LEGG MASON INC
13F-HR, 2000-05-15
SECURITY BROKERS, DEALERS & FLOTATION COMPANIES
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                                 UNITED STATES
                       SECURITIES AND EXCHANGE COMMISSION
                             Washington, D.C. 20549

                                    FORM 13F

                              FORM 13F COVER PAGE

Report for the Calendar Year or Quarter Ended: March 31, 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       May 15, 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: 9,432
Form 13F Information Table Value Total: $24,203,921,668

List of Other Included Managers:

No.         13F File Number    Name
01          28-1891            Bartlett and Co.                              681
02          28-377             Batterymarch Financial Management, Inc.       735
03          28-5034            Berkshire Asset Management, Inc.               63
04          28-2204            Brandywine Asset Management, Inc.            1403
05          28-1062            Gray, Seifert & Co., Inc.                     517
06          28-1701            Legg Mason Capital Management, Inc.           114
07          28-1599            Legg Mason Fund Adviser, Inc.                5975
08          28-5474            Legg Mason Wood Walker, Incorporated          263
09                             Bingham Legg Advisers LLC
<PAGE>
<TABLE>
<CAPTION>
  FORM 13F         Name of Reporting Manager:         Bartlett - Inst ID# 71934                           Run Date: 04/14/2000
                                                       For Positions Held as of 03/31/2000                --------------------------
                                                                                                           S.E.C. Use Only
                                                                                                          --------------------------

        Item 1:                         Item 2:          Item 3:            Item 4:            Item 5:
    Name of Issuer                   Title of Class    CUSIP Number    Fair Market Value      Shares or
                                                                           (X $1000)        Principal Amt.
- --------------------------------------------------------------------------------------------------------------
<S>                                      <C>               <C>                <C>               <C>
3 Cities Fm Inc. Cl B                    COM            9990269A7                  10                975
3 Com Corp.                              COM            885535104             858,016             15,425
A D C Telecommunications Inc.            COM            000886101              19,287                358
Abbott Laboratories                      COM            002824100          14,331,369            407,280
ABN Amro Hldg NV Sponsored ADR           COM            000937102              43,689              1,931
Accel Intl Corp                          COM            004299103              70,215             93,620
Aceto Corp.                              COM            004446100              22,500              2,500
ACNielsen Corp.                          COM            004833109              83,385              3,706
Active Software Inc                      COM            00504E100               7,315                115
Adams Express                            COM            006212104              22,201                594
Adecco Sa Sponsored ADR                  COM            006754105              10,252                116
Adidas Salomon AG                        COM            D0066B102               3,054                 55
Adobe Systems Inc.                       COM            00724F101             506,474              4,550
Advanced Micro Devices Inc.              COM            007903107             627,693             11,000
Aegon NV - ORD                           COM            007924103             339,895              4,219
Aetna Inc.                               COM            008117103             245,027              4,400
Affymetrix Inc.                          COM            00826T108             535,119              3,605
Aflac Corp. New                          COM            001055102              80,647              1,770
Airborne Freight Corp.                   COM            009266107               6,000                250
AK Steel Holding Corp.                   COM            001547108              10,375              1,000
AKZO Nobel NV Spons ADR                  COM            010199305             371,677              8,631
Alabama Power Capt Trust II              COM            010388205              21,750              1,000
Alberta Energy Co Ltd                    COM            012873105           9,204,846            303,660
Albertson's Inc.                         COM            013104104             624,650             20,150
Alcatel Alsthom Sponsored ADR            COM            013904305           6,133,995            140,004
Alcoa Inc                                COM            013817200              26,750                500
Alcoa Inc.                               COM            013817101              78,680              1,120
Allegheny Energy Inc.                    COM            017361106             195,697              7,100
Allen Telecom Inc.                       COM            018091108             721,991             45,300
Allergan Inc.                            COM            018490102             160,000              3,200
Allergan Specialty Therap-A              COM            018494104               1,090                 80
Alliance Financial Corp Ny               COM            019205103              94,104              4,736
Alliant Techsystem                       COM            018804104                 589                 10
Allied Irish Banks Plc                   COM            019228402           1,816,388             94,050
Allstate Financing I 7.95% Cum           COM            020013207              22,500              1,000
Alltel Corp.                             COM            020039103             226,270              3,588
ALZA Corp. Com                           COM            022615108             450,756             12,000
Amazon.com, Inc.                         COM            023135106              23,115                345
AMB Property Corp                        COM            00163T109              32,250              1,500
Ameren Corp.                             COM            023608102              36,074              1,166
America Online Inc.                      COM            02364J104           1,777,418             26,430
American Electric Power Co               COM            025537101             283,379              9,505
American Express Co.                     COM            025816109           8,260,448             55,462
American General Corp.                   COM            026351106             337,873              6,020
American Home Products Corp.             COM            026609107           8,400,410            156,651
American International Group Inc.        COM            026874107           1,201,680             10,974
American Power Conversion                COM            029066107              42,875              1,000
American Tower System Corp Cl A          COM            029912201             158,000              3,200
Ames Department Stores Inc.  New         COM            030789507              15,966                650
AMFM Inc                                 COM            001693100              75,793              1,220
<CAPTION>
        Item 1:                                        Item 6:                     Item 7:                  Item 8:
    Name of Issuer                              Investment Discretion               Other            Voting Authority   (Shares)
                                      (a) Sole   (b) Shared as   (c) Shared      Managers      (a) Sole    (b) Shared   (c) None
                                                        Def          Other
- ------------------------------------------------------------------------------------------------------------------------------------
<S>                                    <C>             <C>           <C>          <C>            <C>            <C>         <C>
3 Cities Fm Inc. Cl B                    X                                                                        975
3 Com Corp.                              X                                                                     15,425
A D C Telecommunications Inc.            X                                                                        358
Abbott Laboratories                      X               X                                       48,700       358,580
ABN Amro Hldg NV Sponsored ADR           X                                                                      1,931
Accel Intl Corp                          X                                                                     93,620
Aceto Corp.                              X                                                                      2,500
ACNielsen Corp.                          X                                                                      3,706
Active Software Inc                      X                                                                        115
Adams Express                            X                                                                        594
Adecco Sa Sponsored ADR                  X                                                                        116
Adidas Salomon AG                        X                                                                         55
Adobe Systems Inc.                       X                                                                      4,550
Advanced Micro Devices Inc.              X                                                       11,000
Aegon NV - ORD                           X               X                                                      4,219
Aetna Inc.                               X                                                                      4,400
Affymetrix Inc.                          X                                                                      3,605
Aflac Corp. New                          X                                                                      1,770
Airborne Freight Corp.                   X                                                                        250
AK Steel Holding Corp.                   X                                                                      1,000
AKZO Nobel NV Spons ADR                  X               X                                                      8,631
Alabama Power Capt Trust II              X                                                                      1,000
Alberta Energy Co Ltd                    X                                                                    303,660
Albertson's Inc.                         X                                                                     20,150
Alcatel Alsthom Sponsored ADR            X                                                       18,100       121,904
Alcoa Inc                                                X                                                        500
Alcoa Inc.                               X                                                                      1,120
Allegheny Energy Inc.                    X               X                                                      7,100
Allen Telecom Inc.                       X                                                                     45,300
Allergan Inc.                            X                                                                      3,200
Allergan Specialty Therap-A              X                                                                         80
Alliance Financial Corp Ny               X                                                                      4,736
Alliant Techsystem                       X                                                                         10
Allied Irish Banks Plc                   X                                                                     94,050
Allstate Financing I 7.95% Cum           X                                                                      1,000
Alltel Corp.                             X                                                                      3,588
ALZA Corp. Com                           X                                                                     12,000
Amazon.com, Inc.                         X               X                                                        345
AMB Property Corp                        X                                                                      1,500
Ameren Corp.                             X                                                                      1,166
America Online Inc.                      X               X                                                     26,430
American Electric Power Co               X               X                                                      9,505
American Express Co.                     X               X                                                     55,462
American General Corp.                   X                                                                      6,020
American Home Products Corp.             X               X                                                    156,651
American International Group Inc.        X                                                                     10,974
American Power Conversion                X                                                                      1,000
American Tower System Corp Cl A                          X                                                      3,200
Ames Department Stores Inc.  New         X                                                                        650
AMFM Inc                                 X                                                                      1,220
</TABLE>
<PAGE>
<TABLE>
<CAPTION>
        Item 1:                         Item 2:          Item 3:            Item 4:            Item 5:
    Name of Issuer                   Title of Class    CUSIP Number    Fair Market Value      Shares or
                                                                           (X $1000)        Principal Amt.
- --------------------------------------------------------------------------------------------------------------
<S>                                      <C>               <C>                <C>               <C>
Amgen Inc.                               COM            031162100           1,258,188             20,500
Ampal Amern Israel Corp.                 COM            032015307             182,970              3,210
AMR Corp.                                COM            001765106           1,758,225             55,160
AMREP Corp.                              COM            032159105                 321                 54
Anadarko Pete Corp.                      COM            032511107           1,209,851             31,272
Analog Devices Inc.                      COM            032654105             338,203              4,198
Ancor Communications Inc                 COM            03332K108              16,450                400
Angelica Corp.                           COM            034663104              20,870              2,100
Anheuser-Busch Companies Inc.            COM            035229103          19,993,642            321,183
Anicom Inc.                              COM            035250109             121,260             20,000
Anixter International Inc.               COM            035290105              39,025              1,400
Antex Corp.                              COM            036730109                   0              2,000
Apartment Investment & Mgt Co Class A    COM            03748R101              31,651                829
Apple Computer                           COM            037833100             760,553              5,600
Applied Innovation Inc.                  COM            037916103               5,300                400
Applied Materials Inc.                   COM            038222105             622,050              6,600
APT Satellite Holdings Ltd ADR           COM            00203R105             348,780             60,000
Archer-Daniels Midland Co.               COM            039483102             200,829             19,357
Argosy Gaming Co                         COM            040228108               7,125                500
Asc Avcan Sys Corp                       COM            001906106               2,302              2,000
Associates First Capital Corp.           COM            046008108              10,119                472
Astrazena PLC -Spons ADR                 COM            046353108              81,284              2,007
AT & T Corp.                             COM            001957109          25,250,794            448,903
At Home Corp. Cl A                       COM            045919107           1,262,349             38,325
AT&T Corp - Liberty Media - A            COM            001957208          19,977,797            337,178
Atlantic Richfield Co.                   COM            048825103           4,065,550             47,830
Audiovox Corp.                           COM            050757103              34,900                800
Australia & New Zealand Bkg              COM            052528304               3,938                125
Autolliv, Inc.                           COM            052800109              27,390                913
Automatic Data Processing                COM            053015103           3,391,010             70,280
Autonation Inc                           COM            05329W102               7,938              1,000
Autozone Inc.                            COM            053332102             369,075             13,300
Aventis                                  COM            053561106           1,301,346             24,099
Avery Dennison Corp.                     COM            053611109              73,276              1,200
AXA Financial Inc                        COM            002451102              37,741              1,052
AXA-UAP - Sponsored ADR                  COM            054536107              13,262                185
B A S F  A G                             COM            055262505               4,034                 85
Ball Corp.                               COM            058498106              53,123              1,537
Ballard Power Systems Inc.               COM            05858H104              50,700                600
Banc Stock Group Inc. - Cl A             COM            05943C102               2,250              1,000
Banco Bilbao Vizcaya Argentina SA  ADR   COM            05946K101              44,625              3,000
Banco Bilbao Vizcaya Intl                COM            059456400              22,375              1,000
Banco Bradesco SA Sponsored Adr Repstg   COM            059460105               2,774                335
Banco Comercial Portugues SA ADS         COM            059479303           1,478,874             55,285
Bancwest Corporation                     COM            059790105             563,823             28,548
Bank Austria Aktieng -Sp ADR             COM            060593100               3,604                370
Bank of America Corp.                    COM            060505104             868,635             16,565
Bank of New York Co. Inc.                COM            064057102             323,194              7,776
Bank of Tokyo - Mitsubishi ADR           COM            065379109             445,503             31,400
Bank One Corp.                           COM            06423A103             570,967             16,610
Bank United Capital II-9.60% Cum Trust   COM            06651W207              46,250              2,500
Barnes & Noble Inc.                      COM            067774109               8,050                350
Battle Mountain Gold Co                  COM            071593107                 291                150
Baxter Intl Inc                          COM            071813109             769,103             12,899
Bayer A G Ord                            COM            D07112119              29,346                650
Bayer AG Spons ADR                       COM            072730302             375,620              8,370
BB&T Corp.                               COM            054937107           3,040,570            108,348
<CAPTION>
        Item 1:                                        Item 6:                     Item 7:                  Item 8:
    Name of Issuer                              Investment Discretion               Other            Voting Authority   (Shares)
                                      (a) Sole   (b) Shared as   (c) Shared      Managers      (a) Sole    (b) Shared   (c) None
                                                        Def          Other
- ------------------------------------------------------------------------------------------------------------------------------------
<S>                                    <C>             <C>           <C>          <C>            <C>            <C>         <C>
Amgen Inc.                               X                                                                     20,500
Ampal Amern Israel Corp.                 X                                                                      3,210
AMR Corp.                                X                                                       32,500        22,660
AMREP Corp.                              X                                                                         54
Anadarko Pete Corp.                      X               X                                                     31,272
Analog Devices Inc.                      X                                                                      4,198
Ancor Communications Inc                 X                                                                        400
Angelica Corp.                           X                                                                      2,100
Anheuser-Busch Companies Inc.            X               X                                       22,750       298,433
Anicom Inc.                              X                                                                     20,000
Anixter International Inc.               X                                                                      1,400
Antex Corp.                              X                                                                      2,000
Apartment Investment & Mgt Co Class A    X                                                                        829
Apple Computer                           X               X                                                      5,600
Applied Innovation Inc.                  X                                                                        400
Applied Materials Inc.                   X                                                                      6,600
APT Satellite Holdings Ltd ADR           X                                                                     60,000
Archer-Daniels Midland Co.               X                                                                     19,357
Argosy Gaming Co                         X                                                                        500
Asc Avcan Sys Corp                       X                                                                      2,000
Associates First Capital Corp.           X                                                                        472
Astrazena PLC -Spons ADR                 X                                                                      2,007
AT & T Corp.                             X               X                                       62,650       386,253
At Home Corp. Cl A                       X                                                                     38,325
AT&T Corp - Liberty Media - A            X                                                                    337,178
Atlantic Richfield Co.                   X               X                                        4,600        43,230
Audiovox Corp.                           X                                                                        800
Australia & New Zealand Bkg              X                                                                        125
Autolliv, Inc.                           X               X                                                        913
Automatic Data Processing                X                                                                     70,280
Autonation Inc                           X                                                                      1,000
Autozone Inc.                            X               X                                                     13,300
Aventis                                  X                                                                     24,099
Avery Dennison Corp.                     X                                                                      1,200
AXA Financial Inc                        X                                                                      1,052
AXA-UAP - Sponsored ADR                  X                                                                        185
B A S F  A G                             X                                                                         85
Ball Corp.                               X                                                                      1,537
Ballard Power Systems Inc.               X                                                                        600
Banc Stock Group Inc. - Cl A             X                                                                      1,000
Banco Bilbao Vizcaya Argentina SA  ADR   X                                                                      3,000
Banco Bilbao Vizcaya Intl                X                                                                      1,000
Banco Bradesco SA Sponsored Adr Repstg   X                                                                        335
Banco Comercial Portugues SA ADS         X                                                                     55,285
Bancwest Corporation                     X               X                                                     28,548
Bank Austria Aktieng -Sp ADR             X                                                                        370
Bank of America Corp.                    X               X                                                     16,565
Bank of New York Co. Inc.                X                                                                      7,776
Bank of Tokyo - Mitsubishi ADR           X                                                                     31,400
Bank One Corp.                           X                                                                     16,610
Bank United Capital II-9.60% Cum Trust   X                                                                      2,500
Barnes & Noble Inc.                      X                                                                        350
Battle Mountain Gold Co                  X                                                                        150
Baxter Intl Inc                          X                                                       10,000         2,899
Bayer A G Ord                            X                                                                        650
Bayer AG Spons ADR                       X               X                                                      8,370
BB&T Corp.                               X                                                       24,010        84,338

</TABLE>
<PAGE>
<TABLE>
<CAPTION>
        Item 1:                         Item 2:          Item 3:            Item 4:            Item 5:
    Name of Issuer                   Title of Class    CUSIP Number    Fair Market Value      Shares or
                                                                           (X $1000)        Principal Amt.
- --------------------------------------------------------------------------------------------------------------
<S>                                      <C>               <C>                <C>               <C>
BCE Inc.                                 COM            05534B109             964,367              7,688
Bear Stearns Companies, Inc.             COM            073902108           2,861,144             62,710
Becton Dickinson & Co                    COM            075887109              47,363              1,800
Bell Atlantic Corp.                      COM            077853109          15,345,589            251,053
BellSouth Corp.                          COM            079860102           1,467,417             31,222
Belo A H Com Ser A                       COM            080555105           6,199,106            346,803
Berkshire Hathaway Inc. Class A          COM            084670108          23,909,600                418
Berkshire Hathaway Inc. Class B          COM            084670207           8,337,420              4,581
Best Buy Inc.                            COM            086516101              25,800                300
Bestfoods                                COM            08658U101           2,272,958             48,554
BHC Communications Inc.                  COM            055448104              54,600                350
Biogen Inc.                              COM            090597105              34,938                500
Biomet Inc.                              COM            090613100              36,375              1,000
Biotech HOLDRS Tr                        COM            09067D201              33,900                200
Bio-Technology General Corp.             COM            090578105              82,150              5,300
Black & Decker Corp.                     COM            091797100             231,012              6,150
Block H & R Inc.                         COM            093671105           1,907,021             42,615
Blue Fish Clothing Inc.                  COM            095480109                   1                100
BMC Software                             COM            055921100              74,803              1,515
Boeing Co.                               COM            097023105             918,934             24,222
Bombardier Inc. Cl B                     COM            097751200              87,899              3,500
Boston Properties Inc.                   COM            101121101             356,878             11,218
Boston Scientific Corp.                  COM            101137107             164,110              7,700
BP Amoco Plc -Spons ADR                  COM            055622104          12,453,022            234,684
BP Prudhoe Bay Rty Tr Unit Ben Int       COM            055630107              10,563              1,000
Brambles Industries LTD                  COM            Q17481104           1,621,987             63,800
Brenton Bank Inc.                        COM            107211104              36,783              4,392
Bristol-Myers Squibb Co.                 COM            110122108          12,500,414            216,457
British Aerospace Pub LTD Co. Spons AD   COM            110418209               7,098                316
British Telecommunications               COM            111021408           1,010,231              5,370
Broadcom Corp Cl A                       COM            111320107             121,438                500
Broadwing Inc                            COM            111620100          44,050,650          1,184,539
Brocade Communications Sys Inc           COM            111621108             125,519                700
Brown Forman Corp. CL B                  COM            115637209              39,685                729
Brown Forman Corp. Class A               COM            115637100              39,899                771
Buckeye Partners L P Unit                COM            118230101              15,600                600
Buderus AG                               COM            D14224105           1,467,322             88,676
Burlington Northern Santa Fe Corp.       COM            12189T104             735,850             33,259
Burlington Resources                     COM            122014103             201,055              5,434
C S X Corp.                              COM            126408103             900,180             38,306
Cable & Wireless HKT                     COM            126828102             171,675              6,667
Cabot Oil & Gas Corp                     COM            127097103             314,296             17,400
Cadbury Schweppes P L C                  COM            127209302           2,249,684             79,284
Calico Commerce Inc                      COM            129897104             414,681             12,662
Calpine Corp.                            COM            131347106             347,800              3,700
Camco Finl Corp                          COM            132618109                 983                122
Camden Property Trust                    COM            133131102              27,063              1,000
Campbell Soup Co.                        COM            134429109             265,988              8,650
Canadian Intl Power Ltd                  COM            136159100                   0              1,000
Canadian Pacific Ltd Com                 COM            135923100             272,975             12,200
Cancer Diagnostics                       COM            137385100                   0              3,000
Canon Inc. - Spon ADR                    COM            138006309           1,476,600             34,240
Canon Inc. ORD                           COM            J05124144           1,960,324             45,200
Capital One Financial Corp.              COM            14040H105              57,526              1,200
Cardinal Health Inc.                     COM            14149Y108              93,585              2,040
Cardo AB                                 COM            W1991F100             684,407             37,800
Caremark Rx Inc.                         COM            141705103               1,993                476
<CAPTION>
        Item 1:                                        Item 6:                     Item 7:                  Item 8:
    Name of Issuer                              Investment Discretion               Other            Voting Authority   (Shares)
                                      (a) Sole   (b) Shared as   (c) Shared      Managers      (a) Sole    (b) Shared   (c) None
                                                        Def          Other
- ------------------------------------------------------------------------------------------------------------------------------------
<S>                                    <C>             <C>           <C>          <C>            <C>            <C>         <C>
BCE Inc.                                 X               X                                                      7,688
Bear Stearns Companies, Inc.             X               X                                                     62,710
Becton Dickinson & Co                    X                                                                      1,800
Bell Atlantic Corp.                      X               X                                                    251,053
BellSouth Corp.                          X               X                                                     31,222
Belo A H Com Ser A                       X                                                      121,700       225,103
Berkshire Hathaway Inc. Class A          X                                                                        418
Berkshire Hathaway Inc. Class B          X                                                                      4,581
Best Buy Inc.                            X                                                                        300
Bestfoods                                X               X                                          600        47,954
BHC Communications Inc.                  X                                                                        350
Biogen Inc.                              X                                                                        500
Biomet Inc.                              X                                                                      1,000
Biotech HOLDRS Tr                        X                                                                        200
Bio-Technology General Corp.             X                                                                      5,300
Black & Decker Corp.                     X                                                                      6,150
Block H & R Inc.                         X               X                                       25,100        17,515
Blue Fish Clothing Inc.                  X                                                                        100
BMC Software                             X                                                                      1,515
Boeing Co.                               X               X                                                     24,222
Bombardier Inc. Cl B                     X                                                                      3,500
Boston Properties Inc.                   X                                                                     11,218
Boston Scientific Corp.                  X                                                                      7,700
BP Amoco Plc -Spons ADR                  X               X                                          600       234,084
BP Prudhoe Bay Rty Tr Unit Ben Int       X                                                                      1,000
Brambles Industries LTD                  X                                                                     63,800
Brenton Bank Inc.                        X                                                                      4,392
Bristol-Myers Squibb Co.                 X               X                                                    216,457
British Aerospace Pub LTD Co. Spons AD   X                                                                        316
British Telecommunications               X                                                                      5,370
Broadcom Corp Cl A                       X                                                                        500
Broadwing Inc                            X               X                                       67,300     1,117,239
Brocade Communications Sys Inc           X                                                                        700
Brown Forman Corp. CL B                  X                                                                        729
Brown Forman Corp. Class A               X                                                                        771
Buckeye Partners L P Unit                X                                                                        600
Buderus AG                               X                                                                     88,676
Burlington Northern Santa Fe Corp.       X               X                                                     33,259
Burlington Resources                     X               X                                                      5,434
C S X Corp.                              X               X                                                     38,306
Cable & Wireless HKT                     X                                                                      6,667
Cabot Oil & Gas Corp                     X                                                                     17,400
Cadbury Schweppes P L C                  X                                                                     79,284
Calico Commerce Inc                      X                                                                     12,662
Calpine Corp.                                            X                                                      3,700
Camco Finl Corp                          X                                                                        122
Camden Property Trust                    X                                                                      1,000
Campbell Soup Co.                        X                                                                      8,650
Canadian Intl Power Ltd                  X                                                                      1,000
Canadian Pacific Ltd Com                 X                                                                     12,200
Cancer Diagnostics                       X                                                                      3,000
Canon Inc. - Spon ADR                    X                                                                     34,240
Canon Inc. ORD                           X                                                                     45,200
Capital One Financial Corp.              X                                                                      1,200
Cardinal Health Inc.                     X                                                                      2,040
Cardo AB                                 X                                                                     37,800
Caremark Rx Inc.                         X                                                                        476
</TABLE>
<PAGE>
<TABLE>
<CAPTION>
        Item 1:                         Item 2:          Item 3:            Item 4:            Item 5:
    Name of Issuer                   Title of Class    CUSIP Number    Fair Market Value      Shares or
                                                                           (X $1000)        Principal Amt.
- --------------------------------------------------------------------------------------------------------------
<S>                                      <C>               <C>                <C>               <C>
Carey Diversified LLC                    COM            14174P105              23,417              1,398
Carlisle Cos Inc.                        COM            142339100               8,000                200
Carnival Corp.                           COM            143658102               9,925                400
Carolina Power & Light                   COM            144141108             444,303             13,697
Carrier Access Corp.                     COM            144460102              22,631                425
Catellus Dev Corp.                       COM            149111106           3,938,419            283,850
Caterpillar Inc.                         COM            149123101             149,864              3,800
CBRL Group Inc.                          COM            12489V106               2,000                200
CBS Corp.                                COM            12490K107             113,250              2,000
C-Cube Microsystems Inc.                 COM            125015107             859,193             11,800
Cedar Fair, L.P. Dep Rec                 COM            150185106             706,139             35,529
Cendant Corp.                            COM            151313103           1,154,141             62,386
Centennial Technologies Inc              COM            151392206               2,090                190
CenterBank                               COM            8S01605               505,000             25,000
Centerpoint Properties Corp.             COM            151895109              72,876              2,000
Central & Southwest Corp.                COM            152357109             280,720             16,452
Central Vermont Pub Svc Corp.            COM            155771108              12,526              1,200
Cephalon Inc.                            COM            156708109              33,750                900
Ceridian Corp.                           COM            15677T106               9,594                500
Cerner Corp.                             COM            156782104             108,000              4,000
Champion International Corp.             COM            158525105              50,588                950
Charter Communications Inc Del           COM            16117M107              14,328              1,000
Charter One Financial Inc.               COM            160903100          18,791,523            894,834
Chase Manhattan Corp.                    COM            16161A108           4,263,929             48,905
Chateau Communities Inc.                 COM            161726104          23,381,868            916,936
Checkers Drive-In Restaurants Inc.-New   COM            162809305               1,594                750
Chemed Corp.                             COM            163596109              16,200                540
Cheung Kong Hong Kong ADR                COM            166744201           1,004,893             67,163
Chevron Corp.                            COM            166751107           4,761,759             51,513
Chile Fund Inc.                          COM            168834109              14,029              1,290
Chiquita Brands $3.75 Ser B              COM            170032502              39,782              1,900
Chiron Corp.Del                          COM            170040109              25,736                516
Choice Hotels Intl Inc.                  COM            169905106              19,491              1,350
Choicecare Inc.                          COM            170383103               2,080                208
Choicepoint Inc.                         COM            170388102               7,475                200
Chubb Corp.                              COM            171232101           3,108,303             46,006
CIA Telecom Chile-Spon ADR               COM            204449300               3,640                160
Cigna Corp.                              COM            125509109             342,390              4,520
Cincinnati Financial Corp.               COM            172062101          19,712,754            523,927
Cincinnati Inter Term RR Co              COM            172124109               2,500                100
Cincinnati Microwave Inc.                COM            172167108                   0                304
Cinergy Corp.                            COM            172474108             160,670              7,473
Cintas Corp.                             COM            172908105          31,692,433            808,728
Circor Intl Inc                          COM            17273K109               1,997                150
Circuit City Stores Inc.                 COM            172737108              48,700                800
Cisco Systems Inc.                       COM            17275R102          17,635,095            228,100
Citigroup Capital I Tr PFD Sec 8.00%     COM            17305F201              23,735              1,010
Citigroup, Inc.                          COM            172967101          26,391,438            444,952
Citizens Bkg Corp.                       COM            174420109              84,357              4,326
Citizens Utilities Co - CL B             COM            177342201             384,780             23,498
Citrix Systems Inc.                      COM            177376100              39,750                600
City Investing Co Liq Tr Unit Ben Int    COM            177900107                 641                500
Clarcor Inc.                             COM            179895107              22,152              1,248
Clarus Corp.                             COM            182707109              70,625              1,000
Clayton Homes Inc.                       COM            184190106              50,625              5,000
Clear Channel Communications             COM            184502102              12,639                183
Cleveland Cliffs Inc.                    COM            185896107              16,479                692
<CAPTION>
        Item 1:                                        Item 6:                     Item 7:                  Item 8:
    Name of Issuer                              Investment Discretion               Other            Voting Authority   (Shares)
                                      (a) Sole   (b) Shared as   (c) Shared      Managers      (a) Sole    (b) Shared   (c) None
                                                        Def          Other
- ------------------------------------------------------------------------------------------------------------------------------------
<S>                                    <C>             <C>           <C>          <C>            <C>            <C>         <C>
Carey Diversified LLC                    X                                                                      1,398
Carlisle Cos Inc.                        X                                                                        200
Carnival Corp.                           X                                                                        400
Carolina Power & Light                   X                                                                     13,697
Carrier Access Corp.                     X                                                                        425
Catellus Dev Corp.                       X                                                                    283,850
Caterpillar Inc.                         X                                                                      3,800
CBRL Group Inc.                          X                                                                        200
CBS Corp.                                                X                                                      2,000
C-Cube Microsystems Inc.                 X                                                                     11,800
Cedar Fair, L.P. Dep Rec                 X                                                                     35,529
Cendant Corp.                            X                                                                     62,386
Centennial Technologies Inc              X                                                                        190
CenterBank                               X                                                                     25,000
Centerpoint Properties Corp.             X                                                                      2,000
Central & Southwest Corp.                X                                                                     16,452
Central Vermont Pub Svc Corp.            X                                                                      1,200
Cephalon Inc.                            X                                                                        900
Ceridian Corp.                           X                                                                        500
Cerner Corp.                             X                                                                      4,000
Champion International Corp.             X                                                                        950
Charter Communications Inc Del           X                                                                      1,000
Charter One Financial Inc.               X                                                      141,795       753,039
Chase Manhattan Corp.                    X               X                                                     48,905
Chateau Communities Inc.                 X               X                                      102,536       814,400
Checkers Drive-In Restaurants Inc.-New   X                                                                        750
Chemed Corp.                             X                                                                        540
Cheung Kong Hong Kong ADR                X                                                                     67,163
Chevron Corp.                            X               X                                                     51,513
Chile Fund Inc.                          X                                                                      1,290
Chiquita Brands $3.75 Ser B              X                                                                      1,900
Chiron Corp.Del                          X                                                                        516
Choice Hotels Intl Inc.                  X                                                                      1,350
Choicecare Inc.                          X                                                                        208
Choicepoint Inc.                         X                                                                        200
Chubb Corp.                              X               X                                          600        45,406
CIA Telecom Chile-Spon ADR               X                                                                        160
Cigna Corp.                              X                                                                      4,520
Cincinnati Financial Corp.               X               X                                                    523,927
Cincinnati Inter Term RR Co              X                                                                        100
Cincinnati Microwave Inc.                X                                                                        304
Cinergy Corp.                            X               X                                                      7,473
Cintas Corp.                             X               X                                       43,425       765,303
Circor Intl Inc                          X                                                                        150
Circuit City Stores Inc.                 X                                                                        800
Cisco Systems Inc.                       X               X                                        1,000       227,100
Citigroup Capital I Tr PFD Sec 8.00%     X                                                                      1,010
Citigroup, Inc.                          X               X                                       60,996       383,956
Citizens Bkg Corp.                       X                                                                      4,326
Citizens Utilities Co - CL B             X                                                                     23,498
Citrix Systems Inc.                      X                                                                        600
City Investing Co Liq Tr Unit Ben Int    X                                                                        500
Clarcor Inc.                             X                                                                      1,248
Clarus Corp.                             X                                                                      1,000
Clayton Homes Inc.                       X                                                                      5,000
Clear Channel Communications             X                                                                        183
Cleveland Cliffs Inc.                    X                                                                        692
</TABLE>
<PAGE>
<TABLE>
<CAPTION>
        Item 1:                         Item 2:          Item 3:            Item 4:            Item 5:
    Name of Issuer                   Title of Class    CUSIP Number    Fair Market Value      Shares or
                                                                           (X $1000)        Principal Amt.
- --------------------------------------------------------------------------------------------------------------
<S>                                      <C>               <C>                <C>               <C>
Clorox Co.                               COM            189054109              68,250              2,100
CMG Information Services Inc.            COM            125750109              60,056                530
CNH Global N.V.                          COM            N20935107           1,218,190            123,361
Coastal Corp.                            COM            190441105              41,400                900
Coca Cola Co.                            COM            191216100          10,192,117            217,140
Cohesion Technologies Inc.               COM            19248N101              73,750              5,000
Coles Myer Ltd - Spon ADR                COM            193870409               3,040                 95
Colgate-Palmolive Co.                    COM            194162103           6,398,788            113,504
Columbia/HCA Healthcare Corp.            COM            197677107             391,693             15,474
Comcast Corp. Class A                    COM            200300101              53,625              1,300
Comcast Corp. Class A Special            COM            200300200             207,246              4,778
Comdisco                                 COM            200336105              79,204              1,795
Comerica Inc.                            COM            200340107              73,616              1,758
Commerce One Inc Del                     COM            200693109              14,925                100
Community Trust Bancorp Inc.             COM            204149108              16,771                932
Compaq Computer Corp.                    COM            204493100           2,386,319             89,627
Computer Associates International Inc.   COM            204912109              29,594                500
Computer Concepts Corp New               COM            204897300             391,635            266,600
Computer Sciences Corp.                  COM            205363104              45,497                575
Compuware Corp.                          COM            205638109              14,744                700
Conagra Inc.                             COM            205887102             273,688             15,100
Conectiv Inc.                            COM            206829103              45,343              2,591
Conectiv Inc.- Cl A                      COM            206829202               5,981                275
Conexant Systems Inc.                    COM            207142100              86,904              1,224
Conoco Inc                               COM            208251405              17,809                695
Consolidated Edison Co N Y Inc.          COM            209111301              13,550                200
Consolidated Edison Inc.                 COM            209115104              85,144              2,936
Constellation Energy Group               COM            210371100              39,844              1,250
Convergys Corp                           COM            212485106          34,398,468            890,575
Cooper Industries                        COM            216669101              39,690              1,134
Cooper Tire & Rubber Co                  COM            216831107              80,403              6,400
Cordant Technologies Inc                 COM            218412104              27,150                480
Corn Products International Inc.         COM            219023108              55,730              2,316
Corning Inc.                             COM            219350105           2,795,152             14,408
Costco Whsl Corp New                     COM            22160K105               3,785                 72
Covance Inc.                             COM            222816100               1,473                137
Coyote Network Systems Inc.              COM            22406P108             126,500             11,500
Credit Suisse Group - Spon ADR           COM            225401108              59,722              1,200
Crescendo Pharmaceuticals CRP CL A       COM            225637107              11,025                600
Cross A T Co Cl A                        COM            227478104              73,438             12,500
CVS Corp.                                COM            126650100           2,583,470             68,777
Cyber-Care Inc                           COM            23243T105                 963                 50
Cymer Inc.                               COM            232572107              50,000              1,000
Cytec Industries                         COM            232820100               9,188                300
DaimlerChrysler A.G.                     COM            D1668R123           1,792,026             27,385
Dairy Farm Intl Ltd                      COM            233859305              14,976              4,680
Dana Corp.                               COM            235811106              30,725              1,090
Danone                                   COM            399449107           1,283,250             29,000
Darden Restaurants Inc.                  COM            237194105              65,338              3,668
Dassault Aviation SA-ORD                 COM            F24539102              23,932                150
Dassault Particpa FRF                    COM            F2455Z102                   0                150
Data Race Inc.                           COM            237842109               5,063              1,000
Dave & Busters Inc.                      COM            23833N104              21,510              2,151
Dayton & Michigan RR                     COM            239649205              14,994                357
Dayton & Michigan RR Co                  COM            239649106              16,872                608
DBS Group Hldgs Ltd                      COM            23304Y100               9,090                172
De Beers Cons Mines Ltd ADR N.E.         COM            240253302               1,835                 80
<CAPTION>
        Item 1:                                        Item 6:                     Item 7:                  Item 8:
    Name of Issuer                              Investment Discretion               Other            Voting Authority   (Shares)
                                      (a) Sole   (b) Shared as   (c) Shared      Managers      (a) Sole    (b) Shared   (c) None
                                                        Def          Other
- ------------------------------------------------------------------------------------------------------------------------------------
<S>                                    <C>             <C>           <C>          <C>            <C>            <C>         <C>
Clorox Co.                               X                                                                      2,100
CMG Information Services Inc.            X                                                                        530
CNH Global N.V.                          X                                                                    123,361
Coastal Corp.                            X                                                                        900
Coca Cola Co.                            X                                                          400       216,740
Cohesion Technologies Inc.               X                                                                      5,000
Coles Myer Ltd - Spon ADR                X                                                                         95
Colgate-Palmolive Co.                    X               X                                                    113,504
Columbia/HCA Healthcare Corp.            X                                                                     15,474
Comcast Corp. Class A                    X                                                                      1,300
Comcast Corp. Class A Special            X                                                                      4,778
Comdisco                                 X                                                                      1,795
Comerica Inc.                            X                                                                      1,758
Commerce One Inc Del                     X                                                                        100
Community Trust Bancorp Inc.             X                                                                        932
Compaq Computer Corp.                    X                                                       50,200        39,427
Computer Associates International Inc.   X                                                                        500
Computer Concepts Corp New               X                                                                    266,600
Computer Sciences Corp.                  X                                                                        575
Compuware Corp.                          X                                                                        700
Conagra Inc.                             X               X                                                     15,100
Conectiv Inc.                            X                                                                      2,591
Conectiv Inc.- Cl A                      X                                                                        275
Conexant Systems Inc.                    X                                                                      1,224
Conoco Inc                               X                                                                        695
Consolidated Edison Co N Y Inc.          X                                                                        200
Consolidated Edison Inc.                 X                                                                      2,936
Constellation Energy Group               X                                                                      1,250
Convergys Corp                           X               X                                        1,500       889,075
Cooper Industries                        X                                                                      1,134
Cooper Tire & Rubber Co                  X                                                                      6,400
Cordant Technologies Inc                                 X                                                        480
Corn Products International Inc.         X               X                                                      2,316
Corning Inc.                             X               X                                                     14,408
Costco Whsl Corp New                     X                                                                         72
Covance Inc.                             X                                                                        137
Coyote Network Systems Inc.              X                                                                     11,500
Credit Suisse Group - Spon ADR           X                                                                      1,200
Crescendo Pharmaceuticals CRP CL A       X                                                                        600
Cross A T Co Cl A                        X                                                                     12,500
CVS Corp.                                X                                                                     68,777
Cyber-Care Inc                           X                                                                         50
Cymer Inc.                               X                                                                      1,000
Cytec Industries                         X                                                                        300
DaimlerChrysler A.G.                     X                                                                     27,385
Dairy Farm Intl Ltd                      X                                                                      4,680
Dana Corp.                               X               X                                                      1,090
Danone                                   X                                                                     29,000
Darden Restaurants Inc.                  X                                                                      3,668
Dassault Aviation SA-ORD                 X                                                                        150
Dassault Particpa FRF                    X                                                                        150
Data Race Inc.                           X                                                                      1,000
Dave & Busters Inc.                      X                                                                      2,151
Dayton & Michigan RR                     X                                                                        357
Dayton & Michigan RR Co                  X                                                                        608
DBS Group Hldgs Ltd                      X                                                                        172
De Beers Cons Mines Ltd ADR N.E.         X                                                                         80
</TABLE>
<PAGE>
<TABLE>
<CAPTION>
        Item 1:                         Item 2:          Item 3:            Item 4:            Item 5:
    Name of Issuer                   Title of Class    CUSIP Number    Fair Market Value      Shares or
                                                                           (X $1000)        Principal Amt.
- --------------------------------------------------------------------------------------------------------------
<S>                                      <C>               <C>                <C>               <C>
Deere & Co                               COM            244199105             444,600             11,700
Dell Computer Corp.                      COM            247025109          16,141,756            299,265
Delphi Automotive Sys Corp               COM            247126105              64,909              4,057
Delta Air Lines Inc.                     COM            247361108             338,138              6,350
Detection Systems Inc.                   COM            250644101              13,079              1,350
Detroit Mtg & Rlty Co                    COM            251273108              66,276             11,046
Deutsche Bank Sponsored ADR              COM            251525309              66,455              1,000
Deutsche Lufthansa A G                   COM            251561304             435,174             19,069
Deutsche Lufthansa New                   COM            D1908N106           1,438,592             64,000
Developers Diversified Realty Corp.      COM            251591103              22,200              1,600
Dexter Corp.                             COM            252165105             137,800              2,600
Diageo PLC-Sponsored ADR New             COM            25243Q205           1,231,691             40,886
Dial Corp.                               COM            25247D101           2,040,500            148,400
Diebold Inc.                             COM            253651103             139,013              5,055
Digital Lightwave, Inc.                  COM            253855100               9,347                150
DII Group Inc.                           COM            232949107             126,857              1,122
Dime Bancorp Inc.                        COM            25429Q102               3,275                177
Div Reinvest Plan SBC Commun Inc         COM            SSBC9ZZZZ              26,524                632
Dole Food Company                        COM            256605106             256,582             13,200
Dollar General Corp.                     COM            256669102              34,938              1,300
Dominion Res Inc Va New                  COM            25746U109              44,165              1,149
Donaldson Inc.                           COM            257651109           1,290,604             57,200
Donnelley (R R) & Sons Co                COM            257867101              67,002              3,200
Dover Corp.                              COM            260003108          18,095,840            377,981
Dow Chemical Co                          COM            260543103           1,661,550             14,575
Dow Jones & Co                           COM            260561105             845,957             11,780
DPL Inc.                                 COM            233293109             835,939             37,675
Dresdner Bank AG New ADR                 COM            261561302              40,667              1,000
DTE Energy CO                            COM            233331107             116,145              4,005
DTM Corp                                 COM            23333L103               2,563              1,000
Du Pont (EI) de Nemours and Co.          COM            263534109           1,388,620             26,262
Du Pont E I De Nemours & Co              COM            263534307              28,245                420
Duke Energy Corp.                        COM            264399106             422,205              8,042
Duke Realty Investments, Inc.            COM            264411505             562,275             29,400
Dun & Bradstreet Corp.                   COM            26483B106             356,009             12,437
Duramed Pharmaceuticals Inc.             COM            266354109              33,440              5,000
Dycap Inc.                               COM            267850998                   1                100
Eagle Geophysical Inc                    COM            269524104                  10                192
Earthlink Inc                            COM            270321102              15,550                800
Earthweb Inc                             COM            27032C108               4,925                200
Eastman Kodak Co.                        COM            277461109             555,948             10,236
Eaton Corp.                              COM            278058102             198,900              2,550
Ebay Inc Com                             COM            278642103              17,600                100
ECI Telecom Limited ORD                  COM            268258100              23,531                750
Ecolab                                   COM            278865100              58,701              1,600
Edison International                     COM            281020107              72,877              4,400
El Paso Energy Corp                      COM            283905107             210,786              5,221
Elan Corp. ADR                           COM            284131208             109,250              2,300
Electronic Arts                          COM            285512109              35,594                500
Electronic Data Systems                  COM            285661104              10,270                160
EMC Corp.                                COM            268648102             166,250              1,330
Emerson Electric Co.                     COM            291011104          20,323,934            384,377
Endesa S.A. ADR                          COM            29258N107           1,420,343             60,600
Enerco Inc.                              COM            29265H101                   0              4,000
Energy East Corporation                  COM            29266M109              15,335                774
Ennis Business Forms Inc.                COM            293389102             183,512             25,312
Enron Capital Resources LP 9.0% Cum PF   COM            29357D208             105,321              4,100
<CAPTION>
        Item 1:                                        Item 6:                     Item 7:                  Item 8:
    Name of Issuer                              Investment Discretion               Other            Voting Authority   (Shares)
                                      (a) Sole   (b) Shared as   (c) Shared      Managers      (a) Sole    (b) Shared   (c) None
                                                        Def          Other
- ------------------------------------------------------------------------------------------------------------------------------------
<S>                                    <C>             <C>           <C>          <C>            <C>            <C>         <C>
Deere & Co                               X                                                                     11,700
Dell Computer Corp.                      X               X                                       14,500       284,765
Delphi Automotive Sys Corp               X               X                                                      4,057
Delta Air Lines Inc.                     X                                                          500         5,850
Detection Systems Inc.                   X                                                                      1,350
Detroit Mtg & Rlty Co                    X                                                                     11,046
Deutsche Bank Sponsored ADR              X                                                                      1,000
Deutsche Lufthansa A G                   X                                                                     19,069
Deutsche Lufthansa New                   X                                                                     64,000
Developers Diversified Realty Corp.      X                                                                      1,600
Dexter Corp.                             X                                                                      2,600
Diageo PLC-Sponsored ADR New             X                                                                     40,886
Dial Corp.                               X               X                                       65,000        83,400
Diebold Inc.                             X                                                                      5,055
Digital Lightwave, Inc.                  X                                                                        150
DII Group Inc.                           X                                                                      1,122
Dime Bancorp Inc.                        X                                                                        177
Div Reinvest Plan SBC Commun Inc                         X                                                        632
Dole Food Company                        X                                                                     13,200
Dollar General Corp.                     X                                                                      1,300
Dominion Res Inc Va New                  X                                                                      1,149
Donaldson Inc.                           X               X                                                     57,200
Donnelley (R R) & Sons Co                X                                                                      3,200
Dover Corp.                              X                                                       36,600       341,381
Dow Chemical Co                          X               X                                                     14,575
Dow Jones & Co                           X                                                        4,400         7,380
DPL Inc.                                 X                                                                     37,675
Dresdner Bank AG New ADR                 X                                                                      1,000
DTE Energy CO                            X               X                                                      4,005
DTM Corp                                 X                                                                      1,000
Du Pont (EI) de Nemours and Co.          X               X                                                     26,262
Du Pont E I De Nemours & Co              X                                                                        420
Duke Energy Corp.                        X                                                                      8,042
Duke Realty Investments, Inc.            X                                                       15,800        13,600
Dun & Bradstreet Corp.                   X                                                                     12,437
Duramed Pharmaceuticals Inc.             X                                                                      5,000
Dycap Inc.                               X                                                                        100
Eagle Geophysical Inc                    X                                                                        192
Earthlink Inc                            X                                                                        800
Earthweb Inc                             X                                                                        200
Eastman Kodak Co.                        X                                                                     10,236
Eaton Corp.                              X               X                                                      2,550
Ebay Inc Com                             X                                                                        100
ECI Telecom Limited ORD                  X                                                                        750
Ecolab                                   X                                                                      1,600
Edison International                     X                                                                      4,400
El Paso Energy Corp                      X               X                                                      5,221
Elan Corp. ADR                           X                                                                      2,300
Electronic Arts                          X                                                                        500
Electronic Data Systems                  X                                                                        160
EMC Corp.                                X                                                                      1,330
Emerson Electric Co.                     X               X                                       23,850       360,527
Endesa S.A. ADR                          X                                                                     60,600
Enerco Inc.                              X                                                                      4,000
Energy East Corporation                  X                                                                        774
Ennis Business Forms Inc.                X               X                                                     25,312
Enron Capital Resources LP 9.0% Cum PF   X                                                                      4,100
</TABLE>
<PAGE>
<TABLE>
<CAPTION>
        Item 1:                         Item 2:          Item 3:            Item 4:            Item 5:
    Name of Issuer                   Title of Class    CUSIP Number    Fair Market Value      Shares or
                                                                           (X $1000)        Principal Amt.
- --------------------------------------------------------------------------------------------------------------
<S>                                      <C>               <C>                <C>               <C>
Enron Corp                               COM            293561106             351,987              4,701
Ensco International Inc.                 COM            26874Q100             968,150             26,800
Enterprise Capital Tr I-7.44% Cum Trus   COM            293701207              26,600              1,400
Equifax Inc.                             COM            294429105              25,250              1,000
Equitable Resources Inc.                 COM            294549100              22,407                500
Equity Office Properties Trust           COM            294741103              12,563                500
Equity Residential Interest Trust        COM            29476L883             113,475              5,100
Equity Residential Pptys Trust           COM            29476L826             771,469             31,650
Equity Residential Properties Trust      COM            29476L107             132,741              3,303
Ericsson L M Tel Co ADR Cl B             COM            294821400           1,411,135             15,042
Eshare Technologies Inc Ga               COM            296428105              12,375              1,000
Estee Lauder Companies                   COM            518439104              50,063              1,000
Euro Disneyland SCA Shs Ord              COM            F26387104                 172                200
Excelon Corporation                      COM            300691102               7,875                700
Exodus Communications Inc.               COM            302088109              28,100                200
Exxon Mobil Corp.                        COM            30231G102          38,776,475            498,329
Family Dollar Stores Inc.                COM            307000109             593,171             28,500
Fannie Mae                               COM            313586109          39,169,867            694,033
Farmer Brothers Co                       COM            307675108              98,450                550
Fastenal Co.                             COM            311900104               9,575                200
Federal Mogul Corp.                      COM            313549107             158,970              9,526
Federal Realty Investment Trust          COM            313747206              57,939              3,000
Federal Signal Corp.                     COM            313855108              19,255              1,066
Federated Department Stores              COM            31410H101             663,867             15,901
Fedex Corp                               COM            31428X106              78,000              2,000
Ferro Corp.                              COM            315405100           1,620,698             90,984
Fifth Third Bancorp                      COM            316773100          40,102,839            636,553
Finger Lakes Financial Corp.             COM            317948107              12,713              1,800
Finova Group Inc.                        COM            317928109             317,345             18,875
Fired Up Inc.                            COM            8S00969                 5,000              2,000
First American Finl Corp                 COM            318522307             158,906             11,200
First Bell Bancorp Inc.                  COM            319301107             575,850             34,900
First City Liquidating Trust             COM            33762E108           1,316,514             77,442
First Data Corp.                         COM            319963104             311,963              7,050
First Finl Bancorp                       COM            320209109             150,210              8,345
First Franklin Corp.                     COM            320272107               7,594                900
First Tennessee                          COM            337162101           5,865,480            288,755
First Union Corp.                        COM            337358105             229,460              6,160
First VA Banks Inc.                      COM            337477103              45,526              1,212
Firstar Corporation                      COM            33763V109          23,677,130          1,032,223
Firstenergy Corp.                        COM            337932107              39,188              1,900
Firstmerit Corp.                         COM            337915102             183,458              9,950
Fiserv Inc.                              COM            337738108              10,227                275
Fleet Boston Financial Corp.             COM            339030108             525,819             14,406
Fleetwood Enterprises Inc.               COM            339099103           2,141,405            145,180
Florida Progress                         COM            341109106             125,560              2,737
Ford Motor Co.                           COM            345370100          11,283,659            245,628
Foreign & Colonial Eurotrust             COM            G3623T100             222,770             21,200
Fort James Corp.                         COM            347471104              38,962              1,771
Fortune Brands Inc.                      COM            349631101             162,800              6,512
FPL Group Inc.                           COM            302571104             191,069              4,148
Franchise Finance Corp. of America       COM            351807102              60,311              2,594
Freddie Mac                              COM            313400301          29,693,504            671,981
Freeport McMoran Copper And Gold         COM            35671D857              37,697              3,125
Fremont General Corp.                    COM            357288109               6,311                990
Friedman Billings Ramsey Grp Inc. CL A   COM            358433100              10,875              1,000
Frontier Insurance Group Inc.            COM            359081106              40,442             40,442
<CAPTION>

        Item 1:                                        Item 6:                     Item 7:                  Item 8:
    Name of Issuer                              Investment Discretion               Other            Voting Authority   (Shares)
                                      (a) Sole   (b) Shared as   (c) Shared      Managers      (a) Sole    (b) Shared   (c) None
                                                        Def          Other
- ------------------------------------------------------------------------------------------------------------------------------------
<S>                                    <C>             <C>           <C>          <C>            <C>            <C>         <C>
Enron Corp                               X                                                                      4,701
Ensco International Inc.                 X                                                                     26,800
Enterprise Capital Tr I-7.44% Cum Trus   X                                                                      1,400
Equifax Inc.                             X                                                                      1,000
Equitable Resources Inc.                 X                                                                        500
Equity Office Properties Trust           X                                                                        500
Equity Residential Interest Trust        X                                                                      5,100
Equity Residential Pptys Trust           X                                                                     31,650
Equity Residential Properties Trust      X                                                                      3,303
Ericsson L M Tel Co ADR Cl B             X                                                        1,000        14,042
Eshare Technologies Inc Ga               X                                                                      1,000
Estee Lauder Companies                   X                                                                      1,000
Euro Disneyland SCA Shs Ord              X                                                                        200
Excelon Corporation                      X                                                                        700
Exodus Communications Inc.               X                                                                        200
Exxon Mobil Corp.                        X               X                                        4,000       494,329
Family Dollar Stores Inc.                X                                                       28,500
Fannie Mae                               X               X                                       53,400       640,633
Farmer Brothers Co                       X                                                                        550
Fastenal Co.                             X                                                                        200
Federal Mogul Corp.                      X               X                                                      9,526
Federal Realty Investment Trust          X                                                                      3,000
Federal Signal Corp.                     X                                                                      1,066
Federated Department Stores              X                                                                     15,901
Fedex Corp                               X                                                                      2,000
Ferro Corp.                              X                                                       57,600        33,384
Fifth Third Bancorp                      X               X                                                    636,553
Finger Lakes Financial Corp.             X                                                                      1,800
Finova Group Inc.                        X               X                                                     18,875
Fired Up Inc.                            X                                                                      2,000
First American Finl Corp                 X               X                                                     11,200
First Bell Bancorp Inc.                  X                                                        6,000        28,900
First City Liquidating Trust             X                                                                     77,442
First Data Corp.                         X               X                                                      7,050
First Finl Bancorp                       X                                                                      8,345
First Franklin Corp.                                     X                                                        900
First Tennessee                          X                                                       90,564       198,191
First Union Corp.                        X                                                                      6,160
First VA Banks Inc.                      X                                                                      1,212
Firstar Corporation                      X               X                                                  1,032,223
Firstenergy Corp.                        X                                                                      1,900
Firstmerit Corp.                         X                                                                      9,950
Fiserv Inc.                              X                                                                        275
Fleet Boston Financial Corp.             X               X                                                     14,406
Fleetwood Enterprises Inc.               X                                                       79,500        65,680
Florida Progress                         X                                                                      2,737
Ford Motor Co.                           X                                                       46,000       199,628
Foreign & Colonial Eurotrust             X                                                                     21,200
Fort James Corp.                         X                                                                      1,771
Fortune Brands Inc.                      X                                                                      6,512
FPL Group Inc.                           X                                                                      4,148
Franchise Finance Corp. of America       X                                                                      2,594
Freddie Mac                              X               X                                                    671,981
Freeport McMoran Copper And Gold         X                                                                      3,125
Fremont General Corp.                                    X                                                        990
Friedman Billings Ramsey Grp Inc. CL A   X                                                                      1,000
Frontier Insurance Group Inc.            X                                                                     40,442
</TABLE>
<PAGE>
<TABLE>
<CAPTION>
        Item 1:                         Item 2:          Item 3:            Item 4:            Item 5:
    Name of Issuer                   Title of Class    CUSIP Number    Fair Market Value      Shares or
                                                                           (X $1000)        Principal Amt.
- --------------------------------------------------------------------------------------------------------------
<S>                                      <C>               <C>                <C>               <C>
Fuji Photo Film Co                       COM            359586302               4,400                100
Fujitsu Ltd                              COM            359590304             604,877              3,939
Fujitsu Ltd Ord                          COM            J15708159           1,541,140             50,200
Gallaher Group PLC-Spon ADR              COM            363595109              31,836              1,617
Gannett Co                               COM            364730101           2,981,226             42,362
Gap Inc.                                 COM            364760108              35,566                714
Gartner Group Inc. - CL B                COM            366651206              38,541              2,895
Gartner Group Incorporated  Class A      COM            366651107               6,773                430
Gateway Inc.                             COM            367626108              79,500              1,500
Gatx Corp.                               COM            361448103           6,576,356            173,062
Genentech Inc                            COM            368710406               3,800                 25
General American Investors Co            COM            368802104              33,784                858
General Dynamics Corp.                   COM            369550108              14,925                300
General Electric Co.                     COM            369604103          58,508,204            377,015
General Magic Inc.                       COM            370253106               3,575                400
General Mills Inc.                       COM            370334104             306,910              8,481
General Motors Corp.                     COM            370442105           6,088,743             73,524
General Motors Corp. - CL H New          COM            370442832               4,980                 40
Genome Therapeutics Corp.                COM            372430108              56,551              2,400
Gentex Corp.                             COM            371901109             111,189              3,000
Gentiva Health Services Inc              COM            37247A102               2,941                411
Genuine Parts Co.                        COM            372460105             140,982              5,905
Georgia Pacific Corp. (Timber Group)     COM            373298702              42,896              1,674
Georgia-Pacific Corp.                    COM            373298108             147,333              3,724
Gerber Scientific Inc.                   COM            373730100              23,176              1,200
Gillette Co.                             COM            375766102             271,354              7,200
Glacier Bancorp Inc                      COM            37637Q105             111,396              7,889
Glaxo Wellcome PLC - Spons ADR           COM            37733W105             286,565              5,000
Global Crossing Ltd.                     COM            G3921A100              49,330              1,205
Globalstar Telecommunications LTD - OR   COM            G3930H104              15,263              1,100
Go.Com                                   COM            254687205              36,009              1,725
Golden West Finl Corp. Del               COM            381317106              56,138              1,800
Goodyear Tire & Rubber Co                COM            382550101              12,263                526
GPU Inc.                                 COM            36225X100              32,850              1,200
Grainger WW Inc.                         COM            384802104              54,250              1,000
Great Lakes Chemical Corp.               COM            390568103              13,600                400
Grupo Televisa, S.A. GDS                 COM            40049J206              54,400                800
GTE Corp.                                COM            362320103           1,035,038             14,578
Guidant Corp.                            COM            401698105           3,674,166             62,472
H & Q Life Sciences Investors            COM            404053100             245,224              8,456
H B Fuller Co                            COM            359694106               5,991                150
H J Heinz Co                             COM            423074103           2,219,201             63,633
Halliburton Co.                          COM            406216101             794,703             19,383
Hanna M A CO                             COM            410522106             216,927             19,175
Harcourt General Inc.                    COM            41163G101              41,893              1,125
Harley Davidson, Inc.                    COM            412822108              47,625                600
Harris Corp.                             COM            413875105              44,932              1,300
Hartford Financial Services Group Inc.   COM            416515104           1,046,455             19,838
Hasbro Inc.                              COM            418056107              68,673              4,162
Hawaiian Elec Inds Inc.                  COM            419870100              63,626              2,000
Health Management Associates, Inc. Cl    COM            421933102              57,713              4,050
Hearst-Argyle Television Inc.            COM            422317107             210,469              9,004
Helix Technology Inc.                    COM            423319102           1,297,361             21,600
Helmerich & Payne                        COM            423452101             461,900             14,900
Hershey Foods Corp.                      COM            427866108             863,850             17,720
Hewlett-Packard Co.                      COM            428236103          36,896,127            278,329
Highwoods Properties Inc.                COM            431284108           1,976,675             93,020

<CAPTION>
<CAPTION>
        Item 1:                                        Item 6:                     Item 7:                  Item 8:
    Name of Issuer                              Investment Discretion               Other            Voting Authority   (Shares)
                                      (a) Sole   (b) Shared as   (c) Shared      Managers      (a) Sole    (b) Shared   (c) None
                                                        Def          Other
- ------------------------------------------------------------------------------------------------------------------------------------
<S>                                    <C>             <C>           <C>          <C>            <C>            <C>         <C>
Fuji Photo Film Co                       X                                                                        100
Fujitsu Ltd                              X                                                                      3,939
Fujitsu Ltd Ord                          X                                                                     50,200
Gallaher Group PLC-Spon ADR              X                                                                      1,617
Gannett Co                               X               X                                                     42,362
Gap Inc.                                 X                                                                        714
Gartner Group Inc. - CL B                X                                                                      2,895
Gartner Group Incorporated  Class A      X                                                                        430
Gateway Inc.                             X                                                                      1,500
Gatx Corp.                               X               X                                       60,700       112,362
Genentech Inc                            X                                                                         25
General American Investors Co            X                                                                        858
General Dynamics Corp.                   X                                                                        300
General Electric Co.                     X               X                                          800       376,215
General Magic Inc.                       X                                                                        400
General Mills Inc.                       X                                                                      8,481
General Motors Corp.                     X               X                                        8,600        64,924
General Motors Corp. - CL H New          X                                                                         40
Genome Therapeutics Corp.                X                                                                      2,400
Gentex Corp.                             X                                                                      3,000
Gentiva Health Services Inc              X                                                                        411
Genuine Parts Co.                        X                                                                      5,905
Georgia Pacific Corp. (Timber Group)     X                                                                      1,674
Georgia-Pacific Corp.                    X                                                                      3,724
Gerber Scientific Inc.                   X                                                                      1,200
Gillette Co.                             X                                                                      7,200
Glacier Bancorp Inc                      X                                                                      7,889
Glaxo Wellcome PLC - Spons ADR           X                                                                      5,000
Global Crossing Ltd.                     X                                                                      1,205
Globalstar Telecommunications LTD - OR   X                                                                      1,100
Go.Com                                   X                                                                      1,725
Golden West Finl Corp. Del               X                                                                      1,800
Goodyear Tire & Rubber Co                X                                                                        526
GPU Inc.                                 X                                                                      1,200
Grainger WW Inc.                         X                                                                      1,000
Great Lakes Chemical Corp.               X                                                                        400
Grupo Televisa, S.A. GDS                 X                                                                        800
GTE Corp.                                X               X                                                     14,578
Guidant Corp.                            X                                                        2,000        60,472
H & Q Life Sciences Investors            X                                                                      8,456
H B Fuller Co                            X                                                                        150
H J Heinz Co                             X               X                                                     63,633
Halliburton Co.                          X                                                                     19,383
Hanna M A CO                             X                                                                     19,175
Harcourt General Inc.                                    X                                                      1,125
Harley Davidson, Inc.                    X                                                                        600
Harris Corp.                             X                                                                      1,300
Hartford Financial Services Group Inc.   X               X                                                     19,838
Hasbro Inc.                              X                                                                      4,162
Hawaiian Elec Inds Inc.                  X                                                                      2,000
Health Management Associates, Inc. Cl    X                                                                      4,050
Hearst-Argyle Television Inc.            X                                                                      9,004
Helix Technology Inc.                    X                                                                     21,600
Helmerich & Payne                        X               X                                                     14,900
Hershey Foods Corp.                      X                                                                     17,720
Hewlett-Packard Co.                      X               X                                                    278,329
Highwoods Properties Inc.                X                                                                     93,020
</TABLE>
<PAGE>
<TABLE>
<CAPTION>
        Item 1:                         Item 2:          Item 3:            Item 4:            Item 5:
    Name of Issuer                   Title of Class    CUSIP Number    Fair Market Value      Shares or
                                                                           (X $1000)        Principal Amt.
- --------------------------------------------------------------------------------------------------------------
<S>                                      <C>               <C>                <C>               <C>
Hillenbrand Industries Inc.              COM            431573104             664,802             19,553
HL&P Capital Trust I-8.125% Tr PFD Sr    COM            404202202              43,500              2,000
Holly Corp. Com Par $0.01                COM            435758305                  92                  8
Hologic Inc.                             COM            436440101              19,051              2,400
Home Depot Inc.                          COM            437076102          30,085,122            466,436
HON Industries Inc.                      COM            438092108           1,309,697             50,862
Honda Motor LTD AMER SHS                 COM            438128308               4,063                 50
Honeywell International Inc.             COM            438516106             632,256             12,000
Hong Kong Electronic Holdings LTD        COM            438580300               4,575              1,520
HOTELWORKS.COM Inc                       COM            441473105               1,875              1,000
Household International Inc.             COM            441815107             133,581              3,580
HRPT Proprties Trust                     COM            40426W101              19,114              2,200
HSBC Holdings (Hong Kong Reg)            COM            HBCXF                 429,369             36,739
Hubbell Inc.  CL B                       COM            443510201             200,440              7,322
Huffy Corp.                              COM            444356109               5,250              1,200
Human Genome Sciences Inc.               COM            444903108             444,387              5,350
Humana Inc.                              COM            444859102              10,531              1,440
Hunkar Laboratories Inc.                 COM            8S02052                   450                  3
Huntington Bancshares Inc.               COM            446150104           5,488,140            245,280
Hussmann International Inc.              COM            448110106               3,641                287
Hutchinson Whampoa - Unsp ADR            COM            448415208              90,220              1,000
Hybrid Networks Inc.                     COM            44860K102               4,254                362
I T T Industries Inc.                    COM            450911102             133,571              4,300
IBP Inc.                                 COM            449223106             274,050             17,400
Identix Inc.                             COM            451906101               8,363                300
IFCO Systems N.V.                        COM            N43961106               8,988                393
Illinois Tool Works                      COM            452308109           2,358,623             42,690
Imation Corp.                            COM            45245A107               5,071                190
Imclone Systems Inc                      COM            45245W109             111,469              1,450
IMS Health Inc.                          COM            449934108             376,938             22,254
Imx Pharmaceuticals Inc                  COM            449730209              94,511             84,010
Incyte Pharmaceuticals Inc.              COM            45337C102              30,450                350
Indiana Energy Inc.                      COM            454707100             128,349              6,582
Information Architects Corp              COM            45669R107              26,063              1,500
Ing Groep NV Spons ADR                   COM            456837103              29,920                544
Intel Corp.                              COM            458140100          67,468,739            511,367
Intelect Communications Inc.             COM            458144102               5,781              1,000
International Business Machines          COM            459200101          27,394,762            232,159
International Flavors & Fragrances       COM            459506101              40,322              1,150
International Home Foods Inc             COM            459655106              32,000              2,000
International Paper Co.                  COM            460146103             141,759              3,316
International Speedway Corp.             COM            460335201           6,979,635            155,317
Internet HOLDRs Tr                       COM            46059W102              16,638                100
Interpublic Group Companies Inc.         COM            460690100              56,700              1,200
Intl Speedway Corp. Cl B                 COM            460335300             333,000              7,400
Invacare Corp.                           COM            461203101             219,440              8,000
Invensys PLC ORD                         COM            G49133104           1,299,040            282,400
Invensys PLC Spons Adr                   COM            461204109             317,481             35,600
INVESCO Asia Trust                       COM            H000379               224,010            190,000
Invesco Global Health Sciences Fund      COM            46128N109             485,801             28,471
Invesco Tokyo Trust                      COM            H000381               174,064            176,000
Investor AB Stockholm                    COM            W48102102              11,826                760
Iomega Corp.                             COM            462030107               1,525                400
Ipalco Enterprises Inc.                  COM            462613100             140,400              7,200
IRT Property Co                          COM            450058102              19,200              2,400
ISIS Pharmaceuticals                     COM            464330109             757,996             53,900
ISS Group Inc                            COM            450306105              46,600                400
<CAPTION>
        Item 1:                                        Item 6:                     Item 7:                  Item 8:
    Name of Issuer                              Investment Discretion               Other            Voting Authority   (Shares)
                                      (a) Sole   (b) Shared as   (c) Shared      Managers      (a) Sole    (b) Shared   (c) None
                                                        Def          Other
- ------------------------------------------------------------------------------------------------------------------------------------
<S>                                    <C>             <C>           <C>          <C>            <C>            <C>         <C>
Hillenbrand Industries Inc.              X                                                                     19,553
HL&P Capital Trust I-8.125% Tr PFD Sr    X                                                                      2,000
Holly Corp. Com Par $0.01                X                                                                          8
Hologic Inc.                             X                                                                      2,400
Home Depot Inc.                          X               X                                                    466,436
HON Industries Inc.                      X                                                       46,300         4,562
Honda Motor LTD AMER SHS                 X                                                                         50
Honeywell International Inc.             X                                                                     12,000
Hong Kong Electronic Holdings LTD        X                                                                      1,520
HOTELWORKS.COM Inc                       X                                                                      1,000
Household International Inc.             X               X                                                      3,580
HRPT Proprties Trust                     X                                                                      2,200
HSBC Holdings (Hong Kong Reg)            X                                                                     36,739
Hubbell Inc.  CL B                       X               X                                                      7,322
Huffy Corp.                              X                                                                      1,200
Human Genome Sciences Inc.               X                                                                      5,350
Humana Inc.                              X                                                                      1,440
Hunkar Laboratories Inc.                 X                                                                          3
Huntington Bancshares Inc.               X                                                                    245,280
Hussmann International Inc.              X                                                                        287
Hutchinson Whampoa - Unsp ADR            X                                                                      1,000
Hybrid Networks Inc.                     X                                                                        362
I T T Industries Inc.                    X               X                                                      4,300
IBP Inc.                                 X                                                                     17,400
Identix Inc.                             X                                                                        300
IFCO Systems N.V.                        X                                                                        393
Illinois Tool Works                      X                                                          350        42,340
Imation Corp.                            X                                                                        190
Imclone Systems Inc                      X                                                                      1,450
IMS Health Inc.                          X                                                                     22,254
Imx Pharmaceuticals Inc                  X                                                                     84,010
Incyte Pharmaceuticals Inc.              X                                                                        350
Indiana Energy Inc.                      X                                                                      6,582
Information Architects Corp              X                                                                      1,500
Ing Groep NV Spons ADR                   X                                                                        544
Intel Corp.                              X               X                                          800       510,567
Intelect Communications Inc.             X                                                                      1,000
International Business Machines          X               X                                        6,700       225,459
International Flavors & Fragrances       X                                                                      1,150
International Home Foods Inc                             X                                                      2,000
International Paper Co.                  X               X                                                      3,316
International Speedway Corp.             X                                                                    155,317
Internet HOLDRs Tr                       X                                                                        100
Interpublic Group Companies Inc.         X                                                                      1,200
Intl Speedway Corp. Cl B                 X                                                                      7,400
Invacare Corp.                           X                                                                      8,000
Invensys PLC ORD                         X                                                                    282,400
Invensys PLC Spons Adr                   X                                                                     35,600
INVESCO Asia Trust                       X                                                                    190,000
Invesco Global Health Sciences Fund      X                                                                     28,471
Invesco Tokyo Trust                      X                                                                    176,000
Investor AB Stockholm                    X                                                                        760
Iomega Corp.                             X                                                                        400
Ipalco Enterprises Inc.                                  X                                                      7,200
IRT Property Co                          X                                                                      2,400
ISIS Pharmaceuticals                     X                                                                     53,900
ISS Group Inc                            X                                                                        400
</TABLE>
<PAGE>
<TABLE>
<CAPTION>
        Item 1:                         Item 2:          Item 3:            Item 4:            Item 5:
    Name of Issuer                   Title of Class    CUSIP Number    Fair Market Value      Shares or
                                                                           (X $1000)        Principal Amt.
- --------------------------------------------------------------------------------------------------------------
<S>                                      <C>               <C>                <C>               <C>
Ito Yokado Ltd ADR - New                 COM            465714301           1,165,354             15,695
Ixl Enterprises Inc                      COM            450718101              16,800                600
J M Smucker Co Cl B                      COM            832696207              67,271              4,700
J M Smucker Co.                          COM            832696108              36,750              2,000
J P Morgan & Co.                         COM            616880100           7,490,173             56,851
Jardine Strategic Holdings Ltd           COM            G50764102             862,569            422,828
Jefferson-Pilot Corp.                    COM            475070108           1,111,602             16,700
John Hancock Bank & Thrift               COM            409735107              56,892              8,200
John Hancock Patriot Select              COM            41013U102              68,047              5,700
Johnson & Johnson                        COM            478160104          12,652,187            180,583
Johnson Controls Inc.                    COM            478366107           1,465,215             27,102
Jos E. Seagram & Sons Inc SR             COM            811845205              43,250              2,000
Jostens Inc.                             COM            481088102              29,250              1,200
K Mart Corp.                             COM            482584109               1,453                150
Kansas City Power & Light Co             COM            485134100           2,126,425             73,325
Kansas City Southern Ind Inc.            COM            485170104          56,999,066            663,258
Kaydon Corp.                             COM            486587108           6,105,821            223,550
KCI Konecranes International             COM            KCI1V                   4,008                130
Kellwood Co                              COM            488044108              43,908              2,500
Kerr-McGee Corp.                         COM            492386107             570,801              9,884
Keycorp New                              COM            493267108             658,350             34,650
Keyspan Corporation                      COM            49337W100             127,130              4,602
Keystone Financial Inc.                  COM            493482103              29,308              1,595
Kimberly-Clark Corp.                     COM            494368103           1,206,352             21,542
KIMCO Realty 8.5% Cumulative             COM            49446R505              61,500              3,000
KIMCO Realty Corp.                       COM            49446R109              37,500              1,000
Kinder Morgan Energy Partners LP         COM            494550106             895,877             22,573
KMart Financing I 7.75% Conv             COM            498778208               8,613                200
Knight/Trimark Goup Inc. New             COM            499068104              25,500                500
Kohls Corp.                              COM            500255104             136,530              1,332
Koninklijke Ahold NV-SP ADR              COM            500467303               8,745                330
Koninklijke Philips Electronics NV ADR   COM            500472204              12,848                 75
Korea Electric Power Corp. ADR           COM            500631106             711,585             45,000
Korea Fund Inc.                          COM            500634100             880,072             58,915
Kroger Co.                               COM            501044101           2,420,041            137,792
Kroll O Gara Co.                         COM            501050108               5,469                500
L S Starrett Co                          COM            855668109               9,400                400
L S Starrett Co Cl B                     COM            855668208               8,800                400
LaClede Gas Co                           COM            505588103              58,000              2,900
Laidlaw Inc. New                         COM            50730K503               3,839              2,670
LAM Research Corp.                       COM            512807108              13,519                300
Laser Corp                               COM            518056205              10,780              1,597
Lasmo PLC - Spon ADR                     COM            501730204               6,656              1,065
Latin American Investment Fd Inc.        COM            518279104              94,941              7,000
LCA-Vision Inc.                          COM            501803209             380,012             74,600
LCNB Corp                                COM            50181P100              77,400              1,800
Legg Mason, Inc.                         COM            524901105              25,950                600
Leggett & Platt Inc.                     COM            524660107             832,050             38,700
Lehman Brothers Holdings Inc             COM            524908100              44,135                455
Level 3 Communications Inc.              COM            52729N100              10,575                100
LG & E Energy                            COM            501917108           1,285,927             56,215
Lifepoint Hospitals Inc.                 COM            53219L109               1,463                 88
Ligand Pharmaceuticals Inc.              COM            53220K207             420,675             23,700
Lilly (Eli) & Co.                        COM            532457108           4,828,320             76,640
Lincoln National Corp. Ind.              COM            534187109           1,293,335             38,607
Littlefuse Inc.                          COM            537008104              80,714              2,200
Lloyds TSB Group PLC                     COM            G5542W106           1,723,795            163,300
<CAPTION>
        Item 1:                                        Item 6:                     Item 7:                  Item 8:
    Name of Issuer                              Investment Discretion               Other            Voting Authority   (Shares)
                                      (a) Sole   (b) Shared as   (c) Shared      Managers      (a) Sole    (b) Shared   (c) None
                                                        Def          Other
- ------------------------------------------------------------------------------------------------------------------------------------
<S>                                    <C>             <C>           <C>          <C>            <C>            <C>         <C>
Ito Yokado Ltd ADR - New                 X                                                                     15,695
Ixl Enterprises Inc                      X                                                                        600
J M Smucker Co Cl B                      X               X                                                      4,700
J M Smucker Co.                          X                                                                      2,000
J P Morgan & Co.                         X               X                                          250        56,601
Jardine Strategic Holdings Ltd           X                                                                    422,828
Jefferson-Pilot Corp.                    X               X                                                     16,700
John Hancock Bank & Thrift               X                                                                      8,200
John Hancock Patriot Select              X                                                                      5,700
Johnson & Johnson                        X               X                                        7,600       172,983
Johnson Controls Inc.                    X               X                                        8,200        18,902
Jos E. Seagram & Sons Inc SR             X                                                                      2,000
Jostens Inc.                             X                                                                      1,200
K Mart Corp.                             X                                                                        150
Kansas City Power & Light Co             X                                                       40,800        32,525
Kansas City Southern Ind Inc.            X               X                                       53,100       610,158
Kaydon Corp.                             X               X                                       61,000       162,550
KCI Konecranes International             X                                                                        130
Kellwood Co                                              X                                                      2,500
Kerr-McGee Corp.                         X               X                                                      9,884
Keycorp New                              X               X                                                     34,650
Keyspan Corporation                      X                                                                      4,602
Keystone Financial Inc.                  X                                                                      1,595
Kimberly-Clark Corp.                     X               X                                                     21,542
KIMCO Realty 8.5% Cumulative             X                                                                      3,000
KIMCO Realty Corp.                       X                                                                      1,000
Kinder Morgan Energy Partners LP         X               X                                                     22,573
KMart Financing I 7.75% Conv             X                                                                        200
Knight/Trimark Goup Inc. New             X                                                                        500
Kohls Corp.                              X                                                                      1,332
Koninklijke Ahold NV-SP ADR              X                                                                        330
Koninklijke Philips Electronics NV ADR   X                                                                         75
Korea Electric Power Corp. ADR           X                                                                     45,000
Korea Fund Inc.                          X                                                                     58,915
Kroger Co.                               X               X                                                    137,792
Kroll O Gara Co.                         X                                                                        500
L S Starrett Co                                          X                                                        400
L S Starrett Co Cl B                                     X                                                        400
LaClede Gas Co                           X                                                                      2,900
Laidlaw Inc. New                         X                                                                      2,670
LAM Research Corp.                       X                                                                        300
Laser Corp                               X                                                                      1,597
Lasmo PLC - Spon ADR                     X                                                                      1,065
Latin American Investment Fd Inc.        X                                                                      7,000
LCA-Vision Inc.                          X                                                                     74,600
LCNB Corp                                X                                                                      1,800
Legg Mason, Inc.                                         X                                                        600
Leggett & Platt Inc.                     X                                                                     38,700
Lehman Brothers Holdings Inc             X                                                                        455
Level 3 Communications Inc.              X                                                                        100
LG & E Energy                            X               X                                                     56,215
Lifepoint Hospitals Inc.                 X                                                                         88
Ligand Pharmaceuticals Inc.              X                                                                     23,700
Lilly (Eli) & Co.                        X                                                        8,900        67,740
Lincoln National Corp. Ind.              X                                                       21,000        17,607
Littlefuse Inc.                          X                                                                      2,200
Lloyds TSB Group PLC                     X                                                       35,000       128,300
</TABLE>
<PAGE>
<TABLE>
<CAPTION>
        Item 1:                         Item 2:          Item 3:            Item 4:            Item 5:
    Name of Issuer                   Title of Class    CUSIP Number    Fair Market Value      Shares or
                                                                           (X $1000)        Principal Amt.
- --------------------------------------------------------------------------------------------------------------
<S>                                      <C>               <C>                <C>               <C>
Lockheed Martin Corp.                    COM            539830109           3,248,211            158,930
Loews Corp.                              COM            540424108           1,382,250             27,645
Losantiville Cnty Club Land              COM            8S02062                 4,250                 17
Louisiana Pacific Corp.                  COM            546347105              43,984              3,170
Lowe's Companies, Inc.                   COM            548661107           1,863,622             31,925
LSI Logic Corp.                          COM            502161102              72,625              1,000
Lubrizol Corp.                           COM            549271104              11,525                400
Lubys Cafeterias Inc.                    COM            549282101              23,925              2,535
Lucent Technologies Inc.                 COM            549463107          23,016,426            378,871
Lunar Corp.                              COM            550362107               3,600                300
M C N Corp.                              COM            55267J100              49,500              1,980
M D U Resources Group, Inc.              COM            552690109              37,350              1,800
Madge Networks N.V.                      COM            N5424G106               4,675                550
MAF Bancorp                              COM            55261R108              43,400              2,681
Magna Entertainment Corp Cl A            COM            559211107               1,513                440
Magna International Inc.                 COM            559222401              88,000              2,200
Mandalay Resort Group                    COM            562567107               2,531                150
Manor Care Inc                           COM            564055101              18,225              1,350
Manulife Finl Corp                       COM            56501R106              26,820              1,826
Marconi PLC-Unsponsored ADR              COM            566306106              35,823              3,000
Markel Corp.                             COM            570535104              29,100                200
Marriott International Cl A              COM            571903202              45,140              1,433
Marsh & McLennan Cos Inc                 COM            571748102             258,132              2,340
Marshall & Ilsley Corp.                  COM            571834100           4,570,913             79,150
Martha Stewart Living Omnimed            COM            573083102               5,400                200
Martin Marietta Materials                COM            573284106          10,215,959            215,073
Masco Corp.                              COM            574599106             156,866              7,652
Mascotech Inc.                           COM            574670105              35,250              3,000
Matsumotokiyoshi Co ltd                  COM            J40885105           1,294,688             16,200
Matsushita Elec Ind                      COM            576879209             755,379              2,493
Matsushita Electric Indl Co              COM            J41121104           1,729,376             57,800
Mattel Inc.                              COM            577081102             439,972             42,151
May Department Stores                    COM            577778103           1,140,713             40,025
MBIA, Inc.                               COM            55262C100             363,920              6,990
MBNA Corp.                               COM            55262L100           5,713,409            224,055
McCormick & Co.                          COM            579780206           2,266,466             70,278
McDermott International Inc.             COM            580037109               6,432                700
McDonalds Corp.                          COM            580135101          23,133,136            615,849
MCI Capital I 8.00% Cum PFD Ser A        COM            55267Y206              22,500              1,000
MCI WorldCom Inc.                        COM            55268B106          29,513,739            651,331
McKesson HBOC Inc.                       COM            58155Q103           2,809,800            133,800
McNeal Real Estate Fd                    COM            9021974                10,000                 20
McWhorter Technologies                   COM            582803102              25,200              2,100
Mead Corp.                               COM            582834107             209,174              5,987
Media General Inc. Class A               COM            584404107              41,900                800
MediaOne Group Inc.                      COM            58440J104          11,751,075            145,075
Medtronic Inc.                           COM            585055106           4,578,085             89,002
Mellon Finl Corp                         COM            58551A108          21,527,772            729,755
Mercantile Bankshares Corp.              COM            587405101             110,027              3,600
Merck & Co., Inc.                        COM            589331107          34,720,606            558,883
Meridian Diagnostics Inc.                COM            589602101              18,742              2,173
Merrill Lynch & Co 9% Cum Pfd            COM            590188819              28,563              1,000
Merrill Lynch & Co., Inc.                COM            590188108             688,800              6,560
Merrill Lynch Capt Trust II              COM            59021C203              40,588              1,700
Merry Land Properties Inc                COM            590441101                 489                 87
Metricom Inc.                            COM            591596101               2,319                 50
Metso Corp -Spons ADR                    COM            592671101               3,888                288
<CAPTION>
        Item 1:                                        Item 6:                     Item 7:                  Item 8:
    Name of Issuer                              Investment Discretion               Other            Voting Authority   (Shares)
                                      (a) Sole   (b) Shared as   (c) Shared      Managers      (a) Sole    (b) Shared   (c) None
                                                        Def          Other
- ------------------------------------------------------------------------------------------------------------------------------------
<S>                                    <C>             <C>           <C>          <C>            <C>            <C>         <C>
Lockheed Martin Corp.                    X               X                                       33,276       125,654
Loews Corp.                              X                                                       17,900         9,745
Losantiville Cnty Club Land              X                                                                         17
Louisiana Pacific Corp.                  X                                                                      3,170
Lowe's Companies, Inc.                   X                                                                     31,925
LSI Logic Corp.                          X                                                                      1,000
Lubrizol Corp.                           X                                                                        400
Lubys Cafeterias Inc.                    X                                                                      2,535
Lucent Technologies Inc.                 X               X                                       10,400       368,471
Lunar Corp.                              X                                                                        300
M C N Corp.                              X                                                                      1,980
M D U Resources Group, Inc.              X                                                                      1,800
Madge Networks N.V.                      X                                                                        550
MAF Bancorp                              X                                                                      2,681
Magna Entertainment Corp Cl A            X                                                                        440
Magna International Inc.                 X                                                                      2,200
Mandalay Resort Group                                    X                                                        150
Manor Care Inc                           X                                                                      1,350
Manulife Finl Corp                       X                                                                      1,826
Marconi PLC-Unsponsored ADR              X                                                                      3,000
Markel Corp.                             X                                                                        200
Marriott International Cl A              X               X                                                      1,433
Marsh & McLennan Cos Inc                 X                                                                      2,340
Marshall & Ilsley Corp.                  X                                                       11,300        67,850
Martha Stewart Living Omnimed            X                                                                        200
Martin Marietta Materials                X                                                       34,745       180,328
Masco Corp.                              X               X                                                      7,652
Mascotech Inc.                           X                                                                      3,000
Matsumotokiyoshi Co ltd                  X                                                                     16,200
Matsushita Elec Ind                      X                                                                      2,493
Matsushita Electric Indl Co              X                                                                     57,800
Mattel Inc.                              X                                                                     42,151
May Department Stores                    X               X                                                     40,025
MBIA, Inc.                               X                                                                      6,990
MBNA Corp.                               X                                                                    224,055
McCormick & Co.                          X                                                                     70,278
McDermott International Inc.                             X                                                        700
McDonalds Corp.                          X               X                                       31,700       584,149
MCI Capital I 8.00% Cum PFD Ser A        X                                                                      1,000
MCI WorldCom Inc.                        X               X                                       16,900       634,431
McKesson HBOC Inc.                       X                                                       13,000       120,800
McNeal Real Estate Fd                    X                                                                         20
McWhorter Technologies                   X                                                                      2,100
Mead Corp.                               X               X                                                      5,987
Media General Inc. Class A                               X                                                        800
MediaOne Group Inc.                      X               X                                                    145,075
Medtronic Inc.                           X               X                                          900        88,102
Mellon Finl Corp                         X               X                                                    729,755
Mercantile Bankshares Corp.                              X                                                      3,600
Merck & Co., Inc.                        X               X                                       20,400       538,483
Meridian Diagnostics Inc.                X               X                                                      2,173
Merrill Lynch & Co 9% Cum Pfd            X                                                                      1,000
Merrill Lynch & Co., Inc.                X                                                                      6,560
Merrill Lynch Capt Trust II              X                                                                      1,700
Merry Land Properties Inc                X                                                                         87
Metricom Inc.                            X                                                                         50
Metso Corp -Spons ADR                    X                                                                        288
</TABLE>
<PAGE>
<TABLE>
<CAPTION>
        Item 1:                         Item 2:          Item 3:            Item 4:            Item 5:
    Name of Issuer                   Title of Class    CUSIP Number    Fair Market Value      Shares or
                                                                           (X $1000)        Principal Amt.
- --------------------------------------------------------------------------------------------------------------
<S>                                      <C>               <C>                <C>               <C>
Michelin S A, Cie Generale Des           COM            F61824144           1,087,546             33,900
Micron Technology Inc.                   COM            595112103               4,410                 35
Microsoft Corp.                          COM            594918104          40,984,450            385,736
Midas Inc.                               COM            595626102               2,280                 95
Milacron Inc                             COM            598709103             357,384             24,753
Milacron Inc 4% PFD                      COM            598709202               3,564                108
Millenium Pharmaceuticals                COM            599902103             107,147                825
Miller Herman Inc.                       COM            600544100              67,200              2,400
Mineral Mountain Mining                  COM            602873101                  83                333
Minimed Inc                              COM            60365K108              77,700                600
Minnesota Mining & Manufacturing Co.     COM            604059105           2,092,744             23,630
Minnesota Pwr & Light                    COM            604110106              29,759              1,790
Mirage Resorts Inc.                      COM            60462E104             616,551             31,822
Mitchell Energy & Dev Corp.  CL B        COM            606592301               2,200                100
Molex Inc.                               COM            608554101           2,077,532             35,362
Molex Inc. Cl A                          COM            608554200          17,275,953            389,323
Monsanto Co.                             COM            611662107           1,410,070             27,380
Mony Group Inc.                          COM            615337102              30,083                931
Morgan JP & Co Inc. Adj Rate             COM            616880209             957,000             13,200
Morgan St Dean Witter Discover & Co.     COM            617446448           1,118,555             13,714
Morgan Stanley Emerging Mkts Fund        COM            61744G107             104,250              6,000
Morgan Stanley High Yield Fund Inc.      COM            61744M104             448,500             39,000
Morgan Stanley India Fund                COM            61745C105             294,092             22,300
Morrison Mgmt Specialists                COM            618459101              17,011                613
Motorola Inc.                            COM            620076109           2,789,338             19,591
Murray Global Retu Ord                   COM            M004265               183,408             99,624
Murray Global Retu Zero Div Pfd          COM            M004280               165,077             99,624
Myriad Genetics Inc                      COM            62855J104              45,188                750
Nabisco Group Holding Corp               COM            62952P102             300,000             25,000
Nasdaq 100 Shares                        COM            631100104             164,438              1,500
National Australia Bank LTD Spon ADR     COM            632525408           1,892,512             29,256
National City Corp.                      COM            635405103           3,922,566            190,185
National Power ADR FINAL INS             COM            637194408               5,932                285
National Presto Industries Inc.          COM            637215104              52,200              1,600
National Service Industries Inc.         COM            637657107              92,677              4,400
Natl Westminster Bank PLC                COM            638539403               2,450                 20
Natsteel Ltd                             COM            N032949               988,551            423,000
Navistar International Corp.             COM            63934E108                 803                 20
NCR Corp.                                COM            62886E108               5,457                136
Neiman Marcus Group Inc                  COM            640204301               4,290                156
Neon System Inc.                         COM            640509105               6,600                200
Nestle SA Sponsored ADR                  COM            641069406           2,853,188             31,839
Net2000 Communications Inc               COM            64122G103               1,781                 75
Networks Associates Inc.                 COM            640938106             609,525             18,900
New Century Energies Inc.                COM            64352U103              28,560                950
New Germany Fund Inc.                    COM            644465106             119,023              8,069
New York Times Co.                       COM            650111107           2,230,832             51,955
Newell Rubbermaid Inc.                   COM            651229106             356,662             14,374
Newmont Mining Corp.                     COM            651639106              80,620              3,593
Newpark Resources Inc. Com Par $0.01     COM            651718504             279,456             34,932
News Corp. Limited                       COM            652487703           1,310,625             23,300
News Corp. Ltd Spons ADR Pfd             COM            652487802             151,797              3,179
NHP Retirement Housing Partners I        COM            nhpretire              10,000             10,000
Nike Inc.                                COM            654106103             297,188              7,500
Niku Corp                                COM            654113109               4,731                100
Nisource Inc.                            COM            65473P105             109,519              6,490
Nokia Corp. Sponsored ADR                COM            654902204           2,987,188             13,750
<CAPTION>
        Item 1:                                        Item 6:                     Item 7:                  Item 8:
    Name of Issuer                              Investment Discretion               Other            Voting Authority   (Shares)
                                      (a) Sole   (b) Shared as   (c) Shared      Managers      (a) Sole    (b) Shared   (c) None
                                                        Def          Other
- ------------------------------------------------------------------------------------------------------------------------------------
<S>                                    <C>             <C>           <C>          <C>            <C>            <C>         <C>
Michelin S A, Cie Generale Des           X                                                                     33,900
Micron Technology Inc.                   X                                                                         35
Microsoft Corp.                          X               X                                        6,700       379,036
Midas Inc.                               X                                                                         95
Milacron Inc                             X                                                                     24,753
Milacron Inc 4% PFD                      X                                                                        108
Millenium Pharmaceuticals                X                                                                        825
Miller Herman Inc.                       X                                                                      2,400
Mineral Mountain Mining                  X                                                                        333
Minimed Inc                              X                                                                        600
Minnesota Mining & Manufacturing Co.     X                                                                     23,630
Minnesota Pwr & Light                    X                                                                      1,790
Mirage Resorts Inc.                      X                                                       19,100        12,722
Mitchell Energy & Dev Corp.  CL B        X                                                                        100
Molex Inc.                               X                                                                     35,362
Molex Inc. Cl A                          X               X                                                    389,323
Monsanto Co.                             X               X                                                     27,380
Mony Group Inc.                          X                                                                        931
Morgan JP & Co Inc. Adj Rate             X                                                                     13,200
Morgan St Dean Witter Discover & Co.     X                                                                     13,714
Morgan Stanley Emerging Mkts Fund        X                                                                      6,000
Morgan Stanley High Yield Fund Inc.      X               X                                                     39,000
Morgan Stanley India Fund                X                                                                     22,300
Morrison Mgmt Specialists                X                                                                        613
Motorola Inc.                            X               X                                                     19,591
Murray Global Retu Ord                   X                                                                     99,624
Murray Global Retu Zero Div Pfd          X                                                                     99,624
Myriad Genetics Inc                      X                                                                        750
Nabisco Group Holding Corp               X                                                       17,400         7,600
Nasdaq 100 Shares                        X                                                                      1,500
National Australia Bank LTD Spon ADR     X                                                                     29,256
National City Corp.                      X               X                                                    190,185
National Power ADR FINAL INS             X                                                                        285
National Presto Industries Inc.          X                                                                      1,600
National Service Industries Inc.         X                                                                      4,400
Natl Westminster Bank PLC                X                                                                         20
Natsteel Ltd                             X                                                                    423,000
Navistar International Corp.             X                                                                         20
NCR Corp.                                X                                                                        136
Neiman Marcus Group Inc                                  X                                                        156
Neon System Inc.                         X                                                                        200
Nestle SA Sponsored ADR                  X               X                                                     31,839
Net2000 Communications Inc               X                                                                         75
Networks Associates Inc.                 X                                                                     18,900
New Century Energies Inc.                X                                                                        950
New Germany Fund Inc.                    X                                                                      8,069
New York Times Co.                       X                                                                     51,955
Newell Rubbermaid Inc.                   X                                                                     14,374
Newmont Mining Corp.                     X               X                                                      3,593
Newpark Resources Inc. Com Par $0.01     X                                                                     34,932
News Corp. Limited                       X                                                                     23,300
News Corp. Ltd Spons ADR Pfd             X                                                                      3,179
NHP Retirement Housing Partners I        X                                                                     10,000
Nike Inc.                                X                                                                      7,500
Niku Corp                                X                                                                        100
Nisource Inc.                            X                                                                      6,490
Nokia Corp. Sponsored ADR                X               X                                                     13,750
</TABLE>
<PAGE>
<TABLE>
<CAPTION>
        Item 1:                         Item 2:          Item 3:            Item 4:            Item 5:
    Name of Issuer                   Title of Class    CUSIP Number    Fair Market Value      Shares or
                                                                           (X $1000)        Principal Amt.
- --------------------------------------------------------------------------------------------------------------
<S>                                      <C>               <C>                <C>               <C>
Nordstrom Inc.                           COM            655664100              29,500              1,000
Norfolk Southern Corp.                   COM            655844108           2,065,946            143,718
Norfolk Southern Railway Co.             COM            655855203               4,241                118
Norsk Hydro As Adr                       COM            656531605             609,008             16,000
Nortel Networks Corp.                    COM            656569100          14,724,108            116,858
North Fork Bancorp, Inc.-DEL             COM            659424105           1,367,035             76,478
North Star Inc.                          COM            990186918              27,000              2,000
Northern Mineral Co                      COM            665415105                  10                 38
Northern States Power Co                 COM            665772109              31,403              1,580
Northern Trust Corp.                     COM            665859104             380,042              5,625
Northwest Natural Gas Co                 COM            667655104              16,088                825
Novartis AG-ADR                          COM            66987V109             774,711             11,329
Novartis Ag-Regd                         COM            H5820Q101           1,367,143              1,000
Novell, Inc.                             COM            670006105             100,188              3,500
Novellus System Inc.                     COM            670008101              42,094                750
Novo-Nordisk A/S ADR                     COM            670100205             267,638              3,900
NSP Financing I-7.875% Tr PFD            COM            629384207              21,688              1,000
Nucor Corp.                              COM            670346105             106,100              2,122
Nycomed Amersham Plc -S ADR              COM            67066H102               8,335                211
Ogden Corp.                              COM            676346109              47,752              4,000
OGE Energy Corp.                         COM            670837103              72,914              3,800
Ohio Casualty Corp.                      COM            677240103             698,555             39,080
Old Kent Financial Corp.                 COM            679833103           6,315,500            195,448
On Command Corp.                         COM            682160106               8,700                580
Oneida Ltd                               COM            682505102             266,260             13,746
Oneida Valley Secs Corp                  COM            682607106                   0                 20
Oracle Systems Corp.                     COM            68389X105           1,149,400             14,724
Oshkosh Truck Corp. Class B              COM            688239201             236,079              7,600
Outback Steakhouse Inc.                  COM            689899102             149,093              4,650
P N C Bank Corp.                         COM            693475105           3,494,985             77,558
Paccar Inc.                              COM            693718108             230,000              4,600
Pacific Century Financial Corp.          COM            694058108              16,169                796
Pacific Dunlop Ltd                       COM            694185208               2,643                730
Pacific Enterprises                      COM            694232604              24,041                350
Pacific Telesis Finance TOPRS            COM            694887209              11,032                500
Paine Webber Group Inc.                  COM            695629105              99,000              2,250
Pall Corp.                               COM            696429307              94,240              4,200
Panda Project Inc.                       COM            69833F104                   2                  5
Panera Bread Co                          COM            69840W108              56,250              7,500
Parker Hannifin Corp.                    COM            701094104              41,809              1,012
Paychex Inc.                             COM            704326107              47,138                900
Payless Shoesource Inc.                  COM            704379106              26,592                512
PE Corp PE Biosystems Group              COM            69332S102              77,200                800
Pe Corp. Celera Genomics Group           COM            69332S201              30,216                330
Pegasus Communications Corp. - Cl A      COM            705904100             816,350              5,800
Penney (J C) Co Inc.                     COM            708160106             170,706             11,476
Penton Media Inc.                        COM            709668107               7,800                300
Peoples Energy Corp.                     COM            711030106              30,182              1,100
PeopleSoft Inc.                          COM            712713106             449,200             22,460
PepsiCo, Inc.                            COM            713448108           2,038,526             58,980
Perkinelmer Inc                          COM            714046109               5,852                 88
Perlis Plantations-Unsp ADR              COM            713900207              15,488             11,000
Persistence Software Inc                 COM            715329108             453,150             22,800
Petrie Stores Liquidation                COM            716437108                 250                200
Pfizer Inc.                              COM            717081103          22,009,618            601,964
Pharmacia & UpJohn Inc.                  COM            716941109           5,647,947             95,324
Phelps Dodge                             COM            717265102              11,400                240
<CAPTION>
        Item 1:                                        Item 6:                     Item 7:                  Item 8:
    Name of Issuer                              Investment Discretion               Other            Voting Authority   (Shares)
                                      (a) Sole   (b) Shared as   (c) Shared      Managers      (a) Sole    (b) Shared   (c) None
                                                        Def          Other
- ------------------------------------------------------------------------------------------------------------------------------------
<S>                                    <C>             <C>           <C>          <C>            <C>            <C>         <C>
Nordstrom Inc.                           X                                                                      1,000
Norfolk Southern Corp.                   X               X                                                    143,718
Norfolk Southern Railway Co.             X                                                                        118
Norsk Hydro As Adr                       X                                                                     16,000
Nortel Networks Corp.                    X               X                                          400       116,458
North Fork Bancorp, Inc.-DEL             X                                                                     76,478
North Star Inc.                          X                                                                      2,000
Northern Mineral Co                      X                                                                         38
Northern States Power Co                 X                                                                      1,580
Northern Trust Corp.                     X               X                                                      5,625
Northwest Natural Gas Co                 X                                                                        825
Novartis AG-ADR                          X                                                                     11,329
Novartis Ag-Regd                         X                                                                      1,000
Novell, Inc.                             X                                                                      3,500
Novellus System Inc.                     X                                                                        750
Novo-Nordisk A/S ADR                     X               X                                                      3,900
NSP Financing I-7.875% Tr PFD            X                                                                      1,000
Nucor Corp.                              X                                                                      2,122
Nycomed Amersham Plc -S ADR              X                                                                        211
Ogden Corp.                              X               X                                                      4,000
OGE Energy Corp.                         X                                                                      3,800
Ohio Casualty Corp.                      X               X                                                     39,080
Old Kent Financial Corp.                 X               X                                        1,529       193,919
On Command Corp.                         X                                                          580
Oneida Ltd                               X                                                                     13,746
Oneida Valley Secs Corp                  X                                                                         20
Oracle Systems Corp.                     X                                                                     14,724
Oshkosh Truck Corp. Class B              X               X                                                      7,600
Outback Steakhouse Inc.                  X                                                                      4,650
P N C Bank Corp.                         X               X                                                     77,558
Paccar Inc.                              X                                                                      4,600
Pacific Century Financial Corp.          X                                                                        796
Pacific Dunlop Ltd                       X                                                                        730
Pacific Enterprises                                      X                                                        350
Pacific Telesis Finance TOPRS            X                                                                        500
Paine Webber Group Inc.                  X                                                                      2,250
Pall Corp.                               X               X                                                      4,200
Panda Project Inc.                       X                                                                          5
Panera Bread Co                          X                                                                      7,500
Parker Hannifin Corp.                    X                                                                      1,012
Paychex Inc.                             X                                                                        900
Payless Shoesource Inc.                  X                                                                        512
PE Corp PE Biosystems Group              X                                                                        800
Pe Corp. Celera Genomics Group           X                                                                        330
Pegasus Communications Corp. - Cl A                      X                                                      5,800
Penney (J C) Co Inc.                     X               X                                                     11,476
Penton Media Inc.                        X                                                                        300
Peoples Energy Corp.                     X                                                                      1,100
PeopleSoft Inc.                          X                                                                     22,460
PepsiCo, Inc.                            X               X                                                     58,980
Perkinelmer Inc                          X                                                                         88
Perlis Plantations-Unsp ADR              X                                                                     11,000
Persistence Software Inc                 X                                                                     22,800
Petrie Stores Liquidation                X                                                                        200
Pfizer Inc.                              X               X                                                    601,964
Pharmacia & UpJohn Inc.                  X                                                       25,500        69,824
Phelps Dodge                             X                                                                        240
</TABLE>
<PAGE>
<TABLE>
<CAPTION>
        Item 1:                         Item 2:          Item 3:            Item 4:            Item 5:
    Name of Issuer                   Title of Class    CUSIP Number    Fair Market Value      Shares or
                                                                           (X $1000)        Principal Amt.
- --------------------------------------------------------------------------------------------------------------
<S>                                      <C>               <C>                <C>               <C>
Philip Morris Companies Inc.             COM            718154107           3,344,214            158,306
Phillips Petroleum Company               COM            718507106           3,676,328             79,488
Phoenix Intl Life Sciences               COM            718919103              11,000              1,000
Phone Com Inc                            COM            71920Q100              16,313                100
Piedmont Natural Gas Co                  COM            720186105              20,850                800
Pier 1 Imports Inc.                      COM            720279108              10,250              1,000
PIMCO High Yield Fund C                  COM            693742108             604,232             49,576
Pioneer Natural Resources Co             COM            723787107                 446                 42
Pioneer Standard                         COM            723877106           1,237,950             78,600
Pitney-Bowes, Inc.                       COM            724479100           1,211,492             27,110
Placer Dome Inc.                         COM            725906101              16,591              2,042
Plains Resources Inc. New                COM            726540503              25,000              2,000
Playtex Products Inc.                    COM            72813P100              78,000              6,000
PLC Capital Trust I 8.25%                COM            693406209              43,750              2,000
Plum Creek Timber Co L P                 COM            729251108              64,025              2,600
PMC Capital Inc.                         COM            693430100              26,400              3,300
PMI Group Inc.                           COM            69344M101              31,072                655
Pohang Iron & Steel Co, Ltd ADS          COM            730450103             855,443             31,107
Pomeroy Computer Resources Inc.          COM            731822102             295,985             16,108
Portal Software Inc                      COM            736126103              17,081                300
Post Properties Inc.                     COM            737464107             682,217             16,923
Potash Corp. of Saskatchewan             COM            73755L107           2,379,500             47,590
Potomac Electric Power Co                COM            737679100              38,689              1,710
PPG Industries, Inc.                     COM            693506107             549,287             10,500
Praxair Inc.                             COM            74005P104              43,082              1,035
Pride International Inc.                 COM            741932107             114,065              5,000
Primark Corp.                            COM            741903108              14,475                600
Procter & Gamble Co.                     COM            742718109          27,988,352            497,571
Prodigy Communications Corp.             COM            74283P107               1,506                100
Professional Bancorp Inc                 COM            743112104              42,900              8,800
Provident Financial GRP                  COM            743866105             203,560              5,976
Providian Financial Corp.                COM            74406A102             320,513              3,700
Public Service Enterprise Group          COM            744573106              34,661              1,170
Pulitzer Inc                             COM            745769109              74,924              1,833
Putnam High Income Cvt & Bd Fd           COM            746779107             194,939             27,600
Qingling Motors Co Ltd                   COM            Y71713104               1,308             12,000
QMS Inc.                                 COM            74726G102                   3                  1
Quaker Oats                              COM            747402105              72,750              1,200
Qualcomm Inc.                            COM            747525103             344,166              2,305
Questar Corp.                            COM            748356102              29,701              1,600
Qwest Communications International, In   COM            749121109              29,100                600
R.H. Donnelly Corp.                      COM            74955W307              40,222              2,366
Ralston-Ralston Purina Group             COM            751277302              70,135              2,562
Rambus Inc.                              COM            750917106             235,600                800
Ramtron International Corp. Com New      COM            751907304               5,975                400
Rayonier Inc.                            COM            754907103              23,156                475
Raytheon Co. Cl A                        COM            755111309               8,428                448
Raytheon Co-Cl B                         COM            755111408             263,588             14,850
Read-Rite Corp.                          COM            755246105              70,320             15,000
Reebok International Ltd                 COM            758110100             484,700             52,400
Regeneron Pharmaceuticals Inc.           COM            75886F107              14,782                500
Regions Financial Corp.                  COM            758940100           1,051,816             46,106
Reliant Energy Inc                       COM            75952J108             354,312             15,117
Reliastar Financial Corp.                COM            75952U103              46,917              1,385
Repsol S.A. ADR                          COM            76026T205           2,034,539             95,460
Reuters Holdings PLC Spon ADR            COM            76132M102              82,727                693
Rexall Sundown Inc.                      COM            761648104               4,238                300
<CAPTION>
        Item 1:                                        Item 6:                     Item 7:                  Item 8:
    Name of Issuer                              Investment Discretion               Other            Voting Authority   (Shares)
                                      (a) Sole   (b) Shared as   (c) Shared      Managers      (a) Sole    (b) Shared   (c) None
                                                        Def          Other
- ------------------------------------------------------------------------------------------------------------------------------------
<S>                                    <C>             <C>           <C>          <C>            <C>            <C>         <C>
Philip Morris Companies Inc.             X               X                                       14,500       143,806
Phillips Petroleum Company               X               X                                       30,400        49,088
Phoenix Intl Life Sciences               X                                                                      1,000
Phone Com Inc                            X                                                                        100
Piedmont Natural Gas Co                  X                                                                        800
Pier 1 Imports Inc.                      X                                                                      1,000
PIMCO High Yield Fund C                  X               X                                                     49,576
Pioneer Natural Resources Co             X                                                                         42
Pioneer Standard                         X                                                       51,800        26,800
Pitney-Bowes, Inc.                       X                                                                     27,110
Placer Dome Inc.                         X                                                                      2,042
Plains Resources Inc. New                X                                                                      2,000
Playtex Products Inc.                    X                                                                      6,000
PLC Capital Trust I 8.25%                X                                                                      2,000
Plum Creek Timber Co L P                 X                                                                      2,600
PMC Capital Inc.                         X                                                                      3,300
PMI Group Inc.                           X                                                                        655
Pohang Iron & Steel Co, Ltd ADS          X                                                                     31,107
Pomeroy Computer Resources Inc.          X               X                                                     16,108
Portal Software Inc                      X                                                                        300
Post Properties Inc.                     X                                                       13,000         3,923
Potash Corp. of Saskatchewan             X                                                       22,300        25,290
Potomac Electric Power Co                X                                                                      1,710
PPG Industries, Inc.                     X               X                                                     10,500
Praxair Inc.                             X                                                                      1,035
Pride International Inc.                 X                                                                      5,000
Primark Corp.                            X                                                                        600
Procter & Gamble Co.                     X               X                                                    497,571
Prodigy Communications Corp.             X                                                                        100
Professional Bancorp Inc                 X                                                                      8,800
Provident Financial GRP                  X                                                                      5,976
Providian Financial Corp.                X                                                                      3,700
Public Service Enterprise Group          X                                                                      1,170
Pulitzer Inc                             X                                                                      1,833
Putnam High Income Cvt & Bd Fd           X                                                                     27,600
Qingling Motors Co Ltd                   X                                                                     12,000
QMS Inc.                                 X                                                                          1
Quaker Oats                              X                                                                      1,200
Qualcomm Inc.                            X                                                                      2,305
Questar Corp.                            X                                                                      1,600
Qwest Communications International, In   X                                                                        600
R.H. Donnelly Corp.                      X                                                                      2,366
Ralston-Ralston Purina Group             X                                                                      2,562
Rambus Inc.                              X                                                                        800
Ramtron International Corp. Com New      X                                                          400
Rayonier Inc.                            X               X                                                        475
Raytheon Co. Cl A                        X               X                                                        448
Raytheon Co-Cl B                         X                                                                     14,850
Read-Rite Corp.                          X                                                                     15,000
Reebok International Ltd                 X                                                                     52,400
Regeneron Pharmaceuticals Inc.           X                                                                        500
Regions Financial Corp.                  X               X                                        6,900        39,206
Reliant Energy Inc                       X               X                                                     15,117
Reliastar Financial Corp.                X                                                                      1,385
Repsol S.A. ADR                          X                                                        7,500        87,960
Reuters Holdings PLC Spon ADR            X                                                                        693
Rexall Sundown Inc.                      X                                                                        300
</TABLE>
<PAGE>
<TABLE>
<CAPTION>
        Item 1:                         Item 2:          Item 3:            Item 4:            Item 5:
    Name of Issuer                   Title of Class    CUSIP Number    Fair Market Value      Shares or
                                                                           (X $1000)        Principal Amt.
- --------------------------------------------------------------------------------------------------------------
<S>                                      <C>               <C>                <C>               <C>
Reynolds & Reynolds Co CL A              COM            761695105              29,025              1,075
Reynolds R J Tob Hldgs Inc               COM            76182K105              12,342                726
Rio Tinto PLC - Sponsored ADR            COM            767204100           1,729,950             24,280
River Cities Capital Group II Ltd Part   COM            RIVERCITI             200,000                200
Roche Holdings Ltd Spons ADR             COM            771195104             119,480              1,100
Rockwell International Corp.             COM            773903109              51,179              1,224
Rohm & Haas                              COM            775371107             416,128              9,325
Rohm Co Ltd                              COM            J65328122           1,704,906              4,900
Royal Dutch Petroleum Co ADR             COM            780257804           5,096,225             88,533
Royce Micro Cap Trust Inc.               COM            780915104              33,968              3,274
Royce Value Tr Inc.                      COM            780910105           1,376,949             99,685
RPM Inc. - Ohio                          COM            749685103               1,716                156
Ruby Tuesday Inc.                        COM            781182100              32,200              1,840
S C I Systems Inc.                       COM            783890106             199,108              3,700
Sabre Group Holdings Inc.                COM            785905100           1,561,228             42,267
Safeway Inc.                             COM            786514208              69,414              1,534
Saks Incorporated                        COM            79377W108               8,700                600
San Paolo-imi S P A                      COM            799175104           1,959,576             68,757
Sandisk Corp.                            COM            80004C101              11,025                 90
Santa Fe Snyder Corp                     COM            80218K105               1,790                186
SAP AG Sponsored ADR                     COM            803054204              89,625              1,500
Sara Lee Corp.                           COM            803111103             258,823             14,379
SBC Communications Inc.                  COM            78387G103          13,033,264            310,316
Schering-Plough Corp.                    COM            806605101          20,018,138            544,711
Schlumberger Limited                     COM            806857108          10,381,662            135,708
Schwab Charles Corp.                     COM            808513105              66,755              1,175
Schweitzer-Mauduit Intl                  COM            808541106               1,087                 84
Scientific-Atlanta Inc.                  COM            808655104             488,473              7,700
Scripps Co E W Cl A                      COM            811054204              63,050              1,300
Sealed Air Corp.                         COM            81211K100              92,332              1,700
Sears Roebuck & Co                       COM            812387108             131,651              4,264
Secom Co Ltd - Ord                       COM            J69972107           1,620,977             18,900
Secom Co Ltd Adr                         COM            813113206              34,318                200
Service Corp. International              COM            817565104             222,600             74,200
Servicemaster Co                         COM            81760N109             415,030             36,892
Shanghai Petro Co LTD ADR CL H           COM            819424102               4,450                400
Shell Transport & Trading PLC            COM            822703609             765,972             15,612
Sherwin Williams Corp.                   COM            824348106              26,326              1,200
Shire Pharmaceuticals Grp PLC Spons AD   COM            82481R106              17,066                333
Shopsmith Inc                            COM            825098106                 313                500
Sidel SA                                 COM            S002537                13,008                200
Siemens AG ADR New                       COM            826197402             259,218              1,800
Sigma-Aldrich Corp.                      COM            826552101              80,625              3,000
Simpson Inds Inc.                        COM            829060102              11,776              1,200
Singapore Telecommunications LTD-ORD     COM            Y79985126             456,000            320,000
Singapore Telecommunicatns Ltd           COM            82929R106               8,559                600
SK Telecom Co Ltd Sponsored Adr          COM            78440P108              95,550              2,450
Sky Financial Group Inc                  COM            83080P103              76,521              4,709
SLM Holding Corp.                        COM            78442A109              93,276              2,800
SmithKline Beecham Spons ADR             COM            832378301             193,234              2,925
Softbank Corp                            COM            J75963108              91,000                100
Solectron Corp.                          COM            834182107              52,082              1,300
Solutia Inc.                             COM            834376105              36,434              2,724
Sonera Group Plc                         COM            835433202               9,956                150
Sony Corp. - Sponsored ADR               COM            835699307           4,618,421             16,487
Southern Co                              COM            842587107              67,425              3,100
Southern Pacific Petroleum NL ADR        COM            843581307               3,051              1,375
<CAPTION>
        Item 1:                                        Item 6:                     Item 7:                  Item 8:
    Name of Issuer                              Investment Discretion               Other            Voting Authority   (Shares)
                                      (a) Sole   (b) Shared as   (c) Shared      Managers      (a) Sole    (b) Shared   (c) None
                                                        Def          Other
- ------------------------------------------------------------------------------------------------------------------------------------
<S>                                    <C>             <C>           <C>          <C>            <C>            <C>         <C>
Reynolds & Reynolds Co CL A              X                                                                      1,075
Reynolds R J Tob Hldgs Inc               X                                                                        726
Rio Tinto PLC - Sponsored ADR            X                                                                     24,280
River Cities Capital Group II Ltd Part   X                                                                        200
Roche Holdings Ltd Spons ADR             X                                                                      1,100
Rockwell International Corp.             X                                                                      1,224
Rohm & Haas                              X                                                                      9,325
Rohm Co Ltd                              X                                                                      4,900
Royal Dutch Petroleum Co ADR             X               X                                          600        87,933
Royce Micro Cap Trust Inc.               X                                                                      3,274
Royce Value Tr Inc.                      X                                                       47,329        52,356
RPM Inc. - Ohio                          X                                                                        156
Ruby Tuesday Inc.                        X                                                                      1,840
S C I Systems Inc.                       X                                                                      3,700
Sabre Group Holdings Inc.                X                                                       25,075        17,192
Safeway Inc.                             X               X                                                      1,534
Saks Incorporated                        X               X                                                        600
San Paolo-imi S P A                      X                                                                     68,757
Sandisk Corp.                            X                                                                         90
Santa Fe Snyder Corp                                     X                                                        186
SAP AG Sponsored ADR                     X                                                                      1,500
Sara Lee Corp.                           X               X                                                     14,379
SBC Communications Inc.                  X               X                                        5,700       304,616
Schering-Plough Corp.                    X               X                                                    544,711
Schlumberger Limited                     X               X                                        4,700       131,008
Schwab Charles Corp.                     X                                                                      1,175
Schweitzer-Mauduit Intl                  X                                                                         84
Scientific-Atlanta Inc.                  X                                                                      7,700
Scripps Co E W Cl A                      X                                                                      1,300
Sealed Air Corp.                         X                                                                      1,700
Sears Roebuck & Co                       X                                                                      4,264
Secom Co Ltd - Ord                       X                                                                     18,900
Secom Co Ltd Adr                         X                                                                        200
Service Corp. International              X                                                                     74,200
Servicemaster Co                         X                                                                     36,892
Shanghai Petro Co LTD ADR CL H           X                                                                        400
Shell Transport & Trading PLC            X                                                                     15,612
Sherwin Williams Corp.                   X                                                                      1,200
Shire Pharmaceuticals Grp PLC Spons AD   X                                                                        333
Shopsmith Inc                            X                                                                        500
Sidel SA                                 X                                                                        200
Siemens AG ADR New                       X                                                                      1,800
Sigma-Aldrich Corp.                      X                                                                      3,000
Simpson Inds Inc.                        X                                                                      1,200
Singapore Telecommunications LTD-ORD     X                                                                    320,000
Singapore Telecommunicatns Ltd           X                                                                        600
SK Telecom Co Ltd Sponsored Adr          X                                                                      2,450
Sky Financial Group Inc                  X                                                                      4,709
SLM Holding Corp.                        X                                                                      2,800
SmithKline Beecham Spons ADR             X                                                                      2,925
Softbank Corp                            X                                                                        100
Solectron Corp.                          X                                                                      1,300
Solutia Inc.                             X                                                                      2,724
Sonera Group Plc                         X                                                                        150
Sony Corp. - Sponsored ADR               X                                                                     16,487
Southern Co                              X                                                                      3,100
Southern Pacific Petroleum NL ADR        X                                                                      1,375
</TABLE>
<PAGE>
<TABLE>
<CAPTION>
        Item 1:                         Item 2:          Item 3:            Item 4:            Item 5:
    Name of Issuer                   Title of Class    CUSIP Number    Fair Market Value      Shares or
                                                                           (X $1000)        Principal Amt.
- --------------------------------------------------------------------------------------------------------------
<S>                                      <C>               <C>                <C>               <C>
Southwestern Energy Co.                  COM            845467109             145,750             22,000
Spacelabs Medical Inc.                   COM            846247104               7,969                500
Spieker Properties, Inc.                 COM            848497103              84,550              1,900
Sprint Corp. (FON Group)                 COM            852061100           4,744,971             75,317
Sprint Corp. (PCS Group)                 COM            852061506             533,868              8,174
St Gobain                                COM            F80343100           1,018,232              7,974
St Jude Medical Inc.                     COM            790849103             573,049             22,200
St. Mary Land & Exploration              COM            792228108           1,857,478             62,175
St. Paul Companies Inc.                  COM            792860108             201,338              5,900
Standard & Poors DEP Receipts            COM            78462F103             102,684                682
Staples Inc.                             COM            855030102             288,000             14,400
Starbucks Corp.                          COM            855244109              63,634              1,420
Starwood Hotels & Resorts Worldwide In   COM            85590A203              39,900              1,520
State Auto Financial Corp.               COM            855707105             201,600             25,200
State Street Corp.                       COM            857477103             290,625              3,000
Statefed Financial Corp                  COM            857549109              17,000              2,000
Steelcase Inc. - CL A                    COM            858155203             254,400             21,200
Stewart & Stevenson                      COM            860342104             466,875             41,500
Stone Energy Corp.                       COM            861642106           1,877,656             38,125
Strattec Security Corp.                  COM            863111100              17,188                500
Stride Rite Corp.                        COM            863314100                 476                 59
Structural Dynamics Research             COM            863555108             569,970             42,220
Student Loan Mkting                      COM            863871208              34,932                900
Suburst Hospitality Corp.                COM            866948102               2,222                450
Sun Microsystems Inc.                    COM            866810104           1,508,806             16,102
Sunoco Inc                               COM            86764P109               6,242                228
Suntrust Banks Inc.                      COM            867914103             589,050             10,200
Superior Energy Services Inc.            COM            868157108              39,000              4,000
Swissray Intl Inc                        COM            871016200               8,438              2,500
Switchboard Inc                          COM            871045100               3,438                100
Sylvan Learning Systems Inc.             COM            871399101              39,845              2,500
Symantec Corp.                           COM            871503108             195,325              2,600
Symbol Technologies Inc.                 COM            871508107              27,739                337
Synopsys Inc.                            COM            871607107              34,125                700
Sysco Corp.                              COM            871829107          16,358,519            458,376
T R W Inc.                               COM            872649108             193,635              3,310
Taiwan Fund Inc.                         COM            874036106             804,760             33,100
Taiwan Semiconductor Co. LTD Spons ADR   COM            874039100              92,055              1,615
Talisman Energy Inc                      COM            87425E103               7,141                250
Tanger Factory Outlet Centers            COM            875465106               9,594                500
Target Corp                              COM            87612E106           7,426,562             99,352
Taubman Centers, Inc.                    COM            876664103             459,718             41,323
Teco Energy Inc.                         COM            872375100              22,043              1,134
Telecom Corp. of New                     COM            879278208               5,870                160
Telecominicaoes Brasileiras SA ADR       COM            879287308               7,484                 50
Telefonica de Argentina S.A.             COM            879378206               5,299                135
Telefonica De Espana SA Spons ADR        COM            879382208           2,347,111             31,452
Telefonos De Mexico SA Spons ADR         COM            879403780             563,068              8,404
Telephone & Data Systems, Inc.           COM            879433100             512,265              4,615
Teligent Inc. Cl A                       COM            87959Y103              26,725                400
Telxon Corp.                             COM            879700102              12,294                700
Temple Inland Inc.                       COM            879868107              19,925                400
Templeton Developing Markets Adv         COM            88018T101             991,671            110,950
Templeton Emerging Markets               COM            880191101             207,930             19,120
Templeton Growth C                       COM            880192109             791,455             83,311
Tenet Healthcare Corp.                   COM            88033G100              23,000              1,000
Tennant Co                               COM            880345103              27,900                900
<CAPTION>
        Item 1:                                        Item 6:                     Item 7:                  Item 8:
    Name of Issuer                              Investment Discretion               Other            Voting Authority   (Shares)
                                      (a) Sole   (b) Shared as   (c) Shared      Managers      (a) Sole    (b) Shared   (c) None
                                                        Def          Other
- ------------------------------------------------------------------------------------------------------------------------------------
<S>                                    <C>             <C>           <C>          <C>            <C>            <C>         <C>
Southwestern Energy Co.                  X                                                                     22,000
Spacelabs Medical Inc.                   X                                                                        500
Spieker Properties, Inc.                 X                                                                      1,900
Sprint Corp. (FON Group)                 X                                                        9,600        65,717
Sprint Corp. (PCS Group)                 X                                                                      8,174
St Gobain                                X                                                                      7,974
St Jude Medical Inc.                     X                                                       20,000         2,200
St. Mary Land & Exploration              X                                                        6,900        55,275
St. Paul Companies Inc.                  X                                                                      5,900
Standard & Poors DEP Receipts            X                                                                        682
Staples Inc.                             X               X                                                     14,400
Starbucks Corp.                          X                                                                      1,420
Starwood Hotels & Resorts Worldwide In   X               X                                                      1,520
State Auto Financial Corp.               X                                                                     25,200
State Street Corp.                       X                                                                      3,000
Statefed Financial Corp                  X                                                                      2,000
Steelcase Inc. - CL A                    X                                                                     21,200
Stewart & Stevenson                      X                                                                     41,500
Stone Energy Corp.                       X                                                                     38,125
Strattec Security Corp.                  X                                                                        500
Stride Rite Corp.                        X                                                                         59
Structural Dynamics Research             X                                                                     42,220
Student Loan Mkting                      X                                                                        900
Suburst Hospitality Corp.                X                                                                        450
Sun Microsystems Inc.                    X                                                                     16,102
Sunoco Inc                               X                                                                        228
Suntrust Banks Inc.                      X               X                                                     10,200
Superior Energy Services Inc.            X                                                                      4,000
Swissray Intl Inc                        X                                                                      2,500
Switchboard Inc                          X                                                                        100
Sylvan Learning Systems Inc.                             X                                                      2,500
Symantec Corp.                           X                                                                      2,600
Symbol Technologies Inc.                 X                                                                        337
Synopsys Inc.                            X                                                                        700
Sysco Corp.                              X               X                                                    458,376
T R W Inc.                               X                                                                      3,310
Taiwan Fund Inc.                         X                                                                     33,100
Taiwan Semiconductor Co. LTD Spons ADR   X                                                                      1,615
Talisman Energy Inc                      X                                                                        250
Tanger Factory Outlet Centers            X                                                                        500
Target Corp                              X               X                                                     99,352
Taubman Centers, Inc.                    X                                                                     41,323
Teco Energy Inc.                         X                                                                      1,134
Telecom Corp. of New                     X                                                                        160
Telecominicaoes Brasileiras SA ADR       X                                                                         50
Telefonica de Argentina S.A.             X                                                                        135
Telefonica De Espana SA Spons ADR        X               X                                                     31,452
Telefonos De Mexico SA Spons ADR         X                                                                      8,404
Telephone & Data Systems, Inc.           X                                                                      4,615
Teligent Inc. Cl A                       X                                                                        400
Telxon Corp.                             X                                                                        700
Temple Inland Inc.                       X                                                                        400
Templeton Developing Markets Adv         X                                                        2,700       108,250
Templeton Emerging Markets               X                                                                     19,120
Templeton Growth C                       X               X                                                     83,311
Tenet Healthcare Corp.                   X                                                                      1,000
Tennant Co                                               X                                                        900
</TABLE>
<PAGE>
<TABLE>
<CAPTION>
        Item 1:                         Item 2:          Item 3:            Item 4:            Item 5:
    Name of Issuer                   Title of Class    CUSIP Number    Fair Market Value      Shares or
                                                                           (X $1000)        Principal Amt.
- --------------------------------------------------------------------------------------------------------------
<S>                                      <C>               <C>                <C>               <C>
Teppco Partners L P Units  Rep Lim       COM            872384102              44,500              2,000
Terumo Corp.                             COM            J83173104             750,450             25,000
Teva Pharmaceutical-SP ADR               COM            881624209               5,970                160
Texaco Inc.                              COM            881694103           7,439,396            138,730
Texas Instruments Inc.                   COM            882508104           1,830,400             11,440
Texas Utilities Co.                      COM            882848104             232,516              7,832
Textron Capital I Trust Pfd              COM            883198202              22,125              1,000
Thai Cap Fd Inc.                         COM            882905102               3,050                800
The Allstate Corp.                       COM            020002101             359,719             15,106
The Cincinnati Gas & Elec Co             COM            172070831               4,563                200
The India Fund, Inc.                     COM            454089103              66,300              3,900
The Japan Equity Fund, Inc.              COM            471057109              34,083              4,100
The Midland Co                           COM            597486109              70,500              3,000
The Royal Bank of Scotland Grp Plc Pfd   COM            780097507              11,688                500
The Scotts Co Class A                    COM            810186106             327,600              7,800
The Town and Country Trust               COM            892081100             242,875             14,500
The Valspar Corp.                        COM            920355104          10,535,270            274,979
The Walt Disney Co.                      COM            254687106          19,632,130            474,493
Theragenics Corp.                        COM            883375107               5,350                400
Thermo Electron Corp.                    COM            883556102             466,588             22,900
Thermo Instrument Systems Inc.           COM            883559106              44,359              2,106
Thomas & Betts Corp.                     COM            884315102             248,600              8,800
Time Warner Inc                          COM            887315109          47,895,900            478,959
Timken Co                                COM            887389104             108,875              6,700
Tomkins PLC Sponsored ADR                COM            890030208           1,086,142             81,973
Tommy Hilfiger Corp.                     COM            G8915Z102              43,500              3,000
Tootsie Roll Industries Inc.             COM            890516107           2,173,905             69,017
Topps Inc.                               COM            890786106                   8                  1
Total SA Adr                             COM            89151E109          16,520,198            224,383
Toys 'R' Us Inc.                         COM            892335100             140,812              9,506
Trammell Crow Co                         COM            89288R106               3,319                300
Trans World Airlines                     COM            893349837                   2                  1
Transcanada Pipelines Ltd                COM            893526756              38,938              1,750
Trans-Dominion Energy                    COM            89322F100                   0                  1
Transocean Sedco Forex Inc               COM            G90078109             808,590             15,758
Travelers P&C Capital I 8.08%            COM            893931204              23,188              1,000
Tri City Bank Shares Corp - Wisc         COM            895364107                 465                 15
Triad Hospitals Inc.                     COM            89579K109               1,474                 88
Tribune Co                               COM            896047107           1,274,952             34,870
Tricon Global Restaurants Inc.           COM            895953107              83,497              2,688
Tri-Continental                          COM            895436103              60,282              2,364
Troy Group Inc                           COM            89733N106              13,750                500
Tupperware Corp.                         COM            899896104               6,641                420
Turbosonic Technologies Inc.             COM            900010109                  46                 53
TXU Electric Capital III 8.00%  Cum PF   COM            87316Q207              21,313              1,000
Tyco International LTD                   COM            902124106          24,572,739            492,687
U S T Inc.                               COM            902911106             138,859              8,887
U S Wireless Data inc Cl A               COM            912899101              35,658              7,000
U.S. Bancorp                             COM            902973106              56,263              2,572
U.S. Trust Corp.  New                    COM            91288L105          13,874,490             73,410
U.S. West Inc.                           COM            91273H101           1,832,906             25,238
Ucar International Inc.                  COM            90262K109           1,171,398             88,823
Unilever N V                             COM            904784709               2,503                 52
Union Carbide Corp.                      COM            905581104              76,157              1,306
Union Pacific Capital Trust Term         COM            907824403              24,075                600
Union Pacific Corp.                      COM            907818108          10,757,927            274,963
Union Pacific Resources Group Inc.       COM            907834105             131,704              9,083
<CAPTION>
        Item 1:                                        Item 6:                     Item 7:                  Item 8:
    Name of Issuer                              Investment Discretion               Other            Voting Authority   (Shares)
                                      (a) Sole   (b) Shared as   (c) Shared      Managers      (a) Sole    (b) Shared   (c) None
                                                        Def          Other
- ------------------------------------------------------------------------------------------------------------------------------------
<S>                                    <C>             <C>           <C>          <C>            <C>            <C>         <C>
Teppco Partners L P Units  Rep Lim       X                                                                      2,000
Terumo Corp.                             X                                                                     25,000
Teva Pharmaceutical-SP ADR               X                                                                        160
Texaco Inc.                              X               X                                                    138,730
Texas Instruments Inc.                   X                                                                     11,440
Texas Utilities Co.                      X                                                                      7,832
Textron Capital I Trust Pfd              X                                                                      1,000
Thai Cap Fd Inc.                         X                                                                        800
The Allstate Corp.                       X               X                                                     15,106
The Cincinnati Gas & Elec Co             X                                                                        200
The India Fund, Inc.                     X                                                                      3,900
The Japan Equity Fund, Inc.              X                                                                      4,100
The Midland Co                           X                                                                      3,000
The Royal Bank of Scotland Grp Plc Pfd   X                                                                        500
The Scotts Co Class A                    X               X                                                      7,800
The Town and Country Trust               X                                                                     14,500
The Valspar Corp.                        X               X                                                    274,979
The Walt Disney Co.                      X               X                                       23,300       451,193
Theragenics Corp.                        X                                                                        400
Thermo Electron Corp.                    X                                                                     22,900
Thermo Instrument Systems Inc.           X                                                                      2,106
Thomas & Betts Corp.                     X                                                                      8,800
Time Warner Inc                          X               X                                       30,200       448,759
Timken Co                                X                                                                      6,700
Tomkins PLC Sponsored ADR                X                                                                     81,973
Tommy Hilfiger Corp.                     X                                                                      3,000
Tootsie Roll Industries Inc.             X               X                                                     69,017
Topps Inc.                               X                                                                          1
Total SA Adr                             X               X                                       21,900       202,483
Toys 'R' Us Inc.                         X                                                                      9,506
Trammell Crow Co                         X                                                                        300
Trans World Airlines                                     X                                                          1
Transcanada Pipelines Ltd                X                                                                      1,750
Trans-Dominion Energy                    X                                                                          1
Transocean Sedco Forex Inc               X               X                                          715        15,043
Travelers P&C Capital I 8.08%            X                                                                      1,000
Tri City Bank Shares Corp - Wisc         X                                                                         15
Triad Hospitals Inc.                     X                                                                         88
Tribune Co                               X               X                                                     34,870
Tricon Global Restaurants Inc.           X               X                                                      2,688
Tri-Continental                          X                                                                      2,364
Troy Group Inc                           X                                                                        500
Tupperware Corp.                                         X                                                        420
Turbosonic Technologies Inc.             X                                                                         53
TXU Electric Capital III 8.00%  Cum PF   X                                                                      1,000
Tyco International LTD                   X               X                                       13,532       479,155
U S T Inc.                               X                                                                      8,887
U S Wireless Data inc Cl A               X                                                                      7,000
U.S. Bancorp                             X                                                                      2,572
U.S. Trust Corp.  New                    X               X                                                     73,410
U.S. West Inc.                           X               X                                                     25,238
Ucar International Inc.                  X                                                       59,600        29,223
Unilever N V                             X                                                                         52
Union Carbide Corp.                      X                                                                      1,306
Union Pacific Capital Trust Term         X                                                                        600
Union Pacific Corp.                      X               X                                       57,300       217,663
Union Pacific Resources Group Inc.       X                                                                      9,083
</TABLE>
<PAGE>
<TABLE>
<CAPTION>
        Item 1:                         Item 2:          Item 3:            Item 4:            Item 5:
    Name of Issuer                   Title of Class    CUSIP Number    Fair Market Value      Shares or
                                                                           (X $1000)        Principal Amt.
- --------------------------------------------------------------------------------------------------------------
<S>                                      <C>               <C>                <C>               <C>
Union Planters Corp.                     COM            908068109              18,488                600
Uniprop Income Fund II                   COM            90915D106               7,160                500
Unisys Corp.                             COM            909214108              17,136                672
United Asset Management Corp.            COM            909420101              67,521              3,900
United Dominion Realty Trust             COM            910197102           1,340,543            133,215
United Dominion Realty Trust             COM            910197300              10,875                600
United Healthcare Corp.                  COM            910581107               4,770                 80
United Overseas Bank LTD Spons ADR       COM            911271302               3,880                316
United Parcel Service Inc                COM            911312106             533,925              8,475
United Technologies Corp.                COM            913017109           2,559,683             40,509
United Water Resources Inc.              COM            913190104              34,750              1,000
Universal Display Corp                   COM            91347P105              12,438                500
Universal Foods Corp.                    COM            913538104              32,789              1,534
Universal Hlth Rlty Income Tr            COM            91359E105               9,655                613
Unocal Corp.                             COM            915289102           4,366,289            146,766
US Air Group                             COM            911905107              27,813              1,000
US Oncology Inc                          COM            90338W103             234,000             52,000
USX Marathon Group                       COM            902905827              10,608                407
USX-U.S. Steel Group                     COM            90337T101                 475                 19
Utilicorp United Inc.                    COM            918005109              10,838                600
V F Corp.                                COM            918204108              38,501              1,600
Valence Technology, Inc.                 COM            918914102              16,494                700
Valmont Ind Inc                          COM            920253101              47,403              2,748
Value City Department Stores Inc         COM            920387107              27,750              2,000
Valuevision International Inc. Cl A      COM            92047K107             128,263              3,100
Varian Inc                               COM            922206107              23,025                600
Varian Medical Systems Inc               COM            92220P105              27,375                600
Varian Semiconductor Equip               COM            922207105              38,175                600
Veritas DGC Inc                          COM            92343P107               2,813                100
Veritas Software Corp                    COM            923436109              78,600                600
Vertex Pharmaceuticals Inc.              COM            92532F100              25,747                550
Viacom Inc Class B                       COM            925524308              48,530                920
Vina Concha Y Toro SA Spons ADR          COM            927191106               3,850                100
Vion Pharmaceuticals Inc.                COM            927624106              48,156              2,713
Vishay Intertechnology Inc.              COM            928298108              38,312                689
Visual Data Corp                         COM            928428200               3,194                350
Visx Inc Del                             COM            92844S105              10,950                600
Vitesse Semiconductor Corp.              COM            928497106             616,000              6,400
Vlasic Foods International               COM            928559103               1,900                800
Vodafone Airtouch PLC-Sponsored ADR      COM            92857T107           2,102,504             37,840
Vodafone Group PLC                       COM            G9387S105             212,978             38,326
Volkswagen AG - Sponsored ADR            COM            928662303               6,297                720
Volvo Aktiebolaget                       COM            928856400              10,925                400
Vornado Realty Trust Common Shares       COM            929042109             167,433              4,998
Wachovia Corp.                           COM            929771103             393,757              5,828
Wal Mart De Mexico Sa De Cv              COM            93114W107               6,324                253
Walgreen Co                              COM            931422109           1,046,892             40,656
Wal-Mart Stores Inc.                     COM            931142103           2,759,238             49,716
Walnut Capital Partners LP               COM            WLNTLPZZZ             400,000                 16
Warner Lambert Co.                       COM            934488107           9,675,608             99,237
Washington Federal Inc.                  COM            938824109           4,812,532            252,454
Washington Mutual Inc.                   COM            939322103             800,565             30,210
Washington Post- Class B                 COM            939640108           2,974,418              5,498
Washington Real Estate Investors Trust   COM            939653101             208,125             13,875
Waste Management Inc.                    COM            94106L109           2,484,358            181,499
Waterford Wedgewood - Unit               COM            G94697102              57,204             63,000
Watson Pharmaceuticals Inc               COM            942683103               4,723                119
<CAPTION>
        Item 1:                                        Item 6:                     Item 7:                  Item 8:
    Name of Issuer                              Investment Discretion               Other            Voting Authority   (Shares)
                                      (a) Sole   (b) Shared as   (c) Shared      Managers      (a) Sole    (b) Shared   (c) None
                                                        Def          Other
- ------------------------------------------------------------------------------------------------------------------------------------
<S>                                    <C>             <C>           <C>          <C>            <C>            <C>         <C>
Union Planters Corp.                     X                                                                        600
Uniprop Income Fund II                   X                                                                        500
Unisys Corp.                             X                                                                        672
United Asset Management Corp.            X                                                                      3,900
United Dominion Realty Trust             X                                                       55,400        77,815
United Dominion Realty Trust             X                                                                        600
United Healthcare Corp.                  X                                                                         80
United Overseas Bank LTD Spons ADR       X                                                                        316
United Parcel Service Inc                X               X                                                      8,475
United Technologies Corp.                X                                                                     40,509
United Water Resources Inc.              X                                                                      1,000
Universal Display Corp                   X                                                                        500
Universal Foods Corp.                    X                                                                      1,534
Universal Hlth Rlty Income Tr            X                                                                        613
Unocal Corp.                             X                                                       49,700        97,066
US Air Group                             X                                                                      1,000
US Oncology Inc                          X                                                                     52,000
USX Marathon Group                       X                                                                        407
USX-U.S. Steel Group                     X                                                                         19
Utilicorp United Inc.                    X                                                                        600
V F Corp.                                X                                                                      1,600
Valence Technology, Inc.                 X                                                                        700
Valmont Ind Inc                          X                                                                      2,748
Value City Department Stores Inc         X                                                                      2,000
Valuevision International Inc. Cl A                      X                                                      3,100
Varian Inc                               X                                                                        600
Varian Medical Systems Inc               X                                                                        600
Varian Semiconductor Equip               X                                                                        600
Veritas DGC Inc                          X                                                                        100
Veritas Software Corp                    X                                                                        600
Vertex Pharmaceuticals Inc.              X                                                                        550
Viacom Inc Class B                       X                                                                        920
Vina Concha Y Toro SA Spons ADR          X                                                                        100
Vion Pharmaceuticals Inc.                X                                                                      2,713
Vishay Intertechnology Inc.              X                                                                        689
Visual Data Corp                         X                                                                        350
Visx Inc Del                             X                                                                        600
Vitesse Semiconductor Corp.              X                                                                      6,400
Vlasic Foods International               X                                                                        800
Vodafone Airtouch PLC-Sponsored ADR      X               X                                                     37,840
Vodafone Group PLC                       X                                                                     38,326
Volkswagen AG - Sponsored ADR            X                                                                        720
Volvo Aktiebolaget                       X                                                                        400
Vornado Realty Trust Common Shares       X                                                                      4,998
Wachovia Corp.                           X                                                                      5,828
Wal Mart De Mexico Sa De Cv              X                                                                        253
Walgreen Co                              X               X                                                     40,656
Wal-Mart Stores Inc.                     X                                                                     49,716
Walnut Capital Partners LP               X                                                                         16
Warner Lambert Co.                       X               X                                                     99,237
Washington Federal Inc.                  X               X                                       77,064       175,390
Washington Mutual Inc.                   X                                                                     30,210
Washington Post- Class B                 X                                                                      5,498
Washington Real Estate Investors Trust   X                                                                     13,875
Waste Management Inc.                    X                                                                    181,499
Waterford Wedgewood - Unit               X                                                                     63,000
Watson Pharmaceuticals Inc               X                                                                        119
</TABLE>
<PAGE>
<TABLE>
<CAPTION>
        Item 1:                         Item 2:          Item 3:            Item 4:            Item 5:
    Name of Issuer                   Title of Class    CUSIP Number    Fair Market Value      Shares or
                                                                           (X $1000)        Principal Amt.
- --------------------------------------------------------------------------------------------------------------
<S>                                      <C>               <C>                <C>               <C>
Watts Industries Inc  Class A            COM            942749102               3,713                300
Webb Interactive Services                COM            94748P104              22,500                750
Webs Index Fund Inc - Hong Kong          COM            92923H707              56,805              4,150
Webs Index Fund Inc - Japan              COM            92923H889             123,285              7,500
Webs Index Fund Inc - Malaysia           COM            92923H871              35,384              5,100
Webs Index Fund Inc Singapore Free       COM            92923H848              45,172              6,125
WEC CAP TR I TR PFD SECS 6.85%           COM            92923G204             163,000              8,000
Weingarten Realty Investors              COM            948741103              82,063              2,233
Weis Markets Inc                         COM            948849104              48,994              1,441
Wells Fargo Company                      COM            949746101           8,176,721            199,734
Wendy's International Inc                COM            950590109               2,180                108
Western Digital Corp.                    COM            958102105               5,207                700
Western Resources Inc                    COM            959425109           1,298,247             82,100
Westminster Cap Inc                      COM            960631109               5,360              2,000
Westvaco Corp.                           COM            961548104             219,574              6,579
Weyerhaeuser Co.                         COM            962166104             592,800             10,400
Whitman Corp                             COM            96647R107              24,628              1,767
Whole Foods Market Inc                   COM            966837106              41,438              1,000
Wicor Inc                                COM            929253102           1,150,720             37,120
Wild Oats Markets Inc.                   COM            96808B107              74,825              3,650
Willamette Inds                          COM            969133107             499,958             12,460
Williams Companies Inc                   COM            969457100             206,684              4,704
Williams Sonoma Inc.                     COM            969904101             201,748              6,508
Wind River Systems Inc                   COM            973149107              43,464              1,199
Winton Finl Corp                         COM            976446104              11,900              1,400
Wisconsin Energy Power                   COM            976657106              48,429              2,429
Wolters Kluwer NV Spons ADR              COM            977874205             150,650              6,560
Wolters Kluwer-CVA                       COM            N9643A114              52,799              2,300
Wordcruncher Internet Tech               COM            98136C104               2,498                370
World Television Inc                     COM            98151F305                   0                 23
Worthington Industry Inc                 COM            981811102              24,750              2,000
Wrigley (WM) Jr Co                       COM            982526105              55,305                720
WSFS Financial Corp.                     COM            929328102             646,776             52,000
WTS On Command Corp.                     COM            682160122                 846                188
Xerox Corp.                              COM            984121103             127,400              4,900
XL Capital Ltd - Class A                 COM            G98255105             172,493              3,115
Yahoo Inc                                COM            984332106              26,735                156
York International Inc                   COM            986670107              80,644              3,450
Young & Rubicam Inc.                     COM            987425105           5,527,905            117,615
Zurich Allied AG CH10 REGD               COM            H98469366               5,700                 12
Zweig Series Tr-Appreciation C           COM            989834106              54,196              5,488



Grand Total:                                                            1,924,452,965
<CAPTION>
        Item 1:                                        Item 6:                     Item 7:                  Item 8:
    Name of Issuer                              Investment Discretion               Other            Voting Authority   (Shares)
                                      (a) Sole   (b) Shared as   (c) Shared      Managers      (a) Sole    (b) Shared   (c) None
                                                        Def          Other
- ------------------------------------------------------------------------------------------------------------------------------------
<S>                                    <C>             <C>           <C>          <C>            <C>            <C>         <C>
Watts Industries Inc  Class A            X                                                                        300
Webb Interactive Services                X                                                                        750
Webs Index Fund Inc - Hong Kong          X                                                                      4,150
Webs Index Fund Inc - Japan              X                                                                      7,500
Webs Index Fund Inc - Malaysia           X                                                                      5,100
Webs Index Fund Inc Singapore Free       X                                                                      6,125
WEC CAP TR I TR PFD SECS 6.85%           X                                                                      8,000
Weingarten Realty Investors              X                                                                      2,233
Weis Markets Inc                         X                                                                      1,441
Wells Fargo Company                      X                                                                    199,734
Wendy's International Inc                X                                                                        108
Western Digital Corp.                    X                                                                        700
Western Resources Inc                    X               X                                       45,700        36,400
Westminster Cap Inc                      X                                                                      2,000
Westvaco Corp.                           X                                                                      6,579
Weyerhaeuser Co.                         X               X                                                     10,400
Whitman Corp                             X                                                                      1,767
Whole Foods Market Inc                   X                                                                      1,000
Wicor Inc                                X               X                                                     37,120
Wild Oats Markets Inc.                   X                                                                      3,650
Willamette Inds                          X                                                          600        11,860
Williams Companies Inc                   X                                                                      4,704
Williams Sonoma Inc.                     X                                                                      6,508
Wind River Systems Inc                   X                                                                      1,199
Winton Finl Corp                         X                                                                      1,400
Wisconsin Energy Power                   X                                                                      2,429
Wolters Kluwer NV Spons ADR              X                                                                      6,560
Wolters Kluwer-CVA                       X                                                                      2,300
Wordcruncher Internet Tech               X                                                                        370
World Television Inc                     X                                                                         23
Worthington Industry Inc                 X                                                                      2,000
Wrigley (WM) Jr Co                       X                                                                        720
WSFS Financial Corp.                     X                                                                     52,000
WTS On Command Corp.                     X                                                          188
Xerox Corp.                              X                                                                      4,900
XL Capital Ltd - Class A                 X               X                                                      3,115
Yahoo Inc                                X               X                                                        156
York International Inc                   X               X                                                      3,450
Young & Rubicam Inc.                     X                                                                    117,615
Zurich Allied AG CH10 REGD               X                                                                         12
Zweig Series Tr-Appreciation C                           X                                                      5,488



Grand Total:
</TABLE>
<TABLE>
<CAPTION>
FORM 13F          Name of Reporting Manager:  Batterymarch Financial Management, Inc.                          Run Date: 04/07/2000
                                              For Positions Held As Of 03/31/2000                              S.E.C. Use Only

                Item 1:                    Item 2:        Item 3:            Item 4:           Item 5:
            Name of Issuer              Title of Class  CUSIP Number   Fair Market Value       Shares or
                                                                          (X $1000)       Principal Amount
- -------------------------------------------------------------------------------------------------------------
<S>                                      <C>            <C>                       <C>           <C>   <C>
ACT MANUFACTURING INC                    Common Stock   000973107                 6             100   SH
AT&T                                     Common Stock   001957109            21,010         373,100   SH
AT&T CORP - LIBERTY MEDIA A SHS          Common Stock   001957208            12,533         211,300   SH
AVX CORP NEW COM                         Common Stock   002444107            12,395         163,500   SH
AXA FINANCIAL INC                        Common Stock   002451102             1,966          54,800   SH
ABAXIS INC                               Common Stock   002567105                99          11,800   SH
ABBOTT LABS  COM                         Common Stock   002824100             3,448          98,000   SH
ACTRADE INTERNATIONAL LTD                Common Stock   004931101               105           6,500   SH
ITI HOLDING SA POLAND                    Common Stock   005167784               160             800   SH
UNIFIED ENERGY SYS GDR RUSSIA            GDR            005252594            11,925         600,000   SH
VIDESH SANCHAR NIGAM LTD GDR REG S       GDR            005718535               540          20,400   SH
ADVANCED DIGITAL INFORMATION COM         Common Stock   007525108               339           9,900   SH
ADVANTA CORP  COM  NASD INDL             Common Stock   007942105               256          12,600   SH
ADVANCED ENERGY INDS COM                 Common Stock   007973100               321           6,300   SH
AFFILIATED MANAGERS GRP INC              Common Stock   008252108               314           6,600   SH
AIRGAS INC  COM                          Common Stock   009363102             1,992         239,600   SH
ALBERTO CULVER CO  CL B CONV             Common Stock   013068101               657          27,600   SH
ALCAN ALUMINIUM LTD NEW  COM             Common Stock   013716105             2,919          85,700   SH
ALLERGAN INC COM                         Common Stock   018490102               895          17,900   SH
ALLMERICA FINL CORP COM                  Common Stock   019754100               219           4,300   SH
AMBAC FINL GROUP INC COM                 Common Stock   023139108                40             800   SH
AMERADA HESS CORP  COM                   Common Stock   023551104            26,626         412,000   SH
AMERICAN EXPRESS CO  COM                 Common Stock   025816109             9,577          64,300   SH
AMERICAN HOME PRODS CORP  COM            Common Stock   026609107             4,623          86,000   SH
AMERICAN INTL GROUP INC  COM             Common Stock   026874107            19,144         174,830   SH
AMERICAN MGMT SYS INC  COM  NASD INDL    Common Stock   027352103               276           6,300   SH
AMERICAN NATL CAN GROUP INC              Common Stock   027714104               504          38,400   SH
AMERICAN STAND COS INC COM               Common Stock   029712106             5,517         149,100   SH
AMERUS LIFE HLDGS INC COM                Common Stock   030732101               132           7,300   SH
AMETEK INC NEW COM                       Common Stock   031100100                71           3,700   SH
AMGEN INC  COM  NASD INDL                Common Stock   031162100             8,384         136,600   SH
AMKOR TECHNOLOGY INC                     Common Stock   031652100            14,317         269,820   SH
AMPHENOL CORP NEW CL A                   Common Stock   032095101               389           3,800   SH
ANALOG DEVICES INC  COM                  Common Stock   032654105            60,536         752,000   SH
ANDRX CORP COM                           Common Stock   034551101             2,541          22,000   SH
ANHEUSER BUSCH COS INC  COM              Common Stock   035229103             3,256          52,300   SH
ANIXTER INTL INC  COM                    Common Stock   035290105             9,840         353,000   SH
APACHE CORP  COM                         Common Stock   037411105            52,954       1,064,400   SH
APPLE COMPUTER INC  COM  NASD INDL       Common Stock   037833100            11,313          83,300   SH
APRIA HEALTHCARE GROUP                   Common Stock   037933108               873          60,500   SH
APPLIED FILMS CORP                       Common Stock   038197109               406          20,300   SH
APPLIED MATERIALS                        Common Stock   038222105            18,652         197,900   SH
AREMISSOFT CORP/DE                       Common Stock   040026106             3,278          96,400   SH

Page Total                                                                  325,346

                Item 1:                                Item 6:                       Item 7:                  Item 8:
            Name of Issuer                          Investment Discretion             Other           Voting Authority (Shares)
                                        (a) Sole   (b) Shared (c) Shared            Managers  (a) Sole     (b) Shared     (c) None
                                                      as Def     Other
- ------------------------------------------------------------------------------------------------------------------------------------
ACT MANUFACTURING INC                      X                                                          100          0              0
AT&T                                       X                                                      359,350          0         13,750
AT&T CORP - LIBERTY MEDIA A SHS            X                                                      204,800          0          6,500
AVX CORP NEW COM                           X                                                      158,200          0          5,300
AXA FINANCIAL INC                          X                                                       53,400          0          1,400
ABAXIS INC                                 X                                                        8,400          0          3,400
ABBOTT LABS  COM                           X                                                       94,000          0          4,000
ACTRADE INTERNATIONAL LTD                  X                                                        4,800          0          1,700
ITI HOLDING SA POLAND                      X                                                          800          0              0
UNIFIED ENERGY SYS GDR RUSSIA              X                                                      600,000          0              0
VIDESH SANCHAR NIGAM LTD GDR REG S         X                                                       20,400          0              0
ADVANCED DIGITAL INFORMATION COM           X                                                        8,500          0          1,400
ADVANTA CORP  COM  NASD INDL               X                                                       12,600          0              0
ADVANCED ENERGY INDS COM                   X                                                        6,300          0              0
AFFILIATED MANAGERS GRP INC                X                                                        6,600          0              0
AIRGAS INC  COM                            X                                                      229,600          0         10,000
ALBERTO CULVER CO  CL B CONV               X                                                       27,600          0              0
ALCAN ALUMINIUM LTD NEW  COM               X                                                       85,700          0              0
ALLERGAN INC COM                           X                                                       17,900          0              0
ALLMERICA FINL CORP COM                    X                                                        4,300          0              0
AMBAC FINL GROUP INC COM                   X                                                          800          0              0
AMERADA HESS CORP  COM                     X                                                      395,000          0         17,000
AMERICAN EXPRESS CO  COM                   X                                                       61,700          0          2,600
AMERICAN HOME PRODS CORP  COM              X                                                       82,500          0          3,500
AMERICAN INTL GROUP INC  COM               X                                                      167,380          0          7,450
AMERICAN MGMT SYS INC  COM  NASD INDL      X                                                        6,300          0              0
AMERICAN NATL CAN GROUP INC                X                                                       38,400          0              0
AMERICAN STAND COS INC COM                 X                                                      135,600          0         13,500
AMERUS LIFE HLDGS INC COM                  X                                                        7,300          0              0
AMETEK INC NEW COM                         X                                                            0          0          3,700
AMGEN INC  COM  NASD INDL                  X                                                      132,000          0          4,600
AMKOR TECHNOLOGY INC                       X                                                      239,720          0         30,100
AMPHENOL CORP NEW CL A                     X                                                        3,800          0              0
ANALOG DEVICES INC  COM                    X                                                      735,400          0         16,600
ANDRX CORP COM                             X                                                       22,000          0              0
ANHEUSER BUSCH COS INC  COM                X                                                       50,500          0          1,800
ANIXTER INTL INC  COM                      X                                                      342,800          0         10,200
APACHE CORP  COM                           X                                                    1,033,900          0         30,500
APPLE COMPUTER INC  COM  NASD INDL         X                                                       75,100          0          8,200
APRIA HEALTHCARE GROUP                     X                                                       60,500          0              0
APPLIED FILMS CORP                         X                                                       14,500          0          5,800
APPLIED MATERIALS                          X                                                      192,300          0          5,600
AREMISSOFT CORP/DE                         X                                                       87,200          0          9,200
</TABLE>


                                     Page 1
<PAGE>

<TABLE>
<CAPTION>
FORM 13F          Name of Reporting Manager:  Batterymarch Financial Management, Inc.                          Run Date: 04/07/2000
                                              For Positions Held As Of 03/31/2000                              S.E.C. Use Only

                Item 1:                    Item 2:        Item 3:            Item 4:           Item 5:
            Name of Issuer              Title of Class  CUSIP Number   Fair Market Value       Shares or
                                                                          (X $1000)       Principal Amount
- -------------------------------------------------------------------------------------------------------------
<S>                                      <C>            <C>                       <C>           <C>   <C>
ARGOSY GAMING CORP                       Common Stock   040228108                47           3,300   SH
ARKANSAS BEST CORP                       Common Stock   040790107             1,999         190,400   SH
ARROW INTERNATIONAL                      Common Stock   042764100               502          16,000   SH
ARTISAN COMPONENTS INC                   Common Stock   042923102               377          19,200   SH
ASPECT DEVELOPMENT INC                   Common Stock   045234101               187           2,900   SH
ASPEN TECHNOLOGY INC COM                 Common Stock   045327103               707          17,500   SH
ATMEL CORP                               Common Stock   049513104            45,229         876,100   SH
ATWOOD OCEANICS INC  COM  NASD INDL      Common Stock   050095108             5,451          82,200   SH
AUDIOVOX CORP  -CL A                     Common Stock   050757103               968          22,200   SH
AURORA BIOSCIENCES CORP                  Common Stock   051920106             2,244          54,900   SH
AUTOMATIC DATA PROCESSING INC  COM       Common Stock   053015103             3,691          76,500   SH
AVERY DENNISON CORP COM                  Common Stock   053611109               470           7,700   SH
AVIGEN INC                               Common Stock   053690103             2,409          54,200   SH
AZTAR CORP COM                           Common Stock   054802103             3,398         357,700   SH
BJ SVCS CO COM                           Common Stock   055482103            23,160         313,500   SH
BALDOR ELEC CO  COM                      Common Stock   057741100               338          18,700   SH
BANK OF AMERICA CORP                     Common Stock   060505104             9,094         173,417   SH
BANK NEW YORK INC  COM                   Common Stock   064057102               511          12,300   SH
BANTA CORP  COM  NASD INDL               Common Stock   066821109               285          15,500   SH
BARD C R INC  COM                        Common Stock   067383109             2,174          56,200   SH
BAUSCH & LOMB INC  COM                   Common Stock   071707103             1,080          20,700   SH
BEA SYSTEMS INC                          Common Stock   073325102             1,585          21,600   SH
BEAR STEARNS COS INC  COM                Common Stock   073902108             2,240          49,100   SH
BECKMAN COULTER INC                      Common Stock   075811109                26             400   SH
BELDEN INC                               Common Stock   077459105               561          20,400   SH
BELL ATLANTIC CORP  COM                  Common Stock   077853109            14,227         232,760   SH
BELL MICROPRODUCTS INC                   Common Stock   078137106               228          13,200   SH
BELLSOUTH CORP  COM                      Common Stock   079860102            12,853         274,200   SH
BINDLEY WESTN INDS INC  COM  NASD INDL   Common Stock   090324104                 0               0   SH
BIOSITE DIAGNOSTICS INC                  Common Stock   090945106               392          16,100   SH
BOEING CO  COM                           Common Stock   097023105             2,647          70,000   SH
BOISE CASCADE CORP  COM                  Common Stock   097383103            16,489         474,500   SH
BOWNE & CO INC  COM                      Common Stock   103043105               144          11,200   SH
BRAUNS FASHIONS CORP                     Common Stock   105658108               295          11,700   SH
BRISTOL MYERS SQUIBB CO  COM             Common Stock   110122108             7,291         125,700   SH
BROADVISION CORP                         Common Stock   111412102             2,627          58,550   SH
BROOKTROUT TECHNOLOGY INC                Common Stock   114580103                 6             200   SH
BROWN (TOM) INC                          Common Stock   115660201                 7             400   SH
BRUNSWICK CORP  COM                      Common Stock   117043109             7,920         418,200   SH
BURR BROWN CORP  COM  NASD INDL          Common Stock   122574106             1,332          24,500   SH
CBL & ASSOCIATES PPTYS INC               Common Stock   124830100             2,430         118,900   SH
CEC ENTERTAINMENT INC                    Common Stock   125137109               507          18,700   SH
CMG INFORMATION SERVICES INC             Common Stock   125750109             6,017          53,100   SH

Page Total                                                                  184,145

                Item 1:                                Item 6:                       Item 7:                  Item 8:
            Name of Issuer                          Investment Discretion             Other           Voting Authority (Shares)
                                        (a) Sole   (b) Shared (c) Shared            Managers  (a) Sole     (b) Shared     (c) None
                                                      as Def     Other
- ------------------------------------------------------------------------------------------------------------------------------------
ARGOSY GAMING CORP                       X                                                         3,300          0              0
ARKANSAS BEST CORP                       X                                                       172,700          0         17,700
ARROW INTERNATIONAL                      X                                                        11,300          0          4,700
ARTISAN COMPONENTS INC                   X                                                         8,000          0         11,200
ASPECT DEVELOPMENT INC                   X                                                         2,000          0            900
ASPEN TECHNOLOGY INC COM                 X                                                        17,200          0            300
ATMEL CORP                               X                                                       827,500          0         48,600
ATWOOD OCEANICS INC  COM  NASD INDL      X                                                        75,400          0          6,800
AUDIOVOX CORP  -CL A                     X                                                        16,300          0          5,900
AURORA BIOSCIENCES CORP                  X                                                        50,900          0          4,000
AUTOMATIC DATA PROCESSING INC  COM       X                                                        74,500          0          2,000
AVERY DENNISON CORP COM                  X                                                         7,700          0              0
AVIGEN INC                               X                                                        54,200          0              0
AZTAR CORP COM                           X                                                       346,700          0         11,000
BJ SVCS CO COM                           X                                                       292,400          0         21,100
BALDOR ELEC CO  COM                      X                                                        18,700          0              0
BANK OF AMERICA CORP                     X                                                       169,065          0          4,352
BANK NEW YORK INC  COM                   X                                                         9,500          0          2,800
BANTA CORP  COM  NASD INDL               X                                                        15,500          0              0
BARD C R INC  COM                        X                                                        52,500          0          3,700
BAUSCH & LOMB INC  COM                   X                                                        20,000          0            700
BEA SYSTEMS INC                          X                                                        16,000          0          5,600
BEAR STEARNS COS INC  COM                X                                                        48,400          0            700
BECKMAN COULTER INC                      X                                                           400          0              0
BELDEN INC                               X                                                         7,000          0         13,400
BELL ATLANTIC CORP  COM                  X                                                       224,760          0          8,000
BELL MICROPRODUCTS INC                   X                                                        13,200          0              0
BELLSOUTH CORP  COM                      X                                                       265,800          0          8,400
BINDLEY WESTN INDS INC  COM  NASD INDL   X                                                             0          0              0
BIOSITE DIAGNOSTICS INC                  X                                                        16,100          0              0
BOEING CO  COM                           X                                                        67,700          0          2,300
BOISE CASCADE CORP  COM                  X                                                       467,500          0          7,000
BOWNE & CO INC  COM                      X                                                        11,200          0              0
BRAUNS FASHIONS CORP                     X                                                         6,900          0          4,800
BRISTOL MYERS SQUIBB CO  COM             X                                                       120,600          0          5,100
BROADVISION CORP                         X                                                        52,650          0          5,900
BROOKTROUT TECHNOLOGY INC                X                                                           200          0              0
BROWN (TOM) INC                          X                                                           400          0              0
BRUNSWICK CORP  COM                      X                                                       373,900          0         44,300
BURR BROWN CORP  COM  NASD INDL          X                                                        22,900          0          1,600
CBL & ASSOCIATES PPTYS INC               X                                                        99,100          0         19,800
CEC ENTERTAINMENT INC                    X                                                        18,700          0              0
CMG INFORMATION SERVICES INC             X                                                        52,300          0            800
</TABLE>


                                     Page 2
<PAGE>

<TABLE>
<CAPTION>
FORM 13F          Name of Reporting Manager:  Batterymarch Financial Management, Inc.                          Run Date: 04/07/2000
                                              For Positions Held As Of 03/31/2000                              S.E.C. Use Only

                Item 1:                    Item 2:        Item 3:            Item 4:           Item 5:
            Name of Issuer              Title of Class  CUSIP Number   Fair Market Value       Shares or
                                                                          (X $1000)       Principal Amount
- -------------------------------------------------------------------------------------------------------------
<S>                                      <C>            <C>                       <C>           <C>   <C>
CABLE DESIGN TECH CP  -CL A              Common Stock   126924109                 3             100   SH
CACI INTL INC  -CL A                     Common Stock   127190304               210           7,000   SH
CAL DIVE INTERNATIONAL INC               Common Stock   127914109               122           2,400   SH
CALIFORNIA AMPLIFIER INC                 Common Stock   129900106             2,728          88,000   SH
CAM DATA SYSTEMS INC                     Common Stock   131730103                 5             300   SH
CANDELA CORP                             Common Stock   136907102             1,220          88,700   SH
CANANDAIGUA BRANDS INC CLA               Common Stock   137219200             1,193          23,400   SH
CAREER ED CORP                           Common Stock   141665109               416          11,875   SH
CARREKER ANTINORI INC                    Common Stock   144433109               389          30,800   SH
CATO CORP  -CL A                         Common Stock   149205106             1,491         126,900   SH
CELL GENESYS INC                         Common Stock   150921104               130           6,100   SH
CELGENE CORP  COM  NASD INDL             Common Stock   151020104               607           6,100   SH
CENTIGRAM COMMUNICAT                     Common Stock   152317103               217          11,400   SH
CEPHALON INC                             Common Stock   156708109                38           1,000   SH
CHARMING SHOPPES                         Common Stock   161133103             1,228         215,900   SH
CHELSEA GCA REALTY INC                   Common Stock   163262108               232           8,000   SH
CHEVRON CORPORATION  COM                 Common Stock   166751107             3,947          42,700   SH
CHOICE HOTELS INTL INC                   Common Stock   169905106               235          16,300   SH
CIENA CORP                               Common Stock   171779101             1,854          14,700   SH
CIMA LABS INC                            Common Stock   171796105                 7             400   SH
CITIGROUP  INC                           Common Stock   172967101            29,293         489,229   SH
CITIZENS UTILS CO DEL  CL B  NASD INDL   Common Stock   177342201             1,110          67,800   SH
CITRIX SYSTEMS INC COM                   Common Stock   177376100             2,756          41,600   SH
CLARENT CORP                             Common Stock   180461105            15,084         167,250   SH
COASTAL CORP  COM                        Common Stock   190441105               561          12,200   SH
COCA COLA CO  COM                        Common Stock   191216100             6,693         142,600   SH
COHERENT INC  COM  NASD INDL             Common Stock   192479103               156           3,000   SH
COHU INC  COM                            Common Stock   192576106             2,560          61,400   SH
COLE KENNETH PRODTNS INC COM             Common Stock   193294105               243           6,200   SH
COLGATE PALMOLIVE CO  COM                Common Stock   194162103             4,251          75,400   SH
COLONIAL PROPERTIES TRUST                Common Stock   195872106               694          29,200   SH
COMCAST CORP  CL A SPL  NASD INDL        Common Stock   200300200             2,429          56,000   SH
COMMERCIAL METALS CO  COM                Common Stock   201723103               307          11,100   SH
COMMONWEALTH TELEPHONE ENTER             Common Stock   203349105               920          19,600   SH
COMPAQ COMPUTER CORP  COM                Common Stock   204493100             2,182          80,802   SH
COMPUTER ASSOC INTL INC  COM             Common Stock   204912109             5,386          91,000   SH
CONMED CORP                              Common Stock   207410101             2,704         107,900   SH
CONSTELLATION ENERGY GROUP               Common Stock   210371100            19,922         625,000   SH
CONVERGYS CORP                           Common Stock   212485106               282           7,300   SH
COOPER COS INC  COM NEW                  Common Stock   216648402               267           8,300   SH
COOPER INDS INC  COM                     Common Stock   216669101             2,258          64,500   SH
COORS ADOLPH CO  CL B  NASD INDL         Common Stock   217016104             6,480         135,000   SH
COPART INC                               Common Stock   217204106               728          41,600   SH

Page Total                                                                  123,536

                Item 1:                                Item 6:                       Item 7:                  Item 8:
            Name of Issuer                          Investment Discretion             Other           Voting Authority (Shares)
                                        (a) Sole   (b) Shared (c) Shared            Managers  (a) Sole     (b) Shared     (c) None
                                                      as Def     Other
- ------------------------------------------------------------------------------------------------------------------------------------
CABLE DESIGN TECH CP  -CL A              X                                                           100          0              0
CACI INTL INC  -CL A                     X                                                         2,400          0          4,600
CAL DIVE INTERNATIONAL INC               X                                                         2,400          0              0
CALIFORNIA AMPLIFIER INC                 X                                                        83,900          0          4,100
CAM DATA SYSTEMS INC                     X                                                           300          0              0
CANDELA CORP                             X                                                        78,850          0          9,850
CANANDAIGUA BRANDS INC CLA               X                                                        23,000          0            400
CAREER ED CORP                           X                                                        10,375          0          1,500
CARREKER ANTINORI INC                    X                                                        30,800          0              0
CATO CORP  -CL A                         X                                                       108,000          0         18,900
CELL GENESYS INC                         X                                                         6,100          0              0
CELGENE CORP  COM  NASD INDL             X                                                         5,100          0          1,000
CENTIGRAM COMMUNICAT                     X                                                        11,400          0              0
CEPHALON INC                             X                                                           200          0            800
CHARMING SHOPPES                         X                                                       203,500          0         12,400
CHELSEA GCA REALTY INC                   X                                                         6,000          0          2,000
CHEVRON CORPORATION  COM                 X                                                        40,900          0          1,800
CHOICE HOTELS INTL INC                   X                                                        11,000          0          5,300
CIENA CORP                               X                                                        14,100          0            600
CIMA LABS INC                            X                                                             0          0            400
CITIGROUP  INC                           X                                                       466,029          0         23,200
CITIZENS UTILS CO DEL  CL B  NASD INDL   X                                                        67,800          0              0
CITRIX SYSTEMS INC COM                   X                                                        41,600          0              0
CLARENT CORP                             X                                                       161,800          0          5,450
COASTAL CORP  COM                        X                                                        10,200          0          2,000
COCA COLA CO  COM                        X                                                       135,500          0          7,100
COHERENT INC  COM  NASD INDL             X                                                         3,000          0              0
COHU INC  COM                            X                                                        44,000          0         17,400
COLE KENNETH PRODTNS INC COM             X                                                         6,200          0              0
COLGATE PALMOLIVE CO  COM                X                                                        72,300          0          3,100
COLONIAL PROPERTIES TRUST                X                                                        23,400          0          5,800
COMCAST CORP  CL A SPL  NASD INDL        X                                                        53,600          0          2,400
COMMERCIAL METALS CO  COM                X                                                        11,100          0              0
COMMONWEALTH TELEPHONE ENTER             X                                                        16,700          0          2,900
COMPAQ COMPUTER CORP  COM                X                                                        76,402          0          4,400
COMPUTER ASSOC INTL INC  COM             X                                                        86,700          0          4,300
CONMED CORP                              X                                                        97,600          0         10,300
CONSTELLATION ENERGY GROUP               X                                                       607,500          0         17,500
CONVERGYS CORP                           X                                                         7,300          0              0
COOPER COS INC  COM NEW                  X                                                         8,300          0              0
COOPER INDS INC  COM                     X                                                        51,800          0         12,700
COORS ADOLPH CO  CL B  NASD INDL         X                                                       115,600          0         19,400
COPART INC                               X                                                        27,600          0         14,000
</TABLE>


                                     Page 3
<PAGE>

<TABLE>
<CAPTION>
FORM 13F          Name of Reporting Manager:  Batterymarch Financial Management, Inc.                          Run Date: 04/07/2000
                                              For Positions Held As Of 03/31/2000                              S.E.C. Use Only

                Item 1:                    Item 2:        Item 3:            Item 4:           Item 5:
            Name of Issuer              Title of Class  CUSIP Number   Fair Market Value       Shares or
                                                                          (X $1000)       Principal Amount
- -------------------------------------------------------------------------------------------------------------
<S>                                      <C>            <C>                       <C>           <C>   <C>
CORNING INC  COM                         Common Stock   219350105             3,764          19,400   SH
CREDENCE SYSTEMS CORP                    Common Stock   225302108             5,825          46,550   SH
CREE RESEARCH INC                        Common Stock   225447101                34             300   SH
CUMMINS ENGINE INC  COM                  Common Stock   231021106            10,412         277,200   SH
CYBEROPTICS CORP                         Common Stock   232517102                 4             100   SH
CYBEX COMPUTER PRODS                     Common Stock   232522102               207           5,500   SH
CYMER INC COM                            Common Stock   232572107               925          18,500   SH
CYPRESS SEMICONDUCTOR CORP  COM          Common Stock   232806109            16,018         326,900   SH
CYTYC CORP COM                           Common Stock   232946103               589          12,200   SH
DAIN RAUSCHER CORP COM                   Common Stock   233856103               251           3,800   SH
DALLAS SEMICONDUCTOR CORP  COM           Common Stock   235204104               190           5,200   SH
DAMARK INTL INC -CL                      Common Stock   235691102                88           2,300   SH
DARDEN RESTAURANTS INC  COM              Common Stock   237194105             2,357         132,300   SH
DATASCOPE CORP  COM  NASD INDL           Common Stock   238113104               102           3,200   SH
DEB SHOPS INC  COM  NASD INDL            Common Stock   242728103               116           8,400   SH
DEERE & CO  COM                          Common Stock   244199105             9,413         247,700   SH
DELL COMPUTER CORP COM NASD INDL         Common Stock   247025109             8,732         161,900   SH
DELPHI AUTO SYSTEMS                      Common Stock   247126105            21,175       1,323,442   SH
DELTA AIR LINES INC DEL  COM             Common Stock   247361108                32             600   SH
DIAMETRICS MEDICAL INC                   Common Stock   252532106               939          83,500   SH
DISNEY WALT CO DEL  COM                  Common Stock   254687106             9,846         238,700   SH
DIRECT FOCUS INC                         Common Stock   254931108               907          32,600   SH
DOCUMENTUM INC                           Common Stock   256159104               140           1,800   SH
DOLLAR THRIFTY AUTOMOTIVE GP             Common Stock   256743105             1,265          73,600   SH
DONALDSON INC  COM                       Common Stock   257651109                20             900   SH
DONALDSON LUFKIN & JENRETTE NV COM       Common Stock   257661108             9,574         185,000   SH
DOVER CORP  COM                          Common Stock   260003108             1,111          23,200   SH
DOW CHEM CO  COM                         Common Stock   260543103            13,498         118,400   SH
DOW JONES & CO INC  COM                  Common Stock   260561105             1,027          14,300   SH
DRESS BARN INC  COM  NASD INDL           Common Stock   261570105               730          37,900   SH
DU PONT E I DE NEMOURS & CO  COM         Common Stock   263534109            10,143         191,600   SH
DYCOM INDS INC  COM  NASD INDL           Common Stock   267475101               141           2,900   SH
ECI TELECOMMUNICATIONS -ORD              Common Stock   268258100             2,959          94,300   SH
E M C CORP MASS  COM                     Common Stock   268648102            14,994         119,000   SH
ESCO ELECTRONICS CORP                    Common Stock   269030102               139           8,300   SH
ESS TECHNOLOGY INC                       Common Stock   269151106             2,340         133,700   SH
EASTERN UTILS ASSOC  COM                 Common Stock   277173100                 3             100   SH
EATON VANCE CORP  COM NON VTG  NASD INDL Common Stock   278265103               481          11,200   SH
EFFICIENT NETWORKS INC                   Common Stock   282056100            21,166         135,900   SH
EL PASO ELECTRIC CO COM NEW              Common Stock   283677854               628          60,500   SH
EL PASO ENERGY CORPORATION               Common Stock   283905107             3,008          74,500   SH
ELANTEC SEMICONDUCTOR INC COM            Common Stock   284155108             1,663          22,600   SH
ELECTRIC LIGHTWAVE CL A                  Common Stock   284895109             1,196          50,100   SH

Page Total                                                                  178,148

                Item 1:                                Item 6:                       Item 7:                  Item 8:
            Name of Issuer                          Investment Discretion             Other           Voting Authority (Shares)
                                        (a) Sole   (b) Shared (c) Shared            Managers  (a) Sole     (b) Shared     (c) None
                                                      as Def     Other
- ------------------------------------------------------------------------------------------------------------------------------------
CORNING INC  COM                         X                                                        18,500          0            900
CREDENCE SYSTEMS CORP                    X                                                        35,950          0         10,600
CREE RESEARCH INC                        X                                                             0          0            300
CUMMINS ENGINE INC  COM                  X                                                       268,000          0          9,200
CYBEROPTICS CORP                         X                                                           100          0              0
CYBEX COMPUTER PRODS                     X                                                         5,500          0              0
CYMER INC COM                            X                                                         7,800          0         10,700
CYPRESS SEMICONDUCTOR CORP  COM          X                                                       284,500          0         42,400
CYTYC CORP COM                           X                                                         3,600          0          8,600
DAIN RAUSCHER CORP COM                   X                                                         3,800          0              0
DALLAS SEMICONDUCTOR CORP  COM           X                                                         5,200          0              0
DAMARK INTL INC -CL                      X                                                         2,300          0              0
DARDEN RESTAURANTS INC  COM              X                                                       128,200          0          4,100
DATASCOPE CORP  COM  NASD INDL           X                                                         1,700          0          1,500
DEB SHOPS INC  COM  NASD INDL            X                                                         7,000          0          1,400
DEERE & CO  COM                          X                                                       247,700          0              0
DELL COMPUTER CORP COM NASD INDL         X                                                       155,300          0          6,600
DELPHI AUTO SYSTEMS                      X                                                     1,274,669          0         48,773
DELTA AIR LINES INC DEL  COM             X                                                             0          0            600
DIAMETRICS MEDICAL INC                   X                                                        68,600          0         14,900
DISNEY WALT CO DEL  COM                  X                                                       232,800          0          5,900
DIRECT FOCUS INC                         X                                                        25,500          0          7,100
DOCUMENTUM INC                           X                                                         1,800          0              0
DOLLAR THRIFTY AUTOMOTIVE GP             X                                                        73,600          0              0
DONALDSON INC  COM                       X                                                             0          0            900
DONALDSON LUFKIN & JENRETTE NV COM       X                                                       172,100          0         12,900
DOVER CORP  COM                          X                                                        23,200          0              0
DOW CHEM CO  COM                         X                                                       116,900          0          1,500
DOW JONES & CO INC  COM                  X                                                         7,800          0          6,500
DRESS BARN INC  COM  NASD INDL           X                                                        34,600          0          3,300
DU PONT E I DE NEMOURS & CO  COM         X                                                       186,000          0          5,600
DYCOM INDS INC  COM  NASD INDL           X                                                         2,900          0              0
ECI TELECOMMUNICATIONS -ORD              X                                                        94,300          0              0
E M C CORP MASS  COM                     X                                                       114,400          0          4,600
ESCO ELECTRONICS CORP                    X                                                         8,300          0              0
ESS TECHNOLOGY INC                       X                                                       119,700          0         14,000
EASTERN UTILS ASSOC  COM                 X                                                           100          0              0
EATON VANCE CORP  COM NON VTG  NASD INDL X                                                         7,200          0          4,000
EFFICIENT NETWORKS INC                   X                                                       132,150          0          3,750
EL PASO ELECTRIC CO COM NEW              X                                                        57,000          0          3,500
EL PASO ENERGY CORPORATION               X                                                        50,200          0         24,300
ELANTEC SEMICONDUCTOR INC COM            X                                                        19,600          0          3,000
ELECTRIC LIGHTWAVE CL A                  X                                                        38,700          0         11,400
</TABLE>


                                     Page 4
<PAGE>

<TABLE>
<CAPTION>
FORM 13F          Name of Reporting Manager:  Batterymarch Financial Management, Inc.                          Run Date: 04/07/2000
                                              For Positions Held As Of 03/31/2000                              S.E.C. Use Only

                Item 1:                    Item 2:        Item 3:            Item 4:           Item 5:
            Name of Issuer              Title of Class  CUSIP Number   Fair Market Value       Shares or
                                                                          (X $1000)       Principal Amount
- -------------------------------------------------------------------------------------------------------------
<S>                                      <C>            <C>                       <C>           <C>   <C>
ELECTRO SCIENTIFIC INDS  COM  NASD INDL  Common Stock   285229100               574           9,900   SH
ELECTROGLAS INC                          Common Stock   285324109               247           7,200   SH
ELECTRONIC DATA SYS NW  COM              Common Stock   285661104             4,455          69,400   SH
EMERSON ELEC CO  COM                     Common Stock   291011104             5,222          98,300   SH
ENRON CORP  COM                          Common Stock   293561106             3,429          45,800   SH
ENTRUST TECHNOLOGIES INC                 Common Stock   293848107             1,234          14,500   SH
EQUITABLE RES INC  COM                   Common Stock   294549100             3,751          83,700   SH
F M C CORP  COM NEW                      Common Stock   302491303                11             200   SH
FSI INTL INC                             Common Stock   302633102               213          10,400   SH
FYI INC                                  Common Stock   302712104                11             400   SH
FAIRFIELD CMNTYS INC  COM PAR $0.10      Common Stock   304231301                79           9,900   SH
FREDDIE MAC COM                          Common Stock   313400301             2,196          49,700   SH
FANNIE MAE                               Common Stock   313586109             4,112          72,700   SH
FEDERATED INVESTORS INC                  Common Stock   314211103             4,903         179,500   SH
FERRO CORP  COM                          Common Stock   315405100             3,160         177,400   SH
F5 NETWORKS INC                          Common Stock   315616102                 7             100   SH
FILENET CORP  COM  NASD INDL             Common Stock   316869106               247           8,300   SH
FIRST DATA CORP                          Common Stock   319963104             2,636          59,400   SH
FIRST HEALTH GROUP CORP                  Common Stock   320960107               266           8,400   SH
FIRST UN CORP  COM                       Common Stock   337358105             1,922          51,600   SH
FLEMING COS INC  COM                     Common Stock   339130106             2,756         183,000   SH
FLUOR CORP  COM                          Common Stock   343861100            15,912         513,300   SH
FOMENTO ECONOMICO MEX-SP ADR             ADS            344419106            18,137         403,040   SH
FOOTSTAR INC COM                         Common Stock   344912100             1,972          69,800   SH
FORD MTR CO DEL  COM                     Common Stock   345370100             7,713         167,900   SH
FOUNDATION HEALTH SYS INC COM            Common Stock   350404109             6,266         783,300   SH
FRANCHISE FINL CORP AMERICA              Common Stock   351807102             1,588          68,300   SH
FULLER H B CO  COM  NASD INDL            Common Stock   359694106             2,440          61,100   SH
FURNITURE BRANDS INTL  COM               Common Stock   360921100               271          14,400   SH
GTE CORP  COM                            Common Stock   362320103             8,066         113,600   SH
GADZOOKS INC                             Common Stock   362553109                74           3,400   SH
GANNETT INC  COM                         Common Stock   364730101             3,990          56,700   SH
GAP INC DEL  COM                         Common Stock   364760108            17,982         361,000   SH
GENE LOGIC INC                           Common Stock   368689105               904          21,500   SH
GENERAL ELEC CO  COM                     Common Stock   369604103            92,970         597,400   SH
GENERAL MLS INC  COM                     Common Stock   370334104                43           1,200   SH
GENERAL MTRS CORP  COM                   Common Stock   370442105             3,296          39,800   SH
GENERAL SEMICONDUCTOR INC COM            Common Stock   370787103               374          21,700   SH
GENESCO INC  COM                         Common Stock   371532102                34           2,600   SH
GENOME THERAPEUTICS CP COM               Common Stock   372430108               278          11,800   SH
GEORGIA GULF CORP  COM                   Common Stock   373200203             2,595          99,800   SH
GEORGIA PAC CORP  COM                    Common Stock   373298108            24,960         630,900   SH
GILLETTE CO  COM                         Common Stock   375766102             2,536          67,300   SH

Page Total                                                                  253,833

                Item 1:                                Item 6:                       Item 7:                  Item 8:
            Name of Issuer                          Investment Discretion             Other           Voting Authority (Shares)
                                        (a) Sole   (b) Shared (c) Shared            Managers  (a) Sole     (b) Shared     (c) None
                                                      as Def     Other
- ------------------------------------------------------------------------------------------------------------------------------------
ELECTRO SCIENTIFIC INDS  COM  NASD INDL  X                                                         8,100          0          1,800
ELECTROGLAS INC                          X                                                         7,200          0              0
ELECTRONIC DATA SYS NW  COM              X                                                        66,500          0          2,900
EMERSON ELEC CO  COM                     X                                                        95,300          0          3,000
ENRON CORP  COM                          X                                                        43,900          0          1,900
ENTRUST TECHNOLOGIES INC                 X                                                        12,900          0          1,600
EQUITABLE RES INC  COM                   X                                                        72,300          0         11,400
F M C CORP  COM NEW                      X                                                           200          0              0
FSI INTL INC                             X                                                        10,400          0              0
FYI INC                                  X                                                           400          0              0
FAIRFIELD CMNTYS INC  COM PAR $0.10      X                                                         5,200          0          4,700
FREDDIE MAC COM                          X                                                        46,600          0          3,100
FANNIE MAE                               X                                                        68,700          0          4,000
FEDERATED INVESTORS INC                  X                                                       166,700          0         12,800
FERRO CORP  COM                          X                                                       175,000          0          2,400
F5 NETWORKS INC                          X                                                           100          0              0
FILENET CORP  COM  NASD INDL             X                                                         6,400          0          1,900
FIRST DATA CORP                          X                                                        56,600          0          2,800
FIRST HEALTH GROUP CORP                  X                                                         5,400          0          3,000
FIRST UN CORP  COM                       X                                                        49,000          0          2,600
FLEMING COS INC  COM                     X                                                       180,900          0          2,100
FLUOR CORP  COM                          X                                                       488,900          0         24,400
FOMENTO ECONOMICO MEX-SP ADR             X                                                       387,720          0         15,320
FOOTSTAR INC COM                         X                                                        55,300          0         14,500
FORD MTR CO DEL  COM                     X                                                       163,100          0          4,800
FOUNDATION HEALTH SYS INC COM            X                                                       727,900          0         55,400
FRANCHISE FINL CORP AMERICA              X                                                        68,300          0              0
FULLER H B CO  COM  NASD INDL            X                                                        47,700          0         13,400
FURNITURE BRANDS INTL  COM               X                                                        10,100          0          4,300
GTE CORP  COM                            X                                                       108,600          0          5,000
GADZOOKS INC                             X                                                         3,400          0              0
GANNETT INC  COM                         X                                                        54,300          0          2,400
GAP INC DEL  COM                         X                                                       355,500          0          5,500
GENE LOGIC INC                           X                                                        19,800          0          1,700
GENERAL ELEC CO  COM                     X                                                       575,200          0         22,200
GENERAL MLS INC  COM                     X                                                         1,200          0              0
GENERAL MTRS CORP  COM                   X                                                        38,200          0          1,600
GENERAL SEMICONDUCTOR INC COM            X                                                        17,200          0          4,500
GENESCO INC  COM                         X                                                         2,000          0            600
GENOME THERAPEUTICS CP COM               X                                                        11,100          0            700
GEORGIA GULF CORP  COM                   X                                                        90,300          0          9,500
GEORGIA PAC CORP  COM                    X                                                       608,700          0         22,200
GILLETTE CO  COM                         X                                                        64,500          0          2,800
</TABLE>


                                     Page 5
<PAGE>

<TABLE>
<CAPTION>
FORM 13F          Name of Reporting Manager:  Batterymarch Financial Management, Inc.                          Run Date: 04/07/2000
                                              For Positions Held As Of 03/31/2000                              S.E.C. Use Only

                Item 1:                    Item 2:        Item 3:            Item 4:           Item 5:
            Name of Issuer              Title of Class  CUSIP Number   Fair Market Value       Shares or
                                                                          (X $1000)       Principal Amount
- -------------------------------------------------------------------------------------------------------------
<S>                                      <C>            <C>                       <C>           <C>   <C>
GLATFELTER P H CO  COM                   Common Stock   377316104               317          29,800   SH
GLIMCHER REALTY TRUST                    Common Stock   379302102               656          48,600   SH
GRACO INC  COM                           Common Stock   384109104               487          16,800   SH
GRANITE CONSTRUCTION INC                 Common Stock   387328107               122           4,500   SH
GREATER BAY BANCORP                      Common Stock   391648102               564          14,000   SH
GTECH HOLDINGS CORP                      Common Stock   400518106               139           7,500   SH
GUESS INC                                Common Stock   401617105               595          18,600   SH
HALL KINION & ASSOCIATES INC             Common Stock   406069104               142           5,900   SH
HANDLEMAN CO DEL  COM                    Common Stock   410252100               213          24,000   SH
HARLAND JOHN H CO  COM                   Common Stock   412693103             1,854         137,300   SH
HARMAN INTL INDS INC  COM                Common Stock   413086109               150           2,500   SH
HARSCO CORP  COM                         Common Stock   415864107               831          28,700   SH
HARTFORD LIFE INC CL A                   Common Stock   416592103               131           2,800   SH
HAVERTY FURNITURE INC  COM  NASD INDL    Common Stock   419596101               509          47,900   SH
HEIDRICK & STRUGGLES INTL                Common Stock   422819102                48           1,200   SH
HELMERICH & PAYNE INC  COM               Common Stock   423452101             5,425         175,000   SH
HERTZ CORP CL A                          Common Stock   428040109             2,575          75,600   SH
HEWLETT PACKARD CO  COM                  Common Stock   428236103            20,317         152,900   SH
HOME DEPOT INC  COM                      Common Stock   437076102            21,214         328,900   SH
HONEYWELL INTERNATIONAL INC              Common Stock   438516106             6,596         125,200   SH
HOT TOPIC INC                            Common Stock   441339108             3,339          95,400   SH
HUDSON UNITED BANCORP                    Common Stock   444165104             2,026          93,400   SH
HUMAN GENOME SCIENCES INC                Common Stock   444903108                42             500   SH
HYSEQ INC                                Common Stock   449163302                13             300   SH
IDEC PHARMACEUTICALS CORP COM            Common Stock   449370105                69             700   SH
ISS GROUP INC                            Common Stock   450306105             1,200          10,300   SH
IMPERIAL BANCORP                         Common Stock   452556103               270           8,700   SH
IMMUNOMEDICS INC  COM  NASD INDL         Common Stock   452907108               142           5,500   SH
IN FOCUS SYSTEMS INC                     Common Stock   452919103             2,865          80,000   SH
INAMED CORP                              Common Stock   453235103               257           5,200   SH
INCO LTD  COM                            Common Stock   453258402             3,238         176,200   SH
INFONOW CORP                             Common Stock   456664309                68           4,600   SH
INFORMIX CORP  COM  NASD INDL            Common Stock   456779107               645          38,100   SH
INGERSOLL RAND CO  COM                   Common Stock   456866102               266           6,000   SH
INKTOMI CORP                             Common Stock   457277101             5,246          26,900   SH
INSITUFORM TECH INC CL A NASD INDL       Common Stock   457667103               674          22,000   SH
INTEGRATED MEASUREMENT SYS INC           Common Stock   457923100               437          21,500   SH
INTEGRATED DEVICE TECHNOLOGY  COM  NASD  Common Stock   458118106             6,819         172,100   SH
INTEL CORP  COM  NASD INDL               Common Stock   458140100            66,167         501,500   SH
INTERLEAF INC  COM  NASD INDL            Common Stock   458729209                33             700   SH
INTERNATIONAL BUSINESS MACHINES COM      Common Stock   459200101            13,594         115,200   SH
INTERNATIONAL HOME FOODS INC             Common Stock   459655106               242          15,100   SH
INTERNATIONAL PAPER CO  COM              Common Stock   460146103             9,191         215,000   SH

Page Total                                                                  179,724

                Item 1:                                Item 6:                       Item 7:                  Item 8:
            Name of Issuer                          Investment Discretion             Other           Voting Authority (Shares)
                                        (a) Sole   (b) Shared (c) Shared            Managers  (a) Sole     (b) Shared     (c) None
                                                      as Def     Other
- ------------------------------------------------------------------------------------------------------------------------------------
GLATFELTER P H CO  COM                   X                                                        17,200          0         12,600
GLIMCHER REALTY TRUST                    X                                                        35,300          0         13,300
GRACO INC  COM                           X                                                        10,500          0          6,300
GRANITE CONSTRUCTION INC                 X                                                         4,500          0              0
GREATER BAY BANCORP                      X                                                        12,200          0          1,800
GTECH HOLDINGS CORP                      X                                                         3,000          0          4,500
GUESS INC                                X                                                        12,900          0          5,700
HALL KINION & ASSOCIATES INC             X                                                         5,900          0              0
HANDLEMAN CO DEL  COM                    X                                                        21,200          0          2,800
HARLAND JOHN H CO  COM                   X                                                       121,300          0         16,000
HARMAN INTL INDS INC  COM                X                                                         2,500          0              0
HARSCO CORP  COM                         X                                                        28,700          0              0
HARTFORD LIFE INC CL A                   X                                                         1,200          0          1,600
HAVERTY FURNITURE INC  COM  NASD INDL    X                                                        28,700          0         19,200
HEIDRICK & STRUGGLES INTL                X                                                         1,200          0              0
HELMERICH & PAYNE INC  COM               X                                                       161,800          0         13,200
HERTZ CORP CL A                          X                                                        75,600          0              0
HEWLETT PACKARD CO  COM                  X                                                       147,200          0          5,700
HOME DEPOT INC  COM                      X                                                       315,400          0         13,500
HONEYWELL INTERNATIONAL INC              X                                                       120,100          0          5,100
HOT TOPIC INC                            X                                                        85,300          0         10,100
HUDSON UNITED BANCORP                    X                                                        84,493          0          8,907
HUMAN GENOME SCIENCES INC                X                                                             0          0            500
HYSEQ INC                                X                                                           300          0              0
IDEC PHARMACEUTICALS CORP COM            X                                                             0          0            700
ISS GROUP INC                            X                                                         5,000          0          5,300
IMPERIAL BANCORP                         X                                                         8,700          0              0
IMMUNOMEDICS INC  COM  NASD INDL         X                                                         5,500          0              0
IN FOCUS SYSTEMS INC                     X                                                        58,600          0         21,400
INAMED CORP                              X                                                         4,100          0          1,100
INCO LTD  COM                            X                                                       176,200          0              0
INFONOW CORP                             X                                                         1,700          0          2,900
INFORMIX CORP  COM  NASD INDL            X                                                        32,000          0          6,100
INGERSOLL RAND CO  COM                   X                                                         6,000          0              0
INKTOMI CORP                             X                                                        26,900          0              0
INSITUFORM TECH INC CL A NASD INDL       X                                                        12,700          0          9,300
INTEGRATED MEASUREMENT SYS INC           X                                                        17,400          0          4,100
INTEGRATED DEVICE TECHNOLOGY  COM  NASD  X                                                       146,500          0         25,600
INTEL CORP  COM  NASD INDL               X                                                       481,900          0         19,600
INTERLEAF INC  COM  NASD INDL            X                                                             0          0            700
INTERNATIONAL BUSINESS MACHINES COM      X                                                       110,500          0          4,700
INTERNATIONAL HOME FOODS INC             X                                                         4,700          0         10,400
INTERNATIONAL PAPER CO  COM              X                                                       212,000          0          3,000
</TABLE>


                                     Page 6
<PAGE>

<TABLE>
<CAPTION>
FORM 13F          Name of Reporting Manager:  Batterymarch Financial Management, Inc.                          Run Date: 04/07/2000
                                              For Positions Held As Of 03/31/2000                              S.E.C. Use Only

                Item 1:                    Item 2:        Item 3:            Item 4:           Item 5:
            Name of Issuer              Title of Class  CUSIP Number   Fair Market Value       Shares or
                                                                          (X $1000)       Principal Amount
- -------------------------------------------------------------------------------------------------------------
<S>                                      <C>            <C>                       <C>           <C>   <C>
INTERNATIONAL RECTIFIER CORP  COM        Common Stock   460254105             5,368         140,800   SH
INTIMATE BRANDS INC CL A                 Common Stock   461156101             8,244         200,165   SH
INVACARE CORP  COM  NASD INDL            Common Stock   461203101               705          25,700   SH
ISLE OF CAPRIS CASINOS INC               Common Stock   464592104                96           7,700   SH
IVAX CORP  COM                           Common Stock   465823102             1,303          47,800   SH
JACOBS ENGR GROUP INC DEL  COM           Common Stock   469814107             1,887          59,200   SH
JEFFRIES GROUP INC (NEW)                 Common Stock   472319102             1,922          84,000   SH
JOHN NUVEEN CO  -CL                      Common Stock   478035108               667          17,450   SH
JOHNSON & JOHNSON  COM                   Common Stock   478160104             6,266          89,200   SH
JONES PHARMA INC                         Common Stock   480236108             3,880         127,750   SH
JUSTIN INDS INC  COM  NASD INDL          Common Stock   482171105                72           4,000   SH
KLA-TENCORP CORP COM                     Common Stock   482480100               185           2,200   SH
KV A PHARMACEUTICAL CO CL A              Common Stock   482740206               175           6,500   SH
KANA COMMUNICATIONS INC                  Common Stock   483600102               109           1,600   SH
KEMET CORP                               Common Stock   488360108             6,066          95,900   SH
KENNAMETAL INC  COM                      Common Stock   489170100               180           6,000   SH
KENT ELECTRONICS COR                     Common Stock   490553104               403          13,800   SH
KERR MCGEE CORP  COM                     Common Stock   492386107            19,849         343,700   SH
KEYNOTE SYSTEMS INC                      Common Stock   493308100               184           1,800   SH
KIMBERLY CLARK CORP  COM                 Common Stock   494368103            14,330         255,600   SH
KING PHARMACEUTICALS INC                 Common Stock   495582108            16,082         510,535   SH
KNIGHT RIDDER INC  COM                   Common Stock   499040103             1,230          24,000   SH
KORN FERRY INTERNATIONAL                 Common Stock   500643200             6,093         204,800   SH
KULICKE & SOFFA INDS INC  COM  NASD INDL Common Stock   501242101             1,538          24,000   SH
LSI LOGIC CORP  COM                      Common Stock   502161102            54,948         756,600   SH
LTX CORP  COM  NASD INDL                 Common Stock   502392103             2,228          49,300   SH
LABRANCHE & CO INC                       Common Stock   505447102                90           7,100   SH
LAM RESH CORP  COM  NASD INDL            Common Stock   512807108             6,334         140,560   SH
LANCASTER COLONY CORP  COM  NASD INDL    Common Stock   513847103                55           1,800   SH
LANDSTAR SYS INC                         Common Stock   515098101                66           1,200   SH
LATTICE SEMICONDUCTOR CORP               Common Stock   518415104             5,693          84,100   SH
LAUNCH MEDIA INC                         Common Stock   518567102               152           9,700   SH
LEARNING TREE INTL INC                   Common Stock   522015106               547          15,400   SH
LEHMAN BROTHERS HOLDINGS INC             Common Stock   524908100            38,664         398,600   SH
LIBERTY FINANCIAL COS INC                Common Stock   530512102               376          19,000   SH
LIBERTY PROPERTY TRUST                   Common Stock   531172104             3,849         160,800   SH
LIFE TECHNOLOGIES INC  COM  NASD INDL    Common Stock   532177201               185           3,700   SH
LIGHTBRIDGE INC                          Common Stock   532226107               320          13,700   SH
LILLY ELI & CO  COM                      Common Stock   532457108             4,290          68,500   SH
LIMITED INC  COM                         Common Stock   532716107            30,246         718,000   SH
LINCARE HOLDINGS INC                     Common Stock   532791100               122           4,300   SH
LINCOLN ELECTRIC HLDGS INC               Common Stock   533900106                12             500   SH
LINCOLN NATL CORP IND  COM               Common Stock   534187109             8,422         251,400   SH

Page Total                                                                  253,431

                Item 1:                                Item 6:                       Item 7:                  Item 8:
            Name of Issuer                          Investment Discretion             Other           Voting Authority (Shares)
                                        (a) Sole   (b) Shared (c) Shared            Managers  (a) Sole     (b) Shared     (c) None
                                                      as Def     Other
- ------------------------------------------------------------------------------------------------------------------------------------
INTERNATIONAL RECTIFIER CORP  COM        X                                                       123,100          0         17,700
INTIMATE BRANDS INC CL A                 X                                                       200,165          0              0
INVACARE CORP  COM  NASD INDL            X                                                        10,300          0         15,400
ISLE OF CAPRIS CASINOS INC               X                                                         6,900          0            800
IVAX CORP  COM                           X                                                        44,650          0          3,150
JACOBS ENGR GROUP INC DEL  COM           X                                                        52,100          0          7,100
JEFFRIES GROUP INC (NEW)                 X                                                        84,000          0              0
JOHN NUVEEN CO  -CL                      X                                                        12,150          0          5,300
JOHNSON & JOHNSON  COM                   X                                                        85,600          0          3,600
JONES PHARMA INC                         X                                                       105,200          0         22,550
JUSTIN INDS INC  COM  NASD INDL          X                                                         4,000          0              0
KLA-TENCORP CORP COM                     X                                                         2,200          0              0
KV A PHARMACEUTICAL CO CL A              X                                                         6,500          0              0
KANA COMMUNICATIONS INC                  X                                                         1,600          0              0
KEMET CORP                               X                                                        77,500          0         18,400
KENNAMETAL INC  COM                      X                                                         6,000          0              0
KENT ELECTRONICS COR                     X                                                        10,200          0          3,600
KERR MCGEE CORP  COM                     X                                                       342,100          0          1,600
KEYNOTE SYSTEMS INC                      X                                                         1,300          0            500
KIMBERLY CLARK CORP  COM                 X                                                       252,700          0          2,900
KING PHARMACEUTICALS INC                 X                                                       487,865          0         22,670
KNIGHT RIDDER INC  COM                   X                                                        24,000          0              0
KORN FERRY INTERNATIONAL                 X                                                       188,800          0         16,000
KULICKE & SOFFA INDS INC  COM  NASD INDL X                                                        21,800          0          2,200
LSI LOGIC CORP  COM                      X                                                       735,000          0         21,600
LTX CORP  COM  NASD INDL                 X                                                        31,000          0         18,300
LABRANCHE & CO INC                       X                                                         7,100          0              0
LAM RESH CORP  COM  NASD INDL            X                                                       127,660          0         12,900
LANCASTER COLONY CORP  COM  NASD INDL    X                                                             0          0          1,800
LANDSTAR SYS INC                         X                                                             0          0          1,200
LATTICE SEMICONDUCTOR CORP               X                                                        76,400          0          7,700
LAUNCH MEDIA INC                         X                                                         5,800          0          3,900
LEARNING TREE INTL INC                   X                                                         5,200          0         10,200
LEHMAN BROTHERS HOLDINGS INC             X                                                       381,700          0         16,900
LIBERTY FINANCIAL COS INC                X                                                        19,000          0              0
LIBERTY PROPERTY TRUST                   X                                                       156,900          0          3,900
LIFE TECHNOLOGIES INC  COM  NASD INDL    X                                                         3,700          0              0
LIGHTBRIDGE INC                          X                                                         9,200          0          4,500
LILLY ELI & CO  COM                      X                                                        65,700          0          2,800
LIMITED INC  COM                         X                                                       707,300          0         10,700
LINCARE HOLDINGS INC                     X                                                             0          0          4,300
LINCOLN ELECTRIC HLDGS INC               X                                                           500          0              0
LINCOLN NATL CORP IND  COM               X                                                       249,900          0          1,500
</TABLE>


                                     Page 7
<PAGE>

<TABLE>
<CAPTION>
FORM 13F          Name of Reporting Manager:  Batterymarch Financial Management, Inc.                          Run Date: 04/07/2000
                                              For Positions Held As Of 03/31/2000                              S.E.C. Use Only

                Item 1:                    Item 2:        Item 3:            Item 4:           Item 5:
            Name of Issuer              Title of Class  CUSIP Number   Fair Market Value       Shares or
                                                                          (X $1000)       Principal Amount
- -------------------------------------------------------------------------------------------------------------
<S>                                      <C>            <C>                       <C>           <C>   <C>
LIPOSOME CO INC  COM  NASD INDL          Common Stock   536310105             1,340          76,700   SH
LITTELFUSE INC                           Common Stock   537008104               668          18,200   SH
LIZ CLAIBORNE INC  COM  NASD INDL        Common Stock   539320101             2,566          56,000   SH
LODGENET ENTERTAINMENT CORP              Common Stock   540211109               311          15,500   SH
LOEWS CORP  COM                          Common Stock   540424108            11,935         238,700   SH
LONE STAR TECHNOLOGIES INC  COM  NASD IN Common Stock   542312103               322           6,900   SH
LONGVIEW FIBRE CO  COM                   Common Stock   543213102             5,292         358,800   SH
LORONIX INFORMATION SYSTEMS              Common Stock   544183106                54           1,500   SH
LUBRIZOL CORP  COM                       Common Stock   549271104                14             500   SH
LUCENT TECHNOLOGIES INC COM              Common Stock   549463107            13,806         225,400   SH
MGIC INVT CORP WIS COM                   Common Stock   552848103            20,020         458,900   SH
MGM GRAND INC                            Common Stock   552953101               228           9,500   SH
MACNEAL SCHWENDLER CORP  COM             Common Stock   553531104               163          13,800   SH
MACERICH CO                              Common Stock   554382101               454          22,000   SH
STEVEN MADDEN LTD                        Common Stock   556269108               385          20,256   SH
MAIL-WELL INC                            Common Stock   560321200             2,055         236,500   SH
MALLINCKRODT GROUP INC COM               Common Stock   561232109            17,661         614,300   SH
MANHATTAN ASSOCIATES INC                 Common Stock   562750109                38           1,100   SH
MANITOWOC INC COM                        Common Stock   563571108             1,101          40,050   SH
MAPINFO CORP                             Common Stock   565105103             1,039          26,650   SH
MARSH & MCLENNAN COS INC  COM            Common Stock   571748102             8,009          72,600   SH
MASCOTECH INC COM                        Common Stock   574670105                55           4,500   SH
MASTEC INC COM                           Common Stock   576323109             4,334          48,700   SH
MATTSON TECHNOLOGY INC                   Common Stock   577223100                98           2,300   SH
MCCORMICK & CO INC  COM NON VTG  NASD IN Common Stock   579780206                32           1,000   SH
MCDONALDS CORP  COM                      Common Stock   580135101             3,480          93,100   SH
MEAD CORP  COM                           Common Stock   582834107             1,506          43,100   SH
MEASUREMENT SPECIALTIES INC              Common Stock   583421102               676          26,700   SH
MEDTRONIC INC  COM                       Common Stock   585055106             6,234         121,200   SH
MENTOR CORP MINN  COM  NASD INDL         Common Stock   587188103             1,045          38,700   SH
MERCK & CO INC  COM                      Common Stock   589331107            15,475         249,100   SH
MERCURY INTERACTIVE CORP                 Common Stock   589405109             9,991         126,070   SH
MERIX CORP                               Common Stock   590049102               102           4,400   SH
MERRILL LYNCH & CO INC  COM              Common Stock   590188108            11,949         113,800   SH
META GROUP INC                           Common Stock   591002100                68           2,600   SH
METRIS COS INC COM                       Common Stock   591598107             8,393         215,900   SH
METRO GOLDWYN MAYER INC                  Common Stock   591610100               842          33,100   SH
METROCALL INC                            Common Stock   591647102               160          16,000   SH
MICHAEL FOODS INC  COM  NASD INDL        Common Stock   594079105               512          24,400   SH
MICHAEL'S STORES INC  COM                Common Stock   594087108             3,725          91,400   SH
MICREL INC                               Common Stock   594793101                77             800   SH
MICROS SYSTEMS INC                       Common Stock   594901100                13             200   SH
MICROSOFT CORP  COM  NASD INDL           Common Stock   594918104            46,224         435,050   SH

Page Total                                                                  202,451

                Item 1:                                Item 6:                       Item 7:                  Item 8:
            Name of Issuer                          Investment Discretion             Other           Voting Authority (Shares)
                                        (a) Sole   (b) Shared (c) Shared            Managers  (a) Sole     (b) Shared     (c) None
                                                      as Def     Other
- ------------------------------------------------------------------------------------------------------------------------------------
LIPOSOME CO INC  COM  NASD INDL          X                                                        49,200          0         27,500
LITTELFUSE INC                           X                                                        15,300          0          2,900
LIZ CLAIBORNE INC  COM  NASD INDL        X                                                        55,700          0            300
LODGENET ENTERTAINMENT CORP              X                                                         9,500          0          6,000
LOEWS CORP  COM                          X                                                       236,200          0          2,500
LONE STAR TECHNOLOGIES INC  COM  NASD IN X                                                         6,900          0              0
LONGVIEW FIBRE CO  COM                   X                                                       307,400          0         51,400
LORONIX INFORMATION SYSTEMS              X                                                           100          0          1,400
LUBRIZOL CORP  COM                       X                                                           500          0              0
LUCENT TECHNOLOGIES INC COM              X                                                       217,100          0          8,300
MGIC INVT CORP WIS COM                   X                                                       451,800          0          7,100
MGM GRAND INC                            X                                                         1,000          0          8,500
MACNEAL SCHWENDLER CORP  COM             X                                                        13,800          0              0
MACERICH CO                              X                                                        22,000          0              0
STEVEN MADDEN LTD                        X                                                        15,556          0          4,700
MAIL-WELL INC                            X                                                       219,400          0         17,100
MALLINCKRODT GROUP INC COM               X                                                       589,700          0         24,600
MANHATTAN ASSOCIATES INC                 X                                                         1,100          0              0
MANITOWOC INC COM                        X                                                        40,050          0              0
MAPINFO CORP                             X                                                        15,450          0         11,200
MARSH & MCLENNAN COS INC  COM            X                                                        70,600          0          2,000
MASCOTECH INC COM                        X                                                             0          0          4,500
MASTEC INC COM                           X                                                        47,700          0          1,000
MATTSON TECHNOLOGY INC                   X                                                         2,300          0              0
MCCORMICK & CO INC  COM NON VTG  NASD IN X                                                         1,000          0              0
MCDONALDS CORP  COM                      X                                                        87,200          0          5,900
MEAD CORP  COM                           X                                                        43,100          0              0
MEASUREMENT SPECIALTIES INC              X                                                        25,900          0            800
MEDTRONIC INC  COM                       X                                                       115,500          0          5,700
MENTOR CORP MINN  COM  NASD INDL         X                                                        23,000          0         15,700
MERCK & CO INC  COM                      X                                                       239,100          0         10,000
MERCURY INTERACTIVE CORP                 X                                                       121,870          0          4,200
MERIX CORP                               X                                                         4,400          0              0
MERRILL LYNCH & CO INC  COM              X                                                       110,900          0          2,900
META GROUP INC                           X                                                         2,600          0              0
METRIS COS INC COM                       X                                                       199,000          0         16,900
METRO GOLDWYN MAYER INC                  X                                                        33,100          0              0
METROCALL INC                            X                                                        16,000          0              0
MICHAEL FOODS INC  COM  NASD INDL        X                                                        20,100          0          4,300
MICHAEL'S STORES INC  COM                X                                                        84,200          0          7,200
MICREL INC                               X                                                             0          0            800
MICROS SYSTEMS INC                       X                                                           200          0              0
MICROSOFT CORP  COM  NASD INDL           X                                                       417,750          0         17,300
</TABLE>


                                     Page 8
<PAGE>

<TABLE>
<CAPTION>
FORM 13F          Name of Reporting Manager:  Batterymarch Financial Management, Inc.                          Run Date: 04/07/2000
                                              For Positions Held As Of 03/31/2000                              S.E.C. Use Only

                Item 1:                    Item 2:        Item 3:            Item 4:           Item 5:
            Name of Issuer              Title of Class  CUSIP Number   Fair Market Value       Shares or
                                                                          (X $1000)       Principal Amount
- -------------------------------------------------------------------------------------------------------------
<S>                                      <C>            <C>                       <C>           <C>   <C>
MICROSTRATEGY INC                        Common Stock   594972101               125           1,440   SH
MICROMUSE INC                            Common Stock   595094103             8,079          58,200   SH
MILACRON INC COM                         Common Stock   598709103                88           6,100   SH
MINERALS TECHNOLOGIE                     Common Stock   603158106             1,234          27,700   SH
MINNESOTA MNG & MFG CO  COM              Common Stock   604059105            17,996         203,200   SH
MISSION CRITICAL SOFTWARE INC            Common Stock   605047109               886          14,500   SH
MITCHELL ENERGY & DEV CL B               Common Stock   606592301               680          30,900   SH
MITEL CORP  COM                          Common Stock   606711109               388          15,800   SH
MOHAWK INDUSTRIES IN                     Common Stock   608190104                69           3,100   SH
MONY GROUP INC                           Common Stock   615337102               898          27,800   SH
MORGAN ST DEAN WITTER & CO               Common Stock   617446448            20,826         251,290   SH
MOTOROLA INC  COM                        Common Stock   620076109            15,870         108,700   SH
MUELLER INDUSTRIES                       Common Stock   624756102               204           6,700   SH
NBTY INC  COM                            Common Stock   628782104               495          36,200   SH
NUI CORP  COM                            Common Stock   629430109               137           5,300   SH
NABISCO HLDGS CORP  CL A                 Common Stock   629526104               197           6,100   SH
NAMIBIAN MINERALS CORP COM               Common Stock   629913104             3,917         803,500   SH
NANOMETRICS INC  COM  NASD INDL          Common Stock   630077105             1,458          29,900   SH
NATIONAL FUEL GAS CO N J  COM            Common Stock   636180101             4,216          94,600   SH
NATIONAL INSTRS CORP COM                 Common Stock   636518102               422           9,000   SH
NATIONAL SEMICONDUCTOR CORP  COM         Common Stock   637640103            15,358         252,800   SH
NEIMAN MARCUS GROUP INC  COM             Common Stock   640204202               234           8,400   SH
NEW YORK TIMES CO  CL A                  Common Stock   650111107               635          14,800   SH
NICE SYSTEMS LTD ADR                     ADR            653656108             6,103          85,660   SH
NOBLE DRILLING CORP  COM  NASD INDL      Common Stock   655042109            27,701         669,500   SH
NORTEL NETWORKS CORP                     Common Stock   656569100            19,928         158,000   SH
NU HORIZONS ELECTRONICS CORP  COM        Common Stock   669908105               148           6,700   SH
NOVADIGM INC                             Common Stock   669937104               159           9,790   SH
NOVELLUS SYSTEMS INC                     Common Stock   670008101             2,004          35,700   SH
NOVEN PHARMACEUTICALS INC                Common Stock   670009109               720          65,800   SH
NUCOR CORP                               Common Stock   670346105               110           2,200   SH
OBJECTIVE SYS INTEGRATORS INC COM        Common Stock   674424106               267          17,550   SH
LUKOIL OIL CO SPONSORED ADR  RUSSIA      Sponsored ADR  677862104             3,428          53,200   SH
OLIN CORP  COM PAR 1                     Common Stock   680665205             2,162         121,800   SH
ONEOK INC NEW                            Common Stock   682680103             2,013          80,500   SH
OXFORD HEALTH PLANS                      Common Stock   691471106                66           4,300   SH
PECO ENERGY CO  COM                      Common Stock   693304107            31,572         856,200   SH
PPG INDS INC  COM                        Common Stock   693506107             2,710          51,800   SH
PACIFIC SUNWEAR CALIF INC                Common Stock   694873100             1,902          49,400   SH
PACIFICARE HEALTH SYS INC                Common Stock   695112102            13,946         279,610   SH
PACKETEER INC                            Common Stock   695210104                63           1,800   SH
PAINE WEBBER GROUP INC  COM              Common Stock   695629105             9,689         220,200   SH
PARK PLACE ENT CORP                      Common Stock   700690100             1,578         136,500   SH

Page Total                                                                  220,679


                Item 1:                                Item 6:                       Item 7:                  Item 8:
            Name of Issuer                          Investment Discretion             Other           Voting Authority (Shares)
                                        (a) Sole   (b) Shared (c) Shared            Managers  (a) Sole     (b) Shared     (c) None
                                                      as Def     Other
- ------------------------------------------------------------------------------------------------------------------------------------
MICROSTRATEGY INC                                                                                 1,040          0            400
MICROMUSE INC                                                                                    57,400          0            800
MILACRON INC COM                                                                                  2,500          0          3,600
MINERALS TECHNOLOGIE                                                                             16,200          0         11,500
MINNESOTA MNG & MFG CO  COM                                                                     200,500          0          2,700
MISSION CRITICAL SOFTWARE INC                                                                    10,900          0          3,600
MITCHELL ENERGY & DEV CL B                                                                       27,300          0          3,600
MITEL CORP  COM                                                                                   8,600          0          7,200
MOHAWK INDUSTRIES IN                                                                              3,100          0              0
MONY GROUP INC                                                                                   27,800          0              0
MORGAN ST DEAN WITTER & CO                                                                      242,690          0          8,600
MOTOROLA INC  COM                                                                               103,000          0          5,700
MUELLER INDUSTRIES                                                                                3,000          0          3,700
NBTY INC  COM                                                                                    36,200          0              0
NUI CORP  COM                                                                                     5,300          0              0
NABISCO HLDGS CORP  CL A                                                                          6,100          0              0
NAMIBIAN MINERALS CORP COM                                                                      803,500          0              0
NANOMETRICS INC  COM  NASD INDL                                                                  21,900          0          8,000
NATIONAL FUEL GAS CO N J  COM                                                                    81,200          0         13,400
NATIONAL INSTRS CORP COM                                                                          6,850          0          2,150
NATIONAL SEMICONDUCTOR CORP  COM                                                                249,800          0          3,000
NEIMAN MARCUS GROUP INC  COM                                                                      5,100          0          3,300
NEW YORK TIMES CO  CL A                                                                          14,800          0              0
NICE SYSTEMS LTD ADR                                                                             85,660          0              0
NOBLE DRILLING CORP  COM  NASD INDL                                                             614,700          0         54,800
NORTEL NETWORKS CORP                                                                            147,100          0         10,900
NU HORIZONS ELECTRONICS CORP  COM                                                                 6,700          0              0
NOVADIGM INC                                                                                      4,490          0          5,300
NOVELLUS SYSTEMS INC                                                                             31,800          0          3,900
NOVEN PHARMACEUTICALS INC                                                                        50,600          0         15,200
NUCOR CORP                                                                                        2,200          0              0
OBJECTIVE SYS INTEGRATORS INC COM                                                                14,550          0          3,000
LUKOIL OIL CO SPONSORED ADR  RUSSIA                                                              53,200          0              0
OLIN CORP  COM PAR 1                                                                            121,800          0              0
ONEOK INC NEW                                                                                    74,000          0          6,500
OXFORD HEALTH PLANS                                                                               4,300          0              0
PECO ENERGY CO  COM                                                                             856,200          0              0
PPG INDS INC  COM                                                                                43,200          0          8,600
PACIFIC SUNWEAR CALIF INC                                                                        49,400          0              0
PACIFICARE HEALTH SYS INC                                                                       268,410          0         11,200
PACKETEER INC                                                                                     1,800          0              0
PAINE WEBBER GROUP INC  COM                                                                     204,700          0         15,500
PARK PLACE ENT CORP                                                                             136,500          0              0
</TABLE>


                                     Page 9
<PAGE>

<TABLE>
<CAPTION>
FORM 13F          Name of Reporting Manager:  Batterymarch Financial Management, Inc.                          Run Date: 04/07/2000
                                              For Positions Held As Of 03/31/2000                              S.E.C. Use Only

                Item 1:                    Item 2:        Item 3:            Item 4:           Item 5:
            Name of Issuer              Title of Class  CUSIP Number   Fair Market Value       Shares or
                                                                          (X $1000)       Principal Amount
- -------------------------------------------------------------------------------------------------------------
<S>                                      <C>            <C>                       <C>           <C>   <C>
PARLEX CORP  COM  NASD INDL              Common Stock   701630105               238           7,800   SH
PATINA OIL & GAS CORP                    Common Stock   703224105             1,657         122,200   SH
PATTERSON ENERGY INC                     Common Stock   703414102             4,086         128,700   SH
PAXAR CORP                               Common Stock   704227107               373          38,800   SH
PAYLESS SHOESOURCE INC COM               Common Stock   704379106               249           4,800   SH
PEGASUS COMMUNICATIONS CORP              Common Stock   705904100                14             100   SH
PENTON MEDIA INC                         Common Stock   709668107               465          17,900   SH
PEPSICO INC  COM                         Common Stock   713448108             5,828         167,100   SH
PERICOM SEMICONDUCTOR CORP               Common Stock   713831105               346           9,700   SH
PERRIGO CO COM NASD INDL                 Common Stock   714290103               456          60,000   SH
PETCO ANIMAL SUPPLIES COM                Common Stock   716016100               756          63,700   SH
PHARMACIA & UPJOHN INC COM               Common Stock   716941109             4,260          71,600   SH
PFIZER INC  COM                          Common Stock   717081103            11,378         311,200   SH
PHILIP MORRIS COS INC  COM               Common Stock   718154107             4,918         232,800   SH
PHILLIPS PETE CO  COM                    Common Stock   718507106             2,757          59,600   SH
PHOENIX TECHNOLOGIES LTD                 Common Stock   719153108             1,388          65,700   SH
PHOTON DYNAMICS INC                      Common Stock   719364101               469           6,800   SH
PIEDMONT NAT GAS INC  COM                Common Stock   720186105                34           1,300   SH
PIER 1 IMPORTS INC DEL  COM              Common Stock   720279108               877          85,600   SH
PIONEER NATURAL RES CO COM               Common Stock   723787107               953          90,800   SH
POHANG IRON & STEEL ADR                  ADR            730450103             2,750         100,000   SH
POLARIS INDS INC COM                     Common Stock   731068102                72           2,400   SH
POLO RALPH LAUREN CL A                   Common Stock   731572103             1,777          95,100   SH
POLYMEDICA CORP COM                      Common Stock   731738100               552           9,400   SH
POMEROY COMPUTER RES INC                 Common Stock   731822102                99           5,400   SH
POPE & TALBOT INC  COM                   Common Stock   732827100             1,165          63,400   SH
PREMIER RESH WORLDWIDE LTD               Common Stock   740568100               117           7,400   SH
PRESIDENTIAL LIFE CO                     Common Stock   740884101               444          32,300   SH
PRESSTEK INC                             Common Stock   741113104               200           8,400   SH
PRICE COMMUNICATIONS CORP  COM           Common Stock   741437305             2,328         101,200   SH
PRICE T ROWE & ASSOCIATES  COM  NASD IND Common Stock   741477103             1,548          39,200   SH
PROCTER & GAMBLE CO  COM                 Common Stock   742718109             4,735          83,800   SH
PROGENICS PHARMACEUTICALS INC            Common Stock   743187106             2,212          31,600   SH
PROGRESS SOFTWARE CO                     Common Stock   743312100               312          13,300   SH
PROXICOM INC                             Common Stock   744282104               656          14,800   SH
PUMA TECHNOLOGY INC                      Common Stock   745887109               243           4,800   SH
QUALCOMM                                 Common Stock   747525103            10,377          69,500   SH
QUORUM HEALTH GROUP INC                  Common Stock   749084109                11           1,100   SH
RADIAN GROUP INC                         Common Stock   750236101               581          12,200   SH
RADYNE COMSTREAM INC                     Common Stock   750611402                 3             100   SH
RALSTON PURINA CO COM RAL PUR GP         Common Stock   751277302             3,328         121,000   SH
RARE HOSPITALITY INTL INC                Common Stock   753820109               443          22,771   SH
RAYMOND JAMES FINANCIAL INC  COM         Common Stock   754730109               996          48,000   SH

Page Total                                                                   76,452


                Item 1:                                Item 6:                       Item 7:                  Item 8:
            Name of Issuer                          Investment Discretion             Other           Voting Authority (Shares)
                                        (a) Sole   (b) Shared (c) Shared            Managers  (a) Sole     (b) Shared     (c) None
                                                      as Def     Other
- ------------------------------------------------------------------------------------------------------------------------------------
PARLEX CORP  COM  NASD INDL                X                                                     7,800            0              0
PATINA OIL & GAS CORP                      X                                                   112,900            0          9,300
PATTERSON ENERGY INC                       X                                                   126,200            0          2,500
PAXAR CORP                                 X                                                    38,800            0              0
PAYLESS SHOESOURCE INC COM                 X                                                       200            0          4,600
PEGASUS COMMUNICATIONS CORP                X                                                       100            0              0
PENTON MEDIA INC                           X                                                    14,000            0          3,900
PEPSICO INC  COM                           X                                                   161,300            0          5,800
PERICOM SEMICONDUCTOR CORP                 X                                                     6,300            0          3,400
PERRIGO CO COM NASD INDL                   X                                                    26,200            0         33,800
PETCO ANIMAL SUPPLIES COM                  X                                                    58,800            0          4,900
PHARMACIA & UPJOHN INC COM                 X                                                    68,500            0          3,100
PFIZER INC  COM                            X                                                   295,800            0         15,400
PHILIP MORRIS COS INC  COM                 X                                                   223,500            0          9,300
PHILLIPS PETE CO  COM                      X                                                    58,100            0          1,500
PHOENIX TECHNOLOGIES LTD                   X                                                    46,100            0         19,600
PHOTON DYNAMICS INC                        X                                                     5,500            0          1,300
PIEDMONT NAT GAS INC  COM                  X                                                     1,300            0              0
PIER 1 IMPORTS INC DEL  COM                X                                                    85,600            0              0
PIONEER NATURAL RES CO COM                 X                                                    90,800            0              0
POHANG IRON & STEEL ADR                    X                                                   100,000            0              0
POLARIS INDS INC COM                       X                                                     2,400            0              0
POLO RALPH LAUREN CL A                     X                                                    92,000            0          3,100
POLYMEDICA CORP COM                        X                                                     6,100            0          3,300
POMEROY COMPUTER RES INC                   X                                                     5,400            0              0
POPE & TALBOT INC  COM                     X                                                    45,700            0         17,700
PREMIER RESH WORLDWIDE LTD                 X                                                     2,700            0          4,700
PRESIDENTIAL LIFE CO                       X                                                    20,900            0         11,400
PRESSTEK INC                               X                                                     8,400            0              0
PRICE COMMUNICATIONS CORP  COM             X                                                    93,800            0          7,400
PRICE T ROWE & ASSOCIATES  COM  NASD IND   X                                                    39,200            0              0
PROCTER & GAMBLE CO  COM                   X                                                    80,400            0          3,400
PROGENICS PHARMACEUTICALS INC              X                                                    31,000            0            600
PROGRESS SOFTWARE CO                       X                                                    13,300            0              0
PROXICOM INC                               X                                                    13,000            0          1,800
PUMA TECHNOLOGY INC                        X                                                     3,800            0          1,000
QUALCOMM                                   X                                                    66,700            0          2,800
QUORUM HEALTH GROUP INC                    X                                                     1,100            0              0
RADIAN GROUP INC                           X                                                     6,200            0          6,000
RADYNE COMSTREAM INC                       X                                                       100            0              0
RALSTON PURINA CO COM RAL PUR GP           X                                                   121,000            0              0
RARE HOSPITALITY INTL INC                  X                                                    11,171            0         11,600
RAYMOND JAMES FINANCIAL INC  COM           X                                                    48,000            0              0
</TABLE>


                                    Page 10
<PAGE>

<TABLE>
<CAPTION>
FORM 13F          Name of Reporting Manager:  Batterymarch Financial Management, Inc.                          Run Date: 04/07/2000
                                              For Positions Held As Of 03/31/2000                              S.E.C. Use Only

                Item 1:                    Item 2:        Item 3:            Item 4:           Item 5:
            Name of Issuer              Title of Class  CUSIP Number   Fair Market Value       Shares or
                                                                          (X $1000)       Principal Amount
- -------------------------------------------------------------------------------------------------------------
<S>                                      <C>            <C>                       <C>           <C>   <C>
RAZORFISH INC                           Common Stock    755236106              8,066         293,300   SH
READERS DIGEST ASS'N A                  Common Stock    755267101             22,074         624,000   SH
REGAL BELOIT CORP  COM                  Common Stock    758750103                217          12,400   SH
RELIANCE STEEL & ALUMINUM CO            Common Stock    759509102                139           6,200   SH
REMEDY CORP                             Common Stock    759548100              1,934          45,900   SH
REPUBLIC SERVICES INC CL A              Common Stock    760759100              6,113         558,900   SH
RESMED INC COM                          Common Stock    761152107                 79           1,100   SH
REXALL SUNDOWN INC                      Common Stock    761648104                 23           1,600   SH
ROADWAY EXPRESS IN                      Common Stock    769742107              2,547         125,800   SH
ROFIN SINAR TECHNOLOGIES INC            Common Stock    775043102                 70           5,800   SH
ROGERS COMMUNICATION  -CL B             Common Stock    775109200              6,618         222,000   SH
ROHN INDUSTRIES INC                     Common Stock    775381106                 37          11,400   SH
ROSS STORES INC  COM  NASD INDL         Common Stock    778296103             11,184         464,800   SH
ROYAL DUTCH PETE CO NY REG GLD1.25      Common Stock    780257804             13,332         230,600   SH
RUBY TUESDAY INC                        Common Stock    781182100                119           6,800   SH
RYLAND GROUP INC  COM                   Common Stock    783764103                469          25,000   SH
SCP POOL CORP COM                       Common Stock    784028102                346          11,300   SH
SAGENT TECHNOLOGY INC                   Common Stock    786693101                317          11,000   SH
ST MARY LAND & EXPLO                    Common Stock    792228108                254           8,500   SH
SALEM COMMUNICATIONS CORP               Common Stock    794093104                387          32,400   SH
SAWTEK INC COM                          Common Stock    805468105                310           5,900   SH
SCANSOURCE INC COM                      Common Stock    806037107                107           3,000   SH
SCHERING PLOUGH CORP  COM               Common Stock    806605101              3,562          95,940   SH
SCHLUMBERGER LTD  COM                   Common Stock    806857108              2,463          32,200   SH
SCHOLASTIC CORP                         Common Stock    807066105                534           9,900   SH
SCHWAB (CHARLES) CORP                   Common Stock    808513105              6,363         112,000   SH
SCIENTIFIC ATLANTA INC  COM             Common Stock    808655104                582           9,200   SH
SEACHANGE INTERNATIONAL INC             Common Stock    811699107                222           3,600   SH
SEMTECH CORP COM                        Common Stock    816850101                436           6,800   SH
SEMPRA ENERGY                           Common Stock    816851109                 68           4,059   SH
SEMITOOL INC                            Common Stock    816909105                620          34,100   SH
SERENA SOFTWARE INC                     Common Stock    817492101              1,924          60,350   SH
SHAW GROUP INC                          Common Stock    820280105                226           6,400   SH
SHAW INDUSTRIES                         Common Stock    820286102              7,150         470,800   SH
SHERWIN WILLIAMS CO  COM                Common Stock    824348106             11,695         528,600   SH
SICOR INC                               Common Stock    825846108              1,578         152,100   SH
SIEBEL SYSTEMS INC                      Common Stock    826170102             35,115         294,000   SH
SILICON GRAPHICS INC  COM               Common Stock    827056102                936          88,600   SH
SILICON STORAGE TECHNOLOGY              Common Stock    827057100                318           4,300   SH
SILICON VALLEY BANCS                    Common Stock    827064106                252           3,500   SH
SILICON VY GROUP INC  COM  NASD INDL    Common Stock    827066101                305          11,100   SH
SILVERSTREAM SOFTWARE INC               Common Stock    827907106                 74           1,000   SH
SMITH A O COM                           Common Stock    831865209                 94           5,200   SH

Page Total                                                                   149,254

                Item 1:                                Item 6:                       Item 7:                  Item 8:
            Name of Issuer                          Investment Discretion             Other           Voting Authority (Shares)
                                        (a) Sole   (b) Shared (c) Shared            Managers  (a) Sole     (b) Shared     (c) None
                                                      as Def     Other
- ------------------------------------------------------------------------------------------------------------------------------------
RAZORFISH INC                            X                                                       273,900          0         19,400
READERS DIGEST ASS'N A                   X                                                       589,800          0         34,200
REGAL BELOIT CORP  COM                   X                                                        12,400          0              0
RELIANCE STEEL & ALUMINUM CO             X                                                         6,200          0              0
REMEDY CORP                              X                                                        29,800          0         16,100
REPUBLIC SERVICES INC CL A               X                                                       555,600          0          3,300
RESMED INC COM                           X                                                             0          0          1,100
REXALL SUNDOWN INC                       X                                                         1,600          0              0
ROADWAY EXPRESS IN                       X                                                       114,800          0         11,000
ROFIN SINAR TECHNOLOGIES INC             X                                                         5,800          0              0
ROGERS COMMUNICATION  -CL B              X                                                       215,400          0          6,600
ROHN INDUSTRIES INC                      X                                                        11,400          0              0
ROSS STORES INC  COM  NASD INDL          X                                                       407,000          0         57,800
ROYAL DUTCH PETE CO NY REG GLD1.25       X                                                       217,700          0         12,900
RUBY TUESDAY INC                         X                                                         6,800          0              0
RYLAND GROUP INC  COM                    X                                                        24,100          0            900
SCP POOL CORP COM                        X                                                        11,300          0              0
SAGENT TECHNOLOGY INC                    X                                                        10,400          0            600
ST MARY LAND & EXPLO                     X                                                         8,500          0              0
SALEM COMMUNICATIONS CORP                X                                                        16,800          0         15,600
SAWTEK INC COM                           X                                                         5,900          0              0
SCANSOURCE INC COM                       X                                                         3,000          0              0
SCHERING PLOUGH CORP  COM                X                                                        92,040          0          3,900
SCHLUMBERGER LTD  COM                    X                                                        31,900          0            300
SCHOLASTIC CORP                          X                                                         9,900          0              0
SCHWAB (CHARLES) CORP                    X                                                       107,200          0          4,800
SCIENTIFIC ATLANTA INC  COM              X                                                             0          0          9,200
SEACHANGE INTERNATIONAL INC              X                                                         3,600          0              0
SEMTECH CORP COM                         X                                                         6,800          0              0
SEMPRA ENERGY                            X                                                         4,059          0              0
SEMITOOL INC                             X                                                        29,500          0          4,600
SERENA SOFTWARE INC                      X                                                        41,600          0         18,750
SHAW GROUP INC                           X                                                         6,400          0              0
SHAW INDUSTRIES                          X                                                       470,800          0              0
SHERWIN WILLIAMS CO  COM                 X                                                       514,900          0         13,700
SICOR INC                                X                                                       107,600          0         44,500
SIEBEL SYSTEMS INC                       X                                                       271,700          0         22,300
SILICON GRAPHICS INC  COM                X                                                        88,600          0              0
SILICON STORAGE TECHNOLOGY               X                                                         4,300          0              0
SILICON VALLEY BANCS                     X                                                         3,500          0              0
SILICON VY GROUP INC  COM  NASD INDL     X                                                        11,100          0              0
SILVERSTREAM SOFTWARE INC                X                                                         1,000          0              0
SMITH A O COM                            X                                                             0          0          5,200
</TABLE>


                                    Page 11
<PAGE>

<TABLE>
<CAPTION>
FORM 13F          Name of Reporting Manager:  Batterymarch Financial Management, Inc.                          Run Date: 04/07/2000
                                              For Positions Held As Of 03/31/2000                              S.E.C. Use Only

                Item 1:                    Item 2:        Item 3:            Item 4:           Item 5:
            Name of Issuer              Title of Class  CUSIP Number   Fair Market Value       Shares or
                                                                          (X $1000)       Principal Amount
- -------------------------------------------------------------------------------------------------------------
<S>                                      <C>            <C>                       <C>           <C>   <C>
SMITH CHARLES E RESDNTL RLTY COM         Common Stock   832197107               188           5,200   SH
SNAP ON  INC COM                         Common Stock   833034101             1,799          68,700   SH
SODEXHO MARRIOTT SVCS INC                Common Stock   833793102             1,712         114,100   SH
SONICWALL INC                            Common Stock   835470105               113           1,700   SH
SOURCE INFORMATION MGMT CO               Common Stock   836151209                58           3,300   SH
SOUTHERN CO  COM                         Common Stock   842587107            11,343         521,500   SH
SOUTHERN UNION CO-NEW                    Common Stock   844030106                 0               0   SH
SOUTHWEST SECURITIES                     Common Stock   845224104               113           2,600   SH
SPRINT CORP COM                          Common Stock   852061100             5,332          84,300   SH
SPRINT CORP (PCS GROUP)                  Common Stock   852061506             7,893         120,500   SH
SPYGLASS INC                             Common Stock   852192103                 8             100   SH
STANCORP FINL GROUP INC                  Common Stock   852891100             2,946         107,600   SH
STARBASE CORP                            Common Stock   854910205                 7             700   SH
STURM RUGER & CO INC  COM  NASD INDL     Common Stock   864159108               601          68,700   SH
SUMMIT PROPERTIES INC                    Common Stock   866239106               805          42,100   SH
SUN MICROSYSTEMS INC  COM  NASD INDL     Common Stock   866810104            31,447         335,600   SH
SUNQUEST INFORMATION SYS INC             Common Stock   867654105                29           2,600   SH
SUPERIOR INDS INTL INC  COM              Common Stock   868168105               627          19,800   SH
SURGUTNEFTEGAZ JSC SPON ADR              ADR            868861204               137           9,600   SH
SYBASE INC                               Common Stock   871130100               177           8,700   SH
SYMANTEC CORP COM NASD INDL              Common Stock   871503108            17,985         239,400   SH
SYSCO CORP  COM                          Common Stock   871829107               759          21,000   SH
TJX COS INC NEW  COM                     Common Stock   872540109            12,569         566,500   SH
TALBOTS INC                              Common Stock   874161102             2,791          47,400   SH
TANDY CORP  COM                          Common Stock   875382103             1,132          22,300   SH
TANGER FACTORY OUTLET CTRS               Common Stock   875465106               766          39,900   SH
TECHNE CORP                              Common Stock   878377100                83           1,200   SH
TECHNITROL INC  COM                      Common Stock   878555101               373           6,400   SH
TECUMSEH PRODUCTS CO  -CL A              Common Stock   878895200             9,403         213,700   SH
TELEPHONE & DATA SYS INC  COM            Common Stock   879433100                11             100   SH
TELETECH HOLDING INC                     Common Stock   879939106               207           6,000   SH
TERADYNE INC  COM                        Common Stock   880770102            49,159         599,500   SH
TEXACO INC  COM                          Common Stock   881694103             3,703          68,900   SH
TEXAS INDS INC  COM                      Common Stock   882491103               114           3,600   SH
TEXAS INSTRS INC  COM                    Common Stock   882508104            16,272         101,700   SH
TIMBERLAND CO  CL A                      Common Stock   887100105             2,570          50,400   SH
TIME WARNER INC  COM                     Common Stock   887315109             7,270          72,700   SH
TIME WARNER TELECOM CL A                 Common Stock   887319101             2,584          32,500   SH
TIMKEN CO  COM                           Common Stock   887389104               683          42,000   SH
TOLLGRADE COMMUNICATIONS INC             Common Stock   889542106               212           4,000   SH
TOPPS INC  COM  NASD INDL                Common Stock   890786106             2,951         355,065   SH
TORCHMARK CORP  COM                      Common Stock   891027104               493          21,300   SH
TORO CO  COM                             Common Stock   891092108               353          11,800   SH

Page Total                                                                  197,775

                Item 1:                                Item 6:                       Item 7:                  Item 8:
            Name of Issuer                          Investment Discretion             Other           Voting Authority (Shares)
                                        (a) Sole   (b) Shared (c) Shared            Managers  (a) Sole     (b) Shared     (c) None
                                                      as Def     Other
- ------------------------------------------------------------------------------------------------------------------------------------
SMITH CHARLES E RESDNTL RLTY COM         X                                                         5,200          0              0
SNAP ON  INC COM                         X                                                        66,800          0          1,900
SODEXHO MARRIOTT SVCS INC                X                                                       106,200          0          7,900
SONICWALL INC                            X                                                         1,700          0              0
SOURCE INFORMATION MGMT CO               X                                                           500          0          2,800
SOUTHERN CO  COM                         X                                                       490,500          0         31,000
SOUTHERN UNION CO-NEW                    X                                                             0          0              0
SOUTHWEST SECURITIES                     X                                                         2,600          0              0
SPRINT CORP COM                          X                                                        77,200          0          7,100
SPRINT CORP (PCS GROUP)                  X                                                       115,200          0          5,300
SPYGLASS INC                             X                                                           100          0              0
STANCORP FINL GROUP INC                  X                                                        93,600          0         14,000
STARBASE CORP                            X                                                           700          0              0
STURM RUGER & CO INC  COM  NASD INDL     X                                                        57,000          0         11,700
SUMMIT PROPERTIES INC                    X                                                        17,700          0         24,400
SUN MICROSYSTEMS INC  COM  NASD INDL     X                                                       321,300          0         14,300
SUNQUEST INFORMATION SYS INC             X                                                         2,600          0              0
SUPERIOR INDS INTL INC  COM              X                                                        19,600          0            200
SURGUTNEFTEGAZ JSC SPON ADR              X                                                         9,600          0              0
SYBASE INC                               X                                                         8,700          0              0
SYMANTEC CORP COM NASD INDL              X                                                       226,100          0         13,300
SYSCO CORP  COM                          X                                                        21,000          0              0
TJX COS INC NEW  COM                     X                                                       490,100          0         76,400
TALBOTS INC                              X                                                        47,400          0              0
TANDY CORP  COM                          X                                                        22,300          0              0
TANGER FACTORY OUTLET CTRS               X                                                        29,600          0         10,300
TECHNE CORP                              X                                                           100          0          1,100
TECHNITROL INC  COM                      X                                                         5,200          0          1,200
TECUMSEH PRODUCTS CO  -CL A              X                                                       200,200          0         13,500
TELEPHONE & DATA SYS INC  COM            X                                                             0          0            100
TELETECH HOLDING INC                     X                                                         4,000          0          2,000
TERADYNE INC  COM                        X                                                       583,200          0         16,300
TEXACO INC  COM                          X                                                        66,000          0          2,900
TEXAS INDS INC  COM                      X                                                         3,600          0              0
TEXAS INSTRS INC  COM                    X                                                        97,600          0          4,100
TIMBERLAND CO  CL A                      X                                                        47,100          0          3,300
TIME WARNER INC  COM                     X                                                        69,700          0          3,000
TIME WARNER TELECOM CL A                 X                                                        31,700          0            800
TIMKEN CO  COM                           X                                                        42,000          0              0
TOLLGRADE COMMUNICATIONS INC             X                                                         4,000          0              0
TOPPS INC  COM  NASD INDL                X                                                       333,565          0         21,500
TORCHMARK CORP  COM                      X                                                        21,300          0              0
TORO CO  COM                             X                                                        11,800          0              0
</TABLE>


                                    Page 12
<PAGE>

<TABLE>
<CAPTION>
FORM 13F          Name of Reporting Manager:  Batterymarch Financial Management, Inc.                          Run Date: 04/07/2000
                                              For Positions Held As Of 03/31/2000                              S.E.C. Use Only

                Item 1:                    Item 2:        Item 3:            Item 4:           Item 5:
            Name of Issuer              Title of Class  CUSIP Number   Fair Market Value       Shares or
                                                                          (X $1000)       Principal Amount
- -------------------------------------------------------------------------------------------------------------
<S>                                      <C>            <C>                       <C>           <C>   <C>
TOSCO CORP  COM NEW                      Common Stock   891490302               153           5,000   SH
TOWN & COUNTRY TRUST                     Common Stock   892081100                15             900   SH
TRIAD GTY INC COM                        Common Stock   895925105                 4             200   SH
TRIARC COS INC CL A                      Common Stock   895927101               394          19,700   SH
TRUE NORTH COMMUNICATION COM             Common Stock   897844106             2,453          62,400   SH
II-VI INC                                Common Stock   902104108               141           3,700   SH
TYCO INTL LTD NEW COM                    Common Stock   902124106            11,629         232,000   SH
UGI CORP NEW COM                         Common Stock   902681105               820          37,900   SH
USX MARATHON GROUP COM NEW               Common Stock   902905827            14,707         564,300   SH
UST INC  COM                             Common Stock   902911106             4,852         310,500   SH
URS CORP                                 Common Stock   903236107               140          10,700   SH
USG CORP                                 Common Stock   903293405             2,445          58,300   SH
UTI ENERGY CORP COM                      Common Stock   903387108             4,266         113,000   SH
ULTRAMAR DIAMOND SHAMROCK CO COM         Common Stock   904000106               236           9,300   SH
UNIFI                                    Common Stock   904677101               405          45,300   SH
UNIFIED ENERGY SYSTEMS SPONS ADR         ADR            904688108             1,425          74,000   SH
UNIFY CORP                               Common Stock   904743101               967          47,300   SH
UNILEVER N.V. NEW YORK SHARES            Common Stock   904784709               294           6,100   SH
UNICOM CORP  COM                         Common Stock   904911104             2,471          67,700   SH
UNIONBANCAL CORP COM                     Common Stock   908906100             4,347         157,700   SH
UNITED DOMINION REALTY TR INC  COM       Common Stock   910197102               664          66,000   SH
UNITED HEALTHCARE CORP  COM  NASD INDL   Common Stock   910581107             2,075          34,800   SH
UNITED ILLUM CO  COM                     Common Stock   910637107                12             300   SH
UNITED STATIONERS INC  COM  NASD INDL    Common Stock   913004107               196           5,500   SH
UNITED TECHNOLOGIES CORP  COM            Common Stock   913017109             5,169          81,800   SH
USFREIGHTWAYS CORP COM                   Common Stock   916906100            21,392         571,400   SH
URBAN SHOPPING CENTERS INC               Common Stock   917060105               392          13,500   SH
UTSTARCOM INC                            Common Stock   918076100             1,561          20,000   SH
VALASSIS COMMUNICATI                     Common Stock   918866104            19,568         587,400   SH
VARIAN INC                               Common Stock   922206107               142           3,700   SH
VARIAN SEMICONDUCTOR EQUIPMENT           Common Stock   922207105             6,844         107,560   SH
VENTIV HEALTH INC                        Common Stock   922793104                18           1,800   SH
VENATOR GROUP INC                        Common Stock   922944103             1,081         120,900   SH
VERITAS SOFTWARE CO COM                  Common Stock   923436109            26,524         202,475   SH
VINTAGE PETROLEUM INC                    Common Stock   927460105             2,302         114,400   SH
VIROPHARMA INC                           Common Stock   928241108               166           2,700   SH
VISHAY INTERTECHNOLOGY INC  COM          Common Stock   928298108            10,971         197,225   SH
VIVUS INC                                Common Stock   928551100               318          38,400   SH
VOICESTREAM WIRELESS CORP                Common Stock   928615103             4,898          38,025   SH
WABASH NATIONAL CORP                     Common Stock   929566107                91           6,400   SH
WADDELL&REED INC                         Common Stock   930059100             1,917          45,300   SH
WAL MART STORES INC  COM                 Common Stock   931142103            16,351         289,400   SH
WALGREEN CO  COM                         Common Stock   931422109             1,653          64,200   SH

Page Total                                                                  176,466

                Item 1:                                Item 6:                       Item 7:                  Item 8:
            Name of Issuer                          Investment Discretion             Other           Voting Authority (Shares)
                                        (a) Sole   (b) Shared (c) Shared            Managers  (a) Sole     (b) Shared     (c) None
                                                      as Def     Other
- ------------------------------------------------------------------------------------------------------------------------------------
TOSCO CORP  COM NEW                      X                                                             0          0          5,000
TOWN & COUNTRY TRUST                     X                                                             0          0            900
TRIAD GTY INC COM                        X                                                           200          0              0
TRIARC COS INC CL A                      X                                                        17,500          0          2,200
TRUE NORTH COMMUNICATION COM             X                                                        53,700          0          8,700
II-VI INC                                X                                                         3,700          0              0
TYCO INTL LTD NEW COM                    X                                                       219,100          0         12,900
UGI CORP NEW COM                         X                                                        34,300          0          3,600
USX MARATHON GROUP COM NEW               X                                                       532,300          0         32,000
UST INC  COM                             X                                                       304,900          0          5,600
URS CORP                                 X                                                         4,600          0          6,100
USG CORP                                 X                                                        52,600          0          5,700
UTI ENERGY CORP COM                      X                                                       108,200          0          4,800
ULTRAMAR DIAMOND SHAMROCK CO COM         X                                                         9,300          0              0
UNIFI                                    X                                                        44,200          0          1,100
UNIFIED ENERGY SYSTEMS SPONS ADR         X                                                        74,000          0              0
UNIFY CORP                               X                                                        32,600          0         14,700
UNILEVER N.V. NEW YORK SHARES            X                                                         4,600          0          1,500
UNICOM CORP  COM                         X                                                        67,700          0              0
UNIONBANCAL CORP COM                     X                                                       140,500          0         17,200
UNITED DOMINION REALTY TR INC  COM       X                                                        66,000          0              0
UNITED HEALTHCARE CORP  COM  NASD INDL   X                                                        29,200          0          5,600
UNITED ILLUM CO  COM                     X                                                           300          0              0
UNITED STATIONERS INC  COM  NASD INDL    X                                                         5,500          0              0
UNITED TECHNOLOGIES CORP  COM            X                                                        78,400          0          3,400
USFREIGHTWAYS CORP COM                   X                                                       569,000          0          2,400
URBAN SHOPPING CENTERS INC               X                                                         8,200          0          5,300
UTSTARCOM INC                            X                                                        20,000          0              0
VALASSIS COMMUNICATI                     X                                                       552,150          0         35,250
VARIAN INC                               X                                                         3,700          0              0
VARIAN SEMICONDUCTOR EQUIPMENT           X                                                        93,060          0         14,500
VENTIV HEALTH INC                        X                                                             0          0          1,800
VENATOR GROUP INC                        X                                                       120,900          0              0
VERITAS SOFTWARE CO COM                  X                                                       186,900          0         15,575
VINTAGE PETROLEUM INC                    X                                                        79,800          0         34,600
VIROPHARMA INC                           X                                                         2,700          0              0
VISHAY INTERTECHNOLOGY INC  COM          X                                                       186,325          0         10,900
VIVUS INC                                X                                                        27,300          0         11,100
VOICESTREAM WIRELESS CORP                X                                                        36,700          0          1,325
WABASH NATIONAL CORP                     X                                                         1,300          0          5,100
WADDELL&REED INC                         X                                                        42,700          0          2,600
WAL MART STORES INC  COM                 X                                                       277,900          0         11,500
WALGREEN CO  COM                         X                                                        61,600          0          2,600
</TABLE>


                                    Page 13
<PAGE>

<TABLE>
<CAPTION>
FORM 13F          Name of Reporting Manager:  Batterymarch Financial Management, Inc.                          Run Date: 04/07/2000
                                              For Positions Held As Of 03/31/2000                              S.E.C. Use Only

                Item 1:                    Item 2:        Item 3:            Item 4:           Item 5:
            Name of Issuer              Title of Class  CUSIP Number   Fair Market Value       Shares or
                                                                          (X $1000)       Principal Amount
- -------------------------------------------------------------------------------------------------------------
<S>                                      <C>            <C>                       <C>           <C>   <C>
WARNER LAMBERT CO  COM                   Common Stock   934488107            12,563         128,600   SH
WASHINGTON POST CO  CL B                 Common Stock   939640108             1,082           2,000   SH
WATTS INDS INC  CL A  NASD INDL          Common Stock   942749102               146          11,800   SH
WELLS FARGO & CO COM                     Common Stock   949746101             4,246         104,200   SH
WESLEY JESSEN VISIONCARE INC COM         Common Stock   951018100               208           5,800   SH
WEST TELESERVICES CORP                   Common Stock   956188106               726          28,200   SH
WESTVACO CORP  COM                       Common Stock   961548104             9,141         273,900   SH
WESTWOOD ONE INC  COM  NASD INDL         Common Stock   961815107               758          20,900   SH
WHIRLPOOL CORP  COM                      Common Stock   963320106             3,934          67,100   SH
WILLAMETTE INDS INC  COM  NASD INDL      Common Stock   969133107            20,785         518,000   SH
WINK COMMUNICATIONS INC                  Common Stock   974168106               184           5,500   SH
WINNEBAGO INDS INC  COM                  Common Stock   974637100                14             800   SH
WOLVERINE WORLD WIDE INC  COM            Common Stock   978097103               229          20,800   SH
WORTHINGTON INDS INC  COM  NASD INDL     Common Stock   981811102             2,329         188,200   SH
XETA CORP                                Common Stock   983909102               683          15,000   SH
YAHOO INC COM                            Common Stock   984332106            13,779          80,400   SH
YANG MING MARINE 144A GDR TAIWAN         GDR 144A       984749101                 3             396   SH
XICOR INC  COM  NASD INDL                Common Stock   984903104                32           2,300   SH
YELLOW CORP COM                          Common Stock   985509108             6,496         352,300   SH
NETWORK EVENT THEATER INC                Common Stock   987819109               197          15,000   SH
ZALE CORP NEW  COM                       Common Stock   988858106             7,465         158,200   SH
ZAMBA CORPORATION                        Common Stock   988881108               110          10,500   SH
ZOLL MEDICAL CORP                        Common Stock   989922109                51           1,000   SH
ZOMAX INC                                Common Stock   989929104             4,615          76,600   SH
AES CORP                                 Common Stock   00130H105             7,631          96,900   SH
APAC TELESERVICES INC COM                Common Stock   00185E106               419          48,200   SH
ABGENIX INC                              Common Stock   00339B107               570           4,130   SH
ACTIVE SOFTWARE INC                      Common Stock   00504E100                89           1,400   SH
ACTUATE CORPORATION                      Common Stock   00508B102               646          12,000   SH
ADAPTEC INC  COM  NASD INDL              Common Stock   00651F108            20,776         537,900   SH
ADOBE SYSTEMS                            Common Stock   00724F101            24,656         221,500   SH
AFFYMETRIX INC                           Common Stock   00826T108                45             300   SH
AGILENT TECHNOLOGIES INC                 Common Stock   00846U101             2,652          25,500   SH
AGRIBRANDS INTERNATIONAL INC             Common Stock   00849R105             2,205          56,100   SH
ALASKA COMM SYSTEMS GROUP                Common Stock   01167P101               222          18,300   SH
AMERICA ONLINE INC                       Common Stock   02364J104            18,856         279,600   SH
AMERN EAGLE OUTFITTERS INC               Common Stock   02553E106             3,024          79,700   SH
AMERICAN FREIGHTWAYS CORP COM            Common Stock   02629V108               397          26,600   SH
AMERICREDIT CORP COM                     Common Stock   03060R101                 3             200   SH
APPLIED INDL TECH INC COM                Common Stock   03820C105                54           3,400   SH
APPNET SYSTEMS INC                       Common Stock   03831Q101               108           2,300   SH
ART TECHNOLOGY GROUP INC                 Common Stock   04289L107               749          11,400   SH
ASIAINFO HOLDINGS INC                    Common Stock   04518A104               242           4,000   SH

Page Total                                                                  173,119

                Item 1:                                Item 6:                       Item 7:                  Item 8:
            Name of Issuer                          Investment Discretion             Other           Voting Authority (Shares)
                                        (a) Sole   (b) Shared (c) Shared            Managers  (a) Sole     (b) Shared     (c) None
                                                      as Def     Other
- ------------------------------------------------------------------------------------------------------------------------------------
WARNER LAMBERT CO  COM                   X                                                       122,200          0          6,400
WASHINGTON POST CO  CL B                 X                                                         2,000          0              0
WATTS INDS INC  CL A  NASD INDL          X                                                        11,800          0              0
WELLS FARGO & CO COM                     X                                                        99,900          0          4,300
WESLEY JESSEN VISIONCARE INC COM         X                                                             0          0          5,800
WEST TELESERVICES CORP                   X                                                        23,700          0          4,500
WESTVACO CORP  COM                       X                                                       269,800          0          4,100
WESTWOOD ONE INC  COM  NASD INDL         X                                                        14,300          0          6,600
WHIRLPOOL CORP  COM                      X                                                        65,100          0          2,000
WILLAMETTE INDS INC  COM  NASD INDL      X                                                       491,100          0         26,900
WINK COMMUNICATIONS INC                  X                                                         5,500          0              0
WINNEBAGO INDS INC  COM                  X                                                           800          0              0
WOLVERINE WORLD WIDE INC  COM            X                                                        20,800          0              0
WORTHINGTON INDS INC  COM  NASD INDL     X                                                       174,500          0         13,700
XETA CORP                                X                                                        15,000          0              0
YAHOO INC COM                            X                                                        77,200          0          3,200
YANG MING MARINE 144A GDR TAIWAN         X                                                           396          0              0
XICOR INC  COM  NASD INDL                X                                                         2,300          0              0
YELLOW CORP COM                          X                                                       339,300          0         13,000
NETWORK EVENT THEATER INC                X                                                        15,000          0              0
ZALE CORP NEW  COM                       X                                                       158,200          0              0
ZAMBA CORPORATION                        X                                                         9,800          0            700
ZOLL MEDICAL CORP                        X                                                           200          0            800
ZOMAX INC                                X                                                        70,600          0          6,000
AES CORP                                 X                                                        96,900          0              0
APAC TELESERVICES INC COM                X                                                        48,200          0              0
ABGENIX INC                              X                                                         2,630          0          1,500
ACTIVE SOFTWARE INC                      X                                                         1,400          0              0
ACTUATE CORPORATION                      X                                                         7,200          0          4,800
ADAPTEC INC  COM  NASD INDL              X                                                       505,600          0         32,300
ADOBE SYSTEMS                            X                                                       208,300          0         13,200
AFFYMETRIX INC                           X                                                             0          0            300
AGILENT TECHNOLOGIES INC                 X                                                        24,500          0          1,000
AGRIBRANDS INTERNATIONAL INC             X                                                        51,100          0          5,000
ALASKA COMM SYSTEMS GROUP                X                                                        16,900          0          1,400
AMERICA ONLINE INC                       X                                                       269,500          0         10,100
AMERN EAGLE OUTFITTERS INC               X                                                        59,800          0         19,900
AMERICAN FREIGHTWAYS CORP COM            X                                                        25,700          0            900
AMERICREDIT CORP COM                     X                                                           200          0              0
APPLIED INDL TECH INC COM                X                                                             0          0          3,400
APPNET SYSTEMS INC                       X                                                         1,000          0          1,300
ART TECHNOLOGY GROUP INC                 X                                                        11,400          0              0
ASIAINFO HOLDINGS INC                    X                                                         4,000          0              0
</TABLE>


                                    Page 14
<PAGE>

<TABLE>
<CAPTION>
FORM 13F          Name of Reporting Manager:  Batterymarch Financial Management, Inc.                          Run Date: 04/07/2000
                                              For Positions Held As Of 03/31/2000                              S.E.C. Use Only

                Item 1:                    Item 2:        Item 3:            Item 4:           Item 5:
            Name of Issuer              Title of Class  CUSIP Number   Fair Market Value       Shares or
                                                                          (X $1000)       Principal Amount
- -------------------------------------------------------------------------------------------------------------
<S>                                      <C>            <C>                       <C>           <C>   <C>
ASPECT TELECOMMUNICATIONS                Common Stock   04523Q102               645          17,390   SH
ASYST TECHNOLOGIES INC                   Common Stock   04648X107                12             200   SH
BJS WHOLESALE CLUB INC CO                Common Stock   05548J106            23,390         609,500   SH
BANK ONE CORP                            Common Stock   06423A103             2,509          72,728   SH
BEAZER HOMES USA INC                     Common Stock   07556Q105               114           6,100   SH
BROOKS AUTOMATION INC                    Common Stock   11434A100               681          10,900   SH
CBS CORP                                 Common Stock   12490K107             2,871          50,700   SH
CNA SURETY CORP COM                      Common Stock   12612L108                 8             600   SH
CELL PATHWAYS INC                        Common Stock   15114R101             6,107         177,650   SH
CENTEX CONSTRN PRODS INC                 Common Stock   15231R109               932          35,500   SH
CHASE MANHATTAN CORP NEW  COM            Common Stock   16161A108            20,550         235,700   SH
CHIEFTAIN INTL INC                       Common Stock   16867C101               610          30,300   SH
CISCO SYSTEMS                            Common Stock   17275R102            96,780       1,251,800   SH
COMP PARANAENSE ENERG (COPEL) ADR PFD    ADR            20441B407             5,508         648,000   SH
DITECH COMMUNICATIONS CORP               Common Stock   25500M103               774           7,300   SH
DYNEGY INC                               Common Stock   26816Q101             7,911         126,100   SH
ECCS INC                                 Common Stock   26825H100                73           5,000   SH
E MEDSOFT.COM                            Common Stock   26873Q101               295          16,889   SH
EAST WEST BANCORP INC                    Common Stock   27579R104             1,299         117,400   SH
EMCOR GROUP INC                          Common Stock   29084Q100               149           7,100   SH
ENCOMPASS SERVICES CORP                  Common Stock   29255U104                 1             115   SH
ENERGEN CORP  COM                        Common Stock   29265N108               327          20,500   SH
ENTERTAINMENT PROPERTIES TR              Common Stock   29380T105               562          42,600   SH
EVOLVING SYSTEMS INC                     Common Stock   30049R100                34           3,600   SH
EXXON MOBIL CORPORATION                  Common Stock   30231G102            43,495         558,078   SH
FEDERATED DEPT STORES COM                Common Stock   31410H101             1,939          45,900   SH
FIRST INDL REALTY TRUST INC              Common Stock   32054K103               207           7,600   SH
FOUR SEASONS HOTEL INC LTD VTG SH        Common Stock   35100E105               216           4,800   SH
GENTNER COMMUNICATIONS CORP              Common Stock   37245J105               237          11,700   SH
GEON COMPANY                             Common Stock   37246W105             1,438          66,900   SH
GLOBAL TELESYSTEMS GROUP (GTS) INC       Common Stock   37936U104               775          37,800   SH
GLOBO CABO S A SPONSORED ADR             ADS            37957X102             4,583         244,400   SH
GOLDMAN SACHS GROUP INC                  Common Stock   38141G104            22,271         211,600   SH
GRACE W R & CO  COM                      Common Stock   38388F108             2,236         173,700   SH
GRUPO TELEVISA SA DE CV SPN ADR REPORD   Sponsored ADR R40049J206            26,253         386,070   SH
HYPERION SOLUTIONS CORP                  Common Stock   44914M104               488          15,000   SH
IDEX CORP                                Common Stock   45167R104               501          18,400   SH
IMCLONE SYSTEMS INC                      Common Stock   45245W109                77           1,000   SH
INET TECHNOLOGIES INC                    Common Stock   45662V105             1,779          33,600   SH
INFORMATICA CORP                         Common Stock   45666Q102               845          11,000   SH
INNERDYNE INC                            Common Stock   45764D102                38           6,200   SH
INSIGHT COMMUNICATIONS INC               Common Stock   45768V108               196           9,500   SH
INTEGRATED SILICON SOLUTION              Common Stock   45812P107               566          19,300   SH

Page Total                                                                  280,279

                Item 1:                                Item 6:                       Item 7:                  Item 8:
            Name of Issuer                          Investment Discretion             Other           Voting Authority (Shares)
                                        (a) Sole   (b) Shared (c) Shared            Managers  (a) Sole     (b) Shared     (c) None
                                                      as Def     Other
- ------------------------------------------------------------------------------------------------------------------------------------
ASPECT TELECOMMUNICATIONS                X                                                        10,000          0          7,390
ASYST TECHNOLOGIES INC                   X                                                           200          0              0
BJS WHOLESALE CLUB INC CO                X                                                       591,100          0         18,400
BANK ONE CORP                            X                                                        69,770          0          2,958
BEAZER HOMES USA INC                     X                                                         1,800          0          4,300
BROOKS AUTOMATION INC                    X                                                         9,300          0          1,600
CBS CORP                                 X                                                        48,600          0          2,100
CNA SURETY CORP COM                      X                                                           600          0              0
CELL PATHWAYS INC                        X                                                       163,600          0         14,050
CENTEX CONSTRN PRODS INC                 X                                                        30,200          0          5,300
CHASE MANHATTAN CORP NEW  COM            X                                                       231,400          0          4,300
CHIEFTAIN INTL INC                       X                                                        19,500          0         10,800
CISCO SYSTEMS                            X                                                     1,204,200          0         47,600
COMP PARANAENSE ENERG (COPEL) ADR PFD    X                                                       618,600          0         29,400
DITECH COMMUNICATIONS CORP               X                                                         4,700          0          2,600
DYNEGY INC                               X                                                       125,300          0            800
ECCS INC                                 X                                                         5,000          0              0
E MEDSOFT.COM                            X                                                        14,589          0          2,300
EAST WEST BANCORP INC                    X                                                       112,900          0          4,500
EMCOR GROUP INC                          X                                                         7,100          0              0
ENCOMPASS SERVICES CORP                  X                                                             0          0            115
ENERGEN CORP  COM                        X                                                        17,200          0          3,300
ENTERTAINMENT PROPERTIES TR              X                                                        42,600          0              0
EVOLVING SYSTEMS INC                     X                                                         3,600          0              0
EXXON MOBIL CORPORATION                  X                                                       539,177          0         18,901
FEDERATED DEPT STORES COM                X                                                        37,800          0          8,100
FIRST INDL REALTY TRUST INC              X                                                         5,800          0          1,800
FOUR SEASONS HOTEL INC LTD VTG SH        X                                                         3,100          0          1,700
GENTNER COMMUNICATIONS CORP              X                                                        11,700          0              0
GEON COMPANY                             X                                                        53,900          0         13,000
GLOBAL TELESYSTEMS GROUP (GTS) INC       X                                                        37,800          0              0
GLOBO CABO S A SPONSORED ADR             X                                                       212,000          0         32,400
GOLDMAN SACHS GROUP INC                  X                                                       209,800          0          1,800
GRACE W R & CO  COM                      X                                                       145,800          0         27,900
GRUPO TELEVISA SA DE CV SPN ADR REPORD   X                                                       368,270          0         17,800
HYPERION SOLUTIONS CORP                  X                                                        13,600          0          1,400
IDEX CORP                                X                                                        18,400          0              0
IMCLONE SYSTEMS INC                      X                                                             0          0          1,000
INET TECHNOLOGIES INC                    X                                                        27,900          0          5,700
INFORMATICA CORP                         X                                                         8,000          0          3,000
INNERDYNE INC                            X                                                             0          0          6,200
INSIGHT COMMUNICATIONS INC               X                                                         9,500          0              0
INTEGRATED SILICON SOLUTION              X                                                         7,300          0         12,000
</TABLE>


                                    Page 15
<PAGE>

<TABLE>
<CAPTION>
FORM 13F          Name of Reporting Manager:  Batterymarch Financial Management, Inc.                          Run Date: 04/07/2000
                                              For Positions Held As Of 03/31/2000                              S.E.C. Use Only

                Item 1:                    Item 2:        Item 3:            Item 4:           Item 5:
            Name of Issuer              Title of Class  CUSIP Number   Fair Market Value       Shares or
                                                                          (X $1000)       Principal Amount
- -------------------------------------------------------------------------------------------------------------
<S>                                      <C>            <C>                       <C>           <C>   <C>
INTERCEPT GROUP INC                      Common Stock   45845L107                72           2,800   SH
INTERDIGITAL COMMUNICATIONS CP COM       Common Stock   45866A105                 5             200   SH
INVITROGEN CORP                          Common Stock   46185R100               163           2,800   SH
JDS UNIPHASE CORP                        Common Stock   46612J101             9,633          79,900   SH
JDA SOFTWARE GROUP INC COM               Common Stock   46612K108               876          59,900   SH
KEYSPAN ENERGY CORP                      Common Stock   49337W100            17,097         618,900   SH
KINDER MORGAN INC                        Common Stock   49455P101            12,441         360,600   SH
LEVEL 3 COMMUN INC                       Common Stock   52729N100             1,428          13,500   SH
LIFEMINDERS.COM INC                      Common Stock   53219H108               251           3,700   SH
LOGILITY INC                             Common Stock   54140Y103               136           9,900   SH
MCI WORLDCOM INC COM                     Common Stock   55268B106            15,174         334,881   SH
MEDIAONE GROUP INC                       Common Stock   58440J104             3,386          41,800   SH
MERISTAR HOSPITALITY CORP                Common Stock   58984Y103               153           8,800   SH
MERITOR AUTOMOTIVE INC COM               Common Stock   59000G100             4,045         255,800   SH
MID ATLANTIC MEDICAL SVCS                Common Stock   59523C107               167          18,000   SH
MONACO COACH CORP                        Common Stock   60886R103               116           6,100   SH
MP3.COM INC                              Common Stock   62473M109               275          13,100   SH
MUSICMAKER.COM INC                       Common Stock   62757C108               182          41,500   SH
MYRIAD GENETICS INC COM                  Common Stock   62855J104                96           1,600   SH
MYPOINTS.COM INC                         Common Stock   62855T102               129           4,800   SH
NVR INC                                  Common Stock   62944T105             4,736          87,700   SH
NETEGRITY INC                            Common Stock   64110P107                69           1,000   SH
NETSOLVE INC                             Common Stock   64115J106               197           6,100   SH
NETIQ CORP                               Common Stock   64115P102             1,764          26,400   SH
NETWORK APPLIANCE INC COM                Common Stock   64120L104             9,765         118,000   SH
NETWORK PLUS CORP                        Common Stock   64122D506                81           2,000   SH
NEXTERA ENTERPRISES INC CL A             Common Stock   65332E101               714          90,000   SH
NEXTEL COMMUNICATIONS CL A NASD INDL     Common Stock   65332V103            14,306          96,500   SH
NSTAR COM                                Common Stock   67019E107            15,630         372,140   SH
NVIDIA CORP                              Common Stock   67066G104            10,694         126,580   SH
OAO TECHNOLOGY SOLUTIONS INC             Common Stock   67082B105                19           2,500   SH
OCEAN ENERGY INC                         Common Stock   67481E106             5,763         400,900   SH
ON TECHNOLOGY CORP                       Common Stock   68219P108               103           9,800   SH
ORACLE CORP  COM                         Common Stock   68389X105            36,096         462,400   SH
PC CONNECTION INC                        Common Stock   69318J100                34           1,200   SH
PC TEL INC                               Common Stock   69325Q105               226           3,000   SH
PE CORP-PE BIOSYSTEMS GRP                Common Stock   69332S102             1,766          18,300   SH
PMC-SIERRA INC COM                       Common Stock   69344F106                20             100   SH
PMI GROUP INC                            Common Stock   69344M101             4,431          93,400   SH
P P & L RES INC  COM                     Common Stock   69351T106               787          37,600   SH
POWERTEL INC                             Common Stock   73936C109               408           5,900   SH
PRECISION DRILLING CORP COM              Common Stock   74022D100             4,279         128,200   SH
PRIME GROUP REALTY TRUST                 Common Stock   74158J103               106           7,400   SH

Page Total                                                                  177,816

                Item 1:                                Item 6:                       Item 7:                  Item 8:
            Name of Issuer                          Investment Discretion             Other           Voting Authority (Shares)
                                        (a) Sole   (b) Shared (c) Shared            Managers  (a) Sole     (b) Shared     (c) None
                                                      as Def     Other
- ------------------------------------------------------------------------------------------------------------------------------------
INTERCEPT GROUP INC                      X                                                         2,800          0              0
INTERDIGITAL COMMUNICATIONS CP COM       X                                                           200          0              0
INVITROGEN CORP                          X                                                         2,800          0              0
JDS UNIPHASE CORP                        X                                                        79,300          0            600
JDA SOFTWARE GROUP INC COM               X                                                        43,200          0         16,700
KEYSPAN ENERGY CORP                      X                                                       588,000          0         30,900
KINDER MORGAN INC                        X                                                       360,600          0              0
LEVEL 3 COMMUN INC                       X                                                        12,900          0            600
LIFEMINDERS.COM INC                      X                                                         3,700          0              0
LOGILITY INC                             X                                                         7,500          0          2,400
MCI WORLDCOM INC COM                     X                                                       321,089          0         13,793
MEDIAONE GROUP INC                       X                                                        40,100          0          1,700
MERISTAR HOSPITALITY CORP                X                                                         7,500          0          1,300
MERITOR AUTOMOTIVE INC COM               X                                                       219,100          0         36,700
MID ATLANTIC MEDICAL SVCS                X                                                           300          0         17,700
MONACO COACH CORP                        X                                                         1,000          0          5,100
MP3.COM INC                              X                                                        13,100          0              0
MUSICMAKER.COM INC                       X                                                        41,500          0              0
MYRIAD GENETICS INC COM                  X                                                         1,600          0              0
MYPOINTS.COM INC                         X                                                         4,800          0              0
NVR INC                                  X                                                        81,400          0          6,300
NETEGRITY INC                            X                                                         1,000          0              0
NETSOLVE INC                             X                                                         3,700          0          2,400
NETIQ CORP                               X                                                        21,600          0          4,800
NETWORK APPLIANCE INC COM                X                                                       118,000          0              0
NETWORK PLUS CORP                        X                                                         2,000          0              0
NEXTERA ENTERPRISES INC CL A             X                                                        75,400          0         14,600
NEXTEL COMMUNICATIONS CL A NASD INDL     X                                                        95,500          0          1,000
NSTAR COM                                X                                                       367,240          0          4,900
NVIDIA CORP                              X                                                       114,640          0         11,940
OAO TECHNOLOGY SOLUTIONS INC             X                                                         2,500          0              0
OCEAN ENERGY INC                         X                                                       334,400          0         66,500
ON TECHNOLOGY CORP                       X                                                         9,800          0              0
ORACLE CORP  COM                         X                                                       446,300          0         16,100
PC CONNECTION INC                        X                                                             0          0          1,200
PC TEL INC                               X                                                         3,000          0              0
PE CORP-PE BIOSYSTEMS GRP                X                                                        18,300          0              0
PMC-SIERRA INC COM                       X                                                             0          0            100
PMI GROUP INC                            X                                                        93,400          0              0
P P & L RES INC  COM                     X                                                        32,600          0          5,000
POWERTEL INC                             X                                                         3,600          0          2,300
PRECISION DRILLING CORP COM              X                                                       122,500          0          5,700
PRIME GROUP REALTY TRUST                 X                                                         7,400          0              0
</TABLE>


                                    Page 16
<PAGE>

<TABLE>
<CAPTION>
FORM 13F          Name of Reporting Manager:  Batterymarch Financial Management, Inc.                          Run Date: 04/07/2000
                                              For Positions Held As Of 03/31/2000                              S.E.C. Use Only

                Item 1:                    Item 2:        Item 3:            Item 4:           Item 5:
            Name of Issuer              Title of Class  CUSIP Number   Fair Market Value       Shares or
                                                                          (X $1000)       Principal Amount
- -------------------------------------------------------------------------------------------------------------
<S>                                      <C>            <C>                       <C>           <C>   <C>
PRIORITY HEALTHCARE CORP CL B            Common Stock   74264T102               181           3,600   SH
PROTEIN DESIGN LABS                      Common Stock   74369L103                10             130   SH
QUANTA SERVICES INC                      Common Stock   74762E102             4,242          69,900   SH
QUEST SOFTWARE INC                       Common Stock   74834T103               101             900   SH
RFS HOTEL INVESTORS INC                  Common Stock   74955J108               145          13,500   SH
RH DONNELLEY CORP                        Common Stock   74955W307                73           4,300   SH
RARE MEDIUM GROUP INC                    Common Stock   75382N109               124           2,800   SH
RATIONAL SOFTWARE CORP COM NEW           Common Stock   75409P202            32,084         419,400   SH
SBC COMMUNICATIONS INC                   Common Stock   78387G103             9,284         220,398   SH
SANDISK CORP                             Common Stock   80004C101                98             800   SH
SANTA FE SNYDER CORP                     Common Stock   80218K105             5,587         588,100   SH
SCICLONE PHARMACEUTI                     Common Stock   80862K104             1,262          82,100   SH
SITEL CORP COM                           Common Stock   82980K107               943         137,200   SH
STARTEK INC                              Common Stock   85569C107                15             200   SH
STARTEC GLOBAL COMMUNICATION             Common Stock   85569E103               426          20,300   SH
STARWOOD HOTELS & RESORTS WRLDWD PAIRD C Common Stock   85590A203             1,661          64,500   SH
SYBRON INTL CORP  COM                    Common Stock   87114F106             6,763         233,200   SH
SYNCOR INTL CORP DEL  COM  NASD INDL     Common Stock   87157J106               340          10,300   SH
TC PIPELINES LP                          Common Stock   87233Q108                54           3,400   SH
TARGET CORP                              Common Stock   87612E106             3,244          43,400   SH
TELECOM SEMICONDUCTOR INC                Common Stock   87921P107               151           5,000   SH
TENFOLD CORPORATION                      Common Stock   88033A103               641          10,600   SH
3-D SYS CORP DEL  COM NEW                Common Stock   88554D205                 8             800   SH
TIBCO SOFTWARE INC                       Common Stock   88632Q103             3,227          39,600   SH
TRAMMELL CROW COMPANY COM                Common Stock   89288R106               210          19,000   SH
TRIQUINT SEMICONDUCTOR INC  COM          Common Stock   89674K103                56             765   SH
US WEST INC                              Common Stock   91273H101             4,414          60,782   SH
UNITED THERAPEUTICS CORP                 Common Stock   91307C102               233           3,000   SH
VALUEVISION INTL INC  -CL A              Common Stock   92047K107               935          22,600   SH
VARIAN MEDICAL SYSTEMS INC               Common Stock   92220P105             3,650          80,000   SH
VIAD CORP                                Common Stock   92552R109             4,362         190,700   SH
VIISAGE TECHNOLOGY INC                   Common Stock   92675K106                15           2,300   SH
VITRIA TECHNOLOGY INC                    Common Stock   92849Q104               302           3,000   SH
WEBTRENDS CORP                           Common Stock   94844D104               648           9,000   SH
WELLPOINT HLTH NETWORKS  NEW CL A        Common Stock   94973H108             1,866          26,700   SH
WESTERN WIRELESS CORP CL A               Common Stock   95988E204             5,626         122,800   SH
WORKFLOW MGMT INC                        Common Stock   98137N109               727          27,000   SH
AMDOCS LTD                               Common Stock   G02602103            36,859         498,100   SH
EVEREST REINSURANCE HLDGS                Common Stock   G3223R108             1,269          38,900   SH
MIH LTD                                  Common Stock   G6116R101               372           6,100   SH
RENAISSANCERE HOLDINGS LTD               Common Stock   G7496G103             2,722          66,600   SH
BACKWEB TECHNOLOGIES LTD                 Common Stock   M15633106                17             500   SH
CHECK POINT SOFTWARE TECHN               Common Stock   M22465104             4,396          25,700   SH

Page Total                                                                  139,348

                Item 1:                                Item 6:                       Item 7:                  Item 8:
            Name of Issuer                          Investment Discretion             Other           Voting Authority (Shares)
                                        (a) Sole   (b) Shared (c) Shared            Managers  (a) Sole     (b) Shared     (c) None
                                                      as Def     Other
- ------------------------------------------------------------------------------------------------------------------------------------
PRIORITY HEALTHCARE CORP CL B            X                                                             0          0          3,600
PROTEIN DESIGN LABS                      X                                                            30          0            100
QUANTA SERVICES INC                      X                                                        69,900          0              0
QUEST SOFTWARE INC                       X                                                           900          0              0
RFS HOTEL INVESTORS INC                  X                                                             0          0         13,500
RH DONNELLEY CORP                        X                                                         2,800          0          1,500
RARE MEDIUM GROUP INC                    X                                                           800          0          2,000
RATIONAL SOFTWARE CORP COM NEW           X                                                       400,200          0         19,200
SBC COMMUNICATIONS INC                   X                                                       210,502          0          9,896
SANDISK CORP                             X                                                             0          0            800
SANTA FE SNYDER CORP                     X                                                       576,000          0         12,100
SCICLONE PHARMACEUTI                     X                                                        79,100          0          3,000
SITEL CORP COM                           X                                                       137,200          0              0
STARTEK INC                              X                                                             0          0            200
STARTEC GLOBAL COMMUNICATION             X                                                        19,000          0          1,300
STARWOOD HOTELS & RESORTS WRLDWD PAIRD C X                                                        64,500          0              0
SYBRON INTL CORP  COM                    X                                                       215,500          0         17,700
SYNCOR INTL CORP DEL  COM  NASD INDL     X                                                         3,200          0          7,100
TC PIPELINES LP                          X                                                         3,400          0              0
TARGET CORP                              X                                                        41,600          0          1,800
TELECOM SEMICONDUCTOR INC                X                                                             0          0          5,000
TENFOLD CORPORATION                      X                                                         7,700          0          2,900
3-D SYS CORP DEL  COM NEW                X                                                           800          0              0
TIBCO SOFTWARE INC                       X                                                        39,600          0              0
TRAMMELL CROW COMPANY COM                X                                                        19,000          0              0
TRIQUINT SEMICONDUCTOR INC  COM          X                                                            65          0            700
US WEST INC                              X                                                        59,482          0          1,300
UNITED THERAPEUTICS CORP                 X                                                         3,000          0              0
VALUEVISION INTL INC  -CL A              X                                                        21,900          0            700
VARIAN MEDICAL SYSTEMS INC               X                                                        77,200          0          2,800
VIAD CORP                                X                                                       190,700          0              0
VIISAGE TECHNOLOGY INC                   X                                                         2,300          0              0
VITRIA TECHNOLOGY INC                    X                                                         3,000          0              0
WEBTRENDS CORP                           X                                                         3,200          0          5,800
WELLPOINT HLTH NETWORKS  NEW CL A        X                                                        26,700          0              0
WESTERN WIRELESS CORP CL A               X                                                       122,500          0            300
WORKFLOW MGMT INC                        X                                                        20,900          0          6,100
AMDOCS LTD                               X                                                       473,100          0         25,000
EVEREST REINSURANCE HLDGS                X                                                        35,100          0          3,800
MIH LTD                                  X                                                         6,100          0              0
RENAISSANCERE HOLDINGS LTD               X                                                        64,600          0          2,000
BACKWEB TECHNOLOGIES LTD                 X                                                           500          0              0
CHECK POINT SOFTWARE TECHN               X                                                        23,300          0          2,400
</TABLE>


                                    Page 17
<PAGE>

<TABLE>
<CAPTION>
FORM 13F          Name of Reporting Manager:  Batterymarch Financial Management, Inc.                          Run Date: 04/07/2000
                                              For Positions Held As Of 03/31/2000                              S.E.C. Use Only

                Item 1:                    Item 2:        Item 3:            Item 4:           Item 5:
            Name of Issuer              Title of Class  CUSIP Number   Fair Market Value       Shares or
                                                                          (X $1000)       Principal Amount
- -------------------------------------------------------------------------------------------------------------
<S>                                      <C>            <C>                       <C>           <C>   <C>
OPTIBASE LTD                             Common Stock   M7524R108                14             600   SH
ORBOTECH LTD ORD NASD INDL               Common Stock   M75253100             1,122          13,200   SH
RADWARE LTD ORD                          Common Stock   M81873107               124           3,200   SH
BANCO LATINOMERICANO DE EXPO             ADR            P16994132               135           5,100   SH


                Item 1:                                Item 6:                       Item 7:                  Item 8:
            Name of Issuer                          Investment Discretion             Other           Voting Authority (Shares)
                                        (a) Sole   (b) Shared (c) Shared            Managers  (a) Sole     (b) Shared     (c) None
                                                      as Def     Other
- ------------------------------------------------------------------------------------------------------------------------------------
OPTIBASE LTD                             X                                                             0          0            600
ORBOTECH LTD ORD NASD INDL               X                                                        13,200          0              0
RADWARE LTD ORD                          X                                                         2,100          0          1,100
BANCO LATINOMERICANO DE EXPO             X                                                         5,100          0              0

Page Total                                                                    1,395

TOTAL                                                                     3,293,198
</TABLE>

                                    Page 18
<PAGE>
Berkshire Asset Management, Inc.
13-F Filing
March 31, 2000
<TABLE>
<CAPTION>
   ITEM 1                                ITEM 2         ITEM 3     ITEM 4         ITEM 5      ITEM 6       ITEM 7      ITEM 8
                                                                                 Shares of                             Voting
                                                                  Fair Market    Principal   Investment    Other      Authority
Name of Issuer                        Title of Class    Cusip     Value (000's)   Amounts    Discretion   Managers     Shares
                                                                                          (a)  (b)  (c)             (a) (b)  (c)
<S>                                      <C>          <C>          <C>            <C>     <C>  <C>   <C>            <C>  <C> <C>
International Business Machine        Common Stock    459200101    38,722         358,953  X                         X
Computer Associates                   Common Stock    204912109    38,662         552,806  X                         X
Cisco Systems                         Common Stock    17275R102    38,457         358,992  X                         X
Merck                                 Common Stock    589331107    26,036         387,514  X                         X
M & T Bank                            Common Stock    55261f104    25,959          62,664  X                         X
First Union                           Common Stock    337358105    18,227         553,381  X                         X
MAF Bancorp                           Common Stock    55261R108    15,753         752,395  X                         X
Leggett & Platt                       Common Stock    524660107    15,732         733,859  X                         X
Fannie Mae                            Common Stock    313586109    14,294         228,938  X                         X
Mellon Financial                      Common Stock    58551A108    13,061         383,435  X                         X
General Electric                      Common Stock    369604103    12,384          80,025  X                         X
Tribune                               Common Stock    896047107    11,345         206,040  X                         X
Federal Home Loan Mortgage            Common Stock    313400301    10,823         229,962  X                         X
Hasbro                                Common Stock    418056107    10,686         564,301  X                         X
Commonwealth Telephone Enterpr        Common Stock    203349105    10,346         195,661  X                         X
US Foodservice                        Common Stock    90331R101     9,737         581,314  X                         X
Alltel                                Common Stock    020039103     9,485         114,704  X                         X
Gillette                              Common Stock    375766102     8,749         212,428  X                         X
Charter One                           Common Stock    160903100     7,402         387,030  X                         X
Hershey Foods                         Common Stock    427866108     7,191         151,580  X                         X
Philip Morris                         Common Stock    718154107     7,000         304,345  X                         X
American International Group          Common Stock    026874107     6,794          62,832  X                         X
Sovereign Bancorp                     Common Stock    845905108     5,530         741,917  X                         X
Hewlett Packard                       Common Stock    428236103     5,278          46,400  X                         X
American Express                      Common Stock    025816109     4,422          26,600  X                         X
Royal Dutch                           Common Stock    780257804     4,288          70,800  X                         X
Wells Fargo                           Common Stock    949746101     4,241         104,890  X                         X
Waste Management                      Common Stock    94106l109     3,474         202,120  X                         X
Interpublic Group Companies           Common Stock    460690100     3,461          60,000  X                         X
Microsoft                             Common Stock    594918104     3,131          26,818  X                         X
Berkshire Hathaway Cl B               Common Stock    084670207     2,959           1,617  X                         X
UST Inc.                              Common Stock    902911106     1,259          50,000  X                         X
Morgan Stanley, Dean Witter, D        Common Stock    617446448     1,235           8,650  X                         X
Molex Cl A                            Common Stock    608554200     1,202          26,561  X                         X
Roper Industries                      Common Stock    776696106       756          20,000  X                         X
</TABLE>
<PAGE>
<TABLE>
<CAPTION>
<S>                                      <C>          <C>          <C>            <C>     <C>  <C>   <C>            <C>  <C> <C>
Idex                                  Common Stock    45167R104       683          22,500  X                         X
Washington Federal, Inc.              Common Stock    938824109       642          32,519  X                         X
Policy Management Systems             Common Stock    731108106       614          24,000  X                         X
Seagate Technology                    Common Stock    811804103       582          12,500  X                         X
Fidelity Financial of Ohio            Common Stock    31614P107       548          30,671  X                         X
Washington Mutual                     Common Stock    939322103       514          19,860  X                         X
Hubbell Cl B                          Common Stock    443510201       458          16,800  X                         X
Schlumberger                          Common Stock    806857108       449           8,000  X                         X
Berkshire Hathaway Class A            Common Stock    084670108       449               8  X                         X
BSB Bancorp                           Common Stock    055652101       390          20,250  X                         X
Southern Union Company                Common Stock    844030106       377          19,716  X                         X
Johnson & Johnson                     Common Stock    478160104       377           4,042  X                         X
PNC Bank Corp                         Common Stock    693475105       356           8,000  X                         X
First Bell Bancorp                    Common Stock    319301107       331          21,700  X                         X
Coca Cola                             Common Stock    191216100       291           5,000  X                         X
RCN Corporation                       Common Stock    749361101       291           6,000  X                         X
Intel                                 Common Stock    458140100       237           2,875  X                         X
Tootsie Roll                          Common Stock    890516107       219           6,645  X                         X
Motorola                              Common Stock    620076109       215           1,460  X                         X
Du Pont                               Common Stock    263534109       202           3,070  X                         X
First Liberty Bank Corp               Common Stock    320690100       177          10,360  X                         X
                                                                  406,483   9    ,125,508
Puts, Short Sale
Computer Associates April $60 Puts    Common Stock    8581558DC        -7        2000( p ) X                         X
Johnson & Johnson May $70 Puts        Common Stock    4781608EN       -13        3500( p ) X                         X
Microsoft May $110 Puts               Common Stock    5949188EB       -24        2500( p ) X                         X
Sovereign Bancorp April $7.5 Puts     Common Stock    8459058EU        -2        1500( p ) X                         X
Steelcase April $15 Puts              Common Stock    8581558DC       -28        1000( p ) X                         X

Calls, Short Sale
Cisco Jan 2001 $50 Calls              Common Stock    17275T9AJ      -298        4500( c ) X                          X
Xcelera.com May $190 Calls            Common Stock    G316119GH        -8        1000( c ) X                          X
                                                                  406,103
</TABLE>
<PAGE>

            Brandywine Asset Management, Inc. - 13F Report - 3/31/00


<TABLE>
FirstOfIssuer                Class          CUSIP            FMV         Shares       IDSole        IDShared     IDOther
- ---------------              -----          -----            ---         ------       ------        --------     -------
<S>                           <C>           <C>               <C>           <C>          <C>           <C>          <C>
3COM CORP                    COMMON       885535104         672506        12090        12090            0            0
7-ELEVEN INC                 COMMON       817826100         274875        73300        73300            0            0
A C MOORE ARTS & CRAFTS      COMMON       00086T103         418500        55800        55800            0            0
AAON INC                     COMMON       000360206         170356         9700         9700            0            0
AAR CORP                     COMMON       000361105          25031         1500         1500            0            0
ABBEY NATL PLC ADR SP        COMMON       002920106        6746935       256403       256403            0            0
ABBOTT LABS                  COMMON       002824100       14292653       406185       406185            0            0
ABINGTON BANCORP INC NEW     COMMON       00350P100          42900         4400         4400            0            0
ABITIBI-CONSOLIDATED         COMMON       003924107         203347        21265        21265            0            0
ABN AMRO HLDG N V ADR        COMMON       000937102        6036447       266792       266792            0            0
ACCEPTANCE INS COS INC       COMMON       004308102        1040738       191400       191400            0            0
ACE LTD                      COMMON       G0070K103       49182662      2150060      2150060            0            0
ACETO CORP                   COMMON       004446100         355815        39535        39535            0            0
ACME ELEC CORP               COMMON       004644100         538200        89700        89700            0            0
ACTION PERFORMANCE COS I     COMMON       004933107         113156         8500         8500            0            0
ACX TECHNOLOGIES INC         COMMON       005123104        2356608       571299       571299            0            0
ADAMS RES & ENERGY INC       COMMON       006351308         507863        46700        46700            0            0
ADVANCED MARKETING SVCS      COMMON       00753T105         599156        28875        28875            0            0
ADVANCED MICRO DEVICES I     COMMON       007903107           8559          150          150            0            0
ADVANTA CORP                 COMMON       007942105       12403198       610619       610619            0            0
ADVANTA CORP                 COMMON       007942204          71075         4907         4907            0            0
ADVEST GROUP INC             COMMON       007566102         247000        13000        13000            0            0
ADVO INC                     COMMON       007585102        2755000       110200       110200            0            0
AETNA INC                    COMMON       008117103           8325          150          150            0            0
AFSC EQUITY FUND             COMMON       0     BLA       13154661       562369       562369            0            0
AGRIBRANDS INTL INC          COMMON       00849R105        1961694        49900        49900            0            0
AIR PRODS & CHEMS INC        COMMON       009158106        9021867       317252       317252            0            0
AIRBORNE FREIGHT             COMMON       009266107        2519841       104783       104783            0            0
AIRGAS INC                   COMMON       009363102        1715651       206392       206392            0            0
AK STL HLDG CORP             COMMON       001547108       14252626      1373747      1373747            0            0
ALASKA AIR GROUP INC         COMMON       011659109        8155956       271300       271300            0            0
ALBANY INTL CORP             COMMON       012348108         231312        15616        15616            0            0
ALBEMARLE CORP               COMMON       012653101        3901000       188000       188000            0            0
ALBERTSONS INC               COMMON       013104104           7719          250          250            0            0
ALCAN ALUMINIUM LTD          COMMON       013716105       35061060      1029315      1029315            0            0
ALCATEL ALSTHOM              COMMON       013904305        7024373       162909       162909            0            0
ALCOA INC                    COMMON       013817101        8373800       119200       119200            0            0
ALFA CORP                    COMMON       015385107         182364        10274        10274            0            0
ALIGN-RITE INTL INC          COMMON       016251100          63250         2300         2300            0            0
ALLEGHENY ENERGY INC         COMMON       017361106        1324293        47830        47830            0            0
ALLIANCE BANCORP NEW ENG     COMMON       01852Q109         115375        14200        14200            0            0
ALLIANCE SEMICONDUCTO        COMMON       01877H100        2391032       111535       111535            0            0
ALLIANT TECHSYSTEMS INC      COMMON       018804104        5943431       100950       100950            0            0
ALLIED IRISH BKS PLC         COMMON       019228402        3642514       188630       188630            0            0
ALLIED RESH CORP             COMMON       019483106          45050         5300         5300            0            0
ALLSTAR SYS INC              COMMON       019892108         109500        36500        36500            0            0
ALLSTATE CORP                COMMON       020002101         394478        16566        16566            0            0
ALLTRISTA CORP               COMMON       020040101        3015913       133300       133300            0            0
ALPINE GROUP INC             COMMON       020825105         857700        95300        95300            0            0
ALTERNATIVE RESOURCES CO     COMMON       02145R102         335313       145000       145000            0            0
ALTERRA HEALTHCARE CORP      COMMON       02146C104         804800       201200       201200            0            0
AMADA LTD ADR                COMMON       022631204         293020         9055         9055            0            0
AMBAC INC                    COMMON       023139108       21919353       435123       435123            0            0
AMCAST INDL CORP             COMMON       023395106        1130063       123000       123000            0            0
AMERADA HESS CORP            COMMON       023551104           6463          100          100            0            0
AMERCO                       COMMON       023586100        6690338       364100       364100            0            0
AMEREN CORP                  COMMON       023608102           4641          150          150            0            0
AMERICA WEST HLDG CORP       COMMON       023657208       14966056       965552       965552            0            0
AMERICAN ANNUITY GROUP I     COMMON       023840101        1136308        74512        74512            0            0
AMERICAN BILTRITE INC        COMMON       024591109         407938        30500        30500            0            0
AMERICAN BK CONN WATERBU     COMMON       024327108         311438        15100        15100            0            0

<CAPTION>

FirstOfIssuer                                        Manager      VSole       VShared      VNone
- ---------------                                      -------      -----       -------      -----
<S>                                                    <C>      <C>             <C>          <C>
3COM CORP                                               1        12090           0            0
7-ELEVEN INC                                            1        73300           0            0
A C MOORE ARTS & CRAFTS                                 1        55800           0            0
AAON INC                                                1         9700           0            0
AAR CORP                                                1         1500           0            0
ABBEY NATL PLC ADR SP                                   1       224608           0        31795
ABBOTT LABS                                             1       391450         100        14635
ABINGTON BANCORP INC NEW                                1         4400           0            0
ABITIBI-CONSOLIDATED                                    1            0           0        21265
ABN AMRO HLDG N V ADR                                   1       227420           0        39372
ACCEPTANCE INS COS INC                                  1       191400           0            0
ACE LTD                                                 1      2013010           0       137050
ACETO CORP                                              1        39535           0            0
ACME ELEC CORP                                          1        87500           0         2200
ACTION PERFORMANCE COS I                                1         8500           0            0
ACX TECHNOLOGIES INC                                    1       557199           0        14100
ADAMS RES & ENERGY INC                                  1        45900           0          800
ADVANCED MARKETING SVCS                                 1        28875           0            0
ADVANCED MICRO DEVICES I                                1          150           0            0
ADVANTA CORP                                            1       599419           0        11200
ADVANTA CORP                                            1         4907           0            0
ADVEST GROUP INC                                        1        13000           0            0
ADVO INC                                                1       110200           0            0
AETNA INC                                               1          150           0            0
AFSC EQUITY FUND                                        1            0           0       562369
AGRIBRANDS INTL INC                                     1        47900           0         2000
AIR PRODS & CHEMS INC                                   1       293307           0        23945
AIRBORNE FREIGHT                                        1        85738         505        18540
AIRGAS INC                                              1       168842        1105        36445
AK STL HLDG CORP                                        1      1253364           0       120383
ALASKA AIR GROUP INC                                    1       260500           0        10800
ALBANY INTL CORP                                        1        15616           0            0
ALBEMARLE CORP                                          1       188000           0            0
ALBERTSONS INC                                          1          250           0            0
ALCAN ALUMINIUM LTD                                     1       955910         200        73205
ALCATEL ALSTHOM                                         1       150469           0        12440
ALCOA INC                                               1       119200           0            0
ALFA CORP                                               1        10274           0            0
ALIGN-RITE INTL INC                                     1         1000           0         1300
ALLEGHENY ENERGY INC                                    1        47830           0            0
ALLIANCE BANCORP NEW ENG                                1        14200           0            0
ALLIANCE SEMICONDUCTO                                   1        93160         460        17915
ALLIANT TECHSYSTEMS INC                                 1        98150           0         2800
ALLIED IRISH BKS PLC                                    1       166670           0        21960
ALLIED RESH CORP                                        1         5300           0            0
ALLSTAR SYS INC                                         1        36500           0            0
ALLSTATE CORP                                           1        16566           0            0
ALLTRISTA CORP                                          1       130400           0         2900
ALPINE GROUP INC                                        1        92500           0         2800
ALTERNATIVE RESOURCES CO                                1       145000           0            0
ALTERRA HEALTHCARE CORP                                 1       199400           0         1800
AMADA LTD ADR                                           1            0           0         9055
AMBAC INC                                               1       382053         200        52870
AMCAST INDL CORP                                        1       123000           0            0
AMERADA HESS CORP                                       1          100           0            0
AMERCO                                                  1       356600           0         7500
AMEREN CORP                                             1          150           0            0
AMERICA WEST HLDG CORP                                  1       945752           0        19800
AMERICAN ANNUITY GROUP I                                1        63512           0        11000
AMERICAN BILTRITE INC                                   1        28900           0         1600
AMERICAN BK CONN WATERBU                                1        15100           0            0

</TABLE>
<PAGE>
<TABLE>
FirstOfIssuer                Class          CUSIP            FMV         Shares       IDSole        IDShared     IDOther
- ---------------              -----          -----            ---         ------       ------        --------     -------
<S>                           <C>           <C>               <C>           <C>          <C>           <C>          <C>
AMERICAN BUSINESS FINL S     COMMON       02476B106         705731        39900        39900            0            0
AMERICAN COIN MERCHANDIS     COMMON       02516B108         124984        42100        42100            0            0
AMERICAN DENTAL TECHNOLO     COMMON       025352204         306000       153000       153000            0            0
AMERICAN ELEC PWR INC        COMMON       025537101           5963          200          200            0            0
AMERICAN EXPRESS CO          COMMON       025816109          74469          500          500            0            0
AMERICAN FINL GROUP INC      COMMON       025932104         495213        17300        17300            0            0
AMERICAN FREIGHTWAYS COR     COMMON       02629V108        1090438        73000        73000            0            0
AMERICAN GENERAL CORP        COMMON       026351106        5307880        94572        94572            0            0
AMERICAN HOMESTAR CORP       COMMON       026651109         599569       355300       355300            0            0
AMERICAN PAC CORP            COMMON       028740108         312869        44300        44300            0            0
AMERICAN PHYSICIANS SVC      COMMON       028882108         107494        35100        35100            0            0
AMERICAN VANGUARD CORP       COMMON       030371108         264206        33550        33550            0            0
AMERICAN WOODMARK CORP       COMMON       030506109          70125         3400         3400            0            0
AMERIPATH INC                COMMON       03071D109        3257313       400900       400900            0            0
AMERISOURCE HEALTH CORP      COMMON       03071P102        3934500       262300       262300            0            0
AMERON INTL INC              COMMON       030710107        3136613        88200        88200            0            0
AMERUS LIFE HLDGS INC        COMMON       030732101        8369835       461784       461784            0            0
AMETEK INC NEW               COMMON       031100100        2015475       104700       104700            0            0
AMPCO-PITTSBURGH CORP        COMMON       032037103        2408813       221500       221500            0            0
AMPLICON INC                 COMMON       032101107         954850        90400        90400            0            0
AMR CORP                     COMMON       001765106        7866751       246800       246800            0            0
AMREP CORP NEW               COMMON       032159105         739813       124600       124600            0            0
AMSOUTH BANCORPORATION       COMMON       032165102           6154          412          412            0            0
AMTRAN INC                   COMMON       03234G106        1867938       104500       104500            0            0
AMWEST INS GROUP INC DEL     COMMON       032345100          40538         4700         4700            0            0
ANCHOR GAMING     C          COMMON       033037102        4082454       107610       107610            0            0
ANDERSONS INC                COMMON       034164103        1270500       181500       181500            0            0
ANDOVER BANCORP INC DEL      COMMON       034258103         471281        16500        16500            0            0
ANDREW  CORP      C          COMMON       034425108           1258           55           55            0            0
ANNTAYLOR STORES CORP        COMMON       036115103         722200        31400        31400            0            0
ANNUITY & LIFE RE HLD        COMMON       G03910109        2117440        81440        81440            0            0
ANSYS INC                    COMMON       03662Q105          63425         5900         5900            0            0
AON CORP                     COMMON       037389103           9675          300          300            0            0
APACHE CORP COM              COMMON       037411105        2427800        48800        48800            0            0
APASCO S A DE C V ADR        COMMON       037488103         235120         7565         7565            0            0
APOGEE ENTERPRISES INC       COMMON       037598109         434578       109500       109500            0            0
APPLEBEES INTL INC           COMMON       037899101        1303876        46360        46360            0            0
APPLIED SIGNAL TECHNOLOG     COMMON       038237103        1472750        86000        86000            0            0
ARACRUZ CELULOSE S A         COMMON       038496204         398758        18820        18820            0            0
ARCADIA FINL LTD             COMMON       039101100        3943000       788600       788600            0            0
ARCADIS NV ORD SHS           COMMON       N0605M105         185882        27037        27037            0            0
ARCH CHEMICALS INC           COMMON       03937R102         600000        30000        30000            0            0
ARCHER DANIELS MIDLAND C     COMMON       039483102          19511         1892         1892            0            0
ARCTIC CAT INC               COMMON       039670104        5652875       551500       551500            0            0
ARGONAUT GROUP               COMMON       040157109        1514105        75469        75469            0            0
ARIBA INC                    COMMON       04033V104          41925          200          200            0            0
ARK RESTAURANTS CORP         COMMON       040712101         471700        71200        71200            0            0
ARKANSAS BEST CORP DEL       COMMON       040790107        3745350       356700       356700            0            0
ARMSTRONG WORLD INDS INC     COMMON       042476101         353925        19800        19800            0            0
ARNOLD INDS INC              COMMON       042595108        6817916       532130       532130            0            0
ARVIN INDS INC COM           COMMON       043339100       14229459       628926       628926            0            0
ASI SOLUTIONS INC            COMMON       00206F108         113200        28300        28300            0            0
ASIA PULP & PAPER LTD        COMMON       04516V100        3347810       453929       453929            0            0
ASSOCIATED MATLS INC         COMMON       045709102         820013        59100        59100            0            0
ASSOCIATES FIRST CAP COR     COMMON       046008108          30438         1424         1424            0            0
ASTORIA FINL CORP            COMMON       046265104         428463        15100        15100            0            0
ASTRA ADR (046298105)        COMMON       046298105          51600         2400         2400            0            0
ASTRA ZENECA PLC ADR         COMMON       046353108        7728796       190821       190821            0            0
ASTRONICS CORP               COMMON       046433108          30360         2640         2640            0            0
AT&T CORP                    COMMON       001957109         851445        15120        15120            0            0
ATCHISON CASTING CORP        COMMON       046613105        1274419       183700       183700            0            0
ATG INC                      COMMON       00206P106          74663        18100        18100            0            0

<CAPTION>

FirstOfIssuer                                  Manager      VSole       VShared      VNone
- ---------------                                -------      -----       -------      -----
<S>                                              <C>      <C>             <C>          <C>
AMERICAN BUSINESS FINL S                           1        38700           0         1200
AMERICAN COIN MERCHANDIS                           1        40000           0         2100
AMERICAN DENTAL TECHNOLO                           1       149900           0         3100
AMERICAN ELEC PWR INC                              1          200           0            0
AMERICAN EXPRESS CO                                1          500           0            0
AMERICAN FINL GROUP INC                            1        17300           0            0
AMERICAN FREIGHTWAYS COR                           1        70100           0         2900
AMERICAN GENERAL CORP                              1        77152           0        17420
AMERICAN HOMESTAR CORP                             1       346200           0         9100
AMERICAN PAC CORP                                  1        44300           0            0
AMERICAN PHYSICIANS SVC                            1        35100           0            0
AMERICAN VANGUARD CORP                             1        32340           0         1210
AMERICAN WOODMARK CORP                             1         3400           0            0
AMERIPATH INC                                      1       392800           0         8100
AMERISOURCE HEALTH CORP                            1       254800           0         7500
AMERON INTL INC                                    1        87200           0         1000
AMERUS LIFE HLDGS INC                              1       450622           0        11162
AMETEK INC NEW                                     1       104700           0            0
AMPCO-PITTSBURGH CORP                              1       217100           0         4400
AMPLICON INC                                       1        84900           0         5500
AMR CORP                                           1       234500           0        12300
AMREP CORP NEW                                     1       121700           0         2900
AMSOUTH BANCORPORATION                             1          412           0            0
AMTRAN INC                                         1        99700           0         4800
AMWEST INS GROUP INC DEL                           1         4700           0            0
ANCHOR GAMING     C                                1       102910           0         4700
ANDERSONS INC                                      1       179000           0         2500
ANDOVER BANCORP INC DEL                            1        16500           0            0
ANDREW  CORP      C                                1           55           0            0
ANNTAYLOR STORES CORP                              1        31400           0            0
ANNUITY & LIFE RE HLD                              1        71244         265         9931
ANSYS INC                                          1         5900           0            0
AON CORP                                           1          300           0            0
APACHE CORP COM                                    1        41800           0         7000
APASCO S A DE C V ADR                              1            0           0         7565
APOGEE ENTERPRISES INC                             1       109500           0            0
APPLEBEES INTL INC                                 1        37854         260         8246
APPLIED SIGNAL TECHNOLOG                           1        86000           0            0
ARACRUZ CELULOSE S A                               1        18820           0            0
ARCADIA FINL LTD                                   1       771300           0        17300
ARCADIS NV ORD SHS                                 1            0           0        27037
ARCH CHEMICALS INC                                 1        30000           0            0
ARCHER DANIELS MIDLAND C                           1         1892           0            0
ARCTIC CAT INC                                     1       538800           0        12700
ARGONAUT GROUP                                     1        62309         485        12675
ARIBA INC                                          1          200           0            0
ARK RESTAURANTS CORP                               1        68000           0         3200
ARKANSAS BEST CORP DEL                             1       348000           0         8700
ARMSTRONG WORLD INDS INC                           1        19800           0            0
ARNOLD INDS INC                                    1       519830           0        12300
ARVIN INDS INC COM                                 1       603351         405        25170
ASI SOLUTIONS INC                                  1        28300           0            0
ASIA PULP & PAPER LTD                              1       440709           0        13220
ASSOCIATED MATLS INC                               1        59100           0            0
ASSOCIATES FIRST CAP COR                           1         1424           0            0
ASTORIA FINL CORP                                  1        15100           0            0
ASTRA ADR (046298105)                              1         2400           0            0
ASTRA ZENECA PLC ADR                               1       169998           0        20823
ASTRONICS CORP                                     1         2640           0            0
AT&T CORP                                          1        15120           0            0
ATCHISON CASTING CORP                              1       180200           0         3500
ATG INC                                            1        18100           0            0
</TABLE>
<PAGE>
<TABLE>
FirstOfIssuer                Class          CUSIP            FMV         Shares       IDSole        IDShared     IDOther
- ---------------              -----          -----            ---         ------       ------        --------     -------
<S>                           <C>           <C>               <C>           <C>          <C>           <C>          <C>
ATLANTIC AMERN CORP          COMMON       048209100          75250        28000        28000            0            0
ATLANTIC RICHFIELD CO        COMMON       048825103       57509555       676583       676583            0            0
ATLANTIS PLASTICS INC        COMMON       049156102         239400        26600        26600            0            0
AUTODESK INC                 COMMON       052769106         623350        13700        13700            0            0
AUTOLOGIC INFORMATION IN     COMMON       052803103           9219         2500         2500            0            0
AUTOZONE INC                 COMMON       053332102           4163          150          150            0            0
AVANT CORP                   COMMON       053487104        8590025       687202       687202            0            0
AVIALL INC NEW               COMMON       05366B102          91125        10800        10800            0            0
AVIATION SALES CO            COMMON       053672101        1707563       260200       260200            0            0
AVIS RENT A CAR INC          COMMON       053790101       11322318       642401       642401            0            0
AVISTA CORP                  COMMON       05379B107        1544425        37900        37900            0            0
AVTEAM INC                   COMMON       054527205         659400       188400       188400            0            0
AXA FINL INC                 COMMON       002451102          17938          500          500            0            0
AXA-UAP SPONSORED ADR        COMMON       054536107        3786670        52820        52820            0            0
AXSYS TECHNOLOGIES INC       COMMON       054615109          96000         6400         6400            0            0
AZTEC MFG CO                 COMMON       054825104        1213144       102700       102700            0            0
BAA PLC SPONSORED ADR        COMMON       05518L206         255650        42117        42117            0            0
BACOU USA INC                COMMON       056439102        1979688       126700       126700            0            0
BADGER PAPER MLS INC         COMMON       056543101           9000         2000         2000            0            0
BAIRNCO CORP                 COMMON       057097107        1258463       181400       181400            0            0
BAKER HUGHES INC             COMMON       057224107          10588          350          350            0            0
BALCHEM CORP                 COMMON       057665200         107100        11900        11900            0            0
BALDWIN TECHNOLOGY INC       COMMON       058264102         761438       393000       393000            0            0
BALL CORP                    COMMON       058498106        2626750        76000        76000            0            0
BALLANTYNE OMAHA INC         COMMON       058516105         640125       170700       170700            0            0
BALTEK CORP                  COMMON       058822107         153563        21000        21000            0            0
BANCINSURANCE CORP           COMMON       05945K102          75353        17730        17730            0            0
BANCWEST CORP NEW COM        COMMON       059790105        2051163       103855       103855            0            0
BANDAG INC                   COMMON       059815100        7175517       311979       311979            0            0
BANDAG INC                   COMMON       059815308        2046363        90447        90447            0            0
BANGOR HYDRO ELEC CO         COMMON       060077104        2112114       121999       121999            0            0
BANK OF AMERICA              COMMON       060505104       54418018      1037769      1037769            0            0
BANK OF THE OZARKS INC       COMMON       063904106         231000        16000        16000            0            0
BANK ONE CORP                COMMON       06423A103         977832        28366        28366            0            0
BANK TOKYO MITSUBISHI        COMMON       065379109        6693597       471772       471772            0            0
BANK UTD CORP                COMMON       065412108        8872219       281100       281100            0            0
BANKATLANTIC BANCORP         COMMON       065908501        3506139       890448       890448            0            0
BANKNORTH GROUP INC DEL      COMMON       06646L100         175032         6528         6528            0            0
BARD C R INC                 COMMON       067383109         642213        16600        16600            0            0
BARNES GROUP INC             COMMON       067806109        5684000       392000       392000            0            0
BARNETT INC                  COMMON       068062108        3652000       332000       332000            0            0
BARRY R G CORP OHIO          COMMON       068798107          67500        20000        20000            0            0
BAY VIEW CAP CORP DEL        COMMON       07262L101        1846500       246200       246200            0            0
BAYER AG SPONS ADR           COMMON       072730302        4163910        93002        93002            0            0
BAYOU STL CORP LA PLACE      COMMON       073051104         961800       320600       320600            0            0
BCE INC                      COMMON       05534B109       76014405       605994       605994            0            0
BCT INTL INC                 COMMON       055355101          94800        47400        47400            0            0
BEAR STEARNS COS INC         COMMON       073902108           5019          110          110            0            0
BEAZER HOMES USA INC         COMMON       07556Q105        3489769       186121       186121            0            0
BECKMAN COULTER INC C        COMMON       075811109        2721374        42397        42397            0            0
BEL FUSE INC                 COMMON       077347201         214650        10600        10600            0            0
BEL FUSE INC                 COMMON       077347300         976500        46500        46500            0            0
BELL ATLANTIC CORP           COMMON       077853109       24309608       397702       397702            0            0
BELL CANADA WHEN ISSUE       COMMON       077992105         562250        20000        20000            0            0
BELL INDS INC                COMMON       078107109         166706        52300        52300            0            0
BELL MICROPRODUCTS INC       COMMON       078137106        2565075       148700       148700            0            0
BELLSOUTH CORP               COMMON       079860102       17878125       381400       381400            0            0
BEN FRANKLIN RETAIL STOR     COMMON       081499105              7         1483         1483            0            0
BENIHANA INC                 COMMON       082047200         111475         9100         9100            0            0
BETHLEHEM STL CORP           COMMON       087509105        1281600       213600       213600            0            0
BEVERLY ENTERPRISES I        COMMON       087851309        9217286      2499603      2499603            0            0
BG PLC ADR FNL INSTLL        COMMON       055434203         354479        12042        12042            0            0

<CAPTION>


FirstOfIssuer                                Manager      VSole       VShared      VNone
- ---------------                              -------      -----       -------      -----
<S>                                            <C>      <C>             <C>          <C>
ATLANTIC AMERN CORP                             1        28000           0            0
ATLANTIC RICHFIELD CO                           1       633697           0        42886
ATLANTIS PLASTICS INC                           1        26600           0            0
AUTODESK INC                                    1        13700           0            0
AUTOLOGIC INFORMATION IN                        1         2500           0            0
AUTOZONE INC                                    1          150           0            0
AVANT CORP                                      1       670802           0        16400
AVIALL INC NEW                                  1        10800           0            0
AVIATION SALES CO                               1       253800           0         6400
AVIS RENT A CAR INC                             1       630101           0        12300
AVISTA CORP                                     1        37900           0            0
AVTEAM INC                                      1       184600           0         3800
AXA FINL INC                                    1          500           0            0
AXA-UAP SPONSORED ADR                           1        46915           0         5905
AXSYS TECHNOLOGIES INC                          1         6400           0            0
AZTEC MFG CO                                    1       100300           0         2400
BAA PLC SPONSORED ADR                           1            0           0        42117
BACOU USA INC                                   1       124500           0         2200
BADGER PAPER MLS INC                            1         2000           0            0
BAIRNCO CORP                                    1       176600           0         4800
BAKER HUGHES INC                                1          350           0            0
BALCHEM CORP                                    1        11900           0            0
BALDWIN TECHNOLOGY INC                          1       381500           0        11500
BALL CORP                                       1        67400           0         8600
BALLANTYNE OMAHA INC                            1       170700           0            0
BALTEK CORP                                     1        20800           0          200
BANCINSURANCE CORP                              1        17730           0            0
BANCWEST CORP NEW COM                           1        87080         520        16255
BANDAG INC                                      1       302679           0         9300
BANDAG INC                                      1        90447           0            0
BANGOR HYDRO ELEC CO                            1       109924         230        11845
BANK OF AMERICA                                 1       958290           0        79479
BANK OF THE OZARKS INC                          1        16000           0            0
BANK ONE CORP                                   1        22082           0         6284
BANK TOKYO MITSUBISHI                           1       413472           0        58300
BANK UTD CORP                                   1       267800           0        13300
BANKATLANTIC BANCORP                            1       871100           0        19348
BANKNORTH GROUP INC DEL                         1         6528           0            0
BARD C R INC                                    1        16600           0            0
BARNES GROUP INC                                1       382100           0         9900
BARNETT INC                                     1       325700           0         6300
BARRY R G CORP OHIO                             1        20000           0            0
BAY VIEW CAP CORP DEL                           1       242700           0         3500
BAYER AG SPONS ADR                              1        90172           0         2830
BAYOU STL CORP LA PLACE                         1       314900           0         5700
BCE INC                                         1       571869           0        34125
BCT INTL INC                                    1        44900           0         2500
BEAR STEARNS COS INC                            1          110           0            0
BEAZER HOMES USA INC                            1       182321           0         3800
BECKMAN COULTER INC C                           1        34057         210         8130
BEL FUSE INC                                    1        10600           0            0
BEL FUSE INC                                    1        46500           0            0
BELL ATLANTIC CORP                              1       377518           0        20184
BELL CANADA WHEN ISSUE                          1        20000           0            0
BELL INDS INC                                   1        52300           0            0
BELL MICROPRODUCTS INC                          1       148700           0            0
BELLSOUTH CORP                                  1       381400           0            0
BEN FRANKLIN RETAIL STOR                        1         1483           0            0
BENIHANA INC                                    1         8100           0         1000
BETHLEHEM STL CORP                              1       170935        1060        41605
BEVERLY ENTERPRISES I                           1      2425700           0        73903
BG PLC ADR FNL INSTLL                           1            0           0        12042
</TABLE>
<PAGE>

<TABLE>
FirstOfIssuer                Class          CUSIP            FMV         Shares       IDSole        IDShared     IDOther
- ---------------              -----          -----            ---         ------       ------        --------     -------
<S>                           <C>           <C>               <C>           <C>          <C>           <C>          <C>
BILLING CONCEPTS CORP        COMMON       090063108        1499063       213200       213200            0            0
BILLITON                     COMMON       090171109        6037913      1286917      1286917            0            0
BIO RAD LABS                 COMMON       090572207        3611024       132514       132514            0            0
BLACK & DECKER CORP          COMMON       091797100           3756          100          100            0            0
BLACK HAWK GAMING & DEV      COMMON       092067107         408600        68100        68100            0            0
BLOCK H & R INC              COMMON       093671105         637688        14250        14250            0            0
BLONDER TONGUE LABS INC      COMMON       093698108         252963        34300        34300            0            0
BLUEGREEN CORP               COMMON       096231105        1569838       512600       512600            0            0
BNC MTG INC                  COMMON       05561Y105         507825        54900        54900            0            0
BOB EVANS FARMS INC          COMMON       096761101         567500        45400        45400            0            0
BOC GROUP PLC ADR            COMMON       055617609         507874        12618        12618            0            0
BOEING CO                    COMMON       097023105       10760682       284580       284580            0            0
BOISE CASCADE OFFICE PRO     COMMON       097403109         489613        29900        29900            0            0
BON-TON STORES INC           COMMON       09776J101        1081247       356700       356700            0            0
BORG-WARNER AUTOMOTIVE I     COMMON       099724106        3528000        89600        89600            0            0
BOSTON ACOUSTICS INC         COMMON       100534106        1145950       111800       111800            0            0
BOSTONFED BANCORP INC        COMMON       101178101         357319        32300        32300            0            0
BOYD BROS TRANSPORTATION     COMMON       103255105         270050        49100        49100            0            0
BOYD GAMING CORP             COMMON       103304101        5547069      1123457      1123457            0            0
BP AMOCO ADS                 COMMON       055622104        2290845        43028        43028            0            0
BRASS EAGLE INC              COMMON       10553F106         298850        55600        55600            0            0
BRIGGS & STRATTON CORP       COMMON       109043109       10799425       262600       262600            0            0
BRISTOL MYERS SQUIBB CO      COMMON       110122108       17777000       306500       306500            0            0
BRITISH AIRWAYS PLC          COMMON       110419306         593131        11035        11035            0            0
BRITISH TELECOMM P L         COMMON       111021408        5623740        29893        29893            0            0
BROOKS AUTOMATION INC        COMMON       11434A100        2355337        37685        37685            0            0
BROWN & SHARPE MFG CO        COMMON       115223109         250906       129500       129500            0            0
BROWN SHOE INC NEW           COMMON       115736100        3763200       313600       313600            0            0
BSB BANCORP                  COMMON       055652101        4133250       198000       198000            0            0
BUCKEYE TECHNOLOGIES INC     COMMON       118255108       11313625       624200       624200            0            0
BUFFETS INC                  COMMON       119882108         908544       100600       100600            0            0
BUILDING MATLS HLDG CORP     COMMON       120113105        2511219       277100       277100            0            0
BURLINGTON COAT FACTO        COMMON       121579106        4670970       271765       271765            0            0
BURLINGTON INDS INC          COMMON       121693105        4300048       982868       982868            0            0
BURLINGTON NORTHN SANTA      COMMON       12189T104       14596400       641600       641600            0            0
BURLINGTON RES INC           COMMON       122014103       19817385       535605       535605            0            0
BURNS INTERNATIONAL S        COMMON       122374101        4616742       439687       439687            0            0
BUSINESS RESOURCE GROUP      COMMON       12329K104          31750         4000         4000            0            0
BUTLER INTL INC NEW          COMMON       123649105        1956488       158100       158100            0            0
BUTLER MFG CO DEL            COMMON       123655102        3912444       160100       160100            0            0
BYL BANCORP                  COMMON       056064108         205425        19800        19800            0            0
C D I CORP                   COMMON       125071100        6942600       365400       365400            0            0
CABLE DESIGN TECHNOLOGIE     COMMON       126924109         166294         4900         4900            0            0
CABLETRON SYS INC            COMMON       126920107         643313        21900        21900            0            0
CACHE INC                    COMMON       127150308         250700        43600        43600            0            0
CADBURY SCHWEPPES P L        COMMON       127209302        6161510       217160       217160            0            0
CADMUS COMMUNICATIONS CO     COMMON       127587103        1625013       183100       183100            0            0
CAGLES INC                   COMMON       127703106         355200        44400        44400            0            0
CALLAWAY GOLF CO             COMMON       131193104           1550          100          100            0            0
CAMCO FINL CORP              COMMON       132618109         151575        18800        18800            0            0
CAMERON ASHLEY BUILDING      COMMON       133290106        3936450       228200       228200            0            0
CANADIAN PAC LTD NEW         COMMON       135923100         111875         5000         5000            0            0
CANNONDALE CORP              COMMON       137798104         529875        78500        78500            0            0
CANON INC   (138006309)      COMMON       138006309         621000        14400        14400            0            0
CAPITAL CORP OF THE WEST     COMMON       140065103          46063         5500         5500            0            0
CAPITAL CROSSING BK          COMMON       140071101         580606        57700        57700            0            0
CAPITAL SR LIVING CORP       COMMON       140475104        1233125       394600       394600            0            0
CAPITAL TRUST INC MD         COMMON       14052H100         212800        53200        53200            0            0
CARAUSTAR INDS INC           COMMON       140909102         151138        10700        10700            0            0
CARBIDE/GRAPHITE GROUP I     COMMON       140777103         916275       192900       192900            0            0
CAREMATRIX CORP              COMMON       141706101         463706       353300       353300            0            0
CAROLINA PWR & LT CO         COMMON       144141108           6488          200          200            0            0

<CAPTION>

FirstOfIssuer                                  Manager      VSole       VShared      VNone
- ---------------                                -------      -----       -------      -----
<S>                                              <C>      <C>             <C>          <C>
BILLING CONCEPTS CORP                             1       213200           0            0
BILLITON                                          1      1179157           0       107760
BIO RAD LABS                                      1       115179         435        16900
BLACK & DECKER CORP                               1          100           0            0
BLACK HAWK GAMING & DEV                           1        67100           0         1000
BLOCK H & R INC                                   1        14250           0            0
BLONDER TONGUE LABS INC                           1        34300           0            0
BLUEGREEN CORP                                    1       503500           0         9100
BNC MTG INC                                       1        54900           0            0
BOB EVANS FARMS INC                               1        45400           0            0
BOC GROUP PLC ADR                                 1          143           0        12475
BOEING CO                                         1       257180           0        27400
BOISE CASCADE OFFICE PRO                          1        29900           0            0
BON-TON STORES INC                                1       349900           0         6800
BORG-WARNER AUTOMOTIVE I                          1        84600           0         5000
BOSTON ACOUSTICS INC                              1       110150           0         1650
BOSTONFED BANCORP INC                             1        32300           0            0
BOYD BROS TRANSPORTATION                          1        47300           0         1800
BOYD GAMING CORP                                  1      1095057           0        28400
BP AMOCO ADS                                      1        37418           0         5610
BRASS EAGLE INC                                   1        55100           0          500
BRIGGS & STRATTON CORP                            1       262600           0            0
BRISTOL MYERS SQUIBB CO                           1       306500           0            0
BRITISH AIRWAYS PLC                               1         1025           0        10010
BRITISH TELECOMM P L                              1        26273           0         3620
BROOKS AUTOMATION INC                             1        30370         185         7130
BROWN & SHARPE MFG CO                             1       129500           0            0
BROWN SHOE INC NEW                                1       307600           0         6000
BSB BANCORP                                       1       194600           0         3400
BUCKEYE TECHNOLOGIES INC                          1       608800           0        15400
BUFFETS INC                                       1        92700           0         7900
BUILDING MATLS HLDG CORP                          1       272200           0         4900
BURLINGTON COAT FACTO                             1       256295         530        14940
BURLINGTON INDS INC                               1       954268           0        28600
BURLINGTON NORTHN SANTA                           1       641600           0            0
BURLINGTON RES INC                                1       480905           0        54700
BURNS INTERNATIONAL S                             1       400772         975        37940
BUSINESS RESOURCE GROUP                           1         4000           0            0
BUTLER INTL INC NEW                               1       154800           0         3300
BUTLER MFG CO DEL                                 1       156600           0         3500
BYL BANCORP                                       1        19800           0            0
C D I CORP                                        1       359100           0         6300
CABLE DESIGN TECHNOLOGIE                          1         4900           0            0
CABLETRON SYS INC                                 1        21900           0            0
CACHE INC                                         1        43600           0            0
CADBURY SCHWEPPES P L                             1       193190           0        23970
CADMUS COMMUNICATIONS CO                          1       180100           0         3000
CAGLES INC                                        1        44400           0            0
CALLAWAY GOLF CO                                  1          100           0            0
CAMCO FINL CORP                                   1        18800           0            0
CAMERON ASHLEY BUILDING                           1       223700           0         4500
CANADIAN PAC LTD NEW                              1         2400           0         2600
CANNONDALE CORP                                   1        74500           0         4000
CANON INC   (138006309)                           1         1800           0        12600
CAPITAL CORP OF THE WEST                          1         5500           0            0
CAPITAL CROSSING BK                               1        56000           0         1700
CAPITAL SR LIVING CORP                            1       387000           0         7600
CAPITAL TRUST INC MD                              1        47200           0         6000
CARAUSTAR INDS INC                                1         7100           0         3600
CARBIDE/GRAPHITE GROUP I                          1       189600           0         3300
CAREMATRIX CORP                                   1       346400           0         6900
CAROLINA PWR & LT CO                              1          200           0            0
</TABLE>
<PAGE>

<TABLE>
FirstOfIssuer                Class          CUSIP            FMV         Shares       IDSole        IDShared     IDOther
- ---------------              -----          -----            ---         ------       ------        --------     -------
<S>                           <C>           <C>               <C>           <C>          <C>           <C>          <C>
CARPENTER TECHNOLOGY COR     COMMON       144285103        4389356       210900       210900            0            0
CARRIAGE SVCS INC            COMMON       143905107        1107438       272600       272600            0            0
CASCADE CORP                 COMMON       147195101        2844600       258600       258600            0            0
CASTLE DENTAL CTRS INC       COMMON       14844P105         330000       132000       132000            0            0
CASTLE ENERGY CORP           COMMON       148449309         210094        40500        40500            0            0
CATALINA LTG INC             COMMON       148865108         299725        63100        63100            0            0
CATERPILLAR INC              COMMON       149123101       19541887       495515       495515            0            0
CATO CORP NEW                COMMON       149205106        3576700       304400       304400            0            0
CAVALIER HOMES INC           COMMON       149507105         969565       337240       337240            0            0
CBL MED INC                  COMMON       124831108            253          900          900            0            0
CBRL GROUP INC COM           COMMON       12489V106        5492940       549294       549294            0            0
CCA INDS INC                 COMMON       124867102          21494        18100        18100            0            0
CCBT FINL COS INC            COMMON       12500Q102         965625        75000        75000            0            0
CELLSTAR CORP                COMMON       150925105        7362400       920300       920300            0            0
CEM CORP                     COMMON       125165100         133200        12800        12800            0            0
CENDANT CORP                 COMMON       151313103          29600         1600         1600            0            0
CENTEX CONSTRUCTION PROD     COMMON       15231R109        7740941       294893       294893            0            0
CENTEX CORP                  COMMON       152312104         419100        17600        17600            0            0
CENTRAL & SOUTH WEST COR     COMMON       152357109        7150544       417550       417550            0            0
CENTRAL GARDEN & PET CO      COMMON       153527106        5230788       529700       529700            0            0
CENTRAL VT PUB SVC CO        COMMON       155771108         755491        72381        72381            0            0
CENTRICA PLC                 COMMON       0183901            21935        11000        11000            0            0
CENTURY ALUM CO COM          COMMON       156431108        2694876       195990       195990            0            0
CENVILL DEV CORP NEW         COMMON       156906109           2455         4900         4900            0            0
CERES GROUP INC              COMMON       156772105          72100        10300        10300            0            0
CERIDIAN CORP                COMMON       15677T106         443039        23090        23090            0            0
CFC INTL INC                 COMMON       125252106           8125         1300         1300            0            0
CFI PROSERVICES INC          COMMON       12525N100         253425        37200        37200            0            0
CH ENERGY GROUP INC          COMMON       12541M102         303750        10000        10000            0            0
CHAMPION ENTERPRISES INC     COMMON       158496109        5543575       964100       964100            0            0
CHAMPION INTERNATIONA        COMMON       158525105       19431240       364905       364905            0            0
CHANNELL COML CORP           COMMON       159186105        1883750       137000       137000            0            0
CHART INDS INC               COMMON       16115Q100          27413         8600         8600            0            0
CHARTER ONE FINL INC         COMMON       160903100         550872        26232        26232            0            0
CHASE INDS INC               COMMON       161568100        2810938       321250       321250            0            0
CHASE MANHATTAN CORPO        COMMON       16161A108       22522242       258319       258319            0            0
CHATTEM INC                  COMMON       162456107         570650        40400        40400            0            0
CHAUS BERNARD INC            COMMON       162510200         837000       496000       496000            0            0
CHELSEA GCA REALTY           COMMON       163262108         713110        24590        24590            0            0
CHEMFAB CORP                 COMMON       16361L102         342225        23400        23400            0            0
CHEMFIRST INC COM            COMMON       16361A106        1545799        79526        79526            0            0
CHEROKEE INC DEL NEW         COMMON       16444H102         103250        14000        14000            0            0
CHERRY CORP                  COMMON       164541401        1104131        72700        72700            0            0
CHESAPEAKE CORP              COMMON       165159104         381356        12900        12900            0            0
CHICAGO RIVET & MACH CO      COMMON       168088102         160600         7300         7300            0            0
CHILDRENS COMPREHENSIVE      COMMON       16875K202         559350       135600       135600            0            0
CHROMCRAFT REVINGTON INC     COMMON       171117104        1702663       223300       223300            0            0
CHUBB CORP                   COMMON       171232101        1347737        19948        19948            0            0
CIGNA CORP                   COMMON       125509109          37118          490          490            0            0
CINCINNATI FINL CORP         COMMON       172062101           7525          200          200            0            0
CINERGY CORP                 COMMON       172474108         397750        18500        18500            0            0
CIRCOR INTL INC              COMMON       17273K109        1401806       105300       105300            0            0
CIT GROUP INC CL A           COMMON       125577106       26990820      1384140      1384140            0            0
CITIGROUP INC                COMMON       172967101         296381         4950         4950            0            0
CITIZENS BKG CORP MICH       COMMON       174420109        3685500       189000       189000            0            0
CK WITCO CORP                COMMON       12562C108         369806        36300        36300            0            0
CKE RESTAURANTS INC          COMMON       12561E105        6554775      1028200      1028200            0            0
CLAYTON HOMES INC            COMMON       184190106        1649807       162943       162943            0            0
CLEVELAND CLIFFS INC         COMMON       185896107         283500        12000        12000            0            0
CMP GROUP INC COM            COMMON       125887109        3763245       129210       129210            0            0
CMS ENERGY CORP              COMMON       125896100           1813          100          100            0            0
CNF TRANSN INC COM           COMMON       12612W104       19182623       691264       691264            0            0

<CAPTION>


FirstOfIssuer                                  Manager      VSole       VShared      VNone
- ---------------                                -------      -----       -------      -----
<S>                                              <C>      <C>             <C>          <C>
CARPENTER TECHNOLOGY COR                          1       201800           0         9100
CARRIAGE SVCS INC                                 1       265900           0         6700
CASCADE CORP                                      1       253400           0         5200
CASTLE DENTAL CTRS INC                            1       129500           0         2500
CASTLE ENERGY CORP                                1        37500           0         3000
CATALINA LTG INC                                  1        63100           0            0
CATERPILLAR INC                                   1       459155           0        36360
CATO CORP NEW                                     1       304400           0            0
CAVALIER HOMES INC                                1       331100           0         6140
CBL MED INC                                       1          900           0            0
CBRL GROUP INC COM                                1       503014        1575        44705
CCA INDS INC                                      1        18100           0            0
CCBT FINL COS INC                                 1        75000           0            0
CELLSTAR CORP                                     1       895700           0        24600
CEM CORP                                          1        11600           0         1200
CENDANT CORP                                      1         1600           0            0
CENTEX CONSTRUCTION PROD                          1       282793           0        12100
CENTEX CORP                                       1        17600           0            0
CENTRAL & SOUTH WEST COR                          1       417550           0            0
CENTRAL GARDEN & PET CO                           1       515700           0        14000
CENTRAL VT PUB SVC CO                             1        57186         305        14890
CENTRICA PLC                                      1            0           0        11000
CENTURY ALUM CO COM                               1       154835         835        40320
CENVILL DEV CORP NEW                              1         4900           0            0
CERES GROUP INC                                   1        10300           0            0
CERIDIAN CORP                                     1        23090           0            0
CFC INTL INC                                      1         1300           0            0
CFI PROSERVICES INC                               1        37200           0            0
CH ENERGY GROUP INC                               1        10000           0            0
CHAMPION ENTERPRISES INC                          1       944000           0        20100
CHAMPION INTERNATIONA                             1       353885           0        11020
CHANNELL COML CORP                                1       132900           0         4100
CHART INDS INC                                    1         8600           0            0
CHARTER ONE FINL INC                              1        26232           0            0
CHASE INDS INC                                    1       314550           0         6700
CHASE MANHATTAN CORPO                             1       245274         100        12945
CHATTEM INC                                       1        40400           0            0
CHAUS BERNARD INC                                 1       485600           0        10400
CHELSEA GCA REALTY                                1        18590           0         6000
CHEMFAB CORP                                      1        23400           0            0
CHEMFIRST INC COM                                 1        68771         320        10435
CHEROKEE INC DEL NEW                              1        14000           0            0
CHERRY CORP                                       1        66300           0         6400
CHESAPEAKE CORP                                   1        12900           0            0
CHICAGO RIVET & MACH CO                           1         7300           0            0
CHILDRENS COMPREHENSIVE                           1       132800           0         2800
CHROMCRAFT REVINGTON INC                          1       219500           0         3800
CHUBB CORP                                        1        15100           0         4848
CIGNA CORP                                        1          490           0            0
CINCINNATI FINL CORP                              1          200           0            0
CINERGY CORP                                      1        16300           0         2200
CIRCOR INTL INC                                   1       105300           0            0
CIT GROUP INC CL A                                1      1239840         200       144100
CITIGROUP INC                                     1         4950           0            0
CITIZENS BKG CORP MICH                            1       180000           0         9000
CK WITCO CORP                                     1        36300           0            0
CKE RESTAURANTS INC                               1      1008200           0        20000
CLAYTON HOMES INC                                 1       149753         370        12820
CLEVELAND CLIFFS INC                              1        12000           0            0
CMP GROUP INC COM                                 1        96680         160        32370
CMS ENERGY CORP                                   1          100           0            0
CNF TRANSN INC COM                                1       602064         100        89100
</TABLE>
<PAGE>

<TABLE>
FirstOfIssuer                Class          CUSIP            FMV         Shares       IDSole        IDShared     IDOther
- ---------------              -----          -----            ---         ------       ------        --------     -------
<S>                           <C>           <C>               <C>           <C>          <C>           <C>          <C>
CNH GLOBAL N V               COMMON       N20935107          16788         1700         1700            0            0
COACHMEN INDS INC            COMMON       189873102        4331359       312170       312170            0            0
COAST DENTAL SVCS INC        COMMON       19034H102         337725       142200       142200            0            0
COASTAL BANCORP INC          COMMON       19041P105         653363        39900        39900            0            0
COASTAL CORP                 COMMON       190441105          11500          250          250            0            0
COBRA ELECTRS CORP           COMMON       191042100         757288       128900       128900            0            0
COFLEXIP SPONSORED AD        COMMON       192384105         430335         7860         7860            0            0
COLE NATIONAL CORP NEW       COMMON       193290103        2582938       317900       317900            0            0
COLLINS INDS INC             COMMON       194858106         172963        27400        27400            0            0
COLONIAL BANCGROUP INC       COMMON       195493309         388075        36100        36100            0            0
COLONIAL PROPERTIES T        COMMON       195872106        2077190        87460        87460            0            0
COLUMBIA BANCORP             COMMON       197227101         252038        28200        28200            0            0
COLUMBIA ENERGY GROUP        COMMON       197648108          71100         1200         1200            0            0
COLUMBIA/HCA HEALTHCA        COMMON       197677107        4235311       167319       167319            0            0
COLUMBUS MCKINNON CORP N     COMMON       199333105        3895500       296800       296800            0            0
COMDIAL CORP                 COMMON       200332302         647063        49300        49300            0            0
COMFORT SYS USA INC          COMMON       199908104        3897038       611300       611300            0            0
COMMERCE GROUP INC MASS      COMMON       200641108       15424164       522853       522853            0            0
COMMERCIAL FEDERAL CORPO     COMMON       201647104        7933450       477200       477200            0            0
COMMERCIAL INTERTECH COR     COMMON       201709102        5799938       294600       294600            0            0
COMMERCIAL METALS CO         COMMON       201723103        9170229       331954       331954            0            0
COMMUNICATIONS SYS INC       COMMON       203900105         127750         7300         7300            0            0
COMMUNITY BK SYS INC         COMMON       203607106         921625        40400        40400            0            0
COMMUNITY FIRST BANKSHAR     COMMON       203902101        1924800       120300       120300            0            0
COMPAQ COMPUTER CORP         COMMON       204493100          36720         1360         1360            0            0
COMPTEK RESH INC             COMMON       204682108          41625         3000         3000            0            0
COMPUTER ASSOC INTL I        COMMON       204912109       19218818       324710       324710            0            0
COMPUTER HORIZON CORP        COMMON       205908106        1768758       103284       103284            0            0
COMPUTER TASK GROUP I        COMMON       205477102        1035980        94180        94180            0            0
CONGOLEUM CORP NEW           COMMON       207195108         611156       184500       184500            0            0
CONNING CORP                 COMMON       208215103        2299694       184900       184900            0            0
CONOCO INC                   COMMON       208251306          17238          700          700            0            0
CONOCO INC CL B              COMMON       208251405       19095504       745190       745190            0            0
CONSLDTD DELIVERY & LOGI     COMMON       209029107         280000       112000       112000            0            0
CONSOLIDATED EDISON INC      COMMON       209115104           8738          300          300            0            0
CONSOLIDATED FREIGHTWAYS     COMMON       209232107        3139763       531600       531600            0            0
CONSOLIDATED GRAPHICS IN     COMMON       209341106        1165188        90500        90500            0            0
CONSOLIDATED PAPERS I        COMMON       209759109         972469        25300        25300            0            0
CONSTELLATION ENERGY COR     COMMON       210371100           6375          200          200            0            0
CONSUMER PORTFOLIO SVCS      COMMON       210502100          70875        37800        37800            0            0
COOKER RESTAURANT CORP       COMMON       216284208         510300       194400       194400            0            0
COOPER INDS INC              COMMON       216669101           3500          100          100            0            0
COOPER TIRE & RUBR CO        COMMON       216831107        9370369       745900       745900            0            0
COORSTEK INC                 COMMON       217020106        3407122        84649        84649            0            0
CORDANT TECHNOLOGIES         COMMON       218412104        3818151        67503        67503            0            0
CORE MATLS CORP              COMMON       218683100           8613         5300         5300            0            0
CORNING INC                  COMMON       219350105         478404         2466         2466            0            0
CORRPRO COS INC              COMMON       220317101         754894       158925       158925            0            0
CORUS BANKSHARES INC         COMMON       220873103        7753043       328171       328171            0            0
COST-U-LESS INC              COMMON       221492101          82125        36500        36500            0            0
COTELLIGENT INC              COMMON       221630106           6975         1200         1200            0            0
COTTON STS LIFE INS CO       COMMON       221774102         178576        22149        22149            0            0
COUNTRYWIDE CR INDS INC      COMMON       222372104       20252473       743210       743210            0            0
COURIER CORP                 COMMON       222660102         882338        37950        37950            0            0
COVANCE INC                  COMMON       222816100        2410150       224200       224200            0            0
COVENANT TRANS INC           COMMON       22284P105        3275013       206300       206300            0            0
CPAC INC                     COMMON       126145101        1091931       146200       146200            0            0
CPB INC                      COMMON       125903104         129850         5300         5300            0            0
CRAFTMADE INTL INC           COMMON       22413E104         284175        42100        42100            0            0
CRANE CO                     COMMON       224399105         101554         4310         4310            0            0
CREDIT ACCEP CORP MICH       COMMON       225310101        1088044       200100       200100            0            0
CROSSMANN CMNTYS INC         COMMON       22764E109          19013         1200         1200            0            0

<CAPTION>

FirstOfIssuer                                  Manager      VSole       VShared      VNone
- ---------------                                -------      -----       -------      -----
<S>                                              <C>      <C>             <C>          <C>
CNH GLOBAL N V                                    1         1700           0            0
COACHMEN INDS INC                                 1       305770           0         6400
COAST DENTAL SVCS INC                             1       139400           0         2800
COASTAL BANCORP INC                               1        39900           0            0
COASTAL CORP                                      1          250           0            0
COBRA ELECTRS CORP                                1       126000           0         2900
COFLEXIP SPONSORED AD                             1            0           0         7860
COLE NATIONAL CORP NEW                            1       312200           0         5700
COLLINS INDS INC                                  1        27400           0            0
COLONIAL BANCGROUP INC                            1        36100           0            0
COLONIAL PROPERTIES T                             1        68700         495        18265
COLUMBIA BANCORP                                  1        28200           0            0
COLUMBIA ENERGY GROUP                             1         1200           0            0
COLUMBIA/HCA HEALTHCA                             1       143989           0        23330
COLUMBUS MCKINNON CORP N                          1       291600           0         5200
COMDIAL CORP                                      1        49300           0            0
COMFORT SYS USA INC                               1       594800           0        16500
COMMERCE GROUP INC MASS                           1       509453           0        13400
COMMERCIAL FEDERAL CORPO                          1       466200           0        11000
COMMERCIAL INTERTECH COR                          1       287600           0         7000
COMMERCIAL METALS CO                              1       324254           0         7700
COMMUNICATIONS SYS INC                            1         7300           0            0
COMMUNITY BK SYS INC                              1        40400           0            0
COMMUNITY FIRST BANKSHAR                          1       120300           0            0
COMPAQ COMPUTER CORP                              1         1360           0            0
COMPTEK RESH INC                                  1         3000           0            0
COMPUTER ASSOC INTL I                             1       293035           0        31675
COMPUTER HORIZON CORP                             1        79310         480        23494
COMPUTER TASK GROUP I                             1        71780         455        21945
CONGOLEUM CORP NEW                                1       180500           0         4000
CONNING CORP                                      1       184900           0            0
CONOCO INC                                        1          700           0            0
CONOCO INC CL B                                   1       703915           0        41275
CONSLDTD DELIVERY & LOGI                          1       110100           0         1900
CONSOLIDATED EDISON INC                           1          300           0            0
CONSOLIDATED FREIGHTWAYS                          1       521000           0        10600
CONSOLIDATED GRAPHICS IN                          1        87600           0         2900
CONSOLIDATED PAPERS I                             1        17300           0         8000
CONSTELLATION ENERGY COR                          1          200           0            0
CONSUMER PORTFOLIO SVCS                           1        36600           0         1200
COOKER RESTAURANT CORP                            1       190100           0         4300
COOPER INDS INC                                   1          100           0            0
COOPER TIRE & RUBR CO                             1       731600           0        14300
COORSTEK INC                                      1        81124           0         3525
CORDANT TECHNOLOGIES                              1        55423         285        11795
CORE MATLS CORP                                   1         5300           0            0
CORNING INC                                       1         2466           0            0
CORRPRO COS INC                                   1       156000           0         2925
CORUS BANKSHARES INC                              1       313761         265        14145
COST-U-LESS INC                                   1        35300           0         1200
COTELLIGENT INC                                   1         1200           0            0
COTTON STS LIFE INS CO                            1        22149           0            0
COUNTRYWIDE CR INDS INC                           1       673510           0        69700
COURIER CORP                                      1        37200           0          750
COVANCE INC                                       1       219500           0         4700
COVENANT TRANS INC                                1       199400           0         6900
CPAC INC                                          1       143000           0         3200
CPB INC                                           1         5300           0            0
CRAFTMADE INTL INC                                1        42100           0            0
CRANE CO                                          1         4310           0            0
CREDIT ACCEP CORP MICH                            1       184900           0        15200
CROSSMANN CMNTYS INC                              1         1200           0            0

</TABLE>
<PAGE>

<TABLE>
FirstOfIssuer                Class          CUSIP            FMV         Shares       IDSole        IDShared     IDOther
- ---------------              -----          -----            ---         ------       ------        --------     -------
<S>                           <C>           <C>               <C>           <C>          <C>           <C>          <C>
CROWN CORK & SEAL INC        COMMON       228255105         814400        50900        50900            0            0
CSK AUTO CORP                COMMON       125965103        2471119       177300       177300            0            0
CSX CORP                     COMMON       126408103       15404720       655520       655520            0            0
CTB INTL CORP                COMMON       125960104         986563       143500       143500            0            0
CULP INC                     COMMON       230215105         714875       133000       133000            0            0
CUMMINS ENGINE INC           COMMON       231021106          18781          500          500            0            0
CURATIVE HEALTH SVCS INC     COMMON       231264102         536400        89400        89400            0            0
CURTISS WRIGHT CORP          COMMON       231561101         352735         9631         9631            0            0
CVS CORP                     COMMON       126650100          30050          800          800            0            0
CYBEX INTL INC               COMMON       23252E106          74119        17700        17700            0            0
CYTEC INDS INC               COMMON       232820100        3021959        98676        98676            0            0
D R HORTON INC               COMMON       23331A109       14994444      1147900      1147900            0            0
DAIMLERCHRYSLR(D1668R123     COMMON       D1668R123        2309617        35295        35295            0            0
DAISYTEK INTL CORP           COMMON       234053106         303600        19200        19200            0            0
DAL-TILE INTL INC            COMMON       23426R108        2279650       287200       287200            0            0
DAN RIV INC GA               COMMON       235774106        1183856       183900       183900            0            0
DANA CORP                    COMMON       235811106           5638          200          200            0            0
DATRON SYS INC DEL           COMMON       238173108          78000         6500         6500            0            0
DAVE & BUSTERS INC           COMMON       23833N104        1889000       188900       188900            0            0
DAYTON SUPERIOR CORP         COMMON       240028100        2528825       100400       100400            0            0
DE BEERS CONS MINES LTD      COMMON       240253302       32105849      1399710      1399710            0            0
DE RIGO S P A                COMMON       245334107         440000        80000        80000            0            0
DEB SHOPS INC                COMMON       242728103        1174250        85400        85400            0            0
DECORA INDS INC              COMMON       243593308          32450        11800        11800            0            0
DECORATOR INDS INC           COMMON       243631207         305341        62634        62634            0            0
DEERE & CO                   COMMON       244199105       15778550       415225       415225            0            0
DEL GLOBAL TECHNOLOGIES      COMMON       245073101        1434800       168800       168800            0            0
DELCO REMY INTL INC          COMMON       246626105        1512044       203300       203300            0            0
DELHAIZE AMER INC            COMMON       246688105           3600          200          200            0            0
DELPHI AUTOMOTIVE SYS CO     COMMON       247126105          13408          838          838            0            0
DELPHI FINL GROUP INC        COMMON       247131105       12908646       424976       424976            0            0
DELTA AIR LINES INC DEL      COMMON       247361108           7988          150          150            0            0
DELTA FINANCIAL CORP         COMMON       247918105         674600       337300       337300            0            0
DELUXE CORP COM              COMMON       248019101       16127454       608580       608580            0            0
DENALI INC                   COMMON       248221103         308550        96800        96800            0            0
DEPARTMENT 56 INC            COMMON       249509100        5147329       347499       347499            0            0
DESERT CMNTY BK VICTORVI     COMMON       25037Y109          17213          900          900            0            0
DETECTION SYS INC            COMMON       250644101         123031        12700        12700            0            0
DETROIT DIESEL CORP          COMMON       250837101        6780195       354520       354520            0            0
DEUTSCHE BANK A G            COMMON       251525309          25917          390          390            0            0
DEWOLFE COS INC              COMMON       252115100         307400        42400        42400            0            0
DEXTER CORP                  COMMON       252165105        1113000        21000        21000            0            0
DIEBOLD INC                  COMMON       253651103       12551221       456405       456405            0            0
DIME CMNTY BANCSHARES        COMMON       253922108        2267513       143400       143400            0            0
DISCOUNT AUTO PTS INC        COMMON       254642101        1716000       192000       192000            0            0
DISNEY WALT CO               COMMON       254687106        1740750        42200        42200            0            0
DIXIE GROUP INC              COMMON       255519100        1199900       270400       270400            0            0
DIXON TICONDEROGA CO         COMMON       255860108          76800        19200        19200            0            0
DOLLAR THRIFTY AUTOMOTIV     COMMON       256743105        5625159       327282       327282            0            0
DOMINION HOMES INC           COMMON       257386102         539550        98100        98100            0            0
DOMINION RES INC VA NEW      COMMON       25746U109          12338          321          321            0            0
DONEGAL GROUP INC            COMMON       257701102        1159236       181841       181841            0            0
DONNELLEY R R & SONS CO      COMMON       257867101           3141          150          150            0            0
DONNELLY CORP                COMMON       257870105         631969        53500        53500            0            0
DOVER CORP                   COMMON       260003108         610406        12750        12750            0            0
DOW CHEM CO                  COMMON       260543103          51300          450          450            0            0
DOWNEY FINL CORP             COMMON       261018105        7903194       371915       371915            0            0
DRESS BARN INC               COMMON       261570105        8956852       465291       465291            0            0
DREW INDS INC                COMMON       26168L205        1257900       179700       179700            0            0
DTE ENERGY CO                COMMON       233331107       13080378       448150       448150            0            0
DU PONT E I DE NEMOURS &     COMMON       263534109          43515          822          822            0            0
DUCKWALL-ALCO STORES INC     COMMON       264142100         974188       119900       119900            0            0


<CAPTION>

FirstOfIssuer                                  Manager      VSole       VShared      VNone
- ---------------                                -------      -----       -------      -----
<S>                                              <C>      <C>             <C>          <C>
CROWN CORK & SEAL INC                              1        39600           0        11300
CSK AUTO CORP                                      1       177300           0            0
CSX CORP                                           1       655520           0            0
CTB INTL CORP                                      1       142500           0         1000
CULP INC                                           1       128200           0         4800
CUMMINS ENGINE INC                                 1          500           0            0
CURATIVE HEALTH SVCS INC                           1        87200           0         2200
CURTISS WRIGHT CORP                                1         9131           0          500
CVS CORP                                           1          800           0            0
CYBEX INTL INC                                     1        17700           0            0
CYTEC INDS INC                                     1        86255         415        12006
D R HORTON INC                                     1      1120900           0        27000
DAIMLERCHRYSLR(D1668R123                           1        35295           0            0
DAISYTEK INTL CORP                                 1        19200           0            0
DAL-TILE INTL INC                                  1       276900           0        10300
DAN RIV INC GA                                     1       175400           0         8500
DANA CORP                                          1          200           0            0
DATRON SYS INC DEL                                 1         6500           0            0
DAVE & BUSTERS INC                                 1       184600           0         4300
DAYTON SUPERIOR CORP                               1        98100           0         2300
DE BEERS CONS MINES LTD                            1      1305210           0        94500
DE RIGO S P A                                      1        80000           0            0
DEB SHOPS INC                                      1        80300           0         5100
DECORA INDS INC                                    1        11800           0            0
DECORATOR INDS INC                                 1        61594           0         1040
DEERE & CO                                         1       415225           0            0
DEL GLOBAL TECHNOLOGIES                            1       165800           0         3000
DELCO REMY INTL INC                                1       203300           0            0
DELHAIZE AMER INC                                  1          200           0            0
DELPHI AUTOMOTIVE SYS CO                           1          838           0            0
DELPHI FINL GROUP INC                              1       416295           0         8681
DELTA AIR LINES INC DEL                            1          150           0            0
DELTA FINANCIAL CORP                               1       331300           0         6000
DELUXE CORP COM                                    1       588010           0        20570
DENALI INC                                         1        94900           0         1900
DEPARTMENT 56 INC                                  1       340499           0         7000
DESERT CMNTY BK VICTORVI                           1          900           0            0
DETECTION SYS INC                                  1        12700           0            0
DETROIT DIESEL CORP                                1       350020           0         4500
DEUTSCHE BANK A G                                  1          390           0            0
DEWOLFE COS INC                                    1        41000           0         1400
DEXTER CORP                                        1        21000           0            0
DIEBOLD INC                                        1       424110         200        32095
DIME CMNTY BANCSHARES                              1       138700           0         4700
DISCOUNT AUTO PTS INC                              1       186500           0         5500
DISNEY WALT CO                                     1        42200           0            0
DIXIE GROUP INC                                    1       266200           0         4200
DIXON TICONDEROGA CO                               1        19200           0            0
DOLLAR THRIFTY AUTOMOTIV                           1       320482           0         6800
DOMINION HOMES INC                                 1        95300           0         2800
DOMINION RES INC VA NEW                            1          321           0            0
DONEGAL GROUP INC                                  1       178108           0         3733
DONNELLEY R R & SONS CO                            1          150           0            0
DONNELLY CORP                                      1        53500           0            0
DOVER CORP                                         1        12750           0            0
DOW CHEM CO                                        1          450           0            0
DOWNEY FINL CORP                                   1       366115           0         5800
DRESS BARN INC                                     1       454591           0        10700
DREW INDS INC                                      1       175300           0         4400
DTE ENERGY CO                                      1       448150           0            0
DU PONT E I DE NEMOURS &                           1          822           0            0
DUCKWALL-ALCO STORES INC                           1       117800           0         2100

</TABLE>
<PAGE>

<TABLE>
FirstOfIssuer                Class          CUSIP            FMV         Shares       IDSole        IDShared     IDOther
- ---------------              -----          -----            ---         ------       ------        --------     -------
<S>                           <C>           <C>               <C>           <C>          <C>           <C>          <C>
DUCOMMUN INC DEL             COMMON       264147109         581569        63300        63300            0            0
DUKE ENERGY CORP             COMMON       264399106          21000          400          400            0            0
DUN & BRADSTREET CORP DE     COMMON       26483B106           5725          200          200            0            0
DURA AUTOMOTIVE SYS I        COMMON       265903104        7339575       427030       427030            0            0
DURA PHARMACEUTICALS         COMMON       26632S109        2187747       177684       177684            0            0
DVI INC                      COMMON       233343102        1138575        79900        79900            0            0
DYNAMEX INC                  COMMON       26784F103              0        72500        72500            0            0
DYNEGY CLASS A COMMON        COMMON       26816Q101        6550226       104409       104409            0            0
E M C CORP MASS              COMMON       268648102         157374         1249         1249            0            0
EAGLE BANCSHARES INC         COMMON       26942C109         391950        23400        23400            0            0
EASTERN CO                   COMMON       276317104         627200        44800        44800            0            0
EASTMAN CHEM CO              COMMON       277432100       16362255       359610       359610            0            0
EASTMAN KODAK CO             COMMON       277461109          91788         1690         1690            0            0
EATERIES INC                 COMMON       277851101           3250         1000         1000            0            0
EATON CORP                   COMMON       278058102           3900           50           50            0            0
ECI TELECOM LTD              COMMON       268258100       17918317       571113       571113            0            0
EDELBROCK CORP               COMMON       279434104         618125        57500        57500            0            0
EDISON INTL                  COMMON       281020107          87284         5270         5270            0            0
EDO CORP                     COMMON       281347104         966013       141800       141800            0            0
EDPERBRASCAN CORP LTD        COMMON       280905803         241102        18910        18910            0            0
EDUCATIONAL DEV CORP         COMMON       281479105         253206        81026        81026            0            0
EDWARDS AG INC               COMMON       281760108         908000        22700        22700            0            0
EIDOS PLC SPONSORED A        COMMON       282485101        2865694       449580       449580            0            0
EISAI CO LTD - ADR           COMMON       282579309        6248591       236955       236955            0            0
EL PASO ELEC CO COM N        COMMON       283677854        3627812       349668       349668            0            0
EL PASO ENERGY CORP DEL      COMMON       283905107       15816907       391750       391750            0            0
ELDER BEERMAN STORES         COMMON       284470101        3022371       525626       525626            0            0
ELECTRO RENT CORP            COMMON       285218103         490215        42169        42169            0            0
ELLETT BROS INC              COMMON       288398100         383338        67400        67400            0            0
ELLIS PERRY INTL INC         COMMON       288853104        1596699       161691       161691            0            0
ELXSI CORP                   COMMON       268613205         652050        48300        48300            0            0
EMCOR GROUP INC              COMMON       29084Q100         239400        11400        11400            0            0
EMERSON ELEC CO              COMMON       291011104         991844        18670        18670            0            0
ENCOMPASS SVCS CORP          COMMON       29255U104        1534618       266890       266890            0            0
ENCORE MED CORP              COMMON       29256E109          34594        12300        12300            0            0
ENCORE WIRE CORP             COMMON       292562105          68281         9500         9500            0            0
ENERGEN CORP                 COMMON       29265N108         380827        23895        23895            0            0
ENERGYSOUTH INC              COMMON       292970100         599025        32600        32600            0            0
ENGLE HOMES INC              COMMON       292896107        2570100       263600       263600            0            0
ENHANCE FINL SVCS GROUP      COMMON       293310108       12665436       896668       896668            0            0
ENNIS BUSINESS FORMS INC     COMMON       293389102        2731800       376800       376800            0            0
ENTERGY CORP NEW             COMMON       29364G103        8081056       400300       400300            0            0
EQUINOX SYS INC              COMMON       294436100         195869        25900        25900            0            0
EQUITABLE RES INC            COMMON       294549100       21389006       477300       477300            0            0
EQUITY MARKETING INC         COMMON       294724109          55575         5200         5200            0            0
ESCALADE INC                 COMMON       296056104         170300        10400        10400            0            0
ESCO ELECTRS CORP            COMMON       269030102        1597950        95400        95400            0            0
ESTERLINE TECHNOLOGIES C     COMMON       297425100        3478800       267600       267600            0            0
ETHYL CORP                   COMMON       297659104        6974069      2277247      2277247            0            0
EVEREST RE GROUP             COMMON       G3223R108       21924167       672005       672005            0            0
EXIDE CORP                   COMMON       302051107        2222210       188122       188122            0            0
EXPONENT INC                 COMMON       30214U102        1048300        95300        95300            0            0
EXXON CORPORATION            COMMON       30231G102         690526         8860         8860            0            0
EZCORP INC                   COMMON       302301106         657563       167000       167000            0            0
F M C CORP                   COMMON       302491303       22571750       399500       399500            0            0
FANSTEEL INC DEL             COMMON       307260109         452200       129200       129200            0            0
FARM FAMILY HLDGS INC        COMMON       307901108         267750         9000         9000            0            0
FARR CO                      COMMON       311648109         488841        28650        28650            0            0
FARREL CORP NEW              COMMON       311667109          81375        42000        42000            0            0
FBL FINL GROUP INC           COMMON       30239F106          78495         5233         5233            0            0
FEATHERLITE INC              COMMON       313054108         462413       112100       112100            0            0
FEDDERS CORP                 COMMON       313135105        3853700       692800       692800            0            0


<CAPTION>

FirstOfIssuer                                  Manager      VSole       VShared      VNone
- ---------------                                -------      -----       -------      -----
<S>                                              <C>      <C>             <C>          <C>
DUCOMMUN INC DEL                                 1        63300           0            0
DUKE ENERGY CORP                                 1          400           0            0
DUN & BRADSTREET CORP DE                         1          200           0            0
DURA AUTOMOTIVE SYS I                            1       407210         336        19484
DURA PHARMACEUTICALS                             1       143054         910        33720
DVI INC                                          1        72900           0         7000
DYNAMEX INC                                      1        71300           0         1200
DYNEGY CLASS A COMMON                            1        90914           0        13495
E M C CORP MASS                                  1         1249           0            0
EAGLE BANCSHARES INC                             1        23400           0            0
EASTERN CO                                       1        43150           0         1650
EASTMAN CHEM CO                                  1       322310           0        37300
EASTMAN KODAK CO                                 1         1690           0            0
EATERIES INC                                     1         1000           0            0
EATON CORP                                       1           50           0            0
ECI TELECOM LTD                                  1       499373         100        71640
EDELBROCK CORP                                   1        56400           0         1100
EDISON INTL                                      1         5270           0            0
EDO CORP                                         1       138900           0         2900
EDPERBRASCAN CORP LTD                            1            0           0        18910
EDUCATIONAL DEV CORP                             1        79926           0         1100
EDWARDS AG INC                                   1        22700           0            0
EIDOS PLC SPONSORED A                            1       435120           0        14460
EISAI CO LTD - ADR                               1       213780           0        23175
EL PASO ELEC CO COM N                            1       316688         775        32205
EL PASO ENERGY CORP DEL                          1       352050           0        39700
ELDER BEERMAN STORES                             1       460795        1530        63301
ELECTRO RENT CORP                                1        42169           0            0
ELLETT BROS INC                                  1        66100           0         1300
ELLIS PERRY INTL INC                             1       158791           0         2900
ELXSI CORP                                       1        45900           0         2400
EMCOR GROUP INC                                  1        11400           0            0
EMERSON ELEC CO                                  1        18670           0            0
ENCOMPASS SVCS CORP                              1       266890           0            0
ENCORE MED CORP                                  1        12300           0            0
ENCORE WIRE CORP                                 1         9500           0            0
ENERGEN CORP                                     1        23895           0            0
ENERGYSOUTH INC                                  1        32600           0            0
ENGLE HOMES INC                                  1       258700           0         4900
ENHANCE FINL SVCS GROUP                          1       877868           0        18800
ENNIS BUSINESS FORMS INC                         1       370500           0         6300
ENTERGY CORP NEW                                 1       400300           0            0
EQUINOX SYS INC                                  1        25900           0            0
EQUITABLE RES INC                                1       477300           0            0
EQUITY MARKETING INC                             1         3400           0         1800
ESCALADE INC                                     1        10400           0            0
ESCO ELECTRS CORP                                1        91000           0         4400
ESTERLINE TECHNOLOGIES C                         1       261900           0         5700
ETHYL CORP                                       1      2231047           0        46200
EVEREST RE GROUP                                 1       607555         295        64155
EXIDE CORP                                       1       161462         800        25860
EXPONENT INC                                     1        93700           0         1600
EXXON CORPORATION                                1         8660           0          200
EZCORP INC                                       1       167000           0            0
F M C CORP                                       1       381300           0        18200
FANSTEEL INC DEL                                 1       129200           0            0
FARM FAMILY HLDGS INC                            1         9000           0            0
FARR CO                                          1        28650           0            0
FARREL CORP NEW                                  1        40600           0         1400
FBL FINL GROUP INC                               1         5233           0            0
FEATHERLITE INC                                  1       109400           0         2700
FEDDERS CORP                                     1       677600           0        15200

</TABLE>
<PAGE>

<TABLE>
FirstOfIssuer                Class          CUSIP            FMV         Shares       IDSole        IDShared     IDOther
- ---------------              -----          -----            ---         ------       ------        --------     -------
<S>                           <C>           <C>               <C>           <C>          <C>           <C>          <C>
FEDERAL MOGUL CORP           COMMON       313549107         590738        35400        35400            0            0
FEDERAL SIGNAL CORP          COMMON       313855108        1270646        70347        70347            0            0
FEDERATED DEPARTMENT         COMMON       31410H101       48789296      1154775      1154775            0            0
FEDEX CORP                   COMMON       31428X106         566663        14600        14600            0            0
FFY FINL CORP                COMMON       30242U108         252625        23500        23500            0            0
FIAT S P A ADR SPON O        COMMON       315621888         774519        28887        28887            0            0
FIBERMARK INC                COMMON       315646109        1953563       151000       151000            0            0
FIDELITY BANCORP INC DEL     COMMON       31583B105         121625         7000         7000            0            0
FIDELITY NATL FINL INC       COMMON       316326107        9411741       681393       681393            0            0
FINISH LINE INC              COMMON       317923100        3564600       365600       365600            0            0
FINLAY ENTERPRISES INC       COMMON       317884203        3225875       262000       262000            0            0
FIRST ALLIANCE CORP          COMMON       317936102         550094       303500       303500            0            0
FIRST AMERN FINL CORP        COMMON       318522307         113591         8150         8150            0            0
FIRST BELL BANCORP INC       COMMON       319301107         798600        48400        48400            0            0
FIRST CAP HLDGS CORP         COMMON       319417101            769        12200        12200            0            0
FIRST CHARTER CORP           COMMON       319439105         848900        65300        65300            0            0
FIRST CTZNS BANCSHARES I     COMMON       31946M103        9152455       162080       162080            0            0
FIRST ESSEX BANCORP INC      COMMON       320103104        1196406        77500        77500            0            0
FIRST FED BANCSHARES ARK     COMMON       32020F105          78663         5800         5800            0            0
FIRST FED CAP CORP           COMMON       319960100         494381        42300        42300            0            0
FIRST HEALTH GROUP CORP      COMMON       320960107          37950         1200         1200            0            0
FIRST MERCHANTS ACCEP CO     COMMON       320816101             14         2300         2300            0            0
FIRST REP BK SAN FRANCIS     COMMON       336158100        2807431       141700       141700            0            0
FIRST SEC CORP DEL           COMMON       336294103           2400          200          200            0            0
FIRST TENN NATL CORP         COMMON       337162101           2031          100          100            0            0
FIRST UN CORP                COMMON       337358105        5326750       143000       143000            0            0
FIRST VA BANKS INC           COMMON       337477103         766275        20400        20400            0            0
FIRST WASH BANCORP INC W     COMMON       33748T104        1355975        74300        74300            0            0
FIRST YRS INC                COMMON       337610109         257381        37100        37100            0            0
FIRSTAR CORP NEW WIS         COMMON       33763V109           9588          418          418            0            0
FIRSTENERGY CORP             COMMON       337932107           6188          300          300            0            0
FIRSTFED AMER BANCORP IN     COMMON       337929103         248850        23700        23700            0            0
FIRSTFED FINL CORP           COMMON       337907109        5738575       433100       433100            0            0
FLAGSTAR BANCORP INC         COMMON       337930101        3082300       237100       237100            0            0
FLEETBOSTON FINANCIAL        COMMON       339030108       64508650      1767357      1767357            0            0
FLEETWOOD ENTERPRISES IN     COMMON       339099103       11415025       773900       773900            0            0
FLEXSTEEL INDS INC           COMMON       339382103        1401400       114400       114400            0            0
FLIR SYS INC                 COMMON       302445101         198450        21600        21600            0            0
FLORIDA PROGRESS CORP        COMMON       341109106         834925        18200        18200            0            0
FLOWSERVE CORP               COMMON       34354P105        7914263       614700       614700            0            0
FOAMEX INTL INC              COMMON       344123104         474706        50300        50300            0            0
FOOTSTAR INC                 COMMON       344912100         816425        28900        28900            0            0
FORD MTR CO DEL              COMMON       345370100       15035390       327301       327301            0            0
FORT JAMES CORP              COMMON       347471104         620400        28200        28200            0            0
FORTUNE BRANDS INC CO        COMMON       349631101        1825175        73007        73007            0            0
FPIC INS GROUP INC           COMMON       302563101        2681000       153200       153200            0            0
FPL GROUP INC                COMMON       302571104           9213          200          200            0            0
FRANKLIN BK NA SOUTHFIEL     COMMON       352456107         295800        34800        34800            0            0
FRANKLIN COVEY CO            COMMON       353469109        3496414       482264       482264            0            0
FRANKLIN RES INC             COMMON       354613101          10031          300          300            0            0
FREEDOM SECS CORP COM        COMMON       35644K103        2876006       184064       184064            0            0
FREEPORT-MCMORAN COPPER      COMMON       35671D857          62725         5200         5200            0            0
FREMONT GEN CORP             COMMON       357288109        2650088       415700       415700            0            0
FRENCH FRAGRANCES INC        COMMON       357658103        2391638       303700       303700            0            0
FRESH AMERICA CORP           COMMON       35803R105         234281        63000        63000            0            0
FRIEDE GOLDMAN HALTER IN     COMMON       358430106        3176669       462061       462061            0            0
FRIEDMAN INDS INC            COMMON       358435105         511668       127917       127917            0            0
FRIEDMANS INC                COMMON       358438109        2215634       359900       359900            0            0
FROZEN FOOD EXPRESS INDS     COMMON       359360104          92475        27400        27400            0            0
FTI CONSULTING INC           COMMON       302941109         331425        49100        49100            0            0
FUJITSU LTD ADR 5 COM        COMMON       359590304        3851902        25084        25084            0            0
FULLER H B CO COM            COMMON       359694106        2803590        70199        70199            0            0

<CAPTION>

FirstOfIssuer                                  Manager      VSole       VShared      VNone
- ---------------                                -------      -----       -------      -----
<S>                                              <C>      <C>             <C>          <C>
FEDERAL MOGUL CORP                                1        35400           0            0
FEDERAL SIGNAL CORP                               1        57232         385        12730
FEDERATED DEPARTMENT                              1      1051395           0       103380
FEDEX CORP                                        1        14600           0            0
FFY FINL CORP                                     1        23500           0            0
FIAT S P A ADR SPON O                             1        27774           0         1112
FIBERMARK INC                                     1       147450           0         3550
FIDELITY BANCORP INC DEL                          1         7000           0            0
FIDELITY NATL FINL INC                            1       665906           0        15487
FINISH LINE INC                                   1       355700           0         9900
FINLAY ENTERPRISES INC                            1       257600           0         4400
FIRST ALLIANCE CORP                               1       294500           0         9000
FIRST AMERN FINL CORP                             1         8150           0            0
FIRST BELL BANCORP INC                            1        48400           0            0
FIRST CAP HLDGS CORP                              1        12200           0            0
FIRST CHARTER CORP                                1        65300           0            0
FIRST CTZNS BANCSHARES I                          1       156780           0         5300
FIRST ESSEX BANCORP INC                           1        74300           0         3200
FIRST FED BANCSHARES ARK                          1         5800           0            0
FIRST FED CAP CORP                                1        38800           0         3500
FIRST HEALTH GROUP CORP                           1         1200           0            0
FIRST MERCHANTS ACCEP CO                          1          700           0         1600
FIRST REP BK SAN FRANCIS                          1       138100           0         3600
FIRST SEC CORP DEL                                1          200           0            0
FIRST TENN NATL CORP                              1          100           0            0
FIRST UN CORP                                     1       143000           0            0
FIRST VA BANKS INC                                1        18450           0         1950
FIRST WASH BANCORP INC W                          1        74300           0            0
FIRST YRS INC                                     1        37100           0            0
FIRSTAR CORP NEW WIS                              1          418           0            0
FIRSTENERGY CORP                                  1          300           0            0
FIRSTFED AMER BANCORP IN                          1        23700           0            0
FIRSTFED FINL CORP                                1       424800           0         8300
FLAGSTAR BANCORP INC                              1       232600           0         4500
FLEETBOSTON FINANCIAL                             1      1636630         270       130457
FLEETWOOD ENTERPRISES IN                          1       760300           0        13600
FLEXSTEEL INDS INC                                1       112100           0         2300
FLIR SYS INC                                      1        21600           0            0
FLORIDA PROGRESS CORP                             1        18200           0            0
FLOWSERVE CORP                                    1       598500           0        16200
FOAMEX INTL INC                                   1        42300           0         8000
FOOTSTAR INC                                      1        28900           0            0
FORD MTR CO DEL                                   1       327301           0            0
FORT JAMES CORP                                   1        28200           0            0
FORTUNE BRANDS INC CO                             1        58517           0        14490
FPIC INS GROUP INC                                1       149900           0         3300
FPL GROUP INC                                     1          200           0            0
FRANKLIN BK NA SOUTHFIEL                          1        34800           0            0
FRANKLIN COVEY CO                                 1       471164           0        11100
FRANKLIN RES INC                                  1          300           0            0
FREEDOM SECS CORP COM                             1       161554         830        21680
FREEPORT-MCMORAN COPPER                           1         5200           0            0
FREMONT GEN CORP                                  1       388700           0        27000
FRENCH FRAGRANCES INC                             1       297400           0         6300
FRESH AMERICA CORP                                1        61900           0         1100
FRIEDE GOLDMAN HALTER IN                          1       453061           0         9000
FRIEDMAN INDS INC                                 1       125366           0         2551
FRIEDMANS INC                                     1       352200           0         7700
FROZEN FOOD EXPRESS INDS                          1        27400           0            0
FTI CONSULTING INC                                1        49100           0            0
FUJITSU LTD ADR 5 COM                             1        24364           0          720
FULLER H B CO COM                                 1        56449         295        13455

</TABLE>
<PAGE>

<TABLE>
FirstOfIssuer                Class          CUSIP            FMV         Shares       IDSole        IDShared     IDOther
- ---------------              -----          -----            ---         ------       ------        --------     -------
<S>                           <C>           <C>               <C>           <C>          <C>           <C>          <C>
FUNCO INC                    COMMON       360762108         959500        80800        80800            0            0
FURNITURE BRANDS INTL IN     COMMON       360921100       10956400       582400       582400            0            0
GA FINL INC                  COMMON       361437106         189200        17200        17200            0            0
GALLAHER GROUP PLC           COMMON       363595109       16346531       830300       830300            0            0
GARAN INC                    COMMON       364802108        2179075        86300        86300            0            0
GARDNER DENVER INC           COMMON       365558105         206938        11000        11000            0            0
GBC BANCORP CALIF            COMMON       361475106        2123975        91600        91600            0            0
GEHL CO                      COMMON       368483103        1441750        79000        79000            0            0
GENCORP INC                  COMMON       368682100        5607900       723600       723600            0            0
GENERAL CABLE CORP DEL N     COMMON       369300108        4680469       599100       599100            0            0
GENERAL CHEM GROUP INC       COMMON       369332101         942013       443300       443300            0            0
GENERAL CIGAR HLDGS INC      COMMON       36933P100        8398973       555304       555304            0            0
GENERAL DYNAMICS CORP        COMMON       369550108       10096763       202950       202950            0            0
GENERAL ELEC CO              COMMON       369604103         326812         2100         2100            0            0
GENERAL EMPLOYMENT ENTER     COMMON       369730106         342251        82970        82970            0            0
GENERAL MTRS CORP            COMMON       370442105       57017234       688510       688510            0            0
GENESCO INC                  COMMON       371532102        5433750       414000       414000            0            0
GENESSEE AND WYOMING         COMMON       371559105        3263580       210552       210552            0            0
GENLYTE GROUP INC            COMMON       372302109         934050        47900        47900            0            0
GENTEK INC                   COMMON       37245X104        5842200       417300       417300            0            0
GENUINE PARTS CO             COMMON       372460105          21488          900          900            0            0
GEON CO                      COMMON       37246W105          17200          800          800            0            0
GEORGIA PAC CORP             COMMON       373298108       32877856       831035       831035            0            0
GERBER CHILDRENSWEAR INC     COMMON       373701101        1064463       254200       254200            0            0
GETTY PETE MARKETING INC     COMMON       374292100          99675        44300        44300            0            0
GIANT INDS INC               COMMON       374508109        1276200       141800       141800            0            0
GLATFELTER P H CO            COMMON       377316104          56313         5300         5300            0            0
GLAXO PLC                    COMMON       37733W105        7766553       135505       135505            0            0
GLOBAL IMAGING SYSTEMS       COMMON       37934A100         186775        24100        24100            0            0
GLOBAL MARINE INC            COMMON       379352404         504963        19900        19900            0            0
GLOBAL PMT TECHNOLOGIES      COMMON       37936S109         244950        28400        28400            0            0
GOLDEN ST VINTNERS INC       COMMON       38121K208         351900        78200        78200            0            0
GOLDEN WEST FINL CORP DE     COMMON       381317106           4678          150          150            0            0
GOODYEAR TIRE & RUBR CO      COMMON       382550101           4663          200          200            0            0
GOODYS FAMILY CLOTHING I     COMMON       382588101        3878181       639700       639700            0            0
GORMAN RUPP CO               COMMON       383082104         236250        15000        15000            0            0
GPU INC                      COMMON       36225X100           4106          150          150            0            0
GRACE W R & CO DEL NEW       COMMON       38388F108        4557750       354000       354000            0            0
GRACO INC                    COMMON       384109104        1400700        48300        48300            0            0
GRADCO SYS INC               COMMON       384111100         265714       132857       132857            0            0
GRAHAM CORP                  COMMON       384556106          60200         8600         8600            0            0
GRAINGER W W INC             COMMON       384802104           5425          100          100            0            0
GRANITE CONSTR INC           COMMON       387328107         469800        17400        17400            0            0
GRC INTERNATIONAL INC        COMMON       361922107         215100        14400        14400            0            0
GREAT ATLANTIC & PACIFIC     COMMON       390064103           8581          440          440            0            0
TEA CO  C
GREAT LAKES CHEM CORP        COMMON       390568103          13600          400          400            0            0
GREENBRIER COS INC           COMMON       393657101        3485038       446084       446084            0            0
GRIFFON CORP                 COMMON       398433102        5648031       722948       722948            0            0
GRUBB & ELLIS CO             COMMON       400095204          84938        15100        15100            0            0
GSE SYS INC                  COMMON       36227K106          41738         6300         6300            0            0
GTE CORP                     COMMON       362320103       38823510       546810       546810            0            0
GTECH HLDGS CORP             COMMON       400518106       14268994       768700       768700            0            0
GUCCI GR. ADR(401566104)     COMMON       401566104        3086131        34700        34700            0            0
GUILFORD MLS INC             COMMON       401794102        1715035       223094       223094            0            0
GULF ISLAND FABRICATION      COMMON       402307102         704925        48200        48200            0            0
HAGGAR CORP                  COMMON       405173105         463375        33700        33700            0            0
HALLWOOD GROUP INC           COMMON       406364406         139400        16400        16400            0            0
HAMILTON BANCORP INC FLA     COMMON       407013101        2954688       189100       189100            0            0
HAMPSHIRE GROUP LTD          COMMON       408859106         279300        22800        22800            0            0
HANCOCK FABRICS INC          COMMON       409900107         223963        77900        77900            0            0
HANCOCK JOHN FINL SVC        COMMON       41014S106        9297509       514740       514740            0            0
HARCOURT GEN INC             COMMON       41163G101         404163        10850        10850            0            0

<CAPTION>

FirstOfIssuer                                  Manager      VSole       VShared      VNone
- ---------------                                -------      -----       -------      -----
<S>                                              <C>      <C>             <C>          <C>
FUNCO INC
FURNITURE BRANDS INTL IN                         1        79600           0         1200
GA FINL INC                                      1       574200           0         8200
GALLAHER GROUP PLC                               1        17200           0            0
GARAN INC                                        1       830300           0            0
GARDNER DENVER INC                               1        84100           0         2200
GBC BANCORP CALIF                                1         4300           0         6700
GEHL CO                                          1        89300           0         2300
GENCORP INC                                      1        76900           0         2100
GENERAL CABLE CORP DEL N                         1       706300           0        17300
GENERAL CHEM GROUP INC                           1       587500           0        11600
GENERAL CIGAR HLDGS INC                          1       434000           0         9300
GENERAL DYNAMICS CORP                            1       542704           0        12600
GENERAL ELEC CO                                  1       183500           0        19450
GENERAL EMPLOYMENT ENTER                         1            0           0         2100
GENERAL MTRS CORP                                1        81070           0         1900
GENESCO INC                                      1       631850           0        56660
GENESSEE AND WYOMING                             1       402000           0        12000
GENLYTE GROUP INC                                1       185977         560        24015
GENTEK INC                                       1        45500           0         2400
GENUINE PARTS CO                                 1       408000           0         9300
GEON CO                                          1          900           0            0
GEORGIA PAC CORP                                 1          800           0            0
GERBER CHILDRENSWEAR INC                         1       787185           0        43850
GETTY PETE MARKETING INC                         1       247000           0         7200
GIANT INDS INC                                   1        44300           0            0
GLATFELTER P H CO                                1       138200           0         3600
GLAXO PLC                                        1         5300           0            0
GLOBAL IMAGING SYSTEMS                           1       130750           0         4755
GLOBAL MARINE INC                                1        24100           0            0
GLOBAL PMT TECHNOLOGIES                          1        19900           0            0
GOLDEN ST VINTNERS INC                           1        28400           0            0
GOLDEN WEST FINL CORP DE                         1        78200           0            0
GOODYEAR TIRE & RUBR CO                          1          150           0            0
GOODYS FAMILY CLOTHING I                         1          200           0            0
GORMAN RUPP CO                                   1       624900           0        14800
GPU INC                                          1        12500           0         2500
GRACE W R & CO DEL NEW                           1          150           0            0
GRACO INC                                        1       334900           0        19100
GRADCO SYS INC                                   1        48300           0            0
GRAHAM CORP                                      1       130407           0         2450
GRAINGER W W INC                                 1         8600           0            0
GRANITE CONSTR INC                               1          100           0            0
GRC INTERNATIONAL INC                            1        17400           0            0
GREAT ATLANTIC & PACIFIC                         1        14400           0            0
TEA CO  C                                        1          440           0            0
GREAT LAKES CHEM CORP
GREENBRIER COS INC                               1          400           0            0
GRIFFON CORP                                     1       416104         550        29430
GRUBB & ELLIS CO                                 1       708248           0        14700
GSE SYS INC                                      1        15100           0            0
GTE CORP                                         1         6300           0            0
GTECH HLDGS CORP                                 1       512980         200        33630
GUCCI GR. ADR(401566104)                         1       754000           0        14700
GUILFORD MLS INC                                 1        34700           0            0
GULF ISLAND FABRICATION                          1       223094           0            0
HAGGAR CORP                                      1        48200           0            0
HALLWOOD GROUP INC                               1        31000           0         2700
HAMILTON BANCORP INC FLA                         1        16400           0            0
HAMPSHIRE GROUP LTD                              1       184100           0         5000
HANCOCK FABRICS INC                              1        21800           0         1000
HANCOCK JOHN FINL SVC                            1        77900           0            0
HARCOURT GEN INC                                 1       493175           0        21565
                                                 1        10850           0            0
</TABLE>
<PAGE>

<TABLE>
FirstOfIssuer                Class          CUSIP            FMV         Shares       IDSole        IDShared     IDOther
- ---------------              -----          -----            ---         ------       ------        --------     -------
<S>                           <C>           <C>               <C>           <C>          <C>           <C>          <C>
HARDINGE INC                 COMMON       412324303        1418600       138400       138400            0            0
HARLEYSVILLE GROUP INC       COMMON       412824104        8818987       608206       608206            0            0
HARMAN INTL INDS INC         COMMON       413086109         858000        14300        14300            0            0
HARRIS CORP DEL              COMMON       413875105          13825          400          400            0            0
HARSCO CORP                  COMMON       415864107         361719        12500        12500            0            0
HARTFORD FINL SVCS GR        COMMON       416515104       40810080       773650       773650            0            0
HARTFORD LIFE INC            COMMON       416592103        1003125        21400        21400            0            0
HARTMARX CORP                COMMON       417119104         601150       218600       218600            0            0
HASBRO INC                   COMMON       418056107           3338          200          200            0            0
HAVEN BANCORP INC            COMMON       419352109         228125        14600        14600            0            0
HAVERTY FURNITURE INC        COMMON       419596101        1173000       110400       110400            0            0
HAWAIIAN AIRLS INC NEW       COMMON       419849104        1831838       771300       771300            0            0
HAWK CORP                    COMMON       420089104         423675        80700        80700            0            0
HAWKINS CHEM INC             COMMON       420200107         329424        39630        39630            0            0
HAWTHORNE FINL CORP          COMMON       420542102         379388        45300        45300            0            0
HAYES LEMMERZ INTL INC       COMMON       420781106        6456600       337600       337600            0            0
HCC INS HLDGS INC            COMMON       404132102        8222950       620600       620600            0            0
HEADWAY CORPORATE RESOUR     COMMON       422101105         600750       178000       178000            0            0
HEALTH MGMT SYS INC          COMMON       42219M100         404250        84000        84000            0            0
HEALTHCARE RECOVERIES IN     COMMON       42220K101         753350       231800       231800            0            0
HEALTHCARE SVCS GRP INC      COMMON       421906108        1377569       253346       253346            0            0
HEALTHGRADES COM INC         COMMON       42222R104          28763        11800        11800            0            0
HEALTHSOUTH CORP             COMMON       421924101        4746788       834600       834600            0            0
HELLENIC TELECOMMUNIC        COMMON       423325307        4562264       314622       314622            0            0
HELLER FINANCIAL INC         COMMON       423328103          69000         3000         3000            0            0
HELMERICH & PAYNE INC        COMMON       423452101          80600         2600         2600            0            0
HERBALIFE INTL INC           COMMON       426908208        9242411       654330       654330            0            0
HERBALIFE INTL INC           COMMON       426908307        1233862        93563        93563            0            0
HERCULES INC                 COMMON       427056106       26219323      1626002      1626002            0            0
HERLEY INDS INC DEL          COMMON       427398102        1134882        62399        62399            0            0
HERTZ CORP                   COMMON       428040109           3406          100          100            0            0
HEWLETT PACKARD CO           COMMON       428236103         667697         5025         5025            0            0
HEXCEL CORP NEW              COMMON       428291108        1776500       355300       355300            0            0
HI-TECH PHARMACAL INC        COMMON       42840B101         282150        51300        51300            0            0
HICKORY TECH CORP            COMMON       429060106         239400        17100        17100            0            0
HITACHI LTD-ADR-10 COM-NEW   COMMON       433578507         529232         4341         4341            0            0
HMT TECHNOLOGY CORP C        COMMON       403917107        1212081       365901       365901            0            0
HOLLY CORP                   COMMON       435758305        2061950       179300       179300            0            0
HOLTS CIGAR HLDS INC         COMMON       436598106         106363        25400        25400            0            0
HOME PORT BANCORP INC        COMMON       437304108           9400          400          400            0            0
HOME PRODS INTL INC          COMMON       437305105        1733275       155800       155800            0            0
HOMEBASE INC                 COMMON       43738E108        1044000       522000       522000            0            0
HONDA MTR LTD                COMMON       438128308        5711219        70290        70290            0            0
HONEYWELL INTL INC           COMMON       438516106          31613          600          600            0            0
HORACE MANN EDUCATORS        COMMON       440327104        1772314        96125        96125            0            0
HORIZON FINL CORP WASH       COMMON       44041F105          14500         1600         1600            0            0
HORIZON HEALTH CORP          COMMON       44041Y104         716650       130300       130300            0            0
HOST MARRIOTT CORP NEW       COMMON       44107P104         348344        39250        39250            0            0
HOVNANIAN ENTERPRISES        COMMON       442487203        4032251       658325       658325            0            0
HSBC HOLDINGS PLC            COMMON       404280406        4514938        74092        74092            0            0
HUGHES SUPPLY INC            COMMON       444482103        8296375       535250       535250            0            0
HUMANA INC                   COMMON       444859102        9958163      1361800      1361800            0            0
HUNT J B TRANS SVCS INC      COMMON       445658107        1461825       106800       106800            0            0
HUNTINGTON BANCSHARES IN     COMMON       446150104           6153          275          275            0            0
HURCO COMPANIES INC          COMMON       447324104         467642       133612       133612            0            0
HUTCHINSON TECHNOLOGY        COMMON       448407106        1694932        96166        96166            0            0
I B M                        COMMON       459200101        5643114        47823        47823            0            0
IBP INC                      COMMON       449223106         393750        25000        25000            0            0
IDACORP INC                  COMMON       451107106        1118950        32200        32200            0            0
IGATE CAPITAL CORP           COMMON       45169U105           9025          200          200            0            0
IHOP CORP                    COMMON       449623107        2091600       149400       149400            0            0
IMC GLOBAL INC               COMMON       449669100       10874626       740400       740400            0            0

<CAPTION>

FirstOfIssuer                                  Manager      VSole       VShared      VNone
- ---------------                                -------      -----       -------      -----
<S>                                              <C>      <C>             <C>          <C>
HARDINGE INC                                       1       138400           0            0
HARLEYSVILLE GROUP INC                             1       593706           0        14500
HARMAN INTL INDS INC                               1        14300           0            0
HARRIS CORP DEL                                    1          400           0            0
HARSCO CORP                                        1        12500           0            0
HARTFORD FINL SVCS GR                              1       730505           0        43145
HARTFORD LIFE INC                                  1        21400           0            0
HARTMARX CORP                                      1       218600           0            0
HASBRO INC                                         1          200           0            0
HAVEN BANCORP INC                                  1        14600           0            0
HAVERTY FURNITURE INC                              1       110400           0            0
HAWAIIAN AIRLS INC NEW                             1       742700           0        28600
HAWK CORP                                          1        77100           0         3600
HAWKINS CHEM INC                                   1        39630           0            0
HAWTHORNE FINL CORP                                1        45300           0            0
HAYES LEMMERZ INTL INC                             1       327600           0        10000
HCC INS HLDGS INC                                  1       604600           0        16000
HEADWAY CORPORATE RESOUR                           1       174700           0         3300
HEALTH MGMT SYS INC                                1        84000           0            0
HEALTHCARE RECOVERIES IN                           1       226100           0         5700
HEALTHCARE SVCS GRP INC                            1       248546           0         4800
HEALTHGRADES COM INC                               1        11800           0            0
HEALTHSOUTH CORP                                   1       747000           0        87600
HELLENIC TELECOMMUNIC                              1       278602           0        36020
HELLER FINANCIAL INC                               1         3000           0            0
HELMERICH & PAYNE INC                              1         2600           0            0
HERBALIFE INTL INC                                 1       632430           0        21900
HERBALIFE INTL INC                                 1        89763           0         3800
HERCULES INC                                       1      1544907           0        81095
HERLEY INDS INC DEL                                1        59766           0         2633
HERTZ CORP                                         1          100           0            0
HEWLETT PACKARD CO                                 1         5025           0            0
HEXCEL CORP NEW                                    1       355300           0            0
HI-TECH PHARMACAL INC                              1        49600           0         1700
HICKORY TECH CORP                                  1        17100           0            0
HITACHI LTD-ADR-10 COM-NEW                         1         4341           0            0
HMT TECHNOLOGY CORP C                              1       286976        1705        77220
HOLLY CORP                                         1       176100           0         3200
HOLTS CIGAR HLDS INC                               1        23100           0         2300
HOME PORT BANCORP INC                              1          400           0            0
HOME PRODS INTL INC                                1       152400           0         3400
HOMEBASE INC                                       1       507400           0        14600
HONDA MTR LTD                                      1        62405           0         7885
HONEYWELL INTL INC                                 1          600           0            0
HORACE MANN EDUCATORS                              1        77460         495        18170
HORIZON FINL CORP WASH                             1         1600           0            0
HORIZON HEALTH CORP                                1       127700           0         2600
HOST MARRIOTT CORP NEW                             1        39250           0            0
HOVNANIAN ENTERPRISES                              1       624555         355        33415
HSBC HOLDINGS PLC                                  1        66527           0         7565
HUGHES SUPPLY INC                                  1       525050           0        10200
HUMANA INC                                         1      1361800           0            0
HUNT J B TRANS SVCS INC                            1       106800           0            0
HUNTINGTON BANCSHARES IN                           1          275           0            0
HURCO COMPANIES INC                                1       133612           0            0
HUTCHINSON TECHNOLOGY                              1        81491         380        14295
I B M                                              1        40733           0         7090
IBP INC                                            1        25000           0            0
IDACORP INC                                        1        32200           0            0
IGATE CAPITAL CORP                                 1          200           0            0
IHOP CORP                                          1       142800           0         6600
IMC GLOBAL INC                                     1       666300           0        74100


</TABLE>
<PAGE>

<TABLE>
FirstOfIssuer                Class          CUSIP            FMV         Shares       IDSole        IDShared     IDOther
- ---------------              -----          -----            ---         ------       ------        --------     -------
<S>                           <C>           <C>               <C>           <C>          <C>           <C>          <C>
IMCO RECYCLING INC           COMMON       449681105        4449338       402200       402200            0            0
IMPERIAL CHEM INDS PL        COMMON       452704505       19125945       593050       593050            0            0
IMRGLOBAL CORPORATION        COMMON       45321W106          27313         1900         1900            0            0
IN HOME HEALTH INC           COMMON       453222408          20500         8000         8000            0            0
INACOM CORP                  COMMON       45323G109        2123019       772007       772007            0            0
INCO LTD                     COMMON       453258402         459375        25000        25000            0            0
INDEPENDENCE HLDG CO NEW     COMMON       453440307         288638        26850        26850            0            0
INDEPENDENT BANK CORP MI     COMMON       453838104         277313        21750        21750            0            0
INDEPENDENT BANKSHARES I     COMMON       453841207         109800         6100         6100            0            0
INDUSTRIAL HLDGS INC         COMMON       456160100         140456        68100        68100            0            0
ING GROEP N V ADR SPO        COMMON       456837103        4603475        83695        83695            0            0
INGERSOLL-RAND CO            COMMON       456866102           8850          200          200            0            0
INNOTRAC CORP                COMMON       45767M109         230838        31300        31300            0            0
INSO CORP                    COMMON       457674109        3538391       262101       262101            0            0
INSTEEL INDUSTRIES INC       COMMON       45774W108         115875        20600        20600            0            0
INSURANCE AUTO AUCTIO        COMMON       457875102        3121961       185005       185005            0            0
INTEGRATED DEVICE TEC        COMMON       458118106        2672077        67434        67434            0            0
INTER PARFUMS INC            COMMON       458334109         155000        12400        12400            0            0
INTERCHANGE FINL SVCS S      COMMON       458447109          81419         5868         5868            0            0
INTERFACE INC                COMMON       458665106        4665650      1097800      1097800            0            0
INTERMET CORP                COMMON       45881K104        6382025       699400       699400            0            0
INTERNATIONAL AIRCRAFT I     COMMON       458860103         303450        47600        47600            0            0
INTERNATIONAL AIRL SUPPO     COMMON       458865201          93388        24100        24100            0            0
INTERNATIONAL ALUM CORP      COMMON       458884103         675000        43200        43200            0            0
INTERNATIONAL MULTIFOODS     COMMON       460043102        1011150        75600        75600            0            0
INTERPOOL INC                COMMON       46062R108        4017097       612129       612129            0            0
INTERSTATE BAKERIES CORP     COMMON       46072H108        7146375       501500       501500            0            0
INTERSTATE NATL DEALER S     COMMON       46102P104         248975        43300        43300            0            0
INTL PAPER CO                COMMON       460146103          18126          424          424            0            0
INTL SPECIALTY PRODS INC     COMMON       460337108        5005156       777500       777500            0            0
INVENSYS PLC ADR             COMMON       461204109         289444        32595        32595            0            0
INVESTORS TITLE CO           COMMON       461804106         102025         7700         7700            0            0
IROQUOIS BANCORP INC         COMMON       463347104          69300         2200         2200            0            0
ISB FINL CORP LA             COMMON       450091103        1547100       114600       114600            0            0
IT GROUP INC                 COMMON       465266104        2761825       365200       365200            0            0
ITLA CAP CORP                COMMON       450565106        1592475       124900       124900            0            0
ITOCHU CORP ADR              COMMON       465717106        4231595        79347        79347            0            0
ITT INDS INC IND             COMMON       450911102           3106          100          100            0            0
IVEX PACKAGING CORP DEL      COMMON       465855104        2742465       362640       362640            0            0
J JILL GROUP INC             COMMON       466189107          44100        11200        11200            0            0
J P MORGAN AND CO.           COMMON       616880100        6976205        52950        52950            0            0
JACKSONVILLE BANCORP INC     COMMON       469248108         143000        10400        10400            0            0
JAN BELL MARKETING INC       COMMON       470760109        1108313       385500       385500            0            0
JASON INC                    COMMON       471171108        2462250       234500       234500            0            0
JEFFERIES GROUP INC NEW      COMMON       472319102        1665300        72800        72800            0            0
JEFFERSON PILOT CORP         COMMON       475070108           6656          100          100            0            0
JEFFERSON SMURFIT GRO        COMMON       47508W107        5307852       196596       196596            0            0
JLG INDS INC                 COMMON       466210101        2700206       293900       293900            0            0
JLK DIRECT DISTRIBUTION      COMMON       46621C105        2915438       319500       319500            0            0
JOHNSON & JOHNSON            COMMON       478160104       13249150       188600       188600            0            0
JOHNSON CTLS INC             COMMON       478366107           5406          100          100            0            0
JOHNSON OUTDOORS INC         COMMON       479167108         412706        66700        66700            0            0
JOS A BANK CLOTHIERS INC     COMMON       480838101         564800       141200       141200            0            0
JOURNAL REGISTER CO C        COMMON       481138105        1620015       109830       109830            0            0
JPM CO                       COMMON       465933109         196350        23800        23800            0            0
JUNO LTG INC                 COMMON       482047206          37050         3900         3900            0            0
JUSTIN INDS INC              COMMON       482171105        1416600        78700        78700            0            0
K MART CORP                  COMMON       482584109           5813          600          600            0            0
K TRON INTL INC              COMMON       482730108         722400        44800        44800            0            0
K-SWISS INC                  COMMON       482686102        2337413       157800       157800            0            0
K2 INC                       COMMON       482732104        2751931       346700       346700            0            0
KAMAN CORP                   COMMON       483548103        4949100       507600       507600            0            0


<CAPTION>

FirstOfIssuer                                  Manager      VSole       VShared      VNone
- ---------------                                -------      -----       -------      -----
<S>                                              <C>      <C>             <C>          <C>
IMCO RECYCLING INC                                   1       392800           0         9400
IMPERIAL CHEM INDS PL                                1       579295           0        13755
IMRGLOBAL CORPORATION                                1         1900           0            0
IN HOME HEALTH INC                                   1         8000           0            0
INACOM CORP                                          1       749607           0        22400
INCO LTD                                             1        25000           0            0
INDEPENDENCE HLDG CO NEW                             1        25100           0         1750
INDEPENDENT BANK CORP MI                             1        21750           0            0
INDEPENDENT BANKSHARES I                             1         6100           0            0
INDUSTRIAL HLDGS INC                                 1        63300           0         4800
ING GROEP N V ADR SPO                                1        73790           0         9905
INGERSOLL-RAND CO                                    1          200           0            0
INNOTRAC CORP                                        1        31300           0            0
INSO CORP                                            1       205386         670        56045
INSTEEL INDUSTRIES INC                               1        20600           0            0
INSURANCE AUTO AUCTIO                                1       145885         755        38365
INTEGRATED DEVICE TEC                                1        53814         275        13345
INTER PARFUMS INC                                    1        12400           0            0
INTERCHANGE FINL SVCS S                              1         5868           0            0
INTERFACE INC                                        1      1071600           0        26200
INTERMET CORP                                        1       688000           0        11400
INTERNATIONAL AIRCRAFT I                             1        46000           0         1600
INTERNATIONAL AIRL SUPPO                             1        23000           0         1100
INTERNATIONAL ALUM CORP                              1        43200           0            0
INTERNATIONAL MULTIFOODS                             1        75600           0            0
INTERPOOL INC                                        1       599379           0        12750
INTERSTATE BAKERIES CORP                             1       488600           0        12900
INTERSTATE NATL DEALER S                             1        43300           0            0
INTL PAPER CO                                        1          424           0            0
INTL SPECIALTY PRODS INC                             1       743400           0        34100
INVENSYS PLC ADR                                     1            0           0        32595
INVESTORS TITLE CO                                   1         7700           0            0
IROQUOIS BANCORP INC                                 1         2200           0            0
ISB FINL CORP LA                                     1       112400           0         2200
IT GROUP INC                                         1       355600           0         9600
ITLA CAP CORP                                        1       122700           0         2200
ITOCHU CORP ADR                                      1        76782           0         2565
ITT INDS INC IND                                     1          100           0            0
IVEX PACKAGING CORP DEL                              1       355940           0         6700
J JILL GROUP INC                                     1        11200           0            0
J P MORGAN AND CO.                                   1        45990           0         6960
JACKSONVILLE BANCORP INC                             1        10400           0            0
JAN BELL MARKETING INC                               1       385500           0            0
JASON INC                                            1       226700           0         7800
JEFFERIES GROUP INC NEW                              1        71400           0         1400
JEFFERSON PILOT CORP                                 1          100           0            0
JEFFERSON SMURFIT GRO                                1       180411           0        16185
JLG INDS INC                                         1       287300           0         6600
JLK DIRECT DISTRIBUTION                              1       313800           0         5700
JOHNSON & JOHNSON                                    1       188600           0            0
JOHNSON CTLS INC                                     1          100           0            0
JOHNSON OUTDOORS INC                                 1        66700           0            0
JOS A BANK CLOTHIERS INC                             1       138600           0         2600
JOURNAL REGISTER CO C                                1        88595         530        20705
JPM CO                                               1        23800           0            0
JUNO LTG INC                                         1         3900           0            0
JUSTIN INDS INC                                      1        68000           0        10700
K MART CORP                                          1          600           0            0
K TRON INTL INC                                      1        44800           0            0
K-SWISS INC                                          1       153100           0         4700
K2 INC                                               1       339700           0         7000
KAMAN CORP                                           1       497600           0        10000


</TABLE>
<PAGE>

<TABLE>
FirstOfIssuer                Class          CUSIP            FMV         Shares       IDSole        IDShared     IDOther
- ---------------              -----          -----            ---         ------       ------        --------     -------
<S>                           <C>           <C>               <C>           <C>          <C>           <C>          <C>
KANEB SERVICES INC           COMMON       484170105        2089450       379900       379900            0            0
KANSAS CITY LIFE INS CO      COMMON       484836101          74257         3078         3078            0            0
KATY INDS INC                COMMON       486026107         711113        77400        77400            0            0
KAUFMAN & BROAD HOME COR     COMMON       486168107        8302744       387300       387300            0            0
KAYE GROUP INC               COMMON       486589104         499100        71300        71300            0            0
KEANE INC                    COMMON       486665102       19681039       779445       779445            0            0
KELLSTROM INDS INC           COMMON       488035106        1052822       184100       184100            0            0
KELLWOOD CO                  COMMON       488044108        9861010       561481       561481            0            0
KENDLE INTERNATIONAL INC     COMMON       48880L107          11963         1100         1100            0            0
KENNAMETAL INC               COMMON       489170100        4501606       149741       149741            0            0
KENTUCKY ELEC STL INC        COMMON       49127B100           2400         1200         1200            0            0
KERR MCGEE CORP              COMMON       492386107         613709        10627        10627            0            0
KEYCORP NEW                  COMMON       493267108       10685600       562400       562400            0            0
KEYSPAN CORP                 COMMON       49337W100           5525          200          200            0            0
KEYSTONE AUTOMOTIVE INDS     COMMON       49338N109        1404125       239000       239000            0            0
KILROY RLTY CORP             COMMON       49427F108         223263        10600        10600            0            0
KIMBALL INTL INC             COMMON       494274103         140448        12768        12768            0            0
KIMBERLY CLARK CORP          COMMON       494368103          14016          250          250            0            0
KINDER MORGAN ENERGY PAR     COMMON       494550106         261938         6600         6600            0            0
KINDER MORGAN INC KANS       COMMON       49455P101       25723200       745600       745600            0            0
KITTY HAWK INC               COMMON       498326107        1465375       308500       308500            0            0
KLAMATH FIRST BANCORP IN     COMMON       49842P103        1153950       109900       109900            0            0
KNIGHT RIDDER INC            COMMON       499040103           5125          100          100            0            0
KOMAG INC                    COMMON       500453105         896313       236061       236061            0            0
KONINKLIJKE PHILIPS E        COMMON       500472204       69266588       404327       404327            0            0
KOREA TELECOM ADR SPO        COMMON       50063P103        2194693        50100        50100            0            0
KOSS CORP                    COMMON       500692108         679250        49400        49400            0            0
KUBOTA LTD CORP              COMMON       501173207        4493604        64658        64658            0            0
LA Z BOY INC                 COMMON       505336107        1045008        67968        67968            0            0
LACROSSE FOOTWEAR INC        COMMON       505688101          14200         3200         3200            0            0
LADISH INC                   COMMON       505754200        1243125       198900       198900            0            0
LAFARGE CORP                 COMMON       505862102         513000        21600        21600            0            0
LAKELAND INDS INC            COMMON       511795106         126344        31100        31100            0            0
LAKES GAMING INC             COMMON       51206P109        1345502       169512       169512            0            0
LAM RESEARCH CORP            COMMON       512807108        1105267        24527        24527            0            0
LAMSON & SESSIONS CO         COMMON       513696104        1739631       233900       233900            0            0
LANDAMERICA FINL GROUP I     COMMON       514936103        6473188       334100       334100            0            0
LANDRYS SEAFOOD RESTAURA     COMMON       51508L103        1349588       211700       211700            0            0
LANDSTAR SYS INC             COMMON       515098101        2948999        53863        53863            0            0
LAWSON PRODS INC             COMMON       520776105        2002631        84100        84100            0            0
LEGGETT & PLATT INC          COMMON       524660107           5375          250          250            0            0
LEHMAN BROS HLDGS INC        COMMON       524908100         145500         1500         1500            0            0
LENNAR CORP                  COMMON       526057104        1047506        48300        48300            0            0
LENNOX INTL INC              COMMON       526107107        1473833       168438       168438            0            0
LIBBEY INC                   COMMON       529898108        1899825        69400        69400            0            0
LIBERTY FINL COS INC         COMMON       530512102         814294        41100        41100            0            0
LIFEMARK CORP                COMMON       53219F102          94250        23200        23200            0            0
LIFETIME HOAN CORP           COMMON       531926103        1537088       210200       210200            0            0
LILLY INDS INC               COMMON       532491107        2127263       171900       171900            0            0
LILLY, ELI AND COMPAN        COMMON       532457108       17547610       280200       280200            0            0
LINCOLN ELEC HLDGS INC       COMMON       533900106        2568471       106190       106190            0            0
LINCOLN NATL CORP IND        COMMON       534187109           6700          200          200            0            0
LINDBERG CORP                COMMON       535171102         691513       112900       112900            0            0
LIZ CLAIBORNE INC            COMMON       539320101       16994147       370950       370950            0            0
LMI AEROSPACE INC            COMMON       502079106         163538        58800        58800            0            0
LOCAL FINL CORP              COMMON       539553107        1668831       194900       194900            0            0
LOCKHEED MARTIN CORP         COMMON       539830109           9197          450          450            0            0
LODGIAN INC                  COMMON       54021P106        1940625       517500       517500            0            0
LOEWS CORP                   COMMON       540424108        4715000        94300        94300            0            0
LONE STAR STEAKHOUSE SAL     COMMON       542307103        4736169       464900       464900            0            0
LORAL SPACE & COMMUNICAT     COMMON       G56462107           3038          300          300            0            0
LOUIS DREYFUS NAT GAS        COMMON       546011107        3932406       115659       115659            0            0

<CAPTION>

FirstOfIssuer                                  Manager      VSole       VShared      VNone
- ---------------                                -------      -----       -------      -----
<S>                                              <C>      <C>             <C>          <C>
KANEB SERVICES INC                                 1       369500           0        10400
KANSAS CITY LIFE INS CO                            1         3078           0            0
KATY INDS INC                                      1        77400           0            0
KAUFMAN & BROAD HOME COR                           1       380100           0         7200
KAYE GROUP INC                                     1        69800           0         1500
KEANE INC                                          1       662050         200       117195
KELLSTROM INDS INC                                 1       180200           0         3900
KELLWOOD CO                                        1       549781           0        11700
KENDLE INTERNATIONAL INC                           1         1100           0            0
KENNAMETAL INC                                     1       140471         190         9080
KENTUCKY ELEC STL INC                              1         1200           0            0
KERR MCGEE CORP                                    1        10627           0            0
KEYCORP NEW                                        1       562400           0            0
KEYSPAN CORP                                       1          200           0            0
KEYSTONE AUTOMOTIVE INDS                           1       232900           0         6100
KILROY RLTY CORP                                   1        10600           0            0
KIMBALL INTL INC                                   1        12768           0            0
KIMBERLY CLARK CORP                                1          250           0            0
KINDER MORGAN ENERGY PAR                           1         6600           0            0
KINDER MORGAN INC KANS                             1       678500           0        67100
KITTY HAWK INC                                     1       301300           0         7200
KLAMATH FIRST BANCORP IN                           1       107600           0         2300
KNIGHT RIDDER INC                                  1          100           0            0
KOMAG INC                                          1       165381        1120        69560
KONINKLIJKE PHILIPS E                              1       368478          46        35803
KOREA TELECOM ADR SPO                              1        46805           0         3295
KOSS CORP                                          1        47900           0         1500
KUBOTA LTD CORP                                    1        62473           0         2185
LA Z BOY INC                                       1        67968           0            0
LACROSSE FOOTWEAR INC                              1         3200           0            0
LADISH INC                                         1       194400           0         4500
LAFARGE CORP                                       1        21600           0            0
LAKELAND INDS INC                                  1        29900           0         1200
LAKES GAMING INC                                   1       164612           0         4900
LAM RESEARCH CORP                                  1        21927          70         2530
LAMSON & SESSIONS CO                               1       229500           0         4400
LANDAMERICA FINL GROUP I                           1       326500           0         7600
LANDRYS SEAFOOD RESTAURA                           1       211700           0            0
LANDSTAR SYS INC                                   1        53863           0            0
LAWSON PRODS INC                                   1        80500           0         3600
LEGGETT & PLATT INC                                1          250           0            0
LEHMAN BROS HLDGS INC                              1          700           0          800
LENNAR CORP                                        1        48300           0            0
LENNOX INTL INC                                    1       159326           0         9112
LIBBEY INC                                         1        69400           0            0
LIBERTY FINL COS INC                               1        41100           0            0
LIFEMARK CORP                                      1        23200           0            0
LIFETIME HOAN CORP                                 1       205300           0         4900
LILLY INDS INC                                     1       170000           0         1900
LILLY, ELI AND COMPAN                              1       273175           0         7025
LINCOLN ELEC HLDGS INC                             1       101190           0         5000
LINCOLN NATL CORP IND                              1          200           0            0
LINDBERG CORP                                      1       110500           0         2400
LIZ CLAIBORNE INC                                  1       370950           0            0
LMI AEROSPACE INC                                  1        58800           0            0
LOCAL FINL CORP                                    1       190700           0         4200
LOCKHEED MARTIN CORP                               1          450           0            0
LODGIAN INC                                        1       505700           0        11800
LOEWS CORP                                         1        94300           0            0
LONE STAR STEAKHOUSE SAL                           1       454000           0        10900
LORAL SPACE & COMMUNICAT                           1          300           0            0
LOUIS DREYFUS NAT GAS                              1        97144         630        17885


</TABLE>
<PAGE>

<TABLE>
FirstOfIssuer                Class          CUSIP            FMV         Shares       IDSole        IDShared     IDOther
- ---------------              -----          -----            ---         ------       ------        --------     -------
<S>                           <C>           <C>               <C>           <C>          <C>           <C>          <C>
LOUISIANA PAC CORP           COMMON       546347105          11100          800          800            0            0
LOWRANCE ELECTRS INC         COMMON       548900109          97013        19900        19900            0            0
LTV CORP NEW                 COMMON       501921100           3563         1000         1000            0            0
LUBYS INC                    COMMON       549282101        4571412       484388       484388            0            0
LUFKIN INDS INC              COMMON       549764108          34800         2400         2400            0            0
LYDALL INC DEL               COMMON       550819106        2635500       301200       301200            0            0
M & F WORLDWIDE CORP         COMMON       552541104        1880813       429900       429900            0            0
M D C HLDGS INC              COMMON       552676108        4122038       229800       229800            0            0
M.A. HANNA CO.               COMMON       410522106        2580563       228116       228116            0            0
M/I SCHOTTENSTEIN HOMES      COMMON       55305B101        3013863       190600       190600            0            0
MAF BANCORP INC              COMMON       55261R108        3586600       221566       221566            0            0
MAGELLAN HEALTH SVCS INC     COMMON       559079108        2178138       452600       452600            0            0
MAIL-WELL INC                COMMON       560321200        1455156       167500       167500            0            0
MAIN STREET AND MAIN INC     COMMON       560345308         491906       159000       159000            0            0
MAINE PUB SVC CO             COMMON       560483109         227763        13300        13300            0            0
MALLINCKRODT INC NEW         COMMON       561232109        1601662        55710        55710            0            0
MANCHESTER EQUIP INC         COMMON       562154104          56963        10850        10850            0            0
MARINEMAX INC                COMMON       567908108        1879988       196600       196600            0            0
MARK IV INDS INC             COMMON       570387100        9014738       408600       408600            0            0
MARLTON TECHNOLOGIES INC     COMMON       571263102          97250        38900        38900            0            0
MARRIOTT INTL INC NEW        COMMON       571903202           7875          250          250            0            0
MARSH SUPERMARKETS INC       COMMON       571783307         694631        47700        47700            0            0
MARTIN MARIETTA MATLS IN     COMMON       573284106         821750        17300        17300            0            0
MASCOTECH INC                COMMON       574670105       13216238      1073400      1073400            0            0
MATRIX BANCORP INC           COMMON       576819106         341600        42700        42700            0            0
MATSUSHITA ELEC CO           COMMON       576879209        6854436        22622        22622            0            0
MATTEL INC                   COMMON       577081102         869400        82800        82800            0            0
MAX & ERMAS RESTAURANTS      COMMON       577903107          42900         5200         5200            0            0
MAXWELL SHOE INC             COMMON       577766108        1695938       201000       201000            0            0
MAY DEPT STORES CO           COMMON       577778103          10688          375          375            0            0
MBIA INC                     COMMON       55262C100       12267747       235635       235635            0            0
MCGRATH RENTCORP             COMMON       580589109        2921000       184000       184000            0            0
MCI WORLDCOM INC COM         COMMON       55268B106        3096635        68339        68339            0            0
MCKESSON HBOC INC COM        COMMON       58155Q103        6418965       305665       305665            0            0
MCN CORP                     COMMON       55267J100       22626250       905050       905050            0            0
MCNAUGHTON APPAREL GROUP     COMMON       582524104         301950        36600        36600            0            0
MCRAE INDS INC               COMMON       582757209          49500         8800         8800            0            0
MEAD CORP                    COMMON       582834107       15156062       433805       433805            0            0
MEADOW VY CORP               COMMON       583185103         209390        54036        54036            0            0
MEDFORD BANCORP INC          COMMON       584131106          66975         4700         4700            0            0
MEDIA ARTS GROUP INC         COMMON       58439C102        1853213       260100       260100            0            0
MEDICAL ASSURN INC           COMMON       58449U100         120818         6338         6338            0            0
MEDSTONE INTL INC NEW        COMMON       58505C101         692197       109655       109655            0            0
MEMC ELECTR MATLS INC        COMMON       552715104         416588        20700        20700            0            0
MENTOR GRAPHICS CORP         COMMON       587200106         996876        65908        65908            0            0
MERCHANTS BANCSHARES         COMMON       588448100        1174388        65700        65700            0            0
MERCHANTS GROUP INC          COMMON       588539106         172550        11600        11600            0            0
MERCURY AIR GROUP INC        COMMON       589354109        1202420       163040       163040            0            0
MERCURY GENL CORP NEW        COMMON       589400100         324500        11000        11000            0            0
MERITAGE CORP                COMMON       59001A102         200000        20000        20000            0            0
MERITOR AUTOMOTIVE INC       COMMON       59000G100         724213        45800        45800            0            0
MESA LABS INC                COMMON       59064R109         266513        61800        61800            0            0
MESTEK INC                   COMMON       590829107        1172813        69500        69500            0            0
MET PRO CORP                 COMMON       590876306        1019263       111700       111700            0            0
METALS USA INC               COMMON       591324108        5711976       862185       862185            0            0
METRIKA SYSTEMS CORP         COMMON       59159M106         321750        36000        36000            0            0
METROPOLITAN FINL CORP       COMMON       59189N108          36375         9700         9700            0            0
METROWEST BK MASS            COMMON       592668107         646669       113700       113700            0            0
METSO CORP ADR SPONSO        COMMON       592671101         183735        13610        13610            0            0
MGIC INVT CORP WIS           COMMON       552848103           4363          100          100            0            0
MICHAEL ANTHONY JEWELERS     COMMON       594060105          37800        14400        14400            0            0
MICHAEL FOOD INC NEW         COMMON       594079105        4647804       221324       221324            0            0


<CAPTION>

FirstOfIssuer                                  Manager      VSole       VShared      VNone
- ---------------                                -------      -----       -------      -----
<S>                                              <C>      <C>             <C>          <C>
LOUISIANA PAC CORP                                  1          800           0            0
LOWRANCE ELECTRS INC                                1        19900           0            0
LTV CORP NEW                                        1         1000           0            0
LUBYS INC                                           1       471688           0        12700
LUFKIN INDS INC                                     1         2400           0            0
LYDALL INC DEL                                      1       294700           0         6500
M & F WORLDWIDE CORP                                1       421200           0         8700
M D C HLDGS INC                                     1       223500           0         6300
M.A. HANNA CO.                                      1       184933         624        42559
M/I SCHOTTENSTEIN HOMES                             1       186500           0         4100
MAF BANCORP INC                                     1       217066           0         4500
MAGELLAN HEALTH SVCS INC                            1       440800           0        11800
MAIL-WELL INC                                       1       167500           0            0
MAIN STREET AND MAIN INC                            1       155100           0         3900
MAINE PUB SVC CO                                    1        13300           0            0
MALLINCKRODT INC NEW                                1        45015         100        10595
MANCHESTER EQUIP INC                                1        10850           0            0
MARINEMAX INC                                       1       193700           0         2900
MARK IV INDS INC                                    1       406500           0         2100
MARLTON TECHNOLOGIES INC                            1        38900           0            0
MARRIOTT INTL INC NEW                               1          250           0            0
MARSH SUPERMARKETS INC                              1        44400           0         3300
MARTIN MARIETTA MATLS IN                            1        17300           0            0
MASCOTECH INC                                       1      1051100           0        22300
MATRIX BANCORP INC                                  1        42700           0            0
MATSUSHITA ELEC CO                                  1        19342           0         3280
MATTEL INC                                          1        82800           0            0
MAX & ERMAS RESTAURANTS                             1         5200           0            0
MAXWELL SHOE INC                                    1       197100           0         3900
MAY DEPT STORES CO                                  1          375           0            0
MBIA INC                                            1       235635           0            0
MCGRATH RENTCORP                                    1       177000           0         7000
MCI WORLDCOM INC COM                                1        57274           0        11065
MCKESSON HBOC INC COM                               1       254505           0        51160
MCN CORP                                            1       893650           0        11400
MCNAUGHTON APPAREL GROUP                            1        36600           0            0
MCRAE INDS INC                                      1         8800           0            0
MEAD CORP                                           1       423905           0         9900
MEADOW VY CORP                                      1        54036           0            0
MEDFORD BANCORP INC                                 1         4700           0            0
MEDIA ARTS GROUP INC                                1       255100           0         5000
MEDICAL ASSURN INC                                  1         6338           0            0
MEDSTONE INTL INC NEW                               1       109655           0            0
MEMC ELECTR MATLS INC                               1        20700           0            0
MENTOR GRAPHICS CORP                                1        53743         295        11870
MERCHANTS BANCSHARES                                1        64000           0         1700
MERCHANTS GROUP INC                                 1        11000           0          600
MERCURY AIR GROUP INC                               1       160015           0         3025
MERCURY GENL CORP NEW                               1        11000           0            0
MERITAGE CORP                                       1        20000           0            0
MERITOR AUTOMOTIVE INC                              1        45800           0            0
MESA LABS INC                                       1        60300           0         1500
MESTEK INC                                          1        65900           0         3600
MET PRO CORP                                        1       109500           0         2200
METALS USA INC                                      1       843285           0        18900
METRIKA SYSTEMS CORP                                1        36000           0            0
METROPOLITAN FINL CORP                              1         9700           0            0
METROWEST BK MASS                                   1       109900           0         3800
METSO CORP ADR SPONSO                               1            0           0        13610
MGIC INVT CORP WIS                                  1          100           0            0
MICHAEL ANTHONY JEWELERS                            1        14400           0            0
MICHAEL FOOD INC NEW                                1       218224           0         3100

</TABLE>
<PAGE>

<TABLE>
FirstOfIssuer                Class          CUSIP            FMV         Shares       IDSole        IDShared     IDOther
- ---------------              -----          -----            ---         ------       ------        --------     -------
<S>                           <C>           <C>               <C>           <C>          <C>           <C>          <C>
MID AMER BANCORP             COMMON       595915109         167180         6430         6430            0            0
MIDLAND CO                   COMMON       597486109        1628550        69300        69300            0            0
MIDWAY AIRLS CORP            COMMON       598126100         341000        68200        68200            0            0
MIDWEST EXPRESS HLDGS IN     COMMON       597911106        1215240        47424        47424            0            0
MIKASA INC                   COMMON       59862T109        1257681       169100       169100            0            0
MILACRON INC                 COMMON       598709103       14932706      1034300      1034300            0            0
MILLER BLDG SYS INC          COMMON       600404107         352688        62700        62700            0            0
MMI COS INC                  COMMON       553087107        3585613       363100       363100            0            0
MODINE MFG CO                COMMON       607828100        4406121       175368       175368            0            0
MODIS PROFESSIONAL SVCS      COMMON       607830106       12685118      1025060      1025060            0            0
MOHAWK INDS INC              COMMON       608190104         190188         8500         8500            0            0
MONACO COACH CORP            COMMON       60886R103        1053075        55425        55425            0            0
MONARCH DENTAL CORP          COMMON       609044102         260188        90500        90500            0            0
MONRO MUFFLER BRAKE INC      COMMON       610236101          51122         6150         6150            0            0
MONTANA POWER CO             COMMON       612085100        1536000        24000        24000            0            0
MONY GROUP INC COM           COMMON       615337102        1428050        44195        44195            0            0
MOOG INC                     COMMON       615394202         940800        51200        51200            0            0
MOORE MED CORP               COMMON       615799103         261050        22700        22700            0            0
MORGAN KEEGAN INC            COMMON       617410105        2081368       120659       120659            0            0
MORGAN STANLEY DEAN WITT     COMMON       617446448       27928875       337000       337000            0            0
MORRISON KNUDSEN CORP NE     COMMON       61844A109        3858600       523200       523200            0            0
MORTONS RESTAURANT GROUP     COMMON       619429103          72438         3800         3800            0            0
MOTOR CARGO INDS             COMMON       619907108         169738        36700        36700            0            0
MOTOR CLUB AMER              COMMON       619823107          91575        11100        11100            0            0
MOVADO GROUP INC             COMMON       624580106         233450        23200        23200            0            0
MOVIE GALLERY INC            COMMON       624581104         772647       185900       185900            0            0
MOVIE STAR INC               COMMON       624591103          58200        58200        58200            0            0
MTS SYS CORP                 COMMON       553777103        1542736       202326       202326            0            0
MULTI COLOR CORP             COMMON       625383104          60375         8400         8400            0            0
MURPHY OIL CORP              COMMON       626717102        1786375        31000        31000            0            0
MUSICLAND STORES CORP        COMMON       62758B109        1630725       255800       255800            0            0
MYERS INDS INC               COMMON       628464109        1030800        85900        85900            0            0
MYR GROUP INC                COMMON       554053108         208064         7053         7053            0            0
NACCO INDS INC               COMMON       629579103        9477244       197700       197700            0            0
NAPCO SEC SYS INC            COMMON       630402105          28547         8700         8700            0            0
NASH FINCH CO                COMMON       631158102        1405625       173000       173000            0            0
NATIONAL AUSTRALIA BANK      PFD CV       632525309         760375        31600        31600            0            0
NATIONAL CITY BANCORPORA     COMMON       635312101        2002450       138100       138100            0            0
NATIONAL CITY CORP           COMMON       635405103          18563          900          900            0            0
NATIONAL EQUIP SVCS INC      COMMON       635847106         748125       119700       119700            0            0
NATIONAL SEMICONDUCTOR C     COMMON       637640103        1300050        21400        21400            0            0
NATIONAL STL CORP            COMMON       637844309        2583659       350325       350325            0            0
NATIONAL SVC INDS INC        COMMON       637657107        6249244       296700       296700            0            0
NATIONAL TECHNICAL SYS I     COMMON       638104109         547369       157800       157800            0            0
NATIONAL WESTMINSTER BK      COMMON       638539403         343000         2800         2800            0            0
NATIONAL WESTN LIFE INS      COMMON       638522102        3742200        46200        46200            0            0
NATIONWIDE FINL SVCS         COMMON       638612101       21785546       744805       744805            0            0
NATURAL ALTERNATIVES INT     COMMON       638842302         140372        71300        71300            0            0
NATURES SUNSHINE PRODUCT     COMMON       639027101        3114400       389300       389300            0            0
NAUTICA ENTERPRISES INC      COMMON       639089101        7825500       666000       666000            0            0
NAVIGANT CONSULTING INC      COMMON       63935N107        2681800       243800       243800            0            0
NAVIGATORS GROUP INC         COMMON       638904102         637738        62600        62600            0            0
NCH CORP                     COMMON       628850109        2757628        60858        60858            0            0
NCI BUILDING SYS INC         COMMON       628852105        7116769       378300       378300            0            0
NEIMAN MARCUS GROUP INC      COMMON       640204301          88825         3230         3230            0            0
NEIMAN MARCUS GROUP INC      COMMON       640204202         631344        22700        22700            0            0
NEOMAGIC CORP                COMMON       640497103        2552944       513800       513800            0            0
NEW CENTURY FINANCIAL CO     COMMON       64352D101         700594        70500        70500            0            0
NEW ENGLAND BUSINESS SVC     COMMON       643872104         865950        50200        50200            0            0
NEW HAMPSHIRE THRIFT BAN     COMMON       644722100          67688         5700         5700            0            0
NEWELL RUBBERMAID INC        COMMON       651229106           4963          200          200            0            0
NEWMARK HOMES CORP           COMMON       651578106          23500         4000         4000            0            0


<CAPTION>

FirstOfIssuer                                  Manager      VSole       VShared      VNone
- ---------------                                -------      -----       -------      -----
<S>                                              <C>      <C>             <C>          <C>
MID AMER BANCORP                                   1         6430           0            0
MIDLAND CO                                         1        68000           0         1300
MIDWAY AIRLS CORP                                  1        68200           0            0
MIDWEST EXPRESS HLDGS IN                           1        43449           0         3975
MIKASA INC                                         1       160500           0         8600
MILACRON INC                                       1      1015900           0        18400
MILLER BLDG SYS INC                                1        62000           0          700
MMI COS INC                                        1       354700           0         8400
MODINE MFG CO                                      1       173068           0         2300
MODIS PROFESSIONAL SVCS                            1       895960           0       129100
MOHAWK INDS INC                                    1         8500           0            0
MONACO COACH CORP                                  1        45750           0         9675
MONARCH DENTAL CORP                                1        90500           0            0
MONRO MUFFLER BRAKE INC                            1         6150           0            0
MONTANA POWER CO                                   1        24000           0            0
MONY GROUP INC COM                                 1        35235         235         8725
MOOG INC                                           1        51200           0            0
MOORE MED CORP                                     1        22700           0            0
MORGAN KEEGAN INC                                  1       105509           0        15150
MORGAN STANLEY DEAN WITT                           1       337000           0            0
MORRISON KNUDSEN CORP NE                           1       501100           0        22100
MORTONS RESTAURANT GROUP                           1         3800           0            0
MOTOR CARGO INDS                                   1        36700           0            0
MOTOR CLUB AMER                                    1        11100           0            0
MOVADO GROUP INC                                   1        23200           0            0
MOVIE GALLERY INC                                  1       180400           0         5500
MOVIE STAR INC                                     1        56700           0         1500
MTS SYS CORP                                       1       196126           0         6200
MULTI COLOR CORP                                   1         8400           0            0
MURPHY OIL CORP                                    1        27000           0         4000
MUSICLAND STORES CORP                              1       241900           0        13900
MYERS INDS INC                                     1        85900           0            0
MYR GROUP INC                                      1         7053           0            0
NACCO INDS INC                                     1       194300           0         3400
NAPCO SEC SYS INC                                  1         8700           0            0
NASH FINCH CO                                      1       166800           0         6200
NATIONAL AUSTRALIA BANK                            1        31600           0            0
NATIONAL CITY BANCORPORA                           1       133700           0         4400
NATIONAL CITY CORP                                 1          900           0            0
NATIONAL EQUIP SVCS INC                            1       119700           0            0
NATIONAL SEMICONDUCTOR C                           1        21400           0            0
NATIONAL STL CORP                                  1       206085         560       143680
NATIONAL SVC INDS INC                              1       289000           0         7700
NATIONAL TECHNICAL SYS I                           1       156700           0         1100
NATIONAL WESTMINSTER BK                            1          800           0         2000
NATIONAL WESTN LIFE INS                            1        45100           0         1100
NATIONWIDE FINL SVCS                               1       692615         200        51990
NATURAL ALTERNATIVES INT                           1        71300           0            0
NATURES SUNSHINE PRODUCT                           1       382500           0         6800
NAUTICA ENTERPRISES INC                            1       651400           0        14600
NAVIGANT CONSULTING INC                            1       228300           0        15500
NAVIGATORS GROUP INC                               1        62600           0            0
NCH CORP                                           1        60858           0            0
NCI BUILDING SYS INC                               1       370500           0         7800
NEIMAN MARCUS GROUP INC                            1         3230           0            0
NEIMAN MARCUS GROUP INC                            1        22700           0            0
NEOMAGIC CORP                                      1       504200           0         9600
NEW CENTURY FINANCIAL CO                           1        68300           0         2200
NEW ENGLAND BUSINESS SVC                           1        50200           0            0
NEW HAMPSHIRE THRIFT BAN                           1         5700           0            0
NEWELL RUBBERMAID INC                              1          200           0            0
NEWMARK HOMES CORP                                 1         4000           0            0

</TABLE>
<PAGE>

<TABLE>
FirstOfIssuer                Class          CUSIP            FMV         Shares       IDSole        IDShared     IDOther
- ---------------              -----          -----            ---         ------       ------        --------     -------
<S>                           <C>           <C>               <C>           <C>          <C>           <C>          <C>
NEWPORT NEWS SHIPBLDG        COMMON       652228107         847000        28000        28000            0            0
NIAGARA CORP                 COMMON       653349100         693900       154200       154200            0            0
NIAGARA MOHAWK HLDGS         COMMON       653520106       21606970      1600510      1600510            0            0
NIKE INC CL B                COMMON       654106103        3085646        77870        77870            0            0
NIKKO SECS LTD JAPAN         COMMON       654107200        5662098        37371        37371            0            0
NIPPON TELEG & TEL CO        COMMON       654624105        7224042        91668        91668            0            0
NL INDS INC                  COMMON       629156407       11593400       891800       891800            0            0
NOBILITY HOMES INC           COMMON       654892108          19950         3800         3800            0            0
NORFOLK SOUTHERN CORP        COMMON       655844108          42038         2950         2950            0            0
NORTEK INC                   COMMON       656559101        4051088       183100       183100            0            0
NORTH CENT BANCSHARES IN     COMMON       658418108         137800        10400        10400            0            0
NORTHEAST BANCORP            COMMON       663904100          49500         5500         5500            0            0
NORTHERN TECH INTL CORP      COMMON       665809109         198100        28300        28300            0            0
NORTHN STS PWR CO MINN       COMMON       665772109           2981          150          150            0            0
NORTHRIM BK ALASKA           COMMON       666764105         385523        46730        46730            0            0
NORTHROP GRUMMAN CORP        COMMON       666807102       30959967       584840       584840            0            0
NORTHSTAR COMPUTER FORMS     COMMON       667031108         179550        13300        13300            0            0
NORTHWEST PIPE CO            COMMON       667746101        1807400       129100       129100            0            0
NOVARTIS AG SPONSORED        COMMON       66987V109       13302042       194527       194527            0            0
NOVO NORDISK                 COMMON       670100205        6126203        89272        89272            0            0
NPC INTERNATIONAL INC        COMMON       629360306        1271088       166700       166700            0            0
NSTAR                        COMMON       67019E107         740880        17640        17640            0            0
NU HORIZONS ELECTRS CORP     COMMON       669908105         683884        30910        30910            0            0
NU SKIN ENTERPRISES INC      COMMON       67018T105         337344        42500        42500            0            0
NUCOR CORP                   COMMON       670346105          40000          800          800            0            0
NVR INC                      COMMON       62944T105        3407400        63100        63100            0            0
NYMAGIC INC                  COMMON       629484106        1909406       139500       139500            0            0
O I CORP                     COMMON       670841105         184906        48500        48500            0            0
O SULLIVAN INDS HLDGS INC
  SR PFD C                   COMMON       67104Q205             53           95           95            0            0
O SULLIVAN INDUSTRIES HO     PFD          67104Q205          81256       145100       145100            0            0
O'SULLIVAN IND HLDGS INC     Common       688609106              0           20           20            0            0
OCCIDENTAL PETE CORP DEL     COMMON       674599105          76360         3680         3680            0            0
OCTEL CORP                   COMMON       675727101          55692         5712         5712            0            0
OCULAR SCIENCES INC          COMMON       675744106        1209973        76900        76900            0            0
OFFICEMAX INC                COMMON       67622M108       12473500      1919000      1919000            0            0
OFFSHORE LOGISTICS INC       COMMON       676255102         398213        28700        28700            0            0
OGDEN CORP                   COMMON       676346109       11723347       982059       982059            0            0
OGE ENERGY CORP              COMMON       670837103        1375744        71700        71700            0            0
OGLEBAY NORTON CO            COMMON       677007106        1874888        86700        86700            0            0
OIL DRI CORP AMER            COMMON       677864100         147469        19500        19500            0            0
OLD DOMINION FGHT LINES      COMMON       679580100        1676025       140400       140400            0            0
OLIN CORP                    COMMON       680665205         177500        10000        10000            0            0
OMEGA WORLDWIDE INC          COMMON       68210B108           8781         2007         2007            0            0
OMNICARE INC                 COMMON       681904108        6527019       541100       541100            0            0
OMNICOM GROUP                COMMON       681919106         235935         2520         2520            0            0
OMNOVA SOLUTIONS INC         COMMON       682129101        2543063       452100       452100            0            0
ONE PRICE CLOTHING STORE     COMMON       682411103         659475       195400       195400            0            0
ONEIDA LTD                   COMMON       682505102         180188         9300         9300            0            0
ONEOK INC NEW COM            COMMON       682680103        1604175        64167        64167            0            0
ONTRACK DATA INTL INC        COMMON       683372106          92813         9000         9000            0            0
ONYX ACCEP CORP              COMMON       682914106         530438        94300        94300            0            0
ORACLE CORP                  COMMON       68389X105          31225          400          400            0            0
OREGON STL MLS INC           COMMON       686079104         362313        93500        93500            0            0
OROAMERICA INC               COMMON       687027102         751256       116700       116700            0            0
ORTHALLIANCE INC             COMMON       687913103         806400       115200       115200            0            0
OSHKOSH B GOSH INC           COMMON       688222207         518400        28800        28800            0            0
OVERSEAS SHIPHOLDING GRO     COMMON       690368105         527563        23000        23000            0            0
OWENS CORNING                COMMON       69073F103        1085000        56000        56000            0            0
OWENS ILL INC                COMMON       690768403           3375          200          200            0            0
OXFORD INDS INC              COMMON       691497309        3663063       202100       202100            0            0
P & F INDS INC               COMMON       692830508          73500         8400         8400            0            0
P A M TRANSN SVCS INC        COMMON       693149106        1445850       142800       142800            0            0


<CAPTION>

FirstOfIssuer                                  Manager      VSole       VShared      VNone
- ---------------                                -------      -----       -------      -----
<S>                                              <C>      <C>             <C>          <C>
NEWPORT NEWS SHIPBLDG                             1        28000           0            0
NIAGARA CORP                                      1       151100           0         3100
NIAGARA MOHAWK HLDGS                              1      1422160           0       178350
NIKE INC CL B                                     1        63860           0        14010
NIKKO SECS LTD JAPAN                              1        32766           0         4605
NIPPON TELEG & TEL CO                             1        78358           0        13310
NL INDS INC                                       1       866100           0        25700
NOBILITY HOMES INC                                1         3800           0            0
NORFOLK SOUTHERN CORP                             1         2950           0            0
NORTEK INC                                        1       177500           0         5600
NORTH CENT BANCSHARES IN                          1         9400           0         1000
NORTHEAST BANCORP                                 1         5500           0            0
NORTHERN TECH INTL CORP                           1        26900           0         1400
NORTHN STS PWR CO MINN                            1          150           0            0
NORTHRIM BK ALASKA                                1        46730           0            0
NORTHROP GRUMMAN CORP                             1       554440           0        30400
NORTHSTAR COMPUTER FORMS                          1        13300           0            0
NORTHWEST PIPE CO                                 1       125900           0         3200
NOVARTIS AG SPONSORED                             1       178537           0        15990
NOVO NORDISK                                      1        75372           0        13900
NPC INTERNATIONAL INC                             1       157600           0         9100
NSTAR                                             1        17640           0            0
NU HORIZONS ELECTRS CORP                          1        26810           0         4100
NU SKIN ENTERPRISES INC                           1        42500           0            0
NUCOR CORP                                        1          800           0            0
NVR INC                                           1        58800           0         4300
NYMAGIC INC                                       1       135300           0         4200
O I CORP                                          1        48500           0            0
O SULLIVAN INDS HLDGS INC
  SR PFD C                                        1           95           0            0
O SULLIVAN INDUSTRIES HO                          1       139300           0         5800
O'SULLIVAN IND HLDGS INC                          1           20           0            0
OCCIDENTAL PETE CORP DEL                          1         3680           0            0
OCTEL CORP                                        1         5712           0            0
OCULAR SCIENCES INC                               1        76900           0            0
OFFICEMAX INC                                     1      1877800           0        41200
OFFSHORE LOGISTICS INC                            1        28700           0            0
OGDEN CORP                                        1       935424         850        45785
OGE ENERGY CORP                                   1        71700           0            0
OGLEBAY NORTON CO                                 1        85100           0         1600
OIL DRI CORP AMER                                 1        19500           0            0
OLD DOMINION FGHT LINES                           1       138900           0         1500
OLIN CORP                                         1        10000           0            0
OMEGA WORLDWIDE INC                               1         2007           0            0
OMNICARE INC                                      1       506000           0        35100
OMNICOM GROUP                                     1            0           0         2520
OMNOVA SOLUTIONS INC                              1       436800           0        15300
ONE PRICE CLOTHING STORE                          1       191400           0         4000
ONEIDA LTD                                        1         9300           0            0
ONEOK INC NEW COM                                 1        52582         365        11220
ONTRACK DATA INTL INC                             1         9000           0            0
ONYX ACCEP CORP                                   1        92300           0         2000
ORACLE CORP                                       1          400           0            0
OREGON STL MLS INC                                1        93500           0            0
OROAMERICA INC                                    1       114300           0         2400
ORTHALLIANCE INC                                  1       114300           0          900
OSHKOSH B GOSH INC                                1        27500           0         1300
OVERSEAS SHIPHOLDING GRO                          1        23000           0            0
OWENS CORNING                                     1        56000           0            0
OWENS ILL INC                                     1          200           0            0
OXFORD INDS INC                                   1       198300           0         3800
P & F INDS INC                                    1         8400           0            0
P A M TRANSN SVCS INC                             1       141100           0         1700

</TABLE>
<PAGE>

<TABLE>
FirstOfIssuer                Class          CUSIP            FMV         Shares       IDSole        IDShared     IDOther
- ---------------              -----          -----            ---         ------       ------        --------     -------
<S>                           <C>           <C>               <C>           <C>          <C>           <C>          <C>
PACCAR INC                   COMMON       693718108         502500        10050        10050            0            0
PACIFIC CENTY FINL CO        COMMON       694058108        1787400        87995        87995            0            0
PACIFIC CREST CAP INC        COMMON       694166109         383573        36101        36101            0            0
PAINE WEBBER INC             COMMON       695629105       37089096       842934       842934            0            0
PALM HARBOR HOMES            COMMON       696639103        3550088       230900       230900            0            0
PARAVANT INC                 COMMON       699376109         477300       159100       159100            0            0
PARK OHIO HLDGS CORP         COMMON       700666100        2001750       188400       188400            0            0
PARK PL ENTMT CORP           COMMON       700690100            601           52           52            0            0
PARKER HANNIFIN CORP         COMMON       701094104           4131          100          100            0            0
PARKVALE FINL CORP           COMMON       701492100        1878991       119301       119301            0            0
PATRICK INDS INC             COMMON       703343103         978619       127300       127300            0            0
PAUL HARRIS STORES INC       COMMON       703555201         666572       219900       219900            0            0
PAULA FINL DEL               COMMON       703588103          19250         5500         5500            0            0
PC SERVICE SOURCE INC        COMMON       693258105           1875         1000         1000            0            0
PECHINEY SPONSORED AD        COMMON       705151207        4341820       171113       171113            0            0
PECO ENERGY CO               COMMON       693304107          73750         2000         2000            0            0
PEDIATRIX MED GROUP          COMMON       705324101        2511400       346400       346400            0            0
PEERLESS MFG CO              COMMON       705514107         233800        16700        16700            0            0
PENN ENGR & MFG CORP         COMMON       707389300        1416100        57800        57800            0            0
PENN ENGR & MFG CORP         COMMON       707389102         457425        21400        21400            0            0
PENN TREATY AMERN CORP       COMMON       707874103        2639963       158200       158200            0            0
PENN VIRGINIA CORP           COMMON       707882106        2766782       161563       161563            0            0
PENNEY J C INC               COMMON       708160106         585926        39390        39390            0            0
PENNFED FINL SVCS INC        COMMON       708167101        1018413        72100        72100            0            0
PENTACON INC                 COMMON       709620108          12044         4700         4700            0            0
PEPSICO INC                  COMMON       713448108         887918        25460        25460            0            0
PERINI CORP                  COMMON       713839108         500550       112800       112800            0            0
PERSONNEL GROUP AMER INC     COMMON       715338109        3009249       491306       491306            0            0
PETROLEUM DEV CORP           COMMON       716578109         687375       169200       169200            0            0
PFF BANCORP INC              COMMON       69331W104        1567050       101100       101100            0            0
PG&E CORP                    COMMON       69331C108          47250         2250         2250            0            0
PHARMACEUTICAL PROD DEV      COMMON       717124101        2242525       132400       132400            0            0
PHARMACIA & UPJOHN INC       COMMON       716941109       11157440       187520       187520            0            0
PHELPS DODGE CORP            COMMON       717265102         584418        12336        12336            0            0
PHILADELPHIA CONS HLDG C     COMMON       717528103        1929300       130800       130800            0            0
PHILIP MORRIS COS INC        COMMON       718154107        8336771       394640       394640            0            0
PHILLIPS PETE CO             COMMON       718507106          13875          300          300            0            0
PHOENIX DUFF & PHELPS CO     PFD CV       718924202              1          170          170            0            0
PIER 1 IMPORTS INC           COMMON       720279108        8811925       859700       859700            0            0
PIERCING PAGODA INC          COMMON       720773100         346413        25900        25900            0            0
PILGRIMS PRIDE CORP          COMMON       721467108        3874613       613800       613800            0            0
PILGRIMS PRIDE CORP          COMMON       721467207         636188       130500       130500            0            0
PILLOWTEX CORP               COMMON       721501104         616400       154100       154100            0            0
PIONEER STD ELECTRS INC      COMMON       723877106        8210349       521292       521292            0            0
PITT DESMOINES INC           COMMON       724508106        1538500        68000        68000            0            0
PITTSTON CO                  COMMON       725701106        8324764       489692       489692            0            0
PLAYCORE INC                 COMMON       72811G102         339113        50239        50239            0            0
PLAZA INVTS LTD              Common       72818P105              0            1            1            0            0
PMI GROUP INC                COMMON       69344M101         405591         8550         8550            0            0
PNC BANK CORP                COMMON       693475105       24223208       537546       537546            0            0
POHANG IRON & STL LTD        COMMON       730450103        4656155       169332       169332            0            0
POLARIS INDS INC             COMMON       731068102        1554450        51600        51600            0            0
POPE & TALBOT INC            COMMON       732827100        3111980       169359       169359            0            0
PORTUGAL TELECOM S A         COMMON       737273102        4691741       377223       377223            0            0
POTOMAC ELEC PWR CO          COMMON       737679100        9072625       401000       401000            0            0
POWELL INDS INC              COMMON       739128106         939400        97600        97600            0            0
PPG INDS INC                 COMMON       693506107       20638195       394517       394517            0            0
PPL CORP                     COMMON       69351T106         967313        46200        46200            0            0
PRAXAIR INC                  COMMON       74005P104         982350        23600        23600            0            0
PRECISION CASTPARTS C        COMMON       740189105       16682716       457060       457060            0            0
PREMIUMWEAR INC              COMMON       740909106         249300        27700        27700            0            0
PRESIDENTIAL LIFE CORP       COMMON       740884101        1078990        78472        78472            0            0


<CAPTION>

FirstOfIssuer                                  Manager      VSole       VShared      VNone
- ---------------                                -------      -----       -------      -----
<S>                                              <C>      <C>             <C>          <C>
PACCAR INC                                         1        10050           0            0
PACIFIC CENTY FINL CO                              1        80395         195         7405
PACIFIC CREST CAP INC                              1        34801           0         1300
PAINE WEBBER INC                                   1       802284         100        40550
PALM HARBOR HOMES                                  1       229000           0         1900
PARAVANT INC                                       1       152400           0         6700
PARK OHIO HLDGS CORP                               1       184800           0         3600
PARK PL ENTMT CORP                                 1           52           0            0
PARKER HANNIFIN CORP                               1          100           0            0
PARKVALE FINL CORP                                 1       116901           0         2400
PATRICK INDS INC                                   1       124600           0         2700
PAUL HARRIS STORES INC                             1       215700           0         4200
PAULA FINL DEL                                     1         5500           0            0
PC SERVICE SOURCE INC                              1         1000           0            0
PECHINEY SPONSORED AD                              1       165703           0         5410
PECO ENERGY CO                                     1         2000           0            0
PEDIATRIX MED GROUP                                1       341300           0         5100
PEERLESS MFG CO                                    1        16700           0            0
PENN ENGR & MFG CORP                               1        57800           0            0
PENN ENGR & MFG CORP                               1        21400           0            0
PENN TREATY AMERN CORP                             1       154400           0         3800
PENN VIRGINIA CORP                                 1       145948         565        15050
PENNEY J C INC                                     1        39390           0            0
PENNFED FINL SVCS INC                              1        72100           0            0
PENTACON INC                                       1         4700           0            0
PEPSICO INC                                        1        25460           0            0
PERINI CORP                                        1       110700           0         2100
PERSONNEL GROUP AMER INC                           1       480106           0        11200
PETROLEUM DEV CORP                                 1       166000           0         3200
PFF BANCORP INC                                    1        98500           0         2600
PG&E CORP                                          1         2250           0            0
PHARMACEUTICAL PROD DEV                            1       132400           0            0
PHARMACIA & UPJOHN INC                             1       187520           0            0
PHELPS DODGE CORP                                  1        12336           0            0
PHILADELPHIA CONS HLDG C                           1       126700           0         4100
PHILIP MORRIS COS INC                              1       365540           0        29100
PHILLIPS PETE CO                                   1          300           0            0
PHOENIX DUFF & PHELPS CO                           1          170           0            0
PIER 1 IMPORTS INC                                 1       822500           0        37200
PIERCING PAGODA INC                                1        25900           0            0
PILGRIMS PRIDE CORP                                1       596400           0        17400
PILGRIMS PRIDE CORP                                1       126050           0         4450
PILLOWTEX CORP                                     1       154100           0            0
PIONEER STD ELECTRS INC                            1       506892           0        14400
PITT DESMOINES INC                                 1        65400           0         2600
PITTSTON CO                                        1       485426           0         4266
PLAYCORE INC                                       1        47850           0         2389
PLAZA INVTS LTD                                    1            1           0            0
PMI GROUP INC                                      1         8550           0            0
PNC BANK CORP                                      1       518611           0        18935
POHANG IRON & STL LTD                              1       156712           0        12620
POLARIS INDS INC                                   1        51600           0            0
POPE & TALBOT INC                                  1       136860         787        31712
PORTUGAL TELECOM S A                               1       323062           0        54161
POTOMAC ELEC PWR CO                                1       401000           0            0
POWELL INDS INC                                    1        97600           0            0
PPG INDS INC                                       1       352227           0        42290
PPL CORP                                           1        35100           0        11100
PRAXAIR INC                                        1        18200           0         5400
PRECISION CASTPARTS C                              1       440100         235        16725
PREMIUMWEAR INC                                    1        27700           0            0
PRESIDENTIAL LIFE CORP                             1        78472           0            0


</TABLE>
<PAGE>

<TABLE>
FirstOfIssuer                Class          CUSIP            FMV         Shares       IDSole        IDShared     IDOther
- ---------------              -----          -----            ---         ------       ------        --------     -------
<S>                           <C>           <C>               <C>           <C>          <C>           <C>          <C>
PRIME HOSPITALITY CORP       COMMON       741917108        9038771      1246727      1246727            0            0
PRIME MED SVCS INC NEW       COMMON       74156D108         582200        65600        65600            0            0
PRIMESOURCE CORP             COMMON       741593107         579797       108500       108500            0            0
PRINTRONIX INC               COMMON       742578107         806925        40600        40600            0            0
PRIORITY HEALTHCARE CORP     COMMON       74264T201         143244         3114         3114            0            0
PROFESSIONALS GROUP INC      COMMON       742954100        2843302       147226       147226            0            0
PROGRAMMERS PARADISE INC     COMMON       743205106           8138         1400         1400            0            0
PROGRAMMING & SYS INC        COMMON       743209108          10925         2300         2300            0            0
PROMEDCO MGMT CO             COMMON       74342L105        1164150       477600       477600            0            0
PROPHET 21 INC               COMMON       743459109          92188         5000         5000            0            0
PROVIDENCE & WORCESTER R     COMMON       743737108          44988         6100         6100            0            0
PROVIDENT BANKSHARES COR     COMMON       743859100         694575        44100        44100            0            0
PROVIDENT FINL GROUP INC     COMMON       743866105         173719         5100         5100            0            0
PSC INC                      COMMON       69361E107        1462938       263000       263000            0            0
PUBLIC STORAGE INC           COMMON       74460D109         525000        25000        25000            0            0
PUBLIC SVC CO N MEX          COMMON       744499104       18642409      1183644      1183644            0            0
PUBLIC SVC ENTERPRISE GR     COMMON       744573106           7406          250          250            0            0
PULASKI FURNITURE CORP       COMMON       745553107         741625        34000        34000            0            0
PULTE CORP                   COMMON       745867101       16593538       794900       794900            0            0
Q E P INC                    COMMON       74727K102         507150        58800        58800            0            0
QUAKER CHEM CORP             COMMON       747316107        3372800       198400       198400            0            0
QUAKER CITY BANCORP INC      COMMON       74731K106         229600        16400        16400            0            0
QUAKER FABRIC CORP NEW       COMMON       747399103          52263        11300        11300            0            0
QUANEX CORP                  COMMON       747620102        5789034       321613       321613            0            0
QUANTUM CORP DSS             COMMON       747906204        6040375       506000       506000            0            0
QUEST ED CORP                COMMON       74835F102         297563        34500        34500            0            0
QUESTAR CORP                 COMMON       748356102          37125         2000         2000            0            0
QUINTILES TRANSNATIONAL      COMMON       748767100        8175753       479165       479165            0            0
QUIPP INC                    COMMON       748802105          91450         5900         5900            0            0
QUORUM HEALTH GROUP INC      COMMON       749084109        5083575       505200       505200            0            0
R & B INC                    COMMON       749124103         507600       172800       172800            0            0
R G S ENERGY GROUP INC       COMMON       74956K104       15244750       717400       717400            0            0
R H PHILLIPS INC             COMMON       749573101         116288        44300        44300            0            0
RADIOLOGIX INC               COMMON       75040K109        1770494       341300       341300            0            0
RAILAMERICA INC              COMMON       750753105         537260        79594        79594            0            0
RAILWORKS CORP               COMMON       750789109        1371938       135500       135500            0            0
RAINFOREST CAFE INC          COMMON       75086K104        1702145       479900       479900            0            0
RAVEN INDS INC               COMMON       754212108         707550        63600        63600            0            0
RAYMOND JAMES FINANCIAL      COMMON       754730109         283155        13646        13646            0            0
RAYTEL MED CORP              COMMON       755107109         624566       199861       199861            0            0
RAYTHEON CO                  COMMON       755111408          39050         2200         2200            0            0
RDO EQUIPMENT CO             COMMON       749413100        1520875       264500       264500            0            0
RECOTON CORP                 COMMON       756268108          73238         6200         6200            0            0
REEBOK INTL LTD              COMMON       758110100         274725        29700        29700            0            0
REEDS JEWELERS INC           COMMON       758341101          50837        15642        15642            0            0
REFAC                        COMMON       758653109         322000        80500        80500            0            0
REGAL BELOIT CORP            COMMON       758750103        5628000       321600       321600            0            0
REGIONS FINL CORP            COMMON       758940100         156266         6850         6850            0            0
REHABCARE GROUP INC          COMMON       759148109        1915750        77600        77600            0            0
RELIABILITY INC              COMMON       759903107          40825         7100         7100            0            0
RELIANCE GROUP HOLDINGS      COMMON       759464100        4123368      1178105      1178105            0            0
INC      C
RELIANCE STEEL & ALUMINU     COMMON       759509102        1493196        66735        66735            0            0
RELIANT ENERGY INC           COMMON       75952J108           7069          300          300            0            0
RELIASTAR FINL CORP          COMMON       75952U103           3388          100          100            0            0
REMEDYTEMP INC               COMMON       759549108        2057625        93000        93000            0            0
RENAISSANCE RE HLDGS LTD     COMMON       G7496G103          16350          400          400            0            0
REPSOL S A (76026T205)       COMMON       76026T205        5615844       263500       263500            0            0
REPUBLIC BANCORP INC         COMMON       760282103        1041249       111438       111438            0            0
REPUBLIC GROUP INC           COMMON       760473108        1572510       146280       146280            0            0
RESORTQUEST INTL INC         COMMON       761183102         216788        36900        36900            0            0
RESOURCE BANCSHARES MTG      COMMON       761197102        2139925       543473       543473            0            0
REUTERS GROUP PLC ADR        COMMON       76132M102        5444336        45607        45607            0            0

<CAPTION>

FirstOfIssuer                                  Manager      VSole       VShared      VNone
- ---------------                                -------      -----       -------      -----
<S>                                              <C>      <C>             <C>          <C>
PRIME HOSPITALITY CORP                             1      1225427           0        21300
PRIME MED SVCS INC NEW                             1        65600           0            0
PRIMESOURCE CORP                                   1       106400           0         2100
PRINTRONIX INC                                     1        40600           0            0
PRIORITY HEALTHCARE CORP                           1         3114           0            0
PROFESSIONALS GROUP INC                            1       145356           0         1870
PROGRAMMERS PARADISE INC                           1         1400           0            0
PROGRAMMING & SYS INC                              1         2300           0            0
PROMEDCO MGMT CO                                   1       469400           0         8200
PROPHET 21 INC                                     1         5000           0            0
PROVIDENCE & WORCESTER R                           1         6100           0            0
PROVIDENT BANKSHARES COR                           1        44100           0            0
PROVIDENT FINL GROUP INC                           1         5100           0            0
PSC INC                                            1       258400           0         4600
PUBLIC STORAGE INC                                 1        25000           0            0
PUBLIC SVC CO N MEX                                1      1143269         460        39915
PUBLIC SVC ENTERPRISE GR                           1          250           0            0
PULASKI FURNITURE CORP                             1        32600           0         1400
PULTE CORP                                         1       776700           0        18200
Q E P INC                                          1        57700           0         1100
QUAKER CHEM CORP                                   1       195400           0         3000
QUAKER CITY BANCORP INC                            1        16400           0            0
QUAKER FABRIC CORP NEW                             1        11300           0            0
QUANEX CORP                                        1       314013           0         7600
QUANTUM CORP DSS                                   1       458800           0        47200
QUEST ED CORP                                      1        34500           0            0
QUESTAR CORP                                       1         2000           0            0
QUINTILES TRANSNATIONAL                            1       435565           0        43600
QUIPP INC                                          1         5900           0            0
QUORUM HEALTH GROUP INC                            1       505200           0            0
R & B INC                                          1       169500           0         3300
R G S ENERGY GROUP INC                             1       703300           0        14100
R H PHILLIPS INC                                   1        44300           0            0
RADIOLOGIX INC                                     1       333200           0         8100
RAILAMERICA INC                                    1        79594           0            0
RAILWORKS CORP                                     1       135500           0            0
RAINFOREST CAFE INC                                1       467600           0        12300
RAVEN INDS INC                                     1        62000           0         1600
RAYMOND JAMES FINANCIAL                            1        13646           0            0
RAYTEL MED CORP                                    1       195761           0         4100
RAYTHEON CO                                        1         2200           0            0
RDO EQUIPMENT CO                                   1       259400           0         5100
RECOTON CORP                                       1         6200           0            0
REEBOK INTL LTD                                    1        29700           0            0
REEDS JEWELERS INC                                 1        15642           0            0
REFAC                                              1        79300           0         1200
REGAL BELOIT CORP                                  1       317300           0         4300
REGIONS FINL CORP                                  1         6850           0            0
REHABCARE GROUP INC                                1        77600           0            0
RELIABILITY INC                                    1         7100           0            0
RELIANCE GROUP HOLDINGS                            1      1133905           0        44200
INC      C
RELIANCE STEEL & ALUMINU                           1        66735           0            0
RELIANT ENERGY INC                                 1          300           0            0
RELIASTAR FINL CORP                                1          100           0            0
REMEDYTEMP INC                                     1        90500           0         2500
RENAISSANCE RE HLDGS LTD                           1          400           0            0
REPSOL S A (76026T205)                             1       263500           0            0
REPUBLIC BANCORP INC                               1       102938           0         8500
REPUBLIC GROUP INC                                 1       141660           0         4620
RESORTQUEST INTL INC                               1        36900           0            0
RESOURCE BANCSHARES MTG                            1       532128           0        11345
REUTERS GROUP PLC ADR                              1        41655           0         3952

</TABLE>
<PAGE>

<TABLE>
FirstOfIssuer                Class          CUSIP            FMV         Shares       IDSole        IDShared     IDOther
- ---------------              -----          -----            ---         ------       ------        --------     -------
<S>                           <C>           <C>               <C>           <C>          <C>           <C>          <C>
REX STORES CORP              COMMON       761624105         222394         8700         8700            0            0
REXHALL INDS INC             COMMON       761684109         177750        19750        19750            0            0
REYNOLDS METALS CO           COMMON       761763101          86938         1300         1300            0            0
RF MONOLITHICS INC           COMMON       74955F106         181500        12100        12100            0            0
RICHARDSON ELECTRS LTD       COMMON       763165107        2688400       244400       244400            0            0
RICHTON INTL CORP            COMMON       765516109          82650         5800         5800            0            0
RIGGS NATL CORP WASH DC      COMMON       766570105         772688        63400        63400            0            0
RIGHT MGMT CONSULTANTS I     COMMON       766573109         891188        97000        97000            0            0
RIO TINTO LTD ADR SPO        COMMON       767204100        3862681        54220        54220            0            0
RIVIERA TOOL CO              COMMON       769648106         202728        50682        50682            0            0
RLI CORP                     COMMON       749607107        2647304        79024        79024            0            0
ROADWAY EXPRESS INC DEL      COMMON       769742107        7212341       356165       356165            0            0
ROANOKE ELEC STL CORP        COMMON       769841107        2384675       140275       140275            0            0
ROBBINS & MYERS INC          COMMON       770196103          68513         2900         2900            0            0
ROBERTSON CECO CORP          COMMON       770539203         654494        66700        66700            0            0
ROCK OF AGES CORP            COMMON       772632105           6663         1300         1300            0            0
ROCK-TENN CO                 COMMON       772739207        3284395       336861       336861            0            0
ROCKY MTN CHOCOLATE FACT     COMMON       774678403          26875         5000         5000            0            0
ROHM & HAAS CO               COMMON       775371107           8925          200          200            0            0
ROLLINS TRUCK LEASING CO     COMMON       775741101        4025017       477039       477039            0            0
ROUGE INDS INC DEL           COMMON       779088103         186850        29600        29600            0            0
ROWE COS                     COMMON       779528108        1523578       264970       264970            0            0
ROYAL APPLIANCE MFG CO       COMMON       780076105        1316338       266600       266600            0            0
RTI INTL METALS INC          COMMON       74973W107         511125        58000        58000            0            0
RURAL / METRO CORP           COMMON       781748108         395204       332803       332803            0            0
RUSH ENTERPISES INC          COMMON       781846100         828438       120500       120500            0            0
RUSS BERRIE & CO             COMMON       782233100        2740831       148153       148153            0            0
RYANS FAMILY STEAK HOUSE     COMMON       783519101        8623147       901767       901767            0            0
RYLAND GROUP INC             COMMON       783764103        6300000       336000       336000            0            0
S&K FAMOUS BRANDS INC        COMMON       783774102         632925        87300        87300            0            0
SABRE HLDGS CORP             COMMON       785905100        6496271       177980       177980            0            0
SAFECO CORP                  COMMON       786429100           3984          150          150            0            0
SANDERSON FARMS INC          COMMON       800013104        1685125       207400       207400            0            0
SANTA FE SNYDER CORPO        COMMON       80218K105        3699561       389387       389387            0            0
SAP AG ADR SPONS PREF        COMMON       803054204        4007760        67077        67077            0            0
SAPPI LTD ADR SPON NE        COMMON       803069202       26563262      3346465      3346465            0            0
SARA LEE CORP                COMMON       803111103       40457880      2247660      2247660            0            0
SAUCONY INC                  COMMON       804120103          12675         1300         1300            0            0
SAVOIR TECHNOLOGY GROUP      COMMON       80533W107        1705013       239300       239300            0            0
SAXTON INC                   COMMON       805630100          89894        75700        75700            0            0
SBC COMMUNICATIONS, I        COMMON       78387G103        4461213       105903       105903            0            0
SCANSOFT INC                 COMMON       80603P107         812688       160531       160531            0            0
SCHAWK INC                   COMMON       806373106         787500       100000       100000            0            0
SCHEID VINEYARDS INC         COMMON       806403101         209600        52400        52400            0            0
SCHLOTZSKYS INC              COMMON       806832101         745200       124200       124200            0            0
SCHUFF STL CO                COMMON       808156103         258125        82600        82600            0            0
SCHULER HOMES INC            COMMON       808188106         448350        73200        73200            0            0
SCHULMAN A INC               COMMON       808194104        7384079       557289       557289            0            0
SCHULTZ SAV O STORES INC     COMMON       808196109         272531        25650        25650            0            0
SCHWEITZER-MAUDUIT INTL      COMMON       808541106        4867088       376200       376200            0            0
SCIENTIFIC GAMES HLDGS C     COMMON       808747109        3626700       219800       219800            0            0
SCOR ADR (80917Q106)         COMMON       80917Q106         297675         6300         6300            0            0
SCORE BRD INC                COMMON       809173206              2           63           63            0            0
SCOTTISH PWR PLC             COMMON       81013T705         186544         5887         5887            0            0
SCPIE HLDGS INC              COMMON       78402P104        1243375        40600        40600            0            0
SEACOR SMIT INC              COMMON       811904101        1630125        27000        27000            0            0
SEAGATE TECHNOLOGY           COMMON       811804103       23745948       383825       383825            0            0
SEARS ROEBUCK & CO           COMMON       812387108       17934000       585600       585600            0            0
SEITEL INC                   COMMON       816074306        1692275       213200       213200            0            0
SELAS CORP AMER              COMMON       816119101          46000         8000         8000            0            0
SELECTIVE INS GROUP I        COMMON       816300107       10105429       592259       592259            0            0
SEMPRA ENERGY COM            COMMON       816851109        3305815       197357       197357            0            0


<CAPTION>

FirstOfIssuer                                  Manager      VSole       VShared      VNone
- ---------------                                -------      -----       -------      -----
<S>                                              <C>      <C>             <C>          <C>
REX STORES CORP                                    1         8700           0            0
REXHALL INDS INC                                   1        18490           0         1260
REYNOLDS METALS CO                                 1         1300           0            0
RF MONOLITHICS INC                                 1        12100           0            0
RICHARDSON ELECTRS LTD                             1       237800           0         6600
RICHTON INTL CORP                                  1         5800           0            0
RIGGS NATL CORP WASH DC                            1        63400           0            0
RIGHT MGMT CONSULTANTS I                           1        94800           0         2200
RIO TINTO LTD ADR SPO                              1        52585           0         1635
RIVIERA TOOL CO                                    1        49527           0         1155
RLI CORP                                           1        73774           0         5250
ROADWAY EXPRESS INC DEL                            1       346665           0         9500
ROANOKE ELEC STL CORP                              1       136525           0         3750
ROBBINS & MYERS INC                                1         2900           0            0
ROBERTSON CECO CORP                                1        66700           0            0
ROCK OF AGES CORP                                  1         1300           0            0
ROCK-TENN CO                                       1       321561           0        15300
ROCKY MTN CHOCOLATE FACT                           1         3900           0         1100
ROHM & HAAS CO                                     1          200           0            0
ROLLINS TRUCK LEASING CO                           1       461039           0        16000
ROUGE INDS INC DEL                                 1        29600           0            0
ROWE COS                                           1       259370           0         5600
ROYAL APPLIANCE MFG CO                             1       259600           0         7000
RTI INTL METALS INC                                1        58000           0            0
RURAL / METRO CORP                                 1       325603           0         7200
RUSH ENTERPISES INC                                1       117900           0         2600
RUSS BERRIE & CO                                   1       148153           0            0
RYANS FAMILY STEAK HOUSE                           1       879767           0        22000
RYLAND GROUP INC                                   1       328600           0         7400
S&K FAMOUS BRANDS INC                              1        85100           0         2200
SABRE HLDGS CORP                                   1       168444           0         9536
SAFECO CORP                                        1          150           0            0
SANDERSON FARMS INC                                1       202000           0         5400
SANTA FE SNYDER CORPO                              1       326387        1405        61595
SAP AG ADR SPONS PREF                              1        55797           0        11280
SAPPI LTD ADR SPON NE                              1      3114950           0       231515
SARA LEE CORP                                      1      2058115           0       189545
SAUCONY INC                                        1         1300           0            0
SAVOIR TECHNOLOGY GROUP                            1       234400           0         4900
SAXTON INC                                         1        75700           0            0
SBC COMMUNICATIONS, I                              1        79504           0        26399
SCANSOFT INC                                       1       160531           0            0
SCHAWK INC                                         1        96800           0         3200
SCHEID VINEYARDS INC                               1        52400           0            0
SCHLOTZSKYS INC                                    1       121400           0         2800
SCHUFF STL CO                                      1        80300           0         2300
SCHULER HOMES INC                                  1        73200           0            0
SCHULMAN A INC                                     1       541489           0        15800
SCHULTZ SAV O STORES INC                           1        25650           0            0
SCHWEITZER-MAUDUIT INTL                            1       368700           0         7500
SCIENTIFIC GAMES HLDGS C                           1       214200           0         5600
SCOR ADR (80917Q106)                               1         1800           0         4500
SCORE BRD INC                                      1           63           0            0
SCOTTISH PWR PLC                                   1         5887           0            0
SCPIE HLDGS INC                                    1        39500           0         1100
SEACOR SMIT INC                                    1        27000           0            0
SEAGATE TECHNOLOGY                                 1       362265         100        21460
SEARS ROEBUCK & CO                                 1       585600           0            0
SEITEL INC                                         1       203900           0         9300
SELAS CORP AMER                                    1         8000           0            0
SELECTIVE INS GROUP I                              1       568394         590        23275
SEMPRA ENERGY COM                                  1       163432           0        33925


</TABLE>
<PAGE>

<TABLE>
FirstOfIssuer                Class          CUSIP            FMV         Shares       IDSole        IDShared     IDOther
- ---------------              -----          -----            ---         ------       ------        --------     -------
<S>                           <C>           <C>               <C>           <C>          <C>           <C>          <C>
SENIOR HSG PPTYS TR S        COMMON       81721M109        1342893       131012       131012            0            0
SEROLOGICALS CORP            COMMON       817523103         233813        43000        43000            0            0
SERVICE CORP INTL COM        COMMON       817565104        3896265      1298755      1298755            0            0
SHARP CORP ADR               COMMON       819882200        6520032        30466        30466            0            0
SHERWIN WILLIAMS CO          COMMON       824348106           4425          200          200            0            0
SHILOH INDS INC              COMMON       824543102         997825        95600        95600            0            0
SHOE CARNIVAL INC            COMMON       824889109         553150        59800        59800            0            0
SHOE PAVILION INC            COMMON       824894109         178800        89400        89400            0            0
SHOPKO STORES INC            COMMON       824911101        8953100       504400       504400            0            0
SIERRA HEALTH SVCS INC       COMMON       826322109        2978453       603231       603231            0            0
SIFCO INDS INC               COMMON       826546103         504075        85800        85800            0            0
SIGMATRON INTL INC           COMMON       82661L101          10500         2000         2000            0            0
SIGNATURE EYEWEAR INC        COMMON       826918104         104975        44200        44200            0            0
SILGAN HOLDINGS INC          COMMON       827048109        4774825       393800       393800            0            0
SILICON VY GROUP INC         COMMON       827066101        3187625       115913       115913            0            0
SILVERLEAF RESORTS INC       COMMON       828395103         821200       205300       205300            0            0
SIMIONE CENTRAL HOLDINGS     COMMON       828654301          45872        11838        11838            0            0
SIMPSON INDS INC             COMMON       829060102        5337145       543912       543912            0            0
SIZZLER INTL INC             COMMON       830139101        1422300       517200       517200            0            0
SK TELECOM LTD ADR SP        COMMON       78440P108        1807143        46337        46337            0            0
SKYLINE CORP                 COMMON       830830105        4098938       189000       189000            0            0
SKYWEST INC                  COMMON       830879102          78250         2000         2000            0            0
SLI INC                      COMMON       78442T108         919700        54100        54100            0            0
SM&A CORP                    COMMON       784432106         535563       104500       104500            0            0
SMEDVIG ASA ADR              COMMON       83169H105        5407623       354616       354616            0            0
SMITH & NEPHEW ASSOC         COMMON       G82343107        1261909       438163       438163            0            0
SMITH & NEPHEW P L C         COMMON       83175M106        3482901       117565       117565            0            0
SMITH A O                    COMMON       831865209        3525228       195846       195846            0            0
SMITHFIELD COS INC           COMMON       832245104          25650         3800         3800            0            0
SMITHFIELD FOODS INC         COMMON       832248108          46000         2300         2300            0            0
SMITHWAY MTR XPRESS CORP     COMMON       832653109         374150       106900       106900            0            0
SMURFIT-STONE CONTAINER      COMMON       832727101         880750        52000        52000            0            0
SOCIETE GENERALE FRAN        COMMON       83364L109         643663        16140        16140            0            0
SOFTWARE SPECTRUM INC        COMMON       833960107         875044        41300        41300            0            0
SOLA INTL INC                COMMON       834092108        1810550       295600       295600            0            0
SOLUTIA INC                  COMMON       834376105         561750        42000        42000            0            0
SONY CORP                    COMMON       835699307        6440273        22990        22990            0            0
SOS STAFFING SVCS INC        COMMON       78462X104        1064113       239800       239800            0            0
SOUTHERN CO                  COMMON       842587107          17400          800          800            0            0
SOUTHERN ENERGY HOMES IN     COMMON       842814105         377125       301700       301700            0            0
SOUTHTRUST CORP              COMMON       844730101           5088          200          200            0            0
SOUTHWEST AIRLS CO           COMMON       844741108          12488          600          600            0            0
SOUTHWEST BANCORP INC OK     COMMON       844767103         378463        22100        22100            0            0
SPECIAL METALS CORP          COMMON       84741Y103         124584        41100        41100            0            0
SPECIALTY CATALOG CORP       COMMON       84748Q103         179719        63900        63900            0            0
SPECIALTY EQUIP COS INC      COMMON       847497203        3670675       176900       176900            0            0
SPEIZMAN INDS INC            COMMON       847805108          44988        11800        11800            0            0
SPLASH TECHNOLOGY HLDGS      COMMON       848623104         783750        62700        62700            0            0
SPORT CHALET INC             COMMON       849163100          35156         7500         7500            0            0
SPORT SUPPLY GROUP INC       COMMON       848915104         159000        26500        26500            0            0
SPORT-HALEY INC              COMMON       848925103         240500        48100        48100            0            0
SPRINGS INDS INC             COMMON       851783100        2420600        63700        63700            0            0
SPRINT CORP                  COMMON       852061100          63250         1000         1000            0            0
SPRINT CORP                  COMMON       852061506          32750          500          500            0            0
SPS TECHNOLOGIES INC         COMMON       784626103        4861700       159400       159400            0            0
ST FRANCIS CAP CORP          COMMON       789374105         324800        23200        23200            0            0
ST JOSEPH LT & PWR CO        COMMON       790654107          24300         1200         1200            0            0
ST PAUL COS INC              COMMON       792860108         940144        27550        27550            0            0
STAFF LEASING INC            COMMON       852381102        2349994       404300       404300            0            0
STANDARD COML CORP           COMMON       853258101         979300       279800       279800            0            0
STANDARD MANAGEMENT CORP     COMMON       853612109         654438       141500       141500            0            0
STANDARD MTR PRODS INC       COMMON       853666105        2024488       136100       136100            0            0


<CAPTION>

FirstOfIssuer                                  Manager      VSole       VShared      VNone
- ---------------                                -------      -----       -------      -----
<S>                                              <C>      <C>             <C>          <C>
SENIOR HSG PPTYS TR S                               1       110057         595        20360
SEROLOGICALS CORP                                   1        43000           0            0
SERVICE CORP INTL COM                               1      1286255           0        12500
SHARP CORP ADR                                      1        24773           0         5693
SHERWIN WILLIAMS CO                                 1          200           0            0
SHILOH INDS INC                                     1        91300           0         4300
SHOE CARNIVAL INC                                   1        59800           0            0
SHOE PAVILION INC                                   1        89400           0            0
SHOPKO STORES INC                                   1       491600           0        12800
SIERRA HEALTH SVCS INC                              1       592931           0        10300
SIFCO INDS INC                                      1        83600           0         2200
SIGMATRON INTL INC                                  1         2000           0            0
SIGNATURE EYEWEAR INC                               1        42500           0         1700
SILGAN HOLDINGS INC                                 1       385000           0         8800
SILICON VY GROUP INC                                1        99823         375        15715
SILVERLEAF RESORTS INC                              1       199900           0         5400
SIMIONE CENTRAL HOLDINGS                            1        11225           0          613
SIMPSON INDS INC                                    1       509028         640        34244
SIZZLER INTL INC                                    1       505100           0        12100
SK TELECOM LTD ADR SP                               1        26702           0        19635
SKYLINE CORP                                        1       184600           0         4400
SKYWEST INC                                         1         2000           0            0
SLI INC                                             1        54100           0            0
SM&A CORP                                           1       103200           0         1300
SMEDVIG ASA ADR                                     1       316667           0        37949
SMITH & NEPHEW ASSOC                                1       432078           0         6085
SMITH & NEPHEW P L C                                1       112390           0         5175
SMITH A O                                           1       189146           0         6700
SMITHFIELD COS INC                                  1         3800           0            0
SMITHFIELD FOODS INC                                1         2300           0            0
SMITHWAY MTR XPRESS CORP                            1       104600           0         2300
SMURFIT-STONE CONTAINER                             1        48300           0         3700
SOCIETE GENERALE FRAN                               1            0           0        16140
SOFTWARE SPECTRUM INC                               1        41300           0            0
SOLA INTL INC                                       1       290900           0         4700
SOLUTIA INC                                         1        42000           0            0
SONY CORP                                           1        18730           0         4260
SOS STAFFING SVCS INC                               1       234200           0         5600
SOUTHERN CO                                         1          800           0            0
SOUTHERN ENERGY HOMES IN                            1       293600           0         8100
SOUTHTRUST CORP                                     1          200           0            0
SOUTHWEST AIRLS CO                                  1          600           0            0
SOUTHWEST BANCORP INC OK                            1        20600           0         1500
SPECIAL METALS CORP                                 1        41100           0            0
SPECIALTY CATALOG CORP                              1        61600           0         2300
SPECIALTY EQUIP COS INC                             1       172200           0         4700
SPEIZMAN INDS INC                                   1        11800           0            0
SPLASH TECHNOLOGY HLDGS                             1        62700           0            0
SPORT CHALET INC                                    1         7500           0            0
SPORT SUPPLY GROUP INC                              1        26500           0            0
SPORT-HALEY INC                                     1        48100           0            0
SPRINGS INDS INC                                    1        63700           0            0
SPRINT CORP                                         1         1000           0            0
SPRINT CORP                                         1          500           0            0
SPS TECHNOLOGIES INC                                1       155800           0         3600
ST FRANCIS CAP CORP                                 1        20600           0         2600
ST JOSEPH LT & PWR CO                               1         1200           0            0
ST PAUL COS INC                                     1        27550           0            0
STAFF LEASING INC                                   1       397100           0         7200
STANDARD COML CORP                                  1       274400           0         5400
STANDARD MANAGEMENT CORP                            1       138400           0         3100
STANDARD MTR PRODS INC                              1       131800           0         4300

</TABLE>
<PAGE>

<TABLE>
FirstOfIssuer                Class          CUSIP            FMV         Shares       IDSole        IDShared     IDOther
- ---------------              -----          -----            ---         ------       ------        --------     -------
<S>                           <C>           <C>               <C>           <C>          <C>           <C>          <C>
STANDARD PAC CORP NEW        COMMON       85375C101        6490230       649023       649023            0            0
STANDARD REGISTER CO         COMMON       853887107        6580232       511086       511086            0            0
STANDEX INTL CORP            COMMON       854231107        3879650       250300       250300            0            0
STANLEY FURNITURE INC        COMMON       854305208         899000        46400        46400            0            0
STAR BUFFET INC              COMMON       855086104          47494        14900        14900            0            0
STARRETT L S CO              COMMON       855668109        3515600       149600       149600            0            0
STATE AUTO FINL CORP         COMMON       855707105        2777616       347202       347202            0            0
STEEL TECHNOLOGIES INC       COMMON       858147101        2075656       261500       261500            0            0
STEELCASE INC CL A           COMMON       858155203        4128780       344065       344065            0            0
STEIN MART INC               COMMON       858375108        1430550       173400       173400            0            0
STEINWAY MUSICAL INSTRS      COMMON       858495104           1881          100          100            0            0
STEPAN CO                    COMMON       858586100        4012188       185000       185000            0            0
STEPHAN CO                   COMMON       858603103          12025         2600         2600            0            0
STERILE RECOVERIES INC       COMMON       859151102         396338        81300        81300            0            0
STERIS CORP                  COMMON       859152100        2136089       208395       208395            0            0
STERLING BANCORP             COMMON       859158107         996450        66430        66430            0            0
STERLING FINL CORP WASH      COMMON       859319105        1635000       163500       163500            0            0
STERLING SOFTWARE INC        COMMON       859547101        2576770        78680        78680            0            0
STERLING SOFTWRE 2B TNDR     Common       859547978        1063125        30375        30375            0            0
STEWART ENTERPRISES INC      COMMON       860370105        9576775      1939600      1939600            0            0
STEWART INFORMATION SVCS     COMMON       860372101        5281375       334000       334000            0            0
STIFEL FINL CORP             COMMON       860630102         731892        68083        68083            0            0
STMICROELECTRONICS N         COMMON       861012102       16755843        89513        89513            0            0
STONERIDGE INC COM           COMMON       86183P102        1117576        93173        93173            0            0
STORAGE TECHNOLOGY CO        COMMON       862111200       13574625       851740       851740            0            0
STRATTEC SEC CORP            COMMON       863111100        1395625        40600        40600            0            0
STRUCTURAL DYNAMICS RESH     COMMON       863555108        1638900       121400       121400            0            0
STUDENT LN CORP              COMMON       863902102        2573413        62862        62862            0            0
STURM RUGER & CO INC         COMMON       864159108        3183250       363800       363800            0            0
SUBURBAN LODGES AMER INC     COMMON       864444104        1891519       305700       305700            0            0
SUMMA INDS                   COMMON       86562T105         696350        73300        73300            0            0
SUMMIT BANCORP               COMMON       866005101           5250          200          200            0            0
SUMMIT BK CORP GA            COMMON       866013105         124800        10400        10400            0            0
SUNOCO INC                   COMMON       86764P109         515745        18840        18840            0            0
SUNRISE INTL LEASING COR     COMMON       86769K105         627069       130300       130300            0            0
SUNTRUST BANKS INC           COMMON       867914103         410026         7100         7100            0            0
SUPERIOR TELECOM INC         COMMON       868365107        4821263       374467       374467            0            0
SUPERIOR UNIFORM GROUP I     COMMON       868358102         541650        55200        55200            0            0
SUPREMA SPECIALTIES INC      COMMON       86859F107         573394        57700        57700            0            0
SUPREME INDS INC             COMMON       868607102        1145862       241234       241234            0            0
SWISSCOM ADR SPONSORE        COMMON       871013108        4179950       109455       109455            0            0
SYBRON CHEMS INC             COMMON       870903101        1267013        89700        89700            0            0
SYLVAN INC                   COMMON       871371100         745550        96200        96200            0            0
SYMANTEC CORP                COMMON       871503108       27302193       363423       363423            0            0
SYMS CORP                    COMMON       871551107         508400       127100       127100            0            0
SYNOPSYS INC                 COMMON       871607107        9755929       200120       200120            0            0
SYSTEMAX INC                 COMMON       871851101        6472363       709300       709300            0            0
TANDY BRANDS ACCESSORIES     COMMON       875378101         959000       109600       109600            0            0
TARRANT APPAREL GROUP        COMMON       876289109        1206000       160800       160800            0            0
TB WOODS CORP                COMMON       872226105         798300        88700        88700            0            0
TBC CORP                     COMMON       872180104        2818800       556800       556800            0            0
TECH DATA CORP               COMMON       878237106         575313        17500        17500            0            0
TECH OPS SEVCON INC          COMMON       878293109         304150        30800        30800            0            0
TECUMSEH PRODS CO            COMMON       878895200        5258000       119500       119500            0            0
TEEKAY SHIPPING MARSHALL     COMMON       Y8564W103         603619        21900        21900            0            0
TELE CENTRO SUL PARTI        COMMON       879239101        4914002        60672        60672            0            0
TELECOM CO NZD(879278208     COMMON       879278208         465931        12700        12700            0            0
TELECOMUNICACOE              COMMON       87929A102        1854761        62476        62476            0            0
TELEGLOBE INC                COMMON       87941V100       11383790       413956       413956            0            0
TELEPHONE & DATA SYS INC     COMMON       879433100         777000         7000         7000            0            0
TEMPLE INLAND INC            COMMON       879868107         378575         7600         7600            0            0
TENET HEALTHCARE CORP        COMMON       88033G100        9460425       406900       406900            0            0

<CAPTION>

FirstOfIssuer                                  Manager      VSole       VShared      VNone
- ---------------                                -------      -----       -------      -----
<S>                                              <C>      <C>             <C>          <C>
STANDARD PAC CORP NEW                              1       636523           0        12500
STANDARD REGISTER CO                               1       499286           0        11800
STANDEX INTL CORP                                  1       244300           0         6000
STANLEY FURNITURE INC                              1        43400           0         3000
STAR BUFFET INC                                    1        14900           0            0
STARRETT L S CO                                    1       146200           0         3400
STATE AUTO FINL CORP                               1       339702           0         7500
STEEL TECHNOLOGIES INC                             1       257400           0         4100
STEELCASE INC CL A                                 1       288060         200        55805
STEIN MART INC                                     1       173400           0            0
STEINWAY MUSICAL INSTRS                            1          100           0            0
STEPAN CO                                          1       181100           0         3900
STEPHAN CO                                         1         2600           0            0
STERILE RECOVERIES INC                             1        79400           0         1900
STERIS CORP                                        1       188255         200        19940
STERLING BANCORP                                   1        66430           0            0
STERLING FINL CORP WASH                            1       159600           0         3900
STERLING SOFTWARE INC                              1        58110           0        20570
STERLING SOFTWRE 2B TNDR                           1        30375           0            0
STEWART ENTERPRISES INC                            1      1892500           0        47100
STEWART INFORMATION SVCS                           1       328600           0         5400
STIFEL FINL CORP                                   1        64828           0         3255
STMICROELECTRONICS N                               1        84508           0         5005
STONERIDGE INC COM                                 1        73568         490        19115
STORAGE TECHNOLOGY CO                              1       826865           0        24875
STRATTEC SEC CORP                                  1        38300           0         2300
STRUCTURAL DYNAMICS RESH                           1       121400           0            0
STUDENT LN CORP                                    1        57262           0         5600
STURM RUGER & CO INC                               1       352500           0        11300
SUBURBAN LODGES AMER INC                           1       298200           0         7500
SUMMA INDS                                         1        71500           0         1800
SUMMIT BANCORP                                     1          200           0            0
SUMMIT BK CORP GA                                  1        10400           0            0
SUNOCO INC                                         1        18840           0            0
SUNRISE INTL LEASING COR                           1       127400           0         2900
SUNTRUST BANKS INC                                 1         7100           0            0
SUPERIOR TELECOM INC                               1       365918           0         8549
SUPERIOR UNIFORM GROUP I                           1        51400           0         3800
SUPREMA SPECIALTIES INC                            1        55600           0         2100
SUPREME INDS INC                                   1       236314           0         4920
SWISSCOM ADR SPONSORE                              1        95365           0        14090
SYBRON CHEMS INC                                   1        87100           0         2600
SYLVAN INC                                         1        93400           0         2800
SYMANTEC CORP                                      1       316088         225        47110
SYMS CORP                                          1       127100           0            0
SYNOPSYS INC                                       1       177445           0        22675
SYSTEMAX INC                                       1       694200           0        15100
TANDY BRANDS ACCESSORIES                           1       107400           0         2200
TARRANT APPAREL GROUP                              1       154200           0         6600
TB WOODS CORP                                      1        87000           0         1700
TBC CORP                                           1       545900           0        10900
TECH DATA CORP                                     1        17500           0            0
TECH OPS SEVCON INC                                1        30800           0            0
TECUMSEH PRODS CO                                  1       113800           0         5700
TEEKAY SHIPPING MARSHALL                           1        21900           0            0
TELE CENTRO SUL PARTI                              1        55137           0         5535
TELECOM CO NZD(879278208                           1         7400           0         5300
TELECOMUNICACOE                                    1        26371           0        36105
TELEGLOBE INC                                      1       378491           0        35465
TELEPHONE & DATA SYS INC                           1         7000           0            0
TEMPLE INLAND INC                                  1         7600           0            0
TENET HEALTHCARE CORP                              1       384200           0        22700

</TABLE>
<PAGE>

<TABLE>
FirstOfIssuer                Class          CUSIP            FMV         Shares       IDSole        IDShared     IDOther
- ---------------              -----          -----            ---         ------       ------        --------     -------
<S>                           <C>           <C>               <C>           <C>          <C>           <C>          <C>
TENNANT CO                   COMMON       880345103         300700         9700         9700            0            0
TERADYNE INC                 COMMON       880770102         246000         3000         3000            0            0
TEREX CORP NEW               COMMON       880779103        1983750       138000       138000            0            0
TESCO PLC-ADR                COMMON       881575302         695104        69580        69580            0            0
TESORO PETROLEUM             COMMON       881609101        3578015       311129       311129            0            0
TEXACO INC                   COMMON       881694103       38463440       715598       715598            0            0
TEXAS INDS INC               COMMON       882491103       12861350       406683       406683            0            0
TEXAS UTILS CO               COMMON       882848104        9540078       321350       321350            0            0
TF FINL CORP                 COMMON       872391107         206213        14100        14100            0            0
TFC ENTERPRISES INC          COMMON       872388103         418009       137900       137900            0            0
THERMOQUEST CORP             COMMON       883655102         422100        25200        25200            0            0
THERMWOOD CORP               COMMON       883672305          15750         2400         2400            0            0
THOMAS GROUP INC             COMMON       884402108         855000        76000        76000            0            0
THOMAS INDS INC              COMMON       884425109         423750        22600        22600            0            0
THOR INDS INC                COMMON       885160101        1679994        69100        69100            0            0
TIDEWATER INC                COMMON       886423102       18548278       583050       583050            0            0
TIMBERLAND CO                COMMON       887100105         346800         6800         6800            0            0
TJX COS INC NEW              COMMON       872540109         480359        21650        21650            0            0
TNP ENTERPRISES INC          COMMON       872594106         648425        14800        14800            0            0
TODDLERWATCH.COM RST         Common       889043923              0        10000        10000            0            0
TODHUNTER INTL INC DEL       COMMON       889050100         339750        45300        45300            0            0
TOLL BROTHERS INC            COMMON       889478103       17467100       873355       873355            0            0
TORCHMARK CORP               COMMON       891027104         766594        33150        33150            0            0
TORO CO                      COMMON       891092108        1814558        60611        60611            0            0
TOSCO CORP                   COMMON       891490302       14690813       479700       479700            0            0
TOSHIBA CORP COM             COMMON       891493108        1019357       100035       100035            0            0
TOTAL RENAL CARE HLDGS I     COMMON       89151A107        3140938      1005100      1005100            0            0
TOWER AIR CORP               COMMON       891697104          33900        22600        22600            0            0
TOWER AUTOMOTIVE INC         COMMON       891707101        2302325       140600       140600            0            0
TOYS R US INC                COMMON       892335100         587019        39630        39630            0            0
TRACTOR SUPPLY CO            COMMON       892356106        2470250       120500       120500            0            0
TRAMMELL CROW CO             COMMON       89288R106        6092119       550700       550700            0            0
TRANS LUX CORP               COMMON       893247106          68175        10100        10100            0            0
TRANSOCEAN SEDCO FOREX I     COMMON       G90078109       14376223       280170       280170            0            0
TRANSPORT CORP OF AMER I     COMMON       89385P102         761963       156300       156300            0            0
TRANSPORTATION COMPONENT     COMMON       893878108         153000        68000        68000            0            0
TRANSPRO INC                 COMMON       893885103         165000        33000        33000            0            0
TRANSTECHNOLOGY CORP DEL     COMMON       893889105        1817900       148400       148400            0            0
TRAVIS BOATS & MTRS INC      COMMON       894363100         940750        71000        71000            0            0
TRENWICK GROUP INC           COMMON       895290104        5384648       381214       381214            0            0
TRIARC COS INC               COMMON       895927101        1212000        60600        60600            0            0
TRIDENT MICROSYSTEMS         COMMON       895919108         841354        80129        80129            0            0
TRIGON HEALTHCARE INC        COMMON       89618L100        2935770        82119        82119            0            0
TRINITY INDS INC             COMMON       896522109        7272063       307000       307000            0            0
TRIUMPH GROUP INC NEW        COMMON       896818101        8513238       292300       292300            0            0
TRO LEARNING INC             COMMON       87263R109         188400        15700        15700            0            0
TRW INC                      COMMON       872649108          23400          400          400            0            0
TUBOS DE ACERO DE MEX        COMMON       898592506        9582229       585155       585155            0            0
TUSCARORA INC                COMMON       900902107         561250        44900        44900            0            0
TWIN DISC INC                COMMON       901476101          22263         1300         1300            0            0
TWINLAB CORP                 COMMON       901774109         103313        14500        14500            0            0
TYCO INTL LTD NEW            COMMON       902124106          91428         1824         1824            0            0
TYSON FOODS INC              COMMON       902494103           2781          250          250            0            0
U S CAN CORP                 COMMON       90328W105        4101816       211026       211026            0            0
U S HOME CORP NEW            COMMON       911920106       12564966       330657       330657            0            0
U S INDS INC NEW             COMMON       912080108         173681        15700        15700            0            0
U S VISION INC               COMMON       90339M104         119463        50300        50300            0            0
U S WEST INC NEW COM         COMMON       91273H101       51622820       710813       710813            0            0
U S XPRESS ENTERPRISES I     COMMON       90338N103        2960119       335900       335900            0            0
UCAR INTL INC                COMMON       90262K109        5304013       402200       402200            0            0
UFP TECHNOLOGIES INC         COMMON       902673102          22825         8300         8300            0            0
UNICAPITAL CORP NEW          COMMON       90459D108          64125        27000        27000            0            0


<CAPTION>

FirstOfIssuer                                  Manager      VSole       VShared      VNone
- ---------------                                -------      -----       -------      -----
<S>                                              <C>      <C>             <C>          <C>
TENNANT CO                                        1         9700           0            0
TERADYNE INC                                      1         3000           0            0
TEREX CORP NEW                                    1       135900           0         2100
TESCO PLC-ADR                                     1            0           0        69580
TESORO PETROLEUM                                  1       287274         655        23200
TEXACO INC                                        1       669598         100        45900
TEXAS INDS INC                                    1       396983           0         9700
TEXAS UTILS CO                                    1       321350           0            0
TF FINL CORP                                      1        13100           0         1000
TFC ENTERPRISES INC                               1       135700           0         2200
THERMOQUEST CORP                                  1        25200           0            0
THERMWOOD CORP                                    1         2400           0            0
THOMAS GROUP INC                                  1        74400           0         1600
THOMAS INDS INC                                   1        22600           0            0
THOR INDS INC                                     1        69100           0            0
TIDEWATER INC                                     1       527950           0        55100
TIMBERLAND CO                                     1         6800           0            0
TJX COS INC NEW                                   1        21650           0            0
TNP ENTERPRISES INC                               1        14800           0            0
TODDLERWATCH.COM RST                              1        10000           0            0
TODHUNTER INTL INC DEL                            1        43000           0         2300
TOLL BROTHERS INC                                 1       856255           0        17100
TORCHMARK CORP                                    1        33150           0            0
TORO CO                                           1        50611         310         9690
TOSCO CORP                                        1       432800           0        46900
TOSHIBA CORP COM                                  1        95035           0         5000
TOTAL RENAL CARE HLDGS I                          1       970900           0        34200
TOWER AIR CORP                                    1        22600           0            0
TOWER AUTOMOTIVE INC                              1       140600           0            0
TOYS R US INC                                     1        37830           0         1800
TRACTOR SUPPLY CO                                 1       117600           0         2900
TRAMMELL CROW CO                                  1       535700           0        15000
TRANS LUX CORP                                    1        10100           0            0
TRANSOCEAN SEDCO FOREX I                          1       252570           0        27600
TRANSPORT CORP OF AMER I                          1       154100           0         2200
TRANSPORTATION COMPONENT                          1        68000           0            0
TRANSPRO INC                                      1        33000           0            0
TRANSTECHNOLOGY CORP DEL                          1       146100           0         2300
TRAVIS BOATS & MTRS INC                           1        69300           0         1700
TRENWICK GROUP INC                                1       372002           0         9212
TRIARC COS INC                                    1        50575         375         9650
TRIDENT MICROSYSTEMS                              1        59482         452        20195
TRIGON HEALTHCARE INC                             1        72244         320         9555
TRINITY INDS INC                                  1       284400           0        22600
TRIUMPH GROUP INC NEW                             1       286500           0         5800
TRO LEARNING INC                                  1        15700           0            0
TRW INC                                           1          400           0            0
TUBOS DE ACERO DE MEX                             1       543505           0        41650
TUSCARORA INC                                     1        41200           0         3700
TWIN DISC INC                                     1         1300           0            0
TWINLAB CORP                                      1        14500           0            0
TYCO INTL LTD NEW                                 1         1824           0            0
TYSON FOODS INC                                   1          250           0            0
U S CAN CORP                                      1       193826         390        16810
U S HOME CORP NEW                                 1       325257           0         5400
U S INDS INC NEW                                  1        15700           0            0
U S VISION INC                                    1        50300           0            0
U S WEST INC NEW COM                              1       662028           0        48785
U S XPRESS ENTERPRISES I                          1       330100           0         5800
UCAR INTL INC                                     1       402200           0            0
UFP TECHNOLOGIES INC                              1         7300           0         1000
UNICAPITAL CORP NEW                               1        27000           0            0


</TABLE>
<PAGE>

<TABLE>
FirstOfIssuer                Class          CUSIP            FMV         Shares       IDSole        IDShared     IDOther
- ---------------              -----          -----            ---         ------       ------        --------     -------
<S>                           <C>           <C>               <C>           <C>          <C>           <C>          <C>
UNICO AMERN CORP             COMMON       904607108         683050       143800       143800            0            0
UNICOM CORP                  COMMON       904911104       15776660       432235       432235            0            0
UNIFI INC                    COMMON       904677101         213606        23900        23900            0            0
UNIFIRST CORP MASS           COMMON       904708104        3845250       341800       341800            0            0
UNILEVER ADR(904784709)      COMMON       904784709        1514013        31460        31460            0            0
UNION ACCEP CORP             COMMON       904832102         376125        88500        88500            0            0
UNION CARBIDE CORP           COMMON       905581104           8747          150          150            0            0
UNION PAC CORP               COMMON       907818108        4931459       126043       126043            0            0
UNION PAC RES GROUP INC      COMMON       907834105          29000         2000         2000            0            0
UNION PACIFIC                PFD CV       907824205         485513        12100        12100            0            0
UNION PLANTERS CORP          COMMON       908068109           4622          150          150            0            0
UNITED ASSETS MGMT CO        COMMON       909420101        1979085       114315       114315            0            0
UNITED AUTO GROUP INC        COMMON       909440109         443269        50300        50300            0            0
UNITED DOMINION RLTY         COMMON       910197102         161553        16055        16055            0            0
UNITED HEALTHCARE CORP       COMMON       910581107          35775          600          600            0            0
UNITED INDL CORP             COMMON       910671106         113000        11300        11300            0            0
UNITED RETAIL GROUP INC      COMMON       911380103        1323350       139300       139300            0            0
UNITED STATES LIME & MIN     COMMON       911922102           9600         1200         1200            0            0
UNIVERSAL CORP VA            COMMON       913456109       10661238       707800       707800            0            0
UNIVERSAL FST PRODS INC      COMMON       913543104        2654438       214500       214500            0            0
UNIVERSAL STAINLESS & AL     COMMON       913837100          65975         9100         9100            0            0
UNOCAL CORP                  COMMON       915289102       14300825       480700       480700            0            0
UNUMPROVIDENT CORP           COMMON       91529Y106           4387          259          259            0            0
URS CORP NEW                 COMMON       903236107        1147125        87400        87400            0            0
US BANCORP                   COMMON       902973106       11074437       506260       506260            0            0
US ONCOLOGY INC              COMMON       90338W103         754650       167700       167700            0            0
USA TRUCK INC                COMMON       902925106        1494950       206200       206200            0            0
USANA INC                    COMMON       90328M107         212266        47500        47500            0            0
USBANCORP INC PA             COMMON       917292104        2957625       262900       262900            0            0
USEC INC                     COMMON       90333E108        5838225      1229100      1229100            0            0
USFREIGHTWAYS CORP CO        COMMON       916906100       10361953       276780       276780            0            0
UST INC                      COMMON       902911106           3125          200          200            0            0
USX MARATHON GROUP           COMMON       902905827       37365180      1433675      1433675            0            0
USX-U S STL                  COMMON       90337T101       15912500       636500       636500            0            0
UTAH MED PRODS INC           COMMON       917488108        1172250       156300       156300            0            0
V F CORP                     COMMON       918204108           3609          150          150            0            0
VALERO ENERGY CORP NEW       COMMON       91913Y100        1423900        46400        46400            0            0
VALUE CITY DEPT STORES I     COMMON       920387107         235875        17000        17000            0            0
VARCO INTL INC               COMMON       922126107         258813        20500        20500            0            0
VDI MULTIMEDIA               COMMON       917916108         713925        50100        50100            0            0
VESTCOM INTL INC             COMMON       924904105          56006        10300        10300            0            0
VIACOM INC                   COMMON       925524308        9512395       180328       180328            0            0
VICON INDS INC               COMMON       925811101          59075        13900        13900            0            0
VIDEO DISPLAY CORP           COMMON       926555103          17063         2600         2600            0            0
VILLAGE SUPER MKT INC        COMMON       927107409          64800         4800         4800            0            0
VIRCO MFG CO                 COMMON       927651109         393555        37933        37933            0            0
VOLVO AKTIEBOLAGET           COMMON       928856400         461581        16900        16900            0            0
VULCAN MATLS CO              COMMON       929160109           6872          150          150            0            0
WABASH NATL CORP             COMMON       929566107         736725        51700        51700            0            0
WACHOVIA CORP                COMMON       929771103          13513          200          200            0            0
WADDELL & REED FINL INC      COMMON       930059100         194638         4600         4600            0            0
WALLACE COMPUTER SERVICE     COMMON       932270101        5570775       471600       471600            0            0
WALTER INDS INC              COMMON       93317Q105         101975        13158        13158            0            0
WARNACO GROUP INC            COMMON       934390105        1993950       168800       168800            0            0
WASHINGTON FED INC           COMMON       938824109       11037062       578993       578993            0            0
WASHINGTON HOMES INC NEW     COMMON       938864105         970288       170600       170600            0            0
WASHINGTON MUT INC           COMMON       939322103       22547790       850860       850860            0            0
WASTE MGMT INC DEL           COMMON       94106L109        4137731       302300       302300            0            0
WATSCO INC                   COMMON       942622200         735844        70500        70500            0            0
WATTS INDS INC               COMMON       942749102        4954505       400364       400364            0            0
WEBB DEL CORP                COMMON       947423109        7165828       483769       483769            0            0
WEBCO INDS INC               COMMON       947621108          53188        11500        11500            0            0

<CAPTION>

FirstOfIssuer                                  Manager      VSole       VShared      VNone
- ---------------                                -------      -----       -------      -----
<S>                                              <C>      <C>             <C>          <C>
UNICO AMERN CORP                                  1       141300           0         2500
UNICOM CORP                                       1       396910           0        35325
UNIFI INC                                         1        23900           0            0
UNIFIRST CORP MASS                                1       331900           0         9900
UNILEVER ADR(904784709)                           1        30660           0          800
UNION ACCEP CORP                                  1        87500           0         1000
UNION CARBIDE CORP                                1          150           0            0
UNION PAC CORP                                    1       104718           0        21325
UNION PAC RES GROUP INC                           1         2000           0            0
UNION PACIFIC                                     1        12100           0            0
UNION PLANTERS CORP                               1          150           0            0
UNITED ASSETS MGMT CO                             1        99990         355        13970
UNITED AUTO GROUP INC                             1        46100           0         4200
UNITED DOMINION RLTY                              1            0           0        16055
UNITED HEALTHCARE CORP                            1          600           0            0
UNITED INDL CORP                                  1        11300           0            0
UNITED RETAIL GROUP INC                           1       134800           0         4500
UNITED STATES LIME & MIN                          1         1200           0            0
UNIVERSAL CORP VA                                 1       691800           0        16000
UNIVERSAL FST PRODS INC                           1       208800           0         5700
UNIVERSAL STAINLESS & AL                          1         9100           0            0
UNOCAL CORP                                       1       433500           0        47200
UNUMPROVIDENT CORP                                1          259           0            0
URS CORP NEW                                      1        87400           0            0
US BANCORP                                        1       495865           0        10395
US ONCOLOGY INC                                   1       163000           0         4700
USA TRUCK INC                                     1       202600           0         3600
USANA INC                                         1        45400           0         2100
USBANCORP INC PA                                  1       257300           0         5600
USEC INC                                          1      1190900           0        38200
USFREIGHTWAYS CORP CO                             1       255725         265        20790
UST INC                                           1          200           0            0
USX MARATHON GROUP                                1      1338625           0        95050
USX-U S STL                                       1       636500           0            0
UTAH MED PRODS INC                                1       152700           0         3600
V F CORP                                          1          150           0            0
VALERO ENERGY CORP NEW                            1        46400           0            0
VALUE CITY DEPT STORES I                          1        17000           0            0
VARCO INTL INC                                    1        20500           0            0
VDI MULTIMEDIA                                    1        50100           0            0
VESTCOM INTL INC                                  1        10300           0            0
VIACOM INC                                        1       148433           0        31895
VICON INDS INC                                    1        13900           0            0
VIDEO DISPLAY CORP                                1         2600           0            0
VILLAGE SUPER MKT INC                             1         4800           0            0
VIRCO MFG CO                                      1        33762           0         4171
VOLVO AKTIEBOLAGET                                1        16900           0            0
VULCAN MATLS CO                                   1          150           0            0
WABASH NATL CORP                                  1        51700           0            0
WACHOVIA CORP                                     1          200           0            0
WADDELL & REED FINL INC                           1         4600           0            0
WALLACE COMPUTER SERVICE                          1       454000           0        17600
WALTER INDS INC                                   1        13158           0            0
WARNACO GROUP INC                                 1       168800           0            0
WASHINGTON FED INC                                1       554202         530        24261
WASHINGTON HOMES INC NEW                          1       166900           0         3700
WASHINGTON MUT INC                                1       776860           0        74000
WASTE MGMT INC DEL                                1       302300           0            0
WATSCO INC                                        1        65200           0         5300
WATTS INDS INC                                    1       389064           0        11300
WEBB DEL CORP                                     1       475769           0         8000
WEBCO INDS INC                                    1        11500           0            0

</TABLE>
<PAGE>

<TABLE>
FirstOfIssuer                Class          CUSIP            FMV         Shares       IDSole        IDShared     IDOther
- ---------------              -----          -----            ---         ------       ------        --------     -------
<S>                           <C>           <C>               <C>           <C>          <C>           <C>          <C>
WEBSTER FINL CORP CONN       COMMON       947890109        4427500       192500       192500            0            0
WELLMAN INC                  COMMON       949702104         525031        26500        26500            0            0
WELLS FARGO & CO NEW         COMMON       949746101          36675          900          900            0            0
WESTAFF INC                  COMMON       957070105        3118013       341700       341700            0            0
WESTBANK CORP                COMMON       957116106          63013         7100         7100            0            0
WESTCOAST HOSPITALITY CO     COMMON       95750P106         244781        37300        37300            0            0
WESTCORP INC                 COMMON       957907108         204400        14600        14600            0            0
WESTERFED FINL CORP          COMMON       957550106         341325        24600        24600            0            0
WESTERN GAS RES INC          COMMON       958259103        1882655       118592       118592            0            0
WESTERN RES INC              COMMON       959425109         235606        14900        14900            0            0
WESTINGHOUSE AIR BRAKE C     COMMON       960386100        6855250       645200       645200            0            0
WESTPOINT STEVENS INC        COMMON       961238102        5031200       264800       264800            0            0
WESTVACO CORP COM            COMMON       961548104        9834813       294675       294675            0            0
WET SEAL INC                 COMMON       961840105        2239650       142200       142200            0            0
WEYCO GROUP INC              COMMON       962149100          87300         3600         3600            0            0
WEYERHAEUSER CO              COMMON       962166104          11400          200          200            0            0
WHIRLPOOL CORP               COMMON       963320106       18816867       320970       320970            0            0
WICKES INC                   COMMON       967446105          36188         6000         6000            0            0
WILLIS LEASE FINANCE COR     COMMON       970646105         199675        32600        32600            0            0
WILMAR INDS INC              COMMON       971426101         721744        42300        42300            0            0
WINDMERE-DURABLE HLDGS I     COMMON       973411101         122425         8300         8300            0            0
WINNEBAGO INDS INC           COMMON       974637100        3968331       219700       219700            0            0
WISCONSIN CENT TRANSN CO     COMMON       976592105        2730525       222900       222900            0            0
WLR FOODS INC                COMMON       929286102        1927400       335200       335200            0            0
WOLOHAN LMBR CO              COMMON       977865104         745500        71000        71000            0            0
WOLVERINE TUBE  INC   C      COMMON       978093102        4527029       353329       353329            0            0
WOLVERINE WORLD WIDE INC     COMMON       978097103        1271600       115600       115600            0            0
WOODHEAD INDS INC            COMMON       979438108         135038         7800         7800            0            0
WOODWARD GOVERNOR CO         COMMON       980745103        4121600       179200       179200            0            0
WORLD ACCEP CORP DEL         COMMON       981419104        2189531       432500       432500            0            0
WORLD FUEL SVCS CORP         COMMON       981475106        1885163       257800       257800            0            0
WSFS FINL CORP               COMMON       929328102         674113        54200        54200            0            0
WSI INDS INC                 COMMON       92932Q102          14047         2845         2845            0            0
WVS FINL CORP                COMMON       929358109          11563         1000         1000            0            0
WYNNS INTL INC               COMMON       983195108        1830156       132500       132500            0            0
XEROX CORP                   COMMON       984121103        8008000       308000       308000            0            0
XL CAPITAL LTD.              COMMON       G98255105       24360146       439912       439912            0            0
YARDVILLE NATL BANCORP       COMMON       985021104         889700        99200        99200            0            0
YELLOW CORP                  COMMON       985509108       10535593       571422       571422            0            0
YORK GROUP INC               COMMON       986632107         930088       201100       201100            0            0
YORK INTL CORP NEW           COMMON       986670107        6376700       272800       272800            0            0
YORK RESH CORP               COMMON       987048105          62944        37300        37300            0            0
ZALE CORP NEW                COMMON       988858106       24598145       521285       521285            0            0
ZEMEX CDA CORP               COMMON       988910105          22712         2753         2753            0            0
ZENITH NATL INS CORP         COMMON       989390109        1209386        54508        54508            0            0
ZIMMERMAN SIGN CO            COMMON       989580105           4688         1250         1250            0            0


<CAPTION>

FirstOfIssuer                                  Manager      VSole       VShared      VNone
- ---------------                                -------      -----       -------      -----
<S>                                              <C>      <C>             <C>          <C>
WEBSTER FINL CORP CONN                            1       192500           0            0
WELLMAN INC                                       1        26500           0            0
WELLS FARGO & CO NEW                              1          900           0            0
WESTAFF INC                                       1       334000           0         7700
WESTBANK CORP                                     1         7100           0            0
WESTCOAST HOSPITALITY CO                          1        36300           0         1000
WESTCORP INC                                      1        14600           0            0
WESTERFED FINL CORP                               1        24600           0            0
WESTERN GAS RES INC                               1        98992         660        18940
WESTERN RES INC                                   1        14900           0            0
WESTINGHOUSE AIR BRAKE C                          1       630800           0        14400
WESTPOINT STEVENS INC                             1       264000           0          800
WESTVACO CORP COM                                 1       277890           0        16785
WET SEAL INC                                      1       137000           0         5200
WEYCO GROUP INC                                   1         3600           0            0
WEYERHAEUSER CO                                   1          200           0            0
WHIRLPOOL CORP                                    1       292070           0        28900
WICKES INC                                        1         5800           0          200
WILLIS LEASE FINANCE COR                          1        32600           0            0
WILMAR INDS INC                                   1        42300           0            0
WINDMERE-DURABLE HLDGS I                          1         8300           0            0
WINNEBAGO INDS INC                                1       218200           0         1500
WISCONSIN CENT TRANSN CO                          1       222900           0            0
WLR FOODS INC                                     1       327200           0         8000
WOLOHAN LMBR CO                                   1        67800           0         3200
WOLVERINE TUBE  INC   C                           1       345729           0         7600
WOLVERINE WORLD WIDE INC                          1       115600           0            0
WOODHEAD INDS INC                                 1         7800           0            0
WOODWARD GOVERNOR CO                              1       174900           0         4300
WORLD ACCEP CORP DEL                              1       423700           0         8800
WORLD FUEL SVCS CORP                              1       252600           0         5200
WSFS FINL CORP                                    1        52100           0         2100
WSI INDS INC                                      1         2845           0            0
WVS FINL CORP                                     1         1000           0            0
WYNNS INTL INC                                    1       126300           0         6200
XEROX CORP                                        1       277700           0        30300
XL CAPITAL LTD.                                   1       397156           0        42756
YARDVILLE NATL BANCORP                            1        97000           0         2200
YELLOW CORP                                       1       559422           0        12000
YORK GROUP INC                                    1       197000           0         4100
YORK INTL CORP NEW                                1       272800           0            0
YORK RESH CORP                                    1        37300           0            0
ZALE CORP NEW                                     1       446920         100        74265
ZEMEX CDA CORP                                    1         2753           0            0
ZENITH NATL INS CORP                              1        47203         125         7180
ZIMMERMAN SIGN CO                                 1         1120           0          130


</TABLE>
<TABLE>
<CAPTION>
 FORM 13F         Name of Reporting Manager:                           Gray Seifert                             Run Date: 04/13/2000
                                                                                                                --------------------
                                                                       For Positions Held as of 03/31/2000      S.E.C. Use Only
                                                                                                                --------------------


                       Item 1:                 Item 2:           Item 3:            Item 4:             Item 5:
                   Name of Issuer           Title of Class     CUSIP Number    Fair Market Value       Shares or
                                                                                   (X $1000)        Principal Amt.
- ----------------------------------------------------------------------------------------------------------------------
<S>                                              <C>                <C>                <C>                 <C>
Ampersand Group Inc.                         LTD (GS) P4        000706TD3               40                  12
Perry One Beta Inc.                          LTD (GS) P4        009218TD0                0                  16
Perry One Inc.                               LTD (GS) P4        009219TD8                0                  16
Perry One Gamma Inc.                         LTD (GS) P4        009220TD6                0                  16
Perry One Delta Inc.                         LTD (GS) P4        009221TD4                0                  16
Beaver Valley Two Omega Inc.                 LTD (GS) P4        009222TD2                0                  16
Beaver Valley Two Rho Inc.                   LTD (GS) P4        009233TD9                0                  16
Beaver Valley Two Sigma Inc.                 LTD (GS) P4        009224TD8                0                  16
Beaver Valley Two Tau Inc.                   LTD (GS) P4        009225TD5                0                  16
Beaver Valley Two Pi Inc.                    LTD (GS) P4        009226TD3                0                  16
Sheldahl, Inc. Series D Convertible Pf       LTD (GS) P4        009663TD7               15              15,000
Hartford Life Cap Tr                         PFD QTR 30/360     416590206               43               2,000
Small Blue Planet, LLC                       LTD (GS) P4        5956493                 50              50,000
Absorbit International Holding LP            LTD (GS) P4        5958031                146             145,799
Rollover Contribution 1999                   Common Stock       999978992                0             155,940
Wind Baron Corp                              Foreign Stock      973145204                1               6,000
Arbusto 81 L.P.                              LTD (GS) P4        9758104                150             150,000
McNeil Real Estate Fund X                    LTD (GS) P4        9758105                 75              75,000
Medicus Systems Corp-Restricted              Common Stock GS    9758108                  1               1,981
Orlando Investors Special                    LTD (GS) P4        9758109                294             294,000
One Qty Of Gold APR                          Personal Hld       9758118                 48                 100
Brock Exploration Co.                        LTD (GS) P4        9758125                169              45,000
China Telecommunications Services Inc        Common Stock GS    9758128                 10              10,000
Affirmative Development Company L.P.         LTD (GS) P4        9758151                200             200,000
Energy Search 1979-3                         LTD (GS) P4        9758181                 75              75,000
Second Time Out                              LTD (GS) P4        9758235                210             210,000
Emerald Green Investors                      LTD (GS) P4        9758321                321             321,400
Regency Fund                                 LTD (GS) P4        9758329                250             250,000
AEC Hanover Investors                        LTD (GS) P4        9758332                968             968,140
Rockefeller & Co.                            LTD (GS) P4        9758380                  1               1,000
Harbor Ridge LP                              LTD (GS) P4        9758431                500             500,000
Guardian Exploration                         LTD (GS) P4        9758572                 50              50,000
Tackmer Corp. Restricted                     Common Stock GS    9758573                  3                 250
Reitrac Corp - Restricted                    Common Stock GS    9758793                 75              75,000
Asia Pacific Industries                      LTD (GS) P4        9758910                 98                 185
Cumberland House Inc                         Personal Hld       9758941                427             427,000
ABC Dispensing Tech Inc. 9% Pfd Ser B        PrefStockConvGS    9759008                300                  24
The Oaks Partnership                         LTD (GS) P4        9759120                100             100,010
Wesco 80                                     LTD (GS) P4        9759122                 94              94,000
The Establishment L.P.                       LTD (GS) P4        9759123                255             255,000
O/G L.P.                                     LTD (GS) P4        9759124                645             645,000
Little Falls L.P.                            LTD (GS) P4        9759126              2,420           2,419,998
Universal Fibers L.P.                        LTD (GS) P4        9759128                623             623,000
Affirmitive Equities Company L.P.            LTD (GS) P4        9759377              7,088           7,088,100
Patrick Henry Hotel Investors L.P.           LTD (GS) P4        9759382                200             200,000
Hope Capital Associates L.P.                 LTD (GS) P4        9759465                650             650,000
ABC Dispensing Tech Inc 9% Pfd Ser A         PrefStockConvGS    9759511              2,363                 189
Woodsource Partners L.P.                     LTD (GS) P4        9759535                 90              90,000
ECO Soil Systems Warrants                    Common Stock       9759564                  0               5,000
Unapix Entertainment Warrants                Common Stock       9759684                  0              55,000
LBJG Enterprises L.P.                        LTD (GS) P4        9759755              1,670           1,670,000
Southeast Mortgage Investors L.P.            LTD (GS) P4        9759768              1,850           1,850,000
Michael Flomen, Inc.                         LTD (GS) P4        9759807                 30              30,000
Isle Lands Inc.                              LTD (GS) P4        9759959                  1                 504
<CAPTION>
                       Item 1:                            Item 6:                       Item 7:                   Item 8:
                   Name of Issuer                  Investment Discretion                 Other           Voting Authority (Shares)
                                         (a) Sole  (b)Shared as Def  (c)Shared Other    Managers      (a) Sole  (b) Shared  (c) None
- ------------------------------------------------------------------------------------------------------------------------------------
<S>                                         <C>             <C>           <C>            <C>              <C>           <C>    <C>
Ampersand Group Inc.                                         X                                             0             12     0
Perry One Beta Inc.                                          X                                             0             16     0
Perry One Inc.                                               X                                             0             16     0
Perry One Gamma Inc.                                         X                                             0             16     0
Perry One Delta Inc.                                         X                                             0             16     0
Beaver Valley Two Omega Inc.                                 X                                             0             16     0
Beaver Valley Two Rho Inc.                                   X                                             0             16     0
Beaver Valley Two Sigma Inc.                                 X                                             0             16     0
Beaver Valley Two Tau Inc.                                   X                                             0             16     0
Beaver Valley Two Pi Inc.                                    X                                             0             16     0
Sheldahl, Inc. Series D Convertible Pf                       X                                             0         15,000     0
Hartford Life Cap Tr                                         X                                             0          2,000     0
Small Blue Planet, LLC                                       X                                             0         50,000     0
Absorbit International Holding LP                            X                                             0        145,799     0
Rollover Contribution 1999                                   X                                             0        155,940     0
Wind Baron Corp                                              X                                             0          6,000     0
Arbusto 81 L.P.                                              X                                             0        150,000     0
McNeil Real Estate Fund X                                    X                                             0         75,000     0
Medicus Systems Corp-Restricted                              X                                             0          1,981     0
Orlando Investors Special                                    X                                             0        294,000     0
One Qty Of Gold APR                                          X                                             0            100     0
Brock Exploration Co.                                        X                                             0         45,000     0
China Telecommunications Services Inc                        X                                             0         10,000     0
Affirmative Development Company L.P.                         X                                             0        200,000     0
Energy Search 1979-3                                         X                                             0         75,000     0
Second Time Out                                              X                                             0        210,000     0
Emerald Green Investors                                      X                                             0        321,400     0
Regency Fund                                                 X                                             0        250,000     0
AEC Hanover Investors                                        X                                             0        968,140     0
Rockefeller & Co.                                            X                                             0          1,000     0
Harbor Ridge LP                                              X                                             0        500,000     0
Guardian Exploration                                         X                                             0         50,000     0
Tackmer Corp. Restricted                                     X                                             0            250     0
Reitrac Corp - Restricted                                    X                                             0         75,000     0
Asia Pacific Industries                                      X                                             0            185     0
Cumberland House Inc                                         X                                             0        427,000     0
ABC Dispensing Tech Inc. 9% Pfd Ser B                        X                                             0             24     0
The Oaks Partnership                                         X                                             0        100,010     0
Wesco 80                                                     X                                             0         94,000     0
The Establishment L.P.                                       X                                             0        255,000     0
O/G L.P.                                                     X                                             0        645,000     0
Little Falls L.P.                                            X                                             0      2,419,998     0
Universal Fibers L.P.                                        X                                             0        623,000     0
Affirmitive Equities Company L.P.                            X                                             0      7,088,100     0
Patrick Henry Hotel Investors L.P.                           X                                             0        200,000     0
Hope Capital Associates L.P.                                 X                                             0        650,000     0
ABC Dispensing Tech Inc 9% Pfd Ser A                         X                                             0            189     0
Woodsource Partners L.P.                                     X                                             0         90,000     0
ECO Soil Systems Warrants                                    X                                             0          5,000     0
Unapix Entertainment Warrants                                X                                             0         55,000     0
LBJG Enterprises L.P.                                        X                                             0      1,670,000     0
Southeast Mortgage Investors L.P.                            X                                             0      1,850,000     0
Michael Flomen, Inc.                                         X                                             0         30,000     0
Isle Lands Inc.                                              X                                             0            504     0
</TABLE>
<PAGE>
<TABLE>
<CAPTION>

                       Item 1:                 Item 2:           Item 3:            Item 4:             Item 5:
                   Name of Issuer           Title of Class     CUSIP Number    Fair Market Value       Shares or
                                                                                   (X $1000)        Principal Amt.
- ----------------------------------------------------------------------------------------------------------------------
<S>                                              <C>                <C>                <C>                 <C>
Kerry Petroleum Co.-Restricted               Common Stock GS    9760100              8,223           3,289,369
NU CO2 Inc                                   Common Stock       9760192                  2                 262
ABC Dispensing Technologies Inc-Restr        Common Stock GS    9760225                328           1,261,260
Bayou Steel Corp-Restricted                  Common Stock       9760352                  2               2,199
AEC River Walk L.P.                          LTD (GS) P4        9760398                351             351,000
ABC Dispensing Tech Inc. 9% Pfd Ser C        PrefStockConvGS    9760514                320                  32
Unapix Entertainment Inc 8% Pfd Ser C        PrefStockConvGS    9760634                165                 165
Hycor Biomedical Inc-Restricted              Common Stock       9760913                  1                 408
Unapix Entertainment-Restricted              Common Stock       9761481              2,234             730,003
Unapix Entertainment 8% Cum Conv. Pfd        PrefStockConvGS    9761482                306              99,996
American Business Computers-Restricted       Common Stock       9761585                 33             100,000
American Hospitality Supply Corp-Restr       Common Stock       9761870                  2                  30
Displaytek Corp                              LTD (GS) P4        9761873                  0               8,512
TVC Image Technology Inc-Restricted          Common Stock       9762607              2,995               9,390
Carbon Associates                            LTD (GS) P4        9762856                 50              50,000
Kingston Systems Inc.                        Common Stock       9763324                  3              12,453
Anglo American Properties                    Common Stock       AAPQ                     0                 277
ABC Dispensing Techologies Inc               Common Stock GS    000573105              803           1,709,012
Ambac Financial Group, Inc.                  Common Stock       023139108               46                 905
Albertson's Inc.                             Common Stock       013104104              899              29,005
Abbott Laboratories                          Common Stock       002824100              911              25,899
Aca Joe Inc                                  Common Stock       003870300                0               1,169
ADE Corporation Mass                         Common Stock       00089C107               13                 600
Adept Technology Inc                         Common Stock       006854103              112               9,300
Ameren Corp.                                 Common Stock       023608102                8                 253
American Electric Power Co                   Common Stock       025537101                8                 253
Allmerica Financial Corp.                    Common Stock       019754100               31                 600
Aflac Corp. New                              Common Stock       001055102               10                 212
Associates First Capital Corp.               Common Stock       046008108                2                 104
American General Corp.                       Common Stock       026351106            3,494              62,250
Edwards A G Inc.                             Common Stock       281760108            1,527              38,187
Amerada Hess Corp.                           Common Stock       023551104                0                   4
American Home Products Corp.                 Common Stock       026609107            1,207              22,500
Allied Irish Banks Plc                       ADR                019228402               79               4,100
American International Group Inc.            Common Stock       026874107           23,874             218,030
Apartment Investment & Mgt Co Class A        Common Stock       03748R101               68               1,774
Annuity & Life Re Holdings Ltd.              Common Stock       G03910109               22                 850
Applied Materials Inc.                       Common Stock       038222105                0                   4
American Language Kollege                    Common Stock       AMDQ                    90                 800
Amgen Inc.                                   Common Stock       031162100               55                 900
Ampersand Corp.                              Common Stock       AMPQ                   160                  48
America Online Inc.                          Common Stock       02364J104            2,609              38,800
Applied Signal Technology Inc                Common Stock       038237103            2,828             165,163
Applied Power Inc  Class A                   Common Stock       038225108               23                 800
Atlantic Richfield Co.                       Common Stock       048825103               34                 400
ACNielsen Corp.                              Common Stock       004833109                4                 167
Archstone Communities Trust                  Common Stock       039581103                7                 334
AmSouth Bancorp                              Common Stock       032165102              359              24,000
Ashton Technology Group Inc                  Common Stock       045084100               17               2,000
At Home Corp. Cl A                           Common Stock       045919107            1,024              31,100
Automatic Data Processing                    Common Stock       053015103            2,273              47,100
AXA Financial Inc                            Common Stock       002451102            4,612             128,557
American Express Co.                         Common Stock       025816109            1,263               8,479
ALZA Corp. Com                               Common Stock       022615108               10                 268
Astrazena PLC -Spons ADR                     ADR                046353108               81               1,999
Autozone Inc.                                Common Stock       053332102               56               2,000
Bank of America Corp.                        Common Stock       060505104            2,325              44,336
BB&T Corp.                                   Common Stock       054937107            2,885             102,810
Bell Atlantic Corp.                          Common Stock       077853109            7,398             121,031
Franklin Resources                           Common Stock       354613101               42               1,269
Bestfoods                                    Common Stock       08658U101              197               4,216
<CAPTION>
                       Item 1:                            Item 6:                       Item 7:                   Item 8:
                   Name of Issuer                  Investment Discretion                 Other           Voting Authority (Shares)
                                         (a) Sole  (b)Shared as Def  (c)Shared Other    Managers      (a) Sole  (b) Shared  (c) None
- ------------------------------------------------------------------------------------------------------------------------------------
<S>                                        <C>              <C>         <C>               <C>             <C>    <C>           <C>
Kerry Petroleum Co.-Restricted                               X                                             0      3,289,369     0
NU CO2 Inc                                                   X                                             0            262     0
ABC Dispensing Technologies Inc-Restr                        X                                             0      1,261,260     0
Bayou Steel Corp-Restricted                                  X                                             0          2,199     0
AEC River Walk L.P.                                          X                                             0        351,000     0
ABC Dispensing Tech Inc. 9% Pfd Ser C                        X                                             0             32     0
Unapix Entertainment Inc 8% Pfd Ser C                        X                                             0            165     0
Hycor Biomedical Inc-Restricted                              X                                             0            408     0
Unapix Entertainment-Restricted                              X                                             0        730,003     0
Unapix Entertainment 8% Cum Conv. Pfd                        X                                             0         99,996     0
American Business Computers-Restricted                       X                                             0        100,000     0
American Hospitality Supply Corp-Restr                       X                                             0             30     0
Displaytek Corp                                              X                                             0          8,512     0
TVC Image Technology Inc-Restricted                          X                                             0          9,390     0
Carbon Associates                                            X                                             0         50,000     0
Kingston Systems Inc.                                        X                                             0         12,453     0
Anglo American Properties                                    X                                             0            277     0
ABC Dispensing Techologies Inc                               X                                             0      1,709,012     0
Ambac Financial Group, Inc.                                  X                                             0            905     0
Albertson's Inc.                                             X                                             0         29,005     0
Abbott Laboratories                                          X                                             0         25,899     0
Aca Joe Inc                                                  X                                             0          1,169     0
ADE Corporation Mass                                         X                                             0            600     0
Adept Technology Inc                                         X                                             0          9,300     0
Ameren Corp.                                                 X                                             0            253     0
American Electric Power Co                                   X                                             0            253     0
Allmerica Financial Corp.                                    X                                             0            600     0
Aflac Corp. New                                              X                                             0            212     0
Associates First Capital Corp.                               X                                             0            104     0
American General Corp.                                       X                                             0         62,250     0
Edwards A G Inc.                                             X                                             0         38,187     0
Amerada Hess Corp.                                           X                                             0              4     0
American Home Products Corp.                                 X                                             0         22,500     0
Allied Irish Banks Plc                                       X                                             0          4,100     0
American International Group Inc.                            X                                             0        218,030     0
Apartment Investment & Mgt Co Class A                        X                                             0          1,774     0
Annuity & Life Re Holdings Ltd.                              X                                             0            850     0
Applied Materials Inc.                                       X                                             0              4     0
American Language Kollege                                    X                                             0            800     0
Amgen Inc.                                                   X                                             0            900     0
Ampersand Corp.                                              X                                             0             48     0
America Online Inc.                                          X                                             0         38,800     0
Applied Signal Technology Inc                                X                                             0        165,163     0
Applied Power Inc  Class A                                   X                                             0            800     0
Atlantic Richfield Co.                                       X                                             0            400     0
ACNielsen Corp.                                              X                                             0            167     0
Archstone Communities Trust                                  X                                             0            334     0
AmSouth Bancorp                                              X                                             0         24,000     0
Ashton Technology Group Inc                                  X                                             0          2,000     0
At Home Corp. Cl A                                           X                                             0         31,100     0
Automatic Data Processing                                    X                                             0         47,100     0
AXA Financial Inc                                            X                                             0        128,557     0
American Express Co.                                         X                                             0          8,479     0
ALZA Corp. Com                                               X                                             0            268     0
Astrazena PLC -Spons ADR                                     X                                             0          1,999     0
Autozone Inc.                                                X                                             0          2,000     0
Bank of America Corp.                                        X                                             0         44,336     0
BB&T Corp.                                                   X                                             0        102,810     0
Bell Atlantic Corp.                                          X                                             0        121,031     0
Franklin Resources                                           X                                             0          1,269     0
Bestfoods                                                    X                                             0          4,216     0
</TABLE>
<PAGE>
<TABLE>
<CAPTION>
                       Item 1:                 Item 2:           Item 3:            Item 4:             Item 5:
                   Name of Issuer           Title of Class     CUSIP Number    Fair Market Value       Shares or
                                                                                   (X $1000)        Principal Amt.
- ----------------------------------------------------------------------------------------------------------------------
<S>                                              <C>                <C>                <C>                 <C>
Brooke Group LTD                             Common Stock       112525100                5                 395
B I Incorporated                             Common Stock       055467203                1                 100
Ben & Jerrys Homemade Inc - Cl B             Common Stock       081465205                6                 200
Ben & Jerry Homemade Inc                     Common Stock       081465106               20                 600
Bank of New York Co. Inc.                    Common Stock       064057102            1,118              26,900
Ballard Power Systems Inc.                   Common Stock       05858H104              169               2,000
BellSouth Corp.                              Common Stock       079860102              138               2,936
BMC Software                                 Common Stock       055921100               11                 226
Biomet Inc.                                  Common Stock       090613100              546              15,000
Bristol-Myers Squibb Co.                     Common Stock       110122108              947              16,398
Pacific Century Financial Corp.              Common Stock       694058108            1,175              57,840
BP Amoco Plc -Spons ADR                      ADR                055622104            1,738              32,750
Burlington Resources                         Common Stock       122014103               56               1,500
Brocade Communications Sys Inc               Common Stock       111621108               18                 100
Brady W H Co.                                Common Stock       104674106               31               1,000
BRE Properties Inc. Cl A                     Common Stock       05564E106               21                 800
Berkshire Hathaway Inc. Class A              Common Stock       084670108              286                   5
Berkshire Hathaway Inc. Class B              Common Stock       084670207              116                  64
Bisys Group Inc.                             Common Stock       055472104           10,374             156,000
Anheuser-Busch Companies Inc.                Common Stock       035229103              280               4,500
Bancwest Corporation                         Common Stock       059790105              705              35,704
Citigroup, Inc.                              Common Stock       172967101            4,721              79,601
Cascade-Teton Farm Lands Co.                 LTD (GS) P4        C242339                  0                  16
Cascade Bancorp                              Common Stock       147154108              353              41,572
Conagra Inc.                                 Common Stock       205887102              126               6,954
Cardinal Health Inc.                         Common Stock       14149Y108               31                 675
Centura Banks Inc.                           Common Stock       15640T100               46               1,000
Northland Cranberries Inc-A                  Common Stock       666499108                2                 400
Commerce Bancshares Inc.                     Common Stock       200525103            5,161             165,484
CCB Financial Corp.                          Common Stock       124875105              901              20,352
Centennial Bancorp                           Common Stock       15133T104              402              41,742
Community First Bankshares Inc               Common Stock       203902101              477              29,800
CFM Technologies Inc.                        Common Stock       12525K106                1                  75
Cullen Frost Bankers Inc.                    Common Stock       229899109            1,430              54,100
Cognex Corp.                                 Common Stock       192422103               37                 650
Coastal Corp.                                Common Stock       190441105               47               1,019
Chevron Corp.                                Common Stock       166751107            2,119              22,921
Ciena Corp.                                  Common Stock       171779101               38                 300
Colgate-Palmolive Co.                        Common Stock       194162103           12,169             215,850
Clorox Co.                                   Common Stock       189054109               65               2,000
Comerica Inc.                                Common Stock       200340107            1,788              42,700
Comcast Corp. Class A Special                Common Stock       200300200               36                 840
Consolidated Natural Gas Co                  Common Stock       209615103              126               1,900
Conexant Systems Inc.                        Common Stock       207142100               36                 500
Pennsylvania Commerce Bancorp Inc            Common Stock       708677109              611              26,010
Colorado Business Bankshares                 Common Stock       196333108              638              47,475
Contour Energy Co.                           Common Stock       21220C103                0                  12
Carolina Power & Light                       Common Stock       144141108              114               3,500
Corn Products International Inc.             Common Stock       219023108                7                 300
Compaq Computer Corp.                        Common Stock       204493100              596              22,400
Chronar Corp                                 Common Stock       171133101                0                 121
Crazy Woman Creek Bancorp                    Common Stock       225233105               41               4,000
Cabletron Systems Inc.                       Common Stock       126920107               15                 500
Computer Sciences Corp.                      Common Stock       205363104           14,035             177,380
Cisco Systems Inc.                           Common Stock       17275R102           33,436             432,482
CSG Systems International Inc.               Common Stock       126349109               88               1,800
Cintas Corp.                                 Common Stock       172908105            6,896             175,977
Celestial Seasonings Inc.                    Common Stock       151016102               31                 900
Covance Inc.                                 Common Stock       222816100                2                 200
CVS Corp.                                    Common Stock       126650100            7,418             197,480
Cygnus Inc.                                  Common Stock       232560102                1                 100
<CAPTION>
                       Item 1:                            Item 6:                       Item 7:                   Item 8:
                   Name of Issuer                  Investment Discretion                 Other           Voting Authority (Shares)
                                         (a) Sole  (b)Shared as Def  (c)Shared Other    Managers      (a) Sole  (b) Shared  (c) None
- ------------------------------------------------------------------------------------------------------------------------------------
<S>                                         <C>            <C>           <C>              <C>              <C>          <C>     <C>
Brooke Group LTD                                             X                                             0            395     0
B I Incorporated                                             X                                             0            100     0
Ben & Jerrys Homemade Inc - Cl B                             X                                             0            200     0
Ben & Jerry Homemade Inc                                     X                                             0            600     0
Bank of New York Co. Inc.                                    X                                             0         26,900     0
Ballard Power Systems Inc.                                   X                                             0          2,000     0
BellSouth Corp.                                              X                                             0          2,936     0
BMC Software                                                 X                                             0            226     0
Biomet Inc.                                                  X                                             0         15,000     0
Bristol-Myers Squibb Co.                                     X                                             0         16,398     0
Pacific Century Financial Corp.                              X                                             0         57,840     0
BP Amoco Plc -Spons ADR                                      X                                             0         32,750     0
Burlington Resources                                         X                                             0          1,500     0
Brocade Communications Sys Inc                               X                                             0            100     0
Brady W H Co.                                                X                                             0          1,000     0
BRE Properties Inc. Cl A                                     X                                             0            800     0
Berkshire Hathaway Inc. Class A                              X                                             0              5     0
Berkshire Hathaway Inc. Class B                              X                                             0             64     0
Bisys Group Inc.                                             X                                             0        156,000     0
Anheuser-Busch Companies Inc.                                X                                             0          4,500     0
Bancwest Corporation                                         X                                             0         35,704     0
Citigroup, Inc.                                              X                                             0         79,601     0
Cascade-Teton Farm Lands Co.                                 X                                             0             16     0
Cascade Bancorp                                              X                                             0         41,572     0
Conagra Inc.                                                 X                                             0          6,954     0
Cardinal Health Inc.                                         X                                             0            675     0
Centura Banks Inc.                                           X                                             0          1,000     0
Northland Cranberries Inc-A                                  X                                             0            400     0
Commerce Bancshares Inc.                                     X                                             0        165,484     0
CCB Financial Corp.                                          X                                             0         20,352     0
Centennial Bancorp                                           X                                             0         41,742     0
Community First Bankshares Inc                               X                                             0         29,800     0
CFM Technologies Inc.                                        X                                             0             75     0
Cullen Frost Bankers Inc.                                    X                                             0         54,100     0
Cognex Corp.                                                 X                                             0            650     0
Coastal Corp.                                                X                                             0          1,019     0
Chevron Corp.                                                X                                             0         22,921     0
Ciena Corp.                                                  X                                             0            300     0
Colgate-Palmolive Co.                                        X                                             0        215,850     0
Clorox Co.                                                   X                                             0          2,000     0
Comerica Inc.                                                X                                             0         42,700     0
Comcast Corp. Class A Special                                X                                             0            840     0
Consolidated Natural Gas Co                                  X                                             0          1,900     0
Conexant Systems Inc.                                        X                                             0            500     0
Pennsylvania Commerce Bancorp Inc                            X                                             0         26,010     0
Colorado Business Bankshares                                 X                                             0         47,475     0
Contour Energy Co.                                           X                                             0             12     0
Carolina Power & Light                                       X                                             0          3,500     0
Corn Products International Inc.                             X                                             0            300     0
Compaq Computer Corp.                                        X                                             0         22,400     0
Chronar Corp                                                 X                                             0            121     0
Crazy Woman Creek Bancorp                                    X                                             0          4,000     0
Cabletron Systems Inc.                                       X                                             0            500     0
Computer Sciences Corp.                                      X                                             0        177,380     0
Cisco Systems Inc.                                           X                                             0        432,482     0
CSG Systems International Inc.                               X                                             0          1,800     0
Cintas Corp.                                                 X                                             0        175,977     0
Celestial Seasonings Inc.                                    X                                             0            900     0
Covance Inc.                                                 X                                             0            200     0
CVS Corp.                                                    X                                             0        197,480     0
Cygnus Inc.                                                  X                                             0            100     0
</TABLE>
<PAGE>
<TABLE>
<CAPTION>
                       Item 1:                 Item 2:           Item 3:            Item 4:             Item 5:
                   Name of Issuer           Title of Class     CUSIP Number    Fair Market Value       Shares or
                                                                                   (X $1000)        Principal Amt.
- ----------------------------------------------------------------------------------------------------------------------
<S>                                              <C>                <C>                <C>                 <C>
City National Corp.                          Common Stock       178566105            2,137              63,425
Dominion Res Inc Va New                      Common Stock       25746U109               10                 250
Du Pont (EI) de Nemours and Co.              Common Stock       263534109              129               2,440
Diedrich Coffee Inc                          Common Stock       253675102                2                 800
Dell Computer Corp.                          Common Stock       247025109              121               2,250
Delger Finl Corp                             Common Stock       246680102                0                   1
Quest Diagnostics Inc.                       Common Stock       74834L100                4                 100
Diamonds Trust Unit Series 1                 Common Stock       252787106               33                 300
The Walt Disney Co.                          Common Stock       254687106              224               5,411
Echostar Communications New                  Common Stock       278762109            4,566              57,800
Daily Journal Corp                           Common Stock       233912104                1                  20
Dime Bancorp Inc.                            Common Stock       25429Q102               33               1,800
Dun & Bradstreet Corp.                       Common Stock       26483B106               14                 500
Dover Corp.                                  Common Stock       260003108               77               1,600
Dow Chemical Co                              Common Stock       260543103           10,824              94,950
Duramed Pharmaceuticals Inc.                 Common Stock       266354109               13               2,000
DST Systems Inc.                             Common Stock       233326107            4,196              64,611
Datawatch Corp                               Common Stock       237917109               19               5,264
Eclipsys Corp.                               Common Stock       278856109               57               2,962
Consolidated Edison Inc.                     Common Stock       209115104                2                  68
Eagle Geophysical Inc                        Common Stock       269524104                0               2,032
Earthgrains Co                               Common Stock       270319106               10                 640
Eastman Kodak Co.                            Common Stock       277461109               73               1,340
Estee Lauder Companies                       Common Stock       518439104            2,130              42,550
Elan Corp. ADR                               ADR                284131208            8,480             178,525
EMC Corp.                                    Common Stock       268648102            9,985              79,880
Eastman Chemical Co                          Common Stock       277432100               10                 210
Emerson Electric Co.                         Common Stock       291011104              143               2,700
Enron Corp                                   Common Stock       293561106            2,309              30,832
El Paso Energy Corp                          Common Stock       283905107                1                  20
Euro Disneyland SCA Shs Ord                  Common Stock       F26387104                0                 100
Ericsson L M Tel Co ADR Cl B                 ADR                294821400              131               1,400
ITT Educational Services Inc                 Common Stock       45068B109              309              19,300
Eco Soil Sys Inc                             Common Stock       278858105               46              14,000
Ford Motor Co.                               Common Stock       345370100              115               2,500
3rds First Womens Bank-Ny Ny                 LTD (GS) P4        F388119                  0                   1
Fleet Boston Financial Corp.                 Common Stock       339030108            7,221             197,832
Furniture Brands Intl Inc.                   Common Stock       360921100              198              10,500
Firstbank Corp Del                           Common Stock       33762X106               79               7,550
First Data Corp.                             Common Stock       319963104              752              17,000
Financial Federal Corp                       Common Stock       317492106            1,369              75,325
Fine Host Corp                               Common Stock       317832103                0                 100
Fiserv Inc.                                  Common Stock       337738108           13,220             355,495
Fifth Third Bancorp                          Common Stock       316773100            1,239              19,662
Fannie Mae                                   Common Stock       313586109            1,455              25,777
Sprint Corp. (FON Group)                     Common Stock       852061100              838              13,300
Freddie Mac                                  Common Stock       313400301              760              17,200
First Security Corp.                         Common Stock       336294103              551              45,925
Firstar Corporation                          Common Stock       33763V109            3,238             141,166
Fort Dearborn Income Secs Inc.               Common Stock       347200107                3                 200
First Union Corp.                            Common Stock       337358105                5                 131
Gillette Co.                                 Common Stock       375766102            1,305              34,618
General Aircraft Corp New                    Common Stock       368757209                0                 441
Langer Biomechanics Group                    Common Stock       515707107                0                 100
Greater Bay Bancorp                          Common Stock       391648102            7,362             182,906
Globix Corp.                                 Common Stock       37957F101               19                 500
Global Crossing Ltd.                         Common Stock       G3921A100            1,048              25,600
Gannett Co                                   Common Stock       364730101               80               1,140
Gardner Denver Machinery Inc.                Common Stock       365558105                1                  60
Guidant Corp.                                Common Stock       401698105            6,966             118,450
General Electric Co.                         Common Stock       369604103           35,942             231,601
<CAPTION>
                       Item 1:                            Item 6:                       Item 7:                   Item 8:
                   Name of Issuer                  Investment Discretion                 Other           Voting Authority (Shares)
                                         (a) Sole  (b)Shared as Def  (c)Shared Other    Managers      (a) Sole  (b) Shared  (c) None
- ------------------------------------------------------------------------------------------------------------------------------------
<S>                                          <C>           <C>         <C>                 <C>             <C>       <C>        <C>
City National Corp.                                          X                                             0         63,425     0
Dominion Res Inc Va New                                      X                                             0            250     0
Du Pont (EI) de Nemours and Co.                              X                                             0          2,440     0
Diedrich Coffee Inc                                          X                                             0            800     0
Dell Computer Corp.                                          X                                             0          2,250     0
Delger Finl Corp                                             X                                             0              1     0
Quest Diagnostics Inc.                                       X                                             0            100     0
Diamonds Trust Unit Series 1                                 X                                             0            300     0
The Walt Disney Co.                                          X                                             0          5,411     0
Echostar Communications New                                  X                                             0         57,800     0
Daily Journal Corp                                           X                                             0             20     0
Dime Bancorp Inc.                                            X                                             0          1,800     0
Dun & Bradstreet Corp.                                       X                                             0            500     0
Dover Corp.                                                  X                                             0          1,600     0
Dow Chemical Co                                              X                                             0         94,950     0
Duramed Pharmaceuticals Inc.                                 X                                             0          2,000     0
DST Systems Inc.                                             X                                             0         64,611     0
Datawatch Corp                                               X                                             0          5,264     0
Eclipsys Corp.                                               X                                             0          2,962     0
Consolidated Edison Inc.                                     X                                             0             68     0
Eagle Geophysical Inc                                        X                                             0          2,032     0
Earthgrains Co                                               X                                             0            640     0
Eastman Kodak Co.                                            X                                             0          1,340     0
Estee Lauder Companies                                       X                                             0         42,550     0
Elan Corp. ADR                                               X                                             0        178,525     0
EMC Corp.                                                    X                                             0         79,880     0
Eastman Chemical Co                                          X                                             0            210     0
Emerson Electric Co.                                         X                                             0          2,700     0
Enron Corp                                                   X                                             0         30,832     0
El Paso Energy Corp                                          X                                             0             20     0
Euro Disneyland SCA Shs Ord                                  X                                             0            100     0
Ericsson L M Tel Co ADR Cl B                                 X                                             0          1,400     0
ITT Educational Services Inc                                 X                                             0         19,300     0
Eco Soil Sys Inc                                             X                                             0         14,000     0
Ford Motor Co.                                               X                                             0          2,500     0
3rds First Womens Bank-Ny Ny                                 X                                             0              1     0
Fleet Boston Financial Corp.                                 X                                             0        197,832     0
Furniture Brands Intl Inc.                                   X                                             0         10,500     0
Firstbank Corp Del                                           X                                             0          7,550     0
First Data Corp.                                             X                                             0         17,000     0
Financial Federal Corp                                       X                                             0         75,325     0
Fine Host Corp                                               X                                             0            100     0
Fiserv Inc.                                                  X                                             0        355,495     0
Fifth Third Bancorp                                          X                                             0         19,662     0
Fannie Mae                                                   X                                             0         25,777     0
Sprint Corp. (FON Group)                                     X                                             0         13,300     0
Freddie Mac                                                  X                                             0         17,200     0
First Security Corp.                                         X                                             0         45,925     0
Firstar Corporation                                          X                                             0        141,166     0
Fort Dearborn Income Secs Inc.                               X                                             0            200     0
First Union Corp.                                            X                                             0            131     0
Gillette Co.                                                 X                                             0         34,618     0
General Aircraft Corp New                                    X                                             0            441     0
Langer Biomechanics Group                                    X                                             0            100     0
Greater Bay Bancorp                                          X                                             0        182,906     0
Globix Corp.                                                 X                                             0            500     0
Global Crossing Ltd.                                         X                                             0         25,600     0
Gannett Co                                                   X                                             0          1,140     0
Gardner Denver Machinery Inc.                                X                                             0             60     0
Guidant Corp.                                                X                                             0        118,450     0
General Electric Co.                                         X                                             0        231,601     0
</TABLE>
<PAGE>
<TABLE>
<CAPTION>
                       Item 1:                 Item 2:           Item 3:            Item 4:             Item 5:
                   Name of Issuer           Title of Class     CUSIP Number    Fair Market Value       Shares or
                                                                                   (X $1000)        Principal Amt.
- ----------------------------------------------------------------------------------------------------------------------
<S>                                              <C>                <C>                <C>                 <C>
General Ener Tech Inc                        Common Stock       369739107                0               2,000
General Mills Inc.                           Common Stock       370334104              449              12,400
Corning Inc.                                 Common Stock       219350105              517               2,666
General Motors Corp. - CL H New              Common Stock       370442832           11,603              93,200
Gap Inc.                                     Common Stock       364760108               50               1,000
Globalstar Telecommunications LTD - OR       Common Stock       G3930H104               74               5,300
GTE Corp.                                    Common Stock       362320103              103               1,452
Grove Property Trust                         Common Stock       399613108               77               5,906
Harbor Florida Bancshares                    Common Stock       411901101            3,362             295,563
Home Depot Inc.                              Common Stock       437076102           13,450             208,534
H E R C Prods Inc                            Common Stock       404165102                2               5,000
Hooper Holmes Incorporated                   Common Stock       439104100           14,011             408,325
Hartford Financial Services Group Inc.       Common Stock       416515104                9                 174
Starwood Hotels & Resorts Worldwide In       Common Stock       85590A203                3                 100
Healthcare Realty Trust                      Common Stock       421946104               11                 638
Hannaford Brothers Inc.                      Common Stock       410550107              199               2,700
Hershey Foods Corp.                          Common Stock       427866108            6,377             130,809
Houghton Mifflin Co                          Common Stock       441560109               21                 500
Hudson United Bancorp                        Common Stock       444165104                0                  18
Hubbell Inc.  CL A                           Common Stock       443510102               71               2,774
Hubbell Inc.  CL B                           Common Stock       443510201                4                 138
Hewlett-Packard Co.                          Common Stock       428236103              911               6,875
International Business Machines              Common Stock       459200101           26,425             223,937
International Flavors & Fragrances           Common Stock       459506101               42               1,200
Intersystems Inc Del                         Common Stock       460920101                7               8,480
I T T Industries Inc.                        Common Stock       450911102                3                  87
Ing Groep NV Spons ADR                       ADR                456837103                3                  58
Infosoft International Inc.                  Common Stock       457674109               20               1,450
Intel Corp.                                  Common Stock       458140100           21,726             164,665
Intuit Corp.                                 Common Stock       461202103               54               1,000
Interpool Inc                                Common Stock       46062R108                1                 150
Gartner Group Inc. - CL B                    Common Stock       366651206                2                 130
Illinois Tool Works                          Common Stock       452308109               39                 700
IVAX Corp.                                   Common Stock       465823102               18                 675
Hancock John Finl Services Inc.              Common Stock       41014S106                5                 296
Henry Jack & Associates Inc                  Common Stock       426281101            3,461              93,849
Johnson & Johnson                            Common Stock       478160104            9,020             128,745
Jefferson-Pilot Corp.                        Common Stock       475070108            7,217             108,431
J P Morgan & Co.                             Common Stock       616880100            1,117               8,475
John Phillip Tuba Corp                       Common Stock       478037104                0                 172
Wiley John & Sons                            Common Stock       968223206              102               5,640
Keebler Foods Co.                            Common Stock       487256109              453              15,800
KIMCO Realty Corp.                           Common Stock       49446R109              891              23,754
Kimberly-Clark Corp.                         Common Stock       494368103              112               2,000
Kendle International Inc                     Common Stock       48880L107               22               2,000
Coca Cola Co.                                Common Stock       191216100              630              13,422
Kroger Co.                                   Common Stock       501044101            6,772             385,575
Keyspan Corporation                          Common Stock       49337W100              244               8,833
Kohls Corp.                                  Common Stock       500255104            9,530              92,973
Safra Republic Holding                       LTD (GS) P4        L80614107              136               2,000
Loews Cineplex Entmt Corp                    Common Stock       540423100                0                  20
Leggett & Platt Inc.                         Common Stock       524660107               22               1,000
Lehman Brothers Holdings Inc                 Common Stock       524908100            2,362              24,350
Lilly (Eli) & Co.                            Common Stock       532457108           10,870             172,535
Legg Mason, Inc.                             Common Stock       524901105            2,150              49,716
AT&T Corp - Liberty Media - A                Common Stock       001957208              245               4,140
Lincoln National Corp. Ind.                  Common Stock       534187109            1,276              38,075
Loral Space & Communications                 Common Stock       G56462107              120              11,800
L Oreal Co                                   ADR                502117203              710               5,500
Lasik Vision Corp                            Foreign Stock      51808E106               31              10,000
Loews Corp.                                  Common Stock       540424108              200               4,000
Lucent Technologies Inc.                     Common Stock       549463107           14,685             241,736
<CAPTION>
                       Item 1:                            Item 6:                       Item 7:                   Item 8:
                   Name of Issuer                  Investment Discretion                 Other           Voting Authority (Shares)
                                         (a) Sole  (b)Shared as Def  (c)Shared Other    Managers      (a) Sole  (b) Shared  (c) None
- ------------------------------------------------------------------------------------------------------------------------------------
<S>                                       <C>              <C>           <C>               <C>             <C>        <C>       <C>
General Ener Tech Inc                                        X                                             0          2,000     0
General Mills Inc.                                           X                                             0         12,400     0
Corning Inc.                                                 X                                             0          2,666     0
General Motors Corp. - CL H New                              X                                             0         93,200     0
Gap Inc.                                                     X                                             0          1,000     0
Globalstar Telecommunications LTD - OR                       X                                             0          5,300     0
GTE Corp.                                                    X                                             0          1,452     0
Grove Property Trust                                         X                                             0          5,906     0
Harbor Florida Bancshares                                    X                                             0        295,563     0
Home Depot Inc.                                              X                                             0        208,534     0
H E R C Prods Inc                                            X                                             0          5,000     0
Hooper Holmes Incorporated                                   X                                             0        408,325     0
Hartford Financial Services Group Inc.                       X                                             0            174     0
Starwood Hotels & Resorts Worldwide In                       X                                             0            100     0
Healthcare Realty Trust                                      X                                             0            638     0
Hannaford Brothers Inc.                                      X                                             0          2,700     0
Hershey Foods Corp.                                          X                                             0        130,809     0
Houghton Mifflin Co                                          X                                             0            500     0
Hudson United Bancorp                                        X                                             0             18     0
Hubbell Inc.  CL A                                           X                                             0          2,774     0
Hubbell Inc.  CL B                                           X                                             0            138     0
Hewlett-Packard Co.                                          X                                             0          6,875     0
International Business Machines                              X                                             0        223,937     0
International Flavors & Fragrances                           X                                             0          1,200     0
Intersystems Inc Del                                         X                                             0          8,480     0
I T T Industries Inc.                                        X                                             0             87     0
Ing Groep NV Spons ADR                                       X                                             0             58     0
Infosoft International Inc.                                  X                                             0          1,450     0
Intel Corp.                                                  X                                             0        164,665     0
Intuit Corp.                                                 X                                             0          1,000     0
Interpool Inc                                                X                                             0            150     0
Gartner Group Inc. - CL B                                    X                                             0            130     0
Illinois Tool Works                                          X                                             0            700     0
IVAX Corp.                                                   X                                             0            675     0
Hancock John Finl Services Inc.                              X                                             0            296     0
Henry Jack & Associates Inc                                  X                                             0         93,849     0
Johnson & Johnson                                            X                                             0        128,745     0
Jefferson-Pilot Corp.                                        X                                             0        108,431     0
J P Morgan & Co.                                             X                                             0          8,475     0
John Phillip Tuba Corp                                       X                                             0            172     0
Wiley John & Sons                                            X                                             0          5,640     0
Keebler Foods Co.                                            X                                             0         15,800     0
KIMCO Realty Corp.                                           X                                             0         23,754     0
Kimberly-Clark Corp.                                         X                                             0          2,000     0
Kendle International Inc                                     X                                             0          2,000     0
Coca Cola Co.                                                X                                             0         13,422     0
Kroger Co.                                                   X                                             0        385,575     0
Keyspan Corporation                                          X                                             0          8,833     0
Kohls Corp.                                                  X                                             0         92,973     0
Safra Republic Holding                                       X                                             0          2,000     0
Loews Cineplex Entmt Corp                                    X                                             0             20     0
Leggett & Platt Inc.                                         X                                             0          1,000     0
Lehman Brothers Holdings Inc                                 X                                             0         24,350     0
Lilly (Eli) & Co.                                            X                                             0        172,535     0
Legg Mason, Inc.                                             X                                             0         49,716     0
AT&T Corp - Liberty Media - A                                X                                             0          4,140     0
Lincoln National Corp. Ind.                                  X                                             0         38,075     0
Loral Space & Communications                                 X                                             0         11,800     0
L Oreal Co                                                   X                                             0          5,500     0
Lasik Vision Corp                                            X                                             0         10,000     0
Loews Corp.                                                  X                                             0          4,000     0
Lucent Technologies Inc.                                     X                                             0        241,736     0
</TABLE>
<PAGE>
<TABLE>
<CAPTION>
                       Item 1:                 Item 2:           Item 3:            Item 4:             Item 5:
                   Name of Issuer           Title of Class     CUSIP Number    Fair Market Value       Shares or
                                                                                   (X $1000)        Principal Amt.
- ----------------------------------------------------------------------------------------------------------------------
<S>                                              <C>                <C>                <C>                 <C>
Level 3 Communications Inc.                  Common Stock       52729N100            3,077              29,100
LSI Industries Inc                           Common Stock       50216C108               39               2,000
Massbank Corp.                               Common Stock       576152102               22                 800
Mattel Inc.                                  Common Stock       577081102               16               1,493
Maxicare Health Plans Inc. New               Common Stock       577904204                0                   1
McDonalds Corp.                              Common Stock       580135101              263               7,000
Millenium Chemicals Inc.                     Common Stock       599903101                0                  14
McLeodusa Inc. - CL A                        Common Stock       582266102            2,222              26,200
M C N Corp.                                  Common Stock       55267J100               10                 392
Media 100 Inc                                Common Stock       58440W105              427              12,250
Mid-state Bancshares                         Common Stock       595440108            2,427              97,075
Medtronic Inc.                               Common Stock       585055106           16,882             328,210
Mead Corp.                                   Common Stock       582834107              503              14,400
Merrill Lynch & Co., Inc.                    Common Stock       590188108            8,374              79,752
Metromedia Fiber Network Inc. Cl A           Common Stock       591689104            3,461              35,800
McGraw-Hill Companies Inc.                   Common Stock       580645109              222               4,882
Marshall & Ilsley Corp.                      Common Stock       571834100            8,294             143,620
Marshall Industries                          Common Stock       572393106               37               1,000
Marsh & McLennan Cos Inc                     Common Stock       571748102            1,103              10,000
Minnesota Mining & Manufacturing Co.         Common Stock       604059105              320               3,609
Mobil Corp.                                  Common Stock       607059102                0                 247
Molex Inc. Cl A                              Common Stock       608554200               87               1,953
Morgan Keegan Inc.                           Common Stock       617410105               18               1,000
Motorola Inc.                                Common Stock       620076109            1,794              12,600
Minnesota Pwr & Light                        Common Stock       604110106               40               2,400
Mercantile Bankshares Corp.                  Common Stock       587405101            2,633              86,150
Merck & Co., Inc.                            Common Stock       589331107            7,555             121,606
Merant Plc Sponsored ADR                     ADR                587336108               55               2,000
Microsoft Corp.                              Common Stock       594918104            6,021              56,667
Martha Stewart Living Omnimed                Common Stock       573083102                3                 100
M & T Bank Corp                              Common Stock       55261F104               89                 200
Monsanto Co.                                 Common Stock       611662107               26                 500
Montana Power Co                             Common Stock       612085100               13                 200
Mesa Royalty Trust                           Common Stock       590660106               25                 600
Matrix Service Co                            Common Stock       576853105                5               1,000
Mississippi Vy Bancshares Inc                Common Stock       605720101              793              33,225
Morgan St Dean Witter Discover & Co.         Common Stock       617446448            1,734              21,257
Nomas Corp Nev Pfd Ser A                     PFD 30/360 P1      65531N209                0                 405
Nomas Corp.                                  Common Stock       65531N100                0                 405
Nanophase Tchnologies Corp                   Common Stock       630079101               17               1,000
National Bancorp Of Alaska Inc.              Common Stock       632587101            4,030             106,725
National City Corp.                          Common Stock       635405103              268              13,018
NCR Corp.                                    Common Stock       62886E108                2                  46
North Fork Bancorp, Inc.-DEL                 Common Stock       659424105            4,322             241,802
Nationwide Financial Services, Inc.          Common Stock       638612101               26                 900
Nike Inc.                                    Common Stock       654106103                1                  25
Niagara Mohawk Holdings Inc.                 Common Stock       653520106                1                 100
Nokia Corp. Sponsored ADR                    ADR                654902204            7,426              34,180
Northpoint Communications Hldg               Common Stock       666610100               23               1,000
Northern States Power Co                     Common Stock       665772109                8                 400
Nestle SA Sponsored ADR                      ADR                641069406              394               4,400
Nortel Networks Corp.                        Common Stock       656569100            7,705              61,150
NTL Incorporated                             Common Stock       629407107               56                 600
Natural Pharmaceutical Intl                  Common Stock       638887109                0                   4
Northern Trust Corp.                         Common Stock       665859104           18,804             278,323
NUCO2 Inc.                                   Common Stock       629428103               32               2,424
New PLan Excel Realty Trust                  Common Stock       648053106               54               3,900
Nextlink Communications Inc Cl A             Common Stock       65333H707            6,503              52,575
Nextel Communications Inc.                   Common Stock       65332V103            5,964              40,230
New York Times Co.                           Common Stock       650111107               65               1,516
Cascade Teton Farmlands Co.                  LTD (GS) P4        OA0041                   0              15,304
<CAPTION>
                       Item 1:                            Item 6:                       Item 7:                   Item 8:
                   Name of Issuer                  Investment Discretion                 Other           Voting Authority (Shares)
                                         (a) Sole  (b)Shared as Def  (c)Shared Other    Managers      (a) Sole  (b) Shared  (c) None
- ------------------------------------------------------------------------------------------------------------------------------------
<S>                                          <C>           <C>           <C>               <C>           <C>       <C>        <C>
Level 3 Communications Inc.                                  X                                             0         29,100     0
LSI Industries Inc                                           X                                             0          2,000     0
Massbank Corp.                                               X                                             0            800     0
Mattel Inc.                                                  X                                             0          1,493     0
Maxicare Health Plans Inc. New                               X                                             0              1     0
McDonalds Corp.                                              X                                             0          7,000     0
Millenium Chemicals Inc.                                     X                                             0             14     0
McLeodusa Inc. - CL A                                        X                                             0         26,200     0
M C N Corp.                                                  X                                             0            392     0
Media 100 Inc                                                X                                             0         12,250     0
Mid-state Bancshares                                         X                                             0         97,075     0
Medtronic Inc.                                               X                                             0        328,210     0
Mead Corp.                                                   X                                             0         14,400     0
Merrill Lynch & Co., Inc.                                    X                                             0         79,752     0
Metromedia Fiber Network Inc. Cl A                           X                                             0         35,800     0
McGraw-Hill Companies Inc.                                   X                                             0          4,882     0
Marshall & Ilsley Corp.                                      X                                             0        143,620     0
Marshall Industries                                          X                                             0          1,000     0
Marsh & McLennan Cos Inc                                     X                                             0         10,000     0
Minnesota Mining & Manufacturing Co.                         X                                             0          3,609     0
Mobil Corp.                                                  X                                             0            247     0
Molex Inc. Cl A                                              X                                             0          1,953     0
Morgan Keegan Inc.                                           X                                             0          1,000     0
Motorola Inc.                                                X                                             0         12,600     0
Minnesota Pwr & Light                                        X                                             0          2,400     0
Mercantile Bankshares Corp.                                  X                                             0         86,150     0
Merck & Co., Inc.                                            X                                             0        121,606     0
Merant Plc Sponsored ADR                                     X                                             0          2,000     0
Microsoft Corp.                                              X                                             0         56,667     0
Martha Stewart Living Omnimed                                X                                             0            100     0
M & T Bank Corp                                              X                                             0            200     0
Monsanto Co.                                                 X                                             0            500     0
Montana Power Co                                             X                                             0            200     0
Mesa Royalty Trust                                           X                                             0            600     0
Matrix Service Co                                            X                                             0          1,000     0
Mississippi Vy Bancshares Inc                                X                                             0         33,225     0
Morgan St Dean Witter Discover & Co.                         X                                             0         21,257     0
Nomas Corp Nev Pfd Ser A                                     X                                             0            405     0
Nomas Corp.                                                  X                                             0            405     0
Nanophase Tchnologies Corp                                   X                                             0          1,000     0
National Bancorp Of Alaska Inc.                              X                                             0        106,725     0
National City Corp.                                          X                                             0         13,018     0
NCR Corp.                                                    X                                             0             46     0
North Fork Bancorp, Inc.-DEL                                 X                                             0        241,802     0
Nationwide Financial Services, Inc.                          X                                             0            900     0
Nike Inc.                                                    X                                             0             25     0
Niagara Mohawk Holdings Inc.                                 X                                             0            100     0
Nokia Corp. Sponsored ADR                                    X                                             0         34,180     0
Northpoint Communications Hldg                               X                                             0          1,000     0
Northern States Power Co                                     X                                             0            400     0
Nestle SA Sponsored ADR                                      X                                             0          4,400     0
Nortel Networks Corp.                                        X                                             0         61,150     0
NTL Incorporated                                             X                                             0            600     0
Natural Pharmaceutical Intl                                  X                                             0              4     0
Northern Trust Corp.                                         X                                             0        278,323     0
NUCO2 Inc.                                                   X                                             0          2,424     0
New PLan Excel Realty Trust                                  X                                             0          3,900     0
Nextlink Communications Inc Cl A                             X                                             0         52,575     0
Nextel Communications Inc.                                   X                                             0         40,230     0
New York Times Co.                                           X                                             0          1,516     0
Cascade Teton Farmlands Co.                                  X                                             0         15,304     0
</TABLE>
<PAGE>
<TABLE>
<CAPTION>
                       Item 1:                 Item 2:           Item 3:            Item 4:             Item 5:
                   Name of Issuer           Title of Class     CUSIP Number    Fair Market Value       Shares or
                                                                                   (X $1000)        Principal Amt.
- ----------------------------------------------------------------------------------------------------------------------
<S>                                              <C>                <C>                <C>                 <C>
Oak Tech Inc.                                Common Stock       671802106              266              13,800
Quaker Oats                                  Common Stock       747402105              291               4,800
Wild Oats Markets Inc.                       Common Stock       96808B107                3                 150
Old Kent Financial Corp.                     Common Stock       679833103            3,121              96,575
***Old Mutual South African Trust PLC        Foreign Stock      G6738S107               30              17,647
Oncor, Inc.                                  Common Stock       682311105                0                 100
Bank One Corp.                               Common Stock       06423A103              344              10,000
Oracle Systems Corp.                         Common Stock       68389X105            4,783              61,275
Oxford Health Plans Inc.                     Common Stock       691471106                5                 305
Occidental Petroleum Corp.                   Common Stock       674599105                2                 100
Prudential Acquisition Fund LP II            LTD Part  P0       P624630                  0                  25
Pitney-Bowes, Inc.                           Common Stock       724479100            1,041              23,300
Plum Creek Timber Co L P                     Common Stock       729251108               27               1,098
Sprint Corp. (PCS Group)                     Common Stock       852061506            5,924              90,700
PE Corp PE Biosystems Group                  Common Stock       69332S102              574               5,950
PepsiCo, Inc.                                Common Stock       713448108               55               1,600
Pfizer Inc.                                  Common Stock       717081103           23,403             640,070
Procter & Gamble Co.                         Common Stock       742718109           12,518             222,541
Peoples Energy Corp.                         Common Stock       711030106                5                 167
Progressive Corp.                            Common Stock       743315103               13                 175
Pegasus Communications Corp. - Cl A          Common Stock       705904100              338               2,400
Peoples Heritage Financial Group Inc.        Common Stock       711147108               26               1,700
Philadelphia Cons Hldg Co.                   Common Stock       717528103            2,182             147,900
Protective Life Corp.                        Common Stock       743674103            1,507              47,450
Pall Corp.                                   Common Stock       696429307            4,559             203,175
Parametric Technology Corp.                  Common Stock       699173100               70               3,300
Proxim Inc.                                  Common Stock       744284100              969               8,100
Puget Sound Power & Light                    Common Stock       745332106                4                 200
PeopleSoft Inc.                              Common Stock       712713106               26               1,300
Pactiv Corp                                  Common Stock       695257105                1                 118
Paine Webber Group Inc.                      Common Stock       695629105            1,935              43,975
Power Spectra Inc                            Common Stock       738901107                0                 300
Qwest Communications International, In       Common Stock       749121109            5,116             105,490
QRS Corp                                     Common Stock       74726X105              126               1,674
Rural Cellular Corp                          Common Stock       781904107               34                 500
Royal Dutch Petroleum Co ADR                 ADR                780257804            1,970              34,218
R.H. Donnelly Corp.                          Common Stock       74955W307                2                 100
Transocean Sedco Forex Inc                   Common Stock       G90078109               70               1,355
Raymond James Financial Inc.                 Common Stock       754730109              155               7,450
Reliastar Financial Corp.                    Common Stock       75952U103            4,871             143,780
Remedy Corp.                                 Common Stock       759548100               38                 900
Ragen Mackenzie Group Inc                    Common Stock       750642100            1,831              91,525
Roper Industries Inc. New                    Common Stock       776696106               61               1,800
Roslyn Bancorp Inc.                          Common Stock       778162107              534              30,000
Riviana Foods Inc.                           Common Stock       769536103            3,789             238,765
IMS Health Inc.                              Common Stock       449934108               17               1,000
Rayonier Inc.                                Common Stock       754907103                5                 100
Sears Roebuck & Co                           Common Stock       812387108            4,780             154,825
Satellite Control Technologies               Common Stock       804000107                1               1,000
Pacific Cap Bancorp New                      Common Stock       69404P101            2,384              98,300
Safeco Corp.                                 Common Stock       786429100                5                 200
Safescience Inc                              Common Stock       786452102               10                 800
Asia Satelite Telecom Hldgs Ltd ADS          ADR                04516X106                1                  22
SATX, Inc.                                   Common Stock       78400J100                1               1,000
SBC Communications Inc.                      Common Stock       78387G103            1,059              25,205
Seacoast Banking Corp. FLA                   Common Stock       811707108              576              22,275
Salomon Brothers Fd Inc.                     Common Stock       795477108                3                 138
SmithKline Beecham Spons ADR                 ADR                832378301               33                 500
SBS Broadcasting SA                          Foreign Stock      L8137F102               62               1,000
Shell Transport & Trading PLC                ADR                822703609               15                 300
Structural Dynamics Research                 Common Stock       863555108               14               1,000
<CAPTION>
                       Item 1:                            Item 6:                       Item 7:                   Item 8:
                   Name of Issuer                  Investment Discretion                 Other           Voting Authority (Shares)
                                         (a) Sole  (b)Shared as Def  (c)Shared Other    Managers      (a) Sole  (b) Shared  (c) None
- ------------------------------------------------------------------------------------------------------------------------------------
<S>                                          <C>           <C>          <C>               <C>              <C>       <C>        <C>
Oak Tech Inc.                                                X                                             0         13,800     0
Quaker Oats                                                  X                                             0          4,800     0
Wild Oats Markets Inc.                                       X                                             0            150     0
Old Kent Financial Corp.                                     X                                             0         96,575     0
***Old Mutual South African Trust PLC                        X                                             0         17,647     0
Oncor, Inc.                                                  X                                             0            100     0
Bank One Corp.                                               X                                             0         10,000     0
Oracle Systems Corp.                                         X                                             0         61,275     0
Oxford Health Plans Inc.                                     X                                             0            305     0
Occidental Petroleum Corp.                                   X                                             0            100     0
Prudential Acquisition Fund LP II                            X                                             0             25     0
Pitney-Bowes, Inc.                                           X                                             0         23,300     0
Plum Creek Timber Co L P                                     X                                             0          1,098     0
Sprint Corp. (PCS Group)                                     X                                             0         90,700     0
PE Corp PE Biosystems Group                                  X                                             0          5,950     0
PepsiCo, Inc.                                                X                                             0          1,600     0
Pfizer Inc.                                                  X                                             0        640,070     0
Procter & Gamble Co.                                         X                                             0        222,541     0
Peoples Energy Corp.                                         X                                             0            167     0
Progressive Corp.                                            X                                             0            175     0
Pegasus Communications Corp. - Cl A                          X                                             0          2,400     0
Peoples Heritage Financial Group Inc.                        X                                             0          1,700     0
Philadelphia Cons Hldg Co.                                   X                                             0        147,900     0
Protective Life Corp.                                        X                                             0         47,450     0
Pall Corp.                                                   X                                             0        203,175     0
Parametric Technology Corp.                                  X                                             0          3,300     0
Proxim Inc.                                                  X                                             0          8,100     0
Puget Sound Power & Light                                    X                                             0            200     0
PeopleSoft Inc.                                              X                                             0          1,300     0
Pactiv Corp                                                  X                                             0            118     0
Paine Webber Group Inc.                                      X                                             0         43,975     0
Power Spectra Inc                                            X                                             0            300     0
Qwest Communications International, In                       X                                             0        105,490     0
QRS Corp                                                     X                                             0          1,674     0
Rural Cellular Corp                                          X                                             0            500     0
Royal Dutch Petroleum Co ADR                                 X                                             0         34,218     0
R.H. Donnelly Corp.                                          X                                             0            100     0
Transocean Sedco Forex Inc                                   X                                             0          1,355     0
Raymond James Financial Inc.                                 X                                             0          7,450     0
Reliastar Financial Corp.                                    X                                             0        143,780     0
Remedy Corp.                                                 X                                             0            900     0
Ragen Mackenzie Group Inc                                    X                                             0         91,525     0
Roper Industries Inc. New                                    X                                             0          1,800     0
Roslyn Bancorp Inc.                                          X                                             0         30,000     0
Riviana Foods Inc.                                           X                                             0        238,765     0
IMS Health Inc.                                              X                                             0          1,000     0
Rayonier Inc.                                                X                                             0            100     0
Sears Roebuck & Co                                           X                                             0        154,825     0
Satellite Control Technologies                               X                                             0          1,000     0
Pacific Cap Bancorp New                                      X                                             0         98,300     0
Safeco Corp.                                                 X                                             0            200     0
Safescience Inc                                              X                                             0            800     0
Asia Satelite Telecom Hldgs Ltd ADS                          X                                             0             22     0
SATX, Inc.                                                   X                                             0          1,000     0
SBC Communications Inc.                                      X                                             0         25,205     0
Seacoast Banking Corp. FLA                                   X                                             0         22,275     0
Salomon Brothers Fd Inc.                                     X                                             0            138     0
SmithKline Beecham Spons ADR                                 X                                             0            500     0
SBS Broadcasting SA                                          X                                             0          1,000     0
Shell Transport & Trading PLC                                X                                             0            300     0
Structural Dynamics Research                                 X                                             0          1,000     0
</TABLE>
<PAGE>
<TABLE>
<CAPTION>
                       Item 1:                 Item 2:           Item 3:            Item 4:             Item 5:
                   Name of Issuer           Title of Class     CUSIP Number    Fair Market Value       Shares or
                                                                                   (X $1000)        Principal Amt.
- ----------------------------------------------------------------------------------------------------------------------
<S>                                              <C>                <C>                <C>                 <C>
Sungard Data Systems Inc.                    Common Stock       867363103            2,465              65,300
Seitel Inc. New                              Common Stock       816074306              204              25,692
Stancorp Financial Group Inc.                Common Stock       852891100            5,334             194,850
Schering-Plough Corp.                        Common Stock       806605101            1,625              44,218
Sheldahl Inc                                 Common Stock       822440103                1                 122
Shenandoah Telecommunications                Common Stock       82312B106               20                 500
Stochastic Models Inc                        Common Stock       860902105                0              35,000
Silicon Valley Bancshares                    Common Stock       827064106              679               9,450
Schlumberger Limited                         Common Stock       806857108              536               7,000
SLM Holding Corp.                            Common Stock       78442A109            1,373              41,213
Solectron Corp.                              Common Stock       834182107            8,704             217,250
Sylvan Learning Systems Inc.                 Common Stock       871399101                6                 375
Shared Medical Systems Corp.                 Common Stock       819486101               88               1,700
Synopsys Inc.                                Common Stock       871607107            7,747             158,917
Source Capital Corp A                        Common Stock       836142307               56              10,500
Southtrust Corp.                             Common Stock       844730101               15                 600
Scottich Power PLC                           Common Stock       81013T705                6                 196
Panamsat Corp New                            Common Stock       697933109            1,285              26,200
Suntrust Banks Inc.                          Common Stock       867914103            7,269             125,862
State Street Corp.                           Common Stock       857477103           15,713             162,201
Summit Bancorp                               Common Stock       866005101                7                 275
Sun Communities Inc.                         Common Stock       866674104               64               2,200
Sun Microsystems Inc.                        Common Stock       866810104           13,505             144,125
Southwest Bancorporation of Texas Inc.       Common Stock       84476R109              292              15,000
Safeway Inc.                                 Common Stock       786514208            8,824             195,009
Sybron International Corp. Wis               Common Stock       87114F106              116               4,000
Synergistics Inc.                            Common Stock GS    871599106           11,367           7,578,296
AT & T Corp.                                 Common Stock       001957109              198               3,517
Tejas Gas Corp Del                           Common Stock       879075109                0                   3
TCF Financial Corp.                          Common Stock       872275102            4,476             187,945
Thermo Ecotek Corporation                    Common Stock       88355R106                0                  36
Triteal Corp.                                Common Stock       896937109                0               2,000
Tenneco Automotive Inc                       Common Stock       880349105                0                  23
Terex Corp.                                  Common Stock       880779103                3                 200
Forgotten Woman Inc.                         Common Stock       345902100                0                 500
Teligent Inc. Cl A                           Common Stock       87959Y103              768              11,500
Georgia Pacific Corp. (Timber Group)         Common Stock       373298702                6                 250
Target Corp                                  Common Stock       87612E106           10,176             136,138
Thorn PLC                                    ADR                885197103                1                  53
Thermotrex Corp.                             Common Stock       883666109               31               3,000
Tellabs Inc.                                 Common Stock       879664100               38                 600
Thermolase Corp                              Common Stock       883624108                1                 600
Thermo Electron Corp.                        Common Stock       883556102               28               1,350
Tengasco Inc                                 Common Stock       88033R205               92              10,582
Tribune Co                                   Common Stock       896047107               22                 600
Texas Regional Bancshares Inc.               Common Stock       882673106            4,410             173,345
Transatlantic Holdings, Inc.                 Common Stock       893521104               50                 582
T. Rowe Price Assoc. Inc.                    Common Stock       741477103            3,882              98,278
Transaction System Architects Inc. Cl        Common Stock       893416107              463              16,050
Tetra Technologies Inc Del                   Common Stock       88162F105                3                 200
Time Warner Inc                              Common Stock       887315109               40                 400
Texaco Inc.                                  Common Stock       881694103              351               6,554
TREX MEDICAL CORP                            Common Stock       89531R101                1                 300
Texas Instruments Inc.                       Common Stock       882508104            1,632              10,200
Texas Utilities Co.                          Common Stock       882848104                1                  17
Tyco International LTD                       Foreign Stock      902124106                8                 161
Union Carbide Corp.                          Common Stock       905581104              125               2,151
MediaOne Group Inc.                          Common Stock       58440J104              250               3,092
Unilever N V (NY Shares)                     ADR                904784501              344               7,142
Unumprovident Corp.                          Common Stock       91529Y106              184              10,800
Union Pacific Corp.                          Common Stock       907818108               55               1,416
<CAPTION>
                       Item 1:                            Item 6:                       Item 7:                   Item 8:
                   Name of Issuer                  Investment Discretion                 Other           Voting Authority (Shares)
                                         (a) Sole  (b)Shared as Def  (c)Shared Other    Managers      (a) Sole  (b) Shared  (c) None
- ------------------------------------------------------------------------------------------------------------------------------------
<S>                                           <C>           <C>         <C>               <C>              <C>       <C>        <C>
Sungard Data Systems Inc.                                    X                                             0         65,300     0
Seitel Inc. New                                              X                                             0         25,692     0
Stancorp Financial Group Inc.                                X                                             0        194,850     0
Schering-Plough Corp.                                        X                                             0         44,218     0
Sheldahl Inc                                                 X                                             0            122     0
Shenandoah Telecommunications                                X                                             0            500     0
Stochastic Models Inc                                        X                                             0         35,000     0
Silicon Valley Bancshares                                    X                                             0          9,450     0
Schlumberger Limited                                         X                                             0          7,000     0
SLM Holding Corp.                                            X                                             0         41,213     0
Solectron Corp.                                              X                                             0        217,250     0
Sylvan Learning Systems Inc.                                 X                                             0            375     0
Shared Medical Systems Corp.                                 X                                             0          1,700     0
Synopsys Inc.                                                X                                             0        158,917     0
Source Capital Corp A                                        X                                             0         10,500     0
Southtrust Corp.                                             X                                             0            600     0
Scottich Power PLC                                           X                                             0            196     0
Panamsat Corp New                                            X                                             0         26,200     0
Suntrust Banks Inc.                                          X                                             0        125,862     0
State Street Corp.                                           X                                             0        162,201     0
Summit Bancorp                                               X                                             0            275     0
Sun Communities Inc.                                         X                                             0          2,200     0
Sun Microsystems Inc.                                        X                                             0        144,125     0
Southwest Bancorporation of Texas Inc.                       X                                             0         15,000     0
Safeway Inc.                                                 X                                             0        195,009     0
Sybron International Corp. Wis                               X                                             0          4,000     0
Synergistics Inc.                                            X                                             0      7,578,296     0
AT & T Corp.                                                 X                                             0          3,517     0
Tejas Gas Corp Del                                           X                                             0              3     0
TCF Financial Corp.                                          X                                             0        187,945     0
Thermo Ecotek Corporation                                    X                                             0             36     0
Triteal Corp.                                                X                                             0          2,000     0
Tenneco Automotive Inc                                       X                                             0             23     0
Terex Corp.                                                  X                                             0            200     0
Forgotten Woman Inc.                                         X                                             0            500     0
Teligent Inc. Cl A                                           X                                             0         11,500     0
Georgia Pacific Corp. (Timber Group)                         X                                             0            250     0
Target Corp                                                  X                                             0        136,138     0
Thorn PLC                                                    X                                             0             53     0
Thermotrex Corp.                                             X                                             0          3,000     0
Tellabs Inc.                                                 X                                             0            600     0
Thermolase Corp                                              X                                             0            600     0
Thermo Electron Corp.                                        X                                             0          1,350     0
Tengasco Inc                                                 X                                             0         10,582     0
Tribune Co                                                   X                                             0            600     0
Texas Regional Bancshares Inc.                               X                                             0        173,345     0
Transatlantic Holdings, Inc.                                 X                                             0            582     0
T. Rowe Price Assoc. Inc.                                    X                                             0         98,278     0
Transaction System Architects Inc. Cl                        X                                             0         16,050     0
Tetra Technologies Inc Del                                   X                                             0            200     0
Time Warner Inc                                              X                                             0            400     0
Texaco Inc.                                                  X                                             0          6,554     0
TREX MEDICAL CORP                                            X                                             0            300     0
Texas Instruments Inc.                                       X                                             0         10,200     0
Texas Utilities Co.                                          X                                             0             17     0
Tyco International LTD                                       X                                             0            161     0
Union Carbide Corp.                                          X                                             0          2,151     0
MediaOne Group Inc.                                          X                                             0          3,092     0
Unilever N V (NY Shares)                                     X                                             0          7,142     0
Unumprovident Corp.                                          X                                             0         10,800     0
Union Pacific Corp.                                          X                                             0          1,416     0
</TABLE>
<PAGE>
<TABLE>
<CAPTION>
                       Item 1:                 Item 2:           Item 3:            Item 4:             Item 5:
                   Name of Issuer           Title of Class     CUSIP Number    Fair Market Value       Shares or
                                                                                   (X $1000)        Principal Amt.
- ----------------------------------------------------------------------------------------------------------------------
<S>                                              <C>                <C>                <C>                 <C>
Unapix Entertainment Inc.                    Common Stock       904270105              197             131,265
USA Networks Inc.                            Common Stock       902984103                5                 200
U.S. Bancorp                                 Common Stock       902973106            1,874              85,653
United States Cellular Corp.                 Common Stock       911684108            2,425              34,150
U.S. West Inc.                               Common Stock       91273H101              154               2,125
Vlasic Foods International                   Common Stock       928559103                0                  20
Vodafone Airtouch PLC-Sponsored ADR          ADR                92857T107            5,974             107,525
Vodafone Group PLC                           Foreign Stock      G9387S105                3                 500


Viropro Inc                                  Common Stock       928242106                0                 165
Vitaminshoppe Com Inc                        Common Stock       92848M104                1                 250
Voicestream Wireless Corp                    Common Stock       928615103              515               4,000
Winward Isle Sailing Co.                     Common Stock       W1SQ                     0                   1
Westamerica Bancorp                          Common Stock       957090103              178               6,400
Walgreen Co                                  Common Stock       931422109            9,463             367,484
Wachovia Corp.                               Common Stock       929771103            4,078              60,363
West Coast Bancorp Ore New                   Common Stock       952145100               18               1,817
Winstar Communications Inc                   Common Stock       975515107            5,303              88,375
MCI WorldCom Inc.                            Common Stock       55268B106           11,848             261,466
Waddell & Reed Financial - A                 Common Stock       930059100            5,236             123,735
Wells Fargo Company                          Common Stock       949746101            5,790             141,443
Whole Foods Market Inc                       Common Stock       966837106              226               5,459
Wimberly Res Ltd                             Foreign Stock      972629109                0                  12
Wilmington Trust Corp. New                   Common Stock       971807102            1,929              39,662
Warner Lambert Co.                           Common Stock       934488107              946               9,700
Washington Mutual Inc.                       Common Stock       939322103            1,179              44,475
Wal-Mart Stores Inc.                         Common Stock       931142103           10,514             189,441
Western Wireless Corp Cl A                   Common Stock       95988E204            1,810              39,500
Wrigley (WM) Jr Co                           Common Stock       982526105            9,535             124,127
Xircom Inc                                   Common Stock       983922105                4                 100
XL Capital Ltd - Class A                     Common Stock       G98255105               17                 300
Exxon Mobil Corp.                            Common Stock       30231G102           10,234             131,518
Xoma LTD                                     Common Stock       G9825R107                8               1,000
Exxon Corp.                                  Common Stock       302290101               50                 641
Yahoo Inc                                    Common Stock       984332106               17                 100
Polaris Aircraft Income Fund IV-Units        LTD (GS) P4        731045308                1                  30
Zions BanCorporation                         Common Stock       989701107            7,870             189,070



Grand Total:                                                                       940,970
<CAPTION>
                       Item 1:                            Item 6:                       Item 7:                   Item 8:
                   Name of Issuer                  Investment Discretion                 Other           Voting Authority (Shares)
                                         (a) Sole  (b)Shared as Def  (c)Shared Other    Managers      (a) Sole  (b) Shared  (c) None
- ------------------------------------------------------------------------------------------------------------------------------------
<S>                                          <C>           <C>           <C>              <C>                <C>      <C>      <C>
Unapix Entertainment Inc.                                    X                                             0        131,265     0
USA Networks Inc.                                            X                                             0            200     0
U.S. Bancorp                                                 X                                             0         85,653     0
United States Cellular Corp.                                 X                                             0         34,150     0
U.S. West Inc.                                               X                                             0          2,125     0
Vlasic Foods International                                   X                                             0             20     0
Vodafone Airtouch PLC-Sponsored ADR                          X                                             0        107,525     0
Vodafone Group PLC                                           X                                             0            500     0


Viropro Inc                                                  X                                             0            165     0
Vitaminshoppe Com Inc                                        X                                             0            250     0
Voicestream Wireless Corp                                    X                                             0          4,000     0
Winward Isle Sailing Co.                                     X                                             0              1     0
Westamerica Bancorp                                          X                                             0          6,400     0
Walgreen Co                                                  X                                             0        367,484     0
Wachovia Corp.                                               X                                             0         60,363     0
West Coast Bancorp Ore New                                   X                                             0          1,817     0
Winstar Communications Inc                                   X                                             0         88,375     0
MCI WorldCom Inc.                                            X                                             0        261,466     0
Waddell & Reed Financial - A                                 X                                             0        123,735     0
Wells Fargo Company                                          X                                             0        141,443     0
Whole Foods Market Inc                                       X                                             0          5,459     0
Wimberly Res Ltd                                             X                                             0             12     0
Wilmington Trust Corp. New                                   X                                             0         39,662     0
Warner Lambert Co.                                           X                                             0          9,700     0
Washington Mutual Inc.                                       X                                             0         44,475     0
Wal-Mart Stores Inc.                                         X                                             0        189,441     0
Western Wireless Corp Cl A                                   X                                             0         39,500     0
Wrigley (WM) Jr Co                                           X                                             0        124,127     0
Xircom Inc                                                   X                                             0            100     0
XL Capital Ltd - Class A                                     X                                             0            300     0
Exxon Mobil Corp.                                            X                                             0        131,518     0
Xoma LTD                                                     X                                             0          1,000     0
Exxon Corp.                                                  X                                             0            641     0
Yahoo Inc                                                    X                                             0            100     0
Polaris Aircraft Income Fund IV-Units                        X                                             0             30     0
Zions BanCorporation                                         X                                             0        189,070     0
</TABLE>
<TABLE>
<CAPTION>
FORM 13F            NAME OF REPORTING MANAGER:      LEGG MASON CAPITAL MANAGEMENT - INST. ID# 71102            Run Date: 04/13/2000
                                                    FOR POSITIONS HELD AS OF 03/31/2000                        S.E.C. Use Only


            Item 1:                     Item 2:              Item 3:                  Item 4:                  Item 5:
        Name of Issuer              Title of Class        CUSIP Number           Fair Market Value            Shares or
                                                                                    (X $1000)              Principal Amt.
- -----------------------------------------------------------------------------------------------------------------------------------
<S>                                    <C>                   <C>                        <C>                    <C>       <C>
Alcoa Inc.                             Common Stock          013817101                  154                    2,190     SH
Albertson's Inc.                       Common Stock          013104104              154,334                4,978,500     SH
Abbott Laboratories                    Common Stock          002824100                  352                   10,000     SH
Aetna Inc.                             Common Stock          008117103              132,278                2,375,350     SH
Amazon.com, Inc.                       Common Stock          023135106              115,228                1,719,820     SH
America Online Inc.                    Common Stock          02364J104              426,157                6,336,903     SH
Avon Products Inc.                     Common Stock          054303102                  620                   21,330     SH
American Express Co.                   Common Stock          025816109                   62                      415     SH
Bank of America Corp.                  Common Stock          060505104               82,311                1,569,690     SH
Bell Atlantic Corp.                    Common Stock          077853109                  367                    6,000     SH
Bell & Howell Co.                      Common Stock          077852101                1,342                   42,950     SH
Burlington Northern Santa Fe Corp.     Common Stock          12189T104                  310                   14,000     SH
Berkshire Hathaway Inc. Class A        Common Stock          084670108               40,726                      712     SH
Berkshire Hathaway Inc. Class B        Common Stock          084670207               66,894                   36,755     SH
Bear Stearns Companies, Inc.           Common Stock          073902108               51,611                1,131,204     SH
Citigroup, Inc.                        Common Stock          172967101              172,510                2,908,466     SH
Chubb Corp.                            Common Stock          171232101                  608                    9,000     SH
Cadence Design Systems Inc.            Common Stock          127387108                1,660                   80,000     SH
Cell Genesys Inc.                      Common Stock          150921104                  884                   41,497     SH
Ceridian Corp.                         Common Stock          15677T106                2,047                  106,700     SH
CKE Restaurants Inc.                   Common Stock          12561E105                  856                  134,300     SH
Comerica Inc.                          Common Stock          200340107                  461                   11,000     SH
Chase Manhattan Corp.                  Common Stock          16161A108              175,465                2,012,490     SH
Caremark Rx Inc.                       Common Stock          141705103                1,388                  331,400     SH
Conseco Inc.                           Common Stock          208464107                  267                   23,300     SH
Consolidated Stores Corp.              Common Stock          210149100                4,732                  416,000     SH
Cott Corp.                             Common Stock          22163N106                1,029                  183,000     SH
Cabletron Systems Inc.                 Common Stock          126920107                9,338                  318,550     SH
Delta Air Lines Inc.                   Common Stock          247361108                  607                   11,400     SH
De Beers Cons Mines Ltd ADR N.E.       ADR                   240253302                  466                   20,300     SH
Dana Corp.                             Common Stock          235811106                  395                   14,000     SH
Du Pont (EI) de Nemours and Co.        Common Stock          263534109                  116                    2,185     SH
Dillards Inc.                          Common Stock          254067101                  232                   14,100     SH
Dell Computer Corp.                    Common Stock          247025109              290,160                5,379,503     SH
Danaher Corp.                          Common Stock          235851102               59,414                1,164,982     SH
Enhance Financial Services Group Inc   Common Stock          293310108                3,330                  235,750     SH
Equifax Inc.                           Common Stock          294429105                2,283                   90,400     SH
Eastman Kodak Co.                      Common Stock          277461109               31,214                  574,700     SH
Ford Motor Co.                         Common Stock          345370100                  845                   18,400     SH
Fleet Boston Financial Corp.           Common Stock          339030108              128,379                3,517,229     SH
Federated Department Stores            Common Stock          31410H101                  313                    7,500     SH
Foundation Health Systems              Common Stock          350404109               38,206                4,775,781     SH
FMC Corp.                              Common Stock          302491303                  345                    6,100     SH
Fannie Mae                             Common Stock          313586109              138,669                2,457,012     SH
Finova Group Inc.                      Common Stock          317928109                4,816                  286,450     SH
Freddie Mac                            Common Stock          313400301               40,086                  907,165     SH
First Union Corp.                      Common Stock          337358105                  466                   12,500     SH
Grant Prideco Inc                      Common Stock          38821G101                    2                      120     SH
General Motors Corp.                   Common Stock          370442105              125,567                1,516,267     SH
GTE Corp.                              Common Stock          362320103                  355                    5,000     SH


            Item 1:                                  Item 6:                        Item 7:              Item 8:
        Name of Issuer                          Investment Discretion                Other           Voting Authority (Shares)
                                    (a) Sole (b)Shared as Def (c)Shared Other      Managers   (a) Sole     (b) Shared      (c) None
- ------------------------------------------------------------------------------------------------------------------------------------
Alcoa Inc.                                           X                                              0           2,190            0
Albertson's Inc.                                     X                                              0       4,978,500            0
Abbott Laboratories                                  X                                              0          10,000            0
Aetna Inc.                                           X                                              0       2,375,350            0
Amazon.com, Inc.                                     X                                              0       1,719,820            0
America Online Inc.                                  X                                              0       6,336,903            0
Avon Products Inc.                                   X                                              0          21,330            0
American Express Co.                                 X                                              0             415            0
Bank of America Corp.                                X                                              0       1,569,690            0
Bell Atlantic Corp.                                  X                                              0           6,000            0
Bell & Howell Co.                                    X                                              0          42,950            0
Burlington Northern Santa Fe Corp.                   X                                              0          14,000            0
Berkshire Hathaway Inc. Class A                      X                                              0             712            0
Berkshire Hathaway Inc. Class B                      X                                              0          36,755            0
Bear Stearns Companies, Inc.                         X                                              0       1,131,204            0
Citigroup, Inc.                                      X                                              0       2,908,466            0
Chubb Corp.                                          X                                              0           9,000            0
Cadence Design Systems Inc.                          X                                              0          80,000            0
Cell Genesys Inc.                                    X                                              0          41,497            0
Ceridian Corp.                                       X                                              0         106,700            0
CKE Restaurants Inc.                                 X                                              0         134,300            0
Comerica Inc.                                        X                                              0          11,000            0
Chase Manhattan Corp.                                X                                              0       2,012,490            0
Caremark Rx Inc.                                     X                                              0         331,400            0
Conseco Inc.                                         X                                              0          23,300            0
Consolidated Stores Corp.                            X                                              0         416,000            0
Cott Corp.                                           X                                              0         183,000            0
Cabletron Systems Inc.                               X                                              0         318,550            0
Delta Air Lines Inc.                                 X                                              0          11,400            0
De Beers Cons Mines Ltd ADR N.E.                     X                                              0          20,300            0
Dana Corp.                                           X                                              0          14,000            0
Du Pont (EI) de Nemours and Co.                      X                                              0           2,185            0
Dillards Inc.                                        X                                              0          14,100            0
Dell Computer Corp.                                  X                                              0       5,379,503            0
Danaher Corp.                                        X                                              0       1,164,982            0
Enhance Financial Services Group Inc                 X                                              0         235,750            0
Equifax Inc.                                         X                                              0          90,400            0
Eastman Kodak Co.                                    X                                              0         574,700            0
Ford Motor Co.                                       X                                              0          18,400            0
Fleet Boston Financial Corp.                         X                                              0       3,517,229            0
Federated Department Stores                          X                                              0           7,500            0
Foundation Health Systems                            X                                              0       4,775,781            0
FMC Corp.                                            X                                              0           6,100            0
Fannie Mae                                           X                                              0       2,457,012            0
Finova Group Inc.                                    X                                              0         286,450            0
Freddie Mac                                          X                                              0         907,165            0
First Union Corp.                                    X                                              0          12,500            0
Grant Prideco Inc                                    X                                              0             120            0
General Motors Corp.                                 X                                              0       1,516,267            0
GTE Corp.                                            X                                              0           5,000            0
</TABLE>

<PAGE>

<TABLE>
<CAPTION>
FORM 13F            NAME OF REPORTING MANAGER:      LEGG MASON CAPITAL MANAGEMENT - INST. ID# 71102            Run Date: 04/13/2000
                                                    FOR POSITIONS HELD AS OF 03/31/2000                        S.E.C. Use Only


            Item 1:                     Item 2:              Item 3:                  Item 4:                  Item 5:
        Name of Issuer              Title of Class        CUSIP Number           Fair Market Value            Shares or
                                                                                    (X $1000)              Principal Amt.
- -----------------------------------------------------------------------------------------------------------------------------------
<S>                                    <C>                   <C>                        <C>                    <C>       <C>
Gateway Inc.                           Common Stock          367626108              269,894                5,092,346     SH
Home Depot Inc.                        Common Stock          437076102                  212                    3,285     SH
Hadco Corp.                            Common Stock          404681108                2,772                   42,900     SH
Harley Davidson, Inc.                  Common Stock          412822108                   71                      890     SH
Hollywood Entertainment Corp.          Common Stock          436141105                3,714                  460,600     SH
Starwood Hotels & Resorts Worldwide    Common Stock          85590A203               79,759                3,038,427     SH
Hewlett-Packard Co.                    Common Stock          428236103                  835                    6,300     SH
International Business Machines        Common Stock          459200101              164,426                1,393,437     SH
ICG Communications Inc.                Common Stock          449246107               14,346                  397,114     SH
International Speedway Corp.           Common Stock          460335201                   49                    1,100     SH
Johnson & Johnson                      Common Stock          478160104                  490                    7,000     SH
Kimberly-Clark Corp.                   Common Stock          494368103                  504                    9,000     SH
Kroger Co.                             Common Stock          501044101               64,980                3,699,824     SH
MBNA Corp.                             Common Stock          55262L100               71,935                2,820,973     SH
Liz Claiborne Inc.                     Common Stock          539320101                2,149                   46,900     SH
Lloyds TSB Group PLC                   Foreign Stock         G5542W106               56,733                5,374,455     SH
Manpower Inc.                          Common Stock          56418H100                2,185                   61,550     SH
Mattel Inc.                            Common Stock          577081102               34,555                3,310,490     SH
Mandalay Resort Group                  Common Stock          562567107               59,231                3,509,961     SH
McDonalds Corp.                        Common Stock          580135101                   47                    1,250     SH
McKesson HBOC Inc.                     Common Stock          58155Q103               67,925                3,234,519     SH
MGM Grand Inc.                         Common Stock          552953101               18,437                  768,196     SH
Metro Goldwyn Mayer Inc.               Common Stock          591610100                1,152                   45,302     SH
Minnesota Mining & Manufacturing Co.   Common Stock          604059105                  709                    8,000     SH
Modis Professional Services            Common Stock          607830106                5,915                  477,950     SH
Merck & Co., Inc.                      Common Stock          589331107                  398                    6,400     SH
MGIC Investment Corp.                  Common Stock          552848103              139,712                3,202,563     SH
Micron Electronics Inc.                Common Stock          595100108                  900                   64,300     SH
Morgan St Dean Witter Discover & Co.   Common Stock          617446448                1,060                   13,000     SH
Nokia Corp. Sponsored ADR              ADR                   654902204              136,395                  627,824     SH
Nextel Communications Inc.             Common Stock          65332V103              247,587                1,670,065     SH
Bank One Corp.                         Common Stock          06423A103              144,334                4,198,800     SH
Peoples Heritage Financial Group Inc   Common Stock          711147108                  909                   60,600     SH
Koninklijke Philips Electronics NV A   ADR                   500472204               99,909                  583,193     SH
Pinnacle Entertainment Inc             Common Stock          723456109                4,451                  219,100     SH
Radian Group Inc.                      Common Stock          750236101                7,787                  163,506     SH
Republic Services Inc                  Common Stock          760759100               15,478                1,415,050     SH
SBC Communications Inc.                Common Stock          78387G103                   92                    2,185     SH
Sungard Data Systems Inc.              Common Stock          867363103                8,664                  229,500     SH
Saks Incorporated                      Common Stock          79377W108                  145                   10,000     SH
Sara Lee Corp.                         Common Stock          803111103                  306                   17,000     SH
Storage Technology Corp.               Common Stock          862111200               40,367                2,532,764     SH
Sybase Inc.                            Common Stock          871130100                7,743                  381,200     SH
Symantec Corp.                         Common Stock          871503108               14,251                  189,700     SH
Talk.Com Inc.                          Common Stock          874264104                9,168                  573,000     SH
TJX Companies Inc.                     Common Stock          872540109                3,075                  138,600     SH
Torchmark Corp.                        Common Stock          891027104                  294                   12,700     SH
Telefonos De Mexico SA Spons ADR       ADR                   879403780               68,410                1,021,044     SH
Tommy Hilfiger Corp.                   Common Stock          G8915Z102                  261                   18,000     SH
Toys 'R' Us Inc.                       Common Stock          892335100              122,373                8,261,176     SH
United Asset Management Corp.          Common Stock          909420101                1,331                   76,850     SH
United Dominion Realty Trust           Common Stock          910197102                  504                   50,100     SH
Unisys Corp.                           Common Stock          909214108                  264                   10,350     SH
United Healthcare Corp.                Common Stock          910581107              174,048                2,919,051     SH
Unumprovident Corp.                    Common Stock          91529Y106                2,266                  133,300     SH
Viad Corp.                             Common Stock          92552R109                2,190                   95,750     SH
MCI WorldCom Inc.                      Common Stock          55268B106              203,305                4,486,673     SH


            Item 1:                                  Item 6:                        Item 7:              Item 8:
        Name of Issuer                          Investment Discretion                Other           Voting Authority (Shares)
                                    (a) Sole (b)Shared as Def (c)Shared Other      Managers   (a) Sole     (b) Shared      (c) None
- ------------------------------------------------------------------------------------------------------------------------------------
Gateway Inc.                                         X                                              0       5,092,346            0
Home Depot Inc.                                      X                                              0           3,285            0
Hadco Corp.                                          X                                              0          42,900            0
Harley Davidson, Inc.                                X                                              0             890            0
Hollywood Entertainment Corp.                        X                                              0         460,600            0
Starwood Hotels & Resorts Worldwide                  X                                              0       3,038,427            0
Hewlett-Packard Co.                                  X                                              0           6,300            0
International Business Machines                      X                                              0       1,393,437            0
ICG Communications Inc.                              X                                              0         397,114            0
International Speedway Corp.                         X                                              0           1,100            0
Johnson & Johnson                                    X                                              0           7,000            0
Kimberly-Clark Corp.                                 X                                              0           9,000            0
Kroger Co.                                           X                                              0       3,699,824            0
MBNA Corp.                                           X                                              0       2,820,973            0
Liz Claiborne Inc.                                   X                                              0          46,900            0
Lloyds TSB Group PLC                                 X                                              0       5,374,455            0
Manpower Inc.                                        X                                              0          61,550            0
Mattel Inc.                                          X                                              0       3,310,490            0
Mandalay Resort Group                                X                                              0       3,509,961            0
McDonalds Corp.                                      X                                              0           1,250            0
McKesson HBOC Inc.                                   X                                              0       3,234,519            0
MGM Grand Inc.                                       X                                              0         768,196            0
Metro Goldwyn Mayer Inc.                             X                                              0          45,302            0
Minnesota Mining & Manufacturing Co.                 X                                              0           8,000            0
Modis Professional Services                          X                                              0         477,950            0
Merck & Co., Inc.                                    X                                              0           6,400            0
MGIC Investment Corp.                                X                                              0       3,202,563            0
Micron Electronics Inc.                              X                                              0          64,300            0
Morgan St Dean Witter Discover & Co.                 X                                              0          13,000            0
Nokia Corp. Sponsored ADR                            X                                              0         627,824            0
Nextel Communications Inc.                           X                                              0       1,670,065            0
Bank One Corp.                                       X                                              0       4,198,800            0
Peoples Heritage Financial Group Inc                 X                                              0          60,600            0
Koninklijke Philips Electronics NV A                 X                                              0         583,193            0
Pinnacle Entertainment Inc                           X                                              0         219,100            0
Radian Group Inc.                                    X                                              0         163,506            0
Republic Services Inc                                X                                              0       1,415,050            0
SBC Communications Inc.                              X                                              0           2,185            0
Sungard Data Systems Inc.                            X                                              0         229,500            0
Saks Incorporated                                    X                                              0          10,000            0
Sara Lee Corp.                                       X                                              0          17,000            0
Storage Technology Corp.                             X                                              0       2,532,764            0
Sybase Inc.                                          X                                              0         381,200            0
Symantec Corp.                                       X                                              0         189,700            0
Talk.Com Inc.                                        X                                              0         573,000            0
TJX Companies Inc.                                   X                                              0         138,600            0
Torchmark Corp.                                      X                                              0          12,700            0
Telefonos De Mexico SA Spons ADR                     X                                              0       1,021,044            0
Tommy Hilfiger Corp.                                 X                                              0          18,000            0
Toys 'R' Us Inc.                                     X                                              0       8,261,176            0
United Asset Management Corp.                        X                                              0          76,850            0
United Dominion Realty Trust                         X                                              0          50,100            0
Unisys Corp.                                         X                                              0          10,350            0
United Healthcare Corp.                              X                                              0       2,919,051            0
Unumprovident Corp.                                  X                                              0         133,300            0
Viad Corp.                                           X                                              0          95,750            0
MCI WorldCom Inc.                                    X                                              0       4,486,673            0
</TABLE>

<PAGE>

<TABLE>
<CAPTION>
FORM 13F            NAME OF REPORTING MANAGER:      LEGG MASON CAPITAL MANAGEMENT - INST. ID# 71102            Run Date: 04/13/2000
                                                    FOR POSITIONS HELD AS OF 03/31/2000                        S.E.C. Use Only


            Item 1:                     Item 2:              Item 3:                  Item 4:                  Item 5:
        Name of Issuer              Title of Class        CUSIP Number           Fair Market Value            Shares or
                                                                                    (X $1000)              Principal Amt.
- -----------------------------------------------------------------------------------------------------------------------------------
<S>                                    <C>                   <C>                        <C>                    <C>       <C>
Wellpoint Health Networks Inc.         Common Stock          94973H108                7,428                  106,300     SH
Washington Mutual Inc.                 Common Stock          939322103              150,493                5,678,982     SH
Waste Management Inc.                  Common Stock          94106L109              149,004               10,885,720     SH
Wal-Mart Stores Inc.                   Common Stock          931142103                   39                      700     SH
Watson Pharmaceuticals Inc             Common Stock          942683103                  595                   15,000     SH
WPP Group PLC- Ord                     Foreign Stock       GB0009740423               2,130                  129,000     SH
WPP Group PLC - Sponsored ADR          ADR                   929309300              157,674                1,817,570     SH


Grand Total:                                                                      5,158,615


            Item 1:                                  Item 6:                        Item 7:              Item 8:
        Name of Issuer                          Investment Discretion                Other           Voting Authority (Shares)
                                    (a) Sole (b)Shared as Def (c)Shared Other      Managers   (a) Sole     (b) Shared      (c) None
- -----------------------------------------------------------------------------------------------------------------------------------
Wellpoint Health Networks Inc.                       X                                              0         106,300            0
Washington Mutual Inc.                               X                                              0       5,678,982            0
Waste Management Inc.                                X                                              0      10,885,720            0
Wal-Mart Stores Inc.                                 X                                              0             700            0
Watson Pharmaceuticals Inc                           X                                              0          15,000            0
WPP Group PLC- Ord                                   X                                              0         129,000            0
WPP Group PLC - Sponsored ADR                        X                                              0       1,817,570            0
</TABLE>

<PAGE>
Legg Mason Focus Trust
3/31/00

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
Item 7: Other Managers
Item 8: Voting Authority (Shares)
<TABLE>
<CAPTION>


                           (Item 1)                        (Item 2)             (Item 3)        (Item 4)        (Item 5)
- ---------------------------------------------------------------------------------------------------------------------------

<S>                                                     <C>                    <C>            <C>              <C>
WPP Group plc                                           Sponsored ADRs         929309300      8,675,000.00     100,000.00
Citigroup Inc.                                              Common             172967101     14,531,562.50     245,000.00
Lloyds TSB Group plc                                       Ord shs              87061008     14,368,362.03   1,359,154.00
Gateway Inc.                                                Common             367626108     16,573,100.00     312,700.00
International Business Machines Corporation                Class A             459200101     12,944,600.00     109,700.00
Unisys Corporation                                          Common             909214108      9,580,350.00     375,700.00
Wal- Mart Stores, Inc.                                      Common             931142103     14,541,000.00     262,000.00
Avon Products, Inc.                                         Common              54303102      9,154,687.50     315,000.00
Koninklijke (Royal) Philips Electronics N.V.            Sponsored Adr          500472204      2,141,406.25      12,500.00
American Express Company                                    Common              25816109     13,404,375.00      90,000.00
American International Group, Inc.                          Common              26874107     13,085,250.00     119,500.00
Berkshire Hathaway, Inc.- Class A                          Class A              84670108     28,600,000.00         500
America Online, Inc.                                        Common             02364J104     13,450,000.00     200,000.00
Harley-Davidson, Inc.                                       Common             412822108     10,160,000.00     128,000.00
International Speedway Corporation                          Common             460335201     12,447,687.50     277,000.00
McDonald's Corporation                                      Common             580135101     13,684,018.75     364,300.00
Amazon.com, Inc.                                            Common              23135106      5,025,000.00      75,000.00
MCI WorldCom, Inc.                                          Common             55268B106     11,631,718.75     256,700.00
Nokia Oyj                                                    ADS               654902204      2,172,500.00      10,000.00
                                                                                            ------------------

                                                                                            226,170,618.28
                                                                                            ==================

<CAPTION>

                           (Item 1)                       (Item 6)      (Item 7)                (Item 8)
- --------------------------------------------------------------------------------------------------------------
                                                     A      B    C                    Sole       Shared None
<S>                                                  <C>    <C>  <C>          <C>     <C>
WPP Group plc                                               x                 1          x
Citigroup Inc.                                              x                 1          x
Lloyds TSB Group plc                                        x                 1          x
Gateway Inc.                                                x                 1          x
International Business Machines Corporation                 x                 1          x
Unisys Corporation                                          x                 1          x
Wal- Mart Stores, Inc.                                      x                 1          x
Avon Products, Inc.                                         x                 1          x
Koninklijke (Royal) Philips Electronics N.V.                x                 1          x
American Express Company                                    x                 1          x
American International Group, Inc.                          x                 1          x
Berkshire Hathaway, Inc.- Class A                           x                 1          x
America Online, Inc.                                        x                 1          x
Harley-Davidson, Inc.                                       x                 1          x
International Speedway Corporation                          x                 1          x
McDonald's Corporation                                      x                 1          x
Amazon.com, Inc.                                            x                 1          x
MCI WorldCom, Inc.                                          x                 1          x
Nokia Oyj                                                   x                 1          x
</TABLE>

<PAGE>



Legg Mason Special Investment Trust
3/31/00

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
Item 7: Other Managers
Item 8: Voting Authority (Shares)

<TABLE>
<CAPTION>

                           (Item 1)                        (Item 2)             (Item 3)        (Item 4)         (Item 5)
- -------------------------------------------------------------------------------------------------------------------------------

<S>                                                         <C>                <C>           <C>               <C>
America Online, Inc.                                        Common             02364J104    221,925,000.00     3,300,000.00
Bell & Howell Company                                       Common              77852101     38,150,000.00     1,220,800.00
Cabletron Systems, Inc.                                     Common             126920107    102,593,750.00     3,500,000.00
Cadence Design Systems, Inc.                                Common             127387108     45,650,000.00     2,200,000.00
Caremark Rx, Inc.                                           Common             141705103     37,687,500.00     9,000,000.00
Cell Genesys, Inc.                                          Common             150921104     25,894,687.50     1,215,000.00
Ceridian Corporation                                        Common             15677T106     57,562,500.00     3,000,000.00
CKE Restaurants, Inc.                                       Common             12561E105     25,500,000.00     4,000,000.00
Consolidated Stores Corporation                             Common             210149100     39,649,837.50     3,485,700.00
Cott Corporation                                            Common             22163N106     33,750,000.00     6,000,000.00
Enhance Financial Services Group, Inc.                      Common             293310108     42,375,000.00     3,000,000.00
Equifax Inc.                                                Common             294429105     60,600,000.00     2,400,000.00
Gateway, Inc.                                               Common             367626108    190,800,000.00     3,600,000.00
Hadco Corp.                                                 Common             404681108     81,750,625.00     1,265,000.00
Hollywood Entertainment Corp.                               Common             436141105     30,637,500.00     3,800,000.00
ICG Communications                                          Common             449246107    128,243,750.00     3,550,000.00
Liz Claiborne, Inc.                                         Common             539320101     58,983,593.75     1,287,500.00
Mandalay Resort Group                                       Common             562567107     42,187,500.00     2,500,000.00
Manpower Inc.                                               Common             56418H100     64,059,750.00     1,804,500.00
Micron Electronics, Inc.                                    Common             595100108     22,884,400.00     1,634,600.00
Modis Professional Services, Inc.                           Common             607830106     59,400,000.00     4,800,000.00
Olsen & Associates AG                                       Common             99EXMC906           0              30,000.00
Peoples Heritage Financial Group, Inc.                      Common             711147108     24,000,000.00     1,600,000.00
PhyCor,  Inc.                                               Common             71940F100      1,258,743.75     1,220,600.00
Pinnacle Entertainment, Inc.                                Common             723456109     51,085,937.50     2,515,000.00
Radian Group Inc.                                           Common             750236101     82,721,672.25     1,736,938.00
Republic Services, Inc.                                    Class A             760759100     92,968,750.00     8,500,000.00
Storage Technology Corporation                              Common             862111200     35,062,500.00     2,200,000.00
SunGard Data Systems Inc.                                   Common             867363103     89,278,750.00     2,365,000.00
Sybase, Inc.                                                Common             871130100     75,156,250.00     3,700,000.00
Symantec Corporation                                        Common             871503108    211,476,875.00     2,815,000.00
TALK.com, Inc.                                              Common             874264104     88,000,000.00     5,500,000.00
The FINOVA Group Inc.                                       Common             317928109     42,031,250.00     2,500,000.00
The TJX Companies, Inc.                                     Common             872540109     75,437,500.00     3,400,000.00
United Asset Management Corporation                         Common             909420101     34,625,000.00     2,000,000.00
UnumProvident Corporation                                   Common             91529Y106     59,500,000.00     3,500,000.00
Viad Corp                                                   Common             92552R109     54,900,000.00     2,400,000.00
Wellpoint Health Networks Inc.                             Class A             94973H108     48,912,500.00       700,000.00
WPP Group plc                                               Common              97404008    192,671,640.39    11,102,500.00
                                                                                          ----------------

                                                                                          2,669,372,762.64
                                                                                          =================

<CAPTION>

                           (Item 1)                                 (Item 6)      (Item 7)              (Item 8)
- --------------------------------------------------------------------------------------------------------------------
                                                             A      B      C                    Sole     Shared None
<S>                                                          <C>   <C>     <C>      <C>         <C>      <C>
America Online, Inc.                                                x                 1          x
Bell & Howell Company                                               x                 1          x
Cabletron Systems, Inc.                                             x                 1          x
Cadence Design Systems, Inc.                                        x                 1          x
Caremark Rx, Inc.                                                   x                 1          x
Cell Genesys, Inc.                                                  x                 1          x
Ceridian Corporation                                                x                 1          x
CKE Restaurants, Inc.                                               x                 1          x
Consolidated Stores Corporation                                     x                 1          x
Cott Corporation                                                    x                 1          x
Enhance Financial Services Group, Inc.                              x                 1          x
Equifax Inc.                                                        x                 1          x
Gateway, Inc.                                                       x                 1          x
Hadco Corp.                                                         x                 1          x
Hollywood Entertainment Corp.                                       x                 1          x
ICG Communications                                                  x                 1          x
Liz Claiborne, Inc.                                                 x                 1          x
Mandalay Resort Group                                               x                 1          x
Manpower Inc.                                                       x                 1          x
Micron Electronics, Inc.                                            x                 1          x
Modis Professional Services, Inc.                                   x                 1          x
Olsen & Associates AG                                               x                 1          x
Peoples Heritage Financial Group, Inc.                              x                 1          x
PhyCor,  Inc.                                                       x                 1          x
Pinnacle Entertainment, Inc.                                        x                 1          x
Radian Group Inc.                                                   x                 1          x
Republic Services, Inc.                                             x                 1          x
Storage Technology Corporation                                      x                 1          x
SunGard Data Systems Inc.                                           x                 1          x
Sybase, Inc.                                                        x                 1          x
Symantec Corporation                                                x                 1          x
TALK.com, Inc.                                                      x                 1          x
The FINOVA Group Inc.                                               x                 1          x
The TJX Companies, Inc.                                             x                 1          x
United Asset Management Corporation                                 x                 1          x
UnumProvident Corporation                                           x                 1          x
Viad Corp                                                           x                 1          x
Wellpoint Health Networks Inc.                                      x                 1          x
WPP Group plc                                                       x                 1          x

</TABLE>

<PAGE>


Legg Mason Total Return Trust
3/31/00

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
Item 7: Other Managers
Item 8: Voting Authority (Shares)

<TABLE>
<CAPTION>

                           (Item 1)                        (Item 2)             (Item 3)        (Item 4)         (Item 5)
- -------------------------------------------------------------------------------------------------------------------------------

<S>                                                         <C>                 <C>           <C>               <C>
Abbott Laboratories                                         Common              2824100       6,076,881.25      172,700.00
Albertson's, Inc.                                           Common              13104104      7,750,000.00      250,000.00
American Financial Group, Inc.                              Common              25932104      4,202,150.00      146,800.00
AT&T Corp.                                                  Common              1957109       8,718,750.00      155,000.00
Avon Products, Inc.                                         Common              54303102      2,034,375.00       70,000.00
Bank of America Corporation                                 Common              60505104      3,932,812.50       75,000.00
Bank One Corporation                                        Common             06423A103      6,703,125.00      195,000.00
Bristol-Myers Squibb Company                                Common             110122108      1,732,500.00       30,000.00
Brunswick Corporation                                       Common             117043109      4,223,062.50      223,000.00
Citigroup Inc.                                              Common             172967101      6,969,218.75      117,500.00
Countrywide Credit Industries, Inc.                         Common             222372104      2,725,000.00      100,000.00
Dell Computer Corporation                                   Common             247025109      5,393,750.00      100,000.00
Eastman Kodak Company                                       Common             277461109      5,974,375.00      110,000.00
Edison International                                        Common             281020107      2,277,343.75      137,500.00
Eli Lilly & Company                                         Common             532457108      4,095,000.00       65,000.00
Enhance Financial Services Group, Inc.                      Common             293310108      5,537,000.00      392,000.00
Fannie Mae                                                  Common             313586109      2,821,875.00       50,000.00
FleetBoston Financial Corporation                           Common             339030108      3,650,000.00      100,000.00
Ford Motor Company                                          Common             345370100      4,593,750.00      100,000.00
Gateway, Inc.                                               Common             367626108      5,300,000.00      100,000.00
General Electric Company                                    Common             369604103      6,983,437.50       45,000.00
General Motors Corporation                                  Common             370442105      4,554,687.50       55,000.00
GTE Corporation                                             Common             362320103      4,260,000.00       60,000.00
Hewlett- Packard Company                                    Common             428236103      1,325,625.00       10,000.00
Household International, Inc.                               Common             441815107      1,865,625.00       50,000.00
Intel Corporation                                           Common             458140100      9,895,312.50       75,000.00
International Business Machines Corporation                 Common             459200101     26,550,000.00      225,000.00
IPC Holdings Limited                                        Common             G4933P101      2,508,000.00      209,000.00
Johnson & Johnson                                           Common             478160104      4,554,062.50       65,000.00
Lloyds TSB Group plc                                       ord shrs             87061008     21,620,264.38    2,045,137.00
Mandalay Resort Group                                       Common             562567107      1,687,500.00      100,000.00
Mattel, Inc.                                                Common             577081102      3,340,000.00      320,000.00
Maytag Corporation                                          Common             578592107      3,975,000.00      120,000.00
MCI WorldCom, Inc.                                          Common             55268B106      7,929,687.50      175,000.00
Merck & Co., Inc.                                           Common             589331107      8,386,875.00      135,000.00
MGIC Investment Corporation                                 Common             552848103      2,181,250.00       50,000.00
Mid-America Apartment Communities, Inc.                     Common             59522J103      5,314,500.00      236,200.00
National Golf Properties, Inc.                              Common             63623G109      6,196,587.50      294,200.00
Nationwide Health Properties, Inc.                          Common             638620104      5,138,381.25      492,300.00
Nordstrom Inc.                                              Common             655664100      4,720,000.00      160,000.00
Northrop Grumman Corporation                                Common             666807102      5,029,062.50       95,000.00
Safeway Inc.                                                Common             786514208      4,977,500.00      110,000.00
Saks Incorporated                                           Common             79377W108      3,987,500.00      275,000.00
Sara Lee Corporation                                        Common             803111103      3,780,000.00      210,000.00
SBC Communications Inc.                                     Common             78387G103      4,830,000.00      115,000.00
The Allstate Corporation                                    Common              20002101      4,762,500.00      200,000.00
The Bear Stearns Companies, Inc.                            Common              73902108      1,838,231.25       40,290.00
The Black & Decker Corporation                              Common              91797100      1,878,125.00       50,000.00
The Chase Manhattan Corporation                             Common             16161A108     10,000,406.25      114,700.00
The Hartford Financial Services Group, Inc.                 Common             416515104      2,637,500.00       50,000.00
The Kroger Co.                                              Common             501044101      3,540,600.00      201,600.00
The May Department Stores Company                           Common             577778103      4,275,000.00      150,000.00
The TJX Companies, Inc.                                     Common             872540109      4,484,093.75      202,100.00
The Walt Disney Company                                     Common             254687106      3,103,125.00       75,000.00
Time Warner Inc.                                            Common             887315109      5,000,000.00       50,000.00
Tommy Hilfiger Corporation                                  Common             G8915Z102        725,000.00       50,000.00
Toys "R" Us, Inc.                                           Common             892335100     15,182,812.50    1,025,000.00
Tupperware Corporation                                      Common             899896104      4,440,150.00      280,800.00
Unisys Corporation                                          Common             909214108      3,825,000.00      150,000.00
UnumProvident Corporation                                   Common             91529Y106      6,120,000.00      360,000.00
Washington Mutual, Inc.                                     Common             939322103      9,672,500.00      365,000.00
Waste Management Inc.                                       Common             94106L109      6,570,000.00      480,000.00
Xerox Corporation                                           Common             984121103      3,120,000.00      120,000.00
XL Capital Ltd.                                             Shs A              G98255105      2,270,375.00       41,000.00
                                                                                            --------------

                                                                                            343,747,245.63
                                                                                            ==============


<CAPTION>

                           (Item 1)                                (Item 6)      (Item 7)              (Item 8)
- -------------------------------------------------------------------------------------------------------------------
                                                            A      B      C                    Sole     Shared None
<S>                                                         <C>    <C>    <C>        <C>       <C>      <C>
Abbott Laboratories                                                x                 1          x
Albertson's, Inc.                                                  x                 1          x
American Financial Group, Inc.                                     x                 1          x
AT&T Corp.                                                         x                 1          x
Avon Products, Inc.                                                x                 1          x
Bank of America Corporation                                        x                 1          x
Bank One Corporation                                               x                 1          x
Bristol-Myers Squibb Company                                       x                 1          x
Brunswick Corporation                                              x                 1          x
Citigroup Inc.                                                     x                 1          x
Countrywide Credit Industries, Inc.                                x                 1          x
Dell Computer Corporation                                          x                 1          x
Eastman Kodak Company                                              x                 1          x
Edison International                                               x                 1          x
Eli Lilly & Company                                                x                 1          x
Enhance Financial Services Group, Inc.                             x                 1          x
Fannie Mae                                                         x                 1          x
FleetBoston Financial Corporation                                  x                 1          x
Ford Motor Company                                                 x                 1          x
Gateway, Inc.                                                      x                 1          x
General Electric Company                                           x                 1          x
General Motors Corporation                                         x                 1          x
GTE Corporation                                                    x                 1          x
Hewlett- Packard Company                                           x                 1          x
Household International, Inc.                                      x                 1          x
Intel Corporation                                                  x                 1          x
International Business Machines Corporation                        x                 1          x
IPC Holdings Limited                                               x                 1          x
Johnson & Johnson                                                  x                 1          x
Lloyds TSB Group plc                                               x                 1          x
Mandalay Resort Group                                              x                 1          x
Mattel, Inc.                                                       x                 1          x
Maytag Corporation                                                 x                 1          x
MCI WorldCom, Inc.                                                 x                 1          x
Merck & Co., Inc.                                                  x                 1          x
MGIC Investment Corporation                                        x                 1          x
Mid-America Apartment Communities, Inc.                            x                 1          x
National Golf Properties, Inc.                                     x                 1          x
Nationwide Health Properties, Inc.                                 x                 1          x
Nordstrom Inc.                                                     x                 1          x
Northrop Grumman Corporation                                       x                 1          x
Safeway Inc.                                                       x                 1          x
Saks Incorporated                                                  x                 1          x
Sara Lee Corporation                                               x                 1          x
SBC Communications Inc.                                            x                 1          x
The Allstate Corporation                                           x                 1          x
The Bear Stearns Companies, Inc.                                   x                 1          x
The Black & Decker Corporation                                     x                 1          x
The Chase Manhattan Corporation                                    x                 1          x
The Hartford Financial Services Group, Inc.                        x                 1          x
The Kroger Co.                                                     x                 1          x
The May Department Stores Company                                  x                 1          x
The TJX Companies, Inc.                                            x                 1          x
The Walt Disney Company                                            x                 1          x
Time Warner Inc.                                                   x                 1          x
Tommy Hilfiger Corporation                                         x                 1          x
Toys "R" Us, Inc.                                                  x                 1          x
Tupperware Corporation                                             x                 1          x
Unisys Corporation                                                 x                 1          x
UnumProvident Corporation                                          x                 1          x
Washington Mutual, Inc.                                            x                 1          x
Waste Management Inc.                                              x                 1          x
Xerox Corporation                                                  x                 1          x
XL Capital Ltd.                                                    x                 1          x

</TABLE>

<PAGE>

Legg Mason Value Trust
3/31/00

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
Item 7: Other Managers
Item 8: Voting Authority (Shares)

<TABLE>
<CAPTION>
                           (Item 1)                             (Item 2)             (Item 3)          (Item 4)         (Item 5)
- ------------------------------------------------------------------------------------------------------------------------------------

<S>                                                              <C>                 <C>            <C>               <C>
Aetna Inc.                                                       Common              8117103        334,125,000.00    6,000,000.00
Albertson's,  Inc.                                               Common              13104104       292,844,600.00    9,446,600.00
Amazon.com, Inc.                                                 Common              23135106       214,400,000.00    3,200,000.00
America Online, Inc.                                             Common             02364J104     1,653,677,500.00   24,590,000.00
Bank of America Corporation                                      Common              60505104       209,750,000.00    4,000,000.00
Bank One Corporation                                             Common             06423A103       378,125,000.00   11,000,000.00
Berkshire Hathaway Inc. -  Class A                              Class A              84670108       240,240,000.00        4,200.00
Citigroup Inc.                                                   Common             172967101       421,118,750.00    7,100,000.00
Danaher Corporation                                              Common             235851102       122,400,000.00    2,400,000.00
Dell Computer Corporation                                        Common             247025109       674,218,750.00   12,500,000.00
Fannie Mae                                                       Common             313586109       316,050,000.00    5,600,000.00
FleetBoston Financial Corporation                                Common             339030108       328,500,000.00    9,000,000.00
Foundation Health Systems, Inc.                                  Common             350404109        88,800,000.00   11,100,000.00
Freddie Mac                                                      Common             313400301       114,887,500.00    2,600,000.00
Gateway Inc.                                                     Common             367626108       649,250,000.00   12,250,000.00
General Motors Corporation                                       Common             370442105       248,437,500.00    3,000,000.00
International Business Machines Corporation                      Common             459200101       330,400,000.00    2,800,000.00
Koninklijke (Royal) Philips Electronics N.V.               Sponsored Adr New        500472204       298,769,000.00    1,744,000.00
Lloyds TSB Group plc                                            ord shrs             87061008       297,694,797.49   28,160,000.00
Mandalay Resort Group                                            Common             562567107       118,125,000.00    7,000,000.00
Mattel, Inc.                                                     Common             577081102       104,375,000.00   10,000,000.00
MBNA Corporation                                                 Common             55262L100       163,837,500.00    6,425,000.00
MCI WorldCom, Inc.                                               Common             55268B106       453,125,000.00   10,000,000.00
McKesson HBOC, Inc.                                              Common             58155Q103       169,073,100.00    8,051,100.00
Metro-Goldwyn-Mayer, Inc.                                        Common             591610100        94,233,473.12    3,704,510.00
MGIC Investment Corporation                                      Common             552848103       330,459,375.00    7,575,000.00
MGM Grand, Inc.                                                  Common             552953101        75,716,160.00    3,154,840.00
Nextel Communications, Inc.                                      Common             65332V103       611,901,875.00    4,127,500.00
Nokia Oyj                                                        Common             654902204       412,775,000.00    1,900,000.00
Starwood Hotels & Resorts Worldwide, Inc.                        Class B            85590A203       236,250,000.00    9,000,000.00
Storage Technology Corporation                                   Common             862111200       127,500,000.00    8,000,000.00
Telefonos de Mexico S.A. ADR                                     Common             879403780       214,400,000.00    3,200,000.00
The Bear Stearns Companies, Inc.                                 Common              73902108       150,904,687.50    3,307,500.00
The Chase Manhattan Corporation                                  Common             16161A108       401,062,500.00    4,600,000.00
The Kroger Co.                                                   Common             501044101       128,608,431.25    7,322,900.00
Toys "R" Us, Inc.                                                Common             892335100       232,556,250.00   15,700,000.00
United HealthCare Corporation                                    Common             910581107       411,412,500.00    6,900,000.00
Washington Mutual, Inc.                                          Common             939322103       341,850,000.00   12,900,000.00
Waste Management Inc.                                            Common             94106L109       356,148,750.00   26,020,000.00
WPP Group plc                                                    Common              97404008       517,279,145.39   29,807,665.00
                                                                                                  -----------------

                                                                                                 12,865,282,144.75
                                                                                                  =================

<CAPTION>
                           (Item 1)                                (Item 6)      (Item 7)              (Item 8)
- -------------------------------------------------------------------------------------------------------------------
                                                            A      B      C                    Sole     Shared None
<S>                                                         <C>    <C>    <C>        <C>       <C>      <C>
Aetna Inc.                                                         x                 1          x
Albertson's,  Inc.                                                 x                 1          x
Amazon.com, Inc.                                                   x                 1          x
America Online, Inc.                                               x                 1          x
Bank of America Corporation                                        x                 1          x
Bank One Corporation                                               x                 1          x
Berkshire Hathaway Inc. -  Class A                                 x                 1          x
Citigroup Inc.                                                     x                 1          x
Danaher Corporation                                                x                 1          x
Dell Computer Corporation                                          x                 1          x
Fannie Mae                                                         x                 1          x
FleetBoston Financial Corporation                                  x                 1          x
Foundation Health Systems, Inc.                                    x                 1          x
Freddie Mac                                                        x                 1          x
Gateway Inc.                                                       x                 1          x
General Motors Corporation                                         x                 1          x
International Business Machines Corporation                        x                 1          x
Koninklijke (Royal) Philips Electronics N.V.                       x                 1          x
Lloyds TSB Group plc                                               x                 1          x
Mandalay Resort Group                                              x                 1          x
Mattel, Inc.                                                       x                 1          x
MBNA Corporation                                                   x                 1          x
MCI WorldCom, Inc.                                                 x                 1          x
McKesson HBOC, Inc.                                                x                 1          x
Metro-Goldwyn-Mayer, Inc.                                          x                 1          x
MGIC Investment Corporation                                        x                 1          x
MGM Grand, Inc.                                                    x                 1          x
Nextel Communications, Inc.                                        x                 1          x
Nokia Oyj                                                          x                 1          x
Starwood Hotels & Resorts Worldwide, Inc.                          x                 1          x
Storage Technology Corporation                                     x                 1          x
Telefonos de Mexico S.A. ADR                                       x                 1          x
The Bear Stearns Companies, Inc.                                   x                 1          x
The Chase Manhattan Corporation                                    x                 1          x
The Kroger Co.                                                     x                 1          x
Toys "R" Us, Inc.                                                  x                 1          x
United HealthCare Corporation                                      x                 1          x
Washington Mutual, Inc.                                            x                 1          x
Waste Management Inc.                                              x                 1          x
WPP Group plc                                                      x                 1          x
</TABLE>

<PAGE>

Legg American Leading Companies
3/31/00

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
Item 7: Other Managers
Item 8: Voting Authority (Shares)

<TABLE>
<CAPTION>

                           (Item 1)                        (Item 2)             (Item 3)        (Item 4)         (Item 5)
- ------------------------------------------------------------------------------------------------------------------------------

<S>                                                         <C>                 <C>           <C>                <C>
Aetna Inc.                                                  Common              8117103       2,227,500.00       40,000.00
Albertson's,  Inc.                                          Common              13104104      2,790,000.00       90,000.00
Amazon.com, Inc.                                            Common              23135106      4,020,000.00       60,000.00
America Online, Inc.                                        Common             02364J104     14,122,500.00      210,000.00
AMR Corporation                                             Common              1765106       2,486,250.00       78,000.00
AT&T Corp.                                                  Common              1.96E+06      6,750,000.00      120,000.00
Avon Products, Inc.                                         Common              54303102      4,650,000.00      160,000.00
Bank Of America Corporation                                 Common              60505104      5,191,312.50       99,000.00
Bank One Corporation                                        Common             06423A103      8,800,000.00      256,000.00
Berkshire Hathaway Inc. - Class A                          Class A              84670108      1,144,000.00           20.00
Berkshire Hathaway Inc. - Class B                           Common              84670207     10,920,000.00        6,000.00
Bristol-Myers Squibb Company                                Common             110122108      4,908,750.00       85,000.00
Burlington Northern Santa Fe Corporation                    Common             12189T104      2,655,000.00      120,000.00
Citigroup Inc.                                              Common             172967101     14,590,875.00      246,000.00
Conseco, Inc.                                               Common             208464107      3,088,125.00      270,000.00
Dell Computer Corporation                                   Common             247025109      1,618,125.00       30,000.00
Eastman Kodak Company                                       Common             277461109      2,715,625.00       50,000.00
Equity Office Properties Trust                              Common             294741103      1,562,775.00       62,200.00
Fannie Mae                                                  Common             313586109      5,079,375.00       90,000.00
Ford Motor Company                                          Common             345370100      2,985,937.50       65,000.00
Foundation Health Systems, Inc.                             Common             350404109      5,200,000.00      650,000.00
Gateway, Inc.                                               Common             367626108      9,540,000.00      180,000.00
General Electric Company                                    Common             369604103      4,655,625.00       30,000.00
General Motors Corporation                                  Common             370442105      6,210,937.50       75,000.00
Hewlett-Packard Company                                     Common             428236103      3,711,750.00       28,000.00
Intel Corporation                                           Common             458140100     11,082,750.00       84,000.00
International Business Machines Corporation                 Common             459200101     13,570,000.00      115,000.00
Johnson & Johnson                                           Common             478160104      2,452,187.50       35,000.00
Kimberly-Clark Corporation                                  Common             494368103      2,800,000.00       50,000.00
Koninklijke (Royal) Philips Electronics N.V.                  Adr              500472204     11,820,562.50       69,000.00
Lloyds TSB Group plc                                       ord shrs             87061008      6,765,790.85      640,000.00
MCI WorldCom, Inc.                                          Common             55268B106      7,250,000.00      160,000.00
McKesson HBOC, Inc.                                         Common             58155Q103      4,200,000.00      200,000.00
Mellon Financial Corporation                                Common             58551A108      2,301,000.00       78,000.00
Merck & Co., Inc.                                           Common             589331107      4,845,750.00       78,000.00
MGIC Investment Corporation                                 Common             552848103      8,214,587.50      188,300.00
Microsoft Corporation                                       Common             594918104      7,437,500.00       70,000.00
Minnesota Mining and Manufacturing Company                  Common             604059105      2,922,562.50       33,000.00
Qwest Communications International Inc.                     Common             749121109      5,820,000.00      120,000.00
Sabre Holdings Corporation                                 Class A             785905100      2,082,019.12       56,366.00
Sara Lee Corporation                                        Common             803111103      1,440,000.00       80,000.00
Schering-Plough Corporation                                 Common             806605101      2,940,000.00       80,000.00
Sprint Corporation                                          Common             852061100      2,079,000.00       33,000.00
Starwood Hotels & Resorts Worldwide, Inc.                   Class B            85590A203      4,856,250.00      185,000.00
The Chase Manhattan Corporation                             Common             16161A108     11,595,937.50      133,000.00
The TJX Companies, Inc.                                     Common             872540109      5,824,218.75      262,500.00
Tommy Hilfiger Corporation                                  Common             G8915Z102      2,815,900.00      194,200.00
Toys "R" Us, Inc.                                           Common             892335100      4,043,812.50      273,000.00
Unisys Corporation                                          Common             909214108      5,163,750.00      202,500.00
United HealthCare Corporation                               Common             910581107     10,732,500.00      180,000.00
US WEST, Inc.                                               Common             91273H101      2,614,500.00       36,000.00
Wal-Mart Stores, Inc.                                       Common             931142103      3,885,000.00       70,000.00
Washington Mutual, Inc.                                     Common             939322103      8,665,500.00      327,000.00
Waste Management, Inc.                                      Common             94106L109      3,832,500.00      280,000.00
                                                                                            ------------------

                                                                                            295,678,041.22
                                                                                            ==================

<CAPTION>
                           (Item 1)                                   (Item 6)      (Item 7)              (Item 8)
- ----------------------------------------------------------------------------------------------------------------------
                                                               A      B      C                    Sole     Shared None
<S>                                                                                     <C>
Aetna Inc.                                                            x                 1          x
Albertson's,  Inc.                                                    x                 1          x
Amazon.com, Inc.                                                      x                 1          x
America Online, Inc.                                                  x                 1          x
AMR Corporation                                                       x                 1          x
AT&T Corp.                                                            x                 1          x
Avon Products, Inc.                                                   x                 1          x
Bank Of America Corporation                                           x                 1          x
Bank One Corporation                                                  x                 1          x
Berkshire Hathaway Inc. - Class A                                     x                 1          x
Berkshire Hathaway Inc. - Class B                                     x                 1          x
Bristol-Myers Squibb Company                                          x                 1          x
Burlington Northern Santa Fe Corporation                              x                 1          x
Citigroup Inc.                                                        x                 1          x
Conseco, Inc.                                                         x                 1          x
Dell Computer Corporation                                             x                 1          x
Eastman Kodak Company                                                 x                 1          x
Equity Office Properties Trust                                        x                 1          x
Fannie Mae                                                            x                 1          x
Ford Motor Company                                                    x                 1          x
Foundation Health Systems, Inc.                                       x                 1          x
Gateway, Inc.                                                         x                 1          x
General Electric Company                                              x                 1          x
General Motors Corporation                                            x                 1          x
Hewlett-Packard Company                                               x                 1          x
Intel Corporation                                                     x                 1          x
International Business Machines Corporation                           x                 1          x
Johnson & Johnson                                                     x                 1          x
Kimberly-Clark Corporation                                            x                 1          x
Koninklijke (Royal) Philips Electronics N.V.                          x                 1          x
Lloyds TSB Group plc                                                  x                 1          x
MCI WorldCom, Inc.                                                    x                 1          x
McKesson HBOC, Inc.                                                   x                 1          x
Mellon Financial Corporation                                          x                 1          x
Merck & Co., Inc.                                                     x                 1          x
MGIC Investment Corporation                                           x                 1          x
Microsoft Corporation                                                 x                 1          x
Minnesota Mining and Manufacturing Company                            x                 1          x
Qwest Communications International Inc.                               x                 1          x
Sabre Holdings Corporation                                            x                 1          x
Sara Lee Corporation                                                  x                 1          x
Schering-Plough Corporation                                           x                 1          x
Sprint Corporation                                                    x                 1          x
Starwood Hotels & Resorts Worldwide, Inc.                             x                 1          x
The Chase Manhattan Corporation                                       x                 1          x
The TJX Companies, Inc.                                               x                 1          x
Tommy Hilfiger Corporation                                            x                 1          x
Toys "R" Us, Inc.                                                     x                 1          x
Unisys Corporation                                                    x                 1          x
United HealthCare Corporation                                         x                 1          x
US WEST, Inc.                                                         x                 1          x
Wal-Mart Stores, Inc.                                                 x                 1          x
Washington Mutual, Inc.                                               x                 1          x
Waste Management, Inc.                                                x                 1          x

</TABLE>

<PAGE>

Legg Mason  Value Institutional
3/31/00

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
Item 7: Other Managers
Item 8: Voting Authority (Shares)

<TABLE>
<CAPTION>

                           (Item 1)                      (Item 2)             (Item 3)          (Item 4)         (Item 5)
- ------------------------------------------------------------------------------------------------------------------------------


<S>                                                       <C>                  <C>           <C>                <C>
Aetna Inc.                                                Common               8117103       15,375,263.06      276,099.00
Albertson's, Inc.                                         Common              13104104       12,124,906.00      391,126.00
Amazon.com, Inc.                                          Common              23135106        9,879,619.00      147,457.00
America Online, Inc.                                      Common              02364J104      73,177,415.00    1,088,140.00
Bank of America Corporation                               Common              60505104        9,665,384.87      184,322.00
Bank One Corporation                                      Common              06423A103      17,414,753.12      506,611.00
Berkshire Hathaway Inc. - Class A                         Class A             84670108       10,925,200.00          191.00
Citigroup Inc.                                            Common              172967101      19,405,745.12      327,178.00
Danaher Corporation                                       Common              235851102       5,554,155.00      108,905.00
Dell Computer Corporation                                 Common              247025109      34,980,734.13      648,542.00
Fannie Mae                                                Common              313586109      14,567,196.00      258,112.00
FleetBoston Financial Corporation                         Common              339030108      15,136,367.50      414,695.00
Foundation Health Systems, Inc.                           Common              350404109       4,029,496.00      503,687.00
Freddie Mac                                               Common              313400301       5,295,695.12      119,846.00
Gateway Inc.                                              Common              367626108      29,265,964.00      552,188.00
General Motors Corporation                                Common              370442105      11,273,431.25      136,132.00
International Business Machines Corporation               Common              459200101      15,227,900.00      129,050.00
Koninklijke (Royal) Philips Electronics N.V.           Sponsored Adr          500472204      13,557,328.62       79,138.00
Lloyds TSB Group plc                                     ord shrs             87061008       13,822,034.99    1,307,475.00
Mandalay Resort Group                                     Common              562567107       5,442,862.50      322,540.00
Mattel, Inc.                                              Common              577081102       4,811,885.81      461,019.00
MBNA Corporation                                          Common              55262L100       7,434,474.00      291,548.00
MCI WorldCom, Inc.                                        Common              55268B106      20,879,909.37      460,798.00
McKesson HBOC, Inc.                                       Common              58155Q103       7,790,265.00      370,965.00
Metro-Goldwyn-Mayer, Inc.                                 Common              591610100       4,342,333.87      170,706.00
MGIC Investment Corporation                               Common              552848103      15,205,973.63      348,561.00
MGM Grand, Inc.                                           Common              552953101       3,487,920.00      145,330.00
Nextel Communications, Inc.                               Common              65332V103      27,005,961.25      182,165.00
Nokia Oyj                                                 Common              654902204      17,874,895.50       82,278.00
Starwood Hotels & Resorts Worldwide, Inc.                  Common             85590A203      10,885,743.75      414,695.00
Storage Technology Corporation                            Common              862111200       5,785,599.37      363,018.00
Telefonos de Mexico S.A. ADR                                Adr               879403780       9,879,619.00      147,457.00
The Bear Stearns Companies, Inc.                          Common              73902108        6,793,380.00      148,896.00
The Chase Manhattan Corporation                           Common              16161A108      18,478,082.81      211,935.00
The Kroger Co.                                            Common              501044101       5,927,361.31      337,501.00
Toys "R" Us, Inc.                                         Common              892335100      10,648,469.25      718,884.00
United HealthCare Corporation                             Common              910581107      18,954,727.87      317,899.00
Washington Mutual, Inc.                                   Common              939322103      15,363,454.50      579,753.00
Waste Management, Inc.                                    Common              94106L109      15,758,651.44    1,151,317.00
WPP Group plc                                             Common              97404008       20,418,178.61    1,176,576.00
                                                                                            --------------

                                                                                            583,848,337.62
                                                                                            ==============




<CAPTION>

                           (Item 1)                        (Item 6)      (Item 7)              (Item 8)
- ------------------------------------------------------------------------------------------------------------
                                                    A      B      C                    Sole     Shared None

<S>                                                 <C>    <C>    <C>        <C>       <C>      <C>
Aetna Inc.                                                 x                 1                    x
Albertson's, Inc.                                          x                 1                    x
Amazon.com, Inc.                                           x                 1                    x
America Online, Inc.                                       x                 1                    x
Bank of America Corporation                                x                 1                    x
Bank One Corporation                                       x                 1                    x
Berkshire Hathaway Inc. - Class A                          x                 1                    x
Citigroup Inc.                                             x                 1                    x
Danaher Corporation                                        x                 1                    x
Dell Computer Corporation                                  x                 1                    x
Fannie Mae                                                 x                 1                    x
FleetBoston Financial Corporation                          x                 1                    x
Foundation Health Systems, Inc.                            x                 1                    x
Freddie Mac                                                x                 1                    x
Gateway Inc.                                               x                 1                    x
General Motors Corporation                                 x                 1                    x
International Business Machines Corporation                x                 1                    x
Koninklijke (Royal) Philips Electronics N.V.               x                 1                    x
Lloyds TSB Group plc                                       x                 1                    x
Mandalay Resort Group                                      x                 1                    x
Mattel, Inc.                                               x                 1                    x
MBNA Corporation                                           x                 1                    x
MCI WorldCom, Inc.                                         x                 1                    x
McKesson HBOC, Inc.                                        x                 1                    x
Metro-Goldwyn-Mayer, Inc.                                  x                 1                    x
MGIC Investment Corporation                                x                 1                    x
MGM Grand, Inc.                                            x                 1                    x
Nextel Communications, Inc.                                x                 1                    x
Nokia Oyj                                                  x                 1                    x
Starwood Hotels & Resorts Worldwide, Inc.                  x                 1                    x
Storage Technology Corporation                             x                 1                    x
Telefonos de Mexico S.A. ADR                               x                 1                    x
The Bear Stearns Companies, Inc.                           x                 1                    x
The Chase Manhattan Corporation                            x                 1                    x
The Kroger Co.                                             x                 1                    x
Toys "R" Us, Inc.                                          x                 1                    x
United HealthCare Corporation                              x                 1                    x
Washington Mutual, Inc.                                    x                 1                    x
Waste Management, Inc.                                     x                 1                    x
WPP Group plc                                              x                 1                    x
</TABLE>

<PAGE>


Legg Mason Balanced Trust
3/31/00

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
Item 7: Other Managers
Item 8: Voting Authority (Shares)

<TABLE>
<CAPTION>

                           (Item 1)                      (Item 2)             (Item 3)          (Item 4)         (Item 5)
- -----------------------------------------------------------------------------------------------------------------------------

<S>                                                       <C>                 <C>              <C>               <C>
Time Warner, Inc.                                         Common              887315109        650,000.00         6,500.00
Ford Motor Company                                        Common              345370100        780,937.50        17,000.00
Dell Computer Corporation                                 Common              247025109        744,337.50        13,800.00
International Business Machines Corporation               Common              459200101        566,400.00         4,800.00
Microsoft Corporation                                     Common              594918104        637,500.00         6,000.00
Martin Marietta Materials, Inc.                           Common              573284106        736,250.00        15,500.00
Emerson Electric Co.                                      Common              291011104        454,725.00         8,600.00
Intel Corporation                                         Common              458140100        659,687.50         5,000.00
Atlantic Richfield Company (ARCO)                         Common              48825103         484,500.00         5,700.00
Total Fina SA ADR                                           Adr               8.92E+113        552,187.50         7,500.00
The Walt Disney Company                                   Common              254687106        620,625.00        15,000.00
Citigroup Inc.                                            Common              172967101      1,209,975.00        20,400.00
Fannie Mae                                                Common              313586109      1,128,750.00        20,000.00
Marshall & Ilsley Corporation                             Common              571834100        577,500.00        10,000.00
Mellon Financial Corporation                              Common              58551A108        560,500.00        19,000.00
Anheuser-Busch Companies, Inc.                            Common              35229103         647,400.00        10,400.00
McDonald's Corporation                                    Common              580135101        484,556.25        12,900.00
SYSCO Corporation                                         Common              871829107        499,625.00        14,000.00
Abbott Laboratories                                       Common               2824100         686,156.25        19,500.00
Johnson & Johnson                                         Common              478160104        448,400.00         6,400.00
Dover Corporation                                         Common              260003108        622,375.00        13,000.00
Tyco International Ltd.                                   Common              902124106        718,200.00        14,400.00
Texaco, Inc.                                              Common              881694103        429,000.00         8,000.00
Merck & Co., Inc.                                         Common              589331107        689,587.50        11,100.00
Chateau Communities, Inc.                                 Common              161726104        510,000.00        20,000.00
CVS Corporation                                           Common              126650100        488,312.50        13,000.00
The Home Depot,  Inc.                                     Common              437076102        483,750.00         7,500.00
Charter One Financial, Inc.                               Common              160903100        916,650.00        43,650.00
Cintas Corporation                                        Common              172908105        634,837.50        16,200.00
AT&T Corp.                                                Common               1957109       1,068,750.00        19,000.00
BroadWing Inc.                                            Common              111620100        520,625.00        14,000.00
Lucent Technologies Inc.                                  Common              549463107        486,000.00         8,000.00
MCI WorldCom, Inc.                                        Common              55268B106        509,765.62        11,250.00
Nortel Networks Corporation                               Common              656569100        592,200.00         4,700.00
Kansas City Southern Industries, Inc.                     Common              485170104        661,718.75         7,700.00
Union Pacific Corporation                                 Common              907818108        547,750.00        14,000.00
                                                                                            ------------------

                                                                                            23,009,534.37
                                                                                            ==================

<CAPTION>

                           (Item 1)                                (Item 6)      (Item 7)              (Item 8)
- -------------------------------------------------------------------------------------------------------------------
                                                            A      B      C                    Sole     Shared None
<S>                                                         <C>    <C>    <C>        <C>       <C>      <C>
Time Warner, Inc.                                                  x                 1                    x
Ford Motor Company                                                 x                 1                    x
Dell Computer Corporation                                          x                 1                    x
International Business Machines Corporation                        x                 1                    x
Microsoft Corporation                                              x                 1                    x
Martin Marietta Materials, Inc.                                    x                 1                    x
Emerson Electric Co.                                               x                 1                    x
Intel Corporation                                                  x                 1                    x
Atlantic Richfield Company (ARCO)                                  x                 1                    x
Total Fina SA ADR                                                  x                 1                    x
The Walt Disney Company                                            x                 1                    x
Citigroup Inc.                                                     x                 1                    x
Fannie Mae                                                         x                 1                    x
Marshall & Ilsley Corporation                                      x                 1                    x
Mellon Financial Corporation                                       x                 1                    x
Anheuser-Busch Companies, Inc.                                     x                 1                    x
McDonald's Corporation                                             x                 1                    x
SYSCO Corporation                                                  x                 1                    x
Abbott Laboratories                                                x                 1                    x
Johnson & Johnson                                                  x                 1                    x
Dover Corporation                                                  x                 1                    x
Tyco International Ltd.                                            x                 1                    x
Texaco, Inc.                                                       x                 1                    x
Merck & Co., Inc.                                                  x                 1                    x
Chateau Communities, Inc.                                          x                 1                    x
CVS Corporation                                                    x                 1                    x
The Home Depot,  Inc.                                              x                 1                    x
Charter One Financial, Inc.                                        x                 1                    x
Cintas Corporation                                                 x                 1                    x
AT&T Corp.                                                         x                 1                    x
BroadWing Inc.                                                     x                 1                    x
Lucent Technologies Inc.                                           x                 1                    x
MCI WorldCom, Inc.                                                 x                 1                    x
Nortel Networks Corporation                                        x                 1                    x
Kansas City Southern Industries, Inc.                              x                 1                    x
Union Pacific Corporation                                          x                 1                    x
</TABLE>

<PAGE>


Legg Mason High Yield
3/31/00

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
Item 7: Other Managers
Item 8: Voting Authority (Shares)

<TABLE>
<CAPTION>

                           (Item 1)                      (Item 2)             (Item 3)          (Item 4)         (Item 5)
- -----------------------------------------------------------------------------------------------------------------------------

<S>                                                       <C>                  <C>            <C>               <C>
Global Crossing Limited                                   Common              G3921A100       7,578,022.50      185,112.00
International Fast Foods Corporation                      Common              45950Q107          38,359.50       51,146.00
Source Media, Inc.                                        Common              836153304         685,781.23       49,875.00
Unigene Labs, Inc.                                        Common              904753100       1,266,437.50      440,500.00

                                                                                              9,568,600.73
                                                                                            ==================


                           (Item 1)                                (Item 6)      (Item 7)              (Item 8)
- -------------------------------------------------------------------------------------------------------------------
                                                            A      B      C                    Sole     Shared None
<S>                                                         <C>    <C>    <C>        <C>       <C>      <C>
Global Crossing Limited                                            x                 1          x
International Fast Foods Corporation                               x                 1          x
Source Media, Inc.                                                 x                 1          x
Unigene Labs, Inc.                                                 x                 1          x
</TABLE>





<PAGE>


Legg Mason Opportunity Trust
3/31/00

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
Item 7: Other Managers
Item 8: Voting Authority (Shares)

<TABLE>
<CAPTION>

                           (Item 1)                        (Item 2)             (Item 3)        (Item 4)         (Item 5)
- ------------------------------------------------------------------------------------------------------------------------------

<S>                                                     <C>                     <C>          <C>               <C>
Abercrombie & Fitch Co.                                 Common Class A          2896207      24,000,000.00     1,500,000.00
Acxiom Corporation                                          Common              5125109      21,004,025.00       631,700.00
Amazon.com, Inc.                                            Common              23135106      6,030,000.00        90,000.00
America Online, Inc.                                        Common             02364J104     18,493,750.00       275,000.00
Ames Department Stores, Inc.                              Common New            30789507     25,176,562.50     1,025,000.00
AmSouth Bancorporation                                      Common              32165102     20,912,500.00     1,400,000.00
China Telecom (Hong Kong) Limited                American Depository Receipts  169428109      1,772,500.00        10,000.00
Gateway, Inc.                                               Common             367626108     30,475,000.00       575,000.00
Globalstar LP/Capital, 13.375% due 2/15/04                  Common             379363AK0      5,760,000.00    16,000,000.00
Lloyds TSB Group plc                                        Common              87061008     11,628,703.03     1,100,000.00
Mandalay Resort Group                                       Common             562567107     14,765,625.00       875,000.00
Republic Services, Inc.                                    Class A             760759100     32,812,500.00     3,000,000.00
The CIT Group, Inc.                                        Class A             125577106     14,137,500.00       725,000.00
The FINOVA Group Inc.                                       Common             317928109     20,914,750.00     1,244,000.00
Toys "R" Us, Inc.                                           Common             892335100     23,700,000.00     1,600,000.00
Tricon Global Restaurants, Inc.                             Common             895953107     24,850,000.00       800,000.00
Tupperware Corporation                                      Common             899896104     21,742,187.50     1,375,000.00
U. S.  Foodservice                                          Common             90331R101     25,750,000.00     1,000,000.00
U.S. Bancorp                                                Common             902973106     26,796,875.00     1,225,000.00
UnumProvident Corporation                                   Common             91529Y106     23,800,000.00     1,400,000.00
Viad Corp.                                                  Common             92552R109     16,225,237.50       709,300.00
Washington Mutual Inc.                                      Common             939322103     21,862,500.00       825,000.00
WestPoint Stevens Inc.                                      Common             961238102     15,467,900.00       814,100.00

                                                                                            448,078,115.53
                                                                                            ==================


<CAPTION>
<CAPTION>

                           (Item 1)                        (Item 6)      (Item 7)              (Item 8)
- ---------------------------------------------------------------------------------------------------------------------
                                                    A      B      C                    Sole     Shared      None
<S>                                                 <C>    <C>    <C>        <C>        <C>     <C>
Abercrombie & Fitch Co.                                    x                 1          x
Acxiom Corporation                                         x                 1          x
Amazon.com, Inc.                                           x                 1          x
America Online, Inc.                                       x                 1          x
Ames Department Stores, Inc.                               x                 1          x
AmSouth Bancorporation                                     x                 1          x
China Telecom (Hong Kong) Limited                          x                 1          x
Gateway, Inc.                                              x                 1          x
Globalstar LP/Capital, 13.375% due 2/15/04                 x                 1          x
Lloyds TSB Group plc                                       x                 1          x
Mandalay Resort Group                                      x                 1          x
Republic Services, Inc.                                    x                 1          x
The CIT Group, Inc.                                        x                 1          x
The FINOVA Group Inc.                                      x                 1          x
Toys "R" Us, Inc.                                          x                 1          x
Tricon Global Restaurants, Inc.                            x                 1          x
Tupperware Corporation                                     x                 1          x
U. S.  Foodservice                                         x                 1          x
U.S. Bancorp                                               x                 1          x
UnumProvident Corporation                                  x                 1          x
Viad Corp.                                                 x                 1          x
Washington Mutual Inc.                                     x                 1          x
WestPoint Stevens Inc.                                     x                 1          x
</TABLE>
<TABLE>
<CAPTION>
            FORM 13F             NAME OF REPORTING MANAGER: LEGG MASON WOOD WALKER (IMS)                     Run Date: 04/13/2000
                                                            FOR POSITIONS HELD AS OF 03/31/2000              S.E.C. Use Only

                        Item 1:            Item 2:           Item 3:         Item 4:            Item 5:
                    Name of Issuer      Title of Class    CUSIP Number  Fair Market Value      Shares or
                                                                           (X $1000)         Principal Amt.

- -----------------------------------------------------------------------------------------------------------
<S>                                      <C>                 <C>                    <C>             <C>
Escrow Charter Federal Savings           Common Stock        161223987              0               318
Medialliance Inc. Liquidating            Common Stock        584022990              0             2,500
Merrill Lynch Pfd Cap Tr V               PFD QTR 30/360      59021K205              9               400
Hire Quality Inc Cl B                    Common Stock        8L24130                0                75
Boston Capital Tax Credit Fund II LP     LTD Part  P12       8S00052                0             1,000
Escrow Cafe Ones LP LTD Partnership      LTD Part  P4        8S00076                0             1,000
Warren Ehret Co.                         PFD QTR 30/360      8S00431                0                 3
Resource Bank Mandeville LA              Common Stock        8S00732                0            24,000
Astron Corp.                             Common Stock        8S00961                0             4,000
State Bank of Commerce Slidell LA        Common Stock        8S01071                0             5,000
System Planning Corp Inc                 Common Stock        8S01086                0             4,093
Triangle Biomedical Sciences             Common Stock        8S01111                0               289
Hethwood INcome Partners Ltd             LTD Part P2         8S01155                0                 1
Harbor Bank Outside Purchase             Common Stock        8S01447               18             1,000
Cellular Radio Corp Inc                  Common Stock        8S01656                0            25,000
Ni-Cal Technology Ltd                    Common Stock        8S01690                0                25
Development Partners                     Common Stock        8S01811                0                 5
Technology Funding Secured Investors     Common Stock        8S02033                0               300
Centreville Square LP Outside Purchase   Common Stock        8S02231                0                 1
Centrigen Inc. Ser A                     Common Stock        8S02340                0            47,774
EB2B                                     Common Stock        8S02383                0             5,000
The Independence Thrift Company          Common Stock        8S02390                0                45
Consolidated Oil Corp                    Common Stock        8S03025                0                 0
First National Bank of Wyoming, Del.     Common Stock        8S03133                0                20
Bridgeview Inc                           Common Stock        8S03534                0             1,000
Keefe Offshore Fund LTD                  Common Stock        8S04075                0                 4
Houston Spec ASO LLC                     Common Stock        8S04644                0               100
U.S. Fleet Services Inc.                 Common Stock        8S04894                0                 4
All America Financial Life Insurance     Common Stock        78444H912              0           500,000
Agilent Technologies Inc                 Common Stock        00846U101          3,370            32,400
Alabama Railroad Co. - Iowa Pfd          PFD QTR 30/360      01039N300              0                 1
Akers Laboratories Inc                   Common Stock        00972M105              0            15,000
American Sts Wtr Co Pfd 4%               PFD QTR 30/360      029899200              0                85
Allaire Corp                             Common Stock        016714107             23               300
Amr Corp                                 PFD QTR 30/360      001765866             10               440
Aames Finl Corp. Pfd Conv Ser C          PreferdStk Conv     00253A200              0             1,000
Axcan Pharma Inc.                        Common Stock        054923107             16             2,150
Alabama & Florida Railway Co.            Common Stock        010210201              0                 4
Astra AB - Spons ADR A                   ADR                 046298105              0                 0
Alcoa Inc.                               Common Stock        013817101          3,289            46,817
Arcadia Financial Limited                Common Stock        039101100              7             1,400
Applied Analytical Inds Inc              Common Stock        037939105             10             1,000
Airtran Holdings Inc.                    Common Stock        00949P108             50            11,240
Aames Financial Corp.                    Common Stock        00253A101              1             1,000
ABN AMRO Capital FDG Trust I 7.5% Pfd    PFD QTR 30/360      00371Q202             36             1,700
Abn Amro Cap Fdg Tr Ii                   PFD QTR 30/360      00371T206             38             1,900
Amway Asia Pacific LTD                   Foreign Stock       G0352M108              2               100
Apple Computer                           Common Stock        037833100          4,477            32,961
Anglo American Platinum Corp             ADR                 034855106             27             1,000
Advanced Aerodynamics &Str -A            Common Stock        00750B107             27             5,500

                        Item 1:                     Item 6:                Item 7:              Item 8:
                    Name of Issuer            Investment Discretion         Other        Voting Authority (Shares)
                                        (a) Sole (b)Shared as (c)Shared    Managers   (a) Sole  (b) Shared  (c) None
                                                      Def        Other
- -------------------------------------------------------------------------------------------------------------------
Escrow Charter Federal Savings                        X                                   0            318      0
Medialliance Inc. Liquidating                         X                                   0          2,500      0
Merrill Lynch Pfd Cap Tr V                            X                                   0            400      0
Hire Quality Inc Cl B                                 X                                   0             75      0
Boston Capital Tax Credit Fund II LP                  X                                   0          1,000      0
Escrow Cafe Ones LP LTD Partnership                   X                                   0          1,000      0
Warren Ehret Co.                                      X                                   0              3      0
Resource Bank Mandeville LA                           X                                   0         24,000      0
Astron Corp.                                          X                                   0          4,000      0
State Bank of Commerce Slidell LA                     X                                   0          5,000      0
System Planning Corp Inc                              X                                   0          4,093      0
Triangle Biomedical Sciences                          X                                   0            289      0
Hethwood INcome Partners Ltd                          X                                   0              1      0
Harbor Bank Outside Purchase                          X                                   0          1,000      0
Cellular Radio Corp Inc                               X                                   0         25,000      0
Ni-Cal Technology Ltd                                 X                                   0             25      0
Development Partners                                  X                                   0              5      0
Technology Funding Secured Investors                  X                                   0            300      0
Centreville Square LP Outside Purchase                X                                   0              1      0
Centrigen Inc. Ser A                                  X                                   0         47,774      0
EB2B                                                  X                                   0          5,000      0
The Independence Thrift Company                       X                                   0             45      0
Consolidated Oil Corp                                 X                                   0              0      0
First National Bank of Wyoming, Del.                  X                                   0             20      0
Bridgeview Inc                                        X                                   0          1,000      0
Keefe Offshore Fund LTD                               X                                   0              4      0
Houston Spec ASO LLC                                  X                                   0            100      0
U.S. Fleet Services Inc.                              X                                   0              4      0
All America Financial Life Insurance                  X                                   0        500,000      0
Agilent Technologies Inc                              X                                   0         32,400      0
Alabama Railroad Co. - Iowa Pfd                       X                                   0              1      0
Akers Laboratories Inc                                X                                   0         15,000      0
American Sts Wtr Co Pfd 4%                            X                                   0             85      0
Allaire Corp                                          X                                   0            300      0
Amr Corp                                              X                                   0            440      0
Aames Finl Corp. Pfd Conv Ser C                       X                                   0          1,000      0
Axcan Pharma Inc.                                     X                                   0          2,150      0
Alabama & Florida Railway Co.                         X                                   0              4      0
Astra AB - Spons ADR A                                X                                   0              0      0
Alcoa Inc.                                            X                                   0         46,817      0
Arcadia Financial Limited                             X                                   0          1,400      0
Applied Analytical Inds Inc                           X                                   0          1,000      0
Airtran Holdings Inc.                                 X                                   0         11,240      0
Aames Financial Corp.                                 X                                   0          1,000      0
ABN AMRO Capital FDG Trust I 7.5% Pfd                 X                                   0          1,700      0
Abn Amro Cap Fdg Tr Ii                                X                                   0          1,900      0
Amway Asia Pacific LTD                                X                                   0            100      0
Apple Computer                                        X                                   0         32,961      0
Anglo American Platinum Corp                          X                                   0          1,000      0
Advanced Aerodynamics &Str -A                         X                                   0          5,500      0
</TABLE>

<PAGE>


<TABLE>
<CAPTION>
            FORM 13F             NAME OF REPORTING MANAGER: LEGG MASON WOOD WALKER (IMS)                     Run Date: 04/13/2000
                                                            FOR POSITIONS HELD AS OF 03/31/2000              S.E.C. Use Only

                        Item 1:            Item 2:           Item 3:         Item 4:            Item 5:
                    Name of Issuer      Title of Class    CUSIP Number  Fair Market Value      Shares or
                                                                           (X $1000)         Principal Amt.

- -----------------------------------------------------------------------------------------------------------
<S>                                      <C>                 <C>                    <C>             <C>
American Acces Technologies              Common Stock        02368F108             27             2,000
Anglo American PLC                       ADR                 03485P102            502            10,912
Abacan Resource Corp. New                Foreign Stock       002919108              3           101,050
Abington Bancorp Inc.                    Common Stock        00350P100            106            10,910
ABC Dispensing Techologies Inc           Common Stock GS     000573105              1             1,600
ABC-NACO Inc                             Common Stock        000752105            231            26,415
Airborne Freight Corp.                   Common Stock        009266107            272            11,345
American Business Finl Svcs              Common Stock        02476B106            124             7,000
Arkansas Best Corp. - Del                Common Stock        040790107            599            57,000
Arkansas Best Corp. Conv PFD Ser A       PreferdStk Conv     040790206              7               185
Abgenix Inc.                             Common Stock        00339B107             97               704
American Bk Nt Holographics              Common Stock        024377103             29            10,000
Adelphia Business Solutions              Common Stock        006847107             16               260
Ambac Financial Group, Inc.              Common Stock        023139108            516            10,248
ABM Industries Inc.                      Common Stock        000957100             42             1,800
Abiomed Inc                              Common Stock        003654100            703            17,350
ABN Amro Hldg NV Sponsored ADR           ADR                 000937102            481            21,273
American Business Products Inc.          Common Stock        024763104              5               265
Ambra Rty Inc Com New                    Common Stock        023316300              8            32,000
Albertson's Inc.                         Common Stock        013104104          3,144           101,420
Aurora Biosciences Corp                  Common Stock        051920106             91             2,230
Abbott Laboratories                      Common Stock        002824100         22,275           633,031
Alpha Beta Technology Inc.               Common Stock        02071K105              0               800
Autobytel.Com Inc.                       Common Stock        05275N106              7               860
Agribiotech Inc                          Common Stock        008494106              1            10,425
Barrick Gold Corp.                       Foreign Stock       067901108             85             5,400
Abitibi-Consolidated Inc.                Foreign Stock       003924107             93             9,773
Abbey National PLC Spons ADR             ADR                 002920106            131             4,995
Alliance Capital Management - LP Unit    LTD Part  P4        01855A101          1,365            32,930
Alabama Power Co. 7.00% Ser B Pfd        PFD QTR 30/360      010392637             33             1,600
Atlantic Coast Airlines                  Common Stock        048396105              8               300
American Capital Strategies              Common Stock        024937104            919            36,200
Arctic Cat Inc                           Common Stock        039670104             13             1,300
Access Power Inc                         Common Stock        00431N108              0               300
Ace*Comm Corp                            Common Stock        004404109             11             1,000
Alfacell Corp.                           Common Stock        015404106              4             2,000
Aceto Corp.                              Common Stock        004446100             13             1,400
Americredit Corp.                        Common Stock        03060R101            538            32,970
Acm Government Income Fund Inc.          MutualFdFiClose     000912105            154            21,648
Arch Coal Inc                            Common Stock        039380100              3               455
Armstrong World Industries Inc.          Common Stock        042476101            284            15,900
ACE LTD                                  Common Stock        G0070K103            539            23,563
Aclara Biosciences Inc                   Common Stock        00461P106             99             2,500
Accent Color Sciences Inc                Common Stock        004305108              4             5,000
Accom Inc                                Common Stock        004334108              3             1,000
Agency Com Ltd                           Common Stock        008447104             12               433
American Real Estate Partners            LTD Part  P0        029169109              4               500
Anderson Computers Tidalwave             Common Stock        033614108              0             2,000
American Retirement Corp.                Common Stock        028913101              9             1,000
Acacia Research Corp.                    Common Stock        003881109          2,216            51,900
Acrodyne Communications Inc.             Common Stock        00500E104              1               150
Affiliated Computer Services             Common Stock        008190100            929            24,447
Actfit Com Inc                           Foreign Stock       00503P106              4             7,500
Actel Corp                               Common Stock        004934105             61             1,700
Action Performance Cos Inc.              Common Stock        004933107            192            14,400
Actuate Corp                             Common Stock        00508B102          1,388            25,784
Alberto Culver Co Cl B Conv              Common Stock        013068101             17               700

                        Item 1:                      Item 6:                Item 7:              Item 8:
                    Name of Issuer             Investment Discretion         Other        Voting Authority (Shares)
                                         (a) Sole (b)Shared as (c)Shared    Managers   (a) Sole  (b) Shared  (c) None
                                                       Def        Other
- --------------------------------------------------------------------------------------------------------------------
American Acces Technologies                            X                                   0          2,000      0
Anglo American PLC                                     X                                   0         10,912      0
Abacan Resource Corp. New                              X                                   0        101,050      0
Abington Bancorp Inc.                                  X                                   0         10,910      0
ABC Dispensing Techologies Inc                         X                                   0          1,600      0
ABC-NACO Inc                                           X                                   0         26,415      0
Airborne Freight Corp.                                 X                                   0         11,345      0
American Business Finl Svcs                            X                                   0          7,000      0
Arkansas Best Corp. - Del                              X                                   0         57,000      0
Arkansas Best Corp. Conv PFD Ser A                     X                                   0            185      0
Abgenix Inc.                                           X                                   0            704      0
American Bk Nt Holographics                            X                                   0         10,000      0
Adelphia Business Solutions                            X                                   0            260      0
Ambac Financial Group, Inc.                            X                                   0         10,248      0
ABM Industries Inc.                                    X                                   0          1,800      0
Abiomed Inc                                            X                                   0         17,350      0
ABN Amro Hldg NV Sponsored ADR                         X                                   0         21,273      0
American Business Products Inc.                        X                                   0            265      0
Ambra Rty Inc Com New                                  X                                   0         32,000      0
Albertson's Inc.                                       X                                   0        101,420      0
Aurora Biosciences Corp                                X                                   0          2,230      0
Abbott Laboratories                                    X                                   0        633,031      0
Alpha Beta Technology Inc.                             X                                   0            800      0
Autobytel.Com Inc.                                     X                                   0            860      0
Agribiotech Inc                                        X                                   0         10,425      0
Barrick Gold Corp.                                     X                                   0          5,400      0
Abitibi-Consolidated Inc.                              X                                   0          9,773      0
Abbey National PLC Spons ADR                           X                                   0          4,995      0
Alliance Capital Management - LP Unit                  X                                   0         32,930      0
Alabama Power Co. 7.00% Ser B Pfd                      X                                   0          1,600      0
Atlantic Coast Airlines                                X                                   0            300      0
American Capital Strategies                            X                                   0         36,200      0
Arctic Cat Inc                                         X                                   0          1,300      0
Access Power Inc                                       X                                   0            300      0
Ace*Comm Corp                                          X                                   0          1,000      0
Alfacell Corp.                                         X                                   0          2,000      0
Aceto Corp.                                            X                                   0          1,400      0
Americredit Corp.                                      X                                   0         32,970      0
Acm Government Income Fund Inc.                        X                                   0         21,648      0
Arch Coal Inc                                          X                                   0            455      0
Armstrong World Industries Inc.                        X                                   0         15,900      0
ACE LTD                                                X                                   0         23,563      0
Aclara Biosciences Inc                                 X                                   0          2,500      0
Accent Color Sciences Inc                              X                                   0          5,000      0
Accom Inc                                              X                                   0          1,000      0
Agency Com Ltd                                         X                                   0            433      0
American Real Estate Partners                          X                                   0            500      0
Anderson Computers Tidalwave                           X                                   0          2,000      0
American Retirement Corp.                              X                                   0          1,000      0
Acacia Research Corp.                                  X                                   0         51,900      0
Acrodyne Communications Inc.                           X                                   0            150      0
Affiliated Computer Services                           X                                   0         24,447      0
Actfit Com Inc                                         X                                   0          7,500      0
Actel Corp                                             X                                   0          1,700      0
Action Performance Cos Inc.                            X                                   0         14,400      0
Actuate Corp                                           X                                   0         25,784      0
Alberto Culver Co Cl B Conv                            X                                   0            700      0
</TABLE>


<PAGE>


<TABLE>
<CAPTION>
            FORM 13F             NAME OF REPORTING MANAGER: LEGG MASON WOOD WALKER (IMS)                     Run Date: 04/13/2000
                                                            FOR POSITIONS HELD AS OF 03/31/2000              S.E.C. Use Only

                        Item 1:            Item 2:           Item 3:         Item 4:            Item 5:
                    Name of Issuer      Title of Class    CUSIP Number  Fair Market Value      Shares or
                                                                           (X $1000)         Principal Amt.

- -----------------------------------------------------------------------------------------------------------
<S>                                      <C>                 <C>                    <C>             <C>
Alberto Culver Co. Cl A                  Common Stock        013068200             57             2,600
ACX Technologies Inc.                    Common Stock        005123104             10             2,500
Acxiom Corp.                             Common Stock        005125109            670            20,145
Advo Inc                                 Common Stock        007585102            126             5,055
ADAC Laboratories New                    Common Stock        005313200            164            11,950
Adaptive Broadband Corp                  Common Stock        00650M104             15               280
Adobe Systems Inc.                       Common Stock        00724F101         12,368           111,110
Audible Inc                              Common Stock        05069A104             36             3,550
Agree Realty Corp.                       Common Stock        008492100            183            14,000
A D C Telecommunications Inc.            Common Stock        000886101          8,255           153,231
Aden Enterprises Inc New                 Common Stock        006852206              3             2,800
ACM Managed Dollar Income Fund           Common Stock        000949107             32             3,500
American Diversified Group Inc           Common Stock        02541M103             10            25,000
Adams Golf Inc                           Common Stock        006228100              0               200
Analog Devices Inc.                      Common Stock        032654105          1,521            18,879
Advanced Digital Info Corp               Common Stock        007525108            772            22,535
Adelphia Communications Corp. - Cl A     Common Stock        006848105          1,405            28,675
Advanced Lighting Tech Inc               Common Stock        00753C102             13               700
Archer-Daniels Midland Co.               Common Stock        039483102            884            85,227
Asthma Disease Mgmt Inc                  Common Stock        04622X107              5             7,000
Alden Electrs Inc                        Common Stock        014086102              0             2,500
Adecco Sa Sponsored ADR                  ADR                 006754105              1                10
Adaptec Inc.                             Common Stock        00651F108            214             5,530
Andrx Corp.                              Common Stock        034551101            897             7,769
Atlantic Data Services Inc               Common Stock        048523104             41             3,700
Autodesk Inc.                            Common Stock        052769106            335             7,360
Advanced Sys Intl Inc                    Common Stock        00757P109              0               123
Ariel Corp                               Common Stock        04033M104              2               200
Applied Digital Solutions                Common Stock        038188108            123            14,100
Adtran Inc.                              Common Stock        00738A106            367             6,180
Advanta Corp. CL A                       Common Stock        007942105             38             1,869
Advanta Corporation Class B              Common Stock        007942204              4               295
Advanced Viral Research Corp             Common Stock        007928104             33            55,500
Advent Software Inc.                     Common Stock        007974108            281             6,125
Advantage Technologies Inc               Common Stock        00759U106              2            10,800
Adams Express                            MutualFdEqClose     006212104            362             9,696
Allied Zurich PLC Sponsored ADR          ADR                 01959Q101          4,754           217,354
Associated Estates Realty Corp.          Common Stock        045604105             40             4,975
Alberta Energy                           PFD QTR 30/360      012873808              5               200
Ameren Corp.                             Common Stock        023608102            218             7,047
Aegon NV - ORD                           ADR                 007924103            740             9,181
AMC Entertainment Inc.                   Common Stock        001669100              6             1,200
American Eagle Outfitters Inc.           Common Stock        02553E106             61             1,599
American Electric Power Co               Common Stock        025537101            352            11,791
Aegis Realty Inc                         Common Stock        00760P104             18             2,069
Aerial Communications Inc.               Common Stock        007655103             28               500
The AES Corp.                            Common Stock        00130H105          4,330            54,979
AES Tr III Pfd Cv 6.75%                  PreferdStk Conv     00808N202              3                50
Aes Trust II Conv Secs Ser B             PreferdStk Conv     001034305              9               130
Aetna Inc.                               Common Stock        008117103          1,329            23,870
Applied Extrusion Technologies Inc       Common Stock        038196101            109            13,335
Aether Sys Inc                           Common Stock        00808V105            105               580
The Argentina Fund, Inc.                 Common Stock        040112104              5               400
Advance Financial Bancorp                Common Stock        007437106              3               300
Allmerica Financial Corp.                Common Stock        019754100            210             4,125
Advanced Fibre Communication             Common Stock        00754A105            322             5,140
Affinity Technology Group Inc            Common Stock        00826M103              7             3,450

                        Item 1:                     Item 6:                Item 7:              Item 8:
                    Name of Issuer            Investment Discretion         Other        Voting Authority (Shares)
                                        (a) Sole (b)Shared as (c)Shared    Managers   (a) Sole  (b) Shared  (c) None
                                                      Def        Other
- -------------------------------------------------------------------------------------------------------------------
Alberto Culver Co. Cl A                               X                                   0          2,600      0
ACX Technologies Inc.                                 X                                   0          2,500      0
Acxiom Corp.                                          X                                   0         20,145      0
Advo Inc                                              X                                   0          5,055      0
ADAC Laboratories New                                 X                                   0         11,950      0
Adaptive Broadband Corp                               X                                   0            280      0
Adobe Systems Inc.                                    X                                   0        111,110      0
Audible Inc                                           X                                   0          3,550      0
Agree Realty Corp.                                    X                                   0         14,000      0
A D C Telecommunications Inc.                         X                                   0        153,231      0
Aden Enterprises Inc New                              X                                   0          2,800      0
ACM Managed Dollar Income Fund                        X                                   0          3,500      0
American Diversified Group Inc                        X                                   0         25,000      0
Adams Golf Inc                                        X                                   0            200      0
Analog Devices Inc.                                   X                                   0         18,879      0
Advanced Digital Info Corp                            X                                   0         22,535      0
Adelphia Communications Corp. - Cl A                  X                                   0         28,675      0
Advanced Lighting Tech Inc                            X                                   0            700      0
Archer-Daniels Midland Co.                            X                                   0         85,227      0
Asthma Disease Mgmt Inc                               X                                   0          7,000      0
Alden Electrs Inc                                     X                                   0          2,500      0
Adecco Sa Sponsored ADR                               X                                   0             10      0
Adaptec Inc.                                          X                                   0          5,530      0
Andrx Corp.                                           X                                   0          7,769      0
Atlantic Data Services Inc                            X                                   0          3,700      0
Autodesk Inc.                                         X                                   0          7,360      0
Advanced Sys Intl Inc                                 X                                   0            123      0
Ariel Corp                                            X                                   0            200      0
Applied Digital Solutions                             X                                   0         14,100      0
Adtran Inc.                                           X                                   0          6,180      0
Advanta Corp. CL A                                    X                                   0          1,869      0
Advanta Corporation Class B                           X                                   0            295      0
Advanced Viral Research Corp                          X                                   0         55,500      0
Advent Software Inc.                                  X                                   0          6,125      0
Advantage Technologies Inc                            X                                   0         10,800      0
Adams Express                                         X                                   0          9,696      0
Allied Zurich PLC Sponsored ADR                       X                                   0        217,354      0
Associated Estates Realty Corp.                       X                                   0          4,975      0
Alberta Energy                                        X                                   0            200      0
Ameren Corp.                                          X                                   0          7,047      0
Aegon NV - ORD                                        X                                   0          9,181      0
AMC Entertainment Inc.                                X                                   0          1,200      0
American Eagle Outfitters Inc.                        X                                   0          1,599      0
American Electric Power Co                            X                                   0         11,791      0
Aegis Realty Inc                                      X                                   0          2,069      0
Aerial Communications Inc.                            X                                   0            500      0
The AES Corp.                                         X                                   0         54,979      0
AES Tr III Pfd Cv 6.75%                               X                                   0             50      0
Aes Trust II Conv Secs Ser B                          X                                   0            130      0
Aetna Inc.                                            X                                   0         23,870      0
Applied Extrusion Technologies Inc                    X                                   0         13,335      0
Aether Sys Inc                                        X                                   0            580      0
The Argentina Fund, Inc.                              X                                   0            400      0
Advance Financial Bancorp                             X                                   0            300      0
Allmerica Financial Corp.                             X                                   0          4,125      0
Advanced Fibre Communication                          X                                   0          5,140      0
Affinity Technology Group Inc                         X                                   0          3,450      0
</TABLE>

<PAGE>
<TABLE>
<CAPTION>
            FORM 13F             NAME OF REPORTING MANAGER: LEGG MASON WOOD WALKER (IMS)                     Run Date: 04/13/2000
                                                            FOR POSITIONS HELD AS OF 03/31/2000              S.E.C. Use Only

                        Item 1:            Item 2:           Item 3:         Item 4:            Item 5:
                    Name of Issuer      Title of Class    CUSIP Number  Fair Market Value      Shares or
                                                                           (X $1000)         Principal Amt.

- -----------------------------------------------------------------------------------------------------------
<S>                                      <C>                 <C>                    <C>             <C>
Affinity International Travel            Common Stock        00826F108              3             1,000
Affymetrix Inc.                          Common Stock        00826T108             42               285
American Financial Group Inc.            Common Stock        025932104            213             7,433
American Financial Cap Trust             Preferred Stock     026077206            145             6,510
Atlantic Financial Corp                  Common Stock        04853R100             97            10,117
Aflac Corp. New                          Common Stock        001055102          1,780            39,056
AMFM Inc                                 Common Stock        001693100            386             6,219
Associates First Capital Corp.           Common Stock        046008108          1,201            56,026
American Freightways Corp                Common Stock        02629V108            142             9,500
Agco Corp.                               Common Stock        001084102            164            14,375
American General Corp.                   Common Stock        026351106          1,917            34,156
American General Capital LLC 8.125%      PFDMthly 30/360     02637F301             78             3,300
American Gen Cap I                       PFD QTR 30/360      02638N105             23             1,000
American General Capital LLC 8.45% Pfd   PFDMthly 30/360     02637F202            215             8,990
Edwards A G Inc.                         Common Stock        281760108            451            11,274
Argonaut Group Inc.                      Common Stock        040157109              2               105
Agile Software Corp Del                  Common Stock        00846X105             16               260
Angelica Corp.                           Common Stock        034663104              1               100
Allergan Inc.                            Common Stock        018490102            163             3,250
Augrid Nev Inc                           Common Stock        05106D103              0           120,000
SAGA Sys Inc                             Common Stock        786610105          4,918           137,569
Agritope Inc.- Del                       Common Stock        00855D107              2               540
Agrium Inc Canadian Orig PFD             PFD QTR 30/360      008916207              8               500
Argosy Gaming Co                         Common Stock        040228108            736            51,625
Alpha Industries Inc Del                 Common Stock        020753109            288             3,030
Amerada Hess Corp.                       Common Stock        023551104            124             1,915
Apria Healthcare Group Inc.              Common Stock        037933108            212            14,700
AHL Services Inc.                        Common Stock        001296102             41             4,000
Koninklijke Ahold NV-SP ADR              ADR                 500467303            330            12,437
American Homepatient Inc                 Common Stock        026649103             13            16,500
American Home Products Corp.             Common Stock        026609107         13,521           252,135
Anthracite Capital Inc.                  Common Stock        037023108              7             1,000
Audiohigway.com                          Common Stock        050740109              3               500
Allied Irish Banks Plc                   ADR                 019228402            334            17,281
Asset Investors Corporation              Common Stock        04541W107              0                40
American International Group Inc.        Common Stock        026874107         34,399           314,150
Adair International Oil & Gas Inc.       Common Stock        005408109             40            23,000
American Insd Mtg Invs L P 86            Common Stock        02686F103              0                50
Alpnet Inc                               Common Stock        021089107              6               850
Autoimmune Inc.                          Common Stock        052776101              3             1,400
Albany International Corp.               Common Stock        012348108              4               255
Arnold Inds Inc.                         Common Stock        042595108            739            57,639
Applied Innovation Inc.                  Common Stock        037916103            737            55,585
American Intl Pete Corp Com Par          Common Stock        026909408             12            12,250
AAR Corp.                                Common Stock        000361105              7               425
Airtech Intl Group Com New               Foreign Stock       00950F205             13             6,216
Jet Fla Sys Inc.                         Common Stock        476901103              0             4,000
Ampal American Israel Corp.              Common Stock        032015109            116             6,050
Aris Industries Inc                      Common Stock        040401101             10            10,000
Apartment Inv & Mgmt Co 8.75% Cum PFD    PFD QTR 30/360      03748R309            100             5,800
Apartment Invt & Mgmt Co 9% Cum Perp     PFD QTR 30/360      03748R200            149             8,300
Apartment Invt & Mgmt Co Pfd H 9.50%     PFD QTR 30/360      03748R507             35             1,900
Amcast Industrial Corp                   Common Stock        023395106              1               100
Appalachian Pwr Co                       PFD QTR 30/360      037735818             91             4,200
Appalachian Pwr Co Sr Nt Ser B           PFD QTR 30/360      037735784              4               200
Gallagher Arthur J & Co                  Common Stock        363576109            971            29,871
Akamai Technologies Inc                  Common Stock        00971T101             76               475

                        Item 1:                      Item 6:                Item 7:              Item 8:
                    Name of Issuer             Investment Discretion         Other        Voting Authority (Shares)
                                         (a) Sole (b)Shared as (c)Shared    Managers   (a) Sole  (b) Shared  (c) None
                                                       Def        Other
- --------------------------------------------------------------------------------------------------------------------
Affinity International Travel                          X                                   0          1,000      0
Affymetrix Inc.                                        X                                   0            285      0
American Financial Group Inc.                          X                                   0          7,433      0
American Financial Cap Trust                           X                                   0          6,510      0
Atlantic Financial Corp                                X                                   0         10,117      0
Aflac Corp. New                                        X                                   0         39,056      0
AMFM Inc                                               X                                   0          6,219      0
Associates First Capital Corp.                         X                                   0         56,026      0
American Freightways Corp                              X                                   0          9,500      0
Agco Corp.                                             X                                   0         14,375      0
American General Corp.                                 X                                   0         34,156      0
American General Capital LLC 8.125%                    X                                   0          3,300      0
American Gen Cap I                                     X                                   0          1,000      0
American General Capital LLC 8.45% Pfd                 X                                   0          8,990      0
Edwards A G Inc.                                       X                                   0         11,274      0
Argonaut Group Inc.                                    X                                   0            105      0
Agile Software Corp Del                                X                                   0            260      0
Angelica Corp.                                         X                                   0            100      0
Allergan Inc.                                          X                                   0          3,250      0
Augrid Nev Inc                                         X                                   0        120,000      0
SAGA Sys Inc                                           X                                   0        137,569      0
Agritope Inc.- Del                                     X                                   0            540      0
Agrium Inc Canadian Orig PFD                           X                                   0            500      0
Argosy Gaming Co                                       X                                   0         51,625      0
Alpha Industries Inc Del                               X                                   0          3,030      0
Amerada Hess Corp.                                     X                                   0          1,915      0
Apria Healthcare Group Inc.                            X                                   0         14,700      0
AHL Services Inc.                                      X                                   0          4,000      0
Koninklijke Ahold NV-SP ADR                            X                                   0         12,437      0
American Homepatient Inc                               X                                   0         16,500      0
American Home Products Corp.                           X                                   0        252,135      0
Anthracite Capital Inc.                                X                                   0          1,000      0
Audiohigway.com                                        X                                   0            500      0
Allied Irish Banks Plc                                 X                                   0         17,281      0
Asset Investors Corporation                            X                                   0             40      0
American International Group Inc.                      X                                   0        314,150      0
Adair International Oil & Gas Inc.                     X                                   0         23,000      0
American Insd Mtg Invs L P 86                          X                                   0             50      0
Alpnet Inc                                             X                                   0            850      0
Autoimmune Inc.                                        X                                   0          1,400      0
Albany International Corp.                             X                                   0            255      0
Arnold Inds Inc.                                       X                                   0         57,639      0
Applied Innovation Inc.                                X                                   0         55,585      0
American Intl Pete Corp Com Par                        X                                   0         12,250      0
AAR Corp.                                              X                                   0            425      0
Airtech Intl Group Com New                             X                                   0          6,216      0
Jet Fla Sys Inc.                                       X                                   0          4,000      0
Ampal American Israel Corp.                            X                                   0          6,050      0
Aris Industries Inc                                    X                                   0         10,000      0
Apartment Inv & Mgmt Co 8.75% Cum PFD                  X                                   0          5,800      0
Apartment Invt & Mgmt Co 9% Cum Perp                   X                                   0          8,300      0
Apartment Invt & Mgmt Co Pfd H 9.50%                   X                                   0          1,900      0
Amcast Industrial Corp                                 X                                   0            100      0
Appalachian Pwr Co                                     X                                   0          4,200      0
Appalachian Pwr Co Sr Nt Ser B                         X                                   0            200      0
Gallagher Arthur J & Co                                X                                   0         29,871      0
Akamai Technologies Inc                                X                                   0            475      0
</TABLE>

<PAGE>


<TABLE>
<CAPTION>
            FORM 13F             NAME OF REPORTING MANAGER: LEGG MASON WOOD WALKER (IMS)                     Run Date: 04/13/2000
                                                            FOR POSITIONS HELD AS OF 03/31/2000              S.E.C. Use Only

                        Item 1:            Item 2:           Item 3:         Item 4:            Item 5:
                    Name of Issuer      Title of Class    CUSIP Number  Fair Market Value      Shares or
                                                                           (X $1000)         Principal Amt.

- -----------------------------------------------------------------------------------------------------------
<S>                                      <C>                 <C>                    <C>             <C>
Ambac Financial Group Inc 7.08%          PFD QTR 30/360      023139306            126             6,000
Armstrong World Industries 7.45% Pfd     PFD QTR 30/360      042476606              8               400
Acclaim Entmt Inc. Com Par $.02          Common Stock        004325205             27             8,000
AK Steel Holding Corp.                   Common Stock        001547108             87             8,402
Aksys Ltd                                Common Stock        010196103             11             1,000
AKZO Nobel NV Spons ADR                  ADR                 010199305             66             1,522
Alcan Aluminium Ltd                      Common Stock        013716105            477            14,082
Alcatel Alsthom Sponsored ADR            ADR                 013904305          8,058           183,919
Alabama Natl Bancorp Dela                Common Stock        010317105             42             2,226
Alanco Enviromental Resources Corp.      Common Stock        011612405              0               110
Albemarle Corp.                          Common Stock        012653101             45             2,176
Alcide Corp.                             Common Stock        013742507              2               100
Aldila, Inc.                             Common Stock        014384101              5             2,750
Allied Domecq PLC                        ADR                 019121102            207            39,400
Aladdin Knowledge Sys Ltd                Foreign Stock       M0392N101             24             1,000
Alexander & Baldwin Inc.                 Common Stock        014482103              6               300
Alfa Corp                                Common Stock        015385107             28             1,600
Alottafun Inc                            Common Stock        020526109             24            45,000
Algiers Bancorp Inc.                     Common Stock        015600109              2               300
Alterra Healthcare Corp.                 Common Stock        02146C104              6             1,500
Allstate Corp. - 7.125% Sr Qtrly In      PFD QTR 30/360      020002200             16               749
Alaska Air Group Inc.                    Common Stock        011659109             28               929
The Allstate Corp.                       Common Stock        020002101          6,368           267,401
Allstate Financing I 7.95% Cum           PFD QTR 30/360      020013207            238            10,575
Allied Capital Corp.                     Common Stock        01903Q108            505            28,984
Allied Energy Corp.                      Common Stock        019150200              0               500
Allin Communications Corp                Common Stock        019924109              1               200
Alliance Pharmaceutical Corp.            Common Stock        018773101             37             2,500
Alliance Gaming Corp                     Common Stock        01859P609              2             1,000
Alpha Microsystems Inc                   Common Stock        020903100              8             1,000
Alabama Power Capital Trust I            Preferred Stock     010383206              9               400
Alabama Power Capt Trust II              PFD QTR 30/360      010388205             67             3,100
Alabama Pwr Co Sr Nt J 6.75%             PFD QTR 30/360      010392587             13               600
Annuity & Life Re Holdings Ltd.          Common Stock        G03910109             22               830
Alliance Semi Conductor Corp.            Common Stock        01877H100              3               150
Advantage Learning Systems               Common Stock        00757K100              8               500
Alaska Communications Sys Grp            Common Stock        01167P101             17             1,400
Allos Therapeutics Inc                   Common Stock        019777101              1               100
Altair International Inc.                Common Stock        02136W102              6             1,000
Alteon Inc.                              Common Stock        02144G107             39            11,000
Altera Corp.                             Common Stock        021441100            806             9,034
Altex Industries Inc.                    Common Stock        021454103              0             1,000
Autolliv, Inc.                           Common Stock        052800109             12               396
Alexion Pharmaceuticals Inc              Common Stock        015351109             70             1,000
Alya Intl Inc                            Common Stock        02260W100              3            10,000
American Greetings Corp. Class A         Common Stock        026375105            790            43,315
Applied Materials Inc.                   Common Stock        038222105         14,691           155,876
AMB Ppty Corp 8.50% Cum Red              PFD QTR 30/360      00163T208             55             2,500
American Bancorporation Cap Trust I      PFD QTR 30/360      024075202             95            12,700
Ambi Inc                                 Common Stock        00163N102              3               500
American Mortgage Acceptance             Common Stock        027568104              6               720
Applied Micro Circuits Corp              Common Stock        03822W109          2,147            14,310
Amcor Ltd ADR                            ADR                 02341R302          1,618           111,580
American Classic Voyages Company         Common Stock        024928103            214             8,500
Advanced Micro Devices Inc.              Common Stock        007903107            787            13,796
Applied Medical Devices                  Common Stock        038223103              0               600
Ametek Inc. New                          Common Stock        031100100            120             6,225

                        Item 1:                      Item 6:                Item 7:              Item 8:
                    Name of Issuer             Investment Discretion         Other        Voting Authority (Shares)
                                         (a) Sole (b)Shared as (c)Shared    Managers   (a) Sole  (b) Shared  (c) None
                                                       Def        Other
- --------------------------------------------------------------------------------------------------------------------
Ambac Financial Group Inc 7.08%                        X                                   0          6,000      0
Armstrong World Industries 7.45% Pfd                   X                                   0            400      0
Acclaim Entmt Inc. Com Par $.02                        X                                   0          8,000      0
AK Steel Holding Corp.                                 X                                   0          8,402      0
Aksys Ltd                                              X                                   0          1,000      0
AKZO Nobel NV Spons ADR                                X                                   0          1,522      0
Alcan Aluminium Ltd                                    X                                   0         14,082      0
Alcatel Alsthom Sponsored ADR                          X                                   0        183,919      0
Alabama Natl Bancorp Dela                              X                                   0          2,226      0
Alanco Enviromental Resources Corp.                    X                                   0            110      0
Albemarle Corp.                                        X                                   0          2,176      0
Alcide Corp.                                           X                                   0            100      0
Aldila, Inc.                                           X                                   0          2,750      0
Allied Domecq PLC                                      X                                   0         39,400      0
Aladdin Knowledge Sys Ltd                              X                                   0          1,000      0
Alexander & Baldwin Inc.                               X                                   0            300      0
Alfa Corp                                              X                                   0          1,600      0
Alottafun Inc                                          X                                   0         45,000      0
Algiers Bancorp Inc.                                   X                                   0            300      0
Alterra Healthcare Corp.                               X                                   0          1,500      0
Allstate Corp. - 7.125% Sr Qtrly In                    X                                   0            749      0
Alaska Air Group Inc.                                  X                                   0            929      0
The Allstate Corp.                                     X                                   0        267,401      0
Allstate Financing I 7.95% Cum                         X                                   0         10,575      0
Allied Capital Corp.                                   X                                   0         28,984      0
Allied Energy Corp.                                    X                                   0            500      0
Allin Communications Corp                              X                                   0            200      0
Alliance Pharmaceutical Corp.                          X                                   0          2,500      0
Alliance Gaming Corp                                   X                                   0          1,000      0
Alpha Microsystems Inc                                 X                                   0          1,000      0
Alabama Power Capital Trust I                          X                                   0            400      0
Alabama Power Capt Trust II                            X                                   0          3,100      0
Alabama Pwr Co Sr Nt J 6.75%                           X                                   0            600      0
Annuity & Life Re Holdings Ltd.                        X                                   0            830      0
Alliance Semi Conductor Corp.                          X                                   0            150      0
Advantage Learning Systems                             X                                   0            500      0
Alaska Communications Sys Grp                          X                                   0          1,400      0
Allos Therapeutics Inc                                 X                                   0            100      0
Altair International Inc.                              X                                   0          1,000      0
Alteon Inc.                                            X                                   0         11,000      0
Altera Corp.                                           X                                   0          9,034      0
Altex Industries Inc.                                  X                                   0          1,000      0
Autolliv, Inc.                                         X                                   0            396      0
Alexion Pharmaceuticals Inc                            X                                   0          1,000      0
Alya Intl Inc                                          X                                   0         10,000      0
American Greetings Corp. Class A                       X                                   0         43,315      0
Applied Materials Inc.                                 X                                   0        155,876      0
AMB Ppty Corp 8.50% Cum Red                            X                                   0          2,500      0
American Bancorporation Cap Trust I                    X                                   0         12,700      0
Ambi Inc                                               X                                   0            500      0
American Mortgage Acceptance                           X                                   0            720      0
Applied Micro Circuits Corp                            X                                   0         14,310      0
Amcor Ltd ADR                                          X                                   0        111,580      0
American Classic Voyages Company                       X                                   0          8,500      0
Advanced Micro Devices Inc.                            X                                   0         13,796      0
Applied Medical Devices                                X                                   0            600      0
Ametek Inc. New                                        X                                   0          6,225      0
</TABLE>

<PAGE>


<TABLE>
<CAPTION>
            FORM 13F             NAME OF REPORTING MANAGER: LEGG MASON WOOD WALKER (IMS)                     Run Date: 04/13/2000
                                                            FOR POSITIONS HELD AS OF 03/31/2000              S.E.C. Use Only

                        Item 1:            Item 2:           Item 3:         Item 4:            Item 5:
                    Name of Issuer      Title of Class    CUSIP Number  Fair Market Value      Shares or
                                                                           (X $1000)         Principal Amt.

- -----------------------------------------------------------------------------------------------------------
<S>                                      <C>                 <C>                    <C>             <C>
Crosswalk.com Inc                        Common Stock        227685104             71            16,320
Ames Department Stores Inc.  New         Common Stock        030789507             29             1,200
American Finl Hldgs Inc                  Common Stock        026075101            264            21,900
Amgen Inc.                               Common Stock        031162100         26,700           435,035
American Healthcorp, Inc.                Common Stock        02649V104            103            26,573
ACME Metals Inc.                         Common Stock        004724100              0               525
Americare Health Scan Inc.               Common Stock        03060C104              0                 1
Amkor Technology Inc                     Common Stock        031652100             79             1,495
Aml Communications Inc                   Common Stock        001733104              2               500
Amylin Pharmaceuticals Inc.              Common Stock        032346108             31             2,300
Ameron Inc.                              Common Stock        030710107             21               597
American National Bankshares Inc         Common Stock        027745108             33             2,282
Amplidyne Inc                            Common Stock        032103103             24             3,000
AMR Corp.                                Common Stock        001765106            456            14,321
Albany Molecular Resh Inc                Common Stock        012423109             38               650
American Superconductor Corp.            Common Stock        030111108            710            15,950
Amsurg Corp.- Cl A                       Common Stock        03232P108              6             1,081
Amsurg Corp.- Cl B                       Common Stock        03232P207             68            11,365
American Software CL A                   Common Stock        029683109             37             2,650
American Management Systems Inc.         Common Stock        027352103          1,523            34,754
American Tower System Corp Cl A          Common Stock        029912201            613            12,424
Ameritrade Holding Corp.  Class A        Common Stock        03072H109            386            18,500
American Telesource Intl Inc             Common Stock        03018P108            681            85,180
Advanced Machine Vision CRP              Common Stock        00753B104              4             2,000
American Woodmark Corp.                  Common Stock        030506109          1,116            54,125
Amazon.com, Inc.                         Common Stock        023135106          9,433           140,785
Autonation Inc                           Common Stock        05329W102             62             7,850
Anadigics Inc.                           Common Stock        032515108             38               575
American Nat'l Insurance Co              Common Stock        028591105             97             1,695
Airnet Communications Corp               Common Stock        00941P106            530            15,180
Ancor Communications Inc                 Common Stock        03332K108             88             2,150
Andover Bancorp Inc.                     Common Stock        034258103             14               500
Andover Net Inc                          Common Stock        034318105            160             7,450
Andrew Corp.                             Common Stock        034425108            134             5,875
Act Networks Inc                         Common Stock        000975102             30             3,000
Abercrombie & Fitch Co Cl A              Common Stock        002896207          2,248           140,482
Anglogold Limited-Spon ADR               ADR                 035128206              5               200
Acadia Group, Inc.                       Common Stock        004040101              6             1,000
Anicom Inc.                              Common Stock        035250109            111            18,346
Analogy Inc.                             Common Stock        032659104              3             1,000
Analytical Surveys Inc.                  Common Stock        032683302              2               400
Analysts Intl Corp.                      Common Stock        032681108              8               800
Angio Medical Corp                       Common Stock        034755108              0               500
Ann Taylor Stores Corp.                  Common Stock        036115103            655            28,465
Advanced Neuromodulation Sys             Common Stock        00757T101            269            14,160
Answerthink Consulting Corp              Common Stock        036916104            234             9,565
Ansys Inc.                               Common Stock        03662Q105             32             3,000
Antec Corp.                              Common Stock        03664P105            125             2,780
Antennas Amer Inc                        Common Stock        036727105             42            24,250
Antenna Prods Inc                        Common Stock        036728103             10             2,500
Ants Software.com                        Common Stock        037271103             33             2,050
Antex Biologics Inc                      Common Stock        03672W100             26             9,600
ANZ Exch Pfd Trust 8%                    PFD QTR 30/360      001823202             11               500
Australia & New Zealand                  Preferred Stock     052528403              9               350
AON Corp.                                Common Stock        037389103            174             5,404
Alberta Energy Co Ltd                    Common Stock        012873105             45             1,500
Appalachian Oil & Gas Inc                Common Stock        037725207              0               100

                        Item 1:                      Item 6:                Item 7:              Item 8:
                    Name of Issuer             Investment Discretion         Other        Voting Authority (Shares)
                                         (a) Sole (b)Shared as (c)Shared    Managers   (a) Sole  (b) Shared  (c) None
                                                       Def        Other
- --------------------------------------------------------------------------------------------------------------------
Crosswalk.com Inc                                      X                                   0         16,320      0
Ames Department Stores Inc.  New                       X                                   0          1,200      0
American Finl Hldgs Inc                                X                                   0         21,900      0
Amgen Inc.                                             X                                   0        435,035      0
American Healthcorp, Inc.                              X                                   0         26,573      0
ACME Metals Inc.                                       X                                   0            525      0
Americare Health Scan Inc.                             X                                   0              1      0
Amkor Technology Inc                                   X                                   0          1,495      0
Aml Communications Inc                                 X                                   0            500      0
Amylin Pharmaceuticals Inc.                            X                                   0          2,300      0
Ameron Inc.                                            X                                   0            597      0
American National Bankshares Inc                       X                                   0          2,282      0
Amplidyne Inc                                          X                                   0          3,000      0
AMR Corp.                                              X                                   0         14,321      0
Albany Molecular Resh Inc                              X                                   0            650      0
American Superconductor Corp.                          X                                   0         15,950      0
Amsurg Corp.- Cl A                                     X                                   0          1,081      0
Amsurg Corp.- Cl B                                     X                                   0         11,365      0
American Software CL A                                 X                                   0          2,650      0
American Management Systems Inc.                       X                                   0         34,754      0
American Tower System Corp Cl A                        X                                   0         12,424      0
Ameritrade Holding Corp.  Class A                      X                                   0         18,500      0
American Telesource Intl Inc                           X                                   0         85,180      0
Advanced Machine Vision CRP                            X                                   0          2,000      0
American Woodmark Corp.                                X                                   0         54,125      0
Amazon.com, Inc.                                       X                                   0        140,785      0
Autonation Inc                                         X                                   0          7,850      0
Anadigics Inc.                                         X                                   0            575      0
American Nat'l Insurance Co                            X                                   0          1,695      0
Airnet Communications Corp                             X                                   0         15,180      0
Ancor Communications Inc                               X                                   0          2,150      0
Andover Bancorp Inc.                                   X                                   0            500      0
Andover Net Inc                                        X                                   0          7,450      0
Andrew Corp.                                           X                                   0          5,875      0
Act Networks Inc                                       X                                   0          3,000      0
Abercrombie & Fitch Co Cl A                            X                                   0        140,482      0
Anglogold Limited-Spon ADR                             X                                   0            200      0
Acadia Group, Inc.                                     X                                   0          1,000      0
Anicom Inc.                                            X                                   0         18,346      0
Analogy Inc.                                           X                                   0          1,000      0
Analytical Surveys Inc.                                X                                   0            400      0
Analysts Intl Corp.                                    X                                   0            800      0
Angio Medical Corp                                     X                                   0            500      0
Ann Taylor Stores Corp.                                X                                   0         28,465      0
Advanced Neuromodulation Sys                           X                                   0         14,160      0
Answerthink Consulting Corp                            X                                   0          9,565      0
Ansys Inc.                                             X                                   0          3,000      0
Antec Corp.                                            X                                   0          2,780      0
Antennas Amer Inc                                      X                                   0         24,250      0
Antenna Prods Inc                                      X                                   0          2,500      0
Ants Software.com                                      X                                   0          2,050      0
Antex Biologics Inc                                    X                                   0          9,600      0
ANZ Exch Pfd Trust 8%                                  X                                   0            500      0
Australia & New Zealand                                X                                   0            350      0
AON Corp.                                              X                                   0          5,404      0
Alberta Energy Co Ltd                                  X                                   0          1,500      0
Appalachian Oil & Gas Inc                              X                                   0            100      0
</TABLE>

<PAGE>


<TABLE>
<CAPTION>
            FORM 13F             NAME OF REPORTING MANAGER: LEGG MASON WOOD WALKER (IMS)                     Run Date: 04/13/2000
                                                            FOR POSITIONS HELD AS OF 03/31/2000              S.E.C. Use Only

                        Item 1:            Item 2:           Item 3:         Item 4:            Item 5:
                    Name of Issuer      Title of Class    CUSIP Number  Fair Market Value      Shares or
                                                                           (X $1000)         Principal Amt.

- -----------------------------------------------------------------------------------------------------------
<S>                                      <C>                 <C>                    <C>             <C>
America Online Inc.                      Common Stock        02364J104        110,885         1,648,844
Mosenergo - Sponsored ADR                ADR                 037376308              2               300
Aurora Foods Inc                         Common Stock        05164B106             42            13,995
Smith A O Corp.                          Common Stock        831865209             27             1,525
Apache Corp.                             Common Stock        037411105          2,385            47,937
Apac Customer Services Inc               Common Stock        00185E106             17             2,000
Apa Optics Inc                           Common Stock        001853100            118             4,000
Asia Pacific Fund Inc.                   Common Stock        044901106            104            10,000
Anadarko Pete Corp.                      Common Stock        032511107            187             4,834
American Power Conversion                Common Stock        029066107          1,455            33,925
Alamosa PCS Holdings                     Common Stock        011593100            149             3,950
Applied Coatings Intl Inc                Common Stock        037905106              0             2,000
Air Products and Chemicals, Inc.         Common Stock        009158106          1,360            47,841
Apex Inc                                 Common Stock        037548104            233             6,271
Morgan Stanley Asia - Pacific            MutualFdEqClose     61744U106            317            29,135
Arch Communications Group Inc            Common Stock        039381504             14             1,750
Amphenol Corp New Cl  A                  Common Stock        032095101          1,636            16,000
Aphton Corporation                       Common Stock        03759P101             33             1,000
Advanced Photonix Inc.                   Common Stock        00754E107              4             1,000
Appalachian Power Ser A PFD              PFD QTR 30/360      037735826             14               600
Atplan Inc                               Common Stock        04962Q100              2               250
Apponline.com Inc.                       Common Stock        03832H100              4             1,000
Applied Magnetics Corp.                  Common Stock        038213104              0             2,000
Appoint Technologies Inc                 Common Stock        038317103              0             4,000
Appnet Systems Inc.                      Common Stock        03831Q101          2,934            62,415
Apogee Enterprises                       Common Stock        037598109             57            14,270
Apollo Group Inc.  Class A               Common Stock        037604105             26               940
Applebee's International Inc.            Common Stock        037899101            182             6,470
Advanced Plant Pharmaceuticals Inc.      Common Stock        00756F201              1             2,000
Asia Pacific Resources Ltd               Foreign Stock       044902104              1               600
Applied Signal Technology Inc            Common Stock        038237103              2               100
APS Holding Corp.                        Common Stock        001937101              0               500
Amerigas Partners L P                    LTD Part  P4        030975106            346            22,700
American Patents Unlimited Inc           Common Stock        028829109              0            16,000
Applied Power Inc  Class A               Common Stock        038225108            573            20,095
Apex Municipal Fund, Inc.                Common Stock        037580107             38             4,304
Applied Industrial Tech Inc.             Common Stock        03820C105             63             3,937
Aqua Clara Bottling & Dist Inc           Common Stock        03837N102              3            10,000
Aquila Biopharmaceuticals Inc.           Common Stock        03839F107              5               832
QMS Inc.                                 Common Stock        74726G102             39             9,990
Aracruz Celelose SA ADR NEW              ADR                 038496204             26             1,220
Ariba Inc                                Common Stock        04033V104          1,370             6,534
Atlantic Richfield Co.                   Common Stock        048825103          3,878            45,624
Atlantic Richfield Co Pref               Preferred Stock     048825400             19                45
Arcadis NV                               Common Stock        N0605M105             15             2,150
Allied Riser Communications Cp           Common Stock        019496108             16               453
Aradigm Corp                             Common Stock        038505103             21             1,000
Alexandria Real Estate Equities Inc.     Common Stock        015271109             33             1,100
Area Bancshares Corp. New                Common Stock        039872106             10               500
Ameriresource Technologies Inc           Common Stock        03072A104              5            25,000
Airgas Inc.                              Common Stock        009363102              8               960
Amerigon Inc Cl A- New                   Common Stock        03070L300             31             2,000
Arguss Hldgs Inc                         Common Stock        040282105             56             2,500
Arden Realty Group Inc.                  Common Stock        039793104             44             2,125
Ariad Pharmaceuticals Inc                Common Stock        04033A100             16               975
Aril Group Inc                           Common Stock        040394108              0               653
Arch Chemicals                           Common Stock        03937R102             23             1,172

                        Item 1:                      Item 6:                Item 7:              Item 8:
                    Name of Issuer             Investment Discretion         Other        Voting Authority (Shares)
                                         (a) Sole (b)Shared as (c)Shared    Managers   (a) Sole  (b) Shared  (c) None
                                                       Def        Other
- --------------------------------------------------------------------------------------------------------------------
America Online Inc.                                    X                                   0      1,648,844      0
Mosenergo - Sponsored ADR                              X                                   0            300      0
Aurora Foods Inc                                       X                                   0         13,995      0
Smith A O Corp.                                        X                                   0          1,525      0
Apache Corp.                                           X                                   0         47,937      0
Apac Customer Services Inc                             X                                   0          2,000      0
Apa Optics Inc                                         X                                   0          4,000      0
Asia Pacific Fund Inc.                                 X                                   0         10,000      0
Anadarko Pete Corp.                                    X                                   0          4,834      0
American Power Conversion                              X                                   0         33,925      0
Alamosa PCS Holdings                                   X                                   0          3,950      0
Applied Coatings Intl Inc                              X                                   0          2,000      0
Air Products and Chemicals, Inc.                       X                                   0         47,841      0
Apex Inc                                               X                                   0          6,271      0
Morgan Stanley Asia - Pacific                          X                                   0         29,135      0
Arch Communications Group Inc                          X                                   0          1,750      0
Amphenol Corp New Cl  A                                X                                   0         16,000      0
Aphton Corporation                                     X                                   0          1,000      0
Advanced Photonix Inc.                                 X                                   0          1,000      0
Appalachian Power Ser A PFD                            X                                   0            600      0
Atplan Inc                                             X                                   0            250      0
Apponline.com Inc.                                     X                                   0          1,000      0
Applied Magnetics Corp.                                X                                   0          2,000      0
Appoint Technologies Inc                               X                                   0          4,000      0
Appnet Systems Inc.                                    X                                   0         62,415      0
Apogee Enterprises                                     X                                   0         14,270      0
Apollo Group Inc.  Class A                             X                                   0            940      0
Applebee's International Inc.                          X                                   0          6,470      0
Advanced Plant Pharmaceuticals Inc.                    X                                   0          2,000      0
Asia Pacific Resources Ltd                             X                                   0            600      0
Applied Signal Technology Inc                          X                                   0            100      0
APS Holding Corp.                                      X                                   0            500      0
Amerigas Partners L P                                  X                                   0         22,700      0
American Patents Unlimited Inc                         X                                   0         16,000      0
Applied Power Inc  Class A                             X                                   0         20,095      0
Apex Municipal Fund, Inc.                              X                                   0          4,304      0
Applied Industrial Tech Inc.                           X                                   0          3,937      0
Aqua Clara Bottling & Dist Inc                         X                                   0         10,000      0
Aquila Biopharmaceuticals Inc.                         X                                   0            832      0
QMS Inc.                                               X                                   0          9,990      0
Aracruz Celelose SA ADR NEW                            X                                   0          1,220      0
Ariba Inc                                              X                                   0          6,534      0
Atlantic Richfield Co.                                 X                                   0         45,624      0
Atlantic Richfield Co Pref                             X                                   0             45      0
Arcadis NV                                             X                                   0          2,150      0
Allied Riser Communications Cp                         X                                   0            453      0
Aradigm Corp                                           X                                   0          1,000      0
Alexandria Real Estate Equities Inc.                   X                                   0          1,100      0
Area Bancshares Corp. New                              X                                   0            500      0
Ameriresource Technologies Inc                         X                                   0         25,000      0
Airgas Inc.                                            X                                   0            960      0
Amerigon Inc Cl A- New                                 X                                   0          2,000      0
Arguss Hldgs Inc                                       X                                   0          2,500      0
Arden Realty Group Inc.                                X                                   0          2,125      0
Ariad Pharmaceuticals Inc                              X                                   0            975      0
Aril Group Inc                                         X                                   0            653      0
Arch Chemicals                                         X                                   0          1,172      0
</TABLE>

<PAGE>


<TABLE>
<CAPTION>
            FORM 13F             NAME OF REPORTING MANAGER: LEGG MASON WOOD WALKER (IMS)                     Run Date: 04/13/2000
                                                            FOR POSITIONS HELD AS OF 03/31/2000              S.E.C. Use Only

                        Item 1:            Item 2:           Item 3:         Item 4:            Item 5:
                    Name of Issuer      Title of Class    CUSIP Number  Fair Market Value      Shares or
                                                                           (X $1000)         Principal Amt.

- -----------------------------------------------------------------------------------------------------------
<S>                                      <C>                 <C>                    <C>             <C>
Arm Holdings PCL Spons ADR               ADR                 042068106            277             1,557
American Re Capital Cum Income           PFD QTR 30/360      029162203             44             1,900
Aronex Pharmaceuticals Inc               Common Stock        042666206             38            10,100
Arrow International, Inc.                Common Stock        042764100              9               300
ACNielsen Corp.                          Common Stock        004833109            251            11,153
Arthrocare Corp                          Common Stock        043136100            262             2,850
Art Technology Group Inc                 Common Stock        04289L107            439             6,677
Artisan Components Inc                   Common Stock        042923102              9               475
Advanced Radio Telecom Corp              Common Stock        00754U101             73             2,200
Arvin Industries, Inc.                   Common Stock        043339100            772            34,115
Arrow Electronics Inc.                   Common Stock        042735100          1,724            48,912
Arrow Magnolia Intl Inc.                 Common Stock        042768101             17             6,763
Aeroflex Inc.                            Common Stock        007768104             36               725
Archer Sys Inc                           Common Stock        039507108             10            71,000
ASA Ltd                                  Common Stock        002050102             32             1,870
Esat Inc                                 Common Stock        296054109              6             1,500
Associated Banc Corp.                    Common Stock        045487105             61             2,042
Ameriana Bancorp                         Common Stock        023613102              6               700
Ascent Pediatrics Inc                    Common Stock        04362X200             24             9,000
American Standard Companies Inc.         Common Stock        029712106            190             5,135
Aspect Development Inc                   Common Stock        045234101            155             2,400
Astoria Financial Corp.                  Common Stock        046265104            558            19,657
Ashford Com Inc                          Common Stock        044093102              5             1,000
Liberty All Star Growth Fd               Common Stock        529900102            210            19,107
On Assignment Inc.                       Common Stock        682159108             33               725
Ashland Inc.                             Common Stock        044204105             35             1,051
Asiainfo Hldgs Inc                       Common Stock        04518A104             33               550
Ask Jeeves Inc                           Common Stock        045174109             71             1,165
Ashanti Goldfield Co. LTD GDR            ADR                 043743202             17             7,821
ASM International N.V.                   Foreign Stock       N07045102             15               500
ASM Lithography Holding NV               ADR                 N07059111            516             4,619
Archstone Communities Trust              Common Stock        039581103            401            20,107
Archstone Communities Tr 9% PFD Ser B    PFD QTR 30/360      039581301            108             5,100
AmSouth Bancorp                          Common Stock        032165102            912            61,060
American Strategic Incm Ptfl             MutualFdFiClose     030098107             51             4,726
Aspeon Inc                               Common Stock        045354107              1                50
Aspect Communications Inc                Common Stock        04523Q102             64             1,739
Auspex System Inc.                       Common Stock        052116100             11             1,000
Asia Resources Holdings Ltd              Common Stock        04516W108              0                 1
Astec Industries Inc                     Common Stock        046224101             25               950
Allergan Specialty Therap-A              Common Stock        018494104              0                 5
Aastrom Biosciences Inc                  Common Stock        00253U107              2               500
Ashton Technology Group Inc              Common Stock        045084100             65             7,760
Applied Science & Technology             Common Stock        038236105              3               100
AG Services of America Inc.              Common Stock        001250109              2               100
Anglo Swiss Resources Inc.               Foreign Stock       034919100             11            68,000
Active Software Inc                      Common Stock        00504E100              3                50
Alltel Corp.                             Common Stock        020039103          1,643            26,057
Atlantic Capt I Cum Qtly Inc.            PFD QTR 30/360      048272207            201             9,050
Astea Intl Inc                           Common Stock        04622E109              1               300
American Technologies Group              Common Stock        030143101              2             4,600
Equity Income Fd                         Common Stock        294700703            308             1,567
AGL Resources Inc.                       Common Stock        001204106            219            11,924
ATG Inc.                                 Common Stock        00206P106             16             3,800
Altigen Communications Inc               Common Stock        021489109             11             1,000
At Home Corp. Cl A                       Common Stock        045919107          3,651           110,839
Allegheny Technologies Inc               Common Stock        01741R102             15               765

                        Item 1:                      Item 6:                Item 7:              Item 8:
                    Name of Issuer             Investment Discretion         Other        Voting Authority (Shares)
                                         (a) Sole (b)Shared as (c)Shared    Managers   (a) Sole  (b) Shared  (c) None
                                                       Def        Other
- --------------------------------------------------------------------------------------------------------------------
Arm Holdings PCL Spons ADR                             X                                   0          1,557      0
American Re Capital Cum Income                         X                                   0          1,900      0
Aronex Pharmaceuticals Inc                             X                                   0         10,100      0
Arrow International, Inc.                              X                                   0            300      0
ACNielsen Corp.                                        X                                   0         11,153      0
Arthrocare Corp                                        X                                   0          2,850      0
Art Technology Group Inc                               X                                   0          6,677      0
Artisan Components Inc                                 X                                   0            475      0
Advanced Radio Telecom Corp                            X                                   0          2,200      0
Arvin Industries, Inc.                                 X                                   0         34,115      0
Arrow Electronics Inc.                                 X                                   0         48,912      0
Arrow Magnolia Intl Inc.                               X                                   0          6,763      0
Aeroflex Inc.                                          X                                   0            725      0
Archer Sys Inc                                         X                                   0         71,000      0
ASA Ltd                                                X                                   0          1,870      0
Esat Inc                                               X                                   0          1,500      0
Associated Banc Corp.                                  X                                   0          2,042      0
Ameriana Bancorp                                       X                                   0            700      0
Ascent Pediatrics Inc                                  X                                   0          9,000      0
American Standard Companies Inc.                       X                                   0          5,135      0
Aspect Development Inc                                 X                                   0          2,400      0
Astoria Financial Corp.                                X                                   0         19,657      0
Ashford Com Inc                                        X                                   0          1,000      0
Liberty All Star Growth Fd                             X                                   0         19,107      0
On Assignment Inc.                                     X                                   0            725      0
Ashland Inc.                                           X                                   0          1,051      0
Asiainfo Hldgs Inc                                     X                                   0            550      0
Ask Jeeves Inc                                         X                                   0          1,165      0
Ashanti Goldfield Co. LTD GDR                          X                                   0          7,821      0
ASM International N.V.                                 X                                   0            500      0
ASM Lithography Holding NV                             X                                   0          4,619      0
Archstone Communities Trust                            X                                   0         20,107      0
Archstone Communities Tr 9% PFD Ser B                  X                                   0          5,100      0
AmSouth Bancorp                                        X                                   0         61,060      0
American Strategic Incm Ptfl                           X                                   0          4,726      0
Aspeon Inc                                             X                                   0             50      0
Aspect Communications Inc                              X                                   0          1,739      0
Auspex System Inc.                                     X                                   0          1,000      0
Asia Resources Holdings Ltd                            X                                   0              1      0
Astec Industries Inc                                   X                                   0            950      0
Allergan Specialty Therap-A                            X                                   0              5      0
Aastrom Biosciences Inc                                X                                   0            500      0
Ashton Technology Group Inc                            X                                   0          7,760      0
Applied Science & Technology                           X                                   0            100      0
AG Services of America Inc.                            X                                   0            100      0
Anglo Swiss Resources Inc.                             X                                   0         68,000      0
Active Software Inc                                    X                                   0             50      0
Alltel Corp.                                           X                                   0         26,057      0
Atlantic Capt I Cum Qtly Inc.                          X                                   0          9,050      0
Astea Intl Inc                                         X                                   0            300      0
American Technologies Group                            X                                   0          4,600      0
Equity Income Fd                                       X                                   0          1,567      0
AGL Resources Inc.                                     X                                   0         11,924      0
ATG Inc.                                               X                                   0          3,800      0
Altigen Communications Inc                             X                                   0          1,000      0
At Home Corp. Cl A                                     X                                   0        110,839      0
Allegheny Technologies Inc                             X                                   0            765      0
</TABLE>

<PAGE>


<TABLE>
<CAPTION>
            FORM 13F             NAME OF REPORTING MANAGER: LEGG MASON WOOD WALKER (IMS)                     Run Date: 04/13/2000
                                                            FOR POSITIONS HELD AS OF 03/31/2000              S.E.C. Use Only

                        Item 1:            Item 2:           Item 3:         Item 4:            Item 5:
                    Name of Issuer      Title of Class    CUSIP Number  Fair Market Value      Shares or
                                                                           (X $1000)         Principal Amt.

- -----------------------------------------------------------------------------------------------------------
<S>                                      <C>                 <C>                    <C>             <C>
Advanced Tissue Sciences Inc.            Common Stock        00755F103              3               400
Alliant Techsystem                       Common Stock        018804104            447             7,595
Atlantis Group Inc New                   Common Stock        049148109              0                25
Atlantic Finl Fed                        Common Stock        048535108              0               450
Atlas Air Inc.                           Common Stock        049164106             55             2,000
Atmi Inc.orporation                      Common Stock        00207R101            861            18,025
Atmel Corp.                              Common Stock        049513104          1,680            32,533
ATMOS Energy Corp                        Common Stock        049560105             42             2,536
Aptargroup Inc.                          Common Stock        038336103            184             6,900
Atrion Corp                              Common Stock        049904105             22             2,000
Atrix Labs Inc.                          Common Stock        04962L101              5               500
Ats Money Sys Inc                        Common Stock        002084101              3             2,000
Artesyn Technologies Inc.                Common Stock        043127109            524            27,693
Atlas Corp. New                          Common Stock        049267305              0                44
Activision Inc New                       Common Stock        004930202             12             1,000
Cross A T Co Cl A                        Common Stock        227478104              2               400
ATI Technologies Inc.                    Foreign Stock       001941103            484            26,915
Automatic Data Processing                Common Stock        053015103          8,036           166,556
Audiocodes Ltd                           Foreign Stock       M15342104              5                50
Aura Systems Inc.                        Common Stock        051526101              0               500
Avista Corp                              Common Stock        05379B107            677            16,615
Avant Immunotherapeutics Inc             Common Stock        053491106             10             1,100
Avatex Corp                              Common Stock        05349F402              1             1,973
Avalonbay Communities Inc.               Common Stock        053484101            260             7,112
Avalonbay Communities Inc PFD SrF 9.00   PFD QTR 30/360      053484507             88             3,980
Avalonbay Communities Inc 8.7% Sr H Pf   PFD QTR 30/360      053484705              9               400
Aventis                                  ADR                 053561106            529             9,801
Avenue A Inc                             Common Stock        053566105              2                50
Avigen Inc                               Common Stock        053690103              6               125
Avis Rent A Car Inc                      Common Stock        053790101            205            11,635
Avid Technology Inc.                     Common Stock        05367P100            649            36,295
Advanced Info Svc Pub Ltd                ADR                 00753G103              6               400
Aviron                                   Common Stock        053762100             14               500
Avitar Inc                               Common Stock        053801106              0                 9
Aviall Inc.                              Common Stock        05366B102              0                25
Avanir Pharmaceuticals CL-A              Common Stock        05348P104              4             1,000
Avant Corp                               Common Stock        053487104              3               210
Avanex Corp                              Common Stock        05348W109            112               740
Avoca Inc.                               Common Stock        053843108             14               700
Avon Products Inc.                       Common Stock        054303102          2,596            89,338
Applied Voice Recognition Inc            Common Stock        03828N103             10             7,000
Avert Inc                                Common Stock        053596102             81             2,700
Aviation Sales Co.                       Common Stock        053672101              3               500
Avnet Inc.                               Common Stock        053807103             64             1,018
AVX Corporation                          Common Stock        002444107            104             1,375
Avax Tech Inc                            Common Stock        053495305             18             1,575
Avery Dennison Corp.                     Common Stock        053611109          3,555            58,212
America West Holdings Corp.              Common Stock        023657208             24             1,580
Allied Waste Inds Inc. Com New           Common Stock        019589308            146            22,200
American Water Works Co Inc.             Common Stock        030411102            212             8,940
American States Water Company            Common Stock        029899101             96             3,231
Aware Inc. Mass                          Common Stock        05453N100             56             1,400
Autologous Wound Therapy Inc             Common Stock        052804101             17               888
AXA-UAP - Sponsored ADR                  ADR                 054536107            560             7,817
AMPEX Inc.                               Common Stock        032092108             45            14,300
Access Pharmaceuticals Inc               Common Stock        00431M209          1,422           204,999
AXA Financial Inc                        Common Stock        002451102          1,883            52,495

                        Item 1:                     Item 6:                Item 7:              Item 8:
                    Name of Issuer            Investment Discretion         Other        Voting Authority (Shares)
                                        (a) Sole (b)Shared as (c)Shared    Managers   (a) Sole  (b) Shared  (c) None
                                                      Def        Other
- -------------------------------------------------------------------------------------------------------------------
Advanced Tissue Sciences Inc.                         X                                   0            400      0
Alliant Techsystem                                    X                                   0          7,595      0
Atlantis Group Inc New                                X                                   0             25      0
Atlantic Finl Fed                                     X                                   0            450      0
Atlas Air Inc.                                        X                                   0          2,000      0
Atmi Inc.orporation                                   X                                   0         18,025      0
Atmel Corp.                                           X                                   0         32,533      0
ATMOS Energy Corp                                     X                                   0          2,536      0
Aptargroup Inc.                                       X                                   0          6,900      0
Atrion Corp                                           X                                   0          2,000      0
Atrix Labs Inc.                                       X                                   0            500      0
Ats Money Sys Inc                                     X                                   0          2,000      0
Artesyn Technologies Inc.                             X                                   0         27,693      0
Atlas Corp. New                                       X                                   0             44      0
Activision Inc New                                    X                                   0          1,000      0
Cross A T Co Cl A                                     X                                   0            400      0
ATI Technologies Inc.                                 X                                   0         26,915      0
Automatic Data Processing                             X                                   0        166,556      0
Audiocodes Ltd                                        X                                   0             50      0
Aura Systems Inc.                                     X                                   0            500      0
Avista Corp                                           X                                   0         16,615      0
Avant Immunotherapeutics Inc                          X                                   0          1,100      0
Avatex Corp                                           X                                   0          1,973      0
Avalonbay Communities Inc.                            X                                   0          7,112      0
Avalonbay Communities Inc PFD SrF 9.00                X                                   0          3,980      0
Avalonbay Communities Inc 8.7% Sr H Pf                X                                   0            400      0
Aventis                                               X                                   0          9,801      0
Avenue A Inc                                          X                                   0             50      0
Avigen Inc                                            X                                   0            125      0
Avis Rent A Car Inc                                   X                                   0         11,635      0
Avid Technology Inc.                                  X                                   0         36,295      0
Advanced Info Svc Pub Ltd                             X                                   0            400      0
Aviron                                                X                                   0            500      0
Avitar Inc                                            X                                   0              9      0
Aviall Inc.                                           X                                   0             25      0
Avanir Pharmaceuticals CL-A                           X                                   0          1,000      0
Avant Corp                                            X                                   0            210      0
Avanex Corp                                           X                                   0            740      0
Avoca Inc.                                            X                                   0            700      0
Avon Products Inc.                                    X                                   0         89,338      0
Applied Voice Recognition Inc                         X                                   0          7,000      0
Avert Inc                                             X                                   0          2,700      0
Aviation Sales Co.                                    X                                   0            500      0
Avnet Inc.                                            X                                   0          1,018      0
AVX Corporation                                       X                                   0          1,375      0
Avax Tech Inc                                         X                                   0          1,575      0
Avery Dennison Corp.                                  X                                   0         58,212      0
America West Holdings Corp.                           X                                   0          1,580      0
Allied Waste Inds Inc. Com New                        X                                   0         22,200      0
American Water Works Co Inc.                          X                                   0          8,940      0
American States Water Company                         X                                   0          3,231      0
Aware Inc. Mass                                       X                                   0          1,400      0
Autologous Wound Therapy Inc                          X                                   0            888      0
AXA-UAP - Sponsored ADR                               X                                   0          7,817      0
AMPEX Inc.                                            X                                   0         14,300      0
Access Pharmaceuticals Inc                            X                                   0        204,999      0
AXA Financial Inc                                     X                                   0         52,495      0
</TABLE>

<PAGE>


<TABLE>
<CAPTION>
            FORM 13F             NAME OF REPORTING MANAGER: LEGG MASON WOOD WALKER (IMS)                     Run Date: 04/13/2000
                                                            FOR POSITIONS HELD AS OF 03/31/2000              S.E.C. Use Only

                        Item 1:            Item 2:           Item 3:         Item 4:            Item 5:
                    Name of Issuer      Title of Class    CUSIP Number  Fair Market Value      Shares or
                                                                           (X $1000)         Principal Amt.

- -----------------------------------------------------------------------------------------------------------
<S>                                      <C>                 <C>                    <C>             <C>
Axent Technologies Inc.                  Common Stock        05459C108             40             2,150
American Express Co.                     Common Stock        025816109         12,126            81,417
American Express Co Cap Tr 1 7%          PFD QTR 30/360      02583Y205             26             1,200
Axys Pharmaceuticals Inc.                Common Stock        054635107            126            16,419
Axsys Technologies Inc                   Common Stock        054615109              8               500
Allegheny Energy Inc.                    Common Stock        017361106            680            24,684
ALZA Corp. Com                           Common Stock        022615108            197             5,235
Astrazena PLC -Spons ADR                 ADR                 046353108            290             7,150
Autozone Inc.                            Common Stock        053332102             39             1,410
AZTAR Corp.                              Common Stock        054802103             33             3,525
Aztec Technology Partners Inc.           Common Stock        05480L101              2               223
Azurix Corp.                             Common Stock        05501M104            221            29,400
Bankamerica Capital IV-7% CUM TR         PFD QTR 30/360      066044207              6               300
Bear Stearns Captl Trust II 7.50%        PFD QTR 30/360      07383J209             79             3,600
Bk Of Ireland                            Common Stock        G49374104              1               201
Bellsouth Cap Funding Quibs 7.375%       PFD QTR 30/360      079857207             32             1,400
Borne Chemical Co.  Inc.  OLD            Foreign Stock       099869109              0               300
Boeing Co.                               Common Stock        097023105          5,017           132,240
BAA PLC Spons ADR                        ADR                 05518L206              8             1,330
British Airways PLC ADR                  ADR                 110419306            197             3,668
Bank of America Corp.                    Common Stock        060505104         16,777           319,940
Bank America Capital I                   Preferred Stock     066046202             14               600
Buenos Aires Embotelladora S A           ADR                 119424208              0               804
Bab Hldgs Inc                            Common Stock        055176200              1               600
Balanced Care Corp                       Common Stock        057630105              6             3,000
Baltimore Technologies Plc               ADR                 059284109            142               992
Books-A-Million Inc.                     Common Stock        098570104              3               500
Bayerische Motoren Werke A G             Foreign Stock       D12096109            225             7,180
BBC Capital Trust I 9.5% Cum Pfd         PFD QTR 30/360      05527J200            129             7,120
Barra Inc.                               Common Stock        068313105              3               100
Base Ten Sys Inc                         Common Stock        069779304             46            16,890
B A S F  A G                             ADR                 055262505          3,808            80,229
Baxter Intl Inc                          Common Stock        071813109          3,193            53,559
Bay Banks Virginia Inc                   Common Stock        072035108             22               624
Bayer AG Spons ADR                       ADR                 072730302            107             2,385
Bed Bath & Beyond Inc.                   Common Stock        075896100            274             6,965
Bergen Brunswig Corp.                    Common Stock        083739102            169            24,986
Beasley Broadcast Group Inc              Foreign Stock       074014101              9             1,000
Biotech HOLDRS Tr                        Common Stock        09067D201          1,061             6,262
Blockbuster Inc                          Common Stock        093679108            113            11,310
British Biotech Spons ADR                ADR                 110515103              1               150
Black Box Corp.                          Common Stock        091826107             59               855
Banco Bradesco SA Sponsored Adr Repstg   ADR                 059460105            212            25,580
Butler Manufacturing Co.                 Common Stock        123655102              9               350
BB&T Corp.                               Common Stock        054937107          4,113           146,567
Bouncebacktechnologies Com Inc           Common Stock        101628105              1             1,200
Banco Bilbao Vizcaya Argentina SA  ADR   ADR                 05946K101            410            27,557
Bank Atlantic Bancorp Inc. A             Common Stock        065908501             39             9,877
Best Buy Inc.                            Common Stock        086516101          1,974            22,956
Brunswick Corp.                          Common Stock        117043109            298            15,749
Barclays Bank PLC ADR 11.50% Ser D       PFD QTR 30/360      06738C802             56             2,150
Barclays Bank Plc 8.0% Ser E2 Pfd        PFD QTR 30/360      06738C836            195             8,500
Barclays Bank Plc 11.25% Amer            PFD QTR 30/360      06738C505             64             2,500
Boise Cascade                            Common Stock        097383103             18               527
BCE Inc.                                 Common Stock        05534B109          2,966            23,644
Burlington Coat Factory Whse             Common Stock        121579106              2               140
Biochem Pharma Inc.                      Foreign Stock       09058T108            166             7,514

                        Item 1:                      Item 6:                Item 7:              Item 8:
                    Name of Issuer             Investment Discretion         Other        Voting Authority (Shares)
                                         (a) Sole (b)Shared as (c)Shared    Managers   (a) Sole  (b) Shared  (c) None
                                                       Def        Other
- --------------------------------------------------------------------------------------------------------------------
Axent Technologies Inc.                                X                                   0          2,150      0
American Express Co.                                   X                                   0         81,417      0
American Express Co Cap Tr 1 7%                        X                                   0          1,200      0
Axys Pharmaceuticals Inc.                              X                                   0         16,419      0
Axsys Technologies Inc                                 X                                   0            500      0
Allegheny Energy Inc.                                  X                                   0         24,684      0
ALZA Corp. Com                                         X                                   0          5,235      0
Astrazena PLC -Spons ADR                               X                                   0          7,150      0
Autozone Inc.                                          X                                   0          1,410      0
AZTAR Corp.                                            X                                   0          3,525      0
Aztec Technology Partners Inc.                         X                                   0            223      0
Azurix Corp.                                           X                                   0         29,400      0
Bankamerica Capital IV-7% CUM TR                       X                                   0            300      0
Bear Stearns Captl Trust II 7.50%                      X                                   0          3,600      0
Bk Of Ireland                                          X                                   0            201      0
Bellsouth Cap Funding Quibs 7.375%                     X                                   0          1,400      0
Borne Chemical Co.  Inc.  OLD                          X                                   0            300      0
Boeing Co.                                             X                                   0        132,240      0
BAA PLC Spons ADR                                      X                                   0          1,330      0
British Airways PLC ADR                                X                                   0          3,668      0
Bank of America Corp.                                  X                                   0        319,940      0
Bank America Capital I                                 X                                   0            600      0
Buenos Aires Embotelladora S A                         X                                   0            804      0
Bab Hldgs Inc                                          X                                   0            600      0
Balanced Care Corp                                     X                                   0          3,000      0
Baltimore Technologies Plc                             X                                   0            992      0
Books-A-Million Inc.                                   X                                   0            500      0
Bayerische Motoren Werke A G                           X                                   0          7,180      0
BBC Capital Trust I 9.5% Cum Pfd                       X                                   0          7,120      0
Barra Inc.                                             X                                   0            100      0
Base Ten Sys Inc                                       X                                   0         16,890      0
B A S F  A G                                           X                                   0         80,229      0
Baxter Intl Inc                                        X                                   0         53,559      0
Bay Banks Virginia Inc                                 X                                   0            624      0
Bayer AG Spons ADR                                     X                                   0          2,385      0
Bed Bath & Beyond Inc.                                 X                                   0          6,965      0
Bergen Brunswig Corp.                                  X                                   0         24,986      0
Beasley Broadcast Group Inc                            X                                   0          1,000      0
Biotech HOLDRS Tr                                      X                                   0          6,262      0
Blockbuster Inc                                        X                                   0         11,310      0
British Biotech Spons ADR                              X                                   0            150      0
Black Box Corp.                                        X                                   0            855      0
Banco Bradesco SA Sponsored Adr Repstg                 X                                   0         25,580      0
Butler Manufacturing Co.                               X                                   0            350      0
BB&T Corp.                                             X                                   0        146,567      0
Bouncebacktechnologies Com Inc                         X                                   0          1,200      0
Banco Bilbao Vizcaya Argentina SA  ADR                 X                                   0         27,557      0
Bank Atlantic Bancorp Inc. A                           X                                   0          9,877      0
Best Buy Inc.                                          X                                   0         22,956      0
Brunswick Corp.                                        X                                   0         15,749      0
Barclays Bank PLC ADR 11.50% Ser D                     X                                   0          2,150      0
Barclays Bank Plc 8.0% Ser E2 Pfd                      X                                   0          8,500      0
Barclays Bank Plc 11.25% Amer                          X                                   0          2,500      0
Boise Cascade                                          X                                   0            527      0
BCE Inc.                                               X                                   0         23,644      0
Burlington Coat Factory Whse                           X                                   0            140      0
Biochem Pharma Inc.                                    X                                   0          7,514      0
</TABLE>

<PAGE>


<TABLE>
<CAPTION>
            FORM 13F             NAME OF REPORTING MANAGER: LEGG MASON WOOD WALKER (IMS)                     Run Date: 04/13/2000
                                                            FOR POSITIONS HELD AS OF 03/31/2000              S.E.C. Use Only

                        Item 1:            Item 2:           Item 3:         Item 4:            Item 5:
                    Name of Issuer      Title of Class    CUSIP Number  Fair Market Value      Shares or
                                                                           (X $1000)         Principal Amt.

- -----------------------------------------------------------------------------------------------------------
<S>                                      <C>                 <C>                    <C>             <C>
Bard C R Inc.                            Common Stock        067383109            306             7,915
Biocryst Pharmaceuticals Inc             Common Stock        09058V103            228             8,350
Barclays PLC ADR                         ADR                 06738E204            275             2,496
BCSB Bankcorp Inc                        Common Stock        054948104              3               500
Borden Chemicals & Plastics LTD          LTD Part  P4        099541203              2               500
Budget Group Inc Cl A                    Common Stock        119003101              6             1,200
Bid.Com Intl Inc                         Common Stock        088788104            128            21,500
Brilliant Digital Entertainmnt           Common Stock        109502104             18             1,500
Bandag Inc.                              Common Stock        059815100             20               875
Bandag Inc. Class A                      Common Stock        059815308             23             1,000
Black & Decker Corp.                     Common Stock        091797100          2,064            54,941
Brandywine Realty Trust SBI              Common Stock        105368203          1,110            64,811
Big Dog Hldgs Inc                        Common Stock        089128102              5             1,000
Bombardier Inc- Cl A                     Common Stock        097751101              7               300
Bombardier Inc. Cl B                     Common Stock        097751200             59             2,340
Breed Technology                         Common Stock        106702103              1             1,401
Becton Dickinson & Co                    Common Stock        075887109          2,529            96,102
Bindley Western Inds Inc.                Common Stock        090324104             38             2,830
Summit Technology Inc.                   Common Stock        86627E101             95            10,450
BEA Systems Inc.                         Common Stock        073325102          1,426            19,433
BE Aerospace, Inc.                       Common Stock        073302101            123            20,900
Beckman Coulter Inc.                     Common Stock        075811109            267             4,160
Bedford Property Investors               Common Stock        076446301             93             5,815
Bridgestreet Accommodations Inc.         Common Stock        108452103             16             6,000
Bell Atlantic Corp.                      Common Stock        077853109         21,137           345,794
Bel Fuse Inc.                            Common Stock        077347201             29             1,450
Bel Fuse Inc CL-B                        Common Stock        077347300            102             4,850
Bell Microproducts Inc                   Common Stock        078137106              2               100
Bellwether Exploration Co.               Common Stock        079895207              6               800
Franklin Resources                       Common Stock        354613101          1,471            43,981
Be Inc                                   Common Stock        073309106             47             3,100
Berkshire Energy Res                     Common Stock        084644103             36             1,000
Beringer Wine Estates-B                  Common Stock        084102102             99             2,750
Best Products Co Inc.                    Common Stock        086553104              0               400
Beverly Enterprises Inc. New             Common Stock        087851309             83            22,550
Baldor Electric co                       Common Stock        057741100             83             4,600
Brown Forman Corp. CL B                  Common Stock        115637209            167             3,061
Bright Horizons Family Solutions Inc.    Common Stock        109195107             11               500
The Blackrock California                 Common Stock        09247G108             14             1,000
Brauns Fashions Corp                     Common Stock        105658108            126             5,000
BostonFed Bancorp Inc                    Common Stock        101178101              5               450
Bally Total Fitness Holdings Corp.       Common Stock        05873K108              1                50
Bluefly Inc.                             Common Stock        096227103              4               500
Bestfoods                                Common Stock        08658U101          3,440            73,487
Ben Franklin Retail Stores, Inc.         Common Stock        081499105              0               221
Saul Centers                             Common Stock        804395101             19             1,200
General Cable Corp.                      Common Stock        369300108             16             2,000
BGE Capital Trust 1 7.16% Tr             PFD QTR 30/360      055415202            367            17,905
Biogen Inc.                              Common Stock        090597105          3,730            53,382
Briggs & Stratton Corp.                  Common Stock        109043109             41               990
Manhattan Bagel Inc                      Common Stock        562751107              0               500
Bogen Communications Intl                Common Stock        097189104             13             1,250
Bema Gold Corp.                          Common Stock        08135F107             20            27,000
Borders Group Inc.                       Common Stock        099709107            326            18,970
Bangor Hydro Electric CO                 Common Stock        060077104             22             1,290
British Energy Plc                       ADR                 110793304             90             6,920
Bar Harbor Bankshares                    Common Stock        066849100              7               550

                        Item 1:                      Item 6:                Item 7:              Item 8:
                    Name of Issuer             Investment Discretion         Other        Voting Authority (Shares)
                                         (a) Sole (b)Shared as (c)Shared    Managers   (a) Sole  (b) Shared  (c) None
                                                       Def        Other
- --------------------------------------------------------------------------------------------------------------------
Bard C R Inc.                                          X                                   0          7,915      0
Biocryst Pharmaceuticals Inc                           X                                   0          8,350      0
Barclays PLC ADR                                       X                                   0          2,496      0
BCSB Bankcorp Inc                                      X                                   0            500      0
Borden Chemicals & Plastics LTD                        X                                   0            500      0
Budget Group Inc Cl A                                  X                                   0          1,200      0
Bid.Com Intl Inc                                       X                                   0         21,500      0
Brilliant Digital Entertainmnt                         X                                   0          1,500      0
Bandag Inc.                                            X                                   0            875      0
Bandag Inc. Class A                                    X                                   0          1,000      0
Black & Decker Corp.                                   X                                   0         54,941      0
Brandywine Realty Trust SBI                            X                                   0         64,811      0
Big Dog Hldgs Inc                                      X                                   0          1,000      0
Bombardier Inc- Cl A                                   X                                   0            300      0
Bombardier Inc. Cl B                                   X                                   0          2,340      0
Breed Technology                                       X                                   0          1,401      0
Becton Dickinson & Co                                  X                                   0         96,102      0
Bindley Western Inds Inc.                              X                                   0          2,830      0
Summit Technology Inc.                                 X                                   0         10,450      0
BEA Systems Inc.                                       X                                   0         19,433      0
BE Aerospace, Inc.                                     X                                   0         20,900      0
Beckman Coulter Inc.                                   X                                   0          4,160      0
Bedford Property Investors                             X                                   0          5,815      0
Bridgestreet Accommodations Inc.                       X                                   0          6,000      0
Bell Atlantic Corp.                                    X                                   0        345,794      0
Bel Fuse Inc.                                          X                                   0          1,450      0
Bel Fuse Inc CL-B                                      X                                   0          4,850      0
Bell Microproducts Inc                                 X                                   0            100      0
Bellwether Exploration Co.                             X                                   0            800      0
Franklin Resources                                     X                                   0         43,981      0
Be Inc                                                 X                                   0          3,100      0
Berkshire Energy Res                                   X                                   0          1,000      0
Beringer Wine Estates-B                                X                                   0          2,750      0
Best Products Co Inc.                                  X                                   0            400      0
Beverly Enterprises Inc. New                           X                                   0         22,550      0
Baldor Electric co                                     X                                   0          4,600      0
Brown Forman Corp. CL B                                X                                   0          3,061      0
Bright Horizons Family Solutions Inc.                  X                                   0            500      0
The Blackrock California                               X                                   0          1,000      0
Brauns Fashions Corp                                   X                                   0          5,000      0
BostonFed Bancorp Inc                                  X                                   0            450      0
Bally Total Fitness Holdings Corp.                     X                                   0             50      0
Bluefly Inc.                                           X                                   0            500      0
Bestfoods                                              X                                   0         73,487      0
Ben Franklin Retail Stores, Inc.                       X                                   0            221      0
Saul Centers                                           X                                   0          1,200      0
General Cable Corp.                                    X                                   0          2,000      0
BGE Capital Trust 1 7.16% Tr                           X                                   0         17,905      0
Biogen Inc.                                            X                                   0         53,382      0
Briggs & Stratton Corp.                                X                                   0            990      0
Manhattan Bagel Inc                                    X                                   0            500      0
Bogen Communications Intl                              X                                   0          1,250      0
Bema Gold Corp.                                        X                                   0         27,000      0
Borders Group Inc.                                     X                                   0         18,970      0
Bangor Hydro Electric CO                               X                                   0          1,290      0
British Energy Plc                                     X                                   0          6,920      0
Bar Harbor Bankshares                                  X                                   0            550      0
</TABLE>

<PAGE>


<TABLE>
<CAPTION>
            FORM 13F             NAME OF REPORTING MANAGER: LEGG MASON WOOD WALKER (IMS)                     Run Date: 04/13/2000
                                                            FOR POSITIONS HELD AS OF 03/31/2000              S.E.C. Use Only

                        Item 1:            Item 2:           Item 3:         Item 4:            Item 5:
                    Name of Issuer      Title of Class    CUSIP Number  Fair Market Value      Shares or
                                                                           (X $1000)         Principal Amt.

- -----------------------------------------------------------------------------------------------------------
<S>                                      <C>                 <C>                    <C>             <C>
BHC Communications Inc.                  Common Stock        055448104            109               700
Benchmark Electronics Inc                Common Stock        08160H101            348             9,400
B2b Internet Holdrs Tr                   Common Stock        056033103          1,380            20,300
Baker Hughes Inc.                        Common Stock        057224107          1,306            43,173
Broken Hill Proprietary Co Ltd           ADR                 112169602            248            11,415
Bell & Howell Co.                        Common Stock        077852101             66             2,115
Biocontrol Technology Inc.               Common Stock        090586108            106           289,100
Sothebys Holdings Inc. - Cl A Ltd Vtg    Common Stock        835898107             40             2,150
Bingo Com Inc.                           Foreign Stock       09051N108             14            10,300
Excelsior-Henderson Motorcycle Man Co    Common Stock        300906104              0             1,800
Bikers Dream Inc.                        Common Stock        090008202              1               500
Billing Information Concepts             Common Stock        090063108            387            55,100
Bioshperes Inc                           Common Stock        090662107             11             1,000
Bio-Rad Laboratories Inc.                Common Stock        090572207             31             1,140
Biomira Inc                              Common Stock        09161R106             43             4,200
Biosys Inc.                              Common Stock        09066N200              0               216
Birmingham Steel Corp.                   Common Stock        091250100             68            13,235
Biscayne Apparel Inc                     Common Stock        091353102              0                47
Biosonics Incorporation                  Common Stock        090908104              0            50,000
BJ's Wholesale Club Inc.                 Common Stock        05548J106          3,547            91,830
Bioject Med Tech Inc                     Common Stock        09059T206            121            10,700
Ben & Jerry Homemade Inc                 Common Stock        081465106              7               200
BJ Services Co.                          Common Stock        055482103            121             1,640
Bank of New York Co. Inc.                Common Stock        064057102          3,144            75,643
Bank of New York Capital II              PFD QTR 30/360      096564208             91             3,891
BNY Capital III-Trust                    PFD QTR 30/360      05563W206             46             2,200
BNY Capital Trust IV 6.875% Ser E        PFD QTR 30/360      09656G201            143             6,800
Baker Fentress & Co                      Common Stock        057213209              4               334
Buckeye Technologies Inc                 Common Stock        118255108             38             2,160
W R Berkley Corp.                        Common Stock        084423102            177             7,655
Bank of North Carolina                   Common Stock        06414Q109              9               781
Barnes & Noble Inc.                      Common Stock        067774109            217             9,420
Brookstone Inc.                          Common Stock        114537103            469            26,788
The Blackrock Income Tr Inc.             Common Stock        09247F100            194            32,600
Bank United Tex                          Preferred Stock     065414302             13               500
Bank United Capital II-9.60% Cum Trust   PFD QTR 30/360      06651W207             37             2,000
Blair Corp.                              Common Stock        092828102              3               200
Belo A H Com Ser A                       Common Stock        080555105            115             6,430
Baldwin Technology Co Inc. Cl A          Common Stock        058264102              4             2,000
Ballard Power Systems Inc.               Common Stock        05858H104            372             4,400
Blackrock Inc                            Common Stock        09247X101              2               100
Ball Corp.                               Common Stock        058498106             63             1,809
Billserv.com Inc                         Common Stock        090181108             49             2,200
American Inflatables Inc                 Common Stock        026802108              8             3,000
Belmont Bancorp St. Clairsville          Common Stock        080162100             16             5,353
Block Drug Inc.                          Common Stock        093644102             21               749
BellSouth Corp.                          Common Stock        079860102         14,298           304,220
Boston Life Sciences Inc New             Common Stock        100843408             31             3,400
Bluestone Software Inc                   Common Stock        09623P102            563            16,678
Blount International Inc                 Common Stock        095180105              1                56
Biolase Technology Corp.                 Common Stock        090911108              8             2,200
Billiton PLC-ADR                         ADR                 090171109            228            48,361
Immucor Inc                              Common Stock        452526106              3               300
Frederick Brewing Co Com New             Common Stock        355673203              1             1,435
Blaze Software Inc                       Common Stock        09347T109              6               200
BMC Software                             Common Stock        055921100          5,213           105,574
Biomet Inc.                              Common Stock        090613100            434            11,930

                        Item 1:                      Item 6:                Item 7:              Item 8:
                    Name of Issuer             Investment Discretion         Other        Voting Authority (Shares)
                                         (a) Sole (b)Shared as (c)Shared    Managers   (a) Sole  (b) Shared  (c) None
                                                       Def        Other
- --------------------------------------------------------------------------------------------------------------------
BHC Communications Inc.                                X                                   0            700      0
Benchmark Electronics Inc                              X                                   0          9,400      0
B2b Internet Holdrs Tr                                 X                                   0         20,300      0
Baker Hughes Inc.                                      X                                   0         43,173      0
Broken Hill Proprietary Co Ltd                         X                                   0         11,415      0
Bell & Howell Co.                                      X                                   0          2,115      0
Biocontrol Technology Inc.                             X                                   0        289,100      0
Sothebys Holdings Inc. - Cl A Ltd Vtg                  X                                   0          2,150      0
Bingo Com Inc.                                         X                                   0         10,300      0
Excelsior-Henderson Motorcycle Man Co                  X                                   0          1,800      0
Bikers Dream Inc.                                      X                                   0            500      0
Billing Information Concepts                           X                                   0         55,100      0
Bioshperes Inc                                         X                                   0          1,000      0
Bio-Rad Laboratories Inc.                              X                                   0          1,140      0
Biomira Inc                                            X                                   0          4,200      0
Biosys Inc.                                            X                                   0            216      0
Birmingham Steel Corp.                                 X                                   0         13,235      0
Biscayne Apparel Inc                                   X                                   0             47      0
Biosonics Incorporation                                X                                   0         50,000      0
BJ's Wholesale Club Inc.                               X                                   0         91,830      0
Bioject Med Tech Inc                                   X                                   0         10,700      0
Ben & Jerry Homemade Inc                               X                                   0            200      0
BJ Services Co.                                        X                                   0          1,640      0
Bank of New York Co. Inc.                              X                                   0         75,643      0
Bank of New York Capital II                            X                                   0          3,891      0
BNY Capital III-Trust                                  X                                   0          2,200      0
BNY Capital Trust IV 6.875% Ser E                      X                                   0          6,800      0
Baker Fentress & Co                                    X                                   0            334      0
Buckeye Technologies Inc                               X                                   0          2,160      0
W R Berkley Corp.                                      X                                   0          7,655      0
Bank of North Carolina                                 X                                   0            781      0
Barnes & Noble Inc.                                    X                                   0          9,420      0
Brookstone Inc.                                        X                                   0         26,788      0
The Blackrock Income Tr Inc.                           X                                   0         32,600      0
Bank United Tex                                        X                                   0            500      0
Bank United Capital II-9.60% Cum Trust                 X                                   0          2,000      0
Blair Corp.                                            X                                   0            200      0
Belo A H Com Ser A                                     X                                   0          6,430      0
Baldwin Technology Co Inc. Cl A                        X                                   0          2,000      0
Ballard Power Systems Inc.                             X                                   0          4,400      0
Blackrock Inc                                          X                                   0            100      0
Ball Corp.                                             X                                   0          1,809      0
Billserv.com Inc                                       X                                   0          2,200      0
American Inflatables Inc                               X                                   0          3,000      0
Belmont Bancorp St. Clairsville                        X                                   0          5,353      0
Block Drug Inc.                                        X                                   0            749      0
BellSouth Corp.                                        X                                   0        304,220      0
Boston Life Sciences Inc New                           X                                   0          3,400      0
Bluestone Software Inc                                 X                                   0         16,678      0
Blount International Inc                               X                                   0             56      0
Biolase Technology Corp.                               X                                   0          2,200      0
Billiton PLC-ADR                                       X                                   0         48,361      0
Immucor Inc                                            X                                   0            300      0
Frederick Brewing Co Com New                           X                                   0          1,435      0
Blaze Software Inc                                     X                                   0            200      0
BMC Software                                           X                                   0        105,574      0
Biomet Inc.                                            X                                   0         11,930      0
</TABLE>

<PAGE>


<TABLE>
<CAPTION>
            FORM 13F             NAME OF REPORTING MANAGER: LEGG MASON WOOD WALKER (IMS)                     Run Date: 04/13/2000
                                                            FOR POSITIONS HELD AS OF 03/31/2000              S.E.C. Use Only

                        Item 1:            Item 2:           Item 3:         Item 4:            Item 5:
                    Name of Issuer      Title of Class    CUSIP Number  Fair Market Value      Shares or
                                                                           (X $1000)         Principal Amt.

- -----------------------------------------------------------------------------------------------------------
<S>                                      <C>                 <C>                    <C>             <C>
Battle Mountain Gold Co                  Common Stock        071593107             10             5,029
Battle Mountain Gold Conv PFD            PreferdStk Conv     071593305              3               100
Building Material Holding Corp.          Common Stock        120113105             19             2,150
Blagman Media Intl Inc                   Common Stock        092694108              5             2,000
Bemis Co Inc.                            Common Stock        081437105            205             5,550
Bryn Mawr BK Corp.                       Common Stock        117665109             48             2,188
Biomagnetic Technologies Inc             Common Stock        09060N107              1             1,400
Bristol-Myers Squibb Co.                 Common Stock        110122108         32,045           554,887
Barnesandnoble Com Inc                   Common Stock        067846105             33             3,500
Bnccorp Inc                              Common Stock        055936108             42             6,400
Bowne & Co Inc.                          Common Stock        103043105             13             1,000
Burlington Northern Santa Fe Corp.       Common Stock        12189T104            789            35,662
Bank United Corp. CL A                   Common Stock        065412108          1,040            32,943
Benton Oil & Gas Co                      Common Stock        083288100              9             2,963
Boddie-Noell Properties Inc.             Common Stock        096903109              3               400
Bionutrics Inc                           Common Stock        090946104              2               400
Bentley Pharmaceuticals Inc.             Common Stock        082657107             18             2,030
Braintech Inc New                        Foreign Stock       105022107             35            18,100
Bionova Holding Corp.                    Common Stock        09063Q107              0                50
Banyan Systems Inc.                      Common Stock        066908104             95             5,400
Bob Evans Farms Inc.                     Common Stock        096761101            293            23,406
Boca Research Inc.                       Common Stock        096888102             43             7,100
Pacific Century Financial Corp.          Common Stock        694058108             80             3,914
Bausch & Lomb Inc.                       Common Stock        071707103            724            13,875
Interpore Intl                           Common Stock        46062W107             19             2,250
Boise Cascade Office Product             Common Stock        097403109              2               150
Burns Intl Services Corp                 Common Stock        122374101              3               290
Borealis Exploration Ltd                 Foreign Stock       099720104             19             5,000
Boston Celtics Ltd Partnership Unit      LTD Part  P0        100577105              0                 5
Boston Acoustics Inc.                    Common Stock        100534106            137            13,410
Boston Chicken Inc.                      Common Stock        100578103              0             2,650
Botswana Rst Ltd ADR                     ADR                 101349207              0                31
About.com Inc                            Common Stock        003736105             31               350
Bovie Medical Corp                       Common Stock        10211F100              0                19
Bowater Inc                              Common Stock        102183100            162             3,040
Suite101.com Inc                         Foreign Stock       865073100              7             1,000
Boc Group PLC - Sponsored ADR            ADR                 055617609          2,811            69,845
Boykin Lodging Co                        Common Stock        103430104            136            11,600
British Petroleum PLC ADR                ADR                 110889409              6               120
BP Amoco Plc -Spons ADR                  ADR                 055622104          6,056           114,128
Banco Comercial Portugues SA ADS         ADR                 059479303              5               200
Buckeye Partners L P Unit                Common Stock        118230101            333            12,800
Bio-Plexus Inc.                          Common Stock        09057C106             26             7,500
Badger Paper Mls Inc                     Common Stock        056543101              2               500
Popular Inc.                             Common Stock        733174106            641            28,900
Bradley Pharmaceuticals Inc              Common Stock        104576103              2             1,000
Banpais S.A. -Spons ADR                  ADR                 066700105              0               200
BP Prudhoe Bay Rty Tr Unit Ben Int       Common Stock        055630107              2               200
Biopure Corp                             Common Stock        09065H105          1,681            50,465
Burlington Resources                     Common Stock        122014103          1,741            47,058
Bradlees Inc                             Common Stock        104499207             15             2,400
Brenton Bank Inc.                        Common Stock        107211104              5               550
Brocade Communications Sys Inc           Common Stock        111621108            849             4,735
Broadcom Corp Cl A                       Common Stock        111320107          8,364            34,438
BRE Properties Inc. Cl A                 Common Stock        05564E106            287            11,113
Bioreliance Corp                         Common Stock        090951104              0                46
Blackrock Florida Insured Muni Trust     Common Stock        09247H106             93             6,538

                        Item 1:                      Item 6:                Item 7:              Item 8:
                    Name of Issuer             Investment Discretion         Other        Voting Authority (Shares)
                                         (a) Sole (b)Shared as (c)Shared    Managers   (a) Sole  (b) Shared  (c) None
                                                       Def        Other
- --------------------------------------------------------------------------------------------------------------------
Battle Mountain Gold Co                                X                                   0          5,029      0
Battle Mountain Gold Conv PFD                          X                                   0            100      0
Building Material Holding Corp.                        X                                   0          2,150      0
Blagman Media Intl Inc                                 X                                   0          2,000      0
Bemis Co Inc.                                          X                                   0          5,550      0
Bryn Mawr BK Corp.                                     X                                   0          2,188      0
Biomagnetic Technologies Inc                           X                                   0          1,400      0
Bristol-Myers Squibb Co.                               X                                   0        554,887      0
Barnesandnoble Com Inc                                 X                                   0          3,500      0
Bnccorp Inc                                            X                                   0          6,400      0
Bowne & Co Inc.                                        X                                   0          1,000      0
Burlington Northern Santa Fe Corp.                     X                                   0         35,662      0
Bank United Corp. CL A                                 X                                   0         32,943      0
Benton Oil & Gas Co                                    X                                   0          2,963      0
Boddie-Noell Properties Inc.                           X                                   0            400      0
Bionutrics Inc                                         X                                   0            400      0
Bentley Pharmaceuticals Inc.                           X                                   0          2,030      0
Braintech Inc New                                      X                                   0         18,100      0
Bionova Holding Corp.                                  X                                   0             50      0
Banyan Systems Inc.                                    X                                   0          5,400      0
Bob Evans Farms Inc.                                   X                                   0         23,406      0
Boca Research Inc.                                     X                                   0          7,100      0
Pacific Century Financial Corp.                        X                                   0          3,914      0
Bausch & Lomb Inc.                                     X                                   0         13,875      0
Interpore Intl                                         X                                   0          2,250      0
Boise Cascade Office Product                           X                                   0            150      0
Burns Intl Services Corp                               X                                   0            290      0
Borealis Exploration Ltd                               X                                   0          5,000      0
Boston Celtics Ltd Partnership Unit                    X                                   0              5      0
Boston Acoustics Inc.                                  X                                   0         13,410      0
Boston Chicken Inc.                                    X                                   0          2,650      0
Botswana Rst Ltd ADR                                   X                                   0             31      0
About.com Inc                                          X                                   0            350      0
Bovie Medical Corp                                     X                                   0             19      0
Bowater Inc                                            X                                   0          3,040      0
Suite101.com Inc                                       X                                   0          1,000      0
Boc Group PLC - Sponsored ADR                          X                                   0         69,845      0
Boykin Lodging Co                                      X                                   0         11,600      0
British Petroleum PLC ADR                              X                                   0            120      0
BP Amoco Plc -Spons ADR                                X                                   0        114,128      0
Banco Comercial Portugues SA ADS                       X                                   0            200      0
Buckeye Partners L P Unit                              X                                   0         12,800      0
Bio-Plexus Inc.                                        X                                   0          7,500      0
Badger Paper Mls Inc                                   X                                   0            500      0
Popular Inc.                                           X                                   0         28,900      0
Bradley Pharmaceuticals Inc                            X                                   0          1,000      0
Banpais S.A. -Spons ADR                                X                                   0            200      0
BP Prudhoe Bay Rty Tr Unit Ben Int                     X                                   0            200      0
Biopure Corp                                           X                                   0         50,465      0
Burlington Resources                                   X                                   0         47,058      0
Bradlees Inc                                           X                                   0          2,400      0
Brenton Bank Inc.                                      X                                   0            550      0
Brocade Communications Sys Inc                         X                                   0          4,735      0
Broadcom Corp Cl A                                     X                                   0         34,438      0
BRE Properties Inc. Cl A                               X                                   0         11,113      0
Bioreliance Corp                                       X                                   0             46      0
Blackrock Florida Insured Muni Trust                   X                                   0          6,538      0
</TABLE>

<PAGE>


<TABLE>
<CAPTION>
            FORM 13F             NAME OF REPORTING MANAGER: LEGG MASON WOOD WALKER (IMS)                     Run Date: 04/13/2000
                                                            FOR POSITIONS HELD AS OF 03/31/2000              S.E.C. Use Only

                        Item 1:            Item 2:           Item 3:         Item 4:            Item 5:
                    Name of Issuer      Title of Class    CUSIP Number  Fair Market Value      Shares or
                                                                           (X $1000)         Principal Amt.

- -----------------------------------------------------------------------------------------------------------
<S>                                      <C>                 <C>                    <C>             <C>
BG PLC - Spons ADR                       ADR                 055434203            296            10,067
Companhia Cervejaria Brahma - SP ADR     ADR                 20440X103          4,095           252,010
Bridgford Foods Corp                     Common Stock        108763103              6               605
Berkshire Hathaway Inc. Class A          Common Stock        084670108          2,631                46
Berkshire Hathaway Inc. Class B          Common Stock        084670207         12,715             6,986
Brookline Bancorp Inc                    Common Stock        113739106              3               300
Brooks Automation Inc.                   Common Stock        11434A100              4                65
Brooktrout Technology Inc.               Common Stock        114580103             46             1,600
Barr Labs Inc.                           Common Stock        068306109             30               725
The Blackrock Insured Municipal 2008     Common Stock        09247K109             55             3,935
Brandera.com Incorporated                Common Stock        105261101              9             3,500
Brenner Intl Inc                         Common Stock        107177107              0                 9
Brown & Brown Inc                        Common Stock        115236101             99             2,555
Barrett Resources Corp.                  Common Stock        068480201              8               272
Broadwing Inc                            Common Stock        111620100            845            22,725
Brio Technology Inc                      Common Stock        109704106            211             5,600
Bethlehem Steel Corp.                    Common Stock        087509105             42             7,043
Bethlehem Steel Corp $5 Cv Pfd           PFD QTR 30/360      087509303             21               500
Bethlehem Steel Corp Pfd Conv $2.50 Se   PreferdStk Conv     087509402             13               600
Bsb Bancorp                              Common Stock        055652101             11               505
Bear Stearns Companies, Inc.             Common Stock        073902108            566            12,416
Bassett Furniture INDS Inc.              Common Stock        070203104             28             2,000
***BSCH Finance LTD 8.74% PFD Ser D      PFD QTR 30/360      G16547138             12               500
***BSCH Finance Ltd 8.125% PFD           PFD QTR 30/360      G16547153             44             2,000
***BSCH Finance LTD 7.79% Ser H          PFD QTR 30/360      G16547179              9               400
***BSCH Finance Ltd                      PFD QTR 30/360      G16547187             16               800
Banc Stock Group Inc. - Cl A             Common Stock        05943C102              1               500
Bush Industries Inc.  Class A            Common Stock        123164105             48             3,424
Filene's Basement Corp.                  Common Stock        316866102              0             5,500
Basin Exploration Inc.                   Common Stock        070107107             99             6,600
Bsquare Corp                             Common Stock        11776U102             22             1,000
Biospecifics Technologies Corp           Common Stock        090931106              1               300
Boston Scientific Corp.                  Common Stock        101137107          1,259            59,080
British Sky Broadcasting ADR             ADR                 111013108             87               550
Bisys Group Inc.                         Common Stock        055472104             10               150
BT Preferred Capital Trust I 8.125%      PFD QTR 30/360      055839203             41             1,785
British Aerospace Pub LTD Co. Spons AD   ADR                 110418209          3,207           142,754
Boulder Total Return Fund Inc            Common Stock        101541100              7               700
Bio-Technology General Corp.             Common Stock        090578105            248            16,029
BTG Inc.                                 Common Stock        05576J101             10             1,000
Blyth Industries Inc                     Common Stock        09643P108             14               500
British American Tobacco PLC Spon ADR    Foreign Stock       110448107          2,826           266,021
Brunswick Technologies Inc.              Common Stock        117394106             79            15,100
The Blackrock 2001 Term Trust Inc.       Common Stock        092477108            291            32,741
John Hancock Bank & Thrift               MutualFdEqClose     409735107            691            99,578
Bitwise Designs Inc.                     Common Stock        091747105             15             1,000
British Telecommunications               ADR                 111021408            396             2,106
Anheuser-Busch Companies Inc.            Common Stock        035229103          7,923           127,271
Bankunited Capital III  9% Tr PFD Secs   PFD QTR 30/360      066918202             34             2,135
Bull Run Corp                            Common Stock        120182100              4             1,000
Schlotzkys Inc                           Common Stock        806832101              1               100
Burlington Industries Inc.               Common Stock        121693105              1               300
Buy Com Inc                              Common Stock        124269101             35             3,550
Bio- Vascular Inc                        Common Stock        090923103             19             4,000
Bay View Cap Corp. Del Com               Common Stock        07262L101            113            15,002
Bindview Development Corp                Common Stock        090327107             14               440
Biovail Corp                             Foreign Stock       09067J109            166             3,743

                        Item 1:                      Item 6:                Item 7:              Item 8:
                    Name of Issuer             Investment Discretion         Other        Voting Authority (Shares)
                                         (a) Sole (b)Shared as (c)Shared    Managers   (a) Sole  (b) Shared  (c) None
                                                       Def        Other
- --------------------------------------------------------------------------------------------------------------------
BG PLC - Spons ADR                                     X                                   0         10,067      0
Companhia Cervejaria Brahma - SP ADR                   X                                   0        252,010      0
Bridgford Foods Corp                                   X                                   0            605      0
Berkshire Hathaway Inc. Class A                        X                                   0             46      0
Berkshire Hathaway Inc. Class B                        X                                   0          6,986      0
Brookline Bancorp Inc                                  X                                   0            300      0
Brooks Automation Inc.                                 X                                   0             65      0
Brooktrout Technology Inc.                             X                                   0          1,600      0
Barr Labs Inc.                                         X                                   0            725      0
The Blackrock Insured Municipal 2008                   X                                   0          3,935      0
Brandera.com Incorporated                              X                                   0          3,500      0
Brenner Intl Inc                                       X                                   0              9      0
Brown & Brown Inc                                      X                                   0          2,555      0
Barrett Resources Corp.                                X                                   0            272      0
Broadwing Inc                                          X                                   0         22,725      0
Brio Technology Inc                                    X                                   0          5,600      0
Bethlehem Steel Corp.                                  X                                   0          7,043      0
Bethlehem Steel Corp $5 Cv Pfd                         X                                   0            500      0
Bethlehem Steel Corp Pfd Conv $2.50 Se                 X                                   0            600      0
Bsb Bancorp                                            X                                   0            505      0
Bear Stearns Companies, Inc.                           X                                   0         12,416      0
Bassett Furniture INDS Inc.                            X                                   0          2,000      0
***BSCH Finance LTD 8.74% PFD Ser D                    X                                   0            500      0
***BSCH Finance Ltd 8.125% PFD                         X                                   0          2,000      0
***BSCH Finance LTD 7.79% Ser H                        X                                   0            400      0
***BSCH Finance Ltd                                    X                                   0            800      0
Banc Stock Group Inc. - Cl A                           X                                   0            500      0
Bush Industries Inc.  Class A                          X                                   0          3,424      0
Filene's Basement Corp.                                X                                   0          5,500      0
Basin Exploration Inc.                                 X                                   0          6,600      0
Bsquare Corp                                           X                                   0          1,000      0
Biospecifics Technologies Corp                         X                                   0            300      0
Boston Scientific Corp.                                X                                   0         59,080      0
British Sky Broadcasting ADR                           X                                   0            550      0
Bisys Group Inc.                                       X                                   0            150      0
BT Preferred Capital Trust I 8.125%                    X                                   0          1,785      0
British Aerospace Pub LTD Co. Spons AD                 X                                   0        142,754      0
Boulder Total Return Fund Inc                          X                                   0            700      0
Bio-Technology General Corp.                           X                                   0         16,029      0
BTG Inc.                                               X                                   0          1,000      0
Blyth Industries Inc                                   X                                   0            500      0
British American Tobacco PLC Spon ADR                  X                                   0        266,021      0
Brunswick Technologies Inc.                            X                                   0         15,100      0
The Blackrock 2001 Term Trust Inc.                     X                                   0         32,741      0
John Hancock Bank & Thrift                             X                                   0         99,578      0
Bitwise Designs Inc.                                   X                                   0          1,000      0
British Telecommunications                             X                                   0          2,106      0
Anheuser-Busch Companies Inc.                          X                                   0        127,271      0
Bankunited Capital III  9% Tr PFD Secs                 X                                   0          2,135      0
Bull Run Corp                                          X                                   0          1,000      0
Schlotzkys Inc                                         X                                   0            100      0
Burlington Industries Inc.                             X                                   0            300      0
Buy Com Inc                                            X                                   0          3,550      0
Bio- Vascular Inc                                      X                                   0          4,000      0
Bay View Cap Corp. Del Com                             X                                   0         15,002      0
Bindview Development Corp                              X                                   0            440      0
Biovail Corp                                           X                                   0          3,743      0
</TABLE>

<PAGE>


<TABLE>
<CAPTION>
            FORM 13F             NAME OF REPORTING MANAGER: LEGG MASON WOOD WALKER (IMS)                     Run Date: 04/13/2000
                                                            FOR POSITIONS HELD AS OF 03/31/2000              S.E.C. Use Only

                        Item 1:            Item 2:           Item 3:         Item 4:            Item 5:
                    Name of Issuer      Title of Class    CUSIP Number  Fair Market Value      Shares or
                                                                           (X $1000)         Principal Amt.

- -----------------------------------------------------------------------------------------------------------
<S>                                      <C>                 <C>                    <C>             <C>
Banco Bilbao Vizcaya Intl (Gibraltar)    ADR                 059456301             11               500
Banco Bilbao Vizcaya Spon Adr Prf B      PFD QTR 30/360      059456202             10               400
Compania De Minas Buenaventura           ADR                 204448104              5               296
Bayview Capital Trust I                  PFD QTR 30/360      07262R207              5               270
Broadvision Inc.                         Common Stock        111412102          1,583            35,281
Borg-Warner Automotive, Inc.             Common Stock        099724106            244             6,204
Breakaway Solutions Inc                  Common Stock        106372105             91             2,000
Belden, Inc.                             Common Stock        077459105            151             5,500
Bancwest Corporation                     Common Stock        059790105            485            24,560
Bouygues Offshore SA-ADR                 ADR                 102112109              5               200
Biowhittaker Inc                         Common Stock        09066T108              0                41
Bowl Amer Inc. Cl A                      Common Stock        102565108             32             4,106
Brown Shoe Company Inc                   Common Stock        115736100              4               300
Blue Wave Sys Inc                        Common Stock        096081104             16             1,000
Britesmile Inc.                          Common Stock        110415106              6               600
BASIX Corp. New                          Common Stock        070121207              0                 8
Bluegreen Corp                           Common Stock        096231105              3             1,000
Biomatrix Inc                            Common Stock        09060P102              5               200
BRE-X Minerals                           Common Stock        10625K109              0             1,300
Boston Properties Inc.                   Common Stock        101121101             28               890
Bancorp South Inc.                       Common Stock        059692103            170            10,402
Baxter International Inc - CVR           Common Stock        071813125              1             2,800
Bway Corp                                Common Stock        056039100             74             9,730
Back Yd Burgers Inc                      Common Stock        05635W101              4             3,200
Boy Gaming Corp                          Common Stock        103304101             12             2,500
Brierley Investments LTD                 Foreign Stock       Q17926108              0               500
Beyond.Com Corp                          Common Stock        08860E101             66            15,525
Bairnco Corp. New York                   Common Stock        057097107              8             1,200
Brazil Fund Inc.                         Common Stock        105759104             14               835
Beazer Homes USA, Inc.                   Common Stock        07556Q105            134             7,125
Citigroup, Inc.                          Common Stock        172967101         62,491         1,053,575
Citigroup Capital I Tr PFD Sec 8.00%     PFD QTR 30/360      17305F201            179             7,630
Citigroup Inc. 8.40% Pfd Ser K           PFD QTR 30/360      172967853             16               600
Citigroup Capital IV Tr PFD Sec 6.85%    PFD QTR 30/360      17305J203            153             7,400
Capital Industries Inc                   Common Stock        140215989              0                 1
CN Bancorp Inc.                          Common Stock        12612U108          1,000           100,000
Callware Technologies Inc.               Common Stock        131259103              0            45,000
CT Holdings, Inc.                        Common Stock        12643Y103             26             5,000
Commonwealth Network Corp                Common Stock        203184106              0                 6
Canadian Occidental Pete Ltd 9.375%      PFD QTR 30/360      136420502             29             1,300
Crescent St Bk Cary North Carolina       Common Stock        225783109             25             5,000
Central Bank of Tampa                    Common Stock        152585105              0                60
Connecticut Energy Corp.                 Common Stock        207567983              0                 0
Computer Associates International Inc.   Common Stock        204912109          1,990            33,629
Cameron Ashley Building Products Inc     Common Stock        133290106             35             2,000
Camden National Corp                     Common Stock        133034108             73             6,150
CACI International Inc Cl A              Common Stock        127190304             39             1,300
Cato Corp New  Class A                   Common Stock        149205106             19             1,600
Carrier Access Corp.                     Common Stock        144460102             13               245
Cascade Corp.                            Common Stock        147195101              8               700
Carolina First Corp.                     Common Stock        143877108             71             5,400
Conagra Inc.                             Common Stock        205887102          1,640            90,456
Conagra Capital LLC 9.35%                LTD Part  P12       20588V406             13               540
Conagra Capital LC-9% Cum Pfd            PFDMthly 30/360     20588V208             93             4,000
Conagra Capital Lc Adj Rate Pfd Ser B    PFDMthly 30/360     20588V307             38             2,200
Carnegie International Corp Colo         Common Stock        143500106             18            31,935
Cardinal Health Inc.                     Common Stock        14149Y108          1,350            29,417

                        Item 1:                      Item 6:                Item 7:              Item 8:
                    Name of Issuer             Investment Discretion         Other        Voting Authority (Shares)
                                         (a) Sole (b)Shared as (c)Shared    Managers   (a) Sole  (b) Shared  (c) None
                                                       Def        Other
- --------------------------------------------------------------------------------------------------------------------
Banco Bilbao Vizcaya Intl (Gibraltar)                  X                                   0            500      0
Banco Bilbao Vizcaya Spon Adr Prf B                    X                                   0            400      0
Compania De Minas Buenaventura                         X                                   0            296      0
Bayview Capital Trust I                                X                                   0            270      0
Broadvision Inc.                                       X                                   0         35,281      0
Borg-Warner Automotive, Inc.                           X                                   0          6,204      0
Breakaway Solutions Inc                                X                                   0          2,000      0
Belden, Inc.                                           X                                   0          5,500      0
Bancwest Corporation                                   X                                   0         24,560      0
Bouygues Offshore SA-ADR                               X                                   0            200      0
Biowhittaker Inc                                       X                                   0             41      0
Bowl Amer Inc. Cl A                                    X                                   0          4,106      0
Brown Shoe Company Inc                                 X                                   0            300      0
Blue Wave Sys Inc                                      X                                   0          1,000      0
Britesmile Inc.                                        X                                   0            600      0
BASIX Corp. New                                        X                                   0              8      0
Bluegreen Corp                                         X                                   0          1,000      0
Biomatrix Inc                                          X                                   0            200      0
BRE-X Minerals                                         X                                   0          1,300      0
Boston Properties Inc.                                 X                                   0            890      0
Bancorp South Inc.                                     X                                   0         10,402      0
Baxter International Inc - CVR                         X                                   0          2,800      0
Bway Corp                                              X                                   0          9,730      0
Back Yd Burgers Inc                                    X                                   0          3,200      0
Boy Gaming Corp                                        X                                   0          2,500      0
Brierley Investments LTD                               X                                   0            500      0
Beyond.Com Corp                                        X                                   0         15,525      0
Bairnco Corp. New York                                 X                                   0          1,200      0
Brazil Fund Inc.                                       X                                   0            835      0
Beazer Homes USA, Inc.                                 X                                   0          7,125      0
Citigroup, Inc.                                        X                                   0      1,053,575      0
Citigroup Capital I Tr PFD Sec 8.00%                   X                                   0          7,630      0
Citigroup Inc. 8.40% Pfd Ser K                         X                                   0            600      0
Citigroup Capital IV Tr PFD Sec 6.85%                  X                                   0          7,400      0
Capital Industries Inc                                 X                                   0              1      0
CN Bancorp Inc.                                        X                                   0        100,000      0
Callware Technologies Inc.                             X                                   0         45,000      0
CT Holdings, Inc.                                      X                                   0          5,000      0
Commonwealth Network Corp                              X                                   0              6      0
Canadian Occidental Pete Ltd 9.375%                    X                                   0          1,300      0
Crescent St Bk Cary North Carolina                     X                                   0          5,000      0
Central Bank of Tampa                                  X                                   0             60      0
Connecticut Energy Corp.                               X                                   0              0      0
Computer Associates International Inc.                 X                                   0         33,629      0
Cameron Ashley Building Products Inc                   X                                   0          2,000      0
Camden National Corp                                   X                                   0          6,150      0
CACI International Inc Cl A                            X                                   0          1,300      0
Cato Corp New  Class A                                 X                                   0          1,600      0
Carrier Access Corp.                                   X                                   0            245      0
Cascade Corp.                                          X                                   0            700      0
Carolina First Corp.                                   X                                   0          5,400      0
Conagra Inc.                                           X                                   0         90,456      0
Conagra Capital LLC 9.35%                              X                                   0            540      0
Conagra Capital LC-9% Cum Pfd                          X                                   0          4,000      0
Conagra Capital Lc Adj Rate Pfd Ser B                  X                                   0          2,200      0
Carnegie International Corp Colo                       X                                   0         31,935      0
Cardinal Health Inc.                                   X                                   0         29,417      0
</TABLE>

<PAGE>


<TABLE>
<CAPTION>
            FORM 13F             NAME OF REPORTING MANAGER: LEGG MASON WOOD WALKER (IMS)                     Run Date: 04/13/2000
                                                            FOR POSITIONS HELD AS OF 03/31/2000              S.E.C. Use Only

                        Item 1:            Item 2:           Item 3:         Item 4:            Item 5:
                    Name of Issuer      Title of Class    CUSIP Number  Fair Market Value      Shares or
                                                                           (X $1000)         Principal Amt.

- -----------------------------------------------------------------------------------------------------------
<S>                                      <C>                 <C>                    <C>             <C>
Centrais Eletricas Brasileiras-Sp ADR    ADR                 15234Q207          3,734           420,435
Centrais Eletricas Brasileiras           ADR                 15234Q108              8               800
Corsair Communications Inc               Common Stock        220406102             10               500
Cheesecake Factory Inc.                  Common Stock        163072101            235             5,644
California Fed Bank FSB                  Common Stock        130209703              0                 8
California Federal Bank Goodwill         Common Stock        130209604              0                19
Caliper Technologies Corp                Common Stock        130876105            255             3,150
Caledonia Mng Corp                       Foreign Stock       12932K103              0               290
Calypte Biomedical Corp                  Common Stock        131722100              6             2,000
California Micro Devices Corp            Common Stock        130439102             14               500
California Amplifier Inc                 Common Stock        129900106              6               200
American Natl Can Group Inc              Common Stock        027714104            189            14,435
Canon Inc. - Spon ADR                    ADR                 138006309          5,386           124,890
Canisco Res Inc                          Common Stock        137587101              0             1,000
Cathayonline Inc                         Common Stock        14915R105              1               700
Caprius Inc.                             Common Stock        14066K107              2             2,940
Capital Crossing Bank                    Common Stock        140071101             15             1,500
Carter Wallace Inc.                      Common Stock        146285101             62             3,300
Carrington Labs Inc                      Common Stock        144525102              4             1,000
Carey International Inc                  Common Stock        141750109              7               425
Castle A M & Co                          Common Stock        148411101              8               666
Caseys Genl Stores                       Common Stock        147528103             83             7,650
Caterpillar Inc.                         Common Stock        149123101          5,123           129,888
Catskill Financial Corp.                 Common Stock        149348104             14             1,240
Cambridge Tech Partners of Mass Inc.     Common Stock        132524109            118             8,670
Channel Amer Broadcasting Inc            Common Stock        158913103              0               500
Commercial Assets Inc.                   Common Stock        201119104              3               600
Chubb Corp.                              Common Stock        171232101          3,743            55,399
Centura Banks Inc.                       Common Stock        15640T100          1,529            33,378
CBC Bancorp Inc                          Common Stock        124786203              0               400
Citizens Bkg Corp.                       Common Stock        174420109              5               260
Cooper Industries                        Common Stock        216669101            285             8,144
Commerce Bancorp Inc.                    Common Stock        200519106            278             7,524
Century Business Services Inc            Common Stock        156490104              4             1,300
Capital Bank Corp                        Common Stock        139793103              1               100
CBL & Associates Pptys Inc.              Common Stock        124830100            719            35,200
Chesapeake Biological Labs - A           Common Stock        165146101              9             2,000
Cambrex Corp.                            Common Stock        132011107            129             2,960
Columbia Bancorp                         Common Stock        197227101            157            17,604
Creative Biomolecules Inc                Common Stock        225270107            165            16,650
Ciber Inc.                               Common Stock        17163B102            669            32,644
CBRL Group Inc.                          Common Stock        12489V106            367            36,740
CBS Corp.                                Common Stock        12490K107          4,517            79,771
Coastal Bancorp Inc                      Common Stock        19041P105             16             1,000
Coastal Bancorp Inc                      Preferred Stock     19041P303             70             3,800
Commerce Bancshares Inc.                 Common Stock        200525103              9               274
Complete Business Solutions Inc.         Common Stock        20452F107          2,609           116,600
Compass Bancshares Inc. New              Common Stock        20449H109          3,360           168,503
Cubist Pharmaceuticals Inc               Common Stock        229678107             63             1,500
Cabot Corp.                              Common Stock        127055101            139             4,550
Capital Bank And Trust Company           Common Stock        139775100             36             2,000
Community Bank System Inc.               Common Stock        203607106             27             1,200
Cutter & Buck Inc                        Common Stock        232217109            185            13,771
Cybex Corp.                              Common Stock        232522102            328             8,729
Circuit City Stores Inc.                 Common Stock        172737108          5,500            90,356
Calendar Capital Inc.                    Common Stock        129463105              0             8,000
CCB Financial Corp.                      Common Stock        124875105            826            18,662

                        Item 1:                      Item 6:                Item 7:              Item 8:
                    Name of Issuer             Investment Discretion         Other        Voting Authority (Shares)
                                         (a) Sole (b)Shared as (c)Shared    Managers   (a) Sole  (b) Shared  (c) None
                                                       Def        Other
- --------------------------------------------------------------------------------------------------------------------
Centrais Eletricas Brasileiras-Sp ADR                  X                                   0        420,435      0
Centrais Eletricas Brasileiras                         X                                   0            800      0
Corsair Communications Inc                             X                                   0            500      0
Cheesecake Factory Inc.                                X                                   0          5,644      0
California Fed Bank FSB                                X                                   0              8      0
California Federal Bank Goodwill                       X                                   0             19      0
Caliper Technologies Corp                              X                                   0          3,150      0
Caledonia Mng Corp                                     X                                   0            290      0
Calypte Biomedical Corp                                X                                   0          2,000      0
California Micro Devices Corp                          X                                   0            500      0
California Amplifier Inc                               X                                   0            200      0
American Natl Can Group Inc                            X                                   0         14,435      0
Canon Inc. - Spon ADR                                  X                                   0        124,890      0
Canisco Res Inc                                        X                                   0          1,000      0
Cathayonline Inc                                       X                                   0            700      0
Caprius Inc.                                           X                                   0          2,940      0
Capital Crossing Bank                                  X                                   0          1,500      0
Carter Wallace Inc.                                    X                                   0          3,300      0
Carrington Labs Inc                                    X                                   0          1,000      0
Carey International Inc                                X                                   0            425      0
Castle A M & Co                                        X                                   0            666      0
Caseys Genl Stores                                     X                                   0          7,650      0
Caterpillar Inc.                                       X                                   0        129,888      0
Catskill Financial Corp.                               X                                   0          1,240      0
Cambridge Tech Partners of Mass Inc.                   X                                   0          8,670      0
Channel Amer Broadcasting Inc                          X                                   0            500      0
Commercial Assets Inc.                                 X                                   0            600      0
Chubb Corp.                                            X                                   0         55,399      0
Centura Banks Inc.                                     X                                   0         33,378      0
CBC Bancorp Inc                                        X                                   0            400      0
Citizens Bkg Corp.                                     X                                   0            260      0
Cooper Industries                                      X                                   0          8,144      0
Commerce Bancorp Inc.                                  X                                   0          7,524      0
Century Business Services Inc                          X                                   0          1,300      0
Capital Bank Corp                                      X                                   0            100      0
CBL & Associates Pptys Inc.                            X                                   0         35,200      0
Chesapeake Biological Labs - A                         X                                   0          2,000      0
Cambrex Corp.                                          X                                   0          2,960      0
Columbia Bancorp                                       X                                   0         17,604      0
Creative Biomolecules Inc                              X                                   0         16,650      0
Ciber Inc.                                             X                                   0         32,644      0
CBRL Group Inc.                                        X                                   0         36,740      0
CBS Corp.                                              X                                   0         79,771      0
Coastal Bancorp Inc                                    X                                   0          1,000      0
Coastal Bancorp Inc                                    X                                   0          3,800      0
Commerce Bancshares Inc.                               X                                   0            274      0
Complete Business Solutions Inc.                       X                                   0        116,600      0
Compass Bancshares Inc. New                            X                                   0        168,503      0
Cubist Pharmaceuticals Inc                             X                                   0          1,500      0
Cabot Corp.                                            X                                   0          4,550      0
Capital Bank And Trust Company                         X                                   0          2,000      0
Community Bank System Inc.                             X                                   0          1,200      0
Cutter & Buck Inc                                      X                                   0         13,771      0
Cybex Corp.                                            X                                   0          8,729      0
Circuit City Stores Inc.                               X                                   0         90,356      0
Calendar Capital Inc.                                  X                                   0          8,000      0
CCB Financial Corp.                                    X                                   0         18,662      0
</TABLE>

<PAGE>


<TABLE>
<CAPTION>
            FORM 13F             NAME OF REPORTING MANAGER: LEGG MASON WOOD WALKER (IMS)                     Run Date: 04/13/2000
                                                            FOR POSITIONS HELD AS OF 03/31/2000              S.E.C. Use Only

                        Item 1:            Item 2:           Item 3:         Item 4:            Item 5:
                    Name of Issuer      Title of Class    CUSIP Number  Fair Market Value      Shares or
                                                                           (X $1000)         Principal Amt.

- -----------------------------------------------------------------------------------------------------------
<S>                                      <C>                 <C>                    <C>             <C>
C-Cor Electronics Inc.                   Common Stock        125010108             15               300
Coca-Cola Beverages PLC                  Common Stock        G2249L103              4             2,400
Calgon Carbon Corp.                      Common Stock        129603106             64             9,700
CCC Information Service Grp              Common Stock        12487Q109              9               400
Coca Cola Enterprises Inc.               Common Stock        191219104            636            29,500
Computer Concepts Corp New               Common Stock        204897300             10             6,800
Chelsea GCA Realty, Inc.                 Common Stock        163262108             32             1,100
Comtech Consldtn Group Inc Del           Common Stock        205819105             75           140,830
Collectible Concepts Group Inc           Common Stock        19419D106            257         1,006,200
Campbell Res Inc. New                    Common Stock        134422104              0             1,000
Crown Cork & Seal Co Inc.                Common Stock        228255105          1,059            66,190
Carnival Corp.                           Common Stock        143658102          9,025           363,711
Coca Cola Amatil Ltd Spon ADR            ADR                 191085208              6             1,200
Champion Communications Svcs             Common Stock        157901109              1             1,500
Chris Craft Industries Inc.              Common Stock        170520100          2,113            33,178
Coastal Caribbean Oils & Minerals        Common Stock        190432203              6             6,000
Chevy Chase 10.375% Non Cum              Preferred Stock     16678M207            177             3,840
Countrywide Credit Industries            Common Stock        222372104            637            23,362
Concord Communications Inc               Common Stock        206186108            314             8,825
Clintrials Research Inc.                 Common Stock        188767107            108            27,800
Chevy Chase Svgs Bk FSB 13%              PFD QTR 30/360      166784207             25             1,000
Clear Channel Communications             Common Stock        184502102          1,753            25,377
Concurrent Computer Corp.                Common Stock        206710204            114             9,000
Currency Technology Corp.                Common Stock        231297102              0             1,000
Cendant Corp.                            Common Stock        151313103          2,894           156,458
Cendant Corp - Income Prides             PFD QTR 30/360      151313301             77             2,700
Canandaigua Wine Co                      Common Stock        137219200            874            17,136
Cdbeat Com                               Common Stock        14983E101              2               500
Carey Diversified LLC                    Common Stock        14174P105            283            16,871
Cidco Incorporated                       Common Stock        171768104             70            13,650
Cordant Technologies Inc                 Common Stock        218412104              6               100
Coeur D Alene Mines Corp.                Common Stock        192108108             14             4,610
CDI Corp.                                Common Stock        125071100            589            31,000
Cardiodynamics Intl Corp                 Common Stock        141597104              3               377
Certified Diabetic Srvcs Inc             Common Stock        157012105              1             4,500
Cal Dive International Inc.              Common Stock        127914109            211             4,150
Coddle Creek Financial Inc               Common Stock        191891100              6               200
Cadmus Communications Corp               Common Stock        127587103            147            16,545
Cadence Design Systems Inc.              Common Stock        127387108            850            40,960
Comdisco                                 Common Stock        200336105            306             6,944
Consolidated Papers Inc.                 Common Stock        209759109             17               440
Sirius Satellite Radio Inc               Common Stock        82966U103            762            13,373
Cedara Software Corp                     Foreign Stock       150644102             14             2,000
Cable Design Technologies Corp.          Common Stock        126924109            284             8,380
Conductus Inc                            Common Stock        206784100             52             1,600
CDW Computer Centers Inc.                Common Stock        125129106            252             2,985
Colonial Downs Holdings CL A             Common Stock        19564H100              6             5,500
Catellus Dev Corp.                       Common Stock        149111106             44             3,207
CEC  Entertainment Inc                   Common Stock        125137109              8               280
Concord EFS Inc.                         Common Stock        206197105            138             6,027
Constellation Energy Group               Common Stock        210371100          3,942           123,684
Cell Genesys Inc.                        Common Stock        150921104          5,998           281,427
Crescent Real Estate Equities            Common Stock        225756105            200            11,400
Nuevo Group Iusacell Sa De Dv            ADR                 670512102              5               250
Celgene Corp                             Common Stock        151020104            253             2,540
Brightpoint Inc.                         Common Stock        109473108            285            23,229
Celsion Corporation                      Common Stock        15117N107              7             1,300

                        Item 1:                      Item 6:                Item 7:              Item 8:
                    Name of Issuer             Investment Discretion         Other        Voting Authority (Shares)
                                         (a) Sole (b)Shared as (c)Shared    Managers   (a) Sole  (b) Shared  (c) None
                                                       Def        Other
- --------------------------------------------------------------------------------------------------------------------
C-Cor Electronics Inc.                                 X                                   0            300      0
Coca-Cola Beverages PLC                                X                                   0          2,400      0
Calgon Carbon Corp.                                    X                                   0          9,700      0
CCC Information Service Grp                            X                                   0            400      0
Coca Cola Enterprises Inc.                             X                                   0         29,500      0
Computer Concepts Corp New                             X                                   0          6,800      0
Chelsea GCA Realty, Inc.                               X                                   0          1,100      0
Comtech Consldtn Group Inc Del                         X                                   0        140,830      0
Collectible Concepts Group Inc                         X                                   0      1,006,200      0
Campbell Res Inc. New                                  X                                   0          1,000      0
Crown Cork & Seal Co Inc.                              X                                   0         66,190      0
Carnival Corp.                                         X                                   0        363,711      0
Coca Cola Amatil Ltd Spon ADR                          X                                   0          1,200      0
Champion Communications Svcs                           X                                   0          1,500      0
Chris Craft Industries Inc.                            X                                   0         33,178      0
Coastal Caribbean Oils & Minerals                      X                                   0          6,000      0
Chevy Chase 10.375% Non Cum                            X                                   0          3,840      0
Countrywide Credit Industries                          X                                   0         23,362      0
Concord Communications Inc                             X                                   0          8,825      0
Clintrials Research Inc.                               X                                   0         27,800      0
Chevy Chase Svgs Bk FSB 13%                            X                                   0          1,000      0
Clear Channel Communications                           X                                   0         25,377      0
Concurrent Computer Corp.                              X                                   0          9,000      0
Currency Technology Corp.                              X                                   0          1,000      0
Cendant Corp.                                          X                                   0        156,458      0
Cendant Corp - Income Prides                           X                                   0          2,700      0
Canandaigua Wine Co                                    X                                   0         17,136      0
Cdbeat Com                                             X                                   0            500      0
Carey Diversified LLC                                  X                                   0         16,871      0
Cidco Incorporated                                     X                                   0         13,650      0
Cordant Technologies Inc                               X                                   0            100      0
Coeur D Alene Mines Corp.                              X                                   0          4,610      0
CDI Corp.                                              X                                   0         31,000      0
Cardiodynamics Intl Corp                               X                                   0            377      0
Certified Diabetic Srvcs Inc                           X                                   0          4,500      0
Cal Dive International Inc.                            X                                   0          4,150      0
Coddle Creek Financial Inc                             X                                   0            200      0
Cadmus Communications Corp                             X                                   0         16,545      0
Cadence Design Systems Inc.                            X                                   0         40,960      0
Comdisco                                               X                                   0          6,944      0
Consolidated Papers Inc.                               X                                   0            440      0
Sirius Satellite Radio Inc                             X                                   0         13,373      0
Cedara Software Corp                                   X                                   0          2,000      0
Cable Design Technologies Corp.                        X                                   0          8,380      0
Conductus Inc                                          X                                   0          1,600      0
CDW Computer Centers Inc.                              X                                   0          2,985      0
Colonial Downs Holdings CL A                           X                                   0          5,500      0
Catellus Dev Corp.                                     X                                   0          3,207      0
CEC  Entertainment Inc                                 X                                   0            280      0
Concord EFS Inc.                                       X                                   0          6,027      0
Constellation Energy Group                             X                                   0        123,684      0
Cell Genesys Inc.                                      X                                   0        281,427      0
Crescent Real Estate Equities                          X                                   0         11,400      0
Nuevo Group Iusacell Sa De Dv                          X                                   0            250      0
Celgene Corp                                           X                                   0          2,540      0
Brightpoint Inc.                                       X                                   0         23,229      0
Celsion Corporation                                    X                                   0          1,300      0
</TABLE>

<PAGE>


<TABLE>
<CAPTION>
            FORM 13F             NAME OF REPORTING MANAGER: LEGG MASON WOOD WALKER (IMS)                     Run Date: 04/13/2000
                                                            FOR POSITIONS HELD AS OF 03/31/2000              S.E.C. Use Only

                        Item 1:            Item 2:           Item 3:         Item 4:            Item 5:
                    Name of Issuer      Title of Class    CUSIP Number  Fair Market Value      Shares or
                                                                           (X $1000)         Principal Amt.

- -----------------------------------------------------------------------------------------------------------
<S>                                      <C>                 <C>                    <C>             <C>
Chemfirst Inc.                           Common Stock        16361A106              7               345
Ceridian Corp.                           Common Stock        15677T106            845            44,030
Century Bancorp Inc.                     Common Stock        156433104             13             1,000
Conestoga Enterprises Inc.               Common Stock        207015108             13               600
Centennial Technologies Inc              Common Stock        151392206              2               220
Century Aluminum Co                      Common Stock        156431108              5               355
Cephalon Inc.                            Common Stock        156708109            389            10,380
Central Pwr & Lt Co Pfd 4%               PFD QTR 30/360      155033103              1                19
Central Ill Lt Co                        PFD QTR 30/360      153645205              9               160
Ceres Group Inc                          Common Stock        156772105              4               500
Cerner Corp.                             Common Stock        156782104            557            20,625
Cerus Corp.                              Common Stock        157085101             10               200
Charter One Financial Inc.               Common Stock        160903100            865            41,213
Commercial Federal Corp.                 Common Stock        201647104            491            29,525
Community First Bankshares Inc           Common Stock        203902101             10               646
Cfb Cap Ii Cap Secs %                    PFD QTR 30/360      12519P202             10               472
CFC International Inc                    Common Stock        125252106              7             1,125
Capitol Federal Financial                Common Stock        14057C106             22             2,350
Culp Inc.                                Common Stock        230215105              6             1,100
Consumers Financial Corp.                PFD QTR 30/360      210520300             11             1,600
Cacheflow Inc.                           Common Stock        126946102            766             6,467
CFM Technologies Inc.                    Common Stock        12525K106             24             1,950
Cardinal Finl Corp                       Common Stock        14149F109              5             1,000
Cullen Frost Bankers Inc.                Common Stock        229899109            562            21,251
Clifton Mng Co                           Foreign Stock       186904108              3            25,000
Computron Software Inc                   Common Stock        205631104             40             4,500
CFW Communications Co                    Common Stock        124923103             16               400
Consolidated Freightways Corp.           Common Stock        209232107              6             1,000
Columbia Gas System Inc.                 Common Stock        197648108            803            13,552
Corus Group Plc                          ADR                 22087M101          2,353           140,500
Canadian General Capital Toprs           PFD QTR 30/360      135785202             67             2,800
Cybergold Inc                            Common Stock        23246N105             11             1,000
Cogenco Intl Inc                         Common Stock        192389302              0                 2
Cognex Corp.                             Common Stock        192422103            232             4,020
Coastal Corp.                            Common Stock        190441105          1,426            31,005
Coastal Finance I-8.375% Trust Orig Pf   PFD QTR 30/360      190463208            112             5,000
Collagenex Pharmaceuticals Inc           Common Stock        19419B100             62             3,900
Coastal Corp. Class A Convertable To     Common Stock        190441501              0                11
Centigram Communications Corp            Common Stock        152317103             91             4,800
Chile Fund Inc.                          MutualFdEqClose     168834109             24             2,200
Champion International Corp.             Common Stock        158525105          1,339            25,141
Champion Enterprises Inc.                Common Stock        158496109              5               885
Charter Municipal Mortgage Acceptance    Common Stock        160908109             45             3,687
City Holding Co                          Common Stock        177835105            158            13,200
Chico's Fas Inc.                         Common Stock        168615102             19             1,140
Church & Dwight Inc.                     Common Stock        171340102             47             2,740
Churchill Downs Inc                      Common Stock        171484108              5               200
Chemed Corp.                             Common Stock        163596109              6               200
Cherry Corp                              Common Stock        164541401             39             2,600
Cheung Kong Hong Kong ADR                ADR                 166744201              7               500
CH Energy Group Incorporated             Common Stock        12541M102            210             6,908
Choice Hotels Intl Inc.                  Common Stock        169905106             37             2,569
China.Com Corp                           Common Stock        G2108N109            114             1,410
Chiron Corp.Del                          Common Stock        170040109          2,141            42,930
Chesapeake Energy Corp.                  Common Stock        165167107             56            17,300
Check Point Software Tech Ltd            Common Stock        M22465104          2,731            15,962
Checkers Drive-In Restaurants Inc.-New   Common Stock        162809305              1               368

                        Item 1:                      Item 6:                Item 7:              Item 8:
                    Name of Issuer             Investment Discretion         Other        Voting Authority (Shares)
                                         (a) Sole (b)Shared as (c)Shared    Managers   (a) Sole  (b) Shared  (c) None
                                                       Def        Other
- --------------------------------------------------------------------------------------------------------------------
Chemfirst Inc.                                         X                                   0            345      0
Ceridian Corp.                                         X                                   0         44,030      0
Century Bancorp Inc.                                   X                                   0          1,000      0
Conestoga Enterprises Inc.                             X                                   0            600      0
Centennial Technologies Inc                            X                                   0            220      0
Century Aluminum Co                                    X                                   0            355      0
Cephalon Inc.                                          X                                   0         10,380      0
Central Pwr & Lt Co Pfd 4%                             X                                   0             19      0
Central Ill Lt Co                                      X                                   0            160      0
Ceres Group Inc                                        X                                   0            500      0
Cerner Corp.                                           X                                   0         20,625      0
Cerus Corp.                                            X                                   0            200      0
Charter One Financial Inc.                             X                                   0         41,213      0
Commercial Federal Corp.                               X                                   0         29,525      0
Community First Bankshares Inc                         X                                   0            646      0
Cfb Cap Ii Cap Secs %                                  X                                   0            472      0
CFC International Inc                                  X                                   0          1,125      0
Capitol Federal Financial                              X                                   0          2,350      0
Culp Inc.                                              X                                   0          1,100      0
Consumers Financial Corp.                              X                                   0          1,600      0
Cacheflow Inc.                                         X                                   0          6,467      0
CFM Technologies Inc.                                  X                                   0          1,950      0
Cardinal Finl Corp                                     X                                   0          1,000      0
Cullen Frost Bankers Inc.                              X                                   0         21,251      0
Clifton Mng Co                                         X                                   0         25,000      0
Computron Software Inc                                 X                                   0          4,500      0
CFW Communications Co                                  X                                   0            400      0
Consolidated Freightways Corp.                         X                                   0          1,000      0
Columbia Gas System Inc.                               X                                   0         13,552      0
Corus Group Plc                                        X                                   0        140,500      0
Canadian General Capital Toprs                         X                                   0          2,800      0
Cybergold Inc                                          X                                   0          1,000      0
Cogenco Intl Inc                                       X                                   0              2      0
Cognex Corp.                                           X                                   0          4,020      0
Coastal Corp.                                          X                                   0         31,005      0
Coastal Finance I-8.375% Trust Orig Pf                 X                                   0          5,000      0
Collagenex Pharmaceuticals Inc                         X                                   0          3,900      0
Coastal Corp. Class A Convertable To                   X                                   0             11      0
Centigram Communications Corp                          X                                   0          4,800      0
Chile Fund Inc.                                        X                                   0          2,200      0
Champion International Corp.                           X                                   0         25,141      0
Champion Enterprises Inc.                              X                                   0            885      0
Charter Municipal Mortgage Acceptance                  X                                   0          3,687      0
City Holding Co                                        X                                   0         13,200      0
Chico's Fas Inc.                                       X                                   0          1,140      0
Church & Dwight Inc.                                   X                                   0          2,740      0
Churchill Downs Inc                                    X                                   0            200      0
Chemed Corp.                                           X                                   0            200      0
Cherry Corp                                            X                                   0          2,600      0
Cheung Kong Hong Kong ADR                              X                                   0            500      0
CH Energy Group Incorporated                           X                                   0          6,908      0
Choice Hotels Intl Inc.                                X                                   0          2,569      0
China.Com Corp                                         X                                   0          1,410      0
Chiron Corp.Del                                        X                                   0         42,930      0
Chesapeake Energy Corp.                                X                                   0         17,300      0
Check Point Software Tech Ltd                          X                                   0         15,962      0
Checkers Drive-In Restaurants Inc.-New                 X                                   0            368      0
</TABLE>

<PAGE>


<TABLE>
<CAPTION>
            FORM 13F             NAME OF REPORTING MANAGER: LEGG MASON WOOD WALKER (IMS)                     Run Date: 04/13/2000
                                                            FOR POSITIONS HELD AS OF 03/31/2000              S.E.C. Use Only

                        Item 1:            Item 2:           Item 3:         Item 4:            Item 5:
                    Name of Issuer      Title of Class    CUSIP Number  Fair Market Value      Shares or
                                                                           (X $1000)         Principal Amt.

- -----------------------------------------------------------------------------------------------------------
<S>                                      <C>                 <C>                    <C>             <C>
China Telecom HK LTD Spons ADR           ADR                 169428109            440             2,482
Chancellor Corp                          Common Stock        158828103             10            12,500
Cash Technologies Inc                    Common Stock        147910103             76             4,000
C & D Technologies Inc.                  Common Stock        124661109            173             2,930
Charming Shoppes Inc.                    Common Stock        161133103            162            28,400
Chartered Semiconductor Mfg              ADR                 16133R106            770             8,169
C H Robinson Worldwide Inc               Common Stock        12541W100             60             1,600
Chirex Inc.                              Common Stock        170038103          3,193           165,863
Computer Horizons                        Common Stock        205908106             25             1,454
CHS Electronics, Inc.                    Common Stock        12542A206              5             6,800
Chantal Pharmaceutical Corp New          Common Stock        159300201              0               500
Charter Communications Inc Del           Common Stock        16117M107          3,090           215,680
Chattem Inc.                             Common Stock        162456107             14             1,000
Chevron Corp.                            Common Stock        166751107         10,054           108,760
Chyron Corp.                             Common Stock        171605207              2               200
Chittenden Corp.                         Common Stock        170228100            200             6,750
Cigna Corp.                              Common Stock        125509109            691             9,117
Communication Intelligence New           Common Stock        20338K106             52             8,650
Corporate Investment Co Cl A             Common Stock        219898103              0               125
Ciena Corp.                              Common Stock        171779101          4,833            38,319
Caire Inc.                               Common Stock        127761104              0               109
Cinergy Corp.                            Common Stock        172474108            407            18,946
Cincinnati Financial Corp.               Common Stock        172062101          1,198            31,844
Circor Intl Inc                          Common Stock        17273K109              3               250
CIRCLE.COM                               Common Stock        832914204            140            17,001
CIT Group Inc. - CL A                    Common Stock        125577106            397            20,377
Conectiv Inc.                            Common Stock        206829103            198            11,312
Atlantic Capital Trust II Tr 7.375% Pf   PFD QTR 30/360      04827P206             47             2,300
Conectiv Inc.- Cl A                      Common Stock        206829202              9               410
Citizens Finl Corp W Va                  Common Stock        17461K101             18               500
Collins & Aikman Corp New                Common Stock        194830105              6             1,000
Checkfree Holdings Corp                  Common Stock        162816102          1,837            26,058
Seacor Holdings, Inc.                    Common Stock        811904101             52               855
Checkpoint Systems, Inc.                 Common Stock        162825103            208            24,840
CKE Restaurants Inc.                     Common Stock        12561E105              1               220
Colgate-Palmolive Co.                    Common Stock        194162103         12,785           226,785
Claimsnet.Com Inc.                       Common Stock        179570106             18             2,000
Caliber Learning Network Inc             Common Stock        129914107             10             1,313
Clarcor Inc.                             Common Stock        179895107          1,108            62,416
Computer Learning Centers                Common Stock        205199102              6             3,600
The Caldor Corp.                         Common Stock        128787108              0               475
Celadon Group Inc.                       Common Stock        150838100              3               100
Claire's Stores, Inc.                    Common Stock        179584107            151             7,550
US Lec Corp - Cl A                       Common Stock        90331S109             40             1,000
Cleveland Cliffs Inc.                    Common Stock        185896107             10               400
Clean Harbors Inc                        Common Stock        184496107             10             3,800
Carlisle Hldgs Ltd                       Common Stock        P21277101              7               900
Mack-Cali Realty Corp.                   Common Stock        554489104            105             4,100
Calico Commerce Inc                      Common Stock        129897104              7               224
Crestline Capital Corp                   Common Stock        226153104             14               789
Clark / Bardes Hldgs Inc                 Common Stock        180668105              6               400
Celltech Group Plc                       ADR                 151158102            163             4,698
Clemente Global Growth Fund Inc.         Common Stock        185569100            299            20,648
Callon Petroleum Company                 Common Stock        13123X102              5               400
Clearnet Communications Inc.             Common Stock        184902104             25               600
Colonial Properties Trust                Common Stock        195872106            307            12,945
Colonial Properties Trust 8.75 Cum Red   PFD QTR 30/360      195872205             23             1,250

                        Item 1:                      Item 6:                Item 7:              Item 8:
                    Name of Issuer             Investment Discretion         Other        Voting Authority (Shares)
                                         (a) Sole (b)Shared as (c)Shared    Managers   (a) Sole  (b) Shared  (c) None
                                                       Def        Other
- --------------------------------------------------------------------------------------------------------------------
China Telecom HK LTD Spons ADR                         X                                   0          2,482      0
Chancellor Corp                                        X                                   0         12,500      0
Cash Technologies Inc                                  X                                   0          4,000      0
C & D Technologies Inc.                                X                                   0          2,930      0
Charming Shoppes Inc.                                  X                                   0         28,400      0
Chartered Semiconductor Mfg                            X                                   0          8,169      0
C H Robinson Worldwide Inc                             X                                   0          1,600      0
Chirex Inc.                                            X                                   0        165,863      0
Computer Horizons                                      X                                   0          1,454      0
CHS Electronics, Inc.                                  X                                   0          6,800      0
Chantal Pharmaceutical Corp New                        X                                   0            500      0
Charter Communications Inc Del                         X                                   0        215,680      0
Chattem Inc.                                           X                                   0          1,000      0
Chevron Corp.                                          X                                   0        108,760      0
Chyron Corp.                                           X                                   0            200      0
Chittenden Corp.                                       X                                   0          6,750      0
Cigna Corp.                                            X                                   0          9,117      0
Communication Intelligence New                         X                                   0          8,650      0
Corporate Investment Co Cl A                           X                                   0            125      0
Ciena Corp.                                            X                                   0         38,319      0
Caire Inc.                                             X                                   0            109      0
Cinergy Corp.                                          X                                   0         18,946      0
Cincinnati Financial Corp.                             X                                   0         31,844      0
Circor Intl Inc                                        X                                   0            250      0
CIRCLE.COM                                             X                                   0         17,001      0
CIT Group Inc. - CL A                                  X                                   0         20,377      0
Conectiv Inc.                                          X                                   0         11,312      0
Atlantic Capital Trust II Tr 7.375% Pf                 X                                   0          2,300      0
Conectiv Inc.- Cl A                                    X                                   0            410      0
Citizens Finl Corp W Va                                X                                   0            500      0
Collins & Aikman Corp New                              X                                   0          1,000      0
Checkfree Holdings Corp                                X                                   0         26,058      0
Seacor Holdings, Inc.                                  X                                   0            855      0
Checkpoint Systems, Inc.                               X                                   0         24,840      0
CKE Restaurants Inc.                                   X                                   0            220      0
Colgate-Palmolive Co.                                  X                                   0        226,785      0
Claimsnet.Com Inc.                                     X                                   0          2,000      0
Caliber Learning Network Inc                           X                                   0          1,313      0
Clarcor Inc.                                           X                                   0         62,416      0
Computer Learning Centers                              X                                   0          3,600      0
The Caldor Corp.                                       X                                   0            475      0
Celadon Group Inc.                                     X                                   0            100      0
Claire's Stores, Inc.                                  X                                   0          7,550      0
US Lec Corp - Cl A                                     X                                   0          1,000      0
Cleveland Cliffs Inc.                                  X                                   0            400      0
Clean Harbors Inc                                      X                                   0          3,800      0
Carlisle Hldgs Ltd                                     X                                   0            900      0
Mack-Cali Realty Corp.                                 X                                   0          4,100      0
Calico Commerce Inc                                    X                                   0            224      0
Crestline Capital Corp                                 X                                   0            789      0
Clark / Bardes Hldgs Inc                               X                                   0            400      0
Celltech Group Plc                                     X                                   0          4,698      0
Clemente Global Growth Fund Inc.                       X                                   0         20,648      0
Callon Petroleum Company                               X                                   0            400      0
Clearnet Communications Inc.                           X                                   0            600      0
Colonial Properties Trust                              X                                   0         12,945      0
Colonial Properties Trust 8.75 Cum Red                 X                                   0          1,250      0
</TABLE>

<PAGE>


<TABLE>
<CAPTION>
            FORM 13F             NAME OF REPORTING MANAGER: LEGG MASON WOOD WALKER (IMS)                     Run Date: 04/13/2000
                                                            FOR POSITIONS HELD AS OF 03/31/2000              S.E.C. Use Only

                        Item 1:            Item 2:           Item 3:         Item 4:            Item 5:
                    Name of Issuer      Title of Class    CUSIP Number  Fair Market Value      Shares or
                                                                           (X $1000)         Principal Amt.

- -----------------------------------------------------------------------------------------------------------
<S>                                      <C>                 <C>                    <C>             <C>
Cell Pathways Inc. - New                 Common Stock        15114R101            258             7,500
Consolidated Packaging Corp.             Common Stock        209723105              0               100
CLP Holdings Ltd. Sponsored ADR          ADR                 18946Q101          3,581           799,085
Clarent Corp Del                         Common Stock        180461105             26               287
Clarus Corp.                             Common Stock        182707109            139             1,975
Celerity Systems Inc                     Common Stock        15100R107              1             1,000
Celestica Inc.                           Foreign Stock       15101Q108             98             1,850
Closure Medical Corp.                    Common Stock        189093107             88             3,350
Cellstar Corp.                           Common Stock        150925105             16             2,000
Celeritek Inc.                           Common Stock        150926103              6               100
Coulter Pharmaceutical Inc.              Common Stock        222116105              6               200
Collateral Therapeutics                  Common Stock        193921103              9               200
Calcasieu Real Estate & Oil Co.          Common Stock        128685203             45            10,000
Clorox Co.                               Common Stock        189054109          1,757            54,062
Celexx Corp                              Common Stock        15101T102             12             4,400
Comerica Inc.                            Common Stock        200340107            751            17,928
Chase Manhattan Corp.                    Common Stock        16161A108         20,184           231,498
Chase Preferred Capital Corp             Preferred Stock     161637202             59             2,500
Chase Manhattan Corp. New                Preferred Stock     16161A884             42             1,550
Comcast Corp. Class A                    Common Stock        200300101            253             6,145
Comcast Corp. Class A Special            Common Stock        200300200         10,109           233,061
Carematrix Corp.                         Common Stock        141706101              1               800
Colorado Medtech Inc                     Common Stock        19652U104             19             2,450
CMG Information Services Inc.            Common Stock        125750109          8,645            76,297
Chapman Cap Mgmt Hldgs Inc               Common Stock        159508100              8               500
Clayton Homes Inc.                       Common Stock        184190106             96             9,485
Commonwealth Industries Inc              Common Stock        203004106            222            24,445
CML Group Inc.                           Common Stock        125820100              0             2,100
Cumulus Media Inc - CL A                 Common Stock        231082108              1                50
Criimi Mae Inc.                          Common Stock        226603108              7             4,607
Criimi Mae Inc                           PreferdStk Conv     226603306              0                 9
Computer Network Technology              Common Stock        204925101              8               450
Capstead Mortgage Corp.                  Common Stock        14067E100             19             4,868
Credence Systems Corp.                   Common Stock        225302108             47               375
Cosmoz.com Inc                           Common Stock        221469109             20            17,000
Compucom Sys Inc                         Common Stock        204780100             11             2,000
Compumed Inc                             Common Stock        204914402              0               150
Computone Corp                           Common Stock        20562D208              0                 1
Commerce One Inc Del                     Common Stock        200693109            724             4,852
CMS Energy Corp.                         Common Stock        125896100             84             4,622
Consumers Energy Co $4.50 Cum Pfd        PFD QTR 30/360      210518304             16               300
Consumers Energy Co Fins Iii             PFD QTR 30/360      21051Q205            128             5,400
Commonwealth Bancorp Inc                 Common Stock        20268X102             15             1,200
Cryomedical Science Inc.                 Common Stock        229049101              7            16,100
Community Savings Bankshares             Common Stock        204037105             76             7,498
Comtech Telecommunications Cp            Common Stock        205826209              6               300
Copper Mtn Networks Inc                  Common Stock        217510106            586             7,147
Com21 Inc                                Common Stock        205937105             65             1,385
Comtex Scientific Corp                   Common Stock        205914104              3               500
Colonial Muni Inc. Tr Sh Ben             Common Stock        195799101             14             2,500
Comp-U-Check Inc.                        Common Stock        204237309              0               150
Chase Capital IV-7.34% Capital           PFD QTR 30/360      16147N208              4               200
Comverse Technology Inc.                 Common Stock        205862402          3,964            20,972
Caremark Rx Inc.                         Common Stock        141705103             25             6,035
Community Bk Natl Assn                   Common Stock        203564109             95             8,613
Casmyn Corp                              Common Stock        147619100              1            50,000
Calton Inc New                           Common Stock        131380206             11             3,333

                        Item 1:                      Item 6:                Item 7:              Item 8:
                    Name of Issuer             Investment Discretion         Other        Voting Authority (Shares)
                                         (a) Sole (b)Shared as (c)Shared    Managers   (a) Sole  (b) Shared  (c) None
                                                       Def        Other
- --------------------------------------------------------------------------------------------------------------------
Cell Pathways Inc. - New                               X                                   0          7,500      0
Consolidated Packaging Corp.                           X                                   0            100      0
CLP Holdings Ltd. Sponsored ADR                        X                                   0        799,085      0
Clarent Corp Del                                       X                                   0            287      0
Clarus Corp.                                           X                                   0          1,975      0
Celerity Systems Inc                                   X                                   0          1,000      0
Celestica Inc.                                         X                                   0          1,850      0
Closure Medical Corp.                                  X                                   0          3,350      0
Cellstar Corp.                                         X                                   0          2,000      0
Celeritek Inc.                                         X                                   0            100      0
Coulter Pharmaceutical Inc.                            X                                   0            200      0
Collateral Therapeutics                                X                                   0            200      0
Calcasieu Real Estate & Oil Co.                        X                                   0         10,000      0
Clorox Co.                                             X                                   0         54,062      0
Celexx Corp                                            X                                   0          4,400      0
Comerica Inc.                                          X                                   0         17,928      0
Chase Manhattan Corp.                                  X                                   0        231,498      0
Chase Preferred Capital Corp                           X                                   0          2,500      0
Chase Manhattan Corp. New                              X                                   0          1,550      0
Comcast Corp. Class A                                  X                                   0          6,145      0
Comcast Corp. Class A Special                          X                                   0        233,061      0
Carematrix Corp.                                       X                                   0            800      0
Colorado Medtech Inc                                   X                                   0          2,450      0
CMG Information Services Inc.                          X                                   0         76,297      0
Chapman Cap Mgmt Hldgs Inc                             X                                   0            500      0
Clayton Homes Inc.                                     X                                   0          9,485      0
Commonwealth Industries Inc                            X                                   0         24,445      0
CML Group Inc.                                         X                                   0          2,100      0
Cumulus Media Inc - CL A                               X                                   0             50      0
Criimi Mae Inc.                                        X                                   0          4,607      0
Criimi Mae Inc                                         X                                   0              9      0
Computer Network Technology                            X                                   0            450      0
Capstead Mortgage Corp.                                X                                   0          4,868      0
Credence Systems Corp.                                 X                                   0            375      0
Cosmoz.com Inc                                         X                                   0         17,000      0
Compucom Sys Inc                                       X                                   0          2,000      0
Compumed Inc                                           X                                   0            150      0
Computone Corp                                         X                                   0              1      0
Commerce One Inc Del                                   X                                   0          4,852      0
CMS Energy Corp.                                       X                                   0          4,622      0
Consumers Energy Co $4.50 Cum Pfd                      X                                   0            300      0
Consumers Energy Co Fins Iii                           X                                   0          5,400      0
Commonwealth Bancorp Inc                               X                                   0          1,200      0
Cryomedical Science Inc.                               X                                   0         16,100      0
Community Savings Bankshares                           X                                   0          7,498      0
Comtech Telecommunications Cp                          X                                   0            300      0
Copper Mtn Networks Inc                                X                                   0          7,147      0
Com21 Inc                                              X                                   0          1,385      0
Comtex Scientific Corp                                 X                                   0            500      0
Colonial Muni Inc. Tr Sh Ben                           X                                   0          2,500      0
Comp-U-Check Inc.                                      X                                   0            150      0
Chase Capital IV-7.34% Capital                         X                                   0            200      0
Comverse Technology Inc.                               X                                   0         20,972      0
Caremark Rx Inc.                                       X                                   0          6,035      0
Community Bk Natl Assn                                 X                                   0          8,613      0
Casmyn Corp                                            X                                   0         50,000      0
Calton Inc New                                         X                                   0          3,333      0
</TABLE>

<PAGE>


<TABLE>
<CAPTION>
            FORM 13F             NAME OF REPORTING MANAGER: LEGG MASON WOOD WALKER (IMS)                     Run Date: 04/13/2000
                                                            FOR POSITIONS HELD AS OF 03/31/2000              S.E.C. Use Only

                        Item 1:            Item 2:           Item 3:         Item 4:            Item 5:
                    Name of Issuer      Title of Class    CUSIP Number  Fair Market Value      Shares or
                                                                           (X $1000)         Principal Amt.

- -----------------------------------------------------------------------------------------------------------
<S>                                      <C>                 <C>                    <C>             <C>
Colonial Bancgroup Inc.                  Common Stock        195493309             73             6,750
Cnb Finl Corp                            Common Stock        125921106             31             2,442
CNBT Bancshares Inc                      Common Stock        125972109            143            14,680
Conseco Inc.                             Common Stock        208464107          1,367           119,518
Conseco Inc- Cum Income Prides Ser F     PFD QTR 30/360      208464602             80             4,965
Conseco Financing Trust VI 9.00% Pfd     PFD QTR 30/360      20846M206              9               500
Conseco Financing Tr I-9.16% PFD         PFD QTR 30/360      20846F201              4               200
Concentric Network Corp Del              Common Stock        20589R107          1,088            19,790
Crescendo Pharmaceuticals CRP CL A       Common Stock        225637107              1                42
Cellnet Data Sys Inc                     Common Stock        15115M101              0             1,150
Careerengine Network Inc                 Common Stock        141690107             37            12,000
Call-net Enterprises Inc                 Foreign Stock       130910201            168            30,000
Conectisys Corp Com New                  Common Stock        206827206             43            40,000
Cnet Networks Inc.                       Common Stock        12613R104            369             7,277
CNF Transportation Inc.                  Common Stock        12612W104            176             6,347
Canfibre Group Inc.                      Common Stock        13753R102              4             2,200
Crown Group Inc                          Common Stock        228359105             29             5,000
CNH Global N.V.                          Foreign Stock       N20935107             15             1,550
Cenit Bancorp Inc.                       Common Stock        15131W109             20             2,000
Cleco Corporation                        Common Stock        12561W105            189             5,684
Connecticut Light & Power Co. $2.06 E    PFD QTR 30/360      207597501              5               200
Conolog Corp                             Common Stock        208254409              4             1,000
Connecticut Light & Power Co $3.24 Pfd   PFD QTR 30/360      207597709            124             3,000
CT Light & Power Co                      PFD QTR 30/360      207597204             15               618
Connecticut Light & Power Co $2 Pfd      PFD QTR 30/360      207597303             15               600
Connecticut light & Power Co. $2.20 PF   PFD QTR 30/360      207597600             28             1,000
Cincinnati Microwave Inc.                Common Stock        172167108              0               900
Crown Cent Pete Corp                     Common Stock        228219309             62             7,100
Crown Central Petroleum Corp.            Common Stock        228219101              3               400
CT Light & Power Co                      PFD QTR 30/360      207597402             24               900
Concur Technologies Inc                  Common Stock        206708109              4               255
Centerpoint Properties Corp.             Common Stock        151895109              9               250
Connecticut Light & Power Co 5.28% PFD   PFD QTR 30/360      207597782             23               700
Centura Software Corp                    Common Stock        15640W103             34             3,327
City Investing Co Liq Tr Unit Ben Int    Common Stock        177900107              0               200
CK Witco Corp                            Common Stock        12562C108            112            11,023
CNS Inc                                  Common Stock        126136100              5             1,100
Conexant Systems Inc.                    Common Stock        207142100          3,617            50,937
Coachmen Inds Inc.                       Common Stock        189873102             11               800
Coated Sales Inc                         Common Stock        190637108              0             1,050
Coats Viyella Plc Spons ADR              ADR                 190743203            203            99,720
Columbia Laboratories Inc.               Common Stock        197779101             15             1,300
Cobalt Networks Inc                      Common Stock        19074R101             35               750
Conoco Inc.                              Common Stock        208251306            692            28,104
Conoco Inc                               Common Stock        208251405            831            32,415
Codenoll Technology Corp.                Common Stock        191900109              0                55
Corporate Data Sciences Inc              Common Stock        219884103              0               400
Cone Mills Corp.                         Common Stock        206814105             15             3,500
Capital One Financial Corp.              Common Stock        14040H105          7,377           153,896
Cabot Oil & Gas Corp                     Common Stock        127097103             87             4,800
Cognos Inc.                              Common Stock        19244C109            148             2,363
Coherent Inc.                            Common Stock        192479103          1,576            30,315
Cohu Inc.                                Common Stock        192576106          1,145            27,455
Computerized Thermal Imaging             Common Stock        20557C108             20             1,500
Coca Cola Bottling Co                    Common Stock        191098102             11               200
Columbia/HCA Healthcare Corp.            Common Stock        197677107          7,432           293,613
Columbia Sportswear Co.                  Common Stock        198516106          1,149            46,913

                        Item 1:                      Item 6:                Item 7:              Item 8:
                    Name of Issuer             Investment Discretion         Other        Voting Authority (Shares)
                                         (a) Sole (b)Shared as (c)Shared    Managers   (a) Sole  (b) Shared  (c) None
                                                       Def        Other
- --------------------------------------------------------------------------------------------------------------------
Colonial Bancgroup Inc.                                X                                   0          6,750      0
Cnb Finl Corp                                          X                                   0          2,442      0
CNBT Bancshares Inc                                    X                                   0         14,680      0
Conseco Inc.                                           X                                   0        119,518      0
Conseco Inc- Cum Income Prides Ser F                   X                                   0          4,965      0
Conseco Financing Trust VI 9.00% Pfd                   X                                   0            500      0
Conseco Financing Tr I-9.16% PFD                       X                                   0            200      0
Concentric Network Corp Del                            X                                   0         19,790      0
Crescendo Pharmaceuticals CRP CL A                     X                                   0             42      0
Cellnet Data Sys Inc                                   X                                   0          1,150      0
Careerengine Network Inc                               X                                   0         12,000      0
Call-net Enterprises Inc                               X                                   0         30,000      0
Conectisys Corp Com New                                X                                   0         40,000      0
Cnet Networks Inc.                                     X                                   0          7,277      0
CNF Transportation Inc.                                X                                   0          6,347      0
Canfibre Group Inc.                                    X                                   0          2,200      0
Crown Group Inc                                        X                                   0          5,000      0
CNH Global N.V.                                        X                                   0          1,550      0
Cenit Bancorp Inc.                                     X                                   0          2,000      0
Cleco Corporation                                      X                                   0          5,684      0
Connecticut Light & Power Co. $2.06 E                  X                                   0            200      0
Conolog Corp                                           X                                   0          1,000      0
Connecticut Light & Power Co $3.24 Pfd                 X                                   0          3,000      0
CT Light & Power Co                                    X                                   0            618      0
Connecticut Light & Power Co $2 Pfd                    X                                   0            600      0
Connecticut light & Power Co. $2.20 PF                 X                                   0          1,000      0
Cincinnati Microwave Inc.                              X                                   0            900      0
Crown Cent Pete Corp                                   X                                   0          7,100      0
Crown Central Petroleum Corp.                          X                                   0            400      0
CT Light & Power Co                                    X                                   0            900      0
Concur Technologies Inc                                X                                   0            255      0
Centerpoint Properties Corp.                           X                                   0            250      0
Connecticut Light & Power Co 5.28% PFD                 X                                   0            700      0
Centura Software Corp                                  X                                   0          3,327      0
City Investing Co Liq Tr Unit Ben Int                  X                                   0            200      0
CK Witco Corp                                          X                                   0         11,023      0
CNS Inc                                                X                                   0          1,100      0
Conexant Systems Inc.                                  X                                   0         50,937      0
Coachmen Inds Inc.                                     X                                   0            800      0
Coated Sales Inc                                       X                                   0          1,050      0
Coats Viyella Plc Spons ADR                            X                                   0         99,720      0
Columbia Laboratories Inc.                             X                                   0          1,300      0
Cobalt Networks Inc                                    X                                   0            750      0
Conoco Inc.                                            X                                   0         28,104      0
Conoco Inc                                             X                                   0         32,415      0
Codenoll Technology Corp.                              X                                   0             55      0
Corporate Data Sciences Inc                            X                                   0            400      0
Cone Mills Corp.                                       X                                   0          3,500      0
Capital One Financial Corp.                            X                                   0        153,896      0
Cabot Oil & Gas Corp                                   X                                   0          4,800      0
Cognos Inc.                                            X                                   0          2,363      0
Coherent Inc.                                          X                                   0         30,315      0
Cohu Inc.                                              X                                   0         27,455      0
Computerized Thermal Imaging                           X                                   0          1,500      0
Coca Cola Bottling Co                                  X                                   0            200      0
Columbia/HCA Healthcare Corp.                          X                                   0        293,613      0
Columbia Sportswear Co.                                X                                   0         46,913      0
</TABLE>

<PAGE>


<TABLE>
<CAPTION>
            FORM 13F             NAME OF REPORTING MANAGER: LEGG MASON WOOD WALKER (IMS)                     Run Date: 04/13/2000
                                                            FOR POSITIONS HELD AS OF 03/31/2000              S.E.C. Use Only

                        Item 1:            Item 2:           Item 3:         Item 4:            Item 5:
                    Name of Issuer      Title of Class    CUSIP Number  Fair Market Value      Shares or
                                                                           (X $1000)         Principal Amt.

- -----------------------------------------------------------------------------------------------------------
<S>                                      <C>                 <C>                    <C>             <C>
Colt Telecom Group Plc                   ADR                 196877104            198             1,001
3 Com Corp.                              Common Stock        885535104          9,616           172,872
Contour Energy Co.                       Common Stock        21220C103              1               835
Convergent Communications Inc            Common Stock        211914403             92             8,500
Cooper Companies Inc.                    Common Stock        216648402             35             1,100
Cyberian Outpost Inc                     Common Stock        231914102             33             3,900
Consolidated Products Inc.               Common Stock        209798107              5               503
Cope Inc                                 Common Stock        217208107              0                 1
Crescent Operating Inc.                  Common Stock        22575M100              1               415
COR Therapeutics Inc.                    Common Stock        217753102            171             2,600
Corus Bankshares Inc.                    Common Stock        220873103              2                75
Corel Systems Corp                       Common Stock        21868Q109            514            50,480
Costco Whsl Corp New                     Common Stock        22160K105          2,896            55,101
Cotelligent Group Inc                    Common Stock        221630106             12             2,000
Cott Corp.                               Common Stock        22163N106            121            21,435
Covest Bancshares Inc.                   Common Stock        223032103              4               450
Covad Communications Group               Common Stock        222814204          1,128            15,562
Covington Development Group Inc          Common Stock        223141102              0               600
Cox Communications Inc. Cl A             Common Stock        224044107          1,158            23,876
Canadian Pacific Ltd Com                 Common Stock        135923100             58             2,606
Campbell Soup Co.                        Common Stock        134429109            392            12,737
Ciprico Inc.                             Common Stock        172529109             11             1,000
CP Clare Corporation                     Common Stock        12615K107              4               500
Carolina Power & Light 8.55%             PFD QTR 30/360      144141850            227             9,650
Chateau Communities Inc.                 Common Stock        161726104            109             4,280
Carolina Power & Light                   Common Stock        144141108          1,425            43,925
Carolina Power & Light Co.               PFD QTR 30/360      144141306             70             1,125
Connecticut LT&PWR Capital LP            Preferred Stock     125927202            668            27,250
Calpine Corp.                            Common Stock        131347106          1,252            13,322
Telefonica Cpt Peru Ser B                Common Stock        P3179N127             13             7,355
Corn Products International Inc.         Common Stock        219023108             86             3,558
C P Pokhand Co Ltd                       Foreign Stock       G71507100              1            10,000
Compaq Computer Corp.                    Common Stock        204493100         16,308           612,492
Caprock Communications Corp              Common Stock        140667106             15               310
Copart, Inc                              Common Stock        217204106             39             2,200
Choicepoint Inc.                         Common Stock        170388102            156             4,165
Csc Inds Inc                             Common Stock        126312107              0               200
Capsule Sys Inc                          Common Stock        140670100              0            20,000
Camden Property Trust                    Common Stock        133131102          1,997            73,790
Critical Path Inc.                       Common Stock        22674V100            181             2,130
Ctc Communications Group Inc             Common Stock        126419100             25               585
Conceptus Inc                            Common Stock        206016107             18             2,500
CompUSA Inc.                             Common Stock        204932107             18             1,800
Cost Plus Inc.                           Common Stock        221485105             12               350
Compuware Corp.                          Common Stock        205638109          1,925            91,415
CPI Corp.                                Common Stock        125902106             21               896
Cpl Cap I                                PFD QTR 30/360      12615P205             91             4,300
Comsat Corp.                             Common Stock        20564D107              0                 2
Comsat Capital LP 8.125% Cum             PFDMthly 30/360     205930209             27             1,500
Chiquita Brands $3.75 Ser B              PreferdStk Conv     170032502             75             3,600
Crane Co                                 Common Stock        224399105             24             1,032
Pe Corp. Celera Genomics Group           Common Stock        69332S201            652             7,118
Charles River Associates                 Common Stock        159852102              8               400
Crown Andersen Inc                       Common Stock        228190104             11             1,500
Cray Computer Corp.                      Common Stock        225222108              0               425
Crossroads Sys Inc                       Common Stock        22765D100            178             1,725
Creditrust Corp.                         Common Stock        225429109              4             1,430

                        Item 1:                      Item 6:                Item 7:              Item 8:
                    Name of Issuer             Investment Discretion         Other        Voting Authority (Shares)
                                         (a) Sole (b)Shared as (c)Shared    Managers   (a) Sole  (b) Shared  (c) None
                                                       Def        Other
- --------------------------------------------------------------------------------------------------------------------
Colt Telecom Group Plc                                 X                                   0          1,001      0
3 Com Corp.                                            X                                   0        172,872      0
Contour Energy Co.                                     X                                   0            835      0
Convergent Communications Inc                          X                                   0          8,500      0
Cooper Companies Inc.                                  X                                   0          1,100      0
Cyberian Outpost Inc                                   X                                   0          3,900      0
Consolidated Products Inc.                             X                                   0            503      0
Cope Inc                                               X                                   0              1      0
Crescent Operating Inc.                                X                                   0            415      0
COR Therapeutics Inc.                                  X                                   0          2,600      0
Corus Bankshares Inc.                                  X                                   0             75      0
Corel Systems Corp                                     X                                   0         50,480      0
Costco Whsl Corp New                                   X                                   0         55,101      0
Cotelligent Group Inc                                  X                                   0          2,000      0
Cott Corp.                                             X                                   0         21,435      0
Covest Bancshares Inc.                                 X                                   0            450      0
Covad Communications Group                             X                                   0         15,562      0
Covington Development Group Inc                        X                                   0            600      0
Cox Communications Inc. Cl A                           X                                   0         23,876      0
Canadian Pacific Ltd Com                               X                                   0          2,606      0
Campbell Soup Co.                                      X                                   0         12,737      0
Ciprico Inc.                                           X                                   0          1,000      0
CP Clare Corporation                                   X                                   0            500      0
Carolina Power & Light 8.55%                           X                                   0          9,650      0
Chateau Communities Inc.                               X                                   0          4,280      0
Carolina Power & Light                                 X                                   0         43,925      0
Carolina Power & Light Co.                             X                                   0          1,125      0
Connecticut LT&PWR Capital LP                          X                                   0         27,250      0
Calpine Corp.                                          X                                   0         13,322      0
Telefonica Cpt Peru Ser B                              X                                   0          7,355      0
Corn Products International Inc.                       X                                   0          3,558      0
C P Pokhand Co Ltd                                     X                                   0         10,000      0
Compaq Computer Corp.                                  X                                   0        612,492      0
Caprock Communications Corp                            X                                   0            310      0
Copart, Inc                                            X                                   0          2,200      0
Choicepoint Inc.                                       X                                   0          4,165      0
Csc Inds Inc                                           X                                   0            200      0
Capsule Sys Inc                                        X                                   0         20,000      0
Camden Property Trust                                  X                                   0         73,790      0
Critical Path Inc.                                     X                                   0          2,130      0
Ctc Communications Group Inc                           X                                   0            585      0
Conceptus Inc                                          X                                   0          2,500      0
CompUSA Inc.                                           X                                   0          1,800      0
Cost Plus Inc.                                         X                                   0            350      0
Compuware Corp.                                        X                                   0         91,415      0
CPI Corp.                                              X                                   0            896      0
Cpl Cap I                                              X                                   0          4,300      0
Comsat Corp.                                           X                                   0              2      0
Comsat Capital LP 8.125% Cum                           X                                   0          1,500      0
Chiquita Brands $3.75 Ser B                            X                                   0          3,600      0
Crane Co                                               X                                   0          1,032      0
Pe Corp. Celera Genomics Group                         X                                   0          7,118      0
Charles River Associates                               X                                   0            400      0
Crown Andersen Inc                                     X                                   0          1,500      0
Cray Computer Corp.                                    X                                   0            425      0
Crossroads Sys Inc                                     X                                   0          1,725      0
Creditrust Corp.                                       X                                   0          1,430      0
</TABLE>

<PAGE>


<TABLE>
<CAPTION>
            FORM 13F             NAME OF REPORTING MANAGER: LEGG MASON WOOD WALKER (IMS)                     Run Date: 04/13/2000
                                                            FOR POSITIONS HELD AS OF 03/31/2000              S.E.C. Use Only

                        Item 1:            Item 2:           Item 3:         Item 4:            Item 5:
                    Name of Issuer      Title of Class    CUSIP Number  Fair Market Value      Shares or
                                                                           (X $1000)         Principal Amt.

- -----------------------------------------------------------------------------------------------------------
<S>                                      <C>                 <C>                    <C>             <C>
Carramerica Realty Corp.                 Common Stock        144418100            433            20,510
Carramerica Realty Corp. 8.57% PFD Ser   PFD QTR 30/360      144418209            185             9,730
Carramerica Realty Corp. 8.5% Pfd Ser    PFD QTR 30/360      144418407            195            10,250
Creative Technology Ordinary Shares      Common Stock        Y1775U107            283             8,920
Cree Research, Inc.                      Common Stock        225447101            691             6,120
Curagen Corp                             Common Stock        23126R101            119             2,540
Coram Healthcare Corp.                   Common Stock        218103109              2             3,418
Cell Robotics Intl Inc                   Common Stock        15114K106             17             3,100
Comstock Resources Inc.                  Common Stock        205768203              6             1,000
Crossland Savings FSB                    PFD QTR 30/360      227901204              0               228
Central Pkg Fin Tr Pfd Tr Cv Secs        PreferdStk Conv     154787303            127             9,500
Crown Pacific Partners LP Units Ltd      LTD Part  P12       228439105             54             2,500
Crossman Communities Inc                 Common Stock        22764E109            149             9,400
Cerprobe Corp.                           Common Stock        156787103             30             2,000
Carrollton Bancorp                       Common Stock        145282109             43             3,100
Captec Net Lease Realty Inc.             Common Stock        140724105            237            28,400
Carpenter Technology Corp.               Common Stock        144285103             57             2,760
Cross Timber Royalty Trust               Common Stock        22757R109             10             1,000
Current Tech Corp.                       Common Stock        23130E104              0             4,500
Cirrus Logic Corp.                       Common Stock        172755100             37             2,000
Corixa Corp                              Common Stock        21887F100             11               256
Cabletron Systems Inc.                   Common Stock        126920107          2,068            70,555
Computer Sciences Corp.                  Common Stock        205363104          6,282            79,393
Cisco Systems Inc.                       Common Stock        17275R102        112,506         1,455,207
Cadbury Schweppes Delaware LP            PFD QTR 30/360      127207207             35             1,500
Consco Enterprises Inc                   Common Stock        208462101              0             1,000
Conseco Financing Trust V 8.70%          PFD QTR 30/360      20847D205             86             5,200
Citizens Bank Ovieda Fla                 Common Stock        174134106              1                46
Cadbury Schweppes P L C                  ADR                 127209302            272             9,576
Consygen Inc                             Common Stock        210728101              0               300
CSG Systems International Inc.           Common Stock        126349109            306             6,274
Columbus Southern Pwr Co                 PFD QTR 30/360      199575812             14               600
Chesapeake Corp.                         Common Stock        165159104             33             1,100
Carlisle Cos Inc.                        Common Stock        142339100            210             5,240
Central & Southwest Corp.                Common Stock        152357109            127             7,415
Compusonics Corp                         Common Stock        204918106              0             1,000
Carriage Services Inc Cl A               Common Stock        143905107              4             1,000
C S X Corp.                              Common Stock        126408103            531            22,603
Circuit Sys Inc                          Common Stock        172917106              1               300
Capital Trust CL-A                       Common Stock        14052H100              1               200
Center TR  Inc                           Common Stock        151845104              1               180
1-800 Contacts Inc                       Common Stock        681977104              5               150
Continental Airlines Hldgs Inc.          Common Stock        210802104              0                94
Catalytica Incorporated                  Common Stock        148885106             41             2,800
Cintas Corp.                             Common Stock        172908105            329             8,385
Cooper Tire & Rubber Co                  Common Stock        216831107            309            24,608
Commtouch Software Ltd                   Common Stock        M25596103              5               100
CT Communications Inc.                   Common Stock        126426402             42               700
Commonwealth Telephone Enterprises Inc   Common Stock        203349105             12               250
Cardiotech Intl Inc                      Common Stock        14160C100              2               500
Celestial Seasonings Inc.                Common Stock        151016102              7               200
CTG Resources Inc.                       Common Stock        125957100            184             4,950
Cytotherapeutics Inc                     Common Stock        232923102             26             3,400
Caldera Technologies Corp.               Foreign Stock       12878E301              0               600
Cetek Technologies Inc.                  Common Stock        157193103              8            20,000
Centurytel Inc.                          Common Stock        156700106          2,527            68,058
Consolidated Tomoka Ld Co                Common Stock        210226106              2               182

                        Item 1:                       Item 6:                Item 7:              Item 8:
                    Name of Issuer              Investment Discretion         Other        Voting Authority (Shares)
                                        . (a) Sole (b)Shared as (c)Shared    Managers   (a) Sole  (b) Shared  (c) None
                                                        Def        Other
- ---------------------------------------------------------------------------------------------------------------------
Carramerica Realty Corp.                                X                                   0         20,510      0
Carramerica Realty Corp. 8.57% PFD Ser                  X                                   0          9,730      0
Carramerica Realty Corp. 8.5% Pfd Ser                   X                                   0         10,250      0
Creative Technology Ordinary Shares                     X                                   0          8,920      0
Cree Research, Inc.                                     X                                   0          6,120      0
Curagen Corp                                            X                                   0          2,540      0
Coram Healthcare Corp.                                  X                                   0          3,418      0
Cell Robotics Intl Inc                                  X                                   0          3,100      0
Comstock Resources Inc.                                 X                                   0          1,000      0
Crossland Savings FSB                                   X                                   0            228      0
Central Pkg Fin Tr Pfd Tr Cv Secs                       X                                   0          9,500      0
Crown Pacific Partners LP Units Ltd                     X                                   0          2,500      0
Crossman Communities Inc                                X                                   0          9,400      0
Cerprobe Corp.                                          X                                   0          2,000      0
Carrollton Bancorp                                      X                                   0          3,100      0
Captec Net Lease Realty Inc.                            X                                   0         28,400      0
Carpenter Technology Corp.                              X                                   0          2,760      0
Cross Timber Royalty Trust                              X                                   0          1,000      0
Current Tech Corp.                                      X                                   0          4,500      0
Cirrus Logic Corp.                                      X                                   0          2,000      0
Corixa Corp                                             X                                   0            256      0
Cabletron Systems Inc.                                  X                                   0         70,555      0
Computer Sciences Corp.                                 X                                   0         79,393      0
Cisco Systems Inc.                                      X                                   0      1,455,207      0
Cadbury Schweppes Delaware LP                           X                                   0          1,500      0
Consco Enterprises Inc                                  X                                   0          1,000      0
Conseco Financing Trust V 8.70%                         X                                   0          5,200      0
Citizens Bank Ovieda Fla                                X                                   0             46      0
Cadbury Schweppes P L C                                 X                                   0          9,576      0
Consygen Inc                                            X                                   0            300      0
CSG Systems International Inc.                          X                                   0          6,274      0
Columbus Southern Pwr Co                                X                                   0            600      0
Chesapeake Corp.                                        X                                   0          1,100      0
Carlisle Cos Inc.                                       X                                   0          5,240      0
Central & Southwest Corp.                               X                                   0          7,415      0
Compusonics Corp                                        X                                   0          1,000      0
Carriage Services Inc Cl A                              X                                   0          1,000      0
C S X Corp.                                             X                                   0         22,603      0
Circuit Sys Inc                                         X                                   0            300      0
Capital Trust CL-A                                      X                                   0            200      0
Center TR  Inc                                          X                                   0            180      0
1-800 Contacts Inc                                      X                                   0            150      0
Continental Airlines Hldgs Inc.                         X                                   0             94      0
Catalytica Incorporated                                 X                                   0          2,800      0
Cintas Corp.                                            X                                   0          8,385      0
Cooper Tire & Rubber Co                                 X                                   0         24,608      0
Commtouch Software Ltd                                  X                                   0            100      0
CT Communications Inc.                                  X                                   0            700      0
Commonwealth Telephone Enterprises Inc                  X                                   0            250      0
Cardiotech Intl Inc                                     X                                   0            500      0
Celestial Seasonings Inc.                               X                                   0            200      0
CTG Resources Inc.                                      X                                   0          4,950      0
Cytotherapeutics Inc                                    X                                   0          3,400      0
Caldera Technologies Corp.                              X                                   0            600      0
Cetek Technologies Inc.                                 X                                   0         20,000      0
Centurytel Inc.                                         X                                   0         68,058      0
Consolidated Tomoka Ld Co                               X                                   0            182      0
</TABLE>

<PAGE>


<TABLE>
<CAPTION>
            FORM 13F             NAME OF REPORTING MANAGER: LEGG MASON WOOD WALKER (IMS)                     Run Date: 04/13/2000
                                                            FOR POSITIONS HELD AS OF 03/31/2000              S.E.C. Use Only

                        Item 1:            Item 2:           Item 3:         Item 4:            Item 5:
                    Name of Issuer      Title of Class    CUSIP Number  Fair Market Value      Shares or
                                                                           (X $1000)         Principal Amt.

- -----------------------------------------------------------------------------------------------------------
<S>                                      <C>                 <C>                    <C>             <C>
CMP Group Inc                            Common Stock        125887109            111             3,815
Citic Pacific Limited                    Common Stock        Y1639J116             18             3,000
Corriente Res Inc                        Foreign Stock       22027E102              9             5,000
Cabot Industrisl Trust - SBI             Common Stock        127072106              7               400
Celtrix Pharmaceuticals Inc              Common Stock        151186103             55             7,875
CTS Corp.                                Common Stock        126501105             17               304
Continental AG Spons ADR                 ADR                 210771200          1,188            65,695
Commscope Inc.                           Common Stock        203372107          5,515           120,880
Connecticut Water Service Inc.           Common Stock        207797101              9               300
Centex Corp.                             Common Stock        152312104            616            25,875
Citrix Systems Inc.                      Common Stock        177376100          2,597            39,204
Cityfed Financial Corp                   PFD QTR 30/360      178762308              0               200
Cityscape Financial Corp                 Common Stock        178778106              0             1,000
Cubic Corp                               Common Stock        229669106            135             5,995
C-Cube Microsystems Inc.                 Common Stock        125015107            208             2,860
Cummins Engine Co, Inc.                  Common Stock        231021106            114             3,030
Central Vermont Pub Svc Corp.            Common Stock        155771108             10             1,003
Chester Valley Bancorp                   Common Stock        166335109             22             1,470
Crown Vantage Inc.                       Common Stock        228622106              0                10
Corvas Intl Inc                          Common Stock        221005101             17             1,511
Cablevision Systems Corp. Cl A           Common Stock        12686C109            428             7,051
Csc Hldgs Inc                            Preferred Stock     126304401              8                72
Cityview Energy Corp Ltd                 Foreign Stock       Q3079D103              2             1,000
Covance Inc.                             Common Stock        222816100             38             3,522
Converse Inc.                            Common Stock        212540108              1               600
Convergys Corp                           Common Stock        212485106          1,392            36,032
CV REIT Inc.                             Common Stock        126640101              2               236
CVS Corp.                                Common Stock        126650100          7,646           203,561
Chromavision Medical Sys                 Common Stock        17111P104              9               580
TCW Convertible Securities Fd            Common Stock        872340104            239            22,640
Cv Therapeutics Inc                      Common Stock        126667104            115             2,300
Cleveland Elec Illum Co                  Preferred Stock     186108205              5                50
Comed Financing I Toprs 8.48% Pfd        PFD QTR 30/360      20033V209             11               500
Crown American Realty Trust              Common Stock        228186102            188            35,300
Crown Amern Rlty Tr                      PFD QTR 30/360      228186201             15               400
Choice One Communication Inc             Common Stock        17038P104             67             1,900
Cable & Wireless Pub Ltd Plc             ADR                 126830207            845            15,082
Country World Casinos Inc                Common Stock        22236Q102              1            10,000
Casella Waste Systems Inc. - Cl A        Common Stock        147448104             19             2,550
California Water Service Grp             Common Stock        130788102              5               200
Cemex SA- Spons ADR                      ADR                 151290889             12               547
Colonial High Income Municipal Trust     Common Stock        195743109             56             9,049
Colonial Investment Grade                Common Stock        195768106            195            21,800
Coflexip Spon ADR                        ADR                 192384105             27               485
Centex Construction Prods Inc.           Common Stock        15231R109             66             2,500
COX Radio Inc. Cl A                      Common Stock        224051102             11               134
Counsel Corporation                      Common Stock        22226R102              1               300
Canadian Occidental Petroleum PFD        PFD QTR 30/360      136420403            152             6,400
Cypress Semiconductor Corp.              Common Stock        232806109          1,048            21,257
Cyber Digital Inc                        Common Stock        232441105              1               400
Cyberguard Corp.                         Common Stock        231910100              5               500
Cyber-Care Inc                           Common Stock        23243T105             23             1,185
Cybersource Corp                         Common Stock        23251J106              7               200
Cyberonics Inc.                          Common Stock        23251P102             37             2,000
Cybercash Inc.                           Common Stock        232462101             75             5,550
Cypress Communications Inc               Common Stock        232743104            184             7,500
Cygnus Inc.                              Common Stock        232560102             35             2,400

                        Item 1:                       Item 6:                Item 7:              Item 8:
                    Name of Issuer              Investment Discretion         Other        Voting Authority (Shares)
                                        . (a) Sole (b)Shared as (c)Shared    Managers   (a) Sole  (b) Shared  (c) None
                                                        Def        Other
- ---------------------------------------------------------------------------------------------------------------------
CMP Group Inc                                           X                                   0          3,815      0
Citic Pacific Limited                                   X                                   0          3,000      0
Corriente Res Inc                                       X                                   0          5,000      0
Cabot Industrisl Trust - SBI                            X                                   0            400      0
Celtrix Pharmaceuticals Inc                             X                                   0          7,875      0
CTS Corp.                                               X                                   0            304      0
Continental AG Spons ADR                                X                                   0         65,695      0
Commscope Inc.                                          X                                   0        120,880      0
Connecticut Water Service Inc.                          X                                   0            300      0
Centex Corp.                                            X                                   0         25,875      0
Citrix Systems Inc.                                     X                                   0         39,204      0
Cityfed Financial Corp                                  X                                   0            200      0
Cityscape Financial Corp                                X                                   0          1,000      0
Cubic Corp                                              X                                   0          5,995      0
C-Cube Microsystems Inc.                                X                                   0          2,860      0
Cummins Engine Co, Inc.                                 X                                   0          3,030      0
Central Vermont Pub Svc Corp.                           X                                   0          1,003      0
Chester Valley Bancorp                                  X                                   0          1,470      0
Crown Vantage Inc.                                      X                                   0             10      0
Corvas Intl Inc                                         X                                   0          1,511      0
Cablevision Systems Corp. Cl A                          X                                   0          7,051      0
Csc Hldgs Inc                                           X                                   0             72      0
Cityview Energy Corp Ltd                                X                                   0          1,000      0
Covance Inc.                                            X                                   0          3,522      0
Converse Inc.                                           X                                   0            600      0
Convergys Corp                                          X                                   0         36,032      0
CV REIT Inc.                                            X                                   0            236      0
CVS Corp.                                               X                                   0        203,561      0
Chromavision Medical Sys                                X                                   0            580      0
TCW Convertible Securities Fd                           X                                   0         22,640      0
Cv Therapeutics Inc                                     X                                   0          2,300      0
Cleveland Elec Illum Co                                 X                                   0             50      0
Comed Financing I Toprs 8.48% Pfd                       X                                   0            500      0
Crown American Realty Trust                             X                                   0         35,300      0
Crown Amern Rlty Tr                                     X                                   0            400      0
Choice One Communication Inc                            X                                   0          1,900      0
Cable & Wireless Pub Ltd Plc                            X                                   0         15,082      0
Country World Casinos Inc                               X                                   0         10,000      0
Casella Waste Systems Inc. - Cl A                       X                                   0          2,550      0
California Water Service Grp                            X                                   0            200      0
Cemex SA- Spons ADR                                     X                                   0            547      0
Colonial High Income Municipal Trust                    X                                   0          9,049      0
Colonial Investment Grade                               X                                   0         21,800      0
Coflexip Spon ADR                                       X                                   0            485      0
Centex Construction Prods Inc.                          X                                   0          2,500      0
COX Radio Inc. Cl A                                     X                                   0            134      0
Counsel Corporation                                     X                                   0            300      0
Canadian Occidental Petroleum PFD                       X                                   0          6,400      0
Cypress Semiconductor Corp.                             X                                   0         21,257      0
Cyber Digital Inc                                       X                                   0            400      0
Cyberguard Corp.                                        X                                   0            500      0
Cyber-Care Inc                                          X                                   0          1,185      0
Cybersource Corp                                        X                                   0            200      0
Cyberonics Inc.                                         X                                   0          2,000      0
Cybercash Inc.                                          X                                   0          5,550      0
Cypress Communications Inc                              X                                   0          7,500      0
Cygnus Inc.                                             X                                   0          2,400      0
</TABLE>

<PAGE>


<TABLE>
<CAPTION>
            FORM 13F             NAME OF REPORTING MANAGER: LEGG MASON WOOD WALKER (IMS)                     Run Date: 04/13/2000
                                                            FOR POSITIONS HELD AS OF 03/31/2000              S.E.C. Use Only

                        Item 1:            Item 2:           Item 3:         Item 4:            Item 5:
                    Name of Issuer      Title of Class    CUSIP Number  Fair Market Value      Shares or
                                                                           (X $1000)         Principal Amt.

- -----------------------------------------------------------------------------------------------------------
<S>                                      <C>                 <C>                    <C>             <C>
Cycomm International Inc.                Common Stock        23255B208              2               700
Community Cap Corp S C                   Common Stock        20363C102             17             2,310
Cylink Corp.                             Common Stock        232565101             16             1,125
City National Corp.                      Common Stock        178566105             57             1,700
Cynet Inc                                Common Stock        23257K107              1               500
Coyote Network Systems Inc.              Common Stock        22406P108            218            19,800
Cypress Bioscience Inc                   Common Stock        232674101             31            10,000
CYRK Incorporated                        Common Stock        232817106              1               160
Cybershop Intl Inc                       Common Stock        23251X105              4             2,600
Crys Tel Telecomm Com                    Common Stock        229060108              3             5,000
Cysive Inc                               Common Stock        23281T108            521             7,610
Cytec Industries                         Common Stock        232820100              7               215
CYTYC Corp.                              Common Stock        232946103            399             8,275
Cytogen Corp.                            Common Stock        232824102            227            26,100
Cytrx Corp.                              Common Stock        232828301              4             2,000
Cityxpress Com Corp                      Common Stock        178786109              5             9,000
Celanese AG                              ADR                 D1497A101              1                67
Citizens Utilities Co - CL B             Common Stock        177342201            168            10,288
Dominion Res Inc Va New                  Common Stock        25746U109          1,292            33,623
Delia's Inc                              Common Stock        246885107              3               615
Duke Cap Financing Trust I               PFD QTR 30/360      264393208             66             3,100
Duke Capital Fin Trust II Quips          PFD QTR 30/360      26439E204            114             5,385
Duke Energy Corp 6.60%                   PFD QTR 30/360      264399619             37             1,800
Duquesne Light Co 7.375%                 PFD QTR 30/360      266228840              4               194
Duke Weeks Realty Corp Pfd Ser F 8%      PFD QTR 30/360      264411828             10               500
Danone                                   Foreign Stock       399449107            242             5,468
Davids Bridal Inc                        Common Stock        238576102          1,156            95,860
Daktronics Inc                           Common Stock        234264109             12             1,200
Delta Air Lines Inc.                     Common Stock        247361108            631            11,852
Daleen Technologies Inc                  Common Stock        23437N104            125             6,100
Danka Business Systems PLC               ADR                 236277109              7             1,200
DAOU System Inc.                         Common Stock        237015102             55            15,730
Discount Auto Parts Inc.                 Common Stock        254642101              9             1,000
Dassault Systems SA Sponsored Adr        Foreign Stock       237545108            121             1,335
Datatrak Intl Inc                        Common Stock        238134100             30             4,500
Datatec Sys Inc                          Common Stock        238128102             76             6,700
Datum Inc                                Common Stock        238208102             46             2,000
Dayton Mng Corp                          Foreign Stock       239902109              9           100,000
Data Broadcast Corp.                     Common Stock        237596101             81            10,680
Diebold Inc.                             Common Stock        253651103            624            22,676
Dyersburg Corp.                          Common Stock        267575108              2             2,500
Digital Biometrics Inc                   Common Stock        253833107             17             2,000
Deutsche Bank AG                         Common Stock        D18190898             96             1,450
Demegen Inc                              Common Stock        24804S106              2             2,500
Dress Barn, Inc.                         Common Stock        261570105              2               100
De Beers Cons Mines Ltd ADR N.E.         ADR                 240253302          2,994           130,530
DBS Group Hldgs Ltd                      ADR                 23304Y100          3,916            74,099
Dobson Communications Corp               Common Stock        256069105              5               200
Dch Technology Inc                       Common Stock        233092105             41             4,500
Donaldson Inc.                           Common Stock        257651109            165             7,308
Doubleclick Inc.                         Common Stock        258609304            951            10,153
Dana Corp.                               Common Stock        235811106            761            26,997
Dime Community Bancshares Inc            Common Stock        253922108              3               190
Duff & Phelps Cr Rating Co               Common Stock        26432F109             25               250
Doncasters PLC Sponsored                 Common Stock        257692103              4               500
DCI Telecommunications Inc.              Common Stock        233094200              8            14,000
DaimlerChrysler A.G.                     ADR                 D1668R123          1,975            30,181

                        Item 1:                      Item 6:                Item 7:              Item 8:
                    Name of Issuer             Investment Discretion         Other        Voting Authority (Shares)
                                         (a) Sole (b)Shared as (c)Shared    Managers   (a) Sole  (b) Shared  (c) None
                                                       Def        Other
- --------------------------------------------------------------------------------------------------------------------
Cycomm International Inc.                              X                                   0            700      0
Community Cap Corp S C                                 X                                   0          2,310      0
Cylink Corp.                                           X                                   0          1,125      0
City National Corp.                                    X                                   0          1,700      0
Cynet Inc                                              X                                   0            500      0
Coyote Network Systems Inc.                            X                                   0         19,800      0
Cypress Bioscience Inc                                 X                                   0         10,000      0
CYRK Incorporated                                      X                                   0            160      0
Cybershop Intl Inc                                     X                                   0          2,600      0
Crys Tel Telecomm Com                                  X                                   0          5,000      0
Cysive Inc                                             X                                   0          7,610      0
Cytec Industries                                       X                                   0            215      0
CYTYC Corp.                                            X                                   0          8,275      0
Cytogen Corp.                                          X                                   0         26,100      0
Cytrx Corp.                                            X                                   0          2,000      0
Cityxpress Com Corp                                    X                                   0          9,000      0
Celanese AG                                            X                                   0             67      0
Citizens Utilities Co - CL B                           X                                   0         10,288      0
Dominion Res Inc Va New                                X                                   0         33,623      0
Delia's Inc                                            X                                   0            615      0
Duke Cap Financing Trust I                             X                                   0          3,100      0
Duke Capital Fin Trust II Quips                        X                                   0          5,385      0
Duke Energy Corp 6.60%                                 X                                   0          1,800      0
Duquesne Light Co 7.375%                               X                                   0            194      0
Duke Weeks Realty Corp Pfd Ser F 8%                    X                                   0            500      0
Danone                                                 X                                   0          5,468      0
Davids Bridal Inc                                      X                                   0         95,860      0
Daktronics Inc                                         X                                   0          1,200      0
Delta Air Lines Inc.                                   X                                   0         11,852      0
Daleen Technologies Inc                                X                                   0          6,100      0
Danka Business Systems PLC                             X                                   0          1,200      0
DAOU System Inc.                                       X                                   0         15,730      0
Discount Auto Parts Inc.                               X                                   0          1,000      0
Dassault Systems SA Sponsored Adr                      X                                   0          1,335      0
Datatrak Intl Inc                                      X                                   0          4,500      0
Datatec Sys Inc                                        X                                   0          6,700      0
Datum Inc                                              X                                   0          2,000      0
Dayton Mng Corp                                        X                                   0        100,000      0
Data Broadcast Corp.                                   X                                   0         10,680      0
Diebold Inc.                                           X                                   0         22,676      0
Dyersburg Corp.                                        X                                   0          2,500      0
Digital Biometrics Inc                                 X                                   0          2,000      0
Deutsche Bank AG                                       X                                   0          1,450      0
Demegen Inc                                            X                                   0          2,500      0
Dress Barn, Inc.                                       X                                   0            100      0
De Beers Cons Mines Ltd ADR N.E.                       X                                   0        130,530      0
DBS Group Hldgs Ltd                                    X                                   0         74,099      0
Dobson Communications Corp                             X                                   0            200      0
Dch Technology Inc                                     X                                   0          4,500      0
Donaldson Inc.                                         X                                   0          7,308      0
Doubleclick Inc.                                       X                                   0         10,153      0
Dana Corp.                                             X                                   0         26,997      0
Dime Community Bancshares Inc                          X                                   0            190      0
Duff & Phelps Cr Rating Co                             X                                   0            250      0
Doncasters PLC Sponsored                               X                                   0            500      0
DCI Telecommunications Inc.                            X                                   0         14,000      0
DaimlerChrysler A.G.                                   X                                   0         30,181      0
</TABLE>

<PAGE>


<TABLE>
<CAPTION>
            FORM 13F             NAME OF REPORTING MANAGER: LEGG MASON WOOD WALKER (IMS)                     Run Date: 04/13/2000
                                                            FOR POSITIONS HELD AS OF 03/31/2000              S.E.C. Use Only

                        Item 1:            Item 2:           Item 3:         Item 4:            Item 5:
                    Name of Issuer      Title of Class    CUSIP Number  Fair Market Value      Shares or
                                                                           (X $1000)         Principal Amt.

- -----------------------------------------------------------------------------------------------------------
<S>                                      <C>                 <C>                    <C>             <C>
Du Pont (EI) de Nemours and Co.          Common Stock        263534109         14,387           272,102
Du Pont E I De Nemour                    Preferred Stock     263534208             77             1,455
Du Pont E I De Nemours & Co              Preferred Stock     263534307              2                25
Detroit Diesel Corp.                     Common Stock        250837101             54             2,815
Deltathree Com Inc                       Common Stock        24783N102             13               600
Delaware Group Dividend &                Common Stock        245915103            112            10,485
Data Diminsions Inc                      Common Stock        237654207              5             1,200
Developers Diversified Realty Corp.      Common Stock        251591103            207            14,915
Developers Diversified Rlty 9.50% CL A   PFD QTR 30/360      251591301            146             6,700
Developers Divrs Realty Corp 8.375% Pf   PFD QTR 30/360      251591608             27             1,400
Developers Diversified Rlty Co           PFD QTR 30/360      251591806             12               600
Dillards Inc.                            Common Stock        254067101            421            25,585
Deere & Co                               Common Stock        244199105          2,280            59,990
Den Danske BK of 1871 Aktieselska        ADR                 248206203          3,294            31,445
Deltic Timber Corp.                      Common Stock        247850100              3               143
Dell Computer Corp.                      Common Stock        247025109         35,209           652,766
Drug Emporium Inc.                       Common Stock        262175102              4             1,000
Denbury Resources Inc                    Common Stock        247916208              2               400
Interdent Inc                            Common Stock        45865R109             24             4,775
Diageo PLC-Sponsored ADR New             ADR                 25243Q205          3,452           114,587
De Rigo Spa - Sponsored ADR              ADR                 245334107              6             1,150
Delmarva Power & Light Trust             Preferred Stock     247112204             36             1,600
Dexter Corp.                             Common Stock        252165105             85             1,605
Dexterity Surgical Inc                   Common Stock        252368105              7             5,000
Dean Foods Co                            Common Stock        242361103             49             1,825
Destron Fearing Corp                     Common Stock        250637105              2               300
Delphi Financial Group Inc Cl A          Common Stock        247131105              6               208
Dollar General Corp.                     Common Stock        256669102            560            20,839
Delta Nat Gas Inc                        Common Stock        247748106              4               300
Delaware Group Glabal Dividend           Common Stock        245916101              5               500
Donegal Group Inc.                       Common Stock        257701102              9             1,400
Digital Insight Corp                     Common Stock        25385P106              5               100
Digitran Sys Inc                         Common Stock        253898100              0               600
Digital Lava Inc                         Common Stock        253928105             13             1,000
Quest Diagnostics Inc.                   Common Stock        74834L100             52             1,297
D R Horton Inc.                          Common Stock        23331A109              7               500
Danaher Corp.                            Common Stock        235851102            449             8,812
Diagnostic Health Svcs Inc.              Common Stock        252446406              0             1,000
Dorchester Hugoton Ltd                   Common Stock        258205202              5               500
Diamonds Trust Unit Series 1             Common Stock        252787106          2,142            19,576
Spectral Diagnostics Inc.                Common Stock        847574100             10             3,000
Digene Corp                              Common Stock        253752109              2                50
Digital Impact Inc Del                   Common Stock        25385G106             48             1,350
Digital Lightwave, Inc.                  Common Stock        253855100             74             1,180
Digitext Inc                             Common Stock        253894109              0             1,900
Digex Inc. Cl A                          Common Stock        253756100            596             5,375
DII Group Inc.                           Common Stock        232949107            523             4,625
Consorcio G Grupo Dina Sa De             ADR                 210306106              1             2,000
Donaldson Lufkin & Jenrette Nw           Common Stock        257661504            134            10,100
The Walt Disney Co.                      Common Stock        254687106         32,007           773,590
Echostar Communications New              Common Stock        278762109          7,717            97,687
Image Entertainment Inc. Com             Common Stock        452439201              7             1,500
Diversified Senior Services Inc.         Common Stock        255340101             20             8,000
Ditech Communications Corp               Common Stock        25500M103             17               160
Dow Jones & Co                           Common Stock        260561105            174             2,421
Datacraft Asia Ltd                       Foreign Stock       Y1997C109             28             3,000
Dial Corp.                               Common Stock        25247D101            526            38,253

                        Item 1:                      Item 6:                Item 7:              Item 8:
                    Name of Issuer             Investment Discretion         Other        Voting Authority (Shares)
                                         (a) Sole (b)Shared as (c)Shared    Managers   (a) Sole  (b) Shared  (c) None
                                                       Def        Other
- --------------------------------------------------------------------------------------------------------------------
Du Pont (EI) de Nemours and Co.                        X                                   0        272,102      0
Du Pont E I De Nemour                                  X                                   0          1,455      0
Du Pont E I De Nemours & Co                            X                                   0             25      0
Detroit Diesel Corp.                                   X                                   0          2,815      0
Deltathree Com Inc                                     X                                   0            600      0
Delaware Group Dividend &                              X                                   0         10,485      0
Data Diminsions Inc                                    X                                   0          1,200      0
Developers Diversified Realty Corp.                    X                                   0         14,915      0
Developers Diversified Rlty 9.50% CL A                 X                                   0          6,700      0
Developers Divrs Realty Corp 8.375% Pf                 X                                   0          1,400      0
Developers Diversified Rlty Co                         X                                   0            600      0
Dillards Inc.                                          X                                   0         25,585      0
Deere & Co                                             X                                   0         59,990      0
Den Danske BK of 1871 Aktieselska                      X                                   0         31,445      0
Deltic Timber Corp.                                    X                                   0            143      0
Dell Computer Corp.                                    X                                   0        652,766      0
Drug Emporium Inc.                                     X                                   0          1,000      0
Denbury Resources Inc                                  X                                   0            400      0
Interdent Inc                                          X                                   0          4,775      0
Diageo PLC-Sponsored ADR New                           X                                   0        114,587      0
De Rigo Spa - Sponsored ADR                            X                                   0          1,150      0
Delmarva Power & Light Trust                           X                                   0          1,600      0
Dexter Corp.                                           X                                   0          1,605      0
Dexterity Surgical Inc                                 X                                   0          5,000      0
Dean Foods Co                                          X                                   0          1,825      0
Destron Fearing Corp                                   X                                   0            300      0
Delphi Financial Group Inc Cl A                        X                                   0            208      0
Dollar General Corp.                                   X                                   0         20,839      0
Delta Nat Gas Inc                                      X                                   0            300      0
Delaware Group Glabal Dividend                         X                                   0            500      0
Donegal Group Inc.                                     X                                   0          1,400      0
Digital Insight Corp                                   X                                   0            100      0
Digitran Sys Inc                                       X                                   0            600      0
Digital Lava Inc                                       X                                   0          1,000      0
Quest Diagnostics Inc.                                 X                                   0          1,297      0
D R Horton Inc.                                        X                                   0            500      0
Danaher Corp.                                          X                                   0          8,812      0
Diagnostic Health Svcs Inc.                            X                                   0          1,000      0
Dorchester Hugoton Ltd                                 X                                   0            500      0
Diamonds Trust Unit Series 1                           X                                   0         19,576      0
Spectral Diagnostics Inc.                              X                                   0          3,000      0
Digene Corp                                            X                                   0             50      0
Digital Impact Inc Del                                 X                                   0          1,350      0
Digital Lightwave, Inc.                                X                                   0          1,180      0
Digitext Inc                                           X                                   0          1,900      0
Digex Inc. Cl A                                        X                                   0          5,375      0
DII Group Inc.                                         X                                   0          4,625      0
Consorcio G Grupo Dina Sa De                           X                                   0          2,000      0
Donaldson Lufkin & Jenrette Nw                         X                                   0         10,100      0
The Walt Disney Co.                                    X                                   0        773,590      0
Echostar Communications New                            X                                   0         97,687      0
Image Entertainment Inc. Com                           X                                   0          1,500      0
Diversified Senior Services Inc.                       X                                   0          8,000      0
Ditech Communications Corp                             X                                   0            160      0
Dow Jones & Co                                         X                                   0          2,421      0
Datacraft Asia Ltd                                     X                                   0          3,000      0
Dial Corp.                                             X                                   0         38,253      0
</TABLE>

<PAGE>


<TABLE>
<CAPTION>
            FORM 13F             NAME OF REPORTING MANAGER: LEGG MASON WOOD WALKER (IMS)                     Run Date: 04/13/2000
                                                            FOR POSITIONS HELD AS OF 03/31/2000              S.E.C. Use Only

                        Item 1:            Item 2:           Item 3:         Item 4:            Item 5:
                    Name of Issuer      Title of Class    CUSIP Number  Fair Market Value      Shares or
                                                                           (X $1000)         Principal Amt

- ----------------------------------------------------------------------------------------------------------
<S>                                      <C>                 <C>                    <C>             <C>
Deutsche Lufthansa A G                   ADR                 251561304              5               200
Donaldson Lufkin & Jenrette              Common Stock        257661108            177             3,420
DLJ Cap Trust I Pfd Trust Sec            PFDMthly 30/360     23321W202             46             1,980
Datalink Net Inc                         Common Stock        23804A206             18               290
Del Monte Foods Co.                      Common Stock        24522P103            419            39,215
Delta & Pine Land Co                     Common Stock        247357106             53             2,700
Dollar Tree Stores Inc.                  Common Stock        256747106          1,415            27,141
Delta Woodside Inds Inc. New             Common Stock        247909104              4             2,200
Deluxe Corp.                             Common Stock        248019101            381            14,364
Datamarine Intl Inc.                     Common Stock        238045108              5             6,400
Damascus Cmnty Bk Md                     Common Stock        23569P109             19               180
Dairy Mart Convenience Stores            Common Stock        233860303              0                28
Dime Bancorp Inc.                        Common Stock        25429Q102             35             1,875
Ducati Motor Hldgs Sponsored ADR         ADR                 264066101              8               300
Dimon Inc.                               Common Stock        254394109             21             8,800
Denning Mobile Robotics Inc              Common Stock        248570301              0                72
Dimethaid Research Inc.                  Common Stock        25435L105            468            73,755
Genentech Inc                            Common Stock        368710406          1,680            11,054
Dun & Bradstreet Corp.                   Common Stock        26483B106            477            16,661
Dunn Computer Corp Va                    Common Stock        265771105             13             4,300
Dionex Corp                              Common Stock        254546104             12               370
Dauphin Technology Inc                   Common Stock        238326102             18             2,500
Donnelley (R R) & Sons Co                Common Stock        257867101            353            16,855
Diamond Offshore Drilling Inc.           Common Stock        25271C102            619            15,489
2dobiz Com Inc                           Common Stock        90210Y102            231            23,000
Docucorp International-W/I               Common Stock        255911109              2               280
Dole Food Company                        Common Stock        256605106            451            23,185
Dominguez Svcs Corp.                     Common Stock        257128108             38             1,200
Doral Financial Corp.                    Common Stock        25811P100             46             4,100
Delta-omega Technologies Ltd             Common Stock        247782303              1             2,000
Dover Corp.                              Common Stock        260003108          2,736            57,155
Dover Invt Corp                          Common Stock        260152202              0                12
Dow Chemical Co                          Common Stock        260543103          3,183            27,923
Amdocs Limited                           Common Stock        G02602103          1,156            15,690
Diagnostic Products Corp.                Common Stock        252450101              5               185
Dense Pac Microsystems Inc               Common Stock        248719304            105            11,125
Delphi Automotive Sys Corp               Common Stock        247126105          2,084           130,273
DPL Inc.                                 Common Stock        233293109            367            16,537
Dippy Foods Inc                          Common Stock        254558109              6             6,500
Duquesne Captl Cum Mthly Inc.            PFD QTR 30/360      266224203            107             4,635
D Q E Inc.                               Common Stock        23329J104            129             2,835
Duquesne Lt Co Pfd 4%                    Preferred Stock     266228402              1                33
Dain Rauscher Corp.                      Common Stock        233856103            686            10,400
Duane Reade Inc.                         Common Stock        263578106             26             1,100
Duke Realty Investments, Inc.            Common Stock        264411505          1,244            65,039
Duke Realty Investment Inc. PFD 8.25%    PFD QTR 30/360      264411844              2               100
Duke Realty Investment Inc.              Preferred Stock     264411604             17               800
Dan River Inc.                           Common Stock        235774106             13             2,000
Darden Restaurants Inc.                  Common Stock        237194105             19             1,050
Digital River Inc.                       Common Stock        25388B104             26             1,200
Duramed Pharmaceuticals Inc.             Common Stock        266354109             97            14,560
Dril-Quip Inc                            Common Stock        262037104              9               200
Dura Automotive Systems Inc.             Common Stock        265903104              3               185
GTS Duratek Inc. New                     Common Stock        36237J107            113            10,900
Dallas Semiconductor Corp.               Common Stock        235204104            176             5,005
Drugstore Com Inc                        Common Stock        262241102              9               675
Datascope Corp.                          Common Stock        238113104          1,167            36,766

                        Item 1:                      Item 6:                Item 7:              Item 8:
                    Name of Issuer             Investment Discretion         Other        Voting Authority (Shares)
                                         (a) Sole (b)Shared as (c)Shared    Managers   (a) Sole  (b) Shared  (c) None
                                                       Def        Other
- --------------------------------------------------------------------------------------------------------------------
Deutsche Lufthansa A G                                 X                                   0            200      0
Donaldson Lufkin & Jenrette                            X                                   0          3,420      0
DLJ Cap Trust I Pfd Trust Sec                          X                                   0          1,980      0
Datalink Net Inc                                       X                                   0            290      0
Del Monte Foods Co.                                    X                                   0         39,215      0
Delta & Pine Land Co                                   X                                   0          2,700      0
Dollar Tree Stores Inc.                                X                                   0         27,141      0
Delta Woodside Inds Inc. New                           X                                   0          2,200      0
Deluxe Corp.                                           X                                   0         14,364      0
Datamarine Intl Inc.                                   X                                   0          6,400      0
Damascus Cmnty Bk Md                                   X                                   0            180      0
Dairy Mart Convenience Stores                          X                                   0             28      0
Dime Bancorp Inc.                                      X                                   0          1,875      0
Ducati Motor Hldgs Sponsored ADR                       X                                   0            300      0
Dimon Inc.                                             X                                   0          8,800      0
Denning Mobile Robotics Inc                            X                                   0             72      0
Dimethaid Research Inc.                                X                                   0         73,755      0
Genentech Inc                                          X                                   0         11,054      0
Dun & Bradstreet Corp.                                 X                                   0         16,661      0
Dunn Computer Corp Va                                  X                                   0          4,300      0
Dionex Corp                                            X                                   0            370      0
Dauphin Technology Inc                                 X                                   0          2,500      0
Donnelley (R R) & Sons Co                              X                                   0         16,855      0
Diamond Offshore Drilling Inc.                         X                                   0         15,489      0
2dobiz Com Inc                                         X                                   0         23,000      0
Docucorp International-W/I                             X                                   0            280      0
Dole Food Company                                      X                                   0         23,185      0
Dominguez Svcs Corp.                                   X                                   0          1,200      0
Doral Financial Corp.                                  X                                   0          4,100      0
Delta-omega Technologies Ltd                           X                                   0          2,000      0
Dover Corp.                                            X                                   0         57,155      0
Dover Invt Corp                                        X                                   0             12      0
Dow Chemical Co                                        X                                   0         27,923      0
Amdocs Limited                                         X                                   0         15,690      0
Diagnostic Products Corp.                              X                                   0            185      0
Dense Pac Microsystems Inc                             X                                   0         11,125      0
Delphi Automotive Sys Corp                             X                                   0        130,273      0
DPL Inc.                                               X                                   0         16,537      0
Dippy Foods Inc                                        X                                   0          6,500      0
Duquesne Captl Cum Mthly Inc.                          X                                   0          4,635      0
D Q E Inc.                                             X                                   0          2,835      0
Duquesne Lt Co Pfd 4%                                  X                                   0             33      0
Dain Rauscher Corp.                                    X                                   0         10,400      0
Duane Reade Inc.                                       X                                   0          1,100      0
Duke Realty Investments, Inc.                          X                                   0         65,039      0
Duke Realty Investment Inc. PFD 8.25%                  X                                   0            100      0
Duke Realty Investment Inc.                            X                                   0            800      0
Dan River Inc.                                         X                                   0          2,000      0
Darden Restaurants Inc.                                X                                   0          1,050      0
Digital River Inc.                                     X                                   0          1,200      0
Duramed Pharmaceuticals Inc.                           X                                   0         14,560      0
Dril-Quip Inc                                          X                                   0            200      0
Dura Automotive Systems Inc.                           X                                   0            185      0
GTS Duratek Inc. New                                   X                                   0         10,900      0
Dallas Semiconductor Corp.                             X                                   0          5,005      0
Drugstore Com Inc                                      X                                   0            675      0
Datascope Corp.                                        X                                   0         36,766      0
</TABLE>

<PAGE>


<TABLE>
<CAPTION>
            FORM 13F             NAME OF REPORTING MANAGER: LEGG MASON WOOD WALKER (IMS)                     Run Date: 04/13/2000
                                                            FOR POSITIONS HELD AS OF 03/31/2000              S.E.C. Use Only

                        Item 1:            Item 2:           Item 3:         Item 4:            Item 5:
                    Name of Issuer      Title of Class    CUSIP Number  Fair Market Value      Shares or
                                                                           (X $1000)         Principal Amt.

- -----------------------------------------------------------------------------------------------------------
<S>                                      <C>                 <C>                    <C>             <C>
Dayton Superior Cap Tr                   PFD QTR 30/360      240029207            157             7,750
DSET Corp                                Common Stock        262504103            248            13,450
Desc SA DE CV - Ser C                    Foreign Stock       P3506C125              0               100
Descartes Sys Group Inc                  Foreign Stock       249906108            269             5,700
Dreyfus Strategic Govts Income Inc.      Common Stock        261938104            124            16,070
Downey Financial Corp. Holding Co        Common Stock        261018105              5               230
Downey Finl Cap Tr I                     PFD QTR 30/360      261016208             82             3,700
Dsl Net Inc                              Common Stock        262506108              4               200
D S P Group Inc.                         Common Stock        23332B106             78             1,180
Quantum Corp-DLT & Storage               Common Stock        747906204             63             5,243
DST Systems Inc.                         Common Stock        233326107          1,038            15,984
Datastream System Inc                    Common Stock        238124101            468            16,150
Southwestern Bell Telephone Co.          PFD QTR 30/360      845335108             44             2,100
Deutsche Telecom AG ADS                  ADR                 251566105          4,380            54,580
Detroit Edison Co 7.625% Pfd             PFD QTR 30/360      250847712             34             1,640
Deutsche Bank Sponsored ADR              ADR                 251525309            311             4,678
DTE Energy CO                            Common Stock        233331107            240             8,277
Display Technologies Inc                 Common Stock        25469V102              8             2,205
Dollar Thrifty Automotive Group Inc.     Common Stock        256743105              5               300
Digitalthink Inc                         Common Stock        25388M100             24               600
Dial Thru International Corp             Foreign Stock       252479100              1               150
Dal-Tile International Inc               Common Stock        23426R108            127            15,965
Dataram Corp.                            Common Stock        238108203              7               300
Diamond Technology Partners              Common Stock        252762109            259             3,940
Datron Systems Inc                       Common Stock        238173108              1               100
Duff & Phelps Utility &                  Common Stock        26432K108            342            30,743
Duke Energy Corp.                        Common Stock        264399106          4,733            90,146
Duke Energy Capital Trust I 7.20%        PFD QTR 30/360      264396201             57             2,700
Dura Pharmaceuticals, Inc.               Common Stock        26632S109             16             1,285
Dusa Pharmaceuticals Inc.                Common Stock        266898105             29             1,200
Devry Inc.                               Common Stock        251893103          1,580            51,790
Dover Downs Entertainment Inc.           Common Stock        260086103             57             4,500
Devon Energy Corp New                    Common Stock        25179M103            245             5,048
Diversinet Corp                          Foreign Stock       25536K204             29             1,600
Diversa Corp                             Common Stock        255064107             35               750
Drew Inds Inc                            Common Stock        26168L205              2               300
Dynamicweb Enterprises Inc               Common Stock        268060209            102             7,500
Dataware Technologies Inc                Common Stock        237920103             25             2,900
Dynex Cap Inc                            Common Stock        26817Q506              3               500
Dycom Industries Inc                     Common Stock        267475101             50             1,017
Dynagen Inc.                             Common Stock        267917607             19            30,000
Dynegy Inc New                           Common Stock        26816Q101             99             1,575
Dynamic Oil Ltd                          Common Stock        267906105             11             9,500
Drypers Corporation                      Common Stock        262497308              3             1,500
Delphaize America Inc Cl A               Common Stock        246688105            109             6,316
Delphaize America Inc Cl B               Common Stock        246688204             62             3,115
Daisytek International Corp              Common Stock        234053106            176            11,110
ENI Spa - Sponsored ADR                  ADR                 26874R108          4,266            84,055
Equity Inv Fd                            Common Stock        294710553              0                12
Ea Engr Science & Tech Inc.              Common Stock        267911105              0               200
Eagle Wireless Intl Inc                  Common Stock        27002R101             20             1,780
Entergy Arkansas Cap I 8.50%             PFD QTR 30/360      29364C201             58             2,800
Eastern Air Lines Inc                    PFD QTR 30/360      276191848              0                94
HEARx LTD                                Common Stock        422360305              0               100
Engineered Support Sys Inc               Common Stock        292866100              3               200
Brinker Intl Inc.                        Common Stock        109641100            352            11,862
Eagletech Communications Inc             Common Stock        270040207             58             5,000

                        Item 1:                      Item 6:                Item 7:              Item 8:
                    Name of Issuer             Investment Discretion         Other        Voting Authority (Shares)
                                         (a) Sole (b)Shared as (c)Shared    Managers   (a) Sole  (b) Shared  (c) None
                                                       Def        Other
- --------------------------------------------------------------------------------------------------------------------
Dayton Superior Cap Tr                                 X                                   0          7,750      0
DSET Corp                                              X                                   0         13,450      0
Desc SA DE CV - Ser C                                  X                                   0            100      0
Descartes Sys Group Inc                                X                                   0          5,700      0
Dreyfus Strategic Govts Income Inc.                    X                                   0         16,070      0
Downey Financial Corp. Holding Co                      X                                   0            230      0
Downey Finl Cap Tr I                                   X                                   0          3,700      0
Dsl Net Inc                                            X                                   0            200      0
D S P Group Inc.                                       X                                   0          1,180      0
Quantum Corp-DLT & Storage                             X                                   0          5,243      0
DST Systems Inc.                                       X                                   0         15,984      0
Datastream System Inc                                  X                                   0         16,150      0
Southwestern Bell Telephone Co.                        X                                   0          2,100      0
Deutsche Telecom AG ADS                                X                                   0         54,580      0
Detroit Edison Co 7.625% Pfd                           X                                   0          1,640      0
Deutsche Bank Sponsored ADR                            X                                   0          4,678      0
DTE Energy CO                                          X                                   0          8,277      0
Display Technologies Inc                               X                                   0          2,205      0
Dollar Thrifty Automotive Group Inc.                   X                                   0            300      0
Digitalthink Inc                                       X                                   0            600      0
Dial Thru International Corp                           X                                   0            150      0
Dal-Tile International Inc                             X                                   0         15,965      0
Dataram Corp.                                          X                                   0            300      0
Diamond Technology Partners                            X                                   0          3,940      0
Datron Systems Inc                                     X                                   0            100      0
Duff & Phelps Utility &                                X                                   0         30,743      0
Duke Energy Corp.                                      X                                   0         90,146      0
Duke Energy Capital Trust I 7.20%                      X                                   0          2,700      0
Dura Pharmaceuticals, Inc.                             X                                   0          1,285      0
Dusa Pharmaceuticals Inc.                              X                                   0          1,200      0
Devry Inc.                                             X                                   0         51,790      0
Dover Downs Entertainment Inc.                         X                                   0          4,500      0
Devon Energy Corp New                                  X                                   0          5,048      0
Diversinet Corp                                        X                                   0          1,600      0
Diversa Corp                                           X                                   0            750      0
Drew Inds Inc                                          X                                   0            300      0
Dynamicweb Enterprises Inc                             X                                   0          7,500      0
Dataware Technologies Inc                              X                                   0          2,900      0
Dynex Cap Inc                                          X                                   0            500      0
Dycom Industries Inc                                   X                                   0          1,017      0
Dynagen Inc.                                           X                                   0         30,000      0
Dynegy Inc New                                         X                                   0          1,575      0
Dynamic Oil Ltd                                        X                                   0          9,500      0
Drypers Corporation                                    X                                   0          1,500      0
Delphaize America Inc Cl A                             X                                   0          6,316      0
Delphaize America Inc Cl B                             X                                   0          3,115      0
Daisytek International Corp                            X                                   0         11,110      0
ENI Spa - Sponsored ADR                                X                                   0         84,055      0
Equity Inv Fd                                          X                                   0             12      0
Ea Engr Science & Tech Inc.                            X                                   0            200      0
Eagle Wireless Intl Inc                                X                                   0          1,780      0
Entergy Arkansas Cap I 8.50%                           X                                   0          2,800      0
Eastern Air Lines Inc                                  X                                   0             94      0
HEARx LTD                                              X                                   0            100      0
Engineered Support Sys Inc                             X                                   0            200      0
Brinker Intl Inc.                                      X                                   0         11,862      0
Eagletech Communications Inc                           X                                   0          5,000      0
</TABLE>

<PAGE>


<TABLE>
<CAPTION>
            FORM 13F             NAME OF REPORTING MANAGER: LEGG MASON WOOD WALKER (IMS)                     Run Date: 04/13/2000
                                                            FOR POSITIONS HELD AS OF 03/31/2000              S.E.C. Use Only

                        Item 1:            Item 2:           Item 3:         Item 4:            Item 5:
                    Name of Issuer      Title of Class    CUSIP Number  Fair Market Value      Shares or
                                                                           (X $1000)         Principal Amt.

- -----------------------------------------------------------------------------------------------------------
<S>                                      <C>                 <C>                    <C>             <C>
Ebaseone Corp                            Common Stock        278626106             27             4,000
Ebay Inc Com                             Common Stock        278642103          1,087             6,174
EBANK.COM Inc                            Common Stock        278608104              1               100
Ennis Business Forms Inc.                Common Stock        293389102              4               500
Electro Brain Intl Corp.                 Common Stock        285062204              0               500
Entertainment Boulevard Inc              Common Stock        29381A105             23             5,000
Ebenx Inc                                Common Stock        278668108              8               275
Elder Beerman Stores Corp New            Common Stock        284470101             12             2,080
Elsag Bailey Process                     Common Stock        N2925S101              0               550
Engelhard Corp.                          Common Stock        292845104            286            18,937
U.S. Electricar Inc.                     Common Stock        90328P100             25            54,000
Eccs Inc                                 Common Stock        26825H100             33             2,300
Envoy Communications Group Inc           Foreign Stock       293986105              9             1,715
Environmental Control Group              Common Stock        293928107              0               200
Electronic Clearing House Inc.           Common Stock        285562203             25             8,000
Eagle Capital Int                        Common Stock        269456109              0                 1
ECI Telecom Limited ORD                  Foreign Stock       268258100            449            14,299
Ecolab                                   Common Stock        278865100          1,108            30,200
Eclipsys Corp.                           Common Stock        278856109             54             2,767
Econnect                                 Common Stock        27889S107             22            22,120
Echo Bay Mines Ltd                       Common Stock        278751102             17            13,100
Central Newspapers Cl A                  Common Stock        154647101            168             5,000
Ecommercial Com Inc                      Common Stock        27889F105             10               250
Consolidated Edison Inc.                 Common Stock        209115104            356            12,267
Consolidated Edison Co NY Inc PFD $5     PFD QTR 30/360      209111707            672            10,970
Edison Brothers Stores Inc New           Common Stock        280875303              0                25
Empire Distict Electric Co.              Common Stock        291641108             10               504
Ediets Com Inc Cl A                      Common Stock        280597105              0               133
Emerging Markets Income Fund             Common Stock        290920107             10               936
Edgar Online Inc                         Common Stock        279765101             16             1,600
E Digital Corp.                          Common Stock        26841Y103            258            25,650
Earth Search Sciences Inc.               Common Stock        270313109            132            76,055
Con Edison Co Ser A 7.75% PFD QICS       PFD QTR 30/360      209111848             59             2,600
Edo Corp                                 Common Stock        281347104              1               200
Electronic Data Systems                  Common Stock        285661104          5,480            85,368
Edison Schools Inc                       Common Stock        281033100             15               750
El Paso Electric Co New                  Common Stock        283677854            394            37,995
Environmental Elements Corp              Common Stock        293940102              5             2,500
Canadian 88 Energy Corp                  Foreign Stock       13566G509              7             5,000
E-loan Inc                               Common Stock        26861P107             44             6,250
EEX Corporation - New                    Common Stock        26842V207              4             1,096
Efax Com Inc.                            Common Stock        282012103             61            11,300
Electric Fuel Corporation                Common Stock        284871100              6               500
Electronics for Imaging Inc.             Common Stock        286082102            489             8,150
Efficient Networks Inc                   Common Stock        282056100            804             5,161
Enhance Financial Services Group Inc.    Common Stock        293310108            187            13,270
EFTC Corporation                         Common Stock        268443108              5             2,000
Eastern Enterprises                      Common Stock        27637F100            212             3,534
Equifax Inc.                             Common Stock        294429105          1,283            50,828
Egain Communications                     Common Stock        28225C103             60             1,550
Eagle Bancorp Inc Md                     Common Stock        268948106              9             1,000
Eagle Geophysical Inc                    Common Stock        269524104              0                44
Egghead.com                              Common Stock        282329101             22             3,147
8 X 8 Inc.                               Common Stock        282912104             74             2,500
Eglobe Inc                               Common Stock        282339100             49             5,200
Electroglas, Inc.                        Common Stock        285324109              3               100
Energen Corp.                            Common Stock        29265N108              2               110

                        Item 1:                     Item 6:                Item 7:              Item 8:
                    Name of Issuer            Investment Discretion         Other        Voting Authority (Shares)
                                        (a) Sole (b)Shared as (c)Shared    Managers   (a) Sole  (b) Shared  (c) None
                                                      Def        Other
- -------------------------------------------------------------------------------------------------------------------
Ebaseone Corp                                         X                                   0          4,000      0
Ebay Inc Com                                          X                                   0          6,174      0
EBANK.COM Inc                                         X                                   0            100      0
Ennis Business Forms Inc.                             X                                   0            500      0
Electro Brain Intl Corp.                              X                                   0            500      0
Entertainment Boulevard Inc                           X                                   0          5,000      0
Ebenx Inc                                             X                                   0            275      0
Elder Beerman Stores Corp New                         X                                   0          2,080      0
Elsag Bailey Process                                  X                                   0            550      0
Engelhard Corp.                                       X                                   0         18,937      0
U.S. Electricar Inc.                                  X                                   0         54,000      0
Eccs Inc                                              X                                   0          2,300      0
Envoy Communications Group Inc                        X                                   0          1,715      0
Environmental Control Group                           X                                   0            200      0
Electronic Clearing House Inc.                        X                                   0          8,000      0
Eagle Capital Int                                     X                                   0              1      0
ECI Telecom Limited ORD                               X                                   0         14,299      0
Ecolab                                                X                                   0         30,200      0
Eclipsys Corp.                                        X                                   0          2,767      0
Econnect                                              X                                   0         22,120      0
Echo Bay Mines Ltd                                    X                                   0         13,100      0
Central Newspapers Cl A                               X                                   0          5,000      0
Ecommercial Com Inc                                   X                                   0            250      0
Consolidated Edison Inc.                              X                                   0         12,267      0
Consolidated Edison Co NY Inc PFD $5                  X                                   0         10,970      0
Edison Brothers Stores Inc New                        X                                   0             25      0
Empire Distict Electric Co.                           X                                   0            504      0
Ediets Com Inc Cl A                                   X                                   0            133      0
Emerging Markets Income Fund                          X                                   0            936      0
Edgar Online Inc                                      X                                   0          1,600      0
E Digital Corp.                                       X                                   0         25,650      0
Earth Search Sciences Inc.                            X                                   0         76,055      0
Con Edison Co Ser A 7.75% PFD QICS                    X                                   0          2,600      0
Edo Corp                                              X                                   0            200      0
Electronic Data Systems                               X                                   0         85,368      0
Edison Schools Inc                                    X                                   0            750      0
El Paso Electric Co New                               X                                   0         37,995      0
Environmental Elements Corp                           X                                   0          2,500      0
Canadian 88 Energy Corp                               X                                   0          5,000      0
E-loan Inc                                            X                                   0          6,250      0
EEX Corporation - New                                 X                                   0          1,096      0
Efax Com Inc.                                         X                                   0         11,300      0
Electric Fuel Corporation                             X                                   0            500      0
Electronics for Imaging Inc.                          X                                   0          8,150      0
Efficient Networks Inc                                X                                   0          5,161      0
Enhance Financial Services Group Inc.                 X                                   0         13,270      0
EFTC Corporation                                      X                                   0          2,000      0
Eastern Enterprises                                   X                                   0          3,534      0
Equifax Inc.                                          X                                   0         50,828      0
Egain Communications                                  X                                   0          1,550      0
Eagle Bancorp Inc Md                                  X                                   0          1,000      0
Eagle Geophysical Inc                                 X                                   0             44      0
Egghead.com                                           X                                   0          3,147      0
8 X 8 Inc.                                            X                                   0          2,500      0
Eglobe Inc                                            X                                   0          5,200      0
Electroglas, Inc.                                     X                                   0            100      0
Energen Corp.                                         X                                   0            110      0
</TABLE>

<PAGE>


<TABLE>
<CAPTION>
            FORM 13F             NAME OF REPORTING MANAGER: LEGG MASON WOOD WALKER (IMS)                     Run Date: 04/13/2000
                                                            FOR POSITIONS HELD AS OF 03/31/2000              S.E.C. Use Only

                        Item 1:            Item 2:           Item 3:         Item 4:            Item 5:
                    Name of Issuer      Title of Class    CUSIP Number  Fair Market Value      Shares or
                                                                           (X $1000)         Principal Amt.

- -----------------------------------------------------------------------------------------------------------
<S>                                      <C>                 <C>                    <C>             <C>
National Info Consortium Inc             Common Stock        636491102             42             1,200
Earthgrains Co                           Common Stock        270319106             32             2,147
E Trade Group Inc                        Common Stock        269246104          1,605            53,268
Entergy Gulf States Capt I               PFD QTR 30/360      29364H200            126             5,760
Entergy Ark Inc                          PFD QTR 30/360      29364D803             74               750
Entergy Louisiana Inc. 8% Pfd            Preferred Stock     29364M803             46             1,800
Energy North, Inc.                       Common Stock        292925104             12               200
Equitable of Iowa Cos Capital            Preferred Stock     294513205             20               800
Eidox PLC Sponsored ADR                  ADR                 282485101             70            11,050
Echelon International Corp.              Common Stock        278747100              4               125
Eircom Plc                               ADR                 28257P105             64             3,600
Excelsior Income Shs Inc.                Common Stock        300723103             17             1,200
Emerald Isle Res Inc                     Foreign Stock       29088J102              0             4,000
Edison International                     Common Stock        281020107            315            19,010
Eix Tr I                                 PFD QTR 30/360      268540200             36             1,700
Eastman Kodak Co.                        Common Stock        277461109          6,630           122,069
A/S Eksportfinans Non-Cum Pfd 8.70%      Preferred Stock     R20543162              7               300
Grupo Elektra SA - Spon GDR              ADR                 40050A102              9               700
Estee Lauder Companies                   Common Stock        518439104          4,091            81,727
Electronics Boutique Hldgs Cp            Common Stock        286045109            719            37,605
Elcom International Inc.                 Common Stock        284434107             35             2,400
Endesa S.A. ADR                          ADR                 29258N107            204             8,687
ELEC Communications Corp                 Common Stock        284739109             21             4,000
ELF Aquitaine                            ADR                 286269105             17               200
Electric Lightwave Inc Cl A              Common Stock        284895109              2               100
Elcor Corp.                              Common Stock        284443108             10               300
Elan Corp. ADR                           ADR                 284131208          4,300            90,532
Earthlink Inc                            Common Stock        270321102          1,996           102,685
Elantec Semiconductor Inc                Common Stock        284155108             79             1,075
Entergy London Capital LP 8.625% Cum     PFD QTR 30/360      268316205            264            12,200
Echelon Corp                             Common Stock        27874N105            468             7,150
Elot Inc                                 Common Stock        290143106             47             7,950
Eloyalty Corp                            Common Stock        290151109             50             2,110
Electrosource Inc New                    Common Stock        286150206             14             1,000
Eltrax Sys Inc                           Common Stock        290375104             13             1,000
Aktiebolaget Electrolux ADR              ADR                 010198208             17               431
Callaway Golf Co                         Common Stock        131193104             20             1,300
EMail Ltd Spon ADR                       ADR                 290769207              3             1,200
Embrex Inc                               Common Stock        290817105            151             9,578
EMC Corp.                                Common Stock        268648102         42,297           338,379
The Emerging Market Income Fund          Common Stock        290918101             30             2,300
Empyrean Diagnostics Ltd                 Common Stock        29245E103              4             2,000
Templeton Emerging Markets               MutualFdEqClose     880191101            105             9,692
Emisphere Technologies Inc.              Common Stock        291345106             23               450
Emulex Corp.                             Common Stock        292475209            325             2,980
Emmis Communications Corp Cl A           Common Stock        291525103            163             3,500
Eastman Chemical Co                      Common Stock        277432100            132             2,895
Emerson Electric Co.                     Common Stock        291011104          7,071           133,736
Emerge Interactive Inc                   Common Stock        29088W103             19               620
Embratel Particpacoes ADR                ADR                 29081N100              3               100
Energy Biosystems Corp                   Common Stock        29265L706            453            44,174
Enesco Corp Inc                          Common Stock        292973104              5               700
Encore Computer Corp.                    Common Stock        292555109              0               200
Encad Inc                                Common Stock        292503109              2               325
Endocare Inc.                            Common Stock        29264P104             29             1,500
Enron Corp                               Common Stock        293561106         24,538           327,715
Enron Cap Trust II 8.125% Perp Trust     Preferred Stock     29357P201             23             1,000

                        Item 1:                      Item 6:                Item 7:              Item 8:
                    Name of Issuer             Investment Discretion         Other        Voting Authority (Shares)
                                         (a) Sole (b)Shared as (c)Shared    Managers   (a) Sole  (b) Shared  (c) None
                                                       Def        Other
- --------------------------------------------------------------------------------------------------------------------
National Info Consortium Inc                           X                                   0          1,200      0
Earthgrains Co                                         X                                   0          2,147      0
E Trade Group Inc                                      X                                   0         53,268      0
Entergy Gulf States Capt I                             X                                   0          5,760      0
Entergy Ark Inc                                        X                                   0            750      0
Entergy Louisiana Inc. 8% Pfd                          X                                   0          1,800      0
Energy North, Inc.                                     X                                   0            200      0
Equitable of Iowa Cos Capital                          X                                   0            800      0
Eidox PLC Sponsored ADR                                X                                   0         11,050      0
Echelon International Corp.                            X                                   0            125      0
Eircom Plc                                             X                                   0          3,600      0
Excelsior Income Shs Inc.                              X                                   0          1,200      0
Emerald Isle Res Inc                                   X                                   0          4,000      0
Edison International                                   X                                   0         19,010      0
Eix Tr I                                               X                                   0          1,700      0
Eastman Kodak Co.                                      X                                   0        122,069      0
A/S Eksportfinans Non-Cum Pfd 8.70%                    X                                   0            300      0
Grupo Elektra SA - Spon GDR                            X                                   0            700      0
Estee Lauder Companies                                 X                                   0         81,727      0
Electronics Boutique Hldgs Cp                          X                                   0         37,605      0
Elcom International Inc.                               X                                   0          2,400      0
Endesa S.A. ADR                                        X                                   0          8,687      0
ELEC Communications Corp                               X                                   0          4,000      0
ELF Aquitaine                                          X                                   0            200      0
Electric Lightwave Inc Cl A                            X                                   0            100      0
Elcor Corp.                                            X                                   0            300      0
Elan Corp. ADR                                         X                                   0         90,532      0
Earthlink Inc                                          X                                   0        102,685      0
Elantec Semiconductor Inc                              X                                   0          1,075      0
Entergy London Capital LP 8.625% Cum                   X                                   0         12,200      0
Echelon Corp                                           X                                   0          7,150      0
Elot Inc                                               X                                   0          7,950      0
Eloyalty Corp                                          X                                   0          2,110      0
Electrosource Inc New                                  X                                   0          1,000      0
Eltrax Sys Inc                                         X                                   0          1,000      0
Aktiebolaget Electrolux ADR                            X                                   0            431      0
Callaway Golf Co                                       X                                   0          1,300      0
EMail Ltd Spon ADR                                     X                                   0          1,200      0
Embrex Inc                                             X                                   0          9,578      0
EMC Corp.                                              X                                   0        338,379      0
The Emerging Market Income Fund                        X                                   0          2,300      0
Empyrean Diagnostics Ltd                               X                                   0          2,000      0
Templeton Emerging Markets                             X                                   0          9,692      0
Emisphere Technologies Inc.                            X                                   0            450      0
Emulex Corp.                                           X                                   0          2,980      0
Emmis Communications Corp Cl A                         X                                   0          3,500      0
Eastman Chemical Co                                    X                                   0          2,895      0
Emerson Electric Co.                                   X                                   0        133,736      0
Emerge Interactive Inc                                 X                                   0            620      0
Embratel Particpacoes ADR                              X                                   0            100      0
Energy Biosystems Corp                                 X                                   0         44,174      0
Enesco Corp Inc                                        X                                   0            700      0
Encore Computer Corp.                                  X                                   0            200      0
Encad Inc                                              X                                   0            325      0
Endocare Inc.                                          X                                   0          1,500      0
Enron Corp                                             X                                   0        327,715      0
Enron Cap Trust II 8.125% Perp Trust                   X                                   0          1,000      0
</TABLE>

<PAGE>


<TABLE>
<CAPTION>
            FORM 13F             NAME OF REPORTING MANAGER: LEGG MASON WOOD WALKER (IMS)                     Run Date: 04/13/2000
                                                            FOR POSITIONS HELD AS OF 03/31/2000              S.E.C. Use Only

                        Item 1:            Item 2:           Item 3:         Item 4:            Item 5:
                    Name of Issuer      Title of Class    CUSIP Number  Fair Market Value      Shares or
                                                                           (X $1000)         Principal Amt.

- -----------------------------------------------------------------------------------------------------------
<S>                                      <C>                 <C>                    <C>             <C>
Enron Capital Resources LP 9.0% Cum PF   PFD P12 30/360      29357D208             26             1,000
Enron Capital LLC 8.00% Cum Gtd Pfd      PFDMthly 30/360     P37307108             49             2,120
Enron Cap Tr I                           PFD QTR 30/360      29357N206             25             1,100
Energy Conversion Devices Inc.           Common Stock        292659109              6               300
E-New Media HKDO.50                      Common Stock        Y2293Q107             45           140,000
Engage Technologies Inc                  Common Stock        292827102              4                50
Engle Homes Inc                          Common Stock        292896107             11             1,100
Enersis SA Spons ADR                     ADR                 29274F104              0                 0
Entremed Inc                             Common Stock        29382F103            104             1,750
Equity Inns Inc.                         Common Stock        294703103              8             1,225
Euro909 Com A S                          ADR                 298737107             94             4,500
TXU Gas Co  Dep Pfd Shs Ser F            Preferred Stock     873170302             12               500
Envirosource Inc.                        Common Stock        29409K606              0                57
Equant N V                               ADR                 294409107            231             2,719
Entertainment International LTD          Common Stock        29380Y104              1             2,000
Entrust Technologies Inc.                Common Stock        293848107            391             4,600
Envirogen Inc Com New                    Common Stock        294040308              2               500
Envirosure Mgmt Corp                     Common Stock        294096102              0             3,000
Enzo Biochem Inc.                        Common Stock        294100102            127             1,800
Enzon Inc.                               Common Stock        293904108            372             9,875
Empresa Nacional De Electricidad         ADR                 29244T101              8               725
EOG Res Inc                              Common Stock        26875P101            405            19,102
Eon Communications Corp                  Common Stock        268763109              1               100
Equity Office Properties Trust           Common Stock        294741103             33             1,300
Equity Office Properties Trust           PFD QTR 30/360      294741509              8               205
Eott Energy Partners L P                 LTD Part  P4        294103106             59             4,200
Bottomline Technologies Inc.             Common Stock        101388106             35               950
Epcos Ag                                 ADR                 29410P107            135             1,028
E Prime Aerospace Corp                   Common Stock        268817103              3            10,000
El Paso Energy Corp                      Common Stock        283905107          4,048           100,249
Eskimo Pie Corp                          Common Stock        296443104             29             3,500
Eagle Picher Inds Inc.                   Common Stock        269803102              0               400
El Paso Energy Partners                  Common Stock        28368B102             10               500
E Piphany Inc                            Common Stock        26881V100             13               100
Entertainment Properties Trust           Common Stock        29380T105              1               100
Epitope Inc.                             Common Stock        294261102             40             4,250
Equinox Systems Inc.                     Common Stock        294436100             21             2,800
Equity Residential Properties Trust      Common Stock        29476L107            425            10,572
Equity Residential Properties            Preferred Stock     29476L206            103             4,600
Equity Residential Interest Trust        Preferred Stock     29476L883              2               100
Equity Residential Pptys Tr Ser F Pfd    PFD QTR 30/360      29476L875              9               400
Equity Residential Pptys Trust 7.625%    PFD QTR 30/360      29476L792             51             2,800
Equity Residential Pptys Tr              PFD QTR 30/360      29476L800              9               400
Equitable Federal Svgs Bank              Common Stock        294487103              3               200
Equitable Resources Inc.                 Common Stock        294549100            386             8,606
Euro Disney S C A Ff 10 Par              Common Stock        F26387112              9            10,200
Phyamerica Physician Group Inc           Common Stock        71940A101              1             2,200
Equitable Resource Cap Tr I 7.35%        PFD QTR 30/360      294550207             30             1,500
Ericsson L M Tel Co ADR Cl B             ADR                 294821400          9,734           103,756
Erie Indemnity Company - Cl A            Common Stock        29530P102             83             2,550
Erie Lackawanna Inc.                     Common Stock        295349104              0               162
Earthshell Corp                          Common Stock        27032B100             44            10,550
Electronic Arts                          Common Stock        285512109            225             3,167
Eisai Co Ltd Spon ADR 1 ADR Reps 1 Shr   ADR                 282579309            151             5,715
Evans & Sutherland Computer Corp.        Common Stock        299096107              1               100
Esco Electrs Corp                        Common Stock        269030102              0                 5
Essex Corp                               Common Stock        296744105              2             1,000

                        Item 1:                      Item 6:                Item 7:              Item 8:
                    Name of Issuer             Investment Discretion         Other        Voting Authority (Shares)
                                         (a) Sole (b)Shared as (c)Shared    Managers   (a) Sole  (b) Shared  (c) None
                                                       Def        Other
- --------------------------------------------------------------------------------------------------------------------
Enron Capital Resources LP 9.0% Cum PF                 X                                   0          1,000      0
Enron Capital LLC 8.00% Cum Gtd Pfd                    X                                   0          2,120      0
Enron Cap Tr I                                         X                                   0          1,100      0
Energy Conversion Devices Inc.                         X                                   0            300      0
E-New Media HKDO.50                                    X                                   0        140,000      0
Engage Technologies Inc                                X                                   0             50      0
Engle Homes Inc                                        X                                   0          1,100      0
Enersis SA Spons ADR                                   X                                   0              0      0
Entremed Inc                                           X                                   0          1,750      0
Equity Inns Inc.                                       X                                   0          1,225      0
Euro909 Com A S                                        X                                   0          4,500      0
TXU Gas Co  Dep Pfd Shs Ser F                          X                                   0            500      0
Envirosource Inc.                                      X                                   0             57      0
Equant N V                                             X                                   0          2,719      0
Entertainment International LTD                        X                                   0          2,000      0
Entrust Technologies Inc.                              X                                   0          4,600      0
Envirogen Inc Com New                                  X                                   0            500      0
Envirosure Mgmt Corp                                   X                                   0          3,000      0
Enzo Biochem Inc.                                      X                                   0          1,800      0
Enzon Inc.                                             X                                   0          9,875      0
Empresa Nacional De Electricidad                       X                                   0            725      0
EOG Res Inc                                            X                                   0         19,102      0
Eon Communications Corp                                X                                   0            100      0
Equity Office Properties Trust                         X                                   0          1,300      0
Equity Office Properties Trust                         X                                   0            205      0
Eott Energy Partners L P                               X                                   0          4,200      0
Bottomline Technologies Inc.                           X                                   0            950      0
Epcos Ag                                               X                                   0          1,028      0
E Prime Aerospace Corp                                 X                                   0         10,000      0
El Paso Energy Corp                                    X                                   0        100,249      0
Eskimo Pie Corp                                        X                                   0          3,500      0
Eagle Picher Inds Inc.                                 X                                   0            400      0
El Paso Energy Partners                                X                                   0            500      0
E Piphany Inc                                          X                                   0            100      0
Entertainment Properties Trust                         X                                   0            100      0
Epitope Inc.                                           X                                   0          4,250      0
Equinox Systems Inc.                                   X                                   0          2,800      0
Equity Residential Properties Trust                    X                                   0         10,572      0
Equity Residential Properties                          X                                   0          4,600      0
Equity Residential Interest Trust                      X                                   0            100      0
Equity Residential Pptys Tr Ser F Pfd                  X                                   0            400      0
Equity Residential Pptys Trust 7.625%                  X                                   0          2,800      0
Equity Residential Pptys Tr                            X                                   0            400      0
Equitable Federal Svgs Bank                            X                                   0            200      0
Equitable Resources Inc.                               X                                   0          8,606      0
Euro Disney S C A Ff 10 Par                            X                                   0         10,200      0
Phyamerica Physician Group Inc                         X                                   0          2,200      0
Equitable Resource Cap Tr I 7.35%                      X                                   0          1,500      0
Ericsson L M Tel Co ADR Cl B                           X                                   0        103,756      0
Erie Indemnity Company - Cl A                          X                                   0          2,550      0
Erie Lackawanna Inc.                                   X                                   0            162      0
Earthshell Corp                                        X                                   0         10,550      0
Electronic Arts                                        X                                   0          3,167      0
Eisai Co Ltd Spon ADR 1 ADR Reps 1 Shr                 X                                   0          5,715      0
Evans & Sutherland Computer Corp.                      X                                   0            100      0
Esco Electrs Corp                                      X                                   0              5      0
Essex Corp                                             X                                   0          1,000      0
</TABLE>

<PAGE>


<TABLE>
<CAPTION>
            FORM 13F             NAME OF REPORTING MANAGER: LEGG MASON WOOD WALKER (IMS)                     Run Date: 04/13/2000
                                                            FOR POSITIONS HELD AS OF 03/31/2000              S.E.C. Use Only

                        Item 1:            Item 2:           Item 3:         Item 4:            Item 5:
                    Name of Issuer      Title of Class    CUSIP Number  Fair Market Value      Shares or
                                                                           (X $1000)         Principal Amt.

- -----------------------------------------------------------------------------------------------------------
<S>                                      <C>                 <C>                    <C>             <C>
Espirito Santo Financial Hldg S.A.       ADR                 29665F200             13               700
Esoft Inc                                Foreign Stock       296904105              7               400
Enstar Group Inc                         Common Stock        29358R107              0                10
Eshare Technologies Inc Ga               Common Stock        296428105             21             1,700
ITT Educational Services Inc             Common Stock        45068B109            227            14,190
Electro Scientific Corp.                 Common Stock        285229100             38               650
Esterline Technologies Corp              Common Stock        297425100              9               700
Employee Solutions Inc.                  Common Stock        292166105              1             1,000
Espeed Inc                               Common Stock        296643109            489             9,340
E Spire Communications Inc               Common Stock        269153102            140            19,900
Encompass Svcs Corp                      Common Stock        29255U104              1               177
Express Scripts Inc. CL A                Common Stock        302182100            127             3,025
ESS Technology Inc.                      Common Stock        269151106             16               900
E-stamp Corp                             Common Stock        269154100             58             7,875
Ensco International Inc.                 Common Stock        26874Q100            953            26,389
Environmental Solutions Wrldwd           Foreign Stock       29408K102             18             6,000
Esynch Corp                              Common Stock        297591109             49             4,000
Entrade Inc                              Common Stock        29382L100              6               200
ESCO Transportation Co. New              Common Stock        269040200              1             2,500
E-Tek Dynamics Inc.                      Common Stock        269240107          1,846             7,846
Ethan Allen Interiors, Inc.              Common Stock        297602104          2,646           105,821
ETI International Inc.                   Common Stock        269230108              2             2,000
Eaton Corp.                              Common Stock        278058102          1,268            16,262
Enterprise Oil PLC Sponsored ADR Repst   ADR                 293779302              2               100
Enterprise Oil Plc ADR                   PFD QTR 30/360      293779203             10               400
Entergy Corp.                            Common Stock        29364G103            508            25,171
Eldertrust - SBI                         Common Stock        284560109              6             2,100
E4L Inc                                  Common Stock        268452109             69            32,700
E Town Corp.                             Common Stock        269242103            320             5,065
Etoys Inc.                               Common Stock        297862104            191            21,545
Eastern Utils Assoc                      Common Stock        277173100            159             5,072
Eurotech Ltd.                            Common Stock        298796103             60            11,000
European Technologies Intl Inc           Foreign Stock       29879F103              0               700
Eaton Vance Corp                         Common Stock        278265103             88             2,047
Webs Index Fund Inc - Australia          Common Stock        92923H103             74             7,485
Earthweb Inc                             Common Stock        27032C108             27             1,100
Webs Index Fund Inc - Sweden             Common Stock        92923H822             14               400
Euroweb Intl Corp                        Common Stock        298801101              5               700
European Warrant Fd Inc.                 Common Stock        298792102            111             6,413
Webs Index Fund Inc - Germany            Common Stock        92923H608            117             4,319
Webs Index Fund Inc - Hong Kong          MutualFdEqClose     92923H707             94             6,870
Webs Index Fund Inc - Japan              MutualFdEqClose     92923H889            696            42,351
Webs Index Fd Inc - Switzerland          Common Stock        92923H814             79             5,099
Webs Index Fd Inc Netherlands            Common Stock        92923H855             83             3,461
Webs Index Fund Inc - France             Common Stock        92923H509            110             3,971
Webs Index Fund Inc Singapore Free       MutualFdEqClose     92923H848             14             1,900
Webs Index Fund Inc - United Kingdom     Common Stock        92923H798             87             4,252
Webs - Mexico Index Series Fd Inc.       Common Stock        92923H863              7               372
Exide Corp                               Common Stock        302051107             11               890
Exactech Inc.                            Common Stock        30064E109            108             6,400
Corporate Executive Brd Co               Common Stock        21988R102             10               200
Excalibur Technologies Corp              Common Stock        300651205            166             4,200
Exodus Communications Inc.               Common Stock        302088109          6,816            48,514
Excelon Corporation                      Common Stock        300691102            339            30,100
Expeditors Intl Wash Inc.                Common Stock        302130109            112             2,825
Expedia Inc                              Common Stock        302125109              2               100
Extreme Networks Inc                     Common Stock        30226D106            366             4,630

                        Item 1:                      Item 6:                Item 7:              Item 8:
                    Name of Issuer             Investment Discretion         Other        Voting Authority (Shares)
                                         (a) Sole (b)Shared as (c)Shared    Managers   (a) Sole  (b) Shared  (c) None
                                                       Def        Other
- --------------------------------------------------------------------------------------------------------------------
Espirito Santo Financial Hldg S.A.                     X                                   0            700      0
Esoft Inc                                              X                                   0            400      0
Enstar Group Inc                                       X                                   0             10      0
Eshare Technologies Inc Ga                             X                                   0          1,700      0
ITT Educational Services Inc                           X                                   0         14,190      0
Electro Scientific Corp.                               X                                   0            650      0
Esterline Technologies Corp                            X                                   0            700      0
Employee Solutions Inc.                                X                                   0          1,000      0
Espeed Inc                                             X                                   0          9,340      0
E Spire Communications Inc                             X                                   0         19,900      0
Encompass Svcs Corp                                    X                                   0            177      0
Express Scripts Inc. CL A                              X                                   0          3,025      0
ESS Technology Inc.                                    X                                   0            900      0
E-stamp Corp                                           X                                   0          7,875      0
Ensco International Inc.                               X                                   0         26,389      0
Environmental Solutions Wrldwd                         X                                   0          6,000      0
Esynch Corp                                            X                                   0          4,000      0
Entrade Inc                                            X                                   0            200      0
ESCO Transportation Co. New                            X                                   0          2,500      0
E-Tek Dynamics Inc.                                    X                                   0          7,846      0
Ethan Allen Interiors, Inc.                            X                                   0        105,821      0
ETI International Inc.                                 X                                   0          2,000      0
Eaton Corp.                                            X                                   0         16,262      0
Enterprise Oil PLC Sponsored ADR Repst                 X                                   0            100      0
Enterprise Oil Plc ADR                                 X                                   0            400      0
Entergy Corp.                                          X                                   0         25,171      0
Eldertrust - SBI                                       X                                   0          2,100      0
E4L Inc                                                X                                   0         32,700      0
E Town Corp.                                           X                                   0          5,065      0
Etoys Inc.                                             X                                   0         21,545      0
Eastern Utils Assoc                                    X                                   0          5,072      0
Eurotech Ltd.                                          X                                   0         11,000      0
European Technologies Intl Inc                         X                                   0            700      0
Eaton Vance Corp                                       X                                   0          2,047      0
Webs Index Fund Inc - Australia                        X                                   0          7,485      0
Earthweb Inc                                           X                                   0          1,100      0
Webs Index Fund Inc - Sweden                           X                                   0            400      0
Euroweb Intl Corp                                      X                                   0            700      0
European Warrant Fd Inc.                               X                                   0          6,413      0
Webs Index Fund Inc - Germany                          X                                   0          4,319      0
Webs Index Fund Inc - Hong Kong                        X                                   0          6,870      0
Webs Index Fund Inc - Japan                            X                                   0         42,351      0
Webs Index Fd Inc - Switzerland                        X                                   0          5,099      0
Webs Index Fd Inc Netherlands                          X                                   0          3,461      0
Webs Index Fund Inc - France                           X                                   0          3,971      0
Webs Index Fund Inc Singapore Free                     X                                   0          1,900      0
Webs Index Fund Inc - United Kingdom                   X                                   0          4,252      0
Webs - Mexico Index Series Fd Inc.                     X                                   0            372      0
Exide Corp                                             X                                   0            890      0
Exactech Inc.                                          X                                   0          6,400      0
Corporate Executive Brd Co                             X                                   0            200      0
Excalibur Technologies Corp                            X                                   0          4,200      0
Exodus Communications Inc.                             X                                   0         48,514      0
Excelon Corporation                                    X                                   0         30,100      0
Expeditors Intl Wash Inc.                              X                                   0          2,825      0
Expedia Inc                                            X                                   0            100      0
Extreme Networks Inc                                   X                                   0          4,630      0
</TABLE>

<PAGE>


<TABLE>
<CAPTION>
            FORM 13F             NAME OF REPORTING MANAGER: LEGG MASON WOOD WALKER (IMS)                     Run Date: 04/13/2000
                                                            FOR POSITIONS HELD AS OF 03/31/2000              S.E.C. Use Only

                        Item 1:            Item 2:           Item 3:         Item 4:            Item 5:
                    Name of Issuer      Title of Class    CUSIP Number  Fair Market Value      Shares or
                                                                           (X $1000)         Principal Amt.

- -----------------------------------------------------------------------------------------------------------
<S>                                      <C>                 <C>                    <C>             <C>
Ethyl Corp.                              Common Stock        297659104             22             7,054
Entergy Gulf States Utilities Inc. 7.5   PFD QTR 30/360      29364L847             20               265
Entergy La Inc                           PFD QTR 30/360      29364M845              5                50
Entergy La Inc                           PFD QTR 30/360      29364M605             27               400
Ezenia! Inc                              Common Stock        302311105             32             3,000
Ford Motor Co.                           Common Stock        345370100         18,999           413,571
Ford Motor Co-Dep Shs-Repstg 1/2000th    PFD QTR 30/360      345370407              7               250
Ford Motor Co Cap Tr I TOPRS 9.00% PFD   PFD QTR 30/360      345343206             29             1,150
FPC Capital Trust I Ser A 7.10%          PFD QTR 30/360      302552203            108             5,400
Fairchild Corp. - Cl A                   Common Stock        303698104             36             5,340
Firstfed American Bancorp Inc.           Common Stock        337929103             17             1,560
First American Finl Corp                 Common Stock        318522307             20             1,400
Fairmarket Inc                           Common Stock        305158107             50             2,200
Federal Agricultural Mortgage            Common Stock        313148306             28             1,800
Fortis Amev N V Sponsored ADR            ADR                 34956J101             81             3,150
First Amern Scientific Corp              Foreign Stock       31846W102             14            25,000
Fastenal Co.                             Common Stock        311900104             31               650
First Australia Prime Income Fd          Common Stock        318653102            160            36,077
F N B Corp.                              Common Stock        302520101             57             3,092
First Bell Bancorp Inc.                  Common Stock        319301107              9               520
Fibercore Inc                            Common Stock        31563B109              7             1,200
Fidelity Bancorp Inc. DEL                Common Stock        31583B105              3               180
Fleet Boston Financial Corp.             Common Stock        339030108          7,605           208,350
Fleet Cap Tr Iv Toprs 7.17%              PFD QTR 30/360      33889R206              4               197
Furniture Brands Intl Inc.               Common Stock        360921100            259            13,765
Firstbank Corp Del                       Common Stock        33762X106             10             1,000
Friedman Billings Ramsey Grp Inc. CL A   Common Stock        358433100             35             3,200
Foster Brewing Group LTD                 Common Stock        Q3944W104              8             3,000
First Bankers Tr & Svgs Assoc            Common Stock        319285102              0                70
Franklin Covey Co.                       Common Stock        353469109             68             9,337
First Central Financial Corp             Common Stock        318908100              0             7,700
Forest City Enterprises Inc. Cl A        Common Stock        345550107             21               700
Frist Comwlth Finl Corp. PA              Common Stock        319829107             22             2,572
First Consulting Group Inc               Common Stock        31986R103             13               770
Fuelcell Energy Inc                      Common Stock        35952H106              8               100
Future Communications Inc                Common Stock        360906200              0               600
FCNB Corp.                               Common Stock        302920103            223            15,418
FCNB Capital Trust 8.25%                 PFD QTR 30/360      30243V204             53             2,550
First Ctzns Bancshares Inc. NC           Common Stock        31946M103             73             1,300
The First Commonwealth Fund Inc.         Common Stock        31983F102              3               349
Fairchild Semiconductor Intl             Common Stock        303726103            386            10,575
First Charter Corp.                      Common Stock        319439105            299            23,035
Freeport McMoran Copper And Gold         Common Stock        35671D857             45             3,713
Freeport McMoran Copper & Gold, Inc.     Common Stock        35671D105             14             1,288
Freeport McMoran Copper & Gold           Preferred Stock     35671D501              9               600
Freeport McMoran Copper & Gold Inc       PFD QTR 30/360      35671D865             42             3,400
Federated Department Stores              Common Stock        31410H101            981            23,507
First Data Corp.                         Common Stock        319963104          5,664           128,010
First Defiance Financial Corp.           Common Stock        32006W106              3               400
Fidelity Hldgs Inc Com New               Common Stock        31617J306              2               100
Family Dollar Stores Inc.                Common Stock        307000109            849            40,789
Fresh Del Monte Produce Inc              Common Stock        G36738105            134            15,805
Foundry Networks Inc                     Common Stock        35063R100          1,864            12,966
Factset Research System Inc.             Common Stock        303075105             34             1,255
Fedex Corp                               Common Stock        31428X106          4,796           122,975
Firstenergy Corp.                        Common Stock        337932107            182             8,807
First Ecom Com Inc                       Foreign Stock       32008N104             25             1,000

                        Item 1:                      Item 6:                Item 7:              Item 8:
                    Name of Issuer             Investment Discretion         Other        Voting Authority (Shares)
                                         (a) Sole (b)Shared as (c)Shared    Managers   (a) Sole  (b) Shared  (c) None
                                                       Def        Other
- --------------------------------------------------------------------------------------------------------------------
Ethyl Corp.                                            X                                   0          7,054      0
Entergy Gulf States Utilities Inc. 7.5                 X                                   0            265      0
Entergy La Inc                                         X                                   0             50      0
Entergy La Inc                                         X                                   0            400      0
Ezenia! Inc                                            X                                   0          3,000      0
Ford Motor Co.                                         X                                   0        413,571      0
Ford Motor Co-Dep Shs-Repstg 1/2000th                  X                                   0            250      0
Ford Motor Co Cap Tr I TOPRS 9.00% PFD                 X                                   0          1,150      0
FPC Capital Trust I Ser A 7.10%                        X                                   0          5,400      0
Fairchild Corp. - Cl A                                 X                                   0          5,340      0
Firstfed American Bancorp Inc.                         X                                   0          1,560      0
First American Finl Corp                               X                                   0          1,400      0
Fairmarket Inc                                         X                                   0          2,200      0
Federal Agricultural Mortgage                          X                                   0          1,800      0
Fortis Amev N V Sponsored ADR                          X                                   0          3,150      0
First Amern Scientific Corp                            X                                   0         25,000      0
Fastenal Co.                                           X                                   0            650      0
First Australia Prime Income Fd                        X                                   0         36,077      0
F N B Corp.                                            X                                   0          3,092      0
First Bell Bancorp Inc.                                X                                   0            520      0
Fibercore Inc                                          X                                   0          1,200      0
Fidelity Bancorp Inc. DEL                              X                                   0            180      0
Fleet Boston Financial Corp.                           X                                   0        208,350      0
Fleet Cap Tr Iv Toprs 7.17%                            X                                   0            197      0
Furniture Brands Intl Inc.                             X                                   0         13,765      0
Firstbank Corp Del                                     X                                   0          1,000      0
Friedman Billings Ramsey Grp Inc. CL A                 X                                   0          3,200      0
Foster Brewing Group LTD                               X                                   0          3,000      0
First Bankers Tr & Svgs Assoc                          X                                   0             70      0
Franklin Covey Co.                                     X                                   0          9,337      0
First Central Financial Corp                           X                                   0          7,700      0
Forest City Enterprises Inc. Cl A                      X                                   0            700      0
Frist Comwlth Finl Corp. PA                            X                                   0          2,572      0
First Consulting Group Inc                             X                                   0            770      0
Fuelcell Energy Inc                                    X                                   0            100      0
Future Communications Inc                              X                                   0            600      0
FCNB Corp.                                             X                                   0         15,418      0
FCNB Capital Trust 8.25%                               X                                   0          2,550      0
First Ctzns Bancshares Inc. NC                         X                                   0          1,300      0
The First Commonwealth Fund Inc.                       X                                   0            349      0
Fairchild Semiconductor Intl                           X                                   0         10,575      0
First Charter Corp.                                    X                                   0         23,035      0
Freeport McMoran Copper And Gold                       X                                   0          3,713      0
Freeport McMoran Copper & Gold, Inc.                   X                                   0          1,288      0
Freeport McMoran Copper & Gold                         X                                   0            600      0
Freeport McMoran Copper & Gold Inc                     X                                   0          3,400      0
Federated Department Stores                            X                                   0         23,507      0
First Data Corp.                                       X                                   0        128,010      0
First Defiance Financial Corp.                         X                                   0            400      0
Fidelity Hldgs Inc Com New                             X                                   0            100      0
Family Dollar Stores Inc.                              X                                   0         40,789      0
Fresh Del Monte Produce Inc                            X                                   0         15,805      0
Foundry Networks Inc                                   X                                   0         12,966      0
Factset Research System Inc.                           X                                   0          1,255      0
Fedex Corp                                             X                                   0        122,975      0
Firstenergy Corp.                                      X                                   0          8,807      0
First Ecom Com Inc                                     X                                   0          1,000      0
</TABLE>

<PAGE>


<TABLE>
<CAPTION>
            FORM 13F             NAME OF REPORTING MANAGER: LEGG MASON WOOD WALKER (IMS)                     Run Date: 04/13/2000
                                                            FOR POSITIONS HELD AS OF 03/31/2000              S.E.C. Use Only

                        Item 1:            Item 2:           Item 3:         Item 4:            Item 5:
                    Name of Issuer      Title of Class    CUSIP Number  Fair Market Value      Shares or
                                                                           (X $1000)         Principal Amt.

- -----------------------------------------------------------------------------------------------------------
<S>                                      <C>                 <C>                    <C>             <C>
Just For Feet, Inc.                      Common Stock        48213P106              1            10,475
Fletcher Chall Energy - ADR              ADR                 339318107             23             1,000
Frequency Electronics Inc                Common Stock        358010106             64             3,500
Franklin Electric Inc.                   Common Stock        353514102         12,160           190,371
Feminique Corp                           Common Stock        31446Q109              5            40,000
Forcenergy Inc.                          Common Stock        345206106              1             2,500
First Essex Bancorp Inc.                 Common Stock        320103104              5               300
First Financial Fund Inc.                Common Stock        320228109             30             3,809
Franchise Finance Corp. of America       Common Stock        351807102            892            38,346
First Finl Bancorp                       Common Stock        320209109              5               290
North Central Bancshares Inc.            Common Stock        658418108              9               680
Fidelity Capital Trust I 8.375% PFD      PFD QTR 30/360      315931204             53             7,000
Farm Family Holdings Inc.                Common Stock        307901108             25               836
FSF Financial Corp.                      Common Stock        30262K105              5               440
Flushing Financial Corp.                 Common Stock        343873105              6               415
First Financial Bankshares Inc.          Common Stock        32020R109             31             1,184
F5 Networks Inc                          Common Stock        315616102            422             6,231
FFLC Bancorp Inc.                        Common Stock        30242W104             11             1,000
Fletcher Challenge Ltd Forest            ADR                 339324402             17             6,000
4Front Technologies Inc                  Common Stock        351042106             25             1,225
FFY Financial Corp                       Common Stock        30242U108             59             5,500
Family Golf Centers Inc.                 Common Stock        30701A106              0               400
Flight Intl Group Inc New                Common Stock        33941M104              0                10
Friede Goldman Intl Inc                  Common Stock        358430106            155            22,576
First Geneva Corp.                       Common Stock        320351109              0               347
First Health Group Corp.                 Common Stock        320960107            660            20,871
Founder Hong Kong Ltd                    Common Stock        Y2618P107             13            13,000
Foundation Health Systems                Common Stock        350404109            120            15,026
First Natl Bk Elmer N J                  Common Stock        326513108              8               200
Osicom Technologies Inc.                 Common Stock        688271501            147             1,306
Fair Isaac & Co Inc.                     Common Stock        303250104            449            11,561
Federated Investors Inc ( PA ) Cl B      Common Stock        314211103            353            12,920
Intelefilm Corp                          Common Stock        458147105              9             2,500
Fischer Imaging Corp                     Common Stock        337719108             38            10,000
Fixdex.Com Inc.                          Common Stock        33831D107            164            20,500
Fine Host Corp                           Common Stock        317832103              0             2,850
Fiserv Inc.                              Common Stock        337738108             30               820
FAB Inds Inc.                            Common Stock        302747100             10               982
Fifth Third Bancorp                      Common Stock        316773100          3,618            57,429
Comfort Systems USA Inc                  Common Stock        199908104             15             2,400
Fort James Corp.                         Common Stock        347471104             90             4,097
Fedders Corp                             Common Stock        313135105              4               800
Fujitsu Ltd                              ADR                 359590304            152               990
Frankfort First Bancorp Inc.             Common Stock        352128201              5               410
First Keystone Corp                      Common Stock        320654205             70             3,600
Florida East Coast Inds Inc              Common Stock        340632108            393             8,100
R & B Falcon Corp.                       Common Stock        74912E101            843            42,802
Fleetwood Enterprises Inc.               Common Stock        339099103             66             4,460
Flextronics International Ltd            Common Stock        Y2573F102         14,630           207,705
Fila Holdings SPA American               ADR                 316850106              7             1,000
Fleming Companies, Inc.                  Common Stock        339130106              6               400
Flowers Inds Inc.                        Common Stock        343496105            158            10,435
Flow Intl Corp.                          Common Stock        343468104             41             3,500
Fluor Corp.                              Common Stock        343861100            188             6,050
Flowserve Corp.                          Common Stock        34354P105             52             4,000
Fleet Capital Tr III-7.05% Cum PFD       PFD QTR 30/360      33889N205             63             3,100
1 800 Flowers Com                        Common Stock        68243Q106             24             3,400

                        Item 1:                      Item 6:                Item 7:              Item 8:
                    Name of Issuer             Investment Discretion         Other        Voting Authority (Shares)
                                         (a) Sole (b)Shared as (c)Shared    Managers   (a) Sole  (b) Shared  (c) None
                                                       Def        Other
- --------------------------------------------------------------------------------------------------------------------
Just For Feet, Inc.                                    X                                   0         10,475      0
Fletcher Chall Energy - ADR                            X                                   0          1,000      0
Frequency Electronics Inc                              X                                   0          3,500      0
Franklin Electric Inc.                                 X                                   0        190,371      0
Feminique Corp                                         X                                   0         40,000      0
Forcenergy Inc.                                        X                                   0          2,500      0
First Essex Bancorp Inc.                               X                                   0            300      0
First Financial Fund Inc.                              X                                   0          3,809      0
Franchise Finance Corp. of America                     X                                   0         38,346      0
First Finl Bancorp                                     X                                   0            290      0
North Central Bancshares Inc.                          X                                   0            680      0
Fidelity Capital Trust I 8.375% PFD                    X                                   0          7,000      0
Farm Family Holdings Inc.                              X                                   0            836      0
FSF Financial Corp.                                    X                                   0            440      0
Flushing Financial Corp.                               X                                   0            415      0
First Financial Bankshares Inc.                        X                                   0          1,184      0
F5 Networks Inc                                        X                                   0          6,231      0
FFLC Bancorp Inc.                                      X                                   0          1,000      0
Fletcher Challenge Ltd Forest                          X                                   0          6,000      0
4Front Technologies Inc                                X                                   0          1,225      0
FFY Financial Corp                                     X                                   0          5,500      0
Family Golf Centers Inc.                               X                                   0            400      0
Flight Intl Group Inc New                              X                                   0             10      0
Friede Goldman Intl Inc                                X                                   0         22,576      0
First Geneva Corp.                                     X                                   0            347      0
First Health Group Corp.                               X                                   0         20,871      0
Founder Hong Kong Ltd                                  X                                   0         13,000      0
Foundation Health Systems                              X                                   0         15,026      0
First Natl Bk Elmer N J                                X                                   0            200      0
Osicom Technologies Inc.                               X                                   0          1,306      0
Fair Isaac & Co Inc.                                   X                                   0         11,561      0
Federated Investors Inc ( PA ) Cl B                    X                                   0         12,920      0
Intelefilm Corp                                        X                                   0          2,500      0
Fischer Imaging Corp                                   X                                   0         10,000      0
Fixdex.Com Inc.                                        X                                   0         20,500      0
Fine Host Corp                                         X                                   0          2,850      0
Fiserv Inc.                                            X                                   0            820      0
FAB Inds Inc.                                          X                                   0            982      0
Fifth Third Bancorp                                    X                                   0         57,429      0
Comfort Systems USA Inc                                X                                   0          2,400      0
Fort James Corp.                                       X                                   0          4,097      0
Fedders Corp                                           X                                   0            800      0
Fujitsu Ltd                                            X                                   0            990      0
Frankfort First Bancorp Inc.                           X                                   0            410      0
First Keystone Corp                                    X                                   0          3,600      0
Florida East Coast Inds Inc                            X                                   0          8,100      0
R & B Falcon Corp.                                     X                                   0         42,802      0
Fleetwood Enterprises Inc.                             X                                   0          4,460      0
Flextronics International Ltd                          X                                   0        207,705      0
Fila Holdings SPA American                             X                                   0          1,000      0
Fleming Companies, Inc.                                X                                   0            400      0
Flowers Inds Inc.                                      X                                   0         10,435      0
Flow Intl Corp.                                        X                                   0          3,500      0
Fluor Corp.                                            X                                   0          6,050      0
Flowserve Corp.                                        X                                   0          4,000      0
Fleet Capital Tr III-7.05% Cum PFD                     X                                   0          3,100      0
1 800 Flowers Com                                      X                                   0          3,400      0
</TABLE>

<PAGE>


<TABLE>
<CAPTION>
            FORM 13F             NAME OF REPORTING MANAGER: LEGG MASON WOOD WALKER (IMS)                     Run Date: 04/13/2000
                                                            FOR POSITIONS HELD AS OF 03/31/2000              S.E.C. Use Only

                        Item 1:            Item 2:           Item 3:         Item 4:            Item 5:
                    Name of Issuer      Title of Class    CUSIP Number  Fair Market Value      Shares or
                                                                           (X $1000)         Principal Amt.

- -----------------------------------------------------------------------------------------------------------
<S>                                      <C>                 <C>                    <C>             <C>
Fracmaster Ltd                           Foreign Stock       351906102              0            10,000
First Mariner Bancorp Inc.               Common Stock        320795107             41             6,505
F & M Bancorp                            Common Stock        302367107             79             4,394
FMC Corp.                                Common Stock        302491303            177             3,140
Firstmerit Corp.                         Common Stock        337915102             55             2,985
Firstmerit Corp Ser B                    Preferred Stock     337915201             23               500
Franklin Multi-Income Trust              Common Stock        354021107             26             3,775
Freemarkets Inc                          Common Stock        356602102             91               750
F & M National Corp.                     Common Stock        302374103            126             5,715
Federal Mogul Corp.                      Common Stock        313549107            334            20,000
Freeport-McMoran Oil & Gas Royalty Tr    LTD Part  P12       356713107              0                40
Fresenius Medical Care                   ADR                 358029106              6               255
Fremont General Corp.                    Common Stock        357288109             17             2,660
F N B Corp. VA                           Common Stock        302930102             30             1,782
First Intl Bancorp Inc                   Common Stock        32054Q100              7             1,000
Fidelity National Financial Inc.         Common Stock        316326107            304            22,010
Franklin Financial Corp - Tenn           Common Stock        353523103            537           136,397
Finet Holdings Corp New                  Common Stock        317922300              3             2,000
Fannie Mae                               Common Stock        313586109         31,719           562,009
Fannie Mae 6.50 Non -Cum PFD Ser B       PFD QTR 30/360      313586307              5               100
Franco Nev Mng Ltd                       Common Stock        351860101             74             7,000
Finisar Corp                             Common Stock        31787A101          1,556            10,617
Finova Group Inc.                        Common Stock        317928109          1,816           107,996
Finvest Pls                              Foreign Stock       X2864M114             98            28,000
Fortune Brands Inc.                      Common Stock        349631101            810            32,397
Boyds Collection Ltd                     Common Stock        103354106             12             2,000
Focal Inc                                Common Stock        343909107             10             1,200
Ferro Corp.                              Common Stock        315405100            767            43,085
Sprint Corp. (FON Group)                 Common Stock        852061100          9,314           147,842
Fonar Corp.                              Common Stock        344437108             10             3,000
Fonix Corp Del                           Common Stock        34459U108              4             2,000
Jetform Corporation                      Common Stock        477155105             11             1,500
Forrester Resh Inc                       Common Stock        346563109            193             3,550
Formula Systems (1985) Ltd Adr           ADR                 346414105              3                50
Photoworks Inc                           Common Stock        71940B109             14             2,000
Four Media Co                            Common Stock        350872107             54             3,470
Fox Entertainment Group Inc              Common Stock        35138T107              6               200
Firstplus Financial Group Inc.           Common Stock        33763B103              0               500
First Pacific LTD ADR                    ADR                 335889200            336           138,760
FPA Medical Management Inc.              Common Stock        302543103              0             1,000
Florida Progress                         Common Stock        341109106            666            14,514
FPIC Insurance Group Inc.                Common Stock        302563101            611            34,900
First Natl Bk Polk Cnty Fla              Common Stock        32106L109              0               200
FPL Group Inc.                           Common Stock        302571104            939            20,388
First Industrial Realty Trust            Common Stock        32054K103            264             9,700
First Ind Realty Trust Inc. 9.50% PFD    PFD QTR 30/360      32054K202              5               200
First Industrial Realty Tr Inc 7.95% D   PFD QTR 30/360      32054K806             22             1,200
First Industrial Realty Tr Inc           PFD QTR 30/360      32054K889             11               600
Republic First Bancorp Inc.              Common Stock        760416107              1               253
First Republic Bank                      Common Stock        336158100             20             1,000
Freddie Mac                              Common Stock        313400301         10,402           235,399
Freds Inc - Tenn Cl A                    Common Stock        356108100            122             7,985
France Growth Fd Inc.                    Common Stock        35177K108             81             4,944
Florida Rock Inds Inc.                   Common Stock        341140101             11               400
First Financial Corp. - Texas            Common Stock        320222102              0                59
Federal Realty Investment Trust          Common Stock        313747206            684            35,404
Fed Rlty Invs Tr 7.95% Perpetual PFD     PFD QTR 30/360      313747404              9               500

                        Item 1:                       Item 6:                Item 7:              Item 8:
                    Name of Issuer              Investment Discretion         Other        Voting Authority (Shares)
                                        . (a) Sole (b)Shared as (c)Shared    Managers   (a) Sole  (b) Shared  (c) None
                                                        Def        Other
- ---------------------------------------------------------------------------------------------------------------------
Fracmaster Ltd                                          X                                   0         10,000      0
First Mariner Bancorp Inc.                              X                                   0          6,505      0
F & M Bancorp                                           X                                   0          4,394      0
FMC Corp.                                               X                                   0          3,140      0
Firstmerit Corp.                                        X                                   0          2,985      0
Firstmerit Corp Ser B                                   X                                   0            500      0
Franklin Multi-Income Trust                             X                                   0          3,775      0
Freemarkets Inc                                         X                                   0            750      0
F & M National Corp.                                    X                                   0          5,715      0
Federal Mogul Corp.                                     X                                   0         20,000      0
Freeport-McMoran Oil & Gas Royalty Tr                   X                                   0             40      0
Fresenius Medical Care                                  X                                   0            255      0
Fremont General Corp.                                   X                                   0          2,660      0
F N B Corp. VA                                          X                                   0          1,782      0
First Intl Bancorp Inc                                  X                                   0          1,000      0
Fidelity National Financial Inc.                        X                                   0         22,010      0
Franklin Financial Corp - Tenn                          X                                   0        136,397      0
Finet Holdings Corp New                                 X                                   0          2,000      0
Fannie Mae                                              X                                   0        562,009      0
Fannie Mae 6.50 Non -Cum PFD Ser B                      X                                   0            100      0
Franco Nev Mng Ltd                                      X                                   0          7,000      0
Finisar Corp                                            X                                   0         10,617      0
Finova Group Inc.                                       X                                   0        107,996      0
Finvest Pls                                             X                                   0         28,000      0
Fortune Brands Inc.                                     X                                   0         32,397      0
Boyds Collection Ltd                                    X                                   0          2,000      0
Focal Inc                                               X                                   0          1,200      0
Ferro Corp.                                             X                                   0         43,085      0
Sprint Corp. (FON Group)                                X                                   0        147,842      0
Fonar Corp.                                             X                                   0          3,000      0
Fonix Corp Del                                          X                                   0          2,000      0
Jetform Corporation                                     X                                   0          1,500      0
Forrester Resh Inc                                      X                                   0          3,550      0
Formula Systems (1985) Ltd Adr                          X                                   0             50      0
Photoworks Inc                                          X                                   0          2,000      0
Four Media Co                                           X                                   0          3,470      0
Fox Entertainment Group Inc                             X                                   0            200      0
Firstplus Financial Group Inc.                          X                                   0            500      0
First Pacific LTD ADR                                   X                                   0        138,760      0
FPA Medical Management Inc.                             X                                   0          1,000      0
Florida Progress                                        X                                   0         14,514      0
FPIC Insurance Group Inc.                               X                                   0         34,900      0
First Natl Bk Polk Cnty Fla                             X                                   0            200      0
FPL Group Inc.                                          X                                   0         20,388      0
First Industrial Realty Trust                           X                                   0          9,700      0
First Ind Realty Trust Inc. 9.50% PFD                   X                                   0            200      0
First Industrial Realty Tr Inc 7.95% D                  X                                   0          1,200      0
First Industrial Realty Tr Inc                          X                                   0            600      0
Republic First Bancorp Inc.                             X                                   0            253      0
First Republic Bank                                     X                                   0          1,000      0
Freddie Mac                                             X                                   0        235,399      0
Freds Inc - Tenn Cl A                                   X                                   0          7,985      0
France Growth Fd Inc.                                   X                                   0          4,944      0
Florida Rock Inds Inc.                                  X                                   0            400      0
First Financial Corp. - Texas                           X                                   0             59      0
Federal Realty Investment Trust                         X                                   0         35,404      0
Fed Rlty Invs Tr 7.95% Perpetual PFD                    X                                   0            500      0
</TABLE>

<PAGE>


<TABLE>
<CAPTION>
            FORM 13F             NAME OF REPORTING MANAGER: LEGG MASON WOOD WALKER (IMS)                     Run Date: 04/13/2000
                                                            FOR POSITIONS HELD AS OF 03/31/2000              S.E.C. Use Only

                        Item 1:            Item 2:           Item 3:         Item 4:            Item 5:
                    Name of Issuer      Title of Class    CUSIP Number  Fair Market Value      Shares or
                                                                           (X $1000)         Principal Amt.

- -----------------------------------------------------------------------------------------------------------
<S>                                      <C>                 <C>                    <C>             <C>
Fortress Group Inc.                      Common Stock        34956K108             21            21,100
First Washington Realty Trust            Common Stock        337489504             26             1,400
Forest Labs Inc.                         Common Stock        345838106            249             2,950
Four Seasons Hotels Inc. Limited         Common Stock        35100E104            164             3,630
Financial Security Assurance             Common Stock        31769P100            871            11,860
Fidelity Bancorp                         Common Stock        315831107             71             5,703
First Security Corp.                     Common Stock        336294103             36             3,000
Fastcomm Communications                  Common Stock        311871107              8             2,000
FSA 6.95% Sr Quids                       Preferred Stock     31769P308             35             1,700
Fourth Shift Corp                        Common Stock        351128103             13             2,000
Fischer Scientific Intl Inc.             Common Stock        338032204             32               725
Freeshop Com Inc                         Common Stock        356873109             12               600
Freedom Securities Corp                  Common Stock        35644K103              3               215
FSI International, Incorporated          Common Stock        302633102             23             1,100
First Sentinel Bancorp Inc               Common Stock        33640T103             14             1,760
First Natl Lincol Corp                   Common Stock        335716106             30             2,000
Fresenius National Medical Care          Preferred Stock     358030203              0               956
Five Star Products Inc                   Common Stock        33831M107              0               125
Firstar Corporation                      Common Stock        33763V109          1,191            51,918
Firstservice Corp. Sub-Vtg Shs           Foreign Stock       33761N109             64             5,800
Federal Signal Corp.                     Common Stock        313855108          1,166            64,577
Forest Oil Corp                          Common Stock        346091606             74             7,000
First Southern Bancshares Inc            Common Stock        33645B107              5               500
Firstwave Technologies Inc               Common Stock        33762N108             39             3,250
Franklin Unvl Tr Sh Ben Int              Common Stock        355145103             10             1,500
Frontier Finl Corp Wash                  Common Stock        35907K105             20             1,080
Fort Dearborn Income Secs Inc.           Common Stock        347200107              1               100
FTI Consulting Inc.                      Common Stock        302941109            200            30,131
Fruit of the Loom INC Cl-A               Common Stock        G3682L105             15            12,710
First Tennessee                          Common Stock        337162101          1,924            94,735
Frontier Insurance Group Inc.            Common Stock        359081106              4             4,210
Footstar Inc.                            Common Stock        344912100             46             1,611
First Union Corp.                        Common Stock        337358105         16,926           454,377
Fuji Heavy Industries Ltd.               ADR                 359556206            103             1,270
H B Fuller Co                            Common Stock        359694106              4                95
Fulton Financial Corp.                   Common Stock        360271100            765            36,343
Cedar Fair, L.P. Dep Rec                 Common Stock        150185106            124             6,242
First VA Banks Inc.                      Common Stock        337477103            370             9,857
First Va Banks Inc                       PreferdStk Conv     337477202              1                 5
FVC Com Inc.                             Common Stock        30266P100             18             1,000
Fahnstock Viner Hldgs CL A               Common Stock        302921101             24             1,400
Foster Wheeler Corp.                     Common Stock        350244109             25             3,700
Fw Pfd Cap Tr I 9% PFD                   PFD QTR 30/360      302684204             12               750
First West Chester Corp.                 Common Stock        337492102              6               400
Financialweb Com Inc                     Common Stock        31770Y108              8             1,000
Freewest Res Cda Inc                     Foreign Stock       356904102              8            10,000
Freddie Mac 6.688% 1998 Ser A            PFD Semi 30/360     313400871            789            34,300
Firstworld Communications Inc            Common Stock        337625305              2                80
Forward Air Corporation                  Common Stock        349853101             30             1,264
First W Va Bancorp Inc                   Common Stock        337493100            107             6,900
First Washington Bancorp Inc             Common Stock        33748T104              9               500
First Exploration Co                     Common Stock        320138100              0               200
F Y I Inc                                Common Stock        302712104             14               520
Gillette Co.                             Common Stock        375766102         14,065           373,200
Grant Prideco Inc                        Common Stock        38821G101             26             1,360
Gabelli Equity Tr Inc.                   Common Stock        362397101            254            20,986
GA Financial Inc.                        Common Stock        361437106              2               175

                        Item 1:                      Item 6:                Item 7:              Item 8:
                    Name of Issuer             Investment Discretion         Other        Voting Authority (Shares)
                                         (a) Sole (b)Shared as (c)Shared    Managers   (a) Sole  (b) Shared  (c) None
                                                       Def        Other
- --------------------------------------------------------------------------------------------------------------------
Fortress Group Inc.                                    X                                   0         21,100      0
First Washington Realty Trust                          X                                   0          1,400      0
Forest Labs Inc.                                       X                                   0          2,950      0
Four Seasons Hotels Inc. Limited                       X                                   0          3,630      0
Financial Security Assurance                           X                                   0         11,860      0
Fidelity Bancorp                                       X                                   0          5,703      0
First Security Corp.                                   X                                   0          3,000      0
Fastcomm Communications                                X                                   0          2,000      0
FSA 6.95% Sr Quids                                     X                                   0          1,700      0
Fourth Shift Corp                                      X                                   0          2,000      0
Fischer Scientific Intl Inc.                           X                                   0            725      0
Freeshop Com Inc                                       X                                   0            600      0
Freedom Securities Corp                                X                                   0            215      0
FSI International, Incorporated                        X                                   0          1,100      0
First Sentinel Bancorp Inc                             X                                   0          1,760      0
First Natl Lincol Corp                                 X                                   0          2,000      0
Fresenius National Medical Care                        X                                   0            956      0
Five Star Products Inc                                 X                                   0            125      0
Firstar Corporation                                    X                                   0         51,918      0
Firstservice Corp. Sub-Vtg Shs                         X                                   0          5,800      0
Federal Signal Corp.                                   X                                   0         64,577      0
Forest Oil Corp                                        X                                   0          7,000      0
First Southern Bancshares Inc                          X                                   0            500      0
Firstwave Technologies Inc                             X                                   0          3,250      0
Franklin Unvl Tr Sh Ben Int                            X                                   0          1,500      0
Frontier Finl Corp Wash                                X                                   0          1,080      0
Fort Dearborn Income Secs Inc.                         X                                   0            100      0
FTI Consulting Inc.                                    X                                   0         30,131      0
Fruit of the Loom INC Cl-A                             X                                   0         12,710      0
First Tennessee                                        X                                   0         94,735      0
Frontier Insurance Group Inc.                          X                                   0          4,210      0
Footstar Inc.                                          X                                   0          1,611      0
First Union Corp.                                      X                                   0        454,377      0
Fuji Heavy Industries Ltd.                             X                                   0          1,270      0
H B Fuller Co                                          X                                   0             95      0
Fulton Financial Corp.                                 X                                   0         36,343      0
Cedar Fair, L.P. Dep Rec                               X                                   0          6,242      0
First VA Banks Inc.                                    X                                   0          9,857      0
First Va Banks Inc                                     X                                   0              5      0
FVC Com Inc.                                           X                                   0          1,000      0
Fahnstock Viner Hldgs CL A                             X                                   0          1,400      0
Foster Wheeler Corp.                                   X                                   0          3,700      0
Fw Pfd Cap Tr I 9% PFD                                 X                                   0            750      0
First West Chester Corp.                               X                                   0            400      0
Financialweb Com Inc                                   X                                   0          1,000      0
Freewest Res Cda Inc                                   X                                   0         10,000      0
Freddie Mac 6.688% 1998 Ser A                          X                                   0         34,300      0
Firstworld Communications Inc                          X                                   0             80      0
Forward Air Corporation                                X                                   0          1,264      0
First W Va Bancorp Inc                                 X                                   0          6,900      0
First Washington Bancorp Inc                           X                                   0            500      0
First Exploration Co                                   X                                   0            200      0
F Y I Inc                                              X                                   0            520      0
Gillette Co.                                           X                                   0        373,200      0
Grant Prideco Inc                                      X                                   0          1,360      0
Gabelli Equity Tr Inc.                                 X                                   0         20,986      0
GA Financial Inc.                                      X                                   0            175      0
</TABLE>

<PAGE>


<TABLE>
<CAPTION>
            FORM 13F             NAME OF REPORTING MANAGER: LEGG MASON WOOD WALKER (IMS)                     Run Date: 04/13/2000
                                                            FOR POSITIONS HELD AS OF 03/31/2000              S.E.C. Use Only

                        Item 1:            Item 2:           Item 3:         Item 4:            Item 5:
                    Name of Issuer      Title of Class    CUSIP Number  Fair Market Value      Shares or
                                                                           (X $1000)         Principal Amt.

- -----------------------------------------------------------------------------------------------------------
<S>                                      <C>                 <C>                    <C>             <C>
Greater Atlantic Financial               Common Stock        391601101            250            69,075
Gaiam Inc Cl A                           Common Stock        36268Q103              2               100
Great Atla & Pac Tea Co                  PFD QTR 30/360      390064202            218            10,000
Galileo Technology Ltd.                  Foreign Stock       M47298100             18             1,000
Gametek, Inc.                            Common Stock        36465R102              0             1,000
Garan Inc.                               Common Stock        364802108              8               300
Gandalf Technologies Inc.                Common Stock        364717108              0               700
Gs Telecom Ltd                           Common Stock        36228N109              0               250
Nicor Inc.                               Common Stock        654086107             35             1,050
American Res Offshore Inc                Common Stock        029280104              0             3,000
Grief Bros Corp. Cl A                    Common Stock        397624107            124             3,883
Grubb & Ellis Co                         Common Stock        400095204             78            13,910
Globix Corp.                             Common Stock        37957F101             88             2,302
Gabelli Asset Mgmt Inc                   Common Stock        36239Y102             10               565
Global Crossing Ltd.                     Common Stock        G3921A100          9,941           242,821
Gables Residential Trust Com             Common Stock        362418105            328            14,589
Gables Residential Trust 8.30% Cum Red   PFD QTR 30/360      362418204             88             4,800
Greenbrier Companies Inc.                Common Stock        393657101              3               375
Greate Bay Casino Corp.                  Common Stock        391546108              0               294
Grace Dev Inc                            Common Stock        383905106             23             5,000
Gannett Co                               Common Stock        364730101          5,670            80,565
Genesco Inc.                             Common Stock        371532102            615            46,855
Globecomm Systems Inc                    Common Stock        37956X103             27             1,000
GC Companies Inc                         Common Stock        36155Q109             87             2,500
General Dynamics Corp.                   Common Stock        369550108            587            11,805
Global Partners Income Fund              Common Stock        37935R102             26             2,500
Goodrich Petroleum Corp.                 Common Stock        382410405              0                12
Guidant Corp.                            Common Stock        401698105          1,683            28,622
General Development Corp                 Common Stock        369497102              0                17
Golden West Finl Corp. Del               Common Stock        381317106             44             1,425
General Electric Co.                     Common Stock        369604103        120,088           773,824
Geltex Pharmaceuticals Inc.              Common Stock        368538104              8               500
Glenayre Technologies Inc.               Common Stock        377899109            802            45,665
Genesee Corp. Cl B                       Common Stock        371601204              1                52
Genome Therapeutics Corp.                Common Stock        372430108             57             2,400
Genset Sa                                ADR                 37244T104             42             1,289
Genzyme Corp.-General Division           Common Stock        372917104          3,837            76,549
Geron Corp.                              Common Stock        374163103             69             2,490
Centais Geradoras Do Su - Spon ADR       ADR                 15235B100             71            13,556
Gaylord Entertainment Co                 Common Stock        367905106             46             1,688
Gexa Gold Corp                           Common Stock        374398105              0               500
New Germany Fund Inc.                    MutualFdEqClose     644465106             20             1,365
Grupo Financiero Bancomer L              Common Stock        P4949K146              0               185
Guilford Mills Inc.                      Common Stock        401794102              5               600
Griffon Corp.                            Common Stock        398433102          1,461           186,945
Grupo Financiero Banamex                 Foreign Stock       P0701E138             20             4,290
***Group Fin Banamex-AC Ser 'O'          Common Stock        P0701E195              7             1,500
Grupo Financiero Bancomer Ser O          Foreign Stock       P4949K179              4             8,000
Great Am Bk Fed Svgbk Sandiego           Common Stock        389908104              0               400
PLM Equipment Growth Fund V              Common Stock        69341H402              4             1,250
PLM Equipment Growth Fund Dep Units      Common Stock        693413106              4             2,239
Plm Equip Growth Fd Ii                   LTD Part P1         693414104              1               575
Georgia Gulf Corp.                       Common Stock        373200203            115             4,440
Galagen Inc.                             Common Stock        362913105             13             5,000
Graco Inc.                               Common Stock        384109104             35             1,200
Geographics Inc                          Foreign Stock       37246V107              1             1,000
Genus Inc                                Common Stock        372461103             21             1,500

                        Item 1:                      Item 6:                Item 7:              Item 8:
                    Name of Issuer             Investment Discretion         Other        Voting Authority (Shares)
                                         (a) Sole (b)Shared as (c)Shared    Managers   (a) Sole  (b) Shared  (c) None
                                                       Def        Other
- --------------------------------------------------------------------------------------------------------------------
Greater Atlantic Financial                             X                                   0         69,075      0
Gaiam Inc Cl A                                         X                                   0            100      0
Great Atla & Pac Tea Co                                X                                   0         10,000      0
Galileo Technology Ltd.                                X                                   0          1,000      0
Gametek, Inc.                                          X                                   0          1,000      0
Garan Inc.                                             X                                   0            300      0
Gandalf Technologies Inc.                              X                                   0            700      0
Gs Telecom Ltd                                         X                                   0            250      0
Nicor Inc.                                             X                                   0          1,050      0
American Res Offshore Inc                              X                                   0          3,000      0
Grief Bros Corp. Cl A                                  X                                   0          3,883      0
Grubb & Ellis Co                                       X                                   0         13,910      0
Globix Corp.                                           X                                   0          2,302      0
Gabelli Asset Mgmt Inc                                 X                                   0            565      0
Global Crossing Ltd.                                   X                                   0        242,821      0
Gables Residential Trust Com                           X                                   0         14,589      0
Gables Residential Trust 8.30% Cum Red                 X                                   0          4,800      0
Greenbrier Companies Inc.                              X                                   0            375      0
Greate Bay Casino Corp.                                X                                   0            294      0
Grace Dev Inc                                          X                                   0          5,000      0
Gannett Co                                             X                                   0         80,565      0
Genesco Inc.                                           X                                   0         46,855      0
Globecomm Systems Inc                                  X                                   0          1,000      0
GC Companies Inc                                       X                                   0          2,500      0
General Dynamics Corp.                                 X                                   0         11,805      0
Global Partners Income Fund                            X                                   0          2,500      0
Goodrich Petroleum Corp.                               X                                   0             12      0
Guidant Corp.                                          X                                   0         28,622      0
General Development Corp                               X                                   0             17      0
Golden West Finl Corp. Del                             X                                   0          1,425      0
General Electric Co.                                   X                                   0        773,824      0
Geltex Pharmaceuticals Inc.                            X                                   0            500      0
Glenayre Technologies Inc.                             X                                   0         45,665      0
Genesee Corp. Cl B                                     X                                   0             52      0
Genome Therapeutics Corp.                              X                                   0          2,400      0
Genset Sa                                              X                                   0          1,289      0
Genzyme Corp.-General Division                         X                                   0         76,549      0
Geron Corp.                                            X                                   0          2,490      0
Centais Geradoras Do Su - Spon ADR                     X                                   0         13,556      0
Gaylord Entertainment Co                               X                                   0          1,688      0
Gexa Gold Corp                                         X                                   0            500      0
New Germany Fund Inc.                                  X                                   0          1,365      0
Grupo Financiero Bancomer L                            X                                   0            185      0
Guilford Mills Inc.                                    X                                   0            600      0
Griffon Corp.                                          X                                   0        186,945      0
Grupo Financiero Banamex                               X                                   0          4,290      0
***Group Fin Banamex-AC Ser 'O'                        X                                   0          1,500      0
Grupo Financiero Bancomer Ser O                        X                                   0          8,000      0
Great Am Bk Fed Svgbk Sandiego                         X                                   0            400      0
PLM Equipment Growth Fund V                            X                                   0          1,250      0
PLM Equipment Growth Fund Dep Units                    X                                   0          2,239      0
Plm Equip Growth Fd Ii                                 X                                   0            575      0
Georgia Gulf Corp.                                     X                                   0          4,440      0
Galagen Inc.                                           X                                   0          5,000      0
Graco Inc.                                             X                                   0          1,200      0
Geographics Inc                                        X                                   0          1,000      0
Genus Inc                                              X                                   0          1,500      0
</TABLE>

<PAGE>


<TABLE>
<CAPTION>
            FORM 13F             NAME OF REPORTING MANAGER: LEGG MASON WOOD WALKER (IMS)                     Run Date: 04/13/2000
                                                            FOR POSITIONS HELD AS OF 03/31/2000              S.E.C. Use Only

                        Item 1:            Item 2:           Item 3:         Item 4:            Item 5:
                    Name of Issuer      Title of Class    CUSIP Number  Fair Market Value      Shares or
                                                                           (X $1000)         Principal Amt.

- -----------------------------------------------------------------------------------------------------------
<S>                                      <C>                 <C>                    <C>             <C>
General Growth Properties, Inc.          Common Stock        370021107             33             1,100
Grant Geophysical Inc                    PFD QTR 30/360      388085201              1               500
Gabelli Global Multimedia Tr             Common Stock        36239Q109              3               186
Gabelli Global Multi Media Tr Inc.       PFD QTR 30/360      36239Q208              9               400
Global High Income Dollar Fund Inc.      Common Stock        37933G108             18             1,500
Invesco Global Health Sciences Fund      MutualFdEqClose     46128N109            587            34,429
Genesis Health Ventures Inc.             Common Stock        371912106              4             5,900
Gilat Communications Ltd.                Foreign Stock       M50876107             11               400
Gilead Sciences Inc.                     Common Stock        375558103             38               600
Gil Med Industries Inc                   Common Stock        375185105              0             2,000
Gilat Satellite Networks Ltd Ord         Common Stock        M51474100            353             3,012
General Mills Inc.                       Common Stock        370334104          1,300            35,918
Glenborough Realty Trust Inc.            Common Stock        37803P105            128             8,800
Global Industries Ltd                    Common Stock        379336100            177            12,085
Global Net Financial.com Inc New         Common Stock        37937R209            174             4,850
Galileo International Inc.               Common Stock        363547100             73             3,040
Greenland Corp- New                      Common Stock        39530P200              2             3,000
GBCI  Cap Tr II Pfd Secs                 PFD QTR 30/360      360932206              9               500
Greenleaf Technologies Corp              Common Stock        395356108             65            32,200
Guilford Pharmaceutical Inc.             Common Stock        401829106             82             3,520
Glamis Gold Ltd.                         Common Stock        376775102              2             1,300
Gene Logic Inc.                          Common Stock        368689105            198             4,704
Gallaher Group PLC-Spon ADR              ADR                 363595109            207            10,518
Gliatech Inc                             Common Stock        37929C103             59             3,400
Great Lakes Chemical Corp.               Common Stock        390568103            665            19,545
Global Marine Inc.                       Common Stock        379352404          1,579            62,238
Global Media Corp                        Common Stock        37935A109              1               200
Glatfelter P H Co                        Common Stock        377316104            624            58,767
Corning Inc.                             Common Stock        219350105          9,905            51,057
Glaxo Wellcome PLC - Spons ADR           ADR                 37733W105          2,016            35,168
Genlyte Group Inc.                       Common Stock        372302109             86             4,400
General Motors Corp.                     Common Stock        370442105         21,634           261,237
General Motors Cap 9.87% Ser G           PFD QTR 30/360      370440208             10               400
Greg Manning Auctions Inc                Common Stock        563823103             16               800
Green Mtn Coffee Inc                     Common Stock        393122106              1               100
Grupo Mexicano De Desarrollo             ADR                 40048G203              1             4,000
Goodman Fielder Ltd Spons ADR            ADR                 382382208              6             1,900
General Magic Inc.                       Common Stock        370253106            197            22,000
General Motors Corp. - CL H New          Common Stock        370442832          4,329            34,769
Global Directmail Corp.                  Common Stock        871851101             15             1,600
Green Mountain                           Common Stock        393154109              1               100
Gulfmark Offshore Inc.                   Common Stock        402629109             77             3,720
Gemstar International Group LTD          Foreign Stock       G3788V106          1,622            18,856
Gatx Corp.                               Common Stock        361448103            274             7,204
Greenman Technologies Inc                Common Stock        395379308             22            37,000
Goznet Inc.                              Common Stock        383486107            100             1,240
Genelabs Technologies, Inc.              Common Stock        368706107             17             2,800
Genoil Inc                               Foreign Stock       371924101              2             3,350
Gensym Corporation                       Common Stock        37245R107              1               100
Genesis Microchip Inc.                   Common Stock        371933102             84             3,852
Genta Inc New                            Common Stock        37245M207             45             4,684
Gentex Corp.                             Common Stock        371901109            868            23,410
Genesee & Wyoming Inc Cl A               Common Stock        371559105              2               150
Go.Com                                   Common Stock        254687205             37             1,765
Graphon Corp                             Common Stock        388707101             23             1,150
Silverado Gold Mines Ltd                 Common Stock        827906207              0               215
Geotek Communications Inc.               Common Stock        373654102              0             6,450

                        Item 1:                      Item 6:                Item 7:              Item 8:
                    Name of Issuer             Investment Discretion         Other        Voting Authority (Shares)
                                         (a) Sole (b)Shared as (c)Shared    Managers   (a) Sole  (b) Shared  (c) None
                                                       Def        Other
- --------------------------------------------------------------------------------------------------------------------
General Growth Properties, Inc.                        X                                   0          1,100      0
Grant Geophysical Inc                                  X                                   0            500      0
Gabelli Global Multimedia Tr                           X                                   0            186      0
Gabelli Global Multi Media Tr Inc.                     X                                   0            400      0
Global High Income Dollar Fund Inc.                    X                                   0          1,500      0
Invesco Global Health Sciences Fund                    X                                   0         34,429      0
Genesis Health Ventures Inc.                           X                                   0          5,900      0
Gilat Communications Ltd.                              X                                   0            400      0
Gilead Sciences Inc.                                   X                                   0            600      0
Gil Med Industries Inc                                 X                                   0          2,000      0
Gilat Satellite Networks Ltd Ord                       X                                   0          3,012      0
General Mills Inc.                                     X                                   0         35,918      0
Glenborough Realty Trust Inc.                          X                                   0          8,800      0
Global Industries Ltd                                  X                                   0         12,085      0
Global Net Financial.com Inc New                       X                                   0          4,850      0
Galileo International Inc.                             X                                   0          3,040      0
Greenland Corp- New                                    X                                   0          3,000      0
GBCI  Cap Tr II Pfd Secs                               X                                   0            500      0
Greenleaf Technologies Corp                            X                                   0         32,200      0
Guilford Pharmaceutical Inc.                           X                                   0          3,520      0
Glamis Gold Ltd.                                       X                                   0          1,300      0
Gene Logic Inc.                                        X                                   0          4,704      0
Gallaher Group PLC-Spon ADR                            X                                   0         10,518      0
Gliatech Inc                                           X                                   0          3,400      0
Great Lakes Chemical Corp.                             X                                   0         19,545      0
Global Marine Inc.                                     X                                   0         62,238      0
Global Media Corp                                      X                                   0            200      0
Glatfelter P H Co                                      X                                   0         58,767      0
Corning Inc.                                           X                                   0         51,057      0
Glaxo Wellcome PLC - Spons ADR                         X                                   0         35,168      0
Genlyte Group Inc.                                     X                                   0          4,400      0
General Motors Corp.                                   X                                   0        261,237      0
General Motors Cap 9.87% Ser G                         X                                   0            400      0
Greg Manning Auctions Inc                              X                                   0            800      0
Green Mtn Coffee Inc                                   X                                   0            100      0
Grupo Mexicano De Desarrollo                           X                                   0          4,000      0
Goodman Fielder Ltd Spons ADR                          X                                   0          1,900      0
General Magic Inc.                                     X                                   0         22,000      0
General Motors Corp. - CL H New                        X                                   0         34,769      0
Global Directmail Corp.                                X                                   0          1,600      0
Green Mountain                                         X                                   0            100      0
Gulfmark Offshore Inc.                                 X                                   0          3,720      0
Gemstar International Group LTD                        X                                   0         18,856      0
Gatx Corp.                                             X                                   0          7,204      0
Greenman Technologies Inc                              X                                   0         37,000      0
Goznet Inc.                                            X                                   0          1,240      0
Genelabs Technologies, Inc.                            X                                   0          2,800      0
Genoil Inc                                             X                                   0          3,350      0
Gensym Corporation                                     X                                   0            100      0
Genesis Microchip Inc.                                 X                                   0          3,852      0
Genta Inc New                                          X                                   0          4,684      0
Gentex Corp.                                           X                                   0         23,410      0
Genesee & Wyoming Inc Cl A                             X                                   0            150      0
Go.Com                                                 X                                   0          1,765      0
Graphon Corp                                           X                                   0          1,150      0
Silverado Gold Mines Ltd                               X                                   0            215      0
Geotek Communications Inc.                             X                                   0          6,450      0
</TABLE>

<PAGE>


<TABLE>
<CAPTION>
            FORM 13F             NAME OF REPORTING MANAGER: LEGG MASON WOOD WALKER (IMS)                     Run Date: 04/13/2000
                                                            FOR POSITIONS HELD AS OF 03/31/2000              S.E.C. Use Only

                        Item 1:            Item 2:           Item 3:         Item 4:            Item 5:
                    Name of Issuer      Title of Class    CUSIP Number  Fair Market Value      Shares or
                                                                           (X $1000)         Principal Amt.

- ------------------------------------------------------------------------------------------------------------
<S>                                      <C>                 <C>                    <C>             <C>
Goto Com Inc                             Common Stock        38348T107            103             2,510
Gargoyles Inc                            Common Stock        366033108              2             4,000
Georgia-Pacific Corp.                    Common Stock        373298108          1,626            41,099
Greater Pac Bancshares                   Common Stock        392279105              0               750
Genuine Parts Co.                        Common Stock        372460105          2,492           104,388
Georgia Pwr Cap Tr Iv                    PFD QTR 30/360      37333R209             20             1,000
Gerogia Power Cap Trust I                Preferred Stock     373331206             45             2,000
Georgia Power Capital Tr III 7.75% PFD   PFD QTR 30/360      373333202              5               200
Group 1 Automotive Inc.                  Common Stock        398905109             10               900
Giant Group Ltd                          Common Stock        374503100              1               300
Grupo Contl S A                          ADR                 40050H107              8               600
Gap Inc.                                 Common Stock        364760108          3,052            61,267
Great Plains Software                    Common Stock        39119E105              3                60
Greenpoint Financial Corp.               Common Stock        395384100            236            12,035
Global Payment Tech Inc                  Common Stock        37936S109            171            19,800
GPU Inc.                                 Common Stock        36225X100            200             7,296
Georgia Power Co 6.875% Senior Public    PFD QTR 30/360      373334564             39             1,950
GP Strategies Corp                       Common Stock        36225V104              1               125
Goodrich B.F. Co.                        Common Stock        382388106            806            28,086
Bfgoodrich Cap                           PFD QTR 30/360      05538W208             16               700
W.R. Grace & Co.                         Common Stock        38388F108            105             8,274
Bank Of Granite Corp                     Common Stock        062401104             29             1,439
Gerber Scientific Inc.                   Common Stock        373730100             12               612
Gensci Regeneration Sciences Inc.        Foreign Stock       37244V109              3             2,000
Grange National Banc Corp - PA           Common Stock        387026107              1                17
Gric Communications Inc                  Common Stock        398081109            324             9,600
Grand Metropolitan Delaware LP Cum Pfd   PFD QTR 30/360      386087209            146             5,700
Green Oasis Environmental Inc            Common Stock        393177100              0             1,000
Mississippi Chemical Corp                Common Stock        605288208              3               500
Grossmans Inc                            Common Stock        399215102              0             1,500
Glimcher Realty Trust                    Common Stock        379302102            290            21,450
Glimcher Realty Trust 9.25% Cum Red      PFD QTR 30/360      379302201            150            10,200
Goldman Sachs Group Inc                  Common Stock        38141G104          2,791            26,550
Golden State Bancorp                     Common Stock        381197102              4               261
GS Financial Corp.                       Common Stock        362274102              2               200
GSI Lumonics Inc                         Common Stock        36229U102              9               512
Globespan Semiconductor Inc              Common Stock        379571102            122             1,200
Golden Star Resources Ltd                Common Stock        38119T104              0               200
GST Telecommunications Inc.              Foreign Stock       361942105             67            11,000
Globalstar Telecommunications LTD - OR   Common Stock        G3930H104          2,094           150,888
Entergy Gulf State Utils Inc.            Preferred Stock     29364L771              5               200
Goodyear Tire & Rubber Co                Common Stock        382550101            845            36,259
Golf Trust of America Inc.               Common Stock        38168B103             66             4,000
Gtc Telecom Corp                         Common Stock        36230F102             14             6,000
GTE Corp.                                Common Stock        362320103         13,233           186,381
Getgo Mail Com Inc                       Foreign Stock       G38529106              1               300
Getthere.Com Inc.                        Common Stock        374266104             15             1,000
GT Interactive Software Corp             Common Stock        36236E109             22             7,000
Gentiva Health Services Inc              Common Stock        37247A102              1                87
GTECH Holdings Corp.                     Common Stock        400518106             10               529
Game Technologies Inc                    Common Stock        364649103              2             2,200
Global Technologies Ltd                  Common Stock        378949101             13               750
Global Telemedia Intl Inc                Common Stock        37936X108            169           100,000
Gentner Communications Corp.             Common Stock        37245J105              6               300
Guitar Center Inc.                       Common Stock        402040109            157            13,700
Global Telesystems Group Inc.            Common Stock        37936U104             98             4,800
Gateway Inc.                             Common Stock        367626108          5,403           101,943

                        Item 1:                      Item 6:                Item 7:              Item 8:
                    Name of Issuer             Investment Discretion         Other        Voting Authority (Shares)
                                         (a) Sole (b)Shared as (c)Shared    Managers   (a) Sole  (b) Shared  (c) None
                                                       Def        Other
- --------------------------------------------------------------------------------------------------------------------
Goto Com Inc                                           X                                   0          2,510      0
Gargoyles Inc                                          X                                   0          4,000      0
Georgia-Pacific Corp.                                  X                                   0         41,099      0
Greater Pac Bancshares                                 X                                   0            750      0
Genuine Parts Co.                                      X                                   0        104,388      0
Georgia Pwr Cap Tr Iv                                  X                                   0          1,000      0
Gerogia Power Cap Trust I                              X                                   0          2,000      0
Georgia Power Capital Tr III 7.75% PFD                 X                                   0            200      0
Group 1 Automotive Inc.                                X                                   0            900      0
Giant Group Ltd                                        X                                   0            300      0
Grupo Contl S A                                        X                                   0            600      0
Gap Inc.                                               X                                   0         61,267      0
Great Plains Software                                  X                                   0             60      0
Greenpoint Financial Corp.                             X                                   0         12,035      0
Global Payment Tech Inc                                X                                   0         19,800      0
GPU Inc.                                               X                                   0          7,296      0
Georgia Power Co 6.875% Senior Public                  X                                   0          1,950      0
GP Strategies Corp                                     X                                   0            125      0
Goodrich B.F. Co.                                      X                                   0         28,086      0
Bfgoodrich Cap                                         X                                   0            700      0
W.R. Grace & Co.                                       X                                   0          8,274      0
Bank Of Granite Corp                                   X                                   0          1,439      0
Gerber Scientific Inc.                                 X                                   0            612      0
Gensci Regeneration Sciences Inc.                      X                                   0          2,000      0
Grange National Banc Corp - PA                         X                                   0             17      0
Gric Communications Inc                                X                                   0          9,600      0
Grand Metropolitan Delaware LP Cum Pfd                 X                                   0          5,700      0
Green Oasis Environmental Inc                          X                                   0          1,000      0
Mississippi Chemical Corp                              X                                   0            500      0
Grossmans Inc                                          X                                   0          1,500      0
Glimcher Realty Trust                                  X                                   0         21,450      0
Glimcher Realty Trust 9.25% Cum Red                    X                                   0         10,200      0
Goldman Sachs Group Inc                                X                                   0         26,550      0
Golden State Bancorp                                   X                                   0            261      0
GS Financial Corp.                                     X                                   0            200      0
GSI Lumonics Inc                                       X                                   0            512      0
Globespan Semiconductor Inc                            X                                   0          1,200      0
Golden Star Resources Ltd                              X                                   0            200      0
GST Telecommunications Inc.                            X                                   0         11,000      0
Globalstar Telecommunications LTD - OR                 X                                   0        150,888      0
Entergy Gulf State Utils Inc.                          X                                   0            200      0
Goodyear Tire & Rubber Co                              X                                   0         36,259      0
Golf Trust of America Inc.                             X                                   0          4,000      0
Gtc Telecom Corp                                       X                                   0          6,000      0
GTE Corp.                                              X                                   0        186,381      0
Getgo Mail Com Inc                                     X                                   0            300      0
Getthere.Com Inc.                                      X                                   0          1,000      0
GT Interactive Software Corp                           X                                   0          7,000      0
Gentiva Health Services Inc                            X                                   0             87      0
GTECH Holdings Corp.                                   X                                   0            529      0
Game Technologies Inc                                  X                                   0          2,200      0
Global Technologies Ltd                                X                                   0            750      0
Global Telemedia Intl Inc                              X                                   0        100,000      0
Gentner Communications Corp.                           X                                   0            300      0
Guitar Center Inc.                                     X                                   0         13,700      0
Global Telesystems Group Inc.                          X                                   0          4,800      0
Gateway Inc.                                           X                                   0        101,943      0
</TABLE>

<PAGE>


<TABLE>
<CAPTION>
            FORM 13F             NAME OF REPORTING MANAGER: LEGG MASON WOOD WALKER (IMS)                     Run Date: 04/13/2000
                                                            FOR POSITIONS HELD AS OF 03/31/2000              S.E.C. Use Only

                        Item 1:            Item 2:           Item 3:         Item 4:            Item 5:
                    Name of Issuer      Title of Class    CUSIP Number  Fair Market Value      Shares or
                                                                           (X $1000)         Principal Amt.

- ------------------------------------------------------------------------------------------------------------
<S>                                      <C>                 <C>                    <C>             <C>
Gucci Group NV - NY Reg Shrs             ADR                 401566104             67               750
Gulf Pwr Cap Tr Ii                       PFD QTR 30/360      402476204             14               700
Gulf Power Capt Trust I 7.625%           PFD QTR 30/360      402473201             35             1,600
Gabelli Utility Trust                    Common Stock        36240A101             89            11,801
Guyanor Resources Ltd S A Cl B           Common Stock        F47088103              0                40
Dean Witter Government Income            Common Stock        61745P106             16             2,000
Grey Wolf Inc.                           Common Stock        397888108            126            31,945
Globalspan Techology Partner             Common Stock        37958A101              2             2,500
Geoworks Corp.                           Common Stock        373692102            120             3,373
Global Water Technologies Inc            Common Stock        378939102              0             1,000
Grainger WW Inc.                         Common Stock        384802104          2,704            49,841
Gencon Industries Inc                    Common Stock        368678108              0             2,500
Gencorp Inc.                             Common Stock        368682100              9             1,225
Sport Supply Group Inc.                  Common Stock        848915104              2               300
Gymboree Corporation                     Common Stock        403777105              8             2,000
Gza Geoenvironmental Tech Inc            Common Stock        362386104              6             1,000
Genzyme-Molecular Oncology               Common Stock        372917500            116             7,691
Genzyme Surgical Products                Common Stock        372917609             63             5,354
Genzyme Transgenics Corp.                Common Stock        37246E105            106             5,315
Genzyme Corp.-Tissue Repair              Common Stock        372917401            169            25,522
Harcourt General Inc.                    Common Stock        41163G101            341             9,156
Harris Preferred Capital Corp. 7.375%    PFD QTR 30/360      414567206             18               900
Household Capital Trust IV 7.25% Cum T   PFD QTR 30/360      44180R209             20             1,000
Hills Store Company Deferred Contigent   Common Stock        431COM991              0             1,000
Hercules Trust I 9.42%                   PFD QTR 30/360      427097209             30             1,500
Host Marriott Corp.                      PFD QTR 30/360      44107P203             91             4,350
Harvest Cmnty Bk Pennsville TWP          Common Stock        41752W103              0            20,000
International Internet Inc               Common Stock        459700100             21            45,190
Harbor Bankshares Corp.                  Common Stock        411465107             13               766
Hamilton Bancorp Inc - Fla               Common Stock        407013101              7               450
Hall Kinion & Associates Inc.            Common Stock        406069104            229             9,500
Halliburton Co.                          Common Stock        406216101          3,313            80,814
Hanson Plc Spon ADR New                  ADR                 411352404             64             1,812
Harman International Industries Inc.     Common Stock        413086109            319             5,310
Harbor Florida Bancshares                Common Stock        411901101            404            35,537
Hasbro Inc.                              Common Stock        418056107            273            16,530
Hastings Entmt Inc                       Common Stock        418365102              4             1,000
Hatteras Income Secs Inc.                Common Stock        419025101             81             6,575
Hauppage Digital Inc                     Common Stock        419131107             61             3,300
Healthaxis Inc                           Common Stock        42219D100              7               500
Hayes Corporation                        Common Stock        420762304              0               200
Hillenbrand Industries Inc.              Common Stock        431573104            191             5,625
Huntington Bancshares Inc.               Common Stock        446150104            203             9,067
HSBC Holdings PLC -Spons ADR             ADR                 404280406          6,211           101,920
Hispanic Broadcasting Corp               Common Stock        43357B104            170             1,500
Hungarian Broadcasting Corp              Common Stock        445539109              1             5,000
HSBC Holdings (Hong Kong Reg)            Foreign Stock       HBCXF                  9               737
Hsb Hldgs Plc Ord                        Foreign Stock       G4634U169             35             3,000
Homebase Inc.                            Common Stock        43738E108             51            25,360
Huttig Bldg Prods Inc                    Common Stock        448451104              1               244
Harbor Bank - VA                         Common Stock        41146K104             42             6,000
Wolf Howard B Inc                        Common Stock        977725100              0             1,000
Hanover Compressor Co.                   Common Stock        410768105            522             9,186
Hudson City Bancorp                      Common Stock        443683107             66             4,500
HCC Insurance Holdings Inc.              Common Stock        404132102              4               300
Home Centers Incorporated                Common Stock        437062102              0               200
Health Care REIT, Inc.                   Common Stock        42217K106            280            19,974

                        Item 1:                      Item 6:                Item 7:              Item 8:
                    Name of Issuer             Investment Discretion         Other        Voting Authority (Shares)
                                         (a) Sole (b)Shared as (c)Shared    Managers   (a) Sole  (b) Shared  (c) None
                                                       Def        Other
- --------------------------------------------------------------------------------------------------------------------
Gucci Group NV - NY Reg Shrs                           X                                   0            750      0
Gulf Pwr Cap Tr Ii                                     X                                   0            700      0
Gulf Power Capt Trust I 7.625%                         X                                   0          1,600      0
Gabelli Utility Trust                                  X                                   0         11,801      0
Guyanor Resources Ltd S A Cl B                         X                                   0             40      0
Dean Witter Government Income                          X                                   0          2,000      0
Grey Wolf Inc.                                         X                                   0         31,945      0
Globalspan Techology Partner                           X                                   0          2,500      0
Geoworks Corp.                                         X                                   0          3,373      0
Global Water Technologies Inc                          X                                   0          1,000      0
Grainger WW Inc.                                       X                                   0         49,841      0
Gencon Industries Inc                                  X                                   0          2,500      0
Gencorp Inc.                                           X                                   0          1,225      0
Sport Supply Group Inc.                                X                                   0            300      0
Gymboree Corporation                                   X                                   0          2,000      0
Gza Geoenvironmental Tech Inc                          X                                   0          1,000      0
Genzyme-Molecular Oncology                             X                                   0          7,691      0
Genzyme Surgical Products                              X                                   0          5,354      0
Genzyme Transgenics Corp.                              X                                   0          5,315      0
Genzyme Corp.-Tissue Repair                            X                                   0         25,522      0
Harcourt General Inc.                                  X                                   0          9,156      0
Harris Preferred Capital Corp. 7.375%                  X                                   0            900      0
Household Capital Trust IV 7.25% Cum T                 X                                   0          1,000      0
Hills Store Company Deferred Contigent                 X                                   0          1,000      0
Hercules Trust I 9.42%                                 X                                   0          1,500      0
Host Marriott Corp.                                    X                                   0          4,350      0
Harvest Cmnty Bk Pennsville TWP                        X                                   0         20,000      0
International Internet Inc                             X                                   0         45,190      0
Harbor Bankshares Corp.                                X                                   0            766      0
Hamilton Bancorp Inc - Fla                             X                                   0            450      0
Hall Kinion & Associates Inc.                          X                                   0          9,500      0
Halliburton Co.                                        X                                   0         80,814      0
Hanson Plc Spon ADR New                                X                                   0          1,812      0
Harman International Industries Inc.                   X                                   0          5,310      0
Harbor Florida Bancshares                              X                                   0         35,537      0
Hasbro Inc.                                            X                                   0         16,530      0
Hastings Entmt Inc                                     X                                   0          1,000      0
Hatteras Income Secs Inc.                              X                                   0          6,575      0
Hauppage Digital Inc                                   X                                   0          3,300      0
Healthaxis Inc                                         X                                   0            500      0
Hayes Corporation                                      X                                   0            200      0
Hillenbrand Industries Inc.                            X                                   0          5,625      0
Huntington Bancshares Inc.                             X                                   0          9,067      0
HSBC Holdings PLC -Spons ADR                           X                                   0        101,920      0
Hispanic Broadcasting Corp                             X                                   0          1,500      0
Hungarian Broadcasting Corp                            X                                   0          5,000      0
HSBC Holdings (Hong Kong Reg)                          X                                   0            737      0
Hsb Hldgs Plc Ord                                      X                                   0          3,000      0
Homebase Inc.                                          X                                   0         25,360      0
Huttig Bldg Prods Inc                                  X                                   0            244      0
Harbor Bank - VA                                       X                                   0          6,000      0
Wolf Howard B Inc                                      X                                   0          1,000      0
Hanover Compressor Co.                                 X                                   0          9,186      0
Hudson City Bancorp                                    X                                   0          4,500      0
HCC Insurance Holdings Inc.                            X                                   0            300      0
Home Centers Incorporated                              X                                   0            200      0
Health Care REIT, Inc.                                 X                                   0         19,974      0
</TABLE>

<PAGE>


<TABLE>
<CAPTION>
            FORM 13F             NAME OF REPORTING MANAGER: LEGG MASON WOOD WALKER (IMS)                     Run Date: 04/13/2000
                                                            FOR POSITIONS HELD AS OF 03/31/2000              S.E.C. Use Only

                        Item 1:            Item 2:           Item 3:         Item 4:            Item 5:
                    Name of Issuer      Title of Class    CUSIP Number  Fair Market Value      Shares or
                                                                           (X $1000)         Principal Amt.

- ------------------------------------------------------------------------------------------------------------
<S>                                      <C>                 <C>                    <C>             <C>
Health Care Reit Inc 8.875%              PFD QTR 30/360      42217K205              9               600
Horizon Organic Holding                  Common Stock        44043T103              2               200
Health Care Property Investors Inc.      Common Stock        421915109            311            12,237
Healthcare Ppty Invs Inc 8.70% Pfd       PFD QTR 30/360      421915406             23             1,400
Health Care Prop Invs Inc                PFD QTR 30/360      421915604             68             4,150
Hlth Care Ppty Inv 7.875% PFD Ser A      PFD QTR 30/360      421915307              7               500
Manor Care Inc                           Common Stock        564055101            167            12,390
Hector Communications Corp               Common Stock        422730101             14             1,000
Home Depot Inc.                          Common Stock        437076102         33,142           513,827
Hadco Corp.                              Common Stock        404681108            461             7,135
Quantum Corp-Hard Disk Drive             Common Stock        747906303             49             4,381
Harley Davidson, Inc.                    Common Stock        412822108         10,298           129,737
Hie Inc                                  Common Stock        40419W100             12             2,000
Handleman Co Del                         Common Stock        410252100              4               400
Hadron Inc.orporation New                Common Stock        405009200              0                50
Rts Hills Stores Co.                     Common Stock        431692987              0               202
Hudson Technologies Inc                  Common Stock        444144109              2             1,000
Hawaiian Elec Inds Inc.                  Common Stock        419870100             48             1,500
Hawaiian Elec Industries Capt            Preferred Stock     41987M201             62             2,780
Harken Energy Corp.                      Common Stock        412552101              6             6,000
Heico Corp.                              Common Stock        422806109             13               900
Heico Corp New - Cl A                    Common Stock        422806208              4               300
Helen of Troy LTD                        Common Stock        G4388N106             15             2,200
Hello Direct Inc                         Common Stock        423402106             16             1,200
Helix Technology Inc.                    Common Stock        423319102            211             3,520
Hemispherx Biopharma Inc                 Common Stock        42366C103          1,986           183,650
Heco Capital Trust II Pfd Secs Ser 7.3   PFD QTR 30/360      40415B209             64             3,100
Harrah's Entertainment Inc.              Common Stock        413619107             36             1,951
Heller Financial Inc Cl A                Common Stock        423328103             15               659
Homefed Corp                             Common Stock        43739D208              5             7,818
Homegold Finl Inc                        Common Stock        43740E104              0               150
Harleysville Group, Inc.                 Common Stock        412824104             32             2,200
Horizon Group Properties Inc             Common Stock        44041U102              3               735
Hanger Orthopedic Group, Inc.            Common Stock        41043F208            377            71,025
Heathgrades.com Inc                      Common Stock        42222R104              7             3,000
Human Genome Sciences Inc.               Common Stock        444903108            218             2,626
Hooper Holmes Incorporated               Common Stock        439104100             31               900
Internet HOLDRs Tr                       Common Stock        46059W102            599             3,600
Harte-Hanks Communications, Inc.         Common Stock        416196103              9               400
Household International Inc.             Common Stock        441815107          1,392            37,303
Household Capt Trust II 8.7%             Preferred Stock     44180H102             10               400
Hibernia Corp. Class A                   Common Stock        428656102            963            91,736
Hibbett Sporting Goods Inc               Common Stock        428565105             28             1,350
Hydrogiene Corp                          Common Stock        448884106              5             3,000
Salomon Bros High Income Fund            Common Stock        79547Q106             30             2,450
HI/FN Inc.                               Common Stock        428358105             33               500
Hartford Financial Services Group Inc.   Common Stock        416515104          2,161            40,974
Hartford Capital II 8.35%                PFD QTR 30/360      416320208             95             4,050
Hartford Capital I Inc. 7.70% Pfd Ser    PFD QTR 30/360      416315208            231            10,700
Highline Inds Inc.                       Common Stock        431108109              0             1,000
Heineken N V - ADR                       ADR                 423012202            194             3,636
HI Shear Inds Inc.                       Common Stock        428399109              0               150
Hitachi Ltd ADR 10 Com                   ADR                 433578507          7,165            58,793
CEL SCI Corp.                            Common Stock        150837409            110            17,530
Highwoods Properties Inc.                Common Stock        431284108          1,300            61,157
Highwoods Properties Inc. 8% PFD Ser B   PFD QTR 30/360      431284306            190            11,000
Highwoods Properties Inc. 8.00% PFD      PFD QTR 30/360      431284504              7               400

                        Item 1:                      Item 6:                Item 7:              Item 8:
                    Name of Issuer             Investment Discretion         Other        Voting Authority (Shares)
                                         (a) Sole (b)Shared as (c)Shared    Managers   (a) Sole  (b) Shared  (c) None
                                                       Def        Other
- --------------------------------------------------------------------------------------------------------------------
Health Care Reit Inc 8.875%                            X                                   0            600      0
Horizon Organic Holding                                X                                   0            200      0
Health Care Property Investors Inc.                    X                                   0         12,237      0
Healthcare Ppty Invs Inc 8.70% Pfd                     X                                   0          1,400      0
Health Care Prop Invs Inc                              X                                   0          4,150      0
Hlth Care Ppty Inv 7.875% PFD Ser A                    X                                   0            500      0
Manor Care Inc                                         X                                   0         12,390      0
Hector Communications Corp                             X                                   0          1,000      0
Home Depot Inc.                                        X                                   0        513,827      0
Hadco Corp.                                            X                                   0          7,135      0
Quantum Corp-Hard Disk Drive                           X                                   0          4,381      0
Harley Davidson, Inc.                                  X                                   0        129,737      0
Hie Inc                                                X                                   0          2,000      0
Handleman Co Del                                       X                                   0            400      0
Hadron Inc.orporation New                              X                                   0             50      0
Rts Hills Stores Co.                                   X                                   0            202      0
Hudson Technologies Inc                                X                                   0          1,000      0
Hawaiian Elec Inds Inc.                                X                                   0          1,500      0
Hawaiian Elec Industries Capt                          X                                   0          2,780      0
Harken Energy Corp.                                    X                                   0          6,000      0
Heico Corp.                                            X                                   0            900      0
Heico Corp New - Cl A                                  X                                   0            300      0
Helen of Troy LTD                                      X                                   0          2,200      0
Hello Direct Inc                                       X                                   0          1,200      0
Helix Technology Inc.                                  X                                   0          3,520      0
Hemispherx Biopharma Inc                               X                                   0        183,650      0
Heco Capital Trust II Pfd Secs Ser 7.3                 X                                   0          3,100      0
Harrah's Entertainment Inc.                            X                                   0          1,951      0
Heller Financial Inc Cl A                              X                                   0            659      0
Homefed Corp                                           X                                   0          7,818      0
Homegold Finl Inc                                      X                                   0            150      0
Harleysville Group, Inc.                               X                                   0          2,200      0
Horizon Group Properties Inc                           X                                   0            735      0
Hanger Orthopedic Group, Inc.                          X                                   0         71,025      0
Heathgrades.com Inc                                    X                                   0          3,000      0
Human Genome Sciences Inc.                             X                                   0          2,626      0
Hooper Holmes Incorporated                             X                                   0            900      0
Internet HOLDRs Tr                                     X                                   0          3,600      0
Harte-Hanks Communications, Inc.                       X                                   0            400      0
Household International Inc.                           X                                   0         37,303      0
Household Capt Trust II 8.7%                           X                                   0            400      0
Hibernia Corp. Class A                                 X                                   0         91,736      0
Hibbett Sporting Goods Inc                             X                                   0          1,350      0
Hydrogiene Corp                                        X                                   0          3,000      0
Salomon Bros High Income Fund                          X                                   0          2,450      0
HI/FN Inc.                                             X                                   0            500      0
Hartford Financial Services Group Inc.                 X                                   0         40,974      0
Hartford Capital II 8.35%                              X                                   0          4,050      0
Hartford Capital I Inc. 7.70% Pfd Ser                  X                                   0         10,700      0
Highline Inds Inc.                                     X                                   0          1,000      0
Heineken N V - ADR                                     X                                   0          3,636      0
HI Shear Inds Inc.                                     X                                   0            150      0
Hitachi Ltd ADR 10 Com                                 X                                   0         58,793      0
CEL SCI Corp.                                          X                                   0         17,530      0
Highwoods Properties Inc.                              X                                   0         61,157      0
Highwoods Properties Inc. 8% PFD Ser B                 X                                   0         11,000      0
Highwoods Properties Inc. 8.00% PFD                    X                                   0            400      0
</TABLE>

<PAGE>


<TABLE>
<CAPTION>
            FORM 13F             NAME OF REPORTING MANAGER: LEGG MASON WOOD WALKER (IMS)                     Run Date: 04/13/2000
                                                            FOR POSITIONS HELD AS OF 03/31/2000              S.E.C. Use Only

                        Item 1:            Item 2:           Item 3:         Item 4:            Item 5:
                    Name of Issuer      Title of Class    CUSIP Number  Fair Market Value      Shares or
                                                                           (X $1000)         Principal Amt.

- ------------------------------------------------------------------------------------------------------------
<S>                                      <C>                 <C>                    <C>             <C>
Hancock Fabrics Inc.                     Common Stock        409900107             55            19,200
Cable & Wireless HKT                     ADR                 126828102            141             5,459
Hecla Mining Co                          Common Stock        422704106              4             3,150
Healthhextras Inc.                       Common Stock        422211102              2               500
Hartford Life Inc.                       Common Stock        416592103            308             6,580
Harmonic Lightwaves Inc.                 Common Stock        413160102            623             7,485
Hilton Hotels Corp.                      Common Stock        432848109             79            10,135
Healtheon Corp.                          Common Stock        422209106            550            23,930
Helix Systems Limited                    Common Stock        42332E100              0             1,500
Hollywood Entertainment Corp.            Common Stock        436141105            165            20,500
Homestake Mining Co                      Common Stock        437614100             18             3,025
Health Management Associates, Inc. Cl    Common Stock        421933102            671            47,083
Honda Motor LTD AMER SHS                 ADR                 438128308            132             1,630
Home Properties of New York,             Common Stock        437306103            118             4,400
Host Marriott Finl Tr                    PreferdStk Conv     441079407              7               240
HMG Courtland Properties Inc.            Common Stock        404232100              2               200
Ha-Lo Industries Inc.                    Common Stock        404429102             34             4,365
Horace Mann Educators                    Common Stock        440327104            560            30,350
Homeseekers Com Inc                      Common Stock        437605108            175            11,380
Health Management Systems, Inc           Common Stock        42219M100             16             3,300
Host Marriott Corp                       Common Stock        44107P104            477            53,755
Host Marriott Corp New                   PFD QTR 30/360      44107P302             40             2,000
HMT Technology Corp.                     Common Stock        403917107             14             4,370
Advanced Voice Technologies              Common Stock        00754W107              0               800
Heilig-Myers Co                          Common Stock        422893107             30             7,548
Harleysville National  Corp. - PA        Common Stock        412850109             10               381
Hospital Newspapers Group Inc.           Common Stock        440906105              0               290
HON Industries Inc.                      Common Stock        438092108          1,380            53,583
H J Heinz Co                             Common Stock        423074103          5,855           167,886
Holywood.Com Inc                         Common Stock        436137103             95             6,060
Hologic Inc.                             Common Stock        436440101             79             9,900
Homestore Com Inc                        Common Stock        437852106             17               350
Honeywell International Inc.             Common Stock        438516106         17,448           331,163
Starwood Hotels & Resorts Worldwide In   Common Stock        85590A203            382            14,537
Hotjobs Com Inc                          Common Stock        441474103             59             2,353
Hot Topic Inc                            Common Stock        441339108            429            12,250
Hovnanian Enterprises Inc.               Common Stock        442487203              2               320
Hopewell Holding Limited                 ADR                 439555301              1             2,000
Helmerich & Payne                        Common Stock        423452101            402            12,970
Home Port Bancorp Inc                    Common Stock        437304108              9               400
Hercules Inc.                            Common Stock        427056106            203            12,587
Harnischfeger Industries Inc.            Common Stock        413345109              0               100
Heartport Inc.                           Common Stock        421969106             15             3,195
Hospitality Properties Trust             Common Stock        44106M102          1,386            68,440
High Point Bank Corp.                    Common Stock        429706104             15               106
H & Q Life Sciences Investors            Common Stock        404053100            309            10,661
Healthcare Realty Trust                  Common Stock        421946104            637            38,032
Block H & R Inc.                         Common Stock        093671105            366             8,182
Harbinger Corp.                          Common Stock        41145C103            176             6,050
Harbor Federal Bancorp Inc.              Common Stock        41151A108             21             1,584
Hudson River Bancorp                     Common Stock        444128102              9               920
Healthsouth Corp.                        Common Stock        421924101          3,034           545,340
Hartcourt Cos Inc                        Common Stock        416187201             17             1,400
Hannaford Brothers Inc.                  Common Stock        410550107         12,095           164,002
Harford Natl Bk Aberdeen Md              Common Stock        41251W109          1,123            26,125
Hormel Foods Corp.                       Common Stock        440452100            215            13,070
HRPT Proprties Trust                     Common Stock        40426W101            461            53,021

                        Item 1:                      Item 6:                Item 7:              Item 8:
                    Name of Issuer             Investment Discretion         Other        Voting Authority (Shares)
                                         (a) Sole (b)Shared as (c)Shared    Managers   (a) Sole  (b) Shared  (c) None
                                                       Def        Other
- --------------------------------------------------------------------------------------------------------------------
Hancock Fabrics Inc.                                   X                                   0         19,200      0
Cable & Wireless HKT                                   X                                   0          5,459      0
Hecla Mining Co                                        X                                   0          3,150      0
Healthhextras Inc.                                     X                                   0            500      0
Hartford Life Inc.                                     X                                   0          6,580      0
Harmonic Lightwaves Inc.                               X                                   0          7,485      0
Hilton Hotels Corp.                                    X                                   0         10,135      0
Healtheon Corp.                                        X                                   0         23,930      0
Helix Systems Limited                                  X                                   0          1,500      0
Hollywood Entertainment Corp.                          X                                   0         20,500      0
Homestake Mining Co                                    X                                   0          3,025      0
Health Management Associates, Inc. Cl                  X                                   0         47,083      0
Honda Motor LTD AMER SHS                               X                                   0          1,630      0
Home Properties of New York,                           X                                   0          4,400      0
Host Marriott Finl Tr                                  X                                   0            240      0
HMG Courtland Properties Inc.                          X                                   0            200      0
Ha-Lo Industries Inc.                                  X                                   0          4,365      0
Horace Mann Educators                                  X                                   0         30,350      0
Homeseekers Com Inc                                    X                                   0         11,380      0
Health Management Systems, Inc                         X                                   0          3,300      0
Host Marriott Corp                                     X                                   0         53,755      0
Host Marriott Corp New                                 X                                   0          2,000      0
HMT Technology Corp.                                   X                                   0          4,370      0
Advanced Voice Technologies                            X                                   0            800      0
Heilig-Myers Co                                        X                                   0          7,548      0
Harleysville National  Corp. - PA                      X                                   0            381      0
Hospital Newspapers Group Inc.                         X                                   0            290      0
HON Industries Inc.                                    X                                   0         53,583      0
H J Heinz Co                                           X                                   0        167,886      0
Holywood.Com Inc                                       X                                   0          6,060      0
Hologic Inc.                                           X                                   0          9,900      0
Homestore Com Inc                                      X                                   0            350      0
Honeywell International Inc.                           X                                   0        331,163      0
Starwood Hotels & Resorts Worldwide In                 X                                   0         14,537      0
Hotjobs Com Inc                                        X                                   0          2,353      0
Hot Topic Inc                                          X                                   0         12,250      0
Hovnanian Enterprises Inc.                             X                                   0            320      0
Hopewell Holding Limited                               X                                   0          2,000      0
Helmerich & Payne                                      X                                   0         12,970      0
Home Port Bancorp Inc                                  X                                   0            400      0
Hercules Inc.                                          X                                   0         12,587      0
Harnischfeger Industries Inc.                          X                                   0            100      0
Heartport Inc.                                         X                                   0          3,195      0
Hospitality Properties Trust                           X                                   0         68,440      0
High Point Bank Corp.                                  X                                   0            106      0
H & Q Life Sciences Investors                          X                                   0         10,661      0
Healthcare Realty Trust                                X                                   0         38,032      0
Block H & R Inc.                                       X                                   0          8,182      0
Harbinger Corp.                                        X                                   0          6,050      0
Harbor Federal Bancorp Inc.                            X                                   0          1,584      0
Hudson River Bancorp                                   X                                   0            920      0
Healthsouth Corp.                                      X                                   0        545,340      0
Hartcourt Cos Inc                                      X                                   0          1,400      0
Hannaford Brothers Inc.                                X                                   0        164,002      0
Harford Natl Bk Aberdeen Md                            X                                   0         26,125      0
Hormel Foods Corp.                                     X                                   0         13,070      0
HRPT Proprties Trust                                   X                                   0         53,021      0
</TABLE>

<PAGE>


<TABLE>
<CAPTION>
            FORM 13F             NAME OF REPORTING MANAGER: LEGG MASON WOOD WALKER (IMS)                     Run Date: 04/13/2000
                                                            FOR POSITIONS HELD AS OF 03/31/2000              S.E.C. Use Only

                        Item 1:            Item 2:           Item 3:         Item 4:            Item 5:
                    Name of Issuer      Title of Class    CUSIP Number  Fair Market Value      Shares or
                                                                           (X $1000)         Principal Amt.

- ------------------------------------------------------------------------------------------------------------
<S>                                      <C>                 <C>                    <C>             <C>
Harris Corp.                             Common Stock        413875105            255             7,365
Hallwood Realty Partnership LP Dep Uts   LTD Part  P4        40636T203              0                 4
Hertz Corporation                        Common Stock        428040109             10               300
High Speed Access Corp                   Common Stock        42979U102             27             2,100
HSB Group Inc.                           Common Stock        40428N109            213             7,355
Harsco Corp.                             Common Stock        415864107            113             3,899
Homestead Village Inc.                   Common Stock        437851108              5             1,462
HS Resources Inc.                        Common Stock        404297103            153             7,247
Henry Schein Inc.                        Common Stock        806407102             58             3,605
Hussmann International Inc.              Common Stock        448110106             40             3,174
High Speed Net Solutions Inc             Common Stock        429793102             19             2,600
Hershey Foods Corp.                      Common Stock        427866108          2,377            48,750
Hyperion 2002 Term Trust Inc.            Common Stock        448915108            166            20,305
Hungarian Tel & Cable Corp               Common Stock        445542103             29             3,500
Hutchinson Technology Inc.               Common Stock        448407106             13               720
H T E Inc.                               Common Stock        403926108             26             8,000
Hawthorne Finl Corp                      Common Stock        420542102             70             8,400
Heartland Express Inc.                   Common Stock        422347104          1,453           103,425
Houghton Mifflin Co                      Common Stock        441560109            474            11,170
Hearst-Argyle Television Inc.            Common Stock        422317107            888            38,005
Hitox Corp. of America                   Common Stock        433658101              1               500
Hubbell Inc.  CL A                       Common Stock        443510102             51             1,970
Hubbell Inc.  CL B                       Common Stock        443510201            630            23,014
Hudson Hotels Corp.                      Common Stock        443794102              0               500
Hughes Supply Inc.                       Common Stock        444482103            402            25,925
Humana Inc.                              Common Stock        444859102            382            52,225
Humphrey Hospitality Trust               Common Stock        445467103             90            13,500
Hutchinson Whampoa - Unsp ADR            ADR                 448415208             19               212
Haverty Furniture Co Inc.                Common Stock        419596101            614            57,790
Hollywood Casino Corp.                   Common Stock        436132203              4             1,000
Hewlett-Packard Co.                      Common Stock        428236103         45,283           341,596
Highwaymaster Communications             Common Stock        431263102              9             2,000
Hexcel Corp.                             Common Stock        428291108              1               100
Houston Inds Inc. 7.00% Pfd              PreferdStk Conv     442161204             16               100
Hyperdynamics Corp                       Common Stock        448954107              5             1,000
Hyperion Solutions Corp                  Common Stock        44914M104             23               720
Hyseq Inc                                Common Stock        449163302            112             2,500
Insurance Auto Auctions Inc.             Common Stock        457875102              6               330
International Absorbents Inc             Common Stock        45885E104              8            10,000
IAC Capital Trust 8.25% Trust Orig Pfd   PFD QTR 30/360      44919E206             27             1,300
Internet Architecture Holdr Tr           Common Stock        46060A107             78               800
Information Analysis Inc                 Common Stock        456696103              2             2,000
Information Architects Corp              Common Stock        45669R107             36             2,100
ACTV Inc.                                Common Stock        00088E104            105             3,000
iBasis, Inc.                             Common Stock        450732102             14               332
Interstate Bakeries Corp.                Common Stock        46072H108             61             4,300
IBS Computer Corp.                       Common Stock        449225101              0                67
Intimate Brands Inc.                     Common Stock        461156101            355             8,661
IBIS Technology Corp.                    Common Stock        450909106            144             1,595
International Business Machines          Common Stock        459200101         68,772           582,817
Intl Business Machine Corp 7.50% PFD A   PFD QTR 30/360      459200309             28             1,100
IBP Inc.                                 Common Stock        449223106            343            21,770
Intrabiotics Pharmaceuticals             Common Stock        46116T100            150            10,000
Internet Businesss Intl Inc              Common Stock        46059L106              0               300
Icici Ltd                                ADR                 44926P202              9               400
Empresas ICA Sociedad                    ADR                 292448107              0                70
It Capital Ltd Nz                        Foreign Stock       Q4984X119              1             2,000

                        Item 1:                      Item 6:                Item 7:              Item 8:
                    Name of Issuer             Investment Discretion         Other        Voting Authority (Shares)
                                         (a) Sole (b)Shared as (c)Shared    Managers   (a) Sole  (b) Shared  (c) None
                                                       Def        Other
- --------------------------------------------------------------------------------------------------------------------
Harris Corp.                                           X                                   0          7,365      0
Hallwood Realty Partnership LP Dep Uts                 X                                   0              4      0
Hertz Corporation                                      X                                   0            300      0
High Speed Access Corp                                 X                                   0          2,100      0
HSB Group Inc.                                         X                                   0          7,355      0
Harsco Corp.                                           X                                   0          3,899      0
Homestead Village Inc.                                 X                                   0          1,462      0
HS Resources Inc.                                      X                                   0          7,247      0
Henry Schein Inc.                                      X                                   0          3,605      0
Hussmann International Inc.                            X                                   0          3,174      0
High Speed Net Solutions Inc                           X                                   0          2,600      0
Hershey Foods Corp.                                    X                                   0         48,750      0
Hyperion 2002 Term Trust Inc.                          X                                   0         20,305      0
Hungarian Tel & Cable Corp                             X                                   0          3,500      0
Hutchinson Technology Inc.                             X                                   0            720      0
H T E Inc.                                             X                                   0          8,000      0
Hawthorne Finl Corp                                    X                                   0          8,400      0
Heartland Express Inc.                                 X                                   0        103,425      0
Houghton Mifflin Co                                    X                                   0         11,170      0
Hearst-Argyle Television Inc.                          X                                   0         38,005      0
Hitox Corp. of America                                 X                                   0            500      0
Hubbell Inc.  CL A                                     X                                   0          1,970      0
Hubbell Inc.  CL B                                     X                                   0         23,014      0
Hudson Hotels Corp.                                    X                                   0            500      0
Hughes Supply Inc.                                     X                                   0         25,925      0
Humana Inc.                                            X                                   0         52,225      0
Humphrey Hospitality Trust                             X                                   0         13,500      0
Hutchinson Whampoa - Unsp ADR                          X                                   0            212      0
Haverty Furniture Co Inc.                              X                                   0         57,790      0
Hollywood Casino Corp.                                 X                                   0          1,000      0
Hewlett-Packard Co.                                    X                                   0        341,596      0
Highwaymaster Communications                           X                                   0          2,000      0
Hexcel Corp.                                           X                                   0            100      0
Houston Inds Inc. 7.00% Pfd                            X                                   0            100      0
Hyperdynamics Corp                                     X                                   0          1,000      0
Hyperion Solutions Corp                                X                                   0            720      0
Hyseq Inc                                              X                                   0          2,500      0
Insurance Auto Auctions Inc.                           X                                   0            330      0
International Absorbents Inc                           X                                   0         10,000      0
IAC Capital Trust 8.25% Trust Orig Pfd                 X                                   0          1,300      0
Internet Architecture Holdr Tr                         X                                   0            800      0
Information Analysis Inc                               X                                   0          2,000      0
Information Architects Corp                            X                                   0          2,100      0
ACTV Inc.                                              X                                   0          3,000      0
iBasis, Inc.                                           X                                   0            332      0
Interstate Bakeries Corp.                              X                                   0          4,300      0
IBS Computer Corp.                                     X                                   0             67      0
Intimate Brands Inc.                                   X                                   0          8,661      0
IBIS Technology Corp.                                  X                                   0          1,595      0
International Business Machines                        X                                   0        582,817      0
Intl Business Machine Corp 7.50% PFD A                 X                                   0          1,100      0
IBP Inc.                                               X                                   0         21,770      0
Intrabiotics Pharmaceuticals                           X                                   0         10,000      0
Internet Businesss Intl Inc                            X                                   0            300      0
Icici Ltd                                              X                                   0            400      0
Empresas ICA Sociedad                                  X                                   0             70      0
It Capital Ltd Nz                                      X                                   0          2,000      0
</TABLE>

<PAGE>


<TABLE>
<CAPTION>
            FORM 13F             NAME OF REPORTING MANAGER: LEGG MASON WOOD WALKER (IMS)                     Run Date: 04/13/2000
                                                            FOR POSITIONS HELD AS OF 03/31/2000              S.E.C. Use Only

                        Item 1:            Item 2:           Item 3:         Item 4:            Item 5:
                    Name of Issuer      Title of Class    CUSIP Number  Fair Market Value      Shares or
                                                                           (X $1000)         Principal Amt.

- -----------------------------------------------------------------------------------------------------------
<S>                                      <C>                 <C>                    <C>             <C>
Independence Community Bank Corp.        Common Stock        453414104             62             5,546
Internet Cable Corp.                     Common Stock        46057X102            233            20,000
Immucell Corp.                           Common Stock        452525306             14             3,000
Insight Communications Inc               Common Stock        45768V108            321            15,550
Internet Comm Corp                       Common Stock        46059F109             28               600
Natural Solutions Corp                   Common Stock        63901V109              3             5,500
Ice Ice Factory Inc.                     Common Stock        44924D102              0             1,250
Internet Cap Group Inc                   Common Stock        46059C106          2,114            23,410
ICG Communications Inc.                  Common Stock        449246107            150             4,153
Imperial Chemical Inds Plc Adr           ADR                 452704505          2,115            65,595
Intermedia Communications Inc.           Common Stock        458801107             49             1,011
Intellicall Inc                          Common Stock        45815C103             20            15,000
ICN Pharmaceuticals Inc.                 Common Stock        448924100          2,724            99,966
Incomnet Inc                             Common Stock        453365207              0             5,000
Inacom Corp.                             Common Stock        45323G109            137            49,654
Intelect Communications Inc.             Common Stock        458144102             38             6,520
Icos Corp.                               Common Stock        449295104            238             6,593
Innovative Clinical Solutn Ltd           Common Stock        45767E107              0             1,000
I.C.U. Med Inc.                          Common Stock        44930G107            101             5,600
Idacorp Inc                              Common Stock        451107106            451            12,968
Id Biomedical Corp                       Foreign Stock       44936D108             49            10,500
Inter-Digital Communications Corp.       Common Stock        45866A105            457            18,105
Comparator Systems Corp. New             Common Stock        204494207              0            10,000
Idm Environmental Corp                   Common Stock        449391309              1               120
Intelli-check Inc                        Common Stock        45817G102             10             1,000
Indo Pac Intl Corp                       Common Stock        455777102              0               250
IDEC Pharmaceutical Corp.                Common Stock        449370105            426             4,339
Industrial Services of America           Common Stock        456314103              3             1,000
IDT Corp.                                Common Stock        448947101             21               500
Integrated Device Technology             Common Stock        458118106             92             2,315
Identix Inc.                             Common Stock        451906101             15               550
Idexx Laboratories Corp.                 Common Stock        45168D104             40             1,700
International Enexco Ltd                 Foreign Stock       45945G107              0               600
Iec Electrs Corp New                     Common Stock        44949L105             15             5,000
Indiana Energy Inc.                      Common Stock        454707100             49             2,532
IEM S A Amern Shs                        ADR                 449496207              0                12
Ientertainment Network Inc               Common Stock        45169Q104              1               250
Ies Utils Inc                            PFD QTR 30/360      44949R508             32             1,520
IDEX Corp.                               Common Stock        45167R104            215             7,875
International Fibercom Inc.              Common Stock        45950T101             23               975
International Flavors & Fragrances       Common Stock        459506101            211             6,030
Investors Financial Services Corp        Common Stock        461915100            136             2,310
Informix Corp.                           Common Stock        456779107          1,718           101,437
The India Fund, Inc.                     MutualFdEqClose     454089103             14               800
IFR Sys Inc.                             Common Stock        449507102              1                82
Interface Inc.                           Common Stock        458665106             47            11,100
Infineon Technologies Ag                 ADR                 45662N103             46               800
Interstate Gen L P                       Common Stock        460885205              3               500
Igen International  Inc.                 Common Stock        449536101             43             1,700
IMC Global Inc.                          Common Stock        449669100             14               965
Internet Gold-golden Lines Ltd           Foreign Stock       M56595107             25             1,000
International Gaming Mgmt                Common Stock        459548103              0             1,100
Igo Corp                                 Common Stock        449592104              5               680
International Game Technology            Common Stock        459902102             76             3,501
Igate Capital Corp                       Common Stock        45169U105            227             5,035
Interstate Hotels Corp                   Common Stock        46088R108              3             1,018
International Home Foods Inc             Common Stock        459655106             77             4,839

                        Item 1:                      Item 6:                Item 7:              Item 8:
                    Name of Issuer             Investment Discretion         Other        Voting Authority (Shares)
                                         (a) Sole (b)Shared as (c)Shared    Managers   (a) Sole  (b) Shared  (c) None
                                                       Def        Other
- --------------------------------------------------------------------------------------------------------------------
Independence Community Bank Corp.                      X                                   0          5,546      0
Internet Cable Corp.                                   X                                   0         20,000      0
Immucell Corp.                                         X                                   0          3,000      0
Insight Communications Inc                             X                                   0         15,550      0
Internet Comm Corp                                     X                                   0            600      0
Natural Solutions Corp                                 X                                   0          5,500      0
Ice Ice Factory Inc.                                   X                                   0          1,250      0
Internet Cap Group Inc                                 X                                   0         23,410      0
ICG Communications Inc.                                X                                   0          4,153      0
Imperial Chemical Inds Plc Adr                         X                                   0         65,595      0
Intermedia Communications Inc.                         X                                   0          1,011      0
Intellicall Inc                                        X                                   0         15,000      0
ICN Pharmaceuticals Inc.                               X                                   0         99,966      0
Incomnet Inc                                           X                                   0          5,000      0
Inacom Corp.                                           X                                   0         49,654      0
Intelect Communications Inc.                           X                                   0          6,520      0
Icos Corp.                                             X                                   0          6,593      0
Innovative Clinical Solutn Ltd                         X                                   0          1,000      0
I.C.U. Med Inc.                                        X                                   0          5,600      0
Idacorp Inc                                            X                                   0         12,968      0
Id Biomedical Corp                                     X                                   0         10,500      0
Inter-Digital Communications Corp.                     X                                   0         18,105      0
Comparator Systems Corp. New                           X                                   0         10,000      0
Idm Environmental Corp                                 X                                   0            120      0
Intelli-check Inc                                      X                                   0          1,000      0
Indo Pac Intl Corp                                     X                                   0            250      0
IDEC Pharmaceutical Corp.                              X                                   0          4,339      0
Industrial Services of America                         X                                   0          1,000      0
IDT Corp.                                              X                                   0            500      0
Integrated Device Technology                           X                                   0          2,315      0
Identix Inc.                                           X                                   0            550      0
Idexx Laboratories Corp.                               X                                   0          1,700      0
International Enexco Ltd                               X                                   0            600      0
Iec Electrs Corp New                                   X                                   0          5,000      0
Indiana Energy Inc.                                    X                                   0          2,532      0
IEM S A Amern Shs                                      X                                   0             12      0
Ientertainment Network Inc                             X                                   0            250      0
Ies Utils Inc                                          X                                   0          1,520      0
IDEX Corp.                                             X                                   0          7,875      0
International Fibercom Inc.                            X                                   0            975      0
International Flavors & Fragrances                     X                                   0          6,030      0
Investors Financial Services Corp                      X                                   0          2,310      0
Informix Corp.                                         X                                   0        101,437      0
The India Fund, Inc.                                   X                                   0            800      0
IFR Sys Inc.                                           X                                   0             82      0
Interface Inc.                                         X                                   0         11,100      0
Infineon Technologies Ag                               X                                   0            800      0
Interstate Gen L P                                     X                                   0            500      0
Igen International  Inc.                               X                                   0          1,700      0
IMC Global Inc.                                        X                                   0            965      0
Internet Gold-golden Lines Ltd                         X                                   0          1,000      0
International Gaming Mgmt                              X                                   0          1,100      0
Igo Corp                                               X                                   0            680      0
International Game Technology                          X                                   0          3,501      0
Igate Capital Corp                                     X                                   0          5,035      0
Interstate Hotels Corp                                 X                                   0          1,018      0
International Home Foods Inc                           X                                   0          4,839      0
</TABLE>

<PAGE>


<TABLE>
<CAPTION>
            FORM 13F             NAME OF REPORTING MANAGER: LEGG MASON WOOD WALKER (IMS)                     Run Date: 04/13/2000
                                                            FOR POSITIONS HELD AS OF 03/31/2000              S.E.C. Use Only

                        Item 1:            Item 2:           Item 3:         Item 4:            Item 5:
                    Name of Issuer      Title of Class    CUSIP Number  Fair Market Value      Shares or
                                                                           (X $1000)         Principal Amt.

- ------------------------------------------------------------------------------------------------------------
<S>                                      <C>                 <C>                    <C>             <C>
Information Hldgs Inc                    Common Stock        456727106            106             3,380
Industrial Hldgs Inc.                    Common Stock        456160100             67            32,600
C Wts Industrial Holdings Inc            Common Stock        456160134             17            55,000
Integrated Health Services Inc.          Common Stock        45812C106             15            56,495
Morgan Stanley India Fund                MutualFdEqClose     61745C105             36             2,750
Investors Ins Group Inc                  Common Stock        461606105              0               100
Internet Infrastructr Holds Tr           Common Stock        46059V104             68             1,000
Internet Initiative Japan Inc            ADR                 46059T109            222             3,183
I T T Industries Inc.                    Common Stock        450911102            210             6,770
Indus Intl Inc                           Common Stock        45578L100              3               400
INA Investment Secs Inc.                 Common Stock        17179X106             32             2,200
Integrated Information Sys Inc           Common Stock        45817B103             12               550
II-IV Inc.                               Common Stock        902104108             46             1,200
Ixl Enterprises Inc                      Common Stock        450718101            209             7,450
IKON Office Solutions Inc.               Common Stock        451713101            524            84,732
Ilex Oncology Inc.                       Common Stock        451923106              4               100
Intelogic Trace Inc.                     Common Stock        45815W109              0             1,750
I-Link Inc.                              Common Stock        449927102             55             5,200
International Panorama Res Cp            Foreign Stock       459945101             13           306,000
Ingram Micro Inc.                        Common Stock        457153104            508            33,056
Imatron Inc                              Common Stock        452906100             62            17,375
Imax Corp.                               Common Stock        45245E109              4               200
International Multifoods Corp.           Common Stock        460043102              4               300
Imclone Systems Inc                      Common Stock        45245W109          7,283            94,735
Imaging Diagnostic Sys Inc               Common Stock        45244W100             42            16,150
Intl Meta Systems Inc                    Common Stock        45986B108              0             3,000
Immunogen Inc.                           Common Stock        45253H101             60             5,000
Imagex Com Inc                           Common Stock        45244D102             40             2,000
San Paolo-imi S P A                      ADR                 799175104             30             1,048
Indiana Michigan Power Jr Sub Debs       PFD QTR 30/360      454889817             11               500
Merrill Lynch & Co Inc                   PFD QTR 30/360      590188751              9               500
Immersion Corp                           Common Stock        452521107             15               250
Immunomedics Inc.                        Common Stock        452907108            606            23,495
Imation Corp.                            Common Stock        45245A107              6               240
Immune Response Corp. - Del              Common Stock        45252T106             64             5,550
Immunex Corp.                            Common Stock        452528102          3,098            48,839
Imperial Oil Ltd                         Common Stock        453038408             21             1,000
Imaginon Inc                             Common Stock        45246K104             11             4,250
Intermost Corp                           Common Stock        45881R109              8             2,000
Imperial Bancorp                         Common Stock        452556103             86             2,790
Impala Platinum Hldgs                    ADR                 452553209             17               500
Impath Inc                               Common Stock        45255G101             11               300
Impsat Fiber Networks Inc                Foreign Stock       45321T103             56             2,000
Imco Recycling Inc.                      Common Stock        449681105            136            12,250
IMR Global Corp.                         Common Stock        45321W106             72             5,000
Imsco Technologies Inc                   Common Stock        449697101             12            13,200
Grupo Imsa S A De C V                    ADR                 40048T106              3               259
Infonet Svcs Corp                        Common Stock        45666T106              2               100
Intellicorp Inc                          Common Stock        458153103              4               900
Internap Network Svcs Corp               Common Stock        45885A102              5               100
Industrial Bancorp Inc.                  Common Stock        455882100             36             3,400
Intercell Corp                           Common Stock        458441300              2             8,000
Incara Pharmaceuticals Corp              Common Stock        45324E103              1               100
Infocure Corp.                           Common Stock        45665A108             11               625
Incyte Pharmaceuticals Inc.              Common Stock        45337C102            123             1,419
American Indl Pptys Reit                 Common Stock        026791202             15             1,306
Independent Bank Corp.                   Common Stock        453836108            636            53,315

                        Item 1:                      Item 6:                Item 7:              Item 8:
                    Name of Issuer             Investment Discretion         Other        Voting Authority (Shares)
                                         (a) Sole (b)Shared as (c)Shared    Managers   (a) Sole  (b) Shared  (c) None
                                                       Def        Other
- --------------------------------------------------------------------------------------------------------------------
Information Hldgs Inc                                  X                                   0          3,380      0
Industrial Hldgs Inc.                                  X                                   0         32,600      0
C Wts Industrial Holdings Inc                          X                                   0         55,000      0
Integrated Health Services Inc.                        X                                   0         56,495      0
Morgan Stanley India Fund                              X                                   0          2,750      0
Investors Ins Group Inc                                X                                   0            100      0
Internet Infrastructr Holds Tr                         X                                   0          1,000      0
Internet Initiative Japan Inc                          X                                   0          3,183      0
I T T Industries Inc.                                  X                                   0          6,770      0
Indus Intl Inc                                         X                                   0            400      0
INA Investment Secs Inc.                               X                                   0          2,200      0
Integrated Information Sys Inc                         X                                   0            550      0
II-IV Inc.                                             X                                   0          1,200      0
Ixl Enterprises Inc                                    X                                   0          7,450      0
IKON Office Solutions Inc.                             X                                   0         84,732      0
Ilex Oncology Inc.                                     X                                   0            100      0
Intelogic Trace Inc.                                   X                                   0          1,750      0
I-Link Inc.                                            X                                   0          5,200      0
International Panorama Res Cp                          X                                   0        306,000      0
Ingram Micro Inc.                                      X                                   0         33,056      0
Imatron Inc                                            X                                   0         17,375      0
Imax Corp.                                             X                                   0            200      0
International Multifoods Corp.                         X                                   0            300      0
Imclone Systems Inc                                    X                                   0         94,735      0
Imaging Diagnostic Sys Inc                             X                                   0         16,150      0
Intl Meta Systems Inc                                  X                                   0          3,000      0
Immunogen Inc.                                         X                                   0          5,000      0
Imagex Com Inc                                         X                                   0          2,000      0
San Paolo-imi S P A                                    X                                   0          1,048      0
Indiana Michigan Power Jr Sub Debs                     X                                   0            500      0
Merrill Lynch & Co Inc                                 X                                   0            500      0
Immersion Corp                                         X                                   0            250      0
Immunomedics Inc.                                      X                                   0         23,495      0
Imation Corp.                                          X                                   0            240      0
Immune Response Corp. - Del                            X                                   0          5,550      0
Immunex Corp.                                          X                                   0         48,839      0
Imperial Oil Ltd                                       X                                   0          1,000      0
Imaginon Inc                                           X                                   0          4,250      0
Intermost Corp                                         X                                   0          2,000      0
Imperial Bancorp                                       X                                   0          2,790      0
Impala Platinum Hldgs                                  X                                   0            500      0
Impath Inc                                             X                                   0            300      0
Impsat Fiber Networks Inc                              X                                   0          2,000      0
Imco Recycling Inc.                                    X                                   0         12,250      0
IMR Global Corp.                                       X                                   0          5,000      0
Imsco Technologies Inc                                 X                                   0         13,200      0
Grupo Imsa S A De C V                                  X                                   0            259      0
Infonet Svcs Corp                                      X                                   0            100      0
Intellicorp Inc                                        X                                   0            900      0
Internap Network Svcs Corp                             X                                   0            100      0
Industrial Bancorp Inc.                                X                                   0          3,400      0
Intercell Corp                                         X                                   0          8,000      0
Incara Pharmaceuticals Corp                            X                                   0            100      0
Infocure Corp.                                         X                                   0            625      0
Incyte Pharmaceuticals Inc.                            X                                   0          1,419      0
American Indl Pptys Reit                               X                                   0          1,306      0
Independent Bank Corp.                                 X                                   0         53,315      0
</TABLE>

<PAGE>


<TABLE>
<CAPTION>
            FORM 13F             NAME OF REPORTING MANAGER: LEGG MASON WOOD WALKER (IMS)                     Run Date: 04/13/2000
                                                            FOR POSITIONS HELD AS OF 03/31/2000              S.E.C. Use Only

                        Item 1:            Item 2:           Item 3:         Item 4:            Item 5:
                    Name of Issuer      Title of Class    CUSIP Number  Fair Market Value      Shares or
                                                                           (X $1000)         Principal Amt.

- ------------------------------------------------------------------------------------------------------------
<S>                                      <C>                 <C>                    <C>             <C>
Independent Capital Trust II 11%         PFD QTR 30/360      45385B204            651            25,280
Independent Capital Trust I              PFD QTR 30/360      45384F206            681            31,135
Indigo NV                                Foreign Stock       N44495104             26             3,800
Individual Investor Group Inc.           Common Stock        455907105              5             1,000
Indo-Pacific Energy LTD                  Foreign Stock       455908103              1             3,000
Independent Energy Hldgs PLC ADR         ADR                 45384X108            154             3,439
Infinity Broadcasting Corp.              Common Stock        45662S102            128             3,954
Informatica Corp                         Common Stock        45666Q102             43               555
Infracorps Inc                           Common Stock        456826106              3            10,000
Infodata Systems Inc. New                Common Stock        456650209              1               232
Infonautics Corp - Cl A                  Common Stock        456662105             17             2,000
In Focus Systems Inc.                    Common Stock        452919103             10               285
Inforte Corp                             Common Stock        45677R107             10               200
Infosys Technologies Ltd                 ADR                 456788108            165               854
Ing Groep NV Spons ADR                   ADR                 456837103          6,628           120,501
Intergraph Corp.                         Common Stock        458683109              3               311
Inhale Therapeutic Sys Inc               Common Stock        457191104            270             3,625
International Isotopes Inc               Common Stock        45972C102              5               800
Interliant Inc                           Common Stock        458742103              8               300
Inkine Pharmaceutical Co Inc.            Common Stock        457214104             40             5,500
Inktomi Corp                             Common Stock        457277101          2,404            12,329
Inland Res Inc Wash                      Common Stock        457469302              0               100
Intermet Corp.                           Common Stock        45881K104             59             6,500
Interactive Network Inc.                 Common Stock        45837P108             12             3,000
Innovo Group Inc                         Common Stock        457954600              2             1,000
Innotrac Corporation                     Common Stock        45767M109             11             1,500
Innoveda Inc                             Common Stock        45769F102              6             1,000
International Paper Cap Tr               PFD QTR 30/360      460137300              9               195
Inprise Corp                             Common Stock        45766C102             13             1,950
Insci-statements Com Corp                Common Stock        45765T106            111            18,500
Infosoft International Inc.              Common Stock        457674109             23             1,685
Infospace Com Inc.                       Common Stock        45678T102            331             2,274
Insweb Corp                              Common Stock        45809K103            302            31,400
World Fuel Services Corp.                Common Stock        981475106              2               300
Intasys Corp                             Foreign Stock       45809M109             66             9,000
Intel Corp.                              Common Stock        458140100        125,310           949,767
Intelidata Technologies Corp.            Common Stock        45814T107            398            24,890
Interface Systems Inc                    Common Stock        458667102             10               150
Inter Tel Incorporated                   Common Stock        458372109             31             1,135
Intuit Corp.                             Common Stock        461202103            905            16,644
Intervoice Inc.                          Common Stock        461142101              1                36
Investorsbancorp Inc                     Common Stock        461833105              3               525
Innovex Inc.                             Common Stock        457647105            629            64,345
Input/Output Inc.                        Common Stock        457652105             79            12,900
Iomega Corp.                             Common Stock        462030107            119            31,081
Ionics Inc.                              Common Stock        462218108              9               350
Iona Technologies Plc                    ADR                 46206P109             52               700
Ion Networks Inc                         Common Stock        46205P100              7               200
International Paper Co.                  Common Stock        460146103          7,234           169,215
Integrated Packaging Assembly            Common Stock        457989101              1             2,800
Illinios Pwr Co Cum Pfd 4.2%             Preferred Stock     452092307              1                50
Illinois Power Co                        PFD QTR 30/360      452092406             17               600
Illinois Power Capital L P               PFDMthly 30/360     452085202          2,196            89,875
Illinois Power Financing I 8% Trust      PFD QTR 30/360      452101207            169             8,360
IPC Holdings Ltd                         Common Stock        G4933P101             61             5,100
Pets Com Inc                             Common Stock        71676K109              0               100
Interpublic Group Companies Inc.         Common Stock        460690100          5,220           110,478

                        Item 1:                      Item 6:                Item 7:              Item 8:
                    Name of Issuer             Investment Discretion         Other        Voting Authority (Shares)
                                         (a) Sole (b)Shared as (c)Shared    Managers   (a) Sole  (b) Shared  (c) None
                                                       Def        Other
- --------------------------------------------------------------------------------------------------------------------
Independent Capital Trust II 11%                       X                                   0         25,280      0
Independent Capital Trust I                            X                                   0         31,135      0
Indigo NV                                              X                                   0          3,800      0
Individual Investor Group Inc.                         X                                   0          1,000      0
Indo-Pacific Energy LTD                                X                                   0          3,000      0
Independent Energy Hldgs PLC ADR                       X                                   0          3,439      0
Infinity Broadcasting Corp.                            X                                   0          3,954      0
Informatica Corp                                       X                                   0            555      0
Infracorps Inc                                         X                                   0         10,000      0
Infodata Systems Inc. New                              X                                   0            232      0
Infonautics Corp - Cl A                                X                                   0          2,000      0
In Focus Systems Inc.                                  X                                   0            285      0
Inforte Corp                                           X                                   0            200      0
Infosys Technologies Ltd                               X                                   0            854      0
Ing Groep NV Spons ADR                                 X                                   0        120,501      0
Intergraph Corp.                                       X                                   0            311      0
Inhale Therapeutic Sys Inc                             X                                   0          3,625      0
International Isotopes Inc                             X                                   0            800      0
Interliant Inc                                         X                                   0            300      0
Inkine Pharmaceutical Co Inc.                          X                                   0          5,500      0
Inktomi Corp                                           X                                   0         12,329      0
Inland Res Inc Wash                                    X                                   0            100      0
Intermet Corp.                                         X                                   0          6,500      0
Interactive Network Inc.                               X                                   0          3,000      0
Innovo Group Inc                                       X                                   0          1,000      0
Innotrac Corporation                                   X                                   0          1,500      0
Innoveda Inc                                           X                                   0          1,000      0
International Paper Cap Tr                             X                                   0            195      0
Inprise Corp                                           X                                   0          1,950      0
Insci-statements Com Corp                              X                                   0         18,500      0
Infosoft International Inc.                            X                                   0          1,685      0
Infospace Com Inc.                                     X                                   0          2,274      0
Insweb Corp                                            X                                   0         31,400      0
World Fuel Services Corp.                              X                                   0            300      0
Intasys Corp                                           X                                   0          9,000      0
Intel Corp.                                            X                                   0        949,767      0
Intelidata Technologies Corp.                          X                                   0         24,890      0
Interface Systems Inc                                  X                                   0            150      0
Inter Tel Incorporated                                 X                                   0          1,135      0
Intuit Corp.                                           X                                   0         16,644      0
Intervoice Inc.                                        X                                   0             36      0
Investorsbancorp Inc                                   X                                   0            525      0
Innovex Inc.                                           X                                   0         64,345      0
Input/Output Inc.                                      X                                   0         12,900      0
Iomega Corp.                                           X                                   0         31,081      0
Ionics Inc.                                            X                                   0            350      0
Iona Technologies Plc                                  X                                   0            700      0
Ion Networks Inc                                       X                                   0            200      0
International Paper Co.                                X                                   0        169,215      0
Integrated Packaging Assembly                          X                                   0          2,800      0
Illinios Pwr Co Cum Pfd 4.2%                           X                                   0             50      0
Illinois Power Co                                      X                                   0            600      0
Illinois Power Capital L P                             X                                   0         89,875      0
Illinois Power Financing I 8% Trust                    X                                   0          8,360      0
IPC Holdings Ltd                                       X                                   0          5,100      0
Pets Com Inc                                           X                                   0            100      0
Interpublic Group Companies Inc.                       X                                   0        110,478      0
</TABLE>

<PAGE>


<TABLE>
<CAPTION>
            FORM 13F             NAME OF REPORTING MANAGER: LEGG MASON WOOD WALKER (IMS)                     Run Date: 04/13/2000
                                                            FOR POSITIONS HELD AS OF 03/31/2000              S.E.C. Use Only

                        Item 1:            Item 2:           Item 3:         Item 4:            Item 5:
                    Name of Issuer      Title of Class    CUSIP Number  Fair Market Value      Shares or
                                                                           (X $1000)         Principal Amt.

- ------------------------------------------------------------------------------------------------------------
<S>                                      <C>                 <C>                    <C>             <C>
Interneuron Pharmaceutical               Common Stock        460573108             70            23,450
Internet Pictures Corp.                  Common Stock        46059S101             10               286
Ipalco Enterprises Inc.                  Common Stock        462613100            170             8,738
Interplay Entertainment Corp.            Common Stock        460615107              4             1,000
Intl Precious Metals Corp                Foreign Stock       459960100              0             3,000
International Paper Cap TR III 7.875%    PFD QTR 30/360      460140205             88             4,000
Iparty Corp                              Common Stock        46261R107              7             3,000
Vialink Co                               Common Stock        92552Q101             50             1,510
Ingersoll-Rand Co                        Common Stock        456866102          2,061            46,587
Ireland Bank                             Foreign Stock       46267Q103              1                30
Imperial Petroleum Recovery Corp         Common Stock        453079105              7             3,000
Intl Rectifier Corp.                     Common Stock        460254105            159             4,180
Irdium World Communications Ltd Cl A     Common Stock        G49398103              4             5,125
Irish Investment Fd Inc.                 Common Stock        462710104             16             1,000
Iron Mountain, Inc.  Pa                  Common Stock        462846106            144             4,230
Irvine Sensors Corp                      Common Stock        463664102             37             3,500
IRT Property Co                          Common Stock        450058102            157            19,650
Interim Services Inc.                    Common Stock        45868P100          1,354            72,953
I C Isaacs & Co Inc.                     Common Stock        464192103              3             1,050
ISB Financial Corp.                      Common Stock        450091103              3               200
International Speedway Corp.             Common Stock        460335201            973            21,647
Intl Speedway Corp. Cl B                 Common Stock        460335300             36               800
Illinois Superconductor Corp             Common Stock        452284102             44             6,450
Iscor Ltd Sponsored ADR                  ADR                 464272202            367           137,327
International Shipholding Corp.          Common Stock        460321201             97            12,100
International Shoe Mfg Corp              Common Stock        460322100              2             5,000
Insignia Sys Inc                         Common Stock        45765Y105             10             2,500
Intersil Hldg Corp                       Common Stock        46069S109             26               500
ISIS Pharmaceuticals                     Common Stock        464330109             56             4,000
Digital Is Inc Del                       Common Stock        25385N101            425             6,972
In Store Media Systems Inc               Common Stock        45323V106              8             5,000
Interspeed Inc                           Common Stock        46070W107            220            10,300
Integrated Silicon Solution Inc.         Common Stock        45812P107             29             1,000
ISS Group Inc                            Common Stock        450306105             72               615
Ispat International NV                   ADR                 464899103             22             1,500
Insite Vision Inc                        Common Stock        457660108             24             4,000
Integral Sys Inc Md                      Common Stock        45810H107             24               530
Gartner Group Incorporated  Class A      Common Stock        366651107             20             1,285
Gartner Group Inc. - CL B                Common Stock        366651206              9               695
Intl Thoroughbred Brders Inc PFD Ser A   PreferdStk Conv     460491889              2             4,000
ITC Learning Corp                        Common Stock        45031S106            139            42,800
ITC Deltacom Inc.                        Common Stock        45031T104            228             6,400
Imaging Technologies Corp                Common Stock        45244U104             29            46,000
Investment Technology Group              Common Stock        46145F105             12               350
Intelligroup Inc                         Common Stock        45816A106             39             1,296
Intertan Inc.                            Common Stock        461120107            127             9,240
Itochu Corp - ADR                        ADR                 465717106             99             1,865
Intraware Inc                            Common Stock        46118M103             43             1,050
Intertrust Technologies Corp             Common Stock        46113Q109            180             4,225
Intertechnology Solar Inc                Common Stock        461126104              0               300
Illinois Tool Works                      Common Stock        452308109          3,247            58,761
12 Technologies Inc.                     Common Stock        465754109          1,357            11,115
IT Group Inc                             Common Stock        465266104             49             6,500
Infinite Technology Corp                 Common Stock        45069F109             31               655
Infrastructure Technologies              Common Stock        45683N108              0                50
Mark Iv Industries Inc.                  Common Stock        570387100             44             2,000
Invitrogen Corp                          Common Stock        46185R100             35               600

                        Item 1:                      Item 6:                Item 7:              Item 8:
                    Name of Issuer             Investment Discretion         Other        Voting Authority (Shares)
                                         (a) Sole (b)Shared as (c)Shared    Managers   (a) Sole  (b) Shared  (c) None
                                                       Def        Other
- --------------------------------------------------------------------------------------------------------------------
Interneuron Pharmaceutical                             X                                   0         23,450      0
Internet Pictures Corp.                                X                                   0            286      0
Ipalco Enterprises Inc.                                X                                   0          8,738      0
Interplay Entertainment Corp.                          X                                   0          1,000      0
Intl Precious Metals Corp                              X                                   0          3,000      0
International Paper Cap TR III 7.875%                  X                                   0          4,000      0
Iparty Corp                                            X                                   0          3,000      0
Vialink Co                                             X                                   0          1,510      0
Ingersoll-Rand Co                                      X                                   0         46,587      0
Ireland Bank                                           X                                   0             30      0
Imperial Petroleum Recovery Corp                       X                                   0          3,000      0
Intl Rectifier Corp.                                   X                                   0          4,180      0
Irdium World Communications Ltd Cl A                   X                                   0          5,125      0
Irish Investment Fd Inc.                               X                                   0          1,000      0
Iron Mountain, Inc.  Pa                                X                                   0          4,230      0
Irvine Sensors Corp                                    X                                   0          3,500      0
IRT Property Co                                        X                                   0         19,650      0
Interim Services Inc.                                  X                                   0         72,953      0
I C Isaacs & Co Inc.                                   X                                   0          1,050      0
ISB Financial Corp.                                    X                                   0            200      0
International Speedway Corp.                           X                                   0         21,647      0
Intl Speedway Corp. Cl B                               X                                   0            800      0
Illinois Superconductor Corp                           X                                   0          6,450      0
Iscor Ltd Sponsored ADR                                X                                   0        137,327      0
International Shipholding Corp.                        X                                   0         12,100      0
International Shoe Mfg Corp                            X                                   0          5,000      0
Insignia Sys Inc                                       X                                   0          2,500      0
Intersil Hldg Corp                                     X                                   0            500      0
ISIS Pharmaceuticals                                   X                                   0          4,000      0
Digital Is Inc Del                                     X                                   0          6,972      0
In Store Media Systems Inc                             X                                   0          5,000      0
Interspeed Inc                                         X                                   0         10,300      0
Integrated Silicon Solution Inc.                       X                                   0          1,000      0
ISS Group Inc                                          X                                   0            615      0
Ispat International NV                                 X                                   0          1,500      0
Insite Vision Inc                                      X                                   0          4,000      0
Integral Sys Inc Md                                    X                                   0            530      0
Gartner Group Incorporated  Class A                    X                                   0          1,285      0
Gartner Group Inc. - CL B                              X                                   0            695      0
Intl Thoroughbred Brders Inc PFD Ser A                 X                                   0          4,000      0
ITC Learning Corp                                      X                                   0         42,800      0
ITC Deltacom Inc.                                      X                                   0          6,400      0
Imaging Technologies Corp                              X                                   0         46,000      0
Investment Technology Group                            X                                   0            350      0
Intelligroup Inc                                       X                                   0          1,296      0
Intertan Inc.                                          X                                   0          9,240      0
Itochu Corp - ADR                                      X                                   0          1,865      0
Intraware Inc                                          X                                   0          1,050      0
Intertrust Technologies Corp                           X                                   0          4,225      0
Intertechnology Solar Inc                              X                                   0            300      0
Illinois Tool Works                                    X                                   0         58,761      0
12 Technologies Inc.                                   X                                   0         11,115      0
IT Group Inc                                           X                                   0          6,500      0
Infinite Technology Corp                               X                                   0            655      0
Infrastructure Technologies                            X                                   0             50      0
Mark Iv Industries Inc.                                X                                   0          2,000      0
Invitrogen Corp                                        X                                   0            600      0
</TABLE>

<PAGE>


<TABLE>
<CAPTION>
            FORM 13F             NAME OF REPORTING MANAGER: LEGG MASON WOOD WALKER (IMS)                     Run Date: 04/13/2000
                                                            FOR POSITIONS HELD AS OF 03/31/2000              S.E.C. Use Only

                        Item 1:            Item 2:           Item 3:         Item 4:            Item 5:
                    Name of Issuer      Title of Class    CUSIP Number  Fair Market Value      Shares or
                                                                           (X $1000)         Principal Amt.

- -----------------------------------------------------------------------------------------------------------
<S>                                      <C>                 <C>                    <C>             <C>
Ivillage Inc.                            Common Stock        46588H105             11               700
Invensys PLC Spons Adr                   ADR                 461204109          3,887           435,862
Ivoice Com Inc                           Common Stock        46588L106             30            15,000
Investor AB Stockholm                    Common Stock        W48102102             34             2,200
IVAX Corp.                               Common Stock        465823102            471            17,280
Interwoven Inc                           Common Stock        46114T102              5                50
Intelliworxx Inc                         Common Stock        45817E107             23             2,000
Orix Corporation - Spons ADR             ADR                 686330101            147             1,802
Iexalt Inc                               Common Stock        451691109             14             2,250
Ito Yokado Ltd ADR - New                 ADR                 465714301              1                20
JCC Holdings Company Cl A                Common Stock        46611Q205              6             3,326
Jos E. Seagram & Sons Inc SR             PFD QTR 30/360      811845205             30             1,400
JDN Realty Corp Pfd Ser A 9.375%         PFD QTR 30/360      465917201             24             1,400
Golden Bear Golf Inc.                    Common Stock        380975102              1             2,000
Jaco Electrs Inc                         Common Stock        469783104             12             1,000
Jakks Pacific Inc                        Common Stock        47012E106             61             2,850
Jameson Inns Inc                         Common Stock        470457102             22             3,374
Jardine Matheson Holdings Ltd. Spon AD   ADR                 471115303            948           244,387
Alltrista Corp                           Common Stock        020040101             11               500
J Alexander Corp.                        Common Stock        466096104            112            27,640
Baker J Inc                              Common Stock        057232100             56             8,000
Jabil Circuit Inc.                       Common Stock        466313103          1,326            30,670
Jack In the Box                          Common Stock        466367109          1,160            54,425
Jenny Craig, Inc.                        Common Stock        224206102              2             1,000
Jacada Ltd                               Common Stock        M6184R101              3               200
Johnson Controls Inc.                    Common Stock        478366107            701            12,967
Penney (J C) Co Inc.                     Common Stock        708160106            302            20,330
J D Edwards & Co                         Common Stock        281667105             42             1,275
JDN Realty Corp.                         Common Stock        465917102            125            12,087
Jardine Strategic Holdings Ltd           ADR                 471119206            111            27,130
JDS Uniphase Corp                        Common Stock        46612J101         14,910           123,668
Jacobs Engineering Group Inc.            Common Stock        469814107             74             2,310
Johnson Elec Hldgs Ltd                   ADR                 479087207             14               200
The Japan Equity Fund, Inc.              MutualFdEqClose     471057109             12             1,500
Harland John H Co                        Common Stock        412693103            122             9,050
Hancock John Finl Services Inc.          Common Stock        41014S106             79             4,359
James Hardie Inds Ltd Spon Adr           ADR                 47030C306              4             1,000
Jackson Hole Hldgs Corp                  Foreign Stock       46820W100              0            10,000
John Hancock Income Sec Trust            Common Stock        410123103             37             2,900
J & J Snack Foods Corp.                  Common Stock        466032109            825            41,488
Henry Jack & Associates Inc              Common Stock        426281101            476            12,900
JLG Industries Inc.                      Common Stock        466210101            382            41,850
Johns Manville Corp.                     Common Stock        478129109             88             8,038
Jmar Inc.                                Common Stock        466212107              2               200
Jones Pharma Inc                         Common Stock        480236108             58             1,923
The John Nuveen Co Cl A                  Common Stock        478035108            594            15,524
Jni Corp                                 Common Stock        46622G105          1,079            21,209
Johnson & Johnson                        Common Stock        478160104         25,011           356,974
Juniper Networks                         Common Stock        48203R104          3,141            11,919
Jones Apparel Group, Inc.                Common Stock        480074103             35             1,095
St Joe Corp.                             Common Stock        790148100            135             4,666
Jostens Inc.                             Common Stock        481088102             22               900
Jefferson-Pilot Corp.                    Common Stock        475070108          2,326            34,946
J P Morgan & Co.                         Common Stock        616880100          6,003            45,564
Morgan JP & Co Inc. Adj Rate             PFD QTR 30/360      616880209             58               800
Morgan J P & Co Inc                      PFD QTR 30/360      616880886             15               300
Japan Telecom Co Ltd                     ADR                 471104109            165             1,942

                        Item 1:                      Item 6:                Item 7:              Item 8:
                    Name of Issuer             Investment Discretion         Other        Voting Authority (Shares)
                                         (a) Sole (b)Shared as (c)Shared    Managers   (a) Sole  (b) Shared  (c) None
                                                       Def        Other
- --------------------------------------------------------------------------------------------------------------------
Ivillage Inc.                                          X                                   0            700      0
Invensys PLC Spons Adr                                 X                                   0        435,862      0
Ivoice Com Inc                                         X                                   0         15,000      0
Investor AB Stockholm                                  X                                   0          2,200      0
IVAX Corp.                                             X                                   0         17,280      0
Interwoven Inc                                         X                                   0             50      0
Intelliworxx Inc                                       X                                   0          2,000      0
Orix Corporation - Spons ADR                           X                                   0          1,802      0
Iexalt Inc                                             X                                   0          2,250      0
Ito Yokado Ltd ADR - New                               X                                   0             20      0
JCC Holdings Company Cl A                              X                                   0          3,326      0
Jos E. Seagram & Sons Inc SR                           X                                   0          1,400      0
JDN Realty Corp Pfd Ser A 9.375%                       X                                   0          1,400      0
Golden Bear Golf Inc.                                  X                                   0          2,000      0
Jaco Electrs Inc                                       X                                   0          1,000      0
Jakks Pacific Inc                                      X                                   0          2,850      0
Jameson Inns Inc                                       X                                   0          3,374      0
Jardine Matheson Holdings Ltd. Spon AD                 X                                   0        244,387      0
Alltrista Corp                                         X                                   0            500      0
J Alexander Corp.                                      X                                   0         27,640      0
Baker J Inc                                            X                                   0          8,000      0
Jabil Circuit Inc.                                     X                                   0         30,670      0
Jack In the Box                                        X                                   0         54,425      0
Jenny Craig, Inc.                                      X                                   0          1,000      0
Jacada Ltd                                             X                                   0            200      0
Johnson Controls Inc.                                  X                                   0         12,967      0
Penney (J C) Co Inc.                                   X                                   0         20,330      0
J D Edwards & Co                                       X                                   0          1,275      0
JDN Realty Corp.                                       X                                   0         12,087      0
Jardine Strategic Holdings Ltd                         X                                   0         27,130      0
JDS Uniphase Corp                                      X                                   0        123,668      0
Jacobs Engineering Group Inc.                          X                                   0          2,310      0
Johnson Elec Hldgs Ltd                                 X                                   0            200      0
The Japan Equity Fund, Inc.                            X                                   0          1,500      0
Harland John H Co                                      X                                   0          9,050      0
Hancock John Finl Services Inc.                        X                                   0          4,359      0
James Hardie Inds Ltd Spon Adr                         X                                   0          1,000      0
Jackson Hole Hldgs Corp                                X                                   0         10,000      0
John Hancock Income Sec Trust                          X                                   0          2,900      0
J & J Snack Foods Corp.                                X                                   0         41,488      0
Henry Jack & Associates Inc                            X                                   0         12,900      0
JLG Industries Inc.                                    X                                   0         41,850      0
Johns Manville Corp.                                   X                                   0          8,038      0
Jmar Inc.                                              X                                   0            200      0
Jones Pharma Inc                                       X                                   0          1,923      0
The John Nuveen Co Cl A                                X                                   0         15,524      0
Jni Corp                                               X                                   0         21,209      0
Johnson & Johnson                                      X                                   0        356,974      0
Juniper Networks                                       X                                   0         11,919      0
Jones Apparel Group, Inc.                              X                                   0          1,095      0
St Joe Corp.                                           X                                   0          4,666      0
Jostens Inc.                                           X                                   0            900      0
Jefferson-Pilot Corp.                                  X                                   0         34,946      0
J P Morgan & Co.                                       X                                   0         45,564      0
Morgan JP & Co Inc. Adj Rate                           X                                   0            800      0
Morgan J P & Co Inc                                    X                                   0            300      0
Japan Telecom Co Ltd                                   X                                   0          1,942      0
</TABLE>

<PAGE>


<TABLE>
<CAPTION>
            FORM 13F             NAME OF REPORTING MANAGER: LEGG MASON WOOD WALKER (IMS)                     Run Date: 04/13/2000
                                                            FOR POSITIONS HELD AS OF 03/31/2000              S.E.C. Use Only

                        Item 1:            Item 2:           Item 3:         Item 4:            Item 5:
                    Name of Issuer      Title of Class    CUSIP Number  Fair Market Value      Shares or
                                                                           (X $1000)         Principal Amt.

- ------------------------------------------------------------------------------------------------------------
<S>                                      <C>                 <C>                    <C>             <C>
Jupiter Communications Inc               Common Stock        482050101             79             3,450
James River Bankshares Inc. - VA         Common Stock        470345109             63             5,900
Journal Register Company                 Common Stock        481138105              3               175
The Cincinnati Gas & Elec Co             PFD QTR 30/360      172070831             14               600
Jacobson Resonance Enterprises           Common Stock        469830103             11             6,200
Jefferson Smurfit Group PLC Spons ADR    ADR                 47508W107            614            22,728
J Sainsbury Plc Sponsored Adr            ADR                 466249109          2,763           153,129
Jotan Inc                                Common Stock        481093102              0            12,000
Judge Group Inc                          Common Stock        481271104              8             3,000
Juno Lighting Inc                        Common Stock        482047206              1                75
Jusco Co Ltd Adr                         ADR                 482131208             12                80
Wiley John & Sons                        Common Stock        968223206             25             1,400
Juno Online Svcs Inc.                    Common Stock        482048105              6               400
J W Genesis Finl Corp.                   Common Stock        482227105             23             1,500
Jefferson-Williams Energy Corp           Common Stock        475491106              1             4,150
Nordstrom Inc.                           Common Stock        655664100            527            17,880
JCP&L Capital LP 8.56% Cum Monthly       PFD QTR 30/360      46611K208             59             2,500
Kellogg Co                               Common Stock        487836108            598            23,333
Kaneb Services Inc.                      Common Stock        484170105              1               200
Kaire Holdings Inc                       Common Stock        483003109              3             5,000
Kaman Corp. A                            Common Stock        483548103            146            15,000
Kana Communications                      Common Stock        483600102             24               350
KAO Corporation ADR                      ADR                 485537203              6                20
Koala Corp.                              Common Stock        499866101              4               300
Kbf Pollution Mgmt Inc                   Common Stock        482396108              1             1,000
Keebler Foods Co.                        Common Stock        487256109             10               350
Kenneth Cole Productions INc. Cl A       Common Stock        193294105             19               487
Kanas City Power & Light 4.20% PFD       PFD QTR 30/360      485134407             12               200
Kaydon Corp.                             Common Stock        486587108            697            25,505
Koger Equity Inc.                        Common Stock        500228101             90             5,200
Keane, Inc.                              Common Stock        486665102            791            31,330
Keene Corp                               Common Stock        487315103              0             1,000
Key Energy Group Inc.                    Common Stock        492914106              2               200
Keithley Instrs Inc                      Common Stock        487584104              3                55
Kemet Corp.                              Common Stock        488360108            710            11,227
Korea Electric Power Corp. ADR           ADR                 500631106            395            24,973
Keravision Inc.                          Common Stock        492061106              9             1,450
Kirby Corp                               Common Stock        497266106             18               900
Keycorp New                              Common Stock        493267108            694            36,538
Korea Fund Inc.                          MutualFdEqClose     500634100             94             6,280
Klamath First Bancorp Inc.               Common Stock        49842P103              2               190
Krauses Furniture Inc New                Common Stock        500760202              2               400
Kinross Gold Corp.                       Foreign Stock       496902107              1               320
Kemper Intermed Govt Trust               Common Stock        488413105            109            17,225
First Years Inc                          Common Stock        337610109            256            36,915
4 Kids Entertainment Inc.                Common Stock        350865101            178             7,550
KIMCO Realty Corp.                       Common Stock        49446R109             85             2,276
KIMCO Realty 8.5% Cumulative             Preferred Stock     49446R505              8               400
Kimco Realty Cum Pfd                     PFD QTR 30/360      49446R604             10               500
Kimco Realty Corp 7.50% Pfd              PFD QTR 30/360      49446R877              2                72
Kimco Realty Corp                        PFD QTR 30/360      49446R307              4               200
King Pharmaceuticals Inc                 Common Stock        495582108            407            12,922
Meridian Diagnostics Inc.                Common Stock        589602101             17             2,000
Kanakaris Communications Inc             Common Stock        483615100              3             1,000
Kalahari Res Inc                         Foreign Stock       482903101              1             6,300
KLA Tencor Corp.                         Common Stock        482480100          1,599            18,983
Kulicke & Soffa Ina Inc.                 Common Stock        501242101             82             1,275

                        Item 1:                      Item 6:                Item 7:              Item 8:
                    Name of Issuer             Investment Discretion         Other        Voting Authority (Shares)
                                         (a) Sole (b)Shared as (c)Shared    Managers   (a) Sole  (b) Shared  (c) None
                                                       Def        Other
- --------------------------------------------------------------------------------------------------------------------
Jupiter Communications Inc                             X                                   0          3,450      0
James River Bankshares Inc. - VA                       X                                   0          5,900      0
Journal Register Company                               X                                   0            175      0
The Cincinnati Gas & Elec Co                           X                                   0            600      0
Jacobson Resonance Enterprises                         X                                   0          6,200      0
Jefferson Smurfit Group PLC Spons ADR                  X                                   0         22,728      0
J Sainsbury Plc Sponsored Adr                          X                                   0        153,129      0
Jotan Inc                                              X                                   0         12,000      0
Judge Group Inc                                        X                                   0          3,000      0
Juno Lighting Inc                                      X                                   0             75      0
Jusco Co Ltd Adr                                       X                                   0             80      0
Wiley John & Sons                                      X                                   0          1,400      0
Juno Online Svcs Inc.                                  X                                   0            400      0
J W Genesis Finl Corp.                                 X                                   0          1,500      0
Jefferson-Williams Energy Corp                         X                                   0          4,150      0
Nordstrom Inc.                                         X                                   0         17,880      0
JCP&L Capital LP 8.56% Cum Monthly                     X                                   0          2,500      0
Kellogg Co                                             X                                   0         23,333      0
Kaneb Services Inc.                                    X                                   0            200      0
Kaire Holdings Inc                                     X                                   0          5,000      0
Kaman Corp. A                                          X                                   0         15,000      0
Kana Communications                                    X                                   0            350      0
KAO Corporation ADR                                    X                                   0             20      0
Koala Corp.                                            X                                   0            300      0
Kbf Pollution Mgmt Inc                                 X                                   0          1,000      0
Keebler Foods Co.                                      X                                   0            350      0
Kenneth Cole Productions INc. Cl A                     X                                   0            487      0
Kanas City Power & Light 4.20% PFD                     X                                   0            200      0
Kaydon Corp.                                           X                                   0         25,505      0
Koger Equity Inc.                                      X                                   0          5,200      0
Keane, Inc.                                            X                                   0         31,330      0
Keene Corp                                             X                                   0          1,000      0
Key Energy Group Inc.                                  X                                   0            200      0
Keithley Instrs Inc                                    X                                   0             55      0
Kemet Corp.                                            X                                   0         11,227      0
Korea Electric Power Corp. ADR                         X                                   0         24,973      0
Keravision Inc.                                        X                                   0          1,450      0
Kirby Corp                                             X                                   0            900      0
Keycorp New                                            X                                   0         36,538      0
Korea Fund Inc.                                        X                                   0          6,280      0
Klamath First Bancorp Inc.                             X                                   0            190      0
Krauses Furniture Inc New                              X                                   0            400      0
Kinross Gold Corp.                                     X                                   0            320      0
Kemper Intermed Govt Trust                             X                                   0         17,225      0
First Years Inc                                        X                                   0         36,915      0
4 Kids Entertainment Inc.                              X                                   0          7,550      0
KIMCO Realty Corp.                                     X                                   0          2,276      0
KIMCO Realty 8.5% Cumulative                           X                                   0            400      0
Kimco Realty Cum Pfd                                   X                                   0            500      0
Kimco Realty Corp 7.50% Pfd                            X                                   0             72      0
Kimco Realty Corp                                      X                                   0            200      0
King Pharmaceuticals Inc                               X                                   0         12,922      0
Meridian Diagnostics Inc.                              X                                   0          2,000      0
Kanakaris Communications Inc                           X                                   0          1,000      0
Kalahari Res Inc                                       X                                   0          6,300      0
KLA Tencor Corp.                                       X                                   0         18,983      0
Kulicke & Soffa Ina Inc.                               X                                   0          1,275      0
</TABLE>

<PAGE>


<TABLE>
<CAPTION>
            FORM 13F             NAME OF REPORTING MANAGER: LEGG MASON WOOD WALKER (IMS)                     Run Date: 04/13/2000
                                                            FOR POSITIONS HELD AS OF 03/31/2000              S.E.C. Use Only

                        Item 1:            Item 2:           Item 3:         Item 4:            Item 5:
                    Name of Issuer      Title of Class    CUSIP Number  Fair Market Value      Shares or
                                                                           (X $1000)         Principal Amt.

- -----------------------------------------------------------------------------------------------------------
<S>                                      <C>                 <C>                    <C>             <C>
KLM Royal Dutch Airlines                 ADR                 482516309            197             9,395
Kushner Locke Co.                        Common Stock        501337406             16             4,000
Kansas City Power & Light Co             Common Stock        485134100            117             4,031
Kansas City Power & Light 3.80% Pfd      PFD QTR 30/360      485134209             16               300
Kansas City Pwr & Lt Co 4.50 Pfd         Preferred Stock     485134605             22               335
Kcpl Fing I                              PFD QTR 30/360      482432200             50             2,200
Kaiser Aluminum Corp                     Common Stock        483007100             14             3,000
Kellys Coffee Group Inc                  Common Stock        488159104              0               750
K Mart Corp.                             Common Stock        482584109            511            52,740
KMart Financing I 7.75% Conv             PreferdStk Conv     498778208             26               615
Komag Inc.                               Common Stock        500453105              6             1,480
Kimberly-Clark Corp.                     Common Stock        494368103          5,194            92,751
Kerr-McGee Corp.                         Common Stock        492386107            709            12,285
Kinder Morgan Inc                        Common Stock        49455P101             40             1,163
Kemper Multi Mkt Income Tr               Common Stock        48842B106            244            30,000
Kinder Morgan Energy Partners LP         Common Stock        494550106          1,083            27,292
Kennametal Inc.                          Common Stock        489170100            159             5,280
Komatsu LTD - Spons ADR                  ADR                 500458401          2,688           141,225
Circuit City Stores Inc.-Carmax          Common Stock        172737306            494           149,200
KN Energy Inc - PFD Conv Premium Equit   PreferdStk Conv     482620507             10               215
Knight Transn Inc                        Common Stock        499064103             11               600
Knot Inc                                 Common Stock        499184109             49             6,700
Kensey Nash Corp                         Common Stock        490057106              3               200
Kent Electronics Corp.                   Common Stock        490553104             32             1,100
Knox Nursery Inc                         Common Stock        499616100              1             1,000
Coca Cola Co.                            Common Stock        191216100         19,248           410,066
Coca-Cola FENSA CV Spons ADR             ADR                 191241108             30             1,600
Kollmorgen Corp.                         Common Stock        500440102             40             2,910
Drkoop Com Inc                           Common Stock        262098106             10             2,782
Kopin Corp.                              Common Stock        500600101            199             2,900
Korea Thrunet Co Ltd                     Foreign Stock       Y49975108             12               300
KOS Pharmaceuticals Inc.                 Common Stock        500648100             14             1,000
Key Production Company Inc               Common Stock        493138101             24             1,800
Inkeepers USA Trust                      Common Stock        4576J0104             62             7,606
Kentucky Power Co                        PFD QTR 30/360      491386108             28             1,200
Royal KPN Nederland NV Spon ADR          ADR                 780641205            259             2,254
Kaneb Pipe Line Partners LP SR Pref      LTD Part  P4        484169107              9               350
Kpnqwest N V                             Foreign Stock       N50919104             81             1,500
Kroger Co.                               Common Stock        501044101          1,394            79,385
MBNA Corp.                               Common Stock        55262L100          9,040           354,502
MBNA Corp. 7.50% Cum Pfd Ser A           PFD QTR 30/360      55262L209              4               150
Kilroy Realty Corp.                      Common Stock        49427F108              4               200
Capital Re LLC 7.65% Cum Pfd             PFDMthly 30/360     P20578103            165             8,100
Knight-Ridder Inc.                       Common Stock        499040103          1,092            21,444
Kroll O Gara Co.                         Common Stock        501050108              1               100
Kronos Inc.                              Common Stock        501052104            115             3,867
Kranzco Realty Trust                     Common Stock        50076E103             44             5,111
Europa Cruise Corp                       Common Stock        298738105              0                25
Crystallex International Corp.           Foreign Stock       22942F101              4             2,000
Keyspan Corporation                      Common Stock        49337W100            367            13,300
Keyspan Corp                             PFD 30/360 P1       49337W209             10               400
Kaiser Group International Inc           Common Stock        483060109              0               200
Kendall Square Resh Corp                 Common Stock        488789108              0               100
Kohls Corp.                              Common Stock        500255104          1,388            13,540
Keystone Financial Inc.                  Common Stock        493482103            136             7,382
Kansas City Southern Ind Inc.            Common Stock        485170104            679             7,900
K-Swiss Inc. Cl A                        Common Stock        482686102            476            32,143

                        Item 1:                      Item 6:                Item 7:              Item 8:
                    Name of Issuer             Investment Discretion         Other        Voting Authority (Shares)
                                         (a) Sole (b)Shared as (c)Shared    Managers   (a) Sole  (b) Shared  (c) None
                                                       Def        Other
- --------------------------------------------------------------------------------------------------------------------
KLM Royal Dutch Airlines                               X                                   0          9,395      0
Kushner Locke Co.                                      X                                   0          4,000      0
Kansas City Power & Light Co                           X                                   0          4,031      0
Kansas City Power & Light 3.80% Pfd                    X                                   0            300      0
Kansas City Pwr & Lt Co 4.50 Pfd                       X                                   0            335      0
Kcpl Fing I                                            X                                   0          2,200      0
Kaiser Aluminum Corp                                   X                                   0          3,000      0
Kellys Coffee Group Inc                                X                                   0            750      0
K Mart Corp.                                           X                                   0         52,740      0
KMart Financing I 7.75% Conv                           X                                   0            615      0
Komag Inc.                                             X                                   0          1,480      0
Kimberly-Clark Corp.                                   X                                   0         92,751      0
Kerr-McGee Corp.                                       X                                   0         12,285      0
Kinder Morgan Inc                                      X                                   0          1,163      0
Kemper Multi Mkt Income Tr                             X                                   0         30,000      0
Kinder Morgan Energy Partners LP                       X                                   0         27,292      0
Kennametal Inc.                                        X                                   0          5,280      0
Komatsu LTD - Spons ADR                                X                                   0        141,225      0
Circuit City Stores Inc.-Carmax                        X                                   0        149,200      0
KN Energy Inc - PFD Conv Premium Equit                 X                                   0            215      0
Knight Transn Inc                                      X                                   0            600      0
Knot Inc                                               X                                   0          6,700      0
Kensey Nash Corp                                       X                                   0            200      0
Kent Electronics Corp.                                 X                                   0          1,100      0
Knox Nursery Inc                                       X                                   0          1,000      0
Coca Cola Co.                                          X                                   0        410,066      0
Coca-Cola FENSA CV Spons ADR                           X                                   0          1,600      0
Kollmorgen Corp.                                       X                                   0          2,910      0
Drkoop Com Inc                                         X                                   0          2,782      0
Kopin Corp.                                            X                                   0          2,900      0
Korea Thrunet Co Ltd                                   X                                   0            300      0
KOS Pharmaceuticals Inc.                               X                                   0          1,000      0
Key Production Company Inc                             X                                   0          1,800      0
Inkeepers USA Trust                                    X                                   0          7,606      0
Kentucky Power Co                                      X                                   0          1,200      0
Royal KPN Nederland NV Spon ADR                        X                                   0          2,254      0
Kaneb Pipe Line Partners LP SR Pref                    X                                   0            350      0
Kpnqwest N V                                           X                                   0          1,500      0
Kroger Co.                                             X                                   0         79,385      0
MBNA Corp.                                             X                                   0        354,502      0
MBNA Corp. 7.50% Cum Pfd Ser A                         X                                   0            150      0
Kilroy Realty Corp.                                    X                                   0            200      0
Capital Re LLC 7.65% Cum Pfd                           X                                   0          8,100      0
Knight-Ridder Inc.                                     X                                   0         21,444      0
Kroll O Gara Co.                                       X                                   0            100      0
Kronos Inc.                                            X                                   0          3,867      0
Kranzco Realty Trust                                   X                                   0          5,111      0
Europa Cruise Corp                                     X                                   0             25      0
Crystallex International Corp.                         X                                   0          2,000      0
Keyspan Corporation                                    X                                   0         13,300      0
Keyspan Corp                                           X                                   0            400      0
Kaiser Group International Inc                         X                                   0            200      0
Kendall Square Resh Corp                               X                                   0            100      0
Kohls Corp.                                            X                                   0         13,540      0
Keystone Financial Inc.                                X                                   0          7,382      0
Kansas City Southern Ind Inc.                          X                                   0          7,900      0
K-Swiss Inc. Cl A                                      X                                   0         32,143      0
</TABLE>

<PAGE>


<TABLE>
<CAPTION>
            FORM 13F             NAME OF REPORTING MANAGER: LEGG MASON WOOD WALKER (IMS)                     Run Date: 04/13/2000
                                                            FOR POSITIONS HELD AS OF 03/31/2000              S.E.C. Use Only

                        Item 1:            Item 2:           Item 3:         Item 4:            Item 5:
                    Name of Issuer      Title of Class    CUSIP Number  Fair Market Value      Shares or
                                                                           (X $1000)         Principal Amt.

- -----------------------------------------------------------------------------------------------------------
<S>                                      <C>                 <C>                    <C>             <C>
Katy Industries Inc.                     Common Stock        486026107             28             3,000
Korea Telecom                            ADR                 50063P103             52             1,180
Kenan Transport Co                       Common Stock        488539107             42             2,300
K-Tel International Inc.                 Common Stock        482724200             13             1,800
K2 Inc.                                  Common Stock        482732104             84            10,600
Kubota Corp. - Spons ADR                 ADR                 501173207            101             1,460
Kentucky Utils Co Pfd 4.75%              PFD QTR 30/360      491674206              1                10
K V Pharmaceutical Co                    Common Stock        482740206              2                75
Kellwood Co                              Common Stock        488044108              4               200
Quaker Chemical Corp.                    Common Stock        747316107             14               800
Kyocera Corp. Spons ADR                  ADR                 501556203          6,114            36,831
Liberty Financial Companies Inc.         Common Stock        530512102            165             8,335
Life Medical Tech Inc.                   Common Stock        531931301              0                 1
LM Valquest Partners                     LTD Part  P0        L003091              255               195
Lab One Inc New                          Common Stock        50540L105              4               675
LaFarge Corp.                            Common Stock        505862102            175             7,380
Lakota Technologies Inc                  Common Stock        51280P108              1             1,000
Latin American Investment Fd Inc.        MutualFdEqClose     518279104             48             3,532
Lamar Advertising Co                     Common Stock        512815101             84             1,850
Lancer Corp. - Tex                       Common Stock        514614106             18             4,200
Lancaster Colony Corp.                   Common Stock        513847103            105             3,435
The Latin America Equity Fund, Inc.      Common Stock        51827T100            326            24,347
Laura Ashley Holdings PLC ORD            Common Stock        G53872100              0             1,000
Larscom Inc. Cl A                        Common Stock        51729Y108             48             7,300
Lasersight Inc.                          Common Stock        517924106              4               660
Latitude Communications Inc              Common Stock        518292107            175             6,650
Lord Abbett Mid Cap Value Fd             Common Stock        543919104              2               116
Lafayette Bancorporation                 Common Stock        505893107             20             1,182
Labor Ready Inc.                         Common Stock        505401208             19             1,876
Lbp Inc                                  Common Stock        50179V101              1               150
Liberate Technologies                    Common Stock        530129105             30               475
Lifeline Biotechnologies Inc.            Common Stock        53219E303              1             1,000
Libbey, Inc.                             Common Stock        529898108             52             1,900
Liberty Corp.                            Common Stock        530370105            131             3,500
Leisure Canada Inc                       Foreign Stock       524911104             36            30,000
LCA-Vision Inc.                          Common Stock        501803209              4               804
Landmark/cmnty Bancorp Inc               Common Stock        515057107              0               528
Lifecore Biomedical Inc                  Common Stock        532187101              9             1,000
Lamar Capital Corp                       Common Stock        51282P106              4               500
Landacorp Inc                            Common Stock        514756105              6               600
Lycos Inc.                               Common Stock        550818108            480             6,834
Lincorp Holdings Inc.                    Common Stock        535100101              0               199
El Sitio Inc                             Foreign Stock       G30177102             11               500
Louis Dreyfus Natural Gas CP             Common Stock        546011107             80             2,339
Leading Edge Ind Inc                     Common Stock        521707109              0            30,000
Latin American Discovery Fd Inc.         MutualFdEqClose     51828C106             23             2,000
London Pacific Group Ltd Sponsored Adr   ADR                 542073101            235            10,100
Landauer Inc.                            Common Stock        51476K103              4               200
Landry's Seafood Restaurants Inc.        Common Stock        51508L103              1               140
Laidlaw Inc. New                         Common Stock        50730K503             10             7,050
Lands End Incorporated                   Common Stock        515086106            871            14,170
Lear Corp.                               Common Stock        521865105             31             1,100
Lechters Corp                            Common Stock        523238103             71            43,650
Lincoln Elec Co Holdings Inc             Common Stock        533900106            644            26,625
Lectec Corp                              Common Stock        523251106              8             2,000
Lee Enterprises, Inc.                    Common Stock        523768109          1,477            56,530
Leading Edge Earth Products              Common Stock        521706101              0             1,000

                        Item 1:                      Item 6:                Item 7:              Item 8:
                    Name of Issuer             Investment Discretion         Other        Voting Authority (Shares)
                                         (a) Sole (b)Shared as (c)Shared    Managers   (a) Sole  (b) Shared  (c) None
                                                       Def        Other
- --------------------------------------------------------------------------------------------------------------------
Katy Industries Inc.                                   X                                   0          3,000      0
Korea Telecom                                          X                                   0          1,180      0
Kenan Transport Co                                     X                                   0          2,300      0
K-Tel International Inc.                               X                                   0          1,800      0
K2 Inc.                                                X                                   0         10,600      0
Kubota Corp. - Spons ADR                               X                                   0          1,460      0
Kentucky Utils Co Pfd 4.75%                            X                                   0             10      0
K V Pharmaceutical Co                                  X                                   0             75      0
Kellwood Co                                            X                                   0            200      0
Quaker Chemical Corp.                                  X                                   0            800      0
Kyocera Corp. Spons ADR                                X                                   0         36,831      0
Liberty Financial Companies Inc.                       X                                   0          8,335      0
Life Medical Tech Inc.                                 X                                   0              1      0
LM Valquest Partners                                   X                                   0            195      0
Lab One Inc New                                        X                                   0            675      0
LaFarge Corp.                                          X                                   0          7,380      0
Lakota Technologies Inc                                X                                   0          1,000      0
Latin American Investment Fd Inc.                      X                                   0          3,532      0
Lamar Advertising Co                                   X                                   0          1,850      0
Lancer Corp. - Tex                                     X                                   0          4,200      0
Lancaster Colony Corp.                                 X                                   0          3,435      0
The Latin America Equity Fund, Inc.                    X                                   0         24,347      0
Laura Ashley Holdings PLC ORD                          X                                   0          1,000      0
Larscom Inc. Cl A                                      X                                   0          7,300      0
Lasersight Inc.                                        X                                   0            660      0
Latitude Communications Inc                            X                                   0          6,650      0
Lord Abbett Mid Cap Value Fd                           X                                   0            116      0
Lafayette Bancorporation                               X                                   0          1,182      0
Labor Ready Inc.                                       X                                   0          1,876      0
Lbp Inc                                                X                                   0            150      0
Liberate Technologies                                  X                                   0            475      0
Lifeline Biotechnologies Inc.                          X                                   0          1,000      0
Libbey, Inc.                                           X                                   0          1,900      0
Liberty Corp.                                          X                                   0          3,500      0
Leisure Canada Inc                                     X                                   0         30,000      0
LCA-Vision Inc.                                        X                                   0            804      0
Landmark/cmnty Bancorp Inc                             X                                   0            528      0
Lifecore Biomedical Inc                                X                                   0          1,000      0
Lamar Capital Corp                                     X                                   0            500      0
Landacorp Inc                                          X                                   0            600      0
Lycos Inc.                                             X                                   0          6,834      0
Lincorp Holdings Inc.                                  X                                   0            199      0
El Sitio Inc                                           X                                   0            500      0
Louis Dreyfus Natural Gas CP                           X                                   0          2,339      0
Leading Edge Ind Inc                                   X                                   0         30,000      0
Latin American Discovery Fd Inc.                       X                                   0          2,000      0
London Pacific Group Ltd Sponsored Adr                 X                                   0         10,100      0
Landauer Inc.                                          X                                   0            200      0
Landry's Seafood Restaurants Inc.                      X                                   0            140      0
Laidlaw Inc. New                                       X                                   0          7,050      0
Lands End Incorporated                                 X                                   0         14,170      0
Lear Corp.                                             X                                   0          1,100      0
Lechters Corp                                          X                                   0         43,650      0
Lincoln Elec Co Holdings Inc                           X                                   0         26,625      0
Lectec Corp                                            X                                   0          2,000      0
Lee Enterprises, Inc.                                  X                                   0         56,530      0
Leading Edge Earth Products                            X                                   0          1,000      0
</TABLE>

<PAGE>


<TABLE>
<CAPTION>
            FORM 13F             NAME OF REPORTING MANAGER: LEGG MASON WOOD WALKER (IMS)                     Run Date: 04/13/2000
                                                            FOR POSITIONS HELD AS OF 03/31/2000              S.E.C. Use Only

                        Item 1:            Item 2:           Item 3:         Item 4:            Item 5:
                    Name of Issuer      Title of Class    CUSIP Number  Fair Market Value      Shares or
                                                                           (X $1000)         Principal Amt.

- -----------------------------------------------------------------------------------------------------------
<S>                                      <C>                 <C>                    <C>             <C>
Leggett & Platt Inc.                     Common Stock        524660107          1,371            63,745
Lehman Brothers Holdings Inc             Common Stock        524908100          1,614            16,639
Lennar Corp.                             Common Stock        526057104            366            16,875
Concord Camera Corp. MA                  Common Stock        206156101             55             1,000
Dreyfus Strategic Municipal              Common Stock        261932107            286            35,701
Lehman Brothers Holdings 8.3%            PFD QTR 30/360      524908308            104             4,550
Leeds Federal Bankshares Inc.            Common Stock        524226107             16             1,600
Landamerica Financial Group              Common Stock        514936103             42             2,175
Lifeminders Com Inc                      Common Stock        53219H108             34               500
Lifepoint Inc                            Common Stock        53215R100             16             3,000
Lifetime Products Inc.                   Common Stock        53220C106              0                32
Louisville Gas & Elec Co                 PFD QTR 30/360      546676206              3               200
Lagadere Groupe - Sponsored ADR          ADR                 507069102            143             1,765
LG & E Energy                            Common Stock        501917108            225             9,818
Lions Gate Entmnt Corp Com New           Foreign Stock       535919203             77            21,600
Legend Hldgs Ltd                         ADR                 52465V100             12               400
Ligand Pharmaceuticals Inc.              Common Stock        53220K207            173             9,771
Largo Vista Group Ltd                    Common Stock        517104105              2             2,000
Legato Systems Inc.                      Common Stock        524651106            560            12,540
Laboratory Corp. of America              Common Stock        50540R102             65            15,100
Laboratory Corp Of America Holdings      PFD QTR 30/360      50540R201             16               200
Lasalle Hotel Properties SBI             Common Stock        517942108            430            34,367
Lakehead Pipeline Partner - LP           Common Stock        511557100            230             6,620
Lernout & Hauspie Speech Products N V    Common Stock        B5628B104            678             6,134
Lilly Industries Inc. - CL A             Common Stock        532491107            245            19,767
Lifecell Corp                            Common Stock        531927101              8             1,200
Lennox Intl Inc                          Common Stock        526107107             11             1,304
Linens 'N Things, Inc                    Common Stock        535679104            105             3,060
Lion Inc                                 Common Stock        53620L102             59            70,000
Lindsay Mfg Co                           Common Stock        535555106             12               724
Lionbridge Technologies Inc              Common Stock        536252109              5               300
Liposome Inc.                            Common Stock        536310105             17             1,000
Long Island Ed Util Inc                  Common Stock        542668306              0                70
Litton Industries                        Common Stock        538021106              9               200
Lithium Technology Corp                  Common Stock        536808306              4             4,000
Liz Claiborne Inc.                       Common Stock        539320101            599            13,073
Look Communications Inc                  Common Stock        54341P109             71             7,712
Lazare Kaplan Intl Inc                   Common Stock        521078105             18             2,565
Lloyds TSB Group PLC                     Foreign Stock       G5542W106            786            74,465
L-3 Communications Hldings Inc           Common Stock        502424104              7               125
Linear Technology Corp.                  Common Stock        535678106          1,667            30,311
Lilly (Eli) & Co.                        Common Stock        532457108          7,672           121,777
Legg Mason, Inc.                         Common Stock        524901105          9,200           212,720
AT&T Corp - Liberty Media - A            Common Stock        001957208          4,770            80,500
Laser Mortgage Management Inc.           Common Stock        51806D100              4             1,100
Lamson & Sessions Co.                    Common Stock        513696104            137            18,375
Lockheed Martin Corp.                    Common Stock        539830109          1,362            66,626
Lithia Motors Inc. - CL A                Common Stock        536797103              8               500
Lonrho Africa Plc -Spon ADR              ADR                 543376107              0               547
Lincoln National Corp. Ind.              Common Stock        534187109            666            19,866
Lincoln Nat'l Cap I 8.75% CUM            PFD QTR 30/360      534177209             94             4,000
Lincoln National Capital III 7.40%       PFD QTR 30/360      53417P209             58             2,900
Lance Inc.                               Common Stock        514606102            212            19,985
Lincare Hldgs Inc.                       Common Stock        532791100            150             5,275
Lanoptics Ltd                            Foreign Stock       M6706C103            181             9,500
LNR Property Corp.                       Common Stock        501940100            437            22,950
Alliant Corp.                            Common Stock        018802108          6,026           197,973

                        Item 1:                      Item 6:                Item 7:              Item 8:
                    Name of Issuer             Investment Discretion         Other        Voting Authority (Shares)
                                         (a) Sole (b)Shared as (c)Shared    Managers   (a) Sole  (b) Shared  (c) None
                                                       Def        Other
- --------------------------------------------------------------------------------------------------------------------
Leggett & Platt Inc.                                   X                                   0         63,745      0
Lehman Brothers Holdings Inc                           X                                   0         16,639      0
Lennar Corp.                                           X                                   0         16,875      0
Concord Camera Corp. MA                                X                                   0          1,000      0
Dreyfus Strategic Municipal                            X                                   0         35,701      0
Lehman Brothers Holdings 8.3%                          X                                   0          4,550      0
Leeds Federal Bankshares Inc.                          X                                   0          1,600      0
Landamerica Financial Group                            X                                   0          2,175      0
Lifeminders Com Inc                                    X                                   0            500      0
Lifepoint Inc                                          X                                   0          3,000      0
Lifetime Products Inc.                                 X                                   0             32      0
Louisville Gas & Elec Co                               X                                   0            200      0
Lagadere Groupe - Sponsored ADR                        X                                   0          1,765      0
LG & E Energy                                          X                                   0          9,818      0
Lions Gate Entmnt Corp Com New                         X                                   0         21,600      0
Legend Hldgs Ltd                                       X                                   0            400      0
Ligand Pharmaceuticals Inc.                            X                                   0          9,771      0
Largo Vista Group Ltd                                  X                                   0          2,000      0
Legato Systems Inc.                                    X                                   0         12,540      0
Laboratory Corp. of America                            X                                   0         15,100      0
Laboratory Corp Of America Holdings                    X                                   0            200      0
Lasalle Hotel Properties SBI                           X                                   0         34,367      0
Lakehead Pipeline Partner - LP                         X                                   0          6,620      0
Lernout & Hauspie Speech Products N V                  X                                   0          6,134      0
Lilly Industries Inc. - CL A                           X                                   0         19,767      0
Lifecell Corp                                          X                                   0          1,200      0
Lennox Intl Inc                                        X                                   0          1,304      0
Linens 'N Things, Inc                                  X                                   0          3,060      0
Lion Inc                                               X                                   0         70,000      0
Lindsay Mfg Co                                         X                                   0            724      0
Lionbridge Technologies Inc                            X                                   0            300      0
Liposome Inc.                                          X                                   0          1,000      0
Long Island Ed Util Inc                                X                                   0             70      0
Litton Industries                                      X                                   0            200      0
Lithium Technology Corp                                X                                   0          4,000      0
Liz Claiborne Inc.                                     X                                   0         13,073      0
Look Communications Inc                                X                                   0          7,712      0
Lazare Kaplan Intl Inc                                 X                                   0          2,565      0
Lloyds TSB Group PLC                                   X                                   0         74,465      0
L-3 Communications Hldings Inc                         X                                   0            125      0
Linear Technology Corp.                                X                                   0         30,311      0
Lilly (Eli) & Co.                                      X                                   0        121,777      0
Legg Mason, Inc.                                       X                                   0        212,720      0
AT&T Corp - Liberty Media - A                          X                                   0         80,500      0
Laser Mortgage Management Inc.                         X                                   0          1,100      0
Lamson & Sessions Co.                                  X                                   0         18,375      0
Lockheed Martin Corp.                                  X                                   0         66,626      0
Lithia Motors Inc. - CL A                              X                                   0            500      0
Lonrho Africa Plc -Spon ADR                            X                                   0            547      0
Lincoln National Corp. Ind.                            X                                   0         19,866      0
Lincoln Nat'l Cap I 8.75% CUM                          X                                   0          4,000      0
Lincoln National Capital III 7.40%                     X                                   0          2,900      0
Lance Inc.                                             X                                   0         19,985      0
Lincare Hldgs Inc.                                     X                                   0          5,275      0
Lanoptics Ltd                                          X                                   0          9,500      0
LNR Property Corp.                                     X                                   0         22,950      0
Alliant Corp.                                          X                                   0        197,973      0
</TABLE>

<PAGE>


<TABLE>
<CAPTION>
            FORM 13F             NAME OF REPORTING MANAGER: LEGG MASON WOOD WALKER (IMS)                     Run Date: 04/13/2000
                                                            FOR POSITIONS HELD AS OF 03/31/2000              S.E.C. Use Only

                        Item 1:            Item 2:           Item 3:         Item 4:            Item 5:
                    Name of Issuer      Title of Class    CUSIP Number  Fair Market Value      Shares or
                                                                           (X $1000)         Principal Amt.

- ------------------------------------------------------------------------------------------------------------
<S>                                      <C>                 <C>                    <C>             <C>
L90 Inc                                  Common Stock        539441105             11               600
Va Linux Systems Inc                     Common Stock        91819B105             69             1,137
Log On Amer Inc                          Common Stock        540473105             23             2,000
Loch Harris Inc                          Common Stock        539578203             11            10,600
Lodgian Inc.                             Common Stock        54021P106             73            19,590
Sholodge, Inc.                           Common Stock        825034101              2               400
Loehmanns Inc New                        Common Stock        540417102              4            27,245
Logitech International S A               ADR                 541419107            123             1,875
Lo Jack Corp.                            Common Stock        539451104             16             2,100
Lonmin PLC -Spon ADR                     ADR                 54336Q104              6               547
Lifeone Inc                              Common Stock        53219M107              0               299
Looksmart Ltd                            Common Stock        543442107             57             1,300
Loral Space & Communications             Common Stock        G56462107            390            38,305
Lorus Therapeutics Inc                   Common Stock        544191109              5             1,500
Loudeye Technologies Inc                 Common Stock        545754103             10               300
Lowe's Companies, Inc.                   Common Stock        548661107          8,472           145,138
Laser-Pacific Media Corp.                Common Stock        517923108              2               300
Leisureplanet Hldgs Ltd                  Foreign Stock       G54467108             18             2,000
Lifepoint Hospitals Inc.                 Common Stock        53219L109             10               614
Lightpath Technologies Inc               Common Stock        532257102             63             1,400
Laser Power Corp.                        Common Stock        51806K104              9             1,500
Louisiana Pacific Corp.                  Common Stock        546347105            103             7,410
Quinenco SA Sponsored ADR                ADR                 748718103              2               200
Liquid Audio Inc                         Common Stock        53631T102              7               500
Quilmes Industrial Quins - ADR           ADR                 74838Y108             21             2,000
Lanier Worldwide Inc                     Common Stock        51589L105              1               401
LAM Research Corp.                       Common Stock        512807108            952            21,124
Liberty Property Trust                   Common Stock        531172104            367            15,335
Liberty Property Tr 8.80% Ser A Cum PF   PFD QTR 30/360      531172203             40             2,000
Lawrence Savings Bank                    Common Stock        520341108              4               600
Lattice Semiconductor Corp.              Common Stock        518415104             60               890
LaSalle Re Holdings Ltd.                 Common Stock        G5383Q101             12               900
LaSalle RE Holding LTD 8.75%             Preferred Stock     G5383Q119            136             7,600
LSI Logic Corp.                          Common Stock        502161102          2,600            35,800
Lone Star Liquidating Trust              Common Stock        54229R102              0             3,120
Loadmaster Systems Inc.                  Common Stock        53945T103              0                 5
Lasmo PLC - Spon ADR                     ADR                 501730204              1               200
Lason Inc                                Common Stock        51808R107             33             5,000
Lightspan Partnership Inc                Common Stock        532262102              9               500
Lone Star Technologies Inc.              Common Stock        542312103             41               875
Landstar Systems Inc.                    Common Stock        515098101             16               300
LTC Properties Inc.                      Common Stock        502175102             23             4,250
Lets Talk Cellular & Wireless            Common Stock        527260103             14             8,000
Limited Inc                              Common Stock        532716107            354             8,392
LTC Healthcare Inc.                      Common Stock        50217R104              0               202
Litronic Inc                             Common Stock        537004103              6               300
Loews Corp.                              Common Stock        540424108            401             8,013
The LTV Corp. (New)                      Common Stock        501921100            114            32,100
Learn2.com Inc                           Common Stock        522002104             11             2,595
L T X Corp.                              Common Stock        502392103          1,138            25,175
Lucent Technologies Inc.                 Common Stock        549463107         62,525         1,029,219
Lubys Cafeterias Inc.                    Common Stock        549282101              8               800
Leucadia National                        Common Stock        527288104            125             5,250
Lukoil Oil Co Sponsored ADR              ADR                 677862104            140             2,246
Lumenon Innov Lightwave Tech             Common Stock        55024L109             11               275
Southwest Airlines Co                    Common Stock        844741108          9,801           470,927
Luxottica Group SPA Sponsored ADR        ADR                 55068R202              6               250

                        Item 1:                      Item 6:                Item 7:              Item 8:
                    Name of Issuer             Investment Discretion         Other        Voting Authority (Shares)
                                         (a) Sole (b)Shared as (c)Shared    Managers   (a) Sole  (b) Shared  (c) None
                                                       Def        Other
- --------------------------------------------------------------------------------------------------------------------
L90 Inc                                                X                                   0            600      0
Va Linux Systems Inc                                   X                                   0          1,137      0
Log On Amer Inc                                        X                                   0          2,000      0
Loch Harris Inc                                        X                                   0         10,600      0
Lodgian Inc.                                           X                                   0         19,590      0
Sholodge, Inc.                                         X                                   0            400      0
Loehmanns Inc New                                      X                                   0         27,245      0
Logitech International S A                             X                                   0          1,875      0
Lo Jack Corp.                                          X                                   0          2,100      0
Lonmin PLC -Spon ADR                                   X                                   0            547      0
Lifeone Inc                                            X                                   0            299      0
Looksmart Ltd                                          X                                   0          1,300      0
Loral Space & Communications                           X                                   0         38,305      0
Lorus Therapeutics Inc                                 X                                   0          1,500      0
Loudeye Technologies Inc                               X                                   0            300      0
Lowe's Companies, Inc.                                 X                                   0        145,138      0
Laser-Pacific Media Corp.                              X                                   0            300      0
Leisureplanet Hldgs Ltd                                X                                   0          2,000      0
Lifepoint Hospitals Inc.                               X                                   0            614      0
Lightpath Technologies Inc                             X                                   0          1,400      0
Laser Power Corp.                                      X                                   0          1,500      0
Louisiana Pacific Corp.                                X                                   0          7,410      0
Quinenco SA Sponsored ADR                              X                                   0            200      0
Liquid Audio Inc                                       X                                   0            500      0
Quilmes Industrial Quins - ADR                         X                                   0          2,000      0
Lanier Worldwide Inc                                   X                                   0            401      0
LAM Research Corp.                                     X                                   0         21,124      0
Liberty Property Trust                                 X                                   0         15,335      0
Liberty Property Tr 8.80% Ser A Cum PF                 X                                   0          2,000      0
Lawrence Savings Bank                                  X                                   0            600      0
Lattice Semiconductor Corp.                            X                                   0            890      0
LaSalle Re Holdings Ltd.                               X                                   0            900      0
LaSalle RE Holding LTD 8.75%                           X                                   0          7,600      0
LSI Logic Corp.                                        X                                   0         35,800      0
Lone Star Liquidating Trust                            X                                   0          3,120      0
Loadmaster Systems Inc.                                X                                   0              5      0
Lasmo PLC - Spon ADR                                   X                                   0            200      0
Lason Inc                                              X                                   0          5,000      0
Lightspan Partnership Inc                              X                                   0            500      0
Lone Star Technologies Inc.                            X                                   0            875      0
Landstar Systems Inc.                                  X                                   0            300      0
LTC Properties Inc.                                    X                                   0          4,250      0
Lets Talk Cellular & Wireless                          X                                   0          8,000      0
Limited Inc                                            X                                   0          8,392      0
LTC Healthcare Inc.                                    X                                   0            202      0
Litronic Inc                                           X                                   0            300      0
Loews Corp.                                            X                                   0          8,013      0
The LTV Corp. (New)                                    X                                   0         32,100      0
Learn2.com Inc                                         X                                   0          2,595      0
L T X Corp.                                            X                                   0         25,175      0
Lucent Technologies Inc.                               X                                   0      1,029,219      0
Lubys Cafeterias Inc.                                  X                                   0            800      0
Leucadia National                                      X                                   0          5,250      0
Lukoil Oil Co Sponsored ADR                            X                                   0          2,246      0
Lumenon Innov Lightwave Tech                           X                                   0            275      0
Southwest Airlines Co                                  X                                   0        470,927      0
Luxottica Group SPA Sponsored ADR                      X                                   0            250      0
</TABLE>

<PAGE>


<TABLE>
<CAPTION>
            FORM 13F             NAME OF REPORTING MANAGER: LEGG MASON WOOD WALKER (IMS)                     Run Date: 04/13/2000
                                                            FOR POSITIONS HELD AS OF 03/31/2000              S.E.C. Use Only

                        Item 1:            Item 2:           Item 3:         Item 4:            Item 5:
                    Name of Issuer      Title of Class    CUSIP Number  Fair Market Value      Shares or
                                                                           (X $1000)         Principal Amt.

- ------------------------------------------------------------------------------------------------------------
<S>                                      <C>                 <C>                    <C>             <C>
Steinway Musical Instruments             Common Stock        858495104             83             4,400
Laser Vision Ctrs Inc                    Common Stock        51807H100             18             2,550
Level 8 Sys Inc                          Common Stock        52729M102              5               100
Level 3 Communications Inc.              Common Stock        52729N100          1,307            12,358
Leap Wireless International Inc.         Common Stock        521863100            115             1,164
Loewen Group Inc.                        Common Stock        54042L100             16            22,600
Languageware.net Co LTD                  Common Stock        M67029104              1               500
L S B Bancshares Inc.                    Common Stock        502158108             56             4,004
Luxell Technologies Inc                  Foreign Stock       550904106             11             2,000
Lexmark Intl Group Inc. CL A             Common Stock        529771107          1,373            12,987
Lexington Corp.orate Properties Trust    Common Stock        529043101            165            16,000
Luxtec Corp  New                         Common Stock        550687305              0               100
Lyondell Petrochemical Co                Common Stock        552078107              7               500
LSI Industries Inc                       Common Stock        50216C108             78             4,001
LYNX Therapeutics Inc.                   Common Stock        551812308             58             1,940
Lubrizol Corp.                           Common Stock        549271104            628            21,811
La Z Boy Inc                             Common Stock        505336107              5               300
Merry Land Properties Inc. Tender Offe   Common Stock        590441978              0                75
Magna Entertainment Corp                 Common Stock        559222997              0               200
Merrill Lynch Natl Finl                  LTD Part  P0        589940303              0             1,500
Mannesmann A G Tender Offer              ADR                 563775972            165               476
Mississippi Central Railroad Co.         Common Stock        605281104              0                 4
Mid-America Apartment Communities, Inc   Common Stock        59522J103             13               564
Mid-amer Apt Cmntys Inc                  PFD P12 30/360      59522J202             18             1,000
Mid-America Apartment Communities 9.37   PFD QTR 30/360      59522J400              7               400
American Biogenetics Sciences            Common Stock        024611105             21             9,500
Macerich Co                              Common Stock        554382101              6               275
Macromedia Inc.                          Common Stock        556100105          1,534            16,986
Madge Networks N.V.                      Foreign Stock       N5424G106             10             1,170
Miramar Mining Corp.                     Foreign Stock       60466E100              5            10,000
Municipal Advantage Fund Inc.            Common Stock        626189104             50             4,500
MAF Bancorp                              Common Stock        55261R108             16               966
Magnetek Inc.                            Common Stock        559424106             32             3,500
Mcnaughton Apparel Group Inc             Common Stock        582524104              7               875
Magainin Pharmaceuticals Inc             Common Stock        559036108             14             3,000
Hanna M A CO                             Common Stock        410522106              5               413
Mail.Com Inc. Cl A                       Common Stock        560311102             62             3,600
Malan Rlty Invs Inc                      Common Stock        561063108             84             7,000
Manpower Inc.                            Common Stock        56418H100            292             8,227
Manhattan Associates Inc                 Common Stock        562750109             69             2,000
Manugistics Group                        Common Stock        565011103             95             1,890
Maine Public Service Co                  Common Stock        560483109              3               200
Mapinfo Corp                             Common Stock        565105103             76             1,950
Mapics Inc.                              Common Stock        564910107             19             1,200
Marriott International Cl A              Common Stock        571903202            538            17,077
Marion Cap Hldgs Inc                     Common Stock        568635106             14               900
Marubeni Corp                            ADR                 573810207            164             4,358
Masco Corp.                              Common Stock        574599106            754            36,803
Massbank Corp.                           Common Stock        576152102             23               820
Marks & Spencer Ltd Sponsored            ADR                 570697607          2,990           123,586
Mattel Inc.                              Common Stock        577081102          1,521           145,714
Mathsoft Inc.                            Common Stock        576798102             10             2,000
Martek Biosciences Corp.                 Common Stock        572901106             26             2,000
Matria Healthcare Inc.                   Common Stock        576817100             25             4,700
Matthews International Corp.             Common Stock        577128101              3               130
Matrix Pharmaceutical                    Common Stock        576844104             66             6,500
Mari LTD ADR                             ADR                 573814308              1                28

                        Item 1:                      Item 6:                Item 7:              Item 8:
                    Name of Issuer             Investment Discretion         Other        Voting Authority (Shares)
                                         (a) Sole (b)Shared as (c)Shared    Managers   (a) Sole  (b) Shared  (c) None
                                                       Def        Other
- --------------------------------------------------------------------------------------------------------------------
Steinway Musical Instruments                           X                                   0          4,400      0
Laser Vision Ctrs Inc                                  X                                   0          2,550      0
Level 8 Sys Inc                                        X                                   0            100      0
Level 3 Communications Inc.                            X                                   0         12,358      0
Leap Wireless International Inc.                       X                                   0          1,164      0
Loewen Group Inc.                                      X                                   0         22,600      0
Languageware.net Co LTD                                X                                   0            500      0
L S B Bancshares Inc.                                  X                                   0          4,004      0
Luxell Technologies Inc                                X                                   0          2,000      0
Lexmark Intl Group Inc. CL A                           X                                   0         12,987      0
Lexington Corp.orate Properties Trust                  X                                   0         16,000      0
Luxtec Corp  New                                       X                                   0            100      0
Lyondell Petrochemical Co                              X                                   0            500      0
LSI Industries Inc                                     X                                   0          4,001      0
LYNX Therapeutics Inc.                                 X                                   0          1,940      0
Lubrizol Corp.                                         X                                   0         21,811      0
La Z Boy Inc                                           X                                   0            300      0
Merry Land Properties Inc. Tender Offe                 X                                   0             75      0
Magna Entertainment Corp                               X                                   0            200      0
Merrill Lynch Natl Finl                                X                                   0          1,500      0
Mannesmann A G Tender Offer                            X                                   0            476      0
Mississippi Central Railroad Co.                       X                                   0              4      0
Mid-America Apartment Communities, Inc                 X                                   0            564      0
Mid-amer Apt Cmntys Inc                                X                                   0          1,000      0
Mid-America Apartment Communities 9.37                 X                                   0            400      0
American Biogenetics Sciences                          X                                   0          9,500      0
Macerich Co                                            X                                   0            275      0
Macromedia Inc.                                        X                                   0         16,986      0
Madge Networks N.V.                                    X                                   0          1,170      0
Miramar Mining Corp.                                   X                                   0         10,000      0
Municipal Advantage Fund Inc.                          X                                   0          4,500      0
MAF Bancorp                                            X                                   0            966      0
Magnetek Inc.                                          X                                   0          3,500      0
Mcnaughton Apparel Group Inc                           X                                   0            875      0
Magainin Pharmaceuticals Inc                           X                                   0          3,000      0
Hanna M A CO                                           X                                   0            413      0
Mail.Com Inc. Cl A                                     X                                   0          3,600      0
Malan Rlty Invs Inc                                    X                                   0          7,000      0
Manpower Inc.                                          X                                   0          8,227      0
Manhattan Associates Inc                               X                                   0          2,000      0
Manugistics Group                                      X                                   0          1,890      0
Maine Public Service Co                                X                                   0            200      0
Mapinfo Corp                                           X                                   0          1,950      0
Mapics Inc.                                            X                                   0          1,200      0
Marriott International Cl A                            X                                   0         17,077      0
Marion Cap Hldgs Inc                                   X                                   0            900      0
Marubeni Corp                                          X                                   0          4,358      0
Masco Corp.                                            X                                   0         36,803      0
Massbank Corp.                                         X                                   0            820      0
Marks & Spencer Ltd Sponsored                          X                                   0        123,586      0
Mattel Inc.                                            X                                   0        145,714      0
Mathsoft Inc.                                          X                                   0          2,000      0
Martek Biosciences Corp.                               X                                   0          2,000      0
Matria Healthcare Inc.                                 X                                   0          4,700      0
Matthews International Corp.                           X                                   0            130      0
Matrix Pharmaceutical                                  X                                   0          6,500      0
Mari LTD ADR                                           X                                   0             28      0
</TABLE>

<PAGE>


<TABLE>
<CAPTION>
            FORM 13F             NAME OF REPORTING MANAGER: LEGG MASON WOOD WALKER (IMS)                     Run Date: 04/13/2000
                                                            FOR POSITIONS HELD AS OF 03/31/2000              S.E.C. Use Only

                        Item 1:            Item 2:           Item 3:         Item 4:            Item 5:
                    Name of Issuer      Title of Class    CUSIP Number  Fair Market Value      Shares or
                                                                           (X $1000)         Principal Amt.

- ------------------------------------------------------------------------------------------------------------
<S>                                      <C>                 <C>                    <C>             <C>
Maverick Tube Corp.                      Common Stock        577914104             32             1,000
Maxon Industries Inc.                    Common Stock        577725104              0                27
Maxygen Inc                              Common Stock        577776107            639             9,805
May Department Stores                    Common Stock        577778103          2,451            86,000
Molecular Biosystems Inc.                Common Stock        608513107              0                30
MBF Holdings BHD - Spons ADR             ADR                 552980104              0               435
Mandalay Resort Group                    Common Stock        562567107          1,261            74,738
MBIA, Inc.                               Common Stock        55262C100            613            11,783
Bank of Tokyo - Mitsubishi ADR           ADR                 065379109            493            34,730
Mobilemedia Corp.                        Common Stock        607415106              0             4,350
Main Street Bancorp Inc                  Common Stock        559906102            122            11,156
MB Software Corp                         Common Stock        552635104              0                33
Matsushita Elec Ind                      ADR                 576879209          5,719            18,874
Metrocorp Banchares Inc.                 Common Stock        591650106            139            20,450
Midcom Communications Inc                Common Stock        59563X102              0             1,500
Monaco Coach Corp                        Common Stock        60886R103             21             1,125
McDonalds Corp.                          Common Stock        580135101         10,882           289,711
Monarch Cem Co                           Common Stock        609031109             14               800
Millenium Chemicals Inc.                 Common Stock        599903101             95             4,770
Macrohem Corp. - Delaware                Common Stock        555903103             20             2,800
Microchip Technology Inc.                Common Stock        595017104             80             1,219
Massmutual Corporate Investors Inc.      Common Stock        576292106             55             2,800
MCI Capital I 8.00% Cum PFD Ser A        PFD QTR 30/360      55267Y206            386            17,140
McDonald's Corp. 7.5% Sub Def            Preferred Stock     580135887            354            15,650
McKesson HBOC Inc.                       Common Stock        58155Q103          3,456           164,583
Moore Ltd                                Common Stock        615785102              2               600
McLeodusa Inc. - CL A                    Common Stock        582266102            551             6,496
Mcleodusa Inc Pfd Ser A                  PreferdStk Conv     582266201            159               250
Metrocall, Inc.                          Common Stock        591647102              9               900
M C N Corp.                              Common Stock        55267J100            249             9,975
MCN Michigan LP 9.375% Cum PFD Ser A     PFDMthly 30/360     55268M201            357            15,050
MCN Financing III 8.0% Conv Pfd          PreferdStk Conv     55267J308              6               145
MCN Financing II - Tr 8.625% Pfd         PFD QTR 30/360      55270G200              4               200
Mediconsult.Com Inc                      Common Stock        58469J100             22             7,610
Metricom Inc.                            Common Stock        591596101            134             2,900
Marconi PLC-Unsponsored ADR              ADR                 566306106            110             9,233
MFS Charter Income Trust                 Common Stock        552727109            282            34,150
Metacreations Corp.                      Common Stock        591016100             28             1,300
Micrel Inc.                              Common Stock        594793101             27               280
Micros Systems Inc.                      Common Stock        594901100            603             9,580
Marcus Corp.                             Common Stock        566330106             30             2,300
Miami Computer Supply Corp               Common Stock        593261100              3               100
Mission Critical Software Inc            Common Stock        605047109            245             4,000
Monsanto Co 6.5% Pfd                     PFD QTR 30/360      611662305             94             2,050
McDonalds Corp. 7.5% Sub Defer           Preferred Stock     580135804             50             2,200
MC Shippiing                             Common Stock        55267Q104              1             1,300
Mercury General Corp.                    Common Stock        589400100             47             1,610
Mortgage Com Inc                         Common Stock        61910V102             15             6,000
Meridian Gold Inc.                       Common Stock        589975101              3               500
Medicore Inc                             Common Stock        584931109              4             1,500
Medicalogic Inc                          Common Stock        584642102              9               500
Meredith Corp.                           Common Stock        589433101            130             4,700
Medical Pptys Inc                        Common Stock        58461M101              0               155
McDermott International Inc.             Common Stock        580037109            134            14,600
Midas Inc.                               Common Stock        595626102              1                45
Mediscience Technology                   Common Stock        585901101             13            20,000
Madison Gas & Elec Co                    Common Stock        557497104            652            36,450

                        Item 1:                      Item 6:                Item 7:              Item 8:
                    Name of Issuer             Investment Discretion         Other        Voting Authority (Shares)
                                         (a) Sole (b)Shared as (c)Shared    Managers   (a) Sole  (b) Shared  (c) None
                                                       Def        Other
- --------------------------------------------------------------------------------------------------------------------
Maverick Tube Corp.                                    X                                   0          1,000      0
Maxon Industries Inc.                                  X                                   0             27      0
Maxygen Inc                                            X                                   0          9,805      0
May Department Stores                                  X                                   0         86,000      0
Molecular Biosystems Inc.                              X                                   0             30      0
MBF Holdings BHD - Spons ADR                           X                                   0            435      0
Mandalay Resort Group                                  X                                   0         74,738      0
MBIA, Inc.                                             X                                   0         11,783      0
Bank of Tokyo - Mitsubishi ADR                         X                                   0         34,730      0
Mobilemedia Corp.                                      X                                   0          4,350      0
Main Street Bancorp Inc                                X                                   0         11,156      0
MB Software Corp                                       X                                   0             33      0
Matsushita Elec Ind                                    X                                   0         18,874      0
Metrocorp Banchares Inc.                               X                                   0         20,450      0
Midcom Communications Inc                              X                                   0          1,500      0
Monaco Coach Corp                                      X                                   0          1,125      0
McDonalds Corp.                                        X                                   0        289,711      0
Monarch Cem Co                                         X                                   0            800      0
Millenium Chemicals Inc.                               X                                   0          4,770      0
Macrohem Corp. - Delaware                              X                                   0          2,800      0
Microchip Technology Inc.                              X                                   0          1,219      0
Massmutual Corporate Investors Inc.                    X                                   0          2,800      0
MCI Capital I 8.00% Cum PFD Ser A                      X                                   0         17,140      0
McDonald's Corp. 7.5% Sub Def                          X                                   0         15,650      0
McKesson HBOC Inc.                                     X                                   0        164,583      0
Moore Ltd                                              X                                   0            600      0
McLeodusa Inc. - CL A                                  X                                   0          6,496      0
Mcleodusa Inc Pfd Ser A                                X                                   0            250      0
Metrocall, Inc.                                        X                                   0            900      0
M C N Corp.                                            X                                   0          9,975      0
MCN Michigan LP 9.375% Cum PFD Ser A                   X                                   0         15,050      0
MCN Financing III 8.0% Conv Pfd                        X                                   0            145      0
MCN Financing II - Tr 8.625% Pfd                       X                                   0            200      0
Mediconsult.Com Inc                                    X                                   0          7,610      0
Metricom Inc.                                          X                                   0          2,900      0
Marconi PLC-Unsponsored ADR                            X                                   0          9,233      0
MFS Charter Income Trust                               X                                   0         34,150      0
Metacreations Corp.                                    X                                   0          1,300      0
Micrel Inc.                                            X                                   0            280      0
Micros Systems Inc.                                    X                                   0          9,580      0
Marcus Corp.                                           X                                   0          2,300      0
Miami Computer Supply Corp                             X                                   0            100      0
Mission Critical Software Inc                          X                                   0          4,000      0
Monsanto Co 6.5% Pfd                                   X                                   0          2,050      0
McDonalds Corp. 7.5% Sub Defer                         X                                   0          2,200      0
MC Shippiing                                           X                                   0          1,300      0
Mercury General Corp.                                  X                                   0          1,610      0
Mortgage Com Inc                                       X                                   0          6,000      0
Meridian Gold Inc.                                     X                                   0            500      0
Medicore Inc                                           X                                   0          1,500      0
Medicalogic Inc                                        X                                   0            500      0
Meredith Corp.                                         X                                   0          4,700      0
Medical Pptys Inc                                      X                                   0            155      0
McDermott International Inc.                           X                                   0         14,600      0
Midas Inc.                                             X                                   0             45      0
Mediscience Technology                                 X                                   0         20,000      0
Madison Gas & Elec Co                                  X                                   0         36,450      0
</TABLE>

<PAGE>


<TABLE>
<CAPTION>
            FORM 13F             NAME OF REPORTING MANAGER: LEGG MASON WOOD WALKER (IMS)                     Run Date: 04/13/2000
                                                            FOR POSITIONS HELD AS OF 03/31/2000              S.E.C. Use Only

                        Item 1:            Item 2:           Item 3:         Item 4:            Item 5:
                    Name of Issuer      Title of Class    CUSIP Number  Fair Market Value      Shares or
                                                                           (X $1000)         Principal Amt.

- ------------------------------------------------------------------------------------------------------------
<S>                                      <C>                 <C>                    <C>             <C>
Medtronic Inc.                           Common Stock        585055106         18,994           369,251
Mdu Communications Intl In               Common Stock        582828109              5               800
M D U Resources Group, Inc.              Common Stock        552690109             51             2,475
Midway Airlines                          Common Stock        598130102              0               200
Standard & Poors Midcap 400              Common Stock        595635103          1,161            12,720
Mission Capital LP 8.5% Cum Monthly      PFD QTR 30/360      605034305             10               400
Mission Cap L P                          PFD P12 30/360      605034206            607            24,400
Mead Corp.                               Common Stock        582834107            710            20,317
Meade Instruments Corp                   Common Stock        583062104            136             1,970
Medical Advisory Systems Inc.            Common Stock        58449P101            227            15,668
Midamerican Energy Financing I Quips     PFD QTR 30/360      59562U208            151             6,700
Medimmune Inc.                           Common Stock        584699102          3,745            21,509
Medplus Inc Ohio                         Common Stock        58504P103              1               166
Medquist Inc                             Common Stock        584949101            364            13,390
Medarex Inc                              Common Stock        583916101             31               625
Medical Dynamics Inc                     Common Stock        584900401              0                40
Media General Inc. Class A               Common Stock        584404107            199             3,796
Mellon Finl Corp                         Common Stock        58551A108          3,647           123,626
Merrill Lynch & Co Inc                   Common Stock        590188694             31             2,000
Memorex Telex N V New                    ADR                 586014102              0               282
Mentor Graphics Corp.                    Common Stock        587200106             22             1,425
Merrill Lynch & Co., Inc.                Common Stock        590188108          8,136            77,489
Merrill Lynch & Co 9% Cum Pfd            Preferred Stock     590188819              3               100
Merril Lynch PFD Cap Tr I-7.75%          PFD QTR 30/360      589977206              9               400
Merrill Lynch Capt Trust II              Preferred Stock     59021C203             85             3,550
Mercer Intl Inc. SBI New                 Common Stock        588056101              2               300
Merrill Lynch Capital Tr III 7% Trust    PFD QTR 30/360      59021F206             39             1,900
Mercury Interactive Corp                 Common Stock        589405109          1,142            14,407
MessageMedia, Inc.                       Common Stock        590787107             92             7,290
Metatec Corp.                            Common Stock        591398102            720           237,500
Meta Group Inc.                          Common Stock        591002100            235             9,000
Method Electronics Class A               Common Stock        591520200          1,044            20,680
Malaysa Fund Inc.                        Common Stock        560905101            391            62,575
America First Mortgage Invst             Common Stock        023934102             18             3,300
Manulife Finl Corp                       Common Stock        56501R106          1,021            69,488
Microwave Filter Co Inc                  Common Stock        595176108              4             1,000
Milton Federal Financial Corp            Common Stock        601795107              6               350
Microfinancial Inc                       Common Stock        595072109             16             1,500
MFS Municipal Income Tr                  Common Stock        552738106            109            15,555
MFN Finl Corp.                           Common Stock        55272N104              0                 8
Metromedia Fiber Network Inc. Cl A       Common Stock        591689104          2,490            25,749
M & F Worldwide Corp.                    Common Stock        552541104              2               513
Magna International Inc.                 Foreign Stock       559222401             64             1,600
Magna Intl Inc                           PFD QTR 30/360      559222609             55             2,400
Morgan Stanley Global Oppty Bd           Common Stock        61744R103             18             2,000
Mingo Bay Beverages Inc                  Common Stock        603495102              1             3,000
Morgan Grenfell Smallcap Fund Inc.       Common Stock        617357108            424            25,864
Megachain Com Ltd                        Common Stock        58516A102              1             2,500
MGC Communications Inc.                  Common Stock        552763302            940            13,150
Michelin S A, Cie Generale Des           Foreign Stock       F61824144            193             6,020
MFS Government Markets Income            Common Stock        552939100            247            41,129
MGM Grand Inc.                           Common Stock        552953101             15               626
MGI Properties                           Common Stock        552885105              3               500
Misty Mountain Gold Ltd                  Common Stock        60650E205              0               100
Metro Goldwyn Mayer Inc.                 Common Stock        591610100              2                80
Metro Global Media Inc.                  Common Stock        591917109              0               600
Manufactured Home Communities            Common Stock        564682102             10               450

                        Item 1:                      Item 6:                Item 7:              Item 8:
                    Name of Issuer             Investment Discretion         Other        Voting Authority (Shares)
                                         (a) Sole (b)Shared as (c)Shared    Managers   (a) Sole  (b) Shared  (c) None
                                                       Def        Other
- --------------------------------------------------------------------------------------------------------------------
Medtronic Inc.                                         X                                   0        369,251      0
Mdu Communications Intl In                             X                                   0            800      0
M D U Resources Group, Inc.                            X                                   0          2,475      0
Midway Airlines                                        X                                   0            200      0
Standard & Poors Midcap 400                            X                                   0         12,720      0
Mission Capital LP 8.5% Cum Monthly                    X                                   0            400      0
Mission Cap L P                                        X                                   0         24,400      0
Mead Corp.                                             X                                   0         20,317      0
Meade Instruments Corp                                 X                                   0          1,970      0
Medical Advisory Systems Inc.                          X                                   0         15,668      0
Midamerican Energy Financing I Quips                   X                                   0          6,700      0
Medimmune Inc.                                         X                                   0         21,509      0
Medplus Inc Ohio                                       X                                   0            166      0
Medquist Inc                                           X                                   0         13,390      0
Medarex Inc                                            X                                   0            625      0
Medical Dynamics Inc                                   X                                   0             40      0
Media General Inc. Class A                             X                                   0          3,796      0
Mellon Finl Corp                                       X                                   0        123,626      0
Merrill Lynch & Co Inc                                 X                                   0          2,000      0
Memorex Telex N V New                                  X                                   0            282      0
Mentor Graphics Corp.                                  X                                   0          1,425      0
Merrill Lynch & Co., Inc.                              X                                   0         77,489      0
Merrill Lynch & Co 9% Cum Pfd                          X                                   0            100      0
Merril Lynch PFD Cap Tr I-7.75%                        X                                   0            400      0
Merrill Lynch Capt Trust II                            X                                   0          3,550      0
Mercer Intl Inc. SBI New                               X                                   0            300      0
Merrill Lynch Capital Tr III 7% Trust                  X                                   0          1,900      0
Mercury Interactive Corp                               X                                   0         14,407      0
MessageMedia, Inc.                                     X                                   0          7,290      0
Metatec Corp.                                          X                                   0        237,500      0
Meta Group Inc.                                        X                                   0          9,000      0
Method Electronics Class A                             X                                   0         20,680      0
Malaysa Fund Inc.                                      X                                   0         62,575      0
America First Mortgage Invst                           X                                   0          3,300      0
Manulife Finl Corp                                     X                                   0         69,488      0
Microwave Filter Co Inc                                X                                   0          1,000      0
Milton Federal Financial Corp                          X                                   0            350      0
Microfinancial Inc                                     X                                   0          1,500      0
MFS Municipal Income Tr                                X                                   0         15,555      0
MFN Finl Corp.                                         X                                   0              8      0
Metromedia Fiber Network Inc. Cl A                     X                                   0         25,749      0
M & F Worldwide Corp.                                  X                                   0            513      0
Magna International Inc.                               X                                   0          1,600      0
Magna Intl Inc                                         X                                   0          2,400      0
Morgan Stanley Global Oppty Bd                         X                                   0          2,000      0
Mingo Bay Beverages Inc                                X                                   0          3,000      0
Morgan Grenfell Smallcap Fund Inc.                     X                                   0         25,864      0
Megachain Com Ltd                                      X                                   0          2,500      0
MGC Communications Inc.                                X                                   0         13,150      0
Michelin S A, Cie Generale Des                         X                                   0          6,020      0
MFS Government Markets Income                          X                                   0         41,129      0
MGM Grand Inc.                                         X                                   0            626      0
MGI Properties                                         X                                   0            500      0
Misty Mountain Gold Ltd                                X                                   0            100      0
Metro Goldwyn Mayer Inc.                               X                                   0             80      0
Metro Global Media Inc.                                X                                   0            600      0
Manufactured Home Communities                          X                                   0            450      0
</TABLE>

<PAGE>


<TABLE>
<CAPTION>
            FORM 13F             NAME OF REPORTING MANAGER: LEGG MASON WOOD WALKER (IMS)                     Run Date: 04/13/2000
                                                            FOR POSITIONS HELD AS OF 03/31/2000              S.E.C. Use Only

                        Item 1:            Item 2:           Item 3:         Item 4:            Item 5:
                    Name of Issuer      Title of Class    CUSIP Number  Fair Market Value      Shares or
                                                                           (X $1000)         Principal Amt.

- -----------------------------------------------------------------------------------------------------------
<S>                                      <C>                 <C>                    <C>             <C>
Municipal High Income Fund Inc.          Common Stock        626214100             65             8,690
Morrison Mgmt Specialists                Common Stock        618459101              3               100
Mohawk Industries                        Common Stock        608190104             47             2,100
M/I Schottenstein Homes Inc              Common Stock        55305B101              6               380
McGraw-Hill Companies Inc.               Common Stock        580645109          1,140            25,044
Magnum Hunter Resources Inc              Common Stock        55972F203             43            11,000
Manhattan Scientifics Inc                Common Stock        563122100             22             4,000
Miix Group Inc                           Common Stock        59862V104             30             2,144
Medi-hut Co Inc                          Common Stock        58438C103              5               800
Mitsubishi Heavy Industries Ltd          Foreign Stock       J44002129            314            99,610
Meristar Hospitality Corp                Common Stock        58984Y103          3,408           195,457
Managed High Income Portfolio            Common Stock        56166C105             48             5,800
Marshall & Ilsley Corp.                  Common Stock        571834100             20               345
Micro Age                                Common Stock        594928103             12             5,000
Microfield Graphics                      Common Stock        59506W104              0               100
Microcell Telecommunications Inc.-CL B   Foreign Stock       59501T304            101             2,269
Magna Entertainment Corp Cl A            Common Stock        559211107              1               320
Mitsubishi Electric Corp. ADR            Foreign Stock       606776201            750             7,950
Mcglen Internet Group Inc                Common Stock        580578102              3             1,000
Michaels Stores Inc.                     Common Stock        594087108            128             3,140
Millipore Corp.                          Common Stock        601073109            692            12,268
Mitcham Industries Inc                   Common Stock        606501104              3               500
Mobile Mini Inc.                         Common Stock        60740F105             24             1,250
Miniscribe Corp.                         Common Stock        603669102              0               300
MIPS Technologies Inc                    Common Stock        604567107          1,296            23,295
Mirage Resorts Inc.                      Common Stock        60462E104            188             9,700
Morrison Knudsen Corp.                   Common Stock        61844A109             69             9,400
McCormick & Co.                          Common Stock        579780206            404            12,540
Mallinckrodt Inc.                        Common Stock        561232109            379            13,195
Mallinckrodt Inc. 4% Pfd                 PFD QTR 30/360      561232208             12               200
Markel Corp.                             Common Stock        570535104              0                 0
Makita Corp. Spon ADR                    ADR                 560877300             18             1,955
Maketcentral.Net Corp                    Common Stock        57059T106             21             5,340
Mechanical Technology                    Common Stock        583538103             51               718
Musicland Stores Corporation             Common Stock        62758B109              6             1,000
Miller Herman Inc.                       Common Stock        600544100            150             5,372
Mueller Inds Inc.                        Common Stock        624756102            478            15,725
Matlak Systems Inc.                      Common Stock        576901102              0               127
Martin Marietta Materials                Common Stock        573284106          1,333            28,060
Microleague Multimedia Inc               Common Stock        59507T100              0             1,000
Millenium Pharmaceuticals                Common Stock        599902103            252             1,944
Microlog Corp.                           Common Stock        595079104             33            16,418
Miller Industries Inc.                   Common Stock        600551105             18             4,700
The Mills Corp.                          Common Stock        601148109            446            24,780
Merlin Software Tech Intl Inc            Common Stock        59011Y108              4             1,000
Molten Metal Technology                  Common Stock        608712105              0               100
Multex Com Inc                           Common Stock        625367107             37             1,000
Municipal Mortgage & Equity              Common Stock        62624B101          1,225            62,835
Marsh & McLennan Cos Inc                 Common Stock        571748102         10,123            91,767
Mid Atlantic Med Services Inc.           Common Stock        59523C107            248            26,794
Mitsui Marine & Fire ADR                 ADR                 606839207             99             2,200
Metromedia Intl Group Inc.               Common Stock        591695101             11             1,878
Medical Manager Corp. New                Common Stock        58461U103            398            11,359
Meristar Hotels & Resorts Inc.           Common Stock        589988104              0               100
Minnesota Mining & Manufacturing Co.     Common Stock        604059105          6,595            74,466
Mineral Mountain Mining                  Common Stock        602873101              0               500
Maxim Pharmaceuticals Inc                Common Stock        57772M107             47             1,005

                        Item 1:                      Item 6:                Item 7:              Item 8:
                    Name of Issuer             Investment Discretion         Other        Voting Authority (Shares)
                                         (a) Sole (b)Shared as (c)Shared    Managers   (a) Sole  (b) Shared  (c) None
                                                       Def        Other
- --------------------------------------------------------------------------------------------------------------------
Municipal High Income Fund Inc.                        X                                   0          8,690      0
Morrison Mgmt Specialists                              X                                   0            100      0
Mohawk Industries                                      X                                   0          2,100      0
M/I Schottenstein Homes Inc                            X                                   0            380      0
McGraw-Hill Companies Inc.                             X                                   0         25,044      0
Magnum Hunter Resources Inc                            X                                   0         11,000      0
Manhattan Scientifics Inc                              X                                   0          4,000      0
Miix Group Inc                                         X                                   0          2,144      0
Medi-hut Co Inc                                        X                                   0            800      0
Mitsubishi Heavy Industries Ltd                        X                                   0         99,610      0
Meristar Hospitality Corp                              X                                   0        195,457      0
Managed High Income Portfolio                          X                                   0          5,800      0
Marshall & Ilsley Corp.                                X                                   0            345      0
Micro Age                                              X                                   0          5,000      0
Microfield Graphics                                    X                                   0            100      0
Microcell Telecommunications Inc.-CL B                 X                                   0          2,269      0
Magna Entertainment Corp Cl A                          X                                   0            320      0
Mitsubishi Electric Corp. ADR                          X                                   0          7,950      0
Mcglen Internet Group Inc                              X                                   0          1,000      0
Michaels Stores Inc.                                   X                                   0          3,140      0
Millipore Corp.                                        X                                   0         12,268      0
Mitcham Industries Inc                                 X                                   0            500      0
Mobile Mini Inc.                                       X                                   0          1,250      0
Miniscribe Corp.                                       X                                   0            300      0
MIPS Technologies Inc                                  X                                   0         23,295      0
Mirage Resorts Inc.                                    X                                   0          9,700      0
Morrison Knudsen Corp.                                 X                                   0          9,400      0
McCormick & Co.                                        X                                   0         12,540      0
Mallinckrodt Inc.                                      X                                   0         13,195      0
Mallinckrodt Inc. 4% Pfd                               X                                   0            200      0
Markel Corp.                                           X                                   0              0      0
Makita Corp. Spon ADR                                  X                                   0          1,955      0
Maketcentral.Net Corp                                  X                                   0          5,340      0
Mechanical Technology                                  X                                   0            718      0
Musicland Stores Corporation                           X                                   0          1,000      0
Miller Herman Inc.                                     X                                   0          5,372      0
Mueller Inds Inc.                                      X                                   0         15,725      0
Matlak Systems Inc.                                    X                                   0            127      0
Martin Marietta Materials                              X                                   0         28,060      0
Microleague Multimedia Inc                             X                                   0          1,000      0
Millenium Pharmaceuticals                              X                                   0          1,944      0
Microlog Corp.                                         X                                   0         16,418      0
Miller Industries Inc.                                 X                                   0          4,700      0
The Mills Corp.                                        X                                   0         24,780      0
Merlin Software Tech Intl Inc                          X                                   0          1,000      0
Molten Metal Technology                                X                                   0            100      0
Multex Com Inc                                         X                                   0          1,000      0
Municipal Mortgage & Equity                            X                                   0         62,835      0
Marsh & McLennan Cos Inc                               X                                   0         91,767      0
Mid Atlantic Med Services Inc.                         X                                   0         26,794      0
Mitsui Marine & Fire ADR                               X                                   0          2,200      0
Metromedia Intl Group Inc.                             X                                   0          1,878      0
Medical Manager Corp. New                              X                                   0         11,359      0
Meristar Hotels & Resorts Inc.                         X                                   0            100      0
Minnesota Mining & Manufacturing Co.                   X                                   0         74,466      0
Mineral Mountain Mining                                X                                   0            500      0
Maxim Pharmaceuticals Inc                              X                                   0          1,005      0
</TABLE>

<PAGE>


<TABLE>
<CAPTION>
            FORM 13F             NAME OF REPORTING MANAGER: LEGG MASON WOOD WALKER (IMS)                     Run Date: 04/13/2000
                                                            FOR POSITIONS HELD AS OF 03/31/2000              S.E.C. Use Only

                        Item 1:            Item 2:           Item 3:         Item 4:            Item 5:
                    Name of Issuer      Title of Class    CUSIP Number  Fair Market Value      Shares or
                                                                           (X $1000)         Principal Amt.

- ------------------------------------------------------------------------------------------------------------
<S>                                      <C>                 <C>                    <C>             <C>
McMoran Exploration Co                   Common Stock        582411104              5               253
Maximus Inc.                             Common Stock        577933104            254             8,340
MFS Multimarket Income Trust             Common Stock        552737108             99            16,953
Micromem Technologies                    Foreign Stock       59509P106             17             1,200
Momentum Business Applications Inc.      Common Stock        60877P108              1               176
Managed Municipals Portfolio Inc.        Common Stock        561662107            253            26,668
Metamor Worldwide Inc                    Common Stock        59133P100            428            15,125
Mitchell Energy & Dev Corp.  CL A        Common Stock        606592202             12               555
Mitchell Energy & Dev Corp.  CL B        Common Stock        606592301              8               370
Mine Safety Appliances Co                Common Stock        602720104             28               400
McClatchy Newspapers Inc.  CL A          Common Stock        579489105            711            21,720
Minimed Inc                              Common Stock        60365K108            115               890
Mannesmann AG Sponsored ADR              ADR                 563775303              4                11
Montedison Spa-Sponsored                 ADR                 612376509             40             2,340
MTR Gaming Group Inc                     Common Stock        553769100              3             1,000
Mony Group Inc.                          Common Stock        615337102             22               675
Philip Morris Companies Inc.             Common Stock        718154107          6,885           325,922
Moog Inc.                                Common Stock        615394202              3               160
MGI Pharma Inc.                          Common Stock        552880106             20               500
Molex Inc.                               Common Stock        608554101            551             9,373
Molex Inc. Cl A                          Common Stock        608554200            157             3,545
Worldwide Petrolmoly Inc.                Common Stock        98159L106              5             8,000
Monaco Finance Inc Cl A                  Common Stock        608868303              0               100
Robert Mondavi Corp. Cl A                Common Stock        609200100             24               700
Matrixone Inc                            Common Stock        57685P304             47             1,175
Chadmore Wireless Group Inc.             Common Stock        157259102             36            21,500
Morgan Keegan Inc.                       Common Stock        617410105             68             3,900
Mesa Offshore Tr                         Common Stock        590650107              0               300
Mountain Svcs Corp                       Common Stock        624260105              0             1,000
Motorola Inc.                            Common Stock        620076109         16,964           119,153
Motorola Capital Trust I 6.68% Pfd       PFD QTR 30/360      620074203            120             5,800
Moto Photo Inc                           Common Stock        619821101              2             1,900
Movie Gallery Inc.                       Common Stock        624581104              1               200
Microwave Power Divices Inc.             Common Stock        59517M103              9             1,000
Minnesota Pwr & Light                    Common Stock        604110106            126             7,593
MP&L Capital I 8.05% Cum Qrtly           PFD QTR 30/360      553134206             76             3,500
Mediaplex Inc                            Common Stock        58446B105              5               100
Monongahela Power Co                     Preferred Stock     610202400              4                50
Mp3 Com Inc                              Common Stock        62473M109             36             1,700
Modis Professional Services              Common Stock        607830106            161            13,007
Masterpiece Technology Group             Common Stock        57640W105              2             1,000
Massmutual Participation Investors       Common Stock        576299101              6               700
Mapquest Com Inc                         Common Stock        565644101             36             1,750
Muniyield Quality Fund Inc.              Common Stock        626302103             36             3,048
Meritor Automotive, Inc.                 Common Stock        59000G100             22             1,415
Mercantile Bankshares Corp.              Common Stock        587405101          1,603            52,436
Marchfirst Inc                           Common Stock        566244109            625            17,500
Mercury Computer Systems Inc.            Common Stock        589378108             49             1,000
Macdermid Ind                            Common Stock        554273102             32             1,200
Medical Device Technologies              Common Stock        60461S104              0                23
Merck & Co., Inc.                        Common Stock        589331107         56,150           903,823
Marine Drilling Companies, Inc.          Common Stock        568240204            505            18,405
USX Marathon Group                       Common Stock        902905827            875            33,580
Marquette Savings Bank - Wisc            Common Stock        571604107             19             1,850
Mid Atlantic Realty Trust                Common Stock        595232109          1,400           151,398
Midcoast Energy Resources                Common Stock        59563W104            201            11,875
Marisa Christina Inc.                    Common Stock        570268102             17            10,000

                        Item 1:                      Item 6:                Item 7:              Item 8:
                    Name of Issuer             Investment Discretion         Other        Voting Authority (Shares)
                                         (a) Sole (b)Shared as (c)Shared    Managers   (a) Sole  (b) Shared  (c) None
                                                       Def        Other
- --------------------------------------------------------------------------------------------------------------------
McMoran Exploration Co                                 X                                   0            253      0
Maximus Inc.                                           X                                   0          8,340      0
MFS Multimarket Income Trust                           X                                   0         16,953      0
Micromem Technologies                                  X                                   0          1,200      0
Momentum Business Applications Inc.                    X                                   0            176      0
Managed Municipals Portfolio Inc.                      X                                   0         26,668      0
Metamor Worldwide Inc                                  X                                   0         15,125      0
Mitchell Energy & Dev Corp.  CL A                      X                                   0            555      0
Mitchell Energy & Dev Corp.  CL B                      X                                   0            370      0
Mine Safety Appliances Co                              X                                   0            400      0
McClatchy Newspapers Inc.  CL A                        X                                   0         21,720      0
Minimed Inc                                            X                                   0            890      0
Mannesmann AG Sponsored ADR                            X                                   0             11      0
Montedison Spa-Sponsored                               X                                   0          2,340      0
MTR Gaming Group Inc                                   X                                   0          1,000      0
Mony Group Inc.                                        X                                   0            675      0
Philip Morris Companies Inc.                           X                                   0        325,922      0
Moog Inc.                                              X                                   0            160      0
MGI Pharma Inc.                                        X                                   0            500      0
Molex Inc.                                             X                                   0          9,373      0
Molex Inc. Cl A                                        X                                   0          3,545      0
Worldwide Petrolmoly Inc.                              X                                   0          8,000      0
Monaco Finance Inc Cl A                                X                                   0            100      0
Robert Mondavi Corp. Cl A                              X                                   0            700      0
Matrixone Inc                                          X                                   0          1,175      0
Chadmore Wireless Group Inc.                           X                                   0         21,500      0
Morgan Keegan Inc.                                     X                                   0          3,900      0
Mesa Offshore Tr                                       X                                   0            300      0
Mountain Svcs Corp                                     X                                   0          1,000      0
Motorola Inc.                                          X                                   0        119,153      0
Motorola Capital Trust I 6.68% Pfd                     X                                   0          5,800      0
Moto Photo Inc                                         X                                   0          1,900      0
Movie Gallery Inc.                                     X                                   0            200      0
Microwave Power Divices Inc.                           X                                   0          1,000      0
Minnesota Pwr & Light                                  X                                   0          7,593      0
MP&L Capital I 8.05% Cum Qrtly                         X                                   0          3,500      0
Mediaplex Inc                                          X                                   0            100      0
Monongahela Power Co                                   X                                   0             50      0
Mp3 Com Inc                                            X                                   0          1,700      0
Modis Professional Services                            X                                   0         13,007      0
Masterpiece Technology Group                           X                                   0          1,000      0
Massmutual Participation Investors                     X                                   0            700      0
Mapquest Com Inc                                       X                                   0          1,750      0
Muniyield Quality Fund Inc.                            X                                   0          3,048      0
Meritor Automotive, Inc.                               X                                   0          1,415      0
Mercantile Bankshares Corp.                            X                                   0         52,436      0
Marchfirst Inc                                         X                                   0         17,500      0
Mercury Computer Systems Inc.                          X                                   0          1,000      0
Macdermid Ind                                          X                                   0          1,200      0
Medical Device Technologies                            X                                   0             23      0
Merck & Co., Inc.                                      X                                   0        903,823      0
Marine Drilling Companies, Inc.                        X                                   0         18,405      0
USX Marathon Group                                     X                                   0         33,580      0
Marquette Savings Bank - Wisc                          X                                   0          1,850      0
Mid Atlantic Realty Trust                              X                                   0        151,398      0
Midcoast Energy Resources                              X                                   0         11,875      0
Marisa Christina Inc.                                  X                                   0         10,000      0
</TABLE>

<PAGE>


<TABLE>
<CAPTION>
            FORM 13F             NAME OF REPORTING MANAGER: LEGG MASON WOOD WALKER (IMS)                     Run Date: 04/13/2000
                                                            FOR POSITIONS HELD AS OF 03/31/2000              S.E.C. Use Only

                        Item 1:            Item 2:           Item 3:         Item 4:            Item 5:
                    Name of Issuer      Title of Class    CUSIP Number  Fair Market Value      Shares or
                                                                           (X $1000)         Principal Amt.

- ------------------------------------------------------------------------------------------------------------
<S>                                      <C>                 <C>                    <C>             <C>
Marvel Entertainment Group               Common Stock        573913100              0             7,600
MRV Communications, Inc.                 Common Stock        553477100            116             1,265
Miravant Medical Technology              Common Stock        604690107             16             1,000
Medicis Pharmaceutical Cl A              Common Stock        584690309             46             1,155
Merry Land Properties Inc                Common Stock        590441101              1               113
Mesabi Trust                             Common Stock        590672101              0                50
Material Sciences Corp.                  Common Stock        576674105             62             4,560
Microsemi Corp.                          Common Stock        595137100            120             3,500
Mason Dixon Cap Tr Ii Pfd Secs%          PFD QTR 30/360      57520G204             10               545
Morgan Stanley Finance PLC 8.40% Cap U   PFD QTR 30/360      616906608             42             1,750
Merisel Inc.                             Common Stock        589849108              2             1,000
Morgan Stanley Emerging Mkts Fund        MutualFdEqClose     61744G107              9               500
Microsoft Corp.                          Common Stock        594918104         85,311           802,928
Marketing Services Group Inc             Common Stock        570907105              8               450
Msh Entmt Corp                           Common Stock        553574104              3            11,600
Msi Holdings Inc                         Common Stock        553654104             11               400
Metasolv Software Inc                    Common Stock        591393103             17               280
MSC Industrial Direct Co. Inc. - Cl A    Common Stock        553530106              4               200
Martha Stewart Living Omnimed            Common Stock        573083102             26               954
Microstrategy Inc.                       Common Stock        594972101            957            10,990
Mission West Pptys Inc                   Common Stock        605203108             17             2,000
Morgan Stanley High Yield Fund Inc.      MutualFdFiClose     61744M104             12             1,000
Medical Technology System Inc.           Common Stock        58462R505              1             1,000
Meditrust Corp                           Common Stock        58501T306             15             8,048
Magyar Tavkozlesi                        Foreign Stock       559776109            123             2,749
M & T Bank Corp                          Common Stock        55261F104            207               464
Monsanto Co.                             Common Stock        611662107          6,219           120,760
Metron Technology N V                    Foreign Stock       N5665B105             10               475
Mettler-Toledo International             Common Stock        592688105            176             4,295
Meridian Medical Tech Inc.               Common Stock        589658103             33             4,300
Medical Technology & Innovatns           Common Stock        58462M100             16            62,000
Mannatech Inc.                           Common Stock        563771104              4             1,000
MGIC Investment Corp.                    Common Stock        552848103          1,155            26,465
Modern Times Group Mtg AB Spons ADR      ADR                 607698107            229               841
Machine Technology Inc.                  Common Stock        554482109              0             3,000
Mothernature Com Inc                     Common Stock        61978K105              1               450
MTI Technology Corp                      Common Stock        553903105          1,158            43,890
Martin Industries Inc                    Common Stock        57326K102              4             2,000
Micro Therapeutics Inc.                  Common Stock        59500W100              7             1,000
Metalclad Corp -New                      Common Stock        591142203              2               400
Metalink Ltd                             Foreign Stock       M69897102             10               250
Metal Management Inc                     Common Stock        591097100             89            40,000
Micros To Mainframes Inc.                Common Stock        594944100             29             2,000
Meltronix Inc                            Common Stock        585730104             16             4,000
Meritor Svgs Bk PA in Receivership       Common Stock        590007100              2             1,100
Montana Power Co                         Common Stock        612085100            100             1,566
Meditrust Corp                           PFD QTR 30/360      58501T405              3               250
Medical Technology Prods Inc             Common Stock        58462L102              0               541
Mesa Royalty Trust                       Common Stock        590660106             85             2,000
Metris Companies Inc.                    Common Stock        591598107            107             2,750
Microtouch Systems Inc.                  Common Stock        595145103              1               100
Mattson Technology Inc                   Common Stock        577223100              9               200
Microtest Inc.                           Common Stock        594941106              8               530
Met Ed Cap Tr                            Preferred Stock     590860102             62             2,880
Manitowoc Co Inc.                        Common Stock        563571108          1,764            65,195
Mastec Inc                               Common Stock        576323109          1,198            13,464
Micron Technology Inc.                   Common Stock        595112103            918             7,288

                        Item 1:                      Item 6:                Item 7:              Item 8:
                    Name of Issuer             Investment Discretion         Other        Voting Authority (Shares)
                                         (a) Sole (b)Shared as (c)Shared    Managers   (a) Sole  (b) Shared  (c) None
                                                       Def        Other
- --------------------------------------------------------------------------------------------------------------------
Marvel Entertainment Group                             X                                   0          7,600      0
MRV Communications, Inc.                               X                                   0          1,265      0
Miravant Medical Technology                            X                                   0          1,000      0
Medicis Pharmaceutical Cl A                            X                                   0          1,155      0
Merry Land Properties Inc                              X                                   0            113      0
Mesabi Trust                                           X                                   0             50      0
Material Sciences Corp.                                X                                   0          4,560      0
Microsemi Corp.                                        X                                   0          3,500      0
Mason Dixon Cap Tr Ii Pfd Secs%                        X                                   0            545      0
Morgan Stanley Finance PLC 8.40% Cap U                 X                                   0          1,750      0
Merisel Inc.                                           X                                   0          1,000      0
Morgan Stanley Emerging Mkts Fund                      X                                   0            500      0
Microsoft Corp.                                        X                                   0        802,928      0
Marketing Services Group Inc                           X                                   0            450      0
Msh Entmt Corp                                         X                                   0         11,600      0
Msi Holdings Inc                                       X                                   0            400      0
Metasolv Software Inc                                  X                                   0            280      0
MSC Industrial Direct Co. Inc. - Cl A                  X                                   0            200      0
Martha Stewart Living Omnimed                          X                                   0            954      0
Microstrategy Inc.                                     X                                   0         10,990      0
Mission West Pptys Inc                                 X                                   0          2,000      0
Morgan Stanley High Yield Fund Inc.                    X                                   0          1,000      0
Medical Technology System Inc.                         X                                   0          1,000      0
Meditrust Corp                                         X                                   0          8,048      0
Magyar Tavkozlesi                                      X                                   0          2,749      0
M & T Bank Corp                                        X                                   0            464      0
Monsanto Co.                                           X                                   0        120,760      0
Metron Technology N V                                  X                                   0            475      0
Mettler-Toledo International                           X                                   0          4,295      0
Meridian Medical Tech Inc.                             X                                   0          4,300      0
Medical Technology & Innovatns                         X                                   0         62,000      0
Mannatech Inc.                                         X                                   0          1,000      0
MGIC Investment Corp.                                  X                                   0         26,465      0
Modern Times Group Mtg AB Spons ADR                    X                                   0            841      0
Machine Technology Inc.                                X                                   0          3,000      0
Mothernature Com Inc                                   X                                   0            450      0
MTI Technology Corp                                    X                                   0         43,890      0
Martin Industries Inc                                  X                                   0          2,000      0
Micro Therapeutics Inc.                                X                                   0          1,000      0
Metalclad Corp -New                                    X                                   0            400      0
Metalink Ltd                                           X                                   0            250      0
Metal Management Inc                                   X                                   0         40,000      0
Micros To Mainframes Inc.                              X                                   0          2,000      0
Meltronix Inc                                          X                                   0          4,000      0
Meritor Svgs Bk PA in Receivership                     X                                   0          1,100      0
Montana Power Co                                       X                                   0          1,566      0
Meditrust Corp                                         X                                   0            250      0
Medical Technology Prods Inc                           X                                   0            541      0
Mesa Royalty Trust                                     X                                   0          2,000      0
Metris Companies Inc.                                  X                                   0          2,750      0
Microtouch Systems Inc.                                X                                   0            100      0
Mattson Technology Inc                                 X                                   0            200      0
Microtest Inc.                                         X                                   0            530      0
Met Ed Cap Tr                                          X                                   0          2,880      0
Manitowoc Co Inc.                                      X                                   0         65,195      0
Mastec Inc                                             X                                   0         13,464      0
Micron Technology Inc.                                 X                                   0          7,288      0
</TABLE>

<PAGE>


<TABLE>
<CAPTION>
            FORM 13F             NAME OF REPORTING MANAGER: LEGG MASON WOOD WALKER (IMS)                     Run Date: 04/13/2000
                                                            FOR POSITIONS HELD AS OF 03/31/2000              S.E.C. Use Only

                        Item 1:            Item 2:           Item 3:         Item 4:            Item 5:
                    Name of Issuer      Title of Class    CUSIP Number  Fair Market Value      Shares or
                                                                           (X $1000)         Principal Amt.

- ------------------------------------------------------------------------------------------------------------
<S>                                      <C>                 <C>                    <C>             <C>
MSU Corp                                 Common Stock        553757105              5             1,900
Micron Electronics Inc.                  Common Stock        595100108            118             8,400
Metals USA Inc.                          Common Stock        591324108              3               500
Mepc Intl Capital LP 9.125%              PFD QTR 30/360      55271M206             23             1,194
Murphy Oil Co.                           Common Stock        626717102             35               605
Muenchener Rucckversicherungs            Foreign Stock       D55535104            310               975
Micromuse Inc.                           Common Stock        595094103          3,468            24,980
1st Miracle Group Inc                    Foreign Stock       320966104             25           424,200
Microvision Inc - Wash                   Common Stock        594960106             11               200
Microware Sys Corp                       Common Stock        595150103             81             7,500
M-wave Inc                               Common Stock        554034108              8             1,000
MSDW Capital Trust I                     PFD QTR 30/360      553538208             42             2,000
Morgan St Dean Witter Discover & Co.     Common Stock        617446448          5,225            64,064
Mail Well Inc.                           Common Stock        560321200             16             1,810
Microwave Labs Inc                       Common Stock        59517L105              0               166
Midway Games Inc                         Common Stock        598148104             12               931
Mfc Bancorp Ltd                          Foreign Stock       55271X103              1               150
Mexico Equity and Income Fund Inc.       MutualFdEqClose     592834105             11             1,000
Mexico Fund                              Common Stock        592835102            347            19,784
Macronix Intl Co Ltd                     ADR                 556103109              1                29
Maxim Integrated Products Inc            Common Stock        57772K101          1,560            21,957
Maxxam Inc.                              Common Stock        577913106              7               232
Mediax Corp                              Common Stock        58447C201              9             3,000
Maxxon Inc                               Common Stock        577774102              2             2,900
Maxtor Corp.                             Common Stock        577729205             31             2,400
Myers Inds Inc.                          Common Stock        628464109          7,182           598,531
Maytag Corp.                             Common Stock        578592107            380            11,472
Myriad Genetics Inc                      Common Stock        62855J104             36               605
Edulink Inc                              Common Stock        28164R103              7            22,500
Mylan Laboratories Inc.                  Common Stock        628530107            634            23,056
Mypoints Com Inc                         Common Stock        62855T102             15               550
MYTURN.COM Inc                           Common Stock        628690109            121             5,100
Milacron Inc                             Common Stock        598709103             91             6,300
Medizone International Inc.              Common Stock        585013105              7            12,000
Mizlou Programming                       Common Stock        606910107              0            14,250
INCO Limited                             Foreign Stock       453258402            312            17,055
Nutrafeed Inc                            Common Stock        67060W105              0             1,700
NB Capital Corp Dep Shs Repstg           PFD QTR 30/360      62874N607            295            13,700
NAB Exchange Pfd Trust 8%                PFD QTR 30/360      628714206             97             4,350
Nayses Bay Hunt Club Inc                 Common Stock        639382100              0                 2
Nanovation Technologies Inc.             Common Stock        630085108              0             5,435
Natures Creation Corp                    Common Stock        63901N107              0             1,000
Nuveen N Y Select Quality Mun Fd         PFD QTR 30/360      670976307             10                 4
Nabisco Hldgs Corp.                      Common Stock        629526104            321             9,968
National Australia Bank LTD Spon ADR     ADR                 632525408              6               100
NABI Inc.                                Common Stock        628716102             40             5,950
National Dentex Corp                     Common Stock        63563H109             19             1,300
Natural Alternative Intl Inc.            Common Stock        638842302              9             4,500
National Auto Credit Inc.                Common Stock        632900106              1             1,000
Nanometrics Inc                          Common Stock        630077105             12               250
Network Access Solutions Corp            Common Stock        64120S109            130             5,900
North Amern Scientific Inc               Common Stock        65715D100              4               200
National Instruments Corp                Common Stock        636518102            277             5,900
North Atlantic Technologies Inc New      Common Stock        657335204              0               266
National Australia Bank 7.875%           PreferdStk Conv     632525309             17               720
Navistar International Corp.             Common Stock        63934E108             79             1,973
Navisite Inc                             Common Stock        63935M109             24               195

                        Item 1:                      Item 6:                Item 7:              Item 8:
                    Name of Issuer             Investment Discretion         Other        Voting Authority (Shares)
                                         (a) Sole (b)Shared as (c)Shared    Managers   (a) Sole  (b) Shared  (c) None
                                                       Def        Other
- --------------------------------------------------------------------------------------------------------------------
MSU Corp                                               X                                   0          1,900      0
Micron Electronics Inc.                                X                                   0          8,400      0
Metals USA Inc.                                        X                                   0            500      0
Mepc Intl Capital LP 9.125%                            X                                   0          1,194      0
Murphy Oil Co.                                         X                                   0            605      0
Muenchener Rucckversicherungs                          X                                   0            975      0
Micromuse Inc.                                         X                                   0         24,980      0
1st Miracle Group Inc                                  X                                   0        424,200      0
Microvision Inc - Wash                                 X                                   0            200      0
Microware Sys Corp                                     X                                   0          7,500      0
M-wave Inc                                             X                                   0          1,000      0
MSDW Capital Trust I                                   X                                   0          2,000      0
Morgan St Dean Witter Discover & Co.                   X                                   0         64,064      0
Mail Well Inc.                                         X                                   0          1,810      0
Microwave Labs Inc                                     X                                   0            166      0
Midway Games Inc                                       X                                   0            931      0
Mfc Bancorp Ltd                                        X                                   0            150      0
Mexico Equity and Income Fund Inc.                     X                                   0          1,000      0
Mexico Fund                                            X                                   0         19,784      0
Macronix Intl Co Ltd                                   X                                   0             29      0
Maxim Integrated Products Inc                          X                                   0         21,957      0
Maxxam Inc.                                            X                                   0            232      0
Mediax Corp                                            X                                   0          3,000      0
Maxxon Inc                                             X                                   0          2,900      0
Maxtor Corp.                                           X                                   0          2,400      0
Myers Inds Inc.                                        X                                   0        598,531      0
Maytag Corp.                                           X                                   0         11,472      0
Myriad Genetics Inc                                    X                                   0            605      0
Edulink Inc                                            X                                   0         22,500      0
Mylan Laboratories Inc.                                X                                   0         23,056      0
Mypoints Com Inc                                       X                                   0            550      0
MYTURN.COM Inc                                         X                                   0          5,100      0
Milacron Inc                                           X                                   0          6,300      0
Medizone International Inc.                            X                                   0         12,000      0
Mizlou Programming                                     X                                   0         14,250      0
INCO Limited                                           X                                   0         17,055      0
Nutrafeed Inc                                          X                                   0          1,700      0
NB Capital Corp Dep Shs Repstg                         X                                   0         13,700      0
NAB Exchange Pfd Trust 8%                              X                                   0          4,350      0
Nayses Bay Hunt Club Inc                               X                                   0              2      0
Nanovation Technologies Inc.                           X                                   0          5,435      0
Natures Creation Corp                                  X                                   0          1,000      0
Nuveen N Y Select Quality Mun Fd                       X                                   0              4      0
Nabisco Hldgs Corp.                                    X                                   0          9,968      0
National Australia Bank LTD Spon ADR                   X                                   0            100      0
NABI Inc.                                              X                                   0          5,950      0
National Dentex Corp                                   X                                   0          1,300      0
Natural Alternative Intl Inc.                          X                                   0          4,500      0
National Auto Credit Inc.                              X                                   0          1,000      0
Nanometrics Inc                                        X                                   0            250      0
Network Access Solutions Corp                          X                                   0          5,900      0
North Amern Scientific Inc                             X                                   0            200      0
National Instruments Corp                              X                                   0          5,900      0
North Atlantic Technologies Inc New                    X                                   0            266      0
National Australia Bank 7.875%                         X                                   0            720      0
Navistar International Corp.                           X                                   0          1,973      0
Navisite Inc                                           X                                   0            195      0
</TABLE>

<PAGE>


<TABLE>
<CAPTION>
            FORM 13F             NAME OF REPORTING MANAGER: LEGG MASON WOOD WALKER (IMS)                     Run Date: 04/13/2000
                                                            FOR POSITIONS HELD AS OF 03/31/2000              S.E.C. Use Only

                        Item 1:            Item 2:           Item 3:         Item 4:            Item 5:
                    Name of Issuer      Title of Class    CUSIP Number  Fair Market Value      Shares or
                                                                           (X $1000)         Principal Amt.

- -----------------------------------------------------------------------------------------------------------
<S>                                      <C>                 <C>                    <C>             <C>
Navarre Corp.                            Common Stock        639208107              5             1,260
Naxos Res Ltd                            Common Stock        63934H101              0             1,300
NB Capital TrustT I 7.84% Trust          Preferred Stock     628956203            229             9,975
Nbc Internet Inc                         Common Stock        62873D105            157             3,650
Neurocrine Biosciences Inc               Common Stock        64125C109              8               365
Noble Affiliates Inc.                    Common Stock        654894104            921            28,075
Northern Border Partnership LP           LTD Part P1         664785102             60             2,200
Nabors Industries Inc.                   Common Stock        629568106            804            20,703
New South Capital Tr I Tr Pfd Sec 8.5%   PFD QTR 30/360      648910206             69            10,400
NBT Bancorp Inc.                         Common Stock        628778102            208            14,346
National Comm BanCorp.                   Common Stock        635449101            196            10,601
National City Corp.                      Common Stock        635405103          1,482            71,856
AT&T Capital Corp. 8.25% Pfd Sr          PFD QTR 30/360      00206J209            114             4,700
Network Computing Devices Inc            Common Stock        64120N100             29             5,500
New Century Energies Inc.                Common Stock        64352U103          3,368           112,027
North Coast Energy Inc                   Common Stock        658649702              3             1,150
AT&T Cap Corp 8.125%                     PFD QTR 30/360      00206J308            105             4,350
NCH Corporation                          Common Stock        628850109              5               100
Navigant Consulting Inc                  Common Stock        63935N107            277            25,215
NCO Group Inc.                           Common Stock        628858102             32             1,000
NCR Corp.                                Common Stock        62886E108            217             5,420
NCI Building Systems Inc                 Common Stock        628852105             13               700
NCT Group Inc                            Common Stock        62888Q109             12            10,800
Nova Chemicals Corp. 9.04% PFD           PFD QTR 30/360      66977W307             79             4,200
National Discount Brokers Group Inc.     Common Stock        635646102             64             1,300
National Data Corp.                      Common Stock        635621105             13               500
Indymac Mtg Hldgs Inc                    Common Stock        456607100            214            14,339
Noble Drilling Corp.                     Common Stock        655042109          1,290            31,126
New England Business Service             Common Stock        643872104             10               600
Newell Finl Tr I Qips Conv 5.25%         PreferdStk Conv     651195307             15               420
Energy East Corporation                  Common Stock        29266M109             36             1,796
Newmont Mining Corp.                     Common Stock        651639106            242            10,787
Neopharm Inc.                            Common Stock        640919106             13               500
Neoforma Com Inc                         Common Stock        640475109             17             1,050
Neogen Corp                              Common Stock        640491106              4               500
Neomedia Technologies Inc                Common Stock        640505103            128            15,000
New ERA of Networks Inc                  Common Stock        644312100            502            12,794
Neotherapeutics Inc.                     Common Stock        640656104             84             5,000
Northeast Pennsylvania Financial Corp    Common Stock        663905107             22             2,450
Neorx Corp                               Common Stock        640520300            367            19,203
Neon System Inc.                         Common Stock        640509105             10               300
Networks Associates Inc.                 Common Stock        640938106          1,640            50,851
Netegrity Inc.                           Common Stock        64110P107             48               700
Netmanage Inc.                           Common Stock        641144100            454            80,200
Net Perceptions Inc                      Common Stock        64107U101            109             2,950
Netradio Corp                            Common Stock        64114E108             28             6,500
Netvalue Hldgs Inc                       Common Stock        64120C104             23             1,300
Nvest LP Units Ltd Partnership Int       Common Stock        67065F107              5               300
Nexell Therapeutics Inc                  Common Stock        65332H104            141            36,725
North Fork Bancorp, Inc.-DEL             Common Stock        659424105            488            27,297
Neff corp Cl A                           Common Stock        640094108             13             1,800
National Fuel Gas Co.                    Common Stock        636180101             64             1,440
Northfield Laboratories Inc.             Common Stock        666135108              3               125
Nationwide Financial Services, Inc.      Common Stock        638612101            174             5,938
Nationwide Financial Svcs Cap Tr         PFD QTR 30/360      63861E204             30             1,500
Newfield Exploration Co                  Common Stock        651290108            305             8,665
Nabisco Group Holding Corp               Common Stock        62952P102            135            11,226

                        Item 1:                      Item 6:                Item 7:              Item 8:
                    Name of Issuer             Investment Discretion         Other        Voting Authority (Shares)
                                         (a) Sole (b)Shared as (c)Shared    Managers   (a) Sole  (b) Shared  (c) None
                                                       Def        Other
- --------------------------------------------------------------------------------------------------------------------
Navarre Corp.                                          X                                   0          1,260      0
Naxos Res Ltd                                          X                                   0          1,300      0
NB Capital TrustT I 7.84% Trust                        X                                   0          9,975      0
Nbc Internet Inc                                       X                                   0          3,650      0
Neurocrine Biosciences Inc                             X                                   0            365      0
Noble Affiliates Inc.                                  X                                   0         28,075      0
Northern Border Partnership LP                         X                                   0          2,200      0
Nabors Industries Inc.                                 X                                   0         20,703      0
New South Capital Tr I Tr Pfd Sec 8.5%                 X                                   0         10,400      0
NBT Bancorp Inc.                                       X                                   0         14,346      0
National Comm BanCorp.                                 X                                   0         10,601      0
National City Corp.                                    X                                   0         71,856      0
AT&T Capital Corp. 8.25% Pfd Sr                        X                                   0          4,700      0
Network Computing Devices Inc                          X                                   0          5,500      0
New Century Energies Inc.                              X                                   0        112,027      0
North Coast Energy Inc                                 X                                   0          1,150      0
AT&T Cap Corp 8.125%                                   X                                   0          4,350      0
NCH Corporation                                        X                                   0            100      0
Navigant Consulting Inc                                X                                   0         25,215      0
NCO Group Inc.                                         X                                   0          1,000      0
NCR Corp.                                              X                                   0          5,420      0
NCI Building Systems Inc                               X                                   0            700      0
NCT Group Inc                                          X                                   0         10,800      0
Nova Chemicals Corp. 9.04% PFD                         X                                   0          4,200      0
National Discount Brokers Group Inc.                   X                                   0          1,300      0
National Data Corp.                                    X                                   0            500      0
Indymac Mtg Hldgs Inc                                  X                                   0         14,339      0
Noble Drilling Corp.                                   X                                   0         31,126      0
New England Business Service                           X                                   0            600      0
Newell Finl Tr I Qips Conv 5.25%                       X                                   0            420      0
Energy East Corporation                                X                                   0          1,796      0
Newmont Mining Corp.                                   X                                   0         10,787      0
Neopharm Inc.                                          X                                   0            500      0
Neoforma Com Inc                                       X                                   0          1,050      0
Neogen Corp                                            X                                   0            500      0
Neomedia Technologies Inc                              X                                   0         15,000      0
New ERA of Networks Inc                                X                                   0         12,794      0
Neotherapeutics Inc.                                   X                                   0          5,000      0
Northeast Pennsylvania Financial Corp                  X                                   0          2,450      0
Neorx Corp                                             X                                   0         19,203      0
Neon System Inc.                                       X                                   0            300      0
Networks Associates Inc.                               X                                   0         50,851      0
Netegrity Inc.                                         X                                   0            700      0
Netmanage Inc.                                         X                                   0         80,200      0
Net Perceptions Inc                                    X                                   0          2,950      0
Netradio Corp                                          X                                   0          6,500      0
Netvalue Hldgs Inc                                     X                                   0          1,300      0
Nvest LP Units Ltd Partnership Int                     X                                   0            300      0
Nexell Therapeutics Inc                                X                                   0         36,725      0
North Fork Bancorp, Inc.-DEL                           X                                   0         27,297      0
Neff corp Cl A                                         X                                   0          1,800      0
National Fuel Gas Co.                                  X                                   0          1,440      0
Northfield Laboratories Inc.                           X                                   0            125      0
Nationwide Financial Services, Inc.                    X                                   0          5,938      0
Nationwide Financial Svcs Cap Tr                       X                                   0          1,500      0
Newfield Exploration Co                                X                                   0          8,665      0
Nabisco Group Holding Corp                             X                                   0         11,226      0
</TABLE>

<PAGE>


<TABLE>
<CAPTION>
            FORM 13F             NAME OF REPORTING MANAGER: LEGG MASON WOOD WALKER (IMS)                     Run Date: 04/13/2000
                                                            FOR POSITIONS HELD AS OF 03/31/2000              S.E.C. Use Only

                        Item 1:            Item 2:           Item 3:         Item 4:            Item 5:
                    Name of Issuer      Title of Class    CUSIP Number  Fair Market Value      Shares or
                                                                           (X $1000)         Principal Amt.

- ------------------------------------------------------------------------------------------------------------
<S>                                      <C>                 <C>                    <C>             <C>
RJR Nabisco Hldgs Cap Tr II              PFD QTR 30/360      62952N206             28             1,200
Newgold Inc                              Common Stock        651362105             46            20,000
Netguru Com Inc                          Common Stock        64111K107             15               500
Nhancement Technologies Inc              Common Stock        65334P104             16               900
National Health Invs Inc.                Common Stock        63633D104            256            21,475
National Health Investors 8.50%          Preferred Stock     63633D203              1               100
Natl Health & Safety Corp                Common Stock        636327108              2            18,000
Nationwide Health Properties Inc.        Common Stock        638620104             84             8,080
Norsk Hydro As Adr                       ADR                 656531605              3                83
Nisource Inc.                            Common Stock        65473P105            426            25,237
Northern Ind Pub                         Preferred Stock     665262879             13               310
Nisource Inc                             PFD QTR 30/360      65473P303             37             1,000
Nipsco Capital Markets Inc. 7.75%        PFD QTR 30/360      654638105              4               200
Nice-Systems Ltd ADR                     ADR                 653656108             39               550
Nuveen Premier Insured                   Common Stock        670987106             41             3,169
Nikko Securities Co. Ltd. ADR            ADR                 654107200            111               730
Niku Corp                                Common Stock        654113109             33               700
Nuveen Select Maturities                 Common Stock        67061T101            134            12,622
N E C Corp.                              ADR                 629050204          1,017             6,852
Northern Indiana Public Service PFd      PFD QTR 30/360      665262309              7               125
Nova Corp. - GA                          Common Stock        669784100            544            18,676
Knight/Trimark Goup Inc. New             Common Stock        499068104            695            13,636
NJ Economic Dev Auth St Pension          PFD QTR 30/360      645915208             42             1,800
New Jersey Resources Corp.               Common Stock        646025106             11               256
Nike Inc.                                Common Stock        654106103          1,110            28,012
National Bankshares Inc/ Va              Common Stock        634865109            132             7,000
Nuoncology Labs Inc                      Common Stock        67057T107             11             7,000
National Computer Systems Inc.           Common Stock        635519101             29               580
North Lily Mining Co.                    Common Stock        660461203              1             2,500
Annaly Mortgage Management Inc.          Common Stock        035710409             22             2,500
Ntt Mobile Comm Network Inc              ADR                 629424508            243             1,185
Namibian Minerals Corp.                  Foreign Stock       629913104            200            41,000
Neiman-Marcus Groups Inc.                Common Stock        640204202             44             1,575
Neiman Marcus Group Inc                  Common Stock        640204301             62             2,244
Nuveen Municipal Income Fund             Common Stock        67062J102              3               300
Niagara Mohawk Holdings Inc.             Common Stock        653520106            395            29,282
Niagara Mohawk Power 3.60% PFD           PFD QTR 30/360      653522300             37               900
Niagara Mhwk Pwr                         PFD QTR 30/360      653522607             49               850
Niagara Mohawk Power 5.25% PFD           PFD QTR 30/360      653522706             46               700
Niagara Mohawk Power 3.40% Pfd           PFD QTR 30/360      653522201              8               200
Niagara Mohawk Power 3.90% Pfd           PFD QTR 30/360      653522409            160             3,930
Niagara Mohawk Power 4.10% Pfd           PFD QTR 30/360      653522508             60             1,250
Newmil Bancorp Inc                       Common Stock        651633109             13             1,000
Natural Microsystems Corp.               Common Stock        638882100             17               200
Nmt Med Inc                              Common Stock        629294109              8             2,000
Newbridge Networks Corp.                 Common Stock        650901101             52             1,600
Nuveen North Carolina Premium            Common Stock        67060P100             42             2,991
Nuveen Insured New York                  Common Stock        67101R107             32             2,500
Commercial Net Lease Realty              Common Stock        202218103            708            67,812
Newport News and Shipbuilding            Common Stock        652228107            221             7,313
Nocopi Technologies Inc.                 Common Stock        655212207              0               200
Northrop Grumman Corp.                   Common Stock        666807102            417             7,878
Noga Electro-mechanical Inds             Foreign Stock       M75135109              4             1,000
National Oilwell Inc.                    Common Stock        637071101              1                40
Micronetics Wireless Inc                 Common Stock        595125105              3               200
Nokia Corp. Sponsored ADR                ADR                 654902204         16,571            76,278
New Frontier Media Inc                   Common Stock        644398109             97             8,370

                        Item 1:                      Item 6:                Item 7:              Item 8:
                    Name of Issuer             Investment Discretion         Other        Voting Authority (Shares)
                                         (a) Sole (b)Shared as (c)Shared    Managers   (a) Sole  (b) Shared  (c) None
                                                       Def        Other
- --------------------------------------------------------------------------------------------------------------------
RJR Nabisco Hldgs Cap Tr II                            X                                   0          1,200      0
Newgold Inc                                            X                                   0         20,000      0
Netguru Com Inc                                        X                                   0            500      0
Nhancement Technologies Inc                            X                                   0            900      0
National Health Invs Inc.                              X                                   0         21,475      0
National Health Investors 8.50%                        X                                   0            100      0
Natl Health & Safety Corp                              X                                   0         18,000      0
Nationwide Health Properties Inc.                      X                                   0          8,080      0
Norsk Hydro As Adr                                     X                                   0             83      0
Nisource Inc.                                          X                                   0         25,237      0
Northern Ind Pub                                       X                                   0            310      0
Nisource Inc                                           X                                   0          1,000      0
Nipsco Capital Markets Inc. 7.75%                      X                                   0            200      0
Nice-Systems Ltd ADR                                   X                                   0            550      0
Nuveen Premier Insured                                 X                                   0          3,169      0
Nikko Securities Co. Ltd. ADR                          X                                   0            730      0
Niku Corp                                              X                                   0            700      0
Nuveen Select Maturities                               X                                   0         12,622      0
N E C Corp.                                            X                                   0          6,852      0
Northern Indiana Public Service PFd                    X                                   0            125      0
Nova Corp. - GA                                        X                                   0         18,676      0
Knight/Trimark Goup Inc. New                           X                                   0         13,636      0
NJ Economic Dev Auth St Pension                        X                                   0          1,800      0
New Jersey Resources Corp.                             X                                   0            256      0
Nike Inc.                                              X                                   0         28,012      0
National Bankshares Inc/ Va                            X                                   0          7,000      0
Nuoncology Labs Inc                                    X                                   0          7,000      0
National Computer Systems Inc.                         X                                   0            580      0
North Lily Mining Co.                                  X                                   0          2,500      0
Annaly Mortgage Management Inc.                        X                                   0          2,500      0
Ntt Mobile Comm Network Inc                            X                                   0          1,185      0
Namibian Minerals Corp.                                X                                   0         41,000      0
Neiman-Marcus Groups Inc.                              X                                   0          1,575      0
Neiman Marcus Group Inc                                X                                   0          2,244      0
Nuveen Municipal Income Fund                           X                                   0            300      0
Niagara Mohawk Holdings Inc.                           X                                   0         29,282      0
Niagara Mohawk Power 3.60% PFD                         X                                   0            900      0
Niagara Mhwk Pwr                                       X                                   0            850      0
Niagara Mohawk Power 5.25% PFD                         X                                   0            700      0
Niagara Mohawk Power 3.40% Pfd                         X                                   0            200      0
Niagara Mohawk Power 3.90% Pfd                         X                                   0          3,930      0
Niagara Mohawk Power 4.10% Pfd                         X                                   0          1,250      0
Newmil Bancorp Inc                                     X                                   0          1,000      0
Natural Microsystems Corp.                             X                                   0            200      0
Nmt Med Inc                                            X                                   0          2,000      0
Newbridge Networks Corp.                               X                                   0          1,600      0
Nuveen North Carolina Premium                          X                                   0          2,991      0
Nuveen Insured New York                                X                                   0          2,500      0
Commercial Net Lease Realty                            X                                   0         67,812      0
Newport News and Shipbuilding                          X                                   0          7,313      0
Nocopi Technologies Inc.                               X                                   0            200      0
Northrop Grumman Corp.                                 X                                   0          7,878      0
Noga Electro-mechanical Inds                           X                                   0          1,000      0
National Oilwell Inc.                                  X                                   0             40      0
Micronetics Wireless Inc                               X                                   0            200      0
Nokia Corp. Sponsored ADR                              X                                   0         76,278      0
New Frontier Media Inc                                 X                                   0          8,370      0
</TABLE>

<PAGE>


<TABLE>
<CAPTION>
            FORM 13F             NAME OF REPORTING MANAGER: LEGG MASON WOOD WALKER (IMS)                     Run Date: 04/13/2000
                                                            FOR POSITIONS HELD AS OF 03/31/2000              S.E.C. Use Only

                        Item 1:            Item 2:           Item 3:         Item 4:            Item 5:
                    Name of Issuer      Title of Class    CUSIP Number  Fair Market Value      Shares or
                                                                           (X $1000)         Principal Amt.

- ------------------------------------------------------------------------------------------------------------
<S>                                      <C>                 <C>                    <C>             <C>
Newscorp Overseas Limited 8.625% Cum     PFD QTR 30/360      G6478B108            343            17,500
Newscorp Overseas Ltd Pref B Adjrate     PFD QTR 30/360      G6478B116             64             3,900
Northeast Optic Network Inc.             Common Stock        664334109            142             1,679
Northwestern Corp.                       Common Stock        668074107              7               348
Nwps Cap Fing I                          PFD QTR 30/360      629470204             11               500
North State Telecommunications           Common Stock        662642206              7                60
Novacare Inc.                            Common Stock        669930109              3            12,975
Novell, Inc.                             Common Stock        670006105          5,375           187,790
Noven Pharmaceuticals Inc                Common Stock        670009109             14             1,300
Novoste Corp. MA                         Common Stock        67010C100            120             3,000
Novavax Inc.                             Common Stock        670002104             24             3,019
National Power ADR FINAL INS             ADR                 637194408          1,289            61,915
Nanopierce Technologies Inc              Common Stock        630080109             92            18,000
Nuveen Premier Municipal                 Common Stock        670988104             71             5,223
Network Peripherals Inc                  Common Stock        64121R100             93             2,625
National Presto Industries Inc.          Common Stock        637215104             10               300
Network Plus Corp                        Common Stock        64122D506             49             1,200
Northpoint Communications Hldg           Common Stock        666610100            268            11,600
North Pittsburgh Sys Inc.                Common Stock        661562108            344            26,240
Nextpath Technologies Inc                Common Stock        65333J109            230            16,980
Nuveen Virginia Premium Income           Common Stock        67064R102            138             9,964
Nuveen Pennsylvania Premium              Common Stock        67061F101             79             6,655
Nuveen Florida Investment                Common Stock        670970102            154            11,485
Nuveen Investment Quality Municipal      Common Stock        67062E103            301            23,590
National Research Corp                   Common Stock        637372103              6             1,000
Nord Res Corp.                           Common Stock        655555100              0               600
Neurogen Corp.                           Common Stock        64124E106            100             3,250
Nationsrent Inc                          Common Stock        638588103              5             1,000
Nomura Secs Ltd Japan                    ADR                 655361301            232               709
National Rural Utilities                 PFD QTR 30/360      637432204             45             2,000
National Rural Utilities CFC 7.65% PFD   PFD QTR 30/360      637432303             11               500
National R V Holdings Inc.               Common Stock        637277104            612            38,700
National Rural Utilities                 PFD QTR 30/360      637432402             17               800
National Steel Corp.                     Common Stock        637844309              1               190
Nissan Motor Co Ltd Sponsored            ADR                 654744408             29             3,525
Norfolk Southern Corp.                   Common Stock        655844108            867            60,326
National Scientific Corp                 Common Stock        637479106             20             2,000
NSD Bancorp Inc.                         Common Stock        62938D108             11               700
Nashua Corp.                             Common Stock        631226107              2               200
National Service Industries Inc.         Common Stock        637657107            433            20,540
Netsilicon Inc                           Common Stock        64115X105            115             5,300
Insight Enterprises Inc.                 Common Stock        45765U103             17               468
New Sky Communications Inc               Common Stock        648726107             13            86,770
National Semiconductor Inc.              Common Stock        637640103            789            13,011
Nstor Technologies Inc.                  Common Stock        67018N108              5             1,000
Network Solutions Inc. - Cl A            Common Stock        64121Q102            777             5,057
Northern States Power Co                 Common Stock        665772109            224            11,283
Northern States                          Preferred Stock     665772208             19               400
Netspeak Corp                            Common Stock        64115D109             86             4,000
Norfolk Southern Railway Co.             Preferred Stock     655855203             12               320
Nestle SA Sponsored ADR                  ADR                 641069406          1,449            16,165
NS Group Inc.                            Common Stock        628916108             82             5,000
NSTAR                                    Common Stock        67019E107            613            14,587
National Equip Svcs Inc                  Common Stock        635847106              6               900
Nortel Networks Corp.                    Common Stock        656569100         12,588            99,901
Network Appliance Inc                    Common Stock        64120L104          3,788            45,772
Net.Bank Inc.                            Common Stock        640933107             40             3,050

                        Item 1:                      Item 6:                Item 7:              Item 8:
                    Name of Issuer             Investment Discretion         Other        Voting Authority (Shares)
                                         (a) Sole (b)Shared as (c)Shared    Managers   (a) Sole  (b) Shared  (c) None
                                                       Def        Other
- --------------------------------------------------------------------------------------------------------------------
Newscorp Overseas Limited 8.625% Cum                   X                                   0         17,500      0
Newscorp Overseas Ltd Pref B Adjrate                   X                                   0          3,900      0
Northeast Optic Network Inc.                           X                                   0          1,679      0
Northwestern Corp.                                     X                                   0            348      0
Nwps Cap Fing I                                        X                                   0            500      0
North State Telecommunications                         X                                   0             60      0
Novacare Inc.                                          X                                   0         12,975      0
Novell, Inc.                                           X                                   0        187,790      0
Noven Pharmaceuticals Inc                              X                                   0          1,300      0
Novoste Corp. MA                                       X                                   0          3,000      0
Novavax Inc.                                           X                                   0          3,019      0
National Power ADR FINAL INS                           X                                   0         61,915      0
Nanopierce Technologies Inc                            X                                   0         18,000      0
Nuveen Premier Municipal                               X                                   0          5,223      0
Network Peripherals Inc                                X                                   0          2,625      0
National Presto Industries Inc.                        X                                   0            300      0
Network Plus Corp                                      X                                   0          1,200      0
Northpoint Communications Hldg                         X                                   0         11,600      0
North Pittsburgh Sys Inc.                              X                                   0         26,240      0
Nextpath Technologies Inc                              X                                   0         16,980      0
Nuveen Virginia Premium Income                         X                                   0          9,964      0
Nuveen Pennsylvania Premium                            X                                   0          6,655      0
Nuveen Florida Investment                              X                                   0         11,485      0
Nuveen Investment Quality Municipal                    X                                   0         23,590      0
National Research Corp                                 X                                   0          1,000      0
Nord Res Corp.                                         X                                   0            600      0
Neurogen Corp.                                         X                                   0          3,250      0
Nationsrent Inc                                        X                                   0          1,000      0
Nomura Secs Ltd Japan                                  X                                   0            709      0
National Rural Utilities                               X                                   0          2,000      0
National Rural Utilities CFC 7.65% PFD                 X                                   0            500      0
National R V Holdings Inc.                             X                                   0         38,700      0
National Rural Utilities                               X                                   0            800      0
National Steel Corp.                                   X                                   0            190      0
Nissan Motor Co Ltd Sponsored                          X                                   0          3,525      0
Norfolk Southern Corp.                                 X                                   0         60,326      0
National Scientific Corp                               X                                   0          2,000      0
NSD Bancorp Inc.                                       X                                   0            700      0
Nashua Corp.                                           X                                   0            200      0
National Service Industries Inc.                       X                                   0         20,540      0
Netsilicon Inc                                         X                                   0          5,300      0
Insight Enterprises Inc.                               X                                   0            468      0
New Sky Communications Inc                             X                                   0         86,770      0
National Semiconductor Inc.                            X                                   0         13,011      0
Nstor Technologies Inc.                                X                                   0          1,000      0
Network Solutions Inc. - Cl A                          X                                   0          5,057      0
Northern States Power Co                               X                                   0         11,283      0
Northern States                                        X                                   0            400      0
Netspeak Corp                                          X                                   0          4,000      0
Norfolk Southern Railway Co.                           X                                   0            320      0
Nestle SA Sponsored ADR                                X                                   0         16,165      0
NS Group Inc.                                          X                                   0          5,000      0
NSTAR                                                  X                                   0         14,587      0
National Equip Svcs Inc                                X                                   0            900      0
Nortel Networks Corp.                                  X                                   0         99,901      0
Network Appliance Inc                                  X                                   0         45,772      0
Net.Bank Inc.                                          X                                   0          3,050      0
</TABLE>

<PAGE>


<TABLE>
<CAPTION>
            FORM 13F             NAME OF REPORTING MANAGER: LEGG MASON WOOD WALKER (IMS)                     Run Date: 04/13/2000
                                                            FOR POSITIONS HELD AS OF 03/31/2000              S.E.C. Use Only

                        Item 1:            Item 2:           Item 3:         Item 4:            Item 5:
                    Name of Issuer      Title of Class    CUSIP Number  Fair Market Value      Shares or
                                                                           (X $1000)         Principal Amt.

- ------------------------------------------------------------------------------------------------------------
<S>                                      <C>                 <C>                    <C>             <C>
Nuveen Connecticut Premium               Common Stock        67060D107             14             1,000
Nintendo Co Ltd New ADR                  ADR                 654445303            125             5,558
Integ Inc                                Common Stock        458100104              6             2,000
Notify Technology Corp                   Common Stock        669956104              8             1,000
Neurobiological Technologies             Common Stock        64124W106             52             8,700
Net2000 Communications Inc               Common Stock        64122G103             67             2,835
NTL Incorporated                         Common Stock        629407107            610             6,569
Net2phone                                Common Stock        64108N106            228             3,850
Netopia Inc.                             Common Stock        64114K104            164             2,275
Netplex Group Inc                        Common Stock        641147103              4               300
Net Resouces Inc                         Foreign Stock       64108D108              3               200
Northern Trust Corp.                     Common Stock        665859104          2,524            37,354
Netrix Corp                              Common Stock        641148101             36             1,800
Netusa Inc                               Common Stock        641204201              5             5,000
Netstaff Inc                             Common Stock        64116H109             33             8,000
Netsolve Inc                             Common Stock        64115J106              3               100
Nippon Telegraph & Telephone Corp.       Foreign Stock       654624105            553             7,018
Netivation Com Inc                       Common Stock        64115R108              1               100
Northeast Utilities                      Common Stock        664397106            185             8,614
Nucor Corp.                              Common Stock        670346105          2,204            44,070
Net 1 Ueps Technologies Inc              Common Stock        64107N107              2               400
NUI Corp.                                Common Stock        629430109             88             3,400
Numerica Financial Corp                  Common Stock        67053K100              0             6,000
Nuveen New York Quality Income Fd        Common Stock        670986108             10               800
Nuveen Ohio Quality Income               Common Stock        670980101            225            14,050
Nutraceutix Inc                          Common Stock        67060V107              4             5,000
Nuveen California Select                 Common Stock        670975101             23             1,600
Nvidia Corp                              Common Stock        67066G104             31               365
Novadigm Inc                             Common Stock        669937104             16             1,000
NVF Co.                                  Common Stock        629449109              0             2,478
Novellus System Inc.                     Common Stock        670008101            202             3,600
Novamed Inc                              Common Stock        66986S107              2             1,883
Novo-Nordisk A/S ADR                     ADR                 670100205            115             1,670
NVP CAPTL I 8.2% Cum Qtly Inc.           Preferred Stock     62944M209             17               800
Nvp Cap Iii                              PFD QTR 30/360      62944L201             95             4,400
N V R Incorporated                       Common Stock        62944T105             24               444
Nevstar Gaming & Entmt Corp              Common Stock        64156G102              1             6,900
Novartis AG-ADR                          ADR                 66987V109            272             3,977
NVIEW Corporation                        Common Stock        670974104              1             4,000
Natl Westminster Bank PLC                ADR                 638539403             12               100
National Westminster Bank PLC            PFD QTR 30/360      638539700             25             1,140
National Westminster Bank PLC            PFD QTR 30/360      638539882             34             1,500
Northwest Airlines Corporation Class A   Common Stock        667280101             15               650
Northwest Airls Inc                      PFD QTR 30/360      667281208             21             1,000
Newell Rubbermaid Inc.                   Common Stock        651229106          8,524           343,541
New Tel Ltd                              ADR                 648867109              2               100
Northwest Natural Gas Co                 Common Stock        667655104             14               700
Neoware Systems Inc                      Common Stock        64065P102              6             1,000
News Corp. Limited                       ADR                 652487703          1,505            26,753
News Corp. Ltd Spons ADR Pfd             ADR                 652487802            328             6,868
Northwestern Steel & Wire Co New         Common Stock        668367204              2             5,000
National Westminster Bank PLC            Preferred Stock     638539809             66             3,000
Quanex Corp.                             Common Stock        747620102              1                75
Nextcard Inc                             Common Stock        65332K107             55             3,600
New PLan Excel Realty Trust              Common Stock        648053106            296            21,515
New Plan Excel Realty Tr Inc 8.625% PF   PFD QTR 30/360      648053502             51             2,612
Nextlink Communications Inc Cl A         Common Stock        65333H707            915             7,401

                        Item 1:                      Item 6:                Item 7:              Item 8:
                    Name of Issuer             Investment Discretion         Other        Voting Authority (Shares)
                                         (a) Sole (b)Shared as (c)Shared    Managers   (a) Sole  (b) Shared  (c) None
                                                       Def        Other
- --------------------------------------------------------------------------------------------------------------------
Nuveen Connecticut Premium                             X                                   0          1,000      0
Nintendo Co Ltd New ADR                                X                                   0          5,558      0
Integ Inc                                              X                                   0          2,000      0
Notify Technology Corp                                 X                                   0          1,000      0
Neurobiological Technologies                           X                                   0          8,700      0
Net2000 Communications Inc                             X                                   0          2,835      0
NTL Incorporated                                       X                                   0          6,569      0
Net2phone                                              X                                   0          3,850      0
Netopia Inc.                                           X                                   0          2,275      0
Netplex Group Inc                                      X                                   0            300      0
Net Resouces Inc                                       X                                   0            200      0
Northern Trust Corp.                                   X                                   0         37,354      0
Netrix Corp                                            X                                   0          1,800      0
Netusa Inc                                             X                                   0          5,000      0
Netstaff Inc                                           X                                   0          8,000      0
Netsolve Inc                                           X                                   0            100      0
Nippon Telegraph & Telephone Corp.                     X                                   0          7,018      0
Netivation Com Inc                                     X                                   0            100      0
Northeast Utilities                                    X                                   0          8,614      0
Nucor Corp.                                            X                                   0         44,070      0
Net 1 Ueps Technologies Inc                            X                                   0            400      0
NUI Corp.                                              X                                   0          3,400      0
Numerica Financial Corp                                X                                   0          6,000      0
Nuveen New York Quality Income Fd                      X                                   0            800      0
Nuveen Ohio Quality Income                             X                                   0         14,050      0
Nutraceutix Inc                                        X                                   0          5,000      0
Nuveen California Select                               X                                   0          1,600      0
Nvidia Corp                                            X                                   0            365      0
Novadigm Inc                                           X                                   0          1,000      0
NVF Co.                                                X                                   0          2,478      0
Novellus System Inc.                                   X                                   0          3,600      0
Novamed Inc                                            X                                   0          1,883      0
Novo-Nordisk A/S ADR                                   X                                   0          1,670      0
NVP CAPTL I 8.2% Cum Qtly Inc.                         X                                   0            800      0
Nvp Cap Iii                                            X                                   0          4,400      0
N V R Incorporated                                     X                                   0            444      0
Nevstar Gaming & Entmt Corp                            X                                   0          6,900      0
Novartis AG-ADR                                        X                                   0          3,977      0
NVIEW Corporation                                      X                                   0          4,000      0
Natl Westminster Bank PLC                              X                                   0            100      0
National Westminster Bank PLC                          X                                   0          1,140      0
National Westminster Bank PLC                          X                                   0          1,500      0
Northwest Airlines Corporation Class A                 X                                   0            650      0
Northwest Airls Inc                                    X                                   0          1,000      0
Newell Rubbermaid Inc.                                 X                                   0        343,541      0
New Tel Ltd                                            X                                   0            100      0
Northwest Natural Gas Co                               X                                   0            700      0
Neoware Systems Inc                                    X                                   0          1,000      0
News Corp. Limited                                     X                                   0         26,753      0
News Corp. Ltd Spons ADR Pfd                           X                                   0          6,868      0
Northwestern Steel & Wire Co New                       X                                   0          5,000      0
National Westminster Bank PLC                          X                                   0          3,000      0
Quanex Corp.                                           X                                   0             75      0
Nextcard Inc                                           X                                   0          3,600      0
New PLan Excel Realty Trust                            X                                   0         21,515      0
New Plan Excel Realty Tr Inc 8.625% PF                 X                                   0          2,612      0
Nextlink Communications Inc Cl A                       X                                   0          7,401      0
</TABLE>

<PAGE>


<TABLE>
<CAPTION>
            FORM 13F             NAME OF REPORTING MANAGER: LEGG MASON WOOD WALKER (IMS)                     Run Date: 04/13/2000
                                                            FOR POSITIONS HELD AS OF 03/31/2000              S.E.C. Use Only

                        Item 1:            Item 2:           Item 3:         Item 4:            Item 5:
                    Name of Issuer      Title of Class    CUSIP Number  Fair Market Value      Shares or
                                                                           (X $1000)         Principal Amt.

- ------------------------------------------------------------------------------------------------------------
<S>                                      <C>                 <C>                    <C>             <C>
Nuveen Insured New York Select           Common Stock        67063V104             25             1,967
Nuveen Select Tax-Free Income            Common Stock        67063C106             31             2,303
Nuveen Select Tax-Free Income            Common Stock        67063X100             62             4,782
Nextera Enterprises Inc                  Common Stock        65332E101              8             1,000
Nextel Communications Inc.               Common Stock        65332V103         22,391           151,037
Nextel Partners Inc                      Common Stock        65333F107             49             1,700
Nycomed Amersham Plc -S ADR              ADR                 67066H102             73             1,838
New York Times Co.                       Common Stock        650111107          1,021            23,776
New York Times Co  Conv CL B             Common Stock        650111404              5               120
Netzero Inc                              Common Stock        64122R109              2               120
Telecom Corp. of New                     ADR                 879278208          2,259            61,561
Synthetech Inc.                          Common Stock        87162E100              4             1,000
Realty Income Corp.                      Common Stock        756109104             48             2,500
Realty Income Corp                       PFD QTR 30/360      756109302             67             3,700
OAO Technology Solutions Inc.            Common Stock        67082B105             37             4,780
Quaker Oats                              Common Stock        747402105            462             7,628
Wild Oats Markets Inc.                   Common Stock        96808B107              9               450
Orthodontic Centers of America Inc.      Common Stock        68750P103            107             5,700
Ohio Casualty Corp.                      Common Stock        677240103            969            54,225
Optical Cable Corp.                      Common Stock        683827109             31             1,000
Ocean Financial Corp.                    Common Stock        674904107              8               520
Omnicare Inc.                            Common Stock        681904108            440            36,465
O  C G Technology Inc                    Common Stock        670818103            118           358,550
Office Depot Inc.                        Common Stock        676220106          1,710           147,875
Orbital Engine Corp - Sponsored ADR      ADR                 685563306              4               500
Ocean Energy Inc.                        Common Stock        67481E106            774            53,871
Corporate Office Properties Trust        Common Stock        22002T108             39             4,730
Oriental Financial Group                 Common Stock        68618W100              8               400
U.S. Office Products                     Common Stock        912325305              8             3,000
Orthofix Intl N V                        Foreign Stock       N6748L102              2               100
Ogden Corp.                              Common Stock        676346109             56             4,725
OGE Energy Corp.                         Common Stock        670837103            107             5,552
Oge Energy Cap Trust I                   PFD QTR 30/360      67084C200             81             3,300
Old Guard Group Inc.                     Common Stock        679783100              3               300
Oglebay Norton Co                        Common Stock        677007106              1                35
Organic Inc                              Common Stock        68617E101              6               300
Omicron Technologies Inc                 Common Stock        68210R103              8            20,000
Oakwood Homes Corp.                      Common Stock        674098108            292            76,517
Omega Healthcare Investors, Inc.         Common Stock        681936100             78            12,350
Owens Illinois Inc.                      Common Stock        690768403              4               250
Ocenaeering  Inc.                        Common Stock        675232102             40             2,155
Triton Energy Limited                    Common Stock        G90751101            121             3,450
Triton Energy Corporation                Common Stock        896750106              1                27
Old Kent Financial Corp.                 Common Stock        679833103            277             8,579
Oneok Inc.                               Common Stock        682680103             70             2,795
Olicom                                   Common Stock        K7514Y107              6             2,000
Olin Corp.                               Common Stock        680665205             86             4,837
Offshore Logistics Inc.                  Common Stock        676255102            960            69,200
Omnicom Group Inc.                       Common Stock        681919106          2,529            27,068
Original Media Inc                       Foreign Stock       686200106              1             5,000
Omega Financial Corp.                    Common Stock        682092101             11               420
OM Group Inc.                            Common Stock        670872100            291             6,400
Owens & Minor Inc. New                   Common Stock        690732102             13             1,245
Open Market Incorporated                 Common Stock        68370M100            335            13,017
Omni Multimedia Group Inc.               Common Stock        68211K107              0               100
Omnova Solutions Inc                     Common Stock        682129101              1               225
Omtool Ltd.                              Common Stock        681974101             13             3,000

                        Item 1:                      Item 6:                Item 7:              Item 8:
                    Name of Issuer             Investment Discretion         Other        Voting Authority (Shares)
                                         (a) Sole (b)Shared as (c)Shared    Managers   (a) Sole  (b) Shared  (c) None
                                                       Def        Other
- --------------------------------------------------------------------------------------------------------------------
Nuveen Insured New York Select                         X                                   0          1,967      0
Nuveen Select Tax-Free Income                          X                                   0          2,303      0
Nuveen Select Tax-Free Income                          X                                   0          4,782      0
Nextera Enterprises Inc                                X                                   0          1,000      0
Nextel Communications Inc.                             X                                   0        151,037      0
Nextel Partners Inc                                    X                                   0          1,700      0
Nycomed Amersham Plc -S ADR                            X                                   0          1,838      0
New York Times Co.                                     X                                   0         23,776      0
New York Times Co  Conv CL B                           X                                   0            120      0
Netzero Inc                                            X                                   0            120      0
Telecom Corp. of New                                   X                                   0         61,561      0
Synthetech Inc.                                        X                                   0          1,000      0
Realty Income Corp.                                    X                                   0          2,500      0
Realty Income Corp                                     X                                   0          3,700      0
OAO Technology Solutions Inc.                          X                                   0          4,780      0
Quaker Oats                                            X                                   0          7,628      0
Wild Oats Markets Inc.                                 X                                   0            450      0
Orthodontic Centers of America Inc.                    X                                   0          5,700      0
Ohio Casualty Corp.                                    X                                   0         54,225      0
Optical Cable Corp.                                    X                                   0          1,000      0
Ocean Financial Corp.                                  X                                   0            520      0
Omnicare Inc.                                          X                                   0         36,465      0
O  C G Technology Inc                                  X                                   0        358,550      0
Office Depot Inc.                                      X                                   0        147,875      0
Orbital Engine Corp - Sponsored ADR                    X                                   0            500      0
Ocean Energy Inc.                                      X                                   0         53,871      0
Corporate Office Properties Trust                      X                                   0          4,730      0
Oriental Financial Group                               X                                   0            400      0
U.S. Office Products                                   X                                   0          3,000      0
Orthofix Intl N V                                      X                                   0            100      0
Ogden Corp.                                            X                                   0          4,725      0
OGE Energy Corp.                                       X                                   0          5,552      0
Oge Energy Cap Trust I                                 X                                   0          3,300      0
Old Guard Group Inc.                                   X                                   0            300      0
Oglebay Norton Co                                      X                                   0             35      0
Organic Inc                                            X                                   0            300      0
Omicron Technologies Inc                               X                                   0         20,000      0
Oakwood Homes Corp.                                    X                                   0         76,517      0
Omega Healthcare Investors, Inc.                       X                                   0         12,350      0
Owens Illinois Inc.                                    X                                   0            250      0
Ocenaeering  Inc.                                      X                                   0          2,155      0
Triton Energy Limited                                  X                                   0          3,450      0
Triton Energy Corporation                              X                                   0             27      0
Old Kent Financial Corp.                               X                                   0          8,579      0
Oneok Inc.                                             X                                   0          2,795      0
Olicom                                                 X                                   0          2,000      0
Olin Corp.                                             X                                   0          4,837      0
Offshore Logistics Inc.                                X                                   0         69,200      0
Omnicom Group Inc.                                     X                                   0         27,068      0
Original Media Inc                                     X                                   0          5,000      0
Omega Financial Corp.                                  X                                   0            420      0
OM Group Inc.                                          X                                   0          6,400      0
Owens & Minor Inc. New                                 X                                   0          1,245      0
Open Market Incorporated                               X                                   0         13,017      0
Omni Multimedia Group Inc.                             X                                   0            100      0
Omnova Solutions Inc                                   X                                   0            225      0
Omtool Ltd.                                            X                                   0          3,000      0
</TABLE>

<PAGE>


<TABLE>
<CAPTION>
            FORM 13F             NAME OF REPORTING MANAGER: LEGG MASON WOOD WALKER (IMS)                     Run Date: 04/13/2000
                                                            FOR POSITIONS HELD AS OF 03/31/2000              S.E.C. Use Only

                        Item 1:            Item 2:           Item 3:         Item 4:            Item 5:
                    Name of Issuer      Title of Class    CUSIP Number  Fair Market Value      Shares or
                                                                           (X $1000)         Principal Amt.

- ------------------------------------------------------------------------------------------------------------
<S>                                      <C>                 <C>                    <C>             <C>
Officemax Inc.                           Common Stock        67622M108            183            28,090
Oncor, Inc.                              Common Stock        682311105              0             3,600
On Command Corp.                         Common Stock        682160106            123             8,184
WTS On Command Corp.                     Common Stock        682160122              0                17
Ondisplay Inc                            Common Stock        68232L100             17               200
Bank One Corp.                           Common Stock        06423A103         12,485           363,192
Bank One Cap I                           PFD QTR 30/360      06421B202             23             1,000
Onemain.Com Inc.                         Common Stock        68267P109             74             6,500
On-Site Sourcing Inc.                    Common Stock        682195102              8             2,000
On2 Com Inc                              Common Stock        68338A107              7               500
On Technology Corp.                      Common Stock        68219P108             34             3,272
Onyx Software Corp.                      Common Stock        683402101            381            11,950
Onyx Pharmaceuticals Inc                 Common Stock        683399109            425            30,500
Oakley Inc.                              Common Stock        673662102             13             1,200
Ophthalmic Intl Resources LTD            Common Stock        683740104              0             4,500
Optimal Robotics Corp                    Foreign Stock       68388R208              9               200
Old Point Financial Corp.                Common Stock        680194107             49             2,600
Oppenheimer Inds Inc.                    Common Stock        683800106              0             2,500
Realty Income Corp Pfd Cl C 9.50%        PFD P12 30/360      756109500             20             1,000
Optelcom Inc.                            Common Stock        683818207             11             1,100
OPTI Inc.                                Common Stock        683960108             26             5,000
Optika Inc                               Common Stock        683973101            190             6,800
Opentv Corp                              Foreign Stock       G67543101             65               550
Netoptix Corp                            Common Stock        64116F103             43               250
Online Entmt Inc                         Common Stock        68274C109             24             1,800
Orbital Sciences Corp.                   Common Stock        685564106             63             4,200
Orbotech Limited Ord                     Common Stock        M75253100          1,233            14,510
Oracle Systems Corp.                     Common Stock        68389X105         36,223           464,021
Orckit Communications Ltd                Foreign Stock       M7531S107             59               885
Organogenesis Inc.                       Common Stock        685906109             96             7,945
Organic Solutions Inc                    Common Stock        686175100              0             1,500
Old Republic International Corp.         Common Stock        680223104            131             9,505
O Reilly Automotive Inc.                 Common Stock        686091109             26             1,850
Ortel Corp.                              Common Stock        68749W102             49               260
Orex Minerals Corp.                      Common Stock        68616R103              0               150
Orex Corporation                         Common Stock        686162108              0             3,000
Oregon Steel Mills Inc.                  Common Stock        686079104              2               565
Objectsoft Corp                          Common Stock        674427406              5               800
Overseas Shipholding                     Common Stock        690368105            204             8,900
Osi Systems Inc                          Common Stock        671044105              1               100
Outsource International Inc              Common Stock        690131107              0               300
Osmonics Inc                             Common Stock        688350107             40             5,000
Outback Steakhouse Inc.                  Common Stock        689899102            843            26,282
Royce Micro Cap Trust Inc.               MutualFdEqClose     780915104             91             8,789
Hellenic Telecommun Org - ADR            ADR                 423325307            104             7,175
Open Text Corp.                          Common Stock        683715106              6               210
Oxford Tax Exempt Fund II LP             LTD Part  P0        69181P100             12               500
Otg Software Inc                         Common Stock        671059103             20               500
Octel Corp.                              Common Stock        675727101             14             1,428
Oshkosh Truck Corp. Class B              Common Stock        688239201             86             2,775
Otter Tail Power Co                      Common Stock        689648103             33             1,662
Realty INcome Corp. 8.25%                Preferred Stock     756109203              4               175
One Valley Bancorp Inc.                  Common Stock        682419106            172             4,964
Owens Corning                            Common Stock        69073F103            137             7,060
Onewworld Systems Inc New                Common Stock        682917307              0               130
Sunterra Corp                            Common Stock        86787D109             33            16,500
Omega Worldwide Inc.                     Common Stock        68210B108              2               374

                        Item 1:                      Item 6:                Item 7:              Item 8:
                    Name of Issuer             Investment Discretion         Other        Voting Authority (Shares)
                                         (a) Sole (b)Shared as (c)Shared    Managers   (a) Sole  (b) Shared  (c) None
                                                       Def        Other
- --------------------------------------------------------------------------------------------------------------------
Officemax Inc.                                         X                                   0         28,090      0
Oncor, Inc.                                            X                                   0          3,600      0
On Command Corp.                                       X                                   0          8,184      0
WTS On Command Corp.                                   X                                   0             17      0
Ondisplay Inc                                          X                                   0            200      0
Bank One Corp.                                         X                                   0        363,192      0
Bank One Cap I                                         X                                   0          1,000      0
Onemain.Com Inc.                                       X                                   0          6,500      0
On-Site Sourcing Inc.                                  X                                   0          2,000      0
On2 Com Inc                                            X                                   0            500      0
On Technology Corp.                                    X                                   0          3,272      0
Onyx Software Corp.                                    X                                   0         11,950      0
Onyx Pharmaceuticals Inc                               X                                   0         30,500      0
Oakley Inc.                                            X                                   0          1,200      0
Ophthalmic Intl Resources LTD                          X                                   0          4,500      0
Optimal Robotics Corp                                  X                                   0            200      0
Old Point Financial Corp.                              X                                   0          2,600      0
Oppenheimer Inds Inc.                                  X                                   0          2,500      0
Realty Income Corp Pfd Cl C 9.50%                      X                                   0          1,000      0
Optelcom Inc.                                          X                                   0          1,100      0
OPTI Inc.                                              X                                   0          5,000      0
Optika Inc                                             X                                   0          6,800      0
Opentv Corp                                            X                                   0            550      0
Netoptix Corp                                          X                                   0            250      0
Online Entmt Inc                                       X                                   0          1,800      0
Orbital Sciences Corp.                                 X                                   0          4,200      0
Orbotech Limited Ord                                   X                                   0         14,510      0
Oracle Systems Corp.                                   X                                   0        464,021      0
Orckit Communications Ltd                              X                                   0            885      0
Organogenesis Inc.                                     X                                   0          7,945      0
Organic Solutions Inc                                  X                                   0          1,500      0
Old Republic International Corp.                       X                                   0          9,505      0
O Reilly Automotive Inc.                               X                                   0          1,850      0
Ortel Corp.                                            X                                   0            260      0
Orex Minerals Corp.                                    X                                   0            150      0
Orex Corporation                                       X                                   0          3,000      0
Oregon Steel Mills Inc.                                X                                   0            565      0
Objectsoft Corp                                        X                                   0            800      0
Overseas Shipholding                                   X                                   0          8,900      0
Osi Systems Inc                                        X                                   0            100      0
Outsource International Inc                            X                                   0            300      0
Osmonics Inc                                           X                                   0          5,000      0
Outback Steakhouse Inc.                                X                                   0         26,282      0
Royce Micro Cap Trust Inc.                             X                                   0          8,789      0
Hellenic Telecommun Org - ADR                          X                                   0          7,175      0
Open Text Corp.                                        X                                   0            210      0
Oxford Tax Exempt Fund II LP                           X                                   0            500      0
Otg Software Inc                                       X                                   0            500      0
Octel Corp.                                            X                                   0          1,428      0
Oshkosh Truck Corp. Class B                            X                                   0          2,775      0
Otter Tail Power Co                                    X                                   0          1,662      0
Realty INcome Corp. 8.25%                              X                                   0            175      0
One Valley Bancorp Inc.                                X                                   0          4,964      0
Owens Corning                                          X                                   0          7,060      0
Onewworld Systems Inc New                              X                                   0            130      0
Sunterra Corp                                          X                                   0         16,500      0
Omega Worldwide Inc.                                   X                                   0            374      0
</TABLE>

<PAGE>


<TABLE>
<CAPTION>
            FORM 13F             NAME OF REPORTING MANAGER: LEGG MASON WOOD WALKER (IMS)                     Run Date: 04/13/2000
                                                            FOR POSITIONS HELD AS OF 03/31/2000              S.E.C. Use Only

                        Item 1:            Item 2:           Item 3:         Item 4:            Item 5:
                    Name of Issuer      Title of Class    CUSIP Number  Fair Market Value      Shares or
                                                                           (X $1000)         Principal Amt.

- -----------------------------------------------------------------------------------------------------------
<S>                                      <C>                 <C>                    <C>             <C>
Oxford Health Plans Inc.                 Common Stock        691471106            311            20,420
Occidental Petroleum Corp.               Common Stock        674599105            350            16,848
OYO Geospace                             Common Stock        671074102             15               900
Cyclopss Corp.                           Common Stock        232537209             12            17,000
Phillips Petroleum Company               Common Stock        718507106          1,729            37,394
Phillips 66 Capital I 8.24% Trust Orig   PFD QTR 30/360      718550205             22             1,000
Ohio Power Co 7.375%                     Common Stock        677415762             32             1,500
Prime Group Realty Trust 9.0%            PFD QTR 30/360      74158J202             34             2,200
Offshore Tool & Energy Corp              Foreign Stock       U67582103              1            11,146
Peptide Therapeutics Comp                Common Stock        G70036994              0                83
Oxy Capital Trust I 8.16% PFD            PFD QTR 30/360      692070204             49             2,400
Phila Auth Indl Dev Pension              PFD QTR 30/360      71781M206             40             2,000
Procurenet Inc                           Common Stock        742804107              0             1,625
Property Cap Tr Inc                      Common Stock        74343M102              0                 8
Penelec Capital Trust 7.34%              Preferred Stock     706871209            128             6,000
Provident Capital Trust II 8.75%         PFD QTR 30/360      74386E207             76             3,700
Protherics Ord                           Common Stock        G7274D108              1             2,326
Palmetto Bancshares Inc                  Common Stock        697062107              0               480
Progressive Savings & Loan LTD           Common Stock        74337P103              0             2,925
Queenstown Bank of Maryland              Common Stock        74831Y105             39               812
QMG Holdings Inc                         Common Stock        747257103              0             3,000
Pan Am Corp.                             Common Stock        697758100              0               500
Panamerica Bancorp                       Common Stock        69829X101              1            15,045
Pacific Telesis Finance TOPRS            Preferred Stock     694887209             13               591
Pacific Telesis Finance II               Preferred Stock     694889205            112             4,600
Pac-west Telecom Inc                     Common Stock        69371Y101             63             2,028
Pacific Gulf Properties Inc.             Common Stock        694396102             16               800
Paging Network, Inc.                     Common Stock        695542100             73            28,150
Pairgain Technologies Inc.               Common Stock        695934109            146             7,800
Petroleum Acreage Corp Texas             Common Stock        716560107              0             2,000
Palm Inc                                 Common Stock        696642107            528            11,775
Universal Display Corp                   Common Stock        91347P105             30             1,200
Asia Pulp & Paper Co Ltd ADR             ADR                 04516V100            107            14,545
Coastcast Corp.                          Common Stock        19057T108              7               400
Pharmos Corp                             Common Stock        717139208             24             4,800
Quepasa Com Inc                          Common Stock        74833W107             10             1,500
Pacific Softworks Inc                    Common Stock        694821109              4               500
Ameripath Inc.                           Common Stock        03071D109             33             4,000
Paul Harris Stores Inc New               Common Stock        703555201              0               100
First Cash Inc                           Common Stock        31942D107              7             1,100
Paxson Communications Corp.              Common Stock        704231109             16             2,000
Payforview Com Corp.                     Foreign Stock       704377209              1             1,000
Paychex Inc.                             Common Stock        704326107            807            15,415
Pan American Beverages Inc.              Common Stock        P74823108             25             1,400
People's Bank - Bridgeport, CT           Common Stock        710198102              7               350
The Pepsi Bottling Group Inc.            Common Stock        713409100            339            16,950
Pitney-Bowes, Inc.                       Common Stock        724479100          1,107            24,778
Patriot Bank Corporation PA              Common Stock        70335P103             19             1,500
Provident Bankshares Corp.               Common Stock        743859100            900            57,166
Provident Tr Ii                          PFD QTR 30/360      74405Y200            334            13,500
Precept Business Svcs Inc                Common Stock        740165204              0                 2
Pathobiotek Diagnostics Inc              Common Stock        70321F101              2             3,000
Pep Boys - Manny, Moe & Jack             Common Stock        713278109            214            35,973
Primacom AG-Sponsored ADR                Foreign Stock       74154N108            182             3,938
Paccar Inc.                              Common Stock        693718108            235             4,695
PMC Commercial Trust                     Common Stock        693434102              3               295
PC Connection Inc.                       Common Stock        69318J100             53             1,875

                        Item 1:                      Item 6:                Item 7:              Item 8:
                    Name of Issuer             Investment Discretion         Other        Voting Authority (Shares)
                                         (a) Sole (b)Shared as (c)Shared    Managers   (a) Sole  (b) Shared  (c) None
                                                       Def        Other
- --------------------------------------------------------------------------------------------------------------------
Oxford Health Plans Inc.                               X                                   0         20,420      0
Occidental Petroleum Corp.                             X                                   0         16,848      0
OYO Geospace                                           X                                   0            900      0
Cyclopss Corp.                                         X                                   0         17,000      0
Phillips Petroleum Company                             X                                   0         37,394      0
Phillips 66 Capital I 8.24% Trust Orig                 X                                   0          1,000      0
Ohio Power Co 7.375%                                   X                                   0          1,500      0
Prime Group Realty Trust 9.0%                          X                                   0          2,200      0
Offshore Tool & Energy Corp                            X                                   0         11,146      0
Peptide Therapeutics Comp                              X                                   0             83      0
Oxy Capital Trust I 8.16% PFD                          X                                   0          2,400      0
Phila Auth Indl Dev Pension                            X                                   0          2,000      0
Procurenet Inc                                         X                                   0          1,625      0
Property Cap Tr Inc                                    X                                   0              8      0
Penelec Capital Trust 7.34%                            X                                   0          6,000      0
Provident Capital Trust II 8.75%                       X                                   0          3,700      0
Protherics Ord                                         X                                   0          2,326      0
Palmetto Bancshares Inc                                X                                   0            480      0
Progressive Savings & Loan LTD                         X                                   0          2,925      0
Queenstown Bank of Maryland                            X                                   0            812      0
QMG Holdings Inc                                       X                                   0          3,000      0
Pan Am Corp.                                           X                                   0            500      0
Panamerica Bancorp                                     X                                   0         15,045      0
Pacific Telesis Finance TOPRS                          X                                   0            591      0
Pacific Telesis Finance II                             X                                   0          4,600      0
Pac-west Telecom Inc                                   X                                   0          2,028      0
Pacific Gulf Properties Inc.                           X                                   0            800      0
Paging Network, Inc.                                   X                                   0         28,150      0
Pairgain Technologies Inc.                             X                                   0          7,800      0
Petroleum Acreage Corp Texas                           X                                   0          2,000      0
Palm Inc                                               X                                   0         11,775      0
Universal Display Corp                                 X                                   0          1,200      0
Asia Pulp & Paper Co Ltd ADR                           X                                   0         14,545      0
Coastcast Corp.                                        X                                   0            400      0
Pharmos Corp                                           X                                   0          4,800      0
Quepasa Com Inc                                        X                                   0          1,500      0
Pacific Softworks Inc                                  X                                   0            500      0
Ameripath Inc.                                         X                                   0          4,000      0
Paul Harris Stores Inc New                             X                                   0            100      0
First Cash Inc                                         X                                   0          1,100      0
Paxson Communications Corp.                            X                                   0          2,000      0
Payforview Com Corp.                                   X                                   0          1,000      0
Paychex Inc.                                           X                                   0         15,415      0
Pan American Beverages Inc.                            X                                   0          1,400      0
People's Bank - Bridgeport, CT                         X                                   0            350      0
The Pepsi Bottling Group Inc.                          X                                   0         16,950      0
Pitney-Bowes, Inc.                                     X                                   0         24,778      0
Patriot Bank Corporation PA                            X                                   0          1,500      0
Provident Bankshares Corp.                             X                                   0         57,166      0
Provident Tr Ii                                        X                                   0         13,500      0
Precept Business Svcs Inc                              X                                   0              2      0
Pathobiotek Diagnostics Inc                            X                                   0          3,000      0
Pep Boys - Manny, Moe & Jack                           X                                   0         35,973      0
Primacom AG-Sponsored ADR                              X                                   0          3,938      0
Paccar Inc.                                            X                                   0          4,695      0
PMC Commercial Trust                                   X                                   0            295      0
PC Connection Inc.                                     X                                   0          1,875      0
</TABLE>

<PAGE>


<TABLE>
<CAPTION>
            FORM 13F             NAME OF REPORTING MANAGER: LEGG MASON WOOD WALKER (IMS)                     Run Date: 04/13/2000
                                                            FOR POSITIONS HELD AS OF 03/31/2000              S.E.C. Use Only

                        Item 1:            Item 2:           Item 3:         Item 4:            Item 5:
                    Name of Issuer      Title of Class    CUSIP Number  Fair Market Value      Shares or
                                                                           (X $1000)         Principal Amt.

- -----------------------------------------------------------------------------------------------------------
<S>                                      <C>                 <C>                    <C>             <C>
Pacific Century Cyberworks               Foreign Stock       Y6801N100            799           342,200
Putnam High Income Cvt & Bd Fd           MutualFdFiClose     746779107              9             1,300
P G & E Corp.                            Common Stock        69331C108            725            34,536
Pacific Gas & Elec                       PFD QTR 30/360      694308206             67             3,500
PG&E Capital I 7.90% Cum PFD Ser A       PFD QTR 30/360      69331F200            123             5,520
Potlach Corp.                            Common Stock        737628107            203             4,710
Plum Creek Timber Co L P                 Common Stock        729251108             65             2,650
Priceline.Com Inc.                       Common Stock        741503106            579             7,470
Pimco Commercial Mortgage                Common Stock        693388100             50             4,000
P-Com Inc                                Common Stock        693262107             17               900
Physician Computer Network               Common Stock        71940K109              1             1,000
Pacific Internet Limited                 Common Stock        Y66183107             21               550
Pointe Comm Corp                         Common Stock        730749108              4             1,000
Pharmacopeia Inc.                        Common Stock        71713B104            206             4,200
Precision Castparts Corp.                Common Stock        740189105            141             3,850
Pacificorp Pfd 7%                        PFD QTR 30/360      695114884              2                15
Pacificorp                               PFD QTR 30/360      695114629              4               200
Sprint Corp. (PCS Group)                 Common Stock        852061506          3,198            48,966
Airgate Pcs Inc                          Common Stock        009367103              6                60
Payless Cashways Inc                     Common Stock        704378405            240            95,000
Pacific Aerospace & Electronics Inc      Common Stock        693758104             26            11,000
Picturetel Corp. Com New                 Common Stock        720035302              5               600
Party City Corporation                   Common Stock        702145103              2             1,050
Petro-Canada                             Common Stock        71644E102              8               500
Phelps Dodge                             Common Stock        717265102            321             6,768
Patterson Dental Co                      Common Stock        703412106             66             1,737
Pride International Inc.                 Common Stock        741932107             19               845
Pro-dex Inc Colo                         Common Stock        74265M106              4             1,500
Placer Dome Inc.                         Common Stock        725906101             18             2,200
Placer Dome Inc 8.625% Ser A Cum Coprs   PFD QTR 30/360      725906200              9               500
Putnam Dividend Income Fd                Common Stock        746706100              3               350
Prandium Inc                             Common Stock        73972W100             24            54,000
North Amern Palladium Ltd                Foreign Stock       656912102             12             2,000
Protein Design Labs Inc.                 Common Stock        74369L103            992            12,475
Princeton Dental Mgmt Corp               Common Stock        741872204              0                40
John Hancock Patriot Premium             Common Stock        41013T105             37             4,000
Pediatrix Medical Group Inc              Common Stock        705324101             29             4,000
Paradyne Networks Inc                    Common Stock        69911G107             56             1,796
Peco Energy Co                           Common Stock        693304107            421            11,418
PECO Energy Co $3.80 Pfd                 Preferred Stock     693304206             38               700
PECO Energy Co $4.30 Pfd                 Preferred Stock     693304305              6               100
Peco Energy Cap Tr Ii                    PFD P12 30/360      69331A201             46             2,000
Peaksoft Multinet Corp                   Common Stock        704916204              0               125
PE Corp PE Biosystems Group              Common Stock        69332S102          2,426            25,145
Peoples Bancorp Inc                      Common Stock        709789101             25             1,481
Petroleo Brasileiro SA - Sponsored ADR   ADR                 71654V101          6,579           241,686
Great Pee Dee Bancorp Inc.               Common Stock        39115R100              3               300
Peekskill Financial Corp.                Common Stock        705385102              8               370
Public Service Enterprise Group          Common Stock        744573106            790            26,674
Public Service Electric & Gas            PFD QTR 30/360      744567728              8               400
Enterprise Capital Tr I-7.44% Cum Trus   PFD QTR 30/360      293701207             77             4,060
PSE&G  Capt Trust II 8.125% Pfd Ser B    PFD QTR 30/360      69361T203             31             1,400
PSE&G Capt Trust I 8.625% Cum            PFD QTR 30/360      693941205             33             1,440
Public Svc Elec & Gas L P                PFD P12 30/360      744569302             44             2,000
Pegasystems Inc                          Common Stock        705573103             24             2,000
Pegasus Systems Inc                      Common Stock        705906105            118             7,474
Pennsylvania Real Estate Tr SBI          Common Stock        709102107            220            13,554

                        Item 1:                      Item 6:                Item 7:              Item 8:
                    Name of Issuer             Investment Discretion         Other        Voting Authority (Shares)
                                         (a) Sole (b)Shared as (c)Shared    Managers   (a) Sole  (b) Shared  (c) None
                                                       Def        Other
- --------------------------------------------------------------------------------------------------------------------
Pacific Century Cyberworks                             X                                   0        342,200      0
Putnam High Income Cvt & Bd Fd                         X                                   0          1,300      0
P G & E Corp.                                          X                                   0         34,536      0
Pacific Gas & Elec                                     X                                   0          3,500      0
PG&E Capital I 7.90% Cum PFD Ser A                     X                                   0          5,520      0
Potlach Corp.                                          X                                   0          4,710      0
Plum Creek Timber Co L P                               X                                   0          2,650      0
Priceline.Com Inc.                                     X                                   0          7,470      0
Pimco Commercial Mortgage                              X                                   0          4,000      0
P-Com Inc                                              X                                   0            900      0
Physician Computer Network                             X                                   0          1,000      0
Pacific Internet Limited                               X                                   0            550      0
Pointe Comm Corp                                       X                                   0          1,000      0
Pharmacopeia Inc.                                      X                                   0          4,200      0
Precision Castparts Corp.                              X                                   0          3,850      0
Pacificorp Pfd 7%                                      X                                   0             15      0
Pacificorp                                             X                                   0            200      0
Sprint Corp. (PCS Group)                               X                                   0         48,966      0
Airgate Pcs Inc                                        X                                   0             60      0
Payless Cashways Inc                                   X                                   0         95,000      0
Pacific Aerospace & Electronics Inc                    X                                   0         11,000      0
Picturetel Corp. Com New                               X                                   0            600      0
Party City Corporation                                 X                                   0          1,050      0
Petro-Canada                                           X                                   0            500      0
Phelps Dodge                                           X                                   0          6,768      0
Patterson Dental Co                                    X                                   0          1,737      0
Pride International Inc.                               X                                   0            845      0
Pro-dex Inc Colo                                       X                                   0          1,500      0
Placer Dome Inc.                                       X                                   0          2,200      0
Placer Dome Inc 8.625% Ser A Cum Coprs                 X                                   0            500      0
Putnam Dividend Income Fd                              X                                   0            350      0
Prandium Inc                                           X                                   0         54,000      0
North Amern Palladium Ltd                              X                                   0          2,000      0
Protein Design Labs Inc.                               X                                   0         12,475      0
Princeton Dental Mgmt Corp                             X                                   0             40      0
John Hancock Patriot Premium                           X                                   0          4,000      0
Pediatrix Medical Group Inc                            X                                   0          4,000      0
Paradyne Networks Inc                                  X                                   0          1,796      0
Peco Energy Co                                         X                                   0         11,418      0
PECO Energy Co $3.80 Pfd                               X                                   0            700      0
PECO Energy Co $4.30 Pfd                               X                                   0            100      0
Peco Energy Cap Tr Ii                                  X                                   0          2,000      0
Peaksoft Multinet Corp                                 X                                   0            125      0
PE Corp PE Biosystems Group                            X                                   0         25,145      0
Peoples Bancorp Inc                                    X                                   0          1,481      0
Petroleo Brasileiro SA - Sponsored ADR                 X                                   0        241,686      0
Great Pee Dee Bancorp Inc.                             X                                   0            300      0
Peekskill Financial Corp.                              X                                   0            370      0
Public Service Enterprise Group                        X                                   0         26,674      0
Public Service Electric & Gas                          X                                   0            400      0
Enterprise Capital Tr I-7.44% Cum Trus                 X                                   0          4,060      0
PSE&G  Capt Trust II 8.125% Pfd Ser B                  X                                   0          1,400      0
PSE&G Capt Trust I 8.625% Cum                          X                                   0          1,440      0
Public Svc Elec & Gas L P                              X                                   0          2,000      0
Pegasystems Inc                                        X                                   0          2,000      0
Pegasus Systems Inc                                    X                                   0          7,474      0
Pennsylvania Real Estate Tr SBI                        X                                   0         13,554      0
</TABLE>

<PAGE>


<TABLE>
<CAPTION>
            FORM 13F             NAME OF REPORTING MANAGER: LEGG MASON WOOD WALKER (IMS)                     Run Date: 04/13/2000
                                                            FOR POSITIONS HELD AS OF 03/31/2000              S.E.C. Use Only

                        Item 1:            Item 2:           Item 3:         Item 4:            Item 5:
                    Name of Issuer      Title of Class    CUSIP Number  Fair Market Value      Shares or
                                                                           (X $1000)         Principal Amt.

- -----------------------------------------------------------------------------------------------------------
<S>                                      <C>                 <C>                    <C>             <C>
Petroleum & Resources Corp.              Common Stock        716549100             48             1,321
PepsiCo, Inc.                            Common Stock        713448108         15,303           442,770
Piezo Elec Prods Inc                     Foreign Stock       720888304              0                40
Peco Energy Co $4.40 Pfd                 PFD QTR 30/360      693304404             16               300
Perot Systems Corp. Cl A                 Common Stock        714265105            334            16,600
Petco Animal Supplies Inc                Common Stock        716016100             78             6,600
Petsmart, Inc.                           Common Stock        716768106            206            68,703
Peugeot SA Spon ADR                      ADR                 716825500              4                80
Pro-Fac Cooperative Pfd A                Preferred Stock     74265P208              8               525
Peacock Finl Corp                        Common Stock        704908102              1             1,000
Preferred Income Fd Inc                  Common Stock        74037G106              4               337
Pfizer Inc.                              Common Stock        717081103         27,021           739,038
Park Bancorp Inc                         Common Stock        700164106              1                80
PFF Bancorp Inc.                         Common Stock        69331W104             24             1,580
PennCorp Financial Group Inc.            Common Stock        708094107              0             3,591
Performance Food Group Co                Common Stock        713755106             23             1,050
Provident Financial GRP                  Common Stock        743866105             41             1,208
Penseco Financial Services Corp          Common Stock        709570105              1                40
Preferred Networks Inc.                  Common Stock        739905107              0               200
Preferred Income Opportunity             Common Stock        74037H104            193            20,676
Premier Farnell PLC Sponsored ADR        ADR                 74050U107              2               126
Premier Farnell PLC Sponsored ADR        Foreign Stock       74050U206              2               102
Procter & Gamble Co.                     Common Stock        742718109         15,328           272,497
Personnel Group of America Inc.          Common Stock        715338109              3               443
Portland Genl Elec 8.25%                 PFD QTR 30/360      736508854             11               500
Prime Group Realty Trust                 Common Stock        74158J103             10               680
Pacific Gateway Exchange Inc.            Common Stock        694327107            137             9,325
Portugal Fund Inc.                       MutualFdEqClose     737265108             92             6,500
Polymer Group Inc                        Common Stock        731745105            170            13,350
Peoples Energy Corp.                     Common Stock        711030106             30             1,078
Putnam Investment Grade                  Common Stock        746805100             41             3,500
Stillwater Mining Co                     Common Stock        86074Q102            122             3,050
Progenics Pharmaceutals Inc.             Common Stock        743187106             35               500
Petroleum Geo Services A/S SPONS ADR     ADR                 716597109             74             4,275
Pgs Trust I                              PFD 30/360 P1       69335C104             27             1,200
Progressive Corp.                        Common Stock        743315103            196             2,571
Pegasus Communications Corp. - Cl A      Common Stock        705904100            538             3,825
Pegasus Gold, Inc.                       Common Stock        70556K106              0               650
Parker Hannifin Corp.                    Common Stock        701094104            835            20,202
Pharmanetics Inc                         Common Stock        71713J107             85             5,700
Peoples Heritage Financial Group Inc.    Common Stock        711147108          1,519           101,292
Priority Healthare Corp.                 Common Stock        74264T201              4                84
Phone Com Inc                            Common Stock        71920Q100          3,854            23,627
PIMCO High Yield Fund C                  MutualFdFiClose     693742108              9               700
Pittsburgh Home Financial Cr             Common Stock        725149108              9             1,000
Koninklijke Philips Electronics NV ADR   ADR                 500472204         23,439           136,818
Planet Hollywood International, Inc.     Common Stock        727025108              0             1,000
Philadelphia Cons Hldg Co.               Common Stock        717528103              6               400
PHP Healthcare Corp.                     Common Stock        693344103              0             1,000
Pacificare Health Sys Cl A               Common Stock        695112102              2                50
Managed High Yield Fund                  Common Stock        56166E101             13             1,334
Photon Dynamics Inc                      Common Stock        719364101             14               205
Philip Services Corp.                    Common Stock        71819M103             10            90,609
Phoenix Information Sys Corp             Common Stock        719077109              0             1,000
Phycor Inc.                              Common Stock        71940F100             12            11,325
Piccadilly Cafeterias Inc.               Common Stock        719567109              8             2,585
Pico Holdings Inc                        Common Stock        693366205             18             1,599

                        Item 1:                      Item 6:                Item 7:              Item 8:
                    Name of Issuer             Investment Discretion         Other        Voting Authority (Shares)
                                         (a) Sole (b)Shared as (c)Shared    Managers   (a) Sole  (b) Shared  (c) None
                                                       Def        Other
- --------------------------------------------------------------------------------------------------------------------
Petroleum & Resources Corp.                            X                                   0          1,321      0
PepsiCo, Inc.                                          X                                   0        442,770      0
Piezo Elec Prods Inc                                   X                                   0             40      0
Peco Energy Co $4.40 Pfd                               X                                   0            300      0
Perot Systems Corp. Cl A                               X                                   0         16,600      0
Petco Animal Supplies Inc                              X                                   0          6,600      0
Petsmart, Inc.                                         X                                   0         68,703      0
Peugeot SA Spon ADR                                    X                                   0             80      0
Pro-Fac Cooperative Pfd A                              X                                   0            525      0
Peacock Finl Corp                                      X                                   0          1,000      0
Preferred Income Fd Inc                                X                                   0            337      0
Pfizer Inc.                                            X                                   0        739,038      0
Park Bancorp Inc                                       X                                   0             80      0
PFF Bancorp Inc.                                       X                                   0          1,580      0
PennCorp Financial Group Inc.                          X                                   0          3,591      0
Performance Food Group Co                              X                                   0          1,050      0
Provident Financial GRP                                X                                   0          1,208      0
Penseco Financial Services Corp                        X                                   0             40      0
Preferred Networks Inc.                                X                                   0            200      0
Preferred Income Opportunity                           X                                   0         20,676      0
Premier Farnell PLC Sponsored ADR                      X                                   0            126      0
Premier Farnell PLC Sponsored ADR                      X                                   0            102      0
Procter & Gamble Co.                                   X                                   0        272,497      0
Personnel Group of America Inc.                        X                                   0            443      0
Portland Genl Elec 8.25%                               X                                   0            500      0
Prime Group Realty Trust                               X                                   0            680      0
Pacific Gateway Exchange Inc.                          X                                   0          9,325      0
Portugal Fund Inc.                                     X                                   0          6,500      0
Polymer Group Inc                                      X                                   0         13,350      0
Peoples Energy Corp.                                   X                                   0          1,078      0
Putnam Investment Grade                                X                                   0          3,500      0
Stillwater Mining Co                                   X                                   0          3,050      0
Progenics Pharmaceutals Inc.                           X                                   0            500      0
Petroleum Geo Services A/S SPONS ADR                   X                                   0          4,275      0
Pgs Trust I                                            X                                   0          1,200      0
Progressive Corp.                                      X                                   0          2,571      0
Pegasus Communications Corp. - Cl A                    X                                   0          3,825      0
Pegasus Gold, Inc.                                     X                                   0            650      0
Parker Hannifin Corp.                                  X                                   0         20,202      0
Pharmanetics Inc                                       X                                   0          5,700      0
Peoples Heritage Financial Group Inc.                  X                                   0        101,292      0
Priority Healthare Corp.                               X                                   0             84      0
Phone Com Inc                                          X                                   0         23,627      0
PIMCO High Yield Fund C                                X                                   0            700      0
Pittsburgh Home Financial Cr                           X                                   0          1,000      0
Koninklijke Philips Electronics NV ADR                 X                                   0        136,818      0
Planet Hollywood International, Inc.                   X                                   0          1,000      0
Philadelphia Cons Hldg Co.                             X                                   0            400      0
PHP Healthcare Corp.                                   X                                   0          1,000      0
Pacificare Health Sys Cl A                             X                                   0             50      0
Managed High Yield Fund                                X                                   0          1,334      0
Photon Dynamics Inc                                    X                                   0            205      0
Philip Services Corp.                                  X                                   0         90,609      0
Phoenix Information Sys Corp                           X                                   0          1,000      0
Phycor Inc.                                            X                                   0         11,325      0
Piccadilly Cafeterias Inc.                             X                                   0          2,585      0
Pico Holdings Inc                                      X                                   0          1,599      0
</TABLE>

<PAGE>


<TABLE>
<CAPTION>
            FORM 13F             NAME OF REPORTING MANAGER: LEGG MASON WOOD WALKER (IMS)                     Run Date: 04/13/2000
                                                            FOR POSITIONS HELD AS OF 03/31/2000              S.E.C. Use Only

                        Item 1:            Item 2:           Item 3:         Item 4:            Item 5:
                    Name of Issuer      Title of Class    CUSIP Number  Fair Market Value      Shares or
                                                                           (X $1000)         Principal Amt.

- -----------------------------------------------------------------------------------------------------------
<S>                                      <C>                 <C>                    <C>             <C>
Insured Municipal Income Fund            Common Stock        45809F104             93             7,765
Polaris Industries Inc.                  Common Stock        731068102            699            23,200
Water Pik Technologies Inc               Common Stock        94113U100              0                65
Pilot Network Services Inc               Common Stock        721596104            185             5,600
Putnam Master Intermediate               Common Stock        746909100            510            86,829
AMF Bowling Inc.                         Common Stock        03113V109              4             2,000
***Pioneer Corporation ADS               ADR                 723646105            143             4,913
Pioneer Group Inc.                       Common Stock        723684106             23             1,000
Pioneer Standard                         Common Stock        723877106            102             6,450
Pier 1 Imports Inc.                      Common Stock        720279108             32             3,150
Pirelli SPA - Unsponsored ADR            ADR                 724258207              9             3,400
PIXAR Inc.                               Common Stock        725811103             61             1,700
Central Parking Corporation              Common Stock        154785109            286            14,275
Parker Drilling Co                       Common Stock        701081101             17             3,300
Packaging Corp Amer                      Common Stock        695156109            164            15,600
Pilkington Plc-Ord 50p                   Foreign Stock       G70956118              8             7,250
Perkinelmer Inc                          Common Stock        714046109             21               321
Park Meridian Bk Charlotte Inc           Common Stock        700579105             20             1,600
Premier Parks Inc                        Common Stock        740540208              9               434
Packeteer Inc                            Common Stock        695210104             88             2,500
Pohang Iron & Steel Co, Ltd ADS          ADR                 730450103             86             3,110
Protective Life Corp.                    Common Stock        743674103            202             6,350
Playboy Enterprise Inc.                  Common Stock        728117300              4               200
Open Plan Systems Inc.                   Common Stock        683709109             21            11,100
PLC Systems Inc.                         Common Stock        69341D104             10             4,000
Children's Place Retail Stores Inc.      Common Stock        168905107             57             4,000
Polycom Inc                              Common Stock        73172K104            360             4,550
Prologis Trust                           Common Stock        743410102            360            18,707
Prologis Trust Pfd Sh Ben Int Ser A      PFD QTR 30/360      743410201             43             1,950
Prologis Trust PFD Conv                  PFD QTR 30/360      743410300              4               160
Prologis Tr                              PFD QTR 30/360      743410508              7               400
Prologis Trust PFD SH BEN INT SER E      PFD QTR 30/360      743410607             48             2,200
Paladyne Corp                            Common Stock        696070101             29            10,000
Pinnacle Bancshares Inc                  Common Stock        722903101              2               200
Presidential Life Corp NY                Common Stock        740884101             13               950
Prometic Life Sciences Inc               Foreign Stock       74342Q104             15            11,300
Pall Corp.                               Common Stock        696429307          1,498            66,779
Pliant Sys Inc                           Common Stock        729138107              1               150
Phosphate Resource Partners LP           LTD Part  P4        719217101              9             1,100
Premier Laser System Inc CL A            Common Stock        740522107              3             2,500
Plantronics Inc                          Common Stock        727493108             98             1,050
Plug Power Inc                           Common Stock        72919P103            118             1,390
EPLUS Inc                                Common Stock        294268107            139             4,200
Pliva D.D.- GDR Reg S                    ADR                 72917Q202              1                72
Plexus Corporation                       Common Stock        729132100              5                75
Playnet Technologies Inc                 Common Stock        727914103              1            20,000
Polymedica Industries                    Common Stock        731738100            230             3,910
Piedmont Bank-Statesville N.C.           Common Stock        720122100             18             1,155
PMC Capital Inc.                         Common Stock        693430100              5               600
PMC-Sierra Inc                           Common Stock        69344F106          7,474            36,692
Psychemedics Corp                        Common Stock        744375106              1               206
Penton Media Inc.                        Common Stock        709668107            300            11,530
Peerless Mfg Co                          Common Stock        705514107              6               455
Putnam Investment Grade                  Common Stock        746806108             73             6,704
Putnam Tax-Free Health Care              Common Stock        746920107             47             4,050
Prime Bank-Orange Conn                   Common Stock        741915102             26             5,000
PMI Group Inc.                           Common Stock        69344M101             69             1,463

                        Item 1:                      Item 6:                Item 7:              Item 8:
                    Name of Issuer             Investment Discretion         Other        Voting Authority (Shares)
                                         (a) Sole (b)Shared as (c)Shared    Managers   (a) Sole  (b) Shared  (c) None
                                                       Def        Other
- --------------------------------------------------------------------------------------------------------------------
Insured Municipal Income Fund                          X                                   0          7,765      0
Polaris Industries Inc.                                X                                   0         23,200      0
Water Pik Technologies Inc                             X                                   0             65      0
Pilot Network Services Inc                             X                                   0          5,600      0
Putnam Master Intermediate                             X                                   0         86,829      0
AMF Bowling Inc.                                       X                                   0          2,000      0
***Pioneer Corporation ADS                             X                                   0          4,913      0
Pioneer Group Inc.                                     X                                   0          1,000      0
Pioneer Standard                                       X                                   0          6,450      0
Pier 1 Imports Inc.                                    X                                   0          3,150      0
Pirelli SPA - Unsponsored ADR                          X                                   0          3,400      0
PIXAR Inc.                                             X                                   0          1,700      0
Central Parking Corporation                            X                                   0         14,275      0
Parker Drilling Co                                     X                                   0          3,300      0
Packaging Corp Amer                                    X                                   0         15,600      0
Pilkington Plc-Ord 50p                                 X                                   0          7,250      0
Perkinelmer Inc                                        X                                   0            321      0
Park Meridian Bk Charlotte Inc                         X                                   0          1,600      0
Premier Parks Inc                                      X                                   0            434      0
Packeteer Inc                                          X                                   0          2,500      0
Pohang Iron & Steel Co, Ltd ADS                        X                                   0          3,110      0
Protective Life Corp.                                  X                                   0          6,350      0
Playboy Enterprise Inc.                                X                                   0            200      0
Open Plan Systems Inc.                                 X                                   0         11,100      0
PLC Systems Inc.                                       X                                   0          4,000      0
Children's Place Retail Stores Inc.                    X                                   0          4,000      0
Polycom Inc                                            X                                   0          4,550      0
Prologis Trust                                         X                                   0         18,707      0
Prologis Trust Pfd Sh Ben Int Ser A                    X                                   0          1,950      0
Prologis Trust PFD Conv                                X                                   0            160      0
Prologis Tr                                            X                                   0            400      0
Prologis Trust PFD SH BEN INT SER E                    X                                   0          2,200      0
Paladyne Corp                                          X                                   0         10,000      0
Pinnacle Bancshares Inc                                X                                   0            200      0
Presidential Life Corp NY                              X                                   0            950      0
Prometic Life Sciences Inc                             X                                   0         11,300      0
Pall Corp.                                             X                                   0         66,779      0
Pliant Sys Inc                                         X                                   0            150      0
Phosphate Resource Partners LP                         X                                   0          1,100      0
Premier Laser System Inc CL A                          X                                   0          2,500      0
Plantronics Inc                                        X                                   0          1,050      0
Plug Power Inc                                         X                                   0          1,390      0
EPLUS Inc                                              X                                   0          4,200      0
Pliva D.D.- GDR Reg S                                  X                                   0             72      0
Plexus Corporation                                     X                                   0             75      0
Playnet Technologies Inc                               X                                   0         20,000      0
Polymedica Industries                                  X                                   0          3,910      0
Piedmont Bank-Statesville N.C.                         X                                   0          1,155      0
PMC Capital Inc.                                       X                                   0            600      0
PMC-Sierra Inc                                         X                                   0         36,692      0
Psychemedics Corp                                      X                                   0            206      0
Penton Media Inc.                                      X                                   0         11,530      0
Peerless Mfg Co                                        X                                   0            455      0
Putnam Investment Grade                                X                                   0          6,704      0
Putnam Tax-Free Health Care                            X                                   0          4,050      0
Prime Bank-Orange Conn                                 X                                   0          5,000      0
PMI Group Inc.                                         X                                   0          1,463      0
</TABLE>

<PAGE>


<TABLE>
<CAPTION>
            FORM 13F             NAME OF REPORTING MANAGER: LEGG MASON WOOD WALKER (IMS)                     Run Date: 04/13/2000
                                                            FOR POSITIONS HELD AS OF 03/31/2000              S.E.C. Use Only

                        Item 1:            Item 2:           Item 3:         Item 4:            Item 5:
                    Name of Issuer      Title of Class    CUSIP Number  Fair Market Value      Shares or
                                                                           (X $1000)         Principal Amt.

- ------------------------------------------------------------------------------------------------------------
<S>                                      <C>                 <C>                    <C>             <C>
Primix Solutions                         Common Stock        741620108              9             1,000
Primark Corp.                            Common Stock        741903108              4               165
Pml Inc                                  Common Stock        693448102              0               125
Putnam Municipal Opportunities           Common Stock        746922103             19             1,670
Phar-Mor Inc                             Common Stock        717113203            118            37,014
Policy Management Systems                Common Stock        731108106            357            29,735
Parametric Technology Corp.              Common Stock        699173100            140             6,660
Palomar Med Technologies Inc Com New     Common Stock        697529303              3               998
P N C Bank Corp.                         Common Stock        693475105          4,093            90,820
PNC Bank Corp                            Preferred Stock     693475501             25               334
Pinnacle Micro Inc                       Common Stock        723469102              3            30,000
Ponder Industries Inc                    Common Stock        732378203              0               400
Pennaco Energy Inc                       Common Stock        708046107            301            22,000
Phon Net Com Inc                         Common Stock        719203101              2             1,000
Pinnacle Entertainment Inc               Common Stock        723456109            167             8,200
Pro Net Link Corp                        Common Stock        74266F100             62            16,700
Public Service Co Of New Mexico          Common Stock        744499104              4               245
Pentair Inc.                             Common Stock        709631105            104             2,810
Pioneer Systems Inc.                     Common Stock        723886107              0               400
Pharmacia & UpJohn Inc.                  Common Stock        716941109          7,663           129,326
Pnv Inc                                  Common Stock        69348A103              2               500
Pinnacle West Cap Corp                   Common Stock        723484101             31             1,083
Piedmont Natural Gas Co                  Common Stock        720186105            347            13,310
Precision Optics Corp.                   Common Stock        740294103             55             2,400
Patina Oil & Gas Corp                    Common Stock        703224105            346            25,500
Planet Polymer Technologies              Common Stock        727044109             10             3,200
Potomac Electric Power Co                Common Stock        737679100            865            38,235
Potomac Elec Pwr Co Tr I                 PFD QTR 30/360      73767N208             43             2,000
SCP Pool Corp                            Common Stock        784028102             56             1,820
Pope & Talbot Inc.                       Common Stock        732827100             17               910
Popmail Com Inc.                         Common Stock        733167100             20             5,000
Catalina Marketing Corp.                 Common Stock        148867104            526             5,195
Pop Shoppes Intl Inc.                    Common Stock        732818109              0             1,000
Point of Sale Ltd                        Common Stock        M7945W108             17               800
Prosofttraining Com Inc                  Common Stock        743477101            202             8,950
Potash Corp. of Saskatchewan             Foreign Stock       73755L107            100             1,997
Printonthenet.com Inc                    Common Stock        74257M106              0                 6
Power Integrations Inc.                  Common Stock        739276103             94             3,765
Prentiss Properties Trust                Common Stock        740706106              5               225
Pinnacle Bankshares Corp.                Common Stock        72345E102             25               822
Pressure Piping Components, Inc.         Common Stock        741114102              0               100
Pre Paid Legal Services Inc.             Common Stock        740065107            128             4,295
Pharmaceutical Product Development       Common Stock        717124101            207            12,200
Park Place Entertainment Corp.           Common Stock        700690100            377            32,600
John Hancock Patriot Preferred           Common Stock        41013J107            142            14,000
PPG Industries, Inc.                     Common Stock        693506107          2,839            54,262
Pharmaceutical Hldrs Tr                  Common Stock        71712A206             34               400
PPL Corp                                 Common Stock        69351T106            458            21,854
PP&L Capt Trust 8.2% Trust               Preferred Stock     693497208             78             3,425
PP&L Capital Trust II 8.1% TOPRS Due     PFD QTR 30/360      693498206             27             1,200
PP&L Inc Preferred Ser B 4.50%           PFD QTR 30/360      69351U301              7               125
Peapod Inc                               Common Stock        704718105             46            17,000
Pogo Producing                           Common Stock        730448107              3               100
Pilgrim America Prime Rate Tr            Common Stock        72146W103            229            28,429
Purchasepro Com                          Common Stock        746144104            301             4,150
Post Properties Inc.                     Common Stock        737464107             92             2,276
Pacificorp Capt I 8.25% Cum              PFD QTR 30/360      695115204             56             2,500

                        Item 1:                      Item 6:                Item 7:              Item 8:
                    Name of Issuer             Investment Discretion         Other        Voting Authority (Shares)
                                         (a) Sole (b)Shared as (c)Shared    Managers   (a) Sole  (b) Shared  (c) None
                                                       Def        Other
- --------------------------------------------------------------------------------------------------------------------
Primix Solutions                                       X                                   0          1,000      0
Primark Corp.                                          X                                   0            165      0
Pml Inc                                                X                                   0            125      0
Putnam Municipal Opportunities                         X                                   0          1,670      0
Phar-Mor Inc                                           X                                   0         37,014      0
Policy Management Systems                              X                                   0         29,735      0
Parametric Technology Corp.                            X                                   0          6,660      0
Palomar Med Technologies Inc Com New                   X                                   0            998      0
P N C Bank Corp.                                       X                                   0         90,820      0
PNC Bank Corp                                          X                                   0            334      0
Pinnacle Micro Inc                                     X                                   0         30,000      0
Ponder Industries Inc                                  X                                   0            400      0
Pennaco Energy Inc                                     X                                   0         22,000      0
Phon Net Com Inc                                       X                                   0          1,000      0
Pinnacle Entertainment Inc                             X                                   0          8,200      0
Pro Net Link Corp                                      X                                   0         16,700      0
Public Service Co Of New Mexico                        X                                   0            245      0
Pentair Inc.                                           X                                   0          2,810      0
Pioneer Systems Inc.                                   X                                   0            400      0
Pharmacia & UpJohn Inc.                                X                                   0        129,326      0
Pnv Inc                                                X                                   0            500      0
Pinnacle West Cap Corp                                 X                                   0          1,083      0
Piedmont Natural Gas Co                                X                                   0         13,310      0
Precision Optics Corp.                                 X                                   0          2,400      0
Patina Oil & Gas Corp                                  X                                   0         25,500      0
Planet Polymer Technologies                            X                                   0          3,200      0
Potomac Electric Power Co                              X                                   0         38,235      0
Potomac Elec Pwr Co Tr I                               X                                   0          2,000      0
SCP Pool Corp                                          X                                   0          1,820      0
Pope & Talbot Inc.                                     X                                   0            910      0
Popmail Com Inc.                                       X                                   0          5,000      0
Catalina Marketing Corp.                               X                                   0          5,195      0
Pop Shoppes Intl Inc.                                  X                                   0          1,000      0
Point of Sale Ltd                                      X                                   0            800      0
Prosofttraining Com Inc                                X                                   0          8,950      0
Potash Corp. of Saskatchewan                           X                                   0          1,997      0
Printonthenet.com Inc                                  X                                   0              6      0
Power Integrations Inc.                                X                                   0          3,765      0
Prentiss Properties Trust                              X                                   0            225      0
Pinnacle Bankshares Corp.                              X                                   0            822      0
Pressure Piping Components, Inc.                       X                                   0            100      0
Pre Paid Legal Services Inc.                           X                                   0          4,295      0
Pharmaceutical Product Development                     X                                   0         12,200      0
Park Place Entertainment Corp.                         X                                   0         32,600      0
John Hancock Patriot Preferred                         X                                   0         14,000      0
PPG Industries, Inc.                                   X                                   0         54,262      0
Pharmaceutical Hldrs Tr                                X                                   0            400      0
PPL Corp                                               X                                   0         21,854      0
PP&L Capt Trust 8.2% Trust                             X                                   0          3,425      0
PP&L Capital Trust II 8.1% TOPRS Due                   X                                   0          1,200      0
PP&L Inc Preferred Ser B 4.50%                         X                                   0            125      0
Peapod Inc                                             X                                   0         17,000      0
Pogo Producing                                         X                                   0            100      0
Pilgrim America Prime Rate Tr                          X                                   0         28,429      0
Purchasepro Com                                        X                                   0          4,150      0
Post Properties Inc.                                   X                                   0          2,276      0
Pacificorp Capt I 8.25% Cum                            X                                   0          2,500      0
</TABLE>

<PAGE>


<TABLE>
<CAPTION>
            FORM 13F             NAME OF REPORTING MANAGER: LEGG MASON WOOD WALKER (IMS)                     Run Date: 04/13/2000
                                                            FOR POSITIONS HELD AS OF 03/31/2000              S.E.C. Use Only

                        Item 1:            Item 2:           Item 3:         Item 4:            Item 5:
                    Name of Issuer      Title of Class    CUSIP Number  Fair Market Value      Shares or
                                                                           (X $1000)         Principal Amt.

- -----------------------------------------------------------------------------------------------------------
<S>                                      <C>                 <C>                    <C>             <C>
Pacificorp Capital II-7.70% Tr Pfd       PFD QTR 30/360      69511N205             91             4,300
Pennsylvania Power Co. 4.24% Pfd         PFD QTR 30/360      709068100             10               200
Petroquest Energy Inc.                   Common Stock        716748108             36            20,000
Price Communications Corp.               Common Stock        741437305            436            18,935
Paradigm Advanced Technologies           Common Stock        699004107             26             8,800
Prestige Bancorp Inc.                    Common Stock        741115109             31             3,018
Probusiness Services Inc                 Common Stock        742674104            112             4,321
Procom Technology Inc.                   Common Stock        74270W107            144             3,150
Procyte Corp                             Common Stock        742807100             13             7,000
Polaroid Corp.                           Common Stock        731095105            104             4,390
Predictive Sys Inc                       Common Stock        74036W102              9               200
Partnerre LTD                            Common Stock        G6852T105             34               937
Partnerre LTD 8.00% Cum PFD Ser A        PFD QTR 30/360      G6852T113             30             1,400
Price Enterprises Inc                    Common Stock        741444202              0                 1
Price Enterprises Inc                    PFD QTR 30/360      741444301              7               500
Prema Sys Inc                            Common Stock        74045M103              0             2,000
Pennrock Financial Services Corp.        Common Stock        708352109              3               200
Peregrine Systems Inc                    Common Stock        71366Q101            486             7,240
Perrigo Company                          Common Stock        714290103              8             1,000
Progress Software Corp                   Common Stock        743312100            230             9,795
Profit Recovery Group International In   Common Stock        743168106             25             1,375
Prodigy Communications Corp.             Common Stock        74283P107            158            10,475
Province Healthcare Co.                  Common Stock        743977100             11               400
PRI Automation Inc.                      Common Stock        69357H106             31               500
Primeholdings Com Inc                    Common Stock        74158R105              5             5,000
Paracelsian Inc                          Common Stock        698898103              1             1,000
Parlex Corp                              Common Stock        701630105             25               825
Primedia Inc                             Common Stock        74157K101            229             7,165
Primex Technologies Inc                  Common Stock        741597108              2                80
Primedia Inc                             PFD QTR 30/360      74157K606              9                95
Puerto Rican Cement Co. Inc.             Foreign Stock       745075101             22               700
Provident Financial Holdings             Common Stock        743868101             10               700
Proxim Inc.                              Common Stock        744284100             12               100
Precision Response Corp.                 Common Stock        740314109             24             1,000
Pioneer Railcorp                         Common Stock        723839106              2             1,000
Portal Software Inc                      Common Stock        736126103            517             9,080
Pearson PLC                              Foreign Stock       705015105            220             6,289
Presstek Inc.                            Common Stock        741113104             12               500
Persistence Software Inc                 Common Stock        715329108             20             1,000
Prime Retail Inc                         Common Stock        741570105             29            13,474
Prime Retail Inc. 8.50% Ser B PFD Conv   PreferdStk Conv     741570303            172            21,485
Profile Technologies                     Common Stock        743164105              5               800
Primus Telecommunications Group Inc.     Common Stock        741929103            693            13,403
Providential Holdings Inc                Common Stock        743923104              2             1,000
Quebecor Printing Inc                    Common Stock        747922102            466            25,209
Premier Resh Worldwide Ltd               Common Stock        740568100              9               550
Pharmaceutical Res Inc.                  Common Stock        717125108              2               300
Public Storage Inc.                      Common Stock        74460D109            169             8,050
Public Storage Inc. 10% Ser A            Preferred Stock     74460D208             14               600
Public Storage Inc                       PFD QTR 30/360      74460D307              2               100
Public Storage Inc. 10% Ser E            Preferred Stock     74460D703             45             1,800
Public Storage Inc. 8.875%               Preferred Stock     74460D885             81             3,800
Public Storage Inc. 8.45%                Preferred Stock     74460D869             42             2,020
Public Storage Inc                       PFD QTR 30/360      74460D729              1                42
Public Storage Inc                       PFD QTR 30/360      74460D604             24             1,000
Public Storage Inc                       PFD QTR 30/360      74460D760             10               475
PSB Bancorp Inc                          Common Stock        693604100              0                 8

                        Item 1:                      Item 6:                Item 7:              Item 8:
                    Name of Issuer             Investment Discretion         Other        Voting Authority (Shares)
                                         (a) Sole (b)Shared as (c)Shared    Managers   (a) Sole  (b) Shared  (c) None
                                                       Def        Other
- --------------------------------------------------------------------------------------------------------------------
Pacificorp Capital II-7.70% Tr Pfd                     X                                   0          4,300      0
Pennsylvania Power Co. 4.24% Pfd                       X                                   0            200      0
Petroquest Energy Inc.                                 X                                   0         20,000      0
Price Communications Corp.                             X                                   0         18,935      0
Paradigm Advanced Technologies                         X                                   0          8,800      0
Prestige Bancorp Inc.                                  X                                   0          3,018      0
Probusiness Services Inc                               X                                   0          4,321      0
Procom Technology Inc.                                 X                                   0          3,150      0
Procyte Corp                                           X                                   0          7,000      0
Polaroid Corp.                                         X                                   0          4,390      0
Predictive Sys Inc                                     X                                   0            200      0
Partnerre LTD                                          X                                   0            937      0
Partnerre LTD 8.00% Cum PFD Ser A                      X                                   0          1,400      0
Price Enterprises Inc                                  X                                   0              1      0
Price Enterprises Inc                                  X                                   0            500      0
Prema Sys Inc                                          X                                   0          2,000      0
Pennrock Financial Services Corp.                      X                                   0            200      0
Peregrine Systems Inc                                  X                                   0          7,240      0
Perrigo Company                                        X                                   0          1,000      0
Progress Software Corp                                 X                                   0          9,795      0
Profit Recovery Group International In                 X                                   0          1,375      0
Prodigy Communications Corp.                           X                                   0         10,475      0
Province Healthcare Co.                                X                                   0            400      0
PRI Automation Inc.                                    X                                   0            500      0
Primeholdings Com Inc                                  X                                   0          5,000      0
Paracelsian Inc                                        X                                   0          1,000      0
Parlex Corp                                            X                                   0            825      0
Primedia Inc                                           X                                   0          7,165      0
Primex Technologies Inc                                X                                   0             80      0
Primedia Inc                                           X                                   0             95      0
Puerto Rican Cement Co. Inc.                           X                                   0            700      0
Provident Financial Holdings                           X                                   0            700      0
Proxim Inc.                                            X                                   0            100      0
Precision Response Corp.                               X                                   0          1,000      0
Pioneer Railcorp                                       X                                   0          1,000      0
Portal Software Inc                                    X                                   0          9,080      0
Pearson PLC                                            X                                   0          6,289      0
Presstek Inc.                                          X                                   0            500      0
Persistence Software Inc                               X                                   0          1,000      0
Prime Retail Inc                                       X                                   0         13,474      0
Prime Retail Inc. 8.50% Ser B PFD Conv                 X                                   0         21,485      0
Profile Technologies                                   X                                   0            800      0
Primus Telecommunications Group Inc.                   X                                   0         13,403      0
Providential Holdings Inc                              X                                   0          1,000      0
Quebecor Printing Inc                                  X                                   0         25,209      0
Premier Resh Worldwide Ltd                             X                                   0            550      0
Pharmaceutical Res Inc.                                X                                   0            300      0
Public Storage Inc.                                    X                                   0          8,050      0
Public Storage Inc. 10% Ser A                          X                                   0            600      0
Public Storage Inc                                     X                                   0            100      0
Public Storage Inc. 10% Ser E                          X                                   0          1,800      0
Public Storage Inc. 8.875%                             X                                   0          3,800      0
Public Storage Inc. 8.45%                              X                                   0          2,020      0
Public Storage Inc                                     X                                   0             42      0
Public Storage Inc                                     X                                   0          1,000      0
Public Storage Inc                                     X                                   0            475      0
PSB Bancorp Inc                                        X                                   0              8      0
</TABLE>

<PAGE>


<TABLE>
<CAPTION>
            FORM 13F             NAME OF REPORTING MANAGER: LEGG MASON WOOD WALKER (IMS)                     Run Date: 04/13/2000
                                                            FOR POSITIONS HELD AS OF 03/31/2000              S.E.C. Use Only

                        Item 1:            Item 2:           Item 3:         Item 4:            Item 5:
                    Name of Issuer      Title of Class    CUSIP Number  Fair Market Value      Shares or
                                                                           (X $1000)         Principal Amt.

- ------------------------------------------------------------------------------------------------------------
<S>                                      <C>                 <C>                    <C>             <C>
Philadelphia Suburban                    Common Stock        718009608            347            19,134
Puget Sound Power & Light                Common Stock        745332106             67             3,036
Project Software & Dev Inc               Common Stock        74339P101             11               200
Pericom Semiconductor Corp.              Common Stock        713831105             14               400
PeopleSoft Inc.                          Common Stock        712713106            589            29,430
Porta Systems Incorporated               Common Stock        735647307              9             2,445
Porta Systems Corp.                      Common Stock        735647307              3               814
Psion Plc                                Common Stock        G72928107            178             2,675
PSINet Inc.                              Common Stock        74437C101          5,811           170,819
Psinet Inc Convertible Pfd               Preferred Stock     74437C309            176             2,750
P T Pasifik Satelit Nusantara            ADR                 69365Q106             13               500
Penn Star Oil Corp.                      Common Stock        707630109              0                17
PSCO Cap Tr I-7.6% GTD PFD               PFD QTR 30/360      69360R208             42             2,000
Primesource Corp.                        Common Stock        741593107             16             3,070
Payless Shoesource Inc.                  Common Stock        704379106             57             1,093
Physician Sales & Service Inc.           Common Stock        69366A100             11             1,645
Pso Cap I                                PFD QTR 30/360      693639205             16               700
Per Se Technologies Inc Com New          Common Stock        713569309             35             6,016
Petrie Stores Liquidation                Common Stock        716437108              0               100
Portugal Telecom S A ADR                 ADR                 737273102            238            19,129
Pacer Technology                         Common Stock        693905101             10            10,000
Phoenix Technologies Ltd                 Common Stock        719153108              4               200
PTEK Holdings Inc.                       Common Stock        69366M104             92            13,900
Powertel Inc                             Common Stock        73936C109            874            12,630
Patterson Energy Inc.                    Common Stock        703414102             25               800
Performance Technologies Inc.            Common Stock        71376K102             39               900
Putnam Managed High Yield                Common Stock        746819101            115            11,550
Printronix Inc                           Common Stock        742578107              9               450
Patriot Scientific Corp                  Common Stock        70336N107              4             1,125
Pactiv Corp                              Common Stock        695257105            171            19,490
Puma Technology Inc                      Common Stock        745887109            482             9,526
Puridyne Inc                             Common Stock        746263102              0             1,000
Public Service New Hampshire             Preferred Stock     744482837              8               305
Divot Golf Corp                          Common Stock        255408106              6            30,000
Penn Virginia Corp.                      Common Stock        707882106              2               145
Paravant Computer Systems Inc            Common Stock        699376109              5             1,800
Phillips-Van Heusen Corp.                Common Stock        718592108              4               500
Princeton Video Image Inc.               Common Stock        742476104             11             1,500
Provalis Plc                             ADR                 74372Q107              1               200
Providian Financial Corp.                Common Stock        74406A102          1,687            19,470
Parkvale Financial Corp.                 Common Stock        701492100            327            20,735
Pervasive Software Inc                   Common Stock        715710109             26             2,000
Privatebancorp Inc                       Common Stock        742962103              5               500
Pivotal Corp                             Common Stock        72581R106             41             1,285
Providence Energy Corp                   Common Stock        743743106            260             6,860
Powerwave Technologies Inc.              Common Stock        739363109            781             6,250
Presidential Airways                     Common Stock        740861109              1             5,200
Pacific Wildcat Res Corp                 Foreign Stock       694927104              0             1,400
PWG Capital Trust II 8.08% Pfd           Preferred Stock     69366F208            145             6,500
Powergen PLC-Sponsored ADR Final         ADR                 738905405          1,159            45,460
Paine Webber Group Inc.                  Common Stock        695629105            863            19,622
PWG Capital Trust I Cum Trust            PFDMthly 30/360     69366E201            112             4,900
Cash America International, Inc.         Common Stock        14754D100            529            42,500
Quanta Svcs Inc                          Common Stock        74762E102            387             6,372
Praxair Inc.                             Common Stock        74005P104            344             8,268
Proxicom Inc                             Common Stock        744282104            138             3,120
Pioneer Natural Resources Co             Common Stock        723787107             80             7,562

                        Item 1:                      Item 6:                Item 7:              Item 8:
                    Name of Issuer             Investment Discretion         Other        Voting Authority (Shares)
                                         (a) Sole (b)Shared as (c)Shared    Managers   (a) Sole  (b) Shared  (c) None
                                                       Def        Other
- --------------------------------------------------------------------------------------------------------------------
Philadelphia Suburban                                  X                                   0         19,134      0
Puget Sound Power & Light                              X                                   0          3,036      0
Project Software & Dev Inc                             X                                   0            200      0
Pericom Semiconductor Corp.                            X                                   0            400      0
PeopleSoft Inc.                                        X                                   0         29,430      0
Porta Systems Incorporated                             X                                   0          2,445      0
Porta Systems Corp.                                    X                                   0            814      0
Psion Plc                                              X                                   0          2,675      0
PSINet Inc.                                            X                                   0        170,819      0
Psinet Inc Convertible Pfd                             X                                   0          2,750      0
P T Pasifik Satelit Nusantara                          X                                   0            500      0
Penn Star Oil Corp.                                    X                                   0             17      0
PSCO Cap Tr I-7.6% GTD PFD                             X                                   0          2,000      0
Primesource Corp.                                      X                                   0          3,070      0
Payless Shoesource Inc.                                X                                   0          1,093      0
Physician Sales & Service Inc.                         X                                   0          1,645      0
Pso Cap I                                              X                                   0            700      0
Per Se Technologies Inc Com New                        X                                   0          6,016      0
Petrie Stores Liquidation                              X                                   0            100      0
Portugal Telecom S A ADR                               X                                   0         19,129      0
Pacer Technology                                       X                                   0         10,000      0
Phoenix Technologies Ltd                               X                                   0            200      0
PTEK Holdings Inc.                                     X                                   0         13,900      0
Powertel Inc                                           X                                   0         12,630      0
Patterson Energy Inc.                                  X                                   0            800      0
Performance Technologies Inc.                          X                                   0            900      0
Putnam Managed High Yield                              X                                   0         11,550      0
Printronix Inc                                         X                                   0            450      0
Patriot Scientific Corp                                X                                   0          1,125      0
Pactiv Corp                                            X                                   0         19,490      0
Puma Technology Inc                                    X                                   0          9,526      0
Puridyne Inc                                           X                                   0          1,000      0
Public Service New Hampshire                           X                                   0            305      0
Divot Golf Corp                                        X                                   0         30,000      0
Penn Virginia Corp.                                    X                                   0            145      0
Paravant Computer Systems Inc                          X                                   0          1,800      0
Phillips-Van Heusen Corp.                              X                                   0            500      0
Princeton Video Image Inc.                             X                                   0          1,500      0
Provalis Plc                                           X                                   0            200      0
Providian Financial Corp.                              X                                   0         19,470      0
Parkvale Financial Corp.                               X                                   0         20,735      0
Pervasive Software Inc                                 X                                   0          2,000      0
Privatebancorp Inc                                     X                                   0            500      0
Pivotal Corp                                           X                                   0          1,285      0
Providence Energy Corp                                 X                                   0          6,860      0
Powerwave Technologies Inc.                            X                                   0          6,250      0
Presidential Airways                                   X                                   0          5,200      0
Pacific Wildcat Res Corp                               X                                   0          1,400      0
PWG Capital Trust II 8.08% Pfd                         X                                   0          6,500      0
Powergen PLC-Sponsored ADR Final                       X                                   0         45,460      0
Paine Webber Group Inc.                                X                                   0         19,622      0
PWG Capital Trust I Cum Trust                          X                                   0          4,900      0
Cash America International, Inc.                       X                                   0         42,500      0
Quanta Svcs Inc                                        X                                   0          6,372      0
Praxair Inc.                                           X                                   0          8,268      0
Proxicom Inc                                           X                                   0          3,120      0
Pioneer Natural Resources Co                           X                                   0          7,562      0
</TABLE>

<PAGE>


<TABLE>
<CAPTION>
            FORM 13F             NAME OF REPORTING MANAGER: LEGG MASON WOOD WALKER (IMS)                     Run Date: 04/13/2000
                                                            FOR POSITIONS HELD AS OF 03/31/2000              S.E.C. Use Only

                        Item 1:            Item 2:           Item 3:         Item 4:            Item 5:
                    Name of Issuer      Title of Class    CUSIP Number  Fair Market Value      Shares or
                                                                           (X $1000)         Principal Amt.

- ------------------------------------------------------------------------------------------------------------
<S>                                      <C>                 <C>                    <C>             <C>
Paxar Corporation                        Common Stock        704227107              3               300
Pechiney -  Sponsered ADR                ADR                 705151207            268            10,567
Putnam High Yield Muni Trust             Common Stock        746781103             86            11,830
Playtex Products Inc.                    Common Stock        72813P100             52             3,975
Pittston Brink's Group                   Common Stock        725701106            204            12,025
Pennzoil-Quaker State Co.                Common Stock        709323109            298            28,528
Prison Realty Corp                       Common Stock        74264N105             76            24,842
Prison Realty Corp 8% Cum PFD Sr A       PFD QTR 30/360      74264N204             11             1,100
Qwest Communications International, In   Common Stock        749121109          7,601           156,726
Angeles Income Properties LTD            LTD Part  P0        03464D302              0                10
Berwick Manufacturing Inc.               Common Stock        08615N109              0               400
Clairborne Bank & Trust                  Common Stock        8S03003                0             2,300
Qualcomm Inc.                            Common Stock        747525103         14,291            95,710
Carolina Investment Partners             LTD Part  P0        144011103              0                14
Quidel Corp                              Common Stock        74838J101             81            11,500
UDS Captl I (Ultramar Diamond            PFD QTR 30/360      902655208             18               884
Banca Quadrum SA ADR                     ADR                 05944R108             19             9,700
Dean Witter Realty Yield PLS II LTD      LTD Part  P0        24241L201              0                20
Quadrax Corp. New Com Accredited Invs    Common Stock        74731J109              0               264
Quest Education Corporation              Common Stock        74835F102            137            15,900
Environmental Digital Svcs Inc.          Common Stock        29405L103              4            13,025
Quaker Fabric Corp New                   Common Stock        747399103             28             6,000
Qiagen N.V.                              Foreign Stock       N72482107            166             1,217
Quigley Corp. New                        Common Stock        74838L304              0               200
Quorum Health Group                      Common Stock        749084109            168            16,655
Investors U S Gold                       Common Stock        H693020                6                23
Quokka Sports Inc                        Common Stock        749077103              6               550
QLogic Corp.                             Common Stock        747277101          2,254            16,633
QLT Phototherapeutics Inc.               Common Stock        746927102            195             3,521
L.W. Packard & Co Inc.                   Common Stock        8S02186                0                10
Quintus Corp                             Common Stock        748798105            100             3,355
Omni Computer Systems Inc.               Common Stock        68210G107              0             1,000
Queryobject System Corp                  Common Stock        74833H308             53             6,832
Potential Investments Inc.               Common Stock        737581108              0               100
Quest Products Corp                      Common Stock        747955102              2            10,000
Public Storage Inc. 8.00% Dep Shs Each   PFD QTR 30/360      74460D828             26             1,300
Nasdaq 100 Shares                        Common Stock        631100104          6,993            63,794
QRS Corp                                 Common Stock        74726X105             21               280
Quality Sys Inc.                         Common Stock        747582104             20             1,300
QSound Lab Inc.                          Common Stock        74728C109             30             8,785
Southern COS CAP TR II 7.75%             PFD QTR 30/360      84258T208             15               700
Quad Sys Corp                            Common Stock        74730Q104              3             1,000
Taubman Centers Inc. 8.3% Perp Pfd       PFD QTR 30/360      876664202              9               500
Quintiles Transnational Corp.            Common Stock        748767100          6,922           405,651
Quicklogic Corp                          Common Stock        74837P108             10               300
Quipp Inc                                Common Stock        748802105             31             2,000
Quixote Corp                             Common Stock        749056107             16             1,300
U S Biomaterials Corp.                   Preferred Stock     8S00429                0            10,000
Ryder System Inc.                        Common Stock        783549108             86             3,790
Rio Algom Ltd 9.375% Pfd Secs Due        PFD QTR 30/360      766889877              6               400
Rescon Technology Corp                   Common Stock        760844308              0                 5
Real Goods Trading Corp.                 Common Stock        756012100              1               200
Reckson Associates Realty Corp.          Common Stock        75621K106            146             7,780
Reckson Assocs Realty Corp. Cl B         Common Stock        75621K304             26             1,288
Rampart Capital Corp                     Common Stock        751569104              2               500
Data Race Inc.                           Common Stock        237842109             10             2,000
Rite Aid Corp.                           Common Stock        767754104            960           174,508

                        Item 1:                      Item 6:                Item 7:              Item 8:
                    Name of Issuer             Investment Discretion         Other        Voting Authority (Shares)
                                         (a) Sole (b)Shared as (c)Shared    Managers   (a) Sole  (b) Shared  (c) None
                                                       Def        Other
- --------------------------------------------------------------------------------------------------------------------
Paxar Corporation                                      X                                   0            300      0
Pechiney -  Sponsered ADR                              X                                   0         10,567      0
Putnam High Yield Muni Trust                           X                                   0         11,830      0
Playtex Products Inc.                                  X                                   0          3,975      0
Pittston Brink's Group                                 X                                   0         12,025      0
Pennzoil-Quaker State Co.                              X                                   0         28,528      0
Prison Realty Corp                                     X                                   0         24,842      0
Prison Realty Corp 8% Cum PFD Sr A                     X                                   0          1,100      0
Qwest Communications International, In                 X                                   0        156,726      0
Angeles Income Properties LTD                          X                                   0             10      0
Berwick Manufacturing Inc.                             X                                   0            400      0
Clairborne Bank & Trust                                X                                   0          2,300      0
Qualcomm Inc.                                          X                                   0         95,710      0
Carolina Investment Partners                           X                                   0             14      0
Quidel Corp                                            X                                   0         11,500      0
UDS Captl I (Ultramar Diamond                          X                                   0            884      0
Banca Quadrum SA ADR                                   X                                   0          9,700      0
Dean Witter Realty Yield PLS II LTD                    X                                   0             20      0
Quadrax Corp. New Com Accredited Invs                  X                                   0            264      0
Quest Education Corporation                            X                                   0         15,900      0
Environmental Digital Svcs Inc.                        X                                   0         13,025      0
Quaker Fabric Corp New                                 X                                   0          6,000      0
Qiagen N.V.                                            X                                   0          1,217      0
Quigley Corp. New                                      X                                   0            200      0
Quorum Health Group                                    X                                   0         16,655      0
Investors U S Gold                                     X                                   0             23      0
Quokka Sports Inc                                      X                                   0            550      0
QLogic Corp.                                           X                                   0         16,633      0
QLT Phototherapeutics Inc.                             X                                   0          3,521      0
L.W. Packard & Co Inc.                                 X                                   0             10      0
Quintus Corp                                           X                                   0          3,355      0
Omni Computer Systems Inc.                             X                                   0          1,000      0
Queryobject System Corp                                X                                   0          6,832      0
Potential Investments Inc.                             X                                   0            100      0
Quest Products Corp                                    X                                   0         10,000      0
Public Storage Inc. 8.00% Dep Shs Each                 X                                   0          1,300      0
Nasdaq 100 Shares                                      X                                   0         63,794      0
QRS Corp                                               X                                   0            280      0
Quality Sys Inc.                                       X                                   0          1,300      0
QSound Lab Inc.                                        X                                   0          8,785      0
Southern COS CAP TR II 7.75%                           X                                   0            700      0
Quad Sys Corp                                          X                                   0          1,000      0
Taubman Centers Inc. 8.3% Perp Pfd                     X                                   0            500      0
Quintiles Transnational Corp.                          X                                   0        405,651      0
Quicklogic Corp                                        X                                   0            300      0
Quipp Inc                                              X                                   0          2,000      0
Quixote Corp                                           X                                   0          1,300      0
U S Biomaterials Corp.                                 X                                   0         10,000      0
Ryder System Inc.                                      X                                   0          3,790      0
Rio Algom Ltd 9.375% Pfd Secs Due                      X                                   0            400      0
Rescon Technology Corp                                 X                                   0              5      0
Real Goods Trading Corp.                               X                                   0            200      0
Reckson Associates Realty Corp.                        X                                   0          7,780      0
Reckson Assocs Realty Corp. Cl B                       X                                   0          1,288      0
Rampart Capital Corp                                   X                                   0            500      0
Data Race Inc.                                         X                                   0          2,000      0
Rite Aid Corp.                                         X                                   0        174,508      0
</TABLE>

<PAGE>


<TABLE>
<CAPTION>
            FORM 13F             NAME OF REPORTING MANAGER: LEGG MASON WOOD WALKER (IMS)                     Run Date: 04/13/2000
                                                            FOR POSITIONS HELD AS OF 03/31/2000              S.E.C. Use Only

                        Item 1:            Item 2:           Item 3:         Item 4:            Item 5:
                    Name of Issuer      Title of Class    CUSIP Number  Fair Market Value      Shares or
                                                                           (X $1000)         Principal Amt.

- ------------------------------------------------------------------------------------------------------------
<S>                                      <C>                 <C>                    <C>             <C>
Radyne Comstream Inc                     Common Stock        750611402             40             1,500
Radiant Systems Inc                      Common Stock        75025N102            240             3,825
Ralcorp Holdings Inc.                    Common Stock        751028101             13               900
Railamerica Inc.                         Common Stock        750753105              7             1,000
Ralston-Ralston Purina Group             Common Stock        751277302            457            16,712
Ramp Networks Inc                        Common Stock        751567108             64             3,200
Ramex Synfuels Intl Inc                  Common Stock        751485202              2            19,000
Rank Group PLC ADR                       ADR                 753037100              3               520
Rational Software Corp. Com New          Common Stock        75409P202            598             7,815
Raven Industries Inc.                    Common Stock        754212108             18             1,600
Razorfish Inc                            Common Stock        755236106            277            10,060
Ritchie Bros Auctioneers                 Common Stock        767744105            520            20,389
Redback Networks Inc                     Common Stock        757209101            612             2,040
Regal - Beloit Corp.                     Common Stock        758750103             76             4,325
Republic Bancorp Ky                      Common Stock        760281204              8             1,000
Rbid Com                                 Common Stock        749283107              1               500
Reebok International Ltd                 Common Stock        758110100             97            10,515
Robbins & Myers Inc                      Common Stock        770196103             22               950
Republic Bancorp Inc.                    Common Stock        760282103             72             7,689
Royal Bank of Scotland Grp PLC           PFD QTR 30/360      780097309             18               700
The Royal Bank of Scotland               PFD QTR 30/360      780097408            145             6,285
Royal Bank of Scotland Group             PFD QTR 30/360      780097804             30             1,400
Royal Bk Scotland Group Plc              ADR                 780097861             19               850
The Royal Bank of Scotland Grp Plc Pfd   PFD QTR 30/360      780097507            148             6,320
Royal Bank Of Scotland GRP PLC           PFD QTR 30/360      780097887             26             1,300
Richmond County Financial Corp           Common Stock        764556106              5               280
Rural Cellular Corp                      Common Stock        781904107            215             3,180
Renal Care Group Inc.                    Common Stock        759930100            171             7,905
Rent A Ctr Inc New                       Common Stock        76009N100             71             4,725
Royal Carribean Cruise Ltd               Common Stock        V7780T103            349            12,464
Royal Carribean Cruises 7.25% Conv PFD   PreferdStk Conv     V7780T111             10               110
RCM Technologies Inc.                    Common Stock        749360400             90             7,200
Rogers Cantel Mobile Commn Inc.          Common Stock        775102205            182             4,500
RCN Corp.                                Common Stock        749361101            258             4,795
Register Com Inc                         Common Stock        75914G101            234             3,365
RCM Stregic Global Government Fund       Common Stock        74936A101             54             6,175
Royal Dutch Petroleum Co ADR             ADR                 780257804          9,304           161,629
The Reader's Digest Association Inc.     Common Stock        755267101            183             5,184
The Readers Digest Association           Common Stock        755267200            163             5,700
Rowan Companies Inc.                     Common Stock        779382100          1,618            54,970
Ruddick Corp.                            Common Stock        781258108             26             2,400
Radiologix Inc                           Common Stock        75040K109              8             1,500
Radian Group Inc.                        Common Stock        750236101            417             8,760
Redox Technology Corp.                   Common Stock        757722103             20            35,500
Read-Rite Corp.                          Common Stock        755246105              7             1,500
Readers' Digest Automatic Com Exchange   Common Stock        755271202              6               200
Radva Corp.                              Common Stock        750610107              3             8,250
Radware Ltd                              Foreign Stock       M81873107             16               400
Everest Re Group Ltd                     Foreign Stock       G3223R108            209             6,400
Reliability Inc.                         Common Stock        759903107             22             3,800
Recycling Industries Inc                 Common Stock        756285102              4            18,375
Research Frontiers Inc                   Common Stock        760911107              3               100
Regency Realty Corporation               Common Stock        758939102             18               900
Renaissance Worldwide Inc                Common Stock        75968A109             10             2,000
Regeneron Pharmaceuticals Inc.           Common Stock        75886F107            110             3,730
Reliant Energy Inc                       Common Stock        75952J108            328            13,974
HL&P Capital Trust I-8.125% Tr PFD Sr    PFD QTR 30/360      404202202             42             1,940

                        Item 1:                      Item 6:                Item 7:              Item 8:
                    Name of Issuer             Investment Discretion         Other        Voting Authority (Shares)
                                         (a) Sole (b)Shared as (c)Shared    Managers   (a) Sole  (b) Shared  (c) None
                                                       Def        Other
- --------------------------------------------------------------------------------------------------------------------
Radyne Comstream Inc                                   X                                   0          1,500      0
Radiant Systems Inc                                    X                                   0          3,825      0
Ralcorp Holdings Inc.                                  X                                   0            900      0
Railamerica Inc.                                       X                                   0          1,000      0
Ralston-Ralston Purina Group                           X                                   0         16,712      0
Ramp Networks Inc                                      X                                   0          3,200      0
Ramex Synfuels Intl Inc                                X                                   0         19,000      0
Rank Group PLC ADR                                     X                                   0            520      0
Rational Software Corp. Com New                        X                                   0          7,815      0
Raven Industries Inc.                                  X                                   0          1,600      0
Razorfish Inc                                          X                                   0         10,060      0
Ritchie Bros Auctioneers                               X                                   0         20,389      0
Redback Networks Inc                                   X                                   0          2,040      0
Regal - Beloit Corp.                                   X                                   0          4,325      0
Republic Bancorp Ky                                    X                                   0          1,000      0
Rbid Com                                               X                                   0            500      0
Reebok International Ltd                               X                                   0         10,515      0
Robbins & Myers Inc                                    X                                   0            950      0
Republic Bancorp Inc.                                  X                                   0          7,689      0
Royal Bank of Scotland Grp PLC                         X                                   0            700      0
The Royal Bank of Scotland                             X                                   0          6,285      0
Royal Bank of Scotland Group                           X                                   0          1,400      0
Royal Bk Scotland Group Plc                            X                                   0            850      0
The Royal Bank of Scotland Grp Plc Pfd                 X                                   0          6,320      0
Royal Bank Of Scotland GRP PLC                         X                                   0          1,300      0
Richmond County Financial Corp                         X                                   0            280      0
Rural Cellular Corp                                    X                                   0          3,180      0
Renal Care Group Inc.                                  X                                   0          7,905      0
Rent A Ctr Inc New                                     X                                   0          4,725      0
Royal Carribean Cruise Ltd                             X                                   0         12,464      0
Royal Carribean Cruises 7.25% Conv PFD                 X                                   0            110      0
RCM Technologies Inc.                                  X                                   0          7,200      0
Rogers Cantel Mobile Commn Inc.                        X                                   0          4,500      0
RCN Corp.                                              X                                   0          4,795      0
Register Com Inc                                       X                                   0          3,365      0
RCM Stregic Global Government Fund                     X                                   0          6,175      0
Royal Dutch Petroleum Co ADR                           X                                   0        161,629      0
The Reader's Digest Association Inc.                   X                                   0          5,184      0
The Readers Digest Association                         X                                   0          5,700      0
Rowan Companies Inc.                                   X                                   0         54,970      0
Ruddick Corp.                                          X                                   0          2,400      0
Radiologix Inc                                         X                                   0          1,500      0
Radian Group Inc.                                      X                                   0          8,760      0
Redox Technology Corp.                                 X                                   0         35,500      0
Read-Rite Corp.                                        X                                   0          1,500      0
Readers' Digest Automatic Com Exchange                 X                                   0            200      0
Radva Corp.                                            X                                   0          8,250      0
Radware Ltd                                            X                                   0            400      0
Everest Re Group Ltd                                   X                                   0          6,400      0
Reliability Inc.                                       X                                   0          3,800      0
Recycling Industries Inc                               X                                   0         18,375      0
Research Frontiers Inc                                 X                                   0            100      0
Regency Realty Corporation                             X                                   0            900      0
Renaissance Worldwide Inc                              X                                   0          2,000      0
Regeneron Pharmaceuticals Inc.                         X                                   0          3,730      0
Reliant Energy Inc                                     X                                   0         13,974      0
HL&P Capital Trust I-8.125% Tr PFD Sr                  X                                   0          1,940      0
</TABLE>

<PAGE>


<TABLE>
<CAPTION>
            FORM 13F             NAME OF REPORTING MANAGER: LEGG MASON WOOD WALKER (IMS)                     Run Date: 04/13/2000
                                                            FOR POSITIONS HELD AS OF 03/31/2000              S.E.C. Use Only

                        Item 1:            Item 2:           Item 3:         Item 4:            Item 5:
                    Name of Issuer      Title of Class    CUSIP Number  Fair Market Value      Shares or
                                                                           (X $1000)         Principal Amt.

- ------------------------------------------------------------------------------------------------------------
<S>                                      <C>                 <C>                    <C>             <C>
Rei Trust I                              PFD QTR 30/360      749490207            135             6,960
Reliance Group Holdings Inc.             Common Stock        759464100             32             9,174
Richardson Electronics Ltd               Common Stock        763165107              2               150
Relm Wireless Corp                       Common Stock        759525108              2               500
Repsol S.A. ADR                          ADR                 76026T205            113             5,280
Repsol Intl Cap Ltd 7.45                 Preferred Stock     G7513K103             20             1,000
RBI Capital Trust I 9.1% Cum Trust PFD   PFD QTR 30/360      749257200             34             4,400
Resmed Inc.                              Common Stock        761152107             18               250
Respironics, Inc.                        Common Stock        761230101             30             2,100
Retek Inc                                Common Stock        76128Q109             25               600
Retail Entertainment Gp                  Common Stock        761273101              2             6,000
Revlon Inc.                              Common Stock        761525500              3               300
Resource America Inc Cl A                Common Stock        761195205             44             6,000
Rexam PLC Spon ADR                       ADR                 761655307              4             1,094
Reynolds & Reynolds Co CL A              Common Stock        761695105            412            15,265
Rf Inds Ltd                              Common Stock        749552105              4               500
RF Micro Devices Inc.                    Common Stock        749941100          4,552            33,875
Roycefield Resources Ltd                 Foreign Stock       780914107              6            47,000
RFS Hotel Investors Inc.                 Common Stock        74955J108             20             1,820
Rogers Communication CL-B Non-vtg        Common Stock        775109200            128             4,295
Barry R G Corp. Ohio                     Common Stock        068798107              4             1,150
Regions Financial Corp.                  Common Stock        758940100            219             9,615
Republic Group Inc                       Common Stock        760473108              8               700
Repligen Corp                            Common Stock        759916109             19             2,000
Regis Corp.                              Common Stock        758932107            203            13,735
Ranger Oil, Ltd                          Common Stock        752805101             10             2,640
Sturm Ruger & Co                         Common Stock        864159108            160            18,335
RGS Energy Group Inc                     Common Stock        74956K104             23             1,100
Rhodia Sponsored Adr                     ADR                 762397107            165             9,068
Red Hat Inc                              Common Stock        756577102            558            13,171
R.H. Donnelly Corp.                      Common Stock        74955W307              8               498
Rheometrics Scientific Inc               Common Stock        762073104             12             1,200
Robert Half Intl Inc.                    Common Stock        770323103            210             4,436
Ruby Tuesday Inc.                        Common Stock        781182100              5               300
Cohen & Steers Realty Income Fund Inc    Common Stock        19247P107             90            13,925
Royal Precision Inc                      Common Stock        780921102            130            38,430
Transocean Sedco Forex Inc               Common Stock        G90078109          3,868            75,387
Riggs National Corp.                     Common Stock        766570105             80             6,554
Rimage Corp                              Common Stock        766721104             22               750
Research In Motion Ltd.                  Foreign Stock       760975102            778             7,305
Robocom Systems Intl Inc                 Common Stock        771062106              1               300
Blue Rhino Corp.                         Common Stock        095811105            231            18,950
Raymond James Financial Inc.             Common Stock        754730109             87             4,205
Reeds Jewelers Inc                       Common Stock        758341101              3             1,000
Reynolds R J Tob Hldgs Inc               Common Stock        76182K105            102             6,008
Reckitt  Benckiser Ord                   Foreign Stock       G7420A107            141            15,350
Coors Adolph Co.                         Common Stock        217016104            220             4,595
Polo Ralph Lauren Corp. Cl A             Common Stock        731572103             84             4,500
Rollins Truck Leasing Corp.              Common Stock        775741101             24             2,850
Reynolds Metals Co                       Common Stock        761763101            246             3,672
Reliastar Financial Corp.                Common Stock        75952U103            701            20,692
Reliastar Financing I 8.2% TR            PFD QTR 30/360      75952D200              5               200
Reliastar Financing II 8.10% Cum PFD     PFD QTR 30/360      75952F205             44             2,000
Rambus Inc.                              Common Stock        750917106            630             2,140
Remedy Corp.                             Common Stock        759548100             64             1,520
Rmi Net Inc                              Common Stock        74961K107             18             2,500
Rainmaker Systems                        Common Stock        750875106              4               500

                        Item 1:                      Item 6:                Item 7:              Item 8:
                    Name of Issuer             Investment Discretion         Other        Voting Authority (Shares)
                                         (a) Sole (b)Shared as (c)Shared    Managers   (a) Sole  (b) Shared  (c) None
                                                       Def        Other
- --------------------------------------------------------------------------------------------------------------------
Rei Trust I                                            X                                   0          6,960      0
Reliance Group Holdings Inc.                           X                                   0          9,174      0
Richardson Electronics Ltd                             X                                   0            150      0
Relm Wireless Corp                                     X                                   0            500      0
Repsol S.A. ADR                                        X                                   0          5,280      0
Repsol Intl Cap Ltd 7.45                               X                                   0          1,000      0
RBI Capital Trust I 9.1% Cum Trust PFD                 X                                   0          4,400      0
Resmed Inc.                                            X                                   0            250      0
Respironics, Inc.                                      X                                   0          2,100      0
Retek Inc                                              X                                   0            600      0
Retail Entertainment Gp                                X                                   0          6,000      0
Revlon Inc.                                            X                                   0            300      0
Resource America Inc Cl A                              X                                   0          6,000      0
Rexam PLC Spon ADR                                     X                                   0          1,094      0
Reynolds & Reynolds Co CL A                            X                                   0         15,265      0
Rf Inds Ltd                                            X                                   0            500      0
RF Micro Devices Inc.                                  X                                   0         33,875      0
Roycefield Resources Ltd                               X                                   0         47,000      0
RFS Hotel Investors Inc.                               X                                   0          1,820      0
Rogers Communication CL-B Non-vtg                      X                                   0          4,295      0
Barry R G Corp. Ohio                                   X                                   0          1,150      0
Regions Financial Corp.                                X                                   0          9,615      0
Republic Group Inc                                     X                                   0            700      0
Repligen Corp                                          X                                   0          2,000      0
Regis Corp.                                            X                                   0         13,735      0
Ranger Oil, Ltd                                        X                                   0          2,640      0
Sturm Ruger & Co                                       X                                   0         18,335      0
RGS Energy Group Inc                                   X                                   0          1,100      0
Rhodia Sponsored Adr                                   X                                   0          9,068      0
Red Hat Inc                                            X                                   0         13,171      0
R.H. Donnelly Corp.                                    X                                   0            498      0
Rheometrics Scientific Inc                             X                                   0          1,200      0
Robert Half Intl Inc.                                  X                                   0          4,436      0
Ruby Tuesday Inc.                                      X                                   0            300      0
Cohen & Steers Realty Income Fund Inc                  X                                   0         13,925      0
Royal Precision Inc                                    X                                   0         38,430      0
Transocean Sedco Forex Inc                             X                                   0         75,387      0
Riggs National Corp.                                   X                                   0          6,554      0
Rimage Corp                                            X                                   0            750      0
Research In Motion Ltd.                                X                                   0          7,305      0
Robocom Systems Intl Inc                               X                                   0            300      0
Blue Rhino Corp.                                       X                                   0         18,950      0
Raymond James Financial Inc.                           X                                   0          4,205      0
Reeds Jewelers Inc                                     X                                   0          1,000      0
Reynolds R J Tob Hldgs Inc                             X                                   0          6,008      0
Reckitt  Benckiser Ord                                 X                                   0         15,350      0
Coors Adolph Co.                                       X                                   0          4,595      0
Polo Ralph Lauren Corp. Cl A                           X                                   0          4,500      0
Rollins Truck Leasing Corp.                            X                                   0          2,850      0
Reynolds Metals Co                                     X                                   0          3,672      0
Reliastar Financial Corp.                              X                                   0         20,692      0
Reliastar Financing I 8.2% TR                          X                                   0            200      0
Reliastar Financing II 8.10% Cum PFD                   X                                   0          2,000      0
Rambus Inc.                                            X                                   0          2,140      0
Remedy Corp.                                           X                                   0          1,520      0
Rmi Net Inc                                            X                                   0          2,500      0
Rainmaker Systems                                      X                                   0            500      0
</TABLE>

<PAGE>


<TABLE>
<CAPTION>
            FORM 13F             NAME OF REPORTING MANAGER: LEGG MASON WOOD WALKER (IMS)                     Run Date: 04/13/2000
                                                            FOR POSITIONS HELD AS OF 03/31/2000              S.E.C. Use Only

                        Item 1:            Item 2:           Item 3:         Item 4:            Item 5:
                    Name of Issuer      Title of Class    CUSIP Number  Fair Market Value      Shares or
                                                                           (X $1000)         Principal Amt.

- -----------------------------------------------------------------------------------------------------------
<S>                                      <C>                 <C>                    <C>             <C>
Russell Corp.                            Common Stock        782352108            146            10,200
Ramtron International Corp. Com New      Common Stock        751907304              7               500
Rainbow Technologies Inc.                Common Stock        750862104          1,299            34,760
Rnethealth Com                           Common Stock        769695107              9             5,000
Reinhold Industries Inc. Cl A            Common Stock        75935A109              1               110
Renaissancere Holdings Ltd               Common Stock        G7496G103            470            11,505
Rentech Inc                              Common Stock        760112102             37            11,000
Realnetworks Inc                         Common Stock        75605L104            307             5,386
Roadway Express Inc.                     Common Stock        769742107            103             5,100
Eshed Robotec 1982 Ltd                   Foreign Stock       M4095C107              6               800
Robotic Vision Systems                   Common Stock        771074101             65             4,050
Rohm & Haas                              Common Stock        775371107            319             7,139
Roche Holdings Ltd Spons ADR             ADR                 771195104            222             2,044
Rohn Industries Inc.                     Common Stock        775381106              2               600
Radio One Inc                            Common Stock        75040P108             47               700
Rockwell International Corp.             Common Stock        773903109            380             9,086
Rollins Inc.                             Common Stock        775711104              6               400
Romac International Inc                  Common Stock        775835101             18             2,000
Cooper Cameron Corp.                     Common Stock        216640102            122             1,825
Roper Industries Inc. New                Common Stock        776696106              8               250
U S A Floral Products Inc                Common Stock        90331T107              0               200
Ross Stores Inc.                         Common Stock        778296103          1,095            45,525
Rayovac Corp                             Common Stock        755081106            166             7,130
Rowecom Inc                              Common Stock        77957X108             37             2,200
Resourcephoenix Com Inc                  Common Stock        76122L106             26             2,000
RPM Inc. - Ohio                          Common Stock        749685103            640            58,181
Rhone-Poulenc Overseas Limited           Preferred Stock     G75495104             83             4,100
Range Resources Corp                     Common Stock        75281A109              1               300
Residential Resources Mortgage           Common Stock        760929109              0               500
Centenary International Corp.            Common Stock        15134R107              1             2,000
Rare Medium Group Inc.                   Common Stock        75382N109            157             3,558
Royal & Sun Alliance Ins Gp              Foreign Stock       G8566X133            155            24,659
RSA Security Co                          Common Stock        749719100            209             4,033
Res-Care Inc.                            Common Stock        760943100              6               650
Rouse Co                                 Common Stock        779273101             95             4,495
Rouse Co-Conv Pfd Ser B                  PFD QTR 30/360      779273309             16               500
Rouse Capital 9.25% Cum Qtrly PFD Quip   PFD QTR 30/360      779272202            351            16,700
Republic Security Finl Corp.             Common Stock        760758102             47             7,106
Republic Services Inc                    Common Stock        760759100          1,050            95,970
Frontline Cap Group                      Common Stock        35921N101             65             1,488
RSL Communications LTD Cl A              Common Stock        G7702U102            308            12,850
Roslyn Bancorp Inc.                      Common Stock        778162107             97             5,469
Restoration Hardware Inc                 Common Stock        760981100              3               500
Radisys Corp                             Common Stock        750459109            205             3,405
Ryerson Tull Inc                         Common Stock        78375P107              2               130
Rhythms Netconnections Inc.              Common Stock        762430205            834            22,650
RTI International Metals Inc             Common Stock        74973W107            147            16,650
Restaurant Teams Intl Inc                Common Stock        761265107             17            19,200
Raytheon Co. Cl A                        Common Stock        755111309            206            10,950
Raytheon Co-Cl B                         Common Stock        755111408            963            54,274
Rio Tinto PLC - Sponsored ADR            ADR                 767204100            428             6,004
Reuters Holdings PLC Spon ADR            ADR                 76132M102          1,512            12,668
Rtw Inc                                  Common Stock        74974R107             11             2,200
Rubios Restaurants Inc.                  Common Stock        78116B102              1               100
Reed International PLC Sponsored ADR     ADR                 758212872              0                16
Reunion Industries Inc.                  Common Stock        761312107             54            22,700
Holiday Rv Superstores Inc               Common Stock        434902102             13             3,000

                        Item 1:                      Item 6:                Item 7:              Item 8:
                    Name of Issuer             Investment Discretion         Other        Voting Authority (Shares)
                                         (a) Sole (b)Shared as (c)Shared    Managers   (a) Sole  (b) Shared  (c) None
                                                       Def        Other
- --------------------------------------------------------------------------------------------------------------------
Russell Corp.                                          X                                   0         10,200      0
Ramtron International Corp. Com New                    X                                   0            500      0
Rainbow Technologies Inc.                              X                                   0         34,760      0
Rnethealth Com                                         X                                   0          5,000      0
Reinhold Industries Inc. Cl A                          X                                   0            110      0
Renaissancere Holdings Ltd                             X                                   0         11,505      0
Rentech Inc                                            X                                   0         11,000      0
Realnetworks Inc                                       X                                   0          5,386      0
Roadway Express Inc.                                   X                                   0          5,100      0
Eshed Robotec 1982 Ltd                                 X                                   0            800      0
Robotic Vision Systems                                 X                                   0          4,050      0
Rohm & Haas                                            X                                   0          7,139      0
Roche Holdings Ltd Spons ADR                           X                                   0          2,044      0
Rohn Industries Inc.                                   X                                   0            600      0
Radio One Inc                                          X                                   0            700      0
Rockwell International Corp.                           X                                   0          9,086      0
Rollins Inc.                                           X                                   0            400      0
Romac International Inc                                X                                   0          2,000      0
Cooper Cameron Corp.                                   X                                   0          1,825      0
Roper Industries Inc. New                              X                                   0            250      0
U S A Floral Products Inc                              X                                   0            200      0
Ross Stores Inc.                                       X                                   0         45,525      0
Rayovac Corp                                           X                                   0          7,130      0
Rowecom Inc                                            X                                   0          2,200      0
Resourcephoenix Com Inc                                X                                   0          2,000      0
RPM Inc. - Ohio                                        X                                   0         58,181      0
Rhone-Poulenc Overseas Limited                         X                                   0          4,100      0
Range Resources Corp                                   X                                   0            300      0
Residential Resources Mortgage                         X                                   0            500      0
Centenary International Corp.                          X                                   0          2,000      0
Rare Medium Group Inc.                                 X                                   0          3,558      0
Royal & Sun Alliance Ins Gp                            X                                   0         24,659      0
RSA Security Co                                        X                                   0          4,033      0
Res-Care Inc.                                          X                                   0            650      0
Rouse Co                                               X                                   0          4,495      0
Rouse Co-Conv Pfd Ser B                                X                                   0            500      0
Rouse Capital 9.25% Cum Qtrly PFD Quip                 X                                   0         16,700      0
Republic Security Finl Corp.                           X                                   0          7,106      0
Republic Services Inc                                  X                                   0         95,970      0
Frontline Cap Group                                    X                                   0          1,488      0
RSL Communications LTD Cl A                            X                                   0         12,850      0
Roslyn Bancorp Inc.                                    X                                   0          5,469      0
Restoration Hardware Inc                               X                                   0            500      0
Radisys Corp                                           X                                   0          3,405      0
Ryerson Tull Inc                                       X                                   0            130      0
Rhythms Netconnections Inc.                            X                                   0         22,650      0
RTI International Metals Inc                           X                                   0         16,650      0
Restaurant Teams Intl Inc                              X                                   0         19,200      0
Raytheon Co. Cl A                                      X                                   0         10,950      0
Raytheon Co-Cl B                                       X                                   0         54,274      0
Rio Tinto PLC - Sponsored ADR                          X                                   0          6,004      0
Reuters Holdings PLC Spon ADR                          X                                   0         12,668      0
Rtw Inc                                                X                                   0          2,200      0
Rubios Restaurants Inc.                                X                                   0            100      0
Reed International PLC Sponsored ADR                   X                                   0             16      0
Reunion Industries Inc.                                X                                   0         22,700      0
Holiday Rv Superstores Inc                             X                                   0          3,000      0
</TABLE>

<PAGE>


<TABLE>
<CAPTION>
            FORM 13F             NAME OF REPORTING MANAGER: LEGG MASON WOOD WALKER (IMS)                     Run Date: 04/13/2000
                                                            FOR POSITIONS HELD AS OF 03/31/2000              S.E.C. Use Only

                        Item 1:            Item 2:           Item 3:         Item 4:            Item 5:
                    Name of Issuer      Title of Class    CUSIP Number  Fair Market Value      Shares or
                                                                           (X $1000)         Principal Amt.

- -----------------------------------------------------------------------------------------------------------
<S>                                      <C>                 <C>                    <C>             <C>
Ravisent Technologies Inc                Common Stock        754440105            100             7,200
Royce Value Tr Inc.                      MutualFdEqClose     780910105            258            18,688
RWE Aktiengesellschaft Spon              ADR                 74975E303              8               225
Rowan Bancorp Inc                        Common Stock        779379106             27             1,700
Rent Way Inc                             Common Stock        76009U104            327            16,745
IMS Health Inc.                          Common Stock        449934108          1,110            65,541
Rexall Sundown Inc.                      Common Stock        761648104             29             2,050
Rex Silver Mines Ltd                     Foreign Stock       761622109              0             5,000
Ryan's Family Steak House Inc.           Common Stock        783519101             21             2,200
Rolls Royce PLC Sponsored ADR            ADR                 775781206            212            13,065
Royal Group Technologies Ltd             Common Stock        779915107            182             8,435
Ryland Group Inc.                        Common Stock        783764103            164             8,754
Rayonier Inc.                            Common Stock        754907103            961            19,711
Royal Oak Mines                          Common Stock        78051D105              0            11,500
Ribozyme Pharmaceuticals Inc             Common Stock        762567105             15               600
Sears Roebuck & Co                       Common Stock        812387108          1,504            48,707
Strawbridge & Clothier - Ser A Escrow    Common Stock        863200986              0               200
Sterling Software Inc. Tender Offer      Common Stock        859547978             44             1,345
Sears Roebuck Accept Corp                PFD QTR 30/360      812404309             20             1,000
Sema Group PLC                           Common Stock        S205067               36             1,800
Shearson Lehman Sr Inc Fd LP-Dep Units   LTD Part  P4        820930105              0               500
Sigma Research Inc                       Foreign Stock       826904104              0             1,100
Schwartz Electro Optics Inc.             Common Stock        S741139                0             8,334
South Alabama Bancorporation             Common Stock        836234104             12             1,200
South Carolina Elec & Gas Co 5% Pfd      PFD QTR 30/360      837004308             13               400
SCE&G Trust I-7.55%                      PFD QTR 30/360      78389A203             24             1,133
Safeco Corp.                             Common Stock        786429100            710            26,730
Sonic Automotive Inc                     Common Stock        83545G102             38             4,000
SunAmerica Capt Trust III                Preferred Stock     86702N208             29             1,200
St Joseph Light & Power Co.              Common Stock        790654107              4               200
Salon Com                                Common Stock        79549F108              2               500
Boston Beer Co Inc. Cl A                 Common Stock        100557107             11             1,500
Samsonite Corporation                    Common Stock        79604V105              0                 0
Sani Med Inc                             Common Stock        801015108              0               850
Sanmina Corp.                            Common Stock        800907107            631             9,337
Sapient Corp                             Common Stock        803062108            228             2,720
SAP AG Sponsored ADR                     ADR                 803054204          1,189            19,898
Sandy Spring Bancorp Inc                 Common Stock        800363103            153             7,390
Satcon Technology Corp                   Common Stock        803893106              9               350
Shop At Home Inc.                        Common Stock        825066301             95            11,000
Sawtek Inc.                              Common Stock        805468105            587            11,165
Sba Communications Corp                  Common Stock        78388J106             14               325
Starbase Corp                            Common Stock        854910205            250            26,650
SBC Communications Inc.                  Common Stock        78387G103         22,579           537,589
Seacoast Banking Corp. FLA               Common Stock        811707108             36             1,400
SBE Inc                                  Common Stock        783873201              9               600
Salomon Brothers Fd Inc.                 Common Stock        795477108             10               500
Sinclair Broadcast Group Inc.            Common Stock        829226109             12             1,325
SmithKline Beecham Spons ADR             ADR                 832378301          1,548            23,435
Sterling Bancshares Inc.                 Common Stock        858907108             70             7,312
Sterling Bancshares Capital              PFD QTR 30/360      858917206            153             6,650
Sbi Communications Inc Del               Common Stock        783946106              0                 5
Synbiotics Corp                          Common Stock        871566105              2               500
Symbol Technologies Inc.                 Common Stock        871508107            543             6,600
SBS Technologies Inc.                    Common Stock        78387P103              9               300
SBS Broadcasting SA                      Foreign Stock       L8137F102              8               130
Starbucks Corp.                          Common Stock        855244109          1,063            23,731

                        Item 1:                      Item 6:                Item 7:              Item 8:
                    Name of Issuer             Investment Discretion         Other        Voting Authority (Shares)
                                         (a) Sole (b)Shared as (c)Shared    Managers   (a) Sole  (b) Shared  (c) None
                                                       Def        Other
- --------------------------------------------------------------------------------------------------------------------
Ravisent Technologies Inc                              X                                   0          7,200      0
Royce Value Tr Inc.                                    X                                   0         18,688      0
RWE Aktiengesellschaft Spon                            X                                   0            225      0
Rowan Bancorp Inc                                      X                                   0          1,700      0
Rent Way Inc                                           X                                   0         16,745      0
IMS Health Inc.                                        X                                   0         65,541      0
Rexall Sundown Inc.                                    X                                   0          2,050      0
Rex Silver Mines Ltd                                   X                                   0          5,000      0
Ryan's Family Steak House Inc.                         X                                   0          2,200      0
Rolls Royce PLC Sponsored ADR                          X                                   0         13,065      0
Royal Group Technologies Ltd                           X                                   0          8,435      0
Ryland Group Inc.                                      X                                   0          8,754      0
Rayonier Inc.                                          X                                   0         19,711      0
Royal Oak Mines                                        X                                   0         11,500      0
Ribozyme Pharmaceuticals Inc                           X                                   0            600      0
Sears Roebuck & Co                                     X                                   0         48,707      0
Strawbridge & Clothier - Ser A Escrow                  X                                   0            200      0
Sterling Software Inc. Tender Offer                    X                                   0          1,345      0
Sears Roebuck Accept Corp                              X                                   0          1,000      0
Sema Group PLC                                         X                                   0          1,800      0
Shearson Lehman Sr Inc Fd LP-Dep Units                 X                                   0            500      0
Sigma Research Inc                                     X                                   0          1,100      0
Schwartz Electro Optics Inc.                           X                                   0          8,334      0
South Alabama Bancorporation                           X                                   0          1,200      0
South Carolina Elec & Gas Co 5% Pfd                    X                                   0            400      0
SCE&G Trust I-7.55%                                    X                                   0          1,133      0
Safeco Corp.                                           X                                   0         26,730      0
Sonic Automotive Inc                                   X                                   0          4,000      0
SunAmerica Capt Trust III                              X                                   0          1,200      0
St Joseph Light & Power Co.                            X                                   0            200      0
Salon Com                                              X                                   0            500      0
Boston Beer Co Inc. Cl A                               X                                   0          1,500      0
Samsonite Corporation                                  X                                   0              0      0
Sani Med Inc                                           X                                   0            850      0
Sanmina Corp.                                          X                                   0          9,337      0
Sapient Corp                                           X                                   0          2,720      0
SAP AG Sponsored ADR                                   X                                   0         19,898      0
Sandy Spring Bancorp Inc                               X                                   0          7,390      0
Satcon Technology Corp                                 X                                   0            350      0
Shop At Home Inc.                                      X                                   0         11,000      0
Sawtek Inc.                                            X                                   0         11,165      0
Sba Communications Corp                                X                                   0            325      0
Starbase Corp                                          X                                   0         26,650      0
SBC Communications Inc.                                X                                   0        537,589      0
Seacoast Banking Corp. FLA                             X                                   0          1,400      0
SBE Inc                                                X                                   0            600      0
Salomon Brothers Fd Inc.                               X                                   0            500      0
Sinclair Broadcast Group Inc.                          X                                   0          1,325      0
SmithKline Beecham Spons ADR                           X                                   0         23,435      0
Sterling Bancshares Inc.                               X                                   0          7,312      0
Sterling Bancshares Capital                            X                                   0          6,650      0
Sbi Communications Inc Del                             X                                   0              5      0
Synbiotics Corp                                        X                                   0            500      0
Symbol Technologies Inc.                               X                                   0          6,600      0
SBS Technologies Inc.                                  X                                   0            300      0
SBS Broadcasting SA                                    X                                   0            130      0
Starbucks Corp.                                        X                                   0         23,731      0
</TABLE>

<PAGE>


<TABLE>
<CAPTION>
            FORM 13F             NAME OF REPORTING MANAGER: LEGG MASON WOOD WALKER (IMS)                     Run Date: 04/13/2000
                                                            FOR POSITIONS HELD AS OF 03/31/2000              S.E.C. Use Only

                        Item 1:            Item 2:           Item 3:         Item 4:            Item 5:
                    Name of Issuer      Title of Class    CUSIP Number  Fair Market Value      Shares or
                                                                           (X $1000)         Principal Amt.

- ------------------------------------------------------------------------------------------------------------
<S>                                      <C>                 <C>                    <C>             <C>
Salomon Brothers Worldwide               Common Stock        79548T109            127            10,825
Shell Transport & Trading PLC            ADR                 822703609            170             3,460
Sanchez Computer Associates              Common Stock        799702105            528            15,035
Southern California                      Preferred Stock     842400301             14             1,000
Southern California Edison(QUIDS)        Preferred Stock     842400764              7               300
Seacost Finl Services Corp               Common Stock        81170Q106             39             3,931
Scana Corp New                           Common Stock        80589M102            602            24,500
Societe Generale France SP ADR           ADR                 83364L109            277             6,934
Schwab Charles Corp.                     Common Stock        808513105          5,413            95,271
Scholastic Corp.                         Common Stock        807066105              2                30
S C I Systems Inc.                       Common Stock        783890106            964            17,912
Sensar Corp.                             Common Stock        817253107             93             2,000
Scios, Inc.                              Common Stock        808905103             86            16,600
Socket Communications Inc                Common Stock        833672108             30             1,300
Sciclone Pharmaceuticals Incorporated    Common Stock        80862K104            149             9,700
Swisscom AG-Sponsored ADR                Foreign Stock       871013108          2,355            61,665
SCM Microsystems Inc.                    Common Stock        784018103             80               825
Sycamore Networks Inc                    Common Stock        871206108          1,263             9,790
Scient Corp                              Common Stock        80864H109             20               225
Scor SA SPONSD ADR                       ADR                 80917Q106             17               355
The Santa Cruz Operation Inc.            Common Stock        801833104             38             4,010
Superconductor Tech Inc.                 Common Stock        867931107            224             5,350
Syncor Intl Inc.                         Common Stock        87157J106            944            28,605
Sea Containers Ltd Cl A                  Common Stock        811371707            506            22,854
Sea Containers Cl B                      Common Stock        811371103             69             3,053
Sicor Inc                                Common Stock        825846108             78             7,548
Steelcase Inc. - CL A                    Common Stock        858155203             68             5,690
Scansource Inc                           Common Stock        806037107            128             3,600
Select Comfort Corp                      Common Stock        81616X103              1               144
Stolt Comex Seaway SA                    Common Stock        L8873E103             42             3,000
Systems & Computer Technology Corp       Common Stock        871873105             16               700
Scottish Annunity & Life Holdings Ltd.   Common Stock        G7885T104              1               150
Scott Technologies Inc                   Common Stock        810022301            247            13,062
Secure Computing Corp                    Common Stock        813705100            885            52,069
Shoe Carnival Inc Ind                    Common Stock        824889109             10             1,100
Santa Fe International Corp.             Common Stock        G7805C108            380            10,260
Sodexho Marriott Services                Common Stock        833793102             16             1,095
SDL Inc.                                 Common Stock        784076101          1,293             6,073
Sedona Corporation                       Common Stock        815677109             46             6,350
Sunsource Inc                            Common Stock        867948101             46             9,975
Sunsource Capital Trust 11.6% Tr PFD     PFD QTR 30/360      867949208             74             4,532
Sungard Data Systems Inc.                Common Stock        867363103            635            16,825
Southdown, Inc.                          Common Stock        841297104          2,760            46,784
Sideware Systems Inc.                    Common Stock        825907108            420            42,000
Sterling Commerce Inc.                   Common Stock        859205106            176             3,980
Seachange International Inc              Common Stock        811699107              7               120
Siebel Systems Inc.                      Common Stock        826170102          3,249            27,200
Second Bancorp Inc                       Common Stock        813114105              9               500
Sealed Air Corp.                         Common Stock        81211K100            572            10,536
Sealed Air Corp - $2 Conv Pfd Ser A      PreferdStk Conv     81211K209              8               152
Seagate Technology, Inc.                 Common Stock        811804103          1,435            23,816
Sega Enterprises Ltd                     Common Stock        815793104             15             2,920
Seitel Inc. New                          Common Stock        816074306             21             2,700
General Semiconductor Inc.               Common Stock        370787103             25             1,430
All American Semiconductor Inc           Common Stock        016557407              7               500
Swedish Exp Credit Corp. 7.20% PFD Ser   PFD QTR 30/360      W92947246             35             1,700
A B Svensk Export Kredit 7 3/8%          Preferred Stock     W92947212              8               400

                        Item 1:                      Item 6:                Item 7:              Item 8:
                    Name of Issuer             Investment Discretion         Other        Voting Authority (Shares)
                                         (a) Sole (b)Shared as (c)Shared    Managers   (a) Sole  (b) Shared  (c) None
                                                       Def        Other
- --------------------------------------------------------------------------------------------------------------------
Salomon Brothers Worldwide                             X                                   0         10,825      0
Shell Transport & Trading PLC                          X                                   0          3,460      0
Sanchez Computer Associates                            X                                   0         15,035      0
Southern California                                    X                                   0          1,000      0
Southern California Edison(QUIDS)                      X                                   0            300      0
Seacost Finl Services Corp                             X                                   0          3,931      0
Scana Corp New                                         X                                   0         24,500      0
Societe Generale France SP ADR                         X                                   0          6,934      0
Schwab Charles Corp.                                   X                                   0         95,271      0
Scholastic Corp.                                       X                                   0             30      0
S C I Systems Inc.                                     X                                   0         17,912      0
Sensar Corp.                                           X                                   0          2,000      0
Scios, Inc.                                            X                                   0         16,600      0
Socket Communications Inc                              X                                   0          1,300      0
Sciclone Pharmaceuticals Incorporated                  X                                   0          9,700      0
Swisscom AG-Sponsored ADR                              X                                   0         61,665      0
SCM Microsystems Inc.                                  X                                   0            825      0
Sycamore Networks Inc                                  X                                   0          9,790      0
Scient Corp                                            X                                   0            225      0
Scor SA SPONSD ADR                                     X                                   0            355      0
The Santa Cruz Operation Inc.                          X                                   0          4,010      0
Superconductor Tech Inc.                               X                                   0          5,350      0
Syncor Intl Inc.                                       X                                   0         28,605      0
Sea Containers Ltd Cl A                                X                                   0         22,854      0
Sea Containers Cl B                                    X                                   0          3,053      0
Sicor Inc                                              X                                   0          7,548      0
Steelcase Inc. - CL A                                  X                                   0          5,690      0
Scansource Inc                                         X                                   0          3,600      0
Select Comfort Corp                                    X                                   0            144      0
Stolt Comex Seaway SA                                  X                                   0          3,000      0
Systems & Computer Technology Corp                     X                                   0            700      0
Scottish Annunity & Life Holdings Ltd.                 X                                   0            150      0
Scott Technologies Inc                                 X                                   0         13,062      0
Secure Computing Corp                                  X                                   0         52,069      0
Shoe Carnival Inc Ind                                  X                                   0          1,100      0
Santa Fe International Corp.                           X                                   0         10,260      0
Sodexho Marriott Services                              X                                   0          1,095      0
SDL Inc.                                               X                                   0          6,073      0
Sedona Corporation                                     X                                   0          6,350      0
Sunsource Inc                                          X                                   0          9,975      0
Sunsource Capital Trust 11.6% Tr PFD                   X                                   0          4,532      0
Sungard Data Systems Inc.                              X                                   0         16,825      0
Southdown, Inc.                                        X                                   0         46,784      0
Sideware Systems Inc.                                  X                                   0         42,000      0
Sterling Commerce Inc.                                 X                                   0          3,980      0
Seachange International Inc                            X                                   0            120      0
Siebel Systems Inc.                                    X                                   0         27,200      0
Second Bancorp Inc                                     X                                   0            500      0
Sealed Air Corp.                                       X                                   0         10,536      0
Sealed Air Corp - $2 Conv Pfd Ser A                    X                                   0            152      0
Seagate Technology, Inc.                               X                                   0         23,816      0
Sega Enterprises Ltd                                   X                                   0          2,920      0
Seitel Inc. New                                        X                                   0          2,700      0
General Semiconductor Inc.                             X                                   0          1,430      0
All American Semiconductor Inc                         X                                   0            500      0
Swedish Exp Credit Corp. 7.20% PFD Ser                 X                                   0          1,700      0
A B Svensk Export Kredit 7 3/8%                        X                                   0            400      0
</TABLE>

<PAGE>


<TABLE>
<CAPTION>
            FORM 13F             NAME OF REPORTING MANAGER: LEGG MASON WOOD WALKER (IMS)                     Run Date: 04/13/2000
                                                            FOR POSITIONS HELD AS OF 03/31/2000              S.E.C. Use Only

                        Item 1:            Item 2:           Item 3:         Item 4:            Item 5:
                    Name of Issuer      Title of Class    CUSIP Number  Fair Market Value      Shares or
                                                                           (X $1000)         Principal Amt.

- -----------------------------------------------------------------------------------------------------------
<S>                                      <C>                 <C>                    <C>             <C>
Sepracor Inc.                            Common Stock        817315104            688             9,450
Superior Energy Services Inc.            Common Stock        868157108             27             2,800
Seaview Underwater Research              Common Stock        81273Q102              7               500
The Singer Co N.V.                       Common Stock        82930F109              6             7,025
Scientific-Atlanta Inc.                  Common Stock        808655104          1,898            29,914
Safe Technologies Intl Inc               Common Stock        786416107             66           287,500
Speedfam-ipec Inc                        Common Stock        847705100             30             1,500
Southern Pacific Funding Corp.           Common Stock        843576109              0             2,000
Smithfield Foods                         Common Stock        832248108            580            28,993
Safeguard Scientifics Inc.               Common Stock        786449108          8,469           120,442
Santa Fe Financiall Corp                 Common Stock        802014100             31             3,500
Santa Fe Energy Tr                       Common Stock        802013102             29             1,600
Stancorp Financial Group Inc.            Common Stock        852891100              3               110
Starwood Financial Inc                   Common Stock        85569R104              4               235
Starwood Finl Inc                        PFD QTR 30/360      85569R401             16             1,000
Sonic Foundry Inc                        Common Stock        83545R108              5                50
Salton Inc.                              Common Stock        795757103            807            18,615
Santa Fe Snyder Corp                     Common Stock        80218K105             83             8,573
State Financial Services Corp CL A       Common Stock        856855101             35             3,416
Stratesec Inc                            Common Stock        862792108              4             1,000
Softbank Corp                            Foreign Stock       J75963108              7                 8
Enlighten Software Solutions             Common Stock        29336A101              3               400
Safeway Plc                              Foreign Stock       G7769A106            155            51,150
Sfx Entmt Inc                            Common Stock        784178105              7               174
Swift Energy Co                          Common Stock        870738101              3               160
Saga Communications Inc Cl- A            Common Stock        786598102             34             1,755
Smith-Gardner & Associates Inc.          Common Stock        832059109             34             1,950
Star Gas Partners L P                    Common Stock        85512C105             38             2,800
Stage Stores Inc.                        Common Stock        85254C107              9             9,900
Singapore Fd Inc.                        Common Stock        82929L109              4               500
Silicon Graphics Inc.                    Common Stock        827056102             21             1,950
SGI Intl New                             Common Stock        784185209              5            10,000
Sagent Technology Inc                    Common Stock        786693101             41             1,440
Schering-Plough Corp.                    Common Stock        806605101         18,730           509,671
Shaw Group Inc.                          Common Stock        820280105             30               850
Singapore Telecommunicatns Ltd           ADR                 82929R106              4               250
Soligen Technologies Inc                 Common Stock        83423G109              4             6,000
SPG Properties Inc                       PFD QTR 30/360      78462M207             13               637
Stone Energy Corp.                       Common Stock        861642106             70             1,425
Shore Bancshares Inc.                    Common Stock        825107105             54             3,000
Sharp Corp. - ADR                        ADR                 819882200            194               906
Sun Healthcare Group Inc.                Common Stock        866933104              2            22,100
Shanghai Petro Co LTD ADR CL H           ADR                 819424102             11             1,000
Shells Seafood Restaurants Inc           Common Stock        822809109              2             1,000
Schulman Inc.                            Common Stock        808194104              1                40
Shoney's Inc.                            Common Stock        825039100              1               665
Shire Pharmaceuticals Grp PLC Spons AD   ADR                 82481R106            103             2,009
Shaman Pharmaceuticals Inc               Common Stock        819319500              1             1,438
Shurgard Storage Centers Inc., CL A      Common Stock        82567D104             77             2,936
Shurgard Storage Center Inc 8.80% Ser    PFD QTR 30/360      82567D203             39             1,900
Shurgard Storage Centers Inc. 8.70% PF   PFD QTR 30/360      82567D302             22             1,100
Sherwin Williams Corp.                   Common Stock        824348106          2,847           129,781
Showcase Corp                            Common Stock        82539P102             14             1,500
Shaw Industries Inc.                     Common Stock        820286102            185            12,190
ACM Government Spectrum Fund Inc.        MutualFdFiClose     000917104             87            15,215
Sigma-Aldrich Corp.                      Common Stock        826552101          1,642            61,102
Si Diamond Technology Inc                Common Stock        784249104             29            10,000

                        Item 1:                      Item 6:                Item 7:              Item 8:
                    Name of Issuer             Investment Discretion         Other        Voting Authority (Shares)
                                         (a) Sole (b)Shared as (c)Shared    Managers   (a) Sole  (b) Shared  (c) None
                                                       Def        Other
- --------------------------------------------------------------------------------------------------------------------
Sepracor Inc.                                          X                                   0          9,450      0
Superior Energy Services Inc.                          X                                   0          2,800      0
Seaview Underwater Research                            X                                   0            500      0
The Singer Co N.V.                                     X                                   0          7,025      0
Scientific-Atlanta Inc.                                X                                   0         29,914      0
Safe Technologies Intl Inc                             X                                   0        287,500      0
Speedfam-ipec Inc                                      X                                   0          1,500      0
Southern Pacific Funding Corp.                         X                                   0          2,000      0
Smithfield Foods                                       X                                   0         28,993      0
Safeguard Scientifics Inc.                             X                                   0        120,442      0
Santa Fe Financiall Corp                               X                                   0          3,500      0
Santa Fe Energy Tr                                     X                                   0          1,600      0
Stancorp Financial Group Inc.                          X                                   0            110      0
Starwood Financial Inc                                 X                                   0            235      0
Starwood Finl Inc                                      X                                   0          1,000      0
Sonic Foundry Inc                                      X                                   0             50      0
Salton Inc.                                            X                                   0         18,615      0
Santa Fe Snyder Corp                                   X                                   0          8,573      0
State Financial Services Corp CL A                     X                                   0          3,416      0
Stratesec Inc                                          X                                   0          1,000      0
Softbank Corp                                          X                                   0              8      0
Enlighten Software Solutions                           X                                   0            400      0
Safeway Plc                                            X                                   0         51,150      0
Sfx Entmt Inc                                          X                                   0            174      0
Swift Energy Co                                        X                                   0            160      0
Saga Communications Inc Cl- A                          X                                   0          1,755      0
Smith-Gardner & Associates Inc.                        X                                   0          1,950      0
Star Gas Partners L P                                  X                                   0          2,800      0
Stage Stores Inc.                                      X                                   0          9,900      0
Singapore Fd Inc.                                      X                                   0            500      0
Silicon Graphics Inc.                                  X                                   0          1,950      0
SGI Intl New                                           X                                   0         10,000      0
Sagent Technology Inc                                  X                                   0          1,440      0
Schering-Plough Corp.                                  X                                   0        509,671      0
Shaw Group Inc.                                        X                                   0            850      0
Singapore Telecommunicatns Ltd                         X                                   0            250      0
Soligen Technologies Inc                               X                                   0          6,000      0
SPG Properties Inc                                     X                                   0            637      0
Stone Energy Corp.                                     X                                   0          1,425      0
Shore Bancshares Inc.                                  X                                   0          3,000      0
Sharp Corp. - ADR                                      X                                   0            906      0
Sun Healthcare Group Inc.                              X                                   0         22,100      0
Shanghai Petro Co LTD ADR CL H                         X                                   0          1,000      0
Shells Seafood Restaurants Inc                         X                                   0          1,000      0
Schulman Inc.                                          X                                   0             40      0
Shoney's Inc.                                          X                                   0            665      0
Shire Pharmaceuticals Grp PLC Spons AD                 X                                   0          2,009      0
Shaman Pharmaceuticals Inc                             X                                   0          1,438      0
Shurgard Storage Centers Inc., CL A                    X                                   0          2,936      0
Shurgard Storage Center Inc 8.80% Ser                  X                                   0          1,900      0
Shurgard Storage Centers Inc. 8.70% PF                 X                                   0          1,100      0
Sherwin Williams Corp.                                 X                                   0        129,781      0
Showcase Corp                                          X                                   0          1,500      0
Shaw Industries Inc.                                   X                                   0         12,190      0
ACM Government Spectrum Fund Inc.                      X                                   0         15,215      0
Sigma-Aldrich Corp.                                    X                                   0         61,102      0
Si Diamond Technology Inc                              X                                   0         10,000      0
</TABLE>

<PAGE>


<TABLE>
<CAPTION>
            FORM 13F             NAME OF REPORTING MANAGER: LEGG MASON WOOD WALKER (IMS)                     Run Date: 04/13/2000
                                                            FOR POSITIONS HELD AS OF 03/31/2000              S.E.C. Use Only

                        Item 1:            Item 2:           Item 3:         Item 4:            Item 5:
                    Name of Issuer      Title of Class    CUSIP Number  Fair Market Value      Shares or
                                                                           (X $1000)         Principal Amt.

- -----------------------------------------------------------------------------------------------------------
<S>                                      <C>                 <C>                    <C>             <C>
Science Dynamics Corp                    Common Stock        808631105             20             1,338
Satyam Infoway Ltd Sponsored Adr         ADR                 804099109             80             1,500
Sigcorp Inc                              Common Stock        826912107             11               450
Selective Ins Group Inc.                 Common Stock        816300107            769            45,095
Sigma Design                             Common Stock        826565103             15             2,000
Signet Group PLC- Spons ADR              ADR                 82668L872              6               237
Sun International Ltd Ord                Common Stock        P8797T133              9               480
Si Handling Systems Inc.                 Common Stock        784255101             43             7,400
Smith International Inc.                 Common Stock        832110100            734             9,469
S3 Inc.                                  Common Stock        784849101            256            12,202
Struthers Industries Inc.                Common Stock        863583209              0                42
Siliconix inc                            Common Stock        827079203             75               793
Silicon Image Inc                        Common Stock        82705T102             38               525
Sionix Corp.                             Common Stock        829400100             55            32,789
Sipex Corp                               Common Stock        829909100             26               750
Spectrasite Holdings Inc                 Common Stock        84760T100            482            17,035
Siti-sites Com Inc                       Common Stock        82981P105              0                 4
Silicon Valley Bancshares                Common Stock        827064106            491             6,828
SVB Cap I Tr Pfd Secs                    PFD QTR 30/360      784868200             21             1,100
J M Smucker Co.                          Common Stock        832696108             37             2,000
J M Smucker Co Cl B                      Common Stock        832696207              1               100
Safety-kleen Corp New                    Common Stock        78648R203              1             1,000
SKF AB Sponsored ADR Par S KR            ADR                 784375404             11               525
American Skiing Co.                      Common Stock        029654308             28            11,200
Sehisui House Ltd                        ADR                 816078208             26               285
SK Telecom Co Ltd Sponsored Adr          ADR                 78440P108             64             1,631
Shopko Stores, Inc.                      Common Stock        824911101             56             3,130
Saks Incorporated                        Common Stock        79377W108            354            24,393
Tanger Factory Outlet Centers            Common Stock        875465106            352            18,330
Skywell Corp.                            Common Stock        830910105              0                80
Skechers USA Inc. Cl A                   Common Stock        830566105             19             2,750
Skyline Corp.                            Common Stock        830830105              9               400
American Mobile Satellite Corp.          Common Stock        02755R103             48             2,000
Sky Financial Group Inc                  Common Stock        83080P103            137             8,451
SkyMall Inc.                             Common Stock        830859104              4               600
S L Industries Inc.                      Common Stock        784413106              5               500
Schlumberger Limited                     Common Stock        806857108         15,773           206,182
Sun Life Finl Svcs Cda Inc               Foreign Stock       866796105             11             1,016
Softlock Com Inc                         Common Stock        83402W109             15             1,000
Select Software Tools Ltd                ADR                 816200109              0             1,500
Sara Lee Corp.                           Common Stock        803111103          2,675           148,623
Saleoutlet Com                           Common Stock        794651109              3             1,000
SL Green Realty Corp.                    Common Stock        78440X101            108             4,565
Spatialight Incorporated                 Common Stock        847248101              9             1,300
SLI Inc                                  Common Stock        78442T108            119             7,000
Semiconductor Laser Intl                 Common Stock        816638100              3             2,500
SLM Holding Corp.                        Common Stock        78442A109          1,282            38,487
Spectralink Corp                         Common Stock        847580107             29             1,600
Salant Corp                              Common Stock        794004200              0                67
Solectron Corp.                          Common Stock        834182107          2,672            66,689
Surgical Laser Tech Inc                  Common Stock        868819202              4             1,220
Salient Systems,  Inc.                   Common Stock        794720102              6             6,600
Solucorp Inds Ltd                        Foreign Stock       83437C102              1             2,000
Sylvan Learning Systems Inc.             Common Stock        871399101            519            32,567
Silver Diner Incorporated                Common Stock        827655101              0               400
Siemens AG ADR New                       ADR                 826197402            279             1,940
Sunrise Medical Inc.                     Common Stock        867910101             24             3,800

                        Item 1:                      Item 6:                Item 7:              Item 8:
                    Name of Issuer             Investment Discretion         Other        Voting Authority (Shares)
                                         (a) Sole (b)Shared as (c)Shared    Managers   (a) Sole  (b) Shared  (c) None
                                                       Def        Other
- --------------------------------------------------------------------------------------------------------------------
Science Dynamics Corp                                  X                                   0          1,338      0
Satyam Infoway Ltd Sponsored Adr                       X                                   0          1,500      0
Sigcorp Inc                                            X                                   0            450      0
Selective Ins Group Inc.                               X                                   0         45,095      0
Sigma Design                                           X                                   0          2,000      0
Signet Group PLC- Spons ADR                            X                                   0            237      0
Sun International Ltd Ord                              X                                   0            480      0
Si Handling Systems Inc.                               X                                   0          7,400      0
Smith International Inc.                               X                                   0          9,469      0
S3 Inc.                                                X                                   0         12,202      0
Struthers Industries Inc.                              X                                   0             42      0
Siliconix inc                                          X                                   0            793      0
Silicon Image Inc                                      X                                   0            525      0
Sionix Corp.                                           X                                   0         32,789      0
Sipex Corp                                             X                                   0            750      0
Spectrasite Holdings Inc                               X                                   0         17,035      0
Siti-sites Com Inc                                     X                                   0              4      0
Silicon Valley Bancshares                              X                                   0          6,828      0
SVB Cap I Tr Pfd Secs                                  X                                   0          1,100      0
J M Smucker Co.                                        X                                   0          2,000      0
J M Smucker Co Cl B                                    X                                   0            100      0
Safety-kleen Corp New                                  X                                   0          1,000      0
SKF AB Sponsored ADR Par S KR                          X                                   0            525      0
American Skiing Co.                                    X                                   0         11,200      0
Sehisui House Ltd                                      X                                   0            285      0
SK Telecom Co Ltd Sponsored Adr                        X                                   0          1,631      0
Shopko Stores, Inc.                                    X                                   0          3,130      0
Saks Incorporated                                      X                                   0         24,393      0
Tanger Factory Outlet Centers                          X                                   0         18,330      0
Skywell Corp.                                          X                                   0             80      0
Skechers USA Inc. Cl A                                 X                                   0          2,750      0
Skyline Corp.                                          X                                   0            400      0
American Mobile Satellite Corp.                        X                                   0          2,000      0
Sky Financial Group Inc                                X                                   0          8,451      0
SkyMall Inc.                                           X                                   0            600      0
S L Industries Inc.                                    X                                   0            500      0
Schlumberger Limited                                   X                                   0        206,182      0
Sun Life Finl Svcs Cda Inc                             X                                   0          1,016      0
Softlock Com Inc                                       X                                   0          1,000      0
Select Software Tools Ltd                              X                                   0          1,500      0
Sara Lee Corp.                                         X                                   0        148,623      0
Saleoutlet Com                                         X                                   0          1,000      0
SL Green Realty Corp.                                  X                                   0          4,565      0
Spatialight Incorporated                               X                                   0          1,300      0
SLI Inc                                                X                                   0          7,000      0
Semiconductor Laser Intl                               X                                   0          2,500      0
SLM Holding Corp.                                      X                                   0         38,487      0
Spectralink Corp                                       X                                   0          1,600      0
Salant Corp                                            X                                   0             67      0
Solectron Corp.                                        X                                   0         66,689      0
Surgical Laser Tech Inc                                X                                   0          1,220      0
Salient Systems,  Inc.                                 X                                   0          6,600      0
Solucorp Inds Ltd                                      X                                   0          2,000      0
Sylvan Learning Systems Inc.                           X                                   0         32,567      0
Silver Diner Incorporated                              X                                   0            400      0
Siemens AG ADR New                                     X                                   0          1,940      0
Sunrise Medical Inc.                                   X                                   0          3,800      0
</TABLE>

<PAGE>


<TABLE>
<CAPTION>
            FORM 13F             NAME OF REPORTING MANAGER: LEGG MASON WOOD WALKER (IMS)                     Run Date: 04/13/2000
                                                            FOR POSITIONS HELD AS OF 03/31/2000              S.E.C. Use Only

                        Item 1:            Item 2:           Item 3:         Item 4:            Item 5:
                    Name of Issuer      Title of Class    CUSIP Number  Fair Market Value      Shares or
                                                                           (X $1000)         Principal Amt.

- -----------------------------------------------------------------------------------------------------------
<S>                                      <C>                 <C>                    <C>             <C>
Service Merchandise Co.                  Common Stock        817587108              0               500
The Scotts Co Class A                    Common Stock        810186106            319             7,590
Semco Energy Inc.                        Common Stock        78412D109              4               325
Springs Industries Inc.                  Common Stock        851783100            403            10,600
Southern Mineral Corp                    Common Stock        843367202             32           196,956
Smith & Nephew PLC                       Foreign Stock       G82343107             41            14,100
Standard Motor Prods                     Common Stock        853666105              6               400
Simpson Inds Inc.                        Common Stock        829060102              6               610
Somera Communication                     Common Stock        834458101             76             6,300
Stein Mart Inc.                          Common Stock        858375108            183            22,220
Shared Medical Systems Corp.             Common Stock        819486101             76             1,466
Summit Properties Inc.                   Common Stock        866239106            260            13,571
Smartforce Pub Ltd Co                    ADR                 83170A206            270             5,883
Smartalk Teleservices Inc.               Common Stock        83169A100              0             3,650
Semitool Inc.                            Common Stock        816909105              7               400
Somanetics Corp                          Common Stock        834445405              3               500
Smedvig ASA-Spon ADR Ser A               ADR                 83169H105            135             8,840
Snap-On Inc.                             Common Stock        833034101             49             1,887
Sun Cap Tr Pfd Secs 9.85%                PFD QTR 30/360      86664K200             18               800
Snyder Communications Inc.               Common Stock        832914105            854            37,955
Sandisk Corp.                            Common Stock        80004C101            764             6,235
Sony Corp. - Sponsored ADR               ADR                 835699307          4,093            14,611
The Spain Fund Inc.                      Common Stock        846330108              3               200
Senior Hsg Pptys Tr                      Common Stock        81721M109             31             3,033
Second National Bancorp                  Common Stock        813192101              0             3,000
Starnet Communications International     Foreign Stock       855552105             10             2,200
Smith & Nephew Plc                       ADR                 83175M106             93             3,155
Synopsys Inc.                            Common Stock        871607107            687            14,091
Sunair Electrs Inc                       Common Stock        867017105              2               500
Sonera Group Plc                         ADR                 835433202          1,498            22,563
Sunrise Technologies Intl Inc.           Common Stock        86769L103            107            15,200
Sunrise Assisted Living Inc.             Common Stock        86768K106             77             5,800
Senetek PLC                              ADR                 817209307              2             1,000
Synovus Financial Corp.                  Common Stock        87161C105             63             3,361
Sonicwall Inc                            Common Stock        835470105              3                50
Southern Co                              Common Stock        842587107            957            44,004
Sunbeam Corp.                            Common Stock        867071102            111            26,400
Scan Optic Inc.                          Common Stock        805894102              1               300
Socrates Technologies Corp               Common Stock        833719107              8             2,500
Softnet Systems Inc.                     Common Stock        833964109             99             3,375
Solar Finl Svcs Inc                      Common Stock        83414F201              0                13
Solutia Inc.                             Common Stock        834376105             66             4,955
Solv-Ex Corp New                         Common Stock        834382103              0               700
Somnus Med Technologies Inc              Common Stock        835397100              0               100
Sonoco Products Co                       Common Stock        835495102          1,097            46,664
Sonic Corp                               Common Stock        835451105              2                75
S1 Corporation                           Common Stock        78463B101            268             3,131
Sonosight Inc                            Common Stock        83568G104             21               633
Sonex Research Inc.                      Common Stock        835448101              4            12,600
First Savings Bancorp Inc.               Common Stock        335939104             14             1,000
Southern Co Cap Tr V                     PFD QTR 30/360      842637209             32             1,600
Source Information Mgmt Co               Common Stock        836151209             18             1,050
Southern Company Cap Tr IV 7.125%        PFD QTR 30/360      842636201             10               500
Southtrust Corp.                         Common Stock        844730101            426            16,735
St. Paul Companies Inc.                  Common Stock        792860108          1,528            44,773
Sports Entmt Enterprises Inc             Common Stock        849178108              0             1,000
Simon Property Group Inc                 Common Stock        828806109          1,107            46,106

                        Item 1:                      Item 6:                Item 7:              Item 8:
                    Name of Issuer             Investment Discretion         Other        Voting Authority (Shares)
                                         (a) Sole (b)Shared as (c)Shared    Managers   (a) Sole  (b) Shared  (c) None
                                                       Def        Other
- --------------------------------------------------------------------------------------------------------------------
Service Merchandise Co.                                X                                   0            500      0
The Scotts Co Class A                                  X                                   0          7,590      0
Semco Energy Inc.                                      X                                   0            325      0
Springs Industries Inc.                                X                                   0         10,600      0
Southern Mineral Corp                                  X                                   0        196,956      0
Smith & Nephew PLC                                     X                                   0         14,100      0
Standard Motor Prods                                   X                                   0            400      0
Simpson Inds Inc.                                      X                                   0            610      0
Somera Communication                                   X                                   0          6,300      0
Stein Mart Inc.                                        X                                   0         22,220      0
Shared Medical Systems Corp.                           X                                   0          1,466      0
Summit Properties Inc.                                 X                                   0         13,571      0
Smartforce Pub Ltd Co                                  X                                   0          5,883      0
Smartalk Teleservices Inc.                             X                                   0          3,650      0
Semitool Inc.                                          X                                   0            400      0
Somanetics Corp                                        X                                   0            500      0
Smedvig ASA-Spon ADR Ser A                             X                                   0          8,840      0
Snap-On Inc.                                           X                                   0          1,887      0
Sun Cap Tr Pfd Secs 9.85%                              X                                   0            800      0
Snyder Communications Inc.                             X                                   0         37,955      0
Sandisk Corp.                                          X                                   0          6,235      0
Sony Corp. - Sponsored ADR                             X                                   0         14,611      0
The Spain Fund Inc.                                    X                                   0            200      0
Senior Hsg Pptys Tr                                    X                                   0          3,033      0
Second National Bancorp                                X                                   0          3,000      0
Starnet Communications International                   X                                   0          2,200      0
Smith & Nephew Plc                                     X                                   0          3,155      0
Synopsys Inc.                                          X                                   0         14,091      0
Sunair Electrs Inc                                     X                                   0            500      0
Sonera Group Plc                                       X                                   0         22,563      0
Sunrise Technologies Intl Inc.                         X                                   0         15,200      0
Sunrise Assisted Living Inc.                           X                                   0          5,800      0
Senetek PLC                                            X                                   0          1,000      0
Synovus Financial Corp.                                X                                   0          3,361      0
Sonicwall Inc                                          X                                   0             50      0
Southern Co                                            X                                   0         44,004      0
Sunbeam Corp.                                          X                                   0         26,400      0
Scan Optic Inc.                                        X                                   0            300      0
Socrates Technologies Corp                             X                                   0          2,500      0
Softnet Systems Inc.                                   X                                   0          3,375      0
Solar Finl Svcs Inc                                    X                                   0             13      0
Solutia Inc.                                           X                                   0          4,955      0
Solv-Ex Corp New                                       X                                   0            700      0
Somnus Med Technologies Inc                            X                                   0            100      0
Sonoco Products Co                                     X                                   0         46,664      0
Sonic Corp                                             X                                   0             75      0
S1 Corporation                                         X                                   0          3,131      0
Sonosight Inc                                          X                                   0            633      0
Sonex Research Inc.                                    X                                   0         12,600      0
First Savings Bancorp Inc.                             X                                   0          1,000      0
Southern Co Cap Tr V                                   X                                   0          1,600      0
Source Information Mgmt Co                             X                                   0          1,050      0
Southern Company Cap Tr IV 7.125%                      X                                   0            500      0
Southtrust Corp.                                       X                                   0         16,735      0
St. Paul Companies Inc.                                X                                   0         44,773      0
Sports Entmt Enterprises Inc                           X                                   0          1,000      0
Simon Property Group Inc                               X                                   0         46,106      0
</TABLE>

<PAGE>


<TABLE>
<CAPTION>
            FORM 13F             NAME OF REPORTING MANAGER: LEGG MASON WOOD WALKER (IMS)                     Run Date: 04/13/2000
                                                            FOR POSITIONS HELD AS OF 03/31/2000              S.E.C. Use Only

                        Item 1:            Item 2:           Item 3:         Item 4:            Item 5:
                    Name of Issuer      Title of Class    CUSIP Number  Fair Market Value      Shares or
                                                                           (X $1000)         Principal Amt.

- ------------------------------------------------------------------------------------------------------------
<S>                                      <C>                 <C>                    <C>             <C>
Suburban Propane Partners LP             LTD Part  P4        864482104            203            10,332
Scottich Power PLC                       Common Stock        81013T705             65             2,042
Spieker Properties, Inc.                 Common Stock        848497103            122             2,735
Spieker Properties Inc 9.45% PFD Ser B   PFD QTR 30/360      848497202             19               831
Spieker Properties Inc 7.85%             PFD QTR 30/360      848497301             10               500
Spieker Properties Inc 8% Cum Pfd        PFD QTR 30/360      848497400              4               200
Splash Technology Holdings Inc.          Common Stock        848623104             13             1,000
Sportsline USA Inc                       Common Stock        848934105             15               500
Staples Inc.                             Common Stock        855030102          6,335           316,726
Spectranetics Corp                       Common Stock        84760C107              6             1,000
Shopnow Com Inc                          Common Stock        82508R105             67             4,600
Spinnaker Expl Co                        Common Stock        84855W109             31             1,350
Panamsat Corp New                        Common Stock        697933109             35               710
Sappi Ltd -Sponsered ADR                 ADR                 803069202            101            12,730
SPSS Inc.                                Common Stock        78462K102            321            10,100
Spectrum Oil Corp                        Common Stock        84762G205             21             9,000
SPX Corp.                                Common Stock        784635104             89               785
Standard & Poors DEP Receipts            Common Stock        78462F103          5,702            37,872
Spyglass Inc.                            Common Stock        852192103             17               225
Speizman Industries Inc.                 Common Stock        847805108              4             1,000
Sequa Corp. Cl B                         Common Stock        817320203             47             1,000
Sequa Corp. - CL A                       Common Stock        817320104              2                60
Sciquest Com Inc                         Common Stock        80908Q107            176             6,825
Simtek Corp                              Common Stock        829204106              5             2,000
Us Search.com                            Common Stock        903404101              2               500
Slippery Rock Finl Corp                  Common Stock        831471107             10               500
Source Media Inc New                     Common Stock        836153304              7               500
Sempra Energy                            Common Stock        816851109            196            11,729
Spectrafax Corp                          Common Stock        847572104              8             5,000
Stoneridge Inc                           Common Stock        86183P102              2               145
Sensormatic Electronics Corp.            Common Stock        817265101             29             1,280
Serena Software Inc                      Common Stock        817492101             10               300
Sierra Pacific Resources new             Common Stock        826428104            928            74,225
Sierra Pacific Power Capt I              Preferred Stock     826433203             23             1,000
Stride Rite Corp.                        Common Stock        863314100            709            87,940
Startek Inc.                             Common Stock        85569C107             56               765
Service Corp. International              Common Stock        817565104            305           101,673
Charles E. Smith Residential             Common Stock        832197107            297             8,224
Saatchi & Saatchi PLC                    Common Stock        785144205            148             4,976
Sunshine Mng & Refining Co               Common Stock        867833501              1             1,264
Smurfit-Stone Container Corp.            Common Stock        832727101             50             2,962
SSE Telecom Inc                          Common Stock        784652109              3               300
Scansoft Inc                             Common Stock        80603P107             38             7,557
Scribe Systems Inc                       Common Stock        811035104              0               425
Spectrum Signal Processing Inc           Foreign Stock       84763F107              1               200
SSBH Capital I-7.20% Cum Trust Pfd       PFD QTR 30/360      784646200            234            11,550
Sun State Svgs & Ln Assn                 Common Stock        866876105              0               200
Stewart & Stevenson                      Common Stock        860342104            186            16,522
Silverstream Software Inc                Common Stock        827907106             11               150
Scott Science & Technology               Common Stock        810016105              0             2,500
Silicon Storage Technology Inc.          Common Stock        827057100            104             1,405
Sterling Software Inc.                   Common Stock        859547101              6               189
SPS Technologies Inc.                    Common Stock        784626103             80             2,630
Staar Surgical Co.                       Common Stock        852312305             48             4,140
Stac Software Inc                        Common Stock        852323203            119            13,085
Austins Steaks & Saloon Inc              Common Stock        052482205              8            10,000
Lone Star Steakhouse Saloon              Common Stock        542307103             70             6,850

                        Item 1:                      Item 6:                Item 7:              Item 8:
                    Name of Issuer             Investment Discretion         Other        Voting Authority (Shares)
                                         (a) Sole (b)Shared as (c)Shared    Managers   (a) Sole  (b) Shared  (c) None
                                                       Def        Other
- --------------------------------------------------------------------------------------------------------------------
Suburban Propane Partners LP                           X                                   0         10,332      0
Scottich Power PLC                                     X                                   0          2,042      0
Spieker Properties, Inc.                               X                                   0          2,735      0
Spieker Properties Inc 9.45% PFD Ser B                 X                                   0            831      0
Spieker Properties Inc 7.85%                           X                                   0            500      0
Spieker Properties Inc 8% Cum Pfd                      X                                   0            200      0
Splash Technology Holdings Inc.                        X                                   0          1,000      0
Sportsline USA Inc                                     X                                   0            500      0
Staples Inc.                                           X                                   0        316,726      0
Spectranetics Corp                                     X                                   0          1,000      0
Shopnow Com Inc                                        X                                   0          4,600      0
Spinnaker Expl Co                                      X                                   0          1,350      0
Panamsat Corp New                                      X                                   0            710      0
Sappi Ltd -Sponsered ADR                               X                                   0         12,730      0
SPSS Inc.                                              X                                   0         10,100      0
Spectrum Oil Corp                                      X                                   0          9,000      0
SPX Corp.                                              X                                   0            785      0
Standard & Poors DEP Receipts                          X                                   0         37,872      0
Spyglass Inc.                                          X                                   0            225      0
Speizman Industries Inc.                               X                                   0          1,000      0
Sequa Corp. Cl B                                       X                                   0          1,000      0
Sequa Corp. - CL A                                     X                                   0             60      0
Sciquest Com Inc                                       X                                   0          6,825      0
Simtek Corp                                            X                                   0          2,000      0
Us Search.com                                          X                                   0            500      0
Slippery Rock Finl Corp                                X                                   0            500      0
Source Media Inc New                                   X                                   0            500      0
Sempra Energy                                          X                                   0         11,729      0
Spectrafax Corp                                        X                                   0          5,000      0
Stoneridge Inc                                         X                                   0            145      0
Sensormatic Electronics Corp.                          X                                   0          1,280      0
Serena Software Inc                                    X                                   0            300      0
Sierra Pacific Resources new                           X                                   0         74,225      0
Sierra Pacific Power Capt I                            X                                   0          1,000      0
Stride Rite Corp.                                      X                                   0         87,940      0
Startek Inc.                                           X                                   0            765      0
Service Corp. International                            X                                   0        101,673      0
Charles E. Smith Residential                           X                                   0          8,224      0
Saatchi & Saatchi PLC                                  X                                   0          4,976      0
Sunshine Mng & Refining Co                             X                                   0          1,264      0
Smurfit-Stone Container Corp.                          X                                   0          2,962      0
SSE Telecom Inc                                        X                                   0            300      0
Scansoft Inc                                           X                                   0          7,557      0
Scribe Systems Inc                                     X                                   0            425      0
Spectrum Signal Processing Inc                         X                                   0            200      0
SSBH Capital I-7.20% Cum Trust Pfd                     X                                   0         11,550      0
Sun State Svgs & Ln Assn                               X                                   0            200      0
Stewart & Stevenson                                    X                                   0         16,522      0
Silverstream Software Inc                              X                                   0            150      0
Scott Science & Technology                             X                                   0          2,500      0
Silicon Storage Technology Inc.                        X                                   0          1,405      0
Sterling Software Inc.                                 X                                   0            189      0
SPS Technologies Inc.                                  X                                   0          2,630      0
Staar Surgical Co.                                     X                                   0          4,140      0
Stac Software Inc                                      X                                   0         13,085      0
Austins Steaks & Saloon Inc                            X                                   0         10,000      0
Lone Star Steakhouse Saloon                            X                                   0          6,850      0
</TABLE>

<PAGE>


<TABLE>
<CAPTION>
            FORM 13F             NAME OF REPORTING MANAGER: LEGG MASON WOOD WALKER (IMS)                     Run Date: 04/13/2000
                                                            FOR POSITIONS HELD AS OF 03/31/2000              S.E.C. Use Only

                        Item 1:            Item 2:           Item 3:         Item 4:            Item 5:
                    Name of Issuer      Title of Class    CUSIP Number  Fair Market Value      Shares or
                                                                           (X $1000)         Principal Amt.

- ------------------------------------------------------------------------------------------------------------
<S>                                      <C>                 <C>                    <C>             <C>
S & T Bancorp Inc                        Common Stock        783859101              2               100
Southeast Banking Corp.                  Common Stock        841338106              0               200
Salient 3 Communications Inc             Common Stock        794721100              3               250
Shared Technologies Cellular             Common Stock        819487109              2               400
Banco Santander Central Hispano          ADR                 05964H105             12             1,112
Steris Corp.                             Common Stock        859152100            125            12,205
Stewart Enterprises CL A                 Common Stock        860370105            240            48,518
Staff Leasing Inc.                       Common Stock        852381102             57             9,750
Stamford Intl Inc                        Common Stock        852902105          1,742           101,150
Startec Global Communications            Common Stock        85569E103             19               900
Startech Enviromental Corp               Common Stock        855906103            544            32,024
Suntrust Banks Inc.                      Common Stock        867914103          5,386            93,256
St Jude Medical Inc.                     Common Stock        790849103          1,098            42,537
St. Jude Resource LTD                    Foreign Stock       79085J100              1             2,000
Storage Technology Corp.                 Common Stock        862111200            400            25,125
Stolt-Nielson SA ADR                     ADR                 861565109             65             3,500
Steel Dynamics Inc.                      Common Stock        858119100             23             2,000
Stanley Furniture Co,                    Common Stock        854305208            603            31,100
Stmicroelectronics NV - NY Shares        Foreign Stock       861012102            927             4,952
Stamps Com Inc                           Common Stock        852857101              6               300
Station Casinos Inc.                     Common Stock        857689103             14               630
Steiner Leisure LTD                      Common Stock        P8744Y102            161             8,350
Startronix Intl Inc-New                  Common Stock        85568C207              0                25
Questar Corp.                            Common Stock        748356102            170             9,150
Strayer Education Inc.                   Common Stock        863236105            984            37,850
Sterile Recoveries Inc.                  Common Stock        859151102              8             1,675
Starmedia Network Inc                    Common Stock        855546107             24               800
Star Technologies Inc.                   Common Stock        855193108              2             3,000
Stratus Properties Inc                   Common Stock        863167102              0                60
Struthers Inc                            Common Stock        863582201             76            63,500
Star Telecommunications inc              Common Stock        854923109             84            14,000
Star Scientific Inc                      Common Stock        85517P101             30             4,500
State Street Corp.                       Common Stock        857477103          8,971            92,603
Student Loan Corp.                       Common Stock        863902102            127             3,100
Shaw Communication 8.45% Ser A PFD       PFD QTR 30/360      82028K606             23             1,100
Shaw Communications Inc Pfd 8.50%        PFD QTR 30/360      82028K705             69             3,350
Standard Commcl Corp.                    Common Stock        853258101             14             3,888
Security Banc Corporation                Common Stock        813767100             13               630
Suncor Energy Inc.                       Foreign Stock       867229106            237             5,580
Suncor Energy Inc PFD Secs               PFD QTR 30/360      867229601            111             4,800
Summit Bancorp                           Common Stock        866005101          1,519            57,882
Sun Bancorp Inc.                         Common Stock        866634108              3               210
Submicron Systems Corporation            Common Stock        864313101              0               200
Abbey Natl PLC Perp Sub Cap              PFD QTR 30/360      002920502             21             1,000
Southern Union Co New                    Common Stock        844030106            504            27,924
Southern Union Financing TOPRS           PFD QTR 30/360      844038208             79             3,300
Sun Communities Inc.                     Common Stock        866674104            203             7,025
Mens Wearhouse Inc.                      Common Stock        587118100             27               900
Supra Medical Corp        Ec             Common Stock        868591108              0             1,000
Sunoco Inc                               Common Stock        86764P109            227             8,302
Sun Microsystems Inc.                    Common Stock        866810104         66,576           710,497
Superior Industries Intl Inc.            Common Stock        868168105            615            19,404
Supergen Inc.                            Common Stock        868059106              2                50
Supertex Inc                             Common Stock        868532102             13               425
CNA Surety Corp                          Common Stock        12612L108              4               300
Surgical Safety Products Inc.            Common Stock        868906108             14            10,545
Storage USA, Inc.                        Common Stock        861907103            547            17,863

                        Item 1:                      Item 6:                Item 7:              Item 8:
                    Name of Issuer             Investment Discretion         Other        Voting Authority (Shares)
                                         (a) Sole (b)Shared as (c)Shared    Managers   (a) Sole  (b) Shared  (c) None
                                                       Def        Other
- --------------------------------------------------------------------------------------------------------------------
S & T Bancorp Inc                                      X                                   0            100      0
Southeast Banking Corp.                                X                                   0            200      0
Salient 3 Communications Inc                           X                                   0            250      0
Shared Technologies Cellular                           X                                   0            400      0
Banco Santander Central Hispano                        X                                   0          1,112      0
Steris Corp.                                           X                                   0         12,205      0
Stewart Enterprises CL A                               X                                   0         48,518      0
Staff Leasing Inc.                                     X                                   0          9,750      0
Stamford Intl Inc                                      X                                   0        101,150      0
Startec Global Communications                          X                                   0            900      0
Startech Enviromental Corp                             X                                   0         32,024      0
Suntrust Banks Inc.                                    X                                   0         93,256      0
St Jude Medical Inc.                                   X                                   0         42,537      0
St. Jude Resource LTD                                  X                                   0          2,000      0
Storage Technology Corp.                               X                                   0         25,125      0
Stolt-Nielson SA ADR                                   X                                   0          3,500      0
Steel Dynamics Inc.                                    X                                   0          2,000      0
Stanley Furniture Co,                                  X                                   0         31,100      0
Stmicroelectronics NV - NY Shares                      X                                   0          4,952      0
Stamps Com Inc                                         X                                   0            300      0
Station Casinos Inc.                                   X                                   0            630      0
Steiner Leisure LTD                                    X                                   0          8,350      0
Startronix Intl Inc-New                                X                                   0             25      0
Questar Corp.                                          X                                   0          9,150      0
Strayer Education Inc.                                 X                                   0         37,850      0
Sterile Recoveries Inc.                                X                                   0          1,675      0
Starmedia Network Inc                                  X                                   0            800      0
Star Technologies Inc.                                 X                                   0          3,000      0
Stratus Properties Inc                                 X                                   0             60      0
Struthers Inc                                          X                                   0         63,500      0
Star Telecommunications inc                            X                                   0         14,000      0
Star Scientific Inc                                    X                                   0          4,500      0
State Street Corp.                                     X                                   0         92,603      0
Student Loan Corp.                                     X                                   0          3,100      0
Shaw Communication 8.45% Ser A PFD                     X                                   0          1,100      0
Shaw Communications Inc Pfd 8.50%                      X                                   0          3,350      0
Standard Commcl Corp.                                  X                                   0          3,888      0
Security Banc Corporation                              X                                   0            630      0
Suncor Energy Inc.                                     X                                   0          5,580      0
Suncor Energy Inc PFD Secs                             X                                   0          4,800      0
Summit Bancorp                                         X                                   0         57,882      0
Sun Bancorp Inc.                                       X                                   0            210      0
Submicron Systems Corporation                          X                                   0            200      0
Abbey Natl PLC Perp Sub Cap                            X                                   0          1,000      0
Southern Union Co New                                  X                                   0         27,924      0
Southern Union Financing TOPRS                         X                                   0          3,300      0
Sun Communities Inc.                                   X                                   0          7,025      0
Mens Wearhouse Inc.                                    X                                   0            900      0
Supra Medical Corp        Ec                           X                                   0          1,000      0
Sunoco Inc                                             X                                   0          8,302      0
Sun Microsystems Inc.                                  X                                   0        710,497      0
Superior Industries Intl Inc.                          X                                   0         19,404      0
Supergen Inc.                                          X                                   0             50      0
Supertex Inc                                           X                                   0            425      0
CNA Surety Corp                                        X                                   0            300      0
Surgical Safety Products Inc.                          X                                   0         10,545      0
Storage USA, Inc.                                      X                                   0         17,863      0
</TABLE>

<PAGE>


<TABLE>
<CAPTION>
            FORM 13F             NAME OF REPORTING MANAGER: LEGG MASON WOOD WALKER (IMS)                     Run Date: 04/13/2000
                                                            FOR POSITIONS HELD AS OF 03/31/2000              S.E.C. Use Only

                        Item 1:            Item 2:           Item 3:         Item 4:            Item 5:
                    Name of Issuer      Title of Class    CUSIP Number  Fair Market Value      Shares or
                                                                           (X $1000)         Principal Amt.

- ------------------------------------------------------------------------------------------------------------
<S>                                      <C>                 <C>                    <C>             <C>
Susquehanna Bancshares Inc.              Common Stock        869099101            513            37,152
Superior Telecom, Inc.                   Common Stock        868365107              7               515
Superior Tr I Pfd Cv 8.50%               PreferdStk Conv     86836P202             17               555
Sunwood Corp.                            Common Stock        86787K103              0                66
Seven Eleven Japan Ltd                   ADR                 817828205              5                40
Silicon Valley Group, Inc.               Common Stock        827066101            815            29,640
Servicemaster Co                         Common Stock        81760N109            278            24,687
Spectra Vision Inc. Cl B                 Common Stock        847607108              0             9,950
724 Solutions Inc                        Foreign Stock       81788Q100             26               209
Sovereign Chemical & Pete Products Inc   Common Stock        846036101              0             1,000
Silverleaf Resorts Inc.                  Common Stock        828395103              1               200
Sovereign Bancorp Inc.                   Common Stock        845905108          1,369           180,997
Seven Seas Petroleum Corp.               Common Stock        817917107              5             2,500
Service Sys Intl Ltd                     Common Stock        81760P104              5             7,000
Savoir Technology Group Inc              Common Stock        80533W107              4               500
Supervalue Inc.                          Common Stock        868536103          1,153            60,908
Savvis Communications Corp               Common Stock        805423100             28             1,600
Switchboard Inc                          Common Stock        871045100             58             1,700
Southwest Bancorporation of Texas Inc.   Common Stock        84476R109            440            22,613
Swift Transportation Co Inc.             Common Stock        870756103            159             7,755
Stanley Works                            Common Stock        854616109            121             4,590
Schweitzer-Mauduit Intl                  Common Stock        808541106              2               170
Swepco Cap I                             PFD QTR 30/360      870695202             42             1,900
Swire Pacific Ltd Sponsored ADR          ADR                 870794302          3,874           750,416
Swiss Chalet Inc.                        Common Stock        870853108              3               400
Southwest Securities Group Inc.          Common Stock        845224104            823            18,949
Southwest Gas Corp.                      Common Stock        844895102             22             1,165
Safeway Inc.                             Common Stock        786514208          7,880           174,148
Standex Intl Corp.                       Common Stock        854231107              1                50
Sybron International Corp. Wis           Common Stock        87114F106          2,112            72,830
Synsorb Biotech Inc                      Foreign Stock       87160V104              7             1,300
Synthetic Blood Intl Inc                 Common Stock        87162Q103             16            10,000
Sybase Inc.                              Common Stock        871130100            165             8,110
Synagro Technologies Inc New             Common Stock        871562203              2               400
Stryker Corp.                            Common Stock        863667101          1,163            16,675
Sykes Enterprises Inc.                   Common Stock        871237103             19             1,000
Sylvan Incorporated                      Common Stock        871371100              0                27
Syms Corp                                Common Stock        871551107              1               200
Symantec Corp.                           Common Stock        871503108          3,651            48,599
Syntroleum Corp                          Common Stock        871630109             19               800
Syquest Technology Inc.                  Common Stock        871660106              0            23,700
Systemsoft Corp.                         Common Stock        871926101              0            10,900
Sysco Corp.                              Common Stock        871829107          1,004            28,131
Suiza Foods Corp.                        Common Stock        865077101            783            19,465
Suiza Cap Tr II Pfd Tr Cv Secs           PreferdStk Conv     86507G408             11               330
AT & T Corp.                             Common Stock        001957109         35,244           626,560
Transport Hldgs Inc                      Foreign Stock       893855106              0                 1
Taylor Capital Group Inc. Perp Pfd Ser   PFD QTR 30/360      876851205            116             6,750
Timecast Corp                            Common Stock        887324101              0             3,999
Talisman Energy Inc. 9% Pfd              PFD QTR 30/360      87425E400             17               800
Transtar Communications                  Common Stock        89388M999              0                18
Trakit Corp                              Common Stock        892888108              0                17
Talbot Bancshares Inc. New               Common Stock        874124100            261             6,070
Taco Cabana Inc.orporation Cl A          Common Stock        873425102              4               750
A Consulting Team Inc                    Common Stock        000881102              5               500
Talk.Com Inc.                            Common Stock        874264104          1,836           114,756
Ivp Technology Corp                      Common Stock        45070Q300             33            25,000

                        Item 1:                     Item 6:                Item 7:              Item 8:
                    Name of Issuer            Investment Discretion         Other        Voting Authority (Shares)
                                        (a) Sole (b)Shared as (c)Shared    Managers   (a) Sole  (b) Shared  (c) None
                                                      Def        Other
- -------------------------------------------------------------------------------------------------------------------
Susquehanna Bancshares Inc.                           X                                   0         37,152      0
Superior Telecom, Inc.                                X                                   0            515      0
Superior Tr I Pfd Cv 8.50%                            X                                   0            555      0
Sunwood Corp.                                         X                                   0             66      0
Seven Eleven Japan Ltd                                X                                   0             40      0
Silicon Valley Group, Inc.                            X                                   0         29,640      0
Servicemaster Co                                      X                                   0         24,687      0
Spectra Vision Inc. Cl B                              X                                   0          9,950      0
724 Solutions Inc                                     X                                   0            209      0
Sovereign Chemical & Pete Products Inc                X                                   0          1,000      0
Silverleaf Resorts Inc.                               X                                   0            200      0
Sovereign Bancorp Inc.                                X                                   0        180,997      0
Seven Seas Petroleum Corp.                            X                                   0          2,500      0
Service Sys Intl Ltd                                  X                                   0          7,000      0
Savoir Technology Group Inc                           X                                   0            500      0
Supervalue Inc.                                       X                                   0         60,908      0
Savvis Communications Corp                            X                                   0          1,600      0
Switchboard Inc                                       X                                   0          1,700      0
Southwest Bancorporation of Texas Inc.                X                                   0         22,613      0
Swift Transportation Co Inc.                          X                                   0          7,755      0
Stanley Works                                         X                                   0          4,590      0
Schweitzer-Mauduit Intl                               X                                   0            170      0
Swepco Cap I                                          X                                   0          1,900      0
Swire Pacific Ltd Sponsored ADR                       X                                   0        750,416      0
Swiss Chalet Inc.                                     X                                   0            400      0
Southwest Securities Group Inc.                       X                                   0         18,949      0
Southwest Gas Corp.                                   X                                   0          1,165      0
Safeway Inc.                                          X                                   0        174,148      0
Standex Intl Corp.                                    X                                   0             50      0
Sybron International Corp. Wis                        X                                   0         72,830      0
Synsorb Biotech Inc                                   X                                   0          1,300      0
Synthetic Blood Intl Inc                              X                                   0         10,000      0
Sybase Inc.                                           X                                   0          8,110      0
Synagro Technologies Inc New                          X                                   0            400      0
Stryker Corp.                                         X                                   0         16,675      0
Sykes Enterprises Inc.                                X                                   0          1,000      0
Sylvan Incorporated                                   X                                   0             27      0
Syms Corp                                             X                                   0            200      0
Symantec Corp.                                        X                                   0         48,599      0
Syntroleum Corp                                       X                                   0            800      0
Syquest Technology Inc.                               X                                   0         23,700      0
Systemsoft Corp.                                      X                                   0         10,900      0
Sysco Corp.                                           X                                   0         28,131      0
Suiza Foods Corp.                                     X                                   0         19,465      0
Suiza Cap Tr II Pfd Tr Cv Secs                        X                                   0            330      0
AT & T Corp.                                          X                                   0        626,560      0
Transport Hldgs Inc                                   X                                   0              1      0
Taylor Capital Group Inc. Perp Pfd Ser                X                                   0          6,750      0
Timecast Corp                                         X                                   0          3,999      0
Talisman Energy Inc. 9% Pfd                           X                                   0            800      0
Transtar Communications                               X                                   0             18      0
Trakit Corp                                           X                                   0             17      0
Talbot Bancshares Inc. New                            X                                   0          6,070      0
Taco Cabana Inc.orporation Cl A                       X                                   0            750      0
A Consulting Team Inc                                 X                                   0            500      0
Talk.Com Inc.                                         X                                   0        114,756      0
Ivp Technology Corp                                   X                                   0         25,000      0
</TABLE>

<PAGE>


<TABLE>
<CAPTION>
            FORM 13F             NAME OF REPORTING MANAGER: LEGG MASON WOOD WALKER (IMS)                     Run Date: 04/13/2000
                                                            FOR POSITIONS HELD AS OF 03/31/2000              S.E.C. Use Only

                        Item 1:            Item 2:           Item 3:         Item 4:            Item 5:
                    Name of Issuer      Title of Class    CUSIP Number  Fair Market Value      Shares or
                                                                           (X $1000)         Principal Amt.

- ------------------------------------------------------------------------------------------------------------
<S>                                      <C>                 <C>                    <C>             <C>
Tal Wireless Networks Inc.               Common Stock        872163100              3            11,534
Tubos De Acero De Mexico S A             ADR                 898592506            147             8,950
Tandy Corp.                              Common Stock        875382103          1,101            21,690
Tanning Technology Corp                  Common Stock        87588P101             80             1,850
Travelers Property Casualty              Common Stock        893939108            612            14,835
Travelers P&C Capital I 8.08%            PFD QTR 30/360      893931204            273            11,780
Tapistron Intl Inc.                      Common Stock        876038100              0               800
Telefonica de Argentina S.A.             ADR                 879378206            474            12,070
Tate & Lyle PLC ADRS                     ADR                 876570607            930            66,145
Taylor S Cos Inc                         Common Stock        876867102              0               100
Tacoma Boat Building Co. New             Common Stock        873452304              0                50
Tasty Baking Co.                         Common Stock        876553306             66             6,132
T B C Corp.                              Common Stock        872180104             41             8,000
Telebanc Capital Trust II Cum Pfd 9.00   PFD QTR 30/360      87925Y203            653            34,350
Telecominicaoes Brasileiras SA ADR       ADR                 879287308          6,181            41,295
Tuboscope Inc                            Common Stock        898600101             17             1,000
Timberland Co                            Common Stock        887100105          1,185            23,230
Toppers Brick Oven Pizza Inc             Common Stock        890781107              0               485
Telebras - Spon ADR                      ADR                 879287100              0             3,457
TCF Financial Corp.                      Common Stock        872275102             71             2,988
Tarpon Coast Bancorp Inc                 Common Stock        876217100              9             1,000
Childrens Beverage Group Inc             Common Stock        168904100              1             1,500
Trammell Crow Co                         Common Stock        89288R106             69             6,255
Consolidated Companies                   Common Stock        208915108              0               200
Transcontinental Rlty Invs               Common Stock        893617209              1               118
F A Tucker Group Inc                     Common Stock        302396106              0             1,400
Transcanada Cap                          PFD QTR 30/360      893525204              9               400
Techniclone International                Common Stock        878517309            163            25,745
Tecnomatix                               Common Stock        M8743P105              2                50
Taubman Centers, Inc.                    Common Stock        876664103             28             2,500
Telesp Celular Participa- ADR            ADR                 87952L108             62             1,101
Cornerstone Realty Income                Common Stock        21922V102              0                 1
Telecentro Sul Participa - ADR           ADR                 879239101            243             3,000
The Town and Country Trust               Common Stock        892081100            279            16,677
Toronto Dominion Bank                    Common Stock        891160509             48             1,780
3D Labs Inc. Ltd                         Common Stock        G8846W103              7             1,000
Templeton Developing Markets Adv         MutualFdEqClose     88018T101            124            13,854
TDK Corp. - Spon ADR                     ADR                 872351408            523             3,975
Teardrop Golf Co                         Common Stock        878190107              2             1,000
Telephone & Data Systems, Inc.           Common Stock        879433100            772             6,958
3D Systems Corp. New                     Common Stock        88554D205             27             2,640
TDS Capital I-8.50% Trust Originated     PFD QTR 30/360      87235W202             11               500
TDS Capital II 8.04% Trust Org PFD       PFD QTR 30/360      87235R203             74             3,700
TCW/DW Term Trust 2000 Shs               Common Stock        87234V106             19             2,000
Tidewater Inc.                           Common Stock        886423102          1,839            57,794
Teledyne Technologies Inc                Common Stock        879360105              8               484
Teco Energy Inc.                         Common Stock        872375100            568            29,209
Templeton Emerging Markets               Common Stock        880190103             87             8,250
Commercial Intertech Corp.               Common Stock        201709102             53             2,700
Tech Data Corp.                          Common Stock        878237106          1,065            32,405
Techne Corp.                             Common Stock        878377100              7               100
Tecumseh Producs CO CL A                 Common Stock        878895200          1,147            26,070
Tecumseh Products Co-CL B                Common Stock        878895101             12               290
Toledo Edison Co                         Preferred Stock     889175774             20               800
Toledo Edison Co 4.56% Pfd               PFD QTR 30/360      889175402             15               350
Toledo Edison Co                         PFD QTR 30/360      889175709             10               100
Toledo Edison Co. - 4.25% Pfd            PFD QTR 30/360      889175303             32               750

                        Item 1:                      Item 6:                Item 7:              Item 8:
                    Name of Issuer             Investment Discretion         Other        Voting Authority (Shares)
                                         (a) Sole (b)Shared as (c)Shared    Managers   (a) Sole  (b) Shared  (c) None
                                                       Def        Other
- --------------------------------------------------------------------------------------------------------------------
Tal Wireless Networks Inc.                             X                                   0         11,534      0
Tubos De Acero De Mexico S A                           X                                   0          8,950      0
Tandy Corp.                                            X                                   0         21,690      0
Tanning Technology Corp                                X                                   0          1,850      0
Travelers Property Casualty                            X                                   0         14,835      0
Travelers P&C Capital I 8.08%                          X                                   0         11,780      0
Tapistron Intl Inc.                                    X                                   0            800      0
Telefonica de Argentina S.A.                           X                                   0         12,070      0
Tate & Lyle PLC ADRS                                   X                                   0         66,145      0
Taylor S Cos Inc                                       X                                   0            100      0
Tacoma Boat Building Co. New                           X                                   0             50      0
Tasty Baking Co.                                       X                                   0          6,132      0
T B C Corp.                                            X                                   0          8,000      0
Telebanc Capital Trust II Cum Pfd 9.00                 X                                   0         34,350      0
Telecominicaoes Brasileiras SA ADR                     X                                   0         41,295      0
Tuboscope Inc                                          X                                   0          1,000      0
Timberland Co                                          X                                   0         23,230      0
Toppers Brick Oven Pizza Inc                           X                                   0            485      0
Telebras - Spon ADR                                    X                                   0          3,457      0
TCF Financial Corp.                                    X                                   0          2,988      0
Tarpon Coast Bancorp Inc                               X                                   0          1,000      0
Childrens Beverage Group Inc                           X                                   0          1,500      0
Trammell Crow Co                                       X                                   0          6,255      0
Consolidated Companies                                 X                                   0            200      0
Transcontinental Rlty Invs                             X                                   0            118      0
F A Tucker Group Inc                                   X                                   0          1,400      0
Transcanada Cap                                        X                                   0            400      0
Techniclone International                              X                                   0         25,745      0
Tecnomatix                                             X                                   0             50      0
Taubman Centers, Inc.                                  X                                   0          2,500      0
Telesp Celular Participa- ADR                          X                                   0          1,101      0
Cornerstone Realty Income                              X                                   0              1      0
Telecentro Sul Participa - ADR                         X                                   0          3,000      0
The Town and Country Trust                             X                                   0         16,677      0
Toronto Dominion Bank                                  X                                   0          1,780      0
3D Labs Inc. Ltd                                       X                                   0          1,000      0
Templeton Developing Markets Adv                       X                                   0         13,854      0
TDK Corp. - Spon ADR                                   X                                   0          3,975      0
Teardrop Golf Co                                       X                                   0          1,000      0
Telephone & Data Systems, Inc.                         X                                   0          6,958      0
3D Systems Corp. New                                   X                                   0          2,640      0
TDS Capital I-8.50% Trust Originated                   X                                   0            500      0
TDS Capital II 8.04% Trust Org PFD                     X                                   0          3,700      0
TCW/DW Term Trust 2000 Shs                             X                                   0          2,000      0
Tidewater Inc.                                         X                                   0         57,794      0
Teledyne Technologies Inc                              X                                   0            484      0
Teco Energy Inc.                                       X                                   0         29,209      0
Templeton Emerging Markets                             X                                   0          8,250      0
Commercial Intertech Corp.                             X                                   0          2,700      0
Tech Data Corp.                                        X                                   0         32,405      0
Techne Corp.                                           X                                   0            100      0
Tecumseh Producs CO CL A                               X                                   0         26,070      0
Tecumseh Products Co-CL B                              X                                   0            290      0
Toledo Edison Co                                       X                                   0            800      0
Toledo Edison Co 4.56% Pfd                             X                                   0            350      0
Toledo Edison Co                                       X                                   0            100      0
Toledo Edison Co. - 4.25% Pfd                          X                                   0            750      0
</TABLE>

<PAGE>


<TABLE>
<CAPTION>
            FORM 13F             NAME OF REPORTING MANAGER: LEGG MASON WOOD WALKER (IMS)                     Run Date: 04/13/2000
                                                            FOR POSITIONS HELD AS OF 03/31/2000              S.E.C. Use Only

                        Item 1:            Item 2:           Item 3:         Item 4:            Item 5:
                    Name of Issuer      Title of Class    CUSIP Number  Fair Market Value      Shares or
                                                                           (X $1000)         Principal Amt.

- ------------------------------------------------------------------------------------------------------------
<S>                                      <C>                 <C>                    <C>             <C>
National Golf Properties Inc.            Common Stock        63623G109            354            16,800
Telefonica De Espana SA Spons ADR        ADR                 879382208          1,362            18,252
Templeton Growth C                       MutualFdFiClose     880192109            747            78,636
Tektronix Inc.                           Common Stock        879131100            189             3,370
Teknowledge Corp New                     Common Stock        878919208              0                19
Tenneco Automotive Inc                   Common Stock        880349105             56             7,054
Tennessee Valley Authority QIDS Ser A    PFD QTR 30/360      880591102            179             7,290
Tensleep Com Inc                         Common Stock        880742101             31             8,500
Tee Comm Electrs Inc                     Foreign Stock       87900H100              0               500
Telecom Argentina Sa Adr 1 Adr Reps 10   ADR                 879273209          3,945           113,530
Teradyne Inc.                            Common Stock        880770102          2,590            31,484
Tera Computer                            Common Stock        88076P108             16             2,500
Terayon Communication Systems            Common Stock        880775101            803             3,918
Tangram Enterprise Solutions Inc.        Common Stock        875924102              9             1,000
Tesco Corp                               Foreign Stock       88157K101             18             2,500
Tessco Technologies, Inc.                Common Stock        872386107              5               250
Teva Pharmaceutical-SP ADR               ADR                 881624209            958            25,662
Terex Corp.                              Common Stock        880779103            559            38,888
Titan Exploration, Inc.                  Common Stock        888289105              0                98
Morgan Stanley Municipal Income Trust    Common Stock        61745P486             20             2,415
TCI Communic Financing I 8.72% PFD       PFD QTR 30/360      872285200            334            13,665
TCI Communications Fing IV 9.72% PFD T   PFD QTR 30/360      87228U205            101             3,920
TCI Communications Financing II 10% PF   PFD QTR 30/360      872286208             65             2,533
Telefonica De Argentina SA CL B ORD      Foreign Stock       P90325104             12             3,000
Telefonos De Mexico S.A.                 ADR                 879403400             10             3,000
Three Five Systems Inc.                  Common Stock        88554L108          1,131            18,853
24/7 Media Inc                           Common Stock        901314104             29               740
Teleflex Inc.                            Common Stock        879369106         11,070           311,825
Tredegar Industries                      Common Stock        894650100             57             2,100
Targeted Genetics Corp                   Common Stock        87612M108             12               900
Templeton Global Governments             Common Stock        879929107            194            33,400
Trigon Healthcare Inc.                   Common Stock        89618L100            143             4,013
Triumph Group Inc.                       Common Stock        896818101             39             1,350
Triad Guaranty Inc.                      Common Stock        895925105             33             1,600
Thomas Group Inc.                        Common Stock        884402108             14             1,200
Theglobe.Com Inc.                        Common Stock        88335R101              6             1,000
Teligent Inc. Cl A                       Common Stock        87959Y103            230             3,446
Teleglobe Inc                            Common Stock        87941V100             61             2,228
Georgia Pacific Corp. (Timber Group)     Common Stock        373298702             39             1,512
Transportadora Gas Sur - Sponsored ADR   ADR                 893870204             28             3,300
Target Corp                              Common Stock        87612E106          5,283            70,669
Tenet Healthcare Corp.                   Common Stock        88033G100            906            39,412
3do Co                                   Common Stock        88553W105             20             2,100
Translation Group Ltd                    Common Stock        893745109              4               578
Thermo Instrument Systems Inc.           Common Stock        883559106              2               100
Thoratec Labs Corp                       Common Stock        885175307             17             1,300
THQ Inc.                                 Common Stock        872443403            199            11,150
Theragenics Corp.                        Common Stock        883375107            365            27,285
Todhunter Intl Inc                       Common Stock        889050100              6               800
Thistle Group Holdings Co                Common Stock        88431E103             10             1,670
Tag Heuer International SA Sponsored     ADR                 873773105             23             1,775
Houston Exploration Company              Common Stock        442120101              5               300
Telecom Italia Spa Spon ADR              ADR                 87927W106          4,001            26,324
Tibco Software Inc                       Common Stock        88632Q103            122             1,500
Tice Technology Inc.                     Common Stock        886337104              0               125
Wts Tice Technology Inc.                 Common Stock        886337112              0               400
Tiffany & Co New                         Common Stock        886547108            895            10,706

                        Item 1:                      Item 6:                Item 7:              Item 8:
                    Name of Issuer             Investment Discretion         Other        Voting Authority (Shares)
                                         (a) Sole (b)Shared as (c)Shared    Managers   (a) Sole  (b) Shared  (c) None
                                                       Def        Other
- --------------------------------------------------------------------------------------------------------------------
National Golf Properties Inc.                          X                                   0         16,800      0
Telefonica De Espana SA Spons ADR                      X                                   0         18,252      0
Templeton Growth C                                     X                                   0         78,636      0
Tektronix Inc.                                         X                                   0          3,370      0
Teknowledge Corp New                                   X                                   0             19      0
Tenneco Automotive Inc                                 X                                   0          7,054      0
Tennessee Valley Authority QIDS Ser A                  X                                   0          7,290      0
Tensleep Com Inc                                       X                                   0          8,500      0
Tee Comm Electrs Inc                                   X                                   0            500      0
Telecom Argentina Sa Adr 1 Adr Reps 10                 X                                   0        113,530      0
Teradyne Inc.                                          X                                   0         31,484      0
Tera Computer                                          X                                   0          2,500      0
Terayon Communication Systems                          X                                   0          3,918      0
Tangram Enterprise Solutions Inc.                      X                                   0          1,000      0
Tesco Corp                                             X                                   0          2,500      0
Tessco Technologies, Inc.                              X                                   0            250      0
Teva Pharmaceutical-SP ADR                             X                                   0         25,662      0
Terex Corp.                                            X                                   0         38,888      0
Titan Exploration, Inc.                                X                                   0             98      0
Morgan Stanley Municipal Income Trust                  X                                   0          2,415      0
TCI Communic Financing I 8.72% PFD                     X                                   0         13,665      0
TCI Communications Fing IV 9.72% PFD T                 X                                   0          3,920      0
TCI Communications Financing II 10% PF                 X                                   0          2,533      0
Telefonica De Argentina SA CL B ORD                    X                                   0          3,000      0
Telefonos De Mexico S.A.                               X                                   0          3,000      0
Three Five Systems Inc.                                X                                   0         18,853      0
24/7 Media Inc                                         X                                   0            740      0
Teleflex Inc.                                          X                                   0        311,825      0
Tredegar Industries                                    X                                   0          2,100      0
Targeted Genetics Corp                                 X                                   0            900      0
Templeton Global Governments                           X                                   0         33,400      0
Trigon Healthcare Inc.                                 X                                   0          4,013      0
Triumph Group Inc.                                     X                                   0          1,350      0
Triad Guaranty Inc.                                    X                                   0          1,600      0
Thomas Group Inc.                                      X                                   0          1,200      0
Theglobe.Com Inc.                                      X                                   0          1,000      0
Teligent Inc. Cl A                                     X                                   0          3,446      0
Teleglobe Inc                                          X                                   0          2,228      0
Georgia Pacific Corp. (Timber Group)                   X                                   0          1,512      0
Transportadora Gas Sur - Sponsored ADR                 X                                   0          3,300      0
Target Corp                                            X                                   0         70,669      0
Tenet Healthcare Corp.                                 X                                   0         39,412      0
3do Co                                                 X                                   0          2,100      0
Translation Group Ltd                                  X                                   0            578      0
Thermo Instrument Systems Inc.                         X                                   0            100      0
Thoratec Labs Corp                                     X                                   0          1,300      0
THQ Inc.                                               X                                   0         11,150      0
Theragenics Corp.                                      X                                   0         27,285      0
Todhunter Intl Inc                                     X                                   0            800      0
Thistle Group Holdings Co                              X                                   0          1,670      0
Tag Heuer International SA Sponsored                   X                                   0          1,775      0
Houston Exploration Company                            X                                   0            300      0
Telecom Italia Spa Spon ADR                            X                                   0         26,324      0
Tibco Software Inc                                     X                                   0          1,500      0
Tice Technology Inc.                                   X                                   0            125      0
Wts Tice Technology Inc.                               X                                   0            400      0
Tiffany & Co New                                       X                                   0         10,706      0
</TABLE>

<PAGE>


<TABLE>
<CAPTION>
            FORM 13F             NAME OF REPORTING MANAGER: LEGG MASON WOOD WALKER (IMS)                     Run Date: 04/13/2000
                                                            FOR POSITIONS HELD AS OF 03/31/2000              S.E.C. Use Only

                        Item 1:            Item 2:           Item 3:         Item 4:            Item 5:
                    Name of Issuer      Title of Class    CUSIP Number  Fair Market Value      Shares or
                                                                           (X $1000)         Principal Amt.

- ------------------------------------------------------------------------------------------------------------
<S>                                      <C>                 <C>                    <C>             <C>
TII Industries Inc.                      Common Stock        872479209              4             2,000
Titanium Metals Corp.                    Common Stock        888339108             28             6,430
Temple Inland Inc.                       Common Stock        879868107             24               485
Tianrong Internet Prods & Svcs Inc.      Common Stock        886307107             11             6,250
Tivo Inc                                 Common Stock        888706108             23               650
TJX Companies Inc.                       Common Stock        872540109          1,197            53,967
Teekay Shipping Corp.                    Foreign Stock       Y8564W103              8               280
Tokio Marine & Fire Ins Ltd              ADR                 889090403          4,945            94,305
Tekelec                                  Common Stock        879101103            401            10,800
Timken Co                                Common Stock        887389104            148             9,100
Tomkins PLC Sponsored ADR                ADR                 890030208          2,277           171,885
Tellabs Inc.                             Common Stock        879664100          9,299           147,642
Talbots Inc.                             Common Stock        874161102              6               100
Telocity Inc                             Common Stock        87971D103              1                75
TLC The Laser Center Inc                 Common Stock        87255E108              9               900
Tele Danmark A/S Spons ADS Rep           ADR                 879242105            569            12,254
Tilden Associates Inc                    Common Stock        886749209              3            10,000
Tollgrade Communications Inc             Common Stock        889542106             27               500
Perusahaan Perseroan PT Telekomunkasi    ADR                 715684106              0                40
Tellus Industries Inc                    Common Stock        879681203              0             2,000
Talisman Energy Inc                      Common Stock        87425E103              9               325
Telenetics Corp                          Common Stock        87943P408              6             1,000
Telespectrum Worldwide Inc.              Common Stock        87951U109             45             6,393
Trim A Lawn Corp                         Common Stock        896206307              6            20,000
Telxon Corp.                             Common Stock        879700102             14               800
Telaxis Communications Corp              Common Stock        879202109            377             6,275
Today's Man Inc.                         Common Stock        888910205              9            12,750
Trico Marine Services Inc.               Common Stock        896106101             20             2,300
Timberline Software Corp.                Common Stock        887134104             39             4,444
Times Mirror Co Cl A New                 Common Stock        887364107            120             1,294
Ticketmaster Online-City Search Inc.     Common Stock        88633P203              5               200
Torchmark Corp.                          Common Stock        891027104             14               600
TMM Inc New                              Common Stock        87258Q108             25            45,000
Thermo Electron Corp.                    Common Stock        883556102            199             9,787
TMP Worldwide Inc.                       Common Stock        872941109            916            11,785
TCW/DW Term Trust 2003 Shs Of            Common Stock        87234U108             22             2,501
Tumbleweed Communications Corp           Common Stock        899690101             88               750
Telefonos De Mexico SA Spons ADR         ADR                 879403780          8,242           123,012
Thermatrix Inc                           Common Stock        883550105              1               400
Tenaga Nasional BHD - Spons ADR          ADR                 880277108              4               300
Thomas & Betts Corp.                     Common Stock        884315102             95             3,350
Tanknology-Nde Intl Inc                  Common Stock        87583E101              0               100
Telenorte Leste Participacoes ADR        ADR                 879246106              9               350
North Face Inc                           Common Stock        659317101             17             4,500
Terra Nitrogen Co LP                     Common Stock        881005201              1               200
Technitrol Inc.                          Common Stock        878555101            125             2,150
True North Communications Inc.           Common Stock        897844106            136             3,465
Tnp Enterprises Inc.                     Common Stock        872594106            710            16,200
Tianrong Building Material Holdings      Common Stock        886305101             26            51,000
Tanisys Technology Inc.                  Foreign Stock       875927105             24            17,900
Tengtu Intl Corp                         Common Stock        88033T102              3             1,300
Tofutti Brands Inc                       Common Stock        88906B105             60            15,000
Tokheim Corp.                            Common Stock        889073102             10             3,100
Tommy Hilfiger Corp.                     Common Stock        G8915Z102             73             5,010
Tomorrows Morning Inc                    Common Stock        890087109              1             6,000
Too Inc                                  Common Stock        890333107             28               880
Topps Inc.                               Common Stock        890786106              8             1,000

                        Item 1:                      Item 6:                Item 7:              Item 8:
                    Name of Issuer             Investment Discretion         Other        Voting Authority (Shares)
                                         (a) Sole (b)Shared as (c)Shared    Managers   (a) Sole  (b) Shared  (c) None
                                                       Def        Other
- --------------------------------------------------------------------------------------------------------------------
TII Industries Inc.                                    X                                   0          2,000      0
Titanium Metals Corp.                                  X                                   0          6,430      0
Temple Inland Inc.                                     X                                   0            485      0
Tianrong Internet Prods & Svcs Inc.                    X                                   0          6,250      0
Tivo Inc                                               X                                   0            650      0
TJX Companies Inc.                                     X                                   0         53,967      0
Teekay Shipping Corp.                                  X                                   0            280      0
Tokio Marine & Fire Ins Ltd                            X                                   0         94,305      0
Tekelec                                                X                                   0         10,800      0
Timken Co                                              X                                   0          9,100      0
Tomkins PLC Sponsored ADR                              X                                   0        171,885      0
Tellabs Inc.                                           X                                   0        147,642      0
Talbots Inc.                                           X                                   0            100      0
Telocity Inc                                           X                                   0             75      0
TLC The Laser Center Inc                               X                                   0            900      0
Tele Danmark A/S Spons ADS Rep                         X                                   0         12,254      0
Tilden Associates Inc                                  X                                   0         10,000      0
Tollgrade Communications Inc                           X                                   0            500      0
Perusahaan Perseroan PT Telekomunkasi                  X                                   0             40      0
Tellus Industries Inc                                  X                                   0          2,000      0
Talisman Energy Inc                                    X                                   0            325      0
Telenetics Corp                                        X                                   0          1,000      0
Telespectrum Worldwide Inc.                            X                                   0          6,393      0
Trim A Lawn Corp                                       X                                   0         20,000      0
Telxon Corp.                                           X                                   0            800      0
Telaxis Communications Corp                            X                                   0          6,275      0
Today's Man Inc.                                       X                                   0         12,750      0
Trico Marine Services Inc.                             X                                   0          2,300      0
Timberline Software Corp.                              X                                   0          4,444      0
Times Mirror Co Cl A New                               X                                   0          1,294      0
Ticketmaster Online-City Search Inc.                   X                                   0            200      0
Torchmark Corp.                                        X                                   0            600      0
TMM Inc New                                            X                                   0         45,000      0
Thermo Electron Corp.                                  X                                   0          9,787      0
TMP Worldwide Inc.                                     X                                   0         11,785      0
TCW/DW Term Trust 2003 Shs Of                          X                                   0          2,501      0
Tumbleweed Communications Corp                         X                                   0            750      0
Telefonos De Mexico SA Spons ADR                       X                                   0        123,012      0
Thermatrix Inc                                         X                                   0            400      0
Tenaga Nasional BHD - Spons ADR                        X                                   0            300      0
Thomas & Betts Corp.                                   X                                   0          3,350      0
Tanknology-Nde Intl Inc                                X                                   0            100      0
Telenorte Leste Participacoes ADR                      X                                   0            350      0
North Face Inc                                         X                                   0          4,500      0
Terra Nitrogen Co LP                                   X                                   0            200      0
Technitrol Inc.                                        X                                   0          2,150      0
True North Communications Inc.                         X                                   0          3,465      0
Tnp Enterprises Inc.                                   X                                   0         16,200      0
Tianrong Building Material Holdings                    X                                   0         51,000      0
Tanisys Technology Inc.                                X                                   0         17,900      0
Tengtu Intl Corp                                       X                                   0          1,300      0
Tofutti Brands Inc                                     X                                   0         15,000      0
Tokheim Corp.                                          X                                   0          3,100      0
Tommy Hilfiger Corp.                                   X                                   0          5,010      0
Tomorrows Morning Inc                                  X                                   0          6,000      0
Too Inc                                                X                                   0            880      0
Topps Inc.                                             X                                   0          1,000      0
</TABLE>

<PAGE>


<TABLE>
<CAPTION>
            FORM 13F             NAME OF REPORTING MANAGER: LEGG MASON WOOD WALKER (IMS)                     Run Date: 04/13/2000
                                                            FOR POSITIONS HELD AS OF 03/31/2000              S.E.C. Use Only

                        Item 1:            Item 2:           Item 3:         Item 4:            Item 5:
                    Name of Issuer      Title of Class    CUSIP Number  Fair Market Value      Shares or
                                                                           (X $1000)         Principal Amt.

- ------------------------------------------------------------------------------------------------------------
<S>                                      <C>                 <C>                    <C>             <C>
Tosco Corp. Com New                      Common Stock        891490302             57             1,857
Total SA Adr                             ADR                 89151E109          7,343            99,740
Total Research Corp                      Common Stock        891511107             53             8,800
Toups Technology Licensing Inc           Common Stock        89155A103             72            50,000
Toys 'R' Us Inc.                         Common Stock        892335100          3,718           251,019
Toyota Motor Co                          ADR                 892331307             21               200
Tons Of Toys Inc. Com New                Common Stock        890318207              0                 2
TNT Post Group N.V. - Spon ADR           ADR                 888742103              5               209
Triton Pcs Hldgs Inc                     Common Stock        89677M106             30               500
P T Tri Polyta Indonesia                 ADR                 69365B109              0               600
Tpi Enterprises Inc                      Common Stock        872623103              0               200
Texas Pacific Land Trust                 Common Stock        882610108             52             1,330
Teppco Partners L P Units  Rep Lim       LTD Part  P4        872384102            174             7,800
Tipperary Corp                           Common Stock        888002300             91            25,000
Triquint Semiconductor Incorporated      Common Stock        89674K103            462             6,286
Tootsie Roll Industries Inc.             Common Stock        890516107            343            10,875
Terra Industries, Inc.                   Common Stock        880915103              2             1,000
Track Data Corp.                         Common Stock        891918104            103            14,000
Tribune Co                               Common Stock        896047107            296             8,108
Texas Regional Bancshares Inc.           Common Stock        882673106            115             4,540
Tricord Systems Inc                      Common Stock        896121100             10             1,000
Tremont Corp. Del Com Par                Common Stock        894745207              1                70
Lendingtree Inc                          Common Stock        52602Q105             77             5,700
Trenwick Group Inc.                      Common Stock        895290104              2               150
Treasury Intl Inc                        Common Stock        894641109             16            32,000
Templeton Russia Fund Inc.               Common Stock        88022F105              4               200
Transatlantic Holdings, Inc.             Common Stock        893521104             94             1,100
Trinity Biotech PLC Sponsored ADR        ADR                 896438108              8             2,000
Trident Microsystems, Inc.               Common Stock        895919108              2               175
Triad Hospitals Inc.                     Common Stock        89579K109              1                89
Transcrypt International Inc.            Common Stock        89363A101              3               843
Speedway Motorsports Inc.                Common Stock        847788106             87             3,500
Total Renal Care Holdings Inc.           Common Stock        89151A107             11             3,670
Trimble Nav Ltd                          Common Stock        896239100             27             1,040
Trustmark Corp.                          Common Stock        898402102             81             4,000
Trimeris Inc                             Common Stock        896263100             50             1,000
Trinity Industries Inc.-del              Common Stock        896522109          1,827            77,120
Transnet Corporation                     Common Stock        893782102              1               300
Telecentro Oeste Celular Part - ADR      ADR                 87923P105             93             8,000
T. Rowe Price Assoc. Inc.                Common Stock        741477103          1,829            46,314
Troy Group Inc                           Common Stock        89733N106              3               100
Terra Networks S A                       ADR                 88100W103             63               800
T / R Sys Inc                            Common Stock        87263U102             11               500
Torch Energy Royalty Trust               Common Stock        891013104              1               200
T R W Inc.                               Common Stock        872649108          1,197            20,453
Triarc Companies Inc. Cl A               Common Stock        895927101              2                95
The Sports Authority Inc.                Common Stock        849176102              1               400
Transaction System Architects Inc. Cl    Common Stock        893416107            159             5,495
TCI Satellite Entertainment              Common Stock        872298104             22             1,154
Technology Solutions Co                  Common Stock        87872T108              1               100
Thestreet Com                            Common Stock        88368Q103              6               600
Tractor Supply Co.                       Common Stock        892356106            185             9,020
Telesudeste Celular Part- ADR            ADR                 879252104              1                20
Sabre Group Holdings Inc.                Common Stock        785905100            422            11,419
Teche Holding Co                         Common Stock        878330109              3               250
Teleservices Intl Group Inc              Common Stock        87952E104              9            29,900
Interactive Telesis Inc Com New          Foreign Stock       45838A209              6             2,000

                        Item 1:                      Item 6:                Item 7:              Item 8:
                    Name of Issuer             Investment Discretion         Other        Voting Authority (Shares)
                                         (a) Sole (b)Shared as (c)Shared    Managers   (a) Sole  (b) Shared  (c) None
                                                       Def        Other
- --------------------------------------------------------------------------------------------------------------------
Tosco Corp. Com New                                    X                                   0          1,857      0
Total SA Adr                                           X                                   0         99,740      0
Total Research Corp                                    X                                   0          8,800      0
Toups Technology Licensing Inc                         X                                   0         50,000      0
Toys 'R' Us Inc.                                       X                                   0        251,019      0
Toyota Motor Co                                        X                                   0            200      0
Tons Of Toys Inc. Com New                              X                                   0              2      0
TNT Post Group N.V. - Spon ADR                         X                                   0            209      0
Triton Pcs Hldgs Inc                                   X                                   0            500      0
P T Tri Polyta Indonesia                               X                                   0            600      0
Tpi Enterprises Inc                                    X                                   0            200      0
Texas Pacific Land Trust                               X                                   0          1,330      0
Teppco Partners L P Units  Rep Lim                     X                                   0          7,800      0
Tipperary Corp                                         X                                   0         25,000      0
Triquint Semiconductor Incorporated                    X                                   0          6,286      0
Tootsie Roll Industries Inc.                           X                                   0         10,875      0
Terra Industries, Inc.                                 X                                   0          1,000      0
Track Data Corp.                                       X                                   0         14,000      0
Tribune Co                                             X                                   0          8,108      0
Texas Regional Bancshares Inc.                         X                                   0          4,540      0
Tricord Systems Inc                                    X                                   0          1,000      0
Tremont Corp. Del Com Par                              X                                   0             70      0
Lendingtree Inc                                        X                                   0          5,700      0
Trenwick Group Inc.                                    X                                   0            150      0
Treasury Intl Inc                                      X                                   0         32,000      0
Templeton Russia Fund Inc.                             X                                   0            200      0
Transatlantic Holdings, Inc.                           X                                   0          1,100      0
Trinity Biotech PLC Sponsored ADR                      X                                   0          2,000      0
Trident Microsystems, Inc.                             X                                   0            175      0
Triad Hospitals Inc.                                   X                                   0             89      0
Transcrypt International Inc.                          X                                   0            843      0
Speedway Motorsports Inc.                              X                                   0          3,500      0
Total Renal Care Holdings Inc.                         X                                   0          3,670      0
Trimble Nav Ltd                                        X                                   0          1,040      0
Trustmark Corp.                                        X                                   0          4,000      0
Trimeris Inc                                           X                                   0          1,000      0
Trinity Industries Inc.-del                            X                                   0         77,120      0
Transnet Corporation                                   X                                   0            300      0
Telecentro Oeste Celular Part - ADR                    X                                   0          8,000      0
T. Rowe Price Assoc. Inc.                              X                                   0         46,314      0
Troy Group Inc                                         X                                   0            100      0
Terra Networks S A                                     X                                   0            800      0
T / R Sys Inc                                          X                                   0            500      0
Torch Energy Royalty Trust                             X                                   0            200      0
T R W Inc.                                             X                                   0         20,453      0
Triarc Companies Inc. Cl A                             X                                   0             95      0
The Sports Authority Inc.                              X                                   0            400      0
Transaction System Architects Inc. Cl                  X                                   0          5,495      0
TCI Satellite Entertainment                            X                                   0          1,154      0
Technology Solutions Co                                X                                   0            100      0
Thestreet Com                                          X                                   0            600      0
Tractor Supply Co.                                     X                                   0          9,020      0
Telesudeste Celular Part- ADR                          X                                   0             20      0
Sabre Group Holdings Inc.                              X                                   0         11,419      0
Teche Holding Co                                       X                                   0            250      0
Teleservices Intl Group Inc                            X                                   0         29,900      0
Interactive Telesis Inc Com New                        X                                   0          2,000      0
</TABLE>

<PAGE>


<TABLE>
<CAPTION>
            FORM 13F             NAME OF REPORTING MANAGER: LEGG MASON WOOD WALKER (IMS)                     Run Date: 04/13/2000
                                                            FOR POSITIONS HELD AS OF 03/31/2000              S.E.C. Use Only

                        Item 1:            Item 2:           Item 3:         Item 4:            Item 5:
                    Name of Issuer      Title of Class    CUSIP Number  Fair Market Value      Shares or
                                                                           (X $1000)         Principal Amt.

- ------------------------------------------------------------------------------------------------------------
<S>                                      <C>                 <C>                    <C>             <C>
Computer Task Group Inc.                 Common Stock        205477102              2               145
TSL Holdings Inc.                        Common Stock        872918107              0                 1
Taiwan Semiconductor Co. LTD Spons ADR   ADR                 874039100            133             2,328
Tyson Foods Inc.                         Common Stock        902494103              6               550
Tesoro Petroleum Corp.                   Common Stock        881609101              2               200
Tesoro Pete Corp                         PFD QTR 30/360      881609408             33             2,700
Telecomunicacoes De Sao Paulo            ADR                 87929A102            558            18,800
Telesphere Communications Inc            Common Stock        879908101              0             5,000
Total System Services Inc.               Common Stock        891906109             12               750
Tessa Complete Health Care Inc           Common Stock        881611107              1             1,000
Turnstone Systems Inc                    Common Stock        900423104              6                50
Transtechnology Corp                     Common Stock        893889105             10               793
Toro Co                                  Common Stock        891092108             10               350
Autotote Corp - CL A                     Common Stock        053323101            178            40,000
Teletech Holdings Inc                    Common Stock        879939106            235             6,800
Tritel Inc                               Common Stock        89675X104              6               150
Thai Fund Inc.                           MutualFdEqClose     882904105              2               400
Telecom Hldrs Tr                         Common Stock        87927P200             18               200
Titan Corp.                              Common Stock        888266103            468             9,174
Titan Corp. $1.00 Cum Cv Pfd             Preferred Stock     888266202             14               400
Titan Pharmaceuticals Inc Del            Common Stock        888314101              6               200
Ttr Technologies Inc                     Common Stock        87305U102              6             1,000
Thermo Tech Technologies Inc             Common Stock        88360H101             17            62,000
Tultex Corp.                             Common Stock        899900104              0             2,500
TXU Electric Company Dep Sh Repstg       PFD QTR 30/360      87316T755              0                 1
TXU Electric Cap I 8.25% Cum PFD         PFD QTR 30/360      87316P209             28             1,265
TXU Electric Capital III 8.00%  Cum PF   PFD QTR 30/360      87316Q207            117             5,490
Tupperware Corp.                         Common Stock        899896104            151             9,525
Iturf Inc                                Common Stock        46575Q100              3               320
Tuscarora Inc.                           Common Stock        900902107             13             1,040
Tro Learning Inc                         Common Stock        87263R109             24             2,000
Tut Systems                              Common Stock        901103101              6               100
Grupo Televisa, S.A. GDS                 ADR                 40049J206              8               120
Tennessee Valley Auth                    PFD QTR 30/360      880591409             16               800
Tennessee Valley Authority               Preferred Stock     880591201             61             2,600
Tennessee Valley Auth                    PFD QTR 30/360      880591300            107             4,970
Templeton Vietnam Opptys Fund            Common Stock        88022J107             55             6,723
TV Guide Inc - Cl A                      Common Stock        87307Q109             16               325
TVI Corp                                 Common Stock        872916101             63           359,000
Travelocity Com Inc                      Common Stock        893953109             43             1,450
TVX Gold Inc                             Common Stock        87308K101              8            10,300
Trans World Airlines                     Common Stock        893349837             17             7,500
Therma-wave Inc                          Common Stock        88343A108              3               100
Td Waterhouse Grp Inc                    Foreign Stock       872362108          1,845            73,807
Titan International Inc.                 Common Stock        88830M102             91            12,715
Twinlab Corp.                            Common Stock        901774109              4               594
Trans World Music Corp                   Common Stock        89336Q100            136            13,575
Taiwan Fund Inc.                         MutualFdEqClose     874036106            330            13,565
Tower Automotive Inc.                    Common Stock        891707101              8               500
Crown Castle Intl Corp                   Common Stock        228227104            752            19,850
Telewest Communications Plc              ADR                 87956P105              4                45
Time Warner Telecom Inc Cl A             Common Stock        887319101             25               310
Tweeter Home Entmt Group Inc             Common Stock        901167106            122             2,755
Time Warner Inc                          Common Stock        887315109         17,041           170,405
Time Warner Capital I-8.875% PFD Trust   PFD QTR 30/360      88731G204            117             4,880
Texaco Inc.                              Common Stock        881694103          7,634           142,360
Tribune Co New Sb Db Exch2%29            PreferdStk Conv     896047305              4                25

                        Item 1:                      Item 6:                Item 7:              Item 8:
                    Name of Issuer             Investment Discretion         Other        Voting Authority (Shares)
                                         (a) Sole (b)Shared as (c)Shared    Managers   (a) Sole  (b) Shared  (c) None
                                                       Def        Other
- --------------------------------------------------------------------------------------------------------------------
Computer Task Group Inc.                               X                                   0            145      0
TSL Holdings Inc.                                      X                                   0              1      0
Taiwan Semiconductor Co. LTD Spons ADR                 X                                   0          2,328      0
Tyson Foods Inc.                                       X                                   0            550      0
Tesoro Petroleum Corp.                                 X                                   0            200      0
Tesoro Pete Corp                                       X                                   0          2,700      0
Telecomunicacoes De Sao Paulo                          X                                   0         18,800      0
Telesphere Communications Inc                          X                                   0          5,000      0
Total System Services Inc.                             X                                   0            750      0
Tessa Complete Health Care Inc                         X                                   0          1,000      0
Turnstone Systems Inc                                  X                                   0             50      0
Transtechnology Corp                                   X                                   0            793      0
Toro Co                                                X                                   0            350      0
Autotote Corp - CL A                                   X                                   0         40,000      0
Teletech Holdings Inc                                  X                                   0          6,800      0
Tritel Inc                                             X                                   0            150      0
Thai Fund Inc.                                         X                                   0            400      0
Telecom Hldrs Tr                                       X                                   0            200      0
Titan Corp.                                            X                                   0          9,174      0
Titan Corp. $1.00 Cum Cv Pfd                           X                                   0            400      0
Titan Pharmaceuticals Inc Del                          X                                   0            200      0
Ttr Technologies Inc                                   X                                   0          1,000      0
Thermo Tech Technologies Inc                           X                                   0         62,000      0
Tultex Corp.                                           X                                   0          2,500      0
TXU Electric Company Dep Sh Repstg                     X                                   0              1      0
TXU Electric Cap I 8.25% Cum PFD                       X                                   0          1,265      0
TXU Electric Capital III 8.00%  Cum PF                 X                                   0          5,490      0
Tupperware Corp.                                       X                                   0          9,525      0
Iturf Inc                                              X                                   0            320      0
Tuscarora Inc.                                         X                                   0          1,040      0
Tro Learning Inc                                       X                                   0          2,000      0
Tut Systems                                            X                                   0            100      0
Grupo Televisa, S.A. GDS                               X                                   0            120      0
Tennessee Valley Auth                                  X                                   0            800      0
Tennessee Valley Authority                             X                                   0          2,600      0
Tennessee Valley Auth                                  X                                   0          4,970      0
Templeton Vietnam Opptys Fund                          X                                   0          6,723      0
TV Guide Inc - Cl A                                    X                                   0            325      0
TVI Corp                                               X                                   0        359,000      0
Travelocity Com Inc                                    X                                   0          1,450      0
TVX Gold Inc                                           X                                   0         10,300      0
Trans World Airlines                                   X                                   0          7,500      0
Therma-wave Inc                                        X                                   0            100      0
Td Waterhouse Grp Inc                                  X                                   0         73,807      0
Titan International Inc.                               X                                   0         12,715      0
Twinlab Corp.                                          X                                   0            594      0
Trans World Music Corp                                 X                                   0         13,575      0
Taiwan Fund Inc.                                       X                                   0         13,565      0
Tower Automotive Inc.                                  X                                   0            500      0
Crown Castle Intl Corp                                 X                                   0         19,850      0
Telewest Communications Plc                            X                                   0             45      0
Time Warner Telecom Inc Cl A                           X                                   0            310      0
Tweeter Home Entmt Group Inc                           X                                   0          2,755      0
Time Warner Inc                                        X                                   0        170,405      0
Time Warner Capital I-8.875% PFD Trust                 X                                   0          4,880      0
Texaco Inc.                                            X                                   0        142,360      0
Tribune Co New Sb Db Exch2%29                          X                                   0             25      0
</TABLE>

<PAGE>


<TABLE>
<CAPTION>
            FORM 13F             NAME OF REPORTING MANAGER: LEGG MASON WOOD WALKER (IMS)                     Run Date: 04/13/2000
                                                            FOR POSITIONS HELD AS OF 03/31/2000              S.E.C. Use Only

                        Item 1:            Item 2:           Item 3:         Item 4:            Item 5:
                    Name of Issuer      Title of Class    CUSIP Number  Fair Market Value      Shares or
                                                                           (X $1000)         Principal Amt.

- ------------------------------------------------------------------------------------------------------------
<S>                                      <C>                 <C>                    <C>             <C>
Texas Biotech Corp.                      Common Stock        88221T104             63             4,382
Texaco Capital LLC 6.875% Cum PFD Ser    PFDMthly 30/360     P9132Z107            303            14,500
Texaco Capital Llc 6.4% Adj Rt           PFDMthly 30/360     P9132Z115             44             2,500
Transwitch Corp.                         Common Stock        894065101            147             1,528
Totalaxcess Com Inc                      Common Stock        89151J207              2               799
Texas Industries Inc.                    Common Stock        882491103          1,479            47,525
Tirex Corp                               Common Stock        88823T106              3             5,000
Texas Instruments Inc.                   Common Stock        882508104         20,775           129,844
Textron Inc.                             Common Stock        883203101            489             8,027
Textron Capital I Trust Pfd              PFD QTR 30/360      883198202            135             6,100
Texas Utilities Co.                      Common Stock        882848104          1,045            35,199
Texas Utils Co                           PFD QTR 30/360      882848203              9               225
Tri-Continental                          MutualFdEqClose     895436103            197             7,745
Tri-continental Corp.                    Preferred Stock     895436202              7               200
Tyco International LTD                   Foreign Stock       902124106         24,887           498,994
Taylor Nelson Sofres PLC                 Common Stock        G8693M109            441           100,000
Taiyo Yuden Ltd                          ADR                 874047202            215               830
The Taiwan Equity Fund Inc               Common Stock        874031107            100             5,000
Tv Azteca S A De C V                     ADR                 901145102              4               300
Trizec Hahn Corp.                        Foreign Stock       896938107             36             2,375
US Air Group                             Common Stock        911905107            248             8,934
United Cable Television Corp             Common Stock        909695108              0                16
United Auto Group Inc.                   Common Stock        909440109              9             1,000
U A L Corp.                              Common Stock        902549500             42               708
UAL Corp. 12 1/4% Depository             Preferred Stock     902549708             33             1,000
Ual Corp Capital Tr 13.25                PFD QTR 30/360      90254Y208             11               400
United Asset Management Corp.            Common Stock        909420101            313            18,055
Usasurance Group Inc                     Common Stock        91729N108              1             2,000
Unionbancal Corp                         Common Stock        908906100             21               750
U.S. Bancorp Inc.                        Common Stock        917292104             89             7,925
U S Bancorp Cap Tr I 8.45% Gtd           PFD QTR 30/360      91729W207             86             4,480
Unibanco-Uniao De Barcos                 ADR                 90458E107             44             1,380
You Bet International Inc.               Common Stock        987413101             35             8,000
Union Bankshares Corp. VA                Common Stock        905399101             31             2,664
United Bankshares Inc. W Va              Common Stock        909907107            252            11,439
Auctionanything Com Inc.                 Common Stock        05068N107              3             8,500
United Companies Financial               Common Stock        909870107              0             2,900
United Companies Finl Corp Conv PFD      PreferdStk Conv     909870206              0               400
Unocal Corp.                             Common Stock        915289102          1,289            43,322
Unicom Corp.                             Common Stock        904911104            476            13,035
Unitedglobalcom                          Common Stock        913247508            322             4,290
Unicapital Corp                          Common Stock        90459D108             24            10,000
Ucar International Inc.                  Common Stock        90262K109              6               470
Utilicorp United Inc.                    Common Stock        918005109            963            53,339
Utilicorp Capital LP 8.875%              PFD QTR 30/360      91800E209             59             2,500
United Dominion Inds Ltd                 Common Stock        909914103             81             4,470
United Dominion Realty Trust             Common Stock        910197102            710            70,524
United Dominion Realty Trust             PFD QTR 30/360      910197300             42             2,300
United Dominion Realty Trust             Preferred Stock     910197201             25             1,300
Ultramar Diamond Shamrock Corp.          Common Stock        904000106              4               151
Union Elec Co                            PFD QTR 30/360      906548763              7               300
Union Electric Co 4.50$ PFD              PFD QTR 30/360      906548508             11               200
Unifab International Inc.                Common Stock        90467L100             25             3,100
Universal Foods Corp.                    Common Stock        913538104            135             6,320
Ultrafem Inc.                            Common Stock        903896108              0               100
Unifi Inc.                               Common Stock        904677101             13             1,455
U.S. Foodservice                         Common Stock        90331R101            189             7,340

                        Item 1:                      Item 6:                Item 7:              Item 8:
                    Name of Issuer             Investment Discretion         Other        Voting Authority (Shares)
                                         (a) Sole (b)Shared as (c)Shared    Managers   (a) Sole  (b) Shared  (c) None
                                                       Def        Other
- --------------------------------------------------------------------------------------------------------------------
Texas Biotech Corp.                                    X                                   0          4,382      0
Texaco Capital LLC 6.875% Cum PFD Ser                  X                                   0         14,500      0
Texaco Capital Llc 6.4% Adj Rt                         X                                   0          2,500      0
Transwitch Corp.                                       X                                   0          1,528      0
Totalaxcess Com Inc                                    X                                   0            799      0
Texas Industries Inc.                                  X                                   0         47,525      0
Tirex Corp                                             X                                   0          5,000      0
Texas Instruments Inc.                                 X                                   0        129,844      0
Textron Inc.                                           X                                   0          8,027      0
Textron Capital I Trust Pfd                            X                                   0          6,100      0
Texas Utilities Co.                                    X                                   0         35,199      0
Texas Utils Co                                         X                                   0            225      0
Tri-Continental                                        X                                   0          7,745      0
Tri-continental Corp.                                  X                                   0            200      0
Tyco International LTD                                 X                                   0        498,994      0
Taylor Nelson Sofres PLC                               X                                   0        100,000      0
Taiyo Yuden Ltd                                        X                                   0            830      0
The Taiwan Equity Fund Inc                             X                                   0          5,000      0
Tv Azteca S A De C V                                   X                                   0            300      0
Trizec Hahn Corp.                                      X                                   0          2,375      0
US Air Group                                           X                                   0          8,934      0
United Cable Television Corp                           X                                   0             16      0
United Auto Group Inc.                                 X                                   0          1,000      0
U A L Corp.                                            X                                   0            708      0
UAL Corp. 12 1/4% Depository                           X                                   0          1,000      0
Ual Corp Capital Tr 13.25                              X                                   0            400      0
United Asset Management Corp.                          X                                   0         18,055      0
Usasurance Group Inc                                   X                                   0          2,000      0
Unionbancal Corp                                       X                                   0            750      0
U.S. Bancorp Inc.                                      X                                   0          7,925      0
U S Bancorp Cap Tr I 8.45% Gtd                         X                                   0          4,480      0
Unibanco-Uniao De Barcos                               X                                   0          1,380      0
You Bet International Inc.                             X                                   0          8,000      0
Union Bankshares Corp. VA                              X                                   0          2,664      0
United Bankshares Inc. W Va                            X                                   0         11,439      0
Auctionanything Com Inc.                               X                                   0          8,500      0
United Companies Financial                             X                                   0          2,900      0
United Companies Finl Corp Conv PFD                    X                                   0            400      0
Unocal Corp.                                           X                                   0         43,322      0
Unicom Corp.                                           X                                   0         13,035      0
Unitedglobalcom                                        X                                   0          4,290      0
Unicapital Corp                                        X                                   0         10,000      0
Ucar International Inc.                                X                                   0            470      0
Utilicorp United Inc.                                  X                                   0         53,339      0
Utilicorp Capital LP 8.875%                            X                                   0          2,500      0
United Dominion Inds Ltd                               X                                   0          4,470      0
United Dominion Realty Trust                           X                                   0         70,524      0
United Dominion Realty Trust                           X                                   0          2,300      0
United Dominion Realty Trust                           X                                   0          1,300      0
Ultramar Diamond Shamrock Corp.                        X                                   0            151      0
Union Elec Co                                          X                                   0            300      0
Union Electric Co 4.50$ PFD                            X                                   0            200      0
Unifab International Inc.                              X                                   0          3,100      0
Universal Foods Corp.                                  X                                   0          6,320      0
Ultrafem Inc.                                          X                                   0            100      0
Unifi Inc.                                             X                                   0          1,455      0
U.S. Foodservice                                       X                                   0          7,340      0
</TABLE>

<PAGE>


<TABLE>
<CAPTION>
            FORM 13F             NAME OF REPORTING MANAGER: LEGG MASON WOOD WALKER (IMS)                     Run Date: 04/13/2000
                                                            FOR POSITIONS HELD AS OF 03/31/2000              S.E.C. Use Only

                        Item 1:            Item 2:           Item 3:         Item 4:            Item 5:
                    Name of Issuer      Title of Class    CUSIP Number  Fair Market Value      Shares or
                                                                           (X $1000)         Principal Amt.

- ------------------------------------------------------------------------------------------------------------
<S>                                      <C>                 <C>                    <C>             <C>
UGI Corp. Hldg Co                        Common Stock        902681105             74             3,425
Unigene Labs Inc.                        Common Stock        904753100             55            19,250
U S HOME Corp. NEW                       Common Stock        911920106             19               490
Universal Health                         Common Stock        913903100             83             1,700
Universal Ice Blast Inc                  Common Stock        91359M107              1             1,000
United Industrial Corp                   Common Stock        910671106             28             2,750
United Illuminating Co                   Common Stock        910637107            279             7,101
United Capital Funding Partnership LP    PFDMthly 30/360     90978X205            564            22,775
Unisys Corp.                             Common Stock        909214108          2,399            94,074
Union Carbide Corp.                      Common Stock        905581104            232             3,986
Unilever PLC                             ADR                 904767704          3,812           145,899
Ultimate Sports Entmnt Inc               Common Stock        90384Q109              2             5,000
Ultimate Software Group Inc              Common Stock        90385D107              7               800
Ultradata Sys Inc                        Common Stock        903891109              5             1,000
Ultimap Corp Com Par $0.01               Common Stock        903847309              0                50
MediaOne Group Inc.                      Common Stock        58440J104          5,156            63,657
Mediaone Finance Tr III PFD 9.04 12313   PFD QTR 30/360      584458202             58             2,300
United Mobile Homes Inc.                 Common Stock        911024107             60             8,400
Universal Med Sys Inc                    Common Stock        913734109              8            40,000
Unilever N V                             Common Stock        904784709            554            11,507
Unova Inc.                               Common Stock        91529B106             93             6,859
Radio Unica Communications Cp            Common Stock        75040Q106              4               300
Unumprovident Corp IDS Ser A 8.8%        PFD P12 30/360      91529Y205             78             3,513
United Diagnostic Inc                    Common Stock        910192103              0                 2
Unify Corp                               Common Stock        904743101            110             5,370
United Healthcare Corp.                  Common Stock        910581107          1,804            30,251
Unitrin Inc.                             Common Stock        913275103             20               500
Unumprovident Corp.                      Common Stock        91529Y106            904            53,204
Union National Bancorp                   Common Stock        907103105             28               842
Union Pacific Corp.                      Common Stock        907818108          1,093            27,933
Unisource Energy Corp.                   Common Stock        909205106             14               935
First United Bancshares Inc.             Common Stock        33741E104            571            55,754
Univec Inc                               Common Stock        91335U108             10            10,000
Union Planters Corp.                     Common Stock        908068109          1,146            37,180
United Pan-Europe Com - Spon ADR         ADR                 911300200            459             9,253
Upgrade Intl Corp                        Common Stock        915301204              5               200
United Park City Mines Company           Common Stock        911315208              0                 9
Union Pacific Resources Group Inc.       Common Stock        907834105            339            23,395
United Parcel Service Inc                Common Stock        911312106          3,416            54,217
Unique Mobility Inc                      Common Stock        909154106             10             1,000
Uniquest Inc.                            Common Stock        90915Q107              0               320
Urban Outfitters Inc                     Common Stock        917047102            128             8,695
Urecoats Industries Inc                  Common Stock        91724E103             59            26,500
United Resources Inc- Fla                Common Stock        911378107              0                17
United Rentals Inc.                      Common Stock        911363109          3,390           196,546
Uromed Corp New                          Common Stock        917274300              9             2,800
URS Corp                                 Common Stock        903236107             39             3,000
United Road Services Inc                 Common Stock        911384105              4             2,500
Usa Video Interactive Corp               Foreign Stock       902924208             19             4,500
Usabancshares Com Inc                    Common Stock        917289100             40             5,200
USA Networks Inc.                        Common Stock        902984103            725            32,120
Universal Stainless &  Alloy             Common Stock        913837100            134            18,440
Costplusfive Com Inc                     Common Stock        22161W108             12            57,500
U.S. Bancorp                             Common Stock        902973106            322            14,722
US Can Corp.                             Common Stock        90328W105              3               140
Usdata Corp                              Common Stock        917294100              7               500
USFreightways Corp.                      Common Stock        916906100              9               245

                        Item 1:                      Item 6:                Item 7:              Item 8:
                    Name of Issuer             Investment Discretion         Other        Voting Authority (Shares)
                                         (a) Sole (b)Shared as (c)Shared    Managers   (a) Sole  (b) Shared  (c) None
                                                       Def        Other
- --------------------------------------------------------------------------------------------------------------------
UGI Corp. Hldg Co                                      X                                   0          3,425      0
Unigene Labs Inc.                                      X                                   0         19,250      0
U S HOME Corp. NEW                                     X                                   0            490      0
Universal Health                                       X                                   0          1,700      0
Universal Ice Blast Inc                                X                                   0          1,000      0
United Industrial Corp                                 X                                   0          2,750      0
United Illuminating Co                                 X                                   0          7,101      0
United Capital Funding Partnership LP                  X                                   0         22,775      0
Unisys Corp.                                           X                                   0         94,074      0
Union Carbide Corp.                                    X                                   0          3,986      0
Unilever PLC                                           X                                   0        145,899      0
Ultimate Sports Entmnt Inc                             X                                   0          5,000      0
Ultimate Software Group Inc                            X                                   0            800      0
Ultradata Sys Inc                                      X                                   0          1,000      0
Ultimap Corp Com Par $0.01                             X                                   0             50      0
MediaOne Group Inc.                                    X                                   0         63,657      0
Mediaone Finance Tr III PFD 9.04 12313                 X                                   0          2,300      0
United Mobile Homes Inc.                               X                                   0          8,400      0
Universal Med Sys Inc                                  X                                   0         40,000      0
Unilever N V                                           X                                   0         11,507      0
Unova Inc.                                             X                                   0          6,859      0
Radio Unica Communications Cp                          X                                   0            300      0
Unumprovident Corp IDS Ser A 8.8%                      X                                   0          3,513      0
United Diagnostic Inc                                  X                                   0              2      0
Unify Corp                                             X                                   0          5,370      0
United Healthcare Corp.                                X                                   0         30,251      0
Unitrin Inc.                                           X                                   0            500      0
Unumprovident Corp.                                    X                                   0         53,204      0
Union National Bancorp                                 X                                   0            842      0
Union Pacific Corp.                                    X                                   0         27,933      0
Unisource Energy Corp.                                 X                                   0            935      0
First United Bancshares Inc.                           X                                   0         55,754      0
Univec Inc                                             X                                   0         10,000      0
Union Planters Corp.                                   X                                   0         37,180      0
United Pan-Europe Com - Spon ADR                       X                                   0          9,253      0
Upgrade Intl Corp                                      X                                   0            200      0
United Park City Mines Company                         X                                   0              9      0
Union Pacific Resources Group Inc.                     X                                   0         23,395      0
United Parcel Service Inc                              X                                   0         54,217      0
Unique Mobility Inc                                    X                                   0          1,000      0
Uniquest Inc.                                          X                                   0            320      0
Urban Outfitters Inc                                   X                                   0          8,695      0
Urecoats Industries Inc                                X                                   0         26,500      0
United Resources Inc- Fla                              X                                   0             17      0
United Rentals Inc.                                    X                                   0        196,546      0
Uromed Corp New                                        X                                   0          2,800      0
URS Corp                                               X                                   0          3,000      0
United Road Services Inc                               X                                   0          2,500      0
Usa Video Interactive Corp                             X                                   0          4,500      0
Usabancshares Com Inc                                  X                                   0          5,200      0
USA Networks Inc.                                      X                                   0         32,120      0
Universal Stainless &  Alloy                           X                                   0         18,440      0
Costplusfive Com Inc                                   X                                   0         57,500      0
U.S. Bancorp                                           X                                   0         14,722      0
US Can Corp.                                           X                                   0            140      0
Usdata Corp                                            X                                   0            500      0
USFreightways Corp.                                    X                                   0            245      0
</TABLE>

<PAGE>


<TABLE>
<CAPTION>
            FORM 13F             NAME OF REPORTING MANAGER: LEGG MASON WOOD WALKER (IMS)                     Run Date: 04/13/2000
                                                            FOR POSITIONS HELD AS OF 03/31/2000              S.E.C. Use Only

                        Item 1:            Item 2:           Item 3:         Item 4:            Item 5:
                    Name of Issuer      Title of Class    CUSIP Number  Fair Market Value      Shares or
                                                                           (X $1000)         Principal Amt.

- ------------------------------------------------------------------------------------------------------------
<S>                                      <C>                 <C>                    <C>             <C>
USG Corp.                                Common Stock        903293405             36               860
U.S. Industries, Inc.                    Common Stock        912080108            143            12,892
U S Interactive Inc                      Common Stock        90334M109             93             2,613
US Internetworking Inc.                  Common Stock        917311805          2,162            55,803
U S Liquids Inc                          Common Stock        902974104            148            22,740
United States Lime & Minerals            Common Stock        911922102             92            11,500
United States Cellular Corp.             Common Stock        911684108            835            11,755
Usn Communications Inc                   Common Stock        90336N204              0               350
US Oncology Inc                          Common Stock        90338W103              3               750
U S Plastic Lmbr Corp                    Common Stock        902948108            195            21,050
U S T Inc.                               Common Stock        902911106            512            32,776
United Stationers Inc                    Common Stock        913004107            629            17,635
Usa Technologies Inc                     Common Stock        90328S401             24             8,000
USEC Inc                                 Common Stock        90333E108              3               700
U.S. West Inc.                           Common Stock        91273H101          9,733           134,018
U.S. Wireless Corp                       Common Stock        90339C106             31             1,000
US Wats Inc.                             Common Stock        90337P109              2             1,000
USX-Marathan Group 6 1/2 PFD             Preferred Stock     902905819              4               100
Universal Express Inc                    Common Stock        91349P103              7            17,000
U.S. Trust Corp.  New                    Common Stock        91288L105            170               900
Utah Clay Technology Inc                 Common Stock        917342107              1             2,000
Ultratech Stepper Inc.                   Common Stock        904034105             14             1,000
Unitil Corp.                             Common Stock        913259107             74             2,500
Utah Medical Products                    Common Stock        917488108              1               100
United Textiles & Toys Corp.             Common Stock        913071106              0                60
United Technologies Corp.                Common Stock        913017109          5,913            93,585
Uniview Technologies Corp.               Common Stock        915282206            208            42,600
Univision Communications Inc             Common Stock        914906102            584             5,171
Universal Corp.                          Common Stock        913456109             15             1,000
United Water Resources Inc.              Common Stock        913190104             67             1,925
Vanderbilt Gold Corp.                    Common Stock        921786109              0               700
Vail Banks Inc                           Common Stock        918779109              3               300
The Valspar Corp.                        Common Stock        920355104          8,755           228,509
Value Hldgs Inc                          Common Stock        92039J100             12            30,000
Varian Medical Systems Inc               Common Stock        92220P105             98             2,155
Varian Inc                               Common Stock        922206107            266             6,940
Vari-L Company, Inc.                     Common Stock        922150107             29             1,100
Varitronix International LTD - SP ADR    ADR                 92224Q109              8               700
Vasomedical Inc                          Common Stock        922321104             27             4,550
Vencor Inc.                              Common Stock        92260R102              0               395
Veterinary Centers Of America            Common Stock        925514101             78             5,700
Venture Catalyst Inc Utah                Common Stock        92326Q106              4               500
Value City Department Stores Inc         Common Stock        920387107              3               200
Valassis Communications Inc.             Common Stock        918866104            441            13,244
Thermacell Technologies Inc              Common Stock        883430100             17            30,000
Vcampus Corp                             Common Stock        92240C100             16             1,500
Vicinity Corp                            Common Stock        925653107             49             1,400
Vertical Computer Sys Inc Com New        Common Stock        92532R203             41            34,000
Visual Data Corp                         Common Stock        928428200              2               200
Virtual Sellers Com Inc                  Common Stock        92825Y105            366            56,300
Veba Ag - Spon ADR                       ADR                 92239H102             22               430
Veeco Instruments Inc                    Common Stock        922417100            187             2,528
Virgina Elec & Power Co 1998 Ser A       PFD QTR 30/360      927804617             40             1,935
Virginia Power Capital Trust             Preferred Stock     928082205            126             5,450
Vengold Inc                              Foreign Stock       92267K100            190            98,000
Venture Stores Inc                       Common Stock        923275101              0                56
Veramark Technologies Inc                Common Stock        923351100             13             2,700

                        Item 1:                      Item 6:                Item 7:              Item 8:
                    Name of Issuer             Investment Discretion         Other        Voting Authority (Shares)
                                         (a) Sole (b)Shared as (c)Shared    Managers   (a) Sole  (b) Shared  (c) None
                                                       Def        Other
- --------------------------------------------------------------------------------------------------------------------
USG Corp.                                              X                                   0            860      0
U.S. Industries, Inc.                                  X                                   0         12,892      0
U S Interactive Inc                                    X                                   0          2,613      0
US Internetworking Inc.                                X                                   0         55,803      0
U S Liquids Inc                                        X                                   0         22,740      0
United States Lime & Minerals                          X                                   0         11,500      0
United States Cellular Corp.                           X                                   0         11,755      0
Usn Communications Inc                                 X                                   0            350      0
US Oncology Inc                                        X                                   0            750      0
U S Plastic Lmbr Corp                                  X                                   0         21,050      0
U S T Inc.                                             X                                   0         32,776      0
United Stationers Inc                                  X                                   0         17,635      0
Usa Technologies Inc                                   X                                   0          8,000      0
USEC Inc                                               X                                   0            700      0
U.S. West Inc.                                         X                                   0        134,018      0
U.S. Wireless Corp                                     X                                   0          1,000      0
US Wats Inc.                                           X                                   0          1,000      0
USX-Marathan Group 6 1/2 PFD                           X                                   0            100      0
Universal Express Inc                                  X                                   0         17,000      0
U.S. Trust Corp.  New                                  X                                   0            900      0
Utah Clay Technology Inc                               X                                   0          2,000      0
Ultratech Stepper Inc.                                 X                                   0          1,000      0
Unitil Corp.                                           X                                   0          2,500      0
Utah Medical Products                                  X                                   0            100      0
United Textiles & Toys Corp.                           X                                   0             60      0
United Technologies Corp.                              X                                   0         93,585      0
Uniview Technologies Corp.                             X                                   0         42,600      0
Univision Communications Inc                           X                                   0          5,171      0
Universal Corp.                                        X                                   0          1,000      0
United Water Resources Inc.                            X                                   0          1,925      0
Vanderbilt Gold Corp.                                  X                                   0            700      0
Vail Banks Inc                                         X                                   0            300      0
The Valspar Corp.                                      X                                   0        228,509      0
Value Hldgs Inc                                        X                                   0         30,000      0
Varian Medical Systems Inc                             X                                   0          2,155      0
Varian Inc                                             X                                   0          6,940      0
Vari-L Company, Inc.                                   X                                   0          1,100      0
Varitronix International LTD - SP ADR                  X                                   0            700      0
Vasomedical Inc                                        X                                   0          4,550      0
Vencor Inc.                                            X                                   0            395      0
Veterinary Centers Of America                          X                                   0          5,700      0
Venture Catalyst Inc Utah                              X                                   0            500      0
Value City Department Stores Inc                       X                                   0            200      0
Valassis Communications Inc.                           X                                   0         13,244      0
Thermacell Technologies Inc                            X                                   0         30,000      0
Vcampus Corp                                           X                                   0          1,500      0
Vicinity Corp                                          X                                   0          1,400      0
Vertical Computer Sys Inc Com New                      X                                   0         34,000      0
Visual Data Corp                                       X                                   0            200      0
Virtual Sellers Com Inc                                X                                   0         56,300      0
Veba Ag - Spon ADR                                     X                                   0            430      0
Veeco Instruments Inc                                  X                                   0          2,528      0
Virgina Elec & Power Co 1998 Ser A                     X                                   0          1,935      0
Virginia Power Capital Trust                           X                                   0          5,450      0
Vengold Inc                                            X                                   0         98,000      0
Venture Stores Inc                                     X                                   0             56      0
Veramark Technologies Inc                              X                                   0          2,700      0
</TABLE>

<PAGE>


<TABLE>
<CAPTION>
            FORM 13F             NAME OF REPORTING MANAGER: LEGG MASON WOOD WALKER (IMS)                     Run Date: 04/13/2000
                                                            FOR POSITIONS HELD AS OF 03/31/2000              S.E.C. Use Only

                        Item 1:            Item 2:           Item 3:         Item 4:            Item 5:
                    Name of Issuer      Title of Class    CUSIP Number  Fair Market Value      Shares or
                                                                           (X $1000)         Principal Amt.

- ------------------------------------------------------------------------------------------------------------
<S>                                      <C>                 <C>                    <C>             <C>
Verdant Brands Inc Com New               Common Stock        923366207              1               304
Vertica Software Inc                     Common Stock        92532N103              3             1,000
Verticalnet Inc.                         Common Stock        92532L107          1,152             8,474
Vestaur Securities                       Common Stock        925464109              5               400
V F Corp.                                Common Stock        918204108            207             8,582
Virtualfund Com Inc                      Common Stock        92825A107              2               400
Viking Cap Group Inc                     Common Stock        92676E208              2             5,000
Visible Genetics Inc                     Common Stock        92829S104              7               200
Van Kampen Merritt Trust For             Common Stock        920929106            109             8,250
Vista Gold Corp.                         Foreign Stock       927926105              1            10,000
Viacom Inc Class A                       Common Stock        925524100            279             5,228
Viacom Inc Class B                       Common Stock        925524308          7,482           141,832
Viant Corp                               Common Stock        92553N107             14               425
Viasoft Inc                              Common Stock        92552U102              5               700
Vicor Corp.                              Common Stock        925815102             89             4,965
Vignette Corp                            Common Stock        926734104            106               664
Vintage Group Inc New                    Common Stock        927458208              0               134
Vion Pharmaceuticals Inc.                Common Stock        927624106             18             1,000
Open Jt Stk Co Vimpel                    ADR                 68370R109              8               200
Viper Intl Hldgs Ltd                     Foreign Stock       92762Q107              6            30,000
Vip Comlink                              Common Stock        918239104              2            10,000
Virco Manufacturing Corporation          Common Stock        927651109              7               700
Triangle Pharmaceuticals Inc.            Common Stock        89589H104             47             3,000
Visx Inc Del                             Common Stock        92844S105            249            13,660
Van Kampen American Capital              Common Stock        920911104              5             1,000
Vitria Technology                        Common Stock        92849Q104             43               425
V I  Technologies Inc                    Common Stock        917920100             23             2,700
Vixel Corp Del                           Common Stock        928552108             21             1,300
Visionglobal Corp                        Common Stock        92830S101             58             8,000
Vickers PLC-ADR                          ADR                 925669202              0             1,725
Vlasic Foods International               Common Stock        928559103              6             2,675
Knightsbridge Tankers Ltd                Common Stock        G5299G106             62             3,500
Volkswagen AG - Sponsored ADR            ADR                 928662303             35             3,988
Valero Energy Corp.                      Common Stock        91913Y100            542            17,710
Valuestar Corp                           Common Stock        919910109             25             4,000
Valentis Inc                             Common Stock        91913E104             23             2,000
Veltex Corp                              Common Stock        922576103              0            25,000
Valley National Bancorp                  Common Stock        919794107             19               723
Vulcan Materials Co                      Common Stock        929160109            750            16,372
Ventana Med Sys Inc                      Common Stock        92276H106             54             1,250
Vencap Capital Corp                      Common Stock        92261H103              2             7,500
Van Kampen Merritt Muni Tr               Common Stock        920922101              7               529
Vornado Realty Trust Common Shares       Common Stock        929042109             34             1,025
VORNADO REALTY TRUST CONV PFD            Preferred Stock     929042208             18               375
Compania Anonima Telef De Ven-ADR        ADR                 204421101          3,085           106,370
Ventro Corp                              Common Stock        922815105             10               175
The Seagram Co Ltd                       Common Stock        811850106            421             7,082
Vodafone Airtouch PLC-Sponsored ADR      ADR                 92857T107          5,433            97,788
Vodafone Group PLC                       Foreign Stock       G9387S105            447            80,501
Volcanic Gold Inc                        Common Stock        928639103              0               100
Volvo Aktiebolaget                       ADR                 928856400            115             4,200
V-ONE Corp.                              Common Stock        918278102             16             2,900
Vornado Operating Co.                    Common Stock        92904N103              0                15
Van Kampen Merritt Municipal             Common Stock        920944105             16             1,430
Voxware Inc                              Common Stock        92906L105              2               200
Audiovox Corp.                           Common Stock        050757103            183             4,195
Seagram Ltd Pfd Adj Cv Sec               PreferdStk Conv     811850205             29               530

                        Item 1:                      Item 6:                Item 7:              Item 8:
                    Name of Issuer             Investment Discretion         Other        Voting Authority (Shares)
                                         (a) Sole (b)Shared as (c)Shared    Managers   (a) Sole  (b) Shared  (c) None
                                                       Def        Other
- --------------------------------------------------------------------------------------------------------------------
Verdant Brands Inc Com New                             X                                   0            304      0
Vertica Software Inc                                   X                                   0          1,000      0
Verticalnet Inc.                                       X                                   0          8,474      0
Vestaur Securities                                     X                                   0            400      0
V F Corp.                                              X                                   0          8,582      0
Virtualfund Com Inc                                    X                                   0            400      0
Viking Cap Group Inc                                   X                                   0          5,000      0
Visible Genetics Inc                                   X                                   0            200      0
Van Kampen Merritt Trust For                           X                                   0          8,250      0
Vista Gold Corp.                                       X                                   0         10,000      0
Viacom Inc Class A                                     X                                   0          5,228      0
Viacom Inc Class B                                     X                                   0        141,832      0
Viant Corp                                             X                                   0            425      0
Viasoft Inc                                            X                                   0            700      0
Vicor Corp.                                            X                                   0          4,965      0
Vignette Corp                                          X                                   0            664      0
Vintage Group Inc New                                  X                                   0            134      0
Vion Pharmaceuticals Inc.                              X                                   0          1,000      0
Open Jt Stk Co Vimpel                                  X                                   0            200      0
Viper Intl Hldgs Ltd                                   X                                   0         30,000      0
Vip Comlink                                            X                                   0         10,000      0
Virco Manufacturing Corporation                        X                                   0            700      0
Triangle Pharmaceuticals Inc.                          X                                   0          3,000      0
Visx Inc Del                                           X                                   0         13,660      0
Van Kampen American Capital                            X                                   0          1,000      0
Vitria Technology                                      X                                   0            425      0
V I  Technologies Inc                                  X                                   0          2,700      0
Vixel Corp Del                                         X                                   0          1,300      0
Visionglobal Corp                                      X                                   0          8,000      0
Vickers PLC-ADR                                        X                                   0          1,725      0
Vlasic Foods International                             X                                   0          2,675      0
Knightsbridge Tankers Ltd                              X                                   0          3,500      0
Volkswagen AG - Sponsored ADR                          X                                   0          3,988      0
Valero Energy Corp.                                    X                                   0         17,710      0
Valuestar Corp                                         X                                   0          4,000      0
Valentis Inc                                           X                                   0          2,000      0
Veltex Corp                                            X                                   0         25,000      0
Valley National Bancorp                                X                                   0            723      0
Vulcan Materials Co                                    X                                   0         16,372      0
Ventana Med Sys Inc                                    X                                   0          1,250      0
Vencap Capital Corp                                    X                                   0          7,500      0
Van Kampen Merritt Muni Tr                             X                                   0            529      0
Vornado Realty Trust Common Shares                     X                                   0          1,025      0
VORNADO REALTY TRUST CONV PFD                          X                                   0            375      0
Compania Anonima Telef De Ven-ADR                      X                                   0        106,370      0
Ventro Corp                                            X                                   0            175      0
The Seagram Co Ltd                                     X                                   0          7,082      0
Vodafone Airtouch PLC-Sponsored ADR                    X                                   0         97,788      0
Vodafone Group PLC                                     X                                   0         80,501      0
Volcanic Gold Inc                                      X                                   0            100      0
Volvo Aktiebolaget                                     X                                   0          4,200      0
V-ONE Corp.                                            X                                   0          2,900      0
Vornado Operating Co.                                  X                                   0             15      0
Van Kampen Merritt Municipal                           X                                   0          1,430      0
Voxware Inc                                            X                                   0            200      0
Audiovox Corp.                                         X                                   0          4,195      0
Seagram Ltd Pfd Adj Cv Sec                             X                                   0            530      0
</TABLE>

<PAGE>


<TABLE>
<CAPTION>
            FORM 13F             NAME OF REPORTING MANAGER: LEGG MASON WOOD WALKER (IMS)                     Run Date: 04/13/2000
                                                            FOR POSITIONS HELD AS OF 03/31/2000              S.E.C. Use Only

                        Item 1:            Item 2:           Item 3:         Item 4:            Item 5:
                    Name of Issuer      Title of Class    CUSIP Number  Fair Market Value      Shares or
                                                                           (X $1000)         Principal Amt.

- ------------------------------------------------------------------------------------------------------------
<S>                                      <C>                 <C>                    <C>             <C>
Voyager.Net, Inc.                        Common Stock        92906W101             27             2,000
Viropharma Inc.                          Common Stock        928241108            281             4,585
Vintage Petroleum Inc                    Common Stock        927460105            273            13,585
Van Kampen PA Quality Muni Trust         Common Stock        920924107             17             1,208
Viropro Inc                              Common Stock        928242106              0               100
Van Kampen Merritt Penn Value            Common Stock        92112T108             92             7,700
Valley Res Inc                           Common Stock        920062106            127             5,511
Varco International Inc                  Common Stock        922126107              3               200
Vitafort Intl Corp                       Common Stock        928467307              0               500
Viragen Inc                              Common Stock        927638106             28            13,000
Vastar Resources                         Common Stock        922380100            351             4,720
Verio Inc                                Common Stock        923433106            310             6,890
Verilink Corp                            Common Stock        923432108              1               100
Versatel Telecom Intl N V                ADR                 925301103             86             1,770
Verisign Inc.                            Common Stock        92343E102            660             4,414
Virata Corp                              Common Stock        927646109            309             3,090
Vertel Corp                              Common Stock        924907108            339            16,000
Veritas Software Corp                    Common Stock        923436109          2,753            21,019
Vertex Pharmaceuticals Inc.              Common Stock        92532F100             66             1,410
Verity Inc                               Common Stock        92343C106             18               450
Varian Semiconductor Equip               Common Stock        922207105            455             7,145
Vishay Intertechnology Inc.              Common Stock        928298108          1,123            20,192
VSI Enterprises Inc                      Common Stock        91832B884              4               625
Voicestream Wireless Corp                Common Stock        928615103          1,721            13,362
Vesta Insurance Group, Inc               Common Stock        925391104              3               500
Vtel Corp                                Common Stock        918333105             12             1,500
Ventiv Health Inc                        Common Stock        922793104            439            43,670
Van Kampen Merritt Tr For                Common Stock        920934106             38             2,755
Ventas Inc.                              Common Stock        92276F100              1               395
Veritas DGC Inc                          Common Stock        92343P107              6               200
Vitesse Semiconductor Corp.              Common Stock        928497106          1,273            13,221
Value Amer Inc                           Common Stock        92038N102             17             5,100
View Tech Inc Del                        Common Stock        926707100              6             1,000
Vivendi - Sp ADR                         ADR                 92851S105            681            29,534
Viad Corp.                               Common Stock        92552R109            346            15,147
Viad Corp. 4.75% Pfd                     Preferred Stock     92552R307              9               175
Van Kampen American Capital Sr Income    MutualFdFiClose     920961109             59             7,300
Valuevision International Inc. Cl A      Common Stock        92047K107              7               165
Vivus Inc                                Common Stock        928551100             75             9,000
Vialog Corp                              Common Stock        92552X106              5             1,000
Vaxgen Inc                               Common Stock        922390208              8               500
Viatel Inc.                              Common Stock        925529208            127             2,525
Westvaco Corp.                           Common Stock        961548104             69             2,077
Wooster Equity, Inc.                     Common Stock        981075203              0                20
Wal-Mart De Mexico Ser C                 Foreign Stock       W004430                5             2,000
Wal-Mart De Mexico Ser C                 Foreign Stock       W004431                1               407
Westamerica Bancorp                      Common Stock        957090103             28             1,000
Warnaco Group Inc                        Common Stock        934390105             40             3,400
Wade Cook Financial Corp                 Common Stock        930128103              6            20,000
Walgreen Co                              Common Stock        931422109          2,949           114,511
Wackenhut Corp. - CL B                   Common Stock        929794303            321            31,930
Wake Forest Bancshares Inc               Common Stock        930888102             64             5,685
Wamex Holdings Inc                       Common Stock        92922N101             59             5,500
Washington Tr Bancorp Inc                Common Stock        940610108             59             3,712
Waters Corp.                             Common Stock        941848103            103             1,080
Tetra Tech Inc.                          Common Stock        88162G103             33             1,400
Waverider Communications                 Common Stock        943570101             29             3,320

                        Item 1:                      Item 6:                Item 7:              Item 8:
                    Name of Issuer             Investment Discretion         Other        Voting Authority (Shares)
                                         (a) Sole (b)Shared as (c)Shared    Managers   (a) Sole  (b) Shared  (c) None
                                                       Def        Other
- --------------------------------------------------------------------------------------------------------------------
Voyager.Net, Inc.                                      X                                   0          2,000      0
Viropharma Inc.                                        X                                   0          4,585      0
Vintage Petroleum Inc                                  X                                   0         13,585      0
Van Kampen PA Quality Muni Trust                       X                                   0          1,208      0
Viropro Inc                                            X                                   0            100      0
Van Kampen Merritt Penn Value                          X                                   0          7,700      0
Valley Res Inc                                         X                                   0          5,511      0
Varco International Inc                                X                                   0            200      0
Vitafort Intl Corp                                     X                                   0            500      0
Viragen Inc                                            X                                   0         13,000      0
Vastar Resources                                       X                                   0          4,720      0
Verio Inc                                              X                                   0          6,890      0
Verilink Corp                                          X                                   0            100      0
Versatel Telecom Intl N V                              X                                   0          1,770      0
Verisign Inc.                                          X                                   0          4,414      0
Virata Corp                                            X                                   0          3,090      0
Vertel Corp                                            X                                   0         16,000      0
Veritas Software Corp                                  X                                   0         21,019      0
Vertex Pharmaceuticals Inc.                            X                                   0          1,410      0
Verity Inc                                             X                                   0            450      0
Varian Semiconductor Equip                             X                                   0          7,145      0
Vishay Intertechnology Inc.                            X                                   0         20,192      0
VSI Enterprises Inc                                    X                                   0            625      0
Voicestream Wireless Corp                              X                                   0         13,362      0
Vesta Insurance Group, Inc                             X                                   0            500      0
Vtel Corp                                              X                                   0          1,500      0
Ventiv Health Inc                                      X                                   0         43,670      0
Van Kampen Merritt Tr For                              X                                   0          2,755      0
Ventas Inc.                                            X                                   0            395      0
Veritas DGC Inc                                        X                                   0            200      0
Vitesse Semiconductor Corp.                            X                                   0         13,221      0
Value Amer Inc                                         X                                   0          5,100      0
View Tech Inc Del                                      X                                   0          1,000      0
Vivendi - Sp ADR                                       X                                   0         29,534      0
Viad Corp.                                             X                                   0         15,147      0
Viad Corp. 4.75% Pfd                                   X                                   0            175      0
Van Kampen American Capital Sr Income                  X                                   0          7,300      0
Valuevision International Inc. Cl A                    X                                   0            165      0
Vivus Inc                                              X                                   0          9,000      0
Vialog Corp                                            X                                   0          1,000      0
Vaxgen Inc                                             X                                   0            500      0
Viatel Inc.                                            X                                   0          2,525      0
Westvaco Corp.                                         X                                   0          2,077      0
Wooster Equity, Inc.                                   X                                   0             20      0
Wal-Mart De Mexico Ser C                               X                                   0          2,000      0
Wal-Mart De Mexico Ser C                               X                                   0            407      0
Westamerica Bancorp                                    X                                   0          1,000      0
Warnaco Group Inc                                      X                                   0          3,400      0
Wade Cook Financial Corp                               X                                   0         20,000      0
Walgreen Co                                            X                                   0        114,511      0
Wackenhut Corp. - CL B                                 X                                   0         31,930      0
Wake Forest Bancshares Inc                             X                                   0          5,685      0
Wamex Holdings Inc                                     X                                   0          5,500      0
Washington Tr Bancorp Inc                              X                                   0          3,712      0
Waters Corp.                                           X                                   0          1,080      0
Tetra Tech Inc.                                        X                                   0          1,400      0
Waverider Communications                               X                                   0          3,320      0
</TABLE>

<PAGE>


<TABLE>
<CAPTION>
            FORM 13F             NAME OF REPORTING MANAGER: LEGG MASON WOOD WALKER (IMS)                     Run Date: 04/13/2000
                                                            FOR POSITIONS HELD AS OF 03/31/2000              S.E.C. Use Only

                        Item 1:            Item 2:           Item 3:         Item 4:            Item 5:
                    Name of Issuer      Title of Class    CUSIP Number  Fair Market Value      Shares or
                                                                           (X $1000)         Principal Amt.

- ------------------------------------------------------------------------------------------------------------
<S>                                      <C>                 <C>                    <C>             <C>
Nuwave Technologies Inc.                 Common Stock        67065M102              1               180
Wavo Corporation                         Common Stock        944027101             59            13,200
Wave Sysems Corp Cl A                    Common Stock        943526103            808            20,220
Waxman Industries                        Common Stock        944124106              1             2,100
World Access Inc.                        Common Stock        98141A101             41             2,150
Wachovia Corp.                           Common Stock        929771103          7,189           106,399
Del Webb Corp.                           Common Stock        947423109             18             1,200
Web Capital Group Inc                    Common Stock        947324109             15             2,000
Westpac Banking - Spon ADR               ADR                 961214301             10               300
W Hldg Co Inc                            Common Stock        929251106             15             1,587
Webster Financial Corp.                  Common Stock        947890109          1,635            71,067
Webvan Group Inc                         Common Stock        94845V103            102            13,320
Winfield Capital Corp.                   Common Stock        973859101             21             1,000
Wesco Intl Inc                           Common Stock        95082P105             14             1,800
Williams Communications Group            Common Stock        969455104          1,324            25,550
Winstar Communications Inc               Common Stock        975515107          1,777            29,623
Wisconsin Central                        Common Stock        976592105             31             2,565
World Comm Online Inc Del                Common Stock        98144Q103            203             9,000
MCI WorldCom Inc.                        Common Stock        55268B106         70,555         1,557,059
Warner Chilcott Plc                      ADR                 934435207             11               700
Wallace Computer Services Inc.           Common Stock        932270101            356            30,155
Wordcruncher Internet Tech               Common Stock        98136C104             10             1,500
Western Digital Corp.                    Common Stock        958102105            472            63,425
Worldcorp Inc                            Common Stock        981904105              0             2,000
WD-40 Co.                                Common Stock        929236107             95             4,525
Woodhead Industries Inc                  Common Stock        979438108             21             1,200
Waddell & Reed Financial - A             Common Stock        930059100              1                34
Waddell & Reed Finl Inc                  Common Stock        930059209              6               146
Coinmach Laundry Corp                    Common Stock        19259L101             78             7,850
Westfield America Inc.                   Common Stock        959910100              7               500
Premiumwear Inc                          Common Stock        740909106              1               100
Webb Interactive Services                Common Stock        94748P104             15               500
Webmethods Inc                           Common Stock        94768C108             23                95
Webtrends Corp                           Common Stock        94844D104             76             1,050
Wisconsin Energy Power                   Common Stock        976657106            164             8,231
WEC CAP TR I TR PFD SECS 6.85%           PFD QTR 30/360      92923G204             12               600
Webfinancial Corp                        Common Stock        94767P100              1               100
Wellness Universe Corp                   Common Stock        94973Y101              0               500
Wendy's International Inc                Common Stock        950590109            965            47,800
Wendys Financing I 5% Ser A              Preferred Stock     950588202              5               100
Wells Fargo Company                      Common Stock        949746101         16,103           393,348
Wells Fargo & Co New                     PFD QTR 30/360      949746200              4               100
Whatsforfree Technologies Inc            Common Stock        96253Y107              0                36
Wireless Facilities Inc                  Common Stock        97653A103             12               110
Whole Foods Market Inc                   Common Stock        966837106            203             4,900
Wfs Finl Inc                             Common Stock        92923B106             15               750
Washington Federal Inc.                  Common Stock        938824109            906            47,519
Weatherford International Inc New        Common Stock        947074100            969            16,441
Worldgate Communications Inc.            Common Stock        98156L307            128             4,259
Washington Gas Light Co                  Common Stock        938837101            692            25,438
Wegener Corp.                            Common Stock        948585104              3               500
Winnebago Industries                     Common Stock        974637100             70             3,900
Western Gas Resources Inc                Common Stock        958259103              3               170
Western Gas Resources, Inc.              Preferred Stock     958259202            184             8,990
Western Gas Resources Inc. Conv PFD      PreferdStk Conv     958259301              9               320
Watchguard Technologies Inc              Common Stock        941105108          1,224            13,605
Whitman Corp                             Common Stock        96647R107             72             5,170

                        Item 1:                      Item 6:                Item 7:              Item 8:
                    Name of Issuer             Investment Discretion         Other        Voting Authority (Shares)
                                         (a) Sole (b)Shared as (c)Shared    Managers   (a) Sole  (b) Shared  (c) None
                                                       Def        Other
- --------------------------------------------------------------------------------------------------------------------
Nuwave Technologies Inc.                               X                                   0            180      0
Wavo Corporation                                       X                                   0         13,200      0
Wave Sysems Corp Cl A                                  X                                   0         20,220      0
Waxman Industries                                      X                                   0          2,100      0
World Access Inc.                                      X                                   0          2,150      0
Wachovia Corp.                                         X                                   0        106,399      0
Del Webb Corp.                                         X                                   0          1,200      0
Web Capital Group Inc                                  X                                   0          2,000      0
Westpac Banking - Spon ADR                             X                                   0            300      0
W Hldg Co Inc                                          X                                   0          1,587      0
Webster Financial Corp.                                X                                   0         71,067      0
Webvan Group Inc                                       X                                   0         13,320      0
Winfield Capital Corp.                                 X                                   0          1,000      0
Wesco Intl Inc                                         X                                   0          1,800      0
Williams Communications Group                          X                                   0         25,550      0
Winstar Communications Inc                             X                                   0         29,623      0
Wisconsin Central                                      X                                   0          2,565      0
World Comm Online Inc Del                              X                                   0          9,000      0
MCI WorldCom Inc.                                      X                                   0      1,557,059      0
Warner Chilcott Plc                                    X                                   0            700      0
Wallace Computer Services Inc.                         X                                   0         30,155      0
Wordcruncher Internet Tech                             X                                   0          1,500      0
Western Digital Corp.                                  X                                   0         63,425      0
Worldcorp Inc                                          X                                   0          2,000      0
WD-40 Co.                                              X                                   0          4,525      0
Woodhead Industries Inc                                X                                   0          1,200      0
Waddell & Reed Financial - A                           X                                   0             34      0
Waddell & Reed Finl Inc                                X                                   0            146      0
Coinmach Laundry Corp                                  X                                   0          7,850      0
Westfield America Inc.                                 X                                   0            500      0
Premiumwear Inc                                        X                                   0            100      0
Webb Interactive Services                              X                                   0            500      0
Webmethods Inc                                         X                                   0             95      0
Webtrends Corp                                         X                                   0          1,050      0
Wisconsin Energy Power                                 X                                   0          8,231      0
WEC CAP TR I TR PFD SECS 6.85%                         X                                   0            600      0
Webfinancial Corp                                      X                                   0            100      0
Wellness Universe Corp                                 X                                   0            500      0
Wendy's International Inc                              X                                   0         47,800      0
Wendys Financing I 5% Ser A                            X                                   0            100      0
Wells Fargo Company                                    X                                   0        393,348      0
Wells Fargo & Co New                                   X                                   0            100      0
Whatsforfree Technologies Inc                          X                                   0             36      0
Wireless Facilities Inc                                X                                   0            110      0
Whole Foods Market Inc                                 X                                   0          4,900      0
Wfs Finl Inc                                           X                                   0            750      0
Washington Federal Inc.                                X                                   0         47,519      0
Weatherford International Inc New                      X                                   0         16,441      0
Worldgate Communications Inc.                          X                                   0          4,259      0
Washington Gas Light Co                                X                                   0         25,438      0
Wegener Corp.                                          X                                   0            500      0
Winnebago Industries                                   X                                   0          3,900      0
Western Gas Resources Inc                              X                                   0            170      0
Western Gas Resources, Inc.                            X                                   0          8,990      0
Western Gas Resources Inc. Conv PFD                    X                                   0            320      0
Watchguard Technologies Inc                            X                                   0         13,605      0
Whitman Corp                                           X                                   0          5,170      0
</TABLE>

<PAGE>


<TABLE>
<CAPTION>
            FORM 13F             NAME OF REPORTING MANAGER: LEGG MASON WOOD WALKER (IMS)                     Run Date: 04/13/2000
                                                            FOR POSITIONS HELD AS OF 03/31/2000              S.E.C. Use Only

                        Item 1:            Item 2:           Item 3:         Item 4:            Item 5:
                    Name of Issuer      Title of Class    CUSIP Number  Fair Market Value      Shares or
                                                                           (X $1000)         Principal Amt.

- -------------------------------------------------------------------------------------------------------------
<S>                                      <C>                 <C>                    <C>             <C>
Wellington Hall Ltdcom New               Common Stock        949535207              0             4,000
WHG Bancshares Corp                      Common Stock        928949106              4               600
Washington Homes Inc New                 Common Stock        938864105             23             4,000
Whitehall Jewellers Inc                  Common Stock        965063100             39             1,650
Whirlpool Corp                           Common Stock        963320106            471             8,040
WHX Corp.                                Common Stock        929248102              1               106
Wicor Inc                                Common Stock        929253102             43             1,400
Widcom Inc                               Common Stock        967569104              0               200
Winn Dixie Stores                        Common Stock        974280109            122             6,279
Wind River Systems Inc                   Common Stock        973149107            341             9,411
Wink Communications                      Common Stock        974168106             80             2,410
Winners Internet Network Inc             Common Stock        97477C103              1               350
SM&A Corporation                         Common Stock        784432106              5             1,000
Wit Cap Group Inc                        Common Stock        97737K309             87             5,075
Witness Sys Inc                          Common Stock        977424100              5               150
Whitman Education Group Inc              Common Stock        966524100              2               800
WSI Interactive Marketing Inc            Foreign Stock       92932N109              4             1,500
Wesley Jessen Visioncare                 Common Stock        951018100             54             1,500
Whittaker Corp. Com Par 0.01             Common Stock        966680407              0                41
Wilmington Trust Corp. New               Common Stock        971807102            107             2,200
Warner Lambert Co.                       Common Stock        934488107         15,327           157,200
World Wide Wireless Com                  Common Stock        98155Q109            124            26,000
Willamette Inds                          Common Stock        969133107            260             6,490
Wellman Inc                              Common Stock        949702104             11               550
Wilmar Inds Inc                          Common Stock        971426101             12               725
Weblink Wireless Inc                     Common Stock        94769A101              3               200
Wellpoint Health Networks Inc.           Common Stock        94973H108              9               135
WLR Foods, Inc.                          Common Stock        929286102              4               725
Lyon William Homes                       Common Stock        552074106              1                60
Wilsons The Leather Experts              Common Stock        972463103             12               900
Wolverine Tube Inc                       Common Stock        978093102             28             2,200
Washington Mutual Inc.                   Common Stock        939322103          5,332           201,216
Williams Companies Inc                   Common Stock        969457100          1,960            44,609
WMC Limited ADR                          ADR                 928947100              2               140
Williams Control Inc                     Common Stock        969465103              2             1,000
Waste Management Inc.                    Common Stock        94106L109          4,849           354,287
Weis Markets Inc                         Common Stock        948849104             15               450
Wal Mart De Mexico Sa De Cv              ADR                 93114W206             14             5,645
Wal Mart De Mexico Sa De Cv              ADR                 93114W107             39             1,541
Wausau-Mosinee Paper Corp.               Common Stock        943315101             12               920
WMS Industries Inc.                      Common Stock        929297109             48             4,895
Wal-Mart Stores Inc.                     Common Stock        931142103         29,491           531,363
Wynn's International                     Common Stock        983195108             66             4,800
Wabash National Corp.                    Common Stock        929566107              7               500
Windmere-Durable Holdings Inc            Common Stock        973411101            449            30,440
Winjak Inc                               Common Stock        974165201              0               375
Wayne Bancorp Inc Ohio                   Common Stock        944293109             32             1,701
Wilshire Oil Co Tex                      Common Stock        971889100              1               258
Westwood One Inc                         Common Stock        961815107             20               554
Wyman Pk Bancorporation Inc              Common Stock        983086109              4               500
Western Pwr & Equip Corp                 Common Stock        959221102              2             1,500
Watson Pharmaceuticals Inc               Common Stock        942683103            346             8,724
White Pine Software Inc                  Common Stock        964347108             47             1,300
Washington Post- Class B                 Common Stock        939640108            245               453
WPP Group PLC - Sponsored ADR            ADR                 929309300          1,631            18,797
W P S Resources Corp.                    Common Stock        92931B106            629            24,265
WPSR Capital Trust I 7.00%               PFD QTR 30/360      92930N200             46             2,300

                        Item 1:                      Item 6:                Item 7:              Item 8:
                    Name of Issuer             Investment Discretion         Other        Voting Authority (Shares)
                                         (a) Sole (b)Shared as (c)Shared    Managers   (a) Sole  (b) Shared  (c) None
                                                       Def        Other
- --------------------------------------------------------------------------------------------------------------------
Wellington Hall Ltdcom New                             X                                   0          4,000      0
WHG Bancshares Corp                                    X                                   0            600      0
Washington Homes Inc New                               X                                   0          4,000      0
Whitehall Jewellers Inc                                X                                   0          1,650      0
Whirlpool Corp                                         X                                   0          8,040      0
WHX Corp.                                              X                                   0            106      0
Wicor Inc                                              X                                   0          1,400      0
Widcom Inc                                             X                                   0            200      0
Winn Dixie Stores                                      X                                   0          6,279      0
Wind River Systems Inc                                 X                                   0          9,411      0
Wink Communications                                    X                                   0          2,410      0
Winners Internet Network Inc                           X                                   0            350      0
SM&A Corporation                                       X                                   0          1,000      0
Wit Cap Group Inc                                      X                                   0          5,075      0
Witness Sys Inc                                        X                                   0            150      0
Whitman Education Group Inc                            X                                   0            800      0
WSI Interactive Marketing Inc                          X                                   0          1,500      0
Wesley Jessen Visioncare                               X                                   0          1,500      0
Whittaker Corp. Com Par 0.01                           X                                   0             41      0
Wilmington Trust Corp. New                             X                                   0          2,200      0
Warner Lambert Co.                                     X                                   0        157,200      0
World Wide Wireless Com                                X                                   0         26,000      0
Willamette Inds                                        X                                   0          6,490      0
Wellman Inc                                            X                                   0            550      0
Wilmar Inds Inc                                        X                                   0            725      0
Weblink Wireless Inc                                   X                                   0            200      0
Wellpoint Health Networks Inc.                         X                                   0            135      0
WLR Foods, Inc.                                        X                                   0            725      0
Lyon William Homes                                     X                                   0             60      0
Wilsons The Leather Experts                            X                                   0            900      0
Wolverine Tube Inc                                     X                                   0          2,200      0
Washington Mutual Inc.                                 X                                   0        201,216      0
Williams Companies Inc                                 X                                   0         44,609      0
WMC Limited ADR                                        X                                   0            140      0
Williams Control Inc                                   X                                   0          1,000      0
Waste Management Inc.                                  X                                   0        354,287      0
Weis Markets Inc                                       X                                   0            450      0
Wal Mart De Mexico Sa De Cv                            X                                   0          5,645      0
Wal Mart De Mexico Sa De Cv                            X                                   0          1,541      0
Wausau-Mosinee Paper Corp.                             X                                   0            920      0
WMS Industries Inc.                                    X                                   0          4,895      0
Wal-Mart Stores Inc.                                   X                                   0        531,363      0
Wynn's International                                   X                                   0          4,800      0
Wabash National Corp.                                  X                                   0            500      0
Windmere-Durable Holdings Inc                          X                                   0         30,440      0
Winjak Inc                                             X                                   0            375      0
Wayne Bancorp Inc Ohio                                 X                                   0          1,701      0
Wilshire Oil Co Tex                                    X                                   0            258      0
Westwood One Inc                                       X                                   0            554      0
Wyman Pk Bancorporation Inc                            X                                   0            500      0
Western Pwr & Equip Corp                               X                                   0          1,500      0
Watson Pharmaceuticals Inc                             X                                   0          8,724      0
White Pine Software Inc                                X                                   0          1,300      0
Washington Post- Class B                               X                                   0            453      0
WPP Group PLC - Sponsored ADR                          X                                   0         18,797      0
W P S Resources Corp.                                  X                                   0         24,265      0
WPSR Capital Trust I 7.00%                             X                                   0          2,300      0
</TABLE>

<PAGE>


<TABLE>
<CAPTION>
            FORM 13F             NAME OF REPORTING MANAGER: LEGG MASON WOOD WALKER (IMS)                     Run Date: 04/13/2000
                                                            FOR POSITIONS HELD AS OF 03/31/2000              S.E.C. Use Only

                        Item 1:            Item 2:           Item 3:         Item 4:            Item 5:
                    Name of Issuer      Title of Class    CUSIP Number  Fair Market Value      Shares or
                                                                           (X $1000)         Principal Amt.

- -------------------------------------------------------------------------------------------------------------
<S>                                      <C>                 <C>                    <C>             <C>
Westpoint Stevens Inc Cl A               Common Stock        961238102             52             2,750
Advanced Communications Group            Common Stock        981922107              5               500
West Penn Pwr Co                         PFD QTR 30/360      955278825              5               200
Western Resources Inc                    Common Stock        959425109             67             4,245
Western Resources Capital I              PFD QTR 30/360      959423203             48             3,200
World Container Corp                     Common Stock        981447105              0               950
Washington Real Estate Investors Trust   Common Stock        939653101            681            45,423
Weingarten Realty Investors              Common Stock        948741103             70             1,900
Waste Recovery Inc.                      Common Stock        940902109             25           206,520
Work Recovery Inc                        Common Stock        981370307              0                20
World Acceptance Corporation             Common Stock        981419104             18             3,475
Telular Corp                             Common Stock        87970T208             31             2,000
Warren Bancorp Inc                       Common Stock        934710104             20             3,000
Weirton Steel Corp.                      Common Stock        948774104             33             4,000
Wine Society Of America Inc              Common Stock        973903206              0                50
Wesbanco Inc                             Common Stock        950810101             48             2,490
Warwick Community Bancorp Inc            Common Stock        936559103              5               540
Wesco Financial Corp.                    Common Stock        950817106             26               100
Waterside Capital Corp                   Common Stock        941872103            143            15,926
Wall Street Deli Inc.                    Common Stock        931904106              3             2,000
Williams Sonoma Inc.                     Common Stock        969904101             11               340
Watsco Inc Cl A                          Common Stock        942622200              6               600
West Pharmaceutical Services             Common Stock        955306105             96             3,810
Westell Technologies Incorporated Cl A   Common Stock        957541105            108             3,400
Weston Roy F Inc                         Common Stock        961137106              2             1,000
Westerfed Finl Corp.                     Common Stock        957550106             36             2,600
Worthington Industry Inc                 Common Stock        981811102             38             3,050
Whitehall Enterprises Inc                Common Stock        965042104             78           290,300
White Mountains Inc Group Ltd Com        Common Stock        G9618E107            211             1,575
Whitney Holding Corp.                    Common Stock        966612103             78             2,400
Watts Industries Inc  Class A            Common Stock        942749102             61             4,900
Wet Seal Inc Cl A                        Common Stock        961840105            153             9,706
Wireless Telecom Group Inc               Common Stock        976524108              3               600
Wurlitzer Co                             Common Stock        982594103              0               100
Wavecom S A                              ADR                 943531103             11               100
World Water Corp                         Common Stock        98155N106              2             1,000
Western Wireless Corp Cl A               Common Stock        95988E204            235             5,137
World Wrestling Fedn Entmt Inc           Common Stock        98156Q108              2               100
Waste Industries Inc.                    Common Stock        941058109              2               200
Wolverine World Wide                     Common Stock        978097103             12             1,080
W3 Group Inc                             Preferred Stock     92934W206              3             6,000
Wrigley (WM) Jr Co                       Common Stock        982526105            418             5,439
Winston Hotels Inc.                      Common Stock        97563A102             11             1,400
Winston Hotels Inc 9.25% Cum Pfd         PFD QTR 30/360      97563A201              8               500
Weyerhaeuser Co.                         Common Stock        962166104          1,440            25,262
Wyndham Intl Inc                         Common Stock        983101106            820           437,176
USX-U.S. Steel Group                     Common Stock        90337T101            272            10,897
USX Capital Trust I                      PreferdStk Conv     90339E201             18               500
Xata Corp Com New                        Common Stock        983882309              5             1,000
Xceed Inc /De                            Common Stock        98388N105            119             4,950
XCL LTD                                  Common Stock        983701103              1             3,279
Mphase Technologies Inc                  Common Stock        62472C102             54             3,500
XEBEC                                    Common Stock        983889106              0               300
Exigent International Inc.               Common Stock        302056106              2               325
Xicor Corp.                              Common Stock        984903104             11               800
Xircom Inc                               Common Stock        983922105            907            24,503
XL Capital Ltd - Class A                 Common Stock        G98255105            200             3,616

                        Item 1:                      Item 6:                Item 7:              Item 8:
                    Name of Issuer             Investment Discretion         Other        Voting Authority (Shares)
                                         (a) Sole (b)Shared as (c)Shared    Managers   (a) Sole  (b) Shared  (c) None
                                                       Def        Other
- --------------------------------------------------------------------------------------------------------------------
Westpoint Stevens Inc Cl A                             X                                   0          2,750      0
Advanced Communications Group                          X                                   0            500      0
West Penn Pwr Co                                       X                                   0            200      0
Western Resources Inc                                  X                                   0          4,245      0
Western Resources Capital I                            X                                   0          3,200      0
World Container Corp                                   X                                   0            950      0
Washington Real Estate Investors Trust                 X                                   0         45,423      0
Weingarten Realty Investors                            X                                   0          1,900      0
Waste Recovery Inc.                                    X                                   0        206,520      0
Work Recovery Inc                                      X                                   0             20      0
World Acceptance Corporation                           X                                   0          3,475      0
Telular Corp                                           X                                   0          2,000      0
Warren Bancorp Inc                                     X                                   0          3,000      0
Weirton Steel Corp.                                    X                                   0          4,000      0
Wine Society Of America Inc                            X                                   0             50      0
Wesbanco Inc                                           X                                   0          2,490      0
Warwick Community Bancorp Inc                          X                                   0            540      0
Wesco Financial Corp.                                  X                                   0            100      0
Waterside Capital Corp                                 X                                   0         15,926      0
Wall Street Deli Inc.                                  X                                   0          2,000      0
Williams Sonoma Inc.                                   X                                   0            340      0
Watsco Inc Cl A                                        X                                   0            600      0
West Pharmaceutical Services                           X                                   0          3,810      0
Westell Technologies Incorporated Cl A                 X                                   0          3,400      0
Weston Roy F Inc                                       X                                   0          1,000      0
Westerfed Finl Corp.                                   X                                   0          2,600      0
Worthington Industry Inc                               X                                   0          3,050      0
Whitehall Enterprises Inc                              X                                   0        290,300      0
White Mountains Inc Group Ltd Com                      X                                   0          1,575      0
Whitney Holding Corp.                                  X                                   0          2,400      0
Watts Industries Inc  Class A                          X                                   0          4,900      0
Wet Seal Inc Cl A                                      X                                   0          9,706      0
Wireless Telecom Group Inc                             X                                   0            600      0
Wurlitzer Co                                           X                                   0            100      0
Wavecom S A                                            X                                   0            100      0
World Water Corp                                       X                                   0          1,000      0
Western Wireless Corp Cl A                             X                                   0          5,137      0
World Wrestling Fedn Entmt Inc                         X                                   0            100      0
Waste Industries Inc.                                  X                                   0            200      0
Wolverine World Wide                                   X                                   0          1,080      0
W3 Group Inc                                           X                                   0          6,000      0
Wrigley (WM) Jr Co                                     X                                   0          5,439      0
Winston Hotels Inc.                                    X                                   0          1,400      0
Winston Hotels Inc 9.25% Cum Pfd                       X                                   0            500      0
Weyerhaeuser Co.                                       X                                   0         25,262      0
Wyndham Intl Inc                                       X                                   0        437,176      0
USX-U.S. Steel Group                                   X                                   0         10,897      0
USX Capital Trust I                                    X                                   0            500      0
Xata Corp Com New                                      X                                   0          1,000      0
Xceed Inc /De                                          X                                   0          4,950      0
XCL LTD                                                X                                   0          3,279      0
Mphase Technologies Inc                                X                                   0          3,500      0
XEBEC                                                  X                                   0            300      0
Exigent International Inc.                             X                                   0            325      0
Xicor Corp.                                            X                                   0            800      0
Xircom Inc                                             X                                   0         24,503      0
XL Capital Ltd - Class A                               X                                   0          3,616      0
</TABLE>

<PAGE>


<TABLE>
<CAPTION>
            FORM 13F             NAME OF REPORTING MANAGER: LEGG MASON WOOD WALKER (IMS)                     Run Date: 04/13/2000
                                                            FOR POSITIONS HELD AS OF 03/31/2000              S.E.C. Use Only

                        Item 1:            Item 2:           Item 3:         Item 4:            Item 5:
                    Name of Issuer      Title of Class    CUSIP Number  Fair Market Value      Shares or
                                                                           (X $1000)         Principal Amt.

- ------------------------------------------------------------------------------------------------------------
<S>                                      <C>                 <C>                    <C>             <C>
Xcelera Com Inc                          Foreign Stock       G31611109            329             2,056
Sector Spdr Trust Shs Ben Int Basic      Common Stock        81369Y100              3               130
USX Capital LLC 8.75% Cum PFD Ser A      PFDMthly 30/360     P96460103             30             1,300
Sector Spdr Trust Shs Ben Int Energy     Common Stock        81369Y506             55             1,886
Sector Spdr Trust                        Common Stock        81369Y605             67             2,776
Sector Spdr Trust Shs Ben Int Industl    Common Stock        81369Y704              4               150
Sector Spdr Trust Shs                    Common Stock        81369Y803            482             7,955
Xilinx Inc.                              Common Stock        983919101          6,147            74,225
Excel Technology Inc.                    Common Stock        30067T103            108             3,050
Sector Spdr Tr                           Common Stock        81369Y209             29               930
Sector Spdr Trust Shs Ben Int            Common Stock        81369Y407             15               507
Xm Satellite Radio Hldgs Inc             Common Stock        983759101            723            20,745
Xin Net Corporation                      Foreign Stock       98413G109             14             1,500
Exxon Mobil Corp.                        Common Stock        30231G102         57,220           735,355
Xoma LTD                                 Common Stock        G9825R107            214            27,600
Ixos Software AG Spons ADR               ADR                 46600V108             65             1,476
Xpedior Inc                              Common Stock        98413B100            171             7,600
Dentsply International, Inc.             Common Stock        249030107          1,059            37,338
Xerox Corp.                              Common Stock        984121103          6,139           236,113
Salomon Smith Barney Hldgs Inc.          Common Stock        79549B859             46             1,333
Xetel Corp                               Common Stock        983942103              3             1,000
Cross Timbers Oil Co                     Common Stock        227573102             10               750
Mediaone Group Inc                       PreferdStk Conv     58440J500             78             1,500
CNL American Properties Fund Inc         Common Stock        12613A101              0             2,350
Angeles Opportunity Pptys Unit L P Int   Common Stock        034640102              1                 4
Cable TV Fund 14-B Units  Ltd Prtnrshi   LTD Part P1         126922509              0                34
Boston Cap Tax Cr Fd Ltd Ptnr            LTD Part  P12       100567304              0               600
Century Pension Inc Fd LP XXIV LTD Par   LTD Part  P4        156658106              0                 4
Jones Growth Partners LP Units LTD       LTD Part  P4        48020K100              0                 6
CNL Income Fund III LTD                  LTD Part  P4        125928879              0                13
Cnl Income Fd Ltd Unit L P XVI           LTD Part  P0        125928820              0             2,000
CNL Income Fund XVII LTD                 LTD Part  P4        C003445                0             3,000
Consolidated Capital Instl Properties    LTD Part P1         208924100              0                24
First Cap Instl Real Estate LTD          LTD Part  P4        31941R404              0               250
Jetstream 01                             Common Stock        477187108              0             1,600
Krupp Government Income Trust            Common Stock        501118103             25             2,683
Krupp Insd Plus-ii Ltd Partnr            LTD Part  P4        501125108              0             6,973
Krupp Insd Mtg Ltd Partnership           LTD Part  P4        501120109              0             3,770
Xybernaut Corp                           Common Stock        984149104            691            41,400
Alleghany Corp.                          Common Stock        017175100            130               694
Yardville National Bancorp N J           Common Stock        985021104             56             6,261
Yarc Systems Inc                         Common Stock        984859108              8            10,000
Yadkin Vy Bk&tr Co Elkin N C             Common Stock        984308106              2               200
Casinolive Com Corp                      Common Stock        14761V101              0               100
Yorkshire Capital Trust I 8.08%          PFD QTR 30/360      98719V206             62             3,400
Yellow Corporation                       Common Stock        985509108              9               500
York Finl Corp.                          Common Stock        986630101             52             3,778
Yahoo Inc                                Common Stock        984332106          6,982            40,739
Morgan Stanley Dean Witter High Inc Tr   Common Stock        61745P205             22             6,000
Young & Rubicam Inc.                     Common Stock        987425105            153             3,250
York Research Corp.                      Common Stock        987048105              2             1,000
Yorkridge Calvert Svg & Loan Assn-Balt   Common Stock        987192101              0               500
York International Inc                   Common Stock        986670107            949            40,587
Yue Yuen Industrial Holdings             Common Stock        G98803128              7             3,200
Tricon Global Restaurants Inc.           Common Stock        895953107            378            12,180
Venator Group Inc                        Common Stock        922944103             10             1,100
Zambia Cons Copp                         ADR                 988901203              0                 8

                        Item 1:                      Item 6:                Item 7:              Item 8:
                    Name of Issuer             Investment Discretion         Other        Voting Authority (Shares)
                                         (a) Sole (b)Shared as (c)Shared    Managers   (a) Sole  (b) Shared  (c) None
                                                       Def        Other
- --------------------------------------------------------------------------------------------------------------------
Xcelera Com Inc                                        X                                   0          2,056      0
Sector Spdr Trust Shs Ben Int Basic                    X                                   0            130      0
USX Capital LLC 8.75% Cum PFD Ser A                    X                                   0          1,300      0
Sector Spdr Trust Shs Ben Int Energy                   X                                   0          1,886      0
Sector Spdr Trust                                      X                                   0          2,776      0
Sector Spdr Trust Shs Ben Int Industl                  X                                   0            150      0
Sector Spdr Trust Shs                                  X                                   0          7,955      0
Xilinx Inc.                                            X                                   0         74,225      0
Excel Technology Inc.                                  X                                   0          3,050      0
Sector Spdr Tr                                         X                                   0            930      0
Sector Spdr Trust Shs Ben Int                          X                                   0            507      0
Xm Satellite Radio Hldgs Inc                           X                                   0         20,745      0
Xin Net Corporation                                    X                                   0          1,500      0
Exxon Mobil Corp.                                      X                                   0        735,355      0
Xoma LTD                                               X                                   0         27,600      0
Ixos Software AG Spons ADR                             X                                   0          1,476      0
Xpedior Inc                                            X                                   0          7,600      0
Dentsply International, Inc.                           X                                   0         37,338      0
Xerox Corp.                                            X                                   0        236,113      0
Salomon Smith Barney Hldgs Inc.                        X                                   0          1,333      0
Xetel Corp                                             X                                   0          1,000      0
Cross Timbers Oil Co                                   X                                   0            750      0
Mediaone Group Inc                                     X                                   0          1,500      0
CNL American Properties Fund Inc                       X                                   0          2,350      0
Angeles Opportunity Pptys Unit L P Int                 X                                   0              4      0
Cable TV Fund 14-B Units  Ltd Prtnrshi                 X                                   0             34      0
Boston Cap Tax Cr Fd Ltd Ptnr                          X                                   0            600      0
Century Pension Inc Fd LP XXIV LTD Par                 X                                   0              4      0
Jones Growth Partners LP Units LTD                     X                                   0              6      0
CNL Income Fund III LTD                                X                                   0             13      0
Cnl Income Fd Ltd Unit L P XVI                         X                                   0          2,000      0
CNL Income Fund XVII LTD                               X                                   0          3,000      0
Consolidated Capital Instl Properties                  X                                   0             24      0
First Cap Instl Real Estate LTD                        X                                   0            250      0
Jetstream 01                                           X                                   0          1,600      0
Krupp Government Income Trust                          X                                   0          2,683      0
Krupp Insd Plus-ii Ltd Partnr                          X                                   0          6,973      0
Krupp Insd Mtg Ltd Partnership                         X                                   0          3,770      0
Xybernaut Corp                                         X                                   0         41,400      0
Alleghany Corp.                                        X                                   0            694      0
Yardville National Bancorp N J                         X                                   0          6,261      0
Yarc Systems Inc                                       X                                   0         10,000      0
Yadkin Vy Bk&tr Co Elkin N C                           X                                   0            200      0
Casinolive Com Corp                                    X                                   0            100      0
Yorkshire Capital Trust I 8.08%                        X                                   0          3,400      0
Yellow Corporation                                     X                                   0            500      0
York Finl Corp.                                        X                                   0          3,778      0
Yahoo Inc                                              X                                   0         40,739      0
Morgan Stanley Dean Witter High Inc Tr                 X                                   0          6,000      0
Young & Rubicam Inc.                                   X                                   0          3,250      0
York Research Corp.                                    X                                   0          1,000      0
Yorkridge Calvert Svg & Loan Assn-Balt                 X                                   0            500      0
York International Inc                                 X                                   0         40,587      0
Yue Yuen Industrial Holdings                           X                                   0          3,200      0
Tricon Global Restaurants Inc.                         X                                   0         12,180      0
Venator Group Inc                                      X                                   0          1,100      0
Zambia Cons Copp                                       X                                   0              8      0
</TABLE>

<PAGE>


<TABLE>
<CAPTION>
            FORM 13F             NAME OF REPORTING MANAGER: LEGG MASON WOOD WALKER (IMS)                     Run Date: 04/13/2000
                                                            FOR POSITIONS HELD AS OF 03/31/2000              S.E.C. Use Only

                        Item 1:            Item 2:           Item 3:         Item 4:            Item 5:
                    Name of Issuer      Title of Class    CUSIP Number  Fair Market Value      Shares or
                                                                           (X $1000)         Principal Amt.

- -----------------------------------------------------------------------------------------------------------
<S>                                      <C>                 <C>                    <C>             <C>
Zany Brainy Inc                          Common Stock        98906Q101             53            10,900
Zapata Corp. New                         Common Stock        989070503             38             8,040
Zebra Technologies Corp. Cl A            Common Stock        989207105            164             3,275
Ziff-Davis Inc                           Common Stock        989511100             47             3,000
Ziff Davis Inc.                          Common Stock        989511209             97             4,550
Olympic Steel Inc.                       Common Stock        68162K106             96            23,925
Zweig Series Tr-Appreciation C           MutualFdEqClose     989834106            138            13,965
Zi Corp.                                 Common Stock        988918108            121             7,500
ZILA, Inc.                               Common Stock        989513205             47            10,000
Zions BanCorporation                     Common Stock        989701107            553            13,288
Ziplink Inc                              Common Stock        989741103             20             1,350
Zitel Corp.                              Common Stock        989913108            160            26,600
Zixit Corp                               Common Stock        98974P100             49               670
Zale Corp. New                           Common Stock        988858106            193             4,090
Zamba Corp                               Common Stock        988881108             10             1,000
Zebramart.com                            Common Stock        98920R101             38            65,000
China Southern Airlines Co Ltd           Foreign Stock       169409109              2               327
Zenith National                          Common Stock        989390109             86             3,872
Zoltek Companies Inc                     Common Stock        98975W104              1               150
Zomax Optical Media Inc.                 Common Stock        989929104            306             5,079
Zonagen Inc.                             Common Stock        98975L108             28             3,300
Zoom Telephonic Inc                      Common Stock        98976E103              7               500
Gadzoox Networks Inc                     Common Stock        362555104             57             1,190
Zap Com Corp                             Common Stock        989063102              1               160
Zeroplus Com Inc                         Common Stock        98949Y103             10             1,000
Zoran Corp.                              Common Stock        98975F101             56             1,000
Z Tel Technologies Inc                   Common Stock        988792107              4               100
The Zweig Total Return Fd                Common Stock        989837109            132            19,005
Berry & Boyle Dev Ptnrs                  Common Stock        085757201              0                 4
Plm Equipment Growth Fund VI             Common Stock        69341H303              0               350

Grand Total:                                                                4,202,639


                        Item 1:                      Item 6:                Item 7:              Item 8:
                    Name of Issuer             Investment Discretion         Other        Voting Authority (Shares)
                                         (a) Sole (b)Shared as (c)Shared    Managers   (a) Sole  (b) Shared  (c) None
                                                       Def        Other
- --------------------------------------------------------------------------------------------------------------------
Zany Brainy Inc                                        X                                   0         10,900      0
Zapata Corp. New                                       X                                   0          8,040      0
Zebra Technologies Corp. Cl A                          X                                   0          3,275      0
Ziff-Davis Inc                                         X                                   0          3,000      0
Ziff Davis Inc.                                        X                                   0          4,550      0
Olympic Steel Inc.                                     X                                   0         23,925      0
Zweig Series Tr-Appreciation C                         X                                   0         13,965      0
Zi Corp.                                               X                                   0          7,500      0
ZILA, Inc.                                             X                                   0         10,000      0
Zions BanCorporation                                   X                                   0         13,288      0
Ziplink Inc                                            X                                   0          1,350      0
Zitel Corp.                                            X                                   0         26,600      0
Zixit Corp                                             X                                   0            670      0
Zale Corp. New                                         X                                   0          4,090      0
Zamba Corp                                             X                                   0          1,000      0
Zebramart.com                                          X                                   0         65,000      0
China Southern Airlines Co Ltd                         X                                   0            327      0
Zenith National                                        X                                   0          3,872      0
Zoltek Companies Inc                                   X                                   0            150      0
Zomax Optical Media Inc.                               X                                   0          5,079      0
Zonagen Inc.                                           X                                   0          3,300      0
Zoom Telephonic Inc                                    X                                   0            500      0
Gadzoox Networks Inc                                   X                                   0          1,190      0
Zap Com Corp                                           X                                   0            160      0
Zeroplus Com Inc                                       X                                   0          1,000      0
Zoran Corp.                                            X                                   0          1,000      0
Z Tel Technologies Inc                                 X                                   0            100      0
The Zweig Total Return Fd                              X                                   0         19,005      0
Berry & Boyle Dev Ptnrs                                X                                   0              4      0
Plm Equipment Growth Fund VI                           X                                   0            350      0
</TABLE>
<PAGE>
                Bingham Legg Advisers LLC - 13F Report - 3/31/00

<TABLE>
<CAPTION>
                                                                   13F Report 3/31/00                              Voting Authority
                                                               -------------------------            Investment   -------------------
Name of issuer                        class          cusip    Value (x$1000)   Shs/Prn Amt  Sh/Prn  Discretion     Sole        None
<S>                                   <C>             <C>        <C>              <C>       <C>       <C>         <C>           <C>
AES CORP                              COM          00130H105     1475             17608      SH      OTHER        17608
AT&T CORP                             COM          001957109     5650            115162      SH      SOLE         113512       1650
AT&T CORP                             COM          001957109      346              7066      SH      OTHER        6916          150
ABBOTT LABORATORIES COM               COM          002824100     2926             73048      SH      SOLE         73048
ABBOTT LABORATORIES COM               COM          002824100      360              9000      SH      OTHER        9000
AIR PRODS & CHEMS INC COM             COM          009158106      271              8600      SH      SOLE         8600
AIR PRODS & CHEMS INC COM             COM          009158106       29               950      SH      OTHER        950
AIRGATE PCS INC                       COM          009367103      216              3050      SH      SOLE         3050
ALBERTSONS INC COM                    COM          013104104      678             20400      SH      SOLE         20400
ALBERTSONS INC COM                    COM          013104104      217              6550      SH      OTHER        6550
ALCATEL                               COM          013904305     1975             46975      SH      SOLE         44675        2300
ALLAIRE CORPORATION                   COM          016714107      260              5400      SH      SOLE         5400
ALLIANCE CAPITAL MANAGEMENT HL        COM          01855A101      250              6000      SH      SOLE         6000
ALLMERICA FINANCIAL CORP COM          COM          019754100      223              4498      SH      SOLE         4498
ALLMERICA FINANCIAL CORP COM          COM          019754100        9               200      SH      OTHER        200
AMERICA ONLINE INC                    COM          02364J104      184              3200      SH      SOLE         2800          400
AMERICA ONLINE INC                    COM          02364J104       62              1080      SH      OTHER        1080
AMERICAN EXPRESS CO COM               COM          025816109      487              3250      SH      SOLE         3250
AMERICAN EXPRESS CO COM               COM          025816109       52               350      SH      OTHER        350
AMERICAN GENERAL CORP COM             COM          026351106     1053             19076      SH      SOLE         19076
AMERICAN GENERAL CORP COM             COM          026351106       22               415      SH      OTHER        415
AMERICAN HOME PRODS CORP COM          COM          026609107     4521             75120      SH      SOLE         75120
AMERICAN HOME PRODS CORP COM          COM          026609107      604             10036      SH      OTHER        10036
AMERICAN INTL GROUP INC COM           COM          026874107     2313             20681      SH      SOLE         20681
AMERICAN INTL GROUP INC COM           COM          026874107     2800             25032      SH      OTHER        25032
AMER PWR CONVERSION CORP              COM          029066107     4546            116200      SH      SOLE         116200
AMER PWR CONVERSION CORP              COM          029066107      884             22600      SH      OTHER        22600
AMGEN INC                             COM          031162100      949             18500      SH      SOLE         17700         800
AMGEN INC                             COM          031162100       31               611      SH      OTHER        611
ANADARKO PETROLEUM CORP COM           COM          032511107      141              3600      SH      SOLE         3600
ANADARKO PETROLEUM CORP COM           COM          032511107      251              6400      SH      OTHER        6400
ANALOG DEVICES INC                    COM          032654105      295              4800      SH      SOLE         4800
ANDREW CORP                           COM          034425108      287             12295      SH      SOLE         12295
ANDREW CORP                           COM          034425108        8               350      SH      OTHER        350
ANHEUSER BUSCH COS INC COM            COM          035229103     4895             65486      SH      SOLE         63936        1550
ANHEUSER BUSCH COS INC COM            COM          035229103       16               222      SH      OTHER        222
APPLIED MATERIALS INC                 COM          038222105      803              8800      SH      SOLE         8800
THE ASIA PACIFIC FUND INC             COM          044901106       91             10130      SH      OTHER        10130
ATLANTIC RICHFIELD CO COM             COM          048825103     2284             29454      SH      SOLE         29454
ATLANTIC RICHFIELD CO COM             COM          048825103      242              3123      SH      OTHER        3123
AUTOMATIC DATA PROCESSING INC         COM          053015103     1842             34166      SH      SOLE         34166
AUTOMATIC DATA PROCESSING INC         COM          053015103      107              2000      SH      OTHER        2000
AVALONBAY COMMUNITIES INC             COM          053484101      646             17050      SH      SOLE         17050
AVALONBAY COMMUNITIES INC             COM          053484101      411             10840      SH      OTHER        10840
AVANEX CORPORATION                    COM          05348W109      206              2700      SH      SOLE         2700
BJS WHOLESALE CLUB INC COM            COM          05548J106     3479             96150      SH      SOLE         96150
BJS WHOLESALE CLUB INC COM            COM          05548J106      379             10500      SH      OTHER        10500
BP AMOCO PLC                          COM          055622104    16983            341378      SH      SOLE         341378
BP AMOCO PLC                          COM          055622104     1483             29814      SH      OTHER        29814
BMC SOFTWARE INC                      COM          055921100      114              3025      SH      SOLE         3025
BMC SOFTWARE INC                      COM          055921100      111              2950      SH      OTHER        2950
</TABLE>

<PAGE>
<TABLE>
<CAPTION>
                                                                   13F Report 3/31/00                              Voting Authority
                                                               -------------------------             Investment   ------------------
Name of issuer                         class          cusip    Value (x$1000)   Shs/Prn Amt  Sh/Prn  Discretion     Sole        None
<S>                                   <C>             <C>        <C>              <C>       <C>       <C>         <C>           <C>
BAKER HUGHES INC COM                  COM          057224107      625             21580      SH      SOLE         21580
BAKER HUGHES INC COM                  COM          057224107      110              3825      SH      OTHER        3825
BANK OF AMERICA CORPORATION           COM          060505104     1476             28670      SH      SOLE         28670
BANK OF AMERICA CORPORATION           COM          060505104      244              4751      SH      OTHER        4751
BANK NEW YORK INC COM                 COM          064057102      518             12000      SH      SOLE         12000
BANK NEW YORK INC COM                 COM          064057102       95              2200      SH      OTHER        2200
BANK ONE CORPORATION                  COM          06423A103      205              6650      SH      SOLE         6650
BANK ONE CORPORATION                  COM          06423A103       12               400      SH      OTHER        400
BEA SYSTEMS INC                       COM          073325102      226              3060      SH      SOLE         3060
BELL ATLANTIC CORP COM                COM          077853109      807             13044      SH      SOLE         13044
BELL ATLANTIC CORP COM                COM          077853109       36               592      SH      OTHER        592
BELLSOUTH CORP COM                    COM          079860102      375              7256      SH      SOLE         7256
BELLSOUTH CORP COM                    COM          079860102      248              4800      SH      OTHER        4800
A H BELO CORPORATION CL A             COM          080555105      417             25300      SH      SOLE         24300        1000
BERKSHIRE HATHAWAY INC DEL            COM          084670108    12240               204      SH      SOLE         204
BERKSHIRE HATHAWAY INC DEL            COM          084670108       60                 1      SH      OTHER        1
BERKSHIRE HATHAWAY INC DEL            COM          084670207     2875              1482      SH      SOLE         1482
BERKSHIRE HATHAWAY INC DEL            COM          084670207      265               137      SH      OTHER        137
BESTFOODS INC COM                     COM          08658U101      327              6200      SH      SOLE         6200
BESTFOODS INC COM                     COM          08658U101      116              2200      SH      OTHER        2200
BIOMATRIX INC                         COM          09060P102       38              2000      SH      SOLE         2000
BIOMATRIX INC                         COM          09060P102      229             12000      SH      OTHER        12000
BIOMET INC                            COM          090613100      500             13900      SH      OTHER        13900
BOSTON PROPERTIES INC                 COM          101121101       17               500      SH      SOLE         500
BOSTON PROPERTIES INC                 COM          101121101      422             12300      SH      OTHER        12300
BOSTON SCIENTIFIC CORP                COM          101137107       96              3800      SH      SOLE         3800
BOSTON SCIENTIFIC CORP                COM          101137107      306             12088      SH      OTHER        12088
BRISTOL MYERS SQUIBB CO               COM          110122108     2218             44770      SH      SOLE         43770        1000
BRISTOL MYERS SQUIBB CO               COM          110122108      406              8200      SH      OTHER        8200
BROADCOM CORPORATION                  COM          111320107      418              2950      SH      SOLE         2950
BROADWING INC                         COM          111620100     1416             54100      SH      SOLE         51600        2500
BROADWING INC                         COM          111620100       13               500      SH      OTHER        500
BURLINGTON RESOURCES                  COM          122014103        4               125      SH      SOLE         125
BURLINGTON RESOURCES                  COM          122014103      293              7500      SH      OTHER        7500
CIGNA CORP COM                        COM          125509109      242              2900      SH      SOLE         2900
CIGNA CORP COM                        COM          125509109       16               195      SH      OTHER        195
CSX CORP COM                          COM          126408103      208              9964      SH      SOLE         9964
CSX CORP COM                          COM          126408103       20              1000      SH      OTHER        1000
CVS CORP COM                          COM          126650100     5405            122850      SH      SOLE         120375       2475
CVS CORP COM                          COM          126650100      312              7100      SH      OTHER        7100
CAPITAL ONE FINANCIAL INC             COM          14040H105      278              5900      SH      OTHER        5900
CARDINAL HEALTH INC COM               COM          14149Y108      135              2563      SH      SOLE         2563
CARDINAL HEALTH INC COM               COM          14149Y108       89              1700      SH      OTHER        1700
CARNIVAL CORPORATION                  COM          143658102     2159             91150      SH      SOLE         91150
CARNIVAL CORPORATION                  COM          143658102      859             36300      SH      OTHER        36300
CHARTER ONE FINL INC                  COM          160903100     1163             59650      SH      SOLE         58550        1100
CHASE MANHATTAN CORP NEW              COM          16161A108     1763             23590      SH      SOLE         22590        1000
CHASE MANHATTAN CORP NEW              COM          16161A108      176              2361      SH      OTHER        2361
CHEVRON CORP COM                      COM          166751107     3534             41464      SH      SOLE         41464
CHEVRON CORP COM                      COM          166751107     1662             19500      SH      OTHER        19500
CHUBB CORP COM                        COM          171232101      314              4845      SH      SOLE         4845
</TABLE>

<PAGE>
<TABLE>
<CAPTION>
                                                                   13F Report 3/31/00                              Voting Authority
                                                               -------------------------            Investment   -------------------
Name of issuer                        class          cusip    Value (x$1000)   Shs/Prn Amt  Sh/Prn  Discretion     Sole        None
<S>                                   <C>             <C>        <C>              <C>       <C>       <C>         <C>           <C>
CHUBB CORP COM                        COM          171232101      195              3000      SH      OTHER        3000
CIENA CORP COM                        COM          171779101      266              2950      SH      SOLE         2950
CIPHERGEN BIOSYSTEMS INC              CONV PFD     172529992       50             25576      SH      SOLE         25576
CIRCUIT CITY STORES INC               COM          172737108      817             14040      SH      SOLE         14040
CISCO SYSTEMS INC                     COM          17275R102     1558             24570      SH      SOLE         23770         800
CISCO SYSTEMS INC                     COM          17275R102      470              7419      SH      OTHER        7419
CINTAS CORP COM                       COM          172908105      672             17300      SH      SOLE         17300
CITIGROUP INC                         COM          172967101     5061             81877      SH      SOLE         81427         450
CITIGROUP INC                         COM          172967101      530              8575      SH      OTHER        8575
COCA COLA CO COM                      COM          191216100     1383             27879      SH      SOLE         27879
COCA COLA CO COM                      COM          191216100      109              2200      SH      OTHER        2200
COGNEX CORP                           COM          192422103       25               500      SH      SOLE                       500
COGNEX CORP                           COM          192422103      331              6400      SH      OTHER        6400
COLGATE PALMOLIVE CO COM              COM          194162103      438              7488      SH      SOLE         7488
COLGATE PALMOLIVE CO COM              COM          194162103      175              3000      SH      OTHER        3000
COMPAQ COMPUTER CORP COM              COM          204493100     1914             72925      SH      SOLE         72925
COMPAQ COMPUTER CORP COM              COM          204493100      855             32600      SH      OTHER        32600
COMPUTER ASSOC INTL INC               COM          204912109     1047             20900      SH      SOLE         20900
COMPUTER ASSOC INTL INC               COM          204912109      533             10647      SH      OTHER        10647
COMPUTER SCIENCES CORP                COM          205363104      932             11900      SH      SOLE         11900
COMVERSE TECHNOLOGY                   COM          205862402      270              3600      SH      SOLE         3600
CONAGRA INC                           COM          205887102      156              7900      SH      SOLE         7900
CONAGRA INC                           COM          205887102       73              3700      SH      OTHER        3700
CONEXANT SYS INC COM                  COM          207142100      813             14000      SH      SOLE         14000
CONSECO CO INC                        COM          208464107      188             31820      SH      OTHER        31820
CONVERGYS CORPORATION                 COM          212485106      566             14900      SH      SOLE         14250         650
COOPER CAMERON CORP COM               COM          216640102      529              7500      SH      SOLE         7500
COOPER CAMERON CORP COM               COM          216640102       74              1050      SH      OTHER        1050
CORNING INC                           COM          219350105      507              3420      SH      SOLE         3420
CORNING INC                           COM          219350105      907              6110      SH      OTHER        6110
COSTCO WHOLESALE CORPORATION          COM          22160K105     1808             32300      SH      SOLE         32300
COSTCO WHOLESALE CORPORATION          COM          22160K105     1215             21700      SH      OTHER        21700
DELL COMPUTER CORP                    COM          247025109      623             13050      SH      SOLE         12650         400
DELL COMPUTER CORP                    COM          247025109      263              5524      SH      OTHER        5524
DELPHI FINANCIAL GROUP INC.           COM          247131105      320             11992      SH      OTHER        11992
DEVRY INC DEL                         COM          251893103      448             19500      SH      OTHER        19500
DIAL CORP                             COM          25247D101     2186            156200      SH      SOLE         152200       4000
DIAMOND OFFSHORE DRILLING             COM          25271C102      564             14400      SH      SOLE         14400
DISNEY WALT PRODTNS COM               COM          254687106     1358             33750      SH      SOLE         33450         300
DISNEY WALT PRODTNS COM               COM          254687106       12               301      SH      OTHER        301
DITECH COMMUNICATIONS                 COM          25500M103      304              3900      SH      SOLE         3900
DOMINION RESOURCES INC/VA             COM          25746U109      284              6413      SH      SOLE         6413
DOVER CORP COM                        COM          260003108     2864             54050      SH      SOLE         54050
DOVER CORP COM                        COM          260003108     1637             30900      SH      OTHER        30900
DOW CHEMICAL CO COM                   COM          260543103      936              8594      SH      SOLE         8594
DOW CHEMICAL CO COM                   COM          260543103       54               500      SH      OTHER        500
DU PONT E I DE NEMOURS & CO CO        COM          263534109     3427             61200      SH      SOLE         59250        1950
DU PONT E I DE NEMOURS & CO CO        COM          263534109      273              4882      SH      OTHER        4632          250
DUKE ENERGY CORP                      COM          264399106      624             10806      SH      SOLE         10806
DUKE ENERGY CORP                      COM          264399106       34               600      SH      OTHER        600
EMC CORPORATION                       COM          268648102     1756             13560      SH      SOLE         12460        1100
</TABLE>

<PAGE>
<TABLE>
<CAPTION>
                                                                   13F Report 3/31/00                              Voting Authority
                                                               -------------------------            Investment   -------------------
Name of issuer                        class          cusip    Value (x$1000)   Shs/Prn Amt  Sh/Prn  Discretion     Sole        None
<S>                                   <C>             <C>        <C>              <C>       <C>       <C>         <C>           <C>
EMC CORPORATION                       COM          268648102     1516             11707      SH      OTHER        11707
E INK CORPORATION                     PREFERRED    269990206       15              8064      SH      SOLE         8064
E INK CORPORATION                     PREFERRED    269990206       25             13440      SH      OTHER        13440
EASTMAN CHEMICAL CO INC               COM          277432100      140              3002      SH      SOLE         3002
EASTMAN CHEMICAL CO INC               COM          277432100       66              1412      SH      OTHER        1412
ELAN CORP PLC                         COM          284131208       99              2200      SH      SOLE         2200
ELAN CORP PLC                         COM          284131208      949             21038      SH      OTHER        21038
ELECTRONIC DATA SYSTEMS CORP N        COM          285661104       96              1380      SH      SOLE         1380
ELECTRONIC DATA SYSTEMS CORP N        COM          285661104      105              1500      SH      OTHER        1500
EMERSON ELEC CO COM                   COM          291011104     1474             27368      SH      SOLE         26218        1150
EMERSON ELEC CO COM                   COM          291011104       72              1350      SH      OTHER        1350
ENRON CORP                            COM          293561106      244              3474      SH      OTHER        3474
EQUITY OFFICE PROPERTY TR             COM          294741103      439             16146      SH      SOLE         16146
EQUITY OFFICE PROPERTY TR             COM          294741103       10               400      SH      OTHER        400
L M ERICSSON TEL CO                   COM          294821400      225              3000      SH      SOLE         3000
EXPLORE HOLDINGS LLC SHARES           COM          30214H929       46             19234      SH      SOLE         19234
EXXON MOBIL CORPORATION               COM          30231G102    36553            457629      SH      SOLE         456043       1586
EXXON MOBIL CORPORATION               COM          30231G102    12437            155714      SH      OTHER        155714
FPL GROUP INC COM                     COM          302571104      731             16100      SH      SOLE         16100
FPL GROUP INC COM                     COM          302571104       27               600      SH      OTHER        600
FREDDIE MAC                           COM          313400301     4289             85900      SH      SOLE         83800        2100
FREDDIE MAC                           COM          313400301       54              1100      SH      OTHER        1100
FANNIE MAE                            COM          313586109     4551             71466      SH      SOLE         69816        1650
FANNIE MAE                            COM          313586109      171              2700      SH      OTHER        2700
FEDERATED DEPARTMENT STORES IN        COM          31410H101      382             10200      SH      SOLE         10200
FEDERATED DEPARTMENT STORES IN        COM          31410H101       46              1250      SH      OTHER        1250
FIRST UNION CORP                      COM          337358105      448             13204      SH      SOLE         13204
FIRST UNION CORP                      COM          337358105       10               300      SH      OTHER        300
FIRSTAR CORP NEW WIS                  COM          33763V109      288             10414      SH      SOLE         10414
FLEETBOSTON FINANCIAL CORPORAT        COM          339030108     2611             72669      SH      SOLE         72669
FLEETBOSTON FINANCIAL CORPORAT        COM          339030108      840             23379      SH      OTHER        23379
FORD MOTOR CO DEL                     COM          345370100      985             17816      SH      SOLE         17016         800
FORD MOTOR CO DEL                     COM          345370100      143              2600      SH      OTHER        2600
FOX ENTMT GROUP INC CL A              COM          35138T107      321             13298      SH      SOLE         13298
GTE CORP COM                          COM          362320103      393              5416      SH      SOLE         5416
GTE CORP COM                          COM          362320103      589              8119      SH      OTHER        8119
GANNETT INC COM                       COM          364730101      217              3300      SH      SOLE         3300
GANNETT INC COM                       COM          364730101      158              2400      SH      OTHER        2400
GENENTECH INC                         COM          368710406      288              2850      SH      SOLE         2850
GENERAL ELECTRIC CO COM               COM          369604103    29278            180659      SH      SOLE         174009       6650
GENERAL ELECTRIC CO COM               COM          369604103     8577             52924      SH      OTHER        52924
GENERAL GROWTH PPTYS INC              COM          370021107      150              4727      SH      SOLE         4727
GENERAL GROWTH PPTYS INC              COM          370021107      344             10800      SH      OTHER        10800
GENERAL MILLS INC COM                 COM          370334104      191              5200      SH      SOLE         5200
GENERAL MILLS INC COM                 COM          370334104      121              3300      SH      OTHER        3300
GENERAL MOTORS CORP COM               COM          370442105      263              2998      SH      SOLE         2998
GENERAL MOTORS CORP COM               COM          370442105       94              1073      SH      OTHER        1073
GENERAL MOTORS CORP CLASS H CO        COM          370442832     1394             15920      SH      SOLE         15900          20
GENERAL MOTORS CORP CLASS H CO        COM          370442832      521              5950      SH      OTHER        5950
GILLETTE CO COM                       COM          375766102      190              4900      SH      SOLE         4900
GILLETTE CO COM                       COM          375766102       23               600      SH      OTHER        600
</TABLE>

<PAGE>
<TABLE>
<CAPTION>
                                                                    13F Report 3/31/00                              Voting Authority
                                                               -------------------------            Investment   -------------------
Name of issuer                        class          cusip    Value (x$1000)   Shs/Prn Amt  Sh/Prn  Discretion     Sole        None
<S>                                   <C>             <C>        <C>              <C>       <C>       <C>         <C>           <C>
GUIDANT CORP                          COM          401698105      724             12691      SH      SOLE         12491         200
HALLIBURTON CO COM                    COM          406216101      574             13799      SH      SOLE         13799
HEALTHSOUTH CORP COM                  COM          421924101       89             11200      SH      OTHER        11200
HEWLETT PACKARD CO COM                COM          428236103     6705             50680      SH      SOLE         50680
HEWLETT PACKARD CO COM                COM          428236103     2823             21340      SH      OTHER        21340
HOME DEPOT INC COM                    COM          437076102     1411             23692      SH      SOLE         23392         300
HOME DEPOT INC COM                    COM          437076102       80              1350      SH      OTHER        1350
HONEYWELL INC                         COM          438516106     2087             37107      SH      SOLE         37107
HONEYWELL INC                         COM          438516106      157              2800      SH      OTHER        2800
HOUGHTON MIFFLIN CO COM               COM          441560109      464             11480      SH      SOLE         11480
HOUGHTON MIFFLIN CO COM               COM          441560109      277              6860      SH      OTHER        6860
HUBBELL INC CL B                      COM          443510201      209              8000      SH      OTHER        8000
IGATE CAPITAL CORPORATION             COM          45169U105      284              9800      SH      OTHER        9800
ILLINOIS TOOL WORKS INC COM           COM          452308109      203              3281      SH      SOLE         3281
INCO LTD COM                          COM          453258402      494             29000      SH      SOLE         29000
INKTOMI CORP                          COM          457277101      355              2800      SH      SOLE         2800
INKTOMI CORP                          COM          457277101       25               200      SH      OTHER        200
INTEL CORP COM                        COM          458140100     5010             43145      SH      SOLE         42495         650
INTEL CORP COM                        COM          458140100     1100              9474      SH      OTHER        9474
INTL BUSINESS MACHINES CORP CO        COM          459200101     5747             53967      SH      SOLE         52592        1375
INTL BUSINESS MACHINES CORP CO        COM          459200101      831              7810      SH      OTHER        7810
INTERNATIONAL PAPER CO COM            COM          460146103      290              7263      SH      SOLE         7263
INTERNATIONAL PAPER CO COM            COM          460146103       36               900      SH      OTHER        900
JEFFERSON-PILOT CORP                  COM          475070108      416              6725      SH      SOLE         6625          100
JEFFERSON-PILOT CORP                  COM          475070108       46               750      SH      OTHER        750
JOHNSON & JOHNSON COM                 COM          478160104     4813             57392      SH      SOLE         56312        1080
JOHNSON & JOHNSON COM                 COM          478160104     1113             13275      SH      OTHER        13275
JOHNSON CONTROLS INC                  COM          478366107      891             14425      SH      SOLE         13425        1000
KEYCORP NEW                           COM          493267108       86              4716      SH      SOLE         4716
KEYCORP NEW                           COM          493267108      132              7210      SH      OTHER        7210
KIMBERLY CLARK CORP COM               COM          494368103      193              3200      SH      SOLE         3200
KIMBERLY CLARK CORP COM               COM          494368103      356              5900      SH      OTHER        5900
KROGER CO COM                         COM          501044101      332             17600      SH      SOLE         17600
LECROY CORP                           COM          52324W109      659             48844      SH      SOLE         48844
LEGGETT & PLATT INC                   COM          524660107     1382             63737      SH      SOLE         63737
LEGGETT & PLATT INC                   COM          524660107      581             26800      SH      OTHER        26800
LIBERTY FINANCIAL COMPANIES IN        CONV PFD     530512201     2190             73047      SH      SOLE         73047
LIBERTY FINANCIAL COMPANIES IN        CONV PFD     530512201     2203             73468      SH      OTHER        73468
LIBERTY PROPERTY TRUST                COM          531172104        4               200      SH      SOLE         200
LIBERTY PROPERTY TRUST                COM          531172104      275             11400      SH      OTHER        11400
LILLY ELI & CO COM                    COM          532457108     1212             15648      SH      SOLE         15648
LILLY ELI & CO COM                    COM          532457108      186              2400      SH      OTHER        2400
LINCOLN NATL CORP IND COM             COM          534187109      436             12625      SH      SOLE         12625
LINCOLN NATL CORP IND COM             COM          534187109       34              1000      SH      OTHER        1000
LINEAR TECHNOLOGY CORP COM            COM          535678106      493             10060      SH      SOLE         10060
LUCENT TECHNOLOGIES INC COM           COM          549463107     4237             69889      SH      SOLE         67439        2450
LUCENT TECHNOLOGIES INC COM           COM          549463107      283              4679      SH      OTHER        4379          300
LYCOS INC COM                         COM          550818108      392             11000      SH      SOLE         11000
MBIA INC                              COM          55262C100       42               850      SH      SOLE         850
MBIA INC                              COM          55262C100      180              3600      SH      OTHER        3600
MCI WORLDCOM INC                      COM          55268B106     4313            108521      SH      SOLE         106171       2350
</TABLE>

<PAGE>
<TABLE>
<CAPTION>
                                                                     13F Report 3/31/00                           Voting Authority
                                                               -------------------------            Investment   -------------------
Name of issuer                        class          cusip    Value (x$1000)   Shs/Prn Amt  Sh/Prn  Discretion     Sole        None
<S>                                   <C>             <C>        <C>              <C>       <C>       <C>         <C>           <C>
MCI WORLDCOM INC                      COM          55268B106      371              9334      SH      OTHER        9334
MACERICH COMPANY                      COM          554382101      297             13500      SH      SOLE         13500
MACK-CALI REALTY CORP                 COM          554489104      419             16500      SH      SOLE         16500
MARSH & MCCLENNAN COS INC COM         COM          571748102     1041             10800      SH      SOLE         10800
MARSH & MCCLENNAN COS INC COM         COM          571748102      462              4797      SH      OTHER        4797
MAXIM INTEGRATED PRODUCTS INC         COM          57772K101      264              4500      SH      SOLE         4500
MAY DEPT STORES CO COM                COM          577778103      241              8350      SH      SOLE         8350
MAY DEPT STORES CO COM                COM          577778103      114              3960      SH      OTHER        3960
MCDONALDS CORP COM                    COM          580135101     3027             77625      SH      SOLE         77325         300
MCDONALDS CORP COM                    COM          580135101       50              1300      SH      OTHER        1300
MEDIA ONE GROUP INC                   COM          58440J104      498              6364      SH      SOLE         6364
MEDIA ONE GROUP INC                   COM          58440J104       82              1050      SH      OTHER        1050
MEDTRONIC INC COM                     COM          585055106     2975             55221      SH      SOLE         55021         200
MEDTRONIC INC COM                     COM          585055106     1181             21937      SH      OTHER        21937
MELLON FINANCIAL CORP.                COM          58551A108      571             16950      SH      SOLE         14650        2300
MERCK & CO INC COM                    COM          589331107     7711            107196      SH      SOLE         105846       1350
MERCK & CO INC COM                    COM          589331107     4145             57624      SH      OTHER        57624
MICROSOFT CORP                        COM          594918104     7087            106374      SH      SOLE         104124       2250
MICROSOFT CORP                        COM          594918104      173              2605      SH      OTHER        2605
MINNESOTA MNG & MFG CO COM            COM          604059105     2189             22460      SH      SOLE         22460
MINNESOTA MNG & MFG CO COM            COM          604059105      195              2000      SH      OTHER        2000
MONADNOCK PAPER MILLS INC             COM          608990107      245              3171      SH      OTHER        3171
MORGAN J P & CO INC COM               COM          616880100     1610             12025      SH      SOLE         12025
MORGAN J P & CO INC COM               COM          616880100      351              2625      SH      OTHER        2625
MORGAN STANLEY DEAN WITTER EAS        COM          616988101      280             16100      SH      OTHER        16100
MORGAN STANLEY                        COM          617446448     2309             29750      SH      SOLE         29750
MORGAN STANLEY                        COM          617446448     1571             20250      SH      OTHER        20250
MORGAN STANLEY DEAN WITTER            COM          61744G107      135              9300      SH      SOLE         9300
MORGAN STANLEY DEAN WITTER            COM          61744G107     7345            504400      SH      OTHER        504400
MORGAN STANLEY DEAN WITTER            COM          61745C105      247             21800      SH      OTHER        21800
MOTOROLA INC COM                      COM          620076109      503              4800      SH      SOLE         4300          500
MOTOROLA INC COM                      COM          620076109      146              1400      SH      OTHER        1400
NASDAQ-100 SHARES                     COM          631100104      204              2400      SH      SOLE         2400
NATIONAL CITY CORP COM                COM          635405103      195             10800      SH      SOLE         10800
NATIONAL CITY CORP COM                COM          635405103        9               500      SH      OTHER        500
NATURAL CHEMISTRY INC                 CONV PFD     63884L201        4             16600      SH      OTHER        16600
NATURAL CHEMISTRY INC                 COM          63884L904       12             16589      SH      OTHER        16589
NEW ENGLAND BUSINESS SVC INC C        COM          643872104     4837            300017      SH      SOLE         300017
NEW YORK TIMES CO CL A                COM          650111107     5494            135040      SH      SOLE         135040
NEW YORK TIMES CO CL A                COM          650111107      156              3840      SH      OTHER        3840
NOKIA CORPORATION                     COM          654902204      460              9700      SH      SOLE         8200         1500
NOKIA CORPORATION                     COM          654902204       10               220      SH      OTHER        220
NORFOLK SOUTHN CORP COM               COM          655844108      439             25225      SH      SOLE         25225
NORFOLK SOUTHN CORP COM               COM          655844108       19              1100      SH      OTHER        1100
NORTEL NETWORKS CORP                  COM          656569100     1864             18925      SH      SOLE         18025         900
NORTHERN STS PWR CO MINN COM          COM          665772109      204              9640      SH      SOLE         9640
NORTHERN TRUST CORP                   COM          665859104      215              3332      SH      SOLE         3332
OCCIDENTAL PETE CORP COM              COM          674599105      251             12000      SH      SOLE         12000
OCCIDENTAL PETE CORP COM              COM          674599105       20              1000      SH      OTHER        1000
OMNICOM GROUP INC COM                 COM          681919106     2537             29740      SH      SOLE         29740
OMNICOM GROUP INC COM                 COM          681919106     1957             22940      SH      OTHER        22940
</TABLE>

<PAGE>
<TABLE>
<CAPTION>
                                                                    13F Report 3/31/00                              Voting Authority
                                                               -------------------------            Investment   -------------------
Name of issuer                         class          cusip    Value (x$1000)   Shs/Prn Amt  Sh/Prn  Discretion     Sole        None
<S>                                   <C>             <C>        <C>              <C>       <C>       <C>         <C>           <C>
ORACLE SYSTEMS CORP                   COM          68389X105      185              2560      SH      SOLE         2260          300
ORACLE SYSTEMS CORP                   COM          68389X105      565              7801      SH      OTHER        7801
PE CORP-PE BIOSYSTEMS GROUP           COM          69332S102      349              4860      SH      SOLE         4560          300
PE CORP-PE BIOSYSTEMS GROUP           COM          69332S102       93              1300      SH      OTHER        1300
PARKER HANNIFIN CORP COM              COM          701094104      277              6250      SH      SOLE         6250
PARKER HANNIFIN CORP COM              COM          701094104       73              1653      SH      OTHER        1653
PEPSICO INC COM                       COM          713448108     1071             28300      SH      SOLE         28300
PEPSICO INC COM                       COM          713448108      195              5149      SH      OTHER        5149
PEROT SYSEMS CORP CL A                COM          714265105      179             11000      SH      SOLE         11000
PFIZER INC COM                        COM          717081103     4259             97910      SH      SOLE         97910
PFIZER INC COM                        COM          717081103     1224             28160      SH      OTHER        28160
PHARMACIA CORPORATION                 COM          71713U102     3219             55448      SH      SOLE         55229         219
PHILIP MORRIS COS INC COM             COM          718154107      406             19050      SH      SOLE         19050
PHILIP MORRIS COS INC COM             COM          718154107       43              2050      SH      OTHER        2050
PHILLIPS PETROLEUM CO COM             COM          718507106      319              6523      SH      SOLE         6523
PHILLIPS PETROLEUM CO COM             COM          718507106       41               850      SH      OTHER        850
PHONE.COM INC                         COM          71920Q100      234              3760      SH      SOLE         3760
PIONEER GROUP INC                     COM          723684106    20351            854649      SH      SOLE         854649
PIONEER GROUP INC                     COM          723684106        9               400      SH      OTHER        400
PRAXAIR INC                           COM          74005P104     2106             49925      SH      SOLE         49925
PRAXAIR INC                           COM          74005P104       25               600      SH      OTHER        600
PRENTISS PROPERTIES TRUST             COM          740706106       27              1200      SH      SOLE         1200
PRENTISS PROPERTIES TRUST             COM          740706106      253             10900      SH      OTHER        10900
PROCTER & GAMBLE CO COM               COM          742718109    12371            175485      SH      SOLE         175485
PROCTER & GAMBLE CO COM               COM          742718109      478              6788      SH      OTHER        6788
QLT PHOTOTHERAPEUTICS INC             COM          746927102      352              6770      SH      SOLE         6770
R H INVESTMENT COMPANY INC            COM          749550992     3135             14908      SH      SOLE         14908
RATIONAL SOFTWARE CORP COM            COM          75409P202     1125             15704      SH      SOLE         15704
RELIASTAR FINANCIAL CORP              COM          75952U103     2745             95900      SH      SOLE         95900
RELIASTAR FINANCIAL CORP              COM          75952U103     1109             38750      SH      OTHER        38750
REUTERS HLDGS CO PLC                  COM          76132M102      199              1969      SH      SOLE         1969
REUTERS HLDGS CO PLC                  COM          76132M102      210              2086      SH      OTHER        2086
REYNOLDS & REYNOLDS CO CL A           COM          761695105     1083             43330      SH      SOLE         43330
REYNOLDS & REYNOLDS CO CL A           COM          761695105      575             23000      SH      OTHER        23000
RHYTHMS NETCONNECTIONS                COM          762430205      213             11600      SH      SOLE         11600
ROCKWELL INTL CORP NEW                COM          773903109      704             18000      SH      SOLE         18000
ROYAL DUTCH PETROLEUM CO              COM          780257804     1672             29544      SH      SOLE         29544
ROYAL DUTCH PETROLEUM CO              COM          780257804      307              5436      SH      OTHER        5436
SBC COMMUNICATIONS INC                COM          78387G103     5189            122825      SH      SOLE         120975       1850
SBC COMMUNICATIONS INC                COM          78387G103       81              1926      SH      OTHER        1926
SCI SYSTEMS INC                       COM          783890106     2470             54750      SH      SOLE         54750
SCI SYSTEMS INC                       COM          783890106     1344             29800      SH      OTHER        29800
SDL INC                               COM          784076101      804              5000      SH      OTHER        5000
SARA LEE CORP COM                     COM          803111103       26              1600      SH      SOLE         1600
SARA LEE CORP COM                     COM          803111103      781             47725      SH      OTHER        47725
SCHERING PLOUGH CORP COM              COM          806605101     4070             98384      SH      SOLE         97284        1100
SCHERING PLOUGH CORP COM              COM          806605101      310              7509      SH      OTHER        7509
SCHLUMBERGER LTD COM                  COM          806857108     1310             17636      SH      SOLE         17386         250
SCHLUMBERGER LTD COM                  COM          806857108      431              5804      SH      OTHER        5804
SEALED AIR CORP COM                   COM          81211K100      273              5000      SH      SOLE         5000
SEARS ROEBUCK & CO COM                COM          812387108      278              6870      SH      SOLE         6870
SEARS ROEBUCK & CO COM                COM          812387108       22               550      SH      OTHER        550
</TABLE>

<PAGE>
<TABLE>
<CAPTION>

                                                                    13F Report 3/31/00                              Voting Authority
                                                               -------------------------            Investment   -------------------
Name of issuer                        class          cusip    Value (x$1000)   Shs/Prn Amt  Sh/Prn  Discretion     Sole        None
<S>                                   <C>             <C>        <C>              <C>       <C>       <C>         <C>           <C>
SEARS ROEBUCK & CO COM                COM          812387108       22               550      SH      OTHER        550
SERVICE MASTER CO COM                 COM          81760N109      209             16483      SH      OTHER        16483
SHERWIN-WILLIAMS CO                   COM          824348106      112              4300      SH      SOLE         4300
SHERWIN-WILLIAMS CO                   COM          824348106      538             20600      SH      OTHER        20600
SIGMA ALDRICH CORP COM                COM          826552101      117              4100      SH      SOLE         4100
SIGMA ALDRICH CORP COM                COM          826552101      120              4200      SH      OTHER        4200
SKIN ESSENTIALS INC                   PREFERRED    830668992      125             62500      SH      SOLE         62500
SMITHKLINE BEECHAM PLC A ADR          COM          832378301      546              8000      SH      SOLE         8000
SOLUTIA INC                           COM          834376105      212             15336      SH      SOLE         15336
SOLUTIA INC                           COM          834376105       55              4000      SH      OTHER        4000
SONY CORP AMERN SH NEW                COM          835699307      248              1085      SH      SOLE         1085
SPRINT CORP                           COM          852061100      786             13565      SH      SOLE         13415         150
SPRINT CORP                           COM          852061100      116              2000      SH      OTHER        2000
STATE STREET CORP                     COM          857477103      199              2000      SH      SOLE         2000
STATE STREET CORP                     COM          857477103      109              1100      SH      OTHER        1100
STERIS CORP COM                       COM          859152100        3               350      SH      SOLE         350
STERIS CORP COM                       COM          859152100      292             29400      SH      OTHER        29400
SUN MICROSYSTEMS INC COM              COM          866810104     4176             47660      SH      SOLE         47660
SUN MICROSYSTEMS INC COM              COM          866810104     1993             22752      SH      OTHER        22752
SUNTRUST BANKS INC                    COM          867914103     1338             24040      SH      SOLE         24040
SUNTRUST BANKS INC                    COM          867914103       16               300      SH      OTHER        300
SYSCO CORP                            COM          871829107      529             14500      SH      SOLE         14350         150
SYSCO CORP                            COM          871829107       43              1200      SH      OTHER        1200
TARGET CORP                           COM          87612E106     2065             29400      SH      SOLE         28200        1200
TARGET CORP                           COM          87612E106       16               238      SH      OTHER        238
TEMPLETON EMERGING MARKETS            COM          880191101      159             17000      SH      OTHER        17000
TERADYNE INC COM                      COM          880770102      462              5000      SH      SOLE         5000
TEXACO INC COM                        COM          881694103      383              7417      SH      SOLE         7217          200
TEXACO INC COM                        COM          881694103      170              3300      SH      OTHER        3300
TEXAS INSTRUMENTS INC COM             COM          882508104      432              3060      SH      SOLE         2760          300
TEXAS INSTRUMENTS INC COM             COM          882508104      572              4050      SH      OTHER        4050
TEXTRON INC COM                       COM          883203101      279              4550      SH      SOLE         4550
TEXTRON INC COM                       COM          883203101       98              1600      SH      OTHER        1600
TIME WARNER INC                       COM          887315109     1615             19000      SH      SOLE         17950        1050
TIME WARNER INC                       COM          887315109       32               388      SH      OTHER        388
TYCO INTERNATIONAL LTD                COM          902124106     4663            104641      SH      SOLE         102141       2500
TYCO INTERNATIONAL LTD                COM          902124106      906             20347      SH      OTHER        20347
U S BANCORP DEL                       COM          902973106      657             29953      SH      SOLE         29953
UNILEVER NV NY SHARES NEW F           COM          904784709      279              5689      SH      SOLE         5689
UNILEVER NV NY SHARES NEW F           COM          904784709       43               892      SH      OTHER        892
UNION CARBIDE CORP COM                COM          905581104      221              3950      SH      SOLE         3950
UNION CARBIDE CORP COM                COM          905581104       33               600      SH      OTHER        600
UNION PACIFIC CORP COM                COM          907818108      557             13250      SH      SOLE         13250
UNION PACIFIC CORP COM                COM          907818108       49              1175      SH      OTHER        1175
U S WEST INC NEW COM                  COM          91273H101      410              5982      SH      SOLE         5982
U S WEST INC NEW COM                  COM          91273H101      166              2421      SH      OTHER        2421
UNITED TECHNOLOGIES CORP COM          COM          913017109     1667             25710      SH      SOLE         25710
UNITED TECHNOLOGIES CORP COM          COM          913017109      356              5499      SH      OTHER        5499
UNOCAL CORP COM                       COM          915289102      303             10145      SH      SOLE         9895          250
VERISIGN INC                          COM          92343E102      367              3700      SH      SOLE         3700
VIGNETTE CORPORATION                  COM          926734104      307              7500      SH      SOLE         7500
</TABLE>

<PAGE>

<TABLE>
<CAPTION>
                                                                    13F Report 3/31/00                              Voting Authority
                                                               -------------------------            Investment   -------------------
Name of issuer                        class          cusip    Value (x$1000)   Shs/Prn Amt  Sh/Prn  Discretion     Sole        None
<S>                                   <C>             <C>        <C>              <C>       <C>       <C>         <C>           <C>
VIRAGEN INC                           COM          927638106       36             20300      SH      SOLE         20300
VODAFONE AIRTOUCH PLC-SP ADR          COM          92857T107     1500             34110      SH      SOLE         33710         400
VODAFONE AIRTOUCH PLC-SP ADR          COM          92857T107      141              3205      SH      OTHER        3205
VOICESTREAM WIRELESS CORP             COM          928615103      651              7500      SH      SOLE         7500
WAL MART STORES INC                   COM          931142103     1352             22966      SH      SOLE         22866         100
WAL MART STORES INC                   COM          931142103     1103             18747      SH      OTHER        18747
WALGREEN CO COM                       COM          931422109      143              5000      SH      SOLE         5000
WALGREEN CO COM                       COM          931422109     1809             62954      SH      OTHER        62954
WARNER LAMBERT CO COM                 COM          934488107     4610             39034      SH      SOLE         39034
WARNER LAMBERT CO COM                 COM          934488107       49               421      SH      OTHER        421
WASHINGTON MUTUAL INC COM             COM          939322103     1232             46196      SH      SOLE         45996         200
WASHINGTON MUTUAL INC COM             COM          939322103       90              3400      SH      OTHER        3400
WATSON PHARMACEUTICALS                COM          942683103     1523             33850      SH      SOLE         33850
WATSON PHARMACEUTICALS                COM          942683103      594             13200      SH      OTHER        13200
WEATHERFORD INTERNATIONAL INC         COM          947074100      578             14100      SH      SOLE         14100
WELLS FARGO & COMPANY NEW             COM          949746101     4562            106720      SH      SOLE         106720
WELLS FARGO & COMPANY NEW             COM          949746101     1352             31640      SH      OTHER        31640
ZING NETWORKS INC                     PREFERRED    9896119A8       25            100000      SH      SOLE         100000
ACE LIMITED                           COM          G0070K103        5               230      SH      SOLE         230
ACE LIMITED                           COM          G0070K103      338             14670      SH      OTHER        14670
SBS BROADCASTING S.A.                 COM          L8137F102      223              4000      SH      SOLE         4000
KPNQWEST NV                           COM          N50919104      320              7600      SH      SOLE         7600

430 Issues                                                     524820
</TABLE>

                                       9





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