            x                     0       350   0
Applied Magnetics Corp.               Common Stock     038213104       0      2,000            x                     0     2,000   0
Applied Machining Technology          Common Stock     038208104       0         25            x                     0        25   0
</TABLE>

<PAGE>
<TABLE>
<CAPTION>

     FORM 13F      Name of Reporting Manager:                                                             Run Date: 07/17/2000
                                                Legg Mason Wood Walker (IMS)                              --------------------------
                                              For Positions Held as of 06/30/2000                         S.E.C. Use Only

                                                                                                          --------------------------
              Item 1:                   Item 2:        Item 3:  Item 4:    Item 5:          Item 6:       Item 7:       Item 8:
          Name of Issuer            Title of Class      CUSIP     Fair    Shares or Investment Discretion  Other    Voting Authority
                                                                 Market   Principal   (a)    (b)    (c)     Mgrs      (Shares)
                                                                  Value      Amt.   Sole   Shared   Other          (a)    (b)   (c)
                                                                (X $1000)                                         Sole  Shared  None

-----------------------------------------------------------------------------------------------------------------------------------
<S>                                  <C>              <C>       <C>       <C>       <C>    <C>      <C>   <C>     <C>   <C>     <C>
Applica Inc                          Common Stock     03815A106     320      28,300         x                     0     28,300   0
Appoint Technologies Inc             Common Stock     038317103       0       4,000         x                     0      4,000   0
Appnet Systems Inc.                  Common Stock     03831Q101   3,416      94,875         x                     0     94,875   0
Apollo Group Inc.  Class A           Common Stock     037604105     287      10,250         x                     0     10,250   0
Applebee's International Inc.        Common Stock     037899101     194       6,400         x                     0      6,400   0
Advanced Plant Pharmaceuticals Inc.  Common Stock     00756F201       0       2,000         x                     0      2,000   0
Asia Pacific Resources Ltd           Foreign Stock    044902104       1         600         x                     0        600   0
APS Holding Corp.                    Common Stock     001937101       0         500         x                     0        500   0
Amerigas Partners L P                LTD Part  P4     030975106     160       9,400         x                     0      9,400   0
American Patents Unlimited Inc       Common Stock     028829109       0      16,000         x                     0     16,000   0
Applied Power Inc  Class A           Common Stock     038225108     545      16,260         x                     0     16,260   0
Astropower Inc.                      Common Stock     04644A101      14         500         x                     0        500   0
Apex Municipal Fund, Inc.            Common Stock     037580107      41       4,583         x                     0      4,583   0
Applied Industrial Tech Inc.         Common Stock     03820C105      48       2,925         x                     0      2,925   0
Aquila Biopharmaceuticals Inc.       Common Stock     03839F107       3       1,082         x                     0      1,082   0
Minolta-QMS Inc                      Common Stock     604312108      13       4,050         x                     0      4,050   0
Aracruz Celelose SA ADR NEW          ADR              038496204      24       1,220         x                     0      1,220   0
Ariba Inc                            Common Stock     04033V104   2,715      27,689         x                     0     27,689   0
Atlantic Richfield Co Pref           Preferred Stock  048825400      13          30         x                     0         30   0
Arcadis NV                           Common Stock     N0605M105      13       2,150         x                     0      2,150   0
Aradigm Corp                         Common Stock     038505103      39       2,200         x                     0      2,200   0
Alexandria Real Estate Equities Inc. Common Stock     015271109      38       1,100         x                     0      1,100   0
Ameriresource Technologies Inc       Common Stock     03072A104       1      25,000         x                     0     25,000   0
Airgas Inc.                          Common Stock     009363102      40       6,960         x                     0      6,960   0
Amerigon Inc Cl A- New               Common Stock     03070L300      15       2,000         x                     0      2,000   0
Arden Realty Group Inc.              Common Stock     039793104      50       2,125         x                     0      2,125   0
Ariad Pharmaceuticals Inc            Common Stock     04033A100     144      10,825         x                     0     10,825   0
Arix Corp                            Common Stock     040453102       0         360         x                     0        360   0
Arch Chemicals                       Common Stock     03937R102      32       1,472         x                     0      1,472   0
Senior High Income Portfolio         Common Stock     81721E107      46       6,800         x                     0      6,800   0
Arm Holdings PCL Spons ADR           ADR              042068106     227       6,920         x                     0      6,920   0
Aramex Intl Ltd Ord                  Foreign Stock    G04450105       1         100         x                     0        100   0
American Re Capital Cum Income       PFD QTR 30/360   029162203      65       2,700         x                     0      2,700   0
Aronex Pharmaceuticals Inc           Common Stock     042666206      28       9,000         x                     0      9,000   0
Arrow International, Inc.            Common Stock     042764100     231       6,892         x                     0      6,892   0
Mindarrow Sys Inc                    Common Stock     602551103      12       1,865         x                     0      1,865   0
ACNielsen Corp.                      Common Stock     004833109     209       9,508         x                     0      9,508   0
Arthrocare Corp                      Common Stock     043136100     169       3,165         x                     0      3,165   0
Artistdirect Inc                     Common Stock     04315D103       3       1,000         x                     0      1,000   0
Art Technology Group Inc             Common Stock     04289L107   1,020      10,106         x                     0     10,106   0
</TABLE>
<PAGE>


<TABLE>
<CAPTION>
     FORM 13F      Name of Reporting Manager:                                                              Run Date: 07/17/2000
                                                 Legg Mason Wood Walker (IMS)                              ------------------------
                                               For Positions Held as of 06/30/2000                         S.E.C. Use Only

                                                                                                           ------------------------
                  Item 1:                 Item 2:     Item 3:   Item 4:    Item 5:           Item 6:       Item 7:    Item 8:
              Name of Issuer         Title of Class   CUSIP      Fair    Shares or  Investment Discretion  Other  Voting Authority
                                                                 Market   Principal  (a)     (b)     (c)     Mgrs      (Shares)
                                                                  Value      Amt.    Sole   Shared   Other         (a)   (b)    (c)
                                                                (X $1000)                                          Sole  Shared None

------------------------------------------------------------------------------------------------------------------------------------
<S>                                <C>                <C>       <C>      <C>         <C>    <C>      <C>   <C>     <C>   <C>    <C>
Advanced Radio Telecom Corp            Common Stock    00754U101       15      1,000           x                    0    1,000    0
Arvin Industries, Inc.                 Common Stock    043339100      658     37,890           x                    0   37,890    0
Arrow Electronics Inc.                 Common Stock    042735100    1,036     33,422           x                    0   33,422    0
Arrow Magnolia Intl Inc.               Common Stock    042768101       16      7,763           x                    0    7,763    0
Aeroflex Inc.                          Common Stock    007768104       40        800           x                    0      800    0
ASA Ltd                                Common Stock    002050102       30      1,870           x                    0    1,870    0
Esat Inc                               Common Stock    296054109        3      1,500           x                    0    1,500    0
Associated Banc Corp.                  Common Stock    045487105       60      2,770           x                    0    2,770    0
Ameriana Bancorp                       Common Stock    023613102        7        700           x                    0      700    0
American Standard Companies Inc.       Common Stock    029712106      233      5,689           x                    0    5,689    0
Astoria Financial Corp.                Common Stock    046265104      787     30,552           x                    0   30,552    0
Ashford Com Inc                        Common Stock    044093102       60     21,000           x                    0   21,000    0
Artisoft Inc.                          Common Stock    04314L106       12      1,000           x                    0    1,000    0
Associates First Capital Corp.         Common Stock    046008207        0      1,400           x                    0    1,400    0
Liberty All Star Growth Fd             Common Stock    529900102      219     18,481           x                    0   18,481    0
On Assignment Inc.                     Common Stock    682159108       35      1,150           x                    0    1,150    0
Ashland Inc.                           Common Stock    044204105      341      9,733           x                    0    9,733    0
Asiainfo Hldgs Inc                     Common Stock    04518A104        9        200           x                    0      200    0
Ask Jeeves Inc                         Common Stock    045174109       38      2,100           x                    0    2,100    0
Ashanti Goldfield Co. LTD GDR          ADR             043743202       14      7,821           x                    0    7,821    0
ASM International N.V.                 Foreign Stock   N07045102       13        500           x                    0      500    0
ASM Lithography Holding NV             ADR             N07059111      515     11,666           x                    0   11,666    0
Archstone Communities Trust            Common Stock    039581103      467     22,167           x                    0   22,167    0
Archstone Communities Tr 9% PFD Ser B  PFD QTR 30/360  039581301      116      5,100           x                    0    5,100    0
AmSouth Bancorp                        Common Stock    032165102    1,287     81,694           x                    0   81,694    0
American Strategic Incm Ptfl           MutualFdFiClose 030098107       86      7,985           x                    0    7,985    0
Aspeon Inc                             Common Stock    045354107       10      2,050           x                    0    2,050    0
Aspect Communications Inc              Common Stock    04523Q102       66      1,689           x                    0    1,689    0
Auspex System Inc.                     Common Stock    052116100       17      3,500           x                    0    3,500    0
Allergan Specialty Therap-A            Common Stock    018494104        0          5           x                    0        5    0
Ashton Technology Group Inc            Common Stock    045084100       20      7,020           x                    0    7,020    0
Applied Science & Technology           Common Stock    038236105        3        100           x                    0      100    0
Anglo Swiss Resources Inc.             Foreign Stock   034919100        1      8,000           x                    0    8,000    0
Active Software Inc                    Common Stock    00504E100       46        593           x                    0      593    0
Architel Sys Corp                      Foreign Stock   039917109       69      2,600           x                    0    2,600    0
Asyst Tech                             Common Stock    04648X107       14        400           x                    0      400    0
Alltel Corp.                           Common Stock    020039103    2,054     33,160           x                    0   33,160    0
Atlantic Capt I Cum Qtly Inc.          PFD QTR 30/360  048272207      217      9,500           x                    0    9,500    0
Astea Intl Inc                         Common Stock    04622E109        1        300           x                    0      300    0
American Technologies Group            Common Stock    030143101        1      4,300           x                    0    4,300    0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
     FORM 13F      Name of Reporting Manager:                                                               Run Date: 07/17/2000
                                                 Legg Mason Wood Walker (IMS)                               ------------------------
                                               For Positions Held as of 06/30/2000                          S.E.C. Use Only

                                                                                                            ------------------------
                  Item 1:                 Item 2:      Item 3:   Item 4:    Item 5:           Item 6:       Item 7:    Item 8:
              Name of Issuer          Title of Class    CUSIP      Fair    Shares or  Investment Discretion  Other  Voting Authority
                                                                 Market   Principal   (a)    (b)    (c)       Mgrs   (Shares)
                                                                  Value      Amt.     Sole  Shared  Other           (a)  (b)     (c)
                                                                (X $1000)                                          Sole Shared  None

------------------------------------------------------------------------------------------------------------------------------------
<S>                                    <C>             <C>        <C>       <C>       <C>   <C>     <C>     <C>    <C>  <C>    <C>
Equity Income Fd                       Common Stock    294700703      160        917        x                         0     917   0
AGL Resources Inc.                     Common Stock    001204106      189     11,874        x                         0  11,874   0
Altigen Communications Inc             Common Stock    021489109        6      1,000        x                         0   1,000   0
At Home Corp. Cl A                     Common Stock    045919107    2,901    139,797        x                         0 139,797   0
Appliedtheory Corp                     Common Stock    03828R104        8        500        x                         0     500   0
Allegheny Technologies Inc             Common Stock    01741R102       52      2,897        x                         0   2,897   0
Advanced Tissue Sciences Inc.          Common Stock    00755F103        3        400        x                         0     400   0
Alliant Techsystem                     Common Stock    018804104      450      6,675        x                         0   6,675   0
Atlantis Group Inc New                 Common Stock    049148109        0         25        x                         0      25   0
Atlantic Finl Fed                      Common Stock    048535108        0        450        x                         0     450   0
Atlantic Pfd Cap Corp                  PFDMthly 30/360 048787204       12      1,500        x                         0   1,500   0
Atlas Air Inc.                         Common Stock    049164106       32        900        x                         0     900   0
Atmi Inc.orporation                    Common Stock    00207R101      873     18,775        x                         0  18,775   0
Atmel Corp.                            Common Stock    049513104    3,007     81,539        x                         0  81,539   0
Tidel Technologies Inc                 Common Stock    886368109       13      1,350        x                         0   1,350   0
ATMOS Energy Corp                      Common Stock    049560105       43      2,436        x                         0   2,436   0
Alteon Websystems Inc                  Common Stock    02145A109       25        250        x                         0     250   0
Aptargroup Inc.                        Common Stock    038336103      230      8,500        x                         0   8,500   0
At Track Communications Inc            Common Stock    04648Y105        5      2,000        x                         0   2,000   0
ATS Medical Inc                        Common Stock    002083103        4        296        x                         0     296   0
Ats Money Sys Inc                      Common Stock    002084101        2      2,000        x                         0   2,000   0
Artesyn Technologies Inc.              Common Stock    043127109      754     27,113        x                         0  27,113   0
At & T Cda Inc                         Foreign Stock   00207Q202       11        322        x                         0     322   0
Activision Inc New                     Common Stock    004930202       33      5,000        x                         0   5,000   0
ATI Technologies Inc.                  Foreign Stock   001941103       32      3,775        x                         0   3,775   0
Automatic Data Processing              Common Stock    053015103    9,441    176,256        x                         0 176,256   0
Audiocodes Ltd                         Foreign Stock   M15342104        9         75        x                         0      75   0
Aura Systems Inc.                      Common Stock    051526101       21     79,700        x                         0  79,700   0
Autotradecenter.com                    Common Stock    05332Q100       18     13,000        x                         0  13,000   0
Avista Corp                            Common Stock    05379B107      358     20,547        x                         0  20,547   0
Avant Immunotherapeutics Inc           Common Stock    053491106       17      1,600        x                         0   1,600   0
Avatex Corp                            Common Stock    05349F402        2      3,343        x                         0   3,343   0
Avalonbay Communities Inc.             Common Stock    053484101      348      8,347        x                         0   8,347   0
Avalonbay Communities Inc PFD SrF 9.00 PFD QTR 30/360  053484507       20        850        x                         0     850   0
Advanced Technology Industries         Common Stock    00759X100        2      1,000        x                         0   1,000   0
Aventis                                ADR             053561106      989     13,634        x                         0  13,634   0
Avigen Inc                             Common Stock    053690103        5        125        x                         0     125   0
Avis Rent A Car Inc                    Common Stock    053790101      329     17,520        x                         0  17,520   0
Avid Technology Inc.                   Common Stock    05367P100      513     42,770        x                         0  42,770   0
Advanced Info Svc Pub Ltd              ADR             00753G103        5        400        x                         0     400   0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
     FORM 13F      Name of Reporting Manager:                                                              Run Date: 07/17/2000
                                                 Legg Mason Wood Walker (IMS)                              -------------------------
                                               For Positions Held as of 06/30/2000                         S.E.C. Use Only

                                                                                                           -------------------------
                  Item 1:                   Item 2:    Item 3:  Item 4:    Item 5:           Item 6:       Item 7:    Item 8:
              Name of Issuer            Title of Class  CUSIP     Fair    Shares or  Investment Discretion  Other  Voting Authority
                                                                 Market   Principal  (a)     (b)     (c)     Mgrs      (Shares)
                                                                  Value      Amt.    Sole   Shared   Other         (a)   (b)    (c)
                                                                (X $1000)                                          Sole  Shared None

------------------------------------------------------------------------------------------------------------------------------------
<S>                                     <C>            <C>      <C>       <C>        <C>    <C>      <C>   <C>     <C> <C>      <C>
Avi Biopharma Inc                       Common Stock   002346104      20      2,000            x                      0   2,000    0
Aviron                                  Common Stock   053762100      31      1,000            x                      0   1,000    0
Avitar Inc                              Common Stock   053801106       0          9            x                      0       9    0
Avanir Pharmaceuticals CL-A             Common Stock   05348P104       8      2,500            x                      0   2,500    0
Avant Corp                              Common Stock   053487104       4        210            x                      0     210    0
Avanex Corp                             Common Stock   05348W109     311      3,255            x                      0   3,255    0
Avoca Inc.                              Common Stock   053843108      13        700            x                      0     700    0
Avon Products Inc.                      Common Stock   054303102   4,385     98,544            x                      0  98,544    0
Applied Voice Recognition Inc           Common Stock   03828N103       4      9,000            x                      0   9,000    0
Avert Inc                               Common Stock   053596102     108      4,700            x                      0   4,700    0
Avnet Inc.                              Common Stock   053807103      50        840            x                      0     840    0
Avatar Holdings Inc.                    Common Stock   053494100      21        900            x                      0     900    0
At Ventureworks Inc                     Common Stock   046489100       0         50            x                      0      50    0
AVX Corporation                         Common Stock   002444107     169      7,385            x                      0   7,385    0
Avax Tech Inc                           Common Stock   053495305       5        500            x                      0     500    0
Avery Dennison Corp.                    Common Stock   053611109   4,550     67,787            x                      0  67,787    0
Amvescap PLC Spon ADR                   ADR            03235E100     259      3,310            x                      0   3,310    0
AT&T Corp Wirless Group Tracking Stock  Common Stock   001957406     778     27,915            x                      0  27,915    0
Allied Waste Inds Inc. Com New          Common Stock   019589308     148     14,800            x                      0  14,800    0
American Water Works Co Inc.            Common Stock   030411102     128      5,125            x                      0   5,125    0
American States Water Company           Common Stock   029899101      96      3,233            x                      0   3,233    0
Aware Inc. Mass                         Common Stock   05453N100      46        900            x                      0     900    0
AXA-UAP - Sponsored ADR                 ADR            054536107     713      8,962            x                      0   8,962    0
AMPEX Inc.                              Common Stock   032092108      23     13,500            x                      0  13,500    0
Access Pharmaceuticals Inc              Common Stock   00431M209     717    204,999            x                      0 204,999    0
AXA Financial Inc                       Common Stock   002451102   1,208     35,521            x                      0  35,521    0
Axion Communications Inc                Foreign Stock  054925102      28     41,000            x                      0  41,000    0
Axent Technologies Inc.                 Common Stock   05459C108      47      1,890            x                      0   1,890    0
American Express Co.                    Common Stock   025816109  13,298    255,114            x                      0 255,114    0
American Express Co Cap Tr 1 7%         PFD QTR 30/360 02583Y205      36      1,700            x                      0   1,700    0
Axys Pharmaceuticals Inc.               Common Stock   054635107      48      8,069            x                      0   8,069    0
American Xtal Technology Inc.           Common Stock   030514103       4        100            x                      0     100    0
Allegheny Energy Inc.                   Common Stock   017361106     776     28,363            x                      0  28,363    0
ALZA Corp. Com                          Common Stock   022615108   1,189     20,118            x                      0  20,118    0
Astrazena PLC -Spons ADR                ADR            046353108     484     10,412            x                      0  10,412    0
Autozone Inc.                           Common Stock   053332102       7        310            x                      0     310    0
AZTAR Corp.                             Common Stock   054802103      55      3,525            x                      0   3,525    0
Aztec Technology Partners Inc.          Common Stock   05480L101       0        223            x                      0     223    0
Azurix Corp.                            Common Stock   05501M104     105     15,000            x                      0  15,000    0
Aztec Manufacturing Co.                 Common Stock   054825104      49      3,000            x                      0   3,000    0
</TABLE>
<PAGE>


<TABLE>
<CAPTION>
     FORM 13F      Name of Reporting Manager:                                                               Run Date: 07/17/2000
                                                 Legg Mason Wood Walker (IMS)                               ------------------------
                                               For Positions Held as of 06/30/2000                          S.E.C. Use Only

                                                                                                            ------------------------
                  Item 1:                   Item 2:     Item 3:  Item 4:    Item 5:           Item 6:       Item 7:    Item 8:
              Name of Issuer            Title of Class   CUSIP     Fair    Shares or  Investment Discretion  Other  Voting Authority
                                                                  Market   Principal  (a)     (b)     (c)     Mgrs      (Shares)
                                                                   Value      Amt.    Sole   Shared   Other         (a)   (b)    (c)
                                                                 (X $1000)                                         Sole  Shared None

------------------------------------------------------------------------------------------------------------------------------------
<S>                                     <C>             <C>      <C>       <C>        <C>    <C>      <C>   <C>    <C>   <C>    <C>
Beijing Datang Power Generation Co. Lt  Common Stock    Y0771J108       5     24,000            x                     0  24,000    0
Bankamerica Capital IV-7% CUM TR        PFD QTR 30/360  066044207       6        300            x                     0     300    0
Brunswick Technologies Inc. Tender      Common Stock    117394999       1        100            x                     0     100    0
Bay National Corp.                      Common Stock    072500101      25      2,500            x                     0   2,500    0
Bear Stearns Captl Trust II 7.50%       PFD QTR 30/360  07383J209      69      3,100            x                     0   3,100    0
Bk Of Ireland                           Common Stock    G49374104       1        201            x                     0     201    0
Borne Chemical Co.  Inc.  OLD           Foreign Stock   099869109       0        300            x                     0     300    0
Boeing Co.                              Common Stock    097023105   7,445    178,065            x                     0 178,065    0
BAA PLC Spons ADR                       ADR             05518L206      11      1,330            x                     0   1,330    0
British Airways PLC ADR                 ADR             110419306     336      5,837            x                     0   5,837    0
Bank of America Corp.                   Common Stock    060505104  13,063    303,791            x                     0 303,791    0
Bank America Capital I                  Preferred Stock 066046202      14        600            x                     0     600    0
Buenos Aires Embotelladora S A          ADR             119424208       0        804            x                     0     804    0
Bae Systems Plc                         ADR             05523R107   3,409    136,735            x                     0 136,735    0
Balanced Care Corp                      Common Stock    057630105       5      3,000            x                     0   3,000    0
Baltimore Technologies Plc              ADR             059284109      95      6,005            x                     0   6,005    0
Books-A-Million Inc.                    Common Stock    098570104       2        500            x                     0     500    0
Bayerische Motoren Werke A G            Foreign Stock   D12096109     216      7,050            x                     0   7,050    0
BBC Capital Trust I 9.5% Cum Pfd        PFD QTR 30/360  05527J200     164      9,320            x                     0   9,320    0
Barra Inc.                              Common Stock    068313105      17        337            x                     0     337    0
Bass Public LTD Co Sponsored            ADR             069904209      38      3,323            x                     0   3,323    0
Base Ten Sys Inc                        Common Stock    069779304       9      9,230            x                     0   9,230    0
Baxter Intl Inc                         Common Stock    071813109   3,479     49,484            x                     0  49,484    0
Bay Banks Virginia Inc                  Common Stock    072035108      22        624            x                     0     624    0
Bayer AG Spons ADR                      ADR             072730302      80      2,050            x                     0   2,050    0
Bed Bath & Beyond Inc.                  Common Stock    075896100     250      6,888            x                     0   6,888    0
Bergen Brunswig Corp.                   Common Stock    083739102     173     31,486            x                     0  31,486    0
Brantley Cap Corp                       Common Stock    105494108     101     11,500            x                     0  11,500    0
Beasley Broadcast Group Inc             Foreign Stock   074014101       5        400            x                     0     400    0
Biotech HOLDRS Tr                       Common Stock    09067D201   1,115      6,262            x                     0   6,262    0
Blockbuster Inc                         Common Stock    093679108     171     17,625            x                     0  17,625    0
British Biotech Spons ADR               ADR             110515103       1        300            x                     0     300    0
Black Box Corp.                         Common Stock    091826107      24        300            x                     0     300    0
Banco Bradesco SA Sponsored Adr Repstg  ADR             059460105     226     25,950            x                     0  25,950    0
Burr Brown Corp.                        Common Stock    122574106      98      1,125            x                     0   1,125    0
Broadbase Software                      Common Stock    11130R100      26        840            x                     0     840    0
BB&T Corp.                              Common Stock    054937107   3,265    136,737            x                     0 136,737    0
Bouncebacktechnologies Com Inc          Common Stock    101628105       0      1,200            x                     0   1,200    0
Banco Bilbao Vizcaya Argentina SA ADR   ADR             05946K101     510     34,602            x                     0  34,602    0
Bank Atlantic Bancorp Inc. A            Common Stock    065908501      80     21,372            x                     0  21,372    0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
     FORM 13F      Name of Reporting Manager:                                                           Run Date: 07/17/2000
                                                 Legg Mason Wood Walker (IMS)                           ----------------------------
                                               For Positions Held as of 06/30/2000                      S.E.C. Use Only

                                                                                                        ----------------------------
                  Item 1:               Item 2:     Item 3:  Item 4:    Item 5:           Item 6:       Item 7:    Item 8:
              Name of Issuer        Title of Class   CUSIP     Fair    Shares or  Investment Discretion  Other  Voting Authority
                                                              Market   Principal  (a)     (b)     (c)     Mgrs      (Shares)
                                                               Value      Amt.    Sole   Shared   Other         (a)   (b)    (c)
                                                             (X $1000)                                          Sole  Shared None

------------------------------------------------------------------------------------------------------------------------------------
<S>                                 <C>             <C>      <C>       <C>        <C>    <C>      <C>   <C>     <C>   <C>    <C>
Best Buy Inc.                       Common Stock    086516101    865    13,669      x     0       13,669                       0
Brunswick Corp.                     Common Stock    117043109    378    22,810      x     0       22,810                       0
Barclays Bank PLC ADR 11.50% Ser D  PFD QTR 30/360  06738C802     55     2,150      x     0        2,150                       0
Barclays Bank Plc 8.0% Ser E2 Pfd   PFD QTR 30/360  06738C836    207     8,900      x     0        8,900                       0
Boise Cascade                       Common Stock    097383103     38     1,473      x     0        1,473                       0
BCE Inc.                            Common Stock    05534B109    111     4,649      x     0        4,649                       0
Burlington Coat Factory Whse        Common Stock    121579106      2       140      x     0          140                       0
Biochem Pharma Inc.                 Foreign Stock   09058T108    177     7,190      x     0        7,190                       0
Bard C R Inc.                       Common Stock    067383109  1,092    22,690      x     0       22,690                       0
Biocryst Pharmaceuticals Inc        Common Stock    09058V103    240     8,350      x     0        8,350                       0
Barclays PLC ADR                    ADR             06738E204    297     2,970      x     0        2,970                       0
BCSB Bankcorp Inc                   Common Stock    054948104      6     1,000      x     0        1,000                       0
Borden Chemicals & Plastics LTD     LTD Part  P4    099541203      0       100      x     0          100                       0
Bid.Com Intl Inc                    Common Stock    088788104     43    16,075      x     0       16,075                       0
Brilliant Digital Entertainmnt      Common Stock    109502104      7     1,500      x     0        1,500                       0
Bandag Inc.                         Common Stock    059815100     21       875      x     0          875                       0
Bandag Inc. Class A                 Common Stock    059815308     23     1,000      x     0        1,000                       0
Broadband Holdrs Tr                 Common Stock    11130P104     27       300      x     0          300                       0
Black & Decker Corp.                Common Stock    091797100  4,446   113,101      x     0      113,101                       0
Brandywine Realty Trust SBI         Common Stock    105368203  1,418    74,149      x     0       74,149                       0
Big Dog Hldgs Inc                   Common Stock    089128102      4     1,000      x     0        1,000                       0
Bombardier Inc- Cl A                Common Stock    097751101      8       300      x     0          300                       0
Bombardier Inc. Cl B                Common Stock    097751200     64     2,340      x     0        2,340                       0
Breed Technology                    Common Stock    106702103      0     1,401      x     0        1,401                       0
Becton Dickinson & Co               Common Stock    075887109  2,062    71,879      x     0       71,879                       0
BEA Systems Inc.                    Common Stock    073325102  1,368    27,676      x     0       27,676                       0
BE Aerospace, Inc.                  Common Stock    073302101    364    53,000      x     0       53,000                       0
Beckman Coulter Inc.                Common Stock    075811109    252     4,311      x     0        4,311                       0
Boyd Energy Corporation             Common Stock    103303103      0     2,000      x     0        2,000                       0
Bedford Property Investors          Common Stock    076446301     28     1,515      x     0        1,515                       0
Bell Atlantic Corp.                 Common Stock    077853109 21,368   420,526      x     0      420,526                       0
Bel Fuse Inc.                       Common Stock    077347201     39     1,450      x     0        1,450                       0
Bel Fuse Inc CL-B                   Common Stock    077347300    131     4,896      x     0        4,896                       0
Bell Microproducts Inc              Common Stock    078137106     37     2,000      x     0        2,000                       0
Bellwether Exploration Co.          Common Stock    079895207      2       300      x     0          300                       0
Franklin Resources                  Common Stock    354613101  1,460    48,063      x     0       48,063                       0
Be Inc                              Common Stock    073309106     19     3,700      x     0        3,700                       0
Beringer Wine Estates-B             Common Stock    084102102     97     2,750      x     0        2,750                       0
Best Products Co Inc.               Common Stock    086553104      0       400      x     0          400                       0
Beverly Enterprises Inc. New        Common Stock    087851309    100    35,650      x     0       35,650                       0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
     FORM 13F      Name of Reporting Manager:                                                              Run Date: 07/17/2000
                                                 Legg Mason Wood Walker (IMS)                              -------------------------
                                               For Positions Held as of 06/30/2000                         S.E.C. Use Only

                                                                                                           -------------------------
                  Item 1:                 Item 2:     Item 3:   Item 4:    Item 5:           Item 6:       Item 7:    Item 8:
              Name of Issuer          Title of Class   CUSIP      Fair    Shares or  Investment Discretion  Other  Voting Authority
                                                                 Market   Principal  (a)     (b)     (c)     Mgrs      (Shares)
                                                                  Value      Amt.    Sole   Shared   Other        (a)    (b)    (c)
                                                                (X $1000)                                          Sole Shared  None

------------------------------------------------------------------------------------------------------------------------------------
<S>                                   <C>             <C>       <C>         <C>      <C>    <C>      <C>   <C>    <C>           <C>
Baldor Electric co                    Common Stock    057741100       86     4,600           x                     0      4,600  0
B A S F  A G                          ADR             055262505    3,025    74,923           x                     0     74,923  0
Brown Forman Corp. CL B               Common Stock    115637209      149     2,767           x                     0      2,767  0
Bright Horizons Family Solutions Inc. Common Stock    109195107       15       700           x                     0        700  0
The Blackrock California              Common Stock    09247G108       15     1,000           x                     0      1,000  0
BostonFed Bancorp Inc                 Common Stock    101178101        9       620           x                     0        620  0
Bally Total Fitness Holdings Corp.    Common Stock    05873K108        4       150           x                     0        150  0
Bluefly Inc.                          Common Stock    096227103        1       500           x                     0        500  0
Bestfoods                             Common Stock    08658U101    3,772    54,465           x                     0     54,465  0
Be Free Inc                           Common Stock    073308108       18     2,015           x                     0      2,015  0
Ben Franklin Retail Stores, Inc.      Common Stock    081499105        0       221           x                     0        221  0
Saul Centers                          Common Stock    804395101       15       900           x                     0        900  0
Banco De Galicia Y Buenos Aire        ADR             059538207        3       190           x                     0        190  0
Banco Ganadero S A                    ADR             059594507        2       460           x                     0        460  0
General Cable Corp.                   Common Stock    369300108        2       200           x                     0        200  0
BGE Capital Trust 1 7.16% Tr          PFD QTR 30/360  055415202      454    20,590           x                     0     20,590  0
Biogen Inc.                           Common Stock    090597105    3,511    54,433           x                     0     54,433  0
Briggs & Stratton Corp.               Common Stock    109043109       16       460           x                     0        460  0
Manhattan Bagel Inc                   Common Stock    562751107        0       500           x                     0        500  0
Bema Gold Corp.                       Common Stock    08135F107       15    27,000           x                     0     27,000  0
Borders Group Inc.                    Common Stock    099709107      191    12,270           x                     0     12,270  0
Bangor Hydro Electric CO              Common Stock    060077104       30     1,290           x                     0      1,290  0
British Energy Plc                    ADR             110793304       77     6,920           x                     0      6,920  0
Bar Harbor Bankshares                 Common Stock    066849100        8       550           x                     0        550  0
BHC Communications Inc.               Common Stock    055448104      105       700           x                     0        700  0
Benchmark Electronics Inc             Common Stock    08160H101      336     9,200           x                     0      9,200  0
B2b Internet Holdrs Tr                Common Stock    056033103      811    19,700           x                     0     19,700  0
Baker Hughes Inc.                     Common Stock    057224107    1,221    38,158           x                     0     38,158  0
Broken Hill Proprietary Co Ltd        ADR             112169602       21       880           x                     0        880  0
Bell & Howell Co.                     Common Stock    077852101       23       950           x                     0        950  0
Biocontrol Technology Inc.            Common Stock    090586108       34   186,600           x                     0    186,600  0
Sothebys Holdings Inc. - Cl A Ltd Vtg Common Stock    835898107       32     1,850           x                     0      1,850  0
Bingo Com Inc.                        Foreign Stock   09051N108        2     2,800           x                     0      2,800  0
Excelsior-Henderson Motorcycle Man Co Common Stock    300906104        0     1,800           x                     0      1,800  0
Bikers Dream Inc.                     Common Stock    090008202        0       500           x                     0        500  0
Billing Information Concepts          Common Stock    090063108      129    29,000           x                     0     29,000  0
Bioshperes Inc                        Common Stock    090662107        5     1,000           x                     0      1,000  0
Bio-Rad Laboratories Inc.             Common Stock    090572207       41     1,640           x                     0      1,640  0
Biofarm Inc                           Common Stock    09058S100        0        33           x                     0         33  0
Biomira Inc                           Common Stock    09161R106       42     4,600           x                     0      4,600  0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
     FORM 13F      Name of Reporting Manager:                                                              Run Date: 07/17/2000
                                                 Legg Mason Wood Walker (IMS)                              -----------------------
                                               For Positions Held as of 06/30/2000                         S.E.C. Use Only

                                                                                                           -----------------------
                  Item 1:                  Item 2:     Item 3:   Item 4:    Item 5:          Item 6:       Item 7:   Item 8:
              Name of Issuer           Title of Class   CUSIP      Fair    Shares or Investment Discretion  Other  Voting Authority
                                                                  Market   Principal (a)     (b)     (c)     Mgrs     (Shares)
                                                                   Value      Amt.   Sole   Shared   Other         (a)   (b)    (c)
                                                                 (X $1000)                                         Sole Shared  None

------------------------------------------------------------------------------------------------------------------------------------
<S>                                    <C>             <C>       <C>       <C>       <C>    <C>      <C>   <C>     <C>  <C>     <C>
Biosys Inc.                            Common Stock    09066N200        0         80         x                      0       80   0
Birmingham Steel Corp.                 Common Stock    091250100        7      1,735         x                      0    1,735   0
Biosonics Incorporation                Common Stock    090908104        0     50,000         x                      0   50,000   0
BJ's Wholesale Club Inc.               Common Stock    05548J106    2,506     75,950         x                      0   75,950   0
Bioject Med Tech Inc                   Common Stock    09059T206      113     12,000         x                      0   12,000   0
BJ Services Co.                        Common Stock    055482103      276      4,410         x                      0    4,410   0
Bank of New York Co. Inc.              Common Stock    064057102    2,745     59,038         x                      0   59,038   0
Bank of New York Capital II            PFD QTR 30/360  096564208       78      3,400         x                      0    3,400   0
BNY Capital III-Trust                  PFD QTR 30/360  05563W206       38      1,800         x                      0    1,800   0
BNY Capital Trust IV 6.875% Ser E      PFD QTR 30/360  09656G201      161      7,500         x                      0    7,500   0
Bakbone Software Inc                   Foreign Stock   057101107        2        200         x                      0      200   0
Bank of East Asia Ord                  Common Stock    Y06942109        1        345         x                      0      345   0
BKF Capital Group                      Common Stock    05548G102        3        198         x                      0      198   0
Bookham Technology Plc                 ADR             09856Q108       30        500         x                      0      500   0
Buckeye Technologies Inc               Common Stock    118255108        9        400         x                      0      400   0
W R Berkley Corp.                      Common Stock    084423102      138      7,375         x                      0    7,375   0
Bank of North Carolina                 Common Stock    06414Q109       11        781         x                      0      781   0
Banknorth Group Inc.                   Common Stock    06646R107    1,485     96,998         x                      0   96,998   0
Barnes & Noble Inc.                    Common Stock    067774109      102      4,575         x                      0    4,575   0
Brookstone Inc.                        Common Stock    114537103      249     25,978         x                      0   25,978   0
The Blackrock Income Tr Inc.           Common Stock    09247F100      121     19,050         x                      0   19,050   0
Bank United Tex                        Preferred Stock 065414302        8        300         x                      0      300   0
Bank United Capital II-9.60% Cum Trust PFD QTR 30/360  06651W207       39      2,000         x                      0    2,000   0
Belo A H Com Ser A                     Common Stock    080555105      140      8,075         x                      0    8,075   0
Ballard Power Systems Inc.             Common Stock    05858H104      674      7,508         x                      0    7,508   0
Blackrock Inc                          Common Stock    09247X101        3        100         x                      0      100   0
Ball Corp.                             Common Stock    058498106       89      2,779         x                      0    2,779   0
American Inflatables Inc               Common Stock    026802108        5      5,000         x                      0    5,000   0
Belmont Bancorp St. Clairsville        Common Stock    080162100       15      5,353         x                      0    5,353   0
Block Drug Inc.                        Common Stock    093644102       32        749         x                      0      749   0
BellSouth Corp.                        Common Stock    079860102   13,638    319,955         x                      0  319,955   0
Boston Life Sciences Inc New           Common Stock    100843408        9      1,000         x                      0    1,000   0
Bluestone Software Inc                 Common Stock    09623P102    2,860    111,348         x                      0  111,348   0
Blount International Inc               Common Stock    095180105        0         56         x                      0       56   0
Biolase Technology Corp.               Common Stock    090911108        0        200         x                      0      200   0
Billiton PLC-ADR                       ADR             090171109       61     15,145         x                      0   15,145   0
Blue Chip Value Fd Inc                 Common Stock    095333100        7        844         x                      0      844   0
Frederick Brewing Co Com New           Common Stock    355673203        0      1,435         x                      0    1,435   0
Banco Latinoamericano De Expo          Foreign Stock   P16994132        4        140         x                      0      140   0
BMC Software                           Common Stock    055921100    1,975     54,134         x                      0   54,134   0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
     FORM 13F      Name of Reporting Manager:                                                              Run Date: 07/17/2000
                                                 Legg Mason Wood Walker (IMS)                              ------------------------
                                               For Positions Held as of 06/30/2000                         S.E.C. Use Only

                                                                                                           ------------------------
                  Item 1:                 Item 2:      Item 3:  Item 4:    Item 5:           Item 6:       Item 7:    Item 8:
              Name of Issuer          Title of Class    CUSIP     Fair    Shares or  Investment Discretion  Other  Voting Authority
                                                                 Market   Principal  (a)     (b)     (c)     Mgrs      (Shares)
                                                                  Value      Amt.    Sole   Shared   Other         (a)   (b)    (c)
                                                                (X $1000)                                          Sole  Shared None

------------------------------------------------------------------------------------------------------------------------------------
<S>                                   <C>              <C>      <C>       <C>        <C>    <C>      <C>   <C>     <C>   <C>    <C>
Biomet Inc.                           Common Stock     090613100     355        9,230        x              0        9,230      0
Battle Mountain Gold Co               Common Stock     071593107      14        6,329        x              0        6,329      0
Battle Mountain Gold Conv PFD         PreferdStk Conv  071593305       3          100        x              0          100      0
Building Material Holding Corp.       Common Stock     120113105      19        2,150        x              0        2,150      0
Blagman Media Intl Inc                Common Stock     092694108       1        2,000        x              0        2,000      0
Bemis Co Inc.                         Common Stock     081437105     277        8,225        x              0        8,225      0
Bryn Mawr BK Corp.                    Common Stock     117665109      44        2,188        x              0        2,188      0
Bristol-Myers Squibb Co.              Common Stock     110122108  34,604      594,062        x              0      594,062      0
Barnesandnoble Com Inc                Common Stock     067846105      16        2,500        x              0        2,500      0
Bowne & Co Inc.                       Common Stock     103043105      10        1,000        x              0        1,000      0
Benetton Group Spa                    ADR              081795403      18          444        x              0          444      0
Burlington Northern Santa Fe Corp.    Common Stock     12189T104     674       29,385        x              0       29,385      0
Bank United Corp. CL A                Common Stock     065412108   1,239       35,215        x              0       35,215      0
Benton Oil & Gas Co                   Common Stock     083288100       4        1,463        x              0        1,463      0
BNP Residential Properties Inc        Common Stock     05564T103       3          400        x              0          400      0
Bentley Pharmaceuticals Inc.          Common Stock     082657107       9        1,030        x              0        1,030      0
Braintech Inc New                     Foreign Stock    105022107      10       19,100        x              0       19,100      0
Bob Evans Farms Inc.                  Common Stock     096761101     372       24,916        x              0       24,916      0
Business Objects S A Spons ADR        ADR              12328X107      71          800        x              0          800      0
Boca Research Inc.                    Common Stock     096888102      37        7,100        x              0        7,100      0
Pacific Century Financial Corp.       Common Stock     694058108      65        4,475        x              0        4,475      0
Bausch & Lomb Inc.                    Common Stock     071707103   1,038       13,420        x              0       13,420      0
Interpore Intl                        Common Stock     46062W107      15        1,500        x              0        1,500      0
Burns Intl Services Corp              Common Stock     122374101       4          290        x              0          290      0
Boston Chicken Inc.                   Common Stock     100578103       0        3,050        x              0        3,050      0
Botswana Rst Ltd ADR                  ADR              101349207       0           31        x              0           31      0
About.com Inc                         Common Stock     003736105      15          461        x              0          461      0
Bovie Medical Corp                    Common Stock     10211F100       0           13        x              0           13      0
Bowater Inc                           Common Stock     102183100      98        2,230        x              0        2,230      0
Suite101.com Inc                      Foreign Stock    865073100       1        1,000        x              0        1,000      0
Boc Group PLC - Sponsored ADR         ADR              055617609   1,911       66,045        x              0       66,045      0
Boykin Lodging Co                     Common Stock     103430104     193       14,300        x              0       14,300      0
British Petroleum PLC ADR             ADR              110889409       7          120        x              0          120      0
BP Amoco Plc -Spons ADR               ADR              055622104  14,415      254,843        x              0      254,843      0
Banco Comercial Portugues SA ADS      ADR              059479303       5          200        x              0          200      0
Buckeye Partners L P Unit             Common Stock     118230101     454       16,935        x              0       16,935      0
Badger Paper Mls Inc                  Common Stock     056543101       2          500        x              0          500      0
Popular Inc.                          Common Stock     733174106     541       28,380        x              0       28,380      0
Burnham Pacific Properties Inc.       Common Stock     12232C108       2          300        x              0          300      0
Banpais S.A. -Spons ADR               ADR              066700105       0          200        x              0          200      0
</TABLE>
<PAGE>

<TABLE>
<S>                                     <C>             <C>             <C>         <C>            <C>        <C>  <C>           <C>
BP Prudhoe Bay Rty Tr Unit Ben Int      Common Stock    055630107            2          200        x          0        200       0
Biopure Corp                            Common Stock    09065H105          768       40,820        x          0     40,820       0
Burlington Resources                    Common Stock    122014103        1,570       41,050        x          0     41,050       0
Bradlees Inc                            Common Stock    104499207           14        2,400        x          0      2,400       0
Brenton Bank Inc.                       Common Stock    107211104            8          550        x          0        550       0
Brocade Communications Sys Inc          Common Stock    111621108        1,533        8,357        x          0      8,357       0
Broadcom Corp Cl A                      Common Stock    111320107        4,366       19,940        x          0     19,940       0
BRE Properties Inc. Cl A                Common Stock    05564E106          333       11,538        x          0     11,538       0
Bioreliance Corp                        Common Stock    090951104            0           46        x          0         46       0
Blackrock Florida Insured Muni Trust    Common Stock    09247H106           98        6,538        x          0      6,538       0
Companhia Cervejaria Brahma - SP ADR    ADR             20440X103        3,858      226,925        x          0    226,925       0
Bridgford Foods Corp                    Common Stock    108763103            7          605        x          0        605       0
Berkshire Hathaway Inc. Class A         Common Stock    084670108        2,206           41        x          0         41       0
Berkshire Hathaway Inc. Class B         Common Stock    084670207       13,005        7,389        x          0      7,389       0
Brookline Bancorp Inc                   Common Stock    113739106            3          300        x          0        300       0
Brooks Automation Inc.                  Common Stock    11434A100            3           50        x          0         50       0
Brooktrout Technology Inc.              Common Stock    114580103           84        3,865        x          0      3,865       0
Barr Labs Inc.                          Common Stock    068306109           49        1,087        x          0      1,087       0
The Blackrock Insured Municipal 2008    Common Stock    09247K109           76        5,375        x          0      5,375       0
Brown & Brown Inc                       Common Stock    115236101          146        2,815        x          0      2,815       0
Barrett Resources Corp.                 Common Stock    068480201           40        1,310        x          0      1,310       0
Broadwing Inc                           Common Stock    111620100          542       20,889        x          0     20,889       0
Brio Technology Inc                     Common Stock    109704106           17          800        x          0        800       0
Bethlehem Steel Corp.                   Common Stock    087509105           30        8,553        x          0      8,553       0
Bethlehem Steel Corp Pfd Conv $2.50 Se  PreferdStk Conv 087509402            2          100        x          0        100       0
Bsb Bancorp                             Common Stock    055652101           10          505        x          0        505       0
Bear Stearns Companies, Inc.            Common Stock    073902108          488       11,721        x          0     11,721       0
Bassett Furniture INDS Inc.             Common Stock    070203104           25        2,000        x          0      2,000       0
***BSCH Finance LTD 8.74% PFD Ser D     PFD QTR 30/360  G16547138           12          500        x          0        500       0
***BSCH Finance Ltd 8.125% PFD          PFD QTR 30/360  G16547153           31        1,400        x          0      1,400       0
***BSCH Finance LTD 7.79% Ser H         PFD QTR 30/360  G16547179            9          400        x          0        400       0
***BSCH Finance Ltd                     PFD QTR 30/360  G16547187           24        1,200        x          0      1,200       0
Banc Stock Group Inc. - Cl A            Common Stock    05943C102            1          500        x          0        500       0
Bush Industries Inc.  Class A           Common Stock    123164105           17        1,044        x          0      1,044       0
Filene's Basement Corp.                 Common Stock    316866102            0        5,000        x          0      5,000       0
Bsquare Corp                            Common Stock    11776U102           57        2,550        x          0      2,550       0
Boston Scientific Corp.                 Common Stock    101137107          509       23,213        x          0     23,213       0
Bisys Group Inc.                        Common Stock    055472104           11          180        x          0        180       0
BT Preferred Capital Trust I 8.125%     PFD QTR 30/360  055839203           34        1,465        x          0      1,465       0
Boulder Total Return Fund Inc           Common Stock    101541100            8          700        x          0        700       0
</TABLE>
<PAGE>


<TABLE>
<CAPTION>
     FORM 13F      Name of Reporting Manager:                                                              Run Date: 07/17/2000
                                                 Legg Mason Wood Walker (IMS)                              ------------------------
                                               For Positions Held as of 06/30/2000                         S.E.C. Use Only

                                                                                                           ------------------------
                  Item 1:                 Item 2:      Item 3:   Item 4:   Item 5:           Item 6:       Item 7:    Item 8:
              Name of Issuer          Title of Class    CUSIP      Fair   Shares or  Investment Discretion  Other  Voting Authority
                                                                  Market  Principal  (a)     (b)     (c)     Mgrs      (Shares)
                                                                   Value     Amt.    Sole   Shared   Other         (a)   (b)    (c)
                                                                 (X $1000)                                         Sole  Shared None

------------------------------------------------------------------------------------------------------------------------------------
<S>                                   <C>              <C>       <C>      <C>        <C>    <C>      <C>   <C>     <C>   <C>    <C>
Bio-Technology General Corp.           Common Stock     090578105       90     6,809          x                     0      6,809   0
BTG Inc.                               Common Stock     05576J101        8     1,000          x                     0      1,000   0
British American Tobacco PLC Spon ADR  Foreign Stock    110448107    6,129   456,084          x                     0    456,084   0
Bentley Comm Corp                      Common Stock     082643107        0       350          x                     0        350   0
The Blackrock 2001 Term Trust Inc.     Common Stock     092477108      105    11,541          x                     0     11,541   0
John Hancock Bank & Thrift             MutualFdEqClose  409735107      619    92,598          x                     0     92,598   0
British Telecommunications             ADR              111021408    2,430    18,376          x                     0     18,376   0
Anheuser-Busch Companies Inc.          Common Stock     035229103    8,520   114,073          x                     0    114,073   0
Bankunited Capital III  9% Tr PFD Secs PFD QTR 30/360   066918202       38     2,135          x                     0      2,135   0
Bull Run Corp                          Common Stock     120182100        5     2,500          x                     0      2,500   0
Schlotzkys Inc                         Common Stock     806832101        1       100          x                     0        100   0
Burlington Industries Inc.             Common Stock     121693105        1       300          x                     0        300   0
Buy Com Inc                            Common Stock     124269101        6     1,200          x                     0      1,200   0
Bio- Vascular Inc                      Common Stock     090923103       13     4,000          x                     0      4,000   0
Bay View Cap Corp. Del Com             Common Stock     07262L101      145    14,802          x                     0     14,802   0
Bindview Development Corp              Common Stock     090327107       41     3,440          x                     0      3,440   0
Biovail Corp                           Foreign Stock    09067J109      313     5,637          x                     0      5,637   0
Banco Bilbao Vizcaya Intl (Gibraltar)  ADR              059456301        9       400          x                     0        400   0
Banco Bilbao Vizcaya Spon Adr Prf B    PFD QTR 30/360   059456202       10       400          x                     0        400   0
Compania De Minas Buenaventura         ADR              204448104        5       296          x                     0        296   0
Bayview Capital Trust I                PFD QTR 30/360   07262R207        9       500          x                     0        500   0
Broadvision Inc.                       Common Stock     111412102    2,888    56,838          x                     0     56,838   0
Borg-Warner Automotive, Inc.           Common Stock     099724106      227     6,454          x                     0      6,454   0
Breakaway Solutions Inc                Common Stock     106372105        4       145          x                     0        145   0
Belden, Inc.                           Common Stock     077459105      141     5,500          x                     0      5,500   0
Bancwest Corporation                   Common Stock     059790105      402    24,446          x                     0     24,446   0
Bowl Amer Inc. Cl A                    Common Stock     102565108       33     4,200          x                     0      4,200   0
Brown Shoe Company Inc                 Common Stock     115736100        4       300          x                     0        300   0
Britesmile Inc.                        Common Stock     110415106        3       600          x                     0        600   0
BASIX Corp. New                        Common Stock     070121207        0         8          x                     0          8   0
Bluegreen Corp                         Common Stock     096231105        3     1,000          x                     0      1,000   0
Biomatrix Inc                          Common Stock     09060P102       50     2,200          x                     0      2,200   0
BRE-X Minerals                         Common Stock     10625K109        0     1,300          x                     0      1,300   0
Boston Properties Inc.                 Common Stock     101121101       71     1,845          x                     0      1,845   0
Bancorp South Inc.                     Common Stock     059692103      112     7,998          x                     0      7,998   0
Baxter International Inc - CVR         Common Stock     071813125        0     2,800          x                     0      2,800   0
Bway Corp                              Common Stock     056039100      110    16,560          x                     0     16,560   0
Back Yd Burgers Inc                    Common Stock     05635W101        4     3,200          x                     0      3,200   0
Beijing Yanhua Petrochemical           ADR              07725N108        4       700          x                     0        700   0
Brierley Investments LTD               Foreign Stock    Q17926108        0       500          x                     0        500   0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
     FORM 13F      Name of Reporting Manager:                                                              Run Date: 07/17/2000
                                                 Legg Mason Wood Walker (IMS)                              ------------------------
                                               For Positions Held as of 06/30/2000                         S.E.C. Use Only

                                                                                                           ------------------------
                  Item 1:                 Item 2:      Item 3:  Item 4:    Item 5:           Item 6:       Item 7:    Item 8:
              Name of Issuer          Title of Class    CUSIP     Fair    Shares or  Investment Discretion  Other  Voting Authority
                                                                 Market   Principal  (a)     (b)     (c)     Mgrs      (Shares)
                                                                  Value      Amt.    Sole   Shared   Other         (a)   (b)    (c)
                                                                (X $1000)                                          Sole  Shared None

------------------------------------------------------------------------------------------------------------------------------------
<S>                                   <C>              <C>      <C>       <C>        <C>    <C>      <C>   <C>     <C>   <C>    <C>
Brierly Inv Ltd -Unspon ADR            ADR             109014308       0          100        x                     0         100   0
Beyond.Com Corp                        Common Stock    08860E101      13        9,825        x                     0       9,825   0
Bairnco Corp. New York                 Common Stock    057097107       1          200        x                     0         200   0
Brazil Fund Inc.                       Common Stock    105759104      40        2,335        x                     0       2,335   0
Beazer Homes USA, Inc.                 Common Stock    07556Q105     129        7,075        x                     0       7,075   0
Citigroup, Inc.                        Common Stock    172967101  59,058      980,210        x                     0     980,210   0
Citigroup Capital I Tr PFD Sec 8.00%   PFD QTR 30/360  17305F201     120        5,000        x                     0       5,000   0
Citigroup Inc. 8.40% Pfd Ser K         PFD QTR 30/360  172967853      10          400        x                     0         400   0
Citigroup Capital IV Tr PFD Sec 6.85%  PFD QTR 30/360  17305J203     162        7,800        x                     0       7,800   0
Cai Inc                                Common Stock    124766106       0          600        x                     0         600   0
CN Bancorp Inc.                        Common Stock    12612U108   1,000      100,000        x                     0     100,000   0
Callware Technologies Inc.             Common Stock    131259103       0       45,000        x                     0      45,000   0
Community First Bank-Lynchburg, VA     Common Stock    20366D107      10        1,000        x                     0       1,000   0
CT Holdings, Inc.                      Common Stock    12643Y103      15       11,000        x                     0      11,000   0
Canadian Occidental Pete Ltd 9.375%    PFD QTR 30/360  136420502      18          800        x                     0         800   0
Central Bank of Tampa                  Common Stock    152585105       0           60        x                     0          60   0
Computer Associates International Inc. Common Stock    204912109   5,064       98,938        x                     0      98,938   0
Camden National Corp                   Common Stock    133034108     124        9,150        x                     0       9,150   0
CACI International Inc Cl A            Common Stock    127190304      25        1,300        x                     0       1,300   0
Cato Corp New Class A                  Common Stock    149205106       7          600        x                     0         600   0
Carrier Access Corp.                   Common Stock    144460102      42          795        x                     0         795   0
Careadvantage Inc Com New              Common Stock    14166N209      35      166,667        x                     0     166,667   0
Conagra Inc.                           Common Stock    205887102   1,443       75,711        x                     0      75,711   0
Conagra Capital LLC 9.35%              LTD Part  P12   20588V406      13          540        x                     0         540   0
Conagra Capital Lc Adj Rate Pfd Ser B  PFDMthly 30/360 20588V307      29        1,700        x                     0       1,700   0
Carnegie International Corp Colo       Common Stock    143500106      62       83,680        x                     0      83,680   0
Cardinal Health Inc.                   Common Stock    14149Y108   2,094       28,301        x                     0      28,301   0
Centrais Eletricas Brasileiras-Sp ADR  ADR             15234Q207   4,030      396,184        x                     0     396,184   0
Centrais Eletricas Brasileiras         ADR             15234Q108      42        3,800        x                     0       3,800   0
Corsair Communications Inc             Common Stock    220406102      29        1,000        x                     0       1,000   0
Cais Internet                          Common Stock    12476Q102       3          200        x                     0         200   0
Cheesecake Factory Inc.                Common Stock    163072101     221        8,036        x                     0       8,036   0
California Fed Bank FSB                Common Stock    130209703       0            8        x                     0           8   0
California Federal Bank Goodwill       Common Stock    130209604       0           19        x                     0          19   0
Caliper Technologies Corp              Common Stock    130876105     242        5,250        x                     0       5,250   0
Caledonia Mng Corp                     Foreign Stock   12932K103       0          290        x                     0         290   0
Calypte Biomedical Corp                Common Stock    131722100      17        7,000        x                     0       7,000   0
California Micro Devices Corp          Common Stock    130439102      36        1,200        x                     0       1,200   0
California Amplifier Inc               Common Stock    129900106       9          200        x                     0         200   0
Canon Inc. - Spon ADR                  ADR             138006309   1,278       25,363        x                     0      25,363   0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
     FORM 13F      Name of Reporting Manager:                                                              Run Date: 07/17/2000
                                                 Legg Mason Wood Walker (IMS)                              -------------------------
                                               For Positions Held as of 06/30/2000                         S.E.C. Use Only

                                                                                                           -------------------------
                  Item 1:                 Item 2:      Item 3:   Item 4:   Item 5:           Item 6:       Item 7:    Item 8:
              Name of Issuer          Title of Class    CUSIP     Fair    Shares or  Investment Discretion  Other  Voting Authority
                                                                 Market   Principal  (a)     (b)     (c)     Mgrs      (Shares)
                                                                  Value      Amt.    Sole   Shared   Other         (a)    (b)    (c)
                                                                (X $1000)                                          Sole  Shared None

------------------------------------------------------------------------------------------------------------------------------------
<S>                                   <C>             <C>       <C>       <C>        <C>    <C>      <C>   <C>     <C>   <C>    <C>
Canisco Res Inc                       Common Stock    137587101        1      1,000            x                      0    1,000   0
Capsule Communications Inc            Common Stock    14068D101        1      1,000            x                      0    1,000   0
Capital Crossing Bank                 Common Stock    140071101       15      1,500            x                      0    1,500   0
Carter Wallace Inc.                   Common Stock    146285101       66      3,300            x                      0    3,300   0
Carrington Labs Inc                   Common Stock    144525102        2      1,000            x                      0    1,000   0
Caseys Genl Stores                    Common Stock    147528103       79      7,650            x                      0    7,650   0
Caterpillar Inc.                      Common Stock    149123101    4,048    119,495            x                      0  119,495   0
Catskill Financial Corp.              Common Stock    149348104       15        690            x                      0      690   0
Cambridge Tech Partners of Mass Inc.  Common Stock    132524109      191     21,920            x                      0   21,920   0
Channel Amer Broadcasting Inc         Common Stock    158913103        0        500            x                      0      500   0
Commercial Assets Inc.                Common Stock    201119104        3        600            x                      0      600   0
Cons Maymac Pete Corp                 Foreign Stock   209496108        2      2,000            x                      0    2,000   0
Chubb Corp.                           Common Stock    171232101    3,111     50,589            x                      0   50,589   0
Centura Banks Inc.                    Common Stock    15640T100    1,074     31,659            x                      0   31,659   0
CBC Bancorp Inc                       Common Stock    124786203        1        400            x                      0      400   0
Citizens Bkg Corp.                    Common Stock    174420109        4        260            x                      0      260   0
Cooper Industries                     Common Stock    216669101      376     11,534            x                      0   11,534   0
Commerce Bancorp Inc.                 Common Stock    200519106      424      9,209            x                      0    9,209   0
Century Business Services Inc         Common Stock    156490104        6      3,300            x                      0    3,300   0
Capital Bank Corp                     Common Stock    139793103        5        500            x                      0      500   0
CBL & Associates Pptys Inc.           Common Stock    124830100      950     38,080            x                      0   38,080   0
Chesapeake Biological Labs - A        Common Stock    165146101       10      2,000            x                      0    2,000   0
Cambrex Corp.                         Common Stock    132011107      133      2,960            x                      0    2,960   0
Columbia Bancorp                      Common Stock    197227101      151     16,754            x                      0   16,754   0
Creative Biomolecules Inc             Common Stock    225270107       89      6,340            x                      0    6,340   0
Ciber Inc.                            Common Stock    17163B102      272     20,510            x                      0   20,510   0
CBRL Group Inc.                       Common Stock    12489V106      419     28,510            x                      0   28,510   0
Coastal Bancorp Inc                   Preferred Stock 19041P303       81      4,100            x                      0    4,100   0
Commerce Bancshares Inc.              Common Stock    200525103        8        274            x                      0      274   0
Complete Business Solutions Inc.      Common Stock    20452F107    1,419     80,775            x                      0   80,775   0
Compass Bancshares Inc. New           Common Stock    20449H109    2,527    148,085            x                      0  148,085   0
Cubist Pharmaceuticals Inc            Common Stock    229678107       49      1,000            x                      0    1,000   0
Cabot Corp.                           Common Stock    127055101      117      4,300            x                      0    4,300   0
Cutter & Buck Inc                     Common Stock    232217109      105     13,201            x                      0   13,201   0
Cybex Corp.                           Common Stock    232522102      512     12,079            x                      0   12,079   0
Circuit City Stores Inc.              Common Stock    172737108    2,731     82,279            x                      0   82,279   0
Calendar Capital Inc.                 Common Stock    129463105        0      8,000            x                      0    8,000   0
CCB Financial Corp.                   Common Stock    124875105      650     17,556            x                      0   17,556   0
C-Cor Electronics Inc.                Common Stock    125010108       11        400            x                      0      400   0
Calgon Carbon Corp.                   Common Stock    129603106       75      9,700            x                      0    9,700   0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
      FORM 13F      Name of Reporting Manager:                                                             Run Date: 07/17/2000
                                                 Legg Mason Wood Walker (IMS)                              -------------------------
                                               For Positions Held as of 06/30/2000                         S.E.C. Use Only

                                                                                                           -------------------------
                  Item 1:                 Item 2:      Item 3:  Item 4:    Item 5:           Item 6:       Item 7:    Item 8:
              Name of Issuer          Title of Class    CUSIP     Fair    Shares or  Investment Discretion  Other  Voting Authority
                                                                 Market   Principal  (a)     (b)     (c)     Mgrs      (Shares)
                                                                  Value      Amt.    Sole   Shared   Other         (a)   (b)    (c)
                                                                (X $1000)                                          Sole  Shared None

------------------------------------------------------------------------------------------------------------------------------------
<S>                                   <C>             <C>       <C>       <C>        <C>    <C>      <C>   <C>     <C> <C>      <C>
CCC Information Service Grp           Common Stock    12487Q109        4        400           x                      0       400   0
Concorde Career Colleges Inc          Common Stock    20651H102        0        300           x                      0       300   0
Coca Cola Enterprises Inc.            Common Stock    191219104      313     19,165           x                      0    19,165   0
Computer Concepts Corp New            Common Stock    204897300        2      1,800           x                      0     1,800   0
Chelsea GCA Realty, Inc.              Common Stock    163262108       38      1,100           x                      0     1,100   0
Comtech Consldtn Group Inc Del        Common Stock    205819105       33    269,450           x                      0   269,450   0
Collectible Concepts Group Inc        Common Stock    19419D106      338  1,930,100           x                      0 1,930,100   0
Campbell Res Inc New                  Foreign Stock   134422609        0        100           x                      0       100   0
Crown Cork & Seal Co Inc.             Common Stock    228255105    1,264     84,263           x                      0    84,263   0
Carnival Corp.                        Common Stock    143658102    5,625    288,478           x                      0   288,478   0
Chris Craft Industries Inc.           Common Stock    170520100    2,025     30,655           x                      0    30,655   0
Coastal Caribbean Oils & Minerals     Common Stock    190432203        7      6,000           x                      0     6,000   0
Chevy Chase 10.375% Non Cum           Preferred Stock 16678M207      196      3,840           x                      0     3,840   0
Countrywide Credit Industries         Common Stock    222372104      683     22,527           x                      0    22,527   0
Concord Communications Inc            Common Stock    206186108       25        625           x                      0       625   0
Clintrials Research Inc.              Common Stock    188767107       92     26,300           x                      0    26,300   0
Chevy Chase Svgs Bk FSB 13%           PFD QTR 30/360  166784207       25      1,000           x                      0     1,000   0
Clear Channel Communications          Common Stock    184502102    1,018     13,570           x                      0    13,570   0
Concurrent Computer Corp.             Common Stock    206710204      118      9,000           x                      0     9,000   0
Currency Technology Corp.             Common Stock    231297102        0      1,000           x                      0     1,000   0
Cendant Corp.                         Common Stock    151313103    1,918    136,999           x                      0   136,999   0
Cendant Corp - Income Prides          PFD QTR 30/360  151313301       33      1,500           x                      0     1,500   0
Canandaigua Wine Co                   Common Stock    137219200      948     18,796           x                      0    18,796   0
Cidco Incorporated                    Common Stock    171768104      120     35,650           x                      0    35,650   0
Coeur D Alene Mines Corp.             Common Stock    192108108       11      4,610           x                      0     4,610   0
CDI Corp.                             Common Stock    125071100      827     40,590           x                      0    40,590   0
Certified Diabetic Srvcs Inc          Common Stock    157012105        1      4,500           x                      0     4,500   0
Coddle Creek Financial Inc            Common Stock    191891100        7        200           x                      0       200   0
Cadmus Communications Corp            Common Stock    127587103      157     16,085           x                      0    16,085   0
Cadence Design Systems Inc.           Common Stock    127387108      319     15,640           x                      0    15,640   0
Comdisco                              Common Stock    200336105      150      6,714           x                      0     6,714   0
Consolidated Papers Inc.              Common Stock    209759109       18        490           x                      0       490   0
Sirius Satellite Radio Inc            Common Stock    82966U103      165      3,728           x                      0     3,728   0
Cable Design Technologies Corp.       Common Stock    126924109      270      8,050           x                      0     8,050   0
Conductus Inc                         Common Stock    206784100       51      2,600           x                      0     2,600   0
CDW Computer Centers Inc.             Common Stock    125129106      423      6,768           x                      0     6,768   0
Colonial Downs Holdings CL A          Common Stock    19564H100        5      5,500           x                      0     5,500   0
Catellus Dev Corp.                    Common Stock    149111106       48      3,200           x                      0     3,200   0
CEC  Entertainment Inc                Common Stock    125137109        7        280           x                      0       280   0
Centrais Eletricas De Santa           ADR             15234U604        4        100           x                      0       100   0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
     FORM 13F      Name of Reporting Manager:                                                              Run Date: 07/17/2000
                                                 Legg Mason Wood Walker (IMS)                              -------------------------
                                               For Positions Held as of 06/30/2000                         S.E.C. Use Only

                                                                                                           -------------------------
                  Item 1:                 Item 2:      Item 3:   Item 4:   Item 5:           Item 6:       Item 7:    Item 8:
              Name of Issuer          Title of Class    CUSIP     Fair    Shares or  Investment Discretion  Other  Voting Authority
                                                                 Market   Principal  (a)     (b)     (c)     Mgrs      (Shares)
                                                                  Value      Amt.    Sole   Shared   Other         (a)   (b)    (c)
                                                                (X $1000)                                          Sole  Shared None

------------------------------------------------------------------------------------------------------------------------------------
<S>                                   <C>             <C>       <C>       <C>        <C>    <C>      <C>   <C>     <C>   <C>    <C>
Concord EFS Inc.                      Common Stock    206197105      185       7,102           x                     0     7,102   0
Constellation Energy Group            Common Stock    210371100    3,565     109,485           x                     0   109,485   0
Cell Genesys Inc.                     Common Stock    150921104    9,516     339,841           x                     0   339,841   0
Crescent Real Estate Equities         Common Stock    225756105      178       8,700           x                     0     8,700   0
Celgene Corp                          Common Stock    151020104      718      12,200           x                     0    12,200   0
Brightpoint Inc.                      Common Stock    109473108      163      18,800           x                     0    18,800   0
Celsion Corporation                   Common Stock    15117N107        7       2,500           x                     0     2,500   0
Chemfirst Inc.                        Common Stock    16361A106        2          95           x                     0        95   0
Cemig                                 ADR             204409601        2         110           x                     0       110   0
Ceridian Corp.                        Common Stock    15677T106      911      37,853           x                     0    37,853   0
Century Bancorp Inc.                  Common Stock    156433104       14       1,000           x                     0     1,000   0
Conestoga Enterprises Inc.            Common Stock    207015108       29       1,600           x                     0     1,600   0
Centennial Technologies Inc           Common Stock    151392206        1         175           x                     0       175   0
Century Aluminum Co                   Common Stock    156431108        4         355           x                     0       355   0
Cephalon Inc.                         Common Stock    156708109      636      10,620           x                     0    10,620   0
Central Pwr & Lt Co Pfd 4%            PFD QTR 30/360  155033103        1          19           x                     0        19   0
Central Ill Lt Co                     PFD QTR 30/360  153645205        9         160           x                     0       160   0
Ceres Group Inc                       Common Stock    156772105       21       3,500           x                     0     3,500   0
Cerner Corp.                          Common Stock    156782104      517      18,975           x                     0    18,975   0
Concero Inc                           Common Stock    206018103        2         200           x                     0       200   0
Cerus Corp.                           Common Stock    157085101       10         200           x                     0       200   0
Centrinity Inc                        Foreign Stock   15640B109        8       1,000           x                     0     1,000   0
Charter One Financial Inc.            Common Stock    160903100      912      39,632           x                     0    39,632   0
Commercial Federal Corp.              Common Stock    201647104      439      28,180           x                     0    28,180   0
CFC International Inc                 Common Stock    125252106        9       1,125           x                     0     1,125   0
Capitol Federal Financial             Common Stock    14057C106       17       1,500           x                     0     1,500   0
Culp Inc.                             Common Stock    230215105        3         500           x                     0       500   0
Consumers Financial Corp.             PFD QTR 30/360  210520300        6       1,600           x                     0     1,600   0
Cacheflow Inc.                        Common Stock    126946102       97       1,570           x                     0     1,570   0
Cardinal Finl Corp                    Common Stock    14149F109        5       1,000           x                     0     1,000   0
Cullen Frost Bankers Inc.             Common Stock    229899109      531      20,193           x                     0    20,193   0
Clifton Mng Co                        Foreign Stock   186904108        3      25,000           x                     0    25,000   0
Computron Software Inc                Common Stock    205631104        3       1,000           x                     0     1,000   0
CFW Communications Co                 Common Stock    124923103       75       2,000           x                     0     2,000   0
Consolidated Freightways Corp.        Common Stock    209232107        4       1,000           x                     0     1,000   0
Columbia Gas System Inc.              Common Stock    197648108      946      14,417           x                     0    14,417   0
Caribgold Resources Inc               Foreign Stock   141903104        0       1,000           x                     0     1,000   0
Corus Group Plc                       ADR             22087M101    3,398     236,405           x                     0   236,405   0
Credit Suisse Strat Global Income Fd  MutualFdFiClose 224918102       65       9,000           x                     0     9,000   0
Canadian General Capital Toprs        PFD QTR 30/360  135785202       17         700           x                     0       700   0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
     FORM 13F      Name of Reporting Manager:                                                               Run Date: 07/17/2000
                                                 Legg Mason Wood Walker (IMS)                               ------------------------
                                               For Positions Held as of 06/30/2000                          S.E.C. Use Only

                                                                                                            ------------------------
                  Item 1:                 Item 2:       Item 3:    Item 4:  Item 5:           Item 6:       Item 7:    Item 8:
              Name of Issuer          Title of Class     CUSIP      Fair   Shares or  Investment Discretion  Other  Voting Authority
                                                                   Market  Principal  (a)     (b)     (c)     Mgrs      (Shares)
                                                                    Value     Amt.    Sole   Shared   Other         (a)   (b)    (c)
                                                                  (X $1000)                                        Sole  Shared None

------------------------------------------------------------------------------------------------------------------------------------
<S>                                     <C>             <C>       <C>        <C>      <C>    <C>      <C>   <C>    <C>   <C>    <C>
Cogenco Intl Inc                        Common Stock    192389302        0         2            x                    0         2   0
Cognex Corp.                            Common Stock    192422103      275     5,305            x                    0     5,305   0
Coastal Corp.                           Common Stock    190441105    1,710    28,089            x                    0    28,089   0
Coastal Finance I-8.375% Trust Orig Pf  PFD QTR 30/360  190463208      104     4,600            x                    0     4,600   0
Collagenex Pharmaceuticals Inc          Common Stock    19419B100       32     3,400            x                    0     3,400   0
Coastal Corp. Class A Convertable To    Common Stock    190441501        0        11            x                    0        11   0
Centigram Communications Corp           Common Stock    152317103       97     3,800            x                    0     3,800   0
Chile Fund Inc.                         MutualFdEqClose 168834109       21     2,200            x                    0     2,200   0
Champion International Corp.            Common Stock    158525105       23       315            x                    0       315   0
Champion Enterprises Inc.               Common Stock    158496109       13     2,675            x                    0     2,675   0
Charter Municipal Mortgage Acceptance   Common Stock    160908109       45     3,687            x                    0     3,687   0
City Holding Co                         Common Stock    177835105       59    10,020            x                    0    10,020   0
Chico's Fas Inc.                        Common Stock    168615102       34     1,695            x                    0     1,695   0
Church & Dwight Inc.                    Common Stock    171340102       40     2,200            x                    0     2,200   0
Churchill Downs Inc                     Common Stock    171484108       27     1,150            x                    0     1,150   0
Chemed Corp.                            Common Stock    163596109        6       200            x                    0       200   0
Cherry Corp                             Common Stock    164541401       21       800            x                    0       800   0
Cheung Kong Hong Kong ADR               ADR             166744201      386    34,880            x                    0    34,880   0
CH Energy Group Incorporated            Common Stock    12541M102      224     6,608            x                    0     6,608   0
Choice Hotels Intl Inc.                 Common Stock    169905106        6       600            x                    0       600   0
China.Com Corp                          Common Stock    G2108N109      122     5,950            x                    0     5,950   0
Chiron Corp.Del                         Common Stock    170040109    1,100    23,164            x                    0    23,164   0
Chesapeake Energy Corp.                 Common Stock    165167107      231    29,800            x                    0    29,800   0
Check Point Software Tech Ltd           Common Stock    M22465104    2,577    12,169            x                    0    12,169   0
Checkers Drive-In Restaurants Inc.-New  Common Stock    162809305        2       368            x                    0       368   0
China Telecom HK LTD Spons ADR          ADR             169428109      225     1,263            x                    0     1,263   0
Chancellor Corp                         Common Stock    158828103        6    12,500            x                    0    12,500   0
Cash Technologies Inc                   Common Stock    147910103       28     4,000            x                    0     4,000   0
C & D Technologies Inc.                 Common Stock    124661109      160     2,840            x                    0     2,840   0
Chordiant Software Inc                  Common Stock    170404107       17     1,000            x                    0     1,000   0
Charming Shoppes Inc.                   Common Stock    161133103      149    29,200            x                    0    29,200   0
Chartered Semiconductor Mfg             ADR             16133R106      394     4,380            x                    0     4,380   0
C H Robinson Worldwide Inc              Common Stock    12541W100       54     1,100            x                    0     1,100   0
Chirex Inc.                             Common Stock    170038103    3,327   166,373            x                    0   166,373   0
Computer Horizons                       Common Stock    205908106       18     1,354            x                    0     1,354   0
CHS Electronics, Inc.                   Common Stock    12542A206        0     3,800            x                    0     3,800   0
Chantal Pharmaceutical Corp New         Common Stock    159300201        0       500            x                    0       500   0
Charter Communications Inc Del          Common Stock    16117M107    3,380   205,615            x                    0   205,615   0
Chattem Inc.                            Common Stock    162456107       14     1,000            x                    0     1,000   0
Chevron Corp.                           Common Stock    166751107    7,205    84,953            x                    0    84,953   0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
     FORM 13F      Name of Reporting Manager:                                                              Run Date: 07/17/2000
                                                 Legg Mason Wood Walker (IMS)                              ------------------------
                                               For Positions Held as of 06/30/2000                         S.E.C. Use Only

                                                                                                           ------------------------
                  Item 1:                 Item 2:      Item 3:   Item 4:   Item 5:           Item 6:       Item 7:    Item 8:
              Name of Issuer          Title of Class    CUSIP      Fair   Shares or  Investment Discretion  Other  Voting Authority
                                                                  Market  Principal  (a)     (b)     (c)     Mgrs      (Shares)
                                                                   Value     Amt.    Sole   Shared   Other         (a)   (b)    (c)
                                                                 (X $1000)                                         Sole  Shared None

------------------------------------------------------------------------------------------------------------------------------------
<S>                                     <C>            <C>       <C>      <C>        <C>    <C>      <C>   <C>     <C>  <C>     <C>
Chyron Corp.                            Common Stock   171605207        1       200            x                     0      200    0
Chittenden Corp.                        Common Stock   170228100      154     6,300            x                     0    6,300    0
Cigna Corp.                             Common Stock   125509109      705     7,541            x                     0    7,541    0
Communication Intelligence New          Common Stock   20338K106       41     9,250            x                     0    9,250    0
Ciena Corp.                             Common Stock   171779101    7,252    43,509            x                     0   43,509    0
Caribbean Cigar Co Com New              Common Stock   141834200        0       250            x                     0      250    0
Caire Inc.                              Common Stock   127761104        0       109            x                     0      109    0
Cima Labs Inc                           Common Stock   171796105        4       200            x                     0      200    0
Cinergy Corp.                           Common Stock   172474108      509    20,023            x                     0   20,023    0
Cincinnati Financial Corp.              Common Stock   172062101      857    27,266            x                     0   27,266    0
Circor Intl Inc                         Common Stock   17273K109        2       250            x                     0      250    0
CIRCLE.COM                              Common Stock   832914204       70    18,901            x                     0   18,901    0
CIT Group Inc. - CL A                   Common Stock   125577106      356    21,877            x                     0   21,877    0
Conectiv Inc.                           Common Stock   206829103      181    11,642            x                     0   11,642    0
Atlantic Capital Trust II Tr 7.375% Pf  PFD QTR 30/360 04827P206       39     1,900            x                     0    1,900    0
Conectiv Inc.- Cl A                     Common Stock   206829202       11       435            x                     0      435    0
Citizens Finl Corp W Va                 Common Stock   17461K101       25     1,000            x                     0    1,000    0
Columbus Southern Pwr Co                PFD QTR 30/360 199575796        4       200            x                     0      200    0
Crompton Corp                           Common Stock   227116100      372    30,403            x                     0   30,403    0
Checkfree Holdings Corp                 Common Stock   162816102    1,827    35,429            x                     0   35,429    0
Checkpoint Systems, Inc.                Common Stock   162825103      186    24,840            x                     0   24,840    0
Colgate-Palmolive Co.                   Common Stock   194162103   14,239   237,809            x                     0  237,809    0
Claimsnet.Com Inc.                      Common Stock   179570106        7     2,000            x                     0    2,000    0
Caliber Learning Network Inc            Common Stock   129914107        6     1,500            x                     0    1,500    0
Clarcor Inc.                            Common Stock   179895107    1,186    59,666            x                     0   59,666    0
Computer Learning Centers               Common Stock   205199102        5     5,200            x                     0    5,200    0
The Caldor Corp.                        Common Stock   128787108        0       300            x                     0      300    0
Claire's Stores, Inc.                   Common Stock   179584107      130     6,750            x                     0    6,750    0
US Lec Corp - Cl A                      Common Stock   90331S109       17     1,000            x                     0    1,000    0
Cleveland Cliffs Inc.                   Common Stock   185896107       10       400            x                     0      400    0
Clean Harbors Inc                       Common Stock   184496107        8     3,800            x                     0    3,800    0
Carlisle Hldgs Ltd                      Common Stock   P21277101        7       900            x                     0      900    0
Mack-Cali Realty Corp.                  Common Stock   554489104       80     3,100            x                     0    3,100    0
Calico Commerce Inc                     Common Stock   129897104       20     1,216            x                     0    1,216    0
Crestline Capital Corp                  Common Stock   226153104       13       739            x                     0      739    0
Clark / Bardes Hldgs Inc                Common Stock   180668105        7       400            x                     0      400    0
Celltech Group Plc                      ADR            151158102      230     6,062            x                     0    6,062    0
Clemente Global Growth Fund Inc.        Common Stock   185569100      294    22,648            x                     0   22,648    0
Clearnet Communications Inc.            Common Stock   184902104        8       300            x                     0      300    0
Colonial Properties Trust               Common Stock   195872106      342    12,500            x                     0   12,500    0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
     FORM 13F      Name of Reporting Manager:                                                           Run Date: 07/17/2000
                                                 Legg Mason Wood Walker (IMS)                           ----------------------------
                                               For Positions Held as of 06/30/2000                      S.E.C. Use Only

                                                                                                        ----------------------------
          Item 1:                    Item 2:      Item 3:    Item 4:   Item 5:          Item 6:         Item 7:       Item 8:
      Name of Issuer              Title of Class   CUSIP      Fair    Shares or  Investment Discretion   Other    Voting Authority
                                                             Market   Principal  (a)     (b)     (c)     Mgrs        (Shares)
                                                              Value      Amt.    Sole   Shared   Other          (a)   (b)    (c)
                                                            (X $1000)                                           Sole Shared  None

------------------------------------------------------------------------------------------------------------------------------------
<S>                               <C>             <C>       <C>       <C>        <C>    <C>      <C>    <C>     <C>  <C>     <C>
Colonial Properties Trust 8.75
  Cum Red                         PFD QTR 30/360  195872205       53      2,432          x                        0     2,432    0
Cell Pathways Inc. - New          Common Stock    15114R101       85      3,600          x                        0     3,600    0
Consolidated Packaging Corp.      Common Stock    209723105        0        100          x                        0       100    0
CLP Holdings Ltd. Sponsored ADR   ADR             18946Q101    3,577    768,045          x                        0   768,045    0
Clarent Corp Del                  Common Stock    180461105       22        310          x                        0       310    0
Clarus Corp.                      Common Stock    182707109      253      6,520          x                        0     6,520    0
Celerity Systems Inc              Common Stock    15100R107        1      1,000          x                        0     1,000    0
Celestica Inc.                    Foreign Stock   15101Q108      141      2,850          x                        0     2,850    0
Classic Communications Inc Cl A   Common Stock    182728204        1        100          x                        0       100    0
Closure Medical Corp.             Common Stock    189093107       84      3,650          x                        0     3,650    0
Cellstar Corp.                    Common Stock    150925105        4      1,400          x                        0     1,400    0
Celeritek Inc.                    Common Stock    150926103        4        100          x                        0       100    0
Coulter Pharmaceutical Inc.       Common Stock    222116105       14        700          x                        0       700    0
Collateral Therapeutics           Common Stock    193921103        5        200          x                        0       200    0
Calcasieu Real Estate & Oil Co.   Common Stock    128685203       56     10,000          x                        0    10,000    0
Clorox Co.                        Common Stock    189054109    2,369     52,873          x                        0    52,873    0
Celexx Corp                       Common Stock    15101T102        4      4,400          x                        0     4,400    0
Comerica Inc.                     Common Stock    200340107    1,055     23,508          x                        0    23,508    0
Chase Manhattan Corp.             Common Stock    16161A108   16,315    354,199          x                        0   354,199    0
Chase Preferred Capital Corp      Preferred Stock 161637202       55      2,300          x                        0     2,300    0
Chase Manhattan Corp. New         Preferred Stock 16161A884       42      1,550          x                        0     1,550    0
Comcast Corp. Class A             Common Stock    200300101      293      7,545          x                        0     7,545    0
Comcast Corp. Class A Special     Common Stock    200300200    5,003    123,520          x                        0   123,520    0
Carematrix Corp.                  Common Stock    141706101        0        500          x                        0       500    0
Comdial Corp                      Common Stock    200332302        4      1,000          x                        0     1,000    0
Colorado Medtech Inc              Common Stock    19652U104        2        250          x                        0       250    0
CMG Information Services Inc.     Common Stock    125750109    3,078     67,182          x                        0    67,182    0
Clayton Homes Inc.                Common Stock    184190106       73      9,173          x                        0     9,173    0
Commonwealth Industries Inc       Common Stock    203004106      130     22,105          x                        0    22,105    0
IVI Checkmate Corp.               Common Stock    450928106        1        500          x                        0       500    0
CML Group Inc.                    Common Stock    125820100        0      2,100          x                        0     2,100    0
Cumulus Media Inc - CL A          Common Stock    231082108        0         50          x                        0        50    0
Criimi Mae Inc.                   Common Stock    226603108        9      6,465          x                        0     6,465    0
Criimi Mae Inc                    PreferdStk Conv 226603306        0         19          x                        0        19    0
Computer Network Technology       Common Stock    204925101        8        450          x                        0       450    0
Capstead Mtg Corp                 Common Stock    14067E407        6        765          x                        0       765    0
Capstead Mtg Corp                 PreferdStk Conv 14067E308       20      2,000          x                        0     2,000    0
Credence Systems Corp.            Common Stock    225302108       91      1,650          x                        0     1,650    0
Cosmoz.com Inc                    Common Stock    221469109        2      7,000          x                        0     7,000    0
Compucom Sys Inc                  Common Stock    204780100        7      4,000          x                        0     4,000    0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
     FORM 13F      Name of Reporting Manager:                                                              Run Date: 07/17/2000
                                                 Legg Mason Wood Walker (IMS)                              -------------------------
                                               For Positions Held as of 06/30/2000                         S.E.C. Use Only

                                                                                                           -------------------------
          Item 1:                        Item 2:      Item 3:    Item 4:   Item 5:          Item 6:        Item 7:   Item 8:
      Name of Issuer                  Title of Class   CUSIP      Fair    Shares or  Investment Discretion  Other Voting Authority
                                                                 Market   Principal  (a)     (b)     (c)     Mgrs    (Shares)
                                                                  Value      Amt.    Sole   Shared   Other        (a)   (b)    (c)
                                                                (X $1000)                                         Sole Shared  None

------------------------------------------------------------------------------------------------------------------------------------
<S>                                   <C>             <C>       <C>       <C>        <C>    <C>      <C>   <C>    <C> <C>      <C>
Compumed Inc                          Common Stock    204914402        0        150           x               0           150    0
Computone Corp                        Common Stock    20562D208        0          1           x               0             1    0
Commerce One Inc Del                  Common Stock    200693109    1,208     26,605           x               0        26,605    0
CMS Energy Corp.                      Common Stock    125896100       49      2,218           x               0         2,218    0
Consumers Energy Co                   PFD QTR 30/360  210518205       14        300           x               0           300    0
Consumers Energy Co                   PFD QTR 30/360  210518304       15        303           x               0           303    0
Consumers Energy Co Fins Iii          PFD QTR 30/360  21051Q205      112      4,600           x               0         4,600    0
Commonwealth Bancorp Inc              Common Stock    20268X102        6        500           x               0           500    0
Compass Group Plc Sponsored ADR       ADR             20449X104        3        250           x               0           250    0
Consumer Energy Co Fing Tr I          PFD QTR 30/360  210519203        2        100           x               0           100    0
Community Savings Bankshares          Common Stock    204037105       58      5,098           x               0         5,098    0
Comtech Telecommunications Cp         Common Stock    205826209        3        200           x               0           200    0
Copper Mtn Networks Inc               Common Stock    217510106      139      1,575           x               0         1,575    0
Com21 Inc                             Common Stock    205937105      120      4,785           x               0         4,785    0
Colonial Muni Inc. Tr Sh Ben          Common Stock    195799101       15      2,500           x               0         2,500    0
Comp-U-Check Inc.                     Common Stock    204237309        0        150           x               0           150    0
Chase Capital IV-7.34% Capital        PFD QTR 30/360  16147N208        4        200           x               0           200    0
Comverse Technology Inc.              Common Stock    205862402    4,086     43,933           x               0        43,933    0
Caremark Rx Inc.                      Common Stock    141705103       20      2,956           x               0         2,956    0
Community Bk Natl Assn                Common Stock    203564109       85      7,713           x               0         7,713    0
Casmyn Corp                           Common Stock    147619100        0    100,000           x               0       100,000    0
Calton Inc New                        Common Stock    131380503        3        666           x               0           666    0
China Strategic Hldgs Ltd             Foreign Stock   Y1504A109        2     40,000           x               0        40,000    0
Colonial Bancgroup Inc.               Common Stock    195493309       61      6,750           x               0         6,750    0
Cnb Finl Corp                         Common Stock    125921106       26      2,442           x               0         2,442    0
CNBT Bancshares Inc                   Common Stock    125972109      148     11,030           x               0        11,030    0
CNB Hldgs Inc                         Common Stock    12612T101        0      2,000           x               0         2,000    0
Conseco Inc.                          Common Stock    208464107    1,246    127,829           x               0       127,829    0
Conseco Inc- Cum Income Prides Ser F  PFD QTR 30/360  208464602       71      5,465           x               0         5,465    0
Conseco Financing Trust VI 9.00% Pfd  PFD QTR 30/360  20846M206       22      1,500           x               0         1,500    0
Connetics Corp                        Common Stock    208192104       29      2,000           x               0         2,000    0
Crescendo Pharmaceuticals CRP CL A    Common Stock    225637107        1         42           x               0            42    0
Cellnet Data Sys Inc                  Common Stock    15115M101        0        150           x               0           150    0
Careerengine Network Inc              Common Stock    141690107       27     12,000           x               0        12,000    0
Call-net Enterprises Inc              Foreign Stock   130910201       30     12,500           x               0        12,500    0
Conectisys Corp Com New               Common Stock    206827206       24     40,000           x               0        40,000    0
Cnet Networks Inc.                    Common Stock    12613R104      244      9,952           x               0         9,952    0
CNF Transportation Inc.               Common Stock    12612W104      127      5,595           x               0         5,595    0
Canfibre Group Inc.                   Common Stock    13753R102        3      2,200           x               0         2,200    0
Crown Group Inc                       Common Stock    228359105       25      5,000           x               0         5,000    0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
     FORM 13F      Name of Reporting Manager:                                                              Run Date: 07/17/2000
                                                 Legg Mason Wood Walker (IMS)                              -------------------------
                                               For Positions Held as of 06/30/2000                         S.E.C. Use Only

                                                                                                           -------------------------
          Item 1:                          Item 2:      Item 3:   Item 4:   Item 5:         Item 6:        Item 7:     Item 8:
      Name of Issuer                    Title of Class   CUSIP      Fair   Shares or Investment Discretion  Other  Voting Authority
                                                                   Market  Principal (a)     (b)     (c)     Mgrs    (Shares)
                                                                    Value     Amt.   Sole   Shared   Other        (a)    (b)    (c)
                                                                  (X $1000)                                       Sole  Shared None

------------------------------------------------------------------------------------------------------------------------------------
<S>                                     <C>             <C>       <C>      <C>       <C>    <C>      <C>   <C>    <C>   <C>    <C>
CNH Global N.V.                         Foreign Stock   N20935107       15    1,650           x                     0   1,650     0
Cenit Bancorp Inc.                      Common Stock    15131W109       12    1,000           x                     0   1,000     0
Cole National Corp.                     Common Stock    193290103        1      200           x                     0     200     0
Cleco Corporation                       Common Stock    12561W105      197    5,884           x                     0   5,884     0
Connecticut Light & Power Co. $2.06 E   PFD QTR 30/360  207597501        5      200           x                     0     200     0
Conolog Corp                            Common Stock    208254409        2    1,000           x                     0   1,000     0
Connecticut Light & Power Co $3.24 Pfd  PFD QTR 30/360  207597709      125    3,000           x                     0   3,000     0
CT Light & Power Co                     PFD QTR 30/360  207597204       15      618           x                     0     618     0
Connecticut Light & Power Co $2 Pfd     PFD QTR 30/360  207597303       16      600           x                     0     600     0
Connecticut light & Power Co. $2.20 PF  PFD QTR 30/360  207597600       14      500           x                     0     500     0
Cincinnati Microwave Inc.               Common Stock    172167108        0    1,450           x                     0   1,450     0
Cornerstone Propane Partners LP Uts LT  LTD Part  P4    218916104        1      100           x                     0     100     0
Crown Cent Pete Corp                    Common Stock    228219309       64    7,100           x                     0   7,100     0
Crown Central Petroleum Corp.           Common Stock    228219101        4      400           x                     0     400     0
CT Light & Power Co                     PFD QTR 30/360  207597402       24      900           x                     0     900     0
Continuus Software Corp                 Common Stock    21218R104        2      500           x                     0     500     0
Centerpoint Properties Corp.            Common Stock    151895109       10      250           x                     0     250     0
Connecticut Light & Power Co 5.28% PFD  PFD QTR 30/360  207597782       24      700           x                     0     700     0
Centura Software Corp                   Common Stock    15640W103        6    1,100           x                     0   1,100     0
City Investing Co Liq Tr Unit Ben Int   Common Stock    177900107        0      200           x                     0     200     0
CNS Inc                                 Common Stock    126136100        5    1,100           x                     0   1,100     0
Conexant Systems Inc.                   Common Stock    207142100    1,776   36,522           x                     0  36,522     0
Coachmen Inds Inc.                      Common Stock    189873102        9      800           x                     0     800     0
Coated Sales Inc                        Common Stock    190637108        0    1,050           x                     0   1,050     0
Coats Viyella Plc Spons ADR             ADR             190743203        2      760           x                     0     760     0
Columbia Laboratories Inc.              Common Stock    197779101       13    2,300           x                     0   2,300     0
Cobalt Networks Inc                     Common Stock    19074R101       35      600           x                     0     600     0
Conoco Inc.                             Common Stock    208251306    1,108   50,377           x                     0  50,377     0
Conoco Inc                              Common Stock    208251405      739   30,106           x                     0  30,106     0
Concord Energy Inc Com New              Common Stock    206212201        0   11,000           x                     0  11,000     0
Cone Mills Corp.                        Common Stock    206814105       84   13,500           x                     0  13,500     0
Capital One Financial Corp.             Common Stock    14040H105    6,668  149,418           x                     0 149,418     0
Cabot Oil & Gas Corp                    Common Stock    127097103      102    4,800           x                     0   4,800     0
Cognos Inc.                             Common Stock    19244C109      191    4,627           x                     0   4,627     0
Coherent Inc.                           Common Stock    192479103    2,298   27,400           x                     0  27,400     0
Cohu Inc.                               Common Stock    192576106      783   29,020           x                     0  29,020     0
Computerized Thermal Imaging            Common Stock    20557C108       55    7,500           x                     0   7,500     0
Collins Inds Inc                        Common Stock    194858106        1      100           x                     0     100     0
Columbia Sportswear Co.                 Common Stock    198516106    1,263   47,008           x                     0  47,008     0
Colt Telecom Group Plc                  ADR             196877104       85      624           x                     0     624     0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
     FORM 13F      Name of Reporting Manager:                                                              Run Date: 07/17/2000
                                                 Legg Mason Wood Walker (IMS)                              -------------------------
                                               For Positions Held as of 06/30/2000                         S.E.C. Use Only

                                                                                                           -------------------------
          Item 1:                        Item 2:      Item 3:    Item 4:   Item 5:          Item 6:        Item 7:   Item 8:
      Name of Issuer                  Title of Class   CUSIP      Fair    Shares or  Investment Discretion  Other Voting Authority
                                                                 Market   Principal  (a)     (b)     (c)     Mgrs    (Shares)
                                                                  Value      Amt.    Sole   Shared   Other        (a)   (b)    (c)
                                                                (X $1000)                                         Sole Shared  None

------------------------------------------------------------------------------------------------------------------------------------
<S>                                   <C>             <C>       <C>       <C>        <C>    <C>      <C>   <C>    <C> <C>      <C>
3 Com Corp.                           Common Stock    885535104   8,994    156,086             x                    0  156,086    0
Contour Energy Co.                    Common Stock    21220C103       1        250             x                    0      250    0
Carrier1 Intl S A                     ADR             144500303       3        300             x                    0      300    0
Cooper Companies Inc.                 Common Stock    216648402       0          0             x                    0        0    0
Cyberian Outpost Inc                  Common Stock    231914102      19      3,900             x                    0    3,900    0
Cooperative Bankshares Inc            Common Stock    216844100     106     12,500             x                    0   12,500    0
Consolidated Products Inc.            Common Stock    209798107       5        503             x                    0      503    0
Cope Inc                              Common Stock    217208107       0          1             x                    0        1    0
Crescent Operating Inc.               Common Stock    22575M100       0        335             x                    0      335    0
Corillian Corp                        Common Stock    218725109       2        100             x                    0      100    0
COR Therapeutics Inc.                 Common Stock    217753102     284      3,325             x                    0    3,325    0
Corus Bankshares Inc.                 Common Stock    220873103       2         75             x                    0       75    0
Corel Systems Corp                    Common Stock    21868Q109      62     15,826             x                    0   15,826    0
Costco Whsl Corp New                  Common Stock    22160K105   1,770     53,625             x                    0   53,625    0
Cott Corp.                            Common Stock    22163N106     125     20,835             x                    0   20,835    0
Covest Bancshares Inc.                Common Stock    223032103       5        450             x                    0      450    0
Covad Communications Group            Common Stock    222814204     168     10,435             x                    0   10,435    0
Covington Development Group Inc       Common Stock    223141102       0        600             x                    0      600    0
Cox Communications Inc. Cl A          Common Stock    224044107   1,118     24,542             x                    0   24,542    0
Canadian Pacific Ltd Com              Common Stock    135923100      58      2,205             x                    0    2,205    0
Campbell Soup Co.                     Common Stock    134429109     339     11,644             x                    0   11,644    0
Ciprico Inc.                          Common Stock    172529109       9      1,000             x                    0    1,000    0
CP Clare Corporation                  Common Stock    12615K107      12      1,600             x                    0    1,600    0
Carolina Power & Light 8.55%          PFD QTR 30/360  144141850     243      9,850             x                    0    9,850    0
Chateau Communities Inc.              Common Stock    161726104     111      3,930             x                    0    3,930    0
C P & L Energy Inc                    Common Stock    12614C106   1,374     43,026             x                    0   43,026    0
Carolina Power & Light Co.            PFD QTR 30/360  144141306      72      1,125             x                    0    1,125    0
Connecticut LT&PWR Capital LP         Preferred Stock 125927202     778     31,675             x                    0   31,675    0
Calpine Corp.                         Common Stock    131347106   2,345     35,664             x                    0   35,664    0
Telefonica Cpt Peru Ser B             Common Stock    P3179N127       3      2,000             x                    0    2,000    0
Calpine Cap Tr                        PreferdStk Conv 131346207      18        155             x                    0      155    0
Corn Products International Inc.      Common Stock    219023108      67      2,543             x                    0    2,543    0
C P Pokhand Co Ltd                    Foreign Stock   G71507100       0     10,000             x                    0   10,000    0
Compaq Computer Corp.                 Common Stock    204493100  14,004    547,842             x                    0  547,842    0
Caprock Communications Corp           Common Stock    140667106       9        445             x                    0      445    0
Copart, Inc                           Common Stock    217204106     109      6,820             x                    0    6,820    0
Choicepoint Inc.                      Common Stock    170388102     210      4,720             x                    0    4,720    0
Csc Inds Inc                          Common Stock    126312107       0        200             x                    0      200    0
Capstone Turbine Corp                 Common Stock    14067D102       9        200             x                    0      200    0
Capsule Sys Inc                       Common Stock    140670100       0     20,000             x                    0   20,000    0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
     FORM 13F      Name of Reporting Manager:                                                              Run Date: 07/17/2000
                                                 Legg Mason Wood Walker (IMS)                              ------------------------
                                               For Positions Held as of 06/30/2000                         S.E.C. Use Only

                                                                                                           ------------------------
                  Item 1:                 Item 2:      Item 3:  Item 4:    Item 5:           Item 6:       Item 7:    Item 8:
              Name of Issuer          Title of Class    CUSIP     Fair    Shares or  Investment Discretion  Other  Voting Authority
                                                                 Market   Principal  (a)     (b)     (c)     Mgrs      (Shares)
                                                                  Value      Amt.    Sole   Shared   Other         (a)   (b)    (c)
                                                                (X $1000)                                          Sole  Shared None

------------------------------------------------------------------------------------------------------------------------------------
<S>                                   <C>              <C>      <C>       <C>        <C>    <C>      <C>   <C>     <C>   <C>    <C>
Camden Property Trust                  Common Stock    133131102    2,205    75,069            x                      0  75,069    0
Critical Path Inc.                     Common Stock    22674V100      194     3,331            x                      0   3,331    0
Ctc Communications Group Inc           Common Stock    126419100       21       585            x                      0     585    0
Conceptus Inc                          Common Stock    206016107       20     2,500            x                      0   2,500    0
Cost Plus Inc.                         Common Stock    221485105       11       387            x                      0     387    0
Compuware Corp.                        Common Stock    205638109      165    15,941            x                      0  15,941    0
Computerxpress Com Inc                 Common Stock    20557U108        4    57,500            x                      0  57,500    0
CPI Corp.                              Common Stock    125902106       19       896            x                      0     896    0
Cpl Cap I                              PFD QTR 30/360  12615P205       97     4,300            x                      0   4,300    0
Comsat Corp.                           Common Stock    20564D107        0         0            x                      0       0    0
Comsat Capital LP 8.125% Cum           PFDMthly 30/360 205930209       27     1,400            x                      0   1,400    0
Chiquita Brands Intl Inc.              Common Stock    170032106       10     2,600            x                      0   2,600    0
Chiquita Brands                        PFD QTR 30/360  170032403        7       500            x                      0     500    0
Chiquita Brands $3.75 Ser B            PreferdStk Conv 170032502      122     6,300            x                      0   6,300    0
Chase Resource Corp New                Foreign Stock   161908108        0     1,000            x                      0   1,000    0
Crane Co                               Common Stock    224399105       18       757            x                      0     757    0
Pe Corp. Celera Genomics Group         Common Stock    69332S201      853     9,118            x                      0   9,118    0
Charles River Associates               Common Stock    159852102       13       725            x                      0     725    0
Cray Inc                               Common Stock    225223106        7     2,000            x                      0   2,000    0
Cray Computer Corp.                    Common Stock    225222108        0       425            x                      0     425    0
Crossroads Sys Inc                     Common Stock    22765D100       64     2,550            x                      0   2,550    0
Creditrust Corp.                       Common Stock    225429109        2     1,430            x                      0   1,430    0
Carramerica Realty Corp.               Common Stock    144418100      486    18,335            x                      0  18,335    0
Carramerica Realty Corp. 8.57% PFD Ser PFD QTR 30/360  144418209      176     8,500            x                      0   8,500    0
Carramerica Realty Corp. 8.5% Pfd Ser  PFD QTR 30/360  144418407      228    11,050            x                      0  11,050    0
Creative Technology Ordinary Shares    Common Stock    Y1775U107      198     8,287            x                      0   8,287    0
Cree Research, Inc.                    Common Stock    225447101      708     5,300            x                      0   5,300    0
Creo Prods Inc                         Foreign Stock   225606102        7       300            x                      0     300    0
Curagen Corp                           Common Stock    23126R101      262     6,875            x                      0   6,875    0
Coram Healthcare Corp.                 Common Stock    218103109        1     3,418            x                      0   3,418    0
Cell Robotics Intl Inc                 Common Stock    15114K106       12     3,100            x                      0   3,100    0
Crossland Savings FSB                  PFD QTR 30/360  227901204        0       228            x                      0     228    0
Crown Pacific Partners LP Units Ltd    LTD Part  P12   228439105       48     2,500            x                      0   2,500    0
Crossman Communities Inc               Common Stock    22764E109      155     9,400            x                      0   9,400    0
Carrollton Bancorp                     Common Stock    145282109       43     3,100            x                      0   3,100    0
Captec Net Lease Realty Inc.           Common Stock    140724105      323    29,400            x                      0  29,400    0
Carpenter Technology Corp.             Common Stock    144285103       57     2,700            x                      0   2,700    0
Cross Timber Royalty Trust             Common Stock    22757R109       14     1,000            x                      0   1,000    0
Current Tech Corp.                     Common Stock    23130E104        0     4,500            x                      0   4,500    0
Cirrus Logic Corp.                     Common Stock    172755100      253    15,825            x                      0  15,825    0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
     FORM 13F      Name of Reporting Manager:                                                              Run Date: 07/17/2000
                                                 Legg Mason Wood Walker (IMS)                              -------------------------
                                               For Positions Held as of 06/30/2000                         S.E.C. Use Only

                                                                                                           -------------------------
                  Item 1:                 Item 2:      Item 3:  Item 4:    Item 5:           Item 6:       Item 7:    Item 8:
              Name of Issuer           Title of Class   CUSIP     Fair    Shares or  Investment Discretion  Other Voting Authority
                                                                 Market   Principal  (a)     (b)     (c)     Mgrs      (Shares)
                                                                  Value      Amt.    Sole   Shared   Other        (a)     (b)    (c)
                                                                (X $1000)                                        Sole    Shared None

------------------------------------------------------------------------------------------------------------------------------------
<S>                                    <C>             <C>      <C>       <C>        <C>    <C>      <C>   <C>   <C>   <C>      <C>
Corixa Corp                            Common Stock    21887F100       4         88        x                        0        88    0
Cryomedical Sciences Inc               Common Stock    229049309       4      2,620        x                        0     2,620    0
Carrizo Oil & Co Inc                   Common Stock    144577103      12      2,000        x                        0     2,000    0
Cabletron Systems Inc.                 Common Stock    126920107   2,280     90,285        x                        0    90,285    0
Computer Sciences Corp.                Common Stock    205363104   5,850     78,325        x                        0    78,325    0
Crescent St Bk Cary North Carolina     Common Stock    225783109      40      5,500        x                        0     5,500    0
Centerspan Communications Corp         Common Stock    152012100       9        500        x                        0       500    0
Cisco Systems Inc.                     Common Stock    17275R102  93,365  1,468,850        x                        0 1,468,850    0
Cadbury Schweppes Delaware LP          PFD QTR 30/360  127207207      36      1,500        x                        0     1,500    0
Consco Enterprises Inc                 Common Stock    208462101       0      1,000        x                        0     1,000    0
Conseco Financing Trust V 8.70%        PFD QTR 30/360  20847D205     101      7,300        x                        0     7,300    0
Citizens Bank Ovieda Fla               Common Stock    174134106       0         46        x                        0        46    0
Cadbury Schweppes P L C                ADR             127209302     320     12,188        x                        0    12,188    0
Consygen Inc                           Common Stock    210728101       0        300        x                        0       300    0
CSG Systems International Inc.         Common Stock    126349109     342      6,104        x                        0     6,104    0
Columbus Southern Pwr Co               PFD QTR 30/360  199575812      14        600        x                        0       600    0
Chesapeake Corp.                       Common Stock    165159104       3        100        x                        0       100    0
Carlisle Cos Inc.                      Common Stock    142339100     212      4,700        x                        0     4,700    0
Carriage Services Inc Cl A             Common Stock    143905107       3      1,000        x                        0     1,000    0
C S X Corp.                            Common Stock    126408103     546     25,756        x                        0    25,756    0
Circle Systems, Inc.                   Common Stock    172682106       0        500        x                        0       500    0
Center TR  Inc                         Common Stock    151845104       1        250        x                        0       250    0
1-800 Contacts Inc                     Common Stock    681977104       7        150        x                        0       150    0
Continental Airlines Hldgs Inc.        Common Stock    210802104       0         94        x                        0        94    0
Catalytica Incorporated                Common Stock    148885106       9        800        x                        0       800    0
Cintas Corp.                           Common Stock    172908105     513     13,974        x                        0    13,974    0
Cooper Tire & Rubber Co                Common Stock    216831107     169     15,150        x                        0    15,150    0
Commtouch Software Ltd                 Common Stock    M25596103       7        200        x                        0       200    0
Commonwealth Telephone Enterprises Inc Common Stock    203349105      12        250        x                        0       250    0
Cardiotech Intl Inc                    Common Stock    14160C100       1        500        x                        0       500    0
CTG Resources Inc.                     Common Stock    125957100     182      4,950        x                        0     4,950    0
Bch Cap Ltd                            PFD QTR 30/360  G09022107     135      5,200        x                        0     5,200    0
Cell Therapeutics Inc.                 Common Stock    150934107       3        100        x                        0       100    0
Caldera Technologies Corp.             Foreign Stock   12878E301       0        600        x                        0       600    0
Centurytel Inc.                        Common Stock    156700106   2,205     76,688        x                        0    76,688    0
Castle Industries Inc                  Common Stock    148453103       0        400        x                        0       400    0
Centillium Communications Inc          Common Stock    152319109       7        100        x                        0       100    0
Consolidated Tomoka Ld Co              Common Stock    210226106       1         77        x                        0        77    0
CMP Group Inc                          Common Stock    125887109     112      3,815        x                        0     3,815    0
Citic Pacific Limited                  Common Stock    Y1639J116      16      3,000        x                        0     3,0000   0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
     FORM 13F      Name of Reporting Manager:                                                              Run Date: 07/17/2000
                                                 Legg Mason Wood Walker (IMS)                              -------------------------
                                               For Positions Held as of 06/30/2000                         S.E.C. Use Only

                                                                                                           -------------------------
                  Item 1:                 Item 2:     Item 3:    Item 4:   Item 5:           Item 6:       Item 7:    Item 8:
              Name of Issuer          Title of Class   CUSIP      Fair    Shares or  Investment Discretion  Other  Voting Authority
                                                                 Market   Principal  (a)     (b)      (c)     Mgrs      (Shares)
                                                                  Value      Amt.    Sole   Shared   Other         (a)    (b)    (c)
                                                                (X $1000)                                          Sole  Shared None

------------------------------------------------------------------------------------------------------------------------------------
<S>                                   <C>             <C>       <C>       <C>        <C>    <C>      <C>   <C>     <C>   <C>    <C>
Cabot Industrisl Trust - SBI           Common Stock    127072106        6        300           x                      0     300    0
CTS Corp.                              Common Stock    126501105       15        339           x                      0     339    0
Cellular Technical Svcs Inc            Common Stock    151167301        1         83           x                      0      83    0
Continental AG Spons ADR               ADR             210771200    1,028     61,300           x                      0  61,300    0
Commscope Inc.                         Common Stock    203372107    4,924    120,104           x                      0 120,104    0
Chattown Com Network Inc               Common Stock    162467104        1      1,000           x                      0   1,000    0
Connecticut Water Service Inc.         Common Stock    207797101       29      1,075           x                      0   1,075    0
Centex Corp.                           Common Stock    152312104      283     12,055           x                      0  12,055    0
Citrix Systems Inc.                    Common Stock    177376100    1,317     69,569           x                      0  69,569    0
Cityfed Financial Corp                 PFD QTR 30/360  178762308        0        200           x                      0     200    0
Cityscape Financial Corp               Common Stock    178778106        0      1,000           x                      0   1,000    0
Cubic Corp                             Common Stock    229669106      108      5,755           x                      0   5,755    0
C-Cube Microsystems Inc New            Common Stock    12501N108      105      5,345           x                      0   5,345    0
Cummins Engine Co, Inc.                Common Stock    231021106       25        911           x                      0     911    0
Cuseeme Networks Inc                   Common Stock    231629106        5        500           x                      0     500    0
Central Vermont Pub Svc Corp.          Common Stock    155771108        7        604           x                      0     604    0
Chester Valley Bancorp                 Common Stock    166335109       16        945           x                      0     945    0
Crown Vantage Inc.                     Common Stock    228622106        0         10           x                      0      10    0
Cablevision Systems Corp. Cl A         Common Stock    12686C109      856     12,614           x                      0  12,614    0
Csc Hldgs Inc                          Preferred Stock 126304401        8         73           x                      0      73    0
Covance Inc.                           Common Stock    222816100       68      7,733           x                      0   7,733    0
Converse Inc.                          Common Stock    212540108        1      2,300           x                      0   2,300    0
Convergys Corp                         Common Stock    212485106    1,984     38,255           x                      0  38,255    0
Congress Video Group Inc               Common Stock    207266107        0        200           x                      0     200    0
CVS Corp.                              Common Stock    126650100    8,883    222,071           x                      0 222,071    0
Chromavision Medical Sys               Common Stock    17111P104        6        484           x                      0     484    0
TCW Convertible Securities Fd          Common Stock    872340104      202     19,240           x                      0  19,240    0
Cv Therapeutics Inc                    Common Stock    126667104       24        350           x                      0     350    0
Cleveland Elec Illum Co Pfd T 1/20 Shs PFD QTR 30/360  186108650        3        100           x                      0     100    0
Cleveland Elec Illum Co                Preferred Stock 186108205        5         50           x                      0      50    0
CWE, Inc.                              Common Stock    126674209        0      2,000           x                      0   2,000    0
Crown American Realty Trust            Common Stock    228186102       96     17,900           x                      0  17,900    0
Choice One Communication Inc           Common Stock    17038P104      175      4,295           x                      0   4,295    0
Cable & Wireless Pub Ltd Plc           ADR             126830207      906     18,104           x                      0  18,104    0
Country World Casinos Inc              Common Stock    22236Q102        0     10,000           x                      0  10,000    0
Casella Waste Systems Inc. - Cl A      Common Stock    147448104      269     25,050           x                      0  25,050    0
California Water Service Grp           Common Stock    130788102       40      1,656           x                      0   1,656    0
Coldwater Creek Inc.                   Common Stock    193068103        3        100           x                      0     100    0
Cemex SA- Spons ADR                    ADR             151290889       19        806           x                      0     806    0
Colonial High Income Municipal Trust   Common Stock    195743109       25      4,049           x                      0   4,049    0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
     FORM 13F      Name of Reporting Manager:                                                              Run Date: 07/17/2000
                                                 Legg Mason Wood Walker (IMS)                              -------------------------
                                               For Positions Held as of 06/30/2000                         S.E.C. Use Only

                                                                                                           -------------------------
                  Item 1:                Item 2:      Item 3:    Item 4:   Item 5:           Item 6:       Item 7:    Item 8:
              Name of Issuer         Title of Class    CUSIP      Fair    Shares or  Investment Discretion  Other  Voting Authority
                                                                 Market   Principal  (a)     (b)      (c)     Mgrs      (Shares)
                                                                  Value      Amt.    Sole   Shared   Other         (a)    (b)    (c)
                                                                (X $1000)                                          Sole  Shared None

------------------------------------------------------------------------------------------------------------------------------------
<S>                                  <C>              <C>       <C>       <C>        <C>    <C>      <C>   <C>     <C>  <C>     <C>
Colonial Investment Grade              Common Stock   195768106       42     4,700             x                      0   4,700    0
Commodore Applied Tech Inc             Common Stock   202630109        3     2,000             x                      0   2,000    0
Coflexip Spon ADR                      ADR            192384105       29       485             x                      0     485    0
Centex Construction Prods Inc.         Common Stock   15231R109       57     2,500             x                      0   2,500    0
COX Radio Inc. Cl A                    Common Stock   224051102       17       619             x                      0     619    0
Counsel Corporation                    Common Stock   22226R102        1       300             x                      0     300    0
Canadian Occidental Petroleum PFD      PFD QTR 30/360 136420403      134     5,600             x                      0   5,600    0
Cypress Semiconductor Corp.            Common Stock   232806109    1,359    32,168             x                      0  32,168    0
Cyber Digital Inc                      Common Stock   232441105        1       400             x                      0     400    0
Cyberoptics Corp                       Common Stock   232517102      152     3,276             x                      0   3,276    0
Cyber-Care Inc                         Common Stock   23243T105       34     3,450             x                      0   3,450    0
Cybersource Corp                       Common Stock   23251J106        1       100             x                      0     100    0
Cyberonics Inc.                        Common Stock   23251P102       22     1,800             x                      0   1,800    0
Cybercash Inc.                         Common Stock   232462101        5     1,050             x                      0   1,050    0
Cypress Communications Inc             Common Stock   232743104       55     7,600             x                      0   7,600    0
Cytomedix Inc                          Common Stock   23283B105        8       888             x                      0     888    0
Cytogenix Inc                          Common Stock   232825109       12    15,500             x                      0  15,500    0
Cylink Corp.                           Common Stock   232565101        2       125             x                      0     125    0
Cymer Inc.                             Common Stock   232572107       48     1,000             x                      0   1,000    0
Coyote Network Systems Inc.            Common Stock   22406P108       12     2,200             x                      0   2,200    0
Cypress Bioscience Inc                 Common Stock   232674101       30    15,000             x                      0  15,000    0
CYRK Incorporated                      Common Stock   232817106        1       160             x                      0     160    0
Crys Tel Telecomm Com                  Common Stock   229060108        2     5,000             x                      0   5,000    0
Cysive Inc                             Common Stock   23281T108    1,078    45,135             x                      0  45,135    0
Cytec Industries                       Common Stock   232820100        5       215             x                      0     215    0
CYTYC Corp.                            Common Stock   232946103      919    17,220             x                      0  17,220    0
Cytogen Corp.                          Common Stock   232824102      217    21,430             x                      0  21,430    0
Cytrx Corp.                            Common Stock   232828301        2     2,000             x                      0   2,000    0
Cityxpress Com Corp                    Common Stock   178786109        1     3,000             x                      0   3,000    0
Celanese AG                            ADR            D1497A101        1        67             x                      0      67    0
Citizens Communications Co             Common Stock   17453B101      163     9,439             x                      0   9,439    0
Dominion Res Inc Va New                Common Stock   25746U109    1,416    33,019             x                      0  33,019    0
Delia's Inc                            Common Stock   246885107        1       615             x                      0     615    0
Duke Cap Financing Trust I             PFD QTR 30/360 264393208       77     3,500             x                      0   3,500    0
Duke Energy Corp 6.60%                 PFD QTR 30/360 264399619       38     1,800             x                      0   1,800    0
Duke Weeks Realty Corp Pfd Ser F 8%    PFD QTR 30/360 264411828        8       400             x                      0     400    0
Delaware Group Dividend & Income Fund  Common Stock   245915996       77     6,523             x                      0   6,523    0
Danone                                 Foreign Stock  399449107      620    22,998             x                      0  22,998    0
Davids Bridal Inc                      Common Stock   238576102      988    85,485             x                      0  85,485    0
Delta Air Lines Inc.                   Common Stock   247361108      604    11,936             x                      0  11,936    0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
     FORM 13F      Name of Reporting Manager:                                                               Run Date: 07/17/2000
                                                 Legg Mason Wood Walker (IMS)                               ------------------------
                                               For Positions Held as of 06/30/2000                          S.E.C. Use Only

                                                                                                            ------------------------
                  Item 1:               Item 2:        Item 3:    Item 4:   Item 5:           Item 6:       Item 7:     Item 8:
              Name of Issuer        Title of Class      CUSIP      Fair    Shares or  Investment Discretion  Other  Voting Authority
                                                                  Market   Principal  (a)     (b)      (c)     Mgrs      (Shares)
                                                                   Value      Amt.    Sole   Shared   Other         (a)    (b)   (c)
                                                                 (X $1000)                                         Sole  Shared None

------------------------------------------------------------------------------------------------------------------------------------
<S>                                 <C>                <C>       <C>       <C>        <C>    <C>      <C>   <C>    <C>  <C>     <C>
Daleen Technologies Inc                Common Stock    23437N104       49     3,200           x                       0   3,200    0
Danka Business Systems PLC             ADR             236277109        1       200           x                       0     200    0
DAOU System Inc.                       Common Stock    237015102       26    15,180           x                       0  15,180    0
Dassault Systems SA Sponsored Adr      Foreign Stock   237545108      128     1,360           x                       0   1,360    0
Datatrak Intl Inc                      Common Stock    238134100        5     1,000           x                       0   1,000    0
Datatec Sys Inc                        Common Stock    238128102       15     2,700           x                       0   2,700    0
Datum Inc                              Common Stock    238208102      124     5,500           x                       0   5,500    0
Dayton Mng Corp New                    Foreign Stock   239902208        3     5,000           x                       0   5,000    0
Data Broadcast Corp.                   Common Stock    237596101       66    10,390           x                       0  10,390    0
Diebold Inc.                           Common Stock    253651103      370    13,278           x                       0  13,278    0
Dyersburg Corp.                        Common Stock    267575108        0     2,500           x                       0   2,500    0
Digital Biometrics Inc                 Common Stock    253833107        9     2,000           x                       0   2,000    0
Deutsche Bank AG                       Common Stock    D18190898      122     1,450           x                       0   1,450    0
Double Eagle Pete & Mng Co             Common Stock    258570209        0        20           x                       0      20    0
Demegen Inc                            Common Stock    24804S106        2     2,500           x                       0   2,500    0
Dress Barn, Inc.                       Common Stock    261570105        2       100           x                       0     100    0
De Beers Cons Mines Ltd ADR N.E.       ADR             240253302    4,302   176,957           x                       0 176,957    0
DBS Group Hldgs Ltd                    ADR             23304Y100    3,480    67,757           x                       0  67,757    0
Data Critical Corp Del                 Common Stock    237622105       13     1,000           x                       0   1,000    0
Dobson Communications Corp             Common Stock    256069105       30     1,550           x                       0   1,550    0
Dch Technology Inc                     Common Stock    233092105       15     3,500           x                       0   3,500    0
Donaldson Inc.                         Common Stock    257651109      144     7,308           x                       0   7,308    0
Dicom Imaging Sys Inc                  Common Stock    253571103        9     2,000           x                       0   2,000    0
Doubleclick Inc.                       Common Stock    258609304      595    15,599           x                       0  15,599    0
Dana Corp.                             Common Stock    235811106      557    26,271           x                       0  26,271    0
Dime Community Bancshares Inc          Common Stock    253922108        3       190           x                       0     190    0
Doncasters PLC Sponsored               Common Stock    257692103        5       500           x                       0     500    0
Documentum Inc.                        Common Stock    256159104        2        20           x                       0      20    0
DaimlerChrysler A.G.                   ADR             D1668R123    2,024    38,870           x                       0  38,870    0
Du Pont (EI) de Nemours and Co.        Common Stock    263534109   11,889   271,739           x                       0 271,739    0
Du Pont E I De Nemour                  Preferred Stock 263534208       65     1,225           x                       0   1,225    0
Du Pont E I De Nemours & Co            Preferred Stock 263534307        2        25           x                       0      25    0
Detroit Diesel Corp.                   Common Stock    250837101        4       300           x                       0     300    0
Deltathree Com Inc                     Common Stock    24783N102        1       100           x                       0     100    0
Delaware Group Dividend &              Common Stock    245915103       79     6,815           x                       0   6,815    0
Data Diminsions Inc                    Common Stock    237654207        1       400           x                       0     400    0
Developers Diversified Realty Corp.    Common Stock    251591103      225    15,040           x                       0  15,040    0
Developers Diversified Rlty 9.50% CLA  PFD QTR 30/360  251591301      139     6,200           x                       0   6,200    0
Developers Divrs Realty Corp 8.375% f  PFD QTR 30/360  251591608       30     1,500           x                       0   1,500    0
Developers Diversified Rlty Co         PFD QTR 30/360  251591806       12       600           x                       0     600    0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
     FORM 13F      Name of Reporting Manager:                                                               Run Date: 07/17/2000
                                                 Legg Mason Wood Walker (IMS)                               ------------------------
                                               For Positions Held as of 06/30/2000                          S.E.C. Use Only

                                                                                                            ------------------------
                  Item 1:               Item 2:        Item 3:    Item 4:   Item 5:           Item 6:       Item 7:     Item 8:
              Name of Issuer        Title of Class      CUSIP      Fair    Shares or  Investment Discretion  Other  Voting Authority
                                                                  Market   Principal  (a)     (b)      (c)     Mgrs     (Shares)
                                                                   Value      Amt.    Sole   Shared   Other         (a)    (b)   (c)
                                                                 (X $1000)                                         Sole  Shared None

------------------------------------------------------------------------------------------------------------------------------------
<S>                                 <C>               <C>        <C>       <C>        <C>    <C>      <C>   <C>    <C>  <C>     <C>
Dillards Inc.                         Common Stock    254067101       210    17,155            x                      0  17,155    0
Deere & Co                            Common Stock    244199105     2,215    59,860            x                      0  59,860    0
Den Danske BK of 1871 Aktieselska     ADR             248206203     3,503    29,005            x                      0  29,005    0
Deltic Timber Corp.                   Common Stock    247850100         2       115            x                      0     115    0
Dell Computer Corp.                   Common Stock    247025109    29,346   595,091            x                      0 595,091    0
Drug Emporium Inc.                    Common Stock    262175102         1     1,000            x                      0   1,000    0
Denbury Resources Inc                 Common Stock    247916208         2       400            x                      0     400    0
Interdent Inc                         Common Stock    45865R109        17     4,775            x                      0   4,775    0
Diageo PLC-Sponsored ADR New          ADR             25243Q205     5,794   162,911            x                      0 162,911    0
De Rigo Spa - Sponsored ADR           ADR             245334107         7     1,150            x                      0   1,150    0
Delmarva Power & Light Trust          Preferred Stock 247112204        37     1,600            x                      0   1,600    0
Dexter Corp.                          Common Stock    252165105        48     1,000            x                      0   1,000    0
Dean Foods Co                         Common Stock    242361103        92     2,910            x                      0   2,910    0
Dairy Farm Intl Ltd                   ADR             233859305         5     1,540            x                      0   1,540    0
Department 56, Inc.                   Common Stock    249509100         2       200            x                      0     200    0
Direct Focus Inc                      Common Stock    254931108       184     3,746            x                      0   3,746    0
Dollar General Corp.                  Common Stock    256669102       139     7,132            x                      0   7,132    0
Delta Nat Gas Inc                     Common Stock    247748106         5       300            x                      0     300    0
Delaware Group Glabal Dividend        Common Stock    245916101         6       500            x                      0     500    0
Donegal Group Inc.                    Common Stock    257701102         8     1,400            x                      0   1,400    0
Quest Diagnostics Inc.                Common Stock    74834L100       278     3,879            x                      0   3,879    0
Danaher Corp.                         Common Stock    235851102       271     5,480            x                      0   5,480    0
Diagnostic Health Svcs Inc.           Common Stock    252446406         0     1,000            x                      0   1,000    0
Dorchester Hugoton Ltd                Common Stock    258205202         7       500            x                      0     500    0
Diamonds Trust Unit Series 1          Common Stock    252787106     1,726    16,532            x                      0  16,532    0
Digene Corp                           Common Stock    253752109        12       300            x                      0     300    0
Digital Impact Inc Del                Common Stock    25385G106        61     4,350            x                      0   4,350    0
Digital Lightwave, Inc.               Common Stock    253855100       325     3,230            x                      0   3,230    0
Digitext Inc                          Common Stock    253894109         0     1,900            x                      0   1,900    0
Digex Inc. Cl A                       Common Stock    253756100       797    11,733            x                      0  11,733    0
Diodes Inc                            Common Stock    254543101       317     7,400            x                      0   7,400    0
Donaldson Lufkin & Jenrette Nw        Common Stock    257661504        51     7,200            x                      0   7,200    0
The Walt Disney Co.                   Common Stock    254687106    26,640   686,363            x                      0 686,363    0
Echostar Communications New           Common Stock    278762109     1,133    34,210            x                      0  34,210    0
Image Entertainment Inc. Com          Common Stock    452439201         6     1,500            x                      0   1,500    0
Diversified Senior Services Inc.      Common Stock    255340101        14     8,000            x                      0   8,000    0
Ditech Communications Corp            Common Stock    25500M103        33       350            x                      0     350    0
John Hancock Patriot Select           Common Stock    41013U102        44     3,526            x                      0   3,526    0
Dow Jones & Co                        Common Stock    260561105       196     2,674            x                      0   2,674    0
Datacraft Asia Ltd                    Foreign Stock   Y1997C109       114    13,000            x                      0  13,000    0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
     FORM 13F      Name of Reporting Manager:                                                               Run Date: 07/17/2000
                                                 Legg Mason Wood Walker (IMS)                               ------------------------
                                               For Positions Held as of 06/30/2000                          S.E.C. Use Only

                                                                                                            ------------------------
                  Item 1:               Item 2:        Item 3:    Item 4:   Item 5:           Item 6:       Item 7:     Item 8:
              Name of Issuer        Title of Class      CUSIP      Fair    Shares or  Investment Discretion  Other  Voting Authority
                                                                  Market   Principal  (a)     (b)      (c)     Mgrs     (Shares)
                                                                   Value      Amt.    Sole   Shared   Other         (a)    (b)   (c)
                                                                 (X $1000)                                         Sole  Shared None

------------------------------------------------------------------------------------------------------------------------------------
<S>                                 <C>               <C>        <C>       <C>        <C>    <C>      <C>   <C>    <C>  <C>     <C>
Dial Corp.                            Common Stock    25247D101       240     23,153           x                      0  23,153    0
Deutsche Lufthansa A G                ADR             251561304         5        200           x                      0     200    0
Donaldson Lufkin & Jenrette           Common Stock    257661108        67      1,570           x                      0   1,570    0
DLJ Cap Trust I Pfd Trust Sec         PFDMthly 30/360 23321W202        43      1,800           x                      0   1,800    0
Datalink Net Inc                      Common Stock    23804A206         5        400           x                      0     400    0
Del Monte Foods Co.                   Common Stock    24522P103       244     35,865           x                      0  35,865    0
Delta & Pine Land Co                  Common Stock    247357106        30      1,200           x                      0   1,200    0
Dollar Tree Stores Inc.               Common Stock    256747106       598     15,104           x                      0  15,104    0
Delta Woodside Inds Inc. New          Common Stock    247909104         0        200           x                      0     200    0
Deluxe Corp.                          Common Stock    248019101       274     11,649           x                      0  11,649    0
Datamarine Intl Inc.                  Common Stock    238045108         4      7,100           x                      0   7,100    0
Damascus Cmnty Bk Md                  Common Stock    23569P109        19        180           x                      0     180    0
Dime Bancorp Inc.                     Common Stock    25429Q102        37      2,320           x                      0   2,320    0
Ducati Motor Hldgs Sponsored ADR      ADR             264066101         8        300           x                      0     300    0
Dimon Inc.                            Common Stock    254394109        18      8,300           x                      0   8,300    0
Denning Mobile Robotics Inc           Common Stock    248570301         0         72           x                      0      72    0
Dimethaid Research Inc.               Common Stock    25435L105       386     59,145           x                      0  59,145    0
Diamondworks Ltd                      Foreign Stock   252906102         0      1,000           x                      0   1,000    0
Genentech Inc                         Common Stock    368710406     1,958     11,386           x                      0  11,386    0
Dun & Bradstreet Corp.                Common Stock    26483B106       432     15,108           x                      0  15,108    0
Dunn Computer Corp Va                 Common Stock    265771105         8      4,300           x                      0   4,300    0
Dionex Corp                           Common Stock    254546104        21        770           x                      0     770    0
Dauphin Technology Inc                Common Stock    238326102        15      2,400           x                      0   2,400    0
Donnelley (R R) & Sons Co             Common Stock    257867101       113      4,990           x                      0   4,990    0
Diamond Offshore Drilling Inc.        Common Stock    25271C102       450     12,819           x                      0  12,819    0
2dobiz Com Inc                        Common Stock    90210Y102       121     23,000           x                      0  23,000    0
Docucorp International-W/I            Common Stock    255911109         2        584           x                      0     584    0
Dole Food Company                     Common Stock    256605106       236     16,840           x                      0  16,840    0
Doral Financial Corp.                 Common Stock    25811P100        47      4,100           x                      0   4,100    0
Delta-omega Technologies Ltd          Common Stock    247782303         0      2,000           x                      0   2,000    0
Dover Corp.                           Common Stock    260003108     2,134     52,620           x                      0  52,620    0
Dover Invt Corp                       Common Stock    260152202         0         12           x                      0      12    0
Dow Chemical Co                       Common Stock    260543103     2,333     77,287           x                      0  77,287    0
Amdocs Limited                        Common Stock    G02602103     1,313     17,101           x                      0  17,101    0
Diagnostic Products Corp.             Common Stock    252450101         6        185           x                      0     185    0
Dense Pac Microsystems Inc            Common Stock    248719304         6        525           x                      0     525    0
Delphi Automotive Sys Corp            Common Stock    247126105     2,315    158,967           x                      0 158,967    0
DPL Inc.                              Common Stock    233293109       432     19,670           x                      0  19,670    0
Dippy Foods Inc                       Common Stock    254558109         3      6,500           x                      0   6,500    0
Duquesne Captl Cum Mthly Inc.         PFD QTR 30/360  266224203       121      5,135           x                      0   5,135    0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
     FORM 13F      Name of Reporting Manager:                                                               Run Date: 07/17/2000
                                                 Legg Mason Wood Walker (IMS)                               ------------------------
                                               For Positions Held as of 06/30/2000                          S.E.C. Use Only

                                                                                                            ------------------------
                  Item 1:                 Item 2:      Item 3:    Item 4:   Item 5:           Item 6:       Item 7:     Item 8:
              Name of Issuer          Title of Class    CUSIP      Fair    Shares or  Investment Discretion  Other  Voting Authority
                                                                  Market   Principal  (a)     (b)      (c)    Mgrs       (Shares)
                                                                   Value      Amt.    Sole   Shared   Other         (a)    (b)   (c)
                                                                 (X $1000)                                         Sole  Shared None

------------------------------------------------------------------------------------------------------------------------------------
<S>                                   <C>             <C>        <C>       <C>        <C>    <C>      <C>   <C>    <C>  <C>     <C>
D Q E Inc.                            Common Stock    23329J104       215      5,440           x                      0   5,440    0
Duquesne Lt Co Pfd 4%                 Preferred Stock 266228402         1         33           x                      0      33    0
Draxis Health Inc                     Foreign Stock   26150J101         2      1,000           x                      0   1,000    0
Dain Rauscher Corp.                   Common Stock    233856103       635      9,625           x                      0   9,625    0
Duane Reade Inc.                      Common Stock    263578106         3        100           x                      0     100    0
Duke Realty Investments, Inc.         Common Stock    264411505     1,508     67,418           x                      0  67,418    0
Duke Realty Investment Inc. PFD 8.25% PFD QTR 30/360  264411844         2        100           x                      0     100    0
Duke Realty Investment Inc.           Preferred Stock 264411604        19        800           x                      0     800    0
Dan River Inc.                        Common Stock    235774106        10      2,000           x                      0   2,000    0
Darden Restaurants Inc.               Common Stock    237194105        14        851           x                      0     851    0
Digital River Inc.                    Common Stock    25388B104        14      1,800           x                      0   1,800    0
Duramed Pharmaceuticals Inc.          Common Stock    266354109        86     15,860           x                      0  15,860    0
Durban Roodeport Deep - SP ADR        ADR             266597301         7      6,200           x                      0   6,200    0
Dril-Quip Inc                         Common Stock    262037104         9        200           x                      0     200    0
Dura Automotive Systems Inc.          Common Stock    265903104         2        185           x                      0     185    0
Dentonia Res Ltd                      Foreign Stock   249023102         0      2,000           x                      0   2,000    0
GTS Duratek Inc. New                  Common Stock    36237J107        29      3,400           x                      0   3,400    0
Data Return Corp                      Common Stock    23785M104         1         50           x                      0      50    0
Dreyers Grand Ice Cream               Common Stock    261878102        57      2,700           x                      0   2,700    0
Dallas Semiconductor Corp.            Common Stock    235204104       183      4,480           x                      0   4,480    0
Drugstore Com Inc                     Common Stock    262241102         1        100           x                      0     100    0
Discovery Laboratories Inc New        Common Stock    254668106         9      2,000           x                      0   2,000    0
Datascope Corp.                       Common Stock    238113104     1,047     29,088           x                      0  29,088    0
Dayton Superior Cap Tr                PFD QTR 30/360  240029207         6        300           x                      0     300    0
DSET Corp                             Common Stock    262504103       694     22,850           x                      0  22,850    0
Desc SA DE CV - Ser C                 Foreign Stock   P3506C125         0        100           x                      0     100    0
Descartes Sys Group Inc               Foreign Stock   249906108       117      3,800           x                      0   3,800    0
Dreyfus Strategic Govts Income Inc.   Common Stock    261938104        93     10,200           x                      0  10,200    0
Downey Finl Cap Tr I                  PFD QTR 30/360  261016208        74      3,000           x                      0   3,000    0
DSL Net Inc                           Common Stock    262506108       237     23,000           x                      0  23,000    0
D S P Group Inc.                      Common Stock    23332B106       221      3,940           x                      0   3,940    0
Quantum Corp-DLT & Storage            Common Stock    747906204        49      5,018           x                      0   5,018    0
DST Systems Inc.                      Common Stock    233326107     1,200     15,759           x                      0  15,759    0
Datastream System Inc                 Common Stock    238124101       326     26,075           x                      0  26,075    0
Southwestern Bell Telephone Co.       PFD QTR 30/360  845335108        56      2,600           x                      0   2,600    0
Deutsche Telecom AG ADS               ADR             251566105     2,782     49,030           x                      0  49,030    0
Detroit Edison Co 7.625% Pfd          PFD QTR 30/360  250847712        34      1,600           x                      0   1,600    0
Deutsche Bank Sponsored ADR           ADR             251525309       439      5,300           x                      0   5,300    0
DTE Energy CO                         Common Stock    233331107       179      5,870           x                      0   5,870    0
Dollar Thrifty Automotive Group Inc.  Common Stock    256743105         6        300           x                      0     300    0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
     FORM 13F      Name of Reporting Manager:                                                              Run Date: 07/17/2000
                                                 Legg Mason Wood Walker (IMS)                              -------------------------
                                               For Positions Held as of 06/30/2000                         S.E.C. Use Only

                                                                                                           -------------------------
                  Item 1:                 Item 2:      Item 3:  Item 4:    Item 5:           Item 6:       Item 7:    Item 8:
              Name of Issuer          Title of Class    CUSIP     Fair    Shares or  Investment Discretion  Other  Voting Authority
                                                                 Market   Principal  (a)     (b)     (c)     Mgrs      (Shares)
                                                                  Value      Amt.    Sole   Shared   Other         (a)   (b)    (c)
                                                                (X $1000)                                          Sole  Shared None

------------------------------------------------------------------------------------------------------------------------------------
<S>                                   <C>             <C>       <C>       <C>        <C>    <C>      <C>   <C>     <C>   <C>    <C>
Dal-Tile International Inc            Common Stock    23426R108       126    15,305            x                      0  15,305    0
Dataram Corp.                         Common Stock    238108203        21       720            x                      0     720    0
Diamond Technology Partners           Common Stock    252762109       422     4,790            x                      0   4,790    0
Datron Systems Inc                    Common Stock    238173108         1       100            x                      0     100    0
Duff & Phelps Utility &               Common Stock    26432K108       373    32,795            x                      0  32,795    0
Duke Energy Corp.                     Common Stock    264399106     4,890    86,746            x                      0  86,746    0
Duke Capital Fin Trust II Quips       PFD QTR 30/360  26439E204        74     3,385            x                      0   3,385    0
Duke Energy Capital Trust I 7.20%     PFD QTR 30/360  264396201        58     2,700            x                      0   2,700    0
Dura Pharmaceuticals, Inc.            Common Stock    26632S109        33     2,325            x                      0   2,325    0
Dusa Pharmaceuticals Inc.             Common Stock    266898105        91     3,075            x                      0   3,075    0
Devry Inc.                            Common Stock    251893103     1,543    58,345            x                      0  58,345    0
Dover Downs Entertainment Inc.        Common Stock    260086103        62     4,400            x                      0   4,400    0
Devon Energy Corp New                 Common Stock    25179M103       295     5,246            x                      0   5,246    0
Diversinet Corp                       Foreign Stock   25536K204        31     2,600            x                      0   2,600    0
Diversa Corp                          Common Stock    255064107        25       750            x                      0     750    0
Dataware Technologies Inc             Common Stock    237920103        13     2,900            x                      0   2,900    0
Dynex Cap Inc                         Common Stock    26817Q506         1       500            x                      0     500    0
Dycom Industries Inc                  Common Stock    267475101        61     1,322            x                      0   1,322    0
Dynagen Inc.                          Common Stock    267917607        11    30,000            x                      0  30,000    0
Dynegy Inc New                        Common Stock    26816Q101        67       978            x                      0     978    0
Delhaize America Inc Cl A             Common Stock    246688105        84     4,734            x                      0   4,734    0
Delhaize America Inc Cl B             Common Stock    246688204        44     2,865            x                      0   2,865    0
Daisytek International Corp           Common Stock    234053106        89     9,455            x                      0   9,455    0
ENI Spa - Sponsored ADR               ADR             26874R108     4,787    82,264            x                      0  82,264    0
Ea Engr Science & Tech Inc.           Common Stock    267911105         0       200            x                      0     200    0
Eagle Wireless Intl Inc               Common Stock    27002R101         6       780            x                      0     780    0
Entergy Arkansas Cap I 8.50%          PFD QTR 30/360  29364C201        63     2,800            x                      0   2,800    0
Eastern Air Lines Inc                 PFD QTR 30/360  276191848         0        94            x                      0      94    0
HEARx LTD                             Common Stock    422360305         0       100            x                      0     100    0
Engineered Support Sys Inc            Common Stock    292866100         3       200            x                      0     200    0
Brinker Intl Inc.                     Common Stock    109641100       263     8,992            x                      0   8,992    0
Eagletech Communications Inc          Common Stock    270040207         2       550            x                      0     550    0
Ebay Inc Com                          Common Stock    278642103       733    13,505            x                      0  13,505    0
EBANK.COM Inc                         Common Stock    278608104         0       100            x                      0     100    0
Ennis Business Forms Inc.             Common Stock    293389102         4       500            x                      0     500    0
Electro Brain Intl Corp.              Common Stock    285062204         0       500            x                      0     500    0
Entertainment Boulevard Inc           Common Stock    29381A105         4     6,000            x                      0   6,000    0
Ebenx Inc                             Common Stock    278668108         5       225            x                      0     225    0
Elder Beerman Stores Corp New         Common Stock    284470101         8     1,880            x                      0   1,880    0
Elsag Bailey Process                  Common Stock    N2925S101         0       550            x                      0     550    0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
     FORM 13F      Name of Reporting Manager:                                                              Run Date: 07/17/2000
                                                 Legg Mason Wood Walker (IMS)                              -------------------------
                                               For Positions Held as of 06/30/2000                         S.E.C. Use Only

                                                                                                           -------------------------
                  Item 1:                 Item 2:      Item 3:  Item 4:    Item 5:           Item 6:       Item 7:    Item 8:
              Name of Issuer          Title of Class    CUSIP     Fair    Shares or  Investment Discretion  Other  Voting Authority
                                                                 Market   Principal  (a)     (b)     (c)     Mgrs      (Shares)
                                                                  Value      Amt.    Sole   Shared   Other         (a)   (b)    (c)
                                                                (X $1000)                                          Sole  Shared None

------------------------------------------------------------------------------------------------------------------------------------
<S>                                   <C>             <C>       <C>       <C>        <C>    <C>      <C>   <C>     <C>   <C>    <C>
Engelhard Corp.                       Common Stock    292845104       204    11,937            x                      0  11,937    0
U.S. Electricar Inc.                  Common Stock    90328P100        15    54,000            x                      0  54,000    0
Eccs Inc                              Common Stock    26825H100        10     2,100            x                      0   2,100    0
Envoy Communications Group Inc        Foreign Stock   293986105         8     1,400            x                      0   1,400    0
Environmental Control Group           Common Stock    293928107         0       200            x                      0     200    0
Electronic Clearing House Inc.        Common Stock    285562203        19     8,000            x                      0   8,000    0
Eagle Capital Int                     Common Stock    269456109         0         1            x                      0       1    0
ECI Telecom Limited ORD               Foreign Stock   268258100       438    12,259            x                      0  12,259    0
Ecolab                                Common Stock    278865100     1,289    32,990            x                      0  32,990    0
Eclipsys Corp.                        Common Stock    278856109        40     5,335            x                      0   5,335    0
Ecom Com Inc                          Common Stock    27889W108         0        14            x                      0      14    0
Econnect                              Common Stock    27889S107         9    16,025            x                      0  16,025    0
Echo Bay Mines Ltd                    Common Stock    278751102         4     3,900            x                      0   3,900    0
Central Newspapers Cl A               Common Stock    154647101       253     4,000            x                      0   4,000    0
Consolidated Edison Inc.              Common Stock    209115104       456    15,401            x                      0  15,401    0
Consolidated Edison Co NY Inc PFD $5  PFD QTR 30/360  209111707       834    11,660            x                      0  11,660    0
Con Edison Co Of Ny                   PFD QTR 30/360  209111830        22     1,000            x                      0   1,000    0
Empire Distict Electric Co.           Common Stock    291641108        13       604            x                      0     604    0
Ediets Com Inc Cl A                   Common Stock    280597105         0       133            x                      0     133    0
Emerging Markets Income Fund          Common Stock    290920107       118    10,176            x                      0  10,176    0
Epicedge Inc                          Common Stock    29426X102        23     1,000            x                      0   1,000    0
Edgar Online Inc                      Common Stock    279765101         2       500            x                      0     500    0
E Digital Corp.                       Common Stock    26841Y103       139    20,950            x                      0  20,950    0
Earth Search Sciences Inc.            Common Stock    270313109        76    76,055            x                      0  76,055    0
Con Edison Co Ser A 7.75% PFD QICS    PFD QTR 30/360  209111848        59     2,600            x                      0   2,600    0
Edo Corp                              Common Stock    281347104         1       200            x                      0     200    0
Educational Reading Aids Corp         Common Stock    281494104         0        41            x                      0      41    0
Electronic Data Systems               Common Stock    285661104     4,157   100,778            x                      0 100,778    0
Edison Schools Inc                    Common Stock    281033100        17       750            x                      0     750    0
El Paso Electric Co New               Common Stock    283677854       433    38,695            x                      0  38,695    0
Environmental Elements Corp           Common Stock    293940102         5     2,700            x                      0   2,700    0
E Machines Inc                        Common Stock    29076P102        12     4,500            x                      0   4,500    0
E-loan Inc                            Common Stock    26861P107        95    20,000            x                      0  20,000    0
EEX Corporation - New                 Common Stock    26842V207         4       666            x                      0     666    0
Efax Com Inc.                         Common Stock    282012103         9     7,300            x                      0   7,300    0
Electric Fuel Corporation             Common Stock    284871100        40     2,600            x                      0   2,600    0
Electronics for Imaging Inc.          Common Stock    286082102       190     7,490            x                      0   7,490    0
Efficient Networks Inc                Common Stock    282056100        21       290            x                      0     290    0
Enhance Financial Services Group Inc. Common Stock    293310108       176    12,250            x                      0  12,250    0
EFTC Corporation                      Common Stock    268443108         4     2,000            x                      0   2,000    0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
     FORM 13F      Name of Reporting Manager:                                                              Run Date: 07/17/2000
                                                 Legg Mason Wood Walker (IMS)                              -------------------------
                                               For Positions Held as of 06/30/2000                         S.E.C. Use Only

                                                                                                           -------------------------
                  Item 1:                 Item 2:      Item 3:  Item 4:    Item 5:           Item 6:       Item 7:    Item 8:
              Name of Issuer          Title of Class    CUSIP     Fair    Shares or  Investment Discretion  Other  Voting Authority
                                                                 Market   Principal  (a)     (b)     (c)     Mgrs      (Shares)
                                                                  Value      Amt.    Sole   Shared   Other         (a)   (b)    (c)
                                                                (X $1000)                                          Sole  Shared None

------------------------------------------------------------------------------------------------------------------------------------
<S>                                   <C>              <C>      <C>       <C>        <C>    <C>      <C>   <C>     <C>   <C>    <C>
Earthfirst Technologies Inc            Common Stock    270318108       24    50,000            x                      0  50,000    0
Eastern Enterprises                    Common Stock    27637F100      225     3,569            x                      0   3,569    0
Equifax Inc.                           Common Stock    294429105    1,167    44,454            x                      0  44,454    0
Egain Communications                   Common Stock    28225C103       48     3,950            x                      0   3,950    0
Eagle Bancorp Inc Md                   Common Stock    268948106       20     2,500            x                      0   2,500    0
Egghead.com                            Common Stock    282329101       63    21,329            x                      0  21,329    0
8 X 8 Inc.                             Common Stock    282912104       64     5,300            x                      0   5,300    0
Eglobe Inc                             Common Stock    282339100        9     3,100            x                      0   3,100    0
Energen Corp.                          Common Stock    29265N108        2       110            x                      0     110    0
National Info Consortium Inc           Common Stock    636491102       59     5,200            x                      0   5,200    0
Eastgroup Properties Inc.              Common Stock    277276101        9       412            x                      0     412    0
Earthgrains Co                         Common Stock    270319106       14       728            x                      0     728    0
E Resources Inc                        Common Stock    26883T103        0       400            x                      0     400    0
E Trade Group Inc                      Common Stock    269246104      726    44,010            x                      0  44,010    0
Egreetings Network Inc                 Common Stock    282343102        1       800            x                      0     800    0
Entergy Gulf States Capt I             PFD QTR 30/360  29364H200      136     5,960            x                      0   5,960    0
Entergy Ark Inc                        PFD QTR 30/360  29364D803       73       750            x                      0     750    0
Entergy Louisiana Inc. 8% Pfd          Preferred Stock 29364M803       45     1,800            x                      0   1,800    0
Equitable of Iowa Cos Capital          Preferred Stock 294513205       20       860            x                      0     860    0
Eidox PLC Sponsored ADR                ADR             282485101      101    13,745            x                      0  13,745    0
Eircom Plc                             ADR             28257P105       58     5,400            x                      0   5,400    0
Emerald Isle Res Inc                   Foreign Stock   29088J102        1     4,000            x                      0   4,000    0
Edison International                   Common Stock    281020107      303    14,780            x                      0  14,780    0
Eix Tr I                               PFD QTR 30/360  268540200       37     1,700            x                      0   1,700    0
Eastman Kodak Co.                      Common Stock    277461109   12,669   212,927            x                      0 212,927    0
A/S Eksportfinans Non-Cum Pfd 8.70%    Preferred Stock R20543162        7       300            x                      0     300    0
Estee Lauder Companies                 Common Stock    518439104    4,648    94,019            x                      0  94,019    0
Internet Law Library Inc               Common Stock    46058X101        2     1,000            x                      0   1,000    0
Electronics Boutique Hldgs Cp          Common Stock    286045109      732    44,680            x                      0  44,680    0
Elcom International Inc.               Common Stock    284434107       14     2,000            x                      0   2,000    0
Endesa S.A. ADR                        ADR             29258N107       13       680            x                      0     680    0
ELF Aquitaine                          ADR             286269105       20       200            x                      0     200    0
Elan Corp. ADR                         ADR             284131208    5,648   116,594            x                      0 116,594    0
Earthlink Inc                          Common Stock    270321102    1,421    92,032            x                      0  92,032    0
Elantec Semiconductor Inc              Common Stock    284155108      153     2,200            x                      0   2,200    0
Entergy London Capital LP 8.625% Cum   PFD QTR 30/360  268316205      276    12,100            x                      0  12,100    0
Echelon Corp                           Common Stock    27874N105      929    16,040            x                      0  16,040    0
Elot Inc                               Common Stock    290143106       14     7,350            x                      0   7,350    0
Eloyalty Corp                          Common Stock    290151109       75     5,900            x                      0   5,900    0
Companhia Paranaense De Energia        ADR             20441B407        4       450            x                      0     450    0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
     FORM 13F      Name of Reporting Manager:                                                              Run Date: 07/17/2000
                                                 Legg Mason Wood Walker (IMS)                              -------------------------
                                               For Positions Held as of 06/30/2000                         S.E.C. Use Only

                                                                                                           -------------------------
                  Item 1:                 Item 2:      Item 3:  Item 4:    Item 5:           Item 6:       Item 7:    Item 8:
              Name of Issuer          Title of Class    CUSIP     Fair    Shares or  Investment Discretion  Other  Voting Authority
                                                                 Market   Principal  (a)     (b)     (c)     Mgrs      (Shares)
                                                                  Value      Amt.    Sole   Shared   Other         (a)   (b)    (c)
                                                                (X $1000)                                          Sole  Shared None

------------------------------------------------------------------------------------------------------------------------------------
<S>                                   <C>              <C>      <C>       <C>        <C>    <C>      <C>   <C>     <C>   <C>    <C>
Electrosource Inc New                  Common Stock    286150206        9     1,000             x                     0   1,000    0
Eltrax Sys Inc                         Common Stock    290375104       83    14,000             x                     0  14,000    0
Aktiebolaget Electrolux ADR            ADR             010198208       12       375             x                     0     375    0
Callaway Golf Co                       Common Stock    131193104       16     1,000             x                     0   1,000    0
Emagin Corp                            Common Stock    29076N107       20     1,550             x                     0   1,550    0
EMail Ltd Spon ADR                     ADR             290769207        4     1,200             x                     0   1,200    0
Embrex Inc                             Common Stock    290817105       91     6,600             x                     0   6,600    0
EMC Corp.                              Common Stock    268648102   41,608   540,797             x                     0 540,797    0
The Emerging Market Income Fund        Common Stock    290918101       30     2,300             x                     0   2,300    0
Empyrean Diagnostics Ltd               Common Stock    29245E103        1     2,000             x                     0   2,000    0
Medcom Usa Inc                         Common Stock    584062103        2     1,000             x                     0   1,000    0
Templeton Emerging Markets             MutualFdEqClose 880191101       94     9,692             x                     0   9,692    0
Emisphere Technologies Inc.            Common Stock    291345106      125     2,925             x                     0   2,925    0
Emulex Corp.                           Common Stock    292475209      565     8,600             x                     0   8,600    0
Emmis Communications Corp Cl A         Common Stock    291525103       83     2,000             x                     0   2,000    0
Eastman Chemical Co                    Common Stock    277432100      117     2,460             x                     0   2,460    0
Emerson Electric Co.                   Common Stock    291011104   10,004   165,702             x                     0 165,702    0
Emerge Interactive Inc                 Common Stock    29088W103       11       635             x                     0     635    0
Embratel Particpacoes ADR              ADR             29081N100        2       100             x                     0     100    0
Enchira Biotechnology Corp             Common Stock    29251Q107      258    41,774             x                     0  41,774    0
Einstein Noah Bagel Corp               Common Stock    282577105        0     1,000             x                     0   1,000    0
Enesco Corp Inc                        Common Stock    292973104        0       100             x                     0     100    0
Encad Inc                              Common Stock    292503109        1       325             x                     0     325    0
Endocare Inc.                          Common Stock    29264P104       18       900             x                     0     900    0
Enron Corp                             Common Stock    293561106   21,055   326,430             x                     0 326,430    0
Enron Cap Trust II 8.125% Perp Trust   Preferred Stock 29357P201       23     1,000             x                     0   1,000    0
Enron Capital Resources LP 9.0% Cum PF PFD P12 30/360  29357D208       26     1,000             x                     0   1,000    0
Enron Capital LLC 8.00% Cum Gtd Pfd    PFDMthly 30/360 P37307108       70     3,120             x                     0   3,120    0
Enron Cap Tr I                         PFD QTR 30/360  29357N206       28     1,200             x                     0   1,200    0
Energy Conversion Devices Inc.         Common Stock    292659109       13       500             x                     0     500    0
E-New Media HKDO.50                    Common Stock    Y2293Q107       18   140,000             x                     0 140,000    0
Engage Technologies Inc                Common Stock    292827102        4       286             x                     0     286    0
Enersis SA Spons ADR                   ADR             29274F104        0         0             x                     0       0    0
Entremed Inc                           Common Stock    29382F103       29       975             x                     0     975    0
Equity Inns Inc.                       Common Stock    294703103       35     5,725             x                     0   5,725    0
Euro909 Com A S                        ADR             298737107       28     4,300             x                     0   4,300    0
Energizer Hldgs Inc                    Common Stock    29266R108       14       774             x                     0     774    0
TXU Gas Co  Dep Pfd Shs Ser F          Preferred Stock 873170302       11       500             x                     0     500    0
Envirosource Inc.                      Common Stock    29409K606        0        57             x                     0      57    0
Equant N V                             ADR             294409107       26       600             x                     0     600    0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
     FORM 13F      Name of Reporting Manager:                                                              Run Date: 07/17/2000
                                                 Legg Mason Wood Walker (IMS)                              -------------------------
                                               For Positions Held as of 06/30/2000                         S.E.C. Use Only

                                                                                                           -------------------------
                  Item 1:                 Item 2:      Item 3:  Item 4:    Item 5:           Item 6:       Item 7:    Item 8:
              Name of Issuer          Title of Class    CUSIP     Fair    Shares or  Investment Discretion  Other  Voting Authority
                                                                 Market   Principal  (a)     (b)     (c)     Mgrs      (Shares)
                                                                  Value      Amt.    Sole   Shared   Other         (a)   (b)    (c)
                                                                (X $1000)                                          Sole  Shared None
------------------------------------------------------------------------------------------------------------------------------------
<S>                                   <C>             <C>       <C>       <C>        <C>    <C>      <C>           <C>
Entertainment International LTD       Common Stock    29380Y104         1     2,000            x                      0   2,000    0
Entrust Technologies Inc.             Common Stock    293848107       641     7,745            x                      0   7,745    0
Enervision Inc                        Foreign Stock   292975109         0        50            x                      0      50    0
Enzo Biochem Inc.                     Common Stock    294100102       104     1,500            x                      0   1,500    0
Enzon Inc.                            Common Stock    293904108       578    13,590            x                      0  13,590    0
Empresa Nacional De Electricidad      ADR             29244T101         8       725            x                      0     725    0
EOG Res Inc                           Common Stock    26875P101       645    19,255            x                      0  19,255    0
E On Ag Sponsored Adr                 ADR             268780103     1,942    38,935            x                      0  38,935    0
Eon Communications Corp               Common Stock    268763109         1       300            x                      0     300    0
Equity Office Properties Trust        Common Stock    294741103        58     2,100            x                      0   2,100    0
Equity Office Properties Trust        PFD QTR 30/360  294741509        11       250            x                      0     250    0
Equity Office Properties Trust        PFD QTR 30/360  294741202         7       300            x                      0     300    0
Eott Energy Partners L P              LTD Part P4     294103106        60     4,200            x                      0   4,200    0
Bottomline Technologies Inc.          Common Stock    101388106        32       950            x                      0     950    0
Enterprise Prods Partners L P         LTD Part P4     293792107        23     1,000            x                      0   1,000    0
E Prime Aerospace Corp                Common Stock    268817103         1    10,000            x                      0  10,000    0
El Paso Energy Corp                   Common Stock    283905107     4,139    81,258            x                      0  81,258    0
Epicor Software Corp                  Common Stock    29426L108         1       300            x                      0     300    0
Eagle Picher Inds Inc.                Common Stock    269803102         0       400            x                      0     400    0
Epimmune Inc                          Common Stock    29425Y101         6     1,000            x                      0   1,000    0
El Paso Energy Partners               Common Stock    28368B102       244    10,000            x                      0  10,000    0
E Piphany Inc                         Common Stock    26881V100        80       750            x                      0     750    0
Entertainment Properties Trust        Common Stock    29380T105        69     5,000            x                      0   5,000    0
Epresence Inc                         Common Stock    294348107        39     5,400            x                      0   5,400    0
Epitope Inc.                          Common Stock    294261102        49     3,550            x                      0   3,550    0
Enviropur Waste Refng Tech Inc        Common Stock    29409U109         0       300            x                      0     300    0
Equinox Systems Inc.                  Common Stock    294436100        17     2,800            x                      0   2,800    0
Equity Residential Properties Trust   Common Stock    29476L107       554    12,046            x                      0  12,046    0
Equity Residential Properties         Preferred Stock 29476L206        78     3,300            x                      0   3,300    0
Equity Residential Pptys Tr           PFD QTR 30/360  29476L305         5       200            x                      0     200    0
Equity Residential Pptys Trust Ser G  PFD QTR 30/360  29476L859        10       425            x                      0     425    0
Equity Residential Pptys Trust 7.625% PFD QTR 30/360  29476L792        55     2,800            x                      0   2,800    0
Equity Residential Pptys Tr           PFD QTR 30/360  29476L800        18       800            x                      0     800    0
Equitable Bk Md                       Common Stock    29444Q105         3       210            x                      0     210    0
Equitable Resources Inc.              Common Stock    294549100       366     7,586            x                      0   7,586    0
Euro Disney S C A Ff 10 Par           Common Stock    F26387112         7    10,000            x                      0  10,000    0
Phyamerica Physician Group Inc        Common Stock    71940A101         0     1,200            x                      0   1,200    0
Equitable Resource Cap Tr I 7.35%     PFD QTR 30/360  294550207        51     2,500            x                      0   2,500    0
Ericsson L M Tel Co ADR Cl B          ADR             294821400     7,677   383,846            x                      0 383,846    0
Erie Indemnity Company - Cl A         Common Stock    29530P102        80     2,550            x                      0   2,550    0
</TABLE>

<PAGE>

<TABLE>
<CAPTION>
     FORM 13F      Name of Reporting Manager:                                                              Run Date: 07/17/2000
                                                 Legg Mason Wood Walker (IMS)                              -------------------------
                                               For Positions Held as of 06/30/2000                         S.E.C. Use Only

                                                                                                           -------------------------
                Item 1:                    Item 2:      Item 3:  Item 4:    Item 5:          Item 6:       Item 7:    Item 8:
            Name of Issuer             Title of Class    CUSIP     Fair    Shares or Investment Discretion  Other  Voting Authority
                                                                  Market   Principal  (a)    (b)    (c)      Mgrs      (Shares)
                                                                   Value      Amt.    Sole  Shared  Other          (a)   (b)    (c)
                                                                 (X $1000)                                         Sole  Shared None

------------------------------------------------------------------------------------------------------------------------------------
<S>                                    <C>             <C>        <C>       <C>       <C>   <C>     <C>    <C>     <C>   <C>    <C>
Erie Lackawanna Inc.                    Common Stock   295349104      0         162           x                       0     162    0
Earthshell Corp                         Common Stock   27032B100     19       6,170           x                       0   6,170    0
Electronic Arts                         Common Stock   285512109    204       2,800           x                       0   2,800    0
Eisai Co Ltd Spon ADR 1 ADR Reps 1 Shr  ADR            282579309    168       5,230           x                       0   5,230    0
Evans & Sutherland Computer Corp.       Common Stock   299096107      2         240           x                       0     240    0
Esco Electrs Corp                       Common Stock   269030102      0           5           x                       0       5    0
Essex Corp                              Common Stock   296744105      1       1,000           x                       0   1,000    0
Espirito Santo Financial Hldg S.A.      ADR            29665F200      9         500           x                       0     500    0
Eshare Technologies Inc Ga              Common Stock   296428105     22       3,200           x                       0   3,200    0
ITT Educational Services Inc            Common Stock   45068B109    290      16,525           x                       0  16,525    0
Electro Scientific Corp.                Common Stock   285229100     26         600           x                       0     600    0
Esterline Technologies Corp             Common Stock   297425100     10         700           x                       0     700    0
Esenjay Expl Inc                        Common Stock   296426109     20       6,153           x                       0   6,153    0
Employee Solutions Inc.                 Common Stock   292166105      0       1,000           x                       0   1,000    0
Endosonics Corp.                        Common Stock   29264K105      6       1,000           x                       0   1,000    0
E Spire Communications Inc              Common Stock   269153102     43       6,300           x                       0   6,300    0
Encompass Svcs Corp                     Common Stock   29255U104      1         177           x                       0     177    0
Express Scripts Inc. CL A               Common Stock   302182100     98       1,585           x                       0   1,585    0
ESS Technology Inc.                     Common Stock   269151106    104       7,200           x                       0   7,200    0
E-stamp Corp                            Common Stock   269154100     19      10,375           x                       0  10,375    0
Ensco International Inc.                Common Stock   26874Q100    818      22,839           x                       0  22,839    0
Environmental Solutions Wrldwd          Foreign Stock  29408K102     15      12,000           x                       0  12,000    0
Esynch Corp                             Common Stock   297591109    102      13,800           x                       0  13,800    0
Entrade Inc                             Common Stock   29382L100      1         200           x                       0     200    0
Elite Technologies Inc                  Common Stock   286600101      2       2,000           x                       0   2,000    0
ESCO Transportation Co. New             Common Stock   269040200      0       2,500           x                       0   2,500    0
E-Tek Dynamics Inc.                     Common Stock   269240107  2,310       8,758           x                       0   8,758    0
Ethan Allen Interiors, Inc.             Common Stock   297602104  1,042      43,436           x                       0  43,436    0
Entercom Communications Corp            Common Stock   293639100      3          70           x                       0      70    0
Eaton Corp.                             Common Stock   278058102  1,002      14,952           x                       0  14,952    0
Enterprise Oil PLC Sponsored ADR Repst  ADR            293779302      2         100           x                       0     100    0
Enterprise Oil Plc ADR                  PFD QTR 30/360 293779203     52       2,100           x                       0   2,100    0
Entergy Corp.                           Common Stock   29364G103    676      24,846           x                       0  24,846    0
Eldertrust - SBI                        Common Stock   284560109      2       2,000           x                       0   2,000    0
E4L Inc                                 Common Stock   268452109     27      32,700           x                       0  32,700    0
E Town Corp.                            Common Stock   269242103    204       3,065           x                       0   3,065    0
Etoys Inc.                              Common Stock   297862104    181      28,470           x                       0  28,470    0
Eurotech Ltd.                           Common Stock   298796103     22       5,500           x                       0   5,500    0
European Technologies Intl Inc          Foreign Stock  29879F103      0         700           x                       0     700    0
Eaton Vance Corp                        Common Stock   278265103    357       7,721           x                       0   7,721    0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
     FORM 13F      Name of Reporting Manager:                                                              Run Date: 07/17/2000
                                                 Legg Mason Wood Walker (IMS)                              -------------------------
                                               For Positions Held as of 06/30/2000                         S.E.C. Use Only

                                                                                                           -------------------------
                  Item 1:                 Item 2:      Item 3:  Item 4:    Item 5:           Item 6:       Item 7:    Item 8:
              Name of Issuer          Title of Class    CUSIP     Fair    Shares or  Investment Discretion  Other  Voting Authority
                                                                 Market   Principal  (a)     (b)     (c)     Mgrs      (Shares)
                                                                  Value      Amt.    Sole   Shared   Other         (a)   (b)    (c)
                                                                (X $1000)                                          Sole  Shared None

------------------------------------------------------------------------------------------------------------------------------------
<S>                                   <C>              <C>      <C>       <C>        <C>    <C>      <C>   <C>     <C>  <C>     <C>
Edwards Lifesciences Corp              Common Stock    28176E108     477     24,951          x                        0  24,951    0
IShares Inc MSCI Australia Index FD    Common Stock    464286103      92      8,515          x                        0   8,515    0
Earthweb Inc                           Common Stock    27032C108       1        100          x                        0     100    0
Euroweb Intl Corp                      Common Stock    298801101       1        500          x                        0     500    0
European Warrant Fd Inc.               Common Stock    298792102      94      6,413          x                        0   6,413    0
ISHARES INC MSCI Germay Index          Common Stock    464286806     107      4,414          x                        0   4,414    0
IShares Inc Hong Kong Index Fd         MutualFdEqClose 464286871      89      7,301          x                        0   7,301    0
IShares Inc Japan Index Fd             MutualFdEqClose 464286848     640     42,153          x                        0  42,153    0
IShares Inc Switzerland Index Fd       Common Stock    464286749      95      5,944          x                        0   5,944    0
IShares Inc Netherlands Index Fd       Common Stock    464286814      95      3,821          x                        0   3,821    0
IShare Inc MSCI Index France Fd        Common Stock    464286707     123      4,286          x                        0   4,286    0
IShares Inc Singapore Index Fd         MutualFdEqClose 464286673      16      2,200          x                        0   2,200    0
IShares Inc MSCI United Kingdom Fd     Common Stock    464286699      84      4,429          x                        0   4,429    0
IShare Inc Mexico Index Fd             Common Stock    464286822       6        345          x                        0     345    0
Exide Corp                             Common Stock    302051107      15      1,890          x                        0   1,890    0
Exchange Applications                  Common Stock    300867108      19        725          x                        0     725    0
Corporate Executive Brd Co             Common Stock    21988R102      24        400          x                        0     400    0
EXABYTE CORPORATION                    Common Stock    300615101       5      1,000          x                        0   1,000    0
Excalibur Technologies Corp            Common Stock    300651205     136      3,400          x                        0   3,400    0
Exodus Communications Inc.             Common Stock    302088109   6,706    145,590          x                        0 145,590    0
Exelixis Inc                           Common Stock    30161Q104       7        200          x                        0     200    0
Excelon Corporation                    Common Stock    300691102     270     34,050          x                        0  34,050    0
Exult Inc Del                          Common Stock    302284104       2        150          x                        0     150    0
Expeditors Intl Wash Inc.              Common Stock    302130109     152      3,200          x                        0   3,200    0
Expedia Inc                            Common Stock    302125109       1        100          x                        0     100    0
Extreme Networks Inc                   Common Stock    30226D106     190      1,805          x                        0   1,805    0
Ethyl Corp.                            Common Stock    297659104      90     36,054          x                        0  36,054    0
Entergy Gulf States Utilities Inc. 7.5 PFD QTR 30/360  29364L847      21        265          x                        0     265    0
Entergy La Inc                         PFD QTR 30/360  29364M845       5         50          x                        0      50    0
Entergy La Inc                         PFD QTR 30/360  29364M605      28        400          x                        0     400    0
Ezenia! Inc                            Common Stock    302311105      22      5,000          x                        0   5,000    0
Ford Motor Co.                         Common Stock    345370100  18,910    439,764          x                        0 439,764    0
Ford Motor Co-Dep Shs-Repstg 1/2000th  PFD QTR 30/360  345370407       7        250          x                        0     250    0
Ford Motor Co Cap Tr I TOPRS 9.00% PFD PFD QTR 30/360  345343206      64      2,450          x                        0   2,450    0
FPC Capital Trust I Ser A 7.10%        PFD QTR 30/360  302552203      95      4,600          x                        0   4,600    0
Fairchild Corp. - Cl A                 Common Stock    303698104      38      7,840          x                        0   7,840    0
Firstfed American Bancorp Inc.         Common Stock    337929103      13      1,160          x                        0   1,160    0
First American Finl Corp               Common Stock    318522307      20      1,400          x                        0   1,400    0
Fairmarket Inc                         Common Stock    305158107      32      4,500          x                        0   4,500    0
Federal Agricultural Mortgage          Common Stock    313148306      26      1,800          x                        0   1,800    0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
     FORM 13F      Name of Reporting Manager:                                                              Run Date: 07/17/2000
                                                 Legg Mason Wood Walker (IMS)                              -------------------------
                                               For Positions Held as of 06/30/2000                         S.E.C. Use Only

                                                                                                           -------------------------
                  Item 1:                 Item 2:      Item 3:  Item 4:    Item 5:           Item 6:       Item 7:    Item 8:
              Name of Issuer          Title of Class    CUSIP     Fair    Shares or  Investment Discretion  Other  Voting Authority
                                                                 Market   Principal  (a)     (b)     (c)     Mgrs      (Shares)
                                                                  Value      Amt.    Sole   Shared   Other         (a)   (b)    (c)
                                                                (X $1000)                                          Sole  Shared None

------------------------------------------------------------------------------------------------------------------------------------
<S>                                   <C>              <C>      <C>       <C>        <C>    <C>      <C>   <C>     <C>  <C>     <C>
Fortis Amev N V Sponsored ADR          ADR             34956J101       1         18          x                        0      18    0
Fastenal Co.                           Common Stock    311900104      41        800          x                        0     800    0
First Australia Prime Income Fd        Common Stock    318653102     157     33,998          x                        0  33,998    0
F N B Corp.                            Common Stock    302520101      67      3,231          x                        0   3,231    0
First Bell Bancorp Inc.                Common Stock    319301107       8        520          x                        0     520    0
Fibercore Inc                          Common Stock    31563B109      10      2,100          x                        0   2,100    0
Fidelity Bancorp Inc. DEL              Common Stock    31583B105       3        180          x                        0     180    0
Fleet Boston Financial Corp.           Common Stock    339030108   6,242    183,601          x                        0 183,601    0
Fleet Capital Trust Vi                 PFD QTR 30/360  33889T202     123      4,900          x                        0   4,900    0
Furniture Brands Intl Inc.             Common Stock    360921100     168     11,080          x                        0  11,080    0
Friedman Billings Ramsey Grp Inc. CL A Common Stock    358433100      26      3,200          x                        0   3,200    0
Foster Brewing Group LTD               Common Stock    Q3944W104       8      3,000          x                        0   3,000    0
First Bankers Tr & Svgs Assoc          Common Stock    319285102       0         70          x                        0      70    0
Franklin Covey Co.                     Common Stock    353469109      64      9,287          x                        0   9,287    0
Forest City Enterprises Inc. Cl A      Common Stock    345550107      23        700          x                        0     700    0
First Chester County Corp.             Common Stock    31947W100       5        400          x                        0     400    0
Frist Comwlth Finl Corp. PA            Common Stock    319829107      14      1,587          x                        0   1,587    0
Fuelcell Energy Inc                    Common Stock    35952H106      26        375          x                        0     375    0
Firstcom Corp                          Common Stock    33763T104       7        435          x                        0     435    0
Future Communications Inc              Common Stock    360906200       0        600          x                        0     600    0
FCNB Corp.                             Common Stock    302920103     417     23,081          x                        0  23,081    0
FCNB Capital Trust 8.25%               PFD QTR 30/360  30243V204     157      6,960          x                        0   6,960    0
First Ctzns Bancshares Inc. NC         Common Stock    31946M103      36        600          x                        0     600    0
The First Commonwealth Fund Inc.       Common Stock    31983F102       3        349          x                        0     349    0
Forecross Corp                         Common Stock    34545C104       0        100          x                        0     100    0
Fairchild Semiconductor Intl           Common Stock    303726103     391      9,657          x                        0   9,657    0
First Charter Corp.                    Common Stock    319439105     205     13,020          x                        0  13,020    0
Freeport McMoran Copper And Gold       Common Stock    35671D857      16      1,763          x                        0   1,763    0
Freeport McMoran Copper & Gold, Inc.   Common Stock    35671D105       8        842          x                        0     842    0
Freeport McMoran Copper & Gold         Preferred Stock 35671D501       8        600          x                        0     600    0
Freeport McMoran Copper & Gold Inc     PFD QTR 30/360  35671D865      41      3,400          x                        0   3,400    0
Federated Department Stores            Common Stock    31410H101     926     27,437          x                        0  27,437    0
First Data Corp.                       Common Stock    319963104   5,881    118,507          x                        0 118,507    0
First Defiance Financial Corp.         Common Stock    32006W106       3        400          x                        0     400    0
Fidelity Hldgs Inc Com New             Common Stock    31617J306       0        100          x                        0     100    0
Family Dollar Stores Inc.              Common Stock    307000109     878     44,860          x                        0  44,860    0
Fresh Del Monte Produce Inc            Common Stock    G36738105     105     15,255          x                        0  15,255    0
Foundry Networks Inc                   Common Stock    35063R100     121      1,095          x                        0   1,095    0
Fedex Corp                             Common Stock    31428X106   2,136     56,202          x                        0  56,202    0
Firstenergy Corp.                      Common Stock    337932107     189      8,069          x                        0   8,069    0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
     FORM 13F      Name of Reporting Manager:                                                              Run Date: 07/17/2000
                                                 Legg Mason Wood Walker (IMS)                              -------------------------
                                               For Positions Held as of 06/30/2000                         S.E.C. Use Only

                                                                                                           -------------------------
                  Item 1:                 Item 2:      Item 3:  Item 4:    Item 5:           Item 6:       Item 7:    Item 8:
              Name of Issuer          Title of Class    CUSIP     Fair    Shares or  Investment Discretion  Other  Voting Authority
                                                                 Market   Principal  (a)     (b)     (c)     Mgrs      (Shares)
                                                                  Value      Amt.    Sole   Shared   Other         (a)   (b)    (c)
                                                                (X $1000)                                          Sole  Shared None

------------------------------------------------------------------------------------------------------------------------------------
<S>                                   <C>              <C>      <C>       <C>        <C>    <C>      <C>   <C>     <C>  <C>     <C>
First Ecom Com Inc                    Foreign Stock    32008N104      10      1,000          x                        0   1,000    0
Just For Feet, Inc.                   Common Stock     48213P106       0      1,475          x                        0   1,475    0
Frequency Electronics Inc             Common Stock     358010106     100      3,500          x                        0   3,500    0
Franklin Electric Inc.                Common Stock     353514102  11,022    162,685          x                        0 162,685    0
Forcenergy Inc.                       Common Stock     345206106       0      2,500          x                        0   2,500    0
First Essex Bancorp Inc.              Common Stock     320103104       5        300          x                        0     300    0
First Financial Fund Inc.             Common Stock     320228109      30      3,609          x                        0   3,609    0
Franchise Finance Corp. of America    Common Stock     351807102     964     41,916          x                        0  41,916    0
First Finl Bancorp                    Common Stock     320209109       6        290          x                        0     290    0
Fairfield Communities Inc.            Common Stock     304231301      20      2,515          x                        0   2,515    0
North Central Bancshares Inc.         Common Stock     658418108       9        680          x                        0     680    0
Fidelity Capital Trust I 8.375% PFD   PFD QTR 30/360   315931204      49      6,000          x                        0   6,000    0
Farm Family Holdings Inc.             Common Stock     307901108      10        336          x                        0     336    0
FSF Financial Corp.                   Common Stock     30262K105       8        690          x                        0     690    0
Flushing Financial Corp.              Common Stock     343873105       6        415          x                        0     415    0
F5 Networks Inc                       Common Stock     315616102     230      4,220          x                        0   4,220    0
FFLC Bancorp Inc.                     Common Stock     30242W104      19      1,500          x                        0   1,500    0
Fletcher Challenge Ltd Forest         ADR              339324402       6      1,625          x                        0   1,625    0
4Front Technologies Inc               Common Stock     351042106      21      1,725          x                        0   1,725    0
FFY Financial Corp                    Common Stock     30242U108      61      5,500          x                        0   5,500    0
Family Golf Centers Inc.              Common Stock     30701A106       0        400          x                        0     400    0
Flight Intl Group Inc New             Common Stock     33941M104       0         10          x                        0      10    0
Friede Goldman Intl Inc               Common Stock     358430106     147     16,466          x                        0  16,466    0
First Geneva Corp.                    Common Stock     320351109       0        347          x                        0     347    0
First Health Group Corp.              Common Stock     320960107     913     27,833          x                        0  27,833    0
Founder Holdings Ltd                  Foreign Stock    G3654D107       6     13,000          x                        0  13,000    0
Foundation Health Systems             Common Stock     350404109     203     15,589          x                        0  15,589    0
First Natl Bk Elmer N J               Common Stock     326513108       8        200          x                        0     200    0
Osicom Technologies Inc.              Common Stock     688271501     153      1,806          x                        0   1,806    0
Fair Isaac & Co Inc.                  Common Stock     303250104     479     10,875          x                        0  10,875    0
Federated Investors Inc ( PA ) Cl B   Common Stock     314211103      15        420          x                        0     420    0
Intelefilm Corp                       Common Stock     458147105       6      2,500          x                        0   2,500    0
Fischer Imaging Corp                  Common Stock     337719108      36     16,000          x                        0  16,000    0
Fixdex.Com Inc.                       Common Stock     33831D107      53     20,500          x                        0  20,500    0
Fine Host Corp                        Common Stock     317832103       0      2,850          x                        0   2,850    0
Firepond Inc                          Common Stock     318224102      26        710          x                        0     710    0
Fiserv Inc.                           Common Stock     337738108      55      1,280          x                        0   1,280    0
FAB Inds Inc.                         Common Stock     302747100      10        982          x                        0     982    0
Fifth Third Bancorp                   Common Stock     316773100   4,172     65,967          x                        0  65,967    0
Comfort Systems USA Inc               Common Stock     199908104       2        400          x                        0     400    0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
     FORM 13F      Name of Reporting Manager:                                                              Run Date: 07/17/2000
                                                 Legg Mason Wood Walker (IMS)                              ------------------------
                                               For Positions Held as of 06/30/2000                         S.E.C. Use Only

                                                                                                           ------------------------
                  Item 1:                 Item 2:      Item 3:  Item 4:    Item 5:           Item 6:       Item 7:    Item 8:
              Name of Issuer          Title of Class    CUSIP     Fair    Shares or  Investment Discretion  Other  Voting Authority
                                                                 Market   Principal  (a)     (b)     (c)     Mgrs      (Shares)
                                                                  Value      Amt.    Sole   Shared   Other         (a)   (b)    (c)
                                                                (X $1000)                                          Sole  Shared None
<S>                                   <C>              <C>      <C>       <C>        <C>    <C>      <C>   <C>     <C>  <C>     <C>
Fort James Corp.                      Common Stock     347471104     276     11,952          x                        0  11,952    0
Fedders Corp                          Common Stock     313135105       5        800          x                        0     800    0
Fujitsu Ltd                           ADR              359590304     353      2,033          x                        0   2,033    0
Franklin Ophthalmic Instrs Inc        Common Stock     354267106       0      1,000          x                        0   1,000    0
First Keystone Corp                   Common Stock     320654205      26      1,500          x                        0   1,500    0
Florida East Coast Inds Inc           Common Stock     340632108     200      5,000          x                        0   5,000    0
Fletcher Chall Building Adr           ADR              339317109       1        100          x                        0     100    0
R & B Falcon Corp.                    Common Stock     74912E101     795     33,751          x                        0  33,751    0
Fleetwood Enterprises Inc.            Common Stock     339099103      55      3,830          x                        0   3,830    0
Flextronics International Ltd         Common Stock     Y2573F102  16,189    235,693          x                        0 235,693    0
Fila Holdings SPA American            ADR              316850106       3        250          x                        0     250    0
Fleming Companies, Inc.               Common Stock     339130106       5        400          x                        0     400    0
Flowers Inds Inc.                     Common Stock     343496105     168      8,435          x                        0   8,435    0
Flow Intl Corp.                       Common Stock     343468104      35      3,500          x                        0   3,500    0
Fluor Corp.                           Common Stock     343861100     124      3,930          x                        0   3,930    0
Flowserve Corp.                       Common Stock     34354P105      60      4,000          x                        0   4,000    0
Fleet Capital Tr III-7.05% Cum PFD    PFD QTR 30/360   33889N205      54      2,600          x                        0   2,600    0
1 800 Flowers Com                     Common Stock     68243Q106       9      1,800          x                        0   1,800    0
Fracmaster Ltd                        Foreign Stock    351906102       0     10,000          x                        0  10,000    0
First Mariner Bancorp Inc.            Common Stock     320795107      45      8,205          x                        0   8,205    0
First Midwest Bancorp Del             Common Stock     320867104      23      1,000          x                        0   1,000    0
F & M Bancorp                         Common Stock     302367107     144      7,283          x                        0   7,283    0
FMC Corp.                             Common Stock     302491303      97      1,675          x                        0   1,675    0
Firstmerit Corp.                      Common Stock     337915102     301     14,085          x                        0  14,085    0
Firstmerit Corp Ser B                 Preferred Stock  337915201      15        500          x                        0     500    0
Franklin Multi-Income Trust           Common Stock     354021107      31      4,025          x                        0   4,025    0
Formida Hldgs Ltd                     Foreign Stock    Q3928X102       4      2,000          x                        0   2,000    0
Freemarkets Inc                       Common Stock     356602102     188      3,970          x                        0   3,970    0
F & M National Corp.                  Common Stock     302374103     104      4,972          x                        0   4,972    0
Federal Mogul Corp.                   Common Stock     313549107     126     13,185          x                        0  13,185    0
Freeport-McMoran Oil & Gas Royalty Tr LTD Part P12     356713107       0        121          x                        0     121    0
Fresenius Medical Care                ADR              358029106      15        582          x                        0     582    0
Fremont General Corp.                 Common Stock     357288109       8      2,060          x                        0   2,060    0
F N B Corp. VA                        Common Stock     302930102      31      1,782          x                        0   1,782    0
First Intl Bancorp Inc                Common Stock     32054Q100       8      1,000          x                        0   1,000    0
Fidelity National Financial Inc.      Common Stock     316326107     400     21,830          x                        0  21,830    0
Fannie Mae                            Common Stock     313586109  28,970    555,101          x                        0 555,101    0
Fannie Mae 6.50 Non -Cum PFD Ser B    PFD QTR 30/360   313586307       5        100          x                        0     100    0
Franco Nev Mng Ltd                    Common Stock     351860101      52      4,500          x                        0   4,500    0
First Natl Bk Shelby N C Cap Stk      Common Stock     33354P107       0        131          x                        0     131    0
</TABLE>
<PAGE>

<PAGE>

<TABLE>
<CAPTION>
     FORM 13F      Name of Reporting Manager:                                                              Run Date: 07/17/2000
                                                 Legg Mason Wood Walker (IMS)                              ------------------------
                                               For Positions Held as of 06/30/2000                         S.E.C. Use Only

                                                                                                           ------------------------
                  Item 1:                 Item 2:      Item 3:  Item 4:    Item 5:           Item 6:       Item 7:    Item 8:
              Name of Issuer          Title of Class    CUSIP     Fair    Shares or  Investment Discretion  Other  Voting Authority
                                                                 Market   Principal  (a)     (b)     (c)     Mgrs      (Shares)
                                                                  Value      Amt.    Sole   Shared   Other         (a)   (b)    (c)
                                                                (X $1000)                                          Sole  Shared None

------------------------------------------------------------------------------------------------------------------------------------
<S>                                   <C>              <C>      <C>       <C>        <C>    <C>      <C>   <C>     <C>  <C>     <C>
Finisar Corp                           Common Stock    31787A101     711     27,150          x                       0   27,150    0
Finova Group Inc.                      Common Stock    317928109     602     46,337          x                       0   46,337    0
Finvest Pls                            Foreign Stock   X2864M114      42     28,000          x                       0   28,000    0
Fortune Brands Inc.                    Common Stock    349631101     555     24,086          x                       0   24,086    0
Boyds Collection Ltd                   Common Stock    103354106      17      2,000          x                       0    2,000    0
Focal Inc                              Common Stock    343909107       3      1,000          x                       0    1,000    0
Ferro Corp.                            Common Stock    315405100     969     46,145          x                       0   46,145    0
Sprint Corp. (FON Group)               Common Stock    852061100   8,114    159,095          x                       0  159,095    0
Fonar Corp.                            Common Stock    344437108       5      2,500          x                       0    2,500    0
Fonix Corp Del                         Common Stock    34459U108       5      4,000          x                       0    4,000    0
Jetform Corporation                    Common Stock    477155105       2        500          x                       0      500    0
Forrester Resh Inc                     Common Stock    346563109       4         55          x                       0       55    0
Fox Entertainment Group Inc            Common Stock    35138T107      97      3,200          x                       0    3,200    0
Firstplus Financial Group Inc.         Common Stock    33763B103       0      1,100          x                       0    1,100    0
First Pacific LTD ADR                  ADR             335889200     211    123,980          x                       0  123,980    0
FPA Medical Management Inc.            Common Stock    302543103       0      2,000          x                       0    2,000    0
Florida Progress                       Common Stock    341109106     589     12,566          x                       0   12,566    0
FPIC Insurance Group Inc.              Common Stock    302563101     390     24,850          x                       0   24,850    0
First Natl Bk Polk Cnty Fla            Common Stock    32106L109       0        200          x                       0      200    0
FPL Group Inc.                         Common Stock    302571104   1,166     23,565          x                       0   23,565    0
Fieldpoint Petroleum Corp              Common Stock    316570100       3      2,000          x                       0    2,000    0
First Industrial Realty Trust          Common Stock    32054K103     336     11,400          x                       0   11,400    0
First Ind Realty Trust Inc. 9.50% PFD  PFD QTR 30/360  32054K202      17        700          x                       0      700    0
First Industrial Realty Tr Inc 7.95% D PFD QTR 30/360  32054K806      21      1,100          x                       0    1,100    0
First Industrial Realty Tr Inc         PFD QTR 30/360  32054K889      12        600          x                       0      600    0
Republic First Bancorp Inc.            Common Stock    760416107       1        253          x                       0      253    0
Freddie Mac                            Common Stock    313400301   8,034    198,360          x                       0  198,360    0
Freds Inc - Tenn Cl A                  Common Stock    356108100     146      8,130          x                       0    8,130    0
France Growth Fd Inc.                  Common Stock    35177K108      74      4,944          x                       0    4,944    0
Florida Rock Inds Inc.                 Common Stock    341140101      14        400          x                       0      400    0
First Financial Corp. - Texas          Common Stock    320222102       0         59          x                       0       59    0
Federal Realty Investment Trust        Common Stock    313747206     636     31,784          x                       0   31,784    0
Fortress Group Inc.                    Common Stock    34956K108       6     11,200          x                       0   11,200    0
Fortel Inc Calif                       Common Stock    349550103      16      6,200          x                       0    6,200    0
First Washington Realty Trust          Common Stock    337489504      31      1,400          x                       0    1,400    0
Forest Labs Inc.                       Common Stock    345838106     302      2,995          x                       0    2,995    0
Four Seasons Hotels Inc. Limited       Common Stock    35100E104     164      2,630          x                       0    2,630    0
Financial Security Assurance           Common Stock    31769P100     639      8,419          x                       0    8,419    0
Fidelity Bancorp                       Common Stock    315831107      55      4,645          x                       0    4,645    0
First Security Corp.                   Common Stock    336294103      41      3,000          x                       0    3,000    0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
     FORM 13F      Name of Reporting Manager:                                                              Run Date: 07/17/2000
                                                 Legg Mason Wood Walker (IMS)                              ------------------------
                                               For Positions Held as of 06/30/2000                         S.E.C. Use Only

                                                                                                           ------------------------
                  Item 1:                 Item 2:      Item 3:  Item 4:    Item 5:           Item 6:       Item 7:    Item 8:
              Name of Issuer          Title of Class    CUSIP     Fair    Shares or  Investment Discretion  Other  Voting Authority
                                                                 Market   Principal  (a)     (b)     (c)     Mgrs      (Shares)
                                                                  Value      Amt.    Sole   Shared   Other         (a)   (b)    (c)
                                                                (X $1000)                                          Sole  Shared None

------------------------------------------------------------------------------------------------------------------------------------
<S>                                   <C>              <C>      <C>       <C>        <C>    <C>      <C>   <C>     <C>  <C>     <C>
Fastcomm Communications               Common Stock     311871107       5      2,000          x                      0     2,000    0
FSA 6.95% Sr Quids                    Preferred Stock  31769P308      35      1,700          x                      0     1,700    0
Fourth Shift Corp                     Common Stock     351128103       6      2,000          x                      0     2,000    0
Fischer Scientific Intl Inc.          Common Stock     338032204      15        625          x                      0       625    0
Tucker Anthony Sutro                  Foreign Stock    898647102       4        215          x                      0       215    0
FSI International, Incorporated       Common Stock     302633102      20        900          x                      0       900    0
First Sentinel Bancorp Inc            Common Stock     33640T103      13      1,540          x                      0     1,540    0
First Natl Lincol Corp                Common Stock     335716106      30      2,000          x                      0     2,000    0
Fresenius National Medical Care       Preferred Stock  358030203       0      1,268          x                      0     1,268    0
FirstSpartan Financial Corp           Common Stock     337931109       7        400          x                      0       400    0
Five Star Products Inc                Common Stock     33831M107       0        125          x                      0       125    0
Firstar Corporation                   Common Stock     33763V109   4,010    190,400          x                      0   190,400    0
Firstservice Corp. Sub-Vtg Shs        Foreign Stock    33761N109      70      5,800          x                      0     5,800    0
Federal Signal Corp.                  Common Stock     313855108     919     55,687          x                      0    55,687    0
Fastnet Corp                          Common Stock     311877104       4      1,000          x                      0     1,000    0
Forest Oil Corp                       Common Stock     346091606     112      7,000          x                      0     7,000    0
Firstwave Technologies Inc            Common Stock     33762N108       5      1,250          x                      0     1,250    0
Flightserv Com                        Common Stock     339428104       1      1,000          x                      0     1,000    0
Fort Dearborn Income Secs Inc.        Common Stock     347200107       1        100          x                      0       100    0
FTI Consulting Inc.                   Common Stock     302941109     302     28,781          x                      0    28,781    0
Fruit of the Loom INC Cl-A            Common Stock     G3682L105       3     11,710          x                      0    11,710    0
First Tennessee                       Common Stock     337162101     114      6,895          x                      0     6,895    0
Frontier Insurance Group Inc.         Common Stock     359081106       3      4,510          x                      0     4,510    0
Futurelink Corp Com New               Common Stock     36114Q208      15      2,050          x                      0     2,050    0
Footstar Inc.                         Common Stock     344912100      40      1,211          x                      0     1,211    0
First Union Corp.                     Common Stock     337358105   7,359    296,574          x                      0   296,574    0
Fuji Photo Film Co                    ADR              359586302      27        643          x                      0       643    0
Fuji Bank                             ADR              359550209      48        625          x                      0       625    0
H B Fuller Co                         Common Stock     359694106       4         95          x                      0        95    0
Fulton Financial Corp.                Common Stock     360271100     326     18,435          x                      0    18,435    0
Cedar Fair, L.P. Dep Rec              Common Stock     150185106     169      8,792          x                      0     8,792    0
Fusion Networks Hldgs Inc             Common Stock     36112N108       0         20          x                      0        20    0
Furukawa Electric Co. Ltd.            Common Stock     361118201      63      3,000          x                      0     3,000    0
First VA Banks Inc.                   Common Stock     337477103     322      9,259          x                      0     9,259    0
FVC Com Inc.                          Common Stock     30266P100     118     15,245          x                      0    15,245    0
Fahnstock Viner Hldgs CL A            Common Stock     302921101      26      1,400          x                      0     1,400    0
Foster Wheeler Corp.                  Common Stock     350244109      34      3,900          x                      0     3,900    0
Fw Pfd Cap Tr I 9% PFD                PFD QTR 30/360   302684204      29      1,550          x                      0     1,550    0
Freewest Res Cda Inc                  Foreign Stock    356904102       6     12,000          x                      0    12,000    0
Freddie Mac 6.688% 1998 Ser A         PFD Semi 30/360  313400871     759     34,300          x                      0    34,300    0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
     FORM 13F      Name of Reporting Manager:                                                              Run Date: 07/17/2000
                                                 Legg Mason Wood Walker (IMS)                              ------------------------
                                               For Positions Held as of 06/30/2000                         S.E.C. Use Only

                                                                                                           ------------------------
                  Item 1:                 Item 2:     Item 3:   Item 4:    Item 5:           Item 6:       Item 7:    Item 8:
              Name of Issuer          Title of Class   CUSIP      Fair    Shares or  Investment Discretion  Other  Voting Authority
                                                                 Market   Principal  (a)     (b)     (c)     Mgrs      (Shares)
                                                                  Value      Amt.    Sole   Shared   Other         (a)   (b)    (c)
                                                                (X $1000)                                          Sole  Shared None

------------------------------------------------------------------------------------------------------------------------------------
<S>                                   <C>             <C>       <C>       <C>        <C>    <C>      <C>   <C>     <C>  <C>     <C>
Firstworld Communications Inc          Common Stock   337625305        1         80          x                      0        80    0
Forward Air Corporation                Common Stock   349853101       12        300          x                      0       300    0
First W Va Bancorp Inc                 Common Stock   337493100       64      4,500          x                      0     4,500    0
First Washington Bancorp Inc           Common Stock   33748T104       22      1,600          x                      0     1,600    0
First Exploration Co                   Common Stock   320138100        0        200          x                      0       200    0
F Y I Inc                              Common Stock   302712104       24        720          x                      0       720    0
Gillette Co.                           Common Stock   375766102   11,750    336,321          x                      0   336,321    0
Golden Books Family Entmt Inc.         Common Stock   380804203        0         85          x                      0        85    0
Graphic Packaging Intl Corp            Common Stock   388690109        5      2,500          x                      0     2,500    0
Global Crossing Ltd. Pfd               PFD QTR 30/360 G3921A126        8        110          x                      0       110    0
Gabelli Equity Tr Inc.                 Common Stock   362397101      260     21,350          x                      0    21,350    0
Gadzooks Inc                           Common Stock   362553109        3        300          x                      0       300    0
GA Financial Inc.                      Common Stock   361437106        4        355          x                      0       355    0
Greater Atlantic Financial             Common Stock   391601101      231     63,775          x                      0    63,775    0
Gaiam Inc Cl A                         Common Stock   36268Q103        8        440          x                      0       440    0
Great Atla & Pac Tea Co                PFD QTR 30/360 390064202      198      8,400          x                      0     8,400    0
Galileo Technology Ltd.                Foreign Stock  M47298100       11        500          x                      0       500    0
Gametek, Inc.                          Common Stock   36465R102        0      1,000          x                      0     1,000    0
Garan Inc.                             Common Stock   364802108        7        300          x                      0       300    0
Gandalf Technologies Inc.              Common Stock   364717108        0      1,200          x                      0     1,200    0
Gs Telecom Ltd                         Common Stock   36228N109        0        250          x                      0       250    0
Nicor Inc.                             Common Stock   654086107       39      1,200          x                      0     1,200    0
American Res Offshore Inc              Common Stock   029280104        0      3,000          x                      0     3,000    0
General Automation Inc Calif           Common Stock   369032107        0        100          x                      0       100    0
Grief Bros Corp. Cl A                  Common Stock   397624107       77      2,500          x                      0     2,500    0
Grubb & Ellis Co                       Common Stock   400095204       94     16,085          x                      0    16,085    0
Globix Corp.                           Common Stock   37957F101       28        950          x                      0       950    0
Global Crossing Ltd.                   Common Stock   G3921A100    9,084    345,211          x                      0   345,211    0
Gables Residential Trust Com           Common Stock   362418105      431     16,679          x                      0    16,679    0
Gables Residential Trust 8.30% Cum Red PFD QTR 30/360 362418204       97      4,940          x                      0     4,940    0
Gardenburger Inc.                      Common Stock   365476100        1        100          x                      0       100    0
Greenbrier Companies Inc.              Common Stock   393657101        3        375          x                      0       375    0
Greate Bay Casino Corp.                Common Stock   391546108        0        257          x                      0       257    0
Grace Dev Inc                          Common Stock   383905106        9      5,000          x                      0     5,000    0
Gannett Co                             Common Stock   364730101    2,104     35,176          x                      0    35,176    0
Genesco Inc.                           Common Stock   371532102      675     42,040          x                      0    42,040    0
Globecomm Systems Inc                  Common Stock   37956X103       14      1,000          x                      0     1,000    0
GC Companies Inc                       Common Stock   36155Q109       56      2,500          x                      0     2,500    0
General Dynamics Corp.                 Common Stock   369550108      771     14,750          x                      0    14,750    0
Garden Com Inc                         Common Stock   365199108        1        500          x                      0       500    0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
     FORM 13F      Name of Reporting Manager:                                                              Run Date: 07/17/2000
                                                 Legg Mason Wood Walker (IMS)                              -------------------------
                                               For Positions Held as of 06/30/2000                         S.E.C. Use Only

                                                                                                           -------------------------
                  Item 1:                 Item 2:      Item 3:  Item 4:    Item 5:           Item 6:       Item 7:    Item 8:
              Name of Issuer          Title of Class    CUSIP     Fair    Shares or  Investment Discretion  Other  Voting Authority
                                                                 Market   Principal  (a)     (b)     (c)     Mgrs      (Shares)
                                                                  Value      Amt.    Sole   Shared   Other       (a)     (b)    (c)
                                                                (X $1000)                                        Sole    Shared None

------------------------------------------------------------------------------------------------------------------------------------
<S>                                   <C>             <C>       <C>       <C>        <C>    <C>      <C>   <C>   <C>  <C>       <C>
Global Partners Income Fund            Common Stock   37935R102        8        750          x                      0       750    0
Global Datatel Inc                     Common Stock   37934G107        0        300          x                      0       300    0
Goodrich Petroleum Corp.               Common Stock   382410405        0         12          x                      0        12    0
Guidant Corp.                          Common Stock   401698105    1,993     40,259          x                      0    40,259    0
General Development Corp               Common Stock   369497102        0         17          x                      0        17    0
Golden West Finl Corp. Del             Common Stock   381317106       47      1,150          x                      0     1,150    0
Goodys Family Clothing Incorporated    Common Stock   382588101       17      3,150          x                      0     3,150    0
General Electric Co.                   Common Stock   369604103  125,248  2,363,162          x                      0 2,363,162    0
Gehl Co                                Common Stock   368483103        2        125          x                      0       125    0
Genesis Energy L P Unit Ltd Patrn      Common Stock   371927104        7      1,000          x                      0     1,000    0
Geltex Pharmaceuticals Inc.            Common Stock   368538104       10        500          x                      0       500    0
Glenayre Technologies Inc.             Common Stock   377899109      499     47,200          x                      0    47,200    0
Genesee Corp. Cl B                     Common Stock   371601204        1         52          x                      0        52    0
Genome Therapeutics Corp.              Common Stock   372430108      320     10,500          x                      0    10,500    0
Genuity Inc                            Common Stock   37248E103      108     11,800          x                      0    11,800    0
Genzyme Corp.-General Division         Common Stock   372917104    3,178     53,474          x                      0    53,474    0
Geron Corp.                            Common Stock   374163103       89      2,770          x                      0     2,770    0
Centais Geradoras Do Su - Spon ADR     ADR            15235B100       75     12,412          x                      0    12,412    0
Centrais Geradoras Sul Brasil Spon Adr ADR            15235B308        2        300          x                      0       300    0
Gaylord Entertainment Co               Common Stock   367905106       36      1,688          x                      0     1,688    0
Gexa Gold Corp                         Common Stock   374398105        0        500          x                      0       500    0
New Germany Fund Inc.                  MutualFdEqClos 644465106       17      1,244          x                      0     1,244    0
Grupo Financiero Bancomer L            Common Stock   P4949K146        0        285          x                      0       285    0
Guilford Mills Inc.                    Common Stock   401794102        3        600          x                      0       600    0
Griffon Corp.                          Common Stock   398433102      758    136,270          x                      0   136,270    0
Grupo Financiero Banamex               Foreign Stock  P0701E138       18      4,534          x                      0     4,534    0
***Group Fin Banamex-AC Ser `O'        Common Stock   P0701E195       19      4,500          x                      0     4,500    0
Grupo Financiero Bancomer Ser O        Foreign Stock  P4949K179        7     13,000          x                      0    13,000    0
Great Am Bk Fed Svgbk Sandiego         Common Stock   389908104        0        400          x                      0       400    0
PLM Equipment Growth Fund V            Common Stock   69341H402        4      1,250          x                      0     1,250    0
PLM Equipment Growth Fund Dep Units    Common Stock   693413106        3      2,239          x                      0     2,239    0
Georgia Gulf Corp.                     Common Stock   373200203       23      1,100          x                      0     1,100    0
Galagen Inc.                           Common Stock   362913105       10      5,000          x                      0     5,000    0
Graco Inc.                             Common Stock   384109104       29        900          x                      0       900    0
Geographics Inc                        Foreign Stock  37246V107        1      1,000          x                      0     1,000    0
Genus Inc                              Common Stock   372461103        8      1,000          x                      0     1,000    0
General Growth Properties, Inc.        Common Stock   370021107       35      1,100          x                      0     1,100    0
Grant Geophysical Inc                  PFD QTR 30/360 388085201        1        500          x                      0       500    0
Gabelli Global Multimedia Tr           Common Stock   36239Q109        3        206          x                      0       206    0
Gabelli Global Multi Media Tr Inc.     PFD QTR 30/360 36239Q208        9        400          x                      0       400    0
</TABLE>
<PAGE>
<TABLE>
<CAPTION>
     FORM 13F      Name of Reporting Manager:                                                             Run Date: 07/17/2000
                                                 Legg Mason Wood Walker (IMS)                             -------------------------
                                               For Positions Held as of 06/30/2000                        S.E.C. Use Only

                                                                                                          -------------------------
            Item 1:                    Item 2:      Item 3:    Item 4:    Item 5:           Item 6:       Item 7:    Item 8:
        Name of Issuer              Title of Class   CUSIP      Fair     Shares or  Investment Discretion  Other  Voting Authority
                                                               Market    Principal  (a)     (b)     (c)     Mgrs      (Shares)
                                                               Value       Amt.     Sole   Shared   Other         (a)   (b)    (c)
                                                              (X $1000)                                          Sole  Shared None

-----------------------------------------------------------------------------------------------------------------------------------
<S>                                 <C>             <C>       <C>        <C>        <C>    <C>      <C>   <C>    <C>   <C>    <C>
Invesco Global Health Sciences Fund MutualFdEqClose 46128N109      614      33,853           x                     0   33,853     0
Genesis Health Ventures Inc.        Common Stock    371912106        0       2,600           x                     0    2,600     0
Giga Information Group Inc          Common Stock    37517M109       11       2,000           x                     0    2,000     0
Gilead Sciences Inc.                Common Stock    375558103       38         530           x                     0      530     0
Gil Med Industries Inc              Common Stock    375185105        0       2,000           x                     0    2,000     0
Gilat Satellite Networks Ltd Ord    Common Stock    M51474100      146       2,099           x                     0    2,099     0
General Mills Inc.                  Common Stock    370334104    1,270      33,207           x                     0   33,207     0
Glenborough Realty Trust Inc.       Common Stock    37803P105      153       8,800           x                     0    8,800     0
GLB Bancorp Inc                     Common Stock    361778103      150      19,300           x                     0   19,300     0
Global Industries Ltd               Common Stock    379336100      253      13,427           x                     0   13,427     0
Galileo International Inc.          Common Stock    363547100        7         315           x                     0      315     0
Greenland Corp- New                 Common Stock    39530P200        1       3,000           x                     0    3,000     0
Greenleaf Technologies Corp         Common Stock    395356108       64      42,200           x                     0   42,200     0
Guilford Pharmaceutical Inc.        Common Stock    401829106       75       4,970           x                     0    4,970     0
Glamis Gold Ltd.                    Common Stock    376775102        3       1,300           x                     0    1,300     0
Gene Logic Inc.                     Common Stock    368689105      168       4,699           x                     0    4,699     0
Gallaher Group PLC-Spon ADR         ADR             363595109      100       4,685           x                     0    4,685     0
Gliatech Inc                        Common Stock    37929C103       73       3,600           x                     0    3,600     0
Great Lakes Chemical Corp.          Common Stock    390568103      706      22,407           x                     0   22,407     0
Global Marine Inc.                  Common Stock    379352404    1,345      47,708           x                     0   47,708     0
Globalmedia Com                     Common Stock    37940A102        1         200           x                     0      200     0
Glatfelter P H Co                   Common Stock    377316104      614      60,223           x                     0   60,223     0
Corning Inc.                        Common Stock    219350105   14,408      53,386           x                     0   53,386     0
Glaxo Wellcome PLC - Spons ADR      ADR             37733W105    2,094      36,213           x                     0   36,213     0
Genlyte Group Inc.                  Common Stock    372302109       86       4,100           x                     0    4,100     0
General Motors Corp.                Common Stock    370442105   13,978     240,739           x                     0  240,739     0
General Motors Dep Shares           Preferred Stock 370442790        9         350           x                     0      350     0
General Motors Cap 9.87% Ser G      PFD QTR 30/360  370440208       11         400           x                     0      400     0
Greg Manning Auctions Inc           Common Stock    563823103        9         800           x                     0      800     0
Green Mtn Coffee Inc                Common Stock    393122106        2         100           x                     0      100     0
Grupo Mexicano De Desarrollo        ADR             40048G203        0       4,000           x                     0    4,000     0
Goodman Fielder Ltd Spons ADR       ADR             382382208        6       1,900           x                     0    1,900     0
General Magic Inc.                  Common Stock    370253106       98      12,000           x                     0   12,000     0
General Motors Corp. - CL H New     Common Stock    370442832    1,973      22,489           x                     0   22,489     0
Global Directmail Corp.             Common Stock    871851101        6       1,600           x                     0    1,600     0
Green Mountain                      Common Stock    393154109        1         100           x                     0      100     0
Gulfmark Offshore Inc.              Common Stock    402629109      128       5,220           x                     0    5,220     0
Gemstar International Group LTD     Foreign Stock   G3788V106      888      14,457           x                     0   14,457     0
Gatx Corp.                          Common Stock    361448103      238       7,014           x                     0    7,014     0
Greenman Technologies Inc           Common Stock    395379308       13      37,000           x                     0   37,000     0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
     FORM 13F      Name of Reporting Manager:                                                               Run Date: 07/17/2000
                                                 Legg Mason Wood Walker (IMS)                               ------------------------
                                               For Positions Held as of 06/30/2000                          S.E.C. Use Only

                                                                                                            ------------------------
            Item 1:                        Item 2:      Item 3:     Item 4:  Item 5:          Item 6:       Item 7:    Item 8:
        Name of Issuer                 Title of Class    CUSIP       Fair   Shares or Investment Discretion  Other  Voting Authority
                                                                    Market  Principal  (a)     (b)     (c)     Mgrs      (Shares)
                                                                    Value      Amt.   Sole   Shared   Other         (a)   (b)    (c)
                                                                  (X $1000)                                        Sole  Shared None

------------------------------------------------------------------------------------------------------------------------------------
<S>                                    <C>              <C>       <C>       <C>       <C>    <C>      <C>   <C>    <C>   <C>    <C>
Goznet Inc.                             Common Stock    383486107    112        2,236           x                    0    2,236   0
Genelabs Technologies, Inc.             Common Stock    368706107     11        2,800           x                    0    2,800   0
Genoil Inc                              Foreign Stock   371924101      2        3,350           x                    0    3,350   0
Gensym Corporation                      Common Stock    37245R107      0          100           x                    0      100   0
Genesis Microchip Inc.                  Common Stock    371933102     58        3,250           x                    0    3,250   0
Genstar Therapeutics Corp               Common Stock    37248D105      4          600           x                    0      600   0
Genta Inc New                           Common Stock    37245M207     27        4,184           x                    0    4,184   0
Gentex Corp.                            Common Stock    371901109    520       20,700           x                    0   20,700   0
Genesee & Wyoming Inc Cl A              Common Stock    371559105      3          150           x                    0      150   0
Go.Com                                  Common Stock    254687205     19        1,557           x                    0    1,557   0
Graphon Corp                            Common Stock    388707101     10        1,150           x                    0    1,150   0
Silverado Gold Mines Ltd                Common Stock    827906207      0          215           x                    0      215   0
Geotek Communications Inc.              Common Stock    373654102      0        6,500           x                    0    6,500   0
Goto Com Inc                            Common Stock    38348T107      4          250           x                    0      250   0
Gargoyles Inc                           Common Stock    366033108      1        4,000           x                    0    4,000   0
Georgia-Pacific Corp.                   Common Stock    373298108    708       26,976           x                    0   26,976   0
Greater Pac Bancshares                  Common Stock    392279105      0          750           x                    0      750   0
Genuine Parts Co.                       Common Stock    372460105    550       27,476           x                    0   27,476   0
Georgia Pwr Cap Tr Ii                   PFD QTR 30/360  373332204      4          200           x                    0      200   0
Georgia Pwr Cap Tr Iv                   PFD QTR 30/360  37333R209     36        1,800           x                    0    1,800   0
Gerogia Power Cap Trust I               Preferred Stock 373331206     66        2,900           x                    0    2,900   0
Georgia Power Capital Tr III 7.75% PFD  PFD QTR 30/360  373333202      5          200           x                    0      200   0
Grupo Financiero Inbursa Sa Cv          ADR             40048D101      3          160           x                    0      160   0
Group 1 Automotive Inc.                 Common Stock    398905109     11          900           x                    0      900   0
Grupo Contl S A                         ADR             40050H107      7          600           x                    0      600   0
Gap Inc.                                Common Stock    364760108  1,503       48,084           x                    0   48,084   0
Great Plains Software                   Common Stock    39119E105     29        1,500           x                    0    1,500   0
Grupo Synkro Sa De C V Sponsored ADR    ADR             400493201      0        1,000           x                    0    1,000   0
Greenpoint Financial Corp.              Common Stock    395384100    225       12,000           x                    0   12,000   0
Global Payment Tech Inc                 Common Stock    37936S109     95       14,000           x                    0   14,000   0
GPU Inc.                                Common Stock    36225X100  1,735       64,120           x                    0   64,120   0
Georgia Power Co 6.875% Senior Public   PFD QTR 30/360  373334564     40        1,950           x                    0    1,950   0
GP Strategies Corp                      Common Stock    36225V104      1          125           x                    0      125   0
Goodrich B.F. Co.                       Common Stock    382388106    551       16,178           x                    0   16,178   0
Bfgoodrich Cap                          PFD QTR 30/360  05538W208     20          900           x                    0      900   0
W.R. Grace & Co.                        Common Stock    38388F108     88        7,226           x                    0    7,226   0
Bank Of Granite Corp                    Common Stock    062401104     33        1,439           x                    0    1,439   0
Gerber Scientific Inc.                  Common Stock    373730100      7          612           x                    0      612   0
Gensci Regeneration Sciences Inc.       Foreign Stock   37244V109      2        2,000           x                    0    2,000   0
Grg Inc                                 Common Stock    36225R103      0          140           x                    0      140   0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
     FORM 13F      Name of Reporting Manager:                                                               Run Date: 07/17/2000
                                                 Legg Mason Wood Walker (IMS)                               ------------------------
                                               For Positions Held as of 06/30/2000                          S.E.C. Use Only

                                                                                                            ------------------------
                  Item 1:                   Item 2:     Item 3:   Item 4:   Item 5:           Item 6:       Item 7:    Item 8:
              Name of Issuer            Title of Class   CUSIP      Fair   Shares or  Investment Discretion  Other  Voting Authority
                                                                  Market   Principal  (a)     (b)     (c)     Mgrs      (Shares)
                                                                   Value      Amt.    Sole   Shared   Other         (a)   (b)    (c)
                                                                 (X $1000)                                         Sole  Shared None

------------------------------------------------------------------------------------------------------------------------------------
<S>                                     <C>            <C>       <C>       <C>        <C>    <C>      <C>   <C>    <C>   <C>    <C>
Gric Communications Inc                 Common Stock   398081109     178     9,900             x                     0    9,900   0
Grand Metropolitan Delaware LP Cum Pfd  PFD QTR 30/360 386087209      40     1,550             x                     0    1,550   0
Green Oasis Environmental Inc           Common Stock   393177100       0     1,000             x                     0    1,000   0
Mississippi Chemical Corp               Common Stock   605288208       2       500             x                     0      500   0
Grossmans Inc                           Common Stock   399215102       0     1,500             x                     0    1,500   0
Grant Prideco Inc                       Common Stock   38821G101     243     9,729             x                     0    9,729   0
The Asia Tigers Fund, Inc.              Common Stock   04516T105      36     3,950             x                     0    3,950   0
Glimcher Realty Trust                   Common Stock   379302102     200    13,900             x                     0   13,900   0
Glimcher Realty Trust 9.25% Cum Red     PFD QTR 30/360 379302201      94     5,600             x                     0    5,600   0
Goldman Sachs Group Inc                 Common Stock   38141G104   3,369    35,511             x                     0   35,511   0
Golden State Bancorp                    Common Stock   381197102       5       261             x                     0      261   0
GS Financial Corp.                      Common Stock   362274102       2       200             x                     0      200   0
Global Sources Ltd Ord                  Foreign Stock  G39300101       6       241             x                     0      241   0
Globespan Semiconductor Inc             Common Stock   379571102     769     6,298             x                     0    6,298   0
Global Sports Inc.                      Common Stock   37937A107       8     1,275             x                     0    1,275   0
Golden Star Resources Ltd               Common Stock   38119T104       0       200             x                     0      200   0
GST Telecommunications Inc.             Foreign Stock  361942105      11    11,200             x                     0   11,200   0
Globalstar Telecommunications LTD - OR  Common Stock   G3930H104   1,300   144,435             x                     0  144,435   0
Gsv Inc                                 Common Stock   36230D107       1     2,600             x                     0    2,600   0
Goodyear Tire & Rubber Co               Common Stock   382550101     962    48,122             x                     0   48,122   0
Golf Trust of America Inc.              Common Stock   38168B103      72     4,525             x                     0    4,525   0
GTE Corp.                               Common Stock   362320103  11,873   190,736             x                     0  190,736   0
Getgo Mail Com Inc                      Foreign Stock  G38529106       1       300             x                     0      300   0
Getthere.Com Inc.                       Common Stock   374266104      28     2,650             x                     0    2,650   0
Infogrames Inc                          Common Stock   45665T107      13     1,600             x                     0    1,600   0
Gentiva Health Services Inc             Common Stock   37247A102       0        50             x                     0       50   0
GTECH Holdings Corp.                    Common Stock   400518106      12       529             x                     0      529   0
Game Technologies Inc                   Common Stock   364649103       2     2,200             x                     0    2,200   0
Global Telemedia Intl Inc               Common Stock   37936X108     112   210,000             x                     0  210,000   0
Gentner Communications Corp.            Common Stock   37245J105       4       300             x                     0      300   0
Guitar Center Inc.                      Common Stock   402040109     125    11,900             x                     0   11,900   0
Global Telesystems Group Inc.           Common Stock   37936U104      31     2,600             x                     0    2,600   0
Gateway Inc.                            Common Stock   367626108   8,162   143,831             x                     0  143,831   0
Gucci Group NV - NY Reg Shrs            ADR            401566104      71       750             x                     0      750   0
Guangdong Kelon Electric Hlds           Foreign Stock  Y2930L107       3     5,000             x                     0    5,000   0
Gulf Pwr Cap Tr Ii                      PFD QTR 30/360 402476204      15       700             x                     0      700   0
Gulf Power Capt Trust I 7.625%          PFD QTR 30/360 402473201      36     1,600             x                     0    1,600   0
Gabelli Utility Trust                   Common Stock   36240A101      91    11,499             x                     0   11,499   0
Guyanor Resources Ltd S A Cl B          Common Stock   F47088103       0        40             x                     0       40   0
Dean Witter Government Income           Common Stock   61745P106      16     2,000             x                     0    2,000   0
</TABLE>

<PAGE>
<TABLE>
<CAPTION>
     FORM 13F      Name of Reporting Manager:                                                            Run Date: 07/17/2000
                                                 Legg Mason Wood Walker (IMS)                            ---------------------------
                                               For Positions Held as of 06/30/2000                       S.E.C. Use Only

                                                                                                         ---------------------------
                  Item 1:           Item 2:        Item 3:    Item 4:    Item 5:           Item 6:       Item 7:    Item 8:
              Name of Issuer     Title of Class     CUSIP       Fair    Shares or  Investment Discretion  Other  Voting Authority
                                                               Market   Principal  (a)     (b)     (c)     Mgrs      (Shares)
                                                                Value      Amt.    Sole   Shared   Other         (a)    (b)    (c)
                                                              (X $1000)                                          Sole Shared  None

------------------------------------------------------------------------------------------------------------------------------------
<S>                              <C>               <C>        <C>       <C>        <C>    <C>      <C>   <C>     <C>  <C>     <C>
Grey Wolf Inc.                     Common Stock    397888108        221    44,120           x                      0  44,120    0
Globalspan Techology Partner       Common Stock    37958A101          0     1,500           x                      0   1,500    0
Geoworks Corp.                     Common Stock    373692102         31     1,973           x                      0   1,973    0
Grainger WW Inc.                   Common Stock    384802104      1,596    51,791           x                      0  51,791    0
Gencon Industries Inc              Common Stock    368678108          6     4,000           x                      0   4,000    0
Gencorp Inc.                       Common Stock    368682100         10     1,225           x                      0   1,225    0
Sport Supply Group Inc.            Common Stock    848915104          1       300           x                      0     300    0
Gza Geoenvironmental Tech Inc      Common Stock    362386104          6     1,000           x                      0   1,000    0
Genzyme-Molecular Oncology         Common Stock    372917500         62     4,502           x                      0   4,502    0
Genzyme Surgical Products          Common Stock    372917609         53     5,360           x                      0   5,360    0
Genzyme Transgenics Corp.          Common Stock    37246E105        170     6,255           x                      0   6,255    0
Genzyme Corp.-Tissue Repair        Common Stock    372917401        126    23,909           x                      0  23,909    0
Harcourt General Inc.              Common Stock    41163G101        319     5,875           x                      0   5,875    0
Harris Preferred Capital
 Corp. 7.375%   PFD QTR 30/360                     414567206         19       900           x                      0     900    0
Household Capital Trust
 IV 7.25% Cum T  PFD QTR 30/360                    44180R209         12       600           x                      0     600    0
Hills Store Company Deferred
 Contigent                         Common Stock    431COM991          0     1,000           x                      0   1,000    0
Hercules Trust I 9.42%             PFD QTR 30/360  427097209         36     1,750           x                      0   1,750    0
I-Link Corp Pfd Conv Ser N         PreferdStk Conv 449927409          0         2           x                      0       2    0
Host Marriott Corp.                PFD QTR 30/360  44107P203         63     2,750           x                      0   2,750    0
Harvest Cmnty Bk Pennsville TWP    Common Stock    41752W103          0    20,400           x                      0  20,400    0
International Internet Inc         Common Stock    459700100          4    23,190           x                      0  23,190    0
HCSB Financial Corp.               Common Stock    40413R107          0       105           x                      0     105    0
Harbor Bankshares Corp.            Common Stock    411465107         12       766           x                      0     766    0
Hoe R & Co Inc                     Foreign Stock   434380101          0       100           x                      0     100    0
Hamilton Bancorp Inc - Fla         Common Stock    407013101          8       450           x                      0     450    0
Hain Celestial Group Inc           Common Stock    405217100          9       253           x                      0     253    0
Hall Kinion & Associates Inc.      Common Stock    406069104         47     1,425           x                      0   1,425    0
Halliburton Co.                    Common Stock    406216101      2,698    57,184           x                      0  57,184    0
Hanson Plc Spon ADR New            ADR             411352404        240     6,796           x                      0   6,796    0
Handspring Inc                     Common Stock    410293104         11       400           x                      0     400    0
Harman International Industries
 Inc.                              Common Stock    413086109        289     4,735           x                      0   4,735    0
Harbor Florida Bancshares          Common Stock    411901101        371    35,537           x                      0  35,537    0
Hasbro Inc.                        Common Stock    418056107        246    16,334           x                      0  16,334    0
Hatteras Income Secs Inc.          Common Stock    419025101         68     5,325           x                      0   5,325    0
Hauppage Digital Inc               Common Stock    419131107          2       200           x                      0     200    0
Harvard Inds Inc                   Common Stock    417434503          1       179           x                      0     179    0
Healthaxis Inc                     Common Stock    42219D100         37     9,600           x                      0   9,600    0
Hillenbrand Industries Inc.        Common Stock    431573104        121     3,875           x                      0   3,875    0
Huntington Bancshares Inc.         Common Stock    446150104        171    10,787           x                      0  10,787    0
Uts HSBC Bk PLC-Sponsored ADR      PFD QTR 30/360  44328M609         10       380           x                      0     380    0
</TABLE>
<PAGE>
<TABLE>
<CAPTION>
     FORM 13F      Name of Reporting Manager:                                                               Run Date: 07/17/2000
                                                 Legg Mason Wood Walker (IMS)                               ------------------------
                                               For Positions Held as of 06/30/2000                          S.E.C. Use Only

                                                                                                            ------------------------
              Item 1:                   Item 2:       Item 3:   Item 4:    Item 5:           Item 6:        Item 7:     Item 8:
          Name of Issuer            Title of Class     CUSIP     Fair    Shares or  Investment Discretion    Other  Voting Authority
                                                                 Market   Principal  (a)     (b)     (c)     Mgrs      (Shares)
                                                                 Value      Amt.    Sole   Shared   Other           (a)   (b)    (c)
                                                               (X $1000)                                            Sole Shared None

------------------------------------------------------------------------------------------------------------------------------------
<S>                                 <C>              <C>       <C>       <C>        <C>    <C>      <C>     <C>     <C>  <C>    <C>
HSBC Holdings PLC -Spons ADR         ADR             404280406     5,561    95,976            x                       0   95,976   0
Hsb Hldgs Plc Ord                    Foreign Stock   G4634U169        34     3,000            x                       0    3,000   0
Homebase Inc.                        Common Stock    43738E108        45    28,760            x                       0   28,760   0
Huttig Bldg Prods Inc                Common Stock    448451104         1       244            x                       0      244   0
Harbor Bank - VA                     Common Stock    41146K104        65     6,200            x                       0    6,200   0
Wolf Howard B Inc                    Common Stock    977725100         0     1,000            x                       0    1,000   0
Hanover Compressor Co.               Common Stock    410768105        22       580            x                       0      580   0
HCA-Healthcare Co                    Common Stock    404119109     8,782   289,106            x                       0  289,106   0
Hudson City Bancorp                  Common Stock    443683107        77     4,500            x                       0    4,500   0
HCC Insurance Holdings Inc.          Common Stock    404132102         6       300            x                       0      300   0
Healthcare Com Corp                  Common Stock    42221Y100         6     2,000            x                       0    2,000   0
Home Centers Incorporated            Common Stock    437062102         0       200            x                       0      200   0
Health Care REIT, Inc.               Common Stock    42217K106       354    21,804            x                       0   21,804   0
Health Care Reit Inc 8.875%          PFD QTR 30/360  42217K205        18     1,000            x                       0    1,000   0
Homecom Communications Inc           Common Stock    43738N108         0       150            x                       0      150   0
Horizon Organic Holding              Common Stock    44043T103         2       200            x                       0      200   0
Health Care Property
 Investors Inc.                      Common Stock    421915109       314    11,518            x                       0   11,518   0
Healthcare Ppty Invs
 Inc 8.70% Pfd                       PFD QTR 30/360  421915406        24     1,200            x                       0    1,200   0
Health Care Prop Invs Inc            PFD QTR 30/360  421915604        30     1,550            x                       0    1,550   0
Manor Care Inc                       Common Stock    564055101        72    10,345            x                       0   10,345   0
Hector Communications Corp           Common Stock    422730101        13     1,000            x                       0    1,000   0
Home Depot Inc.                      Common Stock    437076102    28,303   566,758            x                       0  566,758   0
Quantum Corp-Hard Disk Drive         Common Stock    747906303        41     3,681            x                       0    3,681   0
Harley Davidson, Inc.                Common Stock    412822108    10,000   259,738            x                       0  259,738   0
Handleman Co Del                     Common Stock    410252100        18     1,400            x                       0    1,400   0
Hadron Inc.orporation New            Common Stock    405009200         0        50            x                       0       50   0
Rts Hills Stores Co.                 Common Stock    431692987         0       202            x                       0      202   0
Hawaiian Elec Inds Inc.              Common Stock    419870100       200     6,080            x                       0    6,080   0
Heco Capt Tr I 8.05% Cum Qtly        PFD QTR 30/360  404151201         7       300            x                       0      300   0
Hawaiian Elec Industries Capt        Preferred Stock 41987M201       100     4,180            x                       0    4,180   0
Harken Energy Corp.                  Common Stock    412552101         3     5,000            x                       0    5,000   0
Heico Corp.                          Common Stock    422806109        13       900            x                       0      900   0
Heico Corp New - Cl A                Common Stock    422806208         4       300            x                       0      300   0
Helix Technology Inc.                Common Stock    423319102       173     4,430            x                       0    4,430   0
Hemispherx Biopharma Inc             Common Stock    42366C103        11     2,000            x                       0    2,000   0
Heco Capital Trust II Pfd Secs
 Ser 7.3                             PFD QTR 30/360  40415B209        45     2,100            x                       0    2,100   0
Harrah's Entertainment Inc.          Common Stock    413619107        71     3,412            x                       0    3,412   0
Heller Financial Inc Cl A            Common Stock    423328103         7       359            x                       0      359   0
Homefed Corp                         Common Stock    43739D208         2     3,363            x                       0    3,363   0
Hong Kong Electronic Holdings LTD    ADR             438580300         0       152            x                       0      152   0
</TABLE>



<PAGE>

<TABLE>
<CAPTION>
     FORM 13F      Name of Reporting Manager:                                                               Run Date: 07/17/2000
                                                 Legg Mason Wood Walker (IMS)                               ------------------------
                                               For Positions Held as of 06/30/2000                          S.E.C. Use Only

                                                                                                            ------------------------
           Item 1:                     Item 2:       Item 3:    Item 4:     Item 5:           Item 6:       Item 7:    Item 8:
        Name of Issuer             Title of Class     CUSIP      Fair      Shares or  Investment Discretion  Other  Voting Authority
                                                                Market     Principal  (a)     (b)     (c)     Mgrs      (Shares)
                                                                 Value        Amt.    Sole   Shared   Other         (a)  (b)    (c)
                                                               (X $1000)                                            Sole Shared None

------------------------------------------------------------------------------------------------------------------------------------
<S>                                <C>              <C>        <C>         <C>        <C>    <C>      <C>   <C>     <C>  <C>    <C>
Harmony Gold Mng Ltd                ADR             413216300         1          200           x                     0     200    0
Horizon Group Properties Inc        Common Stock    44041U102         1          401           x                     0     401    0
Hanger Orthopedic Group, Inc.       Common Stock    41043F208       295       59,675           x                     0  59,675    0
Human Genome Sciences Inc.          Common Stock    444903108       705        5,289           x                     0   5,289    0
Hooper Holmes Incorporated          Common Stock    439104100        26        3,300           x                     0   3,300    0
Internet HOLDRs Tr                  Common Stock    46059W102       335        3,098           x                     0   3,098    0
Hurricane Hydrocarons Ltd.          Foreign Stock   44779E106         2          500           x                     0     500    0
Household International Inc.        Common Stock    441815107     1,760       42,347           x                     0  42,347    0
Household Cap Trust V               PFD QTR 30/360  44180S207       285       11,400           x                     0  11,400    0
Household Capt Trust II 8.7%        Preferred Stock 44180H102        14          600           x                     0     600    0
Hibernia Corp. Class A              Common Stock    428656102     1,029       94,638           x                     0  94,638    0
Hibbett Sporting Goods Inc          Common Stock    428565105        26        1,125           x                     0   1,125    0
Highlands Insurance Group           Common Stock    431032101         2          200           x                     0     200    0
Hydrogiene Corp                     Common Stock    448884106         1        3,000           x                     0   3,000    0
Salomon Bros High Income Fund       Common Stock    79547Q106        53        4,350           x                     0   4,350    0
HI/FN Inc.                          Common Stock    428358105        41          925           x                     0     925    0
Hartford Financial Services
 Group Inc.                         Common Stock    416515104     1,685       30,131           x                     0  30,131    0
Hartford Capital II 8.35%           PFD QTR 30/360  416320208        63        2,700           x                     0   2,700    0
Hartford Capital I Inc. 7.70%
 Pfd Ser                            PFD QTR 30/360  416315208       264       11,800           x                     0  11,800    0
Heineken N V - ADR                  ADR             423012202       404        6,603           x                     0   6,603    0
HI Shear Inds Inc.                  Common Stock    428399109         0          150           x                     0     150    0
Hitachi Ltd ADR 10 Com              ADR             433578507     7,671       53,227           x                     0  53,227    0
CEL SCI Corp.                       Common Stock    150837409        56       16,200           x                     0  16,200    0
Highwoods Properties Inc.           Common Stock    431284108       565       23,532           x                     0  23,532    0
Highwoods Properties Inc.
 8% PFD Ser B                       PFD QTR 30/360  431284306       220       11,682           x                     0  11,682    0
Highwoods Properties Inc.
 8.00% PFD                          PFD QTR 30/360  431284504         8          400           x                     0     400    0
Hancock Fabrics Inc.                Common Stock    409900107        82       19,200           x                     0  19,200    0
Cable & Wireless HKT                ADR             126828102       108        5,007           x                     0   5,007    0
Hecla Mining Co                     Common Stock    422704106         5        4,150           x                     0   4,150    0
Henderson Ld Dev Ltd                ADR             425166303        85       19,365           x                     0  19,365    0
Healthhextras Inc.                  Common Stock    422211102         3          500           x                     0     500    0
Hartford Life Inc.                  Common Stock    416592103       222        4,400           x                     0   4,400    0
Harmonic Lightwaves Inc.            Common Stock    413160102       425       17,165           x                     0  17,165    0
Hilton Hotels Corp.                 Common Stock    432848109        91        9,710           x                     0   9,710    0
Healtheon Corp.                     Common Stock    422209106       504       33,993           x                     0  33,993    0
Helix Systems Limited               Common Stock    42332E100         0        1,500           x                     0   1,500    0
Hollywood Entertainment Corp.       Common Stock    436141105       161       20,500           x                     0  20,500    0
Homestake Mining Co                 Common Stock    437614100        21        3,025           x                     0   3,025    0
Health Management Associates,
 Inc. Cl                            Common Stock    421933102       587       44,937           x                     0  44,937    0
Hvide Marine Inc. Cl A              Common Stock    448515106         0        2,500           x                     0   2,500    0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
     FORM 13F      Name of Reporting Manager:                                                              Run Date: 07/17/2000
                                                 Legg Mason Wood Walker (IMS)                              -------------------------
                                               For Positions Held as of 06/30/2000                         S.E.C. Use Only

                                                                                                           -------------------------
                  Item 1:                  Item 2:     Item 3:  Item 4:    Item 5:           Item 6:       Item 7:    Item 8:
              Name of Issuer           Title of Class   CUSIP     Fair    Shares or  Investment Discretion  Other  Voting Authority
                                                                 Market   Principal  (a)     (b)     (c)     Mgrs      (Shares)
                                                                  Value      Amt.    Sole   Shared   Other         (a)   (b)    (c)
                                                                (X $1000)                                          Sole  Shared None

------------------------------------------------------------------------------------------------------------------------------------
<S>                                    <C>             <C>      <C>       <C>        <C>    <C>      <C>   <C>     <C>  <C>     <C>
Honda Motor LTD AMER SHS               ADR             438128308     162      2,355           x                     0     2,355    0
Home Properties of New York,           Common Stock    437306103     132      4,400           x                     0     4,400    0
Host Marriott Finl Tr                  PreferdStk Conv 441079407      10        320           x                     0       320    0
HMG Courtland Properties Inc.          Common Stock    404232100       1        200           x                     0       200    0
Ha-Lo Industries Inc.                  Common Stock    404429102      32      5,765           x                     0     5,765    0
Horace Mann Educators                  Common Stock    440327104     193     12,875           x                     0    12,875    0
Homeseekers Com Inc                    Common Stock    437605108      25      8,380           x                     0     8,380    0
Health Management Systems, Inc         Common Stock    42219M100      10      3,300           x                     0     3,300    0
Host Marriott Corp New                 Common Stock    44107P104     466     49,745           x                     0    49,745    0
Host Marriott Corp New                 PFD QTR 30/360  44107P302      44      2,000           x                     0     2,000    0
HMT Technology Corp.                   Common Stock    403917107       3      1,800           x                     0     1,800    0
Advanced Voice Technologies            Common Stock    00754W107       0        800           x                     0       800    0
Heilig-Myers Co                        Common Stock    422893107      36     30,499           x                     0    30,499    0
Harleysville National Corp. - PA       Common Stock    412850109      12        381           x                     0       381    0
HNC Software Inc.                      Common Stock    40425P107       4         65           x                     0        65    0
Hospital Newspapers Group Inc.         Common Stock    440906105       0        290           x                     0       290    0
HON Industries Inc.                    Common Stock    438092108   1,256     53,448           x                     0    53,448    0
Huaneng Power International Spons ADR  ADR             443304100      49      3,695           x                     0     3,695    0
H J Heinz Co                           Common Stock    423074103   6,774    154,844           x                     0   154,844    0
Holywood.Com Inc                       Common Stock    436137103      73      9,405           x                     0     9,405    0
Holts Cigar Hlds Inc                   Common Stock    436598106       6      1,081           x                     0     1,081    0
Hologic Inc.                           Common Stock    436440101      85     12,600           x                     0    12,600    0
Homestore Com Inc                      Common Stock    437852106       9        315           x                     0       315    0
Honeywell International Inc.           Common Stock    438516106  10,988    326,175           x                     0   326,175    0
Starwood Hotels & Resorts Worldwide In Common Stock    85590A203     532     16,473           x                     0    16,473    0
Hotjobs Com Inc                        Common Stock    441474103      53      3,853           x                     0     3,853    0
Hovnanian Enterprises Inc.             Common Stock    442487203       2        320           x                     0       320    0
Hopewell Holding Limited               ADR             439555301       0        500           x                     0       500    0
Helmerich & Payne                      Common Stock    423452101     483     12,915           x                     0    12,915    0
Home Port Bancorp Inc                  Common Stock    437304108       9        400           x                     0       400    0
Hercules Inc.                          Common Stock    427056106     175     12,424           x                     0    12,424    0
Harnischfeger Industries Inc.          Common Stock    413345109       0        300           x                     0       300    0
Heartport Inc.                         Common Stock    421969106      13      4,545           x                     0     4,545    0
Hospitality Properties Trust           Common Stock    44106M102   1,495     66,237           x                     0    66,237    0
H & Q Life Sciences Investors          Common Stock    404053100     347     11,684           x                     0    11,684    0
Healthcare Realty Trust                Common Stock    421946104     590     34,578           x                     0    34,578    0
Block H & R Inc.                       Common Stock    093671105     356     11,001           x                     0    11,001    0
Harbor Federal Bancorp Inc.            Common Stock    41151A108      34      2,080           x                     0     2,080    0
Hudson River Bancorp                   Common Stock    444128102      21      1,800           x                     0     1,800    0
Healthsouth Corp.                      Common Stock    421924101   1,238    172,225           x                     0   172,225    0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
       FORM 13F                 Name of Reporting Manager:                                                 Run Date: 07/17/2000
                                                            Legg Mason Wood Walker (IMS)                   -------------------------
                                                            For Positions Held as of 06/30/2000            S.E.C. Use Only

                                                                                                           -------------------------
                  Item 1:                 Item 2:      Item 3:  Item 4:    Item 5:           Item 6:       Item 7:    Item 8:
              Name of Issuer          Title of Class    CUSIP     Fair    Shares or  Investment Discretion  Other  Voting Authority
                                                                 Market   Principal  (a)     (b)     (c)     Mgrs      (Shares)
                                                                  Value      Amt.    Sole   Shared   Other         (a)   (b)    (c)
                                                                (X $1000)                                          Sole  Shared None

------------------------------------------------------------------------------------------------------------------------------------
<S>                                     <C>            <C>      <C>       <C>        <C>    <C>      <C>   <C>     <C>   <C>    <C>
Hartcourt Cos Inc                       Common Stock   416187201      11     1,400             x                     0    1,400    0
Hannaford Brothers Inc.                 Common Stock   410550107   9,705   135,027             x                     0  135,027    0
Hormel Foods Corp.                      Common Stock   440452100     262    15,595             x                     0   15,595    0
HRPT Proprties Trust                    Common Stock   40426W101     296    48,333             x                     0   48,333    0
Harris Corp.                            Common Stock   413875105   1,034    31,586             x                     0   31,586    0
High Speed Access Corp                  Common Stock   42979U102      11     1,600             x                     0    1,600    0
HSB Group Inc.                          Common Stock   40428N109     205     6,600             x                     0    6,600    0
Harsco Corp.                            Common Stock   415864107      97     3,814             x                     0    3,814    0
Homestead Village Inc.                  Common Stock   437851108       0       100             x                     0      100    0
HS Resources Inc.                       Common Stock   404297103      55     1,847             x                     0    1,847    0
Henry Schein Inc.                       Common Stock   806407102      20     1,175             x                     0    1,175    0
Heidrick & Struggles Intl Inc           Common Stock   422819102      41       650             x                     0      650    0
High Speed Net Solutions Inc            Common Stock   429793102      10     1,500             x                     0    1,500    0
Hispanic Broadcasting Corp              Common Stock   43357B104      106    3,189             x                     0    3,189    0
Hershey Foods Corp.                     Common Stock   427866108    2,253   46,272             x                     0   46,272    0
Hyperion 2002 Term Trust Inc.           Common Stock   448915108      233   28,230             x                     0   28,230    0
Hutchinson Technology Inc.              Common Stock   448407106        2      170             x                     0      170    0
H T E Inc.                              Common Stock   403926108       16   12,500             x                     0   12,500    0
Hawthorne Finl Corp                     Common Stock   420542102       29    3,800             x                     0    3,800    0
Heartland Express Inc.                  Common Stock   422347104       33    2,000             x                     0    2,000    0
Houghton Mifflin Co                     Common Stock   441560109      258    5,525             x                     0    5,525    0
Internet Holdings Ltd Com Par $0.01     Common Stock   46057M304        1       90             x                     0       90    0
Hearst-Argyle Television Inc.           Common Stock   422317107      675   34,595             x                     0   34,595    0
Hubbell Inc.  CL A                      Common Stock   443510102       23      900             x                     0      900    0
Hubbell Inc.  CL B                      Common Stock   443510201      348   13,652             x                     0   13,652    0
Hub Group, Inc. Cl A                    Common Stock   443320106        7      500             x                     0      500    0
Hudson Hotels Corp.                     Common Stock   443794102        0      500             x                     0      500    0
Hughes Supply Inc.                      Common Stock   444482103      541   27,375             x                     0   27,375    0
Humana Inc.                             Common Stock   444859102      157   32,245             x                     0   32,245    0
Hutchinson Whampoa - Unsp ADR           ADR            448415208      157    2,264             x                     0    2,264    0
Haverty Furniture Co Inc.               Common Stock   419596101      413   48,570             x                     0   48,570    0
Hollywood Casino Corp.                  Common Stock   436132203        7    1,000             x                     0    1,000    0
Hewlett-Packard Co.                     Common Stock   428236103   36,299  290,679             x                     0  290,679    0
Hexcel Corp.                            Common Stock   428291108        6      600             x                     0      600    0
Hyperfeed Technologies Inc              Common Stock   44913S102        0       79             x                     0       79    0
Hyperion Solutions Corp                 Common Stock   44914M104       28      875             x                     0      875    0
Hyseq Inc                               Common Stock   449163302      167    3,675             x                     0    3,675    0
Insurance Auto Auctions Inc.            Common Stock   457875102        7      330             x                     0      330    0
International Absorbents Inc            Common Stock   45885E104        7   10,000             x                     0   10,000    0
IAC Capital Trust 8.25% Trust Orig Pfd  PFD QTR 30/360 44919E206       17      800             x                     0      800    0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
     FORM 13F                         Name of Reporting Manager:                                           Run Date: 07/17/2000
                                                                  Legg Mason Wood Walker (IMS)             -------------------------
                                                                  For Positions Held as of 06/30/2000      S.E.C. Use Only

                                                                                                           -------------------------
                  Item 1:                 Item 2:      Item 3:  Item 4:    Item 5:           Item 6:       Item 7:    Item 8:
              Name of Issuer          Title of Class    CUSIP     Fair    Shares or  Investment Discretion  Other  Voting Authority
                                                                 Market   Principal  (a)     (b)     (c)     Mgrs      (Shares)
                                                                  Value      Amt.    Sole   Shared   Other         (a)   (b)    (c)
                                                                (X $1000)                                          Sole  Shared None

------------------------------------------------------------------------------------------------------------------------------------
<S>                                     <C>            <C>      <C>       <C>        <C>    <C>      <C>   <C>     <C>   <C>    <C>
Interact Comm Corp                      Common Stock   45839Y107       5       450             x                      0      450   0
Internet Architecture Holdr Tr          Common Stock   46060A107      18       200             x                      0      200   0
Interactive Marketing Tech Inc          Common Stock   45838B108       1     5,000             x                      0    5,000   0
Information Architects Corp             Common Stock   45669R107      24     3,400             x                      0    3,400   0
ACTV Inc.                               Common Stock   00088E104      81     5,400             x                      0    5,400   0
iBasis, Inc.                            Common Stock   450732102      49     1,132             x                      0    1,132   0
Interstate Bakeries Corp.               Common Stock   46072H108      39     2,750             x                      0    2,750   0
IBS Computer Corp.                      Common Stock   449225101       0        67             x                      0       67   0
Intimate Brands Inc.                    Common Stock   461156101     231    11,702             x                      0   11,702   0
IBIS Technology Corp.                   Common Stock   450909106     629    10,420             x                      0   10,420   0
Iberiabank Corp                         Common Stock   450828108       3       200             x                      0      200   0
International Business Machines Corp.   Common Stock   459200101  64,857   591,959             x                      0  591,959   0
Intl Business Machine Corp 7.50% PFD A  PFD QTR 30/360 459200309      30     1,200             x                      0    1,200   0
IBP Inc.                                Common Stock   449223106     383    24,839             x                      0   24,839   0
Intrabiotics Pharmaceuticals            Common Stock   46116T100     294    11,000             x                      0   11,000   0
Internet Businesss Intl Inc             Common Stock   46059L106       0       300             x                      0      300   0
Ralston Purina Co - 7% Exch Nts Due     PFD QTR 30/360 751277401       1        25             x                      0       25   0
Ibonzai Com Inc                         Common Stock   45103L104       0         1             x                      0        1   0
Icici Ltd                               ADR            44926P202       4       209             x                      0      209   0
Empresas ICA Sociedad                   ADR            292448107       0        70             x                      0       70   0
Independence Community Bank Corp.       Common Stock   453414104     125     9,466             x                      0    9,466   0
Internet Cable Corp.                    Common Stock   46057X102     145    20,000             x                      0   20,000   0
Immucell Corp.                          Common Stock   452525306       4     1,000             x                      0    1,000   0
Insight Communications Inc              Common Stock   45768V108     315    20,175             x                      0   20,175   0
Internet Comm Corp                      Common Stock   46059F109      16     1,100             x                      0    1,100   0
Natural Solutions Corp                  Common Stock   63901V109       1     5,500             x                      0    5,500   0
Internet Cap Group Inc                  Common Stock   46059C106   1,446    39,055             x                      0   39,055   0
ICG Communications Inc.                 Common Stock   449246107      34     1,553             x                      0    1,553   0
Imperial Chemical Inds Plc Adr          ADR            452704505   1,892    61,415             x                      0   61,415   0
Intermedia Communications Inc.          Common Stock   458801107      24       806             x                      0      806   0
ICN Pharmaceuticals Inc.                Common Stock   448924100   1,995    71,722             x                      0   71,722   0
Incomnet Inc                            Common Stock   453365207       0     5,000             x                      0    5,000   0
Inacom Corp.                            Common Stock   45323G109       3    47,658             x                      0   47,658   0
Intelect Communications Inc.            Common Stock   458144102      21     9,000             x                      0    9,000   0
Icos Corp.                              Common Stock   449295104     919    20,893             x                      0   20,893   0
Innovative Clinical Solutn Ltd          Common Stock   45767E107       0     1,000             x                      0    1,000   0
I.C.U. Med Inc.                         Common Stock   44930G107   1,148    42,500             x                      0   42,500   0
Idacorp Inc                             Common Stock   451107106     400    12,394             x                      0   12,394   0
Id Biomedical Corp                      Foreign Stock  44936D108      58    10,500             x                      0   10,500   0
Inter-Digital Communications Corp.      Common Stock   45866A105     168    10,150             x                      0   10,150   0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
     FORM 13F      Name of Reporting Manager:                                                              Run Date: 07/17/2000
                                                 Legg Mason Wood Walker (IMS)                              -------------------------
                                               For Positions Held as of 06/30/2000                         S.E.C. Use Only

                                                                                                           -------------------------
                  Item 1:                 Item 2:      Item 3:  Item 4:    Item 5:           Item 6:       Item 7:    Item 8:
              Name of Issuer          Title of Class    CUSIP     Fair    Shares or  Investment Discretion  Other  Voting Authority
                                                                 Market   Principal  (a)     (b)     (c)     Mgrs      (Shares)
                                                                  Value      Amt.    Sole   Shared   Other         (a)   (b)    (c)
                                                                (X $1000)                                          Sole  Shared None

------------------------------------------------------------------------------------------------------------------------------------
<S>                                   <C>              <C>      <C>       <C>        <C>    <C>      <C>   <C>     <C>  <C>     <C>
Comparator Systems Corp. New          Common Stock     204494207       0     11,000            x                      0  11,000    0
Intelli-check Inc                     Common Stock     45817G102       8      1,000            x                      0   1,000    0
Indo Pac Intl Corp                    Common Stock     455777102       0        250            x                      0     250    0
IDEC Pharmaceutical Corp.             Common Stock     449370105     675      5,758            x                      0   5,758    0
Industrial Services of America        Common Stock     456314103       2      1,000            x                      0   1,000    0
IDT Corp.                             Common Stock     448947101      37      1,100            x                      0   1,100    0
Integrated Device Technology          Common Stock     458118106   1,052     17,570            x                      0  17,570    0
Identix Inc.                          Common Stock     451906101      60      3,850            x                      0   3,850    0
Idexx Laboratories Corp.              Common Stock     45168D104      25      1,100            x                      0   1,100    0
International Enexco Ltd              Foreign Stock    45945G107       0        600            x                      0     600    0
Iec Electrs Corp New                  Common Stock     44949L105       8      5,000            x                      0   5,000    0
Integrated Electrical Svc             Common Stock     45811E103       1        200            x                      0     200    0
IEM S A Amern Shs                     ADR              449496207       0         12            x                      0      12    0
Ientertainment Network Inc            Common Stock     45169Q104       0        250            x                      0     250    0
Ies Utils Inc                         PFD QTR 30/360   44949R508      34      1,520            x                      0   1,520    0
IDEX Corp.                            Common Stock     45167R104     210      6,650            x                      0   6,650    0
International Fibercom Inc.           Common Stock     45950T101     620     24,321            x                      0  24,321    0
International Flavors & Fragrances    Common Stock     459506101      91      3,020            x                      0   3,020    0
Investors Financial Services Corp     Common Stock     461915100      48      1,200            x                      0   1,200    0
800 Travel Systems Inc                Common Stock     282506104      54     27,000            x                      0  27,000    0
Informix Corp.                        Common Stock     456779107     766    102,925            x                      0 102,925    0
The India Fund, Inc.                  MutualFdEqClose  454089103       7        500            x                      0     500    0
IFR Sys Inc.                          Common Stock     449507102       0         82            x                      0      82    0
Interface Inc.                        Common Stock     458665106      65     17,100            x                      0  17,100    0
Infineon Technologies Ag              ADR              45662N103     222      2,800            x                      0   2,800    0
Jade Finl Corp                        Common Stock     469882104     225     18,750            x                      0  18,750    0
Interstate Gen L P                    Common Stock     460885205       3        500            x                      0     500    0
Igen International Inc.               Common Stock     449536101      28      1,700            x                      0   1,700    0
IMC Global Inc.                       Common Stock     449669100      19      1,480            x                      0   1,480    0
Internet Gold-golden Lines Ltd        Foreign Stock    M56595107       1         70            x                      0      70    0
International Game Technology         Common Stock     459902102     224      8,451            x                      0   8,451    0
Igate Capital Corp                    Common Stock     45169U105     126      9,138            x                      0   9,138    0
Interstate Hotels Corp                Common Stock     46088R108       3        888            x                      0     888    0
International Home Foods Inc          Common Stock     459655106      31      1,464            x                      0   1,464    0
Information Hldgs Inc                 Common Stock     456727106     217      5,860            x                      0   5,860    0
Industrial Hldgs Inc.                 Common Stock     456160100      60     38,425            x                      0  38,425    0
Integrated Health Services Inc.       Common Stock     45812C106      16    106,750            x                      0 106,750    0
Morgan Stanley India Fund             MutualFdEqClose  61745C105      49      4,050            x                      0   4,050    0
Investors Ins Group Inc               Common Stock     461606105       0        100            x                      0     100    0
Internet Infrastructr Holds Tr        Common Stock     46059V104     194      3,100            x                      0   3,100    0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
     FORM 13F      Name of Reporting Manager:                                                               Run Date: 07/17/2000
                                                 Legg Mason Wood Walker (IMS)                               ------------------------
                                               For Positions Held as of 06/30/2000                          S.E.C. Use Only

                                                                                                            ------------------------
                  Item 1:                 Item 2:       Item 3:   Item 4:   Item 5:           Item 6:       Item 7:     Item 8:
              Name of Issuer          Title of Class     CUSIP     Fair    Shares or  Investment Discretion  Other  Voting Authority
                                                                  Market   Principal  (a)     (b)      (c)    Mgrs      (Shares)
                                                                   Value      Amt.    Sole   Shared   Other         (a)    (b)   (c)
                                                                 (X $1000)                                         Sole  Shared None

------------------------------------------------------------------------------------------------------------------------------------
<S>                                   <C>              <C>       <C>       <C>        <C>    <C>      <C>   <C>    <C>  <C>     <C>
Internet Initiative Japan Inc          ADR             46059T109       44       750            x                      0     750    0
ITT Industries, Inc.                   Common Stock    450911102      200     6,583            x                      0   6,583    0
Indus Intl Inc                         Common Stock    45578L100        3       400            x                      0     400    0
INA Investment Secs Inc.               Common Stock    17179X106       28     1,850            x                      0   1,850    0
Integrated Information Sys Inc         Common Stock    45817B103      813    99,325            x                      0  99,325    0
II-IV Inc.                             Common Stock    902104108       58     1,200            x                      0   1,200    0
Ixl Enterprises Inc                    Common Stock    450718101      114     7,850            x                      0   7,850    0
IKON Office Solutions Inc.             Common Stock    451713101      112    28,837            x                      0  28,837    0
Ilex Oncology Inc.                     Common Stock    451923106        7       200            x                      0     200    0
Intelogic Trace Inc.                   Common Stock    45815W109        0     3,000            x                      0   3,000    0
I-Link Inc.                            Common Stock    449927102       26     4,800            x                      0   4,800    0
International Panorama Res Cp          Foreign Stock   459945101       10   306,000            x                      0 306,000    0
Illuminet Hldgs Inc                    Common Stock    452334105        1        25            x                      0      25    0
Ingram Micro Inc.                      Common Stock    457153104      239    13,686            x                      0  13,686    0
Imanage Inc                            Common Stock    45245Y105        5       500            x                      0     500    0
Imatron Inc                            Common Stock    452906100       17     7,200            x                      0   7,200    0
Imax Corp.                             Common Stock    45245E109        5       200            x                      0     200    0
International Multifoods Corp.         Common Stock    460043102        5       300            x                      0     300    0
Imclone Systems Inc                    Common Stock    45245W109    8,039   105,175            x                      0 105,175    0
Imaging Diagnostic Sys Inc             Common Stock    45244W100       20    11,550            x                      0  11,550    0
Intl Meta Systems Inc                  Common Stock    45986B108        0    13,000            x                      0  13,000    0
Immunogen Inc.                         Common Stock    45253H101       60     5,000            x                      0   5,000    0
Imagex Com Inc                         Common Stock    45244D102       52     8,500            x                      0   8,500    0
San Paolo-imi S P A                    ADR             799175104       38     1,067            x                      0   1,067    0
Indiana Michigan Power Jr Sub Debs     PFD QTR 30/360  454889817       11       500            x                      0     500    0
Immersion Corp                         Common Stock    452521107       14       470            x                      0     470    0
Immunomedics Inc.                      Common Stock    452907108      731    29,830            x                      0  29,830    0
Imation Corp.                          Common Stock    45245A107      261     8,890            x                      0   8,890    0
Immune Response Corp. - Del            Common Stock    45252T106        5       500            x                      0     500    0
Immunex Corp.                          Common Stock    452528102    2,607    52,731            x                      0  52,731    0
Imperial Oil Ltd                       Common Stock    453038408       24     1,000            x                      0   1,000    0
Imaginon Inc                           Common Stock    45246K104        2     2,000            x                      0   2,000    0
Intermost Corp                         Common Stock    45881R109        6     2,000            x                      0   2,000    0
Imperial Bancorp                       Common Stock    452556103       11       734            x                      0     734    0
Impala Platinum Hldgs                  ADR             452553209       19       500            x                      0     500    0
Impath Inc                             Common Stock    45255G101       19       350            x                      0     350    0
Impsat Fiber Networks Inc              Foreign Stock   45321T103       34     2,000            x                      0   2,000    0
Improvenet Inc                         Common Stock    45321E106        6     2,400            x                      0   2,400    0
Imco Recycling Inc.                    Common Stock    449681105       60    10,950            x                      0  10,950    0
IMR Global Corp.                       Common Stock    45321W106       65     5,000            x                      0   5,000    0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
     FORM 13F      Name of Reporting Manager:                                                              Run Date: 07/17/2000
                                                 Legg Mason Wood Walker (IMS)                              ----------------------
                                               For Positions Held as of 06/30/2000                         S.E.C. Use Only

                                                                                                           ----------------------
                  Item 1:                 Item 2:      Item 3:  Item 4:    Item 5:           Item 6:       Item 7:    Item 8:
              Name of Issuer          Title of Class    CUSIP     Fair    Shares or  Investment Discretion  Other  Voting Authority
                                                                 Market   Principal  (a)     (b)     (c)     Mgrs      (Shares)
                                                                  Value      Amt.    Sole   Shared   Other         (a)   (b)    (c)
                                                                (X $1000)                                          Sole  Shared None

------------------------------------------------------------------------------------------------------------------------------------
<S>                                   <C>              <C>      <C>       <C>        <C>    <C>      <C>   <C>     <C>   <C>    <C>
Imsco Technologies Inc                 Common Stock    449697101       0      1,200          x                        0    1,200  0
Imagyn Medical Technologies Inc.       Common Stock    45244E100       0      4,900          x                        0    4,900  0
Grupo Imsa S A De C V                  ADR             40048T106       4        259          x                        0      259  0
Infonet Svcs Corp                      Common Stock    45666T106       4        300          x                        0      300  0
Intellicorp Inc                        Common Stock    458153103       3      1,500          x                        0    1,500  0
Internap Network Svcs Corp             Common Stock    45885A102       8        200          x                        0      200  0
Industrial Bancorp Inc.                Common Stock    455882100      40      3,400          x                        0    3,400  0
Intercell Corp                         Common Stock    458441300       3     36,000          x                        0   36,000  0
Incara Pharmaceuticals Corp            Common Stock    45324E103       0        100          x                        0      100  0
Infocure Corp.                         Common Stock    45665A108      17      3,000          x                        0    3,000  0
Incyte Pharmaceuticals Inc.            Common Stock    45337C102     260      3,160          x                        0    3,160  0
American Indl Pptys Reit               Common Stock    026791202      14      1,007          x                        0    1,007  0
Independent Bank Corp.                 Common Stock    453836108     521     46,015          x                        0   46,015  0
Independent Capital Trust II 11%       PFD QTR 30/360  45385B204     412     16,090          x                        0   16,090  0
Independent Capital Trust I            PFD QTR 30/360  45384F206     592     24,685          x                        0   24,685  0
Indigo NV                              Foreign Stock   N44495104      46      7,900          x                        0    7,900  0
Indo-Pacific Energy LTD                Foreign Stock   455908103       1      1,000          x                        0    1,000  0
Independent Energy Hldgs PLC ADR       ADR             45384X108      12      1,500          x                        0    1,500  0
Infinity Broadcasting Corp.            Common Stock    45662S102     281      7,704          x                        0    7,704  0
Informatica Corp                       Common Stock    45666Q102      15        185          x                        0      185  0
Infracorps Inc                         Common Stock    456826106       3     10,000          x                        0   10,000  0
Infodata Systems Inc. New              Common Stock    456650209       1        232          x                        0      232  0
Infocus Corp                           Common Stock    45665B106      18        570          x                        0      570  0
Inforte Corp                           Common Stock    45677R107       7        200          x                        0      200  0
Infosys Technologies Ltd               ADR             456788108      99        561          x                        0      561  0
Ing Groep NV Spons ADR                 ADR             456837103   7,844    116,204          x                        0  116,204  0
Ing Capital Funding Tr I               PFD QTR 30/360  44978D107      43      2,000          x                        0    2,000  0
Intergraph Corp.                       Common Stock    458683109       2        311          x                        0      311  0
Inhale Therapeutic Sys Inc             Common Stock    457191104     226      2,225          x                        0    2,225  0
International Isotopes Inc             Common Stock    45972C102       3        800          x                        0      800  0
Interliant Inc                         Common Stock    458742103      12        500          x                        0      500  0
Inkine Pharmaceutical Co Inc.          Common Stock    457214104      38      7,700          x                        0    7,700  0
Inktomi Corp                           Common Stock    457277101   1,149      9,714          x                        0    9,714  0
Inland Res Inc Wash                    Common Stock    457469302       0        100          x                        0      100  0
Intermet Corp.                         Common Stock    45881K104     143     20,800          x                        0   20,800  0
Interactive Network Inc.               Common Stock    45837P108       5      2,500          x                        0    2,500  0
Innovo Group Inc                       Common Stock    457954600       1      1,000          x                        0    1,000  0
International Paper Cap Tr             PFD QTR 30/360  460137300       5        130          x                        0      130  0
Inprise Corp                           Common Stock    45766C102      14      2,300          x                        0    2,300  0
Intelligent Systems Corp New           Common Stock    45816D100       0        100          x                        0      100  0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
     FORM 13F      Name of Reporting Manager:                                                               Run Date: 07/17/2000
                                                 Legg Mason Wood Walker (IMS)                               -----------------------
                                               For Positions Held as of 06/30/2000                          S.E.C. Use Only

                                                                                                            -----------------------
                  Item 1:                 Item 2:      Item 3:    Item 4:   Item 5:           Item 6:       Item 7:    Item 8:
              Name of Issuer          Title of Class    CUSIP       Fair   Shares or  Investment Discretion  Other Voting Authority
                                                                   Market  Principal  (a)     (b)     (c)      Mgrs      (Shares)
                                                                    Value     Amt.    Sole   Shared   Other        (a)   (b)    (c)
                                                                  (X $1000)                                        Sole  Shared None

------------------------------------------------------------------------------------------------------------------------------------
<S>                                   <C>              <C>        <C>       <C>        <C>    <C>      <C>  <C>    <C>   <C>    <C>
Insigna Solutions Inc. - ADR           ADR               45766J107         5       600          x                   0        600  0
Insmed Inc                             Common Stock      457669109         5     1,675          x                   0      1,675  0
Infosoft International Inc.            Common Stock      457674109         6     1,200          x                   0      1,200  0
Infospace Com Inc.                     Common Stock      45678T102       362     6,555          x                   0      6,555  0
Insweb Corp                            Common Stock      45809K103       138    65,100          x                   0     65,100  0
Intasys Corp                           Foreign Stock     45809M109        30    12,000          x                   0     12,000  0
Intel Corp.                            Common Stock      458140100   124,854   933,919          x                   0    933,919  0
Intelidata Technologies Corp.          Common Stock      45814T107       175    17,005          x                   0     17,005  0
Interface Systems Inc                  Common Stock      458667102         2       150          x                   0        150  0
Inter Tel Incorporated                 Common Stock      458372109        21     1,285          x                   0      1,285  0
Interactive Technologies Com           Common Stock      45837D105         4     2,000          x                   0      2,000  0
Intuit Corp.                           Common Stock      461202103     1,165    28,163          x                   0     28,163  0
Intervoice Inc.                        Common Stock      461142101         7     1,000          x                   0      1,000  0
Interworld Corp                        Common Stock      46114Q108        10       490          x                   0        490  0
Intrusion Com Inc                      Common Stock      46121E106         3       250          x                   0        250  0
Investorsbancorp Inc                   Common Stock      461833105         3       525          x                   0        525  0
Innovex Inc.                           Common Stock      457647105       630    64,660          x                   0     64,660  0
Input/Output Inc.                      Common Stock      457652105       113    13,400          x                   0     13,400  0
International Ostrich Corp             Common Stock      460107105         0       100          x                   0        100  0
Iomega Corp.                           Common Stock      462030107       129    32,256          x                   0     32,256  0
Ionics Inc.                            Common Stock      462218108         5       150          x                   0        150  0
Iona Technologies Plc                  ADR               46206P109        72     1,150          x                   0      1,150  0
Ion Networks Inc                       Common Stock      46205P100         2       500          x                   0        500  0
International Paper Co.                Common Stock      460146103     6,108   204,877          x                   0    204,877  0
Integrated Packaging Assembly          Common Stock      457989101         1     2,800          x                   0      2,800  0
Illinios Pwr Co Cum Pfd 4.2%           Preferred Stock   452092307         6       200          x                   0        200  0
Illinois Power Co                      PFD QTR 30/360    452092406        18       600          x                   0        600  0
Illinois Power Financing I 8% Trust    PFD QTR 30/360    452101207       160     7,060          x                   0      7,060  0
IPC Holdings Ltd                       Common Stock      G4933P101        57     4,100          x                   0      4,100  0
Pets Com Inc                           Common Stock      71676K109         0       100          x                   0        100  0
Interpublic Group Companies Inc.       Common Stock      460690100     5,677   132,026          x                   0    132,026  0
Interneuron Pharmaceutical             Common Stock      460573108        29    15,600          x                   0     15,600  0
Internet Pictures Corp.                Common Stock      46059S101         5       350          x                   0        350  0
Ipalco Enterprises Inc.                Common Stock      462613100       186     9,258          x                   0      9,258  0
Interplay Entertainment Corp.          Common Stock      460615107         3     1,000          x                   0      1,000  0
Intl Precious Metals Corp              Foreign Stock     459960100         0     3,000          x                   0      3,000  0
International Paper Cap TR III 7.875%  PFD QTR 30/360    460140205        62     2,800          x                   0      2,800  0
Iparty Corp                            Common Stock      46261R107         2     3,000          x                   0      3,000  0
Vialink Co                             Common Stock      92552Q101        30     2,878          x                   0      2,878  0
Quebecor World Inc                     Common Stock      748203106       547    22,551          x                   0     22,551  0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
     FORM 13F      Name of Reporting Manager:                                                               Run Date: 07/17/2000
                                                 Legg Mason Wood Walker (IMS)                               ------------------------
                                               For Positions Held as of 06/30/2000                          S.E.C. Use Only

                                                                                                            ------------------------
                  Item 1:                 Item 2:      Item 3:   Item 4:    Item 5:           Item 6:       Item 7:    Item 8:
              Name of Issuer          Title of Class    CUSIP      Fair    Shares or  Investment Discretion  Other Voting Authority
                                                                  Market   Principal  (a)     (b)     (c)     Mgrs      (Shares)
                                                                   Value      Amt.    Sole   Shared   Other        (a)   (b)    (c)
                                                                 (X $1000)                                         Sole  Shared None

------------------------------------------------------------------------------------------------------------------------------------
<S>                                   <C>              <C>       <C>       <C>        <C>    <C>      <C>   <C>    <C>   <C>    <C>
Ingersoll-Rand Co.                     Common Stock     456866102   3,886    96,545           x                      0     96,545 0
Ireland Bank                           Foreign Stock    46267Q103   2,213    86,160           x                      0     86,160 0
Intl Rectifier Corp.                   Common Stock     460254105     307     5,474           x                      0      5,474 0
Irdium World Communications Ltd Cl A   Common Stock     G49398103       4     5,125           x                      0      5,125 0
Irish Investment Fd Inc.               Common Stock     462710104      14     1,000           x                      0      1,000 0
Iron Mountain, Inc.  Pa                Common Stock     462846106     137     4,025           x                      0      4,025 0
Irvine Sensors Corp                    Common Stock     463664102      20     4,700           x                      0      4,700 0
IRT Property Co                        Common Stock     450058102      74     8,750           x                      0      8,750 0
Interim Services Inc.                  Common Stock     45868P100   1,117    62,912           x                      0     62,912 0
International Speedway Corp.           Common Stock     460335201   1,409    34,049           x                      0     34,049 0
Intl Speedway Corp. Cl B               Common Stock     460335300      33       800           x                      0        800 0
Illinois Superconductor Corp           Common Stock     452284102      26     5,400           x                      0      5,400 0
Iscor Ltd Sponsored ADR                ADR              464272202     216   126,639           x                      0    126,639 0
International Shipholding Corp.        Common Stock     460321201      92    10,480           x                      0     10,480 0
International Shoe Mfg Corp            Common Stock     460322100       2     5,000           x                      0      5,000 0
Insignia Sys Inc                       Common Stock     45765Y105      18     2,500           x                      0      2,500 0
Intersil Hldg Corp                     Common Stock     46069S109      49       900           x                      0        900 0
ISIS Pharmaceuticals                   Common Stock     464330109      88     6,045           x                      0      6,045 0
Digital Is Inc Del                     Common Stock     25385N101     520    10,692           x                      0     10,692 0
Interspeed Inc                         Common Stock     46070W107     173    10,300           x                      0     10,300 0
Integrated Silicon Solution Inc.       Common Stock     45812P107      84     2,200           x                      0      2,200 0
ISS Group Inc                          Common Stock     450306105      53       535           x                      0        535 0
Ispat International NV                 ADR              464899103      14     1,500           x                      0      1,500 0
Integral Sys Inc Md                    Common Stock     45810H107       4       230           x                      0        230 0
Gartner Group Incorporated Class A     Common Stock     366651107       5       385           x                      0        385 0
Gartner Group Inc. - CL B              Common Stock     366651206       9       870           x                      0        870 0
Intl Thoroughbred Brders Inc PFD Ser A PreferdStk Conv  460491889       8     4,000           x                      0      4,000 0
ITC Learning Corp                      Common Stock     45031S106      76    34,200           x                      0     34,200 0
ITC Deltacom Inc.                      Common Stock     45031T104      32     1,446           x                      0      1,446 0
Imaging Technologies Corp              Common Stock     45244U104      21    41,000           x                      0     41,000 0
Investment Technology Group            Common Stock     46145F105      20       500           x                      0        500 0
Intelligroup Inc                       Common Stock     45816A106      13     1,096           x                      0      1,096 0
Itemus Inc                             Foreign Stock    46564Q103      73    68,000           x                      0     68,000 0
Intertan Inc.                          Common Stock     461120107      85     7,240           x                      0      7,240 0
Itochu Corp - ADR                      ADR              465717106      85     1,690           x                      0      1,690 0
Intraware Inc                          Common Stock     46118M103      51     3,150           x                      0      3,150 0
Intertrust Technologies Corp           Common Stock     46113Q109      45     2,200           x                      0      2,200 0
Intertechnology Solar Inc              Common Stock     461126104       0       300           x                      0        300 0
Illinois Tool Works                    Common Stock     452308109   4,159    72,966           x                      0     72,966 0
12 Technologies Inc.                   Common Stock     465754109   2,400    23,019           x                      0     23,019 0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
     FORM 13F      Name of Reporting Manager:                                                              Run Date: 07/17/2000
                                                 Legg Mason Wood Walker (IMS)                              -------------------------
                                               For Positions Held as of 06/30/2000                         S.E.C. Use Only

                                                                                                           -------------------------
                  Item 1:                 Item 2:      Item 3:   Item 4:    Item 5:          Item 6:       Item 7:    Item 8:
              Name of Issuer          Title of Class    CUSIP      Fair    Shares or Investment Discretion  Other  Voting Authority
                                                                  Market   Principal (a)     (b)     (c)     Mgrs      (Shares)
                                                                   Value     Amt.    Sole   Shared   Other         (a)   (b)    (c)
                                                                 (X $1000)                                         Sole  Shared None

------------------------------------------------------------------------------------------------------------------------------------
<S>                                   <C>              <C>       <C>       <C>       <C>    <C>      <C>   <C>     <C>   <C>    <C>
IT Group Inc                            Common Stock    465266104      32     6,500         x                        0     6,500  0
Infinite Technology Corp                Common Stock    45069F109      27       755         x                        0       755  0
Mark Iv Industries Inc.                 Common Stock    570387100      42     2,000         x                        0     2,000  0
Invitrogen Corp                         Common Stock    46185R100      48       635         x                        0       635  0
Ivillage Inc.                           Common Stock    46588H105     154    18,300         x                        0    18,300  0
Invensys PLC Spons Adr                  ADR             461204109   2,967   395,488         x                        0   395,488  0
Ivoice Com Inc                          Common Stock    46588L106       5    10,000         x                        0    10,000  0
Investor AB Stockholm                   Common Stock    W48102102      35     2,600         x                        0     2,600  0
IVAX Corp.                              Common Stock    465823102     519    12,500         x                        0    12,500  0
Interwave Communctns Intl Ltd           Foreign Stock   G4911N102       1        95         x                        0        95  0
Ishares Tr                              Common Stock    464287655     504     4,879         x                        0     4,879  0
Interwoven Inc                          Common Stock    46114T102      66       600         x                        0       600  0
Orix Corporation - Spons ADR            ADR             686330101     196     2,601         x                        0     2,601  0
Iexalt Inc                              Common Stock    451691109       3     1,650         x                        0     1,650  0
JCC Holdings Company Cl A               Common Stock    46611Q205       1     1,326         x                        0     1,326  0
Jos E. Seagram & Sons Inc SR            PFD QTR 30/360  811845205      36     1,600         x                        0     1,600  0
JDN Realty Corp Pfd Ser A 9.375%        PFD QTR 30/360  465917201      27     1,400         x                        0     1,400  0
Jayhawk Accep Corp                      Common Stock    472097104       0     1,000         x                        0     1,000  0
Golden Bear Golf Inc.                   Common Stock    380975102       0       100         x                        0       100  0
Jakks Pacific Inc                       Common Stock    47012E106      39     2,675         x                        0     2,675  0
Jameson Inns Inc                        Common Stock    470457102      21     2,800         x                        0     2,800  0
Japan Air Lines Ltd                     ADR             471034306     299    37,625         x                        0    37,625  0
Jardine Matheson Holdings Ltd. Spon AD  ADR             471115303   1,010   230,605         x                        0   230,605  0
Great White Marine Recreation           Common Stock    391520103       0     1,000         x                        0     1,000  0
J Alexander Corp.                       Common Stock    466096104     105    27,640         x                        0    27,640  0
Baker J Inc                             Common Stock    057232100      47     8,000         x                        0     8,000  0
JB Hunt Transport Services Inc          Common Stock    445658107       3       200         x                        0       200  0
Jabil Circuit Inc.                      Common Stock    466313103   1,664    33,530         x                        0    33,530  0
Jack In the Box                         Common Stock    466367109   1,389    56,400         x                        0    56,400  0
Johnson Controls Inc.                   Common Stock    478366107     812    15,815         x                        0    15,815  0
Penney (J C) Co Inc.                    Common Stock    708160106     310    16,813         x                        0    16,813  0
JDN Realty Corp.                        Common Stock    465917102     282    27,637         x                        0    27,637  0
Jardine Strategic Holdings Ltd          ADR             471119206     181    30,266         x                        0    30,266  0
JDS Uniphase Corp                       Common Stock    46612J101  18,634   155,448         x                        0   155,448  0
Jacobs Engineering Group Inc.           Common Stock    469814107       4       110         x                        0       110  0
Johnson Elec Hldgs Ltd                  ADR             479087207      19       200         x                        0       200  0
The Japan Equity Fund, Inc.             MutualFdEqClose 471057109       4       500         x                        0       500  0
Harland John H Co                       Common Stock    412693103     147     9,850         x                        0     9,850  0
Hancock John Finl Services Inc.         Common Stock    41014S106      92     3,886         x                        0     3,886  0
James Hardie Inds Ltd Spon Adr          ADR             47030C306       5     1,000         x                        0     1,000  0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
     FORM 13F      Name of Reporting Manager:                                                              Run Date: 07/17/2000
                                                 Legg Mason Wood Walker (IMS)                              -------------------------
                                               For Positions Held as of 06/30/2000                         S.E.C. Use Only

                                                                                                           -------------------------
                  Item 1:                 Item 2:      Item 3:  Item 4:    Item 5:           Item 6:       Item 7:    Item 8:
              Name of Issuer          Title of Class    CUSIP     Fair    Shares or  Investment Discretion  Other  Voting Authority
                                                                 Market   Principal  (a)     (b)     (c)     Mgrs      (Shares)
                                                                  Value      Amt.    Sole   Shared   Other         (a)   (b)    (c)
                                                                (X $1000)                                          Sole  Shared None

------------------------------------------------------------------------------------------------------------------------------------
<S>                                   <C>              <C>      <C>       <C>        <C>    <C>      <C>    <C>    <C>  <C>     <C>
Jackson Hole Hldgs Corp               Foreign Stock    46820W100        0    10,000            x                      0  10,000    0
John Hancock Income Sec Trust         Common Stock     410123103        1       100            x                      0     100    0
Strategic Capital Resources Inc       Common Stock     862690104        0        65            x                      0      65    0
J & J Snack Foods Corp.               Common Stock     466032109      759    42,478            x                      0  42,478    0
JLG Industries Inc.                   Common Stock     466210101      300    25,225            x                      0  25,225    0
Johns Manville Corp.                  Common Stock     478129109       80     6,038            x                      0   6,038    0
Jmar Inc.                             Common Stock     466212107        1       200            x                      0     200    0
Jones Pharma Inc                      Common Stock     480236108       36       903            x                      0     903    0
The John Nuveen Co Cl A               Common Stock     478035108      648    15,449            x                      0  15,449    0
Jni Corp                              Common Stock     46622G105    1,116    35,300            x                      0  35,300    0
Johnson & Johnson                     Common Stock     478160104   32,494   318,961            x                      0 318,961    0
Juniper Networks                      Common Stock     48203R104    3,414    23,451            x                      0  23,451    0
Jones Apparel Group, Inc.             Common Stock     480074103       28     1,200            x                      0   1,200    0
St Joe Corp.                          Common Stock     790148100      119     3,966            x                      0   3,966    0
Jefferson-Pilot Corp.                 Common Stock     475070108    2,037    36,099            x                      0  36,099    0
J P Morgan & Co.                      Common Stock     616880100    5,018    45,566            x                      0  45,566    0
Morgan JP & Co Inc. Adj Rate          PFD QTR 30/360   616880209       58       800            x                      0     800    0
JPM Co                                Common Stock     465933109        3       500            x                      0     500    0
Japan Telecom Co Ltd                  ADR              471104109      202     4,656            x                      0   4,656    0
Jupiter Communications Inc            Common Stock     482050101       41     1,800            x                      0   1,800    0
James River Bankshares Inc. - VA      Common Stock     470345109       65     5,900            x                      0   5,900    0
Journal Register Company              Common Stock     481138105        3       175            x                      0     175    0
The Cincinnati Gas & Elec Co          PFD QTR 30/360   172070831       14       600            x                      0     600    0
Jefferson Smurfit Group PLC Spons ADR ADR              47508W107      439    24,935            x                      0  24,935    0
J Sainsbury Plc Sponsored Adr         ADR              466249109    2,529   139,669            x                      0 139,669    0
Jotan Inc                             Common Stock     481093102        0    12,000            x                      0  12,000    0
Jusco Co Ltd Adr                      ADR              482131208       15        80            x                      0      80    0
Wiley John & Sons                     Common Stock     968223206       32     1,400            x                      0   1,400    0
Juno Online Svcs Inc.                 Common Stock     482048105      108    10,000            x                      0  10,000    0
J W Genesis Finl Corp.                Common Stock     482227105       13     1,500            x                      0   1,500    0
Jefferson-Williams Energy Corp        Common Stock     475491106        0     4,150            x                      0   4,150    0
Nordstrom Inc.                        Common Stock     655664100      297    12,315            x                      0  12,315    0
JCP&L Capital LP 8.56% Cum Monthly    PFD QTR 30/360   46611K208       77     3,200            x                      0   3,200    0
Kellogg Co                            Common Stock     487836108      651    21,871            x                      0  21,871    0
Keyclub Net Inc                       Common Stock     49326V998        0     1,500            x                      0   1,500    0
Kaneb Services Inc.                   Common Stock     484170105        1       200            x                      0     200    0
Kaire Holdings Inc                    Common Stock     483003109        2    10,000            x                      0  10,000    0
Kaman Corp. A                         Common Stock     483548103      160    15,000            x                      0  15,000    0
Kana Communications                   Common Stock     483600102      222     3,592            x                      0   3,592    0
KAO Corporation ADR                   ADR              485537203        7        24            x                      0      24    0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
     FORM 13F      Name of Reporting Manager:                                                              Run Date: 07/17/2000
                                                 Legg Mason Wood Walker (IMS)                              -----------------------
                                               For Positions Held as of 06/30/2000                         S.E.C. Use Only

                                                                                                           -----------------------
                  Item 1:                Item 2:      Item 3:   Item 4:    Item 5:           Item 6:       Item 7:    Item 8:
              Name of Issuer         Title of Class    CUSIP      Fair    Shares or  Investment Discretion  Other  Voting Authority
                                                                 Market   Principal  (a)     (b)     (c)     Mgrs      (Shares)
                                                                  Value      Amt.    Sole   Shared   Other         (a)   (b)    (c)
                                                                (X $1000)                                          Sole Shared  None

------------------------------------------------------------------------------------------------------------------------------------
<S>                                  <C>              <C>       <C>       <C>        <C>    <C>      <C>   <C>     <C>  <C>     <C>
Koala Corp.                          Common Stock     499866101       4         300            x                    0        300  0
Kbf Pollution Mgmt Inc               Common Stock     482396108       0       1,000            x                    0      1,000  0
Keebler Foods Co.                    Common Stock     487256109      41       1,100            x                    0      1,100  0
Key Cap Corp Ga                      Common Stock     493074108       0       1,500            x                    0      1,500  0
Kenneth Cole Productions INc. Cl A   Common Stock     193294105      22         562            x                    0        562  0
Kanas City Power & Light 4.20% PFD   PFD QTR 30/360   485134407      12         200            x                    0        200  0
Kaydon Corp.                         Common Stock     486587108     389      18,504            x                    0     18,504  0
Koger Equity Inc.                    Common Stock     500228101     108       6,400            x                    0      6,400  0
Keane, Inc.                          Common Stock     486665102     309      14,284            x                    0     14,284  0
Key Energy Group Inc.                Common Stock     492914106       2         200            x                    0        200  0
Keithley Instrs Inc                  Common Stock     487584104     200       2,290            x                    0      2,290  0
Kellstrom Industries Inc             Common Stock     488035106       7       1,500            x                    0      1,500  0
KEMET Corp.                          Common Stock     488360108     334      13,314            x                    0     13,314  0
Korea Electric Power Corp. ADR       ADR              500631106   3,254     176,464            x                    0    176,464  0
Keravision Inc.                      Common Stock     492061106       1         200            x                    0        200  0
Kirby Corp                           Common Stock     497266106      29       1,350            x                    0      1,350  0
Keycorp New                          Common Stock     493267108     632      35,865            x                    0     35,865  0
Korea Fund Inc.                      MutualFdEqClose  500634100      63       4,480            x                    0      4,480  0
Klamath First Bancorp Inc.           Common Stock     49842P103       2         190            x                    0        190  0
Krauses Furniture Inc New            Common Stock     500760202       0         400            x                    0        400  0
Romac International Inc              Common Stock     493732101      10       1,500            x                    0      1,500  0
Korn Ferry Intl                      Common Stock     500643200      22         700            x                    0        700  0
Kinross Gold Corp.                   Foreign Stock    496902107       1         817            x                    0        817  0
Kemper Intermed Govt Trust           Common Stock     488413105      91      14,100            x                    0     14,100  0
First Years Inc                      Common Stock     337610109     403      36,215            x                    0     36,215  0
4 Kids Entertainment Inc.            Common Stock     350865101     223       8,550            x                    0      8,550  0
KIMCO Realty Corp.                   Common Stock     49446R109     158       3,856            x                    0      3,856  0
King Pharmaceuticals Inc             Common Stock     495582108     859      19,588            x                    0     19,588  0
Meridian Diagnostics Inc.            Common Stock     589602101      16       2,000            x                    0      2,000  0
Kalahari Res Inc                     Foreign Stock    482903101       1       6,300            x                    0      6,300  0
KLA Tencor Corp.                     Common Stock     482480100   1,328      22,679            x                    0     22,679  0
Kulicke & Soffa Ina Inc.             Common Stock     501242101      36         600            x                    0        600  0
KLM Royal Dutch Airlines             ADR              482516309     314      11,808            x                    0     11,808  0
Kushner Locke Co.                    Common Stock     501337406       8       4,000            x                    0      4,000  0
Kansas City Power & Light Co         Common Stock     485134100      88       3,891            x                    0      3,891  0
Kansas City Power & Light 3.80% Pfd  PFD QTR 30/360   485134209      15         300            x                    0        300  0
Kansas City Pwr & Lt Co 4.50 Pfd     Preferred Stock  485134605      12         200            x                    0        200  0
Kcpl Fing I                          PFD QTR 30/360   482432200      56       2,400            x                    0      2,400  0
Kaiser Aluminum Corp                 Common Stock     483007100      12       3,000            x                    0      3,000  0
K Mart Corp.                         Common Stock     482584109     266      39,010            x                    0     39,010  0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
     FORM 13F      Name of Reporting Manager:                                                              Run Date: 07/17/2000
                                                 Legg Mason Wood Walker (IMS)                              -------------------------
                                               For Positions Held as of 06/30/2000                         S.E.C. Use Only

                                                                                                           -------------------------
                  Item 1:                  Item 2:     Item 3:  Item 4:    Item 5:           Item 6:       Item 7:    Item 8:
              Name of Issuer           Title of Class   CUSIP     Fair    Shares or  Investment Discretion  Other  Voting Authority
                                                                 Market   Principal  (a)     (b)     (c)     Mgrs      (Shares)
                                                                  Value      Amt.    Sole   Shared   Other         (a)   (b)    (c)
                                                                (X $1000)                                          Sole  Shared None

------------------------------------------------------------------------------------------------------------------------------------
<S>                                    <C>             <C>      <C>       <C>        <C>    <C>      <C>   <C>     <C>   <C>    <C>
KMart Financing I 7.75% Conv           PreferdStk Conv 498778208      15        400            x                      0     400    0
Komag Inc.                             Common Stock    500453105       1        800            x                      0     800    0
Kimberly-Clark Corp.                   Common Stock    494368103   4,699     81,907            x                      0  81,907    0
Kerr-McGee Corp.                       Common Stock    492386107     549      9,311            x                      0   9,311    0
Kinder Morgan Inc                      Common Stock    49455P101      87      2,520            x                      0   2,520    0
Kemper Multi Mkt Income Tr             Common Stock    48842B106     184     21,500            x                      0  21,500    0
Kinder Morgan Energy Partners LP       Common Stock    494550106   1,253     31,378            x                      0  31,378    0
Kennametal Inc.                        Common Stock    489170100     114      5,320            x                      0   5,320    0
Komatsu LTD - Spons ADR                ADR             500458401   3,852    136,593            x                      0 136,593    0
Circuit City Stores Inc.-Carmax        Common Stock    172737306     945    280,100            x                      0 280,100    0
KN Energy Inc - PFD Conv Premium Equit PreferdStk Conv 482620507      10        215            x                      0     215    0
Kirin Brewery Co Ltd                   ADR             497350207       1          6            x                      0       6    0
Knight Transn Inc                      Common Stock    499064103      10        700            x                      0     700    0
Knot Inc                               Common Stock    499184109      32      8,300            x                      0   8,300    0
Kensey Nash Corp                       Common Stock    490057106      22      2,000            x                      0   2,000    0
Kent Electronics Corp.                 Common Stock    490553104      36      1,200            x                      0   1,200    0
Knox Nursery Inc                       Common Stock    499616100       1      1,000            x                      0   1,000    0
Coca Cola Co.                          Common Stock    191216100  23,567    410,301            x                      0 410,301    0
Coca-Cola FENSA CV Spons ADR           ADR             191241108      30      1,600            x                      0   1,600    0
Drkoop Com Inc                         Common Stock    262098106       6      3,100            x                      0   3,100    0
Kopin Corp.                            Common Stock    500600101     330      4,770            x                      0   4,770    0
Koor Inds Ltd                          ADR             500507108       4        170            x                      0     170    0
Korea Thrunet Co Ltd                   Foreign Stock   Y49975108      11        800            x                      0     800    0
KOS Pharmaceuticals Inc.               Common Stock    500648100      40      2,500            x                      0   2,500    0
Key Production Company Inc             Common Stock    493138101      32      1,800            x                      0   1,800    0
Inkeepers USA Trust                    Common Stock    4576J0104      48      5,206            x                      0   5,206    0
Kentucky Power Co                      PFD QTR 30/360  491386108      29      1,200            x                      0   1,200    0
Royal KPN Nederland NV Spon ADR        ADR             780641205     199      4,435            x                      0   4,435    0
Kaneb Pipe Line Partners LP SR Pref    LTD Part  P4    484169107       9        350            x                      0     350    0
Kpnqwest N V                           Foreign Stock   N50919104      58      1,475            x                      0   1,475    0
Kroger Co.                             Common Stock    501044101   1,656     75,069            x                      0  75,069    0
MBNA Corp.                             Common Stock    55262L100  10,539    388,519            x                      0 388,519    0
MBNA Corp. 7.50% Cum Pfd Ser A         PFD QTR 30/360  55262L209       4        150            x                      0     150    0
Capital Re LLC 7.65% Cum Pfd           PFDMthly 30/360 P20578103     192      9,400            x                      0   9,400    0
Krispy Kreme Doughnuts Inc             Common Stock    501014104      70        950            x                      0     950    0
Knight-Ridder Inc.                     Common Stock    499040103   1,039     19,540            x                      0  19,540    0
Kronos Inc.                            Common Stock    501052104     139      5,327            x                      0   5,327    0
Kramont Realty Trust Com Sh Ben Int    Common Stock    50075Q107      41      4,358            x                      0   4,358    0
Europa Cruise Corp                     Common Stock    298738105       0         25            x                      0      25    0
Crystallex International Corp.         Foreign Stock   22942F101       5      3,000            x                      0   3,000    0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
     FORM 13F      Name of Reporting Manager:                                                              Run Date: 07/17/2000
                                                 Legg Mason Wood Walker (IMS)                              -------------------------
                                               For Positions Held as of 06/30/2000                         S.E.C. Use Only

                                                                                                           -------------------------
                  Item 1:                 Item 2:      Item 3:  Item 4:    Item 5:           Item 6:       Item 7:    Item 8:
              Name of Issuer          Title of Class    CUSIP     Fair    Shares or  Investment Discretion  Other  Voting Authority
                                                                 Market   Principal  (a)     (b)     (c)     Mgrs      (Shares)
                                                                  Value      Amt.    Sole   Shared   Other         (a)   (b)    (c)
                                                                (X $1000)                                          Sole  Shared None

------------------------------------------------------------------------------------------------------------------------------------
<S>                                   <C>              <C>      <C>       <C>        <C>    <C>      <C>   <C>     <C>   <C>    <C>
Keyspan Corporation                   Common Stock     49337W100     367     11,924            x                      0  11,924    0
Kaiser Group International Inc        Common Stock     483060109       0        200            x                      0     200    0
Kohls Corp.                           Common Stock     500255104   1,000     17,969            x                      0  17,969    0
Keystone Financial Inc.               Common Stock     493482103      98      4,620            x                      0   4,620    0
Kansas City Southern Ind Inc.         Common Stock     485170104   1,839     20,735            x                      0  20,735    0
K-Swiss Inc. Cl A                     Common Stock     482686102     492     30,898            x                      0  30,898    0
Katy Industries Inc.                  Common Stock     486026107      35      3,000            x                      0   3,000    0
Korea Telecom                         ADR              50063P103     117      2,415            x                      0   2,415    0
Kenan Transport Co                    Common Stock     488539107      53      2,600            x                      0   2,600    0
K-Tel International Inc.              Common Stock     482724200       4      1,800            x                      0   1,800    0
K2 Inc.                               Common Stock     482732104      96     11,600            x                      0  11,600    0
Kubota Corp. - Spons ADR              ADR              501173207     120      1,685            x                      0   1,685    0
Kentucky Utils Co Pfd 4.75%           PFD QTR 30/360   491674206       1         10            x                      0      10    0
Kellwood Co                           Common Stock     488044108       4        200            x                      0     200    0
Quaker Chemical Corp.                 Common Stock     747316107      10        600            x                      0     600    0
Kyocera Corp. Spons ADR               ADR              501556203     374      2,175            x                      0   2,175    0
Liberty Financial Companies Inc.      Common Stock     530512102     176      8,005            x                      0   8,005    0
LM Valquest Partners                  LTD Part  P0     L003091       224        195            x                      0     195    0
Lab One Inc New                       Common Stock     50540L105       4        675            x                      0     675    0
LaFarge Corp.                         Common Stock     505862102     112      5,330            x                      0   5,330    0
Latin American Investment Fd Inc.     MutualFdEqClose  518279104      53      3,532            x                      0   3,532    0
Lamar Advertising Co                  Common Stock     512815101     102      2,350            x                      0   2,350    0
Lancer Corp. - Tex                    Common Stock     514614106       9      2,000            x                      0   2,000    0
Lancaster Colony Corp.                Common Stock     513847103      97      5,045            x                      0   5,045    0
The Latin America Equity Fund, Inc.   Common Stock     51827T100     317     24,347            x                      0  24,347    0
Laura Ashley Holdings PLC ORD         Common Stock     G53872100       0      1,000            x                      0   1,000    0
Larscom Inc. Cl A                     Common Stock     51729Y108      28      5,000            x                      0   5,000    0
Lasersight Inc.                       Common Stock     517924106       3        660            x                      0     660    0
Latitude Communications Inc           Common Stock     518292107      72      6,450            x                      0   6,450    0
Lafayette Bancorporation              Common Stock     505893107      17      1,182            x                      0   1,182    0
Labor Ready Inc.                      Common Stock     505401208      12      1,876            x                      0   1,876    0
Liberate Technologies                 Common Stock     530129105      46      1,575            x                      0   1,575    0
Lifeline Biotechnologies Inc.         Common Stock     53219E303       0      1,000            x                      0   1,000    0
Libbey, Inc.                          Common Stock     529898108      61      1,900            x                      0   1,900    0
Liberty Corp.                         Common Stock     530370105     147      3,500            x                      0   3,500    0
Leisure Canada Inc                    Foreign Stock    524911104      11     10,000            x                      0  10,000    0
LCA-Vision Inc.                       Common Stock     501803209       1        229            x                      0     229    0
Landmark/cmnty Bancorp Inc            Common Stock     515057107       0        528            x                      0     528    0
Lifecore Biomedical Inc               Common Stock     532187101       8      1,000            x                      0   1,000    0
Lamar Capital Corp                    Common Stock     51282P106       4        500            x                      0     500    0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
     FORM 13F      Name of Reporting Manager:                                                              Run Date: 07/17/2000
                                                 Legg Mason Wood Walker (IMS)                              -------------------------
                                               For Positions Held as of 06/30/2000                         S.E.C. Use Only

                                                                                                           -------------------------
                  Item 1:                  Item 2:     Item 3:  Item 4:    Item 5:           Item 6:       Item 7:    Item 8:
              Name of Issuer           Title of Class   CUSIP     Fair    Shares or  Investment Discretion  Other  Voting Authority
                                                                 Market   Principal  (a)     (b)     (c)     Mgrs      (Shares)
                                                                  Value      Amt.    Sole   Shared   Other         (a)   (b)    (c)
                                                                (X $1000)                                          Sole  Shared None

------------------------------------------------------------------------------------------------------------------------------------
<S>                                    <C>             <C>      <C>       <C>        <C>    <C>      <C>   <C>     <C>   <C>    <C>
Landacorp Inc                          Common Stock    514756105       3        600            x                      0     600    0
Lycos Inc.                             Common Stock    550818108     268      4,969            x                      0   4,969    0
Lincorp Holdings Inc.                  Common Stock    535100101       0        199            x                      0     199    0
El Sitio Inc                           Foreign Stock   G30177102       7      1,000            x                      0   1,000    0
Louis Dreyfus Natural Gas CP           Common Stock    546011107      53      1,695            x                      0   1,695    0
Leading Edge Ind Inc                   Common Stock    521707109       0     30,000            x                      0  30,000    0
Latin American Discovery Fd Inc.       MutualFdEqClose 51828C106      20      2,000            x                      0   2,000    0
Long Drug Stores Corp. MD              Common Stock    543162101      92      4,250            x                      0   4,250    0
London Pacific Group Ltd Sponsored Adr ADR             542073101     129      9,900            x                      0   9,900    0
Landauer Inc.                          Common Stock    51476K103       6        400            x                      0     400    0
Landry's Seafood Restaurants Inc.      Common Stock    51508L103       1        140            x                      0     140    0
Laidlaw Inc. New                       Common Stock    50730K503       4     10,050            x                      0  10,050    0
Lands End Incorporated                 Common Stock    515086106     538     16,130            x                      0  16,130    0
Lear Corp.                             Common Stock    521865105     108      5,400            x                      0   5,400    0
Lechters Corp                          Common Stock    523238103      56     43,650            x                      0  43,650    0
Lectec Corp                            Common Stock    523251106       5      2,000            x                      0   2,000    0
Lee Enterprises, Inc.                  Common Stock    523768109   1,266     54,295            x                      0  54,295    0
Leading Edge Earth Products            Common Stock    521706101       0      1,000            x                      0   1,000    0
Leggett & Platt Inc.                   Common Stock    524660107     958     58,035            x                      0  58,035    0
Lehman Brothers Holdings Inc           Common Stock    524908100   1,259     13,314            x                      0  13,314    0
Lennar Corp.                           Common Stock    526057104     431     21,280            x                      0  21,280    0
Concord Camera Corp. MA                Common Stock    206156101      50      2,400            x                      0   2,400    0
Dreyfus Strategic Municipal            Common Stock    261932107     153     19,101            x                      0  19,101    0
Lehman Brothers Holdings 8.3%          PFD QTR 30/360  524908308      57      2,400            x                      0   2,400    0
Lexicon Genetics Inc                   Common Stock    528872104     193      5,615            x                      0   5,615    0
Life Diagnostics Inc                   Common Stock    531943108       1      2,000            x                      0   2,000    0
Leeds Federal Bankshares Inc.          Common Stock    524226107       6        600            x                      0     600    0
Landamerica Financial Group            Common Stock    514936103      48      2,100            x                      0   2,100    0
Lifeminders Inc                        Common Stock    53220Q105      15        500            x                      0     500    0
Lifetime Products Inc.                 Common Stock    53220C106       0         32            x                      0      32    0
Littlefuse Inc.                        Common Stock    537008104       5        100            x                      0     100    0
Louisville Gas & Elec Co               PFD QTR 30/360  546676206       3        200            x                      0     200    0
Lagadere Groupe - Sponsored ADR        ADR             507069102     160      2,090            x                      0   2,090    0
LG & E Energy                          Common Stock    501917108     271     11,371            x                      0  11,371    0
Lions Gate Entmnt Corp Com New         Foreign Stock   535919203      50     21,600            x                      0  21,600    0
Legend Hldgs Ltd                       ADR             52465V100      52      2,700            x                      0   2,700    0
Ligand Pharmaceuticals Inc.            Common Stock    53220K207     135     10,261            x                      0  10,261    0
Largo Vista Group Ltd                  Common Stock    517104105       2      3,000            x                      0   3,000    0
Legato Systems Inc.                    Common Stock    524651106     328     21,710            x                      0  21,710    0
Laboratory Corp Amer Hldgs             Common Stock    50540R409     116      1,500            x                      0   1,500    0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
     FORM 13F      Name of Reporting Manager:                                                              Run Date: 07/17/2000
                                                 Legg Mason Wood Walker (IMS)                              -------------------------
                                               For Positions Held as of 06/30/2000                         S.E.C. Use Only

                                                                                                           -------------------------
                  Item 1:                 Item 2:      Item 3:  Item 4:    Item 5:           Item 6:       Item 7:    Item 8:
              Name of Issuer          Title of Class    CUSIP     Fair    Shares or  Investment Discretion  Other  Voting Authority
                                                                 Market   Principal  (a)     (b)     (c)     Mgrs      (Shares)
                                                                  Value      Amt.    Sole   Shared   Other         (a)   (b)    (c)
                                                                (X $1000)                                          Sole  Shared None

------------------------------------------------------------------------------------------------------------------------------------
<S>                                   <C>              <C>      <C>       <C>        <C>    <C>      <C>   <C>     <C>   <C>    <C>
Lasalle Hotel Properties SBI          Common Stock     517942108     681     47,373            x                      0  47,373    0
Lakehead Pipeline Partner - LP        Common Stock     511557100     394      9,830            x                      0   9,830    0
Lernout & Hauspie Speech Products N V Common Stock     B5628B104     192      4,354            x                      0   4,354    0
Lilly Industries Inc. - CL A          Common Stock     532491107      91      3,015            x                      0   3,015    0
Lifecell Corp                         Common Stock     531927101       8      1,200            x                      0   1,200    0
Lennox Intl Inc                       Common Stock     526107107      37      2,783            x                      0   2,783    0
Linens 'N Things, Inc                 Common Stock     535679104      52      1,910            x                      0   1,910    0
Lion Inc                              Common Stock     53620L102      42     90,000            x                      0  90,000    0
Lindsay Mfg Co                        Common Stock     535555106      14        724            x                      0     724    0
Long Island Ed Util Inc               Common Stock     542668306       0         70            x                      0      70    0
Litton Industries                     Common Stock     538021106      13        300            x                      0     300    0
Lithium Technology Corp               Common Stock     536808306       3      4,133            x                      0   4,133    0
Liz Claiborne, Incorporated           Common Stock     539320101     503     14,277            x                      0  14,277    0
Look Communications Inc               Common Stock     54341P109      41      8,512            x                      0   8,512    0
Lazare Kaplan Intl Inc                Common Stock     521078105      22      2,735            x                      0   2,735    0
L-3 Communications Hldings Inc        Common Stock     502424104      64      1,125            x                      0   1,125    0
Linear Technology Corp.               Common Stock     535678106   2,989     46,749            x                      0  46,749    0
Lilly (Eli) & Co.                     Common Stock     532457108  15,687    157,061            x                      0 157,061    0
Legg Mason, Inc.                      Common Stock     524901105  10,310    206,204            x                      0 206,204    0
AT&T Corp - Liberty Media - A         Common Stock     001957208   4,334    178,741            x                      0 178,741    0
Landmark Global Finl Corp             Foreign Stock    514934108       0         33            x                      0      33    0
Luminex Corp Del                      Common Stock     55027E102     125      3,000            x                      0   3,000    0
Lamson & Sessions Co.                 Common Stock     513696104     270     17,630            x                      0  17,630    0
Lockheed Martin Corp.                 Common Stock     539830109   1,682     67,798            x                      0  67,798    0
Lithia Motors Inc. - CL A             Common Stock     536797103       7        500            x                      0     500    0
Lonrho Africa Plc -Spon ADR           ADR              543376107       0        547            x                      0     547    0
Lincoln National Corp. Ind.           Common Stock     534187109   1,427     39,489            x                      0  39,489    0
Lincoln Nat'l Cap I 8.75% CUM         PFD QTR 30/360   534177209      97      4,000            x                      0   4,000    0
Lincoln National Capital III 7.40%    PFD QTR 30/360   53417P209      68      3,200            x                      0   3,200    0
Lance Inc.                            Common Stock     514606102      50      5,500            x                      0   5,500    0
Lincare Hldgs Inc.                    Common Stock     532791100     107      4,330            x                      0   4,330    0
Lanoptics Ltd                         Foreign Stock    M6706C103     375     27,805            x                      0  27,805    0
LNR Property Corp.                    Common Stock     501940100     427     21,880            x                      0  21,880    0
Alliant Corp.                         Common Stock     018802108   5,280    203,080            x                      0 203,080    0
L90 Inc                               Common Stock     539441105       8        800            x                      0     800    0
Lion Industries Usa Inc               Common Stock     536203102       0      3,000            x                      0   3,000    0
Va Linux Systems Inc                  Common Stock     91819B105     128      2,986            x                      0   2,986    0
Log On Amer Inc                       Common Stock     540473105      11      2,000            x                      0   2,000    0
Loch Harris Inc                       Common Stock     539578203       9     20,000            x                      0  20,000    0
Saf T Lok Inc                         Common Stock     78636P102       1      1,000            x                      0   1,000    0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
     FORM 13F      Name of Reporting Manager:                                                              Run Date: 07/17/2000
                                                 Legg Mason Wood Walker (IMS)                              -------------------------
                                               For Positions Held as of 06/30/2000                         S.E.C. Use Only

                                                                                                           -------------------------
                  Item 1:                  Item 2:     Item 3:  Item 4:    Item 5:           Item 6:       Item 7:    Item 8:
              Name of Issuer           Title of Class   CUSIP     Fair    Shares or  Investment Discretion  Other  Voting Authority
                                                                 Market   Principal  (a)     (b)     (c)     Mgrs      (Shares)
                                                                  Value      Amt.    Sole   Shared   Other         (a)   (b)    (c)
                                                                (X $1000)                                          Sole  Shared None

------------------------------------------------------------------------------------------------------------------------------------
<S>                                    <C>             <C>      <C>       <C>        <C>    <C>      <C>   <C>     <C>   <C>    <C>
Lodgian Inc.                           Common Stock    54021P106      38     15,440            x                      0  15,440    0
Logitech International S A             ADR             541419107     196      2,687            x                      0   2,687    0
Lo Jack Corp.                          Common Stock    539451104      14      2,000            x                      0   2,000    0
Lonmin PLC -Spon ADR                   ADR             54336Q104       6        547            x                      0     547    0
Lifeone Inc                            Common Stock    53219M107       0        299            x                      0     299    0
Looksmart Ltd                          Common Stock    543442107      24      1,300            x                      0   1,300    0
Loral Space & Communications           Common Stock    G56462107     268     38,690            x                      0  38,690    0
Loral Space & Communications           PFD QTR 30/360  G56462149       6        250            x                      0     250    0
Lorus Therapeutics Inc                 Common Stock    544191109       8      4,000            x                      0   4,000    0
Loudeye Technologies Inc               Common Stock    545754103      23      1,300            x                      0   1,300    0
Lowe's Companies, Inc.                 Common Stock    548661107   7,227    176,002            x                      0 176,002    0
Laser-Pacific Media Corp.              Common Stock    517923108       1        300            x                      0     300    0
Leisureplanet Hldgs Ltd                Foreign Stock   G54467108       7      2,000            x                      0   2,000    0
Entergy Louisiana Cap I Cuml           PFD QTR 30/360  29364A205       5        200            x                      0     200    0
Lifepoint Hospitals Inc.               Common Stock    53219L109      13        596            x                      0     596    0
Liveperson Inc                         Common Stock    538146101       3        400            x                      0     400    0
Lightpath Technologies Inc             Common Stock    532257102      80      2,000            x                      0   2,000    0
Laser Power Corp.                      Common Stock    51806K104       8      1,500            x                      0   1,500    0
Louisiana Pacific Corp.                Common Stock    546347105     102      9,410            x                      0   9,410    0
Quinenco SA Sponsored ADR              ADR             748718103       8        810            x                      0     810    0
Liquid Audio Inc                       Common Stock    53631T102     189     20,000            x                      0  20,000    0
Quilmes Industrial Quins - ADR         ADR             74838Y108      26      2,370            x                      0   2,370    0
Lanier Worldwide Inc                   Common Stock    51589L105       0        192            x                      0     192    0
LAM Research Corp.                     Common Stock    512807108      91      2,418            x                      0   2,418    0
Liberty Property Trust                 Common Stock    531172104     388     14,950            x                      0  14,950    0
Liberty Property Tr 8.80% Ser A Cum PF PFD QTR 30/360  531172203      50      2,400            x                      0   2,400    0
Lawrence Savings Bank                  Common Stock    520341108       4        600            x                      0     600    0
Lattice Semiconductor Corp.            Common Stock    518415104      37        540            x                      0     540    0
LaSalle Re Holdings Ltd.               Common Stock    G5383Q101      13        900            x                      0     900    0
LaSalle RE Holding LTD 8.75%           Preferred Stock G5383Q119      94      4,900            x                      0   4,900    0
LSI Logic Corp.                        Common Stock    502161102   1,484     27,418            x                      0  27,418    0
Lone Star Liquidating Trust            Common Stock    54229R102       0      3,120            x                      0   3,120    0
Loadmaster Systems Inc.                Common Stock    53945T103       0          5            x                      0       5    0
Lasmo PLC - Spon ADR                   ADR             501730204       1        200            x                      0     200    0
Lason Inc                              Common Stock    51808R107      13      5,000            x                      0   5,000    0
Lone Star Technologies Inc.            Common Stock    542312103      40        875            x                      0     875    0
Leasing Solutions, Inc.                Common Stock    522113109       0        500            x                      0     500    0
LTC Properties Inc.                    Common Stock    502175102      23      3,850            x                      0   3,850    0
Lets Talk Cellular & Wireless          Common Stock    527260103       5     30,000            x                      0  30,000    0
Limited Inc                            Common Stock    532716107     276     12,754            x                      0  12,754    0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
     FORM 13F      Name of Reporting Manager:                                                             Run Date: 07/17/2000
                                                 Legg Mason Wood Walker (IMS)                             --------------------------
                                               For Positions Held as of 06/30/2000                        S.E.C. Use Only

                                                                                                          --------------------------
                  Item 1:                  Item 2:     Item 3:  Item 4:    Item 5:          Item 6:       Item 7:    Item 8:
              Name of Issuer           Title of Class   CUSIP     Fair    Shares or Investment Discretion  Other  Voting Authority
                                                                 Market   Principal (a)     (b)     (c)     Mgrs      (Shares)
                                                                  Value      Amt.   Sole   Shared   Other        (a)   (b)      (c)
                                                                (X $1000)                                        Sole Shared   None

------------------------------------------------------------------------------------------------------------------------------------
<S>                                    <C>             <C>      <C>       <C>       <C>    <C>      <C>   <C>    <C>  <C>      <C>
Life Technologies Inc.                 Common Stock    532177201       5        100            x                    0       100   0
LTC Healthcare Inc.                    Common Stock    50217R104       0        202            x                    0       202   0
Loews Corp.                            Common Stock    540424108     571      9,515            x                    0     9,515   0
The LTV Corp. (New)                    Common Stock    501921100       1        200            x                    0       200   0
Learn2.com Inc                         Common Stock    522002104      26     13,200            x                    0    13,200   0
L T X Corp.                            Common Stock    502392103   1,112     31,840            x                    0    31,840   0
Lucent Technologies Inc.               Common Stock    549463107  60,231  1,016,550            x                    0 1,016,550   0
Lubys Cafeterias Inc.                  Common Stock    549282101       6        800            x                    0       800   0
Leucadia National                      Common Stock    527288104      95      4,150            x                    0     4,150   0
Lukoil Oil Co Sponsored ADR            ADR             677862104     220      4,294            x                    0     4,294   0
Lumenon Innov Lightwave Tech           Common Stock    55024L109       5        275            x                    0       275   0
Lunar Corp.                            Common Stock    550362107       3        200            x                    0       200   0
Southwest Airlines Co                  Common Stock    844741108   8,811    465,253            x                    0   465,253   0
Luxottica Group SPA Sponsored ADR      ADR             55068R202       6        500            x                    0       500   0
Steinway Musical Instruments           Common Stock    858495104      54      3,300            x                    0     3,300   0
Laser Vision Ctrs Inc                  Common Stock    51807H100      30      4,900            x                    0     4,900   0
Level 3 Communications Inc.            Common Stock    52729N100     702      7,980            x                    0     7,980   0
Leap Wireless International Inc.       Common Stock    521863100      73      1,560            x                    0     1,560   0
Loewen Group Inc.                      Common Stock    54042L100       4      7,000            x                    0     7,000   0
L S B Bancshares Inc.                  Common Stock    502158108      43      3,504            x                    0     3,504   0
Lexmark Intl Group Inc. CL A           Common Stock    529771107   1,484     22,065            x                    0    22,065   0
Lexington Corp.orate Properties Trust  Common Stock    529043101     190     17,000            x                    0    17,000   0
Luxtec Corp New                        Common Stock    550687305       0        100            x                    0       100   0
Lyondell Petrochemical Co              Common Stock    552078107       3        200            x                    0       200   0
LSI Industries Inc                     Common Stock    50216C108      39      2,581            x                    0     2,581   0
LYNX Therapeutics Inc.                 Common Stock    551812308      35        740            x                    0       740   0
Lubrizol Corp.                         Common Stock    549271104     486     23,162            x                    0    23,162   0
Md Healthshares Corp Tr Pfd Vtg Stk    Common Stock    55268Q202       0          1            x                    0         1   0
Md Healthshares Corp Tr Pfd Vtg Stk    Common Stock    55268Q301       0        500            x                    0       500   0
Medquist Inc. Tender Offer             Common Stock    584949994     303      5,935            x                    0     5,935   0
Mississippi Central Railroad Co.       Common Stock    605281104       0          4            x                    0         4   0
Mid-America Apartment Communities, Inc Common Stock    59522J103      14        564            x                    0       564   0
Mid-amer Apt Cmntys Inc                PFD P12 30/360  59522J202      20      1,000            x                    0     1,000   0
Mid-America Apartment Communities 9.37 PFD QTR 30/360  59522J400       7        400            x                    0       400   0
American Biogenetics Sciences          Common Stock    024611105      16      9,800            x                    0     9,800   0
Macerich Co                            Common Stock    554382101      24      1,100            x                    0     1,100   0
Macromedia Inc.                        Common Stock    556100105     734      7,595            x                    0     7,595   0
Madge Networks N.V.                    Foreign Stock   N5424G106       9      2,000            x                    0     2,000   0
Miramar Mining Corp.                   Foreign Stock   60466E100       7     10,000            x                    0    10,000   0
Municipal Advantage Fund Inc.          Common Stock    626189104      50      4,500            x                    0     4,500   0
</TABLE>
<PAGE>
<TABLE>
<CAPTION>
     FORM 13F      Name of Reporting Manager:                                                           Run Date: 07/17/2000
                                                 Legg Mason Wood Walker (IMS)                           ----------------------------
                                               For Positions Held as of 06/30/2000                      S.E.C. Use Only

                                                                                                        ----------------------------
         Item 1:                   Item 2:        Item 3:    Item 4:    Item 5:           Item 6:       Item 7:      Item 8:
      Name of Issuer            Title of Class     CUSIP      Fair    Shares or  Investment Discretion   Other   Voting Authority
                                                              Market   Principal  (a)     (b)     (c)    Mgrs       (Shares)
                                                              Value      Amt.    Sole   Shared   Other          (a)    (b)    (c)
                                                            (X $1000)                                           Sole   Shared None

------------------------------------------------------------------------------------------------------------------------------------
<S>                             <C>              <C>        <C>       <C>        <C>    <C>      <C>    <C>     <C>    <C>    <C>
MAF Bancorp                      Common Stock    55261R108       14          766           x                       0      766    0
Magnetek Inc.                    Common Stock    559424106       28        3,500           x                       0    3,500    0
Mcnaughton Apparel Group Inc     Common Stock    582524104       11        1,025           x                       0    1,025    0
Hanna M A CO                     Common Stock    410522106        5          515           x                       0      515    0
Mail.Com Inc. Cl A               Common Stock    560311102       50        8,850           x                       0    8,850    0
Malan Rlty Invs Inc              Common Stock    561063108       98        7,000           x                       0    7,000    0
Medical Asset Mgmt Inc           Common Stock    58449R107        0        3,100           x                       0    3,100    0
Manpower Inc.                    Common Stock    56418H100      192        5,990           x                       0    5,990    0
Manugistics Group                Common Stock    565011103      126        2,690           x                       0    2,690    0
Maine Public Service Co          Common Stock    560483109        4          200           x                       0      200    0
Mapinfo Corp                     Common Stock    565105103       79        1,950           x                       0    1,950    0
Mapics Inc.                      Common Stock    564910107        7        1,200           x                       0    1,200    0
Marriott International Cl A      Common Stock    571903202      605       16,782           x                       0   16,782    0
Marion Cap Hldgs Inc             Common Stock    568635106       19          900           x                       0      900    0
Marubeni Corp                    ADR             573810207        4          120           x                       0      120    0
Masco Corp.                      Common Stock    574599106      668       36,992           x                       0   36,992    0
Massbank Corp.                   Common Stock    576152102       17          620           x                       0      620    0
Marks & Spencer Ltd Sponsored    ADR             570697607    3,709      176,001           x                       0  176,001    0
Mattel Inc.                      Common Stock    577081102    1,867      141,554           x                       0  141,554    0
Mathsoft Inc.                    Common Stock    576798102        3        1,000           x                       0    1,000    0
Martek Biosciences Corp.         Common Stock    572901106       15          800           x                       0      800    0
Matria Healthcare Inc.           Common Stock    576817100       21        4,533           x                       0    4,533    0
Matthews International Corp.     Common Stock    577128101        4          130           x                       0      130    0
Matrix Pharmaceutical            Common Stock    576844104       72        5,500           x                       0    5,500    0
Mari LTD ADR                     ADR             573814308      264        6,881           x                       0    6,881    0
Maverick Tube Corp.              Common Stock    577914104       29        1,000           x                       0    1,000    0
Maxon Industries Inc.            Common Stock    577725104        0           27           x                       0       27    0
May Department Stores            Common Stock    577778103    2,031       84,631           x                       0   84,631    0
Molecular Biosystems Inc.        Common Stock    608513107        0           30           x                       0       30    0
MBF Holdings BHD - Spons ADR     ADR             552980104        0          435           x                       0      435    0
Mandalay Resort Group            Common Stock    562567107    1,021       51,053           x                       0   51,053    0
MBIA, Inc.                       Common Stock    55262C100      409        8,484           x                       0    8,484    0
Bank of Tokyo - Mitsubishi ADR   ADR             065379109      391       32,274           x                       0   32,274    0
Mobilemedia Corp.                Common Stock    607415106        0        3,350           x                       0    3,350    0
Main Street Bancorp Inc          Common Stock    559906102       55        6,197           x                       0    6,197    0
MB Software Corp                 Common Stock    552635104        0           33           x                       0       33    0
Matsushita Elec Ind              ADR             576879209    4,564       17,759           x                       0   17,759    0
Mcafee Com Corp                  Common Stock    579062100      119        4,565           x                       0    4,565    0
Metrocorp Banchares Inc.         Common Stock    591650106      136       19,850           x                       0   19,850    0
Midcom Communications Inc        Common Stock    59563X102        0        1,500           x                       0    1,500    0
</TABLE>



<PAGE>
<TABLE>
<CAPTION>
     FORM 13F      Name of Reporting Manager:                                                              Run Date: 07/17/2000
                                                 Legg Mason Wood Walker (IMS)                              -------------------------
                                               For Positions Held as of 06/30/2000                         S.E.C. Use Only

                                                                                                           -------------------------
                  Item 1:                 Item 2:      Item 3:  Item 4:    Item 5:           Item 6:       Item 7:    Item 8:
              Name of Issuer          Title of Class    CUSIP     Fair    Shares or  Investment Discretion  Other  Voting Authority
                                                                 Market   Principal  (a)     (b)     (c)     Mgrs      (Shares)
                                                                  Value      Amt.    Sole   Shared   Other         (a)   (b)    (c)
                                                                (X $1000)                                          Sole  Shared None

------------------------------------------------------------------------------------------------------------------------------------
<S>                                   <C>             <C>       <C>       <C>        <C>    <C>      <C>   <C>     <C>   <C>    <C>
Monaco Coach Corp                     Common Stock    60886R103      15      1,125            x                      0    1,125    0
McDonalds Corp.                       Common Stock    580135101   9,221    279,942            x                      0  279,942    0
Monarch Cem Co                        Common Stock    609031109      14        800            x                      0      800    0
Millenium Chemicals Inc.              Common Stock    599903101      92      5,440            x                      0    5,440    0
Macrohem Corp. - Delaware             Common Stock    555903103       2        500            x                      0      500    0
Microchip Technology Inc.             Common Stock    595017104      51        876            x                      0      876    0
Massmutual Corporate Investors Inc.   Common Stock    576292106      57      2,800            x                      0    2,800    0
MCI Capital I 8.00% Cum PFD Ser A     PFD QTR 30/360  55267Y206     494     21,190            x                      0   21,190    0
McDonald's Corp. 7.5% Sub Def         Preferred Stock 580135887     354     15,250            x                      0   15,250    0
McKesson HBOC Inc.                    Common Stock    58155Q103   2,794    133,461            x                      0  133,461    0
Moore Ltd                             Common Stock    615785102       2        600            x                      0      600    0
McLeodusa Inc. - CL A                 Common Stock    582266102     752     36,358            x                      0   36,358    0
Metrocall, Inc.                       Common Stock    591647102      55      6,100            x                      0    6,100    0
M C N Corp.                           Common Stock    55267J100      88      4,108            x                      0    4,108    0
MCN Michigan LP 9.375% Cum PFD Ser A  PFDMthly 30/360 55268M201     931     37,600            x                      0   37,600    0
MCN Financing II - Tr 8.625% Pfd      PFD QTR 30/360  55270G200       5        200            x                      0      200    0
Mediconsult.Com Inc                   Common Stock    58469J100      15     10,110            x                      0   10,110    0
Metricom Inc.                         Common Stock    591596101      35      1,250            x                      0    1,250    0
Marconi PLC-Unsponsored ADR           ADR             566306106       3        235            x                      0      235    0
MFS Charter Income Trust              Common Stock    552727109     278     32,275            x                      0   32,275    0
Metacreations Corp.                   Common Stock    591016100      28      2,300            x                      0    2,300    0
Micrel Inc.                           Common Stock    594793101      28        650            x                      0      650    0
Micros Systems Inc.                   Common Stock    594901100     318     17,125            x                      0   17,125    0
Marcus Corp.                          Common Stock    566330106      28      2,300            x                      0    2,300    0
MCSI Inc                              Common Stock    55270M108       3        100            x                      0      100    0
Monsanto Co 6.5% Pfd                  PFD QTR 30/360  611662305      20        450            x                      0      450    0
McDonalds Corp. 7.5% Sub Defer        Preferred Stock 580135804      51      2,200            x                      0    2,200    0
MC Shippiing                          Common Stock    55267Q104       1      1,300            x                      0    1,300    0
Mercury General Corp.                 Common Stock    589400100      50      2,100            x                      0    2,100    0
Mortgage Com Inc                      Common Stock    61910V102       5      3,000            x                      0    3,000    0
Media 100 Inc                         Common Stock    58440W105      52      2,000            x                      0    2,000    0
Meridian Gold Inc.                    Common Stock    589975101       3        500            x                      0      500    0
Medicore Inc                          Common Stock    584931109       3      1,500            x                      0    1,500    0
Medicalogic Inc                       Common Stock    584642102       6        650            x                      0      650    0
Meredith Corp.                        Common Stock    589433101     142      4,200            x                      0    4,200    0
McDermott International Inc.          Common Stock    580037109     129     14,600            x                      0   14,600    0
Allscripts Inc                        Common Stock    019886100       3        150            x                      0      150    0
Midas Inc.                            Common Stock    595626102       1         45            x                      0       45    0
Mediscience Technology                Common Stock    585901101       5     20,000            x                      0   20,000    0
Madison Gas & Elec Co                 Common Stock    557497104     805     40,775            x                      0   40,775    0
</TABLE>
<PAGE>
<TABLE>
<CAPTION>
     FORM 13F      Name of Reporting Manager:                                                               Run Date: 07/17/2000
                                                 Legg Mason Wood Walker (IMS)                               ------------------------
                                               For Positions Held as of 06/30/2000                          S.E.C. Use Only

                                                                                                            ------------------------
                  Item 1:                 Item 2:      Item 3:   Item 4:    Item 5:          Item 6:        Item 7:     Item 8:
              Name of Issuer          Title of Class    CUSIP      Fair    Shares or  Investment Discretion  Other  Voting Authority
                                                                  Market   Principal  (a)     (b)     (c)     Mgrs      (Shares)
                                                                  Value      Amt.    Sole   Shared   Other         (a)   (b)    (c)
                                                                 (X $1000)                                         Sole Shared None

------------------------------------------------------------------------------------------------------------------------------------
<S>                                    <C>             <C>       <C>       <C>       <C>    <C>      <C>    <C>    <C>  <C>    <C>
Medtronic Inc.                         Common Stock    585055106   17,175   344,780            x                    0   344,780   0
Mdu Communications Intl In             Common Stock    582828109        3     1,000            x                    0     1,000   0
M D U Resources Group, Inc.            Common Stock    552690109       44     2,025            x                    0     2,025   0
Medwave Inc                            Common Stock    585081102       14     2,000            x                    0     2,000   0
Midway Airlines Corp.                  Common Stock    598126100        8     1,500            x                    0     1,500   0
Standard & Poors Midcap 400            Common Stock    595635103      530     5,975            x                    0     5,975   0
Mission Capital LP 8.5% Cum
 Monthly                               PFD QTR 30/360  605034305       10       400            x                    0       400   0
Mission Cap L P                        PFD P12 30/360  605034206      613    24,400            x                    0    24,400   0
Mead Corp.                             Common Stock    582834107      456    18,053            x                    0    18,053   0
Medical Advisory Systems Inc.          Common Stock    58449P101      136    12,968            x                    0    12,968   0
Midamerican Energy Financing I
 Quips                                 PFD QTR 30/360  59562U208      134     5,700            x                    0     5,700   0
Medimmune Inc.                         Common Stock    584699102    5,827    78,743            x                    0    78,743   0
Medplus Inc Ohio                       Common Stock    58504P103        1       166            x                    0       166   0
Medquist Inc                           Common Stock    584949101       29       861            x                    0       861   0
Medarex Inc                            Common Stock    583916101       42       500            x                    0       500   0
Medical Dynamics Inc                   Common Stock    584900401        0        80            x                    0        80   0
Media General Inc. Class A             Common Stock    584404107      180     3,701            x                    0     3,701   0
Mellon Finl Corp                       Common Stock    58551A108    4,082   112,026            x                    0   112,026   0
Merrill Lynch & Co Inc                 Common Stock    590188694       28     2,000            x                    0     2,000   0
Memorex Telex N V New                  ADR             586014102        0       282            x                    0       282   0
Mentor Graphics Corp.                  Common Stock    587200106       22     1,125            x                    0     1,125   0
Merrill Lynch & Co., Inc.              Common Stock    590188108    8,628    75,029            x                    0    75,029   0
Merrill Lynch & Co 9% Cum Pfd          Preferred Stock 590188819        3       100            x                    0       100   0
Merril Lynch PFD Cap Tr I-7.75%        PFD QTR 30/360  589977206        7       300            x                    0       300   0
Merrill Lynch Capt Trust II            Preferred Stock 59021C203       53     2,200            x                    0     2,200   0
Manila Elec Co Spon Adr                ADR             563245208        2     1,660            x                    0     1,660   0
Mercer Intl Inc. SBI New               Common Stock    588056101        2       300            x                    0       300   0
Merrill Lynch Capital Tr III 7%
 Trust                                 PFD QTR 30/360  59021F206       70     3,400            x                    0     3,400   0
Mercury Interactive Corp               Common Stock    589405109    1,520    15,710            x                    0    15,710   0
Merix Corporation                      Common Stock    590049102       15       310            x                    0       310   0
MessageMedia, Inc.                     Common Stock    590787107       26     7,290            x                    0     7,290   0
Metlife Inc                            Common Stock    59156R108      118     5,600            x                    0     5,600   0
Metatec Corp.                          Common Stock    591398102      757   237,500            x                    0   237,500   0
Meta Group Inc.                        Common Stock    591002100      173     9,000            x                    0     9,000   0
Method Electronics Class A             Common Stock    591520200      732    18,955            x                    0    18,955   0
Malaysa Fund Inc.                      Common Stock    560905101       99    20,500            x                    0    20,500   0
America First Mortgage Invst           Common Stock    023934102       17     3,300            x                    0     3,300   0
Manulife Finl Corp                     Common Stock    56501R106    1,237    69,430            x                    0    69,430   0
Microwave Filter Co Inc                Common Stock    595176108        3     1,000            x                    0     1,000   0
Milton Federal Financial Corp          Common Stock    601795107        4       350            x                    0       350   0
</TABLE>

<PAGE>
<TABLE>
<CAPTION>
  FORM 13F      Name of Reporting Manager:                                                                 Run Date: 07/17/2000
                                              Legg Mason Wood Walker (IMS)                                 -------------------------
                                            For Positions Held as of 06/30/2000                            S.E.C. Use Only

                                                                                                           -------------------------
               Item 1:                   Item 2:      Item 3:    Item 4:   Item 5:           Item 6:       Item 7:    Item 8:
           Name of Issuer            Title of Class    CUSIP       Fair   Shares or  Investment Discretion  Other  Voting Authority
                                                                  Market  Principal  (a)     (b)     (c)     Mgrs      (Shares)
                                                                   Value     Amt.    Sole   Shared   Other         (a)   (b)    (c)
                                                                 (X $1000)                                         Sole  Shared None

------------------------------------------------------------------------------------------------------------------------------------
<S>                                    <C>            <C>        <C>      <C>        <C>    <C>      <C>   <C>     <C>   <C>    <C>
Microfinancial Inc                     Common Stock   595072109       15     1,500            x                       0   1,500   0
Moldflow Corp                          Common Stock   608507109        2       100            x                       0     100   0
MFS Municipal Income Tr                Common Stock   552738106      107    14,200            x                       0  14,200   0
MFN Finl Corp.                         Common Stock   55272N104        0         8            x                       0       8   0
Metromedia Fiber Network Inc. Cl A     Common Stock   591689104    2,042    51,453            x                       0  51,453   0
M & F Worldwide Corp.                  Common Stock   552541104        3       513            x                       0     513   0
Magna International Inc.               Foreign Stock  559222401      257     5,446            x                       0   5,446   0
Magna Intl Inc                         PFD QTR 30/360 559222609       21       900            x                       0     900   0
Morgan Stanley Global Oppty Bd         Common Stock   61744R103       17     2,000            x                       0   2,000   0
Mingo Bay Beverages Inc                Common Stock   603495102        0     3,000            x                       0   3,000   0
Morgan Grenfell Smallcap Fund Inc.     Common Stock   617357108      447    33,926            x                       0  33,926   0
MGC Communications Inc.                Common Stock   552763302      784    13,080            x                       0  13,080   0
Michelin S A, Cie Generale Des         Foreign Stock  F61824144      198     6,140            x                       0   6,140   0
MFS Government Markets Income          Common Stock   552939100      254    41,529            x                       0  41,529   0
MGM Grand Inc.                         Common Stock   552953101        4       140            x                       0     140   0
MGI Properties                         Common Stock   552885105        1       500            x                       0     500   0
Magic Software Enterprises Ltd         Foreign Stock  559166103       13     1,175            x                       0   1,175   0
Magellan Health Services Inc.          Common Stock   559079108        1       800            x                       0     800   0
Misty Mountain Gold Ltd                Common Stock   60650E205        0       100            x                       0     100   0
Metro Goldwyn Mayer Inc.               Common Stock   591610100        2        80            x                       0      80   0
Metro Global Media Inc.                Common Stock   591917109        0       600            x                       0     600   0
Manufactured Home Communities          Common Stock   564682102       11       450            x                       0     450   0
Municipal High Income Fund Inc.        Common Stock   626214100       60     7,790            x                       0   7,790   0
Morrison Mgmt Specialists              Common Stock   618459101        3       110            x                       0     110   0
Mohawk Industries                      Common Stock   608190104       60     2,750            x                       0   2,750   0
M/I Schottenstein Homes Inc            Common Stock   55305B101        5       300            x                       0     300   0
McGraw-Hill Companies Inc.             Common Stock   580645109    1,471    27,234            x                       0  27,234   0
Manhattan Scientifics Inc              Common Stock   563122100        2     1,000            x                       0   1,000   0
Miix Group Inc                         Common Stock   59862V104       13     1,116            x                       0   1,116   0
Mitsubishi Heavy Industries Ltd        Foreign Stock  J44002129      395    89,000            x                       0  89,000   0
Meristar Hospitality Corp              Common Stock   58984Y103    3,124   148,746            x                       0 148,746   0
Managed High Income Portfolio          Common Stock   56166C105       34     4,000            x                       0   4,000   0
Marshall & Ilsley Corp.                Common Stock   571834100       14       345            x                       0     345   0
Micro Age                              Common Stock   594928103        1     5,000            x                       0   5,000   0
Microfield Graphics                    Common Stock   59506W104        0       100            x                       0     100   0
Microcell Telecommunications Inc.-CL B Foreign Stock  59501T304       21       569            x                       0     569   0
Magna Entertainment Corp Cl A          Common Stock   559211107        0        40            x                       0      40   0
Mitsubishi Electric Corp. ADR          Foreign Stock  606776201      807     7,435            x                       0   7,435   0
Migratec Inc                           Common Stock   598622108        4     2,500            x                       0   2,500   0
Mcglen Internet Group Inc              Common Stock   580578102        1     1,000            x                       0   1,000   0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
 FORM 13F      Name of Reporting Manager:                                                              Run Date: 07/17/2000
                                             Legg Mason Wood Walker (IMS)                              -----------------------------
                                           For Positions Held as of 06/30/2000                         S.E.C. Use Only

                                                                                                       -----------------------------
           Item 1:                 Item 2:        Item 3:   Item 4:    Item 5:           Item 6:       Item 7:     Item 8:
       Name of Issuer           Title of Class     CUSIP     Fair    Shares or  Investment Discretion  Other   Voting Authority
                                                             Market   Principal  (a)     (b)     (c)     Mgrs      (Shares)
                                                             Value      Amt.    Sole   Shared   Other         (a)   (b)    (c)
                                                           (X $1000)                                          Sole  Shared None

------------------------------------------------------------------------------------------------------------------------------------
<S>                             <C>              <C>       <C>       <C>        <C>    <C>      <C>    <C>    <C>   <C>    <C>
Michaels Stores Inc.             Common Stock    594087108     117      2,550             x                    0     2,550   0
Millipore Corp.                  Common Stock    601073109   1,454     19,284             x                    0    19,284   0
Mitcham Industries Inc           Common Stock    606501104       3        500             x                    0       500   0
Mobile Mini Inc.                 Common Stock    60740F105      30      1,350             x                    0     1,350   0
Miniscribe Corp.                 Common Stock    603669102       0        300             x                    0       300   0
MIPS Technologies Inc            Common Stock    604567107      21        500             x                    0       500   0
MIPS Technologies Inc Cl B       Common Stock    604567206      49      1,276             x                    0     1,276   0
Metlife Inc                      Common Stock    59156R207      15        210             x                    0       210   0
Morrison Knudsen Corp.           Common Stock    61844A109      65      8,900             x                    0     8,900   0
McCormick & Co.                  Common Stock    579780206     407     12,517             x                    0    12,517   0
Mallinckrodt Inc.                Common Stock    561232109     237      5,450             x                    0     5,450   0
Mallinckrodt Inc. 4% Pfd         PFD QTR 30/360  561232208      14        200             x                    0       200   0
Mks Instrument Inc               Common Stock    55306N104       8        200             x                    0       200   0
Marketing Specialists Corp       Common Stock    57060R107       8      4,500             x                    0     4,500   0
Makita Corp. Spon ADR            ADR             560877300      18      1,955             x                    0     1,955   0
Maketcentral.Net Corp            Common Stock    57059T106      12      4,840             x                    0     4,840   0
Marketwatch.com Inc.             Common Stock    570619106       3        160             x                    0       160   0
Mechanical Technology            Common Stock    583538103      32      2,154             x                    0     2,154   0
Miller Herman Inc.               Common Stock    600544100      64      2,485             x                    0     2,485   0
Mueller Inds Inc.                Common Stock    624756102     426     15,215             x                    0    15,215   0
Matlak Systems Inc.              Common Stock    576901102       0        127             x                    0       127   0
Martin Marietta Materials        Common Stock    573284106     895     22,135             x                    0    22,135   0
Microleague Multimedia Inc       Common Stock    59507T100       0      1,000             x                    0     1,000   0
Millenium Pharmaceuticals        Common Stock    599902103   1,961     17,530             x                    0    17,530   0
Microlog Corp.                   Common Stock    595079104      24     15,064             x                    0    15,064   0
Miller Industries Inc.           Common Stock    600551105       7      3,700             x                    0     3,700   0
The Mills Corp.                  Common Stock    601148109     682     36,245             x                    0    36,245   0
Merlin Software Tech Intl Inc    Common Stock    59011Y108       2      1,000             x                    0     1,000   0
Molten Metal Technology          Common Stock    608712105       0        100             x                    0       100   0
Multex Com Inc                   Common Stock    625367107      63      2,500             x                    0     2,500   0
Mutual Risk Mgmt LTD             Common Stock    628351108     245     14,150             x                    0    14,150   0
Municipal Mortgage & Equity      Common Stock    62624B101   1,154     57,320             x                    0    57,320   0
Marsh & McLennan Cos Inc         Common Stock    571748102   9,260     88,669             x                    0    88,669   0
Mid Atlantic Med Services Inc.   Common Stock    59523C107     485     35,959             x                    0    35,959   0
Mitsui Marine & Fire ADR         ADR             606839207     106      2,200             x                    0     2,200   0
Metromedia Intl Group Inc.       Common Stock    591695101      10      2,178             x                    0     2,178   0
Medical Manager Corp. New        Common Stock    58461U103      11        331             x                    0       331   0
Meristar Hotels & Resorts Inc.   Common Stock    589988104      63     21,898             x                    0    21,898   0
Minnesota Mining &
 Manufacturing Co.               Common Stock    604059105   5,889     71,387             x                    0    71,387   0
Mineral Mountain Mining          Common Stock    602873101       0        500             x                    0       500   0
</TABLE>



<PAGE>

<TABLE>
<CAPTION>
     FORM 13F      Name of Reporting Manager:                                                              Run Date: 07/17/2000
                                                 Legg Mason Wood Walker (IMS)                              -------------------------
                                               For Positions Held as of 06/30/2000                         S.E.C. Use Only

                                                                                                           -------------------------
                  Item 1:                 Item 2:      Item 3:  Item 4:    Item 5:           Item 6:       Item 7:    Item 8:
              Name of Issuer          Title of Class    CUSIP     Fair    Shares or  Investment Discretion  Other  Voting Authority
                                                                 Market   Principal  (a)     (b)     (c)     Mgrs      (Shares)
                                                                  Value      Amt.    Sole   Shared   Other         (a)   (b)    (c)
                                                                (X $1000)                                          Sole  Shared None

------------------------------------------------------------------------------------------------------------------------------------
<S>                                   <C>              <C>      <C>       <C>        <C>    <C>      <C>   <C>    <C>  <C>      <C>
Maxim Pharmaceuticals Inc             Common Stock     57772M107     419      8,150            x                      0   8,150    0
Modem Media Poppe Tyson Inc. Cl A     Common Stock     607533106       6        500            x                      0     500    0
McMoran Exploration Co                Common Stock     582411104       3        173            x                      0     173    0
Maximus Inc.                          Common Stock     577933104     204      9,240            x                      0   9,240    0
MFS Multimarket Income Trust          Common Stock     552737108      84     13,553            x                      0  13,553    0
Micromem Technologies                 Foreign Stock    59509P106       1        200            x                      0     200    0
Momentum Business Applications Inc.   Common Stock     60877P108       1        137            x                      0     137    0
Managed Municipals Portfolio Inc.     Common Stock     561662107     265     26,668            x                      0  26,668    0
Minebea Co Ltd.                       Common Stock     602725301       3        110            x                      0     110    0
Mitchell Energy & Dev Corp.  CL A     Common Stock     606592202     222      6,925            x                      0   6,925    0
Mine Safety Appliances Co             Common Stock     602720104      29      1,200            x                      0   1,200    0
McClatchy Newspapers Inc.  CL A       Common Stock     579489105     797     24,050            x                      0  24,050    0
Minimed Inc                           Common Stock     60365K108     117        990            x                      0     990    0
Mannesmann AG Sponsored ADR           ADR              563775303       2          7            x                      0       7    0
Municipal Partners Fund Inc.          Common Stock     62622C101      41      3,500            x                      0   3,500    0
Montedison Spa-Sponsored              ADR              612376509      42      2,340            x                      0   2,340    0
Mony Group Inc.                       Common Stock     615337102      19        575            x                      0     575    0
Philip Morris Companies Inc.          Common Stock     718154107   8,073    303,927            x                      0 303,927    0
Modine Manufacturing Co               Common Stock     607828100      14        500            x                      0     500    0
Moog Inc.                             Common Stock     615394202       4        160            x                      0     160    0
MGI Pharma Inc.                       Common Stock     552880106      43      1,500            x                      0   1,500    0
Molex Inc.                            Common Stock     608554101     195      4,053            x                      0   4,053    0
Molex Inc. Cl A                       Common Stock     608554200      41      1,161            x                      0   1,161    0
Worldwide Petrolmoly Inc.             Common Stock     98159L106       2      8,000            x                      0   8,000    0
Monaco Finance Inc Cl A               Common Stock     608868303       0        100            x                      0     100    0
Robert Mondavi Corp. Cl A             Common Stock     609200100      21        700            x                      0     700    0
Matrixone Inc                         Common Stock     57685P304      61      1,500            x                      0   1,500    0
Chadmore Wireless Group Inc.          Common Stock     157259102      19     25,500            x                      0  25,500    0
Morgan Keegan Inc.                    Common Stock     617410105      58      3,900            x                      0   3,900    0
Mesa Offshore Tr                      Common Stock     590650107       0        100            x                      0     100    0
Motorola Inc.                         Common Stock     620076109  13,583    467,366            x                      0 467,366    0
Motorola Capital Trust I 6.68% Pfd    PFD QTR 30/360   620074203     121      5,800            x                      0   5,800    0
Moto Photo Inc                        Common Stock     619821101       2      1,900            x                      0   1,900    0
Microwave Power Divices Inc.          Common Stock     59517M103       3        500            x                      0     500    0
Minnesota Pwr & Light                 Common Stock     604110106      98      5,650            x                      0   5,650    0
MP&L Capital I 8.05% Cum Qrtly        PFD QTR 30/360   553134206      67      3,000            x                      0   3,000    0
Mediaplex Inc                         Common Stock     58446B105       2        100            x                      0     100    0
Monongahela Power Co                  Preferred Stock  610202400       3         50            x                      0      50    0
Mp3 Com Inc                           Common Stock     62473M109       9        700            x                      0     700    0
Modis Professional Services           Common Stock     607830106     126     16,492            x                      0  16,492    0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
     FORM 13F      Name of Reporting Manager:                                                              Run Date: 07/17/2000
                                                 Legg Mason Wood Walker (IMS)                              -------------------------
                                               For Positions Held as of 06/30/2000                         S.E.C. Use Only

                                                                                                           -------------------------
                  Item 1:                  Item 2:     Item 3:  Item 4:    Item 5:           Item 6:       Item 7:    Item 8:
              Name of Issuer           Title of Class   CUSIP     Fair    Shares or  Investment Discretion  Other  Voting Authority
                                                                 Market   Principal  (a)     (b)     (c)     Mgrs      (Shares)
                                                                  Value      Amt.    Sole   Shared   Other         (a)   (b)    (c)
                                                                (X $1000)                                          Sole  Shared None

------------------------------------------------------------------------------------------------------------------------------------
<S>                                    <C>             <C>      <C>       <C>        <C>    <C>      <C>   <C>     <C>  <C>     <C>
Mapquest Com Inc                       Common Stock    565644101       4        250            x                      0     250    0
Muniyield Quality Fund Inc.            Common Stock    626302103      37      3,048            x                      0   3,048    0
Meritor Automotive, Inc.               Common Stock    59000G100      16      1,415            x                      0   1,415    0
Marimba Inc                            Common Stock    56781Q109     167     12,000            x                      0  12,000    0
Mercantile Bankshares Corp.            Common Stock    587405101   1,640     55,006            x                      0  55,006    0
Marchfirst Inc                         Common Stock    566244109     567     31,075            x                      0  31,075    0
Mercury Computer Systems Inc.          Common Stock    589378108       8        250            x                      0     250    0
Macdermid Ind                          Common Stock    554273102      28      1,200            x                      0   1,200    0
Medical Device Technologies            Common Stock    60461S104       0         23            x                      0      23    0
Merck & Co., Inc.                      Common Stock    589331107  66,318    865,493            x                      0 865,493    0
Marine Drilling Companies, Inc.        Common Stock    568240204      18        650            x                      0     650    0
USX Marathon Group                     Common Stock    902905827   1,014     40,448            x                      0  40,448    0
Marquette Savings Bank - Wisc          Common Stock    571604107      72      6,225            x                      0   6,225    0
Mid Atlantic Realty Trust              Common Stock    595232109   1,506    150,598            x                      0 150,598    0
Midcoast Energy Resources              Common Stock    59563W104     179     11,395            x                      0  11,395    0
Marisa Christina Inc.                  Common Stock    570268102       9      5,000            x                      0   5,000    0
Mrs Technology Inc                     Common Stock    553476102       0        300            x                      0     300    0
Marvel Entertainment Group             Common Stock    573913100       0      1,850            x                      0   1,850    0
MRV Communications, Inc.               Common Stock    553477100     760     11,305            x                      0  11,305    0
Marvell Technology Group Ltd           Common Stock    G5876H105       2         33            x                      0      33    0
Miravant Medical Technology            Common Stock    604690107      22      1,000            x                      0   1,000    0
Medicis Pharmaceutical Cl A            Common Stock    584690309      66      1,155            x                      0   1,155    0
Merry Land Properties Inc              Common Stock    590441101       0         78            x                      0      78    0
Mesabi Trust                           Common Stock    590672101       0         50            x                      0      50    0
Material Sciences Corp.                Common Stock    576674105      32      3,150            x                      0   3,150    0
Microsemi Corp.                        Common Stock    595137100     137      4,025            x                      0   4,025    0
Mason Dixon Cap Tr Ii Pfd Secs%        PFD QTR 30/360  57520G204      10        545            x                      0     545    0
Morgan Stanley Finance PLC 8.40% Cap U PFD QTR 30/360  616906608      92      3,750            x                      0   3,750    0
Merisel Inc.                           Common Stock    589849108       1      1,000            x                      0   1,000    0
Morgan Stanley Emerging Mkts Fund      MutualFdEqClose 61744G107       8        500            x                      0     500    0
Microsoft Corp.                        Common Stock    594918104  71,078    888,471            x                      0 888,471    0
Marketing Services Group Inc           Common Stock    570907105      28      6,250            x                      0   6,250    0
Msh Entmt Corp                         Common Stock    553574104       1     11,600            x                      0  11,600    0
Msi Holdings Inc                       Common Stock    553654104       7        800            x                      0     800    0
Metasolv Software Inc                  Common Stock    591393103   1,440     32,725            x                      0  32,725    0
MSC Industrial Direct Co. Inc. - Cl A  Common Stock    553530106       2        105            x                      0     105    0
Martha Stewart Living Omnimed          Common Stock    573083102      18        820            x                      0     820    0
Microstrategy Inc.                     Common Stock    594972101     611     20,365            x                      0  20,365    0
Mission West Pptys Inc                 Common Stock    605203108      32      3,000            x                      0   3,000    0
Morgan Stanley High Yield Fund Inc.    MutualFdFiClose 61744M104      12      1,000            x                      0   1,000    0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
     FORM 13F      Name of Reporting Manager:                                                               Run Date: 07/17/2000
                                                 Legg Mason Wood Walker (IMS)                               ------------------------
                                               For Positions Held as of 06/30/2000                          S.E.C. Use Only

                                                                                                            ------------------------
                  Item 1:               Item 2:       Item 3:     Item 4:   Item 5:           Item 6:       Item 7:     Item 8:
              Name of Issuer        Title of Class     CUSIP       Fair    Shares or  Investment Discretion  Other  Voting Authority
                                                                  Market   Principal  (a)     (b)      (c)    Mgrs     (Shares)
                                                                   Value      Amt.    Sole   Shared   Other         (a)    (b)   (c)
                                                                 (X $1000)                                         Sole  Shared None

------------------------------------------------------------------------------------------------------------------------------------
<S>                                 <C>               <C>        <C>       <C>        <C>    <C>      <C>   <C>    <C>  <C>     <C>
Medical Technology System Inc.       Common Stock     58462R505         1     1,000            x                      0   1,000    0
Meditrust Corp                       Common Stock     58501T306        41    10,924            x                      0  10,924    0
Magyar Tavkozlesi                    Foreign Stock    559776109       113     3,289            x                      0   3,289    0
M & T Bank Corp                      Common Stock     55261F104       163       363            x                      0     363    0
Metron Technology N V                Foreign Stock    N5665B105         7       550            x                      0     550    0
Mettler-Toledo International         Common Stock     592688105       200     5,005            x                      0   5,005    0
Meridian Medical Tech Inc.           Common Stock     589658103        48     4,300            x                      0   4,300    0
Medical Technology & Innovatns       Common Stock     58462M100         6    62,000            x                      0  62,000    0
MGIC Investment Corp.                Common Stock     552848103       981    21,551            x                      0  21,551    0
Modern Times Group Mtg AB Spons ADR  ADR              607698107       118       504            x                      0     504    0
Machine Technology Inc.              Common Stock     554482109         0     3,000            x                      0   3,000    0
Mothernature Com Inc                 Common Stock     61978K105         1       950            x                      0     950    0
MTI Technology Corp                  Common Stock     553903105        28     3,525            x                      0   3,525    0
Martin Industries Inc                Common Stock     57326K102         3     2,000            x                      0   2,000    0
Micro Therapeutics Inc.              Common Stock     59500W100         5     1,000            x                      0   1,000    0
Metalclad Corp -New                  Common Stock     591142203         1       400            x                      0     400    0
Metalink Ltd                         Foreign Stock    M69897102        15       500            x                      0     500    0
Metal Management Inc                 Common Stock     591097100        46    40,000            x                      0  40,000    0
Motient Corporation                  Common Stock     619908106        31     2,000            x                      0   2,000    0
Meritor Svgs Bk PA in Receivership   Common Stock     590007100        54    41,760            x                      0  41,760    0
Montana Power Co                     Common Stock     612085100        71     2,016            x                      0   2,016    0
Meditrust Corp                       PFD QTR 30/360   58501T405        12       850            x                      0     850    0
Medical Technology Prods Inc         Common Stock     58462L102         0       541            x                      0     541    0
Mesa Royalty Trust                   Common Stock     590660106        80     2,000            x                      0   2,000    0
Microtouch Systems Inc.              Common Stock     595145103         3       300            x                      0     300    0
Mattson Technology Inc               Common Stock     577223100        10       300            x                      0     300    0
Microtest Inc.                       Common Stock     594941106         0        30            x                      0      30    0
Met Ed Cap Tr                        Preferred Stock  590860102        55     2,530            x                      0   2,530    0
Manitowoc Co Inc.                    Common Stock     563571108        87     3,250            x                      0   3,250    0
Mastec Inc                           Common Stock     576323109     1,129    29,554            x                      0  29,554    0
Micron Technology Inc.               Common Stock     595112103     1,628    18,490            x                      0  18,490    0
MSU Corp                             Common Stock     553757105         3     1,900            x                      0   1,900    0
Micron Electronics Inc.              Common Stock     595100108        68     5,400            x                      0   5,400    0
Metals USA Inc.                      Common Stock     591324108         2       500            x                      0     500    0
Mepc Intl Capital LP 9.125%          PFD QTR 30/360   55271M206        24     1,200            x                      0   1,200    0
Murphy Oil Co.                       Common Stock     626717102        36       605            x                      0     605    0
Muenchener Rucckversicherungs        Foreign Stock    D55535104       307       975            x                      0     975    0
Micromuse Inc.                       Common Stock     595094103     1,450     8,765            x                      0   8,765    0
1st Miracle Group Inc                Foreign Stock    320966104         7   441,200            x                      0 441,200    0
Microvision Inc - Wash               Common Stock     594960106        20       400            x                      0     400    0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
     FORM 13F      Name of Reporting Manager:                                                               Run Date: 07/17/2000
                                                 Legg Mason Wood Walker (IMS)                               ------------------------
                                               For Positions Held as of 06/30/2000                          S.E.C. Use Only

                                                                                                            ------------------------
                  Item 1:                  Item 2:       Item 3:  Item 4:   Item 5:           Item 6:       Item 7:     Item 8:
              Name of Issuer           Title of Class     CUSIP    Fair    Shares or  Investment Discretion  Other  Voting Authority
                                                                  Market   Principal  (a)     (b)      (c)    Mgrs    (Shares)
                                                                   Value      Amt.    Sole   Shared   Other         (a)    (b)   (c)
                                                                 (X $1000)                                         Sole  Shared None

------------------------------------------------------------------------------------------------------------------------------------
<S>                                    <C>             <C>       <C>       <C>        <C>    <C>      <C>   <C>    <C>  <C>     <C>
Macrovision Corp                       Common Stock    555904101        3        50            x                      0      50    0
M-wave Inc                             Common Stock    554034108        6     1,000            x                      0   1,000    0
MSDW Capital Trust I                   PFD QTR 30/360  553538208       52     2,440            x                      0   2,440    0
Morgan St Dean Witter Discover & Co.   Common Stock    617446448    5,394    64,791            x                      0  64,791    0
Mail Well Inc.                         Common Stock    560321200       44     5,120            x                      0   5,120    0
Midway Games Inc                       Common Stock    598148104        5       598            x                      0     598    0
Mfc Bancorp Ltd                        Foreign Stock   55271X103        1       150            x                      0     150    0
Mexico Equity and Income Fund Inc.     MutualFdEqClose 592834105       11     1,000            x                      0   1,000    0
Mexico Fund                            Common Stock    592835102      297    19,984            x                      0  19,984    0
Macronix Intl Co Ltd                   ADR             556103109       29     1,146            x                      0   1,146    0
Maxim Integrated Products Inc          Common Stock    57772K101    1,722    25,349            x                      0  25,349    0
Maxxam Inc.                            Common Stock    577913106        0        22            x                      0      22    0
Maxxon Inc                             Common Stock    577774102        1     2,900            x                      0   2,900    0
Metris Companies Inc.                  Common Stock    591598107      115     4,575            x                      0   4,575    0
Maxtor Corp.                           Common Stock    577729205       43     4,100            x                      0   4,100    0
Myers Inds Inc.                        Common Stock    628464109    6,349   590,582            x                      0 590,582    0
Maytag Corp.                           Common Stock    578592107      309     8,391            x                      0   8,391    0
Myriad Genetics Inc                    Common Stock    62855J104      193     1,300            x                      0   1,300    0
Edulink Inc                            Common Stock    28164R103        8    52,500            x                      0  52,500    0
Mylan Laboratories Inc.                Common Stock    628530107      315    17,255            x                      0  17,255    0
Mypoints Com Inc                       Common Stock    62855T102       10       550            x                      0     550    0
MYTURN.COM Inc                         Common Stock    628690109       88     4,900            x                      0   4,900    0
Milacron Inc                           Common Stock    598709103      112     7,692            x                      0   7,692    0
Medizone International Inc.            Common Stock    585013105        3     7,000            x                      0   7,000    0
Multiple Zones International Inc.      Common Stock    624906103       30     7,500            x                      0   7,500    0
INCO Limited                           Foreign Stock   453258402       27     1,772            x                      0   1,772    0
Nutrafeed Inc                          Common Stock    67060W105        0     1,700            x                      0   1,700    0
NB Capital Corp Dep Shs Repstg         PFD QTR 30/360  62874N607      355    15,420            x                      0  15,420    0
NAB Exchange Pfd Trust 8%              PFD QTR 30/360  628714206      101     4,550            x                      0   4,550    0
Nayses Bay Hunt Club Inc               Common Stock    639382100        0         2            x                      0       2    0
Nanovation Technologies Inc.           Common Stock    630085108        0     5,435            x                      0   5,435    0
Natures Creation Corp                  Common Stock    63901N107        0     1,000            x                      0   1,000    0
Ness Energy International Inc. Restric Common Stock    64104P998        0     1,460            x                      0   1,460    0
Nabisco Hldgs Corp.                    Common Stock    629526104      518     9,874            x                      0   9,874    0
National Australia Bank LTD Spon ADR   ADR             632525408        8       100            x                      0     100    0
NABI Inc.                              Common Stock    628716102       39     5,350            x                      0   5,350    0
National Dentex Corp                   Common Stock    63563H109       22     1,300            x                      0   1,300    0
Nahc Inc                               Common Stock    62874P107        1    12,975            x                      0  12,975    0
Natural Alternative Intl Inc.          Common Stock    638842302        8     4,500            x                      0   4,500    0
National Auto Credit Inc.              Common Stock    632900106        1     1,000            x                      0   1,000    0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
     FORM 13F      Name of Reporting Manager:                                                               Run Date: 07/17/2000
                                                 Legg Mason Wood Walker (IMS)                               ------------------------
                                               For Positions Held as of 06/30/2000                          S.E.C. Use Only

                                                                                                            ------------------------
                  Item 1:                 Item 2:       Item 3:   Item 4:   Item 5:           Item 6:       Item 7:     Item 8:
              Name of Issuer          Title of Class     CUSIP     Fair    Shares or  Investment Discretion  Other  Voting Authority
                                                                  Market   Principal  (a)     (b)      (c)    Mgrs     (Shares)
                                                                   Value      Amt.    Sole   Shared   Other         (a)    (b)   (c)
                                                                 (X $1000)                                         Sole  Shared None

------------------------------------------------------------------------------------------------------------------------------------
<S>                                   <C>              <C>       <C>       <C>        <C>    <C>      <C>   <C>    <C>  <C>     <C>
NanometricsInc                         Common Stock    630077105       25       600            x                      0     600    0
Network Accss Solutions Corp           Common Stock    64120S109       57     6,000            x                      0   6,000    0
North AmernScientific Inc              Common Stock    65715D100        4       200            x                      0     200    0
National Intruments Corp               Common Stock    636518102      275     6,300            x                      0   6,300    0
North Atlanic Technologies Inc New     Common Stock    657335204        0       266            x                      0     266    0
National Autralia Bank 7.875%          PreferdStk Conv 632525309       11       380            x                      0     380    0
Navistar Inernational Corp.            Common Stock    63934E108      132     4,264            x                      0   4,264    0
Navisite In                            Common Stock    63935M109      138     3,290            x                      0   3,290    0
Navarre Cor.                           Common Stock    639208107        1       660            x                      0     660    0
NB Capital rustT I 7.84% Trust         Preferred Stock 628956203      249    10,775            x                      0  10,775    0
Nbc Interne Inc                        Common Stock    62873D105       70     5,600            x                      0   5,600    0
Neurocrine iosciences Inc              Common Stock    64125C109       17       465            x                      0     465    0
Noble Affilates Inc.                   Common Stock    654894104      714    19,160            x                      0  19,160    0
Northern Boder Partnership LP          LTD Part P1     664785102      135     4,925            x                      0   4,925    0
Nabors Indutries Inc.                  Common Stock    629568106      794    19,109            x                      0  19,109    0
New South Cpital Tr I Tr Pfd Sec 8.5%  PFD QTR 30/360  648910206      117    15,400            x                      0  15,400    0
NBT BancorpInc.                        Common Stock    628778102      153    14,346            x                      0  14,346    0
NBTY Inc                               Common Stock    628782104        0         0            x                      0       0    0
Nacco Inds nc Cl A                     Common Stock    629579103        2        60            x                      0      60    0
National Com BanCorp.                  Common Stock    635449101       76     4,740            x                      0   4,740    0
National Ciy Corp.                     Common Stock    635405103    1,479    86,677            x                      0  86,677    0
AT&T Capita Corp. 8.25% Pfd Sr         PFD QTR 30/360  00206J209      117     4,900            x                      0   4,900    0
New CenturyEnergies Inc.               Common Stock    64352U103    2,930    97,657            x                      0  97,657    0
North CoastEnergy Inc                  Common Stock    658649702        5     1,150            x                      0   1,150    0
AT&T Cap Cop 8.125%                    PFD QTR 30/360  00206J308      112     4,710            x                      0   4,710    0
NCH Corporaion                         Common Stock    628850109        4       100            x                      0     100    0
Navigant Cosulting Inc                 Common Stock    63935N107        9     2,100            x                      0   2,100    0
NCO Group Ic.                          Common Stock    628858102       25     1,095            x                      0   1,095    0
NCR Corp.                              Common Stock    62886E108      267     6,863            x                      0   6,863    0
NCI Buildin Systems Inc                Common Stock    628852105       14       700            x                      0     700    0
NCT Group Ic                           Common Stock    62888Q109        0       800            x                      0     800    0
Nova Chemicls Corp. 9.04% PFD          PFD QTR 30/360  66977W307       70     3,500            x                      0   3,500    0
National Dicount Brokers Group Inc.    Common Stock    635646102       26       800            x                      0     800    0
National Daa Corp.                     Common Stock    635621105       12       500            x                      0     500    0
Indymac MtgHldgs Inc                   Common Stock    456607100      203    14,959            x                      0  14,959    0
99 Cents Ony Stores                    Common Stock    65440K106        2        53            x                      0      53    0
Noble Drillng Corp.                    Common Stock    655042109    1,141    27,701            x                      0  27,701    0
New EnglandBusiness Service            Common Stock    643872104       21     1,300            x                      0   1,300    0
Newell FinlTr I Qips Conv 5.25%        PreferdStk Conv 651195307        9       250            x                      0     250    0
Energy EastCorporation                 Common Stock    29266M109       48     2,496            x                      0   2,496    0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
     FORM 13F      Name of Reporting Manager:                                                               Run Date: 07/17/2000
                                                 Legg Mason Wood Walker (IMS)                               ------------------------
                                               For Positions Held as of 06/30/2000                          S.E.C. Use Only

                                                                                                            ------------------------
                  Item 1:                 Item 2:       Item 3:   Item 4:   Item 5:           Item 6:       Item 7:     Item 8:
              Name of Issuer          Title of Class     CUSIP     Fair    Shares or  Investment Discretion  Other  Voting Authority
                                                                  Market   Principal  (a)     (b)      (c)    Mgrs      (Shares)
                                                                   Value      Amt.    Sole   Shared   Other         (a)    (b)   (c)
                                                                 (X $1000)                                         Sole  Shared None

------------------------------------------------------------------------------------------------------------------------------------
<S>                                   <C>              <C>       <C>       <C>        <C>    <C>      <C>   <C>    <C>  <C>     <C>
Newmont Mining Corp.                   Common Stock    651639106      203     9,387            x                      0   9,387    0
Neopharm Inc.                          Common Stock    640919106       20     1,000            x                      0   1,000    0
Neoforma Com Inc                       Common Stock    640475109        4       500            x                      0     500    0
Neomedia Technologies Inc              Common Stock    640505103       89    15,150            x                      0  15,150    0
New ERA of Networks Inc                Common Stock    644312100      798    18,775            x                      0  18,775    0
Neotherapeutics Inc.                   Common Stock    640656104      104     9,700            x                      0   9,700    0
Northeast Pennsylvania Financial Corp  Common Stock    663905107       25     2,450            x                      0   2,450    0
Nera As                                ADR             640806105        5     1,000            x                      0   1,000    0
Neorx Corp                             Common Stock    640520300      389    20,586            x                      0  20,586    0
Neon System Inc.                       Common Stock    640509105       11       600            x                      0     600    0
Networks Associates Inc.               Common Stock    640938106      860    42,214            x                      0  42,214    0
Netmanage Inc.                         Common Stock    641144100      358    80,200            x                      0  80,200    0
Net Perceptions Inc                    Common Stock    64107U101       87     5,500            x                      0   5,500    0
Netradio Corp                          Common Stock    64114E108       14     6,500            x                      0   6,500    0
Netvalue Hldgs Inc                     Common Stock    64120C104       14     2,800            x                      0   2,800    0
Nvest LP Units Ltd Partnership Int     Common Stock    67065F107       11       300            x                      0     300    0
Newport Corp.                          Common Stock    651824104      520     4,841            x                      0   4,841    0
Nexell Therapeutics Inc                Common Stock    65332H203       97     6,530            x                      0   6,530    0
North Fork Bancorp, Inc.-DEL           Common Stock    659424105      442    29,247            x                      0  29,247    0
Neff corp Cl A                         Common Stock    640094108        7     1,800            x                      0   1,800    0
National Fuel Gas Co.                  Common Stock    636180101       70     1,440            x                      0   1,440    0
Northfield Laboratories Inc.           Common Stock    666135108        1        50            x                      0      50    0
Nationwide Financial Services, Inc.    Common Stock    638612101      152     4,623            x                      0   4,623    0
Nationwide Financial Svcs Cap Tr       PFD QTR 30/360  63861E204       90     4,400            x                      0   4,400    0
Newfield Exploration Co                Common Stock    651290108      252     6,450            x                      0   6,450    0
Nanogen Inc                            Common Stock    630075109      127     3,000            x                      0   3,000    0
Nabisco Group Holding Corp             Common Stock    62952P102      248     9,552            x                      0   9,552    0
RJR Nabisco Hldgs Cap Tr II            PFD QTR 30/360  62952N206       30     1,200            x                      0   1,200    0
Newgold Inc                            Common Stock    651362105       11    20,000            x                      0  20,000    0
Netguru Com Inc                        Common Stock    64111K107        9       500            x                      0     500    0
Nhancement Technologies Inc            Common Stock    65334P104       12       900            x                      0     900    0
National Health Invs Inc.              Common Stock    63633D104      315    28,600            x                      0  28,600    0
National Health Investors 8.50%        Preferred Stock 63633D203        1       100            x                      0     100    0
Natl Health & Safety Corp              Common Stock    636327108        3    18,000            x                      0  18,000    0
Nationwide Health Properties Inc.      Common Stock    638620104       97     6,970            x                      0   6,970    0
Norsk Hydro As Adr                     ADR             656531605        3        83            x                      0      83    0
Nisource Inc.                          Common Stock    65473P105      415    22,291            x                      0  22,291    0
Northern Ind Pub                       Preferred Stock 665262879       13       310            x                      0     310    0
Nipsco Capital Markets Inc. 7.75%      PFD QTR 30/360  654638105        4       200            x                      0     200    0
Nice-Systems Ltd ADR                   ADR             653656108       42       550            x                      0     550    0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
     FORM 13F      Name of Reporting Manager:                                                               Run Date: 07/17/2000
                                                 Legg Mason Wood Walker (IMS)                               ------------------------
                                               For Positions Held as of 06/30/2000                          S.E.C. Use Only

                                                                                                            ------------------------
                  Item 1:                 Item 2:       Item 3:   Item 4:   Item 5:           Item 6:       Item 7:     Item 8:
              Name of Issuer          Title of Class     CUSIP     Fair    Shares or  Investment Discretion  Other  Voting Authority
                                                                  Market   Principal  (a)     (b)      (c)    Mgrs      (Shares)
                                                                   Value      Amt.    Sole   Shared   Other         (a)    (b)   (c)
                                                                 (X $1000)                                         Sole  Shared None

------------------------------------------------------------------------------------------------------------------------------------
<S>                                   <C>              <C>       <C>       <C>        <C>    <C>      <C>   <C>    <C>  <C>     <C>
Nuveen Premier Insured                 Common Stock    670987106       13      1,000           x                      0   1,000    0
Nikko Securities Co. Ltd. ADR          ADR             654107200       94        945           x                      0     945    0
Nuveen Select Maturities               Common Stock    67061T101      133     12,622           x                      0  12,622    0
N E C Corp.                            ADR             629050204    1,437      9,068           x                      0   9,068    0
Northern Indiana Public Service PFd    PFD QTR 30/360  665262309       26        505           x                      0     505    0
Nova Corp. - GA                        Common Stock    669784100      488     17,476           x                      0  17,476    0
Knight Trading Group Inc               Common Stock    499063105      431     14,458           x                      0  14,458    0
NJ Economic Dev Auth St Pension        PFD QTR 30/360  645915208       72      3,000           x                      0   3,000    0
New Jersey Resources Corp.             Common Stock    646025106        8        200           x                      0     200    0
Nike Inc.                              Common Stock    654106103      974     24,471           x                      0  24,471    0
National Bankshares Inc/ Va            Common Stock    634865109      102      6,200           x                      0   6,200    0
National Computer Systems Inc.         Common Stock    635519101       38        780           x                      0     780    0
North Lily Mining Co.                  Common Stock    660461203        1      2,500           x                      0   2,500    0
Annaly Mortgage Management Inc.        Common Stock    035710409       16      1,800           x                      0   1,800    0
Namibian Minerals Corp.                Foreign Stock   629913104       76     21,100           x                      0  21,100    0
Neiman-Marcus Groups Inc.              Common Stock    640204202       75      2,500           x                      0   2,500    0
Neiman Marcus Group Inc                Common Stock    640204301       37      1,346           x                      0   1,346    0
Nuveen Municipal Income Fund           Common Stock    67062J102        3        300           x                      0     300    0
Niagara Mohawk Holdings Inc.           Common Stock    653520106      297     21,312           x                      0  21,312    0
Niagara Mohawk Power 3.60% PFD         PFD QTR 30/360  653522300       37        900           x                      0     900    0
Niagara Mhwk Pwr                       PFD QTR 30/360  653522607       52        850           x                      0     850    0
Niagara Mohawk Power 5.25% PFD         PFD QTR 30/360  653522706       46        700           x                      0     700    0
Niagara Mohawk Power 3.40% Pfd         PFD QTR 30/360  653522201        8        200           x                      0     200    0
Niagara Mohawk Power 3.90% Pfd         PFD QTR 30/360  653522409      197      4,330           x                      0   4,330    0
Niagara Mohawk Power 4.10% Pfd         PFD QTR 30/360  653522508      100      1,900           x                      0   1,900    0
Newmil Bancorp Inc                     Common Stock    651633109       10      1,000           x                      0   1,000    0
Natural Microsystems Corp.             Common Stock    638882100      135      1,200           x                      0   1,200    0
Nuveen North Carolina Premium          Common Stock    67060P100       41      2,991           x                      0   2,991    0
Nuveen Insured New York                Common Stock    67101R107       33      2,500           x                      0   2,500    0
Commercial Net Lease Realty            Common Stock    202218103      651     62,004           x                      0  62,004    0
Newport News and Shipbuilding          Common Stock    652228107      285      7,758           x                      0   7,758    0
Nocopi Technologies Inc.               Common Stock    655212207        0        200           x                      0     200    0
Northrop Grumman Corp.                 Common Stock    666807102      413      6,238           x                      0   6,238    0
Noga Electro-mechanical Inds           Foreign Stock   M75135109        2      1,250           x                      0   1,250    0
National Oilwell Inc.                  Common Stock    637071101        1         40           x                      0      40    0
Micronetics Wireless Inc               Common Stock    595125105        2        200           x                      0     200    0
Nokia Corp. Sponsored ADR              ADR             654902204   18,435    369,165           x                      0 369,165    0
Noland Co                              Common Stock    655286102        3        200           x                      0     200    0
Newscorp Overseas Limited 8.625% Cum   PFD QTR 30/360  G6478B108      367     16,400           x                      0  16,400    0
Northeast Optic Network Inc.           Common Stock    664334109    1,047     16,994           x                      0  16,994    0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
     FORM 13F      Name of Reporting Manager:                                                               Run Date: 07/17/2000
                                                 Legg Mason Wood Walker (IMS)                               ------------------------
                                               For Positions Held as of 06/30/2000                          S.E.C. Use Only

                                                                                                            ------------------------
                  Item 1:                 Item 2:        Item 3:  Item 4:   Item 5:           Item 6:       Item 7:     Item 8:
              Name of Issuer          Title of Class      CUSIP    Fair    Shares or  Investment Discretion  Other  Voting Authority
                                                                  Market   Principal  (a)     (b)      (c)    Mgrs     (Shares)
                                                                   Value      Amt.    Sole   Shared   Other         (a)    (b)   (c)
                                                                 (X $1000)                                         Sole  Shared None

------------------------------------------------------------------------------------------------------------------------------------
<S>                                   <C>               <C>      <C>       <C>        <C>    <C>      <C>   <C>    <C>  <C>     <C>
Northwestern Corp.                      Common Stock    668074107       8       348            x                      0     348    0
Nwps Cap Fing I                         PFD QTR 30/360  629470204      12       500            x                      0     500    0
Novell, Inc.                            Common Stock    670006105   1,085   117,275            x                      0 117,275    0
Noven Pharmaceuticals Inc               Common Stock    670009109     400    13,300            x                      0  13,300    0
Novoste Corp. MA                        Common Stock    67010C100     183     3,000            x                      0   3,000    0
Novavax Inc.                            Common Stock    670002104      17     2,319            x                      0   2,319    0
National Power ADR FINAL INS            ADR             637194408   3,914   153,497            x                      0 153,497    0
New Paraho Corp                         Common Stock    647866102       0       600            x                      0     600    0
Nanopierce Technologies Inc             Common Stock    630080109      36    18,000            x                      0  18,000    0
Nuveen Premier Municipal                Common Stock    670988104      69     5,223            x                      0   5,223    0
Network Peripherals Inc                 Common Stock    64121R100      42     2,525            x                      0   2,525    0
National Presto Industries Inc.         Common Stock    637215104      25       800            x                      0     800    0
Netpliance Inc                          Common Stock    64115K103     138    15,115            x                      0  15,115    0
Network Plus Corp                       Common Stock    64122D506       6       400            x                      0     400    0
Nuveen Premium Income Muni Fund II      MutualFdEqClose 67063W102     172    13,107            x                      0  13,107    0
Northpoint Communications Hldg          Common Stock    666610100      87     7,793            x                      0   7,793    0
North Pittsburgh Sys Inc.               Common Stock    661562108     402    27,240            x                      0  27,240    0
Nextpath Technologies Inc               Common Stock    65333J109      50    18,980            x                      0  18,980    0
Nuveen Virginia Premium Income          Common Stock    67064R102     276    19,345            x                      0  19,345    0
Nuveen Pennsylvania Premium             Common Stock    67061F101      90     7,265            x                      0   7,265    0
Nuveen Florida Investment               Common Stock    670970102      96     6,785            x                      0   6,785    0
Nuveen Investment Quality Municipal     Common Stock    67062E103     273    21,612            x                      0  21,612    0
National Research Corp                  Common Stock    637372103       3       500            x                      0     500    0
Nord Res Corp.                          Common Stock    655555100       0       600            x                      0     600    0
Nrg Energy Inc                          Common Stock    629377102      20     1,100            x                      0   1,100    0
Neurogen Corp.                          Common Stock    64124E106      65     2,250            x                      0   2,250    0
Nationsrent Inc                         Common Stock    638588103       4     1,000            x                      0   1,000    0
Nomura Secs Ltd Japan                   ADR             655361301     185       755            x                      0     755    0
National Rural Utilities                PFD QTR 30/360  637432204      46     2,000            x                      0   2,000    0
National Rural Utilities CFC 7.65% PFD  PFD QTR 30/360  637432303      11       500            x                      0     500    0
National R V Holdings Inc.              Common Stock    637277104     405    38,600            x                      0  38,600    0
National Rural Utilities                PFD QTR 30/360  637432402      61     2,800            x                      0   2,800    0
Nissan Motor Co Ltd Sponsored           ADR             654744408      31     2,725            x                      0   2,725    0
Norfolk Southern Corp.                  Common Stock    655844108     773    51,999            x                      0  51,999    0
National Scientific Corp                Common Stock    637479106      13     2,200            x                      0   2,200    0
NSD Bancorp Inc.                        Common Stock    62938D108      11       735            x                      0     735    0
Nashua Corp.                            Common Stock    631226107       2       200            x                      0     200    0
National Service Industries Inc.        Common Stock    637657107     324    16,625            x                      0  16,625    0
Netsilicon Inc                          Common Stock    64115X105     157     4,800            x                      0   4,800    0
Insight Enterprises Inc.                Common Stock    45765U103      38       633            x                      0     633    0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
     FORM 13F      Name of Reporting Manager:                                                               Run Date: 07/17/2000
                                                 Legg Mason Wood Walker (IMS)                               ------------------------
                                               For Positions Held as of 06/30/2000                          S.E.C. Use Only

                                                                                                            ------------------------
                  Item 1:                 Item 2:        Item 3:  Item 4:   Item 5:           Item 6:       Item 7:     Item 8:
              Name of Issuer          Title of Class      CUSIP    Fair    Shares or  Investment Discretion  Other  Voting Authority
                                                                  Market   Principal  (a)     (b)      (c)    Mgrs      (Shares)
                                                                   Value      Amt.    Sole   Shared   Other         (a)    (b)   (c)
                                                                 (X $1000)                                         Sole  Shared None

------------------------------------------------------------------------------------------------------------------------------------
<S>                                   <C>               <C>      <C>       <C>        <C>    <C>      <C>   <C>    <C>  <C>     <C>
Neuromedical Sys Inc                    Common Stock    64124H109       0       500            x                      0     500    0
New Sky Communications Inc              Common Stock    648726107       4    86,770            x                      0  86,770    0
National Semiconductor Inc.             Common Stock    637640103     845    14,887            x                      0  14,887    0
Nstor Technologies Inc.                 Common Stock    67018N108       3     1,000            x                      0   1,000    0
Northern States Power Co                Common Stock    665772109     301    14,913            x                      0  14,913    0
Northern States                         Preferred Stock 665772208      19       400            x                      0     400    0
Netspeak Corp                           Common Stock    64115D109      40     4,000            x                      0   4,000    0
Norfolk Southern Railway Co.            Preferred Stock 655855203      11       320            x                      0     320    0
Nestle SA Sponsored ADR                 ADR             641069406   4,692    46,737            x                      0  46,737    0
NS Group Inc.                           Common Stock    628916108     105     5,000            x                      0   5,000    0
NSTAR                                   Common Stock    67019E107     488    12,000            x                      0  12,000    0
National Equip Svcs Inc                 Common Stock    635847106       4       600            x                      0     600    0
Nortel Networks Corp.                   Common Stock    656568102  21,239   311,196            x                      0 311,196    0
Network Appliance Inc                   Common Stock    64120L104   4,360    54,167            x                      0  54,167    0
Net.Bank Inc.                           Common Stock    640933107       9       750            x                      0     750    0
Nuveen Connecticut Premium              Common Stock    67060D107      14     1,000            x                      0   1,000    0
Ntt Docomo Inc Spons Adr                ADR             62942M201     130       955            x                      0     955    0
Nintendo Co Ltd New ADR                 ADR             654445303     145     6,583            x                      0   6,583    0
Net Genesis Corp                        Common Stock    64107E107      88     4,865            x                      0   4,865    0
Neurobiological Technologies            Common Stock    64124W106      82     9,700            x                      0   9,700    0
Net2000 Communications Inc              Common Stock    64122G103     175    10,672            x                      0  10,672    0
NTL Incorporated                        Common Stock    629407107     249     4,165            x                      0   4,165    0
Net2phone                               Common Stock    64108N106     226     6,320            x                      0   6,320    0
Netopia Inc.                            Common Stock    64114K104     176     4,375            x                      0   4,375    0
Netro Corp                              Common Stock    64114R109      60     1,050            x                      0   1,050    0
Northern Trust Corp.                    Common Stock    665859104   2,701    41,510            x                      0  41,510    0
Netrix Corp                             Common Stock    641148101      18     1,500            x                      0   1,500    0
Netusa Inc                              Common Stock    641204201       2     5,000            x                      0   5,000    0
Netstaff Inc                            Common Stock    64116H109      10     8,000            x                      0   8,000    0
Nippon Telegraph & Telephone Corp.      Foreign Stock   654624105     418     6,115            x                      0   6,115    0
Northeast Utilities                     Common Stock    664397106     101     4,650            x                      0   4,650    0
Nucor Corp.                             Common Stock    670346105     500    15,055            x                      0  15,055    0
Net 1 Ueps Technologies Inc             Common Stock    64107N107       1       400            x                      0     400    0
Nuveen Florida Quality Income Municipa  Common Stock    670978105      51     3,600            x                      0   3,600    0
New Focus Inc                           Common Stock    644383101      18       225            x                      0     225    0
Nu Horizons Electrs Corp                Common Stock    669908105      53     2,000            x                      0   2,000    0
NUI Corp.                               Common Stock    629430109      92     3,400            x                      0   3,400    0
Numerica Financial Corp                 Common Stock    67053K100       0     6,000            x                      0   6,000    0
Nuveen New York Quality Income Fd       Common Stock    670986108      55     4,100            x                      0   4,100    0
Nuveen Ohio Quality Income              Common Stock    670980101     233    14,708            x                      0  14,708    0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
     FORM 13F      Name of Reporting Manager:                                                               Run Date: 07/17/2000
                                                 Legg Mason Wood Walker (IMS)                               ------------------------
                                               For Positions Held as of 06/30/2000                          S.E.C. Use Only

                                                                                                            ------------------------
                  Item 1:                Item 2:        Item 3:   Item 4:   Item 5:           Item 6:       Item 7:     Item 8:
              Name of Issuer         Title of Class      CUSIP     Fair    Shares or  Investment Discretion  Other  Voting Authority
                                                                  Market   Principal  (a)     (b)      (c)    Mgrs      (Shares)
                                                                   Value      Amt.    Sole   Shared   Other         (a)    (b)   (c)
                                                                 (X $1000)                                         Sole  Shared None

------------------------------------------------------------------------------------------------------------------------------------
<S>                                  <C>               <C>       <C>       <C>        <C>    <C>      <C>   <C>    <C>  <C>     <C>
Nur Macroprinters Ltd                  Foreign Stock   M75165106        1       100            x                      0     100    0
Nutraceutical Intl Corp                Common Stock    67060Y101        4     1,250            x                      0   1,250    0
Nutraceutix Inc                        Common Stock    67060V107        2     5,000            x                      0   5,000    0
Nuveen California Select               Common Stock    670975101       23     1,600            x                      0   1,600    0
Nvidia Corp                            Common Stock    67066G104      100     1,566            x                      0   1,566    0
NVF Co.                                Common Stock    629449109        0     2,473            x                      0   2,473    0
Novellus System Inc.                   Common Stock    670008101      302     5,331            x                      0   5,331    0
Novamed Inc                            Common Stock    66986S107        1     1,883            x                      0   1,883    0
Novo-Nordisk A/S ADR                   ADR             670100205      128     1,515            x                      0   1,515    0
NVP CAPTL I 8.2% Cum Qtly Inc.         Preferred Stock 62944M209       58     2,635            x                      0   2,635    0
Nvp Cap Iii                            PFD QTR 30/360  62944L201       91     4,400            x                      0   4,400    0
N V R Incorporated                     Common Stock    62944T105       25       444            x                      0     444    0
Novartis AG-ADR                        ADR             66987V109      669    16,714            x                      0  16,714    0
Nevstar Gaming & Entmt Corp            Common Stock    64156G102        0     6,900            x                      0   6,900    0
NVIEW Corporation                      Common Stock    670974104        1     4,000            x                      0   4,000    0
Natl Westminster Bank PLC              ADR             638539403        0       100            x                      0     100    0
National Westminster Bank PLC          PFD QTR 30/360  638539700       21       900            x                      0     900    0
National Westminster Bank PLC          PFD QTR 30/360  638539882       34     1,500            x                      0   1,500    0
Northwest Airlines Corporation Class A Common Stock    667280101       20       650            x                      0     650    0
Northwest Airls Inc                    PFD QTR 30/360  667281208       23     1,000            x                      0   1,000    0
Northway Finl Inc                      Common Stock    667270102        2        80            x                      0      80    0
Network Commerce Inc                   Common Stock    64122T105        9     1,600            x                      0   1,600    0
Newell Rubbermaid Inc.                 Common Stock    651229106    8,746   339,636            x                      0 339,636    0
New Tel Ltd                            ADR             648867109        1       100            x                      0     100    0
Northwest Natural Gas Co               Common Stock    667655104       22     1,000            x                      0   1,000    0
Neoware Systems Inc                    Common Stock    64065P102        4     1,150            x                      0   1,150    0
News Corp. Limited                     ADR             652487703      976    17,914            x                      0  17,914    0
News Corp. Ltd Spons ADR Pfd           ADR             652487802      286     6,013            x                      0   6,013    0
Northwestern Steel & Wire Co New       Common Stock    668367204        2     5,000            x                      0   5,000    0
National Westminster Bank PLC          Preferred Stock 638539809       81     3,600            x                      0   3,600    0
Nextcard Inc                           Common Stock    65332K107       39     4,620            x                      0   4,620    0
New PLan Excel Realty Trust            Common Stock    648053106      297    22,844            x                      0  22,844    0
New Plan Excel Realty Tr Inc 8.625% PF PFD QTR 30/360  648053502       67     3,100            x                      0   3,100    0
Nextlink Communications Inc Cl A       Common Stock    65333H707    1,969    51,898            x                      0  51,898    0
Nuveen Insured New York Select         Common Stock    67063V104       26     1,967            x                      0   1,967    0
Nuveen Select Tax-Free Income          Common Stock    67063C106      277    19,903            x                      0  19,903    0
Nuveen Select Tax-Free Income          Common Stock    67063X100       64     4,782            x                      0   4,782    0
Nextera Enterprises Inc                Common Stock    65332E101       39     8,200            x                      0   8,200    0
Nextel Communications Inc.             Common Stock    65332V103   16,447   268,789            x                      0 268,789    0
Nextel Partners Inc                    Common Stock    65333F107      274     8,410            x                      0   8,410    0
</TABLE>
<PAGE>


<TABLE>
<CAPTION>
     FORM 13F      Name of Reporting Manager:                                                                Run Date: 07/17/2000
                                                 Legg Mason Wood Walker (IMS)                                -----------------------
                                               For Positions Held as of 06/30/2000                           S.E.C. Use Only

                                                                                                             -----------------------
          Item 1:                         Item 2:       Item 3:    Item 4:   Item 5:          Item 6:        Item 7:   Item 8:
      Name of Issuer                   Title of Class    CUSIP      Fair    Shares or  Investment Discretion Other  Voting Authority
                                                                   Market   Principal  (a)     (b)     (c)    Mgrs     (Shares)
                                                                    Value      Amt.    Sole   Shared   Other       (a)   (b)    (c)
                                                                  (X $1000)                                       Sole Shared  None

------------------------------------------------------------------------------------------------------------------------------------
<S>                                     <C>             <C>       <C>       <C>        <C>    <C>      <C>   <C>  <C>  <C>     <C>
Next Level Comm Inc                     Common Stock    65333U104       15        180             x                0      180     0
Nyle Intl Corp                          Common Stock    670720200        0         50             x                0       50     0
New York Times Co.                      Common Stock    650111107    1,095     27,726             x                0   27,726     0
Netzero Inc                             Common Stock    64122R109       10      2,000             x                0    2,000     0
Telecom Corp. of New                    ADR             879278208    1,643     58,416             x                0   58,416     0
Realty Income Corp.                     Common Stock    756109104       74      3,120             x                0    3,120     0
Realty Income Corp                      PFD QTR 30/360  756109302       66      3,200             x                0    3,200     0
Oak Tech Inc.                           Common Stock    671802106        4        200             x                0      200     0
OAO Technology Solutions Inc.           Common Stock    67082B105        5      1,634             x                0    1,634     0
Quaker Oats                             Common Stock    747402105      616      8,196             x                0    8,196     0
Wild Oats Markets Inc.                  Common Stock    96808B107        9        750             x                0      750     0
Orbittravel Com Corp                    Common Stock    68556V106        2     30,000             x                0   30,000     0
Orthodontic Centers of America Inc.     Common Stock    68750P103      107      4,715             x                0    4,715     0
Optical Cable Corp.                     Common Stock    683827109       30      1,000             x                0    1,000     0
Oceanfirst Finl Corp                    Common Stock    675234108        7        380             x                0      380     0
Oneida Ltd                              Common Stock    682505102        9        500             x                0      500     0
Omnicare Inc.                           Common Stock    681904108      220     24,295             x                0   24,295     0
O  C G Technology Inc                   Common Stock    670818103       47    358,550             x                0  358,550     0
Office Depot, Inc.                      Common Stock    676220106      130     20,865             x                0   20,865     0
Orbital Engine Corp - Sponsored ADR     ADR             685563306        4        500             x                0      500     0
Ohio Edison Fing Tr Pfd Cap Tr A9%      PFD QTR 30/360  677350209       14        580             x                0      580     0
Ocean Energy Inc.                       Common Stock    67481E106      575     40,521             x                0   40,521     0
Corporate Office Properties Trust       Common Stock    22002T108      102     11,050             x                0   11,050     0
Oriental Financial Group                Common Stock    68618W100        6        400             x                0      400     0
Ogden Corp.                             Common Stock    676346109       20      2,250             x                0    2,250     0
OGE Energy Corp.                        Common Stock    670837103       88      4,732             x                0    4,732     0
Oge Energy Cap Trust I                  PFD QTR 30/360  67084C200       80      3,300             x                0    3,300     0
Old Guard Group Inc.                    Common Stock    679783100        3        300             x                0      300     0
Oglebay Norton Co                       Common Stock    677007106        1         35             x                0       35     0
Organic Inc                             Common Stock    68617E101        8        800             x                0      800     0
Oakwood Homes Corp.                     Common Stock    674098108      125     69,040             x                0   69,040     0
Omega Healthcare Investors, Inc.        Common Stock    681936100       46     10,250             x                0   10,250     0
Owens Illinois Inc.                     Common Stock    690768403        3        250             x                0      250     0
Morgan Stanley Dean Witter Mun Inc      MutualFdFiClose 61745P452       13      1,500             x                0    1,500     0
Morgan Stanley Dean Witter Mun Inc III  MutualFdFiClose 61745P437       36      4,406             x                0    4,406     0
Ocenaeering  Inc.                       Common Stock    675232102       38      2,000             x                0    2,000     0
Triton Energy Limited                   Common Stock    G90751101      234      5,960             x                0    5,960     0
Triton Energy Corporation               Common Stock    896750106        1         27             x                0       27     0
Old Kent Financial Corp.                Common Stock    679833103      241      9,008             x                0    9,008     0
Oneok Inc.                              Common Stock    682680103       80      3,095             x                0    3,095     0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
     FORM 13F      Name of Reporting Manager:                                                              Run Date: 07/17/2000
                                                 Legg Mason Wood Walker (IMS)                              -------------------------
                                               For Positions Held as of 06/30/2000                         S.E.C. Use Only

                                                                                                           -------------------------
          Item 1:              Item 2:        Item 3:       Item 4:    Item 5:           Item 6:           Item 7:      Item 8:
       Name of Issuer       Title of Class     CUSIP         Fair     Shares or    Investment Discretion    Other   Voting Authority
                                                            Market    Principal    (a)     (b)     (c)      Mgrs       (Shares)
                                                            Value       Amt.      Sole   Shared   Other             (a)   (b)    (c)
                                                          (X $1000)                                                 Sole Shared None

------------------------------------------------------------------------------------------------------------------------------------
<S>                         <C>              <C>          <C>         <C>         <C>    <C>      <C>      <C>      <C>  <C>    <C>
Olicom                       Common Stock    K7514Y107           4        2,000             x                         0   2,000    0
Olin Corp.                   Common Stock    680665205          90        5,437             x                         0   5,437    0
Offshore Logistics Inc.      Common Stock    676255102       1,049       72,980             x                         0  72,980    0
Olympus OPTICAL Co Ltd       ADR             681627204           1           32             x                         0      32    0
Omnicom Group Inc.           Common Stock    681919106       1,861       20,896             x                         0  20,896    0
Original Media Inc           Foreign Stock   686200106           0        5,000             x                         0   5,000    0
Omega Protein Corp           Common Stock    68210P107           1          400             x                         0     400    0
Omega Financial Corp.        Common Stock    682092101          11          420             x                         0     420    0
OM Group Inc.                Common Stock    670872100         241        5,470             x                         0   5,470    0
Owens & Minor Inc. New       Common Stock    690732102          21        1,245             x                         0   1,245    0
Open Market Incorporated     Common Stock    68370M100          97        7,040             x                         0   7,040    0
Omnova Solutions Inc         Common Stock    682129101           1          225             x                         0     225    0
Omtool Ltd.                  Common Stock    681974101           5        3,000             x                         0   3,000    0
Officemax Inc.               Common Stock    67622M108          94       18,790             x                         0  18,790    0
Oncor, Inc.                  Common Stock    682311105           0        3,600             x                         0   3,600    0
On Command Corp.             Common Stock    682160106         136        9,539             x                         0   9,539    0
Bank One Corp.               Common Stock    06423A103       9,401      353,928             x                         0 353,928    0
Onemain.Com Inc.             Common Stock    68267P109          82        7,270             x                         0   7,270    0
Scg Hldg Corp                Common Stock    783884109           2           95             x                         0      95    0
On-Site Sourcing Inc.        Common Stock    682195102           4        1,000             x                         0   1,000    0
On2 Com Inc                  Common Stock    68338A107          28        5,500             x                         0   5,500    0
Ontro Inc                    Common Stock    683380109          13        6,000             x                         0   6,000    0
Onvia Com Inc                Common Stock    68338T106          13        1,500             x                         0   1,500    0
Onyx Software Corp.          Common Stock    683402101         370       12,465             x                         0  12,465    0
Onyx Pharmaceuticals Inc     Common Stock    683399109         709       57,300             x                         0  57,300    0
Onyx Acceptance Corp.        Common Stock    682914106           2          500             x                         0     500    0
Oakley Inc.                  Common Stock    673662102           7          600             x                         0     600    0
Official Pmts Corp           Common Stock    676235104           9        2,000             x                         0   2,000    0
Optimal Robotics Corp        Foreign Stock   68388R208           2           50             x                         0      50    0
Old Point Financial Corp.    Common Stock    680194107          48        2,600             x                         0   2,600    0
Oppenheimer Inds Inc.        Common Stock    683800106           0        2,500             x                         0   2,500    0
Realty Income Corp Pfd
 Cl C 9.50%                  PFD P12 30/360  756109500          23        1,000             x                         0   1,000    0
Optelcom Inc.                Common Stock    683818207           5        1,100             x                         0   1,100    0
OPTI Inc.                    Common Stock    683960108          10        2,000             x                         0   2,000    0
Optika Inc                   Common Stock    683973101          35        5,800             x                         0   5,800    0
Opentv Corp                  Foreign Stock   G67543101          14          310             x                         0     310    0
Opus360 Corp                 Common Stock    68400F109           2          528             x                         0     528    0
Online Entmt Inc             Common Stock    68274C109          16        2,800             x                         0   2,800    0
Orbital Sciences Corp.       Common Stock    685564106          14        1,150             x                         0   1,150    0
Orbotech Limited Ord         Common Stock    M75253100       1,444       15,553             x                         0  15,553    0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
     FORM 13F      Name of Reporting Manager:                                                              Run Date: 07/17/2000
                                                 Legg Mason Wood Walker (IMS)                              -------------------------
                                               For Positions Held as of 06/30/2000                         S.E.C. Use Only

                                                                                                           -------------------------
         Item 1:                     Item 2:      Item 3:     Item 4:    Item 5:           Item 6:         Item 7:    Item 8:
      Name of Issuer              Title of Class   CUSIP       Fair    Shares or    Investment Discretion   Other  Voting Authority
                                                              Market   Principal    (a)     (b)     (c)     Mgrs      (Shares)
                                                              Value      Amt.      Sole   Shared   Other           (a)   (b)    (c)
                                                            (X $1000)                                              Sole  Shared None

------------------------------------------------------------------------------------------------------------------------------------
<S>                               <C>             <C>       <C>        <C>         <C>    <C>      <C>     <C>     <C>   <C>    <C>
Orchid Biosciences Inc            Common Stock    68571P100         8       200              x                        0     200    0
Oracle Systems Corp.              Common Stock    68389X105    37,188   442,382              x                        0 442,382    0
Orckit Communications Ltd         Foreign Stock   M7531S107        25       825              x                        0     825    0
Isolyser Co Inc.                  Common Stock    464888106         3     1,000              x                        0   1,000    0
Organogenesis Inc.                Common Stock    685906109        88     7,702              x                        0   7,702    0
Old Republic International Corp.  Common Stock    680223104        74     4,475              x                        0   4,475    0
O Reilly Automotive Inc.          Common Stock    686091109        39     2,825              x                        0   2,825    0
Orex Minerals Corp.               Common Stock    68616R103         0       150              x                        0     150    0
Orex Corporation                  Common Stock    686162108         0     3,000              x                        0   3,000    0
Oregon Steel Mills Inc.           Common Stock    686079104         0       100              x                        0     100    0
Osca Inc                          Common Stock    687836106        24     1,400              x                        0   1,400    0
Overseas Shipholding              Common Stock    690368105       167     6,800              x                        0   6,800    0
Outback Steakhouse Inc.           Common Stock    689899102       992    33,931              x                        0  33,931    0
Osi Pharmaceuticals Inc           Common Stock    671040103         3       100              x                        0     100    0
Osteotech Inc.                    Common Stock    688582105         2       225              x                        0     225    0
Royce Micro Cap Trust Inc.        MutualFdEqClose 780915104        70     6,949              x                        0   6,949    0
Hellenic Telecommun Org - ADR     ADR             423325307        10       830              x                        0     830    0
Open Text Corp.                   Common Stock    683715106         5       210              x                        0     210    0
Oxford Tax Exempt Fund II LP      LTD Part  P0    69181P100        12       500              x                        0     500    0
Octel Corp.                       Common Stock    675727101        32     4,132              x                        0   4,132    0
Oshkosh Truck Corp. Class B       Common Stock    688239201       114     3,195              x                        0   3,195    0
Otter Tail Power Co               Common Stock    689648103        35     1,662              x                        0   1,662    0
Realty INcome Corp. 8.25%         Preferred Stock 756109203         4       175              x                        0     175    0
One Valley Bancorp Inc.           Common Stock    682419106       198     6,331              x                        0   6,331    0
Owens Corning                     Common Stock    69073F103        76     8,210              x                        0   8,210    0
Onewworld Systems Inc New         Common Stock    682917307         0       130              x                        0     130    0
Sunterra Corp                     Common Stock    86787D109        10    45,000              x                        0  45,000    0
Omega Worldwide Inc.              Common Stock    68210B108         1       176              x                        0     176    0
Oxigene Inc.                      Common Stock    691828107        10     1,000              x                        0   1,000    0
Oxford Health Plans Inc.          Common Stock    691471106       539    22,625              x                        0  22,625    0
Occidental Petroleum Corp.        Common Stock    674599105       342    16,248              x                        0  16,248    0
OYO Geospace                      Common Stock    671074102        18       900              x                        0     900    0
Cyclopss Corp.                    Common Stock    232537209         4    10,000              x                        0  10,000    0
Phillips Petroleum Company        Common Stock    718507106     1,688    33,306              x                        0  33,306    0
Phillips 66 Capital I 8.24%
 Trust Orig                       PFD QTR 30/360  718550205        23     1,000              x                        0   1,000    0
Ohio Power Co 7.375%              PFD QTR 30/360  677415762        32     1,500              x                        0   1,500    0
Prime Group Realty Trust 9.0%     PFD QTR 30/360  74158J202        15       850              x                        0     850    0
Offshore Tool & Energy Corp       Foreign Stock   U67582103         1    11,146              x                        0  11,146    0
Oxy Capital Trust I 8.16% PFD     PFD QTR 30/360  692070204        37     1,810              x                        0   1,810    0
Phila Auth Indl Dev Pension       PFD QTR 30/360  71781M206        41     2,000              x                        0   2,000    0
</TABLE>








































<PAGE>

<TABLE>
<CAPTION>
      FORM 13F      Name of Reporting Manager:                                                             Run Date: 07/17/2000
                                                 Legg Mason Wood Walker (IMS)                              -------------------------
                                               For Positions Held as of 06/30/2000                         S.E.C. Use Only

                                                                                                           -------------------------
                Item 1:                 Item 2:      Item 3:    Item 4:     Item 5:        Item 6:         Item 7:     Item 8:
            Name of Issuer          Title of Class    CUSIP      Fair     Shares or  Investment Discretion  Other  Voting Authority
                                                                Market    Principal  (a)     (b)     (c)     Mgrs      (Shares)
                                                                 Value       Amt.    Sole   Shared   Other         (a)   (b)    (c)
                                                               (X $1000)                                          Sole  Shared None

------------------------------------------------------------------------------------------------------------------------------------
<S>                                 <C>             <C>        <C>        <C>        <C>    <C>      <C>   <C>    <C>   <C>    <C>
Ondisplay Inc                       Common Stock    68232L993       84        1,000           x                      0   1,000    0
Procurenet Inc                      Common Stock    742804107        0        1,625           x                      0   1,625    0
Penelec Capital Trust 7.34%         Preferred Stock 706871209      133        6,000           x                      0   6,000    0
Provident Capital Trust II 8.75%    PFD QTR 30/360  74386E207       90        4,300           x                      0   4,300    0
Protherics Ord                      Common Stock    G7274D108        1        2,326           x                      0   2,326    0
Palmetto Bancshares Inc             Common Stock    697062107        0          480           x                      0     480    0
Progressive Savings & Loan LTD      Common Stock    74337P103        0        2,925           x                      0   2,925    0
Queenstown Bank of Maryland         Common Stock    74831Y105       39          812           x                      0     812    0
QMG Holdings Inc                    Common Stock    747257103        0        5,500           x                      0   5,500    0
Pan Am Corp.                        Common Stock    697758100        1        2,000           x                      0   2,000    0
Panamerica Bancorp                  Common Stock    69829X101        0       15,045           x                      0  15,045    0
Pacific Telesis Finance TOPRS       Preferred Stock 694887209       13          591           x                      0     591    0
Pacific Telesis Finance II          Preferred Stock 694889205      127        5,202           x                      0   5,202    0
Pac-west Telecom Inc                Common Stock    69371Y101       22        1,120           x                      0   1,120    0
Pacific Gulf Properties Inc.        Common Stock    694396102       20          800           x                      0     800    0
Paging Network, Inc.                Common Stock    695542100       13       17,850           x                      0  17,850    0
Petroleum Acreage Corp Texas        Common Stock    716560107        0        2,000           x                      0   2,000    0
Palm Inc                            Common Stock    696642107      525       15,725           x                      0  15,725    0
Universal Display Corp              Common Stock    91347P105       98        3,300           x                      0   3,300    0
Asia Pulp & Paper Co Ltd ADR        ADR             04516V100        5        1,020           x                      0   1,020    0
Paramount Res Ltd                   Foreign Stock   699320107        2          170           x                      0     170    0
Bullet Sports Intl Inc              Common Stock    12021X107        0          500           x                      0     500    0
Pharmos Corp                        Common Stock    717139208       14        3,800           x                      0   3,800    0
Pacific Softworks Inc               Common Stock    694821109        1          500           x                      0     500    0
Ameripath Inc.                      Common Stock    03071D109       36        4,000           x                      0   4,000    0
Paul Harris Stores Inc New          Common Stock    703555201        0          100           x                      0     100    0
Paxson Communications Corp.         Common Stock    704231109       16        2,000           x                      0   2,000    0
Payforview Com Corp.                Foreign Stock   704377209        0        1,000           x                      0   1,000    0
Paychex Inc.                        Common Stock    704326107    1,532       36,478           x                      0  36,478    0
Pan American Beverages Inc.         Common Stock    P74823108       21        1,430           x                      0   1,430    0
People's Bank - Bridgeport, CT      Common Stock    710198102       21        1,150           x                      0   1,150    0
The Pepsi Bottling Group Inc.       Common Stock    713409100       48        1,650           x                      0   1,650    0
Pitney-Bowes, Inc.                  Common Stock    724479100      905       22,629           x                      0  22,629    0
Patriot Bank Corporation PA         Common Stock    70335P103        7        1,000           x                      0   1,000    0
Provident Bankshares Corp.          Common Stock    743859100      816       60,415           x                      0  60,415    0
Provident Tr Ii                     PFD QTR 30/360  74405Y200      303       11,900           x                      0  11,900    0
Precept Business Svcs Inc           Common Stock    740165204        0            2           x                      0       2    0
Pathobiotek Diagnostics Inc         Common Stock    70321F101        1        3,000           x                      0   3,000    0
Pep Boys - Manny, Moe & Jack        Common Stock    713278109      140       23,273           x                      0  23,273    0
Paccar Inc.                         Common Stock    693718108      216        5,435           x                      0   5,435    0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
     FORM 13F      Name of Reporting Manager:                                                              Run Date: 07/17/2000
                                                 Legg Mason Wood Walker (IMS)                              -------------------------
                                               For Positions Held as of 06/30/2000                         S.E.C. Use Only

                                                                                                           -------------------------
              Item 1:                  Item 2:       Item 3:     Item 4:    Item 5:           Item 6:      Item 7:     Item 8:
           Name of Issuer           Title of Class    CUSIP       Fair    Shares or  Investment Discretion  Other  Voting Authority
                                                                 Market   Principal  (a)     (b)     (c)     Mgrs      (Shares)
                                                                  Value      Amt.    Sole   Shared   Other         (a)   (b)    (c)
                                                                (X $1000)                                          Sole  Shared None

------------------------------------------------------------------------------------------------------------------------------------
<S>                                  <C>             <C>        <C>       <C>        <C>    <C>      <C>   <C>     <C>  <C>     <C>
PC Connection Inc.                   Common Stock    69318J100      201      3,525            x                       0   3,525   0
Pacific Century Cyberworks           Foreign Stock   Y6801N100      359    181,770            x                       0 181,770   0
Putnam High Income Cvt & Bd Fd       MutualFdFiClose 746779107       10      1,300            x                       0   1,300   0
P G & E Corp.                        Common Stock    69331C108      867     35,192            x                       0  35,192   0
Pacific Gas & Elec                   PFD QTR 30/360  694308206       66      3,500            x                       0   3,500   0
PG&E Capital I 7.90% Cum PFD Ser A   PFD QTR 30/360  69331F200      116      5,020            x                       0   5,020   0
Potlach Corp.                        Common Stock    737628107      136      4,100            x                       0   4,100   0
Plum Creek Timber Co L P             Common Stock    729251108       74      2,850            x                       0   2,850   0
Priceline.Com Inc.                   Common Stock    741503106      575     15,140            x                       0  15,140   0
Pimco Commercial Mortgage            Common Stock    693388100       22      1,800            x                       0   1,800   0
P-Com Inc                            Common Stock    693262107       16      2,900            x                       0   2,900   0
Physician Computer Network           Common Stock    71940K109        0      1,000            x                       0   1,000   0
Pacific Internet Limited             Common Stock    Y66183107       37      2,420            x                       0   2,420   0
Pointe Comm Corp                     Common Stock    730749108        1        425            x                       0     425   0
Pharmacopeia Inc.                    Common Stock    71713B104      339      7,310            x                       0   7,310   0
Precision Castparts Corp.            Common Stock    740189105      102      2,255            x                       0   2,255   0
Pacificorp Pfd 7%                    PFD QTR 30/360  695114884        1         15            x                       0      15   0
Pacificorp                           PFD QTR 30/360  695114629        5        200            x                       0     200   0
Sprint Corp. (PCS Group)             Common Stock    852061506    3,136     52,712            x                       0  52,712   0
Airgate Pcs Inc                      Common Stock    009367103       74      1,410            x                       0   1,410   0
Payless Cashways Inc                 Common Stock    704378405      162    110,000            x                       0 110,000   0
Pacific Aerospace & Electronics Inc  Common Stock    693758104       26     11,000            x                       0  11,000   0
Picturetel Corp. Com New             Common Stock    720035302        7      2,600            x                       0   2,600   0
Party City Corporation               Common Stock    702145103        3      1,050            x                       0   1,050   0
Phelps Dodge                         Common Stock    717265102      337      9,050            x                       0   9,050   0
P D C Innovation Inds Inc Com New    Common Stock    693275208        0         50            x                       0      50   0
Patterson Dental Co                  Common Stock    703412106       89      1,737            x                       0   1,737   0
Pride International Inc.             Common Stock    741932107       12        500            x                       0     500   0
Placer Dome Inc.                     Common Stock    725906101       34      3,551            x                       0   3,551   0
Putnam Dividend Income Fd            Common Stock    746706100        3        350            x                       0     350   0
Prandium Inc                         Common Stock    73972W100       13     54,000            x                       0  54,000   0
North Amern Palladium Ltd            Foreign Stock   656912102       12      2,000            x                       0   2,000   0
Protein Design Labs Inc.             Common Stock    74369L103    1,710     10,365            x                       0  10,365   0
Princeton Dental Mgmt Corp           Common Stock    741872204        0         40            x                       0      40   0
Precision Drilling Corp.             Common Stock    74022D100      170      4,407            x                       0   4,407   0
John Hancock Patriot Premium         Common Stock    41013T105       60      6,400            x                       0   6,400   0
Pediatrix Medical Group Inc          Common Stock    705324101       47      4,000            x                       0   4,000   0
Paradyne Networks Inc                Common Stock    69911G107       81      2,496            x                       0   2,496   0
Peco Energy Co                       Common Stock    693304107      479     11,887            x                       0  11,887   0
PECO Energy Co $3.80 Pfd             Preferred Stock 693304206       37        700            x                       0     700   0
</TABLE>

<PAGE>

<TABLE>
<CAPTION>
     FORM 13F      Name of Reporting Manager:                                                              Run Date: 07/17/2000
                                                 Legg Mason Wood Walker (IMS)                              -------------------------
                                               For Positions Held as of 06/30/2000                         S.E.C. Use Only

                                                                                                           -------------------------
               Item 1:                 Item 2:      Item 3:      Item 4:    Item 5:           Item 6:      Item 7:    Item 8:
           Name of Issuer          Title of Class    CUSIP        Fair    Shares or  Investment Discretion  Other  Voting Authority
                                                                 Market   Principal  (a)     (b)     (c)     Mgrs      (Shares)
                                                                  Value      Amt.    Sole   Shared   Other         (a)   (b)    (c)
                                                                (X $1000)                                          Sole  Shared None

------------------------------------------------------------------------------------------------------------------------------------
<S>                                 <C>             <C>         <C>       <C>        <C>    <C>      <C>   <C>     <C>   <C>    <C>
PECO Energy Co $4.30 Pfd            Preferred Stock 693304305        6          100      x                           0       100  0
Peco Energy Cap Tr Ii               PFD P12 30/360  69331A201       47        2,000      x                           0     2,000  0
Peaksoft Multinet Corp              Common Stock    704916204        0          125      x                           0       125  0
PE Corp PE Biosystems Group         Common Stock    69332S102    1,742       26,443      x                           0    26,443  0
Peoples Bancorp Inc                 Common Stock    709789101       21        1,487      x                           0     1,487  0
Petroleo Brasileiro SA - Sponsored
 ADR                                ADR             71654V101    6,711      222,127      x                           0   222,127  0
Pec Solutions Inc                   Common Stock    705107100       51        6,250      x                           0     6,250  0
Peekskill Financial Corp.           Common Stock    705385102        8          370      x                           0       370  0
Public Service Enterprise Group     Common Stock    744573106      923       26,671      x                           0    26,671  0
Enterprise Capital Tr I-7.44%
 Cum Trus                           PFD QTR 30/360  293701207       73        3,560      x                           0     3,560  0
PSE&G  Capt Trust II 8.125%
 Pfd Ser B                          PFD QTR 30/360  69361T203       32        1,400      x                           0     1,400  0
PSE&G Capt Trust I 8.625% Cum       PFD QTR 30/360  693941205       63        2,640      x                           0     2,640  0
Public Svc Elec & Gas L P           PFD P12 30/360  744569302       46        2,000      x                           0     2,000  0
Pegasystems Inc                     Common Stock    705573103       20        4,000      x                           0     4,000  0
Pegasus Systems Inc                 Common Stock    705906105      154       14,199      x                           0    14,199  0
Pennsylvania Real Estate Tr SBI     Common Stock    709102107      148        8,654      x                           0     8,654  0
Petroleum & Resources Corp.         Common Stock    716549100       41        1,121      x                           0     1,121  0
PepsiCo, Inc.                       Common Stock    713448108   17,858      401,859      x                           0   401,859  0
Piezo Elec Prods Inc                Foreign Stock   720888304        0           40      x                           0        40  0
Peco Energy Co $4.40 Pfd            PFD QTR 30/360  693304404       16          300      x                           0       300  0
Potomac Edison Co Quids A8% 2025    PFD QTR 30/360  737662866       18          800      x                           0       800  0
Perot Systems Corp. Cl A            Common Stock    714265105      352       32,000      x                           0    32,000  0
Petco Animal Supplies Inc           Common Stock    716016100      134        6,850      x                           0     6,850  0
Petsmart, Inc.                      Common Stock    716768106      235       69,603      x                           0    69,603  0
Peugeot SA Spon ADR                 ADR             716825500        5           93      x                           0        93  0
Pro-Fac Cooperative Pfd A           Preferred Stock 74265P208        8          525      x                           0       525  0
Premier Financial Bancorp, Inc.     PFD QTR 30/360  69331U207       17          725      x                           0       725  0
Peacock Finl Corp                   Common Stock    704908102        0        1,000      x                           0     1,000  0
Preferred Income Fd Inc             Common Stock    74037G106        4          337      x                           0       337  0
Pfizer Inc.                         Common Stock    717081103   53,920    1,123,327      x                           0 1,123,327  0
Park Bancorp Inc                    Common Stock    700164106        1           80      x                           0        80  0
PFF Bancorp Inc.                    Common Stock    69331W104       29        1,580      x                           0     1,580  0
Performance Food Group Co           Common Stock    713755106       10          310      x                           0       310  0
Provident Financial GRP             Common Stock    743866105       29        1,208      x                           0     1,208  0
Preferred Networks Inc.             Common Stock    739905107        0          150      x                           0       150  0
Preferred Income Opportunity        Common Stock    74037H104      119       12,500      x                           0    12,500  0
Premier Farnell PLC Sponsored ADR   ADR             74050U107        2          126      x                           0       126  0
Premier Farnell PLC Sponsored ADR   Foreign Stock   74050U206        2          102      x                           0       102  0
Pfsweb Inc                          Common Stock    717098107       24        5,215      x                           0     5,215  0
Procter & Gamble Co.                Common Stock    742718109   15,579      272,129      x                           0   272,129  0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
     FORM 13F      Name of Reporting Manager:                                                               Run Date: 07/17/2000
                                                 Legg Mason Wood Walker (IMS)                               ------------------------
                                               For Positions Held as of 06/30/2000                          S.E.C. Use Only

                                                                                                            ------------------------
                  Item 1:                 Item 2:      Item 3:   Item 4:   Item 5:           Item 6:        Item 7:    Item 8:
              Name of Issuer          Title of Class    CUSIP      Fair   Shares or  Investment Discretion   Other  Voting Authority
                                                                  Market  Principal  (a)      (b)    (c)      Mgrs      (Shares)
                                                                  Value     Amt.     Sole    Shared  Other          (a)   (b)    (c)
                                                                (X $1000)                                          Sole  Shared None

------------------------------------------------------------------------------------------------------------------------------------
<S>                                   <C>             <C>       <C>       <C>        <C>     <C>     <C>    <C>    <C>  <C>     <C>
Portland Genl Elec 8.25%              PFD QTR 30/360  736508854       12          500           x                     0     500   0
Prime Group Realty Trust              Common Stock    74158J103       10          680           x                     0     680   0
Pacific Gateway Exchange Inc.         Common Stock    694327107       28        8,125           x                     0   8,125   0
Portugal Fund Inc.                    MutualFdEqClose 737265108       81        6,500           x                     0   6,500   0
Polymer Group Inc                     Common Stock    731745105      122       13,217           x                     0  13,217   0
Peoples Energy Corp.                  Common Stock    711030106       32          983           x                     0     983   0
Putnam Investment Grade               Common Stock    746805100       38        3,700           x                     0   3,700   0
Stillwater Mining Co                  Common Stock    86074Q102       28        1,000           x                     0   1,000   0
Progenics Pharmaceutals Inc.          Common Stock    743187106       14        1,000           x                     0   1,000   0
Petroleum Geo Services A/S SPONS ADR  ADR             716597109       69        4,040           x                     0   4,040   0
Pgs Trust I                           PFD 30/360 P1   69335C104       24        1,200           x                     0   1,200   0
Progressive Corp.                     Common Stock    743315103       88        1,185           x                     0   1,185   0
Pegasus Communications Corp. - Cl A   Common Stock    705904100       59        1,200           x                     0   1,200   0
Pegasus Gold, Inc.                    Common Stock    70556K106        0          650           x                     0     650   0
Parker Hannifin Corp.                 Common Stock    701094104      795       23,202           x                     0  23,202   0
Pharmacia Corp                        Common Stock    71713U102    8,665      167,635           x                     0 167,635   0
Pharmanetics Inc                      Common Stock    71713J107      177        8,900           x                     0   8,900   0
Priority Healthare Corp.              Common Stock    74264T201        6           84           x                     0      84   0
Phone Com Inc                         Common Stock    71920Q100      407        6,248           x                     0   6,248   0
Pacholder High Yield Fund             MutualFdFiClose 693742108        9          700           x                     0     700   0
Pittsburgh Finl Corp                  Common Stock    725098107       12        1,500           x                     0   1,500   0
Koninklijke Philips Electronics
 NV ADRADR                                            500472204   17,964      378,186           x                     0 378,186   0
Philippine Long Distance              ADR             718252604        2          140           x                     0     140   0
Pacifichealth Laboratories Inc        Common Stock    695113100        4        1,250           x                     0   1,250   0
Laser Photonics Inc                   Common Stock    517903308        8          500           x                     0     500   0
PHP Healthcare Corp.                  Common Stock    693344103        0        1,000           x                     0   1,000   0
Pacificare Health Sys Cl A            Common Stock    695112102       18          300           x                     0     300   0
Photon Dynamics Inc                   Common Stock    719364101       24          325           x                     0     325   0
Philip Services Corp.                 Common Stock    71819M103        0       80,609           x                     0  80,609   0
Phoenix Information Sys Corp          Common Stock    719077109        0        1,000           x                     0   1,000   0
Phycor Inc.                           Common Stock    71940F100        5        7,525           x                     0   7,525   0
Piccadilly Cafeterias Inc.            Common Stock    719567109        7        2,585           x                     0   2,585   0
Pico Holdings Inc                     Common Stock    693366205       22        1,599           x                     0   1,599   0
Insured Municipal Income Fund         Common Stock    45809F104       75        6,265           x                     0   6,265   0
Polaris Industries Inc.               Common Stock    731068102      815       25,475           x                     0  25,475   0
Water Pik Technologies Inc            Common Stock    94113U100        0           15           x                     0      15   0
Putnam Master Intermediate            Common Stock    746909100      524       83,877           x                     0  83,877   0
AMF Bowling Inc.                      Common Stock    03113V109        0        2,000           x                     0   2,000   0
Pinnacle Global Group Inc             Common Stock    723465100       30        7,500           x                     0   7,500   0
***Pioneer Corporation ADS            ADR             723646105      308        7,610           x                     0   7,610   0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
     FORM 13F      Name of Reporting Manager:                                                               Run Date: 07/17/2000
                                                 Legg Mason Wood Walker (IMS)                               ------------------------
                                               For Positions Held as of 06/30/2000                          S.E.C. Use Only

                                                                                                            ------------------------
                Item 1:                  Item 2:       Item 3:   Item 4:    Item 5:           Item 6:       Item 7:    Item 8:
            Name of Issuer           Title of Class     CUSIP     Fair    Shares or  Investment Discretion  Other  Voting Authority
                                                                 Market   Principal  (a)     (b)     (c)     Mgrs      (Shares)
                                                                  Value      Amt.    Sole   Shared   Other         (a)   (b)    (c)
                                                                (X $1000)                                          Sole  Shared None

------------------------------------------------------------------------------------------------------------------------------------
<S>                                  <C>              <C>       <C>       <C>        <C>    <C>      <C>    <C>    <C>   <C>    <C>
Pioneer Standard                      Common Stock    723877106      83      5,650            x                       0     5,650  0
Pier 1 Imports Inc.                   Common Stock    720279108      22      2,300            x                       0     2,300  0
Pirelli SPA - Unsponsored ADR         ADR             724258207       9      3,400            x                       0     3,400  0
PIXAR Inc.                            Common Stock    725811103      44      1,250            x                       0     1,250  0
Central Parking Corporation           Common Stock    154785109     327     13,815            x                       0    13,815  0
Parker Drilling Co                    Common Stock    701081101      28      4,500            x                       0     4,500  0
Packaging Corp Amer                   Common Stock    695156109     161     15,900            x                       0    15,900  0
Perkinelmer Inc                       Common Stock    714046109      70      1,056            x                       0     1,056  0
Park Meridian Bk Charlotte Inc        Common Stock    700579105      54      5,296            x                       0     5,296  0
Premier Parks Inc                     Common Stock    740540208      19        847            x                       0       847  0
Primus Knowledge Solutions Inc        Common Stock    74163Q100      19        415            x                       0       415  0
Packeteer Inc                         Common Stock    695210104     130      4,450            x                       0     4,450  0
Pohang Iron & Steel Co, Ltd ADS       ADR             730450103      97      4,060            x                       0     4,060  0
Parkway Pptys Inc                     PFD QTR 30/360  70159Q302      20      1,000            x                       0     1,000  0
Protective Life Corp.                 Common Stock    743674103     106      3,985            x                       0     3,985  0
Playboy Enterprise Inc.               Common Stock    728117300       3        200            x                       0       200  0
Open Plan Systems Inc.                Common Stock    683709109      21     11,100            x                       0    11,100  0
PLC Systems Inc.                      Common Stock    69341D104       5      4,000            x                       0     4,000  0
Children's Place Retail Stores Inc.   Common Stock    168905107      92      4,500            x                       0     4,500  0
Polycom Inc                           Common Stock    73172K104     375      3,990            x                       0     3,990  0
Play Co Toys & Entmt Corp             Common Stock    728116302       2     10,000            x                       0    10,000  0
Prologis Trust                        Common Stock    743410102     333     15,617            x                       0    15,617  0
Prologis Trust Pfd Sh Ben Int Ser A   PFD QTR 30/360  743410201      15        650            x                       0       650  0
Prologis Tr                           PFD QTR 30/360  743410508      18        900            x                       0       900  0
Prologis Trust PFD SH BEN INT SER E   PFD QTR 30/360  743410607      50      2,200            x                       0     2,200  0
Pinnacle Bancshares Inc               Common Stock    722903101       2        200            x                       0       200  0
Presidential Life Corp NY             Common Stock    740884101      13        950            x                       0       950  0
Platforms Intl Corp                   Common Stock    72765A101       0      1,000            x                       0     1,000  0
Prometic Life Sciences Inc            Foreign Stock   74342Q104      10     11,300            x                       0    11,300  0
Pall Corp.                            Common Stock    696429307   1,729     93,443            x                       0    93,443  0
Phosphate Resource Partners LP        LTD Part  P4    719217101       7      1,100            x                       0     1,100  0
Premier Laser System Inc CL A         Common Stock    740522107       0      2,500            x                       0     2,500  0
Plantronics Inc                       Common Stock    727493108     410      3,550            x                       0     3,550  0
Plug Power Inc                        Common Stock    72919P103     146      2,340            x                       0     2,340  0
EPLUS Inc                             Common Stock    294268107     159      6,000            x                       0     6,000  0
Plexus Corporation                    Common Stock    729132100       5         45            x                       0        45  0
Playnet Technologies Inc              Common Stock    727914103       0     20,000            x                       0    20,000  0
Polymedica Industries                 Common Stock    731738100     200      4,620            x                       0     4,620  0
PMC Capital Inc.                      Common Stock    693430100      85      8,700            x                       0     8,700  0
PMC-Sierra Inc                        Common Stock    69344F106   3,553     19,998            x                       0    19,998  0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
     FORM 13F      Name of Reporting Manager:                                                            Run Date: 07/17/2000
                                                 Legg Mason Wood Walker (IMS)                            -------------------------
                                               For Positions Held as of 06/30/2000                       S.E.C. Use Only

                                                                                                         -------------------------
           Item 1:                 Item 2:         Item 3:    Item 4:    Item 5:           Item 6:       Item 7:     Item 8:
         Name of Issuer          Title of Class     CUSIP      Fair    Shares or  Investment Discretion  Other  Voting Authority
                                                               Market   Principal  (a)     (b)     (c)     Mgrs      (Shares)
                                                               Value      Amt.    Sole   Shared   Other         (a)   (b)    (c)
                                                             (X $1000)                                          Sole  Shared None

----------------------------------------------------------------------------------------------------------------------------------
<S>                               <C>             <C>        <C>       <C>        <C>    <C>      <C>    <C>    <C>   <C>    <C>
Psychemedics Corp                 Common Stock    744375106       1          206            x                      0     206    0
Penton Media Inc.                 Common Stock    709668107     439       12,550            x                      0  12,550    0
Peerless Mfg Co                   Common Stock    705514107       8          455            x                      0     455    0
Putnam Investment Grade           Common Stock    746806108      74        6,704            x                      0   6,704    0
Putnam Tax-Free Health Care       Common Stock    746920107      49        4,050            x                      0   4,050    0
Prime Bank-Orange Conn            Common Stock    741915102      26        5,000            x                      0   5,000    0
PMI Group Inc.                    Common Stock    69344M101      71        1,489            x                      0   1,489    0
Primix Solutions                  Common Stock    741620108       4        1,000            x                      0   1,000    0
Pml Inc                           Common Stock    693448102       0          125            x                      0     125    0
Putnam Municipal Opportunities    Common Stock    746922103      20        1,670            x                      0   1,670    0
Phar-Mor Inc                      Common Stock    717113203      56       37,014            x                      0  37,014    0
Policy Management Systems         Common Stock    731108106     300       19,540            x                      0  19,540    0
New PMSI Inc.                     Common Stock    74156D108       3          400            x                      0     400    0
Parametric Technology Corp.       Common Stock    699173100     138       12,550            x                      0  12,550    0
Palomar Med Technologies Inc
 Com New                          Common Stock    697529303       2          998            x                      0     998    0
PNC Financial Services Group      Common Stock    693475105   4,230       90,235            x                      0  90,235    0
PNC Bank Corp                     Preferred Stock 693475501      28          334            x                      0     334    0
Pinnacle Micro Inc                Common Stock    723469102       1       30,000            x                      0  30,000    0
Ponder Industries Inc             Common Stock    732378203       0          400            x                      0     400    0
Copene Petroquimica Do Nordeste   Foreign Stock   217252105       2          130            x                      0     130    0
Pennaco Energy Inc                Common Stock    708046107      92        5,600            x                      0   5,600    0
Phon Net Com Inc                  Common Stock    719203101       1        1,000            x                      0   1,000    0
Pinnacle Entertainment Inc        Common Stock    723456109      89        4,600            x                      0   4,600    0
Pro Net Link Corp                 Common Stock    74266F100      12        6,350            x                      0   6,350    0
Public Service Co Of New Mexico   Common Stock    744499104       4          245            x                      0     245    0
Pentair Inc.                      Common Stock    709631105      96        2,695            x                      0   2,695    0
Pioneer Systems Inc.              Common Stock    723886107       0          400            x                      0     400    0
Pinnacle West Cap Corp            Common Stock    723484101      38        1,123            x                      0   1,123    0
Piedmont Natural Gas Co           Common Stock    720186105     289       10,890            x                      0  10,890    0
Precision Optics Corp.            Common Stock    740294103      50        3,000            x                      0   3,000    0
Patina Oil & Gas Corp             Common Stock    703224105     534       25,750            x                      0  25,750    0
Potomac Electric Power Co         Common Stock    737679100     983       39,326            x                      0  39,326    0
Potomac Elec Pwr Co Tr I          PFD QTR 30/360  73767N208      53        2,400            x                      0   2,400    0
SCP Pool Corp                     Common Stock    784028102      61        2,617            x                      0   2,617    0
Pope & Talbot Inc.                Common Stock    732827100      13          800            x                      0     800    0
Popmail Com Inc.                  Common Stock    733167100       5        4,500            x                      0   4,500    0
Catalina Marketing Corp.          Common Stock    148867104     468        4,590            x                      0   4,590    0
Pop Shoppes Intl Inc.             Common Stock    732818109       0        1,000            x                      0   1,000    0
Point of Sale Ltd                 Common Stock    M7945W108      22          925            x                      0     925    0
Peninsular & Oriental Steam
 Navigation                       ADR             707190401       1           30            x                      0      30    0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
     FORM 13F      Name of Reporting Manager:                                                              Run Date: 07/17/2000
                                                 Legg Mason Wood Walker (IMS)                              -------------------------
                                               For Positions Held as of 06/30/2000                         S.E.C. Use Only

                                                                                                           -------------------------
                  Item 1:                 Item 2:      Item 3:  Item 4:    Item 5:           Item 6:       Item 7:    Item 8:
              Name of Issuer          Title of Class    CUSIP     Fair    Shares or  Investment Discretion  Other  Voting Authority
                                                                 Market   Principal  (a)     (b)     (c)     Mgrs      (Shares)
                                                                  Value      Amt.    Sole   Shared   Other         (a)   (b)    (c)
                                                                (X $1000)                                          Sole  Shared None

------------------------------------------------------------------------------------------------------------------------------------
<S>                                   <C>             <C>       <C>       <C>        <C>    <C>      <C>   <C>     <C>   <C>    <C>
Prosofttraining Com Inc               Common Stock    743477101     142      8,425            x                       0   8,425   0
Potash Corp. of Saskatchewan          Foreign Stock   73755L107      97      1,757            x                       0   1,757   0
Power Integrations Inc.               Common Stock    739276103      13        550            x                       0     550   0
Prentiss Properties Trust             Common Stock    740706106      10        400            x                       0     400   0
Pinnacle Bankshares Corp.             Common Stock    72345E102      18      1,644            x                       0   1,644   0
Pressure Piping Components, Inc.      Common Stock    741114102       0        100            x                       0     100   0
Pre Paid Legal Services Inc.          Common Stock    740065107      84      2,795            x                       0   2,795   0
Pharmaceutical Product Development    Common Stock    717124101     256     12,200            x                       0  12,200   0
Park Place Entertainment Corp.        Common Stock    700690100     357     29,275            x                       0  29,275   0
John Hancock Patriot Preferred        Common Stock    41013J107     144     14,000            x                       0  14,000   0
PPG Industries, Inc.                  Common Stock    693506107   3,369     76,025            x                       0  76,025   0
Pharmaceutical Hldrs Tr               Common Stock    71712A206      42        400            x                       0     400   0
PPL Corp                              Common Stock    69351T106     493     22,478            x                       0  22,478   0
PP&L Capt Trust 8.2% Trust            Preferred Stock 693497208     102      4,375            x                       0   4,375   0
PP&L Capital Trust II 8.1% TOPRS Due  PFD QTR 30/360  693498206      27      1,150            x                       0   1,150   0
PP&L Inc Preferred Ser B 4.50%        PFD QTR 30/360  69351U301       7        125            x                       0     125   0
Peapod Inc                            Common Stock    704718105      21      6,950            x                       0   6,950   0
Pogo Producing                        Common Stock    730448107       2        100            x                       0     100   0
Pilgrim America Prime Rate Tr         Common Stock    72146W103     196     22,052            x                       0  22,052   0
Purchasepro Com                       Common Stock    746144104     263      6,420            x                       0   6,420   0
Post Properties Inc.                  Common Stock    737464107     149      3,376            x                       0   3,376   0
Pacificorp Capt I 8.25% Cum           PFD QTR 30/360  695115204     103      4,500            x                       0   4,500   0
Pacificorp Capital II-7.70% Tr Pfd    PFD QTR 30/360  69511N205      96      4,300            x                       0   4,300   0
Pennsylvania Power Co. 4.24% Pfd      PFD QTR 30/360  709068100      10        200            x                       0     200   0
Petroquest Energy Inc.                Common Stock    716748108      58     20,000            x                       0  20,000   0
Price Communications Corp.            Common Stock    741437305      31      1,325            x                       0   1,325   0
Paradigm Advanced Technologies        Common Stock    699004107      15      8,800            x                       0   8,800   0
Prestige Bancorp Inc.                 Common Stock    741115109      17      2,000            x                       0   2,000   0
Probusiness Services Inc              Common Stock    742674104     127      4,785            x                       0   4,785   0
Procom Technology Inc.                Common Stock    74270W107      87      1,680            x                       0   1,680   0
Praecis Pharmaceuticals Inc           Common Stock    739421105       9        340            x                       0     340   0
Polaroid Corp.                        Common Stock    731095105      54      2,990            x                       0   2,990   0
Predictive Sys Inc                    Common Stock    74036W102       7        200            x                       0     200   0
Partnerre LTD                         Common Stock    G6852T105      43      1,215            x                       0   1,215   0
Partnerre LTD 8.00% Cum PFD Ser A     PFD QTR 30/360  G6852T113      29      1,250            x                       0   1,250   0
Price Enterprises Inc                 Common Stock    741444202       0          1            x                       0       1   0
Price Enterprises Inc                 PFD QTR 30/360  741444301       7        500            x                       0     500   0
Prema Sys Inc                         Common Stock    74045M103       0      2,000            x                       0   2,000   0
Pennrock Financial Services Corp.     Common Stock    708352109       3        200            x                       0     200   0
Peregrine Systems Inc                 Common Stock    71366Q101     513     14,776            x                       0  14,776   0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
     FORM 13F      Name of Reporting Manager:                                                               Run Date: 07/17/2000
                                                 Legg Mason Wood Walker (IMS)                               ------------------------
                                               For Positions Held as of 06/30/2000                          S.E.C. Use Only

                                                                                                            ------------------------
                  Item 1:                  Item 2:       Item 3:  Item 4:    Item 5:          Item 6:       Item 7:    Item 8:
              Name of Issuer            Title of Class    CUSIP    Fair    Shares or   Investment Discretion  Other Voting Authority
                                                                  Market   Principal   (a)    (b)     (c)     Mgrs      (Shares)
                                                                   Value      Amt.     Sole  Shared   Other         (a)   (b)   (c)
                                                                 (X $1000)                                          Sole Shared None

------------------------------------------------------------------------------------------------------------------------------------
<S>                                     <C>             <C>      <C>       <C>         <C>   <C>      <C>   <C>     <C>  <C>    <C>
Perrigo Company                         Common Stock    714290103        6        1,000       x                     0     1,000   0
Progress Software Corp                  Common Stock    743312100      723       40,305       x                     0    40,305   0
Profit Recovery Group International In  Common Stock    743168106       50        3,000       x                     0     3,000   0
Prodigy Communications Corp. CL A       Common Stock    74283P206       36        3,400       x                     0     3,400   0
Province Healthcare Co.                 Common Stock    743977100       14          400       x                     0       400   0
PRI Automation Inc.                     Common Stock    69357H106       26          400       x                     0       400   0
Primeholdings Com Inc                   Common Stock    74158R105        1        5,000       x                     0     5,000   0
Parkervision Inc                        Common Stock    701354102      106        2,100       x                     0     2,100   0
Paracelsian Inc                         Common Stock    698898103        1        1,000       x                     0     1,000   0
Parlex Corp                             Common Stock    701630105       17          400       x                     0       400   0
Primedia Inc                            Common Stock    74157K101      206        9,035       x                     0     9,035   0
Primex Technologies Inc                 Common Stock    741597108        4          160       x                     0       160   0
Primedia Inc                            PFD QTR 30/360  74157K606        9           95       x                     0        95   0
Puerto Rican Cement Co. Inc.            Foreign Stock   745075101       19          700       x                     0       700   0
Printron Inc Com New                    Common Stock    742576309        0          133       x                     0       133   0
Provident Financial Holdings            Common Stock    743868101       12          840       x                     0       840   0
Proxim Inc.                             Common Stock    744284100       11          110       x                     0       110   0
Pioneer Railcorp                        Common Stock    723839106        1        1,000       x                     0     1,000   0
Portal Software Inc                     Common Stock    736126103      632        9,888       x                     0     9,888   0
Pearson PLC                             Foreign Stock   705015105      238        7,578       x                     0     7,578   0
Presstek Inc.                           Common Stock    741113104       13          800       x                     0       800   0
Persistence Software Inc                Common Stock    715329108       18        1,000       x                     0     1,000   0
Prime Retail Inc                        Common Stock    741570105       13       10,474       x                     0    10,474   0
Prime Retail Inc. 8.50% Ser B PFD Conv  PreferdStk Conv 741570303       96       13,685       x                     0    13,685   0
Profile Technologies                    Common Stock    743164105        2          800       x                     0       800   0
Primus Telecommunications Group Inc.    Common Stock    741929103      386       15,505       x                     0    15,505   0
Providential Holdings Inc               Common Stock    743923104        2        3,000       x                     0     3,000   0
Preview Sys Inc                         Common Stock    741379101       13        1,000       x                     0     1,000   0
PRWW Ltd                                Common Stock    693591109        3          200       x                     0       200   0
Public Storage Inc.                     Common Stock    74460D109      165        7,045       x                     0     7,045   0
Public Storage Inc. 10% Ser A           Preferred Stock 74460D208       15          600       x                     0       600   0
Public Storage Inc                      PFD QTR 30/360  74460D307        2          100       x                     0       100   0
Public Storage Inc. 10% Ser E           Preferred Stock 74460D703       47        1,800       x                     0     1,800   0
Public Storage Inc. 8.875%              Preferred Stock 74460D885       86        3,800       x                     0     3,800   0
Public Storage Inc. 8.45%               Preferred Stock 74460D869       13          620       x                     0       620   0
Public Storage Inc                      PFD QTR 30/360  74460D729        1           27       x                     0        27   0
Public Storage Inc                      PFD QTR 30/360  74460D760       10          475       x                     0       475   0
PSB Bancorp Inc                         Common Stock    693604100        0            8       x                     0         8   0
Philadelphia Suburban                   Common Stock    718009608      382       18,648       x                     0    18,648   0
Philip Services Corp. Del               Common Stock    718193105        2          291       x                     0       291   0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
     FORM 13F      Name of Reporting Manager:                                                              Run Date: 07/17/2000
                                                 Legg Mason Wood Walker (IMS)                              -------------------------
                                               For Positions Held as of 06/30/2000                         S.E.C. Use Only

                                                                                                           -------------------------
                  Item 1:                 Item 2:      Item 3:  Item 4:    Item 5:           Item 6:       Item 7:    Item 8:
              Name of Issuer          Title of Class    CUSIP     Fair    Shares or  Investment Discretion  Other  Voting Authority
                                                                 Market   Principal  (a)     (b)     (c)     Mgrs      (Shares)
                                                                  Value      Amt.    Sole   Shared   Other         (a)   (b)    (c)
                                                                (X $1000)                                          Sole  Shared None

------------------------------------------------------------------------------------------------------------------------------------
<S>                                   <C>             <C>       <C>       <C>        <C>    <C>      <C>   <C>     <C>  <C>     <C>
Puget Sound Power & Light             Common Stock    745332106      111     5,196          x                      0     5,196     0
Project Software & Dev Inc            Common Stock    74339P101        4       200          x                      0       200     0
Pericom Semiconductor Corp.           Common Stock    713831105       17       250          x                      0       250     0
PeopleSoft Inc.                       Common Stock    712713106      638    38,100          x                      0    38,100     0
Porta Systems Incorporated            Common Stock    735647307        0     2,645          x                      0     2,645     0
Porta Systems Corp.                   Common Stock    735647307        3       814          x                      0       814     0
Psion Plc                             Common Stock    G72928107      131    13,550          x                      0    13,550     0
PSINet Inc.                           Common Stock    74437C101    6,672   265,544          x                      0   265,544     0
Psinet Inc Convertible Pfd            Preferred Stock 74437C309      208     4,250          x                      0     4,250     0
Penn Star Oil Corp.                   Common Stock    707630109        0        17          x                      0        17     0
PSCO Cap Tr I-7.6% GTD PFD            PFD QTR 30/360  69360R208       44     2,000          x                      0     2,000     0
Primesource Corp.                     Common Stock    741593107       16     3,070          x                      0     3,070     0
Payless Shoesource Inc.               Common Stock    704379106       51       984          x                      0       984     0
PSS World Medical, Inc.               Common Stock    69366A100       17     2,500          x                      0     2,500     0
Pso Cap I                             PFD QTR 30/360  693639205       16       700          x                      0       700     0
Per Se Technologies Inc Com New       Common Stock    713569309       17     1,862          x                      0     1,862     0
Petrie Stores Liquidation             Common Stock    716437108        0       100          x                      0       100     0
Plastic Surgery Co                    Common Stock    727557100        3     1,000          x                      0     1,000     0
Portugal Telecom S A ADR              ADR             737273102       16     1,409          x                      0     1,409     0
Pacer Technology                      Common Stock    693905101       11    12,000          x                      0    12,000     0
Phoenix Technologies Ltd              Common Stock    719153108        3       200          x                      0       200     0
PTEK Holdings Inc.                    Common Stock    69366M104       44    13,633          x                      0    13,633     0
Powertel Inc                          Common Stock    73936C109      145     2,050          x                      0     2,050     0
Performance Technologies Inc.         Common Stock    71376K102        4       435          x                      0       435     0
Putnam Managed High Yield             Common Stock    746819101      111    10,550          x                      0    10,550     0
Petrochina Co Ltd                     ADR             71646E100        2       110          x                      0       110     0
Pactiv Corp                           Common Stock    695257105      175    22,232          x                      0    22,232     0
Puma Technology Inc                   Common Stock    745887109      385    14,374          x                      0    14,374     0
Puridyne Inc                          Common Stock    746263102        0     1,000          x                      0     1,000     0
Public Service New Hampshire          Preferred Stock 744482837       14       564          x                      0       564     0
Penn Virginia Corp.                   Common Stock    707882106        4       145          x                      0       145     0
Paravant Computer Systems Inc         Common Stock    699376109        3     1,000          x                      0     1,000     0
Administradora Fondos Pensione        ADR             00709P108        3       140          x                      0       140     0
Phillips-Van Heusen Corp.             Common Stock    718592108        5       500          x                      0       500     0
Princeton Video Image Inc.            Common Stock    742476104        9     1,500          x                      0     1,500     0
Provalis Plc                          ADR             74372Q107        0       200          x                      0       200     0
Providian Financial Corp.             Common Stock    74406A102    1,557    17,296          x                      0    17,296     0
Parkvale Financial Corp.              Common Stock    701492100      335    19,435          x                      0    19,435     0
Pervasive Software Inc                Common Stock    715710109        6     1,100          x                      0     1,100     0
Privatebancorp Inc                    Common Stock    742962103        7       500          x                      0       500     0
</TABLE>

<PAGE>

<TABLE>
<CAPTION>
     FORM 13F      Name of Reporting Manager:                                                              Run Date: 07/17/2000
                                                 Legg Mason Wood Walker (IMS)                              -------------------------
                                               For Positions Held as of 06/30/2000                         S.E.C. Use Only

                                                                                                           -------------------------
                  Item 1:                 Item 2:      Item 3:  Item 4:    Item 5:           Item 6:       Item 7:    Item 8:
              Name of Issuer          Title of Class    CUSIP     Fair    Shares or  Investment Discretion  Other  Voting Authority
                                                                 Market   Principal  (a)     (b)     (c)     Mgrs       (Shares)
                                                                  Value      Amt.    Sole   Shared   Other         (a)   (b)     (c)
                                                                (X $1000)                                          Sole  Shared None

------------------------------------------------------------------------------------------------------------------------------------
<S>                                   <C>             <C>       <C>       <C>        <C>    <C>      <C>   <C>     <C>  <C>     <C>
Pivotal Corp                          Common Stock    72581R106      16        700           x                     0        700  0
Providence Energy Corp                Common Stock    743743106     262      6,465           x                     0      6,465  0
Powerwave Technologies Inc.           Common Stock    739363109   1,106     25,130           x                     0     25,130  0
Presidential Airways                  Common Stock    740861109       1      5,200           x                     0      5,200  0
Pacific Wildcat Res Corp              Foreign Stock   694927104       0      1,400           x                     0      1,400  0
PWG Capital Trust II 8.08% Pfd        Preferred Stock 69366F208     139      6,100           x                     0      6,100  0
Power-One Inc.                        Common Stock    739308104     800      7,022           x                     0      7,022  0
Powergen PLC-Sponsored ADR Final      ADR             738905405   3,217     91,926           x                     0     91,926  0
Paine Webber Group Inc.               Common Stock    695629105     877     19,285           x                     0     19,285  0
PWG Capital Trust I Cum Trust         PFDMthly 30/360 69366E201     116      4,900           x                     0      4,900  0
Cash America International, Inc.      Common Stock    14754D100     288     39,100           x                     0     39,100  0
Quanta Services, Inc.                 Common Stock    74762E102   1,233     22,425           x                     0     22,425  0
Praxair Inc.                          Common Stock    74005P104     311      8,305           x                     0      8,305  0
Proxicom Inc                          Common Stock    744282104     148      3,100           x                     0      3,100  0
Pioneer Natural Resources Co          Common Stock    723787107     116      9,062           x                     0      9,062  0
Phoenix Investment Partners           Common Stock    719085102      21      2,000           x                     0      2,000  0
Paxar Corporation                     Common Stock    704227107       4        300           x                     0        300  0
Pechiney -  Sponsered ADR             ADR             705151207      87      4,200           x                     0      4,200  0
Putnam High Yield Muni Trust          Common Stock    746781103      60      7,830           x                     0      7,830  0
PYR Energy Corporation                Common Stock    693677106      38      8,000           x                     0      8,000  0
Playtex Products Inc.                 Common Stock    72813P100      29      2,575           x                     0      2,575  0
Pittston Brink's Group                Common Stock    725701106     152     11,110           x                     0     11,110  0
Pennzoil-Quaker State Co.             Common Stock    709323109     251     20,814           x                     0     20,814  0
Prison Realty Corp                    Common Stock    74264N105      62     20,159           x                     0     20,159  0
Prison Realty Corp 8% Cum PFD Sr A    PFD QTR 30/360  74264N204       4        500           x                     0        500  0
Qwest Communications International, InCommon Stock    749121109   7,396    148,840           x                     0    148,840  0
Angeles Income Properties LTD         LTD Part  P0    03464D302       0         10           x                     0         10  0
Berwick Manufacturing Inc.            Common Stock    08615N109       0        400           x                     0        400  0
Clairborne Bank & Trust               Common Stock    8S03003         0      2,300           x                     0      2,300  0
Qualcomm Inc.                         Common Stock    747525103   8,695    144,918           x                     0    144,918  0
Carolina Investment Partners          LTD Part  P0    144011103       0         14           x                     0         14  0
Quidel Corp                           Common Stock    74838J101      50      9,500           x                     0      9,500  0
UDS Captl I (Ultramar Diamond         PFD QTR 30/360  902655208      18        884           x                     0        884  0
Banca Quadrum SA ADR                  ADR             05944R108       6      9,700           x                     0      9,700  0
Dean Witter Realty Yield PLS II LTD   LTD Part  P0    24241L201       0         20           x                     0         20  0
Quadrax Corp. New Com Accredited Invs Common Stock    74731J109       0      2,202           x                     0      2,202  0
Quest Education Corporation           Common Stock    74835F102      22      1,200           x                     0      1,200  0
Environmental Digital Svcs Inc.       Common Stock    29405L103       2     13,025           x                     0     13,025  0
Quaker Fabric Corp New                Common Stock    747399103      41      8,000           x                     0      8,000  0
Qiagen N.V.                           Foreign Stock   N72482107     145        831           x                     0        831  0
</TABLE>

<PAGE>

<TABLE>
<CAPTION>
     FORM 13F      Name of Reporting Manager:                                                              Run Date: 07/17/2000
                                                 Legg Mason Wood Walker (IMS)                              -------------------------
                                               For Positions Held as of 06/30/2000                         S.E.C. Use Only

                                                                                                           -------------------------
                  Item 1:                 Item 2:      Item 3:  Item 4:    Item 5:           Item 6:       Item 7:    Item 8:
              Name of Issuer           Title of Class   CUSIP     Fair    Shares or  Investment Discretion  Other  Voting Authority
                                                                 Market   Principal  (a)     (b)     (c)     Mgrs      (Shares)
                                                                  Value      Amt.    Sole   Shared   Other         (a)   (b)    (c)
                                                                (X $1000)                                          Sole  Shared None

------------------------------------------------------------------------------------------------------------------------------------
<S>                                    <C>             <C>       <C>      <C>        <C>    <C>      <C>    <C>    <C>  <C>     <C>
Quigley Corp. New                      Common Stock    74838L304      0         200         x                      0        200    0
Quorum Health Group                    Common Stock    749084109    156      15,175         x                      0     15,175    0
Investors U S Gold                     Common Stock    H693020        7          23         x                      0         23    0
QLogic Corp.                           Common Stock    747277101  1,459      22,091         x                      0     22,091    0
QLT Phototherapeutics Inc.             Common Stock    746927102    455       5,882         x                      0      5,882    0
L.W. Packard & Co Inc.                 Common Stock    8S02186        0          10         x                      0         10    0
Quintus Corp                           Common Stock    748798105    120       6,030         x                      0      6,030    0
Omni Computer Systems Inc.             Common Stock    68210G107      0       1,000         x                      0      1,000    0
Queryobject System Corp                Common Stock    74833H308     22       6,499         x                      0      6,499    0
Potential Investments Inc.             Common Stock    737581108      0         100         x                      0        100    0
Quest Products Corp                    Common Stock    747955102      1      10,000         x                      0     10,000    0
Public Storage Inc. 8.00% Dep Shs Each PFD QTR 30/360  74460D828     40       1,800         x                      0      1,800    0
Nasdaq 100 Shares                      Common Stock    631100104  7,088      76,064         x                      0     76,064    0
QRS Corp                               Common Stock    74726X105     15         600         x                      0        600    0
***BSCH Finance 8.125%                 Preferred Stock G16547161     29       1,300         x                      0      1,300    0
Quest Software Inc                     Common Stock    74834T103    299       5,400         x                      0      5,400    0
Quality Sys Inc.                       Common Stock    747582104     10       1,300         x                      0      1,300    0
QSound Lab Inc.                        Common Stock    74728C109     31      18,550         x                      0     18,550    0
Southern COS CAP TR II 7.75%           PFD QTR 30/360  84258T208     23       1,000         x                      0      1,000    0
Quad Sys Corp                          Common Stock    74730Q104      2       1,000         x                      0      1,000    0
Quintiles Transnational Corp.          Common Stock    748767100  5,542     392,360         x                      0    392,360    0
Quadrex Corp.                          Common Stock    747309102      0         300         x                      0        300    0
Quicklogic Corp                        Common Stock    74837P108      7         300         x                      0        300    0
Quipp Inc                              Common Stock    748802105     38       2,000         x                      0      2,000    0
Quixote Corp                           Common Stock    749056107     20       1,300         x                      0      1,300    0
Quotesmith Com Inc                     Common Stock    749117107      2         700         x                      0        700    0
U S Biomaterials Corp.                 Preferred Stock 8S00429        0      10,000         x                      0     10,000    0
Questron Technology Inc                Common Stock    748372208      0           6         x                      0          6    0
Qxl Com Plc                            ADR             74912W101      5         640         x                      0        640    0
Ryder System Inc.                      Common Stock    783549108     98       5,190         x                      0      5,190    0
Rio Algom Ltd 9.375% Pfd Secs Due      PFD QTR 30/360  766889877     14         800         x                      0        800    0
Real Goods Trading Corp.               Common Stock    756012100      0         200         x                      0        200    0
Reckson Associates Realty Corp.        Common Stock    75621K106    207       8,705         x                      0      8,705    0
Reckson Assocs Realty Corp. Cl B       Common Stock    75621K304     35       1,360         x                      0      1,360    0
Data Race Inc.                         Common Stock    237842109      7       1,000         x                      0      1,000    0
Rite Aid Corp.                         Common Stock    767754104  1,068     162,805         x                      0    162,805    0
Radyne Comstream Inc                   Common Stock    750611402     15       1,000         x                      0      1,000    0
Radiant Systems Inc                    Common Stock    75025N102     61       2,556         x                      0      2,556    0
Ralcorp Holdings Inc.                  Common Stock    751028101     11         900         x                      0        900    0
Railamerica Inc.                       Common Stock    750753105      6       1,000         x                      0      1,000    0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
     FORM 13F      Name of Reporting Manager:                                                              Run Date: 07/17/2000
                                                 Legg Mason Wood Walker (IMS)                              -------------------------
                                               For Positions Held as of 06/30/2000                         S.E.C. Use Only

                                                                                                           -------------------------
                  Item 1:                 Item 2:      Item 3:   Item 4:    Item 5:          Item 6:       Item 7:    Item 8:
              Name of Issuer           Title of Class   CUSIP      Fair    Shares or Investment Discretion  Other  Voting Authority
                                                                  Market   Principal (a)     (b)     (c)     Mgrs      (Shares)
                                                                   Value      Amt.   Sole   Shared   Other         (a)   (b)    (c)
                                                                 (X $1000)                                         Sole  Shared None

------------------------------------------------------------------------------------------------------------------------------------
<S>                                    <C>             <C>       <C>       <C>       <C>    <C>      <C>    <C>    <C>   <C>    <C>
Ralston-Ralston Purina Group             Common Stock   751277302      321   16,104           x                     0     16,104   0
Ramex Synfuels Intl Inc                  Common Stock   751485202        1   19,000           x                     0     19,000   0
Rank Group PLC ADR                       ADR            753037100        2      520           x                     0        520   0
Rational Software Corp. Com New          Common Stock   75409P202      940   10,110           x                     0     10,110   0
Raven Industries Inc.                    Common Stock   754212108       22    1,600           x                     0      1,600   0
Razorfish, Inc.                          Common Stock   755236106      241   15,010           x                     0     15,010   0
Ritchie Bros Auctioneers                 Common Stock   767744105       92    3,860           x                     0      3,860   0
Redback Networks Inc                     Common Stock   757209101      784    4,405           x                     0      4,405   0
Regal - Beloit Corp.                     Common Stock   758750103       35    2,200           x                     0      2,200   0
Royal Bank Of Scotland Group PLC Ser D   PFD QTR 30/360 780097606       63    2,690           x                     0      2,690   0
Rbid Com                                 Common Stock   749283107        1      500           x                     0        500   0
Reebok International Ltd                 Common Stock   758110100      161   10,085           x                     0     10,085   0
Robbins & Myers Inc                      Common Stock   770196103       16      700           x                     0        700   0
Republic Bancorp Inc.                    Common Stock   760282103       69    7,689           x                     0      7,689   0
Royal Bk Scotland Group Plc              ADR            780097879      133    6,400           x                     0      6,400   0
Royal Bank of Scotland Grp PLC           PFD QTR 30/360 780097309       18      700           x                     0        700   0
The Royal Bank of Scotland               PFD QTR 30/360 780097408      476   19,585           x                     0     19,585   0
Royal Bank of Scotland Group             PFD QTR 30/360 780097804       31    1,400           x                     0      1,400   0
Royal Bk Scotland Group Plc              ADR            780097861      191    8,510           x                     0      8,510   0
The Royal Bank of Scotland Grp Plc Pfd   PFD QTR 30/360 780097507      167    7,070           x                     0      7,070   0
Royal Bank Of Scotland GRP PLC           PFD QTR 30/360 780097887       27    1,300           x                     0      1,300   0
Richmond County Financial Corp           Common Stock   764556106        5      280           x                     0        280   0
Rochester Community Baseball, Inc.       Common Stock   R504109          0        2           x                     0          2   0
Rural Cellular Corp                      Common Stock   781904107       36      470           x                     0        470   0
Renal Care Group Inc.                    Common Stock   759930100      198    8,105           x                     0      8,105   0
Rent A Ctr Inc New                       Common Stock   76009N100      111    4,950           x                     0      4,950   0
Royal Carribean Cruise Ltd               Common Stock   V7780T103       78    4,230           x                     0      4,230   0
RCM Technologies Inc.                    Common Stock   749360400        4      600           x                     0        600   0
Rogers Cantel Mobile Commn Inc.          Common Stock   775102205       50    1,500           x                     0      1,500   0
RCN Corp.                                Common Stock   749361101       86    3,390           x                     0      3,390   0
Register Com Inc                         Common Stock   75914G101      206    6,740           x                     0      6,740   0
Recoton Corp                             Common Stock   756268108        5      500           x                     0        500   0
RCM Stregic Global Government Fund       Common Stock   74936A101       24    2,600           x                     0      2,600   0
Royal Dutch Petroleum Co ADR             ADR            780257804   10,116  164,314           x                     0    164,314   0
The Reader's Digest Association Inc.     Common Stock   755267101      195    4,900           x                     0      4,900   0
The Readers Digest Association           Common Stock   755267200      197    5,400           x                     0      5,400   0
Rowan Companies Inc.                     Common Stock   779382100    1,590   52,358           x                     0     52,358   0
Ruddick Corp.                            Common Stock   781258108       39    3,300           x                     0      3,300   0
Radiologix Inc                           Common Stock   75040K109        9    2,500           x                     0      2,500   0
Radian Group Inc.                        Common Stock   750236101      382    7,385           x                     0      7,385   0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
     FORM 13F      Name of Reporting Manager:                                                              Run Date: 07/17/2000
                                                 Legg Mason Wood Walker (IMS)                              -------------------------
                                               For Positions Held as of 06/30/2000                         S.E.C. Use Only

                                                                                                           -------------------------
                  Item 1:                 Item 2:      Item 3:  Item 4:    Item 5:           Item 6:       Item 7:    Item 8:
              Name of Issuer           Title of Class   CUSIP     Fair    Shares or  Investment Discretion  Other  Voting Authority
                                                                 Market   Principal  (a)     (b)     (c)     Mgrs      (Shares)
                                                                  Value      Amt.    Sole   Shared   Other         (a)   (b)    (c)
                                                                (X $1000)                                          Sole  Shared None

------------------------------------------------------------------------------------------------------------------------------------
<S>                                    <C>             <C>       <C>      <C>      <C>    <C>        <C>   <C>     <C>   <C>     <C>
Redneck Foods Inc                      Common Stock    757680103      0      1,600             x                     0    1,600   0
Radiotower Com Inc  New                Common Stock    750452203      7      7,500             x                     0    7,500   0
Redox Technology Corp.                 Common Stock    757722103     18     35,500             x                     0   35,500   0
Ratliff Drilling & Expl Co             Common Stock    754095107      0        100             x                     0      100   0
Read-Rite Corp.                        Common Stock    755246105      2      1,100             x                     0    1,100   0
Radva Corp.                            Common Stock    750610107      2      8,250             x                     0    8,250   0
Radware Ltd                            Foreign Stock   M81873107     16        600             x                     0      600   0
Everest Re Group Ltd                   Foreign Stock   G3223R108     91      2,755             x                     0    2,755   0
Reliability Inc.                       Common Stock    759903107    535    127,800             x                     0  127,800   0
Recycling Industries Inc               Common Stock    756285102      4     18,375             x                     0   18,375   0
Rediff Com India Ltd                   ADR             757479100     24      1,700             x                     0    1,700   0
Research Frontiers Inc                 Common Stock    760911107      3        100             x                     0      100   0
Regency Realty Corporation             Common Stock    758939102     21        900             x                     0      900   0
Renaissance Worldwide Inc              Common Stock    75968A109      3      2,000             x                     0    2,000   0
Regeneron Pharmaceuticals Inc.         Common Stock    75886F107    130      4,370             x                     0    4,370   0
Reliant Energy Inc                     Common Stock    75952J108    444     15,024             x                     0   15,024   0
HL&P Capital Trust I-8.125% Tr PFD Sr  PFD QTR 30/360  404202202     56      2,540             x                     0    2,540   0
Rei Trust I                            PFD QTR 30/360  749490207    140      7,060             x                     0    7,060   0
Reliance Group Holdings Inc.           Common Stock    759464100     12     16,174             x                     0   16,174   0
Richardson Electronics Ltd             Common Stock    763165107      2        150             x                     0      150   0
Repsol S.A. ADR                        ADR             76026T205    101      5,105             x                     0    5,105   0
Repsol Intl Cap Ltd 7.45               Preferred Stock G7513K103     30      1,500             x                     0    1,500   0
RBI Capital Trust I 9.1% Cum Trust PFD PFD QTR 30/360  749257200     29      4,200             x                     0    4,200   0
Resmed Inc.                            Common Stock    761152107      5        200             x                     0      200   0
Respironics, Inc.                      Common Stock    761230101     36      1,985             x                     0    1,985   0
Retail Entertainment Gp                Common Stock    761273101      1      6,000             x                     0    6,000   0
Resource America Inc Cl A              Common Stock    761195205     46      7,000             x                     0    7,000   0
Rexam PLC Spon ADR                     ADR             761655307      4      1,094             x                     0    1,094   0
Reynolds & Reynolds Co CL A            Common Stock    761695105    134      7,325             x                     0    7,325   0
RF Micro Devices Inc.                  Common Stock    749941100  3,587     40,939             x                     0   40,939   0
Roycefield Resources Ltd               Foreign Stock   780914107      3     47,000             x                     0   47,000   0
RFS Hotel Investors Inc.               Common Stock    74955J108     30      2,550             x                     0    2,550   0
Rogers Communication CL-B Non-vtg      Common Stock    775109200    131      4,595             x                     0    4,595   0
Barry R G Corp. Ohio                   Common Stock    068798107      2        400             x                     0      400   0
Regions Financial Corp.                Common Stock    758940100    283     14,228             x                     0   14,228   0
Republic Group Inc                     Common Stock    760473108      6        700             x                     0      700   0
Repligen Corp                          Common Stock    759916109     44      7,000             x                     0    7,000   0
Regis Corp.                            Common Stock    758932107     86      6,900             x                     0    6,900   0
Ranger Oil, Ltd                        Common Stock    752805101     26      4,800             x                     0    4,800   0
Sturm Ruger & Co                       Common Stock    864159108    180     20,335             x                     0   20,335   0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
     FORM 13F      Name of Reporting Manager:                                                              Run Date: 07/17/2000
                                                 Legg Mason Wood Walker (IMS)                              -------------------------
                                               For Positions Held as of 06/30/2000                         S.E.C. Use Only

                                                                                                           -------------------------
                  Item 1:                 Item 2:      Item 3:  Item 4:    Item 5:           Item 6:       Item 7:    Item 8:
              Name of Issuer           Title of Class   CUSIP     Fair    Shares or  Investment Discretion  Other  Voting Authority
                                                                 Market   Principal  (a)     (b)     (c)     Mgrs      (Shares)
                                                                  Value      Amt.    Sole   Shared   Other         (a)   (b)    (c)
                                                                (X $1000)                                          Sole  Shared None

------------------------------------------------------------------------------------------------------------------------------------
<S>                                    <C>             <C>       <C>      <C>        <C>    <C>      <C>   <C>     <C> <C>     <C>
Energy Group Inc                       Common Stock    74956K104      34     1,545            x                     0     1,545    0
Rhodia Sponsored Adr                   ADR             762397107     136     7,938            x                     0     7,938    0
Red Hat Inc                            Common Stock    756577102     455    16,799            x                     0    16,799    0
R.H. Donnelly Corp.                    Common Stock    74955W307      10       498            x                     0       498    0
Rheometrics Scientific Inc             Common Stock    762073104       7     1,200            x                     0     1,200    0
Robert Half Intl Inc.                  Common Stock    770323103     208     7,285            x                     0     7,285    0
Ruby Tuesday Inc.                      Common Stock    781182100       4       300            x                     0       300    0
Ricks Cabaret Intl Inc Com New         Common Stock    765641303       4     2,000            x                     0     2,000    0
Cohen & Steers Realty Income Fund Inc  Common Stock    19247P107     109    16,500            x                     0    16,500    0
Royal Precision Inc                    Common Stock    780921102     101    38,430            x                     0    38,430    0
Transocean Sedco Forex Inc             Common Stock    G90078109   4,330    81,030            x                     0    81,030    0
Riggs National Corp.                   Common Stock    766570105      83     6,584            x                     0     6,584    0
Research In Motion Ltd.                Foreign Stock   760975102     486    10,740            x                     0    10,740    0
Blue Rhino Corp.                       Common Stock    095811105     154    19,050            x                     0    19,050    0
Riviera Hldgs Corp                     Common Stock    769627100       4       500            x                     0       500    0
Raymond James Financial Inc.           Common Stock    754730109      81     3,605            x                     0     3,605    0
Reeds Jewelers Inc                     Common Stock    758341101       2     1,000            x                     0     1,000    0
Reynolds R J Tob Hldgs Inc             Common Stock    76182K105     219     7,825            x                     0     7,825    0
Reckitt  Benckiser Ord                 Foreign Stock   G7420A107     235    21,150            x                     0    21,150    0
Rock Tenn. CO CL A                     Common Stock    772739207      37     4,300            x                     0     4,300    0
Coors Adolph Co.                       Common Stock    217016104     212     3,500            x                     0     3,500    0
Polo Ralph Lauren Corp. Cl A           Common Stock    731572103      64     4,500            x                     0     4,500    0
Rollins Truck Leasing Corp.            Common Stock    775741101      54     7,750            x                     0     7,750    0
Reliastar Financial Corp.              Common Stock    75952U103     442     8,432            x                     0     8,432    0
Reliastar Financing I 8.2% TR          PFD QTR 30/360  75952D200       5       200            x                     0       200    0
Rambus Inc.                            Common Stock    750917106     960     9,323            x                     0     9,323    0
Remedy Corp.                           Common Stock    759548100      57     1,023            x                     0     1,023    0
Rmi Net Inc                            Common Stock    74961K107       6     2,000            x                     0     2,000    0
Rainmaker Systems                      Common Stock    750875106       1       500            x                     0       500    0
Rightsmarket Com Inc                   Foreign Stock   766577100       4     5,000            x                     0     5,000    0
Russell Corp.                          Common Stock    782352108      32     1,600            x                     0     1,600    0
Ramtron International Corp. Com New    Common Stock    751907304       4       200            x                     0       200    0
Rainbow Technologies Inc.              Common Stock    750862104   1,525    31,370            x                     0    31,370    0
Reinhold Industries Inc. Cl A          Common Stock    75935A109       0        18            x                     0        18    0
Renaissancere Holdings Ltd             Common Stock    G7496G103     489    11,230            x                     0    11,230    0
Rentech Inc                            Common Stock    760112102      11     5,000            x                     0     5,000    0
Realnetworks Inc                       Common Stock    75605L104     616    12,190            x                     0    12,190    0
Roadway Express Inc.                   Common Stock    769742107     120     5,100            x                     0     5,100    0
Eshed Robotec 1982 Ltd                 Foreign Stock   M4095C107       5       800            x                     0       800    0
Robotic Vision Systems                 Common Stock    771074101     249    13,855            x                     0    13,855    0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
     FORM 13F      Name of Reporting Manager:                                                              Run Date: 07/17/2000
                                                 Legg Mason Wood Walker (IMS)                              -------------------------
                                               For Positions Held as of 06/30/2000                         S.E.C. Use Only
                                                                                                           -------------------------
                  Item 1:                 Item 2:      Item 3:  Item 4:    Item 5:           Item 6:       Item 7:    Item 8:
              Name of Issuer           Title of Class   CUSIP     Fair    Shares or  Investment Discretion  Other  Voting Authority
                                                                 Market   Principal  (a)     (b)     (c)     Mgrs      (Shares)
                                                                  Value      Amt.    Sole   Shared   Other         (a)   (b)    (c)
                                                                (X $1000)                                          Sole  Shared None

------------------------------------------------------------------------------------------------------------------------------------
<S>                                    <C>             <C>       <C>      <C>      <C>    <C>        <C>   <C>    <C>   <C>     <C>
Rohm & Haas                            Common Stock    775371107     138     3,999            x                    0      3,999    0
Roche Holdings Ltd Spons ADR           ADR             771195104     155     1,589            x                    0      1,589    0
Rockwell International Corp.           Common Stock    773903109     207     6,562            x                    0      6,562    0
Rollins Inc.                           Common Stock    775711104       3       200            x                    0        200    0
Cooper Cameron Corp.                   Common Stock    216640102     165     2,497            x                    0      2,497    0
Roper Industries Inc. New              Common Stock    776696106      83     3,250            x                    0      3,250    0
U S A Floral Products Inc              Common Stock    90331T107       0       600            x                    0        600    0
Ross Stores Inc.                       Common Stock    778296103     863    50,595            x                    0     50,595    0
Rayovac Corp                           Common Stock    755081106       2        70            x                    0         70    0
Rowecom Inc                            Common Stock    77957X108      10     2,000            x                    0      2,000    0
Resourcephoenix Com Inc                Common Stock    76122L106       3     2,000            x                    0      2,000    0
RPM Inc. - Ohio                        Common Stock    749685103     560    55,349            x                    0     55,349    0
Rhone-Poulenc Overseas Limited         Preferred Stock G75495104     118     5,600            x                    0      5,600    0
Centenary International Corp.          Common Stock    15134R107       0     2,000            x                    0      2,000    0
Rare Medium Group Inc.                 Common Stock    75382N109      40     2,500            x                    0      2,500    0
Royal & Sun Alliance Ins Gp            Foreign Stock   G8566X133     160    24,659            x                    0     24,659    0
RSA Security Co                        Common Stock    749719100      58       843            x                    0        843    0
Rouse Co                               Common Stock    779273101     320    12,937            x                    0     12,937    0
Rouse Co-Conv Pfd Ser B                PFD QTR 30/360  779273309      18       500            x                    0        500    0
Rouse Capital 9.25% Cum Qtrly PFD Quip PFD QTR 30/360  779272202     338    14,700            x                    0     14,700    0
Republic Security Finl Corp.           Common Stock    760758102       3       536            x                    0        536    0
Republic Services Inc                  Common Stock    760759100   3,202   200,137            x                    0    200,137    0
Radioshack Corp                        Common Stock    750438103     704    14,859            x                    0     14,859    0
Frontline Cap Group                    Common Stock    35921N101      27     1,288            x                    0      1,288    0
RSL Communications LTD Cl A            Common Stock    G7702U102     157    13,730            x                    0     13,730    0
Roslyn Bancorp Inc.                    Common Stock    778162107      29     1,739            x                    0      1,739    0
Restoration Hardware Inc               Common Stock    760981100       3       500            x                    0        500    0
Radisys Corp                           Common Stock    750459109      75     1,315            x                    0      1,315    0
Ryerson Tull Inc                       Common Stock    78375P107       1       130            x                    0        130    0
Raytel Medical Corporation             Common Stock    755107109       1       800            x                    0        800    0
Rhythms Netconnections Inc.            Common Stock    762430205     558    44,450            x                    0     44,450    0
RTI International Metals Inc           Common Stock    74973W107     189    16,650            x                    0     16,650    0
RTI  Inc Com New                       Common Stock    749739207       0        24            x                    0         24    0
Raytheon Co. Cl A                      Common Stock    755111309     203    10,450            x                    0     10,450    0
Raytheon Co-Cl B                       Common Stock    755111408   1,154    59,930            x                    0     59,930    0
Rentokil Initial Plc Sponsored ADR     ADR             760125104       2        70            x                    0         70    0
Rio Tinto PLC - Sponsored ADR          ADR             767204100     455     6,971            x                    0      6,971    0
Reuters Holdings PLC Spon ADR          ADR             76132M102   1,270    12,705            x                    0     12,705    0
Rtw Inc                                Common Stock    74974R107       9     2,450            x                    0      2,450    0
Reunion Industries Inc.                Common Stock    761312107      44    22,700            x                    0     22,700    0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
     FORM 13F      Name of Reporting Manager:                                                               Run Date: 07/17/2000
                                                 Legg Mason Wood Walker (IMS)                               ------------------------
                                               For Positions Held as of 06/30/2000                          S.E.C. Use Only

                                                                                                            ------------------------
          Item 1:                        Item 2:        Item 3:    Item 4:   Item 5:        Item 6:         Item 7:   Item 8:
      Name of Issuer                  Title of Class     CUSIP      Fair    Shares or Investment Discretion Other  Voting Authority
                                                                   Market   Principal (a)     (b)     (c)   Mgrs       (Shares)
                                                                    Value     Amt.    Sole   Shared   Other        (a)   (b)   (c)
                                                                  (X $1000)                                        Sole Shared  None

------------------------------------------------------------------------------------------------------------------------------------
<S>                                     <C>             <C>       <C>        <C>      <C>    <C>      <C>   <C>    <C>  <C>     <C>
Ravisent Technologies Inc               Common Stock    754440105      51      7,200           x                    0    7,200    0
Royce Value Tr Inc.                     MutualFdEqClose 780910105     247     18,152           x                    0   18,152    0
RWE Aktiengesellschaft Spon             ADR             74975E303       8        225           x                    0      225    0
Rowan Bancorp Inc                       Common Stock    779379106      31      1,700           x                    0    1,700    0
Rent Way Inc                            Common Stock    76009U104     477     16,330           x                    0   16,330    0
IMS Health Inc.                         Common Stock    449934108   1,038     57,656           x                    0   57,656    0
Rex Silver Mines Ltd                    Foreign Stock   761622109       0      5,000           x                    0    5,000    0
Ryan's Family Steak House Inc.          Common Stock    783519101      23      2,700           x                    0    2,700    0
Rolls Royce PLC Sponsored ADR           ADR             775781206   2,491    139,300           x                    0  139,300    0
Royal Group Technologies Ltd            Common Stock    779915107      41      1,700           x                    0    1,700    0
Ryland Group Inc.                       Common Stock    783764103     200      9,031           x                    0    9,031    0
Rayonier Inc.                           Common Stock    754907103      74      2,061           x                    0    2,061    0
Royal Oak Mines                         Common Stock    78051D105       0      1,500           x                    0    1,500    0
Ribozyme Pharmaceuticals Inc            Common Stock    762567105      23        900           x                    0      900    0
Sears Roebuck & Co                      Common Stock    812387108   1,369     41,947           x                    0   41,947    0
Strawbridge & Clothier - Ser A Escrow   Common Stock    863200986       0        200           x                    0      200    0
Summit Technology Inc.                  Common Stock    86627E994     255     13,435           x                    0   13,435    0
Shearson Lehman Sr Inc Fd LP-Dep Units  LTD Part  P4    820930105       0        500           x                    0      500    0
Sigma Research Inc                      Foreign Stock   826904104       0      1,100           x                    0    1,100    0
Schwartz Electro Optics Inc.            Common Stock    S741139         0      8,334           x                    0    8,334    0
South Alabama Bancorporation            Common Stock    836234104       6        600           x                    0      600    0
South Carolina Elec & Gas Co 5% Pfd     PFD QTR 30/360  837004308      12        400           x                    0      400    0
SCE&G Trust I-7.55%                     PFD QTR 30/360  78389A203       3        133           x                    0      133    0
Scudder New Asia Fund Inc.              Common Stock    811183102       6        380           x                    0      380    0
Safeco Corp.                            Common Stock    786429100     644     32,415           x                    0   32,415    0
Sonic Automotive Inc                    Common Stock    83545G102      11      1,000           x                    0    1,000    0
SunAmerica Capital Trust II             Preferred Stock 867022204       5        200           x                    0      200    0
SunAmerica Capt Trust III               Preferred Stock 86702N208      52      2,052           x                    0    2,052    0
St Joseph Light & Power Co.             Common Stock    790654107      42      2,000           x                    0    2,000    0
Sakura Bk Ltd                           ADR             793774100      98      1,415           x                    0    1,415    0
Salon Com                               Common Stock    79549F108       1        500           x                    0      500    0
Boston Beer Co Inc. Cl A                Common Stock    100557107      13      1,500           x                    0    1,500    0
Sani Med Inc                            Common Stock    801015108       0        850           x                    0      850    0
Banco Santiago                          ADR             05965L105       3        190           x                    0      190    0
Sangstat Med Corp                       Common Stock    801003104       7        250           x                    0      250    0
Sanmina Corp.                           Common Stock    800907107   1,166     13,638           x                    0   13,638    0
SAP AG Sponsored ADR                    ADR             803054204     458      9,754           x                    0    9,754    0
Sapient Corp                            Common Stock    803062108     198      1,850           x                    0    1,850    0
Sasol Ltd Sponsored ADR                 ADR             803866300       5        790           x                    0      790    0
Sandy Spring Bancorp Inc                Common Stock    800363103     149      7,290           x                    0    7,290    0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
     FORM 13F      Name of Reporting Manager:                                                               Run Date: 07/17/2000
                                                 Legg Mason Wood Walker (IMS)                               ------------------------
                                               For Positions Held as of 06/30/2000                          S.E.C. Use Only

                                                                                                            ------------------------
          Item 1:                        Item 2:       Item 3:     Item 4:   Item 5:        Item 6:         Item 7:   Item 8:
      Name of Issuer                  Title of Class    CUSIP       Fair    Shares or Investment Discretion Other  Voting Authority
                                                                   Market   Principal (a)     (b)     (c)   Mgrs       (Shares)
                                                                    Value     Amt.    Sole   Shared   Other        (a)   (b)   (c)
                                                                  (X $1000)                                        Sole Shared  None

------------------------------------------------------------------------------------------------------------------------------------
<S>                                    <C>             <C>        <C>       <C>       <C>    <C>      <C>   <C>    <C>  <C>     <C>
Satcon Technology Corp                 Common Stock    803893106         6       250           x                     0      250    0
Shop At Home Inc.                      Common Stock    825066301         5     1,100           x                     0    1,100    0
SATX, Inc.                             Common Stock    78400J100         7    10,050           x                     0   10,050    0
Sawtek Inc.                            Common Stock    805468105       640    11,115           x                     0   11,115    0
Sba Communications Corp                Common Stock    78388J106        95     1,825           x                     0    1,825    0
Starbase Corp                          Common Stock    854910205       220    20,700           x                     0   20,700    0
SBC Communications Inc.                Common Stock    78387G103    24,725   571,681           x                     0  571,681    0
Seacoast Banking Corp. FLA             Common Stock    811707108        38     1,400           x                     0    1,400    0
Sinclair Broadcast Group Inc.          Common Stock    829226109         8       760           x                     0      760    0
SmithKline Beecham Spons ADR           ADR             832378301     1,610    24,697           x                     0   24,697    0
Sterling Bancshares Inc.               Common Stock    858907108        99     9,112           x                     0    9,112    0
Sterling Bancshares Capital            PFD QTR 30/360  858917206       155     6,650           x                     0    6,650    0
Sbi Communications Inc Del             Common Stock    783946106         0         5           x                     0        5    0
Softbank Invst Intl Stratg Ltd         Foreign Stock   Y80703104         2     7,000           x                     0    7,000    0
Symbol Technologies Inc.               Common Stock    871508107       308     5,701           x                     0    5,701    0
SBS Technologies Inc.                  Common Stock    78387P103         7       200           x                     0      200    0
Sabratek Corp.                         Common Stock    78571U108         0     1,000           x                     0    1,000    0
SBS Broadcasting SA                    Foreign Stock   L8137F102         7       130           x                     0      130    0
Starbucks Corp.                        Common Stock    855244109    19,664   514,922           x                     0  514,922    0
Salomon Brothers Worldwide             Common Stock    79548T109       172    14,575           x                     0   14,575    0
South African Breweries Plc            ADR             836220103         4       580           x                     0      580    0
Shell Transport & Trading PLC          ADR             822703609       198     3,973           x                     0    3,973    0
Sanchez Computer Associates            Common Stock    799702105        42     1,750           x                     0    1,750    0
SCB Computer Technology Inc.           Common Stock    78388N107         0       112           x                     0      112    0
Southern Calif Edison Co               PFD QTR 30/360  842400509         2       100           x                     0      100    0
Southern California                    Preferred Stock 842400301        16     1,100           x                     0    1,100    0
Southern California Edison(QUIDS)      Preferred Stock 842400764         7       300           x                     0      300    0
Medisys Technologies Inc               Common Stock    584953103         3     2,500           x                     0    2,500    0
Seacost Finl Services Corp             Common Stock    81170Q106        37     3,931           x                     0    3,931    0
Scana Corp New                         Common Stock    80589M102       685    28,378           x                     0   28,378    0
Societe Generale France SP ADR         ADR             83364L109       394    32,585           x                     0   32,585    0
Schwab Charles Corp.                   Common Stock    808513105     4,573   136,000           x                     0  136,000    0
Scholastic Corp.                       Common Stock    807066105         2        30           x                     0       30    0
S C I Systems Inc.                     Common Stock    783890106       538    13,722           x                     0   13,722    0
Sensar Corp.                           Common Stock    817253107        48     2,000           x                     0    2,000    0
Scios, Inc.                            Common Stock    808905103        93    16,600           x                     0   16,600    0
Socket Communications Inc              Common Stock    833672108        14     1,050           x                     0    1,050    0
Sciclone Pharmaceuticals Incorporated  Common Stock    80862K104       118     9,100           x                     0    9,100    0
Swisscom AG-Sponsored ADR              Foreign Stock   871013108     2,038    57,825           x                     0   57,825    0
Sycamore Networks Inc                  Common Stock    871206108       922     8,350           x                     0    8,350    0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
     FORM 13F      Name of Reporting Manager:                                                               Run Date: 07/17/2000
                                                 Legg Mason Wood Walker (IMS)                               ------------------------
                                               For Positions Held as of 06/30/2000                          S.E.C. Use Only

                                                                                                            ------------------------
          Item 1:                        Item 2:       Item 3:    Item 4:    Item 5:          Item 6:       Item 7:   Item 8:
      Name of Issuer                  Title of Class    CUSIP       Fair    Shares or Investment Discretion  Other Voting Authority
                                                                   Market   Principal (a)     (b)     (c)     Mgrs    (Shares)
                                                                   Value      Amt.    Sole   Shared   Other        (a)   (b)    (c)
                                                                 (X $1000)                                         Sole Shared  None

------------------------------------------------------------------------------------------------------------------------------------
<S>                                    <C>             <C>       <C>       <C>        <C>    <C>      <C>   <C>    <C>  <C>     <C>
Scient Corp                            Common Stock    80864H109       9        193            x                      0     193   0
Scor SA SPONSD ADR                     ADR             80917Q106      15        355            x                      0     355   0
The Santa Cruz Operation Inc.          Common Stock    801833104      28      4,410            x                      0   4,410   0
Superconductor Tech Inc.               Common Stock    867931107      98      2,500            x                      0   2,500   0
Syncor Intl Inc.                       Common Stock    87157J106   1,439     19,985            x                      0  19,985   0
Sea Containers Ltd Cl A                Common Stock    811371707     265     12,554            x                      0  12,554   0
Sea Containers Cl B                    Common Stock    811371103      62      2,621            x                      0   2,621   0
Sicor Inc                              Common Stock    825846108      68      8,548            x                      0   8,548   0
Steelcase Inc. - CL A                  Common Stock    858155203      36      2,095            x                      0   2,095   0
Stolt Comex Seaway SA                  Common Stock    L8873E103      42      3,000            x                      0   3,000   0
Systems & Computer Technology Corp     Common Stock    871873105      24      1,190            x                      0   1,190   0
Scottish Annunity & Life Holdings Ltd. Common Stock    G7885T104       1        150            x                      0     150   0
Scott Technologies Inc                 Common Stock    810022301     116      6,762            x                      0   6,762   0
Secure Computing Corp                  Common Stock    813705100   1,014     53,919            x                      0  53,919   0
Shoe Carnival Inc Ind                  Common Stock    824889109       3        500            x                      0     500   0
Santa Fe International Corp.           Common Stock    G7805C108     440     12,585            x                      0  12,585   0
Sodexho Marriott Services              Common Stock    833793102      13        808            x                      0     808   0
SDL Inc.                               Common Stock    784076101   2,355      8,258            x                      0   8,258   0
Sedona Corporation                     Common Stock    815677109      23      6,350            x                      0   6,350   0
Sunsource Inc                          Common Stock    867948101      48      9,391            x                      0   9,391   0
Sunsource Capital Trust 11.6% Tr PFD   PFD QTR 30/360  867949208      87      4,532            x                      0   4,532   0
Structural Dynamics Research           Common Stock    863555108      19      1,250            x                      0   1,250   0
Sungard Data Systems Inc.              Common Stock    867363103     551     17,765            x                      0  17,765   0
Southdown, Inc.                        Common Stock    841297104   4,166     72,144            x                      0  72,144   0
Sideware Systems Inc.                  Common Stock    825907108     169     42,250            x                      0  42,250   0
Seachange International Inc            Common Stock    811699107       3        120            x                      0     120   0
Siebel Systems Inc.                    Common Stock    826170102   4,489     27,448            x                      0  27,448   0
Second Bancorp Inc                     Common Stock    813114105       8        500            x                      0     500   0
Sealed Air Corp.                       Common Stock    81211K100     589     11,243            x                      0  11,243   0
Sealed Air Corp - $2 Conv Pfd Ser A    PreferdStk Conv 81211K209      11        210            x                      0     210   0
Seagate Technology, Inc.               Common Stock    811804103   1,012     18,406            x                      0  18,406   0
Sega Enterprises Ltd                   Common Stock    815793104      11      2,920            x                      0   2,920   0
Spartech Corp                          Common Stock    847220209       7        275            x                      0     275   0
SEI Investments Co                     Common Stock    784117103     322      8,085            x                      0   8,085   0
General Semiconductor Inc.             Common Stock    370787103      16      1,105            x                      0   1,105   0
All American Semiconductor Inc         Common Stock    016557407       6        300            x                      0     300   0
Swedish Exp Credit Corp. 7.20% PFD Ser PFD QTR 30/360  W92947246      36      1,700            x                      0   1,700   0
A B Svensk Export Kredit 7 3/8%        Preferred Stock W92947212       9        400            x                      0     400   0
Sepracor Inc.                          Common Stock    817315104     966      8,007            x                      0   8,007   0
Superior Energy Services Inc.          Common Stock    868157108      16      1,550            x                      0   1,550   0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
     FORM 13F      Name of Reporting Manager:                                                              Run Date: 07/17/2000
                                                 Legg Mason Wood Walker (IMS)                              -------------------------
                                               For Positions Held as of 06/30/2000                         S.E.C. Use Only

                                                                                                           -------------------------
          Item 1:                        Item 2:    Item 3:     Item 4:    Item 5:          Item 6:        Item 7:      Item 8:
      Name of Issuer                 Title of Class  CUSIP      Fair     Shares or  Investment Discretion   Other   Voting Authority
                                                                Market    Principal  (a)     (b)     (c)    Mgrs        (Shares)
                                                                 Value      Amt.     Sole   Shared   Other          (a)   (b)    (c)
                                                               (X $1000)                                            Sole Shared None

------------------------------------------------------------------------------------------------------------------------------------
<S>                                  <C>            <C>        <C>        <C>        <C>    <C>      <C>   <C>    <C>  <C>      <C>
Seaview Underwater Research          Common Stock   81273Q102          6        500          x                     0       500   0
The Singer Co N.V.                   Common Stock   82930F109          0      4,500          x                     0     4,500   0
Scientific-Atlanta Inc.              Common Stock   808655104      1,512     20,299          x                     0    20,299   0
Safe Technologies Intl Inc           Common Stock   786416107         23    312,500          x                     0   312,500   0
Speedfam-ipec Inc                    Common Stock   847705100         18      1,000          x                     0     1,000   0
Southern Pacific Funding Corp.       Common Stock   843576109          0      2,000          x                     0     2,000   0
Smithfield Foods                     Common Stock   832248108        858     30,568          x                     0    30,568   0
Safeguard Scientifics Inc.           Common Stock   786449108      2,776     86,586          x                     0    86,586   0
Santa Fe Financiall Corp             Common Stock   802014100         31      3,500          x                     0     3,500   0
Santa Fe Energy Tr                   Common Stock   802013102         12        600          x                     0       600   0
Stancorp Financial Group Inc.        Common Stock   852891100          4        110          x                     0       110   0
Istar Financial, Inc.                Common Stock   45031U101         25      1,206          x                     0     1,206   0
Salton Inc.                          Common Stock   795757103        623     16,885          x                     0    16,885   0
Santa Fe Snyder Corp                 Common Stock   80218K105        141     12,415          x                     0    12,415   0
Search Finl Svcs Inc                 Common Stock   812209104          0        283          x                     0       283   0
Starfest Inc                         Common Stock   855283107          1      1,000          x                     0     1,000   0
State Financial Services Corp CL A   Common Stock   856855101         31      3,234          x                     0     3,234   0
Stratesec Inc                        Common Stock   862792108          3      1,000          x                     0     1,000   0
Enlighten Software Solutions         Common Stock   29336A101          2        400          x                     0       400   0
Safeway Plc                          Foreign Stock  G7769A106        199     51,150          x                     0    51,150   0
Sfx Entmt Inc                        Common Stock   784178105          8        174          x                     0       174   0
Swift Energy Co                      Common Stock   870738101         90      3,161          x                     0     3,161   0
Saga Communications Inc Cl- A        Common Stock   786598102         39      1,755          x                     0     1,755   0
Smith-Gardner & Associates Inc.      Common Stock   832059109          2        400          x                     0       400   0
Star Gas Partners L P                Common Stock   85512C105         43      2,800          x                     0     2,800   0
Stage Stores Inc.                    Common Stock   85254C107          1      9,900          x                     0     9,900   0
Singapore Fd Inc.                    Common Stock   82929L109          3        500          x                     0       500   0
Silicon Graphics Inc.                Common Stock   827056102         52     13,880          x                     0    13,880   0
SGI Intl New                         Common Stock   784185209          3     10,000          x                     0    10,000   0
Sangamo Biosciences Inc              Common Stock   800677106        126      4,550          x                     0     4,550   0
Sagent Technology Inc                Common Stock   786693101         69      4,820          x                     0     4,820   0
Schering-Plough Corp.                Common Stock   806605101     24,400    483,163          x                     0   483,163   0
Shaw Group Inc.                      Common Stock   820280105         20        415          x                     0       415   0
Singapore Telecommunicatns Ltd       ADR            82929R106          4        287          x                     0       287   0
Soligen Technologies Inc             Common Stock   83423G109          2      6,000          x                     0     6,000   0
SPG Properties Inc                   PFD QTR 30/360 78462M207         14        637          x                     0       637   0
Stone Energy Corp.                   Common Stock   861642106         37        625          x                     0       625   0
Shandong Huaneng Powr -SP ADR        ADR            819419102         57     13,610          x                     0    13,610   0
Shangri La Asai Ltd                  Foreign Stock  G8063F106          2      2,000          x                     0     2,000   0
Shore Bancshares Inc.                Common Stock   825107105         44      3,000          x                     0     3,000   0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
     FORM 13F      Name of Reporting Manager:                                                              Run Date: 07/17/2000
                                                 Legg Mason Wood Walker (IMS)                              -------------------------
                                               For Positions Held as of 06/30/2000                         S.E.C. Use Only

                                                                                                           -------------------------
               Item 1:                    Item 2:       Item 3:  Item 4:    Item 5:           Item 6:      Item 7:    Item 8:
            Name of Issuer             Title of Class    CUSIP    Fair    Shares or  Investment Discretion  Other  Voting Authority
                                                                 Market   Principal  (a)     (b)     (c)     Mgrs       (Shares)
                                                                  Value      Amt.    Sole   Shared   Other         (a)   (b)    (c)
                                                                 (X $1000)                                         Sole  Shared None

------------------------------------------------------------------------------------------------------------------------------------
<S>                                    <C>              <C>      <C>      <C>        <C>    <C>      <C>   <C>     <C>  <C>     <C>
Sharp Corp. - ADR                       ADR             819882200      55        310          x                       0     310    0
Shuffle Master Inc                      Common Stock    825549108       3        200          x                       0     200    0
Sun Healthcare Group Inc.               Common Stock    866933104       9    146,600          x                       0 146,600    0
Shanghai Petro Co LTD ADR CL H          ADR             819424102      14      1,000          x                       0   1,000    0
Shells Seafood Restaurants Inc          Common Stock    822809109       2      1,000          x                       0   1,000    0
Shoney's Inc.                           Common Stock    825039100       1        600          x                       0     600    0
Shire Pharmaceuticals Grp PLC Spons AD  ADR             82481R106      22        422          x                       0     422    0
Shaman Pharmaceuticals Inc              Common Stock    819319500       0      1,438          x                       0   1,438    0
Shurgard Storage Centers Inc., CL A     Common Stock    82567D104     137      6,071          x                       0   6,071    0
Shurgard Storage Center Inc 8.80% Ser   PFD QTR 30/360  82567D203      29      1,400          x                       0   1,400    0
Shurgard Storage Centers Inc. 8.70% PF  PFD QTR 30/360  82567D302      23      1,100          x                       0   1,100    0
Sherwin Williams Corp.                  Common Stock    824348106   2,408    113,663          x                       0 113,663    0
Showcase Corp                           Common Stock    82539P102       9      1,500          x                       0   1,500    0
Shaw Industries Inc.                    Common Stock    820286102      58      4,600          x                       0   4,600    0
ACM Government Spectrum Fund Inc.       MutualFdFiClose 000917104      89     15,260          x                       0  15,260    0
Sigma-Aldrich Corp.                     Common Stock    826552101   1,190     40,684          x                       0  40,684    0
Si Diamond Technology Inc               Common Stock    784249104      17     10,000          x                       0  10,000    0
Science Dynamics Corp                   Common Stock    808631105      15      1,338          x                       0   1,338    0
Satyam Infoway Ltd Sponsored Adr        ADR             804099109      36      1,600          x                       0   1,600    0
Selective Ins Group Inc.                Common Stock    816300107     941     49,545          x                       0  49,545    0
Sigma Design                            Common Stock    826565103      17      4,000          x                       0   4,000    0
Signet Group PLC- Spons ADR             ADR             82668L872       6        237          x                       0     237    0
Sun International Ltd Ord               Common Stock    P8797T133      10        480          x                       0     480    0
Smith International Inc.                Common Stock    832110100     588      8,069          x                       0   8,069    0
S3 Inc.                                 Common Stock    784849101     194     13,170          x                       0  13,170    0
Struthers Industries Inc.               Common Stock    863583209       0         42          x                       0      42    0
Siliconix inc                           Common Stock    827079203      17        250          x                       0     250    0
Silicon Image Inc                       Common Stock    82705T102      12        235          x                       0     235    0
Sipex Corp                              Common Stock    829909100      53      1,900          x                       0   1,900    0
Spectrasite Holdings Inc                Common Stock    84760T100     496     17,469          x                       0  17,469    0
Siti-sites Com Inc                      Common Stock    82981P105       0          1          x                       0       1    0
Silicon Valley Bancshares               Common Stock    827064106      61      1,420          x                       0   1,420    0
SVB Cap I Tr Pfd Secs                   PFD QTR 30/360  784868200      18        900          x                       0     900    0
Sizeler Property Investors, Inc.        Common Stock    830137105       8      1,000          x                       0   1,000    0
J M Smucker Co.                         Common Stock    832696108      28      1,480          x                       0   1,480    0
J M Smucker Co Cl B                     Common Stock    832696207       2        100          x                       0     100    0
Safety-kleen Corp New                   Common Stock    78648R203       7     11,500          x                       0  11,500    0
SKF AB Sponsored ADR Par S KR           ADR             784375404       9        525          x                       0     525    0
American Skiing Co.                     Common Stock    029654308       6      2,200          x                       0   2,200    0
Sehisui House Ltd                       ADR             816078208      20        215          x                       0     215    0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
     FORM 13F      Name of Reporting Manager:                                                              Run Date: 07/17/2000
                                                 Legg Mason Wood Walker (IMS)                              -------------------------
                                               For Positions Held as of 06/30/2000                         S.E.C. Use Only

                                                                                                           -------------------------
               Item 1:              Item 2:        Item 3:       Item 4:   Item 5:           Item 6:       Item 7:    Item 8:
            Name of Issuer       Title of Class    CUSIP          Fair    Shares or  Investment Discretion  Other  Voting Authority
                                                                 Market   Principal  (a)     (b)     (c)     Mgrs       (Shares)
                                                                  Value      Amt.    Sole   Shared   Other         (a)   (b)    (c)
                                                                (X $1000)                                          Sole  Shared None

------------------------------------------------------------------------------------------------------------------------------------
<S>                              <C>               <C>          <C>       <C>        <C>    <C>      <C>   <C>     <C>  <C>     <C>
SK Telecom Co Ltd Sponsored Adr  ADR               78440P108         18        500             x                      0     500    0
Shopko Stores, Inc.              Common Stock      824911101         46      3,000             x                      0   3,000    0
Saks Incorporated                Common Stock      79377W108        141     13,400             x                      0  13,400    0
Tanger Factory Outlet Centers    Common Stock      875465106        436     18,540             x                      0  18,540    0
Skywell Corp.                    Common Stock      830910105          0         80             x                      0      80    0
Skechers USA Inc. Cl A           Common Stock      830566105         63      4,000             x                      0   4,000    0
Skyline Corp.                    Common Stock      830830105          9        400             x                      0     400    0
Skyepharma Plc                   ADR               830808101          4        300             x                      0     300    0
Sky Financial Group Inc          Common Stock      83080P103        135      8,451             x                      0   8,451    0
SkyMall Inc.                     Common Stock      830859104          4      1,600             x                      0   1,600    0
Skywest Inc                      Common Stock      830879102          4        100             x                      0     100    0
S L Industries Inc.              Common Stock      784413106         34      3,500             x                      0   3,500    0
Schlumberger Limited             Common Stock      806857108     15,023    201,314             x                      0 201,314    0
Sun Life Finl Svcs Cda Inc       Foreign Stock     866796105         31      1,816             x                      0   1,816    0
Select Software Tools Ltd        ADR               816200109          0      1,500             x                      0   1,500    0
Sara Lee Corp.                   Common Stock      803111103      2,706    140,103             x                      0 140,103    0
SL Green Realty Corp.            Common Stock      78440X101        136      5,090             x                      0   5,090    0
SLI Inc                          Common Stock      78442T108         85      7,000             x                      0   7,000    0
SLM Holding Corp.                Common Stock      78442A109      1,384     36,981             x                      0  36,981    0
Spectralink Corp                 Common Stock      847580107         15      1,000             x                      0   1,000    0
Salant Corp                      Common Stock      794004200          0         67             x                      0      67    0
Anchor Gaming Corp.              Common Stock      033037102          5        100             x                      0     100    0
Solectron Corp.                  Common Stock      834182107      3,205     76,544             x                      0  76,544    0
Selectica Inc                    Common Stock      816288104         14        200             x                      0     200    0
Surgical Laser Tech Inc          Common Stock      868819202          3      1,220             x                      0   1,220    0
Salient Systems,  Inc.           Common Stock      794720102         15     15,100             x                      0  15,100    0
Solucorp Inds Ltd                Foreign Stock     83437C102          1      2,000             x                      0   2,000    0
Sylvan Learning Systems Inc.     Common Stock      871399101        366     26,592             x                      0  26,592    0
Silver Diner Incorporated        Common Stock      827655101          0        400             x                      0     400    0
Siemens AG ADR New               ADR               826197402        174      1,152             x                      0   1,152    0
Symbolics Inc New                Common Stock      871512208          0         95             x                      0      95    0
Smart Choice Automotive Group    Common Stock      831686209          0        100             x                      0     100    0
Sunrise Medical Inc.             Common Stock      867910101         19      3,800             x                      0   3,800    0
Service Merchandise Co.          Common Stock      817587108          0        700             x                      0     700    0
The Scotts Co Class A            Common Stock      810186106        309      8,465             x                      0   8,465    0
Semco Energy Inc.                Common Stock      78412D109          4        325             x                      0     325    0
Springs Industries Inc.          Common Stock      851783100         63      1,950             x                      0   1,950    0
Southern Mineral Corp            Common Stock      843367202        106    196,956             x                      0 196,956    0
Smith & Nephew PLC               Foreign Stock     G82343107         52     14,100             x                      0  14,100    0
Standard Motor Prods             Common Stock      853666105          3        400             x                      0     400    0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
     FORM 13F      Name of Reporting Manager:                                                              Run Date: 07/17/2000
                                                 Legg Mason Wood Walker (IMS)                              ------------------------
                                               For Positions Held as of 06/30/2000                         S.E.C. Use Only

                                                                                                           ------------------------
                  Item 1:                 Item 2:      Item 3:  Item 4:    Item 5:           Item 6:       Item 7:    Item 8:
              Name of Issuer          Title of Class    CUSIP     Fair    Shares or  Investment Discretion  Other  Voting Authority
                                                                 Market   Principal  (a)     (b)     (c)     Mgrs      (Shares)
                                                                  Value      Amt.    Sole   Shared   Other         (a)   (b)    (c)
                                                                (X $1000)                                          Sole  Shared None

------------------------------------------------------------------------------------------------------------------------------------
<S>                                   <C>              <C>      <C>       <C>        <C>    <C>      <C>   <C>     <C>  <C>     <C>
Simpson Inds Inc.                     Common Stock     829060102       5        610          x                        0     610    0
Somera Communication                  Common Stock     834458101     185     13,550          x                        0  13,550    0
Stein Mart Inc.                       Common Stock     858375108     158     15,400          x                        0  15,400    0
Shared Medical Systems Corp.          Common Stock     819486101       0          0          x                        0       0    0
Summit Properties Inc.                Common Stock     866239106     176      8,371          x                        0   8,371    0
Semtech Corp.                         Common Stock     816850101      13        170          x                        0     170    0
Smartforce Pub Ltd Co                 ADR              83170A206     351      7,310          x                        0   7,310    0
Smartalk Teleservices Inc.            Common Stock     83169A100       0      3,650          x                        0   3,650    0
Semitool Inc.                         Common Stock     816909105       7        400          x                        0     400    0
Somanetics Corp                       Common Stock     834445405       2        500          x                        0     500    0
Smedvig ASA-Spon ADR Ser A            ADR              83169H105     160      8,840          x                        0   8,840    0
Snap-On Inc.                          Common Stock     833034101      44      1,650          x                        0   1,650    0
Snyder Communications Inc.            Common Stock     832914105     901     37,955          x                        0  37,955    0
Sandisk Corp.                         Common Stock     80004C101   1,041     17,011          x                        0  17,011    0
Sony Corp. - Sponsored ADR            ADR              835699307   2,688     28,496          x                        0  28,496    0
The Spain Fund Inc.                   Common Stock     846330108       3        200          x                        0     200    0
Senior Hsg Pptys Tr                   Common Stock     81721M109      14      1,921          x                        0   1,921    0
Second National Bancorp               Common Stock     813192101       0      3,000          x                        0   3,000    0
Starnet Communications International  Foreign Stock    855552105       6      2,200          x                        0   2,200    0
Smith & Nephew Plc                    ADR              83175M106     103      2,850          x                        0   2,850    0
Synopsys Inc.                         Common Stock     871607107     695     20,116          x                        0  20,116    0
Sonera Group Plc                      ADR              835433202     303      6,587          x                        0   6,587    0
Sunrise Technologies Intl Inc.        Common Stock     86769L103      23      2,250          x                        0   2,250    0
Sunrise Assisted Living Inc.          Common Stock     86768K106      25      1,367          x                        0   1,367    0
Senetek PLC                           ADR              817209307       2      1,000          x                        0   1,000    0
Synovus Financial Corp.               Common Stock     87161C105      23      1,289          x                        0   1,289    0
Sonicwall Inc                         Common Stock     835470105       4         50          x                        0      50    0
Southern Co                           Common Stock     842587107   1,220     52,332          x                        0  52,332    0
Georgia Power Co. SR Notes            PFD QTR 30/360   373334556       8        400          x                        0     400    0
Sunbeam Corp.                         Common Stock     867071102      92     26,854          x                        0  26,854    0
Scan Optic Inc.                       Common Stock     805894102       0        300          x                        0     300    0
Socrates Technologies Corp            Common Stock     833719107       6      6,500          x                        0   6,500    0
Softnet Systems Inc.                  Common Stock     833964109     119     12,375          x                        0  12,375    0
Solar Finl Svcs Inc                   Common Stock     83414F201       0         13          x                        0      13    0
Sonic Foundry Inc                     Common Stock     83545R108      22      1,100          x                        0   1,100    0
Solutia Inc.                          Common Stock     834376105      52      3,780          x                        0   3,780    0
Solv-Ex Corp New                      Common Stock     834382103       0        700          x                        0     700    0
Secom Co Ltd Adr                      ADR              813113206       6         38          x                        0      38    0
Sonoco Products Co                    Common Stock     835495102     822     39,953          x                        0  39,953    0
S1 Corporation                        Common Stock     78463B101      63      2,721          x                        0   2,721    0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
     FORM 13F      Name of Reporting Manager:                                                              Run Date: 07/17/2000
                                                 Legg Mason Wood Walker (IMS)                              ------------------------
                                               For Positions Held as of 06/30/2000                         S.E.C. Use Only

                                                                                                           ------------------------
                  Item 1:                 Item 2:      Item 3:  Item 4:    Item 5:           Item 6:       Item 7:    Item 8:
              Name of Issuer          Title of Class    CUSIP     Fair    Shares or  Investment Discretion  Other  Voting Authority
                                                                 Market   Principal  (a)     (b)     (c)     Mgrs      (Shares)
                                                                  Value      Amt.    Sole   Shared   Other         (a)   (b)    (c)
                                                                (X $1000)                                          Sole  Shared None

------------------------------------------------------------------------------------------------------------------------------------
<S>                                   <C>              <C>      <C>       <C>        <C>    <C>      <C>   <C>     <C>  <C>     <C>
Sonosight Inc                          Common Stock    83568G104      18        633          x                        0     633    0
Sonus Networks Inc                     Common Stock    835916107      14         89          x                        0      89    0
Sonex Research Inc.                    Common Stock    835448101       6     12,600          x                        0  12,600    0
First Savings Bancorp Inc.             Common Stock    335939104      16      1,000          x                        0   1,000    0
Southern Co Cap Tr V                   PFD QTR 30/360  842637209      32      1,600          x                        0   1,600    0
Source Information Mgmt Co             Common Stock    836151209      19      1,225          x                        0   1,225    0
Source Cap Inc                         PFD QTR 30/360  836144204      15        550          x                        0     550    0
Southern Company Cap Tr IV 7.125%      PFD QTR 30/360  842636201      13        600          x                        0     600    0
Southtrust Corp.                       Common Stock    844730101     194      8,593          x                        0   8,593    0
Spartan Motors Inc                     Common Stock    846819100      13      3,000          x                        0   3,000    0
St. Paul Companies Inc.                Common Stock    792860108   1,132     33,161          x                        0  33,161    0
Speedus Com                            Common Stock    847723103       9      1,500          x                        0   1,500    0
Sports Entmt Enterprises Inc           Common Stock    849178108       0      1,000          x                        0   1,000    0
Simon Property Group Inc               Common Stock    828806109   1,070     48,233          x                        0  48,233    0
Suburban Propane Partners LP           LTD Part  P4    864482104     142      7,090          x                        0   7,090    0
Scottich Power PLC                     Common Stock    81013T705      67      1,991          x                        0   1,991    0
Spieker Properties, Inc.               Common Stock    848497103     343      7,265          x                        0   7,265    0
Spieker Properties Inc 9.45% PFD Ser B PFD QTR 30/360  848497202      52      2,161          x                        0   2,161    0
Splash Technology Holdings Inc.        Common Stock    848623104      12      1,500          x                        0   1,500    0
Sportsline USA Inc                     Common Stock    848934105      43      2,500          x                        0   2,500    0
Staples Inc.                           Common Stock    855030102   5,531    359,732          x                        0 359,732    0
Spectranetics Corp                     Common Stock    84760C107       5      1,000          x                        0   1,000    0
Spinnaker Expl Co                      Common Stock    84855W109      38      1,500          x                        0   1,500    0
Strong Point Inc Com New               Common Stock    863355202       0          5          x                        0       5    0
Panamsat Corp New                      Common Stock    697933109     160      3,660          x                        0   3,660    0
Sappi Ltd -Sponsered ADR               ADR             803069202      84     11,380          x                        0  11,380    0
Southwestern Pub Svc Cap I             PFD QTR 30/360  845739200       5        200          x                        0     200    0
SPSS Inc.                              Common Stock    78462K102     266      9,150          x                        0   9,150    0
Spectrum Oil Corp                      Common Stock    84762G205       1      1,000          x                        0   1,000    0
SPX Corp.                              Common Stock    784635104     187      1,548          x                        0   1,548    0
SPW Corp                               Common Stock    784630105       0        100          x                        0     100    0
Standard & Poors DEP Receipts          Common Stock    78462F103   5,287     36,392          x                        0  36,392    0
Spyglass Inc.                          Common Stock    852192103       7        225          x                        0     225    0
Sequa Corp. Cl B                       Common Stock    817320203      58      1,000          x                        0   1,000    0
Sequa Corp. - CL A                     Common Stock    817320104       2         60          x                        0      60    0
Sociedad Quimca Y Minera De Chille S A ADR             833635105       2         80          x                        0      80    0
Sciquest Com Inc                       Common Stock    80908Q107     184     16,125          x                        0  16,125    0
Sequoia Software Corp                  Common Stock    817439102      16      1,000          x                        0   1,000    0
Simtek Corp                            Common Stock    829204106      15     10,000          x                        0  10,000    0
Us Search.com                          Common Stock    903404101       1        300          x                        0     300    0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
     FORM 13F      Name of Reporting Manager:                                                              Run Date: 07/17/2000
                                                 Legg Mason Wood Walker (IMS)                              ------------------------
                                               For Positions Held as of 06/30/2000                         S.E.C. Use Only

                                                                                                           ------------------------
                  Item 1:                 Item 2:      Item 3:  Item 4:    Item 5:           Item 6:       Item 7:    Item 8:
              Name of Issuer          Title of Class    CUSIP     Fair    Shares or  Investment Discretion  Other  Voting Authority
                                                                 Market   Principal  (a)     (b)     (c)     Mgrs      (Shares)
                                                                  Value      Amt.    Sole   Shared   Other         (a)   (b)    (c)
                                                                (X $1000)                                          Sole  Shared None

------------------------------------------------------------------------------------------------------------------------------------
<S>                                   <C>              <C>      <C>       <C>        <C>    <C>      <C>   <C>     <C>  <C>     <C>
Slippery Rock Finl Corp               Common Stock     831471107      17        900          x                        0     900    0
Source Media Inc New                  Common Stock     836153304       2        500          x                        0     500    0
Sempra Energy                         Common Stock     816851109     184     10,800          x                        0  10,800    0
Sears Roebuck Accep Corp              PFD QTR 30/360   812404200      27      1,300          x                        0   1,300    0
Spectrafax Corp                       Common Stock     847572104       6     10,000          x                        0  10,000    0
Stoneridge Inc                        Common Stock     86183P102       1        145          x                        0     145    0
Sensormatic Electronics Corp.         Common Stock     817265101      25      1,580          x                        0   1,580    0
Serena Software Inc                   Common Stock     817492101     243      5,350          x                        0   5,350    0
Sierra Pacific Resources new          Common Stock     826428104   2,257    179,651          x                        0 179,651    0
Sierra Pacific Power Capt I           Preferred Stock  826433203      24      1,000          x                        0   1,000    0
Stride Rite Corp.                     Common Stock     863314100     497     81,200          x                        0  81,200    0
Startek Inc.                          Common Stock     85569C107      51      1,011          x                        0   1,011    0
Service Corp. International           Common Stock     817565104     348    109,258          x                        0 109,258    0
Charles E. Smith Residential          Common Stock     832197107     377      9,929          x                        0   9,929    0
System Software Associates Inc New    Common Stock     871839205       0        150          x                        0     150    0
Sunshine Mng & Refining Co            Common Stock     867833501       0      1,389          x                        0   1,389    0
Smurfit-Stone Container Corp.         Common Stock     832727101      38      2,962          x                        0   2,962    0
Shiseido Ltd ADR                      ADR              824841407       3        220          x                        0     220    0
Scansoft Inc                          Common Stock     80603P107       7      2,557          x                        0   2,557    0
Scribe Systems Inc                    Common Stock     811035104       0        425          x                        0     425    0
Spectrum Signal Processing Inc        Foreign Stock    84763F107       1        200          x                        0     200    0
SSBH Capital I-7.20% Cum Trust Pfd    PFD QTR 30/360   784646200     231     10,950          x                        0  10,950    0
Stewart & Stevenson                   Common Stock     860342104     374     24,812          x                        0  24,812    0
Silverstream Software Inc             Common Stock     827907106       3         50          x                        0      50    0
Scott Science & Technology            Common Stock     810016105       0      2,500          x                        0   2,500    0
Silicon Storage Technology Inc.       Common Stock     827057100     249      2,815          x                        0   2,815    0
Stratasys Inc.                        Common Stock     862685104       3        400          x                        0     400    0
SPS Technologies Inc.                 Common Stock     784626103     108      2,630          x                        0   2,630    0
Staar Surgical Co.                    Common Stock     852312305      57      5,055          x                        0   5,055    0
Austins Steaks & Saloon Inc           Common Stock     052482205       7     10,000          x                        0  10,000    0
Lone Star Steakhouse Saloon           Common Stock     542307103      29      2,904          x                        0   2,904    0
State Bancorp Inc N.y                 Common Stock     855716106       4        283          x                        0     283    0
S & T Bancorp Inc                     Common Stock     783859101      75      4,106          x                        0   4,106    0
Southeast Banking Corp.               Common Stock     841338106       0        200          x                        0     200    0
Salient 3 Communications Inc          Common Stock     794721100       3        250          x                        0     250    0
Shared Technologies Cellular          Common Stock     819487109       1        400          x                        0     400    0
Stonecutter Mills Corp Cl A           Common Stock     861793107      20        286          x                        0     286    0
Stonecutter Mills Corp Cl B           Common Stock     861793206      30        429          x                        0     429    0
Banco Santander Central Hispano       ADR              05964H105      20      1,942          x                        0   1,942    0
Steris Corp.                          Common Stock     859152100     324     36,520          x                        0  36,520    0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
     FORM 13F      Name of Reporting Manager:                                                              Run Date: 07/17/2000
                                                 Legg Mason Wood Walker (IMS)                              ------------------------
                                               For Positions Held as of 06/30/2000                         S.E.C. Use Only

                                                                                                           ------------------------
                  Item 1:                 Item 2:      Item 3:  Item 4:    Item 5:           Item 6:       Item 7:    Item 8:
              Name of Issuer          Title of Class    CUSIP     Fair    Shares or  Investment Discretion  Other  Voting Authority
                                                                 Market   Principal  (a)     (b)     (c)     Mgrs      (Shares)
                                                                  Value      Amt.    Sole   Shared   Other         (a)   (b)    (c)
                                                                (X $1000)                                          Sole  Shared None

------------------------------------------------------------------------------------------------------------------------------------
<S>                                   <C>              <C>      <C>       <C>        <C>    <C>      <C>   <C>     <C>  <C>     <C>
Stewart Enterprises CL A              Common Stock     860370105     148     42,048          x                        0  42,048    0
Steamcells Inc                        Common Stock     85857R105      26      4,900          x                        0   4,900    0
Staff Leasing Inc.                    Common Stock     852381102     112     31,500          x                        0  31,500    0
Stamford Intl Inc                     Common Stock     852902105     972    102,850          x                        0 102,850    0
Startec Global Communications         Common Stock     85569E103       5        500          x                        0     500    0
Startech Enviromental Corp            Common Stock     855906103      57      5,800          x                        0   5,800    0
Suntrust Banks Inc.                   Common Stock     867914103   4,050     88,637          x                        0  88,637    0
St Jude Medical Inc.                  Common Stock     790849103   1,708     37,225          x                        0  37,225    0
St. Jude Resource LTD                 Foreign Stock    79085J100       1      2,000          x                        0   2,000    0
Storage Technology Corp.              Common Stock     862111200     197     18,020          x                        0  18,020    0
Steel Dynamics Inc.                   Common Stock     858119100      18      2,000          x                        0   2,000    0
Stratos Lightwave Inc                 Common Stock     863100103      77      2,765          x                        0   2,765    0
Stanley Furniture Co,                 Common Stock     854305208     684     31,100          x                        0  31,100    0
Stmicroelectronics NV - NY Shares     Foreign Stock    861012102     651     10,137          x                        0  10,137    0
Stamps Com Inc                        Common Stock     852857101       2        300          x                        0     300    0
Station Casinos Inc.                  Common Stock     857689103       6        250          x                        0     250    0
Steiner Leisure LTD                   Common Stock     P8744Y102     183      8,100          x                        0   8,100    0
Startronix Intl Inc-New               Common Stock     85568C207       0         25          x                        0      25    0
Storagenetworks Inc                   Common Stock     86211E103      24        261          x                        0     261    0
Questar Corp.                         Common Stock     748356102     172      8,900          x                        0   8,900    0
Strayer Education Inc.                Common Stock     863236105     843     35,125          x                        0  35,125    0
Sterile Recoveries Inc.               Common Stock     859151102       4        575          x                        0     575    0
Starmedia Network Inc                 Common Stock     855546107      31      1,635          x                        0   1,635    0
Star Technologies Inc.                Common Stock     855193108       0      3,000          x                        0   3,000    0
Stratus Properties Inc                Common Stock     863167102       0         60          x                        0      60    0
Struthers Inc                         Common Stock     863582201       1      1,470          x                        0   1,470    0
Star Telecommunications inc           Common Stock     854923109      40     16,000          x                        0  16,000    0
Star Scientific Inc                   Common Stock     85517P101      19      5,500          x                        0   5,500    0
State Street Corp.                    Common Stock     857477103   6,728     63,430          x                        0  63,430    0
Student Loan Corp.                    Common Stock     863902102     130      3,100          x                        0   3,100    0
Sturgis Fed Svngs Bk Mich             Common Stock     864088109       3        500          x                        0     500    0
Shaw Communication 8.45% Ser A PFD    PFD QTR 30/360   82028K606      13        600          x                        0     600    0
Shaw Communications Inc Pfd 8.50%     PFD QTR 30/360   82028K705      56      2,650          x                        0   2,650    0
Standard Commcl Corp.                 Common Stock     853258101      18      3,888          x                        0   3,888    0
Security Banc Corporation             Common Stock     813767100      69      3,720          x                        0   3,720    0
Suncor Energy Inc.                    Foreign Stock    867229106     211      9,060          x                        0   9,060    0
Suncor Energy Inc PFD Secs            PFD QTR 30/360   867229601     107      4,500          x                        0   4,500    0
Summit Bancorp                        Common Stock     866005101     983     39,927          x                        0  39,927    0
Submicron Systems Corporation         Common Stock     864313101       0        200          x                        0     200    0
Abbey Natl PLC Perp Sub Cap           PFD QTR 30/360   002920502      21      1,000          x                        0   1,000    0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
     FORM 13F      Name of Reporting Manager:                                                              Run Date: 07/17/2000
                                                 Legg Mason Wood Walker (IMS)                              ------------------------
                                               For Positions Held as of 06/30/2000                         S.E.C. Use Only

                                                                                                           ------------------------
                  Item 1:                 Item 2:      Item 3:  Item 4:    Item 5:           Item 6:       Item 7:    Item 8:
              Name of Issuer          Title of Class    CUSIP     Fair    Shares or  Investment Discretion  Other  Voting Authority
                                                                 Market   Principal  (a)     (b)     (c)     Mgrs      (Shares)
                                                                  Value      Amt.    Sole   Shared   Other         (a)   (b)    (c)
                                                                (X $1000)                                          Sole  Shared None

------------------------------------------------------------------------------------------------------------------------------------
<S>                                   <C>              <C>      <C>       <C>        <C>    <C>      <C>   <C>     <C>  <C>     <C>
Southern Union Co New                  Common Stock    844030106     519     32,848          x                        0  32,848    0
Southern Union Financing TOPRS         PFD QTR 30/360  844038208     122      5,050          x                        0   5,050    0
Sun Communities Inc.                   Common Stock    866674104       3        100          x                        0     100    0
Mens Wearhouse Inc.                    Common Stock    587118100      40      1,800          x                        0   1,800    0
Supra Medical Corp        Ec           Common Stock    868591108       0      1,000          x                        0   1,000    0
Sunoco Inc                             Common Stock    86764P109     110      3,722          x                        0   3,722    0
Sun Microsystems Inc.                  Common Stock    866810104  60,251    662,552          x                        0 662,552    0
Superior Industries Intl Inc.          Common Stock    868168105     496     19,254          x                        0  19,254    0
Supergen Inc.                          Common Stock    868059106       5        150          x                        0     150    0
Supertex Inc                           Common Stock    868532102       5        100          x                        0     100    0
CNA Surety Corp                        Common Stock    12612L108       4        300          x                        0     300    0
Surgical Safety Products Inc.          Common Stock    868906108       4     10,545          x                        0  10,545    0
Storage USA, Inc.                      Common Stock    861907103     509     17,238          x                        0  17,238    0
Susquehanna Bancshares Inc.            Common Stock    869099101     456     32,001          x                        0  32,001    0
Sunstates Corp.                        Common Stock    86787R108       0         40          x                        0      40    0
Superior Telecom, Inc.                 Common Stock    868365107       5        515          x                        0     515    0
Superior Tr I Pfd Cv 8.50%             PreferdStk Conv 86836P202      15        555          x                        0     555    0
Sunwood Corp.                          Common Stock    86787K103       0         66          x                        0      66    0
Stevens International Inc              Common Stock    86024C203      11     15,000          x                        0  15,000    0
Silicon Valley Group, Inc.             Common Stock    827066101     863     33,365          x                        0  33,365    0
Svi Hldgs Inc                          Common Stock    784872103      13      2,500          x                        0   2,500    0
Servicemaster Co                       Common Stock    81760N109     604     53,066          x                        0  53,066    0
Spectra Vision Inc. Cl B               Common Stock    847607108       0      8,550          x                        0   8,550    0
724 Solutions Inc                      Foreign Stock   81788Q100      33        759          x                        0     759    0
Silverleaf Resorts Inc.                Common Stock    828395103       1        200          x                        0     200    0
Sovereign Bancorp Inc.                 Common Stock    845905108   1,019    144,914          x                        0 144,914    0
Seven Seas Petroleum Corp.             Common Stock    817917107       3      2,500          x                        0   2,500    0
Service Sys Intl Ltd                   Common Stock    81760P104       5      7,000          x                        0   7,000    0
Savoir Technology Group Inc            Common Stock    80533W107       5        650          x                        0     650    0
Supervalue Inc.                        Common Stock    868536103   1,023     53,667          x                        0  53,667    0
Savvis Communications Corp             Common Stock    805423100      18      1,400          x                        0   1,400    0
Switchboard Inc                        Common Stock    871045100       8        800          x                        0     800    0
Southwest Bancorporation of Texas Inc. Common Stock    84476R109     401     19,323          x                        0  19,323    0
Software Com Inc                       Common Stock    83402P104      26        200          x                        0     200    0
Swift Transportation Co Inc.           Common Stock    870756103      91      6,525          x                        0   6,525    0
Stanley Works                          Common Stock    854616109      57      2,400          x                        0   2,400    0
Smallworldwide PLC Sponsored ADR       ADR             83168P108       6        500          x                        0     500    0
Schweitzer-Mauduit Intl                Common Stock    808541106       2        170          x                        0     170    0
Swepco Cap I                           PFD QTR 30/360  870695202      20        900          x                        0     900    0
Swire Pacific Ltd Sponsored ADR        ADR             870794302   4,083    698,013          x                        0 698,013    0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
     FORM 13F      Name of Reporting Manager:                                                              Run Date: 07/17/2000
                                                 Legg Mason Wood Walker (IMS)                              ------------------------
                                               For Positions Held as of 06/30/2000                         S.E.C. Use Only

                                                                                                           ------------------------
                  Item 1:                 Item 2:      Item 3:  Item 4:    Item 5:           Item 6:       Item 7:    Item 8:
              Name of Issuer          Title of Class    CUSIP     Fair    Shares or  Investment Discretion  Other  Voting Authority
                                                                 Market   Principal  (a)     (b)     (c)     Mgrs      (Shares)
                                                                  Value      Amt.    Sole   Shared   Other         (a)   (b)    (c)
                                                                (X $1000)                                          Sole  Shared None

------------------------------------------------------------------------------------------------------------------------------------
<S>                                   <C>              <C>      <C>       <C>        <C>    <C>      <C>   <C>     <C>  <C>     <C>
Swiss Chalet Inc.                      Common Stock    870853108       5        400          x                        0     400    0
Southwest Securities Group Inc.        Common Stock    845224104     691     18,560          x                        0  18,560    0
Sitel Corp.                            Common Stock    82980K107      10      1,900          x                        0   1,900    0
Southwest Gas Corp.                    Common Stock    844895102      20      1,165          x                        0   1,165    0
Safeway Inc.                           Common Stock    786514208   7,893    174,924          x                        0 174,924    0
Sybron International Corp. Wis         Common Stock    87114F106   1,374     69,330          x                        0  69,330    0
Synsorb Biotech Inc                    Foreign Stock   87160V104       1        300          x                        0     300    0
Synthetic Blood Intl Inc               Common Stock    87162Q103       5     10,000          x                        0  10,000    0
Sybase Inc.                            Common Stock    871130100     330     14,330          x                        0  14,330    0
Stryker Corp.                          Common Stock    863667101   1,852     42,323          x                        0  42,323    0
Sykes Enterprises Inc.                 Common Stock    871237103      13      1,000          x                        0   1,000    0
Symantec Corp.                         Common Stock    871503108   2,033     37,694          x                        0  37,694    0
Syntroleum Corp                        Common Stock    871630109       8        450          x                        0     450    0
Syquest Technology Inc.                Common Stock    871660106       0     23,700          x                        0  23,700    0
Systemsoft Corp.                       Common Stock    871926101       0     10,900          x                        0  10,900    0
Ixys Corp                              Common Stock    46600W106      48        900          x                        0     900    0
Sysco Corp.                            Common Stock    871829107   1,213     28,792          x                        0  28,792    0
Suiza Foods Corp.                      Common Stock    865077101     849     17,370          x                        0  17,370    0
Suiza Cap Tr II Pfd Tr Cv Secs         PreferdStk Conv 86507G408      16        430          x                        0     430    0
AT & T Corp.                           Common Stock    001957109  22,058    697,477          x                        0 697,477    0
Taylor Capital Group Inc. Perp Pfd Ser PFD QTR 30/360  876851205     110      6,350          x                        0   6,350    0
Timecast Corp                          Common Stock    887324101       0      1,999          x                        0   1,999    0
Talisman Energy Inc. 9% Pfd            PFD QTR 30/360  87425E400       9        400          x                        0     400    0
Telesudeste Celular Part- ADR          ADR             879252997     243      7,390          x                        0   7,390    0
Telecomunicacoes De Sao Paulo          ADR             87929A995     991     52,496          x                        0  52,496    0
Telefonica De Argentina SA Tender Offe Common Stock    879378982     455     14,340          x                        0  14,340    0
Tele Sudeste Celular Participa Electio Common Stock    87COMB996       1         37          x                        0      37    0
Telecomunicacoes De Sao Paulo Election Common Stock    87COMB988       7        360          x                        0     360    0
Transtar Communications                Common Stock    89388M999       0         18          x                        0      18    0
Trakit Corp                            Common Stock    892888108       0         17          x                        0      17    0
Talbot Bancshares Inc. New             Common Stock    874124100     255      6,070          x                        0   6,070    0
Taco Cabana Inc.orporation Cl A        Common Stock    873425102       6        850          x                        0     850    0
A Consulting Team Inc                  Common Stock    000881102       4        500          x                        0     500    0
Talk.Com Inc.                          Common Stock    874264104     376     64,654          x                        0  64,654    0
Ivp Technology Corp                    Common Stock    45070Q300       8     10,000          x                        0  10,000    0
Tal Wireless Networks Inc.             Common Stock    872163100       0     11,534          x                        0  11,534    0
Tubos De Acero De Mexico S A           ADR             898592506     110      7,960          x                        0   7,960    0
Tanning Technology Corp                Common Stock    87588P101      81      4,200          x                        0   4,200    0
Travelers P&C Capital I 8.08%          PFD QTR 30/360  893931204     259     11,280          x                        0  11,280    0
Tapistron Intl Inc.                    Common Stock    876038100       2      8,800          x                        0   8,800    0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
     FORM 13F      Name of Reporting Manager:                                                              Run Date: 07/17/2000
                                                 Legg Mason Wood Walker (IMS)                              ------------------------
                                               For Positions Held as of 06/30/2000                         S.E.C. Use Only

                                                                                                           ------------------------
                  Item 1:                 Item 2:      Item 3:  Item 4:    Item 5:           Item 6:       Item 7:    Item 8:
              Name of Issuer          Title of Class    CUSIP     Fair    Shares or  Investment Discretion  Other  Voting Authority
                                                                 Market   Principal  (a)     (b)     (c)     Mgrs      (Shares)
                                                                  Value      Amt.    Sole   Shared   Other         (a)   (b)    (c)
                                                                (X $1000)                                          Sole  Shared None

------------------------------------------------------------------------------------------------------------------------------------
<S>                                   <C>              <C>      <C>       <C>        <C>    <C>      <C>   <C>     <C>  <C>     <C>
Telefonica de Argentina S.A.           ADR             879378206       5        165          x                        0     165    0
Tate & Lyle PLC ADRS                   ADR             876570607   1,212     60,540          x                        0  60,540    0
Medallion Financial Corp               Common Stock    583928106     100      6,447          x                        0   6,447    0
Taylor S Cos Inc                       Common Stock    876867102       0        100          x                        0     100    0
Tacoma Boat Building Co. New           Common Stock    873452304       0         50          x                        0      50    0
Tasty Baking Co.                       Common Stock    876553306      79      6,132          x                        0   6,132    0
T B C Corp.                            Common Stock    872180104      37      8,000          x                        0   8,000    0
Telebanc Capital Trust II Cum Pfd 9.00 PFD QTR 30/360  87925Y203     623     36,620          x                        0  36,620    0
Telecominicaoes Brasileiras SA ADR     ADR             879287308   4,076     41,966          x                        0  41,966    0
Timberland Co                          Common Stock    887100105   1,340     18,925          x                        0  18,925    0
Telebras - Spon ADR                    ADR             879287100       0      2,787          x                        0   2,787    0
Thermo Cardiosystems Incorporated      Common Stock    88355K200       0          0          x                        0       0    0
TCF Financial Corp.                    Common Stock    872275102      77      2,988          x                        0   2,988    0
Tarpon Coast Bancorp Inc               Common Stock    876217100      10      1,000          x                        0   1,000    0
Childrens Beverage Group Inc           Common Stock    168904100       0      1,500          x                        0   1,500    0
Trammell Crow Co                       Common Stock    89288R106      81      7,550          x                        0   7,550    0
Consolidated Companies                 Common Stock    208915108       0        200          x                        0     200    0
Transcontinental Rlty Invs             Common Stock    893617209       1        118          x                        0     118    0
Transcanada Cap                        PFD QTR 30/360  893525204       9        400          x                        0     400    0
Techniclone International              Common Stock    878517309      97     24,945          x                        0  24,945    0
TELECOMASIA CORPORATION PUBLIC         Common Stock    Y85755109       0        200          x                        0     200    0
Tcom Ventures Inc                      Common Stock    87233E105       4      4,000          x                        0   4,000    0
Tecnomatix                             Common Stock    M8743P105       1         50          x                        0      50    0
Taubman Centers, Inc.                  Common Stock    876664103      28      2,500          x                        0   2,500    0
Telesp Celular Participa- ADR          ADR             87952L108      51      1,130          x                        0   1,130    0
Cornerstone Realty Income              Common Stock    21922V102       0          1          x                        0       1    0
Telecentro Sul Participa - ADR         ADR             879239101     218      2,980          x                        0   2,980    0
TCSI Corp.                             Common Stock    87233R106       0        200          x                        0     200    0
The Town and Country Trust             Common Stock    892081100     288     16,777          x                        0  16,777    0
Toronto Dominion Bank                  Common Stock    891160509      41      1,700          x                        0   1,700    0
3D Labs Inc. Ltd                       Common Stock    G8846W103       4      1,000          x                        0   1,000    0
Templeton Developing Markets Adv       MutualFdEqClose 88018T101      90     10,381          x                        0  10,381    0
TDK Corp. - Spon ADR                   ADR             872351408     516      3,603          x                        0   3,603    0
Teardrop Golf Co                       Common Stock    878190107       1      1,000          x                        0   1,000    0
Telephone & Data Systems, Inc.         Common Stock    879433100     501      4,994          x                        0   4,994    0
3D Systems Corp. New                   Common Stock    88554D205      94      4,940          x                        0   4,940    0
TDS Capital I-8.50% Trust Originated   PFD QTR 30/360  87235W202      24      1,100          x                        0   1,100    0
TDS Capital II 8.04% Trust Org PFD     PFD QTR 30/360  87235R203      91      4,400          x                        0   4,400    0
TCW/DW Term Trust 2000 Shs             Common Stock    87234V106      21      2,202          x                        0   2,202    0
Tidewater Inc.                         Common Stock    886423102   2,276     63,209          x                        0  63,209    0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
     FORM 13F      Name of Reporting Manager:                                                              Run Date: 07/17/2000
                                                 Legg Mason Wood Walker (IMS)                              ------------------------
                                               For Positions Held as of 06/30/2000                         S.E.C. Use Only

                                                                                                           ------------------------
                  Item 1:                 Item 2:      Item 3:  Item 4:    Item 5:           Item 6:       Item 7:    Item 8:
              Name of Issuer          Title of Class    CUSIP     Fair    Shares or  Investment Discretion  Other  Voting Authority
                                                                 Market   Principal  (a)     (b)     (c)     Mgrs      (Shares)
                                                                  Value      Amt.    Sole   Shared   Other         (a)   (b)    (c)
                                                                (X $1000)                                          Sole  Shared None

------------------------------------------------------------------------------------------------------------------------------------
<S>                                   <C>              <C>      <C>       <C>        <C>    <C>      <C>   <C>     <C>  <C>     <C>
Teledyne Technologies Inc              Common Stock    879360105       1         42          x                        0      42    0
Teco Energy Inc.                       Common Stock    872375100     533     26,576          x                        0  26,576    0
Templeton Emerging Markets             Common Stock    880190103      92      9,370          x                        0   9,370    0
Tech Data Corp.                        Common Stock    878237106   1,629     37,385          x                        0  37,385    0
Techne Corp.                           Common Stock    878377100     802      6,170          x                        0   6,170    0
Tecumseh Producs CO CL A               Common Stock    878895200   1,170     30,625          x                        0  30,625    0
Tecumseh Products Co-CL B              Common Stock    878895101       2         40          x                        0      40    0
Toledo Edison Co                       Preferred Stock 889175774      10        400          x                        0     400    0
Toledo Edison Co 4.56% Pfd             PFD QTR 30/360  889175402      16        350          x                        0     350    0
Toledo Edison Co                       PFD QTR 30/360  889175709       9        100          x                        0     100    0
Toledo Edison Co. - 4.25% Pfd          PFD QTR 30/360  889175303      11        250          x                        0     250    0
National Golf Properties Inc.          Common Stock    63623G109     223     10,550          x                        0  10,550    0
Telefonica De Espana SA Spons ADR      ADR             879382208     818     12,765          x                        0  12,765    0
Templeton Growth C                     MutualFdFiClose 880192109     723     72,251          x                        0  72,251    0
Tektronix Inc.                         Common Stock    879131100     122      1,645          x                        0   1,645    0
Teknowledge Corp New                   Common Stock    878919208       0         19          x                        0      19    0
Tenneco Automotive Inc                 Common Stock    880349105      28      5,296          x                        0   5,296    0
Tenfold Corp                           Common Stock    88033A103       8        500          x                        0     500    0
Tennessee Valley Authority QIDS Ser A  PFD QTR 30/360  880591102     145      5,890          x                        0   5,890    0
Tensleep Com Inc                       Common Stock    880742101      12      8,500          x                        0   8,500    0
Telecom Argentina Sa Adr 1 Adr Reps 10 ADR             879273209   3,045    110,720          x                        0 110,720    0
Teradyne Inc.                          Common Stock    880770102   1,655     22,514          x                        0  22,514    0
Terayon Communication Systems          Common Stock    880775101     533      8,305          x                        0   8,305    0
Tesco Corp                             Foreign Stock   88157K101       5        500          x                        0     500    0
Tessco Technologies, Inc.              Common Stock    872386107       7        250          x                        0     250    0
Tele1 Europe Hldg Ab Sponsored ADR     ADR             87944T201       1         85          x                        0      85    0
Teva Pharmaceutical-SP ADR             ADR             881624209     765     13,792          x                        0  13,792    0
Terex Corp.                            Common Stock    880779103     514     36,358          x                        0  36,358    0
Morgan Stanley Municipal Income Trust  Common Stock    61745P486      29      3,415          x                        0   3,415    0
Transamerica Finance Corp              PFD QTR 30/360  893950204       4        200          x                        0     200    0
TCI Communic Financing I 8.72% PFD     PFD QTR 30/360  872285200     275     11,265          x                        0  11,265    0
TCI Communications Fing IV 9.72% PFD T PFD QTR 30/360  87228U205      10        390          x                        0     390    0
TCI Communications Financing II 10% PF PFD QTR 30/360  872286208      64      2,533          x                        0   2,533    0
Telefonica De Argentina SA CL B ORD    Foreign Stock   P90325104       9      3,000          x                        0   3,000    0
Telefonos De Mexico S.A.               ADR             879403400       8      3,000          x                        0   3,000    0
Three Five Systems Inc.                Common Stock    88554L108   1,056     17,900          x                        0  17,900    0
24/7 Media Inc                         Common Stock    901314104      19      1,200          x                        0   1,200    0
Teleflex Inc.                          Common Stock    879369106  11,175    301,518          x                        0 301,518    0
Tredegar Industries                    Common Stock    894650100      47      2,450          x                        0   2,450    0
Targeted Genetics Corp                 Common Stock    87612M108      88      5,900          x                        0   5,900    0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
     FORM 13F      Name of Reporting Manager:                                                              Run Date: 07/17/2000
                                                 Legg Mason Wood Walker (IMS)                              ------------------------
                                               For Positions Held as of 06/30/2000                         S.E.C. Use Only

                                                                                                           ------------------------
                  Item 1:                 Item 2:      Item 3:  Item 4:    Item 5:           Item 6:       Item 7:    Item 8:
              Name of Issuer          Title of Class    CUSIP     Fair    Shares or  Investment Discretion  Other  Voting Authority
                                                                 Market   Principal  (a)     (b)     (c)     Mgrs      (Shares)
                                                                  Value      Amt.    Sole   Shared   Other         (a)   (b)    (c)
                                                                (X $1000)                                          Sole  Shared None

------------------------------------------------------------------------------------------------------------------------------------
<S>                                   <C>              <C>      <C>       <C>        <C>    <C>      <C>   <C>     <C>  <C>     <C>
Templeton Global Governments           Common Stock    879929107      43      7,400          x                        0   7,400    0
Trigon Healthcare Inc.                 Common Stock    89618L100     132      2,563          x                        0   2,563    0
Triumph Group Inc.                     Common Stock    896818101      38      1,350          x                        0   1,350    0
Triad Guaranty Inc.                    Common Stock    895925105      37      1,600          x                        0   1,600    0
Thomas Group Inc.                      Common Stock    884402108      10      1,200          x                        0   1,200    0
Teligent Inc. Cl A                     Common Stock    87959Y103      91      3,855          x                        0   3,855    0
Teleglobe Inc                          Common Stock    87941V100      38      1,807          x                        0   1,807    0
Georgia Pacific Corp. (Timber Group)   Common Stock    373298702      31      1,416          x                        0   1,416    0
Transportadora Gas Sur - Sponsored ADR ADR             893870204      30      3,300          x                        0   3,300    0
Target Corp                            Common Stock    87612E106   7,221    124,507          x                        0 124,507    0
Tenet Healthcare Corp.                 Common Stock    88033G100   1,627     60,246          x                        0  60,246    0
3do Co                                 Common Stock    88553W105      39      5,000          x                        0   5,000    0
Thermo Instrument Systems Inc.         Common Stock    883559106       2        100          x                        0     100    0
Thoratec Labs Corp                     Common Stock    885175307      21      1,300          x                        0   1,300    0
THQ Inc.                               Common Stock    872443403     109      8,950          x                        0   8,950    0
Thermaltec Intl Corp                   Common Stock    883545105      14      5,000          x                        0   5,000    0
Theragenics Corp.                      Common Stock    883375107      21      2,500          x                        0   2,500    0
Thistle Group Holdings Co              Common Stock    88431E103      10      1,470          x                        0   1,470    0
Tag Heuer International SA Sponsored   ADR             873773105      23      1,775          x                        0   1,775    0
Houston Exploration Company            Common Stock    442120101      83      3,300          x                        0   3,300    0
Telecom Italia Spa Spon ADR            ADR             87927W106   3,250     23,626          x                        0  23,626    0
Tibco Software Inc                     Common Stock    88632Q103     779      7,260          x                        0   7,260    0
Tice Technology Inc.                   Common Stock    886337104       0        125          x                        0     125    0
Wts Tice Technology Inc.               Common Stock    886337112       0        400          x                        0     400    0
Tier Technologies Inc                  Common Stock    88650Q100       2        300          x                        0     300    0
Tiffany & Co New                       Common Stock    886547108     354      5,248          x                        0   5,248    0
Teleservices Internet Group            Common Stock    87952E203       4      1,700          x                        0   1,700    0
TII Industries Inc.                    Common Stock    872479209       4      2,000          x                        0   2,000    0
Titanium Metals Corp.                  Common Stock    888339108      13      2,730          x                        0   2,730    0
Temple Inland Inc.                     Common Stock    879868107      20        475          x                        0     475    0
Tianrong Internet Prods & Svcs Inc.    Common Stock    886307107       2      6,250          x                        0   6,250    0
Tivo Inc                               Common Stock    888706108       7        200          x                        0     200    0
TJX Companies Inc.                     Common Stock    872540109     722     38,530          x                        0  38,530    0
Teekay Shipping Corp.                  Foreign Stock   Y8564W103      22        680          x                        0     680    0
Tokio Marine & Fire Ins Ltd            ADR             889090403   5,353     89,965          x                        0  89,965    0
Tekelec                                Common Stock    879101103     485     10,070          x                        0  10,070    0
Timken Co                              Common Stock    887389104     114      6,140          x                        0   6,140    0
Tomkins PLC Sponsored ADR              ADR             890030208   2,065    161,140          x                        0 161,140    0
Transkaryotic Therapies Inc            Common Stock    893735100      25        670          x                        0     670    0
Telex-Chile S.A.                       ADR             87957Q102      17      5,130          x                        0   5,130    0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
     FORM 13F      Name of Reporting Manager:                                                              Run Date: 07/17/2000
                                                 Legg Mason Wood Walker (IMS)                              ------------------------
                                               For Positions Held as of 06/30/2000                         S.E.C. Use Only

                                                                                                           ------------------------
                  Item 1:                 Item 2:      Item 3:  Item 4:    Item 5:           Item 6:       Item 7:    Item 8:
              Name of Issuer          Title of Class    CUSIP     Fair    Shares or  Investment Discretion  Other  Voting Authority
                                                                 Market   Principal  (a)     (b)     (c)     Mgrs      (Shares)
                                                                  Value      Amt.    Sole   Shared   Other         (a)   (b)    (c)
                                                                (X $1000)                                          Sole  Shared None

------------------------------------------------------------------------------------------------------------------------------------
<S>                                   <C>              <C>      <C>       <C>        <C>    <C>      <C>   <C>     <C>  <C>     <C>
Tellabs Inc.                          Common Stock     879664100   8,563    125,123          x                        0 125,123    0
Talbots Inc.                          Common Stock     874161102       8        149          x                        0     149    0
TLC The Laser Center Inc              Common Stock     87255E108       4        500          x                        0     500    0
Tele Danmark A/S Spons ADS Rep        ADR              879242105     156      4,576          x                        0   4,576    0
Tollgrade Communications Inc          Common Stock     889542106     421      3,181          x                        0   3,181    0
Perusahaan Perseroan PT Telekomunkasi ADR              715684106      88     12,750          x                        0  12,750    0
Tellus Industries Inc                 Common Stock     879681203       0      2,000          x                        0   2,000    0
Talisman Energy Inc                   Common Stock     87425E103      23        700          x                        0     700    0
Tularik Inc                           Common Stock     899165104      41      1,400          x                        0   1,400    0
Telespectrum Worldwide Inc.           Common Stock     87951U109      13      2,893          x                        0   2,893    0
Teltran Intl Group Ltd                Common Stock     87969T201       4      2,000          x                        0   2,000    0
Trim A Lawn Corp                      Common Stock     896206307       1     20,000          x                        0  20,000    0
Telxon Corp.                          Common Stock     879700102      98      5,500          x                        0   5,500    0
Telaxis Communications Corp           Common Stock     879202109     277      8,870          x                        0   8,870    0
Today's Man Inc.                      Common Stock     888910205       5     12,750          x                        0  12,750    0
Trico Marine Services Inc.            Common Stock     896106101      44      3,415          x                        0   3,415    0
Timberline Software Corp.             Common Stock     887134104      32      4,444          x                        0   4,444    0
Times Mirror Co Cl A New              Common Stock     887364107      15        168          x                        0     168    0
Ticketmaster Online-City Search Inc.  Common Stock     88633P203       2        100          x                        0     100    0
Team Inc                              Common Stock     878155100       0        200          x                        0     200    0
Torchmark Corp.                       Common Stock     891027104      27      1,100          x                        0   1,100    0
TMM Inc New                           Common Stock     87258Q108       8     70,000          x                        0  70,000    0
Thermo Electron Corp.                 Common Stock     883556102     222     10,537          x                        0  10,537    0
TMP Worldwide Inc.                    Common Stock     872941109     788     10,680          x                        0  10,680    0
Meridian Resource Corp.               Common Stock     58977Q109       2        300          x                        0     300    0
Tomra Systems A/S Spons ADR           ADR              889905204     227      8,543          x                        0   8,543    0
TCW/DW Term Trust 2003 Shs Of         Common Stock     87234U108     193     21,583          x                        0  21,583    0
Tumbleweed Communications Corp        Common Stock     899690101     191      3,760          x                        0   3,760    0
Telefonos De Mexico SA Spons ADR      ADR              879403780   6,594    115,432          x                        0  15,432    0
Thermatrix Inc                        Common Stock     883550105       0        400          x                        0     400    0
Tenaga Nasional BHD - Spons ADR       ADR              880277108       4        300          x                        0     300    0
Thomas & Betts Corp.                  Common Stock     884315102       9        450          x                        0     450    0
Tanknology-Nde Intl Inc               Common Stock     87583E101       0        100          x                        0     100    0
Telenorte Leste Participacoes ADR     ADR              879246106      17        737          x                        0     737    0
Terra Nitrogen Co LP                  Common Stock     881005201       1        200          x                        0     200    0
Tanisys Technology Inc.               Common Stock     875927204      22     10,950          x                        0  10,950    0
Technitrol Inc.                       Common Stock     878555101     475      4,900          x                        0   4,900    0
True North Communications Inc.        Common Stock     897844106     146      3,325          x                        0   3,325    0
Tianrong Building Material Holdings   Common Stock     886305101       3     26,000          x                        0  26,000    0
Tengtu Intl Corp                      Common Stock     88033T102       1      1,300          x                        0   1,300    0
</TABLE>




<PAGE>

<TABLE>
<CAPTION>
     FORM 13F      Name of Reporting Manager:                                                              Run Date: 07/17/2000
                                                 Legg Mason Wood Walker (IMS)                              ------------------------
                                               For Positions Held as of 06/30/2000                         S.E.C. Use Only

                                                                                                           ------------------------
                  Item 1:                 Item 2:      Item 3:  Item 4:    Item 5:           Item 6:       Item 7:    Item 8:
              Name of Issuer          Title of Class    CUSIP     Fair    Shares or  Investment Discretion  Other  Voting Authority
                                                                 Market   Principal  (a)     (b)     (c)     Mgrs      (Shares)
                                                                  Value      Amt.    Sole   Shared   Other         (a)   (b)    (c)
                                                                (X $1000)                                          Sole  Shared None

------------------------------------------------------------------------------------------------------------------------------------
<S>                                   <C>              <C>      <C>       <C>        <C>    <C>      <C>   <C>     <C>  <C>     <C>
Targets Tr Vi                         Common Stock     87612P101     119     11,500          x                        0  11,500    0
Tokheim Corp.                         Common Stock     889073102       5      3,100          x                        0   3,100    0
Tommy Hilfiger Corp.                  Common Stock     G8915Z102      59      7,930          x                        0   7,930    0
Tomorrows Morning Inc                 Common Stock     890087109       2      6,000          x                        0   6,000    0
Too Inc                               Common Stock     890333107      24        940          x                        0     940    0
Topps Inc.                            Common Stock     890786106     170     14,800          x                        0  14,800    0
Tor Minerals Intl Inc                 Common Stock     890878101       1        500          x                        0     500    0
Tosco Corp. Com New                   Common Stock     891490302      92      3,257          x                        0   3,257    0
Total SA Adr                          ADR              89151E109   5,780     75,251          x                        0  75,251    0
Toth Aluminum Corp                    Common Stock     891514101       0      3,300          x                        0   3,300    0
Total Research Corp                   Common Stock     891511107      25      8,800          x                        0   8,800    0
Toys 'R' Us Inc.                      Common Stock     892335100   3,378    231,975          x                        0 231,975    0
Toyota Motor Co                       ADR              892331307     149      1,600          x                        0   1,600    0
Tons Of Toys Inc. Com New             Common Stock     890318207       0          2          x                        0       2    0
TNT Post Group N.V. - Spon ADR        ADR              888742103      16        591          x                        0     591    0
Triton Pcs Hldgs Inc                  Common Stock     89677M106      29        500          x                        0     500    0
P T Tri Polyta Indonesia              ADR              69365B109       0        600          x                        0     600    0
Texas Pacific Land Trust              Common Stock     882610108      53      1,200          x                        0   1,200    0
Teppco Partners L P Units Rep Lim     LTD Part  P4     872384102     243     10,244          x                        0  10,244    0
Tipperary Corp                        Common Stock     888002300      86     25,000          x                        0  25,000    0
Triquint Semiconductor Incorporated   Common Stock     89674K103     710      7,415          x                        0   7,415    0
Tootsie Roll Industries Inc.          Common Stock     890516107     345      9,850          x                        0   9,850    0
Terra Industries, Inc.                Common Stock     880915103       1      1,000          x                        0   1,000    0
Track Data Corp.                      Common Stock     891918104      19     15,000          x                        0  15,000    0
Tribune Co                            Common Stock     896047107   1,443     41,227          x                        0  41,227    0
Three Rivs Bancorp Inc                Common Stock     88562Q107      12      1,825          x                        0   1,825    0
Texas Regional Bancshares Inc.        Common Stock     882673106     131      5,165          x                        0   5,165    0
Tremont Corp. Del Com Par             Common Stock     894745207       2         70          x                        0      70    0
Lendingtree Inc                       Common Stock     52602Q105      15      2,000          x                        0   2,000    0
Trenwick Group Inc.                   Common Stock     895290104       2        150          x                        0     150    0
Treasury Intl Inc                     Common Stock     894641109       7     32,000          x                        0  32,000    0
Templeton Russia Fund Inc.            Common Stock     88022F105       3        200          x                        0     200    0
Transatlantic Holdings, Inc.          Common Stock     893521104     101      1,200          x                        0   1,200    0
Trinity Biotech PLC Sponsored ADR     ADR              896438108      12      4,000          x                        0   4,000    0
Trident Microsystems, Inc.            Common Stock     895919108       2        175          x                        0     175    0
Triad Hospitals Inc.                  Common Stock     89579K109      26      1,081          x                        0   1,081    0
Transcrypt International Inc.         Common Stock     89363A101       2        843          x                        0     843    0
Speedway Motorsports Inc.             Common Stock     847788106      48      2,100          x                        0   2,100    0
Total Renal Care Holdings Inc.        Common Stock     89151A107      20      3,265          x                        0   3,265    0
TCW/DW Term Trust 2002 Beneficial     Common Stock     87234T101       9      1,000          x                        0   1,000    0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
     FORM 13F      Name of Reporting Manager:                                                              Run Date: 07/17/2000
                                                 Legg Mason Wood Walker (IMS)                              ------------------------
                                               For Positions Held as of 06/30/2000                         S.E.C. Use Only

                                                                                                           ------------------------
                  Item 1:                 Item 2:      Item 3:  Item 4:    Item 5:           Item 6:       Item 7:    Item 8:
              Name of Issuer          Title of Class    CUSIP     Fair    Shares or  Investment Discretion  Other  Voting Authority
                                                                 Market   Principal  (a)     (b)     (c)     Mgrs      (Shares)
                                                                  Value      Amt.    Sole   Shared   Other         (a)   (b)    (c)
                                                                (X $1000)                                          Sole  Shared None

------------------------------------------------------------------------------------------------------------------------------------
<S>                                   <C>            <C>        <C>       <C>        <C>    <C>      <C>   <C>     <C>  <C>     <C>
Trimble Nav Ltd                       Common Stock   896239100        49      1,000          x                        0   1,000    0
Trustmark Corp.                       Common Stock   898402102        70      4,000          x                        0   4,000    0
Trimeris Inc                          Common Stock   896263100        56        800          x                        0     800    0
Trinity Industries Inc.-del           Common Stock   896522109       141      7,600          x                        0   7,600    0
Transnet Corporation                  Common Stock   893782102         1        300          x                        0     300    0
T. Rowe Price Assoc. Inc.             Common Stock   741477103     2,622     61,702          x                        0  61,702    0
Troy Group Inc                        Common Stock   89733N106         1        100          x                        0     100    0
Transcanada Pipelines LTD             Foreign Stock  893526103        11      1,500          x                        0   1,500    0
Transcanada Pipelines Ltd             PFD QTR 30/360 893526723         4        200          x                        0     200    0
Terra Networks S A                    ADR            88100W103        29        800          x                        0     800    0
T / R Sys Inc                         Common Stock   87263U102         4        600          x                        0     600    0
Torch Energy Royalty Trust            Common Stock   891013104         1        200          x                        0     200    0
T R W Inc.                            Common Stock   872649108       512     11,814          x                        0  11,814    0
Triarc Companies Inc. Cl A            Common Stock   895927101         3        130          x                        0     130    0
The Sports Authority Inc.             Common Stock   849176102         0        400          x                        0     400    0
Transaction System Architects Inc. Cl Common Stock   893416107       164      9,575          x                        0   9,575    0
TCI Satellite Entertainment           Common Stock   872298104        10      1,145          x                        0   1,145    0
Technology Solutions Co               Common Stock   87872T108         1        100          x                        0     100    0
Telescan Inc                          Common Stock   879516102         4        500          x                        0     500    0
Tractor Supply Co.                    Common Stock   892356106        71      4,275          x                        0   4,275    0
Telscape Intl Inc New                 Common Stock   87971Q104         2        223          x                        0     223    0
Telesudeste Celular Part- ADR         ADR            879252104         2         67          x                        0      67    0
South Financial Group Inc             Common Stock   837841105        95      6,548          x                        0   6,548    0
Sabre Group Holdings Inc.             Common Stock   785905100       586     20,573          x                        0  20,573    0
Teche Holding Co                      Common Stock   878330109         3        250          x                        0     250    0
Interactive Telesis Inc Com New       Foreign Stock  45838A209         4      2,000          x                        0   2,000    0
Computer Task Group Inc.              Common Stock   205477102         1        145          x                        0     145    0
TSL Holdings Inc.                     Common Stock   872918107         0          1          x                        0       1    0
Taiwan Semiconductor Co. LTD Spons ADRADR            874039100        94      2,425          x                        0   2,425    0
Tyson Foods Inc.                      Common Stock   902494103         5        550          x                        0     550    0
Tesoro Petroleum Corp.                Common Stock   881609101         7        650          x                        0     650    0
Telecomunicacoes De Sao Paulo         ADR            87929A102         8        435          x                        0     435    0
Telesphere Communications Inc         Common Stock   879908101         0      5,000          x                        0   5,000    0
Total System Services Inc.            Common Stock   891906109        12        750          x                        0     750    0
Tessa Complete Health Care Inc        Common Stock   881611107         0      1,000          x                        0   1,000    0
Turnstone Systems Inc                 Common Stock   900423104        17        100          x                        0     100    0
Transtechnology Corp                  Common Stock   893889105         9        793          x                        0     793    0
Toro Co                               Common Stock   891092108        10        295          x                        0     295    0
Autotote Corp - CL A                  Common Stock   053323101       175     40,000          x                        0  40,000    0
Teletech Holdings Inc                 Common Stock   879939106        37      1,200          x                        0   1,200    0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
     FORM 13F      Name of Reporting Manager:                                                              Run Date: 07/17/2000
                                                 Legg Mason Wood Walker (IMS)                              ------------------------
                                               For Positions Held as of 06/30/2000                         S.E.C. Use Only

                                                                                                           ------------------------
             Item 1:                 Item 2:         Item 3:    Item 4:    Item 5:           Item 6:       Item 7:    Item 8:
           Name of Issuer          Title of Class     CUSIP      Fair    Shares or  Investment Discretion   Other  Voting Authority
                                                                 Market   Principal  (a)     (b)     (c)     Mgrs      (Shares)
                                                                 Value      Amt.    Sole   Shared   Other          (a)  (b)    (c)
                                                                (X $1000)                                          Sole  Shared None

------------------------------------------------------------------------------------------------------------------------------------
<S>                                <C>               <C>        <C>      <C>        <C>    <C>      <C>    <C>     <C> <C>      <C>
Tritel Inc                           Common Stock    89675X104        4        150            x                      0      150    0
Thai Fund Inc.                       MutualFdEqClose 882904105        2        400            x                      0      400    0
Telecom Hldrs Tr                     Common Stock    87927P200       22        300            x                      0      300    0
Titan Corp.                          Common Stock    888266103      470     10,511            x                      0   10,511    0
Titan Corp. $1.00 Cum Cv Pfd         Preferred Stock 888266202       12        400            x                      0      400    0
Titan Pharmaceuticals Inc Del        Common Stock    888314101        4        100            x                      0      100    0
Ttr Technologies Inc                 Common Stock    87305U102        6      1,200            x                      0    1,200    0
Thermo Tech Technologies Inc         Common Stock    88360H101        0      5,500            x                      0    5,500    0
Take-Two Interactive software Inc.   Common Stock    874054109       19      1,600            x                      0    1,600    0
TXU Electric Cap I 8.25% Cum PFD     PFD QTR 30/360  87316P209       43      1,905            x                      0    1,905    0
TXU Electric Capital III 8.00%
 Cum PF                              PFD QTR 30/360  87316Q207      121      5,500            x                      0    5,500    0
Tupperware Corp.                     Common Stock    899896104      158      7,190            x                      0    7,190    0
Iturf Inc                            Common Stock    46575Q100        8      2,820            x                      0    2,820    0
Tuscarora Inc.                       Common Stock    900902107       16      1,040            x                      0    1,040    0
PLATO Learning, Inc.                 Common Stock    72764Y100       28      2,000            x                      0    2,000    0
Tut Systems                          Common Stock    901103101        6        100            x                      0      100    0
Grupo Televisa, S.A. GDS             ADR             40049J206       20        290            x                      0      290    0
Tennessee Valley Auth                PFD QTR 30/360  880591409       38      1,800            x                      0    1,800    0
Tennessee Valley Authority           Preferred Stock 880591201       71      3,000            x                      0    3,000    0
Tennessee Valley Auth                PFD QTR 30/360  880591300      129      5,970            x                      0    5,970    0
Templeton Vietnam Opptys Fund        Common Stock    88022J107        9      1,333            x                      0    1,333    0
TV Guide Inc - Cl A                  Common Stock    87307Q109      292      8,525            x                      0    8,525    0
TVI Corp                             Common Stock    872916101       35    332,000            x                      0  332,000    0
Travelocity Com Inc                  Common Stock    893953109        6        350            x                      0      350    0
TVX Gold Inc                         Common Stock    87308K101        6     10,300            x                      0   10,300    0
Trans World Airlines                 Common Stock    893349837       18      8,100            x                      0    8,100    0
Therma-wave Inc                      Common Stock    88343A108        2        100            x                      0      100    0
Td Waterhouse Grp Inc                Foreign Stock   872362108       96      5,525            x                      0    5,525    0
Titan International Inc.             Common Stock    88830M102       51      9,560            x                      0    9,560    0
Targets Trust III Targets Wcom       PFD QTR 30/360  87612W106       23      2,500            x                      0    2,500    0
Twinlab Corp.                        Common Stock    901774109        4        594            x                      0      594    0
Trans World Music Corp               Common Stock    89336Q100        6        500            x                      0      500    0
Taiwan Fund Inc.                     MutualFdEqClose 874036106      264     13,815            x                      0   13,815    0
Tower Automotive Inc.                Common Stock    891707101        6        500            x                      0      500    0
Crown Castle Intl Corp               Common Stock    228227104      810     22,180            x                      0   22,180    0
Time Warner Telecom Inc Cl A         Common Stock    887319101       11        165            x                      0      165    0
Tweeter Home Entmt Group Inc         Common Stock    901167106       86      2,845            x                      0    2,845    0
Terremark Worldwide Inc              Common Stock    881448104       15      3,000            x                      0    3,000    0
Time Warner Inc                      Common Stock    887315109   12,359    162,619            x                      0  162,619    0
Time Warner Capital I-8.875%
 PFD Trust                           PFD QTR 30/360  88731G204      193      7,980            x                      0  7,980      0
</TABLE>

<PAGE>

<TABLE>
<CAPTION>
     FORM 13F      Name of Reporting Manager:                                                               Run Date: 07/17/2000
                                                 Legg Mason Wood Walker (IMS)                               ------------------------
                                               For Positions Held as of 06/30/2000                          S.E.C. Use Only

                                                                                                            ------------------------
                  Item 1:                 Item 2:      Item 3:    Item 4:    Item 5:           Item 6:      Item 7:     Item 8:
              Name of Issuer          Title of Class    CUSIP      Fair    Shares or  Investment Discretion  Other  Voting Authority
                                                                  Market   Principal  (a)     (b)     (c)     Mgrs      (Shares)
                                                                   Value      Amt.    Sole   Shared   Other         (a)   (b)    (c)
                                                                 (X $1000)                                          Sole Shared None

------------------------------------------------------------------------------------------------------------------------------------
<S>                                   <C>              <C>       <C>       <C>        <C>    <C>      <C>   <C>     <C>  <C>    <C>
Texaco Inc.                            Common Stock    881694103   7,559   141,960             x                      0 141,960    0
Texas Amern Group Inc                  Common Stock    882150303       2   100,000             x                      0 100,000    0
Texas Biotech Corp.                    Common Stock    88221T104     140     7,382             x                      0   7,382    0
Texaco Capital LLC 6.875% Cum PFD Ser  PFDMthly 30/360 P9132Z107     301    13,900             x                      0  13,900    0
Texaco Capital Llc 6.4% Adj Rt         PFDMthly 30/360 P9132Z115      37     2,000             x                      0   2,000    0
Transwitch Corp.                       Common Stock    894065101     162     2,102             x                      0   2,102    0
Totalaxcess Com Inc                    Common Stock    89151J207       1       799             x                      0     799    0
Texfi Industries Inc.                  Common Stock    882895105       1   125,000             x                      0 125,000    0
Texas Industries Inc.                  Common Stock    882491103     188     6,500             x                      0   6,500    0
Tirex Corp                             Common Stock    88823T106       1     5,000             x                      0   5,000    0
Texas Instruments Inc.                 Common Stock    882508104  21,055   306,536             x                      0 306,536    0
Textron Inc.                           Common Stock    883203101     216     3,973             x                      0   3,973    0
Textron Capital I Trust Pfd            PFD QTR 30/360  883198202     136     6,100             x                      0   6,100    0
TXU Corp                               Common Stock    873168108   1,172    39,716             x                      0  39,716    0
Txu Cap I                              PFD QTR 30/360  873167209      20       900             x                      0     900    0
Texas Utils Co                         PFD QTR 30/360  873168207       9       225             x                      0     225    0
Tri-Continental                        MutualFdEqClose 895436103     196     7,780             x                      0   7,780    0
Tri-continental Corp.                  Preferred Stock 895436202       7       200             x                      0     200    0
Tyco International LTD                 Foreign Stock   902124106  24,949   526,627             x                      0 526,627    0
Taylor Nelson Sofres PLC               Common Stock    G8693M109     399   100,000             x                      0 100,000    0
Trizec Hahn Corp.                      Foreign Stock   896938107      34     1,925             x                      0   1,925    0
US Air Group                           Common Stock    911905107     263     6,749             x                      0   6,749    0
United Auto Group Inc.                 Common Stock    909440109       9     1,000             x                      0   1,000    0
U A L Corp.                            Common Stock    902549500      36       620             x                      0     620    0
UAL Corp. 12 1/4% Depository           Preferred Stock 902549708      31     1,000             x                      0   1,000    0
Ual Corp Capital Tr 13.25              PFD QTR 30/360  90254Y208      11       400             x                      0     400    0
United Asset Management Corp.          Common Stock    909420101     177     7,567             x                      0   7,567    0
Usasurance Group Inc                   Common Stock    91729N108       0     2,000             x                      0   2,000    0
U.S. Bancorp Inc.                      Common Stock    917292104      17     4,750             x                      0   4,750    0
U S Bancorp Cap Tr I 8.45% Gtd         PFD QTR 30/360  91729W207     100     5,280             x                      0   5,280    0
Unibanco-Uniao De Barcos               ADR             90458E107      40     1,380             x                      0   1,380    0
UBS AG Sponsored ADR                   ADR             90261R105       0       280             x                      0     280    0
You Bet International Inc.             Common Stock    987413101      20     6,300             x                      0   6,300    0
Ubrandit Com                           Common Stock    90347Q105      14     3,200             x                      0   3,200    0
Ubs Ag                                 Foreign Stock   H8920G155     186     1,265             x                      0   1,265    0
Union Bankshares Corp. VA              Common Stock    905399101      28     2,664             x                      0   2,664    0
United Bankshares Inc. W Va            Common Stock    909907107     343    18,855             x                      0  18,855    0
Unionbancal Fin Tr I 7.375%            PFD QTR 30/360  90905Q109      20       950             x                      0     950    0
Auctionanything Com Inc.               Common Stock    05068N107       0     1,000             x                      0   1,000    0
United Companies Financial             Common Stock    909870107       0     2,900             x                      0   2,900    0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
     FORM 13F      Name of Reporting Manager:                                                           Run Date: 07/17/2000
                                                 Legg Mason Wood Walker (IMS)                           ----------------------------
                                               For Positions Held as of 06/30/2000                      S.E.C. Use Only

                                                                                                        ----------------------------
           Item 1:                   Item 2:      Item 3:    Item 4:    Item 5:           Item 6:       Item 7:      Item 8:
         Name of Issuer           Title of Class   CUSIP      Fair    Shares or  Investment Discretion   Other   Voting Authority
                                                              Market   Principal  (a)     (b)     (c)     Mgrs      (Shares)
                                                               Value      Amt.    Sole   Shared   Other          (a)   (b)    (c)
                                                             (X $1000)                                           Sole  Shared None

------------------------------------------------------------------------------------------------------------------------------------
<S>                               <C>             <C>            <C>     <C>           <C>       <C>    <C>      <C>  <C>     <C>
United Companies Finl Corp
 Conv PFD                         PreferdStk Conv 909870206          0       400           x                       0      400     0
Unocal Corp.                      Common Stock    915289102      1,294    39,054           x                       0   39,054     0
Unicom Corp.                      Common Stock    904911104        493    12,731           x                       0   12,731     0
UnitedGlobalCom, Inc.             Common Stock    913247508        190     4,060           x                       0    4,060     0
Unicapital Corp                   Common Stock    90459D108         12    24,000           x                       0   24,000     0
Ucar International Inc.           Common Stock    90262K109          4       270           x                       0      270     0
Utilicorp United Inc.             Common Stock    918005109      1,129    56,794           x                       0   56,794     0
Utilicorp Capital LP 8.875%       PFD QTR 30/360  91800E209         60     2,500           x                       0    2,500     0
United Dominion Inds Ltd          Common Stock    909914103         49     2,870           x                       0    2,870     0
United Dominion Realty Trust      Common Stock    910197102        529    48,066           x                       0   48,066     0
United Dominion Realty Trust      PFD QTR 30/360  910197300         42     2,000           x                       0    2,000     0
United Dominion Realty Trust      Preferred Stock 910197201         39     1,700           x                       0    1,700     0
Ultramar Diamond Shamrock Corp.   Common Stock    904000106          4       158           x                       0      158     0
Union Elec Co                     PFD QTR 30/360  906548763          7       300           x                       0      300     0
Union Electric Co 4.50$ PFD       PFD QTR 30/360  906548508         11       200           x                       0      200     0
Unifab International Inc.         Common Stock    90467L100         26     3,200           x                       0    3,200     0
Union Finl Bancshares Inc         Common Stock    906611108          7     1,000           x                       0    1,000     0
Universal Foods Corp.             Common Stock    913538104        160     8,670           x                       0    8,670     0
Ultrafem Inc.                     Common Stock    903896108          0       100           x                       0      100     0
Unifi Inc.                        Common Stock    904677101         12       955           x                       0      955     0
Universal Fst Prods Inc           Common Stock    913543104          6       400           x                       0      400     0
UGI Corp. Hldg Co                 Common Stock    902681105         56     2,755           x                       0    2,755     0
Unigene Labs Inc.                 Common Stock    904753100         23     8,000           x                       0    8,000     0
Universal Health                  Common Stock    913903100         79     1,200           x                       0    1,200     0
Universal Ice Blast Inc           Common Stock    91359M107          0     1,000           x                       0    1,000     0
United Industrial Corp            Common Stock    910671106          7       800           x                       0      800     0
United Illuminating Co            Common Stock    910637107        376     8,601           x                       0    8,601     0
United Capital Funding
 Partnership LP                   PFDMthly 30/360 90978X205        533    21,300           x                       0   21,300     0
Unisys Corp.                      Common Stock    909214108      2,162   148,486           x                       0  148,486     0
Union Carbide Corp.               Common Stock    905581104        236     4,767           x                       0    4,767     0
Unilever PLC                      ADR             904767704      4,178   166,278           x                       0  166,278     0
Ultralife Batteries Incorporated  Common Stock    903899102         34     3,000           x                       0    3,000     0
Ulticom Inc                       Common Stock    903844108         14       600           x                       0      600     0
Ultimate Sports Entmnt Inc        Common Stock    90384Q109          2     5,000           x                       0    5,000     0
Ultimate Software Group Inc       Common Stock    90385D107          8       925           x                       0      925     0
Ultra Petroleum Corp              Common Stock    903914109          2     1,000           x                       0    1,000     0
MediaOne Group Inc.               Common Stock    58440J104      3,064    44,756           x                       0   44,756     0
Mediaone Finance Tr III
 PFD 9.04 12313                   PFD QTR 30/360  584458202         63     2,500           x                       0    2,500     0
United Mobile Homes Inc.          Common Stock    911024107         73     8,900           x                       0    8,900     0
Universal Med Sys Inc             Common Stock    913734109          2    65,000           x                       0   65,000     0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
     FORM 13F      Name of Reporting Manager:                                                              Run Date: 07/17/2000
                                                 Legg Mason Wood Walker (IMS)                              -------------------------
                                               For Positions Held as of 06/30/2000                         S.E.C. Use Only

                                                                                                           -------------------------
                Item 1:                 Item 2:      Item 3:     Item 4:    Item 5:           Item 6:      Item 7:    Item 8:
            Name of Issuer          Title of Class    CUSIP       Fair    Shares or  Investment Discretion  Other  Voting Authority
                                                                 Market   Principal  (a)     (b)     (c)     Mgrs      (Shares)
                                                                 Value      Amt.    Sole   Shared   Other         (a)   (b)    (c)
                                                                (X $1000)                                          Sole  Shared None

------------------------------------------------------------------------------------------------------------------------------------
<S>                                  <C>             <C>        <C>       <C>       <C>    <C>      <C>     <C>   <C>   <C>     <C>
Mediaone Group Prem Income Exch      PFD QTR 30/360  58440J401       27       300             x                       0     300    0
Unilever N V                         Common Stock    904784709      608    14,129             x                       0  14,129    0
Unova Inc.                           Common Stock    91529B106       30     4,104             x                       0   4,104    0
Unumprovident Corp IDS Ser A 8.8%    PFD P12 30/360  91529Y205       46     1,933             x                       0   1,933    0
United Diagnostic Inc                Common Stock    910192103        0         2             x                       0       2    0
Unify Corp                           Common Stock    904743101       19     2,200             x                       0   2,200    0
UnitedHealth Group Inc.              Common Stock    91324P102    2,039    23,777             x                       0  23,777    0
Unitrin Inc.                         Common Stock    913275103       38     1,300             x                       0   1,300    0
Unumprovident Corp.                  Common Stock    91529Y106    1,031    51,392             x                       0  51,392    0
Union National Bancorp               Common Stock    907103105       29       842             x                       0     842    0
Union Pacific Corp.                  Common Stock    907818108      905    24,348             x                       0  24,348    0
Unisource Energy Corp.               Common Stock    909205106       14       935             x                       0     935    0
First United Bancshares Inc.         Common Stock    33741E104      756    49,754             x                       0  49,754    0
Univec Inc                           Common Stock    91335U108        8    10,000             x                       0  10,000    0
Union Planters Corp.                 Common Stock    908068109    1,213    43,408             x                       0  43,408    0
United Pan-Europe Com - Spon ADR     ADR             911300200        3       100             x                       0     100    0
Upm Kymmene Corp                     ADR             915436109        0        19             x                       0      19    0
Union Pacific Resources Group Inc.   Common Stock    907834105      308    13,992             x                       0  13,992    0
United Parcel Service Inc            Common Stock    911312106    2,791    47,297             x                       0  47,297    0
Unique Mobility Inc                  Common Stock    909154106        8     1,000             x                       0   1,000    0
Uniquest Inc.                        Common Stock    90915Q107        0       320             x                       0     320    0
Urban Outfitters Inc                 Common Stock    917047102       74     8,345             x                       0   8,345    0
Urecoats Industries Inc              Common Stock    91724E103       40    26,700             x                       0  26,700    0
United Resources Inc- Fla            Common Stock    911378107        0        17             x                       0      17    0
United Rentals Inc.                  Common Stock    911363109    3,142   183,469             x                       0 183,469    0
Uromed Corp New                      Common Stock    917274300       11     4,400             x                       0   4,400    0
URS Corp                             Common Stock    903236107       46     3,000             x                       0   3,000    0
United Road Service Com New          Common Stock    911384204        1       250             x                       0     250    0
Usa Video Interactive Corp           Foreign Stock   902924208       13     4,500             x                       0   4,500    0
Usabancshares Com Inc                Common Stock    917289100       29     7,200             x                       0   7,200    0
USA Networks Inc.                    Common Stock    902984103      682    31,530             x                       0  31,530    0
Universal Stainless & Alloy          Common Stock    913837100       17     2,500             x                       0   2,500    0
USA Talks.com, Inc.                  Common Stock    90332H102        0       200             x                       0     200    0
U.S. Bancorp                         Common Stock    902973106      458    23,778             x                       0  23,778    0
US Can Corp.                         Common Stock    90328W105        2       140             x                       0     140    0
U S Energy Corp WYO                  Common Stock    911805109        1       220             x                       0     220    0
USFreightways Corp.                  Common Stock    916906100       55     2,245             x                       0   2,245    0
USG Corp.                            Common Stock    903293405      175     5,745             x                       0   5,745    0
U.S. Industries, Inc.                Common Stock    912080108      168    13,889             x                       0  13,889    0
U S Interactive Inc                  Common Stock    90334M109       46     3,538             x                       0   3,538    0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
     FORM 13F      Name of Reporting Manager:                                                              Run Date: 07/17/2000
                                                 Legg Mason Wood Walker (IMS)                              -------------------------
                                               For Positions Held as of 06/30/2000                         S.E.C. Use Only

                                                                                                           -------------------------
               Item 1:                  Item 2:        Item 3:   Item 4:    Item 5:           Item 6:      Item 7:    Item 8:
            Name of Issuer           Title of Class     CUSIP     Fair    Shares or  Investment Discretion  Other  Voting Authority
                                                                 Market   Principal  (a)     (b)     (c)     Mgrs       (Shares)
                                                                  Value      Amt.    Sole   Shared   Other         (a)   (b)    (c)
                                                                (X $1000)                                          Sole  Shared None

------------------------------------------------------------------------------------------------------------------------------------
<S>                                  <C>              <C>       <C>       <C>        <C>    <C>      <C>   <C>     <C>  <C>     <C>
US Internetworking Inc.                Common Stock   917311805    1,914     93,651           x                       0  93,651    0
U S Liquids Inc                        Common Stock   902974104      121     22,000           x                       0  22,000    0
United States Lime & Minerals          Common Stock   911922102       79     11,500           x                       0  11,500    0
United States Cellular Corp.           Common Stock   911684108       50        800           x                       0     800    0
U S Mobile Services Inc                Common Stock   902989102        2      1,000           x                       0   1,000    0
Usn Communications Inc                 Common Stock   90336N204        0        350           x                       0     350    0
US Oncology Inc                        Common Stock   90338W103        4        750           x                       0     750    0
U S Plastic Lmbr Corp                  Common Stock   902948108      121     27,550           x                       0  27,550    0
U S T Inc.                             Common Stock   902911106      480     32,652           x                       0  32,652    0
United Stationers Inc                  Common Stock   913004107      497     15,340           x                       0  15,340    0
USEC Inc                               Common Stock   90333E108        3        700           x                       0     700    0
U.S. West Inc.                         Common Stock   91273H101    9,814    114,448           x                       0 114,448    0
U.S. Wireless Corp                     Common Stock   90339C106       28      1,300           x                       0   1,300    0
Universal Express Inc                  Common Stock   91349P103        3     15,000           x                       0  15,000    0
Utah Clay Technology Inc               Common Stock   917342107        0      2,000           x                       0   2,000    0
Ultratech Stepper Inc.                 Common Stock   904034105       15      1,000           x                       0   1,000    0
UTI Energy Corp.                       Common Stock   903387108        8        200           x                       0     200    0
Unitil Corp.                           Common Stock   913259107      240      9,000           x                       0   9,000    0
Utah Medical Products                  Common Stock   917488108        1        100           x                       0     100    0
United Technologies Corp.              Common Stock   913017109    6,344    107,754           x                       0 107,754    0
Uniview Technologies Corp              Common Stock   915282206       88     50,550           x                       0  50,550    0
Univision Communications Inc           Common Stock   914906102      718      6,941           x                       0   6,941    0
Universal Corp.                        Common Stock   913456109       21      1,000           x                       0   1,000    0
United Water Resources Inc.            Common Stock   913190104       18        525           x                       0     525    0
Verio Inc                              Common Stock   923433999      149      2,692           x                       0   2,692    0
Vanderbilt Gold Corp.                  Common Stock   921786109        0        700           x                       0     700    0
Vail Banks Inc                         Common Stock   918779109        3        300           x                       0     300    0
The Valspar Corp.                      Common Stock   920355104    5,798    171,792           x                       0 171,792    0
Value Hldgs Inc                        Common Stock   92039J100       12     60,000           x                       0  60,000    0
Varian Medical Systems Inc             Common Stock   92220P105       36        910           x                       0     910    0
Varian Inc                             Common Stock   922206107      361      7,820           x                       0   7,820    0
Vari-L Company, Inc.                   Common Stock   922150107       13      1,100           x                       0   1,100    0
Varitronix International LTD - SP ADR  ADR            92224Q109        6        700           x                       0     700    0
Vasomedical Inc                        Common Stock   922321104       12      2,500           x                       0   2,500    0
Visteon Corp                           Common Stock   92839U107      683     56,311           x                       0  56,311    0
Veterinary Centers Of America          Common Stock   925514101       78      5,700           x                       0   5,700    0
Value City Department Stores Inc       Common Stock   920387107        2        200           x                       0     200    0
Valassis Communications Inc.           Common Stock   918866104      448     11,749           x                       0  11,749    0
Thermacell Technologies Inc Com New    Common Stock   883430308        6      4,000           x                       0   4,000    0
Vcampus Corp                           Common Stock   92240C100       13      1,500           x                       0   1,500    0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
     FORM 13F      Name of Reporting Manager:                                                              Run Date: 07/17/2000
                                                 Legg Mason Wood Walker (IMS)                              -------------------------
                                               For Positions Held as of 06/30/2000                         S.E.C. Use Only

                                                                                                           -------------------------
               Item 1:                Item 2:         Item 3:    Item 4:    Item 5:           Item 6:      Item 7:    Item 8:
            Name of Issuer         Title of Class      CUSIP      Fair    Shares or  Investment Discretion  Other  Voting Authority
                                                                 Market   Principal  (a)     (b)     (c)     Mgrs       (Shares)
                                                                  Value      Amt.    Sole   Shared   Other         (a)   (b)    (c)
                                                                (X $1000)                                          Sole  Shared None

------------------------------------------------------------------------------------------------------------------------------------
<S>                                <C>              <C>         <C>       <C>        <C>    <C>      <C>   <C>     <C>  <C>     <C>
Vicinity Corp                       Common Stock    925653107         27      1,400            x                      0   1,400    0
Vencor Inc.                         Common Stock    92260R102          0        300            x                      0     300    0
Vertical Computer Sys Inc Com New   Common Stock    92532R203         37     56,250            x                      0  56,250    0
Visual Data Corp                    Common Stock    928428200          1        200            x                      0     200    0
Virtual Sellers Com Inc             Common Stock    92825Y105        210    105,100            x                      0 105,100    0
Veeco Instruments Inc               Common Stock    922417100        123      1,683            x                      0   1,683    0
Virgina Elec & Power Co 1998 Ser A  PFD QTR 30/360  927804617         42      1,935            x                      0   1,935    0
Virginia Power Capital Trust        Preferred Stock 928082205         97      4,200            x                      0   4,200    0
Venture Stores Inc                  Common Stock    923275101          0      2,000            x                      0   2,000    0
Veramark Technologies Inc           Common Stock    923351100         10      2,700            x                      0   2,700    0
Verdant Brands Inc Com New          Common Stock    923366207          0        304            x                      0     304    0
Verticalnet Inc.                    Common Stock    92532L107      1,003     27,149            x                      0  27,149    0
V F Corp.                           Common Stock    918204108        166      6,957            x                      0   6,957    0
Viking Cap Group Inc                Common Stock    92676E208          1      5,000            x                      0   5,000    0
Visible Genetics Inc                Common Stock    92829S104         18        400            x                      0     400    0
Van Kampen Merritt Trust For        Common Stock    920929106        111      8,250            x                      0   8,250    0
Vista Gold Corp.                    Foreign Stock   927926105          1     10,000            x                      0  10,000    0
Viacom Inc Class A                  Common Stock    925524100        429      6,280            x                      0   6,280    0
Viacom Inc Class B                  Common Stock    925524308     15,835    232,224            x                      0 232,224    0
Viador Inc                          Common Stock    92553R108         25      1,600            x                      0   1,600    0
Viant Corp                          Common Stock    92553N107         76      2,582            x                      0   2,582    0
Viasoft Inc                         Common Stock    92552U102          4        500            x                      0     500    0
Vical Inc                           Common Stock    925602104         10        500            x                      0     500    0
Vicor Corp.                         Common Stock    925815102        156      4,475            x                      0   4,475    0
Vignette Corp                       Common Stock    926734104        149      2,856            x                      0   2,856    0
Vintage Group Inc New               Common Stock    927458208          0        134            x                      0     134    0
Vion Pharmaceuticals Inc.           Common Stock    927624106          8      1,000            x                      0   1,000    0
Open Jt Stk Co Vimpel               ADR             68370R109          4        200            x                      0     200    0
Viper Intl Hldgs Ltd                Foreign Stock   92762Q107          3     10,000            x                      0  10,000    0
Virco Manufacturing Corporation     Common Stock    927651109         10        700            x                      0     700    0
Visx Inc Del                        Common Stock    92844S105        341     12,152            x                      0  12,152    0
Van Kampen American Capital         Common Stock    920911104          9      1,700            x                      0   1,700    0
Vitria Technology                   Common Stock    92849Q104         70      1,150            x                      0   1,150    0
V I  Technologies Inc               Common Stock    917920100         12      1,650            x                      0   1,650    0
Vixel Corp Del                      Common Stock    928552108         17      2,000            x                      0   2,000    0
Visionglobal Corp                   Common Stock    92830S101         30      8,000            x                      0   8,000    0
Vickers PLC-ADR                     ADR             925669202          0      1,725            x                      0   1,725    0
Vlasic Foods International          Common Stock    928559103          1        332            x                      0     332    0
Knightsbridge Tankers Ltd           Common Stock    G5299G106         70      3,500            x                      0   3,500    0
Volkswagen AG - Sponsored ADR       ADR             928662303         61      7,988            x                      0   7,988    0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
     FORM 13F      Name of Reporting Manager:                                                              Run Date: 07/17/2000
                                                 Legg Mason Wood Walker (IMS)                              -------------------------
                                               For Positions Held as of 06/30/2000                         S.E.C. Use Only

                                                                                                           -------------------------
               Item 1:                Item 2:         Item 3:    Item 4:    Item 5:           Item 6:      Item 7:    Item 8:
            Name of Issuer         Title of Class      CUSIP      Fair    Shares or  Investment Discretion  Other  Voting Authority
                                                                 Market   Principal  (a)     (b)     (c)     Mgrs       (Shares)
                                                                  Value      Amt.    Sole   Shared   Other         (a)   (b)    (c)
                                                                (X $1000)                                          Sole  Shared None

------------------------------------------------------------------------------------------------------------------------------------
<S>                                <C>               <C>        <C>       <C>        <C>    <C>      <C>   <C>     <C>  <C>     <C>
Value Merchants Inc New              Common Stock    919902106         0         13            x                      0      13    0
Valence Technology, Inc.             Common Stock    918914102        37      2,000            x                      0   2,000    0
Videolan Technologies Inc Com New    Common Stock    926919309         0     25,000            x                      0  25,000    0
Valero Energy Corp.                  Common Stock    91913Y100       211      6,655            x                      0   6,655    0
Valuestar Corp                       Common Stock    919910109         6      2,000            x                      0   2,000    0
Van Kampen American Capital Limited  Common Stock    920913100         5        700            x                      0     700    0
Valentis Inc                         Common Stock    91913E104        24      2,000            x                      0   2,000    0
Veltex Corp                          Common Stock    922576103         1     25,000            x                      0  25,000    0
Vulcan Materials Co                  Common Stock    929160109     1,544     36,160            x                      0  36,160    0
Ventana Med Sys Inc                  Common Stock    92276H106        46      1,960            x                      0   1,960    0
Vencap Capital Corp                  Common Stock    92261H103         0      9,000            x                      0   9,000    0
Van Kampen Merritt Muni Tr           Common Stock    920922101         7        529            x                      0     529    0
Vornado Realty Trust Common Shares   Common Stock    929042109        10        300            x                      0     300    0
VORNADO REALTY TRUST CONV PFD        Preferred Stock 929042208         9        180            x                      0     180    0
Compania Anonima Telef De Ven-ADR    ADR             204421101     2,641     97,125            x                      0  97,125    0
Ventro Corp                          Common Stock    922815105        66      3,475            x                      0   3,475    0
VNU NV Spons ADR                     ADR             92856P106         1         23            x                      0      23    0
Via Net Wrks Inc                     Common Stock    925912107         8        500            x                      0     500    0
Visual Networks Inc                  Common Stock    928444108        48      1,700            x                      0   1,700    0
The Seagram Co Ltd                   Common Stock    811850106       335      5,781            x                      0   5,781    0
Vodafone Airtouch PLC-Sponsored ADR  ADR             92857T107     4,833    116,625            x                      0 116,625    0
Vodafone Group PLC                   Foreign Stock   G9387S105       130     32,173            x                      0  32,173    0
Volt Information                     Common Stock    928703107         3        100            x                      0     100    0
Volvo Aktiebolaget                   ADR             928856400        90      4,100            x                      0   4,100    0
V-ONE Corp.                          Common Stock    918278102        10      1,900            x                      0   1,900    0
Vornado Operating Co.                Common Stock    92904N103         0         15            x                      0      15    0
Van Kampen Merritt Municipal         Common Stock    920944105        16      1,430            x                      0   1,430    0
Van Kampen Merritt Ohio Value        Common Stock    92112W101         4        300            x                      0     300    0
Voxware Inc                          Common Stock    92906L105         1        200            x                      0     200    0
Audiovox Corp.                       Common Stock    050757103       133      6,016            x                      0   6,016    0
Seagram Ltd Pfd Adj Cv Sec           PreferdStk Conv 811850205        11        200            x                      0     200    0
Voyager.Net, Inc.                    Common Stock    92906W101        16      2,000            x                      0   2,000    0
Viropharma Inc.                      Common Stock    928241108       107      6,852            x                      0   6,852    0
Vintage Petroleum Inc                Common Stock    927460105         9        415            x                      0     415    0
Van Kampen PA Quality Muni Trust     Common Stock    920924107        22      1,508            x                      0   1,508    0
Van Kampen Merritt Penn Value        Common Stock    92112T108        69      5,400            x                      0   5,400    0
Valley Res Inc                       Common Stock    920062106       126      5,211            x                      0   5,211    0
Varco Intl Inc Del                   Common Stock    922122106         7        300            x                      0     300    0
Vitafort Intl Corp                   Common Stock    928467307         0        500            x                      0     500    0
Virage Inc                           Common Stock    92763Q106         4        200            x                      0     200    0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
     FORM 13F      Name of Reporting Manager:                                                              Run Date: 07/17/2000
                                                 Legg Mason Wood Walker (IMS)                              -------------------------
                                               For Positions Held as of 06/30/2000                         S.E.C. Use Only

                                                                                                           -------------------------
               Item 1:                Item 2:          Item 3:   Item 4:   Item 5:          Item 6:        Item 7:    Item 8:
            Name of Issuer         Title of Class       CUSIP     Fair    Shares or  Investment Discretion  Other  Voting Authority
                                                                 Market   Principal  (a)     (b)     (c)     Mgrs     (Shares)
                                                                  Value      Amt.    Sole   Shared   Other         (a)   (b)    (c)
                                                                (X $1000)                                          Sole  Shared None

------------------------------------------------------------------------------------------------------------------------------------
<S>                                   <C>             <C>       <C>       <C>        <C>    <C>      <C>   <C>     <C>  <C>     <C>
Viragen Inc                           Common Stock    927638106       15     6,500             x                      0   6,500    0
Vastar Resources                      Common Stock    922380100       23       275             x                      0     275    0
Verio Inc                             Common Stock    923433106      132     2,375             x                      0   2,375    0
Versatel Telecom Intl N V             ADR             925301103       88     2,046             x                      0   2,046    0
Verisign Inc.                         Common Stock    92343E102    2,012    11,399             x                      0  11,399    0
Virata Corp                           Common Stock    927646109      166     2,790             x                      0   2,790    0
Vertel Corp                           Common Stock    924907108       95     5,450             x                      0   5,450    0
Veritas Software Corp                 Common Stock    923436109    2,018    17,852             x                      0  17,852    0
Vertex Pharmaceuticals Inc.           Common Stock    92532F100      288     2,735             x                      0   2,735    0
Verity Inc                            Common Stock    92343C106        6       150             x                      0     150    0
Varian Semiconductor Equip            Common Stock    922207105      524     8,340             x                      0   8,340    0
Vishay Intertechnology Inc.           Common Stock    928298108    1,308    34,478             x                      0  34,478    0
VSI Enterprises Inc                   Common Stock    91832B884       12     4,625             x                      0   4,625    0
Voicestream Wireless Corp             Common Stock    928615103    1,236    10,630             x                      0  10,630    0
Varsity Group Inc                     Common Stock    922281100        7     5,000             x                      0   5,000    0
Vesta Insurance Group, Inc            Common Stock    925391104        3       500             x                      0     500    0
Vtel Corp                             Common Stock    918333105        6     1,500             x                      0   1,500    0
Ventiv Health Inc                     Common Stock    922793104      486    43,670             x                      0  43,670    0
Van Kampen Merritt Tr For             Common Stock    920934106       28     1,919             x                      0   1,919    0
Ventas Inc.                           Common Stock    92276F100        1       300             x                      0     300    0
Veritas DGC Inc                       Common Stock    92343P107       23       900             x                      0     900    0
Vitesse Semiconductor Corp.           Common Stock    928497106      823    11,191             x                      0  11,191    0
Value Amer Inc                        Common Stock    92038N102        3     2,900             x                      0   2,900    0
Vectren Corp                          Common Stock    92240G101       20     1,131             x                      0   1,131    0
Vivendi - Sp ADR                      ADR             92851S105      480    27,069             x                      0  27,069    0
Viad Corp.                            Common Stock    92552R109      425    15,597             x                      0  15,597    0
Viad Corp. 4.75% Pfd                  Preferred Stock 92552R307        9       175             x                      0     175    0
Van Kampen American Capital Sr Income MutualFdFiClose 920961109       64     7,548             x                      0   7,548    0
Vivus Inc                             Common Stock    928551100       68     9,765             x                      0   9,765    0
Vialog Corp                           Common Stock    92552X106        4     1,000             x                      0   1,000    0
Viatel Inc.                           Common Stock    925529208       83     2,900             x                      0   2,900    0
Westvaco Corp.                        Common Stock    961548104       39     1,552             x                      0   1,552    0
Whatsforfree Technologies Inc         Common Stock    96253Y990        0         4             x                      0       4    0
Web Cap Ventures Inc                  Common Stock    947325106        0     3,000             x                      0   3,000    0
Wal-Mart De Mexico Ser C              Foreign Stock   W004431          4     1,837             x                      0   1,837    0
Westamerica Bancorp                   Common Stock    957090103       26     1,000             x                      0   1,000    0
Warnaco Group Inc                     Common Stock    934390105       46     5,900             x                      0   5,900    0
Wade Cook Financial Corp              Common Stock    930128103        4    20,000             x                      0  20,000    0
Walgreen Co                           Common Stock    931422109    4,711   146,345             x                      0 146,345    0
Wackenhut Corp. - CL B                Common Stock    929794303      317    33,765             x                      0  33,765    0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
     FORM 13F      Name of Reporting Manager:                                                              Run Date: 07/17/2000
                                                 Legg Mason Wood Walker (IMS)                              -------------------------
                                               For Positions Held as of 06/30/2000                         S.E.C. Use Only

                                                                                                           -------------------------
               Item 1:             Item 2:           Item 3:     Item 4:    Item 5:           Item 6:      Item 7:    Item 8:
            Name of Issuer      Title of Class         CUSIP      Fair    Shares or  Investment Discretion  Other  Voting Authority
                                                                 Market   Principal  (a)     (b)     (c)     Mgrs       (Shares)
                                                                  Value      Amt.    Sole   Shared   Other         (a)   (b)    (c)
                                                                (X $1000)                                          Sole  Shared None

------------------------------------------------------------------------------------------------------------------------------------
<S>                             <C>                  <C>        <C>       <C>        <C>    <C>      <C>   <C>     <C> <C>      <C>
Wake Forest Bancshares Inc       Common Stock        930888102        96      8,085           x                     0      8,085  0
Wamex Holdings Inc               Common Stock        92922N101        27     16,000           x                     0     16,000  0
Washington Tr Bancorp Inc        Common Stock        940610108        15      1,000           x                     0      1,000  0
Waters Corp.                     Common Stock        941848103       183      1,470           x                     0      1,470  0
Tetra Tech Inc.                  Common Stock        88162G103        11        500           x                     0        500  0
Waverider Communications         Common Stock        943570101        22      3,320           x                     0      3,320  0
Nuwave Technologies Inc.         Common Stock        67065M102         0        180           x                     0        180  0
Wavo Corporation                 Common Stock        944027101         9     12,400           x                     0     12,400  0
Wave Systems Corp Cl A           Common Stock        943526103       388     24,564           x                     0     24,564  0
Waxman Industries                Common Stock        944124106         0      2,100           x                     0      2,100  0
World Access Inc.                Common Stock        98141A101        61      5,550           x                     0      5,550  0
Wachovia Corp.                   Common Stock        929771103     7,137    131,554           x                     0    131,554  0
Del Webb Corp.                   Common Stock        947423109        23      1,515           x                     0      1,515  0
Westpac Banking - Spon ADR       ADR                 961214301        31        865           x                     0        865  0
W Hldg Co Inc                    Common Stock        929251106        13      1,587           x                     0      1,587  0
Webster Financial Corp.          Common Stock        947890109     1,468     66,184           x                     0     66,184  0
Webvan Group Inc                 Common Stock        94845V103        39      5,400           x                     0      5,400  0
Winfield Capital Corp.           Common Stock        973859101         3        250           x                     0        250  0
Wesco Intl Inc                   Common Stock        95082P105        17      1,800           x                     0      1,800  0
Williams Communications Group    Common Stock        969455104       891     26,850           x                     0     26,850  0
Winstar Communications Inc       Common Stock        975515107     1,310     38,681           x                     0     38,681  0
Wisconsin Central                Common Stock        976592105        11        865           x                     0        865  0
World Comm Online Inc Del        Common Stock        98144Q103        73     11,000           x                     0     11,000  0
WorldCom, Inc.                   Common Stock        98157D106    77,336  1,685,797           x                     0  1,685,797  0
Wallace Computer Services Inc.   Common Stock        932270101       265     26,795           x                     0     26,795  0
Wordcruncher Internet Tech       Common Stock        98136C104         2      1,500           x                     0      1,500  0
Western Digital Corp.            Common Stock        958102105       329     65,800           x                     0     65,800  0
Worldcorp Inc                    Common Stock        981904105         0      2,000           x                     0      2,000  0
WD-40 Co.                        Common Stock        929236107       121      5,825           x                     0      5,825  0
Woodhead Industries Inc          Common Stock        979438108        22      1,200           x                     0      1,200  0
Waddell & Reed Financial - A     Common Stock        930059100         2         51           x                     0         51  0
Waddell & Reed Finl Inc          Common Stock        930059209         6        219           x                     0        219  0
Westfield America Inc.           Common Stock        959910100         7        500           x                     0        500  0
Premiumwear Inc                  Common Stock        740909106         1        100           x                     0        100  0
Webb Interactive Services        Common Stock        94748P104        19      1,500           x                     0      1,500  0
Webmethods Inc                   Common Stock        94768C108        24        155           x                     0        155  0
Webtrends Corp                   Common Stock        94844D104        19        500           x                     0        500  0
Wisconsin Energy Power           Common Stock        976657106       151      7,629           x                     0      7,629  0
WECCAP TR I TR PFD SECS 6.85%    PFD QTR 30/360      92923G204        12        600           x                     0        600  0
Webfinancial Corp                Common Stock        94767P100         0        100           x                     0        100  0
</TABLE>
>

<PAGE>

<TABLE>
<CAPTION>
     FORM 13F      Name of Reporting Manager:                                                              Run Date: 07/17/2000
                                                 Legg Mason Wood Walker (IMS)                              -------------------------
                                               For Positions Held as of 06/30/2000                         S.E.C. Use Only

                                                                                                           -------------------------
                Item 1:                    Item 2:      Item 3:  Item 4:    Item 5:          Item 6:       Item 7:    Item 8:
            Name of Issuer             Title of Class    CUSIP     Fair    Shares or Investment Discretion  Other  Voting Authority
                                                                  Market   Principal  (a)    (b)    (c)      Mgrs      (Shares)
                                                                   Value      Amt.    Sole  Shared  Other          (a)   (b)    (c)
                                                                 (X $1000)                                         Sole  Shared None

-----------------------------------------------------------------------------------------------------------------------------------
<S>                                    <C>              <C>      <C>       <C>        <C>   <C>     <C>    <C>     <C>   <C>    <C>
Boots & coots International Well       Common Stock    099469108        0      1,000          x                       0    1,000  0
Wendy's International Inc              Common Stock    950590109      773     43,399          x                       0   43,399  0
Wendys Financing I 5% Ser A            Preferred Stock 950588202        9        190          x                       0      190  0
WERNER ENTERPRISES INC                 Common Stock    950755108        2        200          x                       0      200  0
Wells Fargo Company                    Common Stock    949746101   15,494    399,843          x                       0  399,843  0
Wells Fargo & Co New                   PFD QTR 30/360  949746200        4        100          x                       0      100  0
Whatsforfree Technologies Inc          Common Stock    96253Y107        0         33          x                       0       33  0
Wireless Facilities Inc                Common Stock    97653A103       13        265          x                       0      265  0
Whole Foods Market Inc                 Common Stock    966837106      138      3,350          x                       0    3,350  0
Memc Electronic Materials Inc.         Common Stock    552715104       22      1,200          x                       0    1,200  0
Wfs Finl Inc                           Common Stock    92923B106       13        750          x                       0      750  0
Washington Federal Inc.                Common Stock    938824109      878     48,093          x                       0   48,093  0
Weatherford International Inc New      Common Stock    947074100      419     10,523          x                       0   10,523  0
Worldgate Communications Inc.          Common Stock    98156L307      116      6,559          x                       0    6,559  0
Washington Gas Light Co                Common Stock    938837101      652     27,109          x                       0   27,109  0
Wegener Corp.                          Common Stock    948585104        7      3,500          x                       0    3,500  0
Winnebago Industries                   Common Stock    974637100       51      3,900          x                       0    3,900  0
Western Gas Resources Inc              Common Stock    958259103        2         85          x                       0       85  0
Western Gas Resources, Inc.            Preferred Stock 958259202      210      8,990          x                       0    8,990  0
Watchguard Technologies Inc            Common Stock    941105108       11        200          x                       0      200  0
Whitman Corp                           Common Stock    96647R107       76      6,170          x                       0    6,170  0
Wellington Hall Ltdcom New             Common Stock    949535207        0      4,000          x                       0    4,000  0
Washington Homes Inc New               Common Stock    938864105       36      6,000          x                       0    6,000  0
Whitehall Jewellers Inc                Common Stock    965063100       45      2,400          x                       0    2,400  0
Whirlpool Corp                         Common Stock    963320106      259      5,550          x                       0    5,550  0
WHX Corp.                              Common Stock    929248102        3        506          x                       0      506  0
Widcom Inc                             Common Stock    967569104        0        200          x                       0      200  0
Winn Dixie Stores                      Common Stock    974280109       55      3,850          x                       0    3,850  0
Wind River Systems Inc                 Common Stock    973149107      521     13,746          x                       0   13,746  0
Wink Communications                    Common Stock    974168106       91      2,970          x                       0    2,970  0
Winners Internet Network Inc           Common Stock    97477C103        0        350          x                       0      350  0
Western Pptys Tr                       Common Stock    959261108        3        250          x                       0      250  0
Wit Soundview Group Inc                Common Stock    977383108       57      5,300          x                       0    5,300  0
WSI Interactive Marketing Inc          Foreign Stock   92932N109        2      3,000          x                       0    3,000  0
Wilmington Trust Corp. New             Common Stock    971807102      118      2,760          x                       0    2,760  0
World Wide Wireless Com                Common Stock    98155Q109       28     18,000          x                       0   18,000  0
Willamette Inds                        Common Stock    969133107      173      6,335          x                       0    6,335  0
Wellman Inc                            Common Stock    949702104        3        200          x                       0      200  0
Weblink Wireless Inc                   Common Stock    94769A101        3        200          x                       0      200  0
Wellpoint Health Networks Inc.         Common Stock    94973H108        3         35          x                       0       35  0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
     FORM 13F      Name of Reporting Manager:                                                             Run Date: 07/17/2000
                                                 Legg Mason Wood Walker (IMS)                             --------------------------
                                               For Positions Held as of 06/30/2000                        S.E.C. Use Only

                                                                                                          --------------------------
            Item 1:                 Item 2:         Item 3:    Item 4:    Item 5:           Item 6:       Item 7:    Item 8:
         Name of Issuer          Title of Class      CUSIP      Fair    Shares or  Investment Discretion  Other  Voting Authority
                                                               Market   Principal  (a)     (b)     (c)     Mgrs      (Shares)
                                                                Value      Amt.    Sole   Shared   Other         (a)   (b)    (c)
                                                              (X $1000)                                          Sole  Shared None

------------------------------------------------------------------------------------------------------------------------------------
<S>                              <C>               <C>        <C>       <C>        <C>    <C>      <C>    <C>    <C>   <C>    <C>
WLR Foods, Inc.                  Common Stock      929286102         3        725           x                      0      725   0
Lyon William Homes               Common Stock      552074106         0         60           x                      0       60   0
Wilsons The Leather Experts      Common Stock      972463103        13        900           x                      0      900   0
Wolverine Tube Inc               Common Stock      978093102        37      2,200           x                      0    2,200   0
Washington Mutual Inc.           Common Stock      939322103     7,164    248,102           x                      0  248,102   0
Williams Companies Inc           Common Stock      969457100     2,348     56,313           x                      0   56,313   0
WMC Limited ADR                  ADR               928947100         3        140           x                      0      140   0
Williams Control Inc             Common Stock      969465103         2      1,000           x                      0    1,000   0
Waste Management Inc.            Common Stock      94106L109     9,745    512,900           x                      0  512,900   0
Weis Markets Inc                 Common Stock      948849104        11        350           x                      0      350   0
Wal Mart De Mexico Sa De Cv      ADR               93114W206        14      6,529           x                      0    6,529   0
Wal Mart De Mexico Sa De Cv      ADR               93114W107        36      1,550           x                      0    1,550   0
Wausau-Mosinee Paper Corp.       Common Stock      943315101         8        920           x                      0      920   0
WMS Industries Inc.              Common Stock      929297109       190     12,300           x                      0   12,300   0
Wal-Mart Stores Inc.             Common Stock      931142103    30,465    528,676           x                      0  528,676   0
Wynn's International             Common Stock      983195108        91      4,000           x                      0    4,000   0
Winjak Inc                       Common Stock      974165201         0        375           x                      0      375   0
Worldnet Resources Group         Common Stock      98155V108         1      4,000           x                      0    4,000   0
WNS, Inc.                        Common Stock      929298107         0      1,000           x                      0    1,000   0
Wilshire Oil Co Tex              Common Stock      971889100         1        262           x                      0      262   0
Westwood One Inc                 Common Stock      961815107        34      1,006           x                      0    1,006   0
Wire One Technologies Inc        Common Stock      976521104         4        500           x                      0      500   0
Wyman Pk Bancorporation Inc      Common Stock      983086109         3        500           x                      0      500   0
W.P. Carey & Co. LLC             Common Stock      92930Y107       219     13,400           x                      0   13,400   0
Watson Pharmaceuticals Inc       Common Stock      942683103       268      4,989           x                      0    4,989   0
Washington Post- Class B         Common Stock      939640108       217        453           x                      0      453   0
WPP Group PLC - Sponsored ADR    ADR               929309300     1,506     20,734           x                      0   20,734   0
W P S Resources Corp.            Common Stock      92931B106       729     24,240           x                      0   24,240   0
WPSR Capital Trust I 7.00%       PFD QTR 30/360    92930N200        49      2,300           x                      0    2,300   0
Westpoint Stevens Inc Cl A       Common Stock      961238102         1        120           x                      0      120   0
West Penn Pwr Co                 PFD QTR 30/360    955278825        32      1,350           x                      0    1,350   0
Western Resources Inc            Common Stock      959425109        62      4,010           x                      0    4,010   0
Western Resources Capital I      PFD QTR 30/360    959423203        57      3,100           x                      0    3,100   0
Western Resources Capital II
 8.50% PFD                       PFD QTR 30/360    958905200        28      1,500           x                      0    1,500   0
World Container Corp             Common Stock      981447105         0        950           x                      0      950   0
Washington Real Estate
 Investors Trust                 Common Stock      939653101       810     45,302           x                      0   45,302   0
Weingarten Realty Investors      Common Stock      948741103        86      2,125           x                      0    2,125   0
Waste Recovery Inc.              Common Stock      940902109         0    206,520           x                      0  206,520   0
Work Recovery Inc                Common Stock      981370307         0         20           x                      0       20   0
Telular Corp                     Common Stock      87970T208        24      2,000           x                      0    2,000   0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
     FORM 13F      Name of Reporting Manager:                                                               Run Date: 07/17/2000
                                                 Legg Mason Wood Walker (IMS)                               ------------------------
                                               For Positions Held as of 06/30/2000                          S.E.C. Use Only

                                                                                                            ------------------------
                  Item 1:                 Item 2:      Item 3:    Item 4:    Item 5:        Item 6:         Item 7:     Item 8:
              Name of Issuer          Title of Class    CUSIP      Fair    Shares or Investment Discretion  Other  Voting Authority
                                                                  Market   Principal (a)     (b)     (c)     Mgrs      (Shares)
                                                                   Value      Amt.   Sole   Shared   Other         (a)   (b)    (c)
                                                                 (X $1000)                                         Sole  Shared None

------------------------------------------------------------------------------------------------------------------------------------
<S>                                    <C>             <C>       <C>       <C>       <C>    <C>      <C>    <C>    <C>   <C>    <C>
Warren Bancorp Inc                     Common Stock    934710104       21     3,000            x                      0    3,000  0
Welsford Real Properties Inc New       Common Stock    950240200        1        62            x                      0       62  0
Warpradio Com Inc                      Common Stock    934641101        0        42            x                      0       42  0
Weirton Steel Corp.                    Common Stock    948774104        3     1,000            x                      0    1,000  0
Wine Society Of America Inc            Common Stock    973903206        0        50            x                      0       50  0
Wesbanco Inc                           Common Stock    950810101       60     2,490            x                      0    2,490  0
Warwick Community Bancorp Inc          Common Stock    936559103        7       630            x                      0      630  0
Wesco Financial Corp.                  Common Stock    950817106       21       100            x                      0      100  0
Waterside Capital Corp                 Common Stock    941872103       62     9,354            x                      0    9,354  0
Williams Sonoma Inc.                   Common Stock    969904101       14       440            x                      0      440  0
Watsco Inc Cl A                        Common Stock    942622200        8       600            x                      0      600  0
West Pharmaceutical Services           Common Stock    955306105       76     3,510            x                      0    3,510  0
Westell Technologies Incorporated Cl A Common Stock    957541105       12       800            x                      0      800  0
Weston Roy F Inc                       Common Stock    961137106        3     1,000            x                      0    1,000  0
Westerfed Finl Corp.                   Common Stock    957550106       43     2,950            x                      0    2,950  0
Worthington Industry Inc               Common Stock    981811102       62     5,950            x                      0    5,950  0
Whitehall Enterprises Inc              Common Stock    965042104       36   290,300            x                      0  290,300  0
Wolters Kluwer NV Spons ADR            ADR             977874205       47     1,775            x                      0    1,775  0
White Mountains Inc Group Ltd Com      Common Stock    G9618E107      268     1,675            x                      0    1,675  0
Whitney Holding Corp.                  Common Stock    966612103       82     2,400            x                      0    2,400  0
Watts Industries Inc  Class A          Common Stock    942749102       55     4,350            x                      0    4,350  0
Wet Seal Inc Cl A                      Common Stock    961840105      122     9,331            x                      0    9,331  0
Wurlitzer Co                           Common Stock    982594103        0       100            x                      0      100  0
Western Wireless Corp Cl A             Common Stock    95988E204      262     4,810            x                      0    4,810  0
World Wrestling Fedn Entmt Inc         Common Stock    98156Q108        2       105            x                      0      105  0
Waste Industries Inc.                  Common Stock    941058109        2       200            x                      0      200  0
Wolverine World Wide                   Common Stock    978097103       10       980            x                      0      980  0
W3 Group Inc                           Preferred Stock 92934W206        1     6,000            x                      0    6,000  0
Wrigley (WM) Jr Co                     Common Stock    982526105      473     5,894            x                      0    5,894  0
Winston Hotels Inc.                    Common Stock    97563A102        9     1,200            x                      0    1,200  0
Winston Hotels Inc 9.25% Cum Pfd       PFD QTR 30/360  97563A201        8       500            x                      0      500  0
Weyerhaeuser Co.                       Common Stock    962166104      843    19,600            x                      0   19,600  0
Wyndham Intl Inc                       Common Stock    983101106    1,108   443,266            x                      0  443,266  0
Wiser Oil Co Del                       Common Stock    977284108        1       318            x                      0      318  0
USX-U.S. Steel Group                   Common Stock    90337T101      239    12,892            x                      0   12,892  0
USX Capital Trust I                    PreferdStk Conv 90339E201        7       200            x                      0      200  0
Xcare Net Inc                          Common Stock    98388Y101        5     1,000            x                      0    1,000  0
Xceed Inc /De                          Common Stock    98388N105       74     8,100            x                      0    8,100  0
XCL LTD                                Common Stock    983701103        0     3,512            x                      0    3,512  0
Mphase Technologies Inc                Common Stock    62472C102       33     4,350            x                      0    4,350  0
</TABLE>


<PAGE>

<TABLE>
<CAPTION>
     FORM 13F      Name of Reporting Manager:                                                              Run Date: 07/17/2000
                                                 Legg Mason Wood Walker (IMS)                              -------------------------
                                               For Positions Held as of 06/30/2000                         S.E.C. Use Only

                                                                                                           -------------------------
                  Item 1:                Item 2:        Item 3:   Item 4:    Item 5:        Item 6:        Item 7:    Item 8:
              Name of Issuer          Title of Class     CUSIP     Fair    Shares or Investment Discretion  Other  Voting Authority
                                                                  Market   Principal (a)     (b)     (c)     Mgrs      (Shares)
                                                                   Value      Amt.   Sole   Shared   Other         (a)   (b)    (c)
                                                                 (X $1000)                                         Sole  Shared None

------------------------------------------------------------------------------------------------------------------------------------
<S>                                   <C>              <C>       <C>       <C>       <C>    <C>      <C>   <C>     <C>   <C>    <C>
XEBEC                                  Common Stock    983889106        0        300           x                     0     300   0
Exigent International Inc.             Common Stock    302056106        1        325           x                     0     325   0
Xicor Corp.                            Common Stock    984903104        5        800           x                     0     800   0
Xircom Inc                             Common Stock    983922105    1,586     33,388           x                     0  33,388   0
XL Capital Ltd - Class A               Common Stock    G98255105      215      3,977           x                     0   3,977   0
Xcelera Com Inc                        Foreign Stock   G31611109      287      8,447           x                     0   8,447   0
Sector Spdr Trust Shs Ben Int Basic    Common Stock    81369Y100        3        130           x                     0     130   0
USX Capital LLC 8.75% Cum PFD Ser A    PFDMthly 30/360 P96460103       16        700           x                     0     700   0
Sector Spdr Trust Shs Ben Int Energy   Common Stock    81369Y506       44      1,434           x                     0   1,434   0
Sector Spdr Trust                      Common Stock    81369Y605       71      2,976           x                     0   2,976   0
Sector Spdr Trust Shs Ben Int Industl  Common Stock    81369Y704        4        150           x                     0     150   0
Sector Spdr Trust Shs                  Common Stock    81369Y803      735     13,566           x                     0  13,566   0
Xilinx Inc.                            Common Stock    983919101    5,976     72,380           x                     0  72,380   0
Sector Spdr Tr                         MutualFdEqClose 81369Y308       16        649           x                     0     649   0
Excel Technology Inc.                  Common Stock    30067T103       96      1,900           x                     0   1,900   0
Sector Spdr Tr                         Common Stock    81369Y209       27        930           x                     0     930   0
Sector Spdr Trust Shs Ben Int          Common Stock    81369Y407       13        507           x                     0     507   0
Xm Satellite Radio Hldgs Inc           Common Stock    983759101       34        900           x                     0     900   0
Xin Net Corporation                    Foreign Stock   98413G109        3      1,000           x                     0   1,000   0
Exxon Mobil Corp.                      Common Stock    30231G102   59,236    754,600           x                     0 754,600   0
Xoma LTD                               Common Stock    G9825R107       77     18,000           x                     0  18,000   0
Exxon Corp.                            Common Stock    302290101        0          0           x                     0       0   0
Xpedian Inc                            Common Stock    983973108        1      2,000           x                     0   2,000   0
Xpedior Inc                            Common Stock    98413B100       56      4,050           x                     0   4,050   0
Dentsply International, Inc.           Common Stock    249030107    1,197     38,850           x                     0  38,850   0
X-rite Inc                             Common Stock    983857103        9      1,010           x                     0   1,010   0
Xerox Corp.                            Common Stock    984121103    4,353    209,792           x                     0 209,792   0
Salomon Smith Barney Hldgs Inc.        Common Stock    79549B859       46      1,333           x                     0   1,333   0
Xetel Corp                             Common Stock    983942103        2      1,000           x                     0   1,000   0
Extended Systems Inc                   Common Stock    301973103      192      2,000           x                     0   2,000   0
Cross Timbers Oil Co                   Common Stock    227573102       17        750           x                     0     750   0
Mediaone Group Inc                     PreferdStk Conv 58440J500        4        100           x                     0     100   0
Angeles Income Pptys Ltd L P           LTD Part P0     03464D203        0          4           x                     0       4   0
Angeles Opportunity Pptys Unit L P Int Common Stock    034640102        0          4           x                     0       4   0
Cable TV Fund 14-B Units  Ltd Prtnrshi LTD Part P1     126922509        0         10           x                     0      10   0
Century Pension Inc Fd LP XXIV LTD Par LTD Part P4     156658106        0          4           x                     0       4   0
CNL Income Fd II Ltd Partnership       LTD Part P0     125928200        0         10           x                     0      10   0
CNL Income Fund III LTD                LTD Part P4     125928879        0         13           x                     0      13   0
Consolidated Capital Instl Properties  LTD Part P1     208924100        0         24           x                     0      24   0
Krupp Government Income Trust          Common Stock    501118103       25      2,683           x                     0   2,683   0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
     FORM 13F      Name of Reporting Manager:                                                              Run Date: 07/17/2000
                                                 Legg Mason Wood Walker (IMS)                              -------------------------
                                               For Positions Held as of 06/30/2000                         S.E.C. Use Only

                                                                                                           -------------------------
               Item 1:                Item 2:         Item 3:    Item 4:    Item 5:           Item 6:      Item 7:    Item 8:
            Name of Issuer         Title of Class      CUSIP      Fair    Shares or  Investment Discretion  Other  Voting Authority
                                                                 Market   Principal  (a)     (b)     (c)     Mgrs      (Shares)
                                                                  Value      Amt.    Sole   Shared   Other         (a)   (b)    (c)
                                                                (X $1000)                                          Sole  Shared None

------------------------------------------------------------------------------------------------------------------------------------
<S>                                <C>               <C>        <C>       <C>        <C>    <C>      <C>   <C>     <C>   <C>    <C>
Krupp Insd Plus-ii Ltd Partnr      LTD Part  P4      501125108         0     7,226            x                      0   7,226     0
Krupp Insd Mtg Ltd Partnership     LTD Part  P4      501120109         0     2,500            x                      0   2,500     0
Xybernaut Corp                     Common Stock      984149104       119    10,650            x                      0  10,650     0
Alleghany Corp.                    Common Stock      017175100         9        53            x                      0      53     0
Yardville National Bancorp N J     Common Stock      985021104        48     4,561            x                      0   4,561     0
Yadkin Vy Bk&tr Co Elkin N C       Common Stock      984308106         2       200            x                      0     200     0
Casinolive Com Corp                Common Stock      14761V101         0       100            x                      0     100     0
Yankee Candle Inc                  Common Stock      984757104         4       175            x                      0     175     0
Yorkshire Capital Trust I 8.08%    PFD QTR 30/360    98719V206        71     3,400            x                      0   3,400     0
York Finl Corp.                    Common Stock      986630101        42     3,394            x                      0   3,394     0
Yahoo Inc                          Common Stock      984332106     5,600    45,205            x                      0  45,205     0
Morgan Stanley Dean Witter High
 Inc Tr                            Common Stock      61745P205        19     4,810            x                      0   4,810     0
Young & Rubicam Inc.               Common Stock      987425105       182     3,185            x                      0   3,185     0
York Research Corp.                Common Stock      987048105         1     1,000            x                      0   1,000     0
Yorkridge Calvert Svg & Loan
 Assn-Balt                         Common Stock      987192101         0       500            x                      0     500     0
York International Inc             Common Stock      986670107       934    35,763            x                      0  35,763     0
York Group Inc                     Common Stock      986632107         2       400            x                      0     400     0
Yue Yuen Industrial Holdings       Common Stock      G98803128         7     3,200            x                      0   3,200     0
Tricon Global Restaurants Inc.     Common Stock      895953107       355    12,573            x                      0  12,573     0
Venator Group Inc                  Common Stock      922944103         5       500            x                      0     500     0
Zambia Cons Copp                   ADR               988901203         0         8            x                      0       8     0
Zany Brainy Inc                    Common Stock      98906Q101        31    11,900            x                      0  11,900     0
Zapata Corp. New                   Common Stock      989070503         7     2,340            x                      0   2,340     0
Zebra Technologies Corp. Cl A      Common Stock      989207105       141     3,175            x                      0   3,175     0
Ziff-Davis Inc                     Common Stock      989511100        27     3,000            x                      0   3,000     0
Ziff Davis Inc.                    Common Stock      989511209        43     4,800            x                      0   4,800     0
Olympic Steel Inc.                 Common Stock      68162K106        82    23,470            x                      0  23,470     0
Zweig Series Tr-Appreciation C     MutualFdEqClose   989834106       179    17,915            x                      0  17,915     0
Zi Corp.                           Common Stock      988918108       111    12,000            x                      0  12,000     0
ZILA, Inc.                         Common Stock      989513205        74    19,400            x                      0  19,400     0
Zions BanCorporation               Common Stock      989701107       623    13,582            x                      0  13,582     0
Ziplink Inc                        Common Stock      989741103         4       650            x                      0     650     0
Zixit Corp                         Common Stock      98974P100        18       400            x                      0     400     0
Zale Corp. New                     Common Stock      988858106        77     2,115            x                      0   2,115     0
Zamba Corp                         Common Stock      988881108         6     1,000            x                      0   1,000     0
Zebramart.com                      Common Stock      98920R101         1     5,000            x                      0   5,000     0
Zenith National                    Common Stock      989390109         3       130            x                      0     130     0
Zomax Optical Media Inc.           Common Stock      989929104        81     6,200            x                      0   6,200     0
Zonagen Inc.                       Common Stock      98975L108         2       620            x                      0     620     0
Zoom Telephonic Inc                Common Stock      98976E103         6       850            x                      0     850     0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
     FORM 13F      Name of Reporting Manager:                                                              Run Date: 07/17/2000
                                                 Legg Mason Wood Walker (IMS)                              -------------------------
                                               For Positions Held as of 06/30/2000                         S.E.C. Use Only

                                                                                                           -------------------------
          Item 1:                        Item 2:      Item 3:    Item 4:   Item 5:          Item 6:        Item 7:   Item 8:
      Name of Issuer                  Title of Class   CUSIP      Fair    Shares or  Investment Discretion  Other Voting Authority
                                                                 Market   Principal  (a)     (b)     (c)     Mgrs    (Shares)
                                                                  Value      Amt.    Sole   Shared   Other        (a)   (b)    (c)
                                                                (X $1000)                                         Sole Shared  None

------------------------------------------------------------------------------------------------------------------------------------
<S>                                 <C>               <C>       <C>       <C>        <C>    <C>      <C>   <C>    <C>  <C>     <C>
Gadzoox Networks Inc                Common Stock      362555104       14    1,015            x                     0   1,015      0
Zap Com Corp                        Common Stock      989063102        0       60            x                     0      60      0
Zeroplus Com Inc                    Common Stock      98949Y103        6    2,000            x                     0   2,000      0
Zoran Corp.                         Common Stock      98975F101       46      700            x                     0     700      0
Z Tel Technologies Inc              Common Stock      988792107        1      100            x                     0     100      0
The Zweig Total Return Fd           Common Stock      989837109      131   19,805            x                     0  19,805      0
Berry & Boyle Dev Ptnrs             Common Stock      085757201        0        4            x                     0       4      0
Plm Equipment Growth Fund VI        Common Stock      69341H303        0      350            x                     0     350      0


Grand Total:                                                            4,027,241
</TABLE>
<PAGE>

Fund Name: American Leading Companies
Date: 6/30/00

Item 1: Name of issuer
Item 2: Title of Class
Item 3: CUSIP #
Item 4: Fair Market Value
Item 5: Shares of Principal Interest
Item 6: Investment Discretion (A. Sole, B. Shared, C. Other)
Item 7: Other Managers
Item 8: Voting Authority (shrs)  (A. Sole B. Shared C. None)
<TABLE>
<CAPTION>
                                                                                                                        (Item 8)
         (Item 1)                              (Item 2)   (Item 3)    (Item 4)       (Item 5)      (Item 6)   (Item 7)   Voting
         Name of                                 Title     CUSIP #   Fair Market     Principal    Investment    Other   Authority
          issuer                                 Class     number       Value     Interest(shrs)  Discretion    Mgrs     (shrs)
---------------------------------------------------------------------------------------------------------------------------------
                                                                                                   A   B   C            A   B   C
<S>                                             <C>      <C>         <C>          <C>             <C> <C> <C>  <C>     <C> <C> <C>
Aetna Inc.                                      Common     8117103     6,174,838        96,200         x         1      x
Albertson's, Inc.                               Common    13104104     3,325,000       100,000         x         1      x
Amazon.com, Inc.                                Common    23135106     4,720,625       130,000         x         1      x
America Online, Inc.                            Common   02364J104    10,761,000       204,000         x         1      x
AMR Corporation                                 Common     1765106     1,189,688        45,000         x         1      x
AT&T Corporation                                Common     1957109     4,743,750       150,000         x         1      x
Avon Products, Inc.                             Common    54303102     4,450,000       100,000         x         1      x
Bank Of America Corporation                     Common    60505104     4,257,000        99,000         x         1      x
Bank One Corporation                            Common   06423A103     6,800,000       256,000         x         1      x
Berkshire Hathaway Inc. - Class B               Common    84670207    10,560,000         6,000         x         1      x
Bristol-Myers Squibb Company                    Common   110122108     4,951,250        85,000         x         1      x
Burlington Northern Santa Fe Corporation        Common   12189T104     1,605,625        70,000         x         1      x
Citigroup Inc.                                  Common   172967101    13,556,250       225,000         x         1      x
Conseco, Inc.                                   Common   208464107     2,047,500       210,000         x         1      x
Dell Computer Corporation                       Common   247025109     1,479,375        30,000         x         1      x
Eastman Kodak Company                           Common   277461109     7,140,000       120,000         x         1      x
Fannie Mae                                      Common   313586109     4,696,875        90,000         x         1      x
Ford Motor Company                              Common   345370100     2,150,000        50,000         x         1      x
Foundation Health Systems, Inc.                 Common   350404109     8,450,000       650,000         x         1      x
Gateway, Inc.                                   Common   367626108    11,350,000       200,000         x         1      x
General Electric Company                        Common   369604103     4,770,000        90,000         x         1      x
General Motors Corporation                      Common   370442105     2,322,500        40,000         x         1      x
Hewlett-Packard Company                         Common   428236103     3,496,500        28,000         x         1      x
Intel Corporation                               Common   458140100     6,684,375        50,000         x         1      x
International Business Machines Corporation     Common   459200101    10,956,250       100,000         x         1      x
Johnson & Johnson                               Common   478160104     3,565,625        35,000         x         1      x
Kimberly-Clark Corporation                      Common   494368103     2,868,750        50,000         x         1      x
Koninklijke (Royal) Philips Electronics N.V.      ADR    500472204     5,937,500       125,000         x         1      x
Lloyds TSB Group plc                            Common    87061008     6,042,715       640,000         x         1      x
McKesson HBOC, Inc.                             Common   58155Q103     3,978,125       190,000         x         1      x
Mellon Financial Corporation                    Common   58551A108     2,842,125        78,000         x         1      x
Merck & Co., Inc.                               Common   589331107     5,976,750        78,000         x         1      x
MGIC Investment Corporation                     Common   552848103     8,567,650       188,300         x         1      x
Microsoft Corporation                           Common   594918104     5,600,000        70,000         x         1      x
Qwest Communications International Inc.         Common   749121109     5,962,500       120,000         x         1      x
Sara Lee Corporation                            Common   803111103     1,545,000        80,000         x         1      x
Schering-Plough Corporation                     Common   806605101     4,040,000        80,000         x         1      x
Starwood Hotels & Resorts Worldwide, Inc.       Common   85590A203     6,024,063       185,000         x         1      x
The Chase Manhattan Corporation                 Common   16161A108     9,189,469       199,500         x         1      x
The FINOVA Group Inc.                           Common   317928109     3,900,000       300,000         x         1      x
The TJX Companies, Inc.                         Common   872540109     5,625,000       300,000         x         1      x
Tommy Hilfiger Corporation                      Common   G8915Z102     1,456,500       194,200         x         1      x
Toys "R" Us, Inc.                               Common   892335100     3,975,563       273,000         x         1      x
Unisys Corporation                              Common   909214108     2,948,906       202,400         x         1      x
United HealthCare Corporation                   Common   91324P102    13,720,000       160,000         x         1      x
US WEST, Inc.                                   Common   91273H101     3,087,000        36,000         x         1      x
Visteon Corporation                             Common   92839U107        79,378         6,547         x         1      x
Wal-Mart Stores, Inc.                           Common   931142103     4,033,750        70,000         x         1      x
Washington Mutual, Inc.                         Common   939322103     9,442,125       327,000         x         1      x
Waste Management Inc.                           Common   94106L109     6,270,000       330,000         x         1      x
WorldCom, Inc.                                  Common   98157D106     9,404,000       205,000         x         1      x

                                                                    $272,546,055
                                                                    ============
</TABLE>
<PAGE>

Fund Name: Balanced Trust
Date: 6/30/00

Item 1: Name of issuer
Item 2: Title of Class
Item 3: CUSIP #
Item 4: Fair Market Value
Item 5: Shares of Principal Interest
Item 6: Investment Discretion (A. Sole, B. Shared, C. Other)
Item 7: Other Managers
Item 8: Voting Authority (shrs) (A. Sole B. Shared C. None)
<TABLE>
<CAPTION>
                                                                                                                        (Item 8)
         (Item 1)                              (Item 2)   (Item 3)    (Item 4)       (Item 5)      (Item 6)   (Item 7)   Voting
         Name of                                 Title     CUSIP #   Fair Market     Principal    Investment    Other   Authority
          issuer                                 Class     number       Value     Interest(shrs)  Discretion    Mgrs     (shrs)
---------------------------------------------------------------------------------------------------------------------------------
                                                                                                   A   B   C            A   B   C
<S>                                             <C>      <C>         <C>          <C>             <C> <C> <C>  <C>     <C> <C> <C>
Abbott Laboratories                             Common     2824100       868,969        19,500         x         1      x
AT&T Corporation                                Common     1957109       474,375        15,000         x         1      x
Blackrock North Amer Govern Inc Trust Inc.      Common    92475102       760,500        78,000         x         1      x
BP Amoco Plc                                      ADR     55622104       528,746         9,348         x         1      x
Broadwing Inc.                                  Common   111620100       518,750        20,000         x         1      x
Charter One Financial, Inc.                     Common   160903100       759,000        33,000         x         1      x
Chateau Communities, Inc.                       Common   161726104       565,000        20,000         x         1      x
Cintas Corporation                              Common   172908105       440,250        12,000         x         1      x
Citigroup Inc.                                  Common   172967101       783,250        13,000         x         1      x
CVS Corporation                                 Common   126650100       520,000        13,000         x         1      x
Dell Computer Corporation                       Common   247025109       680,513        13,800         x         1      x
Emerson Electric Company                        Common   291011104       519,225         8,600         x         1      x
Fannie Mae                                      Common   313586109       730,625        14,000         x         1      x
Ford Motor Company                              Common   345370100       731,000        17,000         x         1      x
Guidant Corporation                             Common   401698105       420,750         8,500         x         1      x
Intel Corporation                               Common   458140100       668,438         5,000         x         1      x
IBM                                             Common   459200101       525,900         4,800         x         1      x
Johnson & Johnson                               Common   478160104       652,000         6,400         x         1      x
Kansas City Southern Industries, Inc.           Common   485170104       682,894         7,700         x         1      x
Lucent Technologies, Inc.                       Common   549463107       474,000         8,000         x         1      x
Marshall & Ilsley Corporation                   Common   571834100       415,000        10,000         x         1      x
Martin Marietta Materials, Inc.                 Common   573284106       424,594        10,500         x         1      x
McDonald's Corporation                          Common   580135101       576,406        17,500         x         1      x
Mellon Financial Corporation                    Common   58551A108       692,313        19,000         x         1      x
Merck & Co., Inc.                               Common   589331107       689,625         9,000         x         1      x
Microsoft Corporation                           Common   594918104       800,000        10,000         x         1      x
Nortel Networks Corporation                     Common   656568102       641,550         9,400         x         1      x
SYSCO Corporation                               Common   871829107       421,250        10,000         x         1      x
Texaco Inc.                                     Common   881694103       426,000         8,000         x         1      x
The Home Depot, Inc.                            Common   437076102       449,438         9,000         x         1      x
The Walt Disney Company                         Common   254687106       388,125        10,000         x         1      x
Time Warner, Inc.                               Common   887315109       494,000         6,500         x         1      x
Total Fina Elf                                  Common   8.92E+113       499,281         6,500         x         1      x
Tyco International Ltd.                         Common   902124106       615,875        13,000         x         1      x
Union Pacific Corporation                       Common   907818108       520,625        14,000         x         1      x
Visteon Corporation                             Common   92839U107        26,989         2,226         x         1      x
WorldCom, Inc.                                  Common   98157D106       642,250        14,000         x         1      x

                                                                     $21,027,504
                                                                     ===========
</TABLE>

<PAGE>

Fund Name: Focus Trust
Date: 6/30/00

Item 1: Name of issuer
Item 2: Title of Class
Item 3: CUSIP #
Item 4: Fair Market Value
Item 5: Shares of Principal Interest
Item 6: Investment Discretion (A. Sole, B. Shared, C. Other)
Item 7: Other Managers
Item 8: Voting Authority (shrs)  A. Sole, B. Shared, C. None
<TABLE>
<CAPTION>
                                                                                                                        (Item 8)
         (Item 1)                              (Item 2)   (Item 3)    (Item 4)       (Item 5)      (Item 6)   (Item 7)   Voting
         Name of                                 Title     CUSIP #   Fair Market     Principal    Investment    Other   Authority
          issuer                                 Class     number       Value     Interest(shrs)  Discretion    Mgrs     (shrs)
---------------------------------------------------------------------------------------------------------------------------------
                                                                                                   A   B   C            A   B   C
<S>                                             <C>      <C>         <C>          <C>             <C> <C> <C>  <C>     <C> <C> <C>
Amazon.com, Inc.                                Common    23135106     7,480,375       206,000         x         1      x
America Online, Inc.                            Common   02364J104    10,550,000       200,000         x         1      x
American Express Company                        Common    25816109    14,073,750       270,000         x         1      x
American International Group, Inc.              Common    26874107    14,041,250       119,500         x         1      x
Avon Products, Inc.                             Common    54303102    14,017,500       315,000         x         1      x
Berkshire Hathaway Inc. - Class A               Class A   84670108    13,450,000           250         x         1      x
Citigroup Inc.                                  Common   172967101    14,761,250       245,000         x         1      x
Eastman Kodak Company                           Common   277461109     7,735,000       130,000         x         1      x
Gateway, Inc.                                   Common   367626108    19,448,225       342,700         x         1      x
International Business Machines Corporation     Common   459200101     8,732,131        79,700         x         1      x
International Speedway Corporation              Common   460335201    12,081,500       292,000         x         1      x
McDonald's Corporation                          Common   580135101    12,493,194       379,300         x         1      x
Nokia Oyj                                       Common   654902204     3,121,094        62,500         x         1      x
The Home Depot, Inc.                            Common   437076102     5,393,250       108,000         x         1      x
Unisys Corporation                              Common   909214108     6,039,069       414,700         x         1      x
Wal-Mart Stores, Inc.                           Common   931142103    15,731,625       273,000         x         1      x
WorldCom, Inc.                                  Common   98157D106    13,060,613       284,700         x         1      x
WPP Group plc                                     ADR    929309300     7,262,500       100,000         x         1      x

                                                                    $191,991,950
                                                                    ============
</TABLE>
<PAGE>

Fund Name: High Yield
Date: 6/30/00

Item 1: Name of issuer
Item 2: Title of Class
Item 3: CUSIP #
Item 4: Fair Market Value
Item 5: Shares of Principal Interest
Item 6: Investment Discretion (A. Sole, B. Shared, C. Other)
Item 7: Other Managers
Item 8: Voting Authority (shrs) (A. Sole, B. Shared, C. None)
<TABLE>
<CAPTION>
                                                                                                                        (Item 8)
         (Item 1)                              (Item 2)   (Item 3)     (Item 4)       (Item 5)     (Item 6)   (Item 7)   Voting
         Name of                                 Title     CUSIP #   Fair Market     Principal    Investment    Other   Authority
          issuer                                 Class     number       Value      Interest(shrs) Discretion    Mgrs     (shrs)
---------------------------------------------------------------------------------------------------------------------------------
                                                                                                   A   B   C            A   B   C
<S>                                             <C>      <C>         <C>          <C>             <C> <C> <C>  <C>     <C> <C> <C>
Global Crossing Limited                         Common   G3921A100     4,870,760      185,112          x         1      x
International Fast Foods Corporation            Common   45950Q107        20,970       51,146          x         1      x
McLeodUSA Incorporated                          Common   582266102       378,085       18,276          x         1      x
Pegasus Communications Corporation              Class A  705904100       675,983       13,778          x         1      x
Unigene Labs, Inc.                              Common   904753100     1,437,500      500,000          x         1      x

                                                                      $7,383,298
                                                                      ==========
</TABLE>
<PAGE>

Fund Name: Opportunity Trust
Date: 6/30/00

Item 1: Name of issuer
Item 2: Title of Class
Item 3: CUSIP #
Item 4: Fair Market Value
Item 5: Shares of Principal Interest
Item 6: Investment Discretion (A. Sole, B. Shared, C. Other)
Item 7: Other Managers
Item 8: Voting Authority (shrs) (A. Sole, B. Shared, C. None)
<TABLE>
<CAPTION>
                                                                                                                        (Item 8)
         (Item 1)                         (Item 2)        (Item 3)    (Item 4)       (Item 5)      (Item 6)   (Item 7)   Voting
         Name of                            Title          CUSIP #   Fair Market     Principal    Investment    Other   Authority
          issuer                            Class          number       Value     Interest(shrs)  Discretion    Mgrs     (shrs)
---------------------------------------------------------------------------------------------------------------------------------
                                                                                                   A   B   C            A   B   C
<S>                                        <C>           <C>         <C>          <C>             <C> <C> <C>  <C>     <C> <C> <C>
Abercrombie & Fitch Co.                    Common          2896207    39,000,000     3,200,000         x         1      x
Acxiom Corporation                         Common          5125109    18,963,275       695,900         x         1      x
America Online, Inc.                       Common        02364J104    26,375,000       500,000         x         1      x
Ames Department Stores, Inc.               Common         30789507    16,273,450     2,099,800         x         1      x
AmSouth Bancorporation                     Common         32165102    23,625,000     1,500,000         x         1      x
Cott Corporation                           Common        22163N106    36,000,000     6,000,000         x         1      x
Gateway, Inc.                              Common        367626108    56,750,000     1,000,000         x         1      x
Lloyds TSB Group plc                       Common         87061008    14,162,613     1,500,000         x         1      x
Mandalay Resort Group                      Common        562567107    40,000,000     2,000,000         x         1      x
Nasdaq - 100 Trust                       Unit Ser 1      631100104   -27,956,250      -300,000         x         1      x
Republic Services, Inc.                    Class A       760759100    60,000,000     3,750,000         x         1      x
The FINOVA Group Inc.                      Common        317928109    36,400,000     2,800,000         x         1      x
Toys "R" Us, Inc.                          Common        892335100    23,300,000     1,600,000         x         1      x
Tricon Global Restaurants, Inc.            Common        895953107    28,250,000     1,000,000         x         1      x
Tupperware Corporation                     Common        899896104    34,100,000     1,550,000         x         1      x
U.S. Bancorp                               Common        902973106    26,950,000     1,400,000         x         1      x
Unisys Corporation                         Common        909214108    17,475,000     1,200,000         x         1      x
UnumProvident Corporation                  Common        91529Y106    34,106,250     1,700,000         x         1      x
Viad Corp                                  Common        92552R109    27,250,000     1,000,000         x         1      x
Washington Mutual, Inc.                    Common        939322103    28,875,000     1,000,000         x         1      x
WestPoint Stevens Inc.                     Common        961238102    23,336,913     2,097,700         x         1      x
Young & Rubicam Inc.                       Common        987425105     5,775,938       101,000         x         1      x

                                                                    $589,012,188
                                                                    ============
</TABLE>

<PAGE>

Fund Name: Special Investment Trust
Date: 6/30/00

Item 1: Name of issuer
Item 2: Title of Class
Item 3: CUSIP #
Item 4: Fair Market Value
Item 5: Shares of Principal Interest
Item 6: Investment Discretion( A. Sole, B. Shared, C. Other)
Item 7: Other Managers
Item 8: Voting Authority (shrs)  A. Sole, B. Shared, C. None
<TABLE>
<CAPTION>
                                                                                                                        (Item 8)
         (Item 1)                              (Item 2)   (Item 3)     (Item 4)       (Item 5)     (Item 6)   (Item 7)   Voting
         Name of                                 Title     CUSIP #   Fair Market     Principal    Investment    Other   Authority
          issuer                                 Class     number       Value      Interest(shrs) Discretion    Mgrs     (shrs)
---------------------------------------------------------------------------------------------------------------------------------
                                                                                                   A   B   C            A   B   C
<S>                                             <C>      <C>         <C>          <C>             <C> <C> <C>  <C>     <C> <C> <C>
America Online, Inc.                            Common   02364J104    147,700,000    2,800,000         x         1      x
Banknorth Group, Inc.                           Common   06646R107     24,500,000    1,600,000         x         1      x
Bell & Howell Company                           Common    77852101     31,525,000    1,300,000         x         1      x
Cabletron Systems, Inc.                         Common   126920107     88,375,000    3,500,000         x         1      x
Cadence Design Systems, Inc.                    Common   127387108     57,050,000    2,800,000         x         1      x
Caremark Rx, Inc.                               Common   141705103     61,312,500    9,000,000         x         1      x
Cell Genesys, Inc.                              Common   150921104     36,400,000    1,300,000         x         1      x
Ceridian Corporation                            Common   15677T106     72,187,500    3,000,000         x         1      x
Consolidated Stores Corporation                 Common   210149100     41,828,400    3,485,700         x         1      x
Enhance Financial Services Group, Inc.          Common   293310108     43,125,000    3,000,000         x         1      x
Equifax Inc.                                    Common   294429105     63,000,000    2,400,000         x         1      x
Gateway, Inc.                                   Common   367626108    204,300,000    3,600,000         x         1      x
Hollywood Entertainment Corp.                   Common   436141105     31,500,000    4,000,000         x         1      x
ICG Communications                              Common   449246107     78,321,875    3,550,000         x         1      x
Liz Claiborne, Inc.                             Common   539320101     45,384,375    1,287,500         x         1      x
Mandalay Resort Group                           Common   562567107     84,061,800    4,203,090         x         1      x
Manpower Inc.                                   Common   56418H100     57,744,000    1,804,500         x         1      x
Modis Professional Services, Inc.               Common   607830106     38,125,000    5,000,000         x         1      x
Olsen & Associates AG                           Common   99EXMC906              0       30,000         x         1      x
Pinnacle Entertainment, Inc.                    Common   723456109     48,885,313    2,515,000         x         1      x
Radian Group Inc.                               Common   750236101     89,886,542    1,736,938         x         1      x
Republic Services, Inc.                         Class A  760759100    144,000,000    9,000,000         x         1      x
Storage Technology Corporation                  Common   862111200     24,062,500    2,200,000         x         1      x
SunGard Data Systems Inc.                       Common   867363103     73,315,000    2,365,000         x         1      x
Sybase, Inc.                                    Common   871130100     85,100,000    3,700,000         x         1      x
Symantec Corporation                            Common   871503108    115,210,500    2,136,000         x         1      x
TALK.com, Inc.                                  Common   874264104     33,276,563    5,725,000         x         1      x
The FINOVA Group Inc.                           Common   317928109     46,800,000    3,600,000         x         1      x
The TJX Companies, Inc.                         Common   872540109     65,625,000    3,500,000         x         1      x
United Asset Management Corporation             Common   909420101     46,750,000    2,000,000         x         1      x
UnumProvident Corporation                       Common   91529Y106     70,218,750    3,500,000         x         1      x
Viad Corp                                       Common   92552R109     66,435,500    2,438,000         x         1      x
Wellpoint Health Networks Inc.                  Class A  94973H108     72,437,500    1,000,000         x         1      x
WPP Group plc                                   Common    97404008    134,135,869    9,186,500         x         1      x

                                                                   $2,322,579,485
                                                                   ==============
</TABLE>
<PAGE>

Fund Name: Total Return Trust
Date: 6/30/00

Item 1: Name of issuer
Item 2: Title of Class
Item 3: CUSIP #
Item 4: Fair Market Value
Item 5: Shares of Principal Interest
Item 6: Investment Discretion( A. Sole, B. Shared, C. Other)
Item 7: Other Managers
Item 8: Voting Authority (shrs) ( A. Sole B. Shared C. None)
<TABLE>
<CAPTION>
                                                                                                                        (Item 8)
         (Item 1)                              (Item 2)     (Item 3)   (Item 4)       (Item 5)     (Item 6)   (Item 7)   Voting
         Name of                                 Title       CUSIP #  Fair Market     Principal   Investment    Other   Authority
          issuer                                 Class       number      Value     Interest(shrs) Discretion    Mgrs     (shrs)
---------------------------------------------------------------------------------------------------------------------------------
                                                                                                   A   B   C            A   B   C
<S>                                             <C>      <C>         <C>          <C>             <C> <C> <C>  <C>     <C> <C> <C>
Abbott Laboratories                             Common       2824100    4,130,944        92,700        x         1      x
Aetna Inc.                                      Common       8117103    1,604,688        25,000        x         1      x
Albertson's, Inc.                               Common      13104104    7,647,500       230,000        x         1      x
America Online, Inc.                            Common     02364J104    3,692,500        70,000        x         1      x
AT&T Corp.                                      Common       1957109    9,171,250       290,000        x         1      x
Bank One Corporation                            Common     06423A103    5,179,688       195,000        x         1      x
Bristol-Myers Squibb Company                    Common     110122108    6,116,250       105,000        x         1      x
Citigroup Inc.                                  Common     172967101    5,874,375        97,500        x         1      x
Countrywide Credit Industries, Inc.             Common     222372104    1,515,625        50,000        x         1      x
Dell Computer Corporation                       Common     247025109    3,205,313        65,000        x         1      x
Eastman Kodak Company                           Common     277461109   12,792,500       215,000        x         1      x
Edison International                            Common     281020107    2,818,750       137,500        x         1      x
Eli Lilly & Company                             Common     532457108    3,495,625        35,000        x         1      x
Enhance Financial Services Group, Inc.          Common     293310108    3,714,500       258,400        x         1      x
Equity Residential Properties Trust           Sh Bene Int  29476L107    5,993,800       130,300        x         1      x
Fannie Mae                                      Common     313586109    3,653,125        70,000        x         1      x
FleetBoston Financial Corporation               Common     339030108    4,420,000       130,000        x         1      x
Ford Motor Company                              Common     345370100    4,300,000       100,000        x         1      x
Gateway, Inc.                                   Common     367626108    8,796,250       155,000        x         1      x
General Electric Company                        Common     369604103    6,625,000       125,000        x         1      x
General Motors Corporation                      Common     370442105    2,612,813        45,000        x         1      x
GTE Corporation                                 Common     362320103    3,735,000        60,000        x         1      x
Honeywell International Inc.                    Common     438516106    2,526,563        75,000        x         1      x
Intel Corporation                               Common     458140100    7,352,813        55,000        x         1      x
International Business Machines Corporation     Common     459200101   23,008,125       210,000        x         1      x
Johnson & Johnson                               Common     478160104    5,093,750        50,000        x         1      x
KeyCorp                                         Common     493267108    3,701,250       210,000        x         1      x
Lloyds TSB Group plc                            Common      87061008   18,966,883     2,008,833        x         1      x
Mattel, Inc.                                    Common     577081102    4,220,000       320,000        x         1      x
Maytag Corporation                              Common     578592107    4,425,000       120,000        x         1      x
Merck & Co., Inc.                               Common     589331107    8,045,625       105,000        x         1      x
MGIC Investment Corporation                     Common     552848103    2,275,000        50,000        x         1      x
Mid-America Apartment Communities, Inc.         Common     59522J103    5,668,800       236,200        x         1      x
National Golf Properties, Inc.                  Common     63623G109    6,341,725       300,200        x         1      x
Nationwide Health Properties, Inc.              Common     638620104    6,164,556       442,300        x         1      x
Nordstrom Inc.                                  Common     655664100    4,342,500       180,000        x         1      x
Northrop Grumman Corporation                    Common     666807102    3,312,500        50,000        x         1      x
Safeway Inc.                                    Common     786514208    4,061,250        90,000        x         1      x
Saks Incorporated                               Common     79377W108    2,887,500       275,000        x         1      x
Sara Lee Corporation                            Common     803111103    4,055,625       210,000        x         1      x
SBC Communications Inc.                         Common     78387G103    4,973,750       115,000        x         1      x
Starwood Hotels & Resorts Worldwide, Inc.       Common     85590A203    3,419,063       105,000        x         1      x
The Allstate Corporation                        Common      20002101    2,730,075       122,700        x         1      x
The Black & Decker Corporation                  Common      91797100    5,896,875       150,000        x         1      x
The Chase Manhattan Corporation                 Common     16161A108    7,600,313       165,000        x         1      x
The FINOVA Group Inc.                           Common     317928109    1,677,000       129,000        x         1      x
The Kroger Co.                                  Common     501044101    5,992,175       271,600        x         1      x
The May Department Stores Company               Common     577778103    4,920,000       205,000        x         1      x
The TJX Companies, Inc.                         Common     872540109    3,789,375       202,100        x         1      x
Time Warner Inc.                                Common     887315109    4,560,000        60,000        x         1      x
Toys "R" Us, Inc.                               Common     892335100   12,356,281       848,500        x         1      x
Tupperware Corporation                          Common     899896104    3,757,600       170,800        x         1      x
Unisys Corporation                              Common     909214108    4,150,313       285,000        x         1      x
UnumProvident Corporation                       Common     91529Y106    7,222,500       360,000        x         1      x
Visteon Corporation                             Common     92839U107      158,756        13,093        x         1      x
Washington Mutual, Inc.                         Common     939322103   11,261,250       390,000        x         1      x
Waste Management Inc.                           Common     94106L109    9,120,000       480,000        x         1      x
WorldCom, Inc.                                  Common     98157D106   11,010,000       240,000        x         1      x

                                                                     $332,140,283
                                                                     ============
</TABLE>
<PAGE>

Fund Name: Value Trust
Date: 6/30/00

Item 1: Name of issuer
Item 2: Title of Class
Item 3: CUSIP #
Item 4: Fair Market Value
Item 5: Shares of Principal Interest
Item 6: Investment Discretion (A. Sole, B. Shared, C. Other)
Item 7: Other Managers
Item 8: Voting Authority (shrs) (A. Sole B. Shared C. None)
<TABLE>
<CAPTION>
                                                                                             (Item 5)                     (Item 8)
        (Item 1)                                   (Item 2)      (Item 3)     (Item 4)       Principal  (Item 6) (Item 7)  Voting
        Name of                                     Title         CUSIP #    Fair Market     Interest  Investment  Other  Authority
         issuer                                     Class         number        Value         (shrs)   Discretion  Mgrs    (shrs)
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                                       A   B   C          A   B   C
<S>                                             <C>            <C>         <C>             <C>        <C> <C> <C>  <C>   <C> <C> <C>
Aetna Inc.                                          Common         8117103     414,825,000   6,462,700     x        1     x
Albertson's, Inc.                                   Common        13104104     365,750,000  11,000,000     x        1     x
Amazon.com, Inc.                                    Common        23135106     344,968,750   9,500,000     x        1     x
America Online, Inc.                                Common       02364J104     936,555,150  17,754,600     x        1     x
Bank of America Corporation                         Common        60505104     172,000,000   4,000,000     x        1     x
Bank One Corporation                                Common       06423A103     305,468,750  11,500,000     x        1     x
Berkshire Hathaway Inc. - Class A                  Class A        84670108     225,960,000       4,200     x        1     x
Citigroup Inc.                                      Common       172967101     421,750,000   7,000,000     x        1     x
Danaher Corporation                                 Common       235851102     118,650,000   2,400,000     x        1     x
Dell Computer Corporation                           Common       247025109     182,456,250   3,700,000     x        1     x
Eastman Kodak Company                               Common       277461109     440,300,000   7,400,000     x        1     x
Fannie Mae                                          Common       313586109     323,562,500   6,200,000     x        1     x
FleetBoston Financial Corporation                   Common       339030108     306,000,000   9,000,000     x        1     x
Foundation Health Systems, Inc.                     Common       350404109     144,300,000  11,100,000     x        1     x
Freddie Mac                                         Common       313400301     105,300,000   2,600,000     x        1     x
Gateway, Inc.                                       Common       367626108     827,415,000  14,580,000     x        1     x
General Motors Corporation                          Common       370442105     174,187,500   3,000,000     x        1     x
International Business Machines Corporation         Common       459200101     350,600,000   3,200,000     x        1     x
Koninklijke (Royal) Philips Electronics N.V.  Sponsored Adr New  500472204      26,220,000     552,000     x        1     x
Lloyds TSB Group plc                                Common        87061008     302,054,532  31,991,399     x        1     x
Mattel, Inc.                                        Common       577081102     130,885,938   9,925,000     x        1     x
MBNA Corporation                                    Common       55262L100     174,278,125   6,425,000     x        1     x
McKesson HBOC, Inc.                                 Common       58155Q103     178,387,500   8,520,000     x        1     x
Metro-Goldwyn-Mayer, Inc.                           Common       591610100      96,780,324   3,704,510     x        1     x
MGIC Investment Corporation                         Common       552848103     364,000,000   8,000,000     x        1     x
MGM Grand, Inc.                                     Common       552953101     197,724,235   6,154,840     x        1     x
Nextel Communications, Inc.                         Common       65332V103     465,330,938   7,605,000     x        1     x
Nokia Oyj                                           Common       654902204     343,570,000   6,880,000     x        1     x
Starwood Hotels & Resorts Worldwide, Inc.       Class B Common   85590A203     293,062,500   9,000,000     x        1     x
Storage Technology Corporation                      Common       862111200      87,500,000   8,000,000     x        1     x
Telefonos de Mexico SA de CV (Telmex)               Common       879403780     182,800,000   3,200,000     x        1     x
The Bear Stearns Companies, Inc.                    Common        73902108     137,674,688   3,307,500     x        1     x
The Chase Manhattan Corporation                     Common       16161A108     317,831,250   6,900,000     x        1     x
The Kroger Co.                                      Common       501044101     209,593,750   9,500,000     x        1     x
Toys "R" Us, Inc.                                   Common       892335100     228,631,250  15,700,000     x        1     x
United HealthCare Corporation                       Common       91324P102     617,400,000   7,200,000     x        1     x
Washington Mutual, Inc.                             Common       939322103     381,150,000  13,200,000     x        1     x
Waste Management Inc.                               Common       94106L109     564,300,000  29,700,000     x        1     x
WorldCom, Inc.                                      Common       98157D106     596,375,000  13,000,000     x        1     x
WPP Group plc                                       Common        97404008     437,278,187  29,947,665     x        1     x

                                                                           $12,492,877,115
                                                                           ===============
</TABLE>
<PAGE>

Fund Name: Value Institutional Trust
Date: 6/30/00

Item 1: Name of issuer
Item 2: Title of Class
Item 3: CUSIP #
Item 4: Fair Market Value
Item 5: Shares of Principal Interest
Item 6: Investment Discretion (A. Sole, B. Shared, C. Other)
Item 7: Other Managers
Item 8: Voting Authority (shrs)  (A. Sole, B. Shared, C. None)
<TABLE>
<CAPTION>
                                                                                                                         (Item 8)
         (Item 1)                             (Item 2)    (Item 3)    (Item 4)       (Item 5)       (Item 6)   (Item 7)   Voting
         Name of                                Title      CUSIP #   Fair Market     Principal     Investment    Other   Authority
          issuer                                Class      number       Value     Interest(shrs)   Discretion    Mgrs     (shrs)
----------------------------------------------------------------------------------------------------------------------------------
                                                                                                    A   B   C            A   B   C
<S>                                             <C>      <C>         <C>          <C>              <C> <C> <C>  <C>     <C> <C> <C>
Aetna Inc.                                      Common     8117103    18,343,247       285,776          x         1      x
Albertson's, Inc.                               Common    13104104    16,363,555       492,137          x         1      x
Amazon.com, Inc.                                Common    23135106    15,251,250       420,000          x         1      x
America Online, Inc.                            Common   02364J104    41,916,469       794,625          x         1      x
Bank of America Corporation                     Common    60505104     7,663,546       178,222          x         1      x
Bank One Corporation                            Common   06423A103    13,639,923       513,503          x         1      x
Berkshire Hathaway Inc. - Class A               Class A   84670108    10,060,600           187          x         1      x
Citigroup Inc.                                  Common   172967101    19,005,501       315,444          x         1      x
Danaher Corporation                             Common   235851102     5,290,060       107,005          x         1      x
Dell Computer Corporation                       Common   247025109     8,547,138       173,326          x         1      x
Eastman Kodak Company                           Common   277461109    19,342,498       325,084          x         1      x
Fannie Mae                                      Common   313586109    14,539,751       278,606          x         1      x
FleetBoston Financial Corporation               Common   339030108    13,705,230       403,095          x         1      x
Foundation Health Systems, Inc.                 Common   350404109     6,423,365       494,105          x         1      x
Freddie Mac                                     Common   313400301     4,716,063       116,446          x         1      x
Gateway, Inc.                                   Common   367626108    37,060,531       653,049          x         1      x
General Motors Corporation                      Common   370442105     7,748,266       133,447          x         1      x
International Business Machines Corporation     Common   459200101    15,516,570       141,623          x         1      x
Koninklijke (Royal) Philips Electronics N.V.      ADR    500472204     2,204,000        46,400          x         1      x
Lloyds TSB Group plc                            Common    87061008    13,561,561     1,436,341          x         1      x
Mattel, Inc.                                    Common   577081102     5,829,732       442,065          x         1      x
MBNA Corporation                                Common   55262L100     7,772,615       286,548          x         1      x
McKesson HBOC, Inc.                             Common   58155Q103     7,931,607       378,823          x         1      x
Metro-Goldwyn-Mayer, Inc.                       Common   591610100     4,279,066       163,792          x         1      x
MGIC Investment Corporation                     Common   552848103    16,300,785       358,259          x         1      x
MGM Grand, Inc.                                 Common   552953101     5,723,872       178,175          x         1      x
Nextel Communications, Inc.                     Common   65332V103    20,671,218       337,834          x         1      x
Nokia Oyj                                       Common   654902204    15,255,557       305,493          x         1      x
Starwood Hotels & Resorts Worldwide, Inc.       Common   85590A203    13,125,781       403,095          x         1      x
Storage Technology Corporation                  Common   862111200     3,868,288       353,672          x         1      x
Telefonos de Mexico SA de CV (Telmex)           Common   879403780     8,147,682       142,629          x         1      x
The Bear Stearns Companies, Inc.                Common    73902108     6,139,521       147,496          x         1      x
The Chase Manhattan Corporation                 Common   16161A108    14,132,067       306,802          x         1      x
The Kroger Co.                                  Common   501044101     9,045,625       410,000          x         1      x
Toys "R" Us, Inc.                               Common   892335100    10,176,741       698,832          x         1      x
United HealthCare Corporation                   Common   91324P102    27,648,973       322,437          x         1      x
Washington Mutual, Inc.                         Common   939322103    17,069,976       591,168          x         1      x
Waste Management Inc.                           Common   94106L109    25,246,402     1,328,758          x         1      x
WorldCom, Inc.                                  Common   98157D106    26,932,387       587,082          x         1      x
WPP Group plc                                   Common    97404008    19,585,983     1,341,376          x         1      x

                                                                    $555,782,999
                                                                    ============
</TABLE>
<PAGE>

Name of Reporting Manager:         Bingham Legg Advisers LLC
                                   For Positions Held as of 6/30/00
<TABLE>
<CAPTION>
      Item 1:                      Item 2:       Item 3:     Item 4:     Item 5:      Item 6:    Item 7:         Item 8:
                                  TITLE OF                    VALUE      SHARES/      INVSTMT     Other     VOTING AUTHORITY
NAME OF ISSUER                     CLASS         CUSIP       (x$1000)    PRN AMT      DSCRETN     Mgrs.     SOLE        NONE
-----------------------------------------------------------------------------------------------------------------------------
<S>                               <C>           <C>         <C>         <C>           <C>        <C>       <C>         <C>
AES CORP                            COM         00130H105     1,836       36,044       OTHER               36,044
AT&T CORP                           COM         001957109     5,088      165,480       SOLE               160,972       4,508
AT&T CORP                           COM         001957109       251        8,184       OTHER                7,855         329
ABBOTT LABORATORIES COM             COM         002824100     3,195       77,118       SOLE                61,118      16,000
ABBOTT LABORATORIES COM             COM         002824100       372        9,000       OTHER                9,000
AETNA INC COM                       COM         008117103       586       10,575       SOLE                10,575
AETNA INC COM                       COM         008117103       148        2,675       OTHER                2,175         500
AGILENT TECHNOLOGIES INC            COM         00846U101       788       19,081       SOLE                19,081
AGILENT TECHNOLOGIES INC            COM         00846U101       329        7,978       OTHER                7,978
AIR PRODS & CHEMS INC COM           COM         009158106       282        8,550       SOLE                 7,550       1,000
AIR PRODS & CHEMS INC COM           COM         009158106        75        2,300       OTHER                2,300
ALBERTSONS INC COM                  COM         013104104       524       16,900       SOLE                16,400         500
ALBERTSONS INC COM                  COM         013104104       203        6,550       OTHER                6,550
ALCATEL                             COM         013904305     3,760       51,865       SOLE                49,565       2,300
ALLIANCE CAPITAL MANAGEMENT HL      COM         01855A101       302        6,400       SOLE                 6,400
ALLMERICA FINANCIAL CORP COM        COM         019754100       267        4,498       SOLE                 4,498
ALLMERICA FINANCIAL CORP COM        COM         019754100        11          200       OTHER                  200
AMERADA HESS CORP COM               COM         023551104       356        5,975       SOLE                 5,975
AMERADA HESS CORP COM               COM         023551104        31          525       OTHER                  225         300
AMERICA ONLINE INC                  COM         02364J104       168        3,200       SOLE                 2,800         400
AMERICA ONLINE INC                  COM         02364J104        35          680       OTHER                  680
AMERICAN ELECTRIC PWR CO INC C      COM         025537101       728       22,020       SOLE                21,820         200
AMERICAN ELECTRIC PWR CO INC C      COM         025537101       204        6,180       OTHER                5,280         900
AMERICAN EXPRESS CO COM             COM         025816109       309        5,550       SOLE                 5,550
AMERICAN EXPRESS CO COM             COM         025816109        58        1,050       OTHER                1,050
AMERICAN GENERAL CORP COM           COM         026351106     1,384       20,026       SOLE                20,026
AMERICAN GENERAL CORP COM           COM         026351106        34          499       OTHER                  499
AMERICAN HOME PRODS CORP COM        COM         026609107     3,634       66,530       SOLE                66,530
AMERICAN HOME PRODS CORP COM        COM         026609107       526        9,636       OTHER                9,636
AMERICAN INTL GROUP INC COM         COM         026874107     2,389       18,624       SOLE                17,915         709
AMERICAN INTL GROUP INC COM         COM         026874107     2,698       21,032       OTHER               21,032
AMER PWR CONVERSION CORP            COM         029066107     2,874      111,350       SOLE               111,350
AMER PWR CONVERSION CORP            COM         029066107       583       22,600       OTHER               22,600
AMGEN INC                           COM         031162100     1,191       17,950       SOLE                17,150         800
AMGEN INC                           COM         031162100       153        2,311       OTHER                2,311
ANADARKO PETROLEUM CORP COM         COM         032511107       136        2,791       SOLE                 2,791
ANADARKO PETROLEUM CORP COM         COM         032511107       266        5,453       OTHER                5,453
ANALOG DEVICES INC                  COM         032654105       400        6,200       SOLE                 6,200
ANDREW CORP                         COM         034425108       295       10,745       SOLE                10,745
ANHEUSER BUSCH COS INC COM          COM         035229103     5,526       67,911       SOLE                65,986       1,925
ANHEUSER BUSCH COS INC COM          COM         035229103        18          222       OTHER                  222
APPLIED MATERIALS INC               COM         038222105       355        4,800       SOLE                 4,800
</TABLE>

                                       1
<PAGE>

<TABLE>
<CAPTION>
      Item 1:                      Item 2:       Item 3:     Item 4:     Item 5:      Item 6:    Item 7:         Item 8:
                                  TITLE OF                    VALUE      SHARES/      INVSTMT     Other     VOTING AUTHORITY
NAME OF ISSUER                     CLASS         CUSIP       (x$1000)    PRN AMT      DSCRETN     Mgrs.     SOLE        NONE
-----------------------------------------------------------------------------------------------------------------------------
<S>                               <C>           <C>         <C>         <C>           <C>        <C>      <C>         <C>
ARROW ELECTRONICS INC               COM         042735100       270        8,400       SOLE                 8,400
ARROW ELECTRONICS INC               COM         042735100        88        2,750       OTHER                2,350         400
ATLANTIC RICHFIELD CO COM           COM         048825103     1,548       19,968       SOLE                19,968
AUTOMATIC DATA PROCESSING INC       COM         053015103     1,104       22,166       SOLE                19,666       2,500
AUTOMATIC DATA PROCESSING INC       COM         053015103        99        2,000       OTHER                2,000
AVALONBAY COMMUNITIES INC           COM         053484101       696       14,750       SOLE                14,750
AVALONBAY COMMUNITIES INC           COM         053484101       512       10,840       OTHER               10,840
AVNET INC COM                       COM         053807103       214        3,825       SOLE                 3,825
AVNET INC COM                       COM         053807103        18          325       OTHER                   75         250
BJS WHOLESALE CLUB INC COM          COM         05548J106     2,851       94,650       SOLE                94,650
BJS WHOLESALE CLUB INC COM          COM         05548J106       307       10,200       OTHER               10,200
BP AMOCO PLC                        COM         055622104    18,806      350,705       SOLE               350,213         492
BP AMOCO PLC                        COM         055622104     1,737       32,393       OTHER               32,393
BAKER HUGHES INC COM                COM         057224107       739       21,580       SOLE                21,580
BAKER HUGHES INC COM                COM         057224107       131        3,825       OTHER                3,825
BANK OF AMERICA CORPORATION         COM         060505104     1,480       31,927       SOLE                31,927
BANK OF AMERICA CORPORATION         COM         060505104       380        8,201       OTHER                8,001         200
BANK NEW YORK INC COM               COM         064057102       563       12,000       SOLE                12,000
BANK NEW YORK INC COM               COM         064057102       164        3,500       OTHER                3,500
BANK ONE CORPORATION                COM         06423A103       423       13,323       SOLE                13,050         273
BANK ONE CORPORATION                COM         06423A103       147        4,650       OTHER                4,350         300
BEA SYSTEMS INC                     COM         073325102       270        6,220       SOLE                 6,220
BELLSOUTH CORP COM                  COM         079860102       441       11,256       SOLE                 9,256       2,000
BELLSOUTH CORP COM                  COM         079860102       188        4,800       OTHER                4,800
A H BELO CORPORATION CL A           COM         080555105       477       25,300       SOLE                24,300       1,000
BEMIS COMPANY INC                   COM         081437105     1,110       31,950       SOLE                31,950
BERKSHIRE HATHAWAY INC DEL          COM         084670108     1,881           33       SOLE                    33
BERKSHIRE HATHAWAY INC DEL          COM         084670108        57            1       OTHER                    1
BERKSHIRE HATHAWAY INC DEL          COM         084670207     2,810        1,502       SOLE                 1,502
BERKSHIRE HATHAWAY INC DEL          COM         084670207       295          158       OTHER                  158
BESTFOODS INC COM                   COM         08658U101       201        2,900       SOLE                 2,900
BESTFOODS INC COM                   COM         08658U101       111        1,600       OTHER                1,600
BIOMATRIX INC                       COM         09060P102        41        2,000       SOLE                 2,000
BIOMATRIX INC                       COM         09060P102       250       12,000       OTHER               12,000
BIOMET INC                          COM         090613100       600       13,900       OTHER               13,900
BOEING CO COM                       COM         097023105       312        6,400       SOLE                 4,200       2,200
BOEING CO COM                       COM         097023105        24          500       OTHER                  500
BOSTON PROPERTIES INC               COM         101121101        20          500       SOLE                   500
BOSTON PROPERTIES INC               COM         101121101       512       12,300       OTHER               12,300
BOSTON SCIENTIFIC CORP              COM         101137107        66        3,800       SOLE                 3,800
BOSTON SCIENTIFIC CORP              COM         101137107       192       11,088       OTHER               11,088
BRISTOL MYERS SQUIBB CO             COM         110122108     2,402       47,820       SOLE                46,820       1,000
BRISTOL MYERS SQUIBB CO             COM         110122108       467        9,300       OTHER                8,600         700
BROADCOM CORPORATION                COM         111320107       626        2,940       SOLE                 2,940
BROADCOM CORPORATION                COM         111320107        24          116       OTHER                  116
BROADWING INC                       COM         111620100     1,965       73,300       SOLE                69,750       3,550
BROADWING INC                       COM         111620100        13          500       OTHER                  500
</TABLE>

                                       2
<PAGE>

<TABLE>
<CAPTION>
      Item 1:                      Item 2:       Item 3:     Item 4:     Item 5:      Item 6:    Item 7:         Item 8:
                                  TITLE OF                    VALUE      SHARES/      INVSTMT     Other     VOTING AUTHORITY
NAME OF ISSUER                     CLASS         CUSIP       (x$1000)    PRN AMT      DSCRETN     Mgrs.     SOLE        NONE
-----------------------------------------------------------------------------------------------------------------------------
<S>                               <C>           <C>         <C>         <C>           <C>        <C>       <C>         <C>
BURLINGTON NORTHERN SANTA FE C      COM         12189T104       692       28,499       SOLE                27,299       1,200
BURLINGTON NORTHERN SANTA FE C      COM         12189T104       119        4,900       OTHER                3,400       1,500
BURLINGTON RESOURCES                COM         122014103         4          125       SOLE                   125
BURLINGTON RESOURCES                COM         122014103       240        7,100       OTHER                6,700         400
CIGNA CORP COM                      COM         125509109       284        2,900       SOLE                 2,900
CIGNA CORP COM                      COM         125509109        19          195       OTHER                  195
CSX CORP COM                        COM         126408103       245        9,964       SOLE                 9,964
CSX CORP COM                        COM         126408103       125        5,100       OTHER                5,100
CVS CORP COM                        COM         126650100     6,316      155,725       SOLE               152,100       3,625
CVS CORP COM                        COM         126650100       287        7,100       OTHER                7,100
CABOT CORP                          COM         127055101       191        5,950       SOLE                 5,950
CABOT CORP                          COM         127055101        14          450       OTHER                  450
CAPITAL ONE FINANCIAL INC           COM         14040H105       335        5,900       OTHER                5,900
CARNIVAL CORPORATION                COM         143658102     1,682       87,100       SOLE                87,100
CARNIVAL CORPORATION                COM         143658102       685       35,500       OTHER               35,500
CHARTER ONE FINL INC                COM         160903100     1,418       66,350       SOLE                64,300       2,050
CHARTER ONE FINL INC                COM         160903100        58        2,750       OTHER                2,750
CHASE MANHATTAN CORP NEW            COM         16161A108     1,934       39,991       SOLE                36,973       3,018
CHASE MANHATTAN CORP NEW            COM         16161A108       171        3,542       OTHER                3,542
CHEVRON CORP COM                    COM         166751107     3,453       42,864       SOLE                42,864
CHEVRON CORP COM                    COM         166751107     1,570       19,500       OTHER               19,500
CHUBB CORP COM                      COM         171232101       358        4,845       SOLE                 4,845
CHUBB CORP COM                      COM         171232101       384        5,200       OTHER                5,100         100
CIENA CORP COM                      COM         171779101       396        2,950       SOLE                 2,950
CIPHERGEN BIOSYSTEMS INC            CONV PFD    172529992        80       29,326       SOLE                29,326
CISCO SYSTEMS INC                   COM         17275R102     1,782       28,371       SOLE                27,671         700
CISCO SYSTEMS INC                   COM         17275R102       466        7,419       OTHER                7,419
CINTAS CORP COM                     COM         172908105       229        5,675       SOLE                 5,675
CITIGROUP INC                       COM         172967101     5,953       87,151       SOLE                84,826       2,325
CITIGROUP INC                       COM         172967101       599        8,775       OTHER                8,325         450
CLOROX CO COM                       COM         189054109        66        1,600       SOLE                 1,600
CLOROX CO COM                       COM         189054109       166        4,000       OTHER                4,000
COCA COLA CO COM                    COM         191216100     1,684       26,879       SOLE                26,879
COCA COLA CO COM                    COM         191216100        62        1,000       OTHER                1,000
COGNEX CORP                         COM         192422103        22          500       SOLE                               500
COGNEX CORP                         COM         192422103       290        6,400       OTHER                6,400
COLGATE PALMOLIVE CO COM            COM         194162103       396        7,088       SOLE                 7,088
COLGATE PALMOLIVE CO COM            COM         194162103       168        3,000       OTHER                3,000
COMPAQ COMPUTER CORP COM            COM         204493100     1,940       69,000       SOLE                69,000
COMPAQ COMPUTER CORP COM            COM         204493100       916       32,600       OTHER               32,600
COMPUTER ASSOC INTL INC             COM         204912109       444       17,900       SOLE                17,900
COMPUTER ASSOC INTL INC             COM         204912109       276       11,147       OTHER               11,147
COMPUTER SCIENCES CORP              COM         205363104       628       10,080       SOLE                 9,380         700
COMVERSE TECHNOLOGY                 COM         205862402       288        3,600       SOLE                 3,600
CONAGRA INC                         COM         205887102       569       27,600       SOLE                27,600
</TABLE>

                                       3
<PAGE>

<TABLE>
<CAPTION>
      Item 1:                      Item 2:       Item 3:     Item 4:     Item 5:      Item 6:    Item 7:         Item 8:
                                  TITLE OF                    VALUE      SHARES/      INVSTMT     Other     VOTING AUTHORITY
NAME OF ISSUER                     CLASS         CUSIP       (x$1000)    PRN AMT      DSCRETN     Mgrs.     SOLE        NONE
-----------------------------------------------------------------------------------------------------------------------------
<S>                               <C>           <C>         <C>         <C>           <C>        <C>       <C>         <C>
CONAGRA INC                         COM         205887102       253       12,300       OTHER               11,300       1,000
CONEXANT SYS INC COM                COM         207142100       453       14,000       SOLE                14,000
CONOCO INC                          COM         208251306       276       12,225       SOLE                12,225
CONOCO INC                          COM         208251306        92        4,100       OTHER                3,400         700
CONSOLILDATED EDISON INC COM        COM         209115104       399       13,150       SOLE                13,150
CONSOLILDATED EDISON INC COM        COM         209115104        42        1,400       OTHER                  600         800
CONVERGYS CORPORATION               COM         212485106       652       14,350       SOLE                13,700         650
COOPER CAMERON CORP COM             COM         216640102       480        7,500       SOLE                 7,500
COOPER INDUSTRIES INC COM           COM         216669101       296        9,475       SOLE                 9,475
COOPER INDUSTRIES INC COM           COM         216669101        73        2,350       OTHER                1,950         400
ADOLPH COORS CL B                   COM         217016104       225        3,780       SOLE                 3,780
CORNING INC                         COM         219350105       796        3,420       SOLE                 3,420
CORNING INC                         COM         219350105     1,049        4,510       OTHER                4,510
COSTCO WHOLESALE CORPORATION        COM         22160K105       982       30,450       SOLE                30,450
COSTCO WHOLESALE CORPORATION        COM         22160K105       699       21,700       OTHER               21,700
CROWN CORK & SEAL INC               COM         228255105       141       10,165       SOLE                10,165
CROWN CORK & SEAL INC               COM         228255105        19        1,400       OTHER                  800         600
DANA CORP                           COM         235811106       332       14,400       SOLE                14,400
DANA CORP                           COM         235811106        70        3,050       OTHER                2,350         700
DELL COMPUTER CORP                  COM         247025109     1,076       24,645       SOLE                23,220       1,425
DELL COMPUTER CORP                  COM         247025109       250        5,724       OTHER                5,724
DELPHI FINANCIAL GROUP INC.         COM         247131105       443       11,992       OTHER               11,992
DEVRY INC DEL                       COM         251893103       628       19,500       OTHER               19,500
DIAL CORP                           COM         25247D101     2,072      163,325       SOLE               158,750       4,575
DIAMOND OFFSHORE DRILLING           COM         25271C102       540       14,400       SOLE                14,400
DISNEY WALT PRODTNS COM             COM         254687106     1,437       37,950       SOLE                37,650         300
DISNEY WALT PRODTNS COM             COM         254687106        15          398       OTHER                  398
DITECH COMMUNICATIONS               COM         25500M103       415        7,000       SOLE                 7,000
DOMINION RESOURCES INC/VA           COM         25746U109       286        6,213       SOLE                 6,213
DOVER CORP COM                      COM         260003108     2,552       55,330       SOLE                55,030         300
DOVER CORP COM                      COM         260003108     1,425       30,900       OTHER               30,900
DOW CHEMICAL CO COM                 COM         260543103     1,087       38,057       SOLE                38,057
DOW CHEMICAL CO COM                 COM         260543103       119        4,175       OTHER                3,375         800
DU PONT E I DE NEMOURS & CO         COM         263534109     2,789       60,800       SOLE                58,850       1,950
DU PONT E I DE NEMOURS & CO         COM         263534109       203        4,432       OTHER                4,182         250
DUKE ENERGY CORP                    COM         264399106       693       11,023       SOLE                11,023
DUKE ENERGY CORP                    COM         264399106        37          600       OTHER                  600
EMC CORPORATION                     COM         268648102     2,088       25,650       SOLE                24,250       1,400
EMC CORPORATION                     COM         268648102     1,815       22,289       OTHER               22,289
EASTMAN CHEMICAL CO INC             COM         277432100       141        3,002       SOLE                 3,002
EASTMAN CHEMICAL CO INC             COM         277432100        66        1,412       OTHER                1,412
ELAN CORP PLC                       COM         284131208       114        2,200       SOLE                 2,200
ELAN CORP PLC                       COM         284131208     1,087       20,948       OTHER               20,948
EMERSON ELEC CO COM                 COM         291011104     2,063       33,658       SOLE                30,833       2,825
EMERSON ELEC CO COM                 COM         291011104        82        1,350       OTHER                1,350
ENRON CORP                          COM         293561106       265        3,534       OTHER                3,534
</TABLE>

                                       4
<PAGE>

<TABLE>
<CAPTION>
      Item 1:                      Item 2:       Item 3:     Item 4:     Item 5:      Item 6:    Item 7:         Item 8:
                                  TITLE OF                    VALUE      SHARES/      INVSTMT     Other     VOTING AUTHORITY
NAME OF ISSUER                     CLASS         CUSIP       (x$1000)    PRN AMT      DSCRETN     Mgrs.     SOLE        NONE
-----------------------------------------------------------------------------------------------------------------------------
<S>                               <C>           <C>         <C>         <C>           <C>        <C>       <C>         <C>
EQUITY OFFICE PROPERTY TR           COM         294741103       434       14,182       SOLE                14,182
EQUITY OFFICE PROPERTY TR           COM         294741103       101        3,300       OTHER                3,300
L M ERICSSON TEL CO                 COM         294821400       199       11,000       SOLE                11,000
EXPLORE HOLDINGS LLC SHARES         COM         30214H929        46       19,234       SOLE                19,234
EXXON MOBIL CORPORATION             COM         30231G102    36,520      456,144       SOLE               453,319       2,825
EXXON MOBIL CORPORATION             COM         30231G102    12,498      156,110       OTHER              156,110
FPL GROUP INC COM                   COM         302571104       845       16,000       SOLE                16,000
FPL GROUP INC COM                   COM         302571104        31          600       OTHER                  600
FAMILY DOLLAR STORES INC            COM         307000109       462       26,830       SOLE                24,830       2,000
FAR WEST GROUP INC                  COM         30735F105         0       20,000       OTHER               20,000
FREDDIE MAC                         COM         313400301     3,687       92,325       SOLE                89,700       2,625
FREDDIE MAC                         COM         313400301        83        2,100       OTHER                2,100
FANNIE MAE                          COM         313586109     3,777       74,981       SOLE                72,681       2,300
FANNIE MAE                          COM         313586109       136        2,700       OTHER                2,700
FEDERATED DEPARTMENT STORES IN      COM         31410H101       224        9,150       SOLE                 9,150
FEDERATED DEPARTMENT STORES IN      COM         31410H101       100        4,100       OTHER                4,100
FIRST UNION CORP                    COM         337358105       337       13,204       SOLE                13,204
FIRST UNION CORP                    COM         337358105       120        4,700       OTHER                4,700
FIRSTAR CORP NEW WIS                COM         33763V109       219       11,114       SOLE                11,114
FIRSTENERGY CORP                    COM         337932107       148        5,900       SOLE                 5,900
FIRSTENERGY CORP                    COM         337932107        91        3,650       OTHER                3,650
FLEETBOSTON FINANCIAL CORPORAT      COM         339030108     3,269       93,247       SOLE                80,683      12,564
FLEETBOSTON FINANCIAL CORPORAT      COM         339030108       898       25,637       OTHER               25,637
FORD MOTOR CO DEL                   COM         345370100       790       17,141       SOLE                16,241         900
FORD MOTOR CO DEL                   COM         345370100        19          417       OTHER                  417
FORT JAMES CORP                     COM         347471104       121        3,900       SOLE                 3,900
FORT JAMES CORP                     COM         347471104       133        4,300       OTHER                3,900         400
FOX ENTMT GROUP INC CL A            COM         35138T107       403       13,298       SOLE                13,298
GANNETT INC COM                     COM         364730101       218        4,100       SOLE                 4,100
GANNETT INC COM                     COM         364730101       127        2,400       OTHER                2,400
GENENTECH INC                       COM         368710406       424        2,850       SOLE                 2,850
GENENTECH INC                       COM         368710406        74          500       OTHER                  500
GENERAL ELECTRIC CO COM             COM         369604103    28,635      562,856       SOLE               493,656      69,200
GENERAL ELECTRIC CO COM             COM         369604103     8,067      158,572       OTHER              158,572
GENERAL GROWTH PPTYS INC            COM         370021107       114        3,375       SOLE                 3,375
GENERAL GROWTH PPTYS INC            COM         370021107       365       10,800       OTHER               10,800
GENERAL MILLS INC COM               COM         370334104       181        5,200       SOLE                 5,200
GENERAL MILLS INC COM               COM         370334104       114        3,300       OTHER                3,300
GENERAL MOTORS CORP COM             COM         370442105       179        3,128       SOLE                 2,928         200
GENERAL MOTORS CORP COM             COM         370442105        43          750       OTHER                  525         225
GENERAL MOTORS CORP CLASS H CO      COM         370442832     1,230       46,658       SOLE                46,598          60
GENERAL MOTORS CORP CLASS H CO      COM         370442832       610       23,163       OTHER               22,925         238
GEORGIA PACIFIC CORP COM            COM         373298108       225        9,200       SOLE                 9,200
GEORGIA PACIFIC CORP COM            COM         373298108        20          850       OTHER                  250         600
GILLETTE CO COM                     COM         375766102       203        6,800       SOLE                 6,100         700
GILLETTE CO COM                     COM         375766102        17          600       OTHER                  600
</TABLE>

                                       5
<PAGE>

<TABLE>
<CAPTION>
      Item 1:                      Item 2:       Item 3:     Item 4:     Item 5:      Item 6:    Item 7:         Item 8:
                                  TITLE OF                    VALUE      SHARES/      INVSTMT     Other     VOTING AUTHORITY
NAME OF ISSUER                     CLASS         CUSIP       (x$1000)    PRN AMT      DSCRETN     Mgrs.     SOLE        NONE
-----------------------------------------------------------------------------------------------------------------------------
<S>                               <C>           <C>         <C>         <C>           <C>        <C>       <C>         <C>
GOODYEAR TIRE & RUBBER CO COM       COM         382550101       337       16,375       SOLE                16,375
GOODYEAR TIRE & RUBBER CO COM       COM         382550101        79        3,850       OTHER                3,150         700
GRANT PRIDECO INC                   COM         38821G101       283       14,100       SOLE                14,100
GUIDANT CORP                        COM         401698105     1,176       20,111       SOLE                18,561       1,550
HALLIBURTON CO COM                  COM         406216101       626       13,799       SOLE                13,799
HEALTHSOUTH CORP COM                COM         421924101       238       41,500       SOLE                41,500
HEALTHSOUTH CORP COM                COM         421924101        64       11,200       OTHER               11,200
HEINZ H J CO                        COM         423074103         3           85       SOLE                    85
HEINZ H J CO                        COM         423074103       206        5,050       OTHER                5,050
HEWLETT PACKARD CO COM              COM         428236103     5,434       50,763       SOLE                50,413         350
HEWLETT PACKARD CO COM              COM         428236103     2,284       21,340       OTHER               21,340
HOME DEPOT INC COM                  COM         437076102     1,409       26,748       SOLE                26,448         300
HOME DEPOT INC COM                  COM         437076102        71        1,350       OTHER                1,350
HONEYWELL INTERNATIONAL INC         COM         438516106     1,234       36,857       SOLE                36,857
HONEYWELL INTERNATIONAL INC         COM         438516106       189        5,650       OTHER                5,650
HOUGHTON MIFFLIN CO COM             COM         441560109       525       11,480       SOLE                11,480
HOUGHTON MIFFLIN CO COM             COM         441560109       154        3,380       OTHER                3,380
iBELONG.COM INC SER A PFD           PREFERRED   450999917        68       15,298       SOLE                15,298
ILLINOIS TOOL WORKS INC COM         COM         452308109       175        3,100       SOLE                 3,100
ILLINOIS TOOL WORKS INC COM         COM         452308109        39          700       OTHER                  700
INKTOMI CORP                        COM         457277101       281        2,800       SOLE                 2,800
INKTOMI CORP                        COM         457277101        20          200       OTHER                  200
INTEL CORP COM                      COM         458140100     6,023       46,645       SOLE                45,270       1,375
INTEL CORP COM                      COM         458140100     1,378       10,674       OTHER               10,474         200
INTL BUSINESS MACHINES CORP CO      COM         459200101     6,414       57,367       SOLE                55,617       1,750
INTL BUSINESS MACHINES CORP CO      COM         459200101       873        7,810       OTHER                7,610         200
INTERNATIONAL PAPER CO COM          COM         460146103       718       21,769       SOLE                21,769
INTERNATIONAL PAPER CO COM          COM         460146103       258        7,821       OTHER                6,921         900
INVITROGEN CORP                     COM         46185R100       229        3,720       SOLE                 3,720
JEFFERSON-PILOT CORP                COM         475070108       472        7,575       SOLE                 7,275         300
JEFFERSON-PILOT CORP                COM         475070108        46          750       OTHER                  750
JOHNSON & JOHNSON COM               COM         478160104     6,761       72,167       SOLE                59,912      12,255
JOHNSON & JOHNSON COM               COM         478160104     1,298       13,862       OTHER               13,862
JOHNSON CONTROLS INC                COM         478366107       835       16,320       SOLE                15,120       1,200
KEYCORP NEW                         COM         493267108       177       10,091       SOLE                10,091
KEYCORP NEW                         COM         493267108       140        7,960       OTHER                7,460         500
KIMBERLY CLARK CORP COM             COM         494368103       191        3,200       SOLE                 3,200
KIMBERLY CLARK CORP COM             COM         494368103       299        5,000       OTHER                5,000
KROGER CO COM                       COM         501044101       358       17,000       SOLE                17,000
L-3 COMMUNICATIONS HOLDINGS IN      COM         502424104       227        3,930       SOLE                 3,930
THE LATIN AMERN DISCOVERY FD I      COM         51828C106       162       15,000       OTHER               15,000
LECROY CORP                         COM         52324W109     1,002       66,844       SOLE                66,844
LECROY CORP                         COM         52324W109        56        3,780       OTHER                3,780
LEGGETT & PLATT INC                 COM         524660107     1,000       59,260       SOLE                59,260
LEGGETT & PLATT INC                 COM         524660107       464       27,500       OTHER               26,800         700
LIBERTY FINANCIAL COMPANIES IN      CONV PFD    530512201     2,515       73,047       SOLE                73,047
</TABLE>

                                       6
<PAGE>

<TABLE>
<CAPTION>
      Item 1:                      Item 2:       Item 3:     Item 4:     Item 5:      Item 6:    Item 7:         Item 8:
                                  TITLE OF                    VALUE      SHARES/      INVSTMT     Other     VOTING AUTHORITY
NAME OF ISSUER                     CLASS         CUSIP       (x$1000)    PRN AMT      DSCRETN     Mgrs.     SOLE        NONE
-----------------------------------------------------------------------------------------------------------------------------
<S>                               <C>           <C>         <C>         <C>           <C>        <C>       <C>         <C>
LIBERTY FINANCIAL COMPANIES IN      CONV PFD    530512201     2,530       73,468       OTHER               73,468
LIBERTY PROPERTY TRUST              COM         531172104         5          200       SOLE                   200
LIBERTY PROPERTY TRUST              COM         531172104       325       11,400       OTHER               11,400
LILLY ELI & CO COM                  COM         532457108     1,548       15,148       SOLE                15,148
LILLY ELI & CO COM                  COM         532457108       245        2,400       OTHER                2,400
LINCOLN NATL CORP IND COM           COM         534187109       898       20,080       SOLE                19,655         425
LINCOLN NATL CORP IND COM           COM         534187109        44        1,000       OTHER                1,000
LINEAR TECHNOLOGY CORP COM          COM         535678106       410        8,140       SOLE                 8,140
LOWES COS INC COM                   COM         548661107        76        1,800       SOLE                 1,800
LOWES COS INC COM                   COM         548661107       153        3,627       OTHER                3,627
LUCENT TECHNOLOGIES INC COM         COM         549463107     3,969       87,962       SOLE                82,785       5,177
LUCENT TECHNOLOGIES INC COM         COM         549463107       156        3,479       OTHER                3,179         300
MBIA INC                            COM         55262C100       345        6,175       SOLE                 6,175
MBIA INC                            COM         55262C100       223        4,000       OTHER                3,600         400
MACERICH COMPANY                    COM         554382101       306       13,000       SOLE                13,000
MACK-CALI REALTY CORP               COM         554489104       435       16,500       SOLE                16,500
MACK-CALI REALTY CORP               COM         554489104        10          400       OTHER                              400
MARSH & MCCLENNAN COS INC COM       COM         571748102     1,354       11,550       SOLE                11,550
MARSH & MCCLENNAN COS INC COM       COM         571748102       562        4,797       OTHER                4,797
MAXIM INTEGRATED PRODUCTS INC       COM         57772K101       279        4,460       SOLE                 4,460
MAY DEPT STORES CO COM              COM         577778103       209        8,750       SOLE                 8,750
MAY DEPT STORES CO COM              COM         577778103       220        9,196       OTHER                9,196
MCDONALDS CORP COM                  COM         580135101     2,956       92,400       SOLE                89,925       2,475
MCDONALDS CORP COM                  COM         580135101        41        1,300       OTHER                1,300
MEDTRONIC INC COM                   COM         585055106     2,926       56,273       SOLE                55,498         775
MEDTRONIC INC COM                   COM         585055106     1,140       21,937       OTHER               21,937
MELLON FINANCIAL CORP.              COM         58551A108       832       22,250       SOLE                17,300       4,950
MERCK & CO INC COM                  COM         589331107     8,032      110,316       SOLE               107,646       2,670
MERCK & CO INC COM                  COM         589331107     4,221       57,974       OTHER               57,974
MICROSOFT CORP                      COM         594918104     8,841      126,874       SOLE               124,199       2,675
MICROSOFT CORP                      COM         594918104       209        3,005       OTHER                3,005
MINNESOTA MNG & MFG CO COM          COM         604059105     1,555       17,090       SOLE                16,690         400
MINNESOTA MNG & MFG CO COM          COM         604059105       145        1,600       OTHER                1,600
MONADNOCK PAPER MILLS INC           COM         608990107       245        3,171       OTHER                3,171
MORGAN J P & CO INC COM             COM         616880100     1,548       11,875       SOLE                11,875
MORGAN J P & CO INC COM             COM         616880100       342        2,625       OTHER                2,625
MORGAN STANLEY DEAN WITTER EAS      COM         616988101       269       16,100       OTHER               16,100
MORGAN STANLEY                      COM         617446448     2,329       26,400       SOLE                26,400
MORGAN STANLEY                      COM         617446448     1,775       20,124       OTHER               20,124
MORGAN STANLEY DEAN WITTER          COM         61744G107       136        9,300       SOLE                 9,300
MORGAN STANLEY DEAN WITTER          COM         61744G107     7,609      518,100       OTHER              518,100
MORGAN STANLEY DEAN WITTER          COM         61745C105       224       21,800       OTHER               21,800
MOTOROLA INC COM                    COM         620076109       102        3,120       SOLE                 1,620       1,500
MOTOROLA INC COM                    COM         620076109       138        4,200       OTHER                4,200
NASDAQ-100 SHARES                   COM         631100104       249        2,875       SOLE                 2,875
NATIONAL CITY CORP COM              COM         635405103       250       14,275       SOLE                14,275
</TABLE>

                                       7
<PAGE>

<TABLE>
<CAPTION>
      Item 1:                      Item 2:       Item 3:     Item 4:     Item 5:      Item 6:    Item 7:         Item 8:
                                  TITLE OF                    VALUE      SHARES/      INVSTMT     Other     VOTING AUTHORITY
NAME OF ISSUER                     CLASS         CUSIP       (x$1000)    PRN AMT      DSCRETN     Mgrs.     SOLE        NONE
-----------------------------------------------------------------------------------------------------------------------------
<S>                               <C>           <C>         <C>         <C>           <C>        <C>       <C>         <C>
NATIONAL CITY CORP COM              COM         635405103        27        1,550       OTHER                1,050         500
NATURAL CHEMISTRY INC               CONV PFD    63884L201         8       16,600       OTHER               16,600
NATURAL CHEMISTRY INC               COM         63884L904         8       16,589       OTHER               16,589
NEW CENTURY ENERGIES INC COM        COM         64352U103       376       10,850       SOLE                10,850
NEW CENTURY ENERGIES INC COM        COM         64352U103        72        2,100       OTHER                2,100
NEW ENGLAND BUSINESS SVC INC C      COM         643872104     6,169      300,017       SOLE               300,017
NEW YORK TIMES CO CL A              COM         650111107     5,449      132,704       SOLE               132,704
NEW YORK TIMES CO CL A              COM         650111107       157        3,840       OTHER                3,840
NEWELL RUBBERMAID INC               COM         651229106       285       10,575       SOLE                10,575
NEWELL RUBBERMAID INC               COM         651229106        79        2,950       OTHER                2,250         700
NOKIA CORPORATION                   COM         654902204       550       12,650       SOLE                11,150       1,500
NOKIA CORPORATION                   COM         654902204        13          299       OTHER                  299
NORFOLK SOUTHN CORP COM             COM         655844108       810       43,225       SOLE                43,225
NORFOLK SOUTHN CORP COM             COM         655844108       147        7,850       OTHER                5,950       1,900
NORTEL NETWORKS CORP                COM         656568102     3,008       41,490       SOLE                37,795       3,695
NORTEL NETWORKS CORP                COM         656568102        16          232       OTHER                  232
NORTH FORK BANCORP                  COM         659424105       124        8,000       SOLE                 8,000
NORTH FORK BANCORP                  COM         659424105        46        3,000       OTHER                3,000
NORTHERN STS PWR CO MINN COM        COM         665772109       400       18,140       SOLE                18,140
NORTHERN STS PWR CO MINN COM        COM         665772109        30        1,400       OTHER                  800         600
NORTHERN TRUST CORP                 COM         665859104       201        2,700       SOLE                 2,700
NUCOR CORP                          COM         670346105       158        4,375       SOLE                 4,375
NUCOR CORP                          COM         670346105        59        1,650       OTHER                1,350         300
OCCIDENTAL PETE CORP COM            COM         674599105       866       44,600       SOLE                44,600
OCCIDENTAL PETE CORP COM            COM         674599105       204       10,500       OTHER                8,500       2,000
OMNICOM GROUP INC COM               COM         681919106     2,507       29,390       SOLE                29,390
OMNICOM GROUP INC COM               COM         681919106     1,957       22,940       OTHER               22,940
ORACLE SYSTEMS CORP                 COM         68389X105       119        1,650       SOLE                 1,050         600
ORACLE SYSTEMS CORP                 COM         68389X105       564        7,801       OTHER                7,801
PG&E CORP                           COM         69331C108        99        3,760       SOLE                 3,760
PG&E CORP                           COM         69331C108       108        4,111       OTHER                4,111
PE CORP-PE BIOSYSTEMS GROUP         COM         69332S102       434        4,860       SOLE                 4,560         300
PE CORP-PE BIOSYSTEMS GROUP         COM         69332S102       116        1,300       OTHER                1,300
PARKER HANNIFIN CORP COM            COM         701094104       224        6,250       SOLE                 6,250
PARKER HANNIFIN CORP COM            COM         701094104        46        1,300       OTHER                1,300
PEPSICO INC COM                     COM         713448108       702       15,700       SOLE                15,100         600
PEPSICO INC COM                     COM         713448108       230        5,149       OTHER                5,149
PFIZER INC COM                      COM         717081103     7,843      178,772       SOLE               178,172         600
PFIZER INC COM                      COM         717081103     1,286       29,317       OTHER               29,317
PHARMACIA CORPORATION               COM         71713U102     1,537       27,548       SOLE                26,654         894
PHILIP MORRIS COS INC COM           COM         718154107       688       26,800       SOLE                26,800
PHILIP MORRIS COS INC COM           COM         718154107       133        5,200       OTHER                4,600         600
PHILLIPS PETROLEUM CO COM           COM         718507106     1,001       20,073       SOLE                20,073
PHILLIPS PETROLEUM CO COM           COM         718507106       182        3,650       OTHER                2,750         900
PHONE.COM INC                       COM         71920Q100       287        3,790       SOLE                 3,790
PIONEER GROUP INC                   COM         723684106    36,012      844,879       SOLE               844,879
</TABLE>

                                       8
<PAGE>

<TABLE>
<CAPTION>
      Item 1:                      Item 2:       Item 3:     Item 4:     Item 5:      Item 6:    Item 7:         Item 8:
                                  TITLE OF                    VALUE      SHARES/      INVSTMT     Other     VOTING AUTHORITY
NAME OF ISSUER                     CLASS         CUSIP       (x$1000)    PRN AMT      DSCRETN     Mgrs.     SOLE        NONE
-----------------------------------------------------------------------------------------------------------------------------
<S>                               <C>           <C>         <C>         <C>           <C>        <C>       <C>         <C>
PRAXAIR INC                         COM         74005P104     1,946       50,325       SOLE                50,325
PRAXAIR INC                         COM         74005P104       115        2,975       OTHER                2,975
PRENTISS PROPERTIES TRUST           COM         740706106        22          900       SOLE                   900
PRENTISS PROPERTIES TRUST           COM         740706106       275       10,900       OTHER               10,900
PROCTER & GAMBLE CO COM             COM         742718109    10,650      179,945       SOLE               171,845       8,100
PROCTER & GAMBLE CO COM             COM         742718109       366        6,188       OTHER                6,188
PROTEIN DESIGN LABS INC             COM         74369L103       335        2,600       SOLE                 2,600
QLT INC                             COM         746927102       455        6,770       SOLE                 6,770
QWEST COMMUNICATIONS INTERNATI      COM         749121109     1,225       25,406       SOLE                24,697         709
QWEST COMMUNICATIONS INTERNATI      COM         749121109       227        4,716       OTHER                4,716
R H INVESTMENT COMPANY INC          COM         749550992     3,135       14,908       SOLE                14,908
RATIONAL SOFTWARE CORP COM          COM         75409P202     1,490       15,704       SOLE                15,704
REDBACK NETWORKS                    COM         757209101       478        3,940       SOLE                 3,940
REDBACK NETWORKS                    COM         757209101        33          279       OTHER                  279
RELIASTAR FINANCIAL CORP            COM         75952U103     2,454       46,250       SOLE                46,250
RELIASTAR FINANCIAL CORP            COM         75952U103     1,143       21,550       OTHER               21,250         300
REUTERS HLDGS CO PLC                COM         76132M102        88          758       SOLE                   758
REUTERS HLDGS CO PLC                COM         76132M102       244        2,086       OTHER                2,086
REYNOLDS & REYNOLDS CO CL A         COM         761695105       653       39,020       SOLE                39,020
REYNOLDS & REYNOLDS CO CL A         COM         761695105       351       21,000       OTHER               21,000
ROCKWELL INTL CORP NEW              COM         773903109       640       18,000       SOLE                18,000
ROYAL DUTCH PETROLEUM CO            COM         780257804     1,356       23,144       SOLE                22,944         200
ROYAL DUTCH PETROLEUM CO            COM         780257804       394        6,736       OTHER                6,736
SBC COMMUNICATIONS INC              COM         78387G103     5,897      138,756       SOLE               132,255       6,501
SBC COMMUNICATIONS INC              COM         78387G103        21          500       OTHER                  500
SCI SYSTEMS INC                     COM         783890106     2,389       51,050       SOLE                51,050
SCI SYSTEMS INC                     COM         783890106     1,395       29,800       OTHER               29,800
SDL INC                             COM         784076101       802        2,500       OTHER                2,500
STANDARD & POOR'S DEPOSITARY R      COM         78462F103       355        2,500       SOLE                 2,500
ST PAUL COS INC COM                 COM         792860108       669       14,950       SOLE                14,950
ST PAUL COS INC COM                 COM         792860108       125        2,800       OTHER                2,000         800
SARA LEE CORP COM                   COM         803111103       891       47,725       OTHER               47,725
SCHERING PLOUGH CORP COM            COM         806605101     4,294       98,159       SOLE                97,059       1,100
SCHERING PLOUGH CORP COM            COM         806605101       328        7,509       OTHER                7,509
SCHLUMBERGER LTD COM                COM         806857108     1,517       20,561       SOLE                19,636         925
SCHLUMBERGER LTD COM                COM         806857108       428        5,804       OTHER                5,804
SEALED AIR CORP COM                 COM         81211K100       253        5,000       SOLE                 5,000
SEARS ROEBUCK & CO COM              COM         812387108       792       26,050       SOLE                26,050
SEARS ROEBUCK & CO COM              COM         812387108        73        2,400       OTHER                1,100       1,300
SERVICE MASTER CO COM               COM         81760N109       149       16,683       OTHER               16,683
SHERWIN-WILLIAMS CO                 COM         824348106       325       15,550       SOLE                15,550
SHERWIN-WILLIAMS CO                 COM         824348106       489       23,375       OTHER               22,775         600
SKIN ESSENTIALS INC                 PREFERRED   830668992         0       62,500       SOLE                62,500
SKIN ESSENTIALS INC                 PREFERRED   830668992         0       10,000       OTHER               10,000
SMITHKLINE BEECHAM PLC A ADR        COM         832378301       523        8,000       SOLE                 8,000
SMURFIT-STONE CONTAINER CORP        COM         832727101       192       16,800       SOLE                16,800
</TABLE>

                                       9
<PAGE>

<TABLE>
<CAPTION>
      Item 1:                      Item 2:       Item 3:     Item 4:     Item 5:      Item 6:    Item 7:         Item 8:
                                  TITLE OF                    VALUE      SHARES/      INVSTMT     Other     VOTING AUTHORITY
NAME OF ISSUER                     CLASS         CUSIP       (x$1000)    PRN AMT      DSCRETN     Mgrs.     SOLE        NONE
-----------------------------------------------------------------------------------------------------------------------------
<S>                               <C>           <C>         <C>         <C>           <C>        <C>       <C>         <C>
SMURFIT-STONE CONTAINER CORP        COM         832727101        50        4,400       OTHER                3,600         800
SOLUTIA INC                         COM         834376105       219       15,336       SOLE                15,336
SOLUTIA INC                         COM         834376105        57        4,000       OTHER                4,000
SONOCO PRODS CO COM                 COM         835495102       169        8,723       SOLE                 8,723
SONOCO PRODS CO COM                 COM         835495102        39        2,050       OTHER                1,650         400
SPRINT CORP                         COM         852061100       477       13,715       SOLE                13,565         150
SPRINT CORP                         COM         852061100       118        3,400       OTHER                3,400
STATE STREET CORP                   COM         857477103       162        1,600       SOLE                 1,600
STATE STREET CORP                   COM         857477103       111        1,100       OTHER                1,100
STERIS CORP COM                     COM         859152100       220       24,200       OTHER               24,200
STILWELL FINANCIAL INC              COM         860831106       211        4,700       SOLE                 4,700
SUN MICROSYSTEMS INC COM            COM         866810104     4,197       40,830       SOLE                40,830
SUN MICROSYSTEMS INC COM            COM         866810104     2,287       22,252       OTHER               22,252
SUNTRUST BANKS INC                  COM         867914103     1,116       23,100       SOLE                23,100
SUNTRUST BANKS INC                  COM         867914103        14          300       OTHER                  300
SYSCO CORP                          COM         871829107       398        9,700       SOLE                 9,550         150
SYSCO CORP                          COM         871829107        49        1,200       OTHER                1,200
TARGET CORP                         COM         87612E106     2,639       86,730       SOLE                82,230       4,500
TARGET CORP                         COM         87612E106        14          476       OTHER                  476
TERADYNE INC COM                    COM         880770102       299        5,000       SOLE                 5,000
TEXACO INC COM                      COM         881694103     1,108       21,807       SOLE                20,162       1,645
TEXACO INC COM                      COM         881694103       218        4,300       OTHER                3,300       1,000
TEXAS INSTRUMENTS INC COM           COM         882508104     1,035       18,175       SOLE                15,775       2,400
TEXAS INSTRUMENTS INC COM           COM         882508104       461        8,100       OTHER                8,100
TEXTRON INC COM                     COM         883203101       260        4,550       SOLE                 4,550
TEXTRON INC COM                     COM         883203101        91        1,600       OTHER                1,600
TIME WARNER INC                     COM         887315109     2,055       27,275       SOLE                25,475       1,800
TIME WARNER INC                     COM         887315109        29          388       OTHER                  388
TULARIK INC                         COM         899165104       252        8,930       SOLE                 8,930
TYCO INTERNATIONAL LTD              COM         902124106     5,594      106,191       SOLE               103,016       3,175
TYCO INTERNATIONAL LTD              COM         902124106     1,061       20,147       OTHER               20,147
U S BANCORP DEL                     COM         902973106       576       29,953       SOLE                29,953
UNILEVER NV NY SHARES NEW F         COM         904784709       216        4,761       SOLE                 4,761
UNILEVER NV NY SHARES NEW F         COM         904784709        40          892       OTHER                  892
UNION CARBIDE CORP COM              COM         905581104       523       11,850       SOLE                11,850
UNION CARBIDE CORP COM              COM         905581104       201        4,550       OTHER                4,050         500
UNION PACIFIC CORP COM              COM         907818108     1,079       25,250       SOLE                25,250
UNION PACIFIC CORP COM              COM         907818108       247        5,800       OTHER                4,900         900
UNITED TECHNOLOGIES CORP COM        COM         913017109     1,480       25,784       SOLE                24,492       1,292
UNITED TECHNOLOGIES CORP COM        COM         913017109       315        5,499       OTHER                5,499
UNOCAL CORP COM                     COM         915289102       285        9,345       SOLE                 9,095         250
V F CORP COM                        COM         918204108       260       11,825       SOLE                11,825
V F CORP COM                        COM         918204108        25        1,150       OTHER                  650         500
VERISIGN INC                        COM         92343E102       597        3,720       SOLE                 3,720
VERIZON COMMUNICATIONS              COM         92343V104     1,062       22,606       SOLE                19,972       2,634
VERIZON COMMUNICATIONS              COM         92343V104       493       10,497       OTHER               10,497
</TABLE>

                                       10
<PAGE>

<TABLE>
<CAPTION>
      Item 1:                      Item 2:       Item 3:     Item 4:     Item 5:      Item 6:    Item 7:         Item 8:
                                  TITLE OF                    VALUE      SHARES/      INVSTMT     Other     VOTING AUTHORITY
NAME OF ISSUER                     CLASS         CUSIP       (x$1000)    PRN AMT      DSCRETN     Mgrs.     SOLE        NONE
-----------------------------------------------------------------------------------------------------------------------------
<S>                               <C>           <C>         <C>         <C>           <C>        <C>       <C>         <C>
VIACOM INC CL B                     COM         925524308       181        2,739       SOLE                 1,735       1,004
VIACOM INC CL B                     COM         925524308        33          500       OTHER                  500
VIGNETTE CORPORATION                COM         926734104       310        8,520       SOLE                 8,520
VIRAGEN INC                         COM         927638106        40       20,300       SOLE                20,300
VODAFONE AIRTOUCH PLC-SP ADR        COM         92857T107     1,530       36,010       SOLE                35,610         400
VODAFONE AIRTOUCH PLC-SP ADR        COM         92857T107       136        3,205       OTHER                3,205
VOICESTREAM WIRELESS CORP           COM         928615103       890        7,100       SOLE                 7,100
WAL MART STORES INC                 COM         931142103     1,359       23,166       SOLE                23,066         100
WAL MART STORES INC                 COM         931142103     1,094       18,647       OTHER               18,647
WALGREEN CO COM                     COM         931422109       158        5,000       SOLE                 5,000
WALGREEN CO COM                     COM         931422109     1,990       62,954       OTHER               62,954
WASHINGTON MUTUAL INC COM           COM         939322103     2,117       65,911       SOLE                64,561       1,350
WASHINGTON MUTUAL INC COM           COM         939322103       109        3,400       OTHER                3,400
WATSON PHARMACEUTICALS              COM         942683103     1,792       30,600       SOLE                30,600
WATSON PHARMACEUTICALS              COM         942683103       720       12,300       OTHER               12,300
WEATHERFORD INTERNATIONAL INC       COM         947074100       567       14,100       SOLE                14,100
WELLS FARGO & COMPANY NEW           COM         949746101     4,084       98,430       SOLE                98,430
WELLS FARGO & COMPANY NEW           COM         949746101     1,328       32,015       OTHER               32,015
WESTVACO CORP COM                   COM         961548104       330       12,300       SOLE                12,300
WESTVACO CORP COM                   COM         961548104        76        2,850       OTHER                2,350         500
WHIRLPOOL CORP                      COM         963320106       189        4,675       SOLE                 4,675
WHIRLPOOL CORP                      COM         963320106        36          900       OTHER                  600         300
WISCONSIN ENERGY CORP COM           COM         976657106       185        9,200       SOLE                 9,200
WISCONSIN ENERGY CORP COM           COM         976657106        44        2,200       OTHER                1,800         400
WORLDCOM INC                        COM         98157D106     4,728      129,318       SOLE               124,693       4,625
WORLDCOM INC                        COM         98157D106       410       11,215       OTHER               11,215
ZING NETWORKS INC                   PREFERRED   9896119A8        84      100,000       SOLE               100,000
ZING NETWORKS INC                   PREFERRED   9896119B6        20       23,761       SOLE                23,761
ACE LIMITED                         COM         G0070K103         8          230       SOLE                   230
ACE LIMITED                         COM         G0070K103       520       14,670       OTHER               14,670
DANIELS INVESTMENT PARTNERSHIP      COM         SU1025026     6,384      465,870       SOLE               465,870
BDIRECT CAPITAL INC                 CONV PFD    SU5922038        75       54,506       SOLE                54,506
E INK SHARES                        CONV PFD    SU5922046       200            1       SOLE                     1

462 issues                                                  649,765
</TABLE>

                                       11


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